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Augmented reality (AR) applications typically extend the user's view of the real world with virtual objects.
In recent years, AR has gained increasing popularity and attention, which has led to improvements in the required technologies. AR has become available to almost everyone.
Researchers have made great progress towards the goal of believable AR, in which the real and virtual worlds are combined seamlessly.
They mainly focus on issues like tracking, display technologies and user interaction, and give little attention to visual and physical coherence when real and virtual objects are combined. For example, virtual objects should not only respond to the user's input; they should also interact with real objects. Generally, AR becomes more believable and realistic if virtual objects appear fixed or anchored in the real scene, appear indistinguishable from the real scene, and response to any changes within it.
This thesis examines on three challenges in the field of computer vision to meet the goal of a believable combined world in which virtual objects appear and behave like real objects.
Firstly, the thesis concentrates on the well-known tracking and registration problem. The tracking and registration challenge is discussed and an approach is presented to estimate the position and viewpoint of the user so that virtual objects appear fixed in the real world. Appearance-based line models, which keep only relevant edges for tracking purposes, enable absolute registration in the real world and provide robust tracking. On the one hand, there is no need to spend much time creating suitable models manually. On the other hand, the tracking can deal with changes within the object or the scene to be tracked. Experiments have shown that the use of appearance-based line models improves the robustness, accuracy and re-initialization speed of the tracking process.
Secondly, the thesis deals with the subject of reconstructing the surface of a real environment and presents an algorithm to optimize an ongoing surface reconstruction. A complete 3D surface reconstruction of the target scene
offers new possibilities for creating more realistic AR applications. Several interactions between real and virtual objects, such as collision and occlusions, can be handled with physical correctness. Whereas previous methods focused on improving surface reconstructions offline after a capturing step, the presented method de-noises, extends and fills holes during the capturing process. Thus, users can explore an unknown environment without any preparation tasks such as moving around and scanning the scene, and without having to deal with the underlying technology in advance. In experiments, the approach provided realistic results where known surfaces were extended and filled in plausibly for different surface types.
Finally, the thesis focuses on handling occlusions between the real and virtual worlds more realistically, by re-interpreting the occlusion challenge as an alpha matting problem. The presented method overcomes limitations in state-of-the-art methods by estimating a blending coefficient per pixel of the rendered virtual scene, instead of calculating only their visibility. In several experiments and comparisons with other methods, occlusion handling through alpha matting worked robustly and overcame limitations of low-cost sensor data; it also outperformed previous work in terms of quality, realism and practical applicability.
The method can deal with noisy depth data and yields realistic results in regions where foreground and background are not strictly separable (e.g. caused by fuzzy objects or motion blur).
Despite the significant presence of neuroactive substances in the environment, bioassays that allow to detect diverse groups of neuroactive mechanisms of action are not well developed and not properly integrated into environmental monitoring and chemical regulation. Therefore, there is a need to develop testing methods which are amenable for fast and high-throughput neurotoxicity testing. The overall goal of this thesis work is to develop a test method for the toxicological characterization and screening of neuroactive substances and their mixtures which could be used for prospective and diagnostic hazard assessment.
In this thesis, the behavior of zebrafish embryos was explored as a promising tool to distinguish between different neuroactive mechanisms of action. Recently, new behavioral tests have been developed including photomotor response (PMR), locomotor response (LMR) and spontaneous tail coiling (STC) tests. However, the experimental parameters of these tests lack consistency in protocols such as exposure time, imaging time, age of exposure, endpoint parameter etc. To understand how experimental parameters may influence the toxicological interpretation of behavior tests, a systematic review of existing behavioral assays was conducted in Chapter 2. Results show that exposure concentration and exposure duration highly influenced the comparability between different test methods and the spontaneous tail coiling (STC) test was selected for further testing based on its relative higher sensitivity and capacity to detect neuroactive substances (Chapter 2).
STC is the first observable motor activity generated by the developing neural network of the embryo which is assumed to occur as a result of the innervation of the muscle by the primary motor neurons. Therefore, STC could be a useful endpoint to detect effect on the muscle innervation and also the on the whole nervous system. Consequently, important parameters of the STC test were optimized and an automated workflow to evaluate the STC with the open access software KNIME® was developed (Chapter 3).
To appropriately interpret the observed effect of a single chemical and especially mixture effects, requires the understanding of toxicokinetics and biotransformation. Most importantly, the biotransformation capacity of zebrafish embryos might be limited and this could be a challenge for assessment of chemicals such as organophosphates which require a bioactivation step to effectively inhibit the acetylcholinesterase (AChE) enzyme. Therefore, the influence of the potential limited biotransformation on the toxicity pathway of a typical organophosphate, chlorpyrifos, was investigated in Chapter 5. Chlorpyrifos could not inhibit AChE and this was attributed to possible lack of biotransformation in 24 hpf embryos (Chapter 5).
Since neuroactive substances occur in the environment as mixtures, it is therefore more realistic to assess their combined effect rather than individually. Therefore, mixture toxicity was predicted using the concentration addition and independent action models. Result shows that mixtures of neuroactive substances with different mechanisms of action but similar effects can be predicted with concentration addition and independent action (Chapter 4). Apart
from being able to predict the combined effect of neuroactive substances for prospective risk assessment, it is also important to assess in retrospect the combined neurotoxic effect of environmental samples since neuroactive substances are the largest group of chemicals occurring in the environment. In Chapter 6, the STC test was found to be capable of detecting neurotoxic effects of a wastewater effluent sample. Hence, the STC test is proposed as an effect based tool for monitoring environmental acute and neurotoxic effects.
Overall, this thesis shows the utility and versatility of zebrafish embryo behavior testing for screening neuroactive substances and this allows to propose its use for prospective and diagnostic hazard assessment. This will enhance the move away from expensive and demanding animal testing. The information contained in this thesis is of great potential to provide precautionary solutions, not only for the exposure of humans to neuroactive chemicals but for the environment at large.
In der Masterthesis von Benjamin Waldmann mit dem Titel „Flusskrebse in Deutschland – Aktueller Stand der Verbreitung heimischer und invasiver gebietsfremder Flusskrebse in Deutschland; Überblick über die erfolgten Schutzmaßnahmen und den damit verbundenen Erfahrungen; Vernetzung der Akteure im Flusskrebsschutz“ wurden erstmals für alle heimischen wie gebietsfremden Flusskrebsarten (Zehnfußkrebse) Verbreitungskarten für Deutschland vorgelegt. Grundlage der Arbeit waren umfangreiche Recherchen und Abfragen zur Verbreitung der Arten in den Bundesländern bei den zuständigen Behörden, Institutionen, Artexperten und Privatpersonen. Die Rohdaten wurden qualitätsgesichert und in einem Geoinformationssystem aufbereitet und dargestellt, so dass daraus bundesweite Verbreitungskarten für jede Art in einem zehn Kilometerraster (UTM-Gitter im Bezugssystem ETRS89) erstellt werden konnten. Darüber hinaus wurden, ebenfalls auf Basis umfangreicher Recherchen und Abfragen, die unterschiedlichen Möglichkeiten für Schutzmaßnahmen für heimische Flusskrebspopulationen aufgezeigt, bewertet und daraus Empfehlungen abgeleitet. Besonderes Augenmerk wurde dabei auf das Management invasiver gebietsfremder Flusskrebsarten sowie der Umgang mit der Tierseuche Krebspest (Aphanomyces astaci) gelegt. Abschließend wurden Empfehlungen zur Vernetzung der Akteure im Flusskrebsschutz gegeben sowie die Ansprechpartner:innen in den einzelnen Bundesländern aufgeführt.
Wild bees are essential for the pollination of wild and cultivated plants. However, within the
last decades, the increasing intensification of modern agriculture has led to both a reduction and fragmentation as well as a degradation of the habitats wild bees need. The resulting loss of pollinators and their pollination poses an immense challenge to global food production. To support wild bees, the availability of flowering resources is essential. However, the flowering period of each resource is temporally limited and has different effects on pollinators and their pollination, depending on the time of their flowering.
Therefore, to efficiently promote and manage wild bee pollinators in agricultural landscapes, we identified species-specific key floral resources of three selected wild bee species and their spatial and temporal availability (CHAPTERS 2, 3 & 4). We examined, which habitat types predominantly provide these resources (CHAPTERS 3 & 4). We also investigated whether floral resource maps based on the use of these key resources and their spatial and temporal availability explain the abundance and development of the selected wild bees (CHAPTERS 3 & 4) and pollination (CHAPTER 5) better than habitat maps, that only indirectly account for the availability of floral resources.
For each of the species studied, we were able to identify different key pollen sources, predominantly woody plants in the early season (April/May) and increasingly herbaceous plants in the later season (June/July; CHAPTERS 2, 3 & 4). The open woody semi-natural habitats of our agricultural landscapes provided about 75% of the floral resources for the buff-tailed bumblebees, 60% for the red mason bees, and 55% for the horned mason bees studied, although they accounted for only 3% of the area (CHAPTERS 3 & 4). In addition, fruit orchards provided about 35% of the floral resources for the horned mason bees on 4% of the landscape area (CHAPTER 3). We showed that both mason bee species benefited from the resource availability in the surrounding landscapes (CHAPTER 3). Yet this was not the case for the bumblebees (CHAPTER 4). Instead, the weight gain of their colonies, the number of developed queen cells and their colony survival were higher with increasing proximity to forests. The proximity to forests also had a positive effect on the mason bees studied (CHAPTER 3). In addition, the red mason bees benefited from herbaceous semi-natural habitats. The proportion of built-up areas had a negative effect on the horned mason bees, and the proportion of arable land on the red mason bees. The habitat maps explained horned mason bee abundances equally well as the floral resource maps, but red mason bee abundances were distinctly better explained by key floral resources. The pollination of field bean increased with higher proportions of early floral resources, whereas synchronous floral resources showed no measurable reduction in their pollination (CHAPTER 5). Habitat maps also explained field bean pollination better than floral resource maps. Here, pollination increased with increasing proportions of built-up areas in the landscapes and decreased with increasing proportions of arable land.
Our results highlight the importance of the spatio-temporal availability of certain key species as resource plants of wild bees in agricultural landscapes. They show that habitat maps are ahead of, or at least equal to, spatio-temporally resolved floral resource maps in predicting wild bee development and pollination. Nevertheless, floral resource maps allow us to draw more accurate conclusions between key floral resources and the organisms studied. The proximity to forest edges had a positive effect on each of the three wild bee species studied. However, besides pure food availability, other factors seem to co-determine the occurrence of wild bees in agricultural landscapes.
Lernen in Citizen Science
(2021)
Unsere Welt und die technischen und naturwissenschaftlichen Erkenntnisse verändern sich aktuell sehr schnell. Dies betrifft auch die naturwissenschaftliche Forschung und erfordert vermehrten Einsatz der Wissenschaftskommunikation und der Bildung. Ein Instrument der Wissenschaftskommunikation und eine Erweiterung des schulischen Unterrichts kann die Beteiligung von Freiwilligen bei wissenschaftlichen Arbeiten sein, welches auch als Citizen Science (CS) bezeichnet wird. CS Projekte erfreuen sich einer wachsenden Beliebtheit, unter anderem von Schulen (Burger, 2016). Dabei werden unter anderem die Förderung des Kontextwissens, der Scientific Literacy, der Umwelteinstellung und des –verhaltens versprochen (Peter et al., 2019). Interventionsstudien zu den Bildungspotentialen kommen jedoch zu unterschiedlichen Ergebnissen (Gommermann & Monroe, 2012; Turrini et al., 2018). Diese inkonsistenten Ergebnisse der Studien können auf die unterschiedliche Gestaltung der einzelnen evaluierten CS Projekte zurückgeführt werden. Es wird angenommen, dass Teilnehmende, die in mehr Schritten des wissenschaftlichen Prozesses eingebunden werden, ein größeres Bildungspotential haben, als Teilnehmende, die nur in wenige Schritte eingebunden werden (Burger, 2016; Shirk & Bonney, 2018). Bonney, Ballard et al. (2009) haben dazu ein dreistufiges Modell entwickelt. Das Modell wird unter anderem auch von Shirk et al. (2012) und Jordan et al. (2015) unterstützt, ist jedoch bezüglich der Lernwirksamkeit nicht empirisch überprüft (Edwards et al., 2018; Jordan et al., 2015). Deswegen schließt die Forschungsfrage dieser Studie hier an: Unter welchem Partizipationsansatz sind die Lerneffekte in einem CS Projekt am größten für Schülerinnen und Schüler? Um diese Frage zu beantworten, wurde ein CS Projekt mit drei Experimentalgruppen geplant und durchgeführt. Insgesamt nahmen 199 Schülerinnen und Schüler an dem Projekt teil. Innerhalb der Interventionsstudie wurden die Schülerinnen und Schüler zu drei Testzeitpunkten zur Umwelteinstellung und -verhalten, Nature of Science, Einstellung zur Wissenschaft und dem Kontextwissen befragt. Die Analysen über die Messzeitpunkte zeigen keine statistisch signifikanten Einflüsse der Experimentalgruppen auf die abhängigen Variablen. Jedoch ist die Teststärke bei allen Tests zu gering, um abschließende Aussagen über die Annahmen zu treffen. Wird jedoch die generelle Wirkung der Intervention betrachtet, zeigen sich signifikante Effekte auf alle Schülerinnen und Schüler, unter anderem steigt das Verständnis über Nature of Science. Diese Ergebnisse stimmen mit früheren Schlussfolgerungen von Phillips (2017), Phillips et al. (2019) und Del Bianco (2018) überein, die ebenfalls Zweifel an dem Modell von Bonney, Ballard et al. (2009) äußerten. Innerhalb dieses CS Projektes konnte sich keiner der drei Partizipationsansätze bezüglich des Bildungspotential für Schülerinnen und Schüler hervorheben lassen. Jedoch ist diese Studie unter anderem durch die geringe Teststärke limitiert und endgültige Aussagen bedürfen weiterer systematischer Forschung.
Efficient Cochlear Implant (CI) surgery requires prior knowledge of the cochlea’s size and its characteristics. This information helps to select suitable implants for different patients. Registered and fused images helps doctors by providing more informative image that takes advantages of different modalities. The cochlea’s small size and complex structure, in addition to the different resolutions and head positions during imaging, reveals a big challenge for the automated registration of the different image modalities. To obtain an automatic measurement of the cochlea length and the volume size, a segmentation method of cochlea medical images is needed. The goal of this dissertation is to introduce new practical and automatic algorithms for the human cochlea multi-modal 3D image registration, fusion, segmentation and analysis. Two novel methods for automatic cochlea image registration (ACIR) and automatic cochlea analysis (ACA) are introduced. The proposed methods crop the input images to the cochlea part and then align the cropped images to obtain the optimal transformation. After that, this transformation is used to align the original images. ACIR and ACA use Mattes mutual information as similarity metric, the adaptive stochastic gradient descent (ASGD) or the stochastic limited memory Broyden–Fletcher–Goldfarb–Shanno (s-LBFGS) optimizer to estimate the parameters of 3D rigid transform. The second stage of nonrigid registration estimates B-spline coefficients that are used in an atlas-model-based segmentation to extract cochlea scalae and the relative measurements of the input image. The image which has segmentation is aligned to the input image to obtain the non-rigid transformation. After that the segmentation of the first image, in addition to point-models are transformed to the input image. The detailed transformed segmentation provides the scala volume size. Using the transformed point-models, the A-value, the central scala lengths, the lateral and the organ of corti scala tympani lengths are computed. The methods have been tested using clinical 3D images of total 67 patients: from Germany (41 patients) and Egypt (26 patients). The atients are of different ages and gender. The number of images used in the experiments is 217, which are multi-modal 3D clinical images from CT, CBCT, and MRI scanners. The proposed methods are compared to the state of the arts ptimizers related medical image registration methods e.g. fast adaptive stochastic gradient descent (FASGD) and efficient preconditioned tochastic gradient descent (EPSGD). The comparison used the root mean squared distance (RMSE) between the ground truth landmarks and the resulted landmarks. The landmarks are located manually by two experts to represent the round window and the top of the cochlea. After obtaining the transformation using ACIR, the landmarks of the moving image are transformed using the resulted transformation and RMSE of the transformed landmarks, and at the same time the fixed image landmarks are computed. I also used the active length of the cochlea implant electrodes to compute the error aroused by the image artifact, and I found out an error ranged from 0.5 mm to 1.12 mm. ACIR method’s RMSE average was 0.36 mm with a standard deviation (SD) of 0.17 mm. The total time average required for registration of an image pair using ACIR was 4.62 seconds with SD of 1.19 seconds. All experiments are repeated 3 times for justifications. Comparing the RMSE of ACIR2017 and ACIR2020 using paired T-test shows no significant difference (p-value = 0.17). The total RMSE average of ACA method was 0.61 mm with a SD of 0.22 mm. The total time average required for analysing an image was 5.21 seconds with SD of 0.93 seconds. The statistical tests show that there is no difference between the results from automatic A-value method and the manual A-value method (p-value = 0.42). There is no difference also between length’s measurements of the left and the right ear sides (p-value > 0.16). Comparing the results from German and Egypt dataset shows there is no difference when using manual or automatic A-value methods (p-value > 0.20). However, there is a significant difference when using ACA2000 method between the German and the Egyptian results (p-value < 0.001). The average time to obtain the segmentation and all measurements was 5.21 second per image. The cochlea scala tympani volume size ranged from 38.98 mm3 to 57.67 mm3 . The combined scala media and scala vestibuli volume size ranged from 34.98 mm 3 to 49.3 mm 3 . The overall volume size of the cochlea should range from 73.96 mm 3 to 106.97 mm 3 . The lateral wall length of scala tympani ranged from 42.93 mm to 47.19 mm. The organ-of-Corti length of scala tympani ranged from 31.11 mm to 34.08 mm. Using the A-value method, the lateral length of scala tympani ranged from 36.69 mm to 45.91 mm. The organ-of-Corti length of scala tympani ranged from 29.12 mm to 39.05 mm. The length from ACA2020 method can be visualised and has a well-defined endpoints. The ACA2020 method works on different modalities and different images despite the noise level or the resolution. In the other hand, the A-value method works neither on MRI nor noisy images. Hence, ACA2020 method may provide more reliable and accurate measurement than the A-value method. The source-code and the datasets are made publicly available to help reproduction and validation of my result.
In dieser wiederkehrenden Zeitschriftenreihe wollen wir die Arbeit junger Wissenschaftlerinnen und Wissenschaftler an der Universität Koblenz-Landau kommunizieren und Studierenden Austausch- und Publikationsmöglichkeiten für den wissenschaftlichen Werdegang eröffnen.
In dieser Ausgabe:
Julia Lellmann: An interdisciplinary research perspective on Holocaust perpetrators: Uniting historical and psychological approaches
Eva Barth: Auswirkungen des Geschlechts auf die Berufspraxis männlicher Pflegender im Kontext der Altenpflege: Eine Studie auf Grundlage von Experteninterviews mit männlichen Pflegekräften
Shabnam Ahmadshahi: Genderstereotype in deutschen Telenovelas aus sprachwissenschaftlicher Perspektive
Katharina Hoffmann: The Male Gaze: A Reading of Jonathan Glazer’s Under the Skin (2013) With the Help of Laura Mulvey’s ‘Male Gaze’ Theory as Postulated in “Visual Pleasures and Narrative Cinema”
Marie-Kristin Gutsche: Politeness in the English Language: Understanding Influences of Gender on Compliments and Apologies in the USA and Germany
Ida Germann: Action Recognition on Skeleton Sequences Using Graph Convolutional Neural Networks
In der Dissertation “Leben am und vom Rhein. Aspekte der Alltagsgeschichte in St. Goar und St. Goarshausen vom Späten Mittelalter bis zum Ende des 17. Jahrhunderts” untersucht der Autor Richard Lange die Historie “kleiner Leute” in zwei Städten am Mittelrhein.
Die Studie konzentriert sich dabei auf die Geschichte jener Berufe, die direkt vom Rhein abhängig waren, also in erster Linie auf das Zollpersonal, die Kranbediensteten sowie die Salmenfischer. Hinzu kommen einige weitere Berufszweige wie Treidler, Fährleute, Schiffsleute sowie Händler und Betreiber von Wirtshäusern.
Für all diese Gruppen wird, soweit anhand der Quellen möglich, der Alltag ihres Berufes nachgezeichnet. Auf diesem Wege wird versucht, das bunte Bild, das sich auf dem Rhein bisweilen bot, darzustellen und gleichzeitig aufzuzeigen, in welcher nicht zu unterschätzenden Weise der Rhein das ganze Leben in St. Goar und St. Goarshausen über die Jahrhunderte hinweg beeinflusste.
Over the past few decades, Single-Particle Analysis (SPA), in combination with cryo-transmission electron microscopy, has evolved into one of the leading technologies for structural analysis of biological macromolecules. It allows the investigation of biological structures in a close to native state at the molecular level. Within the last five years the achievable resolution of SPA surpassed 2°A and is now approaching atomic resolution, which so far has only been possible with Xray crystallography in a far from native environment. One remaining problem of Cryo-Electron Microscopy (cryo-EM) is the weak image contrast. Since the introduction of cryo-EM in the 1980s phase plates have been investigated as a potential tool to overcome these contrast limitations. Until now, technical problems and instrumental deficiencies have made the use of phase plates difficult; an automated workflow, crucial for the acquisition of 1000s of micrographs needed for SPA, was not possible. In this thesis, a new Zernike-type Phase Plate (PP) was developed and investigated. Freestanding metal films were used as a PP material to overcome the ageing and contamination problems of standard carbon-based PPs. Several experiments, evaluating and testing various metals, ended with iridium as the best-suited material. A thorough investigation of the properties of iridium PP followed in the second part of this thesis. One key outcome is a new operation mode, the rocking PP. By using this rocking-mode, fringing artifacts, another obstacle of Zernike PPs, could be solved. In the last part of this work, acquisition and reconstruction of SPA data of apoferritin was performed using the iridium PP in rocking-mode. A special semi-automated workflow for the acquisition of PP data was developed and tested. The recorded PP data was compared to an additional reference dataset without a PP, acquired following a conventional workflow.
The stands surveyed are among the last closed canopy forests in Rwanda. Their exploration began in the early twentieth century and is still ongoing. Previous studies were mainly concerned with plant sociological issues and presented references to environmental factors in anecdotal form, at best using indirect ordination methods. The present study undertakes a classification of the vegetation with numerical methods and establishes quantitative relationships of the species’ distributional structure to environmental parameters using spatially explicit procedures. For this purpose, 94 samples were taken in 100 m² hexagonal plots. Of these, 70 samples are from Nyungwe, 14 are from Gishwati, and 10 are from Cyamudongo. Given the homogeneity of the terrain and vegetation, all vegetation types encountered, all types of stands, and all vegetation strata were included. The beta diversity is expressed by an average Bray-Curtis dissimilarity of 0.92, and in JOST’S (2007) numbers equivalents, 37.90 equally likely samples would be needed to represent the diversity encountered. Within the survey, 1198 species in 127 families were collected. Among the specimens are 6 local endemics and 40 Albertine Rift endemics. Resulting from UPGMA and FCM-NC, 20 to 40 plant communities were established depending on the level of resolution. It can be inferred by means of a Mantel correlogram that the mean zone of influence of a single vegetation stand, as sampled by a 100 m² plot in Nyungwe Forest, ranges between 0.016 and 3.42 km. Of the communities compiled using FCM-NC and UPGMA, 50% consist of individual samples. Beyond undersampling, natural small-scale discontinuities are reflected by this result. Partial db-RDA resulted in an explained variation of 9.60% and 14.41% for environmental and soil factors, respectively. Utilising variation partitioning analyses based on CCA and tb-RDA, between 21.70% and 37.80% of the variation in vegetation data could be explained. The spatially structured fraction of these parameters accounts for between 30.50% and 49.80% of the explained variation (100%). The purely environmental parameters account for a share of 10.30% to 16.30%, whereby the lower limit originates from the unimodal approach and has lost its statistical significance. The soil variables, also after partial analysis, account for a share of 19.00% to 35.70%. While the residual impact of the climatic parameters is hardly significant, the effect of the soil properties is prevalent. In general, the spatially structured fraction of the parameters is predominant here. While on the broad-scale climatic factors, the altitude a.s.l. and the geology are determining factors, some soil parameters and matrix components also show their impacts here. In the mid-range of the scale, it is the forest matrix, the soil types, and the geology that determine species distribution. While in the fine range of the scale, some unrecorded parameters seem to have an effect, there are also neutral processes that determine species composition.
The protected areas of Rwanda are facing various challenges resulting from the anthropogenic activities of the surrounding communities especially in the adjacent area to Cyamudongo isolated rain forest, which results in climate change, soil degradation, and loss of biodiversity. Therefore, this study aims to broaden current knowledge on the impact of sustainable Agroforestry (AF) on the Carbon (C) stock and Biodiversity conservation on the surroundings of Cyamudongo isolated rain forest and Ruhande Arboretum.
To understand this, the permanent sample plots (PSPs) were established mainly in the designed four transects of four km long originating on the boundary of the Cyamudongo isolated rain forest following the slope gradient ranging from 1286 to 2015 m asl. A total number of 73 PSPs were established in the Cyamudongo study area while 3 PSPs were established in the Ruhande AF plot. The Arc Map GIS 10.4 was used to design and map the sampling areas while GPS was used for localization of collected items. Statistical significance was analyzed through the R-software especially for wood and soil variables while for biodiversity indicator species, MVSP Software 3.0 was used to determine the Shannon Diversity indices and similarities among species.
In this study, I have obtained comprehensive results demonstrating that in all study areas, the various AF tree species contribute differently to C stock and C sequestration and the amount of C stored and removed from the atmosphere depends on different factors such as tree species, plantation density, growth stage, or the age of establishment, applied management practices, wood specific density (WSD), wood C concentration, and climatic conditions. The estimated quantity of sequestrated C for 2 years and 34 years AF species were 13.11 t C ha -1 yr-1 (equivalent to 48 t CO2 ha -1 yr-1) and 6.85 t ha-1 yr-1 (equivalent to 25.1 t CO2 ha -1 yr-1) in Cyamudongo and Ruhande respectively. The estimated quantity of C stored by the Ruhande AF plot is 232.94 t ha-1. In Cyamudongo, the overall C stored by the AF systems was 823 t ha-1 by both young tree species established by the Cyamudongo Project (35.84 t ha-1) and C stored by existed AF species before the existence of the Project (787.12 t ha-1). In all study areas, the Grevillea robusta was found to contribute more to overall stored C compared to other species under this study.
The tests revealed differences in terms of nutrient contents (C, N, C: N ratio, K, Na, Ca, and Mg) for various AF tree species of Cyamudongo and Ruhande study areas. The differences in terms of correlation for various variables of AF tree species in different study areas varied with tree species, age, stage of growth, and tree shape. By comparing the correlation coefficients for various tree variables for young and mature AF tree species, the results showed a high correlation variability for young species than mature or old species recorded in different environmental conditions of Cyamudongo and Ruhande study areas.
The recorded soil pH mean value across in Cyamudongo study area is 4.2, which is very strongly acidic. The tests revealed that the soil pH, C, C: N ratio, OM, NH4+, NO3-+NO2-, PO43-, and CEC were significantly (P < 0.05) different in various soil depths whereas the N was not statistically significant. The pH, N, C: N ratio, CEC, NH4+, PO43-, and Al3+ showed a significant difference across land uses whereas the C and NO3-+NO2- did not show any statistical difference. All tested chemical elements showed a statistical difference as far as altitude ranges are concerned. The only NH4+, PO43-, and CEC showed significant differences with time whereas all other remaining chemical elements did not show any statistical significance. The bulk density of soil was statistically different across land uses and altitude ranges. The soil pH was very strongly correlated with CEC, Mg, and Ca in cropland (CL) whereas it was strongly correlated in both AF and natural forest (NF) except for Mg, which was moderately correlated in AF. Furthermore, its correlation with K was strong in CL, moderate in AF while it was weak in NF. Finally, the pH correlation with Na was weak in both AF and CL whereas it was negligible in NF. The overall estimated soil C stock of the study area was 16848 t ha -1.
The sustainable AF practices changed significantly the frequency of reptiles, amphibians, and flowering plants while there was no statistical change observed on ferns with time. In terms of species richness, 16 flowering plants, 14 ferns, 5 amphibians, and 3 reptiles were recorded and monitored. These findings add to a growing body of literature on the impact of AF on the C stock, soil improvement, and Biodiversity. It is recommended that further researches should be undertaken for the contribution of other AF tree species to the C stock found in the agricultural landscape around all protected areas of Rwanda and the impact on them on the soil and biodiversity.
Human population pressure increased with the population growth around the NNP and Cyamudongo with disturbance impacts on the forests isolating populations into fragments and today, Cyamudongo natural forest is located a way at a distance of at least 8.5 km horizontal distance to Nyungwe main block with a surface area estimated at 300 ha. Under Cyamudongo project implementation, there was a need to understand how the flora diversity responded to human imposed challenges and to forest restoration initiatives. Three physiognomic landscapes forest were identified and considered for three phases of vegetation survey in Cyamudongo and related to the closest area of Nyungwe main block. In this study, 15 transects were laid in each physiognomic forest landscape and 10 and 5 plots were set respectively in Cyamudongo and Gasumo study area. In total, 315 phytosociological relevés were performed and the Braun-Blanquet methods used for three times vegetation surveys. Species life-forms and chorophyte were evaluated and tree species dbh and height have been measured. Data were subjected to different statistical analyses using different softwares such as PAST, R 3.5.2, and SPSS. The mapping was done using Arc GIS and the Multi-Spectral Remote Sensing used to find NDVI for the vegetation classification.
NDVI trends showed that there has been fluctuations in vegetation classifications of the studied area. In this study, 494 vascular plant species from 106 families were harbored in the study area and distributed differently among forest landscapes and study phases. Although, 43.54% were common to Cyamudongo and Gasumo landscapes while 48.54 % of species diversity were hold only by Cyamudongo and 7.92% confined to Gasumo and 12 in total were found new records for Rwanda while several others suspected require detailed research for identification showing how the flora diversity of Cyamudongo is of special interest and extremely important for discoveries.
The finding of the study on diversity indices, the PCA, CA and the Cluster analysis, all statistical analyses (MANOVA, ANOVA) and life form spectra unanimously showed that the anthropogenic disturbance shaped the vegetation cover, the floristic composition, the species diversity, the forest landscapes community structure, the life form spectrum and the phytoclimate of Cyamudongo and Gasumo forest landscapes. Although, the vegetation analysis couldn’t clearly identify communities and sub-communities at the initial and final vegetation surveys and cluster groups were heterogeneous as well as overlapping and species associations not clearly defined due to the high level of similarities in species composition among forest landscapes and vegetation surveys. The species diversity was found high in secondary forest and Gasumo landscape forest and low in the primary forest and the buffer zone of Cyamudongo and the disturbance with gaps openings was found to be associated to the species diversity with a seasonal variation. The patterns of dbh for the buffer zone and of the size classes of all landscapes with an inverted ‘J’ indicated a healthy regeneration in the forest landscapes and tree species explained a good regeneration and recruitment capacity. Different shapes in the pattern of dbh with respectively an inverted ‘J’, ‘J ‘and ‘U’ for the buffer zone, primary and together the secondary and Gasumo forest landscapes indicated differences in the landscapes health and degree of regeneration and recruitment capacity.
Findings from differents measuements showed at which extend human activities have shaped the flora diversity and structure of forest landcapes studied. For instance, disturbances due human activities were daily oberved and trees were logged by neighboring communities such as Batwa populations at Cyamudongo and local populations at Gasumo. Some species were evenly observed targeted for their barks such as Ocotea usambarensis, Parinari excelsa for medicines and many others for their wood quality, fire wood collection and for agricultural purposes.
In the period of Cyamudongo project implementation, important achievements included the increase of forest biomass and therefore the photosynthetic capacity and the evapotranspiration potential that influence the rainfall regime; the regulation of weather conditions and then species diversity; supporting local communities and limiting human activities; raising awareness on conservation and protection of biodiversity and improving of living conditions of neighboring populations by providing paid employment and so to restore to the Cyamudongo forest ecosystem functions. Moreover, Cyamudongo forest remains vulnerable as surrounded by local communities with a high population pressure relying on forest resources for its survival. Cyamudongo harbors a high level of endemism and is a small hotspot for biodiversity conservation. It is therefore recommended to strengthen conservation and protection measures and continue the support of local communities.
Das Bulletin Esskulturen ist aus dem Verbundprojekt „Esskulturen. Objekte, Praktiken, Semantiken“ hervorgegangen, das im Rahmen der Förderlinie „Sprache der Objekte“ von September 2018 bis August 2021 vom Bundesministerium für Bildung und Forschung finanziert wird. In jeder Ausgabe bildet ein Objekt der Stiftung Bürgerliche Wohnkultur, Sammlung Alex Poignard (Landesmuseum Koblenz) den Ausgangspunkt für eine interdisziplinäre Auseinandersetzung mit unterschiedlichen soziokulturellen Fragen rund um das Thema Essen.
Speise-Räume. Atmosphäre und Ambiente,
Bulletin Esskulturen, 3. Jahrgang 2021, Mappe VII, Faszikel 37-42
Inhalt der Ausgabe
Jörg Hahn, „Mein Lieblingsessplatz“. Eine Unterrichtsreihe in einer sechsten Klasse des Wilhelm-Remy-Gymnasiums, Bendorf/Rhein
Mila Brill, Arcadia. Atmosphäre und Materialität in gastronomischen Zwischen-Räumen
Maria Mothes, Ambiguous Commensality. Die Tischgemeinschaft als mehrdeutiger Raum in Mohsin Hamids The Reluctant Fundamentalist
Manja Wilkens, Esszimmer im 19. Jahrhundert
Angela Kaupp, Refektorium – das Speisezimmer der Ordensgemeinschaft
Michaela Bauks, Wo lässt man es sich schmecken? Eine kleine Geschichte des Esszimmers
Impressum
Die bisherige Forschung zur Diagnosekompetenz hat trotz langjähriger Forschungstraditionen für die Praxis kaum relevante Befunde erbracht. Dies wurde in der vorliegenden Arbeit als Anlass für den Vorschlag genommen, diagnostische Kompetenz als reine Urteilsgenauigkeit, gemäß der Komponentenanalyse nach Cronbach (1955), zu erweitern. Mit der Einführung der Beobachtungskompetenz als einer weiteren Facette diagnostischer Kompetenz knüpft die vorliegende Studie zudem an der Forschung zu formativem Assessment an.
Die zentralen Fragen der Arbeit beziehen sich darauf, wie die beiden Facetten der diagnostischen Kompetenz Urteilsgenauigkeit und Beobachtungskompetenz von pädagogischen Fachkräften im Elementarbereich ausgeprägt sind, ob diese Facetten zusammenhängen und wie sie durch bereichsspezifische Fortbildungen und explizit durch verschiedene Fortbildungsansätze (Lehrgangs- vs. Lernwegsorientierung) verändert werden können. Untersucht wurden insgesamt 103 Erzieherinnen aus 21 Einrichtungen mit eigens für die Arbeit entwickelten Instrumenten (Fragebögen, Filmvignetten).
Zur Beantwortung der ersten Forschungsfrage, wie die bereichsspezifische diagnostische Kompetenz von Erzieherinnen hinsichtlich der Facetten Urteilsgenauigkeit und Beobachtungskompetenz ausgeprägt ist, zeigt sich, dass Erzieherinnen das Niveau ihrer Gruppe im Vergleich der Urteilsgenauigkeits-Komponenten am besten einschätzen können (Niveaukomponente), mit Tendenz zur Überschätzung. Auch die Wahrnehmung von Unterschieden zwischen den Kindern ihrer Gruppe gelingt ihnen gut (Personenkomponente), dabei neigen sie eher zu einer Überschätzung der Heterogenität. Wesentlich schwerer fällt es ihnen, spezifische Aufgabenschwierigkeiten im mathematischen Bereich korrekt einzuschätzen (Merkmalskomponente) und Unterschiede zwischen den Kindern im Hinblick auf einzelne Aufgaben (Wechselwirkungskomponente) zu beurteilen. Die Erzieherinnen sind jedoch sehr gut in der Lage, die Kinder entsprechend ihrer Leistungen in eine Rangreihenfolge zu bringen, wie es die Korrelationskomponente der Personenkomponente zeigt. Die Beobachtungskompetenz von Erzieherinnen zeigt sich in der Anzahl erkannter Fähigkeiten von Kindern während verschiedener Tätigkeiten mit mathematischem Bezug. Dabei wurde der Schwierigkeitsgrad der Beobachtung mittels Expertinneneinschätzung berücksichtigt. Die Erzieherinnen erkennen durchschnittlich die Hälfte der mathematischen Fähigkeiten von Kindern in verschiedenen komplexen Alltagssituationen bei mathematischen Tätigkeiten. Die zweite Forschungsfrage, ob es einen Zusammenhang zwischen der Urteilsgenauigkeit und der Beobachtungskompetenz gibt, kann klar beantwortet werden. Erwartungswidrig zeigt die vorliegende Untersuchung, dass die Facetten Urteilsgenauigkeit und Beobachtungskompetenz voneinander unabhängig sind. Damit konnte die Annahme, dass auf der einen Seite eine genaue summative Beurteilung auf einer Vielzahl kompetenter Einzelbeobachtungen beruht, auf der anderen Seite aber häufige gezielte Einzelbeobachtungen in ihrer Summe zu einem genaueren Gesamturteil führen, nicht bestätigt werden. Die dritte Forschungsfrage, ob eine bereichsspezifische Fortbildung von Erzieherinnen zur Verbesserung ihrer Urteilsgenauigkeit führt, muss verneint werden. Dagegen beeinflusst der Faktor Zeit (neun Monate zwischen Prä- und Posttest) die Fähigkeit der Erzieherinnen, Unterschiede zwischen den Kindern signifikant besser wahrzunehmen (Personenkomponente) und spezifische Aufgabenschwierigkeiten signifikant besser einzuschätzen (Merkmalskomponente). Damit verbessert sich auch die globale Urteilsgenauigkeit über die Zeit signifikant. Auf die Einschätzung des Leistungsniveaus der Gruppe (Niveaukomponente) sowie von Unterschieden zwischen den Kindern für einzelne Items (Wechselwirkungskomponente) hat jedoch auch der Faktor Zeit keinen signifikanten Einfluss.
Die vierte Forschungsfrage, ob die Unterschiede in der Veränderung der Urteilsgenauigkeit von Erzieherinnen davon abhängig sind, nach welchem Ansatz sie Kinder bereichsspezifisch fördern, lässt sich zusammenfassend verneinen. Die Art und Weise der bereichsspezifischen Förderung spielt keine Rolle für die Variabilität der Urteilsgenauigkeit von Erzieherinnen. Auch die Unterschiedlichkeit in den einzelnen Urteilsgenauigkeitskomponenten lässt sich nicht auf die Art der Fortbildung zurückführen.
Die fünfte Forschungsfrage, ob sich die Beobachtungskompetenz von Erzieherinnen durch eine bereichsspezifische Fortbildung beeinflussen lässt, kann aufgrund einer signifikanten Zunahme der Beobachtungskompetenz nach nur zwei Fortbildungstagen bejaht werden. Damit wird die These gestützt, dass eine Fortbildung zur bereichsspezifischen Förderung für eine gezielte und damit fokussiertere Wahrnehmung früher bereichsspezifischer Kompetenzen bedeutsam ist, selbst wenn sie nicht explizit auf diagnostische Kompetenz, sondern allgemein auf Förderung ausgerichtet ist
Die sechste Forschungsfrage zielt auf Veränderungen der Beobachtungskompetenz von Erzieherinnen in Abhängigkeit von Fortbildungen in verschiedenen bereichsspezifischen Förderansätzen ab. Für eine Zunahme der Beobachtungskompetenz, so zeigt sich, spielt der bereichsspezifische Ansatz, welcher der Fortbildung zugrunde gelegt ist, keine Rolle.
Die vorliegende Studie ist die erste Arbeit, die sowohl Beobachtungskompetenz (Forschung zu formativem Assessment) als auch Urteilsgenauigkeit (Accuracy-Forschung) anhand derselben Stichprobe untersucht. Trotz des im Ergebnis nicht nachgewiesenen Zusammenhangs zwischen Urteilsgenauigkeit und Beobachtungskompetenz stellt die Studie für die zukünftige Forschung bedeutsame Hinweise für die weitere Untersuchung der Facetten diagnostischer Kompetenz bereit.
Im Hinblick auf den frühpädagogischen Kontext zeigt die vorliegende Arbeit zum einen, dass ein ökologisch valides Treatment (Fortbildung) in einem Umfang von zwei Tagen implizit zu einer Verbesserung diagnostischer Kompetenzen führen kann. Zum anderen wird hier erstmalig im deutschsprachigen Raum die Messung der Urteilsgenauigkeit unter vollumfänglicher Erfüllung eines auf Hoge und Coladarci (1989) beruhenden Anforderungsprofils durchgeführt. Ein weiteres Alleinstellungsmerkmal dieser Studie ist die erstmals mit einer Mindestanzahl von vier Einschätzungen pro Erzieherin unter Berücksichtigung der Kontaktzeiten zwischen Erzieherinnen und Bezugskindern erfolgte Erhebung der Urteilsgenauigkeit von Erzieherinnen.
Climate change is an existential threat to human survival, the social organization of society, and the stability of ecosystems. It is thereby profoundly frightening. In the face of threat, people often want to protect themselves instead of engaging in mitigating behaviors. When psychological resources are insufficient to cope, people often respond with different forms of denial. In this dissertation, I contribute original knowledge to the understanding of the multifaceted phenomenon of climate denial from a psychological perspective.
There are four major gaps in the literature on climate denial: First, the spectrum of climate denial as a self-protective response to the climate crisis has not received attention within psychology. Second, basic psychological need satisfaction, a fundamental indicator of human functioning and the ability to cope with threat, has not been investigated as a predictor of climate denial. Third, relations of the spectrum of climate denial to climate-relevant emotions, specifically climate anxiety, have not been examined empirically. Forth, it has not been investigated how the spectrum of climate denial relates to established predictors of climate denial, namely right-wing ideological convictions and male gender. To address those gaps, I investigate what the spectrum of climate denial looks like in the German context and how it relates to basic psychological need satisfaction and frustration, pro-environmental behavior, climate anxiety, ideological conviction, and gender.
Five manuscripts reveal that climate denial exists on a spectrum in the German context, ranging from the distortion of facts (interpretive climate denial, specifically denial of personal and global outcome severity) to the denial of the implications of climate change (implicatory climate denial, specifically avoidance, denial of guilt, and rationalization of one's own involvement). Across analyses, low basic psychological need satisfaction predicted the spectrum of climate denial, which was negatively related to pro-environmental behavior. Climate denial was generally negatively related to climate anxiety, except for a positive association of avoidance and climate anxiety. Right-wing ideological conviction was the strongest predictor of climate denial across the spectrum. However, low need satisfaction and male gender were additional weaker predictors of implicatory climate denial.
These findings suggest that the spectrum of climate denial serves many psychological functions. Climate denial is possibly both a self-protective strategy to downregulate emotions and to protect oneself from loss of privilege. In short, it represents a barrier to climate action that may only be resolved once people have sufficient psychological resources to face the threat of climate change and cope with their underlying self-protective, emotional responses.
Content and Language Integrated Learning (CLIL) has experienced growing importance in the last decades and an increasing number of schools have already implemented CLIL programmes or are planning to do so. Though the potentials of CLIL programmes are widely praised, first research results also raise doubts if CLIL students can live up to these high expectations. Both Fehling (2005) as well as Rumlich (2013; 2016), for example, found that CLIL programmes not inevitably show the expected results but that the CLIL students’ success might also be at least partially explained by other influences, such as the selection process of future CLIL students. Hence, CLIL students apparently fall short of the high expectations that are usually connected to the respective CLIL programmes and as this is mainly based on the unsatisfactory quality of these programmes, Rumlich concludes that “it is now high time to focus on the quality of CLIL provision” (Rumlich 2016: 452). He continues to explain that “the promises of CLIL do not materialise automatically owing to the fact that another language is used for learning in a non-language subject” (Rumlich 2016: 452). It must be assumed that the success of CLIL teaching also highly depends on the quality of the CLIL teachers.
In contrast to the continuously growing number of CLIL schools, however, the number of specifically trained CLIL teachers is comparably small. In Germany, CLIL teachers are not (yet) required to attend any special training in order to teach in a CLIL programme. Notwithstanding, is it sufficient for a CLIL teacher only to be trained in the content subject and the foreign language? Or does CLIL teaching require more than the sum of these two components? Do CLIL teachers need additional teaching competences to the ones of a content and a language teacher? In the light of the recent findings of CLIL programmes falling short of the high expectations, the answer to these questions must clearly be “Yes”. Hence, in order to appropriately train (future) CLIL teachers, special training programmes need to be developed which consider the teachers’ individual educational backgrounds, i.e. their qualifications as language and/or as content teachers and build up on these competences through adding the CLIL-specific teaching competences.
Therefore, this thesis aims at developing a German Framework for CLIL Teacher Education, which considers both the already published, theory-based standards of CLIL teacher education as well as the practical perspective of experienced CLIL teachers in Germany. This German Framework for CLIL Teacher Education classifies the different teaching competences, which are derived from integrating the theoretical and the practical perspective on CLIL teacher education, with regard to the three different competence areas, i.e. the general teaching competence, the language teaching competence and the subject teaching competence and is hence adaptable to different CLIL settings and educational backgrounds. In addition to developing this German Framework for CLIL Teacher Education, which provides the content of future CLIL teacher education programmes, this thesis discusses different forms of structurally implementing CLIL teacher education programmes in the existing structures of teacher education in Germany. This is achieved through analysing the current state of the art of CLIL teacher education at German universities and systematising the different forms of implementing these training programmes in the prevailing educational structures. Building on these first two steps, in the third and final step, this thesis develops a CLIL teacher education programme at a German university that is based on the results and elements of the German Framework for CLIL Teacher Education as well as the state of the art of CLIL teacher education in Germany. Thus, this thesis is allocated at the intersection between foreign language teaching as well as teacher education and is structured in eleven chapters.
Speziell in Anwendungen mit intensiver Temperatur- und Korrosionsbeanspruchung finden vermehrt Phosphate als sogenannte chemische Binder für Hochleistungskeramiken Verwendung. Konkret ist die Summe der Reaktionsverläufe während des Bindemechanismus in Folge einer thermisch-induzierten Aushärtung und somit die Wirkungsweise von Phosphatbindern prinzipiell innerhalb der Fachliteratur nicht eindeutig untersucht. Innerhalb dieser Arbeit wurden aufbauend auf einer umfangreichen strukturanalytischen Prüfungsanordnung (Festkörper-NMR, RBA, REM-EDX) einer exemplarischen phosphatgebundenen Al₂O₃-MgAl₂O₄-Hochtemperaturkeramikzusammensetzung unter Einbeziehung verschiedenartiger anorganischer Phosphate grundlegende Bindemechanismen charakterisiert. Mechanisch-physikochemische Eigenschaftsuntersuchungen (STA, Dilatometrie, DMA, KBF) deckten zudem den Einfluss der eingesetzten Phosphate auf die Eigenschaftsentwicklungen der Feuerfestkeramiken bezüglich des Abbindeverhaltens, der Biegefestigkeit sowie der thermischen Längenänderung auf, welche mit Strukturänderungen korreliert wurden. Es wurde gezeigt, dass sich Bindemechanismen bei Verwendung von Phosphaten temperaturgeleitet (20 °C ≤ T ≤ 1500 °C) grundsätzlich aus zwei parallel ablaufenden Reaktionsabfolgen zusammensetzen, wobei die sich entwickelnden Phosphatphasen innerhalb der Keramikmasse quantitativ und qualitativ bezüglich ihrer Bindewirkung bewertet wurden. Zum einen wurde die Bildung eines festigkeitssteigernden Bindenetzwerks aus Aluminiumphosphaten meist amorpher Struktur identifiziert und charakterisiert. Dieses bindungsfördernde, dreidimensionale Aluminiumphosphatnetzwerk baut sich innerhalb der Initialisierungs- und Vernetzungsphasen temperaturgeleitet kontinuierlich über multiple Vernetzungsreaktionen homogen auf. Zum anderen werden Reaktionsabfolgen durch parallel ablaufende Strukturumwandlungen nicht aktiv-bindender Phosphatspezies wie Magnesium-, Calcium- oder Zirkoniumphosphate ergänzt, welche lediglich thermische Umwandlungsreaktionen der Ausgangsphosphate darstellen. Vermehrt bei T > 800 °C geht das phosphatische Bindenetzwerk Festkörperreaktionen mit MgAl₂O₄ unter Ausbildung und Agglomeration von Magnesium-Orthophosphat-Sinterstrukturen ein. Die Bildung dieser niedrigschmelzenden Hochtemperaturphasen führt zu einem teilweisen Bruch des Bindenetzwerks.
SUMMARY
Buildings and infrastructures characterize the appearance of our cultural landscapes and provide essential services for the human society. However, they inevitably impact the natural environment e.g. by the structural change of habitats. Additionally, they potentially cause further negative environmental impacts due to the release of chemical substances from construction materials. Galvanic anodes and organic coatings regularly used for corrosion protection of steel structures are building materials of particular importance for the transport infrastructure. In direct contact with a water body or indirectly via the runoff after rainfall, numerous chemicals can be released into the environment and pose a risk to aquatic organisms. Up to now, there is no uniform investigation and evaluation approach for the assessment of the environmental compatibility of building products. Furthermore, galvanic anodes and organic coatings pose particular challenges for their ecotoxicological characterization due to their composition. Therefore, the objective of the presented thesis was the ecotoxicological assessment of emissions from galvanic anodes and protective coatings as well as the development of standardized assessment procedures for these materials.
The possible environmental hazard posed by the use of anodes on offshore installations was investigated on three trophic levels. To ensure a realistic and reliable evaluation, the experiments were carried out in natural seawater and under natural pH conditions. Moreover, the anode material and its main components zinc and aluminum were exposed while simulating a worst-case scenario. The anode material examined caused a weak inhibition of algae growth; no acute toxicity was observed on the luminescent bacteria and amphipods. However, an increase of aluminum and indium levels in the crustacean species was found. On the basis of these results, no direct threat has been identified for marine organisms from the use of galvanic aluminum anodes. However, an accumulation of metals in crustaceans and a resulting entry into the marine food web cannot be excluded.
The environmental compatibility of organic coating systems was exemplarily evaluated using a selection of relevant products based on epoxy resins (EP) and polyurethanes. For this purpose, coated test plates were dynamically leached over 64 days. The eluates obtained were systematically analyzed for their ecotoxicological effects (acute toxicity to algae and luminescent bacteria, mutagenic and estrogenic effects) and their chemical composition. In particular, the EP-based coatings caused significant bacterial toxicity and estrogen-like effects. The continuously released 4-tert-butylphenol was identified as a main contributor to these effects and was quantified in concentrations exceeding the predicted no effect concentration for freshwater in all samples. Interestingly, the overall toxicity was not governed by the content of 4-tert-butylphenol in the products but rather by the release mechanism of this compound from the investigated polymers. This finding indicates that an optimization of the composition can result in the reduction of emissions and thus of environmental impacts - possibly due to a better polymerization of the compounds.
Coatings for corrosion protection are exposed to rain, changes in temperature and sun light leading to a weathering of the polymer. To determine the influence of light-induced aging on the ecotoxicity of top coatings, the emissions and associated adverse effects of UV-irradiated and untreated EP-based products were compared. To that end, the investigation of static leachates was focused on estrogenicity and bacterial toxicity, which were detected in the classic microtiter plate format and in combination with thin-layer plates. Both materials examined showed a significant decrease of the ecotoxicological effects after irradiation with a simultaneous reduction of the 4-tert-butylphenol emission. However, bisphenol A and various structural analogues were detected as photolytic degradation products of the polymers, which also contributed to the observed effects. In this context, the identification of bioactive compounds was supported by the successful combination of in-vitro bioassays with chemical analysis by means of an effect-directed analysis. The presented findings provide important information to assess the general suitability of top coatings based on epoxy resins.
Within the scope of the present study, an investigation concept was developed and successfully applied to a selection of relevant construction materials. The adaptation of single standard methods allowed an individual evaluation of these products. At the same time, the suitability of the ecotoxicological methods used for the investigation of materials of unknown and complex composition was confirmed and the basis for a systematic assessment of the environmental compatibility of corrosion protection products was created. Against the background of the European Construction Products Regulation, the chosen approach can facilitate the selection of environmentally friendly products and contributes to the optimization of individual formulations by the simple comparison of different building materials e.g. within a product group.
Rudolf Virchows Vorstellungen von einer human-bürgerlichen Krankenpflege in der Zeit des preußischen Kulturkampfes
Über die Auseinandersetzungen im Preußischen Haus der Abgeordneten zwischen Rudolf Virchow, dem Kultusministerium und der Zentrumspartei über die katholischen Kranken-pflegeorden – von Hilmar Conrad
Der Mediziner und liberale Abgeordnete des Preußischen Hauses der Abgeordneten Rudolf Virchow ist vielen bekannt für den Satz „‹Omnis cellula e cellula›“1, aus seinem Werk ‚Die Zellularpathologie‘. Er wies mit diesem Lehrsatz und der zugrundeliegenden Forschung nach, dass Zellen in Morphologie und Funktion die kleinste Einheit des menschlichen Körpers sind.2 Der spätere Medizinprofessor wurde am 13. Oktober 1821 in Schivelbein geboren und verstarb am 5. September 1902 in Berlin. Das Jahr 1848 ist in zweierlei Hinsicht als Schicksalsjahr für Virchow zu betrachten. Er war in dieser Zeit Militärarzt und wurde in diesem Winter 1847/48 von der preußischen Regierung nach Ober-schlesien entsendet, wo eine Typhus-Epidemie wütete. Sein Auftrag war die wissenschaftliche Analyse der Geschehnisse. An seinem 80. Geburtstag sagte er über diese Reise: „Jene 16 Tage in Oberschlesien, 1848, waren das entscheidende Ereignis meines Lebens.“3 Es war Revolution in Berlin und dort zurück, nahm er an den Kämpfen für Demokratie teil.4 Im Bericht über seine Reise schlussfolgerte er, dass zur Prävention einer solchen Seuche in Oberschlesien Demokratisierung und Bildung für die Bevölkerung notwendig seien – das war der Beginn der Sozialmedizin. Ab 1859 war er Berliner Stadtverordneter und ab 1861 Mitglied des Preußischen Abgeordnetenhauses für die linksliberale Deutsche Fortschrittspartei, die er zusammen mit Mitstreitern gegründet hatte. Von 1880 bis 1893 war er Abgeordneter im Deutschen Reichstag.5 Für ihn war „[d]ie Medizin […] eine soziale Wissenschaft, und die Politik ist weiter nichts als Medizin im Großen.“6
Was diese Person also so spannend macht, ist, dass sie gleich zwei relevanten Gruppen angehörte, welche einflussreich über die Krankenpflege sprachen: die der Politik und die der Ärzte.
Rudolf Virchow forderte am 9. November 1869 auf dem Kongress der deutschen Frauenvereine in Berlin eine Pflege, die sich außerhalb der Kirchen organisieren solle:
„Organisiren wir ganz und gar ausserhalb der kirchlichen Organisation, organisiren wir ganz innerhalb der bürgerlichen Gesellschaft als solcher, nach rein menschlichen Aufgaben, ohne irgend einen weiteren Nebenzweck.“7
Was Virchow hier forderte ist eine Hinwendung zum ‚Humanen‘8, wie er es nannte und auch in mehreren Debatten im Abgeordnetenhaus erläuterte. Dies überrascht nicht, war er doch maßgeblich am Kulturkampf im Parlament beteiligt und ein vehementer Verfechter der Säkularisierung.9 Das wissenschaftlich relevante Problem an dieser Stelle ist Virchows zentrale Äußerungen über die Krankenpflege im Kontext der geführten Debatten im Preußischen Abgeordnetenhaus darzustellen. Die wissenschaftliche Literatur geht hierbei, nur sehr oberflächlich auf das vor- und hinterher Gesagte ein, obwohl es sich um Debatten handelt. Und hier zeigt sich auch die Relevanz der Arbeit. Natürlich liegt das Interesse darauf, Virchows Vorstellungen über die Krankenpflege anhand seiner Beiträge im Preußischen Haus der Abgeordneten nachzuvollziehen, aber eben auch nachzuzeichnen, wie sich die gesamten Debatten um die Krankenpflege, in denen sich Virchow bewegte, zugetragen hatten.
Demnach ist das Erkenntnisinteresse dieser Arbeit herauszuarbeiten, welche Ansichten Rudolf Virchow über die Krankenpflege seiner Zeit hatte, wie er sie im Preußischen Haus der Abgeordneten verteidigte, wie sich die Ansichten seiner politischen Gegner und der preußischen Regierung dazu verhielten sowie daraus folgend, wie die Debatten über die Krankenpflege im Preußischen Abgeordnetenhaus verliefen.
1 Virchow, zit. n. Schipperges (1994): Rudolf Virchow, S. 58.
2 Schipperges (2008): Virchow, Rudolf (Ludwig Carl), S. 257.
3 Andree (2006): Rudolf Virchow (1821–1902) im Spannungsfeld von Glauben, Kirche und Staat, S. 99.
4 Vgl. ebd., S. 99–100.
5 Vgl. Schipperges (2008): Virchow, Rudolf (Ludwig Carl), S. 257–258.
6 Schipperges (1994): Rudolf Virchow, S. 113. Im Original kursiv.
7 Virchow (1879): Die berufsmässige Ausbildung zur Krankenpflege, auch ausserhalb der kirchlichen Organisationen, S. 49. Im Original gesperrt.
8 Vgl. Virchow (1875): Rede im Preußischen Abgeordnetenhaus, Berlin. 8. Mai 1875, S. 207.
9 Vgl. Virchow (1873): Rede im Preußischen Abgeordnetenhaus, Berlin. 17. Januar 1873, S. 359.
Connected vehicles will have a tremendous impact on tomorrow’s mobility solutions. Such systems will heavily rely on information delivery in time to ensure the functional reliability, security and safety. However, the host-centric communication model of today’s networks questions efficient data dissemination in a scale, especially in networks characterized by a high degree of mobility. The Information-Centric Networking (ICN) paradigm has evolved as a promising candidate for the next generation of network architectures. Based on a loosely coupled communication model, the in-network processing and caching capabilities of ICNs are promising to solve the challenges set by connected vehicular systems. In such networks, a special class of caching strategies which take action by placing a consumer’s anticipated content actively at the right network nodes in time are promising to reduce the data delivery time. This thesis contributes to the research in active placement strategies in information-centric and computation-centric vehicle networks for providing dynamic access to content and computation results. By analyzing different vehicular applications and their requirements, novel caching strategies are developed in order to reduce the time of content retrieval. The caching strategies are compared and evaluated against the state-of-the-art in both extensive simulations as well as real world deployments. The results are showing performance improvements by increasing the content retrieval (availability of specific data increased up to 35% compared to state-of-the-art caching strategies), and reducing the delivery times (roughly double the number of data retrieval from neighboring nodes). However, storing content actively in connected vehicle networks raises questions regarding security and privacy. In the second part of the thesis, an access control framework for information-centric connected vehicles is presented. Finally, open security issues and research directions in executing computations at the edge of connected vehicle networks are presented.