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Institute
- Fachbereich 7 (93)
- Fachbereich 8 (47)
- Institut für Informatik (35)
- Institut für Integrierte Naturwissenschaften, Abt. Biologie (29)
- Institut für Umweltwissenschaften (23)
- Institut für Integrierte Naturwissenschaften, Abt. Chemie (22)
- Fachbereich 5 (20)
- Institut für Computervisualistik (18)
- Institut für Integrierte Naturwissenschaften, Abt. Physik (13)
- Institut für Pädagogik, Abteilung Pädagogik (13)
Die vorliegende Dissertation hat sich unter dem Titel >>„Woher soll ich denn vorher wissen, ob ich den Job liebe?“ – Eine qualitative Längsschnitt-Studie zur Differenzierung der Phasenstruktur vorliegender Modelle beruflicher Orientierung anhand von Jugendlichen aus drei kontrastierenden institutionellen Ausgangslagen<< dem Erkenntnisinteresse gewidmet, Modelle zur beruflichen Orientierung anhand eines ethnografischen Zugangs aus der Perspektive unterschiedlicher institutioneller Settngs weiterzuentwickeln, um der Komplexität gegenwärtiger Lebenswelten besser gerecht zu werden. Dabei wurde unter Betrachtung von Berufsorientierungsaspekten als Forschungsgegenstand sowie unter Betrachtung der Gestalt der Berufsorientierung als Forschungsfeld der Fragestellung nachgegangen, inwiefern sich das in der Debatte zentrale Sechs-Phasenmodell der Berufswahl nach Herzog et. al. (2006) im Licht ethnografischer Forschung, welche die Perspektiven Jugendlicher eines allgemeinbildenden Gymnasiums, eines beruflichen Gymnasiums sowie eines Freiwilligen Sozialen Jahres umfasst, ausdifferenzieren lässt. Dabei wurde die Grounded Theory-Methodologie als Forschungsstil zugrunde gelegt, der wiederum im Rahmen der Datenerhebung die Ethnografie, im Rahmen der Datenanalyse die Grounded Theory untergeordnet wurde.
Als zentrales Untersuchungsergebnis lässt sich zum einen aufführen, dass das bestehende Berufswahlmodell deutlich modifiziert, ausdifferenziert und folglich erweitert werden konnte. Mit dieser Erweiterung ist eine Spezifikation dahingehend verbunden, dass viele Komponenten und Ebenen hinzugekommen sind, die bei dem ursprünglichen Modell nicht bedacht waren, im Gegenzug jedoch auch solche Komponenten gestrichen und als irrelevant deklariert wurden, die sich anhand der Untersuchungsdaten nicht zu bestätigen wussten. So konnte ein Neun-Phasenmodell der Berufsorientierung in Gestalt eines Ablaufdiagramms
entstehen, das den Prozessverlauf beruflicher Orientierung anschaulich in Phasen eingebettet darzustellen vermag. Dabei ist es gelungen, das Modell derart auszugestalten, dass es institutionsübergreifend anwendbar und nicht lediglich auf eine bestimmte institutionelle Ausgangslage beschränkt ist. Zum anderen kann statuiert werden, dass das vorliegende neunphasige Modell vor allem Phasen der Orientierungslosigkeit und der Desorientierung, des Entscheidungsaufschubs, der Überprüfung und der Überbrückung sowie der Um- und Neuorientierung explizit zu nutzen weiß, um diejenigen Situationen zu berücksichtigen, die den beruflichen Orientierungsprozess der Untersuchungsteilnehmenden aus allen drei
institutionellen Ausgangslagen maßgeblich geprägt haben.
The goal of this PhD thesis is to investigate possibilities of using symbol elimination for solving problems over complex theories and analyze the applicability of such uniform approaches in different areas of application, such as verification, knowledge representation and graph theory. In the thesis we propose an approach to symbol elimination in complex theories that follows the general idea of combining hierarchical reasoning with symbol elimination in standard theories. We analyze how this general approach can be specialized and used in different areas of application.
In the verification of parametric systems it is important to prove that certain safety properties hold. This can be done by showing that a property is an inductive invariant of the system, i.e. it holds in the initial state of the system and is invariant under updates of the system. Sometimes this is not the case for the condition itself, but for a stronger condition it is. In this thesis we propose a method for goal-directed invariant strengthening.
In knowledge representation we often have to deal with huge ontologies. Combining two ontologies usually leads to new consequences, some of which may be false or undesired. We are interested in finding explanations for such unwanted consequences. For this we propose a method for computing interpolants in the description logics EL and EL⁺, based on a translation to the theory of semilattices with monotone operators and a certain form of interpolation in this theory.
In wireless network theory one often deals with classes of geometric graphs in which the existence or non-existence of an edge between two vertices in a graph relies on properties on their distances to other nodes. One possibility to prove properties of those graphs or to analyze relations between the graph classes is to prove or disprove that one graph class is contained in the other. In this thesis we propose a method for checking inclusions between geometric graph classes.
In international business relationships, such as international railway operations, large amounts of data can be exchanged among the parties involved. For the exchange of such data, a limited risk of being cheated by another party, e.g., by being provided with fake data, as well as reasonable cost and a foreseeable benefit, is expected. As the exchanged data can be used to make critical business decisions, there is a high incentive for one party to manipulate the data in its favor. To prevent this type of manipulation, mechanisms exist to ensure the integrity and authenticity of the data. In combination with a fair exchange protocol, it can be ensured that the integrity and authenticity of this data is maintained even when it is exchanged with another party. At the same time, such a protocol ensures that the exchange of data only takes place in conjunction with the agreed compensation, such as a payment, and that the payment is only made if the integrity and authenticity of the data is ensured as previously agreed. However, in order to be able to guarantee fairness, a fair exchange protocol must involve a trusted third party. To avoid fraud by a single centralized party acting as a trusted third party, current research proposes decentralizing the trusted third party, e.g., by using a distributed ledger based fair exchange protocol. However, for assessing the fairness of such an exchange, state-of-the-art approaches neglect costs arising for the parties conducting the fair exchange. This can result in a violation of the outlined expectation of reasonable cost, especially when distributed ledgers are involved, which are typically associated with non-negligible costs. Furthermore, the performance of typical distributed ledger-based fair exchange protocols is limited, posing an obstacle to widespread adoption.
To overcome the challenges, in this thesis, we introduce the foundation for a data exchange platform allowing for a fully decentralized fair data exchange with reasonable cost and performance. As a theoretical foundation, we introduce the concept of cost fairness, which considers cost for the fairness assessment by requesting that a party following the fair exchange protocol never suffers any unilateral disadvantages. We prove that cost fairness cannot be achieved using typical public distributed ledgers but requires customized distributed ledger instances, which usually lack complete decentralization. However, we show that the highest unilateral cost are caused by a grieving attack.
To allow fair data exchanges to be conducted with reasonable cost and performance, we introduce FairSCE, a distributed ledger-based fair exchange protocol using distributed ledger state channels and incorporating a mechanism to protect against grieving attacks, reducing the possible unilateral cost that have to be covered to a minimum. Based on our evaluation of FairSCE, the worst-case cost for data exchange, even in the presence of malicious parties, is known, which allows an estimate of the possible benefit and, thus, the preliminary estimate of economic utility. Furthermore, to allow for an unambiguous assessment of the correct data being transferred while still allowing for sensitive parts of the data to be masked, we introduce an approach for the hashing of hierarchically structured data, which can be used to ensure integrity and authenticity of the data being transferred.
Degenerative changes in the spine as well as back pain can be considered a common ailment. Incorrect loading of the lumbar spine structures is often considered as one of the factors that can accelerate degenerative processes, leading to back pain. For example, a degenerative change could be the occurrence of spinal stenosis following spondylolisthesis. Surgical treatment of spinal stenosis mainly focuses on decompressing the spinal canal with or without additional fusion through dorsal spondylodesis. There are differing opinions on whether fusion along with decompression provides potential benefits to patients or represents an overtreatment. Both conventional therapies and surgical methods aim to restore a “healthy” (or at least pain-free) distribution of load. Surprisingly little is known about the interindividual variability of load distribution in “healthy” lumbar spines. Since medical imaging does not provide information on internal forces, computer simulation of individual patients could be a tool to gain a set of new decision criteria for these cases. The advantage lies in calculating the internal load distribution, which is not feasible in in-vivo studies, as measurements of internal forces in living subjects are ethically and partially technically unfeasible. In the present research, the forward dynamic approach is used to calculate load distribution in multi-body models of individual lumbar spines. The work is structured into three parts: (I) Load distribution is quantified depending on the individual curvature of the lumbar spine. (II) Confidence intervals of the instantaneous center of rotation over time are determined, with which the motion behavior of healthy lumbar spines can be described. (III) Lastly, the effects of decompression surgeries on the load distribution of lumbar spines are determined.
The biodegradable polymers polylactic acid (PLA) and polyhydroxybutyrate (PHB) produced from renewable raw materials were coated with hydrogenated amorphous carbon layers (a-C:H) at different deposition angles with various thicknesses as part of this thesis. Similar to conventional polymers, biopolymers often have unsuitable surface properties for industrial purposes, e.g. low hardness. For some applications, it is therefore necessary and advantageous to modify the surface properties of biopolymers while retaining the main properties of the substrate material. A suitable surface modification is the deposition of thin a-C:H layers. Their properties depend essentially on the sp² and sp³ hybridization ratio of the carbon atoms and the content of hydrogen atoms. The sp²/sp³ ratio was to be controlled in the present work by varying the coating geometry. Since coatings at 0°, directly in front of the plasma source, contain a higher percentage of sp³ and indirectly coated (180°) a higher amount of sp², it is shown in this work that it is possible to control the sp²/sp³ ratio. For this purpose, the samples are placed in front of the plasma source at angles of 0, 30, 60, 90, 120, 150 and 180° and coated for 2.5, 5.0, 7.5 and 10.0 minutes. For the angles 0°, the layer thicknesses were 25, 50, 75 and 100 nm. The a-C:H layers were all deposited using radio-frequency plasma-enhanced chemical vapor deposition and acetylene as C and H sources after being pretreated with an oxygen plasma for 10 minutes. Following the O₂ treatment and the a-C:H deposition, the surfaces are examined using macroscopic and microscopic measurement methods and the data is then analyzed. The surface morphology is recorded using scanning electron microscopy and atomic force microscopy. In addition, data on the stability of the layer and the surface roughness can be collected. Contact angle (CA) measurements are used to determine not only the wettability, but also the contact angle hysteresis by pumping the drop volume up and down. By measuring the CA with different liquids and comparing them, the surface free energy (SFE) and its polar and disperse components are determined. The changes in barrier properties are verified by water vapor transmission rate tests (WVTR). The chemical analysis of the surface is carried out on the one hand by Fourier transform infrared spectroscopy with specular reflection and on the other hand by synchrotron-supported techniques such as near-edge X-ray absorption fine structure and X-ray photoelectron spectroscopy. When analyzing the surfaces after the O₂ treatment, which was initially assumed to serve only to clean and activate the surface for the a-C:H coating, it was found that the changes were more drastic than originally assumed. For example, if PLA is treated at 0° for 10 minutes, the roughness increases fivefold. As the angle increases, it decreases again until it returns to the initial value at 180°. This can be recognized to a lesser extent with PHB at 30°. For both polymers, it can be shown that the polar fraction of the SFE increases. In the WVTR, a decrease in permeability can be observed for PLA and an increase in the initial value for PHB. The chemical surface analysis shows that the O₂ treatment has little effect on the surface bonds. Overall, it can be shown in this work that the O₂ treatment has an effect on the properties of the surface and cannot be regarded exclusively as a cleaning and activation process. With direct a-C:H coating (at 0°), a layer failure due to internal stress can be observed for both PLA and PHB. This also occurs with PHB at 30°, but to a lesser extent. Permeability of the polymers is reduced by 47% with a five-minute coating and the layer at 10.0 minutes continues to have this effect despite cracks appearing. The application of a-C:H layers shows a dominance of sp³ bonds for both polymer types with direct coating. This decreases with increasing angle and sp² bonds become dominant for indirect coatings. This result is similar for all coating thicknesses, only the angle at which the change of the dominant bond takes place is different. It is shown that it is possible to control the surface properties by an angle-dependent coating and thus to control the ratio sp²/sp³.
How to begin? This short question addresses a problem that is anything but simple, especially when regarding something as sophisticated and multilayered as musical theatre. However, scholars of this vast research area have mostly neglected this question so far. This study analyses and compares the initial sections of late Victorian popular musical theatre and is therefore a contribution to several fields of research: the analysis of initial sections of musical theatre in general, the analysis of the music of popular musical theatre in particular, and therefore operetta studies. The 1890s are especially interesting times for popular musical theatre in London: The premiered works include the last collaborations of Gilbert and Sullivan as well as offshoots of Savoy opera; but the so-called ‘naughty nineties’ also saw the emergence of a new genre, musical comedy, which captured the late Victorian zeitgeist like no other. This new form of theatrical entertainment was carefully and consciously constructed and promoted as modern and fashionable, walking a fine line between respectability and mildly risqué excitement.
Because a deep understanding of the developments and new tendencies concerning popular musical theatre in the 1890s is crucial in order to interpret differences as well as similarities, the analyses of the opening numbers are preceded by a detailed discussion of the relevant genres: comic opera, musical comedy, musical play and operetta. Since the producers of the analysed works wanted to distance themselves from former and supposedly old-fashioned traditions, this book also considers influences from their British predecessors, but also from Viennese operetta and French opéra bouffe.
Nanoparticles are sensitive and robust systems; they are particularly reactive due to their large surface area and have properties that the bulk material does not have. At the same time, the production of nanoparticles is challenging, because even with the same parameters and conditions, the parameters can vary slightly from run to run. In order to avoid this, this work aims to develop a continuous synthesis in the microjet reactor for nanoceria. The aim is to obtain monodisperse nanoparticles that can be used in biosensors.
This work focuses on two precipitation syntheses with the intermediate steps of cerium carbonate and cerium hydroxide, as well as a microemulsion synthesis for the production of nanoceria. The cerium oxide nanoparticles are compared using different characterisation and application methods. The synthesised nanoparticles will be characterised with respect to their size, stability, chemical composition and catalytic capabilities, by electron microscopy, X-ray diffraction, Raman spectroscopy and photoelectron spectroscopy.
The biosensor systems to evaluate the nanoceria are designed to detect histamine and glucose or hydrogen peroxide, which are resulting from the oxidation of histamine and glucose. Hydrogen peroxide and glucose are detected by an electrochemical sensor and histamine by a colorimetric sensor system.
In der vorliegenden Dissertation mit dem Titel "Blickanalysen bei mentalen Rotationsaufgaben" wird eine Analyse der visuellen Verarbeitungsprozesse bei mentalen Rotationsaufgaben mittels Eye-Tracking-Technologie durchgeführt, um die zugrundeliegenden kognitiven Prozesse und Strategien, die bei der Lösung dieser Aufgaben angewandt werden, zu untersuchen. Ein Anliegen dieser Arbeit ist es, die Problemstellung zu adressieren, wie individuelle Unterschiede, insbesondere geschlechtsspezifische Differenzen in den Blickmustern, die visuelle Verarbeitung und Leistung bei mentalen Rotationsaufgaben beeinflussen. Hierzu wurden drei Studien durchgeführt, die nicht nur die Identifikation von Blickmustern und die Analyse der Leistungsunterschiede in Bezug auf Geschlecht umfassen, sondern auch die Korrelation zwischen Blickverhalten und Leistung untersuchen. Die Ergebnisse dieser Forschung bieten Einblicke in die Mechanismen der visuellen und kognitiven Verarbeitung bei mentalen Rotationsaufgaben und heben die Bedeutung des Eye-Tracking als Forschungsinstrument in der kognitiven Psychologie hervor, um ein umfassendes Verständnis der Einflussfaktoren auf räumliches Denken und Problemlösungsstrategien zu erlangen.
Classical music has played a central role in German music education since at least the second half of the 20th century. However, in more recent music pedagogical discourse, classical music remains a controversial topic. But what do music teachers think about classical music as a subject for music education? This topic has not yet been systematically researched in German-speaking music education.
In this qualitative-empirical study, eight semi-structured interviews were conducted to address the question of how music teachers perceive classical music in music education. The data was evaluated using the Grounded Theory Methodology. The theory developed from the study indicates that music teachers have varying objectives when using classical music in music education. However, they generally consider it unfamiliar to their students. To address this situation, music teachers develop various methods and strategies. These can be categorized into three approaches for dealing with the unfamiliarity of classical music: avoidance, reduction/relativization, and utilization.
The study's findings are contextualized within the framework of foreignness theory, music didactics, and transformational educational theory. This dissertation contributes to the field of music education in classical music, laying the groundwork for further theoretical, empirical, and didactic research.
Diese Dissertation widmet sich der inhaltsanalytischen, quantitativen Analyse der Kompilation Disney Princess durch die Anwendung der Theorie des male gaze von Laura Mulvey, welche sie in Visual Pleasure and Narrative Cinema (1975) sowie Afterthoughts on `Visual Pleasure and Narrative Cinema‘ inspired by King Vidor´s Duel in the Sun (1946) (1981) darstellte.
Die Autorin der Dissertation nutzt die quantitative Inhaltsanalyse nach Patrick Rössler, um die Filme der Kompilation Disney Princess aus den Jahren 1937 bis 2016 sowie den Film Die Eiskönigin (2013) auf die Darstellung der weiblich und männlich gelesenen Filmfiguren im Hinblick auf die Körperproportionen, den Grad ihrer Aktivität und den Umfang ihrer Präsenz sowie das Geschlecht der Filmmitarbeiter:innen zu untersuchen.
Focusing on the triangulation of detective fiction, masculinity studies and disability studies, "Investigating the Disabled Detective – Disabled Masculinity and Masculine Disability in Contemporary Detective Fiction" shows that disability challenges common ideals of (hegemonic) masculinity as represented in detective fiction. After a theoretical introduction to the relevant focal points of the three research fields, the dissertation demonstrates that even the archetypal detectives Dupin and Holmes undermine certain nineteenth-century masculine ideals with their peculiarities. Shifting to contemporary detective fiction and adopting a literary disability studies perspective, the dissertation investigates how male detectives with a form of neurodiversity or a physical impairment negotiate their masculine identity in light of their disability in private and professional contexts. It argues that the occupation as a detective supports the disabled investigator to achieve ‘masculine disability’. Inversing the term ‘disabled masculinity’, predominantly used in research, ‘masculine disability’ introduces a decisively gendered reading of neurodiversity and (acquired) physical impairment in contemporary detective fiction. The term implies that the disabled detective (re)negotiates his masculine identity by implementing the disability in his professional investigations and accepting it as an important, yet not defining, characteristic of his (gender) identity. By applying this approach to five novels from contemporary British and American detective fiction, the dissertation demonstrates that masculinity and disability do not negate each other, as commonly assumed. Instead, it emphasises that disability allows the detective, as much as the reader, to rethink masculinity.
Empirical studies in software engineering use software repositories as data sources to understand software development. Repository data is either used to answer questions that guide the decision-making in the software development, or to provide tools that help with practical aspects of developers’ everyday work. Studies are classified into the field of Empirical Software Engineering (ESE), and more specifically into Mining Software Repositories (MSR). Studies working with repository data often focus on their results. Results are statements or tools, derived from the data, that help with practical aspects of software development. This thesis focuses on the methods and high order methods used to produce such results. In particular, we focus on incremental methods to scale the processing of repositories, declarative methods to compose a heterogeneous analysis, and high order methods used to reason about threats to methods operating on repositories. We summarize this as technical and methodological improvements. We contribute the improvements to methods and high-order methods in the context of MSR/ESE to produce future empirical results more effectively. We contribute the following improvements. We propose a method to improve the scalability of functions that abstract over repositories with high revision count in a theoretically founded way. We use insights on abstract algebra and program incrementalization to define a core interface of highorder functions that compute scalable static abstractions of a repository with many revisions. We evaluate the scalability of our method by benchmarks, comparing a prototype with available competitors in MSR/ESE. We propose a method to improve the definition of functions that abstract over a repository with a heterogeneous technology stack, by using concepts from declarative logic programming and combining them with ideas on megamodeling and linguistic architecture. We reproduce existing ideas on declarative logic programming with languages close to Datalog, coming from architecture recovery, source code querying, and static program analysis, and transfer them from the analysis of a homogeneous to a heterogeneous technology stack. We provide a prove-of-concept of such method in a case study. We propose a high-order method to improve the disambiguation of threats to methods used in MSR/ESE. We focus on a better disambiguation of threats, operationalizing reasoning about them, and making the implications to a valid data analysis methodology explicit, by using simulations. We encourage researchers to accomplish their work by implementing ‘fake’ simulations of their MSR/ESE scenarios, to operationalize relevant insights about alternative plausible results, negative results, potential threats and the used data analysis methodologies. We prove that such way of simulation based testing contributes to the disambiguation of threats in published MSR/ESE research.
Sind Menschen von einer Pflegebedürftigkeit in Deutschland betroffen, so regelt der durch § 14 SGB XI festgeschriebene Pflegebedürftigkeitsbegriff den Zugang zu Leistungen der Pflegeversicherung. Der Pflegebedürftigkeitsbegriff ist dabei ein normativ gesetzter und basiert bislang nicht auf empirischen Studien aus dem Bereich der Pflege und der Pflegewissenschaft. Durch seine gesetzliche Fundierung lenkt er die Bedingungen und Strukturen, unter welchen Pflegeleistungen in Deutschland von Pflegefachpersonen erbracht werden. Weiterhin ist davon auszugehen, dass die Pflegefachpersonen durch ihre professionelle Sozialisierung einen fachlichen Fokus auf das Konstrukt der Pflegebedürftigkeit legen, welcher sich vom Pflegebedürftigkeitsbegriff unterscheidet und strukturell nicht in die Leistungsbemessung einfließt. Daraus ergeben sich Aspekte einer pflegerischen Unter- und Überversorgung.
Die vorliegende Ph.D.-Thesis verfolgt das Anliegen, die Herausforderungen des Pflegebedürftigkeitsbegriffs in Deutschland aufzuzeigen, indem die Aspekte der Pflegebedürftigkeit von Pflegefachpersonen im ambulanten Setting im Hinblick auf deren Interaktion mit pflegebedürftigen Menschen empirisch erfasst und zu einem theoretischen Konzept ausgearbeitet werden. Zur methodischen Bearbeitung des Forschungsinteresses werden problemzzentrierte Interviews mit ambulanten Pflegefachpersonen geführt, die mit Rückbezug auf den Symbolischen Interaktionismus nach Herbert Blumer unter methodologischen und methodischen Gesichtspunkten mittels einer Grounded Theory nach Kathy Charmaz sowie Juliet Corbin und Anselm Strauss erhoben und ausgewertet werden. Dabei kommt ein reflexives-konstruktivistisches Forschen und Schreiben als Konsequenz der epistemologisch-methodologischen Fundierung der Autorin zur Anwendung.
Die erarbeitete Theorie beschreibt die Herausforderungen der Pflegebedürftigkeit aus Sicht der befragten Pflegefachpersonen. So werden in der Kernkategorie Aushandlungsprozesse in den Bereichen Nähe und Distanz, Anwaltschaft und Verantwortungsüberlassung sowie Ethos und Technokratie beschrieben. Sämtliche Aspekte zeigen auf, inwiefern der gesetzliche Pflegebedürftigkeitsbegriff zu Herausforderungen innerhalb der pflegerischen Arbeit führt. Die Ph.D.-Thesis liefert mit ihren Ergebnissen einen Beitrag zur Einordnung und Relevanz pflegerischer Beziehungsarbeit im Hinblick auf herrschende Rahmenbedingungen der Pflegebedürftigkeit und zeigt auf, inwiefern sich Interaktion und Kommunikation der Akteur*innen vor dem Anspruch individueller Pflege und dem deutschen ambulanten Pflegesystem wechselseitig bedingen. Sie liefert damit einen professionell und empirisch begründeten Ansatz für die Einschätzung und Bearbeitung von pflegefachlich erlebter Pflegebedürftigkeit.
In the last years, the public interest in epidemiology and mathematical modeling of disease spread has increased - mainly caused by the COVID-19 pandemic, which has emphasized the urgent need for accurate and timely modelling of disease transmission. However, even prior to that, mathematical modelling has been used for describing the dynamics and spread of infectious diseases, which is vital for developing effective interventions and controls, e.g., for vaccination campaigns and social restrictions like lockdowns. The forecasts and evaluations provided by these models influence political actions and shape the measures implemented to contain the virus.
This research contributes to the understanding and control of disease spread, specifically for Dengue fever and COVID-19, making use of mathematical models and various data analysis techniques. The mathematical foundations of epidemiological modelling, as well as several concepts for spatio-temporal diffusion like ordinary differential equation (ODE) models, are presented, as well as an originally human-vector model for Dengue fever, and the standard (SEIR)-model (with the potential inclusion of an equation for deceased persons), which are suited for the description of COVID-19. Additionally, multi-compartment models, fractional diffusion models, partial differential equations (PDE) models, and integro-differential models are used to describe spatial propagation of the diseases.
We will make use of different optimization techniques to adapt the models to medical data and estimate the relevant parameters or finding optimal control techniques for containing diseases using both Metropolis and Lagrangian methods. Reasonable estimates for the unknown parameters are found, especially in initial stages of pandemics, when little to no information is available and the majority of the population has not got in contact with the disease. The longer a disease is present, the more complex the modelling gets and more things (vaccination, different types, etc.) appear and reduce the estimation and prediction quality of the mathematical models.
While it is possible to create highly complex models with numerous equations and parameters, such an approach presents several challenges, including difficulties in comparing and evaluating data, increased risk of overfitting, and reduced generalizability. Therefore, we will also consider criteria for model selection based on fit and complexity as well as the sensitivity of the model with respect to specific parameters. This also gives valuable information on which political interventions should be more emphasized for possible variations of parameter values.
Furthermore, the presented models, particularly the optimization using the Metropolis algorithm for parameter estimation, are compared with other established methods. The quality of model calculation, as well as computational effort and applicability, play a role in this comparison. Additionally, the spatial integro-differential model is compared with an established agent-based model. Since the macroscopic results align very well, the computationally faster integro-differential model can now be used as a proxy for the slower and non-traditionally optimizable agent-based model, e.g., in order to find an apt control strategy.
Leichte Sprache (LS, easy-to-read German) is a simplified variety of German. It is used to provide barrier-free texts for a broad spectrum of people, including lowliterate individuals with learning difficulties, intellectual or developmental disabilities (IDD) and/or complex communication needs (CCN). In general, LS authors are proficient in standard German and do not belong to the aforementioned group of people. Our goal is to empower the latter to participate in written discourse themselves. This requires a special writing system whose linguistic support and ergonomic software design meet the target group’s specific needs. We present EasyTalk a system profoundly based on natural language processing (NLP) for assistive writing in an extended variant of LS (ELS). EasyTalk provides users with a personal vocabulary underpinned with customizable communication symbols and supports in writing at their individual level of proficiency through interactive user guidance. The system minimizes the grammatical knowledge needed to produce correct and coherent complex contents by intuitively formulating linguistic decisions. It provides easy dialogs for selecting options from a natural-language paraphrase generator, which provides context-sensitive suggestions for sentence components and correctly inflected word forms. In addition, EasyTalk reminds users to add text elements that enhance text comprehensibility in terms of audience design (e.g., time and place of an event) and improve text coherence (e.g., explicit connectors to express discourse-relations). To tailor the system to the needs of the target group, the development of EasyTalk followed the principles of human-centered design (HCD). Accordingly, we matured the system in iterative development cycles, combined with purposeful evaluations of specific aspects conducted with expert groups from the fields of CCN, LS, and IT, as well as L2 learners of the German language. In a final case study, members of the target audience tested the system in free writing sessions. The study confirmed that adults with IDD and/or CCN who have low reading, writing, and computer skills can write their own personal texts in ELS using EasyTalk. The positive feedback from all tests inspires future long-term studies with EasyTalk and further development of this prototypical system, such as the implementation of a so-called Schreibwerkstatt (writing workshop)
In a world where language defines the boundaries of one's understanding, the words of Austrian philosopher Ludwig Wittgenstein resonate profoundly. Wittgenstein's assertion that "Die Grenzen meine Sprache bedeuten die Grenzen meiner Welt" (Wittgenstein 2016: v. 5.6) underscores the vital role of language in shaping our perceptions. Today, in a globalized and interconnected society, fluency in foreign languages is indispensable for individual success. Education must break down these linguistic barriers, and one promising approach is the integration of foreign languages into content subjects.
Teaching content subjects in a foreign language, a practice known as Content Language Integrated Learning (CLIL), not only enhances language skills but also cultivates cognitive abilities and intercultural competence. This approach expands horizons and aligns with the core principles of European education (Leaton Gray, Scott & Mehisto 2018: 50). The Kultusministerkonferenz (KMK) recognizes the benefits of CLIL and encourages its implementation in German schools (cf. KMK 2013a).
With the rising popularity of CLIL, textbooks in foreign languages have become widely available, simplifying teaching. However, the appropriateness of the language used in these materials remains an unanswered question. If textbooks impose excessive linguistic demands, they may inadvertently limit students' development and contradict the goal of CLIL.
This thesis focuses on addressing this issue by systematically analyzing language requirements in CLIL teaching materials, emphasizing receptive and productive skills in various subjects based on the Common European Framework of Reference. The aim is to identify a sequence of subjects that facilitates students' language skill development throughout their school years. Such a sequence would enable teachers to harness the full potential of CLIL, fostering a bidirectional approach where content subjects facilitate language learning.
While research on CLIL is extensive, studies on language requirements for bilingual students are limited. This thesis seeks to bridge this gap by presenting findings for History, Geography, Biology, and Mathematics, allowing for a comprehensive understanding of language demands. This research endeavors to enrich the field of bilingual education and CLIL, ultimately benefiting the academic success of students in an interconnected world.
The trends of industry 4.0 and the further enhancements toward an ever changing factory lead to more mobility and flexibility on the factory floor. With that higher need of mobility and flexibility the requirements on wireless communication rise. A key requirement in that setting is the demand for wireless Ultra-Reliability and Low Latency Communication (URLLC). Example use cases therefore are cooperative Automated Guided Vehicles (AGVs) and mobile robotics in general. Working along that setting this thesis provides insights regarding the whole network stack. Thereby, the focus is always on industrial applications. Starting on the physical layer, extensive measurements from 2 GHz to 6 GHz on the factory floor are performed. The raw data is published and analyzed. Based on that data an improved Saleh-Valenzuela (SV) model is provided. As ad-hoc networks are highly depended onnode mobility, the mobility of AGVs is modeled. Additionally, Nodal Encounter Patterns (NEPs) are recorded and analyzed. A method to record NEP is illustrated. The performance by means of latency and reliability are key parameters from an application perspective. Thus, measurements of those two parameters in factory environments are performed using Wireless Local Area Network (WLAN) (IEEE 802.11n), private Long Term Evolution (pLTE) and 5G. This showed auto-correlated latency values. Hence, a method to construct confidence intervals based on auto-correlated data containing rare events is developed. Subsequently, four performance improvements for wireless networks on the factory floor are proposed. Of those optimization three cover ad-hoc networks, two deal with safety relevant communication, one orchestrates the usage of two orthogonal networks and lastly one optimizes the usage of information within cellular networks.
Finally, this thesis is concluded by an outlook toward open research questions. This includes open questions remaining in the context of industry 4.0 and further the ones around 6G. Along the research topics of 6G the two most relevant topics concern the ideas of a network of networks and overcoming best-effort IP.
Organic binder mixtures and process additives have been used in refractory materials for a long time due to their property-improving effect. Coal tar pitches in particular can contain thousands of chemical compounds, of which especially polycyclic aromatic hydrocarbons (PAHs) are known to be carcinogenic and mutagenic and thus pose a risk to both the environment and human health. However, despite intensive research, the exact structure of these carbon mixtures is still not fully clarified. This is becoming an increasing problem, especially with regard to more stringent legal requirements arising from REACH, the European Chemicals Regulation for the Registration, Evaluation, Authorization and Restriction of Chemicals. Furthermore, the knowledge of the structural and chemical composition is also of great importance for optimal processing of the carbon mixtures to high-quality technical products. In the present work, an analytical strategy for the investigation of complex carbon mixtures containing PAHs is developed. Due to their complexity, a combination of different methods is used, including elemental analysis, solvent extraction, thermogravimetry, differential thermal analysis, raman and infrared spectroscopy as well as high-resolution mass spectrometry. In addition, a procedure for the evaluation of mass spectrometric data based on multivariate statistical methods such as hierarchical cluster analysis and principal component analysis is developed. The application of the developed analytical strategy to various industrially used carbon-based binder mixtures allowed the elucidation of characteristic properties, including aromaticity, molecular mass distribution, degree of alkylation and elemental composition. It was also shown that combining high-resolution time-of-flight mass spectrometry with multivariate statistical data analysis is a fast and effective tool for the classification of complex binder mixtures and the identification of characteristic molecular structures. In addition, the analytical strategy was applied to manufactured refractory products. Despite the small amount of the contained organic phase, characteristic structural features of each sample could be identified and extracted, which enabled an unambiguous classification of the refractory products.
Die Geometrie unseres Anschauungsraumes – die euklidische Geometrie – ist für einen allgemeinbildenden Mathematikunterricht elementar. Seitens der Mathematiklehrkraft stellt grundsätzlich ihr Fachwissen das Fundament des Unterrichtens dar. Als Teil ihres Professionswissens sollten Mathematiklehrkräfte prinzipiell über ein Fachwissen verfügen, das in Bezug zur akademischen Mathematik den unterrichtlichen Anforderungen der schulischen Mathematik gerecht wird.
Die im Rahmen der Dissertation entwickelte Theorie des metrisch-normalen euklidischen Raumes charakterisiert sich in ihrer perspektivischen Dualität, der mathematischen Stringenz eines axiomatisch-deduktiven Vorgehens auf der einen und der Berücksichtigung der fachdidaktischen Anforderungen an Mathematiklehrkräfte auf der anderen Seite; sie hebt sich darin von bestehenden Theorien ab.
With the increasing importance and urgency of climate change, companies are challenged to contribute to sustainable development, especially by younger generations. However, existing corporate contributions have been criticized as insufficient, which could be particularly caused by a lack of employee engagement in corporate sustainability. In this context, gamification has been proposed and increasingly investigated in recent years as a promising, innovative tool to motivate sustainable employee behaviors in the workplace. However, there are few studies and applicable gamification solutions that address more than one specific sustainability issue and thus take a holistic perspective on sustainable behaviors in the workplace. Moreover, previous research lacks a comprehensive understanding of how different gamification elements elicit specific psychological effects, how these manifest in behavioral changes, and how these, in turn, cumulatively result in measurable corporate outcomes. The path from gamification as ”input” to corporate sustainability as ”output” thus remains unexplored.
This dissertation fills this gap by conceptualizing, designing, and evaluating a holistic gamified intervention that supports employees in various sustainable behaviors in their daily activities. The project uses a design science research approach that closely involves employees in the incremental development of the solution. As part of the iterative design process, this dissertation presents six studies to extend the theoretical understanding of gamification for sustainable employee behaviors. First, a comprehensive review of existing research on gamification for sustainable employee behavior is provided, analyzing gamification designs and results of previous studies and outlining an agenda for further research (Study 1). Theoretical foundations of research on gamification, serious games, and game-based learning (Study 2) and empirical design principles for gamification and persuasive systems (Study 3) are then systematically reviewed as a basis for the successful design of gamified applications. Subsequently, empirical studies explore employees’ motivations for sustainable behavior and illuminate their expectations for design features (Study 4), and identify contextual challenges and design dilemmas when implementing gamification in an organizational context (Study 5). Finally, a quantitative field study (Study 6) explores how different gamification designs influence sustainable employee behavior and corporate sustainability in organizations. Based on the findings, this dissertation presents a comprehensive framework of gamification for sustainable employee behavior that incorporates design, individual behavior, and organizational perspectives. Finally, building on these insights, it provides practical recommendations for designing gamification to encourage sustainable employee behavior at work.
Bauxite is, among other raw materials, an important material for the production of refractories. However, the availability of refractory raw material grades is limited worldwide. As high iron contents have a negative influence on the temperature resistance of the refractory material produced, a maximum iron oxide content of 2 wt.-% in the bauxite is acceptable. This means that only native raw materials from a few deposits can be used. In order to counteract the problem of too high iron oxide contents in natural bauxites, the possibility of processing bauxite for the refractory industry by using an acid leaching process was to be investigated within the scope of this work. In previous studies on this topic, some investigations on iron leaching have already been carried out on individual bauxites. However, the resulting bauxite composition was mostly neglected in its entirety and only the influences of individual leaching parameters on the leaching result were investigated independently. Moreover, the results and procedures generated are not generally valid and cannot be transferred to bauxites of other chemical or mineralogical compositions.
In order to clarify the open questions in the processing of natural bauxites, leaching tests with hydrochloric acid were carried out on five different bauxites within this work. By using computerized statistical design of experiments, an individual model was generated for each bauxite to predict the optimal factor settings. The factors investigated were acid concentration, solid-acid ratio, leaching temperature, leaching time and grain fraction. The general planning method for bauxite processing developed in this context contains all necessary factors, useful factor settings and the effects to be considered during planning and evaluation. It could be shown that, based on this planning method, a significant, individual model can be created for each of the bauxites investigated, which predicts the optimal leaching settings for the corresponding bauxite. Furthermore, it was found that the transfer of an already created model to another bauxite of similar composition is possible. Based on the results obtained from the leaching tests and model fittings, in combination with further results on the structural analysis of the bauxites, insights into the leachability of various aluminium and iron minerals from bauxite could be gained.
To develop a sustainable acid leaching process, the possibility of regenerating the contaminated acid produced was also tested as an example. It was shown that liquid-liquid extraction can extract more than 99 % of the iron present in the solution and that the regenerated acid can then be reused for the leaching process.
Wie hingen Sprache und Gewalt im Nationalsozialismus zusammen? Ausgehend von der konstitutiven Sprachphilosophie des kanadischen Philosophen Charles Taylor untersucht die Dissertation die destruktive Wirkmacht der Sprache am Fall des Nationalsozialismus, der auf ungekannte Weise in die Sprache eingriff und damit Gewalt begünstigte, die bis heute ohnegleichen ist.
Im Rahmen des vorliegenden Promotionsprojekts wird untersucht, welche Körperideologien in den drei unterschiedlichen Sportfeldern Hochleistungs-, Gesundheits- sowie Erlebnis- bzw. Funsport gegeben sind und welchen gesellschaftswirksamen Einfluss diese Ideologien aufweisen. Im Rahmen der zentralen Forschungsfrage wird des Weiteren erforscht, welche diskursiven Mittel bei Körperideologien im Sportbereich eingesetzt werden, welche Formationen in Bezug auf den Gegenstand, welche Äußerungsmodalitäten, Begrifflichkeiten und Strategien dem Diskurs zugrundeliegen und wer als TrägerIn oder AdressatIn des Diskurses identifiziert werden kann. Außerdem steht die Fragestellung im Fokus, welche Bezüge zu anderen Diskursen bestehen und um welche Diskurse es sich dabei handelt. Körperideologien des Sports werden in diesem Zusammenhang als Vorstellungen von einem (idealen) Körper betrachtet, welche durch den Sport übertragen und in der Gesellschaft verbreitet werden. Dabei wird zunächst der Begriff der Ideologie theoretisch hergeleitet und definiert sowie im Hinblick auf die vorliegende Arbeit als Weltdeutung mit einem Anspruch auf Alleinvertretung aufgefasst. Des Weiteren wird die Gouvernementalitätstheorie von Foucault aufgegriffen und für die Identifizierung der Macht- und Herrschaftsstrukturen in Bezug auf die untersuchten Körperideologien herangezogen. Dabei geht es darum, inwieweit die durch den Sport übermittelten Körperideologien dazu geeignet sind, in einem gouvernementalitätstheoretischen Sinne Führung zur Selbstführung zu ermöglichen. In einer sportsoziologischen Hinsicht beinhaltet der Sport leistungsbezogene Eigenschaften, welche in auf Effektivität abzielenden wirtschaftlichen Prozessen eine grundlegende Voraussetzung darstellen. Im Rahmen der Studie werden für jeden der drei genannten Sportbereiche jeweils zwei Individualsportarten ausgewählt, bei welchen die fokussierten Körperideologien untersucht werden. Während im Bereich des Hochleistungssports Schwimmen und Biathlon und im Bereich des Gesundheitssports Nordic Walking sowie Pilates betrachtet werden, stellen Stand Up Paddling und Parkour die fokussierten Sportarten im Bereich des Fun- bzw. Erlebnissports dar. Für die vorliegende Untersuchung kommt das Verfahren der kritischen Diskursanalyse (KDA) von Jäger zur Anwendung, da dieses für die Rekonstruktion von ideologischen Diskursen geeignet erscheint. Hierfür werden aus den drei Sportbereichen sowohl Print- als auch Onlinepublikationen sondiert und anhand von Strukturanalysen hinsichtlich verschiedener formaler und inhaltlicher Charakteristika untersucht. Des Weiteren wird mit Hilfe der tiefergehenden Feinanalyse jeweils ein Artikel pro Sportart explorativ analysiert, um verschiedene Muster zu vorhandenen Körperideologien in den fokussierten Sportarten und Sportbereichen identifizieren und anhand ausgewählter Textstellen belegen zu können. Bei den Ergebnissen zeigt sich, dass der Körper in den Hochleistungssportarten Schwimmen und Biathlon als formbares Material bzw. als Instrument zur Erbringung sportlicher Höchstleistungen betrachtet und dargestellt wird. Auch im Gesundheitssport wird der Körper als form- bzw. trainierbar hervorgehoben, wobei hierbei die Gesundheit im Fokus steht und mit Schlankheit gleichgesetzt wird. Im Bereich des Fun- bzw. Erlebnissports zeigt sich bei der Sportart Stand Up Paddling der Körper ebenfalls als zu bearbeitendes Objekt. Dagegen wird bei der Sportart Parkour der angenommene Normalismus von Jugendlichkeit anhand der Ergebnisse widerlegt. Deutlich wird, dass als diskursives Mittel vor allem der Körper als formbares Material erscheint. Dabei stehen in Bezug auf die Äußerungsmodalitäten und Begrifflichkeiten der Diskurse vor allem das Leistungsmaximum, aber auch Schlankheit und Fitness im Fokus. Die identifizierten Diskurse sind an die gesamte Gesellschaft adressiert und werden zudem durch sich selbst getragen, wodurch sie nicht nur die Realität abbilden, sondern auch ein Eigenleben in der Form entwickeln, dass sie als Träger von Wissen fungieren.
Eltern spielen eine entscheidende Rolle bei der Inanspruchnahme von kultureller Bildung durch Kinder und Jugendliche. Häufig sind sie in die Organisation und Finanzierung der kulturellen Bildungsangebote involviert. Insbesondere in ländlichen Räumen kommt die Besonderheit hinzu, dass Eltern aufgrund größerer räumlicher Distanzen und einer unzureichenden Ausstattung des ÖPNV Begleitfahrten mit dem eigenen PKW durchführen müssen. Häufig werden ländliche Räume anhand objektivierbarer Daten als strukturschwach oder kulturarm beschrieben. Darüber, ob oder inwiefern das von ländlich lebenden Eltern ebenso gesehen wird, ist jedoch wenig bekannt.
Die vorliegende Dissertationsschrift gibt einen Einblick in die elterlichen Perspektiven auf kulturelle Bildung in ländlichen Räumen. Sie basiert auf offenen, qualitativen Leitfadeninterviews mit Eltern aus vier ländlichen Regionen Deutschlands, die diskursanalytisch und unter Zuhilfenahme von Kodierungspraktiken aus dem Kontext der Grounded Theory ausgewertet wurden.
In den Interviews zeigt sich eine Vielzahl an elterlichen Verständnissen und Positionierungsweisen zur kulturellen Bildung in ländlichen Regionen. Es stellt sich heraus, dass der elterliche Diskurs auf einem komplexen Zusammenspiel sozioökonomischer bzw. -kultureller Bedingungen, raumstruktureller Gegebenheiten und individueller Präferenzen hinsichtlich kultureller Bildung auf dem Land basiert.
Praktika als gängige Lehr-Lernformate in hochschulischen Kontexten setzen stets die Zusammenarbeit verschiedener Institutionen und Personen voraus, da Studierende mit einem Praktikum den Lernort der Universität verlassen und in einen beruflichen Handlungszusammenhang mit den zugehörigen organisationalen Strukturen versetzt werden. Praktika werden unter anderem als Elemente der Berufsorientierung gesellschaftliche Implikationen zugeschrieben. Als Format innerhalb eines hochschulischen Bildungsgangs sind sie darüber hinaus mit didaktischen Begründungen verbunden und durch die Beteiligung verschiedener Personen auch mit individuellen Interessen. Studierende sind während eines Praktikums in der Rolle als Praktikant*in in besonderer Weise individuell gefordert. Ergänzt werden diese Perspektiven durch die Betrachtung disziplinärer und professioneller Implikationen, die sich für Praktika erziehungswissenschaftlicher Studiengänge ergeben. Zusammenarbeit findet in Praktika zwischen Organisationen, in Organisationen und zwischen Personen statt. Der geringe Forschungsstand zu Perspektiven auf Fragen der Zusammenarbeit für in erziehungswissenschaftliche Studiengänge integrierte Praktika bietet den Anlass der Studie. Um die verschiedenen Perspektiven auf Praktika als Zusammenarbeit zu erheben, werden qualitative episodische Interviews sowohl mit den Studierenden und Lehrenden einer Universität, als auch mit für Praktika verantwortlichen Tätigen aus dem beruflichen Bereich durchgeführt, die nach der qualitativen inhaltlich strukturierenden Inhaltsanalyse ausgewertet werden. Aus der Auswertung der geführten Interviews mit den drei Akteur*innen-Gruppen ergibt sich ein Einblick darin, wie sich Zusammenarbeit zwischen pädagogisch tätigen Institutionen, Universitäten und Studierenden in und durch Praktika konkretisiert. Es werden beispielsweise Aspekte der Interaktionsbezogenen Dimensionen beschrieben, wie auftauchende Dilemmata, Resonanzen, Kulturen des Umgangs, Interessenslagen und Konstellationen von Akteur*innen. Diese werden ergänzt um Aspekte der Dimensionen mit Bezug zu Institutionen, Umwelt, Aufgaben und Personen. Die Interviewaussagen von drei interviewten Akteur*innen-Gruppen Studierende, Praxisanleiter*innen, universitäre Lehrende werden vergleichend anhand dieser Dimensionen betrachtet und als Ergebnisse dieser Studie dargestellt. Die Ergebnisse liefern Aussagen dazu, wie Zusammenarbeit in Praktika erziehungswissenschaftlicher Studiengänge von den beteiligten Akteur*innen-Gruppen wahrgenommen wird. Dies kann dazu beitragen die differierenden Perspektiven anschlussfähig zu machen für die didaktische und organisatorische Gestaltung von Praktika durch Institutionen wie Universitäten und Praktikumseinrichtungen, aber auch durch Initiative von Studierenden in der Rolle als Praktikant*innen während eines erziehungswissenschaftlichen Studiums. Auch für weitere Forschungsprojekte zum Zusammenwirken der Beteiligten in Praktika kann die Studie Anstöße bieten.
Antonio Lotti und seine liturgische Kirchenmusik – Vorstudien zu Biographie und Überlieferung
(2023)
Antonio Lotti (1667-1740) gehört zu den venezianischen Komponisten, die in der älteren wie der neueren Fachliteratur ein hohes Ansehen genießen, obwohl seine Werke bis heute nur wenig bekannt sind. Eine unklare Überlieferungslage, aber auch sachfremde ästhetische Postulate verzögerten jedoch die Auseinandersetzung mit Lottis Kompositionen. Erst in neuerer Zeit gab es ein verstärktes Interesse sowohl an seinen Opern und vokaler Kammermusik als auch an seiner Kirchenmusik.
In der vorliegenden Studie wird zunächst Lottis Biographie unter Einbeziehung neuer Quellenfunde auf dem aktuellen Stand des Wissens zusammenfassend dargestellt. Der zweite Teil bietet erstmals eine Identifikation von Lottis Buchstaben- und Notenschrift nach streng philologischen Kriterien. Angesichts des nicht mehr erhaltenen Nachlasses ist dieser Teil von besonderer Bedeutung, bietet er doch die unverzichtbare Basis zur weiteren Erforschung von Lottis Kirchenmusik, ihrer Überlieferung und Faktur.
In the last decade, policy-makers around the world have turned their attention toward the creative industry as the economic engine and significant driver of employments. Yet, the literature suggests that creative workers are one of the most vulnerable work-forces of today’s economy. Because of the highly deregulated and highly individuated environment, failure or success are believed to be the byproduct of individual ability and commitment, rather than a structural or collective issue. This thesis taps into the temporal, spatial, and social resolution of digital behavioural data to show that there are indeed structural and historical issues that impact individuals’ and
groups’ careers. To this end, this thesis offers a computational social science research framework that brings together the decades-long theoretical and empirical knowledge of inequality studies, and computational methods that deal with the complexity and scale of digital data. By taking music industry and science as use cases, this thesis starts off by proposing a novel gender detection method that exploits image search and face-detection methods.
By analysing the collaboration patterns and citation networks of male and female computer scientists, it sheds lights on some of the historical biases and disadvantages that women face in their scientific career. In particular, the relation of scientific success and gender-specific collaboration patterns is assessed. To elaborate further on the temporal aspect of inequalities in scientific careers, this thesis compares the degree of vertical and horizontal inequalities among the cohorts of scientists that started their career at different point in time. Furthermore, the structural inequality in music industry is assessed by analyzing the social and cultural relations that breed from live performances and musics releases. The findings hint toward the importance of community belonging at different stages of artists’ careers. This thesis also quantifies some of the underlying mechanisms and processes of inequality, such as the Matthew Effect and the Hipster Paradox, in creative careers. Finally, this thesis argues that online platforms such as Wikipedia could reflect and amplify the existing biases.
The diversity within amphibian communities in cultivated areas in Rwanda and within two selected, taxonomically challenging groups, the genera Ptychadena and Hyperolius, were investigated in this thesis. The amphibian community of an agricultural wetland near Butare in southern Rwanda comprised 15 anuran species. Rarefaction and jackknife analyses corroborated that the complete current species richness of the assemblage had been recorded, and the results of acoustic niche analysis suggested species saturation of the community. Surveys at many other Rwandan localities showed that the species recorded in Butare are widespread in cultivated and pristine wetlands. The species were readily distinguishable using morphological, bioacoustic, and molecular (DNA barcoding) features, but only eight of the 15 species could be assigned unambiguously to nominal species. The remaining represented undescribed or currently unrecognized taxa, including three species of Hyperolius, two Phrynobatrachus species, one Ptychadena species, and one species of Amietia. The diversity of the Ridged Frogs in Rwanda was investigated in two studies (Chapters III and IV). Three species of Ptychadena were recorded in wetlands in the catchment of the Nile. They can be distinguished by morphological characters (morphometrics and qualitative features) as well as by their advertisement calls and genetics. The Rwandan species of the P. mascareniensis group was shown to differ from the topotypic population as well as from other genetic lineages in sub-Saharan Africa and an old available name, P. nilotica, was resurrected from synonymy for this lineage. Two further Ptychadena species were identified among voucher specimens from Rwanda deposited in the collection of the RMCA, P. chrysogaster and P. uzungwensis. Morphologically they can be unambiguously distinguished from each other and the three other Rwandan species. A key based on qualitative morphological characters was developed, which allows unequivocal identification of specimens of all species that have been recorded from Rwanda. DNA was isolated from a Rwandan voucher specimen of P. chrysogaster, and the genetic analysis corroborated the species" distinct status.
A species of Hyperolius collected in the Nyungwe National Park was compared to all other Rwandan species of the genus and to morphologically or genetically similar species from neighbouring countries. Its distinct taxonomic status was justified by morphological, bioacoustic, and molecular evidence and it was described as a new species, H. jackie. A species of the H. nasutus group collected at agricultural sites in Rwanda was described as a new species in the course of a revision of the species of the Hyperolius nasutus group. The group was shown to consist of 15 distinct species which can be distinguished from each other genetically, bioacoustically, and morphologically.
The aerial performance, i.e. parachuting, of the Disc-fingered Reed Frog, Hyperolius discodactylus, was described. It represents a novel observation of a behaviour that has been known from a number of Southeast Asian and Neotropical frog species. Parachuting frogs, including H. discodactylus, exhibit certain morphological characteristics and, while airborne, assume a distinct posture which is best-suited for maneuvering in the air. Another study on the species addressed the validity of the taxon H. alticola which had been considered either a synonym of H. discodactylus or a distinct species. Type material of both taxa was re-examined and the status of H. alticola reassessed using morphological data from historic and new collections, call recordings, and molecular data from animals collected on recent expeditions. A northern and a southern genetic clade were identified, a divide that is weakly supported by diverging morphology of the vouchers from the respective localities. No distinction in advertisement call features could be recovered to support this split and both genetic and morphological differences between the two geographic clades are marginal and not always congruent and more likely reflect population-level variation. Therefore it was concluded that H. alticola is not a valid taxon and should be treated as a synonym of H. discodactylus.
On the recognition of human activities and the evaluation of its imitation by robotic systems
(2023)
This thesis addresses the problem of action recognition through the analysis of human motion and the benchmarking of its imitation by robotic systems.
For our action recognition related approaches, we focus on presenting approaches that generalize well across different sensor modalities. We transform multivariate signal streams from various sensors to a common image representation. The action recognition problem on sequential multivariate signal streams can then be reduced to an image classification task for which we utilize recent advances in machine learning. We demonstrate the broad applicability of our approaches formulated as a supervised classification task for action recognition, a semi-supervised classification task for one-shot action recognition, modality fusion and temporal action segmentation.
For action classification, we use an EfficientNet Convolutional Neural Network (CNN) model to classify the image representations of various data modalities. Further, we present approaches for filtering and the fusion of various modalities on a representation level. We extend the approach to be applicable for semi-supervised classification and train a metric-learning model that encodes action similarity. During training, the encoder optimizes the distances in embedding space for self-, positive- and negative-pair similarities. The resulting encoder allows estimating action similarity by calculating distances in embedding space. At training time, no action classes from the test set are used.
Graph Convolutional Network (GCN) generalized the concept of CNNs to non-Euclidean data structures and showed great success for action recognition directly operating on spatio-temporal sequences like skeleton sequences. GCNs have recently shown state-of-the-art performance for skeleton-based action recognition but are currently widely neglected as the foundation for the fusion of various sensor modalities. We propose incorporating additional modalities, like inertial measurements or RGB features, into a skeleton-graph, by proposing fusion on two different dimensionality levels. On a channel dimension, modalities are fused by introducing additional node attributes. On a spatial dimension, additional nodes are incorporated into the skeleton-graph.
Transformer models showed excellent performance in the analysis of sequential data. We formulate the temporal action segmentation task as an object detection task and use a detection transformer model on our proposed motion image representations. Experiments for our action recognition related approaches are executed on large-scale publicly available datasets. Our approaches for action recognition for various modalities, action recognition by fusion of various modalities, and one-shot action recognition demonstrate state-of-the-art results on some datasets.
Finally, we present a hybrid imitation learning benchmark. The benchmark consists of a dataset, metrics, and a simulator integration. The dataset contains RGB-D image sequences of humans performing movements and executing manipulation tasks, as well as the corresponding ground truth. The RGB-D camera is calibrated against a motion-capturing system, and the resulting sequences serve as input for imitation learning approaches. The resulting policy is then executed in the simulated environment on different robots. We propose two metrics to assess the quality of the imitation. The trajectory metric gives insights into how close the execution was to the demonstration. The effect metric describes how close the final state was reached according to the demonstration. The Simitate benchmark can improve the comparability of imitation learning approaches.
In the last decades, it became evident that the world is facing an unprecedented, human-induced global biodiversity crisis with amphibians being one of the most threatened species groups. About 41% of the amphibian species are classified as endangered by the IUCN, but even in amphibian species that are listed as "least concern", population declines can be observed on a local level. With land-use change and agrochemicals (i.e. pesticides), two of the main drivers for this amphibian decline are directly linked to intensive agriculture, which is the dominant landscape type in large parts of Europe. Thus, understanding the situation of amphibians in the agricultural landscape is crucial for conservation measures. In the present thesis, I investigated the effects of viticulture on amphibian populations around Landau in der Pfalz (Germany) in terms of habitat use, pesticide exposure, biometric traits as well as genetic and age structure. From the perspective of amphibians, land-use change means usually the destruction of habitats in agricultural landscapes, which often leads to landscape fragmentation. Thus, I followed the question if also vineyards lead to the fragmentation of the landscape and if pesticides that are frequently used in viticulture have to be considered as a factor too, so if there is a chemical landscape fragmentation. Using telemetry, I could show that common toads (Bufo bufo) can be found directly in vineyards, but that they tend to avoid them as habitat. Analysing the genetic structure of common frogs (Rana temporaria) revealed that vineyards have to be considered as a barrier for amphibians. To identify if pesticides contribute to the resulting landscape fragmentation, I conducted an arena choice experiment in the laboratory in which I found evidence for an avoidance of pesticide-contaminated soil. Such an avoidance could be one of the underlying reasons for a potential chemical landscape fragmentation. By combining telemetry data with information about pesticide applications from local wine growers, I could show that a large part of the common toads is likely to come in contact with pesticides. Further, I demonstrated that the agricultural landscape, probably due to the application of pesticides, can have negative effects on the reproduction capacity of common toads. By studying palmate newts (Lissotriton helveticus) I found that adult newts from agricultural ponds are smaller than those from forest ponds. As I did not find differences in the age structure and growth, these differences might be carry-over effects from earlier life stages. While agricultural ponds might be suitable habitats for adult palmate newts, the potential carry-over effect indicates suboptimal conditions for larvae and/or juveniles. I conclude that the best management measure for sustaining amphibians in the agricultural landscape would be a heterogeneous cultural landscape with a mosaic of different habitat patches that work without or at least a reduced amount of pesticides. Green corridors between populations and different habitats would allow migrating individuals to avoid agricultural and thus pesticide-contaminated areas. This would reduce the pesticide exposure risk of amphibians, while preventing the fragmentation of the landscape and thus the isolation of populations.
In der Biologie stellt das Zeichnen eine zentrale Arbeitstechnik dar. Viele Studien konnten auf einen positiven Effekt des Zeichnens für bestimmte Situationen hinweisen. Schülerinnen und Schüler müssen diese Technik jedoch zunächst erlernen. Hierbei können zahlreiche Schwierigkeiten auftreten, die die inhaltliche Auseinandersetzung gefährden. Jedoch wurden sowohl Schwierigkeiten im Umgang mit unterschiedlichen Repräsentationsformen als auch der Zeichenprozess bislang nur lückenhaft untersucht. Die Studie dieser Arbeit hat daher zum Ziel, (I) den Zeichenprozess auf der Ebene der Sichtstruktur zu beschreiben, (II) die manifesten Schwierigkeiten von Lernenden zu erfassen, auf die sie während der Konstruktion biologisch bedeutsamer Repräsentationsformen (Ablaufdiagramme, mikroskopische Zeichnungen) treffen, (III) und auf Grundlage der empirischen Befunde Schülertypen abzuleiten. Vor diesem Hintergrund waren 21 Schülerinnen und Schüler angehalten, jeweils ein Ablaufdiagramm auf Grundlage eines Texts und eine mikroskopische Zeichnung auf Grundlage eines Präparats zu konstruieren und dabei laut zu denken. Fragen zur Vorerfahrung sowie retrospektiv gestellte Fragen zum Vorgehen der Teilnehmenden umrahmten den videografisch dokumentierten Prozess. Die Ergebnisse zeigen, dass der Zeichenprozess mehr als zehn unterschiedliche Tätigkeiten umfassen kann, wobei die Kerntätigkeit des Zeichnens durchschnittlich nur rund ein Drittel des Prozesses ausmacht. Die Prozessstruktur zwischen Fällen variiert erheblich. Weiterhin konnten etwa 30 Schwierigkeiten bzw. Fehler identifiziert werden, die während der Konstruktion beider Repräsentationsformen auftreten. Diese können dabei sowohl einzelne als auch mehrere Tätigkeiten betreffen und zu Tätigkeitsabbrüchen führen. Schwierigkeiten stehen häufig in Verbindung mit Tätigkeiten, die außerhalb der Kerntätigkeit des Zeichnens liegen (z. B. Abgleich mit der Textgrundlage). Bezogen auf Ablaufdiagramme stellt das Verhältnis depiktional bzw. deskriptional dargestellter Textinformationen den Ausgangspunkt der Typisierung dar: Typ I: realistisch abbildend, II: alternierend abbildend und III: schriftorientiert abbildend. Für mikroskopische Zeichnungen war die Häufigkeit des Abgleichs mit dem Objekt grundlegend für die Typisierung: Typ I: oberflächlich abbildend, II: objektorientiert abbildend und III: undifferenziert detailliert abbildend. Die Studie liefert erstmals Kategoriensysteme, die es erlauben, die Prozessstruktur des Zeichnens sichtbar und zwischen Fällen vergleichbar zu machen sowie schwierigkeitsbezogenes Grundlagenwissen zur Konstruktion von Zeichnungen, basierend auf Texten und Beobachtungen. Die Übertragbarkeit der Befunde auf andere Repräsentationsformen ist an vielen Stellen denkbar. Die theoretisch fundierte Systematisierung von Schwierigkeiten kann von weiterführenden Untersuchungsansätze aufgegriffen werden und erlaubt die Verortung situationsangemessener Unterstützungsmaßnahmen.
This thesis was motivated by the need to advance the knowledge on the variability and dynamics of energy fluxes in lakes and reservoirs, as well as about the physical processes that regulate the fluxes at both the air and water side of the air-water interface.
In the first part, I re-examine how mechanical energy, resulting from its major source – the vertical wind energy flux - distributes into the various types of water motions, including turbulent flows and surface and internal waves. Although only a small fraction of the wind energy flux from the atmosphere is transferred to the water, it is crucial for physical, biogeochemical and ecological processes in lentic ecosystems. Based on extensive air- and water-side measurements collected at two small water bodies (< 10 km2), we estimated the energy fluxes and energy content in surface and in internal waves. Overall, the estimated energy fluxes and energy content agree well with results reported for larger water bodies, suggesting that the energetics driving the water motions in enclosed basins is similar, independently of the basin size. Our findings highlight the importance of the surface waves that receive the largest fraction of the wind energy flux, which strongly nonlinearly increases for wind speeds exceeding 3 m s-1. We found that the existing parameterization of the wave height as a function of wind speed and fetch length did not reproduce the measured wave amplitude in lakes. On average, the highest energy content was observed in basin-scale internal waves, together with high-frequency internal waves exhibiting seasonal variability and varies among the aquatic systems. During our analysis, we discovered the diurnal variability of the energy dissipation rates in the studied lake, suggesting biogenic turbulence generation, which appears to be a widespread phenomenon in lakes and reservoirs.
In the second part of the thesis, I addressed current knowledge gaps related to the bulk transfer coefficients (also known as the drag coefficient, the Stanton number and the Dalton number), which are of a particular importance for the bulk estimation of the surface turbulent fluxes of momentum, sensible and latent heat in the atmospheric boundary layer. Their inaccurate representation may lead to significant errors in flux estimates, affecting, for example, the weather and climate predictions or estimations of the near-surface current velocities in lake hydrodynamic models. Although the bulk transfer coefficients have been extensively studied over the past several decades (mainly in marine and large-lake environments), there has been no systematic analysis of measurements obtained at lakes of different size. A significant increase of the transfer coefficients at low wind speeds (< 3 m s-1) has been observed in several studies, but, to date, it has remained unexplained. We evaluated
the bulk transfer coefficients using flux measurements from 31 lakes and reservoirs. The estimates were generally within the range reported in previous studies for large lakes and oceans. All transfer coefficients increased substantially at low wind speeds, which was found to be associated with the presence of gusts and capillary waves (except the Dalton number). We found that the Stanton number is systematically higher than the Dalton number. This challenges the assumption made in the Bowen-ratio method, which is widely used for estimating evaporation rates from micrometeorological measurements. We found that the variability of the transfer coefficients among the lakes could be associated with lake surface area. In flux parameterizations at lake surfaces, it is recommended to consider variations in the drag coefficient and the Stanton number due to wind gustiness and capillary wave roughness while the Dalton number could be considered as constant at all wind speeds.
In the third part of the thesis, I address the key drivers of the near-surface turbulence that control the gas exchange in a large regulated river. As all inland waters, rivers are an important natural source of greenhouse gases. The effects of the widespread alteration and regulation of river flow for human demands on gas exchange is largely unknown. In particular, the near-surface turbulence in regulated rivers has been rarely measured and its drivers have not been identified. While in lakes and reservoirs, near-surface turbulence is mainly related to atmospheric forcing, in shallow rivers and streams it is generated by bottom friction of the gravity-forced flow. The studied large regulated river represents a transition between these two cases. Atmospheric forcing and gravity were the dominant drivers of the near-surface turbulence for a similar fraction of the measurement period. Based on validated scalings, we derived a simple model for estimating the relative contributions of wind and bottom friction to near-surface turbulence in lotic ecosystems with different flow depths. Large diel variability in the near-surface energy dissipation rates due to flow regulation leads to the same variability in gas exchange. This suggests that estimates of gas fluxes from rivers are biased by measurements performed predominantly during daytime.
In addition, the novelty in all the analyses described above is the use of the turbulent surface fluxes measured directly by the eddy-covariance technique – at the moment of writing, the most advanced method. Overall, this thesis is of a potential interest for a broad range of scientific disciplines, including limnology, micrometeorology and open channel hydraulics.
Inland waters play an active role in the global carbon cycle. They collect carbon from upstream landmasses and transport it downstream until it finally reaches the ocean. Along this path, manifold processing steps are evident, resulting in (permanent) retention of carbon by sediment burial as well as loss by evasion to the atmosphere. Constraining these carbon fluxes and their anthropogenic perturbation is an urgent need. In this context, attention needs to be set on a widespread feature of inland waters: their partial desiccation. This results in the emergence of formerly inundated sediments to the atmosphere, referred to as dry inland waters. One observed feature of dry inland waters are disproportional high carbon dioxide (CO2) emissions. However, this observation was so far based on local case studies and knowledge on the global prevalence and fundamental mechanisms of these emissions is lacking. Against this background, this thesis aims to provide a better understanding of the magnitude and mechanisms of carbon emissions from dry inland waters on the global and local scale and to assess the impact of dry inland waters on the global carbon cycle. The specific research questions of this thesis were: (1) How do gaseous carbon emissions from dry inland waters integrate into the global carbon cycle and into global greenhouse gas (GHG) budgets? (2) What effect do seasonal and long term drying have on the carbon cycling of inland waters? The thesis revealed that dry inland waters emit disproportional large amounts of CO 2 on a global scale and that these emissions share common drivers across ecosystems. Quantifying global reservoir drawdown and upscaling carbon fluxes to the global scale suggests that reservoirs emit more carbon than they bury, challenging the current understanding of reservoirs as net carbon sinks. On the local scale, this thesis revealed that both, heterogeneous emission pattern between different habitats and seasonal variability of carbon emissions from the drawdown area, needs to be considered. Further, this thesis showed that re-mobilization of buried carbon upon permanent desiccation of water bodies can explain the observed emission rates, supporting the hypothesis of a positive feedback-loop between climate change and desiccation of inland waters. Overall, the present thesis highlights the importance of adding emissions from dry inland waters as a pathway to the global carbon cycle of inland waters.
This study was conducted in Nyungwe National Park (NNP); a biodiversity hotspot Mountain rainforest of high conservation importance in Central Africa, but with little knowledge of its insect communities including butterflies, good indicators of climate change, and forest ecosystem health. The study aimed at availing baseline data on butterfly species diversity and distribution in NNP, for future use in monitoring climate change-driven shifts and the effects of forest fragmentation on the biodiversity of Nyungwe. Butterflies were collected seasonally using fruit-baited traps and hand nets along elevational transects spanning from 1700 m up to 2950 m of altitude. Two hundred forty-two species including 28 endemics to the Albertine Rift and 18 potential local climate change indicators were documented. Species richness and abundance declined with increasing elevation and higher seasonal occurrence was observed during the dry season. This was the first study on the spatial and temporal distribution of butterflies in NNP and further studies could be conducted to add more species and allow a depth understanding of the ecology of Nyungwe butterflies.
Genetically modified plants have been grown commercially for about 25 years. Bt plants, which contain genes from the bacterium Bacillus thuringiensis (Bt) and produce Cry proteins, are used particularly frequently. Risk assessment has long focused on the terrestrial environment. Only since the publication of Rosi-Marshall et al. in 2007 potential effects on the aquatic environment came into focus. The first part of this dissertation analyse the existing literature on lower-tier effect studies and fate studies examining the effects of GM plants on the aquatic environment. Potential effects on aquatic organisms are apparent. Some studies also demonstrate the entry of GM plant material into the aquatic environment and the leaching of toxins into the water.
The second part of the dissertation investigate the effects of Cry1Ab toxin on two species of caddisfly larvae (Chaetopterryx spec., Sericostoma spec.). Trichopterans are phylogenetically closely related to lepidopterans, which are often the target organisms of Cry toxins. In order to be able to create several concentrations, a new spiking method was used in which dissolved Cry1Ab toxin was applied on leaves of black alder (Alnus glutinosa). Effects were particularly evident at sublethal endpoints. The lipid content of Chaetopteryx spec. larvae was lower after twelve weeks with increasing Cry1Ab concentration. The reduction in lipid content may indicate an increase in energy requirements for repair mechanisms. Sericostoma spec. showed a slowdown in larval development at the highest Cry1Ab concentration after six weeks, which could lead to later emergence and thus effects on the food chain.
In the third part of the dissertation, the assessment of impacts of GM crops on the aquatic environment was investigated using higher-tier studies. Since higher-tier studies are already common with pesticides, these were compared to the higher-tier studies already conducted with GM crops. It is found that there is no standardization of higher-tier studies with GM crops, which is necessary for quality assurance and comparability of studies. In addition, there are great difficulties in establishing different test concentrations, which is necessary for the investigation of a dose-response relationship.
Overall, it is clear that there are still significant knowledge gaps of the effects of GM plants on the aquatic environment. Further studies are essential for a comprehensive and meaningful risk assessment.
Manmade dams have been constructed from centuries for multiple purposes, and in the past decades they have been constructed in a fast pace, with the hotspot in tropical and subtropical regions. However, studies that explore hydrodynamics in these areas are scarce and biased to the rich literature available for temperate regions. Lakes and reservoirs have the same controlling mechanisms for physical processes and primary production, hence, analyses that were initially conceptualized for lakes are frequently applied for reservoirs. Nevertheless, longitudinal gradients in reservoirs challenges the application of these approaches.
Degradation of water quality in reservoirs is a major concern, and it is expected to be aggravated with climate change. Therefore, studies that explore mechanisms controlling water quality are essential for the maintenance of these systems, especially in tropical and subtropical regions. The aim of this thesis is to comprehend the role of hydrodynamic processes in the fate of nutrients in reservoirs and its implications on water quality, in a subtropical region. With focus on the relevance of different density current patterns. For that, analyses combining field measurements and numerical simulations were performed in a medium to small size subtropical drinking water reservoir for a complete seasonal cycle. Measurements were conducted combining several approaches: traditional sampling, sensors in high temporal and spatial resolution, and remote sensing. Besides, hydrodynamic models were set up and calibrated to reproduce observations, and to simulate scenarios that assisted on the analysis.
Results showed that different flow paths of density currents did not influence on phytoplankton dynamics. At the regions where the main nutrient supply was the river inflow (upstream), the density currents did not vary, the euphotic zone usually covered the entire depth, and vertical mixing was observed on a daily basis, turning the flow path of the density currents irrelevant. At downstream regions, the remobilization of nutrients in the sediment was the main source for primary production. Even though density currents had a seasonal pattern in the downstream region, thermal stratification conditions were the driver for variations in chlorophyll-a concentrations, with peaks after vertical mixing. This mechanism had in its favor the frequent anoxic conditions in the hypolimnion that enhanced the dissolution of reactive phosphorus from the sediment. Anoxic conditions were easily reached because the sediment in the downstream area was rich in organic matter. Phytoplankton produced in the upstream area was transported by the density currents, and for this reason, large concentrations of chl-a was observed below the euphotic zone. Further, the extensive measurements of temperature, and flow velocities, together with the hydrodynamic models, provided insights about the hydrodynamics of reservoirs. For instance, that the relevant processes occurred along the longitudinal, and mixing conditions varied along it. The relevance of inflow conditions regarding the presence of structures such as forebays and pre-dams, and the degree of stream shading in the catchment was assessed. And turbulence and internal waves had different features than the documented for high latitudes. Those findings can assist on the management of reservoirs, based on the comprehension of the physical processes.
Der Arbeitsmarkt in Deutschland erlebt einen technologisch bedingten Strukturwandel. Durch Digitalisierung werden Tätigkeiten substituierbar, Berufsbilder und dafür benötigte Qualifikationsprofile wandeln sich. Für die Arbeitskräfte resultiert daraus ein Anpassungsdruck, sich zum Erhalt ihres Humankapitals bzw. ihrer Beschäftigungsfähigkeit weiterzubilden. Fraglich ist, inwieweit die Individuen diesen Druck wahrnehmen und mit entsprechenden Weiterbildungen reagieren. Um einen Erklärungsbeitrag zum Weiterbildungsverhalten der Arbeitskräfte in Bezug auf den technologischen Wandel zu leisten, widmet sich das Promotionsvorhaben der Forschungsfrage: „Inwieweit reagieren Arbeitskräfte bezüglich ihres Weiterbildungsverhaltens auf einen sich digitalisierungsbedingt wandelnden Arbeitsmarkt?“
This dissertation is dedicated to a new concept for capturing renunciation-oriented attitudes and beliefs — sufficiency orientation. Sufficiency originates in the interdisciplinary sustain-ability debate. In contrast to efficiency and consistency, sufficiency considers human behaviour as the cause of socio-ecological crises and strives for a reduction in consumption respecting the planetary boundaries. The present work places sufficiency in a psychological research context and explores it qualitatively and quantitatively. On the basis of five manuscripts, the overarching question pursued is to what extent sufficiency orientation contributes to socio-ecological transformation. Based on one qualitative study and five further quantitative studies, sufficiency orientation is investigated in different behavioural contexts that are of particular importance with regard to CO2 emissions. In addition, sufficiency orientation is linked to a wider range of psychologically relevant theories that help gain an overview of correlates and possible causes for the development of a sufficiency orientation.
Manuscript 1 uses expert interviews (N = 21) to develop a heuristic framework on a transformation towards societal sufficiency orientation including barriers and enablers, as well as ambiguities on such a change. The derived elements are interpreted in the light of the leverage points approach. This framework can serve as a heuristic for future research and to develop measures concerning sufficiency orientation.
As part of an online study (N = 648), Manuscript 2 examines the extent to which sufficiency orientation can be embedded in classic models for explaining pro-environmental intentions and behaviour (Theory of Planned Behaviour, Norm Activation Model), and showed a significant contribution to the explanation of intentions and behaviour in the field of plastic consumption.
Manuscript 3 reports two framing experiments (Study 1, N = 123, Study 2, N = 330) to investigate how pro-social justice sensitivity contributes to making sufficiency orientation more salient and promoting it. While sufficiency orientation and pro-social facets of justice sensitivity were positively related to each other, there was no effect of the framing intervention in the hypothesised direction. The results indicate that justice-related information at least in the presented manner is more likely to generate reactance.
Manuscript 4 presents an online study (N = 317) and targets the importance of sufficiency orientation for predicting actual greenhouse gas emissions in relation to flight behav-iour and policy support for the decarbonisation of mobility. In addition, the connection between sufficiency orientation and global identity is examined. It turns out that sufficiency orientation is superior to global identity in predicting actual emissions and decarbonisation policies. Contrary to expectations, sufficiency orientation and the form of global identity operationalised in the presented study shows a positive correlation and are compatible.
Manuscript 5 reports a reflective diary intervention (N = 252) that should lead to a short- and long-term increase in sufficiency orientation by satisfying basic psychological needs through induced self-reflection. For both groups with or without the intervention, sufficiency orientation increased slightly but significantly. Although no specific effect of the manipulation was found, basic psychological need satisfaction turns out to be the largest predictor for sufficiency orientation. Subjective well-being is positively associated with sufficiency orientation, while time affluence shows no clear associations in the study.
Overall, the results highlight the relevance of sufficiency orientation in relation to socio-ecological transformation and actual behavioural change. Sufficiency orientation is related to low-emission behaviour and support for political measures to decarbonize infrastructures. These results contribute to the discussion on the intention-behaviour gap in regard to impact-relevant behaviour, i.e. behaviour producing high emissions. The present findings suggest, that sufficiency orientation could be related to a strong intention-behavioural consistency. However, further research is needed to validate these results and improve the measurement of sufficiency orientation. Furthermore, the studies provided insights on correlates of sufficiency orientation: justice sensitivity, global identity, subjective well-being and left-wing liberal political ideologies are all found to be positively related to sufficiency orien-tation. Moreover, basic psychological need satisfaction was identified as a potential mechanism that can support the emergence of sufficiency orientation, however, causality remains unclear. From these findings, the work derives practical implications how to possibly strengthen sufficiency orientation on the micro, meso and macro levels of society.
Taken together, the dissertation provides important insights into a new and still developing concept, and shows its connectivity to psychological theories. However, future research is required in order to grasp more precisely the complexity of sufficiency orientation and to understand origins and predictors of sufficiency orientation. This work contributes to the interdisciplinary debate on socio-ecological transformation and points out that sufficiency orientation can serve to a future worth living as being related to reduced consumption.
Scientific experimentation in the special needs schools for pupils with intellectual disabilities
(2022)
Naturwissenschaftliches Experimentieren im Förderschwerpunkt geistige Entwicklung: An Schulen mit dem Förderschwerpunkt geistige Entwicklung führen Schülerinnen und Schüler nur selten naturwissenschaftliche Experimente durch. Doch auch diese Schülerschaft kann mit adressatengerechten Lernmaterialien Experimente durchführen, deren Gestaltungskriterien in dieser Studie ermittelt werden. Zudem wird in der Studie erfasst, wie sich die Schülerinnen und Schüler über ein Schuljahr in ihrer experimentellen Kompetenz weiterentwickeln.
Formen des Zugangs in der Jugendhilfe – zur Gestaltung von Zugängen zum System der Hilfen zur Erziehung Kindern, Jugendlichen und Erwachsenen in unterschiedlichen familiären Beziehungen und Lebenslagen stehen in Deutschland bei Bedarf und auf Wunsch öffentliche Hilfeleistungen rund um das Thema Erziehung zur Verfügung. Repräsentiert wird dieses Angebot als Rechtsanspruch öffentlicher Hilfe in der Regel durch die örtlichen Jugendämter. In Folge der Einführung des Sozialgesetzbuches VIII (Kinder- und Jugendhilfegesetz, jetzt: Kinder- und Jugendstärkungsgesetzt/KJSG) befassten sich wiederholt wissenschaftliche Erhebungen mit dem Nutzen und den Wirkungen der in den Hilfen zur Erziehung vorhandenen Angebote aus Sicht der Adressatinnen und Adressaten, also den Kindern, Jugendlichen und Eltern. Dem Rechtsanspruch mit dem Angebot auf die Hilfen zur Erziehung auf der einen Seite, stehen die Adressatinnen und Adressaten dieser Hilfen auf der anderen zunächst gegenüber. Im Fokus der damit einhergehenden Adressaten- und Adressatinnenforschung steht die Frage, wie Adressatinnen und Adressaten den Zugang zu diesen Hilfen in ihrem Alltagsleben erhalten und ggf. integrieren. Ziel dieser Arbeit ist es daher zu untersuchen, wie sich aus Sicht von Eltern mit Jugendhilfeerfahrung dieser Zugang gestaltet, wie sie ihre diesbezüglichen Erfahrungen einordnen und bewerten. Um sich die Lebenswelten und Sinnhorizonte der Eltern zu erschließen, erfolgte die Datenerhebung durch transkribierte narrative Interviews. Diese wurden mittels qualitativ inhaltsanalytischer Verfahren strukturiert und sequenziert untersucht, um relevante Kodes, Konzepte und Kategorien aus den Erzählungen herauszuarbeiten. Dabei stellte sich heraus, dass es den einen Zugang nicht gibt, im Weiteren auch kein einfaches Setting zwischen Angebot und Nachfrage vorliegt. Vielmehr zeigen sich unterschiedliche Zugangsformen und individuelle Faktoren, die einen Zugang begünstigen oder behindern können. Zentral sind hier vor allem die Wirkung Anderer in der Biografie der Eltern, gleich ob aus Familie oder auf Seiten der Fachkräfte sowie deren Haltungen und das Vorhandensein von Ressourcen wie z.B. Wissen. Für die Praxis der Sozialen Arbeit bedeutet dies, sich den zunächst fremden Lebenswelten
der Adressatinnen und Adressaten verstehend zu nähern und nicht außer Acht zu lassen, dass diese ihnen mit ihren Bildern, Ideen, Wünschen und Lebenserfahrungen gegenüber treten, welche wahrgenommen und verstanden werden wollen.
Ralf Schauf
Die Ukraine sieht seit dem Euromaidan im Jahr 2014 ihre Zukunft in einer stabilen Veran-kerung im westlichen Wertesystem. Für die EU ist die Ukraine ein priority partner und damit von besonderem Gewicht. Deshalb lag es folgerichtig im Interesse der EU, die Ukra-ine nach Kräften auf diesem Weg zu unterstützen.
Die wissenschaftliche Forschung zur EU-Demokratieförderung konzentrierte sich bis-her im Wesentlichen auf Staaten mit konkreter EU-Beitrittsperspektive. Sie kam zu dem Ergebnis, dass der Erfolg der Demokratieförderung maßgeblich von der Konditionierung eines EU-Beitritts getragen war. Damit konnte dieser Erfolg der EU als dominanter Träger der Demokratieförderung zugeordnet werden.
Mit dem Fokus auf Staaten ohne EU-Beitrittsperspektive entfällt diese Konditionie-rung. Auch weitere Akteure traten bei der Demokratieförderung hinzu, und die Wirksam-keit der Demokratieförderung kann nicht mehr der EU direkt zugeordnet werden. Es ent-stand also eine Forschungslücke, in welcher Weise jetzt die Wirksamkeit der EU-Demokratieförderung analysiert werden kann. Die vorliegende Studie greift diese For-schungslücke auf.
Zunächst wird analysiert, welcher Demokratiestatus der Ukraine und welche Defizite sich für den Untersuchungszeitraum ermitteln lassen. Im Anschluss erfolgt die Analyse der EU-Demokratieförderung auf der Grundlage einer eigens dafür entworfenen Definition von kohärenter Strategie, die eine statische und eine dynamische Dimension abbildet.
Die statische Dimension geht der Frage nach, ob die Zielsetzungen und Vorhaben der EU-Demokratieförderung auf die Demokratiedefizite zugeschnitten waren. Die dynami-sche Dimension des Transformationsprozesses beschäftigt sich mit der Frage, ob das jewei-lige Vorgehen den Prinzipien aus sozialkonstruktivistischer Perspektive folgte. Mit dieser sozialkonstruktivistischen Perspektive wird ein Weg aufgezeigt, wie man ohne eine EU-Beitritts-Konditionierung die Transformation demokratischer Werte und Normen erfolg-reich ausgestalten kann.
Das Ergebnis ist, dass die EU-Strategie der Demokratieförderung zwar mit ihren Ziel-setzungen und Vorhaben auf die Demokratiedefizite der Ukraine ausgerichtet war, aber auch, dass das Vorgehen in einem Fall nicht den Prinzipien aus sozialkonstruktivistischer Perspektive entsprach. Diesem Vorgehen lag keine kohärente EU-Strategie zugrunde.
Die Analyse auf der Ebene der Strategie lässt der EU-Demokratieförderung keine di-rekte Wirkung zuweisen, da auch andere Akteure eine Wirkung entfalten. Auf der Ebene eines konkreten Reformprojekts konnte dann der Nachweis geführt werden, dass die De-zen-tralisierungsreform direkt der EU zugeordnet werden kann, das Vorgehen den Prinzi-pien aus sozialkonstruktivistischer Perspektive folgt und eine positive Wirkung entfaltet.
Begünstigt wurde dieser Erfolg, da er sich auf demokratische Werte und Normen ab-stützen konnte, die in überdurchschnittlicher Ausprägung bereits vorhanden waren. Dar-über hinaus wurde aufgezeigt, dass dieses Projekt eine breit gefächerte potenzielle Wirkung auf den Reformprozess in Richtung Demokratie entfaltet.
Die Dissertation wurde am 14. Dezember 2021 abgeschlossen und an der Universität Koblenz-Landau eingereicht. Im Nachgang bietet ein „Postskript“ mit Datum September 2022 unter Berücksichtigung aktueller Entwicklungen eine Perspektive für weiterführende Forschungsfragen.
The decline of biodiversity can be observed worldwide and its consequences are alarming. It is therefore crucial that nature must be protected and, where possible, restored. A wide variety of different project options are possible. Yet in the context of limited availability of resources, the selection of the most efficient measures is increasingly important. For this purpose, there is still a lack of information. This pertains, as outlined in the next paragraph, in particular, to information at different scales of projects.
Firstly, there is a lack of information on the concrete added value of biodiversity protection projects. Secondly, there is a lack of information on the actual impacts of such projects and on the costs and benefits associated with a project. Finally, there is a lack of information on the links between the design of a project, the associated framework conditions and the perception of specific impacts. This paper addresses this knowledge gap by providing more information on the three scales by means of three empirical studies on three different biodiversity protection projects in order to help optimize future projects.
The first study “Assessing the trade-offs in more nature-friendly mosquito control in the Upper Rhine region” examines the added value of a more nature-friendly mosquito control in the Upper Rhine Valley of Germany using a contingent valuation method. Recent studies show that the widely used biocide Bti, which is used as the main mosquito control agent in many parts of the world, has more negative effects on nature than previously expected. However, it is not yet clear whether the population supports a more nature-friendly mosquito control, as such an adaptation could potentially lead to higher nuisance. This study attempts to answer this question by assessing the willingness to pay for an adapted mosquito control strategy that reduces the use of Bti, while maintaining nuisance protection within settlements. The results show that the majority of the surveyed population attaches a high value to a more nature-friendly mosquito control and is willing to accept a higher nuisance outside of the villages.
The second study “Inner city river restoration projects: the role of project components for acceptance” examines the acceptance of a river restoration project in Rhineland-Palatinate, Germany. Despite much effort, many rivers worldwide are still in poor condition. Therefore, a rapid implementation of river restoration projects is of great importance. In this context, acceptance by society plays a fundamental role, however, the factors determining such acceptance are still poorly understood. In particular, the complex interplay between the acceptance or rejection of specific project components and the acceptance of the overall project require further exploration. This study addresses this knowledge gap by assessing the acceptance of the project, its various ecological and social components, and the perception of real and fictitious costs as well as the benefits of the components. Our findings demonstrate that while acceptance of the overall project is generally rather high, many respondents reject one or more of the project's components. Complementary social project components, like a playground, find less support than purely ecological components. Overall, our research shows that complementary components may increase or decrease acceptance of the overall project. We, furthermore, found that differences in the acceptance of the individual components depend on individual concerns, such as perceived flood risk, construction costs, expected noise and littering as well as the quality of communication, attachment to the site, and the age of the respondents.
The third study “What determines preferences for semi-natural habitats in agrarian landscapes? A choice-modelling approach across two countries using attributes characterizing vegetation” investigates people's aesthetic preferences for semi-natural habitats in agricultural landscapes. The EU-Common Agricultural Policy promotes the introduction of woody and grassy semi-natural habitats (SNH) in agricultural landscapes. While the benefits of these structures in terms of regulating ecosystem services are already well understood, the effects of SNH on visual landscape quality is still not clear. This study investigates the factors determining people’s visual preferences in the context of grassy and woody SNH elements in Swiss and Hungarian landscapes using picture-based choice experiments. The results suggest that respondents’ choices strongly depend on specific vegetation characteristics that appear and disappear over the year. In particular, flowers as a source of colours and green vegetation as well as ordered structure and the proportion of uncovered soil in the picture play an important role regarding respondents’ aesthetic perceptions of the pictures.
The three empirical studies can help to make future projects in the study areas of biodiversity protection more efficient. While this thesis highlights the importance of exploring biodiversity protection projects at different scales, further analyses of the different scales of biodiversity protection projects are needed to provide a sound basis to develop guidance on identifying the most efficient biodiversity protection projects.
Instructor feedback on written assignments is one of the most important elements in the writing process, especially for students writing in English as a foreign language. However, students are often critical of both the amount and quality of the feedback they receive. In order to better understand what makes feedback effective, this study explored the nature of students’ assessments of the educational alliance, and how their receptivity to, perceptions of, and decisions about using their instructors’ feedback differed depending on how strong they believed the educational alliance to be. This exploratory case study found that students not only assessed the quality of the educational alliance based on goal compatibility, task relevance, and teacher effectiveness, but that there was also a reciprocal relationship between these elements. Furthermore, students’ perceptions of the educational alliance directly influenced how they perceived the feedback, which made the instructor’s choice of feedback method largely irrelevant. Stronger educational alliances resulted in higher instances of critical engagement, intrinsic motivation, and feelings of self-efficacy. The multidirectional influence of goal, task, and bond mean that instructors who want to maximize their feedback efforts need to attend to all three.
Social networks are ubiquitous structures that we generate and enrich every-day while connecting with people through social media platforms, emails, and any other type of interaction. While these structures are intangible to us, they carry important information. For instance, the political leaning of our friends can be a proxy to identify our own political preferences. Similarly, the credit score of our friends can be decisive in the approval or rejection of our own loans. This explanatory power is being leveraged in public policy, business decision-making and scientific research because it helps machine learning techniques to make accurate predictions. However, these generalizations often benefit the majority of people who shape the general structure of the network, and put in disadvantage under-represented groups by limiting their resources and opportunities. Therefore it is crucial to first understand how social networks form to then verify to what extent their mechanisms of edge formation contribute to reinforce social inequalities in machine learning algorithms.
To this end, in the first part of this thesis, I propose HopRank and Janus two methods to characterize the mechanisms of edge formation in real-world undirected social networks. HopRank is a model of information foraging on networks. Its key component is a biased random walker based on transition probabilities between k-hop neighborhoods. Janus is a Bayesian framework that allows to identify and rank plausible hypotheses of edge formation in cases where nodes possess additional information. In the second part of this thesis, I investigate the implications of these mechanisms - that explain edge formation in social networks - on machine learning. Specifically, I study the influence of homophily, preferential attachment, edge density, fraction of inorities, and the directionality of links on both performance and bias of collective classification, and on the visibility of minorities in top-k ranks. My findings demonstrate a strong correlation between network structure and machine learning outcomes. This suggests that systematic discrimination against certain people can be: (i) anticipated by the type of network, and (ii) mitigated by connecting strategically in the network.
Fungicide effects on the structure and functioning of leaf-associated aquatic fungal communities
(2022)
Aquatic hyphomycetes are a polyphyletic group of saprotrophic fungi growing abundantly on submerged leaf litter. In stream ecosystems shaped by allochthonous leaf litter inputs, they play a central functional role as decomposers and food source for other organisms. Fungicides pose a threat to aquatic hyphomycetes and their functions, since these substances are inherently toxic to fungi and contaminate surface waters around the world due to their widespread use in agricultural and urban landscapes. While fungicides’ potential to reduce fungal diversity are discerned, the extent of impacts on biodiversity-ecosystem functioning relationships (B EF) remains unclear. This is partly attributed to methodological constraints in the detection and quantification of single aquatic hyphomycete species within microbial leaf-associated communities. The primary aim of this thesis was, therefore, (1) to assess the ecotoxicological impacts of fungicides on B-EF relationships in aquatic hyphomycete communities. To facilitate this, subordinate aims were to (2) develop DNA-based biomolecular tools (i.e., qPCR assays) to detect and to quantify the biomass of different aquatic hyphomycete species in mixed cultures and (3) to investigate the mechanisms underlying B-EF relationships in the absence of chemical stressors.
In the course of this thesis, qPCR assays were developed for detection and species-specific biomass quantification of ten common aquatic hyphomycete species and successfully validated for application in eco( toxico )logical microcosm experiments. Via a systematic manipulation of fungal diversity, these assays allow the examination of B-EF relationships by assessments of deviations between observed and (monoculture-based) predicted activities in fungal mixed cultures. Taking advantage of these tools in a microcosm experiment, it was uncovered that leaf decomposition results from the additive activity of community members, even though functionally distinct species were present. Colonization dynamics are characterized by complex interactions. Colonization success of aquatic hyphomycetes is higher if co-occurring species are genetically and functionally distinct (i.e., complementary interactions). However, the co-occurrence of aquatic hyphomycete species does not necessarily result in a greater colonization success compared to monocultures, unless bacteria are present. Accordingly, the presence of other microbial groups such as bacteria may induce new fungal diversity-based feedback loops, which ultimately enable coexistence of aquatic hyphomycete species in the environment. Exposure to fungicides revealed substantial differences in sensitivities among aquatic hyphomycetes. The most productive species were able to cope with extremely high fungicide concentrations up to the mg/L-range. In assemblages containing these species, leaf decomposition was maintained under fungicide exposure. Yet, already at environmentally relevant fungicide concentrations, tolerant species displaced more sensitive ones, potentially affecting leaves’ nutritional quality for consumers. This thesis thus indicates that fungicide exposure poses a risk to stream food webs rather than the microbial leaf decomposition process per se.
Semantic Web technologies have been recognized to be key for the integration of distributed and heterogeneous data sources on the Web, as they provide means to define typed links between resources in a dynamic manner and following the principles of dataspaces. The widespread adoption of these technologies in the last years led to a large volume and variety of data sets published as machine-readable RDF data, that once linked constitute the so-called Web of Data. Given the large scale of the data, these links are typically generated by computational methods that given a set of RDF data sets, analyze their content and identify the entities and schema elements that should be connected via the links. Analogously to any other kind of data, in order to be truly useful and ready to be consumed, links need to comply with the criteria of high quality data (e.g., syntactically and semantically accurate, consistent, up-to-date). Despite the progress in the field of machine learning, human intelligence is still essential in the quest for high quality links: humans can train algorithms by labeling reference examples, validate the output of algorithms to verify their performance on a data set basis, as well as augment the resulting set of links. Humans —especially expert humans, however, have limited availability. Hence, extending data quality management processes from data owners/publishers to a broader audience can significantly improve the data quality management life cycle.
Recent advances in human computation and peer-production technologies opened new avenues for human-machine data management techniques, allowing to involve non-experts in certain tasks and providing methods for cooperative approaches. The research work presented in this thesis takes advantage of such technologies and investigates human-machine methods that aim at facilitating link quality management in the Semantic Web. Firstly, and focusing on the dimension of link accuracy, a method for crowdsourcing ontology alignment is presented. This method, also applicable to entities, is implemented as a complement to automatic ontology alignment algorithms. Secondly, novel measures for the dimension of information gain facilitated by the links are introduced. These entropy-centric measures provide data managers with information about the extent the entities in the linked data set gain information in terms of entity description, connectivity and schema heterogeneity. Thirdly, taking Wikidata —the most successful case of a linked data set curated, linked and maintained by a community of humans and bots— as a case study, we apply descriptive and predictive data mining techniques to study participation inequality and user attrition. Our findings and method can help community managers make decisions on when/how to intervene with user retention plans. Lastly, an ontology to model the history of crowd contributions across marketplaces is presented. While the field of human-machine data management poses complex social and technical challenges, the work in this thesis aims to contribute to the development of this still emerging field.
Currently, there are a variety of digital tools in the humanities, such
as annotation, visualization, or analysis software, which support researchers in their work and offer them new opportunities to address different research questions. However, the use of these tools falls far
short of expectations. In this thesis, twelve improvement measures are
developed within the framework of a design science theory to counteract the lack of usage acceptance. By implementing the developed design science theory, software developers can increase the acceptance of their digital tools in the humanities context.
The presented study was motivated by the dynamic phenomena observed in basic catalytic surface reactions, especially by bi- and tristability, and the interactions between these stable states. In this regard, three reaction-diffusion models were developed and examined using bifurcation theory and numerical simulations.
A first model was designed to extend the bistable CO oxidation on Ir(111) to include hydrogen and its oxidation. The differential equation system was analyzed within the framework of bifurcation theory, revealing three branches of stable solutions.
One state is characterized by high formation rates (upper rate state, UR), while the other two branches display low formation rates (lower rate (LR) \& very low rate (VLR) states).
The overlapping branches form the shape of a `swallowtail', the curve of saddle-node bifurcations forming two cusps. Increasing the temperature leads to a subsequent unfolding and hence decreases the system complexity.
A series of numerical simulations representing possible experiments was conducted to illustrate the experimental accessibility (or the lack) of said states. Relaxation experiments show partially long decay times. Quasistatic scanning illustrates the existence of all three states within the tristable regime and their respective conversion once crossing a fold.
A first attempt regarding the state dominance in reaction-diffusion fronts was done. While UR seems to dominate in 1D, a 2D time-evolution shows that LR invades the interphase between UR and VLR.
Subsequently, a generic monospecies mock model was used for the comprehensive study of reaction-diffusion fronts. A quintic polynomial as reaction term was chosen, derived by the sixth-order potential associated with the `butterfly bifurcation'. This ensures up to three stable solutions($u_{0}$,$u_{1}$,$u_{2}$), depending on the four-dimensional parameter space.
The model was explored extensively, identifying regions with similar behaviors.
A term for the front velocity connecting two stable states was derived, depending only on the relative difference of the states' potential wells.
Equipotential curves were found, where the front velocity vanishes of a given front. Numerical simulations on a two-dimensional, finite disk using a triangulated mesh supported these findings.
Additionally, the front-splitting instability was observed for certain parameters. The front solution $u_{02}$ becomes unstable and divides into $u_{01}$ and $u_{12}$, exhibiting different front velocities. A good estimate for the limit of the front splitting region was given and tested using time evolutions.
Finally, the established mock model was modified from continuous to discrete space, utilizing a simple domain in 1D and three different lattices in 2D (square, hexagonal, triangular).
For low diffusivities or large distances between coupling nodes, fronts can become pinned, if the parameters are within range of the equipotential lines. This phenomenon is known as propagation failure and its extent in parameter space was explored in 1D. In 2D, an estimate was given for remarkable front orientations respective to the lattice using a pseudo-2D approximation. Near the pinning region, front velocities differ significantly from the continuous expectation as the shape of the curve potential becomes significant. Factors that decide the size and shape of the pinning regions are the coupling strength, the lattice, the front orientation relative to the lattice, and the front itself. The bifurcation diagram shows a snaking curve in the pinning region, each alternating branch representing a stable or unstable frozen front solution. Numerical simulations supported the observations concerning propagation failure and lattice dependence.
Furthermore, the influence of front orientation on the front velocity was explored in greater detail, showing that fronts with certain lattice-dependent orientations are more or less prone to propagation failure. This leads to the possibility of pattern formation, reflecting the lattice geometry. An attempt to quantify the front movement depending on angular front orientation has shown reasonable results and good agreement with the pseudo-2D approach.