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Global crop production increased substantially in recent decades due to agricultural intensification and expansion and today agricultural areas occupy about 38% of Earth’s terrestrial surface - the largest use of land on the planet. However, current high-intensity agricultural practices fostered in the context of the Green Revolution led to serious consequences for the global environment. Pesticides, in particular, are highly biologically active substances that can threaten the ecological integrity of aquatic and terrestrial ecosystems. Although the global pesticide use increases steadily, our field-data based knowledge regarding exposure of non-target ecosystems such as surface waters is very restricted. Available studies have by now been limited to spatially restricted geographical areas or had rather specific objectives rendering the extrapolation to larger spatial scales questionable.
Consequently, this thesis evaluated based on four scientific publications the exposure, effects, and regulatory implications of particularly toxic insecticides` concentrations detected in global agricultural surface waters. FOCUS exposure modelling was used to characterise the highly specific insecticide exposure patterns and to analyse the resulting implications for both monitoring and risk assessment (publication I). Based on more than 200,000 scientific database entries, 838 peer-reviewed studies finally included, and more than 2,500 sites in 73 countries, the risks of agricultural insecticides to global surface waters were analysed by means of a comprehensive meta-analysis (publication II). This meta-analysis evaluated whether insecticide field concentrations exceed legally accepted regulatory threshold levels (RTLs) derived from official EU and US pesticide registration documents and, amongst others, how risks depend on insecticide development over time and stringency of environmental regulation. In addition, an in-depth analysis of the current EU pesticide regulations provided insights into the level of protection and field relevance of highly elaborated environmental regulatory risk assessment schemes (publications III and IV).
The results of this thesis show that insecticide surface water exposure is characterized by infrequent and highly transient concentration peaks of high ecotoxicological relevance. We thus argue in publication I that sampling based on regular intervals is inadequate for the detection of insecticide surface water concentrations and that traditional risk assessment concepts based on all insecticide concentrations including non-detects lead to severely biased results and critical underestimations of risks. Based on these considerations, publication II demonstrates that out of 11,300 measured insecticide concentrations (MICs; i.e., those actually detected and quantified), 52.4% (5,915 cases; 68.5%) exceeded the RTL for either water (RTLSW) or sediments. This indicates a substantial risk for the biological integrity of global water resources as additional analyses on pesticide effects in the field clearly evidence that the regional aquatic biodiversity is reduced by approximately 30% at pesticide concentrations equalling the RTLs. In addition, publication II shows that there is a complete lack of scientific monitoring data for ~90% of global cropland and that both the actual insecticide contamination of surface waters and the resulting ecological risks are most likely even greater due to, for example, inadequate sampling methods employed in the studies and the common occurrence of pesticide mixtures. A linear model analysis identified that RTLSW exceedances depend on the catchment size, sampling regime, sampling date, insecticide substance class, and stringency of countries` environmental regulations, as well as on the interactions of these factors. Importantly, the risks are significantly higher for newer-generation insecticides (i.e., pyrethroids) and are high even in countries with stringent environmental regulations. Regarding the latter, an analysis of the EU pesticide regulations revealed critical deficiencies and the lack of protectiveness and field-relevance for current presumed highly elaborated FOCUS exposure assessment (publication IV) and overall risk assessment schemes (publication III). Based on these findings, essential risk assessment amendments are proposed.
In essence, this thesis analyses the agriculture–environment linkages for pesticides at the global scale and it thereby contributes to a new research frontier in global ecotoxicology. The overall findings substantiate that agricultural insecticides are potential key drivers for the global freshwater biodiversity crisis and that the current regulatory risk assessment approaches for highly toxic anthropogenic chemicals fail to protect the global environment. This thesis provides an integrated view on the environmental side effects of global high-intensity agriculture and alerts that beside worldwide improvements to current pesticide regulations and agricultural pesticide application practices, the fundamental reformation of conventional agricultural systems is urgently needed to meet the twin challenges of providing sufficient food for a growing human population without destroying the ecological integrity of global ecosystems essential to human existence.
The formulation of the decoding problem for linear block codes as an integer program (IP) with a rather tight linear programming (LP) relaxation has made a central part of channel coding accessible for the theory and methods of mathematical optimization, especially integer programming, polyhedral combinatorics and also algorithmic graph theory, since the important class of turbo codes exhibits an inherent graphical structure. We present several novel models, algorithms and theoretical results for error-correction decoding based on mathematical optimization. Our contribution includes a partly combinatorial LP decoder for turbo codes, a fast branch-and-cut algorithm for maximum-likelihood (ML) decoding of arbitrary binary linear codes, a theoretical analysis of the LP decoder's performance for 3-dimensional turbo codes, compact IP models for various heuristic algorithms as well as ML decoding in combination with higher-order modulation, and, finally, first steps towards an implementation of the LP decoder in specialized hardware. The scientific contributions are presented in the form of seven revised reprints of papers that appeared in peer-reviewed international journals or conference proceedings. They are accompanied by an extensive introductory part that reviews the basics of mathematical optimization, coding theory, and the previous results on LP decoding that we rely on afterwards.
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.
A fundamental understanding of attachment of engineered nanoparticles to environmentalrnsurfaces is essential for the prediction of nanoparticle fate and transport in the environment.
The present work investigates the attachment of non-coated silver nanoparticles and citraterncoated silver nanoparticles to different model surfaces and environmental surfaces in thernpresence and absence of humic acid. Batch sorption experiments were used for this investigation.
The objective of this thesis was to investigate how silver nanoparticles interactrnwith surfaces having different chemical functional groups. The effect of presence of HA, on the particle-surface interactions was also investigated. In the absence of humic acid, nanoparticle-surface interactions or attachment was influencedrnby the chemical nature of the interacting surfaces. On the other hand, in the presence ofrnhumic acid, nanoparticle-surface attachment was influenced by the specific surface area of the sorbent surfaces. The sorption of non-coated silver nanoparticles and citrate coatedrnnanoparticles to all the surfaces was nonlinear and best described by Langmuir isotherm, indicating monolayer sorption of nanoparticles on to the surfaces. This can be explained as due to the blocking effect generated by the particle-particle repulsion. In the presence of humic acid, sorption of nanoparticles to the surfaces was linear. When the humic acid was present in the interacting medium, both the nanoparticles and surfaces were getting coated with humic acid and this masks the chemical functionalities of the surfaces. This leads to the change in particle-surface interactions, in the presence of humic acid. For the silver nanoparticle sorption from an unstable suspension, the sorption isotherms did not follow any classical sorption models, suggesting interplay between aggregation and sorption. Citrate coated silver nanoparticles and humic acid coated silver nanoparticles showed arndepression in sorption compared to the sorption of non-coated silver nanoparticles. In therncase of citrate coated silver nanoparticles the decrease in sorption can be explained by thernmore negative zeta potential of citrate coated nanoparticles compared to non-coated ones. For humic acid coated nanoparticles the sorption depression can be due to the steric hindrance caused by the free humic acid molecules which may coat the sorbent surface or due to the competition for sorption sites between the nanoparticle and free humic acid molecules present in the suspension. Thus nanoparticle surface chemistry is an important factor that determines the attachment of nanoparticles towards surfaces and it makes the characterization of nanoparticle surface an essential step in the study of their fate in the environment.
Another aim of this study was to introduce the potential of chemical force microscopy for nanoparticle surface characterization. With the use of this technique, it was possible to distinguish between bare silver nanoparticles, citrate coated silver nanoparticles, and humic acid coated silver nanoparticles. This was possible by measuring the adhesion forces between the nanoparticles and five different AFM probes having different chemical functionalization.
Die vorliegende Forschungsarbeit beschäftigt sich mit der Positionierung und anbieterinternen Kommunikation der innovativen IT-Architektur SOA. Die zentralen Ziele der vorliegenden explorativen und empirischen Forschungsarbeit, die im Kontext der Innovations-Erfolgsfaktorenforschung angesiedelt ist, bestehen in der Beantwor-tung der beiden folgenden forschungsleitenden Fragestellungen:
Forschungsfrage 1: Welche Bedingungen tragen zu einer erfolgreichen Positionierung von SOA bei? Forschungsfrage 2: Welche Bedingungen tragen zu einer erfolgreichen anbieterinternen Kommunikation bezüglich SOA bei? Zur Überprüfung dieser beiden Forschungsfragen wurde ein zweistufiges Delphi-Verfahren durchgeführt. Hierbei wurde zunächst eine qualitative Befragungswelle (N=53) zur Identifizierung der SOA-Positionierungsbedingungen und anbieterinternen SOA-Kommunikations-bedingungen durchgeführt. Insgesamt wurden in der ersten Befragungswelle 122 SOA-Positionierungsbedingungen identifiziert, die sich in 65 Bedingungen auf Anbieterseite, 35 Bedingungen auf Kundenseite, 19 Bedingungen auf SOA-Seite und 3 Bedingungen aufseiten des weiteren Umfeldes aufteilen. Im Rahmen der anbieterinternen SOA-Kommunikation konnten 31 Bedingungen identifiziert werden. Die in der ersten Welle identifizierten SOA-Positionie-rungsbedingungen und anbieterinternen SOA-Kommunikationsbedingungen wurden mittels der zweiten Befragungswelle (N=83) einer quantitativen Analyse unterzogen. Somit liefert die vorliegende Studie Bedingungen, die sowohl zu einer erfolgreichen SOA-Positionierung als auch zu einer erfolgreichen anbieterinternen SOA-Kommunikation beitragen.
Die Resultate dieser Arbeit werden zusammengefasst und theoretisch eingeordnet. Ebenfalls wird die methodische Vorgehensweise kritisch diskutiert und die Güte der Daten beurteilt. Schließlich wird ein Ausblick auf zukünftige Forschungsfelder gegeben.
Zentrale Aufgaben der Hochschule sind die Bewertung, die Ursachenklärung und die Förderung von Studienleistungen (Heublein & Wolter, 2011, S. 215). In diesem Kontext gilt neben intellektuellen Fähigkeiten die Leistungsmotivation als bedeutsamer Prädiktor für den akademischen Erfolg (z. B. Schmidt-Atzert, 2005, S. 132; Steinmayr & Spinath, 2009, S. 80). Im Fokus der vorliegenden Studie stehen deshalb Überlegungen zu Motivationsprozessen von 332 Studienanfängern der Hochschule der Bundesagentur für Arbeit und zu den Faktoren, die sich förderlich auf ihre Lernresultate auswirken. Mit einer Ausschöpfungsquote von 89 % sind die gewonnenen Daten für die Grundgesamtheit repräsentativ. Anhand einer Ex-post-facto-Versuchsanordnung in Form eines quantitativen Prädiktor-Kriteriums-Ansatzes (spezielle Variante eines Längsschnittdesigns) mit unterschiedlichen Erhebungsmethoden, wie standardisiertem Selbstbeurteilungsfragebogen, Leistungstests und offiziellen Dokumenten/Aktenmaterial, wurden folgende Forschungshypothesen zugrunde gelegt: Die Stärke der Leistungsmotivation ist sowohl von Erwartungskomponenten (Fähigkeitsselbstkonzept, Selbstwert, subjektive Notenerwartung, Erfolgszuversicht und Misserfolgsfurcht) als auch von Anreizkomponenten (Gegenstands-, Tätigkeits-, Folgenanreizen) abhängig, welche wiederum vermittelt über das leistungsmotivierte Verhalten einen Einfluss auf die Studienleistung besitzt. Dabei wurde postuliert, dass motivationale Variablen auch dann noch einen bedeutsamen Effekt auf die Studienleistung ausüben, wenn weitere Leistungsprädiktoren, wie die Schulabschlussnote, die Intelligenz, die emotionale Stabilität und die Gewissenhaftigkeit kontrolliert werden.
Change of ecosystems and the associated loss of biodiversity is among the most important environmental issues. Climate change, pollution, and impoundments are considered as major drivers of biodiversity loss. Organism traits are an appealing tool for the assessment of these three stressors, due to their ability to provide mechanistic links between organism responses and stressors, and consistency over wide geographical areas.
Additionally, traits such as feeding habits influence organismal performance and ecosystem processes. Although the response of traits of specific taxonomic groups to stressors is known, little is known about the response of traits of different taxonomic groups to stressors. Additionally, little is known about the effects of small impoundments on stream ecosystem processes, such as leaf litter decomposition, and food webs.
After briefly introducing the theoretical background and objectives of the studies, this thesis begins by synthesizing the responses of traits of different taxonomic groups to climate change and pollution. Based on 558 peer-reviewed studies, the uniformity (i.e., convergence) in trait response across taxonomic groups was evaluated through meta-analysis (Chapter 2). Convergence was primarily limited to traits related to tolerance.
In Chapter 3, the hypothesis that small impoundments would modify leaf litter decomposition rates at the sites located within the vicinity of impoundments, by altering habitat variables and invertebrate functional feeding groups (FFGs) (i.e., shredders), was tested. Leaf litter decomposition rates were significantly reduced at the study sites located immediately upstream (IU) of impoundments, and were significantly related to the abundance of invertebrate shredders.
In Chapter 4, the invertebrate FFGs were used to evaluate the effect of small impoundments on stream ecosystem attributes. The results showed that heterotrophic production was significantly reduced at the sites IU. With regard to food webs, the contribution of methane gas derived carbon to the biomass of chironomid larvae was evaluated through correlation of stable carbon isotope values of chironomid larvae and methane gas concentrations.
The results indicated that the contribution of methane gas derived carbon into stream benthic food web is low. In conclusion, traits are a useful tool in detecting ecological responses to stressors across taxonomic groups, and the effects of small impoundments on stream ecological integrity and food web are limited.
The increasing application of titanium dioxide nanoparticles (nTiO2) entails an increased risk regarding their release to surface water bodies, where they likely co-occur with other anthropogenic stressors, such as heavy metals. Their co-occurrence may lead to an adsorption of the metal ions onto the particles. These nanoparticles often sediment, due to their agglomeration, and thus pose a risk for pelagic or benthic species. The combined toxicity of nTiO2 and heavy metals is likely influenced by the properties of both stressors (since they may alter their interaction) and by environmental parameters (e.g., organic matter, pH, ionic strength) affecting their fate.
These issues were not yet systematically examined by the recent literature. Therefore, this thesis investigated the influence of nTiO2-products with differing crystalline phase composition on the toxicity of copper (as representative for heavy metals) in presence of different organic matters using the pelagic test organism Daphnia magna.
Moreover, the duration of the stressors` interaction (=aging) likely modulates the combined toxicity. Hence, the influence of nTiO2 on copper toxicity after aging as a function of environmental parameters (i.e., organic matter, pH, ionic strength) was additionally investigated.
Finally, the transferability of the major findings to benthic species was examined using Gammarus fossarum. The present thesis discovered a reduction of the copper toxicity facilitated by nTiO2 for all assessed scenarios, while its magnitude was determined by the surface area and structure of nTiO2, the quantity and quality of organic matter as well as the aging of both stressors. The general copper toxicity reduction by nTiO2 was also transferable to benthic species, despite their potentially increased exposure due to the sedimentation of nTiO2 with adsorbed copper. These observations suggest the application of nTiO2 as remediation agent, but potential side effects (e.g., chronic toxicity, reactive oxygen species formation) require further investigations. Moreover, questions regarding the transferability to other stressors (e.g., different heavy metals, organic chemicals) and the fate of stressors adsorbed to nTiO2 in aquatic ecosystems remain open.
Animationen können in instruktionalen Kontexten genutzt werden, um Wissen über Sachverhalte zu vermitteln, die Prozesse oder Abläufe beinhalten. So können dynamische Sachverhalte explizit dargestellt werden und müssen nicht vom Lerner selbst in Gedanken hergestellt, sondern nur anhand der Animation nachvollzogen werden. Dies sollte sich positiv auf den Wissenserwerb auswirken. Dabei stellen Animationen mit ihrer besonderen Eigenschaft der Darstellung zeitlicher Abläufe besondere Herausforderungen an den Lerner. Das menschliche Informationsverarbeitungssystem unterliegt bestimmten Begrenzungen im Hinblick auf die Wahrnehmung von Geschwindigkeiten. Zu schnelle und zu langsame Geschwindigkeiten können beispielsweise nur schwer wahrgenommen und dementsprechend auch nicht kognitiv verarbeitet werden. Die Zielsetzung der Arbeit, die sich daraus ergibt, war eine systematische Untersuchung der Wirkung unterschiedlicher Präsentationsgeschwindigkeiten auf das Wahrnehmen und Verstehen eines dynamischen Sachverhaltes anhand einer Animation.
Um die Fragestellungen der Arbeit beantworten zu können, wurden vier experimentelle Studien durchgeführt. Die Pilotstudie hatte das Ziel, sowohl das Lernmaterial als auch den entwickelten Wissenstest zu evaluieren. In Studie 1 wurde der Frage nach dem Einfluss der Präsentationsgeschwindigkeit auf den Wissenserwerb beim Lernen mit einer interaktiven Animation nachgegangen.
Die Studien 2 und 3 untersuchten den Einfluss verschiedener Reihenfolgen von Geschwindigkeiten auf den Wissenserwerb. Hier ging es um eine systematische Erfassung der perzeptuellen und kognitiven Verarbeitung dynamischer Informationen in zwei verschiedenen Geschwindigkeiten mittels Blickbewegungsmessung (Studie 2) und wiederholten Testungen des Wissenserwerbs zwischen den einzelnen Lernphasen (Studie 3).
Die Ergebnisse der Studien deuten darauf hin, dass bei langsamer Geschwindigkeit Wissen über Ereignisse auf untergeordneter zeitlicher Ebene erworben wurde und dass je schneller eine Animation gesehen wurde, umso mehr anteiliges Wissen auf einer übergeordneten zeitlichen Ebene erworben wurde (Studie 1), aber eindeutige Aussagen über den Einfluss der Geschwindigkeit auf den Wissenserwerb auf verschiedenen zeitlichen Hierarchieebenen lassen sich aufgrund der Ergebnisse der Studien nicht machen. Im Hinblick auf die Lernförderlichkeit verschiedener Arten der Sequenzierung von Geschwindigkeiten zeigten sich auch keine eindeutigen Ergebnisse. Aufgrund der Analyse der Blickbewegungsdaten deutet sich jedoch an, dass die Reihenfolge "langsam - schnell" den Bedingungen auf Seiten der Lerner eher entgegen kommt als die Reihenfolge "schnell - langsam".
Demographic change forces companies in the social sector, which already face more difficulties recruiting from the primary labor market and keep qualified workers committed then other enterprises, to deal with the increase of employees satisfaction. This research paper analyses the context of dialogic management in the relation between the manager and her staff and satisfaction of employees. It measures the personal preferences of leaders and staff from the employee perception.
The following personal preferences are distinguished: Harmony-seeking relation preference versus dominant autonomy preferencern Thrill-seeking stimulant preference versus controlling balance preference according to Riemann, 1999 und Pashen Dihsmaier 2011. The empiric research was done with help of a survey at the Samaritan institution Fürstenwalde with a 364 out of 560 employees´ participation. It finds significant correlation between the satisfaction of the employees with their managers and their dialogic expertise as well as with their skill to create confidence and spread appreciation. It determines differences in job satisfication of employees between the perceived psychological preferences of the staff and the perceived preference of their managers. It can be proved that relationship-oriented leaders show a higher degree of willingness for dialogue then autonomy-oriented managers. The satisfaction of employees with these leaders is clearly higher then with managers who are perceived as autonomy- oriented. A higher degree of correlation between the contentment and dialogic behavior of management could be determined with stimulant- and relationship-oriented employee against employees with a preference for autonomy or balance. The highest value of contentment could be reached by relationship- oriented workers, who perceive their management also relationship-oriented. The foundation of dialogic thought and behavior based on trust and appreciation must be developed upon managers and employees, first, before dialogic management can be introduced to a company.
In this context the relationship-oriented management approaches should be taken into consideration when recruiting managers and should also have a high priority in the human resources development.
The publication of freely available and machine-readable information has increased significantly in the last years. Especially the Linked Data initiative has been receiving a lot of attention. Linked Data is based on the Resource Description Framework (RDF) and anybody can simply publish their data in RDF and link it to other datasets. The structure is similar to the World Wide Web where individual HTML documents are connected with links. Linked Data entities are identified by URIs which are dereferenceable to retrieve information describing the entity. Additionally, so called SPARQL endpoints can be used to access the data with an algebraic query language (SPARQL) similar to SQL. By integrating multiple SPARQL endpoints it is possible to create a federation of distributed RDF data sources which acts like one big data store.
In contrast to the federation of classical relational database systems there are some differences for federated RDF data. RDF stores are accessed either via SPARQL endpoints or by resolving URIs. There is no coordination between RDF data sources and machine-readable meta data about a source- data is commonly limited or not available at all. Moreover, there is no common directory which can be used to discover RDF data sources or ask for sources which offer specific data. The federation of distributed and linked RDF data sources has to deal with various challenges. In order to distribute queries automatically, suitable data sources have to be selected based on query details and information that is available about the data sources. Furthermore, the minimization of query execution time requires optimization techniques that take into account the execution cost for query operators and the network communication overhead for contacting individual data sources. In this thesis, solutions for these problems are discussed. Moreover, SPLENDID is presented, a new federation infrastructure for distributed RDF data sources which uses optimization techniques based on statistical information.
While the 1960s and 1970s still knew permanent education (Council of Europe), recurrent education (OECD) and lifelong education (UNESCO), over the past 20 years, lifelong learning has become the single emblem for reforms in (pre-) primary, higher and adult education systems and international debates on education. Both highly industrialized and less industrialized countries embrace the concept as a response to the most diverse economic, social and demographic challenges - in many cases motivated by international organizations (IOs).
Yet, literature on the nature of this influence, the diffusion of the concept among IOs and their understanding of it is scant and usually focuses on a small set of actors. Based on longitudinal data and a large set of education documents, the work identifies rapid diffusion of the concept across a heterogeneous, expansive and dynamic international field of 88 IOs in the period 1990-2013, which is difficult to explain with functionalist accounts.
Based on the premises of world polity theory, this paper argues that what diffuses resembles less the bundle of systemic reforms usually associated with the concept in the literature and more a surprisingly detailed model of a new actor " the lifelong learner.
The intention of this thesis was to characterise the effect of naturally occurring multivalent cations like Calcium and Aluminium on the structure of Soil Organic Matter (SOM) as well as on the sorption behaviour of SOM for heavy metals such as lead.
The first part of this thesis describes the results of experiments in which the Al and Ca cation content was changed for various samples originated from soils and peats of different regions in Germany. The second part focusses on SOM-metal cation precipitates to study rigidity in dependence of the cation content. In the third part the effects of various cation contents in SOM on the binding strength of Pb cations were characterised by using a cation exchange resin as desorption method.
It was found for soil and peat samples as well as precipitates that matrix rigidity was affected by both type and content of cation. The influence of Ca on rigidity was less pronounced than the influence of Al and of Pb used in the precipitation experiments. For each sample one cation content was identified where matrix rigidity was most pronounced. This specific cation content is below the cation saturation as expected by cation exchange capacity. These findings resulted in a model describing the relation between cation type, content and the degree of networking in SOM. For all treated soil and precipitate samples a step transition like glass transition was observed, determined by the step transition temperature T*. It is known from literature that this type of step transition is due to bridges between water molecules and organic functional groups in SOM. In contrast to the glass transition temperature this thermal event is slowly reversing after days or weeks depending on the re-conformation of the water molecules. Therefore, changes of T* with different cation compositions in the samples are explained by the formation of water-molecule-cation bridges between SOM-functional groups. No influence on desorption kinetics of lead for different cation compositions in soil samples was observed. Therefore it can be assumed that the observed changes of matrix rigidity are highly reversible by changing the water status, pH or putting agitation energy by shaking in there.
Immersion into narrative worlds - theoretical and empirical approaches to audience experience
(2015)
Die vorliegende Dissertation widmet sich dem Phänomen des Erlebens der Rezeption von audiovisuellen narrativen unterhaltenden Medieninhalten. Dieses wird zunächst in die Rezeptions- und Wirkungsforschung eingeordnet und für das weitere Vorgehen konkretisiert: Transportation und Narrative Engagement stellen aktuell die beiden wichtigsten Konzepte der Medienpsychologie bezüglich der Nutzung und Wirkung von Geschichten dar.
Anschließend werden drei Fragestellungen bearbeitet. Bisher standen Forscher und Forscherinnen vor dem Problem der Manipulation des Rezeptionserlebens. Daher wurden in der vorliegenden Arbeit zwei Verfahren vorgeschlagen und in vier experimentellen Studien geprüft. Der Einsatz von Rezensionen erwies sich als geeignet, um bei allen narrativen unterhaltenden Texten das Rezeptionserleben ökonomisch zu manipulieren. Weiterhin gibt es bislang kein etabliertes Verfahren zur rezeptionsbegleitenden Messung des Rezeptionserlebens.
In dieser Arbeit wurde ein Verfahren aus einer Kombination von Real Time Response Measurement (RTR), Secondary Task Reaction Times (STRT) und der Erhebung der Lidschlagfrequenz entwickelt. Vor allem RTR war in der Lage, die im Zusammenhang mit dem Rezeptionserleben auftretenden emotionalen Prozesse zu erfassen. Die Befürchtung, die rezeptionsbegleitenden Messmethoden könnten das Rezeptionserleben verhindern, wurde in einer weiteren experimentellen Studie größtenteils entkräftet. Zuletzt wurde der Prozess des Zusammenfassens des Rezeptionserlebens in ein postrezeptives Urteil thematisiert. Nach der Entwicklung eines Rahmenmodells der Beantwortung postrezeptiver Skalen wurde in einer weiteren Studie die Bedeutung verschiedener Verlaufsparameter für das postrezeptive Urteil untersucht. Vier ausgesuchte Parameter zusammen können das postrezeptive Urteil besser erklären als der Verlaufs-Mittelwert. Die Arbeit schließt mit einer Diskussion, in der unter anderem die dynamische und die postrezeptive Messung des Rezeptionserlebens aufeinanderrnbezogen werden und hinsichtlich ihrer Bedeutung kritische Würdigung erfahren.
Emotion regulation – an empirical investigation in female adolescents with nonsuicidal self- injury
(2015)
Nonsuicidal self-injury (NSSI) was included as a condition for further study in the DSM-5. Therefore, it is necessary to investigate the suggested diagnostic criteria and the clinical and psychological correlates. In order to provide an optimal treatment best tailored to the patients need, a clear differentiation between Borderline Personality Disorder (BPD) and NSSI is needed. The investigation of personality traits specific to patients with NSSI might be helpful for this differentiation. Furthermore, social difficulties can often be a trigger for NSSI. However, little is known about how adolescents with NSSI perceive social situations. Therefore, we examined how adolescents with NSSI process emotional expressions. A new emotion recognition paradigm (ERP) using colored and morphed facial expressions of happiness, anger, sadness, disgust and fear was developed and evaluated in a student sample, selected for being high (HSA) or low socially anxious (LSA). HSA showed a tendency towards impaired emotion recognition, and the paradigm demonstrated good construct validity.
For the main study, we investigated characteristics of NSSI, clinical and psychological correlates, personality traits and emotion recognition. We examined 57 adolescents with NSSI diagnosis, 12 adolescents with NSSI without impairment/distress and 14 adolescents with BPD, 32 clinical controls without NSSI, and 64 nonclinical controls. Participants were interviewed regarding mental disorders, filled out self-report questionnaires and participated in the ERP.
Results indicate that adolescents with NSSI experienced a higher level of impairment than clinical controls. There were similarities between adolescents with NSSI and adolescents with BPD, but also important differences. Adolescents with NSSI were characterized by specific personality traits such as high harm avoidance and novelty seeking compared to clinical controls. In adolescents with BPD, these personality traits were even more pronounced. No group differences in the recognition of facial expressions were found. Nonetheless compared to the control group, adolescents with NSSI rated the stimuli as significantly more unpleasant and arousing.
In conclusion, NSSI is a highly impairing disorder characterized by high comorbidity with various disorders and by specific personality traits, providing further evidence that NSSI should be handled as a distinct diagnostic entity. Consequently, the proposed DSM-5 diagnostic criteria for NSSI are useful and necessary.
“Mittelstand” businesses are the backbone of the German economy. To operate effectively, these businesses require sufficient financing provided through adequate financing instruments. Yet, which characteristics do capital seekers value in adequate financing instruments? Despite the macroeconomic relevance of the topic, only few empirical studies exist to this date, which examine the financing behaviour of “Mittelstand”. For the paper at hand, all PREPS financed German businesses were asked to fill out an online survey. PREPS is a standardized mezzanine financing instrument, which was offered to “Mittelstand” businesses with a high degree of credit worthiness - primarily to finance business growth. PREPS financed businesses are of particular interest for this research as they can choose from the greatest variety of financing options amongst their peers due to their size and credit worthiness. Financing instruments differ in terms of rights and obligations associated with them. Depending on their design, financing contracts can fulfil a variety of functions beyond the obvious supply of liquidity, such as financial transformation, influencing of behaviours, and signalling private information. The paper at hand suggests that the businesses in question selected the same financing instrument, however, for different reasons. Furthermore, the degree of appreciation for certain characteristics of the financing instrument varies with business and situation specific context. When exploring individual hypotheses on how individual factors influence this degree of appreciation for certain financing characteristics, this paper builds on core capital structure theories as well as recent empirical insights in regards to financing behaviour. In addition, the paper examines several explorative hypotheses.
Factors triggering the ecotoxicity of metal-based nanoparticles towards aquatic invertebrates
(2015)
Nanoparticles are produced and used in huge amounts increasing their probability to end up in surface waters. There, they are subject to environmentally driven modification processes. Consequently, aquatic life may be exposed to different nanoparticle agglomerate sizes, while after sedimentation benthic organisms are more likely to be affected.
However, most ecotoxicity studies with nanoparticles exclusively investigated implications of their characteristics (e.g. size) on pelagic organisms, ignoring environmentally modified nanoparticles. Therefore, a systematic assessment of factors triggering the fate and toxicity of nanoparticles under environmentally relevant conditions is needed. The present thesis, therefore, investigates the implications of nanoparticle related factors (i.e., inherent material-properties and nanoparticle characteristics) as well as environmental conditions towards the pelagic living organism Daphnia magna and the benthic species Gammarus fossarum. In detail, inert titanium dioxide (nTiO2) and ion-releasing silver nanoparticles (nAg), both of varying particle characteristics (e.g. initial size), were tested for their toxicity under different environmental conditions (e.g. ultraviolet-light (UV-light)).
The results indicate that the toxicity of nTiO2 and nAg is mainly determined by: their adsorption potential onto biota, and their fate in terms of reactive oxygen species or Ag+ ion release. Thus, inherent material-properties, nanoparticle characteristics and environmental conditions promoting or inhibiting these aspects revealed significant implications in the toxicity of nTiO2 and nAg towards daphnids.
Furthermore, the presence of ambient UV-light, for example, adversely affected gammarids at 0.20 mg nTiO2/L, while under darkness no effects occurred even at 5.00 mg nTiO2/L. Hence, the currently associated risk of nanoparticles might be underestimated if disregarding their interaction with environmental parameters
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.
Die Basis für die Untersuchung bilden die theoretischen Erkenntnisse zur Transition und zum Fremdsprachenunterricht. In der Studie wurden saarländische Grundschullehrer und Gymnasiallehrer zu für den Fremdsprachenunterricht relevanten Aspekten befragt. Aus den Ergebnissen wurden Konsequenzen für die Bildungspolitik und die Unterrichtspraxis abgeleitet.
Diese Arbeit betrachtet das Thema Führung und Gesundheit und hat hierzu verschiedene Erkenntnisse der Literatur zusammengefasst, um diese von Führungskräften aus Wirtschaft und Polizei sowie von Personal- und Organisationsentwicklern bewerten zu lassen. Das Ziel war hierbei herauszufinden, ob die Führungskräfte und die Personal- und Organisationsentwickler das Thema als wichtig erachten, welche Hauptursachen sie für Fehlzeiten sehen und wie sie verschiedene Erkenntnisse der Literatur zum Gesundheitsmanagement einschätzen. Zusätzlich sollten sie bewerten, welche Maßnahmen sie als geeignet betrachten und welche Ressourcen notwendig sind, um die Mitarbeiter bei der Gesunderhaltung zu unterstützen. Schließlich sollten die Führungskräfte und die Personal- und Organisationsentwickler beurteilen, welcher Führungsstil als gesundheitsförderlich angesehen wird. Die Wirtschafts- und Polizeiführungskräfte sowie die Personal- und Organisationsentwickler erachten das Thema Gesundheit als wichtig und sehen es nicht nur als Modetrend an. Ihre Einschätzungen zu geeigneten Maßnahmen, die die Gesundheit der Mitarbeiter verbessern können, entsprechen überwiegend den aus der Literatur abgeleiteten Vorschlägen zur gesundheitsgerechten Führung. Die weitgehende Übereinstimmung der Sichtweisen in Forschung und Praxis legt nahe, dass die Erkenntnisse der Literatur zum Gesundheitsmanagement vermutlich von Praktikern als plausibel wahrgenommen werden.