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Demographic change forces companies in the social sector, which already face more difficulties recruiting from the primary labor market and keep qualified workers committed then other enterprises, to deal with the increase of employees satisfaction. This research paper analyses the context of dialogic management in the relation between the manager and her staff and satisfaction of employees. It measures the personal preferences of leaders and staff from the employee perception.
The following personal preferences are distinguished: Harmony-seeking relation preference versus dominant autonomy preferencern Thrill-seeking stimulant preference versus controlling balance preference according to Riemann, 1999 und Pashen Dihsmaier 2011. The empiric research was done with help of a survey at the Samaritan institution Fürstenwalde with a 364 out of 560 employees´ participation. It finds significant correlation between the satisfaction of the employees with their managers and their dialogic expertise as well as with their skill to create confidence and spread appreciation. It determines differences in job satisfication of employees between the perceived psychological preferences of the staff and the perceived preference of their managers. It can be proved that relationship-oriented leaders show a higher degree of willingness for dialogue then autonomy-oriented managers. The satisfaction of employees with these leaders is clearly higher then with managers who are perceived as autonomy- oriented. A higher degree of correlation between the contentment and dialogic behavior of management could be determined with stimulant- and relationship-oriented employee against employees with a preference for autonomy or balance. The highest value of contentment could be reached by relationship- oriented workers, who perceive their management also relationship-oriented. The foundation of dialogic thought and behavior based on trust and appreciation must be developed upon managers and employees, first, before dialogic management can be introduced to a company.
In this context the relationship-oriented management approaches should be taken into consideration when recruiting managers and should also have a high priority in the human resources development.
This dissertation will discuss the theories of exponents of the philosophy of dialogue. Through that it shall establish the basis to reflect entrepreneurial leadership action. The goal is to find an approach for the development of a dialogical leadership culture.
The empirical part shall examine on what basis, in correlation with a dialogical leadership style, subjective assumptions are made by managers in their leadership action who work in inpatient nursing services. Furthermore, it shall address the question of how those subjective assumptions can be considered and utilized towards establishing future dialogically oriented leadership cultures and the development of coinciding management personnel.
It shall also debate the question to what extent the philosophy of dialogue includes theoretical concepts which can be used to describe a leadership culture. The intellectual approach of Martin Bubers is especially taken into consideration.
Based on these theoretical grounds, the attempt shall be made to develop the basic intention of a dialogical leadership culture which will appropriately justify a didactical concept for the development of management personnel in nursing services.
Grundwasser ist eine lebenswichtige Ressource und gleichzeitig ein thermisch stabiler Lebensraum mit einer außergewöhnlichen Fauna. Aufgrund der Klimageschichte der letzten ca. 1,8 Millionen Jahre in Mitteleuropa war die Ausgangshypothese, dass die meisten Grundwasserarten an Temperaturen unterhalb von 14 °C angepasst sind und sich Temperaturerhöhungen daher negativ auf die Grundwasserfauna auswirken.
Um die Folgen einer Klimaerwärmung in situ beurteilen zu können, wurden anthropogen erwärmte Grundwässer als Modelle herangezogen. In ersten Teil dieser Arbeit wurden die Crustaceagemeinschaften natürlich temperierter und anthropogen erwärmter Standorte untersucht. Dazu wurden insgesamt 70 Grundwassermessstellen im Oberrheingraben über ein Jahr (2011 bis 2012) sechsmal beprobt. Ergänzend zu diesem synökologischen Ansatz wurde in einem zweiten Teil die Temperaturpräferenz ausgewählter Arten überprüft. Für diese autökologische Betrachtung wurde ein deutschlandweiter Datensatz herangezogen.
Die ausgewählten Untersuchungsgebiete haben sich als geeignete Modelle für die prognostizierten Temperaturerhöhungen herausgestellt. Die Temperatur erwies sich als einer der wichtigsten Parameter für die Crustaceagemeinschaften. Erwärmungen beeinflussen die Zusammensetzung der Gemeinschaften und die Diversität. Dabei zeigte sich, dass es artspezifisch unterschiedliche Temperaturpräferenzen gibt. Einige vermutlich weniger streng stygobionte Arten scheinen höhere Temperaturen zu tolerieren. Der Großteil der stygobionten Grundwasserarten bevorzugt allerdings Temperaturen unterhalb von 14 °C, wobei wenige Arten als „extrem kalt¬steno-therm“ einzustufen sind. Diese Arten wurden an Standorten nachgewiesen, die aufgrund der hydrologischen Verhältnisse relativ kühl sind und der Fauna auch zukünftig als kalte Refugien Schutz bieten könnten. Einer dieser Standorte ist aufgrund seiner Artenvielalt als „Hot Spot“ einzustufen. Die Ergebnisse legen nahe, dass vor allem kaltstenotherme Arten durch eine Klimaerwärmung und anthropogene Wärmeeinträge gefährdet sind.
Die Untersuchung zeigt, dass Grundwasserlebensräume vor Temperaturerhöhungen zu bewahren sind. Lokale anthropogene Wärmeeinträge sollten keine dauerhafte und großflächige Grundwassererwärmung über 14 °C zur Folge haben. Thermische Ein-träge sollten überwacht und bewertet werden. Es wird empfohlen, die bestehenden rechtlichen Rahmenbedingungen den ökologischen Erfordernissen anzupassen.
Die vorliegende Doktorarbeit verfolgt das Ziel, die Bevölkerungsentwicklung im Westerwaldkreis im Zeitraum von 1974 bis 2008 auf Kreis-, Verbandsgemeinde- und Gemeindeebene detailliert zu untersuchen und im Rahmen eines Handlungskonzeptes für ausgewählte Gemeinden geeignete Maßnahmen zur konkreten Gestaltung des Demographischen Wandels aufzuzeigen. Dies geschieht zunächst anhand einer umfassenden Analyse der Bevölkerungsdaten. Dazu zählt eine Einteilung des Untersuchungszeitraums in spezielle Phasen der Bevölkerungsentwicklung, welche durch die jährlichen Veränderungsraten des Bevölkerungsstandes des Westerwaldkreises charakterisiert werden. Anschließend wird ausführlicher auf wichtige Kennzahlen der Bevölkerungsentwicklung aus den Bereichen der natürlichen Bevölkerungsbewegung, der Bevölkerungsstruktur und der Wanderungen eingegangen mit der Intention, einerseits detaillierte Ergebnisse hervorzubringen, die im Rahmen bisheriger Untersuchungen nicht vorliegen und andererseits Grundlagen für die Ursachenforschung zu schaffen, die der Analyse der Bevölkerungsdaten folgt. Für diese Ursachenforschung werden fünf Gemeinden exemplarisch ausgewählt, die eine besonders positive bzw. negative Bevölkerungsentwicklung im Untersuchungszeitraum aufweisen. Integrale Bestandteile dieser Ursachenforschung sind, neben einer ausführlichen Darstellung der Bevölkerungsentwicklung der Gemeinden, Experteninterviews und eigene humangeographische Beobachtungen. Des Weiteren wird speziell für die drei ausgewählten Gemeinden mit negativer Bevölkerungsentwicklung eine Online-Umfrage unter Jugendlichen durchgeführt, um weitere Ursachen herauszufinden und erste zentrale Ansatzpunkte für das abschließende Handlungskonzept zu finden. Dieses Konzept verfolgt primär die Intention, den Demographischen Wandel in den drei Gemeinden in der Art und Weise zukünftig zu gestalten, dass seine negativen Folgen vermieden bzw. zumindest abgemildert werden. Dazu ist es notwendig, auf die spezifischen Situationen vor Ort einzugehen und die praktische Umsetzbarkeit möglicher Handlungsempfehlungen zu berücksichtigen, damit das Konzept Eingang in die kommunalpolitische Planung findet und somit nicht nur einen Beitrag zur bevölkerungsgeographischen Forschung darstellt, sondern auch einen Nutzen für die kommunale Handlungspraxis stiftet.
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.
Die Entstehung von Gründungsteams wird bisher lediglich als Abfolge von Suche, Auswahl und Gewinnung von Gründerpersonen verstanden. In der vorliegenden Arbeit wird auf Basis von 47 interviewten Gründerpersonen ein neues Verständnis für die Entstehung von Gründungsteams geschaffen. Dabei wird im Stil der Grounded Theory das bisher vorherrschende Model der Teamentstehung maßgeblich erweitert. So wird eine neue Art der Unterscheidung von Grünerpersonen entdeckt, welche auf die Intention von Teammitgliedern abzielt. Zudem zeigt sich, dass Teams in einem iterativ-epiodischen Prozess entstehen und Veränderungen von Teamzu-sammmensetzungen Bestandteil der Entstehung sind. Aufgrund der in dieser Arbeit geschaffenen neuen Erkenntnisse zur Teamentstehung können Handlungsempfehlungen für Gründerpersonen und die Gründungsförderung gegeben werden. Zudem werden neue Untersuchungsgebiete für Gründungsteams eröffnet, die das hier entwickelte Modell als Bezugsrahmen für weitere Forschung nehmen können.
Ein Zusammenhang zwischen den Rahmenbedingungen, die sich in unterschiedlichen Familienformen zeigen, der elterlichen Erziehung und der Qualität der Familienbeziehungen wurde in der Forschung vielfach gezeigt. Die Hauptfragestellung dieser Arbeit ist: Wie verändert sich die kindliche Wahrnehmung der Familienbeziehungen und des mütterlichen Erziehungsverhaltens im Verlauf nach der Trennung der Eltern im Vergleich mit der in Zweielternfamilien? Im ersten Schritt der Untersuchung geht es um die kindliche Perzeption der Veränderung der Familienbeziehungen " also der gefühlsmäßig wahrgenommenen Familienstruktur " innerhalb der Zeit nach der Trennung der Eltern im Vergleich mit den Kindern einer Kontrollgruppe, die in Zweielternfamilien leben. Im zweiten Schritt erfolgt die Analyse der Wahrnehmung des mütterlichen Erziehungsverhaltens und zwar sowohl aus Sicht der Mütter als auch aus Sicht der Kinder. Im letzten Teil der Arbeit werden der Familienstand, das Geschlecht des Kindes und die Perzeption des Erziehungsverhaltens als Prädiktoren für die Wahrnehmung der Familienbeziehungen betrachtet. Zur Klärung dieser Fragestellungen wurden 39 Kinder aus Einelternfamilien und 42 Kinder aus Zweielternfamilien mit Testverfahren untersucht. Eingesetzt wurden der Family Relations Test in der deutschen Fassung von Flämig und Wörner (1977) und der Zürcher Kurzfragebogen zum Erziehungsverhalten von Reitzle et al. (in der Version von 2001).
Forschungsergebnisse zum Männerchorwesen Deutschlands im 19. Jahrhundert belegen dessen gesellschaftliche und politische Relevanz. Das so genannte Sängerwesen leistete demnach einen wesentlichen Beitrag zur Nationsbildung in Deutschland, da die Sänger durch ihren Gesang sowie durch ihre Aktivitäten im Verein und in der Öffentlichkeit zur inneren Einigung der Bevölkerung beitrugen und somit halfen, eine einheitliche Nation zu formen. Im Gegensatz dazu gab es bislang kaum Erkenntnisse über die gesellschaftlichen und politischen Hintergründe des Männerchorwesens der Pfalz im gleichen Zeitraum. Um diese Lücke zu schließen, wurde mit der vorliegenden Arbeit die Geschichte des Männerchorwesens der Pfalz erforscht, insbesondere hinsichtlich seiner Bedeutung für die Nationsbildung Deutschlands. Der Untersuchungszeitraum erstreckt sich von 1816, dem Jahr, in dem die Pfalz zum bayerischen Staatsgebiet wurde, bis zur Gründung des Deutschen Reiches im Jahre 1871.
Zunächst wird die Entwicklung des pfälzischen Sängerwesens bezüglich der Zahl der gegründeten Vereinen in den einzelnen Jahren und Orten sowie bezüglich des Feierns lokaler und regionaler Sängerfeste im Überblick und im Vergleich zum Musikvereinswesen der Pfalz im gleichen Zeitraum dargestellt. Dieser Betrachtung des pfälzischen Männerchorwesens als Ganzem folgt die Untersuchung seiner Einzelteile, der Personen und Ereignisse innerhalb einzelner Sängervereine und innerhalb bestimmter Zeitabschnitte, vor dem Hintergrund der jeweiligen politischen und gesellschaftlichen Situation. Bedeutend sind in diesem Zusammenhang vor allem die Auswirkungen der politisch-gesellschaftlichen Großereignisse Hambacher Fest von 1832 sowie Revolution von 1848/49 auf die laienmusikalischen Vereinskulturen.
Schließlich werden die einzelnen Phänomene und die Gesamtentwicklung aufeineander bezogen. Der Anhang der Forschungsarbeit beinhaltet, neben Auszügen aus den Protokollbüchern des "Cäcilienverein-Liedertafel Dürkheim" sowie Plakaten von pfälzischen Musik- und Sängerfesten der 1840er Jahre, Übersichtstabellen mit Informationen zu den Pfälzischen Musikfesten des 19. Jahrhunderts sowie zu den im Untersuchungszeitraum gegründeten Sängervereinen, außerdem Kartenmaterial zur räumlichen Verbreitung der Vereine sowie Notenmaterial zum freimaurerischen "Weihelied" des Kaiserslauterer Seminarlehrers Philipp Walter.
Die Arbeit stellt eine Systematisierung der wissenschaftsphilosophischen Gedanken der klassischen Pragmatisten (Charles S. Peirce, William James, John Dewey) dar.
Deren Erfahrungstheorie sowie die Bestimmung des Verhältnisses von Theorie und Praxis bilden die Grundlage einer holistischen Wissenschaftsphilosophie.
Die exemplarische Anwendung auf klassische wissenschaftstheoretische Fragestellungen zeigt die Aktualität des Ansatzes.
In dieser Studie sollte hinsichtlich der Entwicklung eines faunistisch begründeten Monitoringkonzeptes für hydrologische Interaktionen untersucht werden, inwieweit die Meiofauna in Hyporheal und Grundwasser in der Lage ist, Oberflächenwasser-Grundwasser-Interaktionen zu reflektieren und die hydrologischen Verhältnisse einer Uferfiltrationsanlage aufzuzeigen. Dafür wurden hydrochemische und faunistische Analysen bezüglich ihrer Aussagekraft miteinander verglichen. Außerdem wurde die Anwendbarkeit des Grundwasser-Fauna-Index (GFI) zur Beurteilung der Stärke des Oberflächenwassereinflusses auf unterirdisches Wasser überprüft. Für die Untersuchung wurde die Uferfiltrationsanlage Flehe der Stadtwerke Düsseldorf ausgewählt, auf deren Gelände 70 vertikale Entnahmebrunnen über eine Strecke von 1,4 km eine Brunnengalerie bilden, die im Jahr insgesamt 11 Mio. m3 Wasser fördert. Am Untersuchungsstandort wurden insgesamt 15 Observationspegel von Februar 2005 bis Januar 2006 faunistisch und hydrochemisch beprobt. Die physikochemische Untersuchung ergab eine Aufteilung des Untersuchungsgebietes in vier Zonen. Neben dem Oberflächenwasser des Rheins [OW Rhein] konnten das Uferfiltrationswasser zwischen Rhein und den Entnahmebrunnen [Hyporheal], alluviales Grundwasser hinter der Brunnengalerie [Alluv. GW] und bei größerer Entfernung zum Rhein landseitiges Grundwasser [landseitiges GW] differenziert werden. Dabei wies der Rhein die typische Charakteristik eines Fließgewässers auf, gekennzeichnet durch eine große Temperaturamplitude mit einem Sommermaximum, hohen Sauerstoffkonzentrationen mit einem Wintermaximum und erhöhten AOX-, DOC- und SAK254nm-Werten. Am Uferfiltrat der Gruppe [Hyporheal] wurde die Wirksamkeit der mikrobiellen Abbauprozesse während der Uferfiltration mit deutlichen Reduzierungen der DOC- und SAK- und Sauerstoffkonzentrationen ersichtlich. Die Gruppe [Alluv. GW] und verstärkt das [landseitige GW] waren durch eine höhere elektrische Leitfähigkeit und erhöhten Bor- und Sulfatkonzentrationen sowie z. T. geringen Sauerstoffgehalten gekennzeichnet. Anhand dieser hydrochemischen Differenzen konnte die unterschiedliche Herkunft des Wassers im Untersuchungsgebiet ermittelt werden Die faunistischen Untersuchungen zeigten ein differenzierteres Bild von den hydrologischen Verhältnissen als die Hydrochemie. Insgesamt konnten fünf ökologische Gruppen ermittelt werden. Die Gruppe [Hyporheal 1] der A-Pegelreihe wies als einzige euryöke Arten auf, die einen stärkeren Oberflächenwassereinfluss anzeigten. Im [Hyporheal 2] der B-Pegelreihe konnte eine artenreiche ökotonale Fauna nachgewiesen werden, während die Proben des alluvialen Grundwassers der C-Pegelreihe [Alluv. GW (Pumpe)] den Einfluss der Entnahmebrunnen reflektierten. In den Pegeln des alluvialen Grundwassers [Alluv. GW] wurde aufgrund der geringeren Beeinflussung der Pumpen artenreichere Zoozönosen vorgefunden. Das [landseitige GW] wies schließlich eine arten- und abundanzarme Fauna auf, die charakteristisch ist für Grundwasser mit geringem Oberflächenwassereinfluss. Folglich konnte die Fauna nicht nur die Herkunft des Grundwassers anzeigen, sondern auch den Einfluss und die Intensität des Oberflächenwassers auf das Grundwasser sowie anthropogene Störungen wie eine verstärkte Kolmation bzw. die Effekte der Wasserentnahme durch die Brunnen. Die Meiofauna im Grundwasserleiter der Uferfiltrationsanlage dürfte somit als Indikator für hydrologische Verhältnisse gut geeignet sein. Der Grundwasser-Fauna-Index konnte als der wichtigste Faktor aller physikochemischen Parameter ermittelt werden, der die faunistischen Gruppen am stärksten beeinflusst. Außerdem war der GFI in der Lage, die Auswirkung und Intensität des Einflusses von Oberflächenwasser auf die einzelnen Probestandorte anzuzeigen. Die hier dargestellten Ergebnisse zeigen, dass die Grundwasserfauna und der GFI viel versprechende Methoden zur Bewertung der hydrologischen Verhältnisse, insbesondere des Einflusses von Oberflächenwasser auf das Grundwasser sind. Daher sind sie als Ergänzung zur hydrochemischen Analyse zu empfehlen und können auch einen wichtigen Beitrag für die Vulnerabilitätsabschätzung leisten.
Despite their importance to the permanent success of service firms, the construct of perceived customer discrimination and its impact on the customer so far has received relatively little attention in business and management research. Existing studies, mostly social science studies from the United States, show the existence of discrimination in different service contexts. Nevertheless, the existing literature shows some gaps that require further research. So far primarily qualitative and case-based studies about customer discrimination exist which hinder the generalization of the findings. Moreover, although such studies give insight into the origin and the perception of discrimination from the customers" perspective, they provide no useful means to the management of service firms to verify the existence of discrimination in the customer contact of their own company. A research gap exists mainly with regard to the measurement of perceived customer discrimination and the investigation of its consequences. The aim of this thesis is to develop and validate a multi-item scale for measuring perceived customer discrimination. Firstly, this thesis develops a literature-based understanding of perceived customer discrimination, assuming a three-dimensional conceptualization of the construct. Based upon this three-dimensional conceptualization in a first study, an instrument for measuring perceived customer discrimination with the dimensions "overt discrimination", "discriminatory level of service" and "subtle discrimination" is being developed using qualitative and quantitative methods. Based on this three-dimensional conceptualization of perceived customer discrimination hypotheses are formulated and empirically tested supporting the nomological validity of the scale (study 1). Subsequently, the predictive validity of the scale is examined with a further sample and a known groups validity is conducted (study 2). To reconfirm the three-dimensionality and the nomological validity of the scale, dyads of service employees and customers are being surveyed in a further study via a questionnaire (study 3). Managerial and research-related implications of the results are discussed.
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.
Externe Repräsentationen spielen eine wichtige Rolle für die Lösung von mathematischen Textaufgaben. Die vorliegende Studie untersucht die Effekte bereitgestellter Repräsentationen beim Lösen problemhaltiger Textaufgaben in der Grundschule. Insbesondere problemhaltige Textaufgaben sind für Schüler anspruchsvoll, da sie nicht direkt mit den eingeübten und routinierten Rechenoperationen gelöst werden können. Sie zeichnen sich dadurch aus, dass sich der Lösungsweg nicht auf einen Blick erschließt, die mathematische Grundstruktur daher zunächst erkannt, entfaltet und verstanden werden muss und häufig mehrere Aufgabenbedingungen bei der Planung und Beschreitung des Lösungswegs bedacht und verarbeitet werden müssen. Um diesen komplexen Anforderungen begegnen zu können, benötigen Schüler die Fähigkeit, das Problem adäquat zu repräsentieren. Dabei können verschiedene Darstellungsformen wie Zeichnungen und Tabellen verwendet werden, die dann als Werkzeuge für die kognitiven Lösungsprozesse dienen. Da Grundschüler von sich aus häufig keine externen Repräsentationen erstellen, geht die vorliegende Studie den Fragen nach, (1) ob vorgefertigte Repräsentationen das Problemlösen verbessern und erleichtern, (2) ob sich eine Auseinandersetzung mit vorgefertigten Tabellen und Zeichnungen auch auf späteres Problemlösen ohne bereitgestellte Hilfsmittel auswirkt, (3) welche Repräsentationsform (Zeichnung oder Tabelle) und (4) wie viel Vorstrukturierung der bereitgestellten Repräsentation dabei hilfreicher ist. In einem experimentellen Studiendesign arbeiteten 199 Viertklässler an unterschiedlichen problemhaltigen Textaufgaben. Das Design bestand aus drei Tests: (1) Vor-, (2) Treatment- und (3) Transfertest. Im Vortest wurde die Ausgangsleistung der Probanden bei problemhaltigen Textaufgaben gemessen. Im Treatment-Test wurde die Performance beim Problemlösen mit vorgegebenen Repräsentationen erhoben: Probanden der Experimentalgruppe erhielten Zeichnungen und Tabellen in unterschiedlichen Vorstrukturierungsgraden zu den Aufgaben (Intervention), eine Kontrollgruppe erhielt keine Repräsentationen. Im Transfertest bearbeiteten die Teilnehmer vergleichbare Aufgaben wiederum ohne vorgegebene Repräsentationen, um die Problemlöse-Performance nach der Intervention zu messen. Die Ergebnisse zeigten erstens, dass die bereitgestellten Repräsenta-tionen entgegen der Annahme die Problemlöseprozesse insgesamt nicht verbessert und erleichtert haben. Zweitens: Wurde eine Repräsentation bereitgestellt, war eine Zeichnung wie angenommen hilfreicher als eine Tabelle. Jedoch war dieser Effekt abhängig vom Problemtyp und vom Grad der Vorstrukturierung. Offensichtlich genügte es nicht, Zeichnungen und Tabellen einfach nur bereitzustellen, da die Probanden vielfach Schwierigkeiten bei der Interpretation und adäquaten Verwendung der Repräsentationen hatten. Dies spricht für die Notwendigkeit eines Trainings zur Ausbildung und Förderung einer frühen „diagram literacy“ bereits bei Grundschülern.
Die Vermeidung von Lebensmittelabfällen als nicht-technische Strategie zur Umsetzung der Bioökonomie
(2018)
Das Konzept der Bioökonomie beruht auf der Vision einer Wirtschaft, die durch die bevorzugte Verwendung biogener Rohstoffe unabhängiger wird von der Nutzung fossiler Quellen und gleichzeitig einen Beitrag zu Klima- und Ressourcenschutz, Ernährungssicherung und Stärkung der heimischen Wirtschaft leisten kann. Da die land- und forstwirtschaftliche Bio-masseproduktion aufgrund knapper Flächen jedoch begrenzt ist und sich bereits heute die negativen Folgen einer verstärkten Nachfrage zeigen, wird bezweifelt, dass sich die Vision in nachhaltiger Weise realisieren lässt. Offizielle Bioökonomie-Strategien setzen auf einen Technik-basierten Umsetzungspfad, in der Hoffnung, mit Hilfe technischer Innovationen Biomasseproduktion und Umweltverbrauch zu entkoppeln. Kritiker aus Wissenschaft und Zivilgesellschaft stehen diesem Weg skeptisch gegenüber. Sie befürchten, dass Effizienzsteigerungen und die Entwicklung neuer, umweltverträglicher Konversionsprozesse nicht ausreichen werden, um potentiell negative Folgen einer verstärkten Biomassenutzung abzuwenden. Angesichts der natürlichen Grenzen der Biosphäre sehen sie vor allem nicht-technische Ansätze zur Veränderung von Produktions- und Konsummustern als unverzichtbare Voraus-setzungen an. Mit der Formulierung eines sozial-ökologischen Umsetzungspfads wird eine Modifizierung des Bioökonomie-Konzepts gefordert, von einem bloßen Wandel der Ressourcenbasis hin zu einer umfassenden gesellschaftlichen Transformation, mit dem Ziel, Ressourcenverbrauch und Rohstoffproduktion neu zu justieren.
Die Arbeit stellt anhand des Beispiels der Lebensmittelabfälle die Bedeutung nicht-technischer Ansätze für die Realisierung der Bioökonomie heraus. Die Basis bilden fünf Publikationen, von denen sich drei mit dem Aufkommen von Lebensmittelabfällen, den Ursachen ihrer Entstehung und möglichen Vermeidungsstrategien befassen. Die anderen beiden Veröffentlichungen behandeln Flächenkonkurrenzen in der Landwirtschaft sowie Implementierungspfade der Bioökonomie. Die Arbeit kommt zu dem Schluss, dass der Beitrag von Lebensmittelabfällen zur Bioökonomie auf zwei Weisen denkbar ist: Entweder können diese als Ausgangsstoff für die Biogasproduktion oder die Bioraffinerie genutzt werden, was der aktuell vorherrschenden Vorstellung entspricht. Oder es können durch eine Reduktion des Abfallaufkommens Ressourcen, die bisher in die Bereitstellung nicht konsumierter Lebensmittel flossen, für andere Biomassenutzungen freigesetzt werden.
Die Analyse des Abfallaufkommens und der damit verbundenen Umweltwirkungen, aber auch vorhandene Studien über die ökologischen Wirkungen von Abfallvermeidungs- und verwertungsoptionen zeigen, dass die Vermeidung unter dem Gesichtspunkt der Ressourceneffizienz die sinnvollere Option darstellt. Die Arbeit hebt das Potenzial hervor, das sich aus der Berücksichtigung einer Reduktion von Lebensmittelabfällen für die Bioökonomie ergeben könnte. So ist denkbar, dass durch einen effizienteren Umgang mit den bereits produzierten Nahrungsmitteln Ressourcen freigesetzt werden können, die den Spielraum für die Realisierung der Bioökonomie verbessern würden oder aber Perspektiven entstehen für alternative Formen des Landbaus, die eine umweltverträglichere Biomasseproduktion ermöglichen könnten. Da nicht-technische Ansätze in der aktuellen Bioökonomie-Debatte kaum Berücksichtigung finden, besteht Bedarf, diese in das politische Konzept der Bioökonomie einzubeziehen und den wissenschaftlichen Diskurs für diese Aspekte zu öffnen.
Diet-related effects of antimicrobials in aquatic decomposer-shredder and periphyton-grazer systems
(2022)
Leaf-associated microbial decomposers as well as periphyton serve as important food sources for detritivorous and herbivorous macroinvertebrates (shredders and grazers) in streams. Shredders and grazers, in turn, provide not only collectors with food but also serve as prey for predators. Therefore, decomposer-shredder and periphyton-grazer systems (here summarized as freshwater biofilm-consumer systems) are highly important for the energy and nutrient supply in heterotrophic and autotrophic stream food webs. However, both systems can be affected by chemical stressors, amongst which antimicrobials (e.g., antibiotics, fungicides and algaecides) are of particular concern. Antimicrobials can impair shredders and grazers not only via waterborne exposure (waterborne effect pathway) but also through dietary exposure and microorganism-mediated alterations in the food quality of their diet (dietary effect pathway). Even though the relevance of the latter pathway received more attention in recent years, little is known about the mechanisms that are responsible for the observed effects in shredders and grazers. Therefore, the first objective of this thesis was to broaden the knowledge of indirect antimicrobial effects in a model shredder and grazer via the dietary pathway. Moreover, although freshwater biofilm-consumer systems are most likely exposed to antimicrobial mixtures comprised of different stressor groups, virtually nothing is known of these mixture effects in both systems. Therefore, the second objective was to assess and predict diet-related antimicrobial mixture effects in a model freshwater biofilm-consumer system. During this thesis, positive diet-related effects of a model antibiotic on the energy processing and physiology of the shredder Gammarus fossarum were observed. They were probably triggered by shifts in the leaf-associated microbial community in favor of aquatic fungi that increased the food quality of leaves for the shredder. Contrary to that, a model fungicide induced negative effects on the energy processing of G. fossarum via the dietary pathway, which can be explained by negative impacts on the microbial decomposition efficiency leading to a reduced food quality of leaf litter for gammarids. For diet-related antimicrobial effects in periphyton-grazer systems, a model algaecide altered the periphyton community composition by increasing nutritious and palatable algae. This resulted in an enhanced consumption and physiological fitness of the grazer Physella acuta. Finally, it was shown that complex horizontal interactions among leaf-associated microorganisms are involved, making diet-related antimicrobial mixture effects in the shredder G. fossarum difficult to predict. Thus, this thesis provides new insights into indirect diet-related effects of antimicrobials on shredders and grazers as well as demonstrates uncertainties of antimicrobial mixture effect predictions for freshwater biofilm-consumer systems. Moreover, the findings in this thesis are not only informative for regulatory authorities, as indirect effects and effects of mixtures across chemical classes are not considered in the environmental risk assessment of chemical substances, but also stimulate future research to close knowledge gaps identified during this work.
The transport of pesticides from agricultural land into surface waters via diffuse entry pathways such as runoff is a major threat to aquatic ecosystems and their communities. Although certain risk mitigation measures are currently stipulated during pesticide product authorisation, further approaches might be needed to manage hot spots of pesticide exposure. Such a management is, for example, required by the European Union- directive for the sustainable use pesticides (2009/128/EC).
The need for mitigation measures was investigated within the present thesis at stream sites draining an arable and a vineyard region in Germany by characterising pesticide exposure following edge-of-field runoff and (expected) effects on the aquatic macroinvertebrates. The results of these field studies showed, that streams in both regions were exposed to pesticide concentrations suggesting effects on the macroinvertebrate community. In the arable region the observed toxicity was mainly attributed to the insecticides lambda-cyhalothrin (in the water-phase samples) and alpha-cypermethrin (in the suspended particle samples), whereas in the vineyard region fungicides were most important. Furthermore stream water and suspended particles sampled in the vineyard region showed critical copper concentrations, which might cause ecotoxicological effects in the field. In addition to pesticide exposure, in the arable region also the effects on aquatic macroinvertebrates were assessed in the field. Generally, invertebrate fauna was dominated by pesticide-tolerant species, which suggested a high pesticide exposure at almost all sites. The elevated levels of suspended particle contamination in terms of maximum toxic units per sample (logTUMax > -2) reflect also this result. At two sites that received high aqueous-phase entries of the insecticide lambda-cyhalothrin (logTUMax > -0.6), the abundance and number of sensitive species (indicated by the SPEcies At Risk index) decreased during the pesticide application period. In contrast, at sites characterised by low water-phase toxicity (logTUMax < -3.5), no acute significant negative effects on macroinvertebrates were observed. In conclusion these data showed that in both regions the implementation of risk mitigation measures is needed to protect the aquatic communities.
To mitigate runoff-related pesticide entries, riparian buffer strips are often recommended. However, the mitigating influence with increasing buffer strip width could not be demonstrated for riparian buffers which were already present in the arable and vineyard region. This result was attributed in the vineyard region to the high number of paved field paths associated with artificial erosion rills, which concentrate and rapidly transport receiving edge-of-field runoff in stream direction. Consequently the pesticide reduction efficiency of buffer strips is considerably reduced. We assumed that a similar process occurred in the arable region, due to a high number of erosion rills, which complicate a laminar sheet flow of edge-of-field runoff through the riparian buffer strip. Additionally also the presence of ephemeral drainage ditches, which led surface runoff from the agricultural fields to the streams may have contributed to observed pesticide entries despite wide buffers.
Effective risk mitigation measures should address these identified most important input pathways in the study areas. As possible measures the implementation of grassed field paths and vegetated ditches or wetlands were suggested. In general also the improvement of currently present riparian buffer strips regarding their efficiency to reduce pesticide runoff entries should be taken into account. In conclusion the results of the field studies underline the importance that risk mitigation measures are identified specifically for the respective pollution situation in stream catchments. To facilitate this process, a user guide was developed within the present thesis for identifying appropriate mitigation measures at high-risk sites. Based on a survey of exposure relevant landscape parameter a set of risk mitigation measures is suggested that focus on the specific pollution situation. Currently the guide includes 12 landscape- and six application-related measures and presents an overview of these measures" efficiency to reduce pesticide entries via runoff and spray drift, their feasibility and expected acceptability to farmers. Based on this information the user can finally choose the mitigation measures for implementation. The present guide promotes the practical implementation of appropriate risk mitigation measures in pesticide-polluted streams, and thus the protection of aquatic stream communities against pesticide entries.
Folksonomies are Web 2.0 platforms where users share resources with each other. Furthermore, they can assign keywords (called tags) to the resources for categorizing and organizing the resources. Numerous types of resources like websites (Delicious), images (Flickr), and videos (YouTube) are supported by different folksonomies. The folksonomies are easy to use and thus attract the attention of millions of users. Together with the ease they offer, there are also some problems. This thesis addresses different problems of folksonomies and proposes solutions for these problems. The first problem occurs when users search for relevant resources in folksonomies. Often, the users are not able to find all relevant resources because they don't know which tags are relevant. The second problem is assigning tags to resources. Although many folksonomies (like Delicious) recommend tags for the resources, other folksonomies (like Flickr) do not recommend any tags. Tag recommendation helps the users to easily tag their resources. The third problem is that tags and resources are lacking semantics. This leads for example to ambiguous tags. The tags are lacking semantics because they are freely chosen keywords. The automatic identification of the semantics of tags and resources helps in reducing problems that arise from this freedom of the users in choosing the tags. This thesis proposes methods which exploit semantics to address the problems of search, tag recommendation, and the identification of tag semantics. The semantics are discovered from a variety of sources. In this thesis, we exploit web search engines, online social communities and the co-occurrences of tags as sources of semantics. Using different sources for discovering semantics reduces the efforts to build systems which solve the problems mentioned earlier. This thesis evaluates the proposed methods on a large scale data set. The evaluation results suggest that it is possible to exploit the semantics for improving search, recommendation of tags, and automatic identification of the semantics of tags and resources.
In the last years the e-government concentrated on the administrative aspects of administrative modernisation. In the next step the e-discourses will gain in importance as an instrument of the public-friendliness and means of the e-democracy/e-participation. With growing acceptance of such e-discourses, these will fastly reach a complexity, which could not be mastered no more by the participants. Many impressions, which could be won from presence discussions, will be lacking now. Therefore the exposed thesis has the objective of the conception and the prototypical implementation of an instrument (discourse meter), by which the participants, in particular the moderators of the e-discourse, are capable to overlook the e-discourse at any time and by means of it, attain their discourse awareness. Discourse awareness of the present informs about the current action in the e-discourse and discourse awareness of the past about the past action, by which any trends become visible. The focus of the discourse awareness is located in the quantitative view of the action in the e-discourse. From the model of e-discourse, which is developed in this thesis, the questions of discourse awareness are resulting, whose concretion is the basis for the implementation of the discourse meter. The discourse sensors attached to the model of the e-discourse are recording the actions of the e-discourse, showing events of discourse, which are represented by the discourse meter in various forms of visualizations. The concept of discourse meter offers the possibility of discourse awareness relating to the present as monitoring and the discourse awareness relating to the past as query (quantitative analysis) to the moderators of the e-discourse.
The publication of freely available and machine-readable information has increased significantly in the last years. Especially the Linked Data initiative has been receiving a lot of attention. Linked Data is based on the Resource Description Framework (RDF) and anybody can simply publish their data in RDF and link it to other datasets. The structure is similar to the World Wide Web where individual HTML documents are connected with links. Linked Data entities are identified by URIs which are dereferenceable to retrieve information describing the entity. Additionally, so called SPARQL endpoints can be used to access the data with an algebraic query language (SPARQL) similar to SQL. By integrating multiple SPARQL endpoints it is possible to create a federation of distributed RDF data sources which acts like one big data store.
In contrast to the federation of classical relational database systems there are some differences for federated RDF data. RDF stores are accessed either via SPARQL endpoints or by resolving URIs. There is no coordination between RDF data sources and machine-readable meta data about a source- data is commonly limited or not available at all. Moreover, there is no common directory which can be used to discover RDF data sources or ask for sources which offer specific data. The federation of distributed and linked RDF data sources has to deal with various challenges. In order to distribute queries automatically, suitable data sources have to be selected based on query details and information that is available about the data sources. Furthermore, the minimization of query execution time requires optimization techniques that take into account the execution cost for query operators and the network communication overhead for contacting individual data sources. In this thesis, solutions for these problems are discussed. Moreover, SPLENDID is presented, a new federation infrastructure for distributed RDF data sources which uses optimization techniques based on statistical information.
The sediments of surface waters are temporary or final depository of many chemical compounds, including trace metals and metalloids (metal(loid)s) from natural and anthropogenic sources. Whether they act as a source or sink of metal(loid)s depends strongly on the dynamics of the biogeochemical processes that take place at the sediment-water interface (SWI). Important information on biogeochemical processes as well as on the exposure, the fate and the transport of pollutants at the SWI can be obtained by determining chemical concentration profiles in the sediment pore water. A major challenge is to conduct experiments with a spatial resolution, which allows to adequately record existing gradients and to log all the parameters needed, to describe and better understand the complex processes at the SWIs. At the same time, it is from major importance to prevent the formation of any artifacts during sampling, which may occur due to the labile nature of the SWIs and the very steep biogeochemical gradients.
In this context, in the first part of this work, a system was developed and tested that enables the automated, minimal invasive sampling of sediment pore water of undisturbed or manipulated sediments while simultaneously recording parameters such as redox potential, oxygen content and pH value. In an incubation experiment the impact of acidification and mechanical disturbance (re-suspension) on the mobility of 13 metal(loid)s was investigated using a triple quadrupole inductively coupled plasma-mass spectrometry (ICP-QQQ-MS) multi-element approach. Most metals were released as consequence of sulfide weathering whereas mechanical disturbance had a major impact on the mobility of the oxide forming elements As, Mo, Sb, U and V. Additionally, options were demonstrated to address with the system the size fractionation of metal(loid)s in pore water samples and the speciation of As(III/V) and Sb(III/V).
In the second part, the focus, with a similar experimental design, was placed on the processes leading to the release of metal(loid)s. For this purpose, two incubation experiments with different oxygen supply were conducted in parallel. For the first time the nonmetals carbon, phosphorus and sulfur were analyzed simultaneous to 13 metal(loid)s in sediment pore water by ICP-QQQ-MS. Throughout the experiment metal(loid) size fractionation was monitored. It was confirmed that resuspension promotes the mobility of metalloids such as As, Sb and V, while the release of most metals was largely attributed to pyrite weathering. The colloidal (0.45-16 μm) contribution in terms of mobilization was only relevant for a few elements.
Finally, the sampling system was used as part of a new approach to sediment risk assessment. Undisturbed sediment cores from differently contaminated positions in the Trave estuary were examined, considering 16 metal(loid)s, the non-metals C, P and S and the ions NH4+, PO43- and SO42-. By the first in-depth comparison with in-situ dialysis-based pore water sampling the ability of the suction-based approach to represent field conditions was proven. The pore water studies together with supplementing resuspension experiments in bio-geochemical microcosms and sequential extraction identified the most “pristine” sediment of the study area as posing the greatest risk of metal(loid) release. However, the potentially released amounts per kg of sediment are only a few parts per thousand of the average daily loads of the Trave river.
Estuaries are characterized by a longitudinal salinity gradient. This gradient is one of the main environmental factors responsible for the distribution of organisms. Distinguishing salinity zones is of crucial importance, e.g., for the development of tools for the assessment of ecological quality. The methods most often applied for classifying water according to salinity are the Venice System and the method of Bulger et al. (1993), both of which determine zone boundaries using species occurrences relative to mean salinity. However, although these methods were developed for homoiohaline waters, they have also been routinely applied to poikilohaline systems. I tested the applicability of both methods using salinity and macroinvertebrate data for the poikilohaline Elbe Estuary (Germany). My results showed that the mid-estuary distribution of macro-invertebrates is determined by variation in salinity rather than by mean salinity. Consequently, neither of the two methods is applicable for defining salinity zones in the Elbe Estuary. Cluster analysis combined with a significance test, by contrast, was a better tool for identifying the boundaries of salinity zones in poikilohaline systems.
In many estuaries, such as the Elbe Estuary, a maximum turbidity zone (MTZ) develops, where suspended matter accumulates owing to circulation processes. It is assumed that the MTZ is a stressful environment with an excess of organic matter, high deposition rates, large variations in salinity, and dredging activities. Under such harsh conditions, populations might remain below the carrying capacity, and it is assumed that competition is of little importance, as predicted by the stress gradient hypothesis. I tested whether competition for food is important in the MTZ of the Elbe Estuary using stable isotope analysis of the macroinvertebrate community. The isotopic niches of no two taxa within a feeding group overlapped, which indicated different resource use and the absence of competition. The main reasons for the lack of overlap of isotopic niches were differences in habitat, feeding behavior, and migration behavior.
The Elbe Estuary is nowadays highly industrialized and has long been subjected to a plethora of human-caused alterations. However, it is largely unknown what changes occurred in benthic communities in the last century. Hence, I considered taxonomic and functional aspects of macrobenthic invertebrates of the Elbe Estuary given in data from 1889 (most natural state), 1985 and 1986 (highly polluted state), and 2006 (recent state) to assess benthic community shifts. Beta-diversity analysis showed that taxonomic differences between the sampling dates were mainly due to species turnover, whereas functional differences were predominantly a result of functional nestedness. Species number (S), functional richness (FRic), and functional redundancy reached minimum values in 1985 and 1986 and were highest and rather similar in 1889 and 2006. The decline in FRic from 1889 to 1985/1986 was non-random, consistent with habitat filtering. FRic, functional beta diversity, and S data suggested that the state of the estuary from 1889 was almost re-established in 2006. However, the community in 1889 significantly differed from that in 2006 owing to species replacement. My results indicate that FRic and FR in 1889 could have promoted ecosystem resilience and stability.
Diversität und Verbreitung von Schluchtwäldern (Tilio-Acerion) im Rheinischen Schiefergebirge
(2012)
Im Rahmen dieser Studie wurde die Diversität der Gefäßpflanzen von Edellaubmischwäldernrn im Rheinischen Schiefergebirge statistisch erfasst und dabei erstmalig deren Artenzusammensetzung anhand einer angewandten Standortanalyse soziologisch-floristisch beschrieben sowie deren Verbreitung im Einzugsbereich von unterer Mosel, unterer Lahn und dem Mittelrheingebiet zusammenfassend dargestellt.
Zudem war es Ziel dieser Untersuchung die Variabilität und Struktur der Artenzusammensetzung in Abhängigkeit von edaphischen und mikroklimatischen Umweltfaktoren auf Schiefer als anstehendem Gestein zu analysieren und diesbezüglich das Tilio-Acerion des Untersuchungsraums mit den bisher vorwiegend auf kalkhaltigem Untergrund untersuchten Edellaubmischwaldgesellschaften der übrigen deutschen Gebirge zu vergleichen. Mit Blick auf die Einstufung dieser Waldgesellschaft als "prioritären Lebensraum" innerhalb des NATURA 2000-Schutzgebietssystems und der an die FFH-Richtlinie gekoppelten Berichtspflicht von Rheinland-Pfalz, die alle 6 Jahre erfüllt werden muss,wurde die bisherige Einstufung der Ausprägung dieser Waldgesellschaft für die naturräumlichen Haupteinheiten im Untersuchungsraum revidiert. Dabei wurden auch anthropogene Gefährdungen untersucht und Schutzmaßnahmen für den Erhalt dieses in Mitteleuropa streng geschützten Fauna-Flora-Habitats diskutiert sowie Vorschläge zur Eingliederung von bisher unberücksichtigten Regionen in das NATURA 2000-Schutzgebietssystem abgegeben. Insgesamt wurden 191 Taxa in 1209 Aufnahmen erfasst und 29 Arten davon auf Grund ihrer Seltenheit oder Schutzwürdigkeit als bemerkenswert eingestuft. Des Weiteren wurden 3 Assoziationen und eine bisher noch unbekannte Festuca altissima-Tilia cordata-Gesellschaft beschrieben, wobei der überwiegende Teil der Aufnahmen dem Fraxino-Aceretum pseudoplatani zugeordnet wurde, das sich synsystematisch in weitere standörtlich bedingte Untereinheiten differenzieren lässt. Dabei hebt sich das Tilio-Acerion im Rheinischen Schiefergebirge gemeinsam mit Beständen weiterer silikatischer Gebirge von Edellaubmischwäldern auf karbonatischen Gebirgen in Deutschland durch säuretolerante Arten einer Polystichum aculeatum-Variante syntaxonomisch ab. Zudem konnte das in der Literatur bisher umstrittene Adoxo moschatellinae-Aceretum als eigene, dem Tilio-Acerion zugehörige Assoziation anhand von Kennarten wie dem im Untersuchungsraum hochsteten Polystichum aculeatum in der für die syntaxonomische Bewertung prioritären Krautschicht validiert werden. Regionale Unterschiede der Edellaubmischwälder sind im Untersuchungsgebiet anhand der dortigen Verbreitungsgrenzen submediterraner, (sub-)atlantischer und (sub-)kontinentaler Florenelemente erkennbar. Edaphische und mikroklimatische Faktoren haben sich als besonders einflussreich für diverse Ausprägungen der Schluchtwaldflora herausgestellt. Das Tilio-Acerion ist im Einzugsbereich der Mosel besonders artenreich, was lokal auch auf das Lahngebiet zutrifft. Der Straßen- und Wegebau wird als häufigste Gefährdung eingestuft, in den Tieflagen des oberen Mittelrhein- und Moselgebiets kommen Niederwald-Effekte in Form von haselreichen Degradationsstadien hinzu, in den Hochlagen sind Nadelwaldaufforstungen problematisch. Entsprechend wird gefordert derartige Maßnahmen sowie die Abholzung und Totholzentnahme in Edellaubmischwäldern zu vermeiden und diese sich stattdessen ihrer natürlichen Sukzession zu überlassen.
Die Studie hat gezeigt, dass die naturräumlichen Haupteinheiten Hunsrück, Westerwald, Taunus sowie das Mosel-, Lahn- und Mittelrheintal entgegen bisheriger Einstufung ein "Hauptvorkommen" an Schlucht- und Hangmischwäldern mit "guter Ausprägung" aufweisen.
Worldwide one third to one half of the freshwater crayfish species are threatened with population decline or extinction. Besides habitat deterioration, pollution, and other man-made environmental changes, invasive species and pathogens are major threats to the survival of European crayfish species. Freshwater crayfish are the largest freshwater invertebrates and strongly influence the structure of food webs. The disappearance of crayfish from a water body may change the food web and could have dramatic consequences for an ecosystem.rnOne goal in modern species conservation strategies is the conservation of genetic diversity, since genetic diversity is an advantage for the long-term survival of a species. The main aim of my thesis was to reveal the genetic structure and to identify genetic hotspots of the endangered noble crayfish (Astacus astacus) throughout Europe (part 1 of my thesis). Since the most significant threat to biodiversity of European crayfish species is the crayfish plague pathogen Aphanomyces astaci I studied new aspects in the distribution of A. astaci (part two of my thesis). The results serve as a basis for future conservation programs for freshwater crayfish. In the first part of my thesis I conducted a phylogeographic analysis of noble crayfish using mitochondrial DNA and nuclear microsatellite data. With these methods I aimed to identify its genetic hotspots and to reconstruct the recolonization history of central Europe by this species. I detected high genetic diversities in southestern Europe indicating that noble crayfish outlasted the cold climate phases during the Pleistocene in this region (Appendix 1). Because of the high genetic diversity found there, southeastern Europe is of particular importance for the conservation of noble crayfish. The mitochondrial DNA analysis points to a bifurcated colonization process from the eastern Black Sea basin to a) the North Sea and to b) the Baltic Sea basin (Appendix 2). A second independent refugium that was localized on the Western Balkans did not contribute to the colonization of central Europe. Furthermore, I found that the natural genetic structure is dissolved, probably due to the high human impact on the distribution of noble crayfish (e.g. artificial translocation). In the second part of this thesis using real-time PCR I identified calico crayfish (Orconectes immunis) as the fourth North American crayfish species to be carrier of the agent of the crayfish plague (Appendix 3). Furthermore I detected the crayfish plague pathogen in American spiny-cheek crayfish (Orconectes limosus) and native narrow-clawed crayfish (Astacus leptodactylus) in the lower Danube in Romania (Appendix 4). The distribution of infected spiny-cheek crayfish poses a threat to the native biodiversity in southeastern Europe and shows the high invasion potential of this crayfish species. Moreover, I found that even the native narrow-clawed crayfish in the Danube Delta, about 970 km downstream of the current invasion front of American crayfish, is a carrier of A. astaci (Appendix 5). This finding is of high importance, as the native species do not seem to suffer from the infection. In Appendix 6 I elucidate demonstrate that the absence of the crayfish plague agent is the most likely explanation for the coexistence of populations of European and American crayfish in central Europe. In my thesis I show that the common assumption that all North American crayfish are carrier of A. astaci and that all native crayfish species die when infected with A. astaci does not hold true. The studies presented in my thesis reveal new aspects that are crucial for native crayfish conservation: 1) The genetic diversity of noble crayfish is highest in southeastern Europe where noble crayfish outlasted the last glacial maximum in at least two different refugia. 2) Not all American crayfish populations are carrier of A. astaci and 3) not all Europen crayish populations die shortly after being infected with the crayfish plague pathogen.rnTo conserve native crayfish species and their (genetic) diversity in the long term, further introductions of American crayfish into European waters must be avoided. However, the introduction will only decrease if the commercial trade with non-indigenous crayfish species is prohibited.
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.
Ecological assessment approaches based on benthic invertebrates in Euphrates tributaries in Turkey
(2019)
Sustainable water management requires methods for assessing ecological stream quality. Many years of limnological research are needed to provide a basis for developing such methods. However, research of this kind is still lacking in Turkey. Therefore, the aim of this doctoral thesis was to provide basic research in the field of aquatic ecology and to present methods for the assessment of ecological stream quality based on benthic invertebrates. For this purpose, I selected 17 tributaries of the Euphrates with a similar typology/water order and varying levels of pollution or not affected by pollution at all. The characterisation of the natural mountain streams was the first important step in the analysis of ecological quality. Based on community indices, I found that the five selected streams had a very good ecological status. I also compared the different biological indications, collected on two occasions ¬– once in spring (May) and once in autumn (September) – to determine the optimal sampling time. The macroinvertebrate composition differed considerably between the two seasons, with the number of taxa and Shannon index being significantly higher in autumn than in spring. In the final step, I examined the basal resources of the macroinvertebrates in the reference streams with an isotope analysis. I found that FPOM and biofilm were the most relevant basal resources of benthic invertebrates. Subsequently, based on the similarity of their community structures, I divided the 17 streams into three quality classes, supported by four community indices (EPT [%], EPTCBO [%], number of individuals, evenness). In this process, 23 taxa were identified as indicators for the three quality classes. In the next step, I presented two new or adapted indices for the assessment of quality class. Firstly, I adapted the Hindu Kush-Himalaya biotic index to the catchment area of the Euphrates and created a new, ecoregion-specific score list (Euph-Scores) for 93 taxa. The weighted ASPT values, which were renamed the Euphrates Biotic Score (EUPHbios) in this study, showed sharper differentiations of quality classes compared to the other considered ASPT values. Thus, this modified index has proved to be very effective and easy to implement in practical applications. As a second biological index, I suggested the proportion of habitat specialists. To calculate this index, the habitat preferences of the 20 most common benthic invertebrates were identified using the new habitat score. The proportion of habitat specialists differed significantly among the three quality classes with higher values in natural streams than in polluted streams. The methods and results presented in this doctoral thesis can be used in a multi-metric index for a Turkish assessment programme.
Invasive species play increasing roles worldwide. Invasions are considered successful when species establish and spread in their exotic range. Subsequently, dispersal is a major determinant of species’ range dynamics. Mermessus trilobatus, native to North America, has rapidly spread in Europe via aerial dispersal. Here we investigated the interplay of ecological and evolutionary processes behind its colonisation success.
First, we examined two possible ecological mechanisms. Similar to other invasive invertebrates, the colonisation success of Mermessus trilobatus might be related to human-induced habitat disturbance. Opposite to this expectation, our results showed that densities of Mermessus trilobatus decreased with soil disturbance in grasslands suggesting that its invasion success was not connected to a ruderal strategy. Further, invasive species often escape the ecological pressures from novel enemies in their exotic ranges. Unexpectedly, invasive Mermessus trilobatus was more sensitive to a native predator than native Erigone dentipalpis during our predator susceptibility trials. This indicates that the relation between the invasive spider and its native predator is dominated by prey naïveté rather than enemy release.
The remaining three chapters of the thesis investigated the dispersal behaviour of this invasive species. Hitherto, studies of passive aerial dispersal used wind as the primary dispersal-initiating factor despite a recent demonstration of the effects of the atmospheric electric fields on spiders’ pre-dispersal behaviour. During our experiments, only the wind facilitated the flight, although electric fields induced pre-dispersal behaviour in spiders. Consequently, studies around passive aerial dispersal should control electric fields but use wind as a stimulating factor.
Rapidly expanding species might be disproportionately distributed in their exotic range, with an accumulation of dispersive genotypes at the leading edge of their range. Such imbalanced spatial segregation is possible when the dispersal behaviour of expanding species is heritable. Our results showed that the dispersal traits of Mermessus trilobatus were heritable through both parents and for both sexes with recessive inheritance of high dispersal ability in this species.
Following the heritability experiments, we documented an accelerated spread of Mermessus trilobatus in Europe and tested whether dispersal, reproduction or competing ability was at the source of this pattern. Our results showed that the accumulation of more mobile but not reproductive or competitive genotypes at the expansion front of this invasive species gave rise to an accelerated range expansion by more than 1350 km in under 45 years.
Invasive Mermessus trilobatus is inferior to native sympatric species with respect to competing ability (Eichenberger et al., 2009), disturbance tolerance and predation pressure. Nevertheless, the species successfully established in its exotic range and spread by accelerating its expansion rate. Rapid reproduction that balances the high ecological pressures might be the other potential mechanism behind its colonisation success in Europe and deserves further investigation.
SUMMARY
Buildings and infrastructures characterize the appearance of our cultural landscapes and provide essential services for the human society. However, they inevitably impact the natural environment e.g. by the structural change of habitats. Additionally, they potentially cause further negative environmental impacts due to the release of chemical substances from construction materials. Galvanic anodes and organic coatings regularly used for corrosion protection of steel structures are building materials of particular importance for the transport infrastructure. In direct contact with a water body or indirectly via the runoff after rainfall, numerous chemicals can be released into the environment and pose a risk to aquatic organisms. Up to now, there is no uniform investigation and evaluation approach for the assessment of the environmental compatibility of building products. Furthermore, galvanic anodes and organic coatings pose particular challenges for their ecotoxicological characterization due to their composition. Therefore, the objective of the presented thesis was the ecotoxicological assessment of emissions from galvanic anodes and protective coatings as well as the development of standardized assessment procedures for these materials.
The possible environmental hazard posed by the use of anodes on offshore installations was investigated on three trophic levels. To ensure a realistic and reliable evaluation, the experiments were carried out in natural seawater and under natural pH conditions. Moreover, the anode material and its main components zinc and aluminum were exposed while simulating a worst-case scenario. The anode material examined caused a weak inhibition of algae growth; no acute toxicity was observed on the luminescent bacteria and amphipods. However, an increase of aluminum and indium levels in the crustacean species was found. On the basis of these results, no direct threat has been identified for marine organisms from the use of galvanic aluminum anodes. However, an accumulation of metals in crustaceans and a resulting entry into the marine food web cannot be excluded.
The environmental compatibility of organic coating systems was exemplarily evaluated using a selection of relevant products based on epoxy resins (EP) and polyurethanes. For this purpose, coated test plates were dynamically leached over 64 days. The eluates obtained were systematically analyzed for their ecotoxicological effects (acute toxicity to algae and luminescent bacteria, mutagenic and estrogenic effects) and their chemical composition. In particular, the EP-based coatings caused significant bacterial toxicity and estrogen-like effects. The continuously released 4-tert-butylphenol was identified as a main contributor to these effects and was quantified in concentrations exceeding the predicted no effect concentration for freshwater in all samples. Interestingly, the overall toxicity was not governed by the content of 4-tert-butylphenol in the products but rather by the release mechanism of this compound from the investigated polymers. This finding indicates that an optimization of the composition can result in the reduction of emissions and thus of environmental impacts - possibly due to a better polymerization of the compounds.
Coatings for corrosion protection are exposed to rain, changes in temperature and sun light leading to a weathering of the polymer. To determine the influence of light-induced aging on the ecotoxicity of top coatings, the emissions and associated adverse effects of UV-irradiated and untreated EP-based products were compared. To that end, the investigation of static leachates was focused on estrogenicity and bacterial toxicity, which were detected in the classic microtiter plate format and in combination with thin-layer plates. Both materials examined showed a significant decrease of the ecotoxicological effects after irradiation with a simultaneous reduction of the 4-tert-butylphenol emission. However, bisphenol A and various structural analogues were detected as photolytic degradation products of the polymers, which also contributed to the observed effects. In this context, the identification of bioactive compounds was supported by the successful combination of in-vitro bioassays with chemical analysis by means of an effect-directed analysis. The presented findings provide important information to assess the general suitability of top coatings based on epoxy resins.
Within the scope of the present study, an investigation concept was developed and successfully applied to a selection of relevant construction materials. The adaptation of single standard methods allowed an individual evaluation of these products. At the same time, the suitability of the ecotoxicological methods used for the investigation of materials of unknown and complex composition was confirmed and the basis for a systematic assessment of the environmental compatibility of corrosion protection products was created. Against the background of the European Construction Products Regulation, the chosen approach can facilitate the selection of environmentally friendly products and contributes to the optimization of individual formulations by the simple comparison of different building materials e.g. within a product group.
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.
Content and Language Integrated Learning (CLIL) has experienced growing importance in the last decades and an increasing number of schools have already implemented CLIL programmes or are planning to do so. Though the potentials of CLIL programmes are widely praised, first research results also raise doubts if CLIL students can live up to these high expectations. Both Fehling (2005) as well as Rumlich (2013; 2016), for example, found that CLIL programmes not inevitably show the expected results but that the CLIL students’ success might also be at least partially explained by other influences, such as the selection process of future CLIL students. Hence, CLIL students apparently fall short of the high expectations that are usually connected to the respective CLIL programmes and as this is mainly based on the unsatisfactory quality of these programmes, Rumlich concludes that “it is now high time to focus on the quality of CLIL provision” (Rumlich 2016: 452). He continues to explain that “the promises of CLIL do not materialise automatically owing to the fact that another language is used for learning in a non-language subject” (Rumlich 2016: 452). It must be assumed that the success of CLIL teaching also highly depends on the quality of the CLIL teachers.
In contrast to the continuously growing number of CLIL schools, however, the number of specifically trained CLIL teachers is comparably small. In Germany, CLIL teachers are not (yet) required to attend any special training in order to teach in a CLIL programme. Notwithstanding, is it sufficient for a CLIL teacher only to be trained in the content subject and the foreign language? Or does CLIL teaching require more than the sum of these two components? Do CLIL teachers need additional teaching competences to the ones of a content and a language teacher? In the light of the recent findings of CLIL programmes falling short of the high expectations, the answer to these questions must clearly be “Yes”. Hence, in order to appropriately train (future) CLIL teachers, special training programmes need to be developed which consider the teachers’ individual educational backgrounds, i.e. their qualifications as language and/or as content teachers and build up on these competences through adding the CLIL-specific teaching competences.
Therefore, this thesis aims at developing a German Framework for CLIL Teacher Education, which considers both the already published, theory-based standards of CLIL teacher education as well as the practical perspective of experienced CLIL teachers in Germany. This German Framework for CLIL Teacher Education classifies the different teaching competences, which are derived from integrating the theoretical and the practical perspective on CLIL teacher education, with regard to the three different competence areas, i.e. the general teaching competence, the language teaching competence and the subject teaching competence and is hence adaptable to different CLIL settings and educational backgrounds. In addition to developing this German Framework for CLIL Teacher Education, which provides the content of future CLIL teacher education programmes, this thesis discusses different forms of structurally implementing CLIL teacher education programmes in the existing structures of teacher education in Germany. This is achieved through analysing the current state of the art of CLIL teacher education at German universities and systematising the different forms of implementing these training programmes in the prevailing educational structures. Building on these first two steps, in the third and final step, this thesis develops a CLIL teacher education programme at a German university that is based on the results and elements of the German Framework for CLIL Teacher Education as well as the state of the art of CLIL teacher education in Germany. Thus, this thesis is allocated at the intersection between foreign language teaching as well as teacher education and is structured in eleven chapters.
While the 1960s and 1970s still knew permanent education (Council of Europe), recurrent education (OECD) and lifelong education (UNESCO), over the past 20 years, lifelong learning has become the single emblem for reforms in (pre-) primary, higher and adult education systems and international debates on education. Both highly industrialized and less industrialized countries embrace the concept as a response to the most diverse economic, social and demographic challenges - in many cases motivated by international organizations (IOs).
Yet, literature on the nature of this influence, the diffusion of the concept among IOs and their understanding of it is scant and usually focuses on a small set of actors. Based on longitudinal data and a large set of education documents, the work identifies rapid diffusion of the concept across a heterogeneous, expansive and dynamic international field of 88 IOs in the period 1990-2013, which is difficult to explain with functionalist accounts.
Based on the premises of world polity theory, this paper argues that what diffuses resembles less the bundle of systemic reforms usually associated with the concept in the literature and more a surprisingly detailed model of a new actor " the lifelong learner.
Während es eine Vielzahl von Arbeiten zu der technologischen Entwicklung im Bereich der erneuerbaren Energien gibt, fehlt es jedoch bislang an einer mikroökonomischen Analyse
der Verhaltensmuster der Akteure im Umfeld von Anlagen nach dem EEG. Als Akteure kommen hier in erster Linie der Anlagenbetreiber selbst und der Staat in Betracht.
Im Hinblick auf Anlagenbetrieb und Vergütung der erzeugten Energie können beide mit unterschiedlichsten Interessen und Nutzenkalkülen aufeinander treffen. Diese Arbeit untersucht
mikroökonomische Aspekte des EEG-Förderungssystems. Im Mittelpunkt der Betrachtung stehen die Förderungsmechanismen für Biogasanlagen, die im Hinblick auf mögliche Prinzipal-Agenten-Konflikte einer Untersuchung unterzogen werden.
Because silver nanoparticles (Ag NPs) are broadly applied in consumer products, their leaching will result in the continuous release of Ag NPs into the natural aquatic environment. Therefore, bacterial biofilms, as the prominent life form of microorganisms in the aquatic environment, are most likely confronted with Ag NPs as a pollutant stressor. Notwithstanding the significant ecological relevance of bacterial biofilms in aquatic systems, and though Ag NPs are expected to accumulate within these biofilms in the environment, the knowledge on the environmental and ecological impact of Ag NPs, is still lagging behind the industrial growth of nanotechnology. Consequently, aim of this thesis was to perform effect assessment of Ag NP exposure on bacterial biofilms with ambient Ag NPs concentrations and under environmentally relevant conditions. Therefore, a comprehensive set of methods was applied in this work to study if and how Ag NPs of two different sizes (30 and 70 nm) affect bacterial biofilms i.e. both monospecies biofilms and freshwater biofilms in environmentally relevant concentrations (600 - 2400 µg l-1). Within the first part of this work, a newly developed assay to test the mechanical stability of
monospecies biofilms of the freshwater model bacterium Aquabacterium citratiphilum was validated. In the first study, to investigate the impact of Ag NPs on the mechanical stability of bacterial biofilms, sublethal effects on the mechanical stability of the biofilms were observed with negative implications for biostabilization. Furthermore, as it is still challenging to monitor the ecotoxicity of Ag NPs in natural freshwater environments, a mesocosm study was performed in this work to provide the possibility for the detailed investigation of effects of Ag NPs on freshwater biofilms under realistic environmental conditions. By applying several approaches to analyze biofilms as a whole in response to Ag NP treatment, insights into the resilience of bacterial freshwater biofilms were obtained. However, as revealed by t-RFLP fingerprinting combined with phylogenetic studies based on the 16S gene, a shift in the bacterial community composition, where Ag NP-sensitive bacteria were replaced by more Ag NP-tolerant species with enhanced adaptability towards Ag NP stress was determined. This shift within the bacterial community may be associated with potential detrimental effects on the functioning of these biofilms with respect to nutrient loads, transformation and/or degradation of pollutants, and biostabilization. Overall, bringing together the key findings of this thesis, 4 general effect mechanisms of Ag NP treatment have been identified, which can be extrapolated to natural freshwater biofilms i.e. (i) the identification of Comamonadaceae as Ag NP-tolerant, (ii) a particular resilient behaviour of the biofilms, (iii) the two applied size fractions of Ag NPs exhibited similar effects independent of their sizes and their synthesis method, and (iv) bacterial biofilms show a high uptake capacity for Ag NPs, which indicates cumulative enrichment.
Foliicolous lichens are one of the most abundant epiphytes in tropical rainforests and one of the few groups of organisms that characterize these forests. Tropical rainforests are increasingly affected by anthropogenic disturbance resulting in forest destruction and degradation. However, not much is known on the effects of anthropogenic disturbance on the diversity of foliicolous lichens. Understanding such effects is crucial for the development of appropriate measures for the conservation of such organisms. In this study, foliicolous lichens diversity was investigated in three tropical rainforests in East Africa. Godere Forest in Southwest Ethiopia is a transitional rainforest with a mixture of Afromontane and Guineo-Congolian species. The forest is secondary and has been affected by shifting cultivation, semi-forest coffee management and commercial coffee plantation. Budongo Forest in West Uganda is a Guineo-Congolian rainforest consisting of primary and secondary forests. Kakamega Forest in western Kenya is a transitional rainforest with a mixture of Guineo-Congolian and Afromontane species. The forest is a mosaic of near-primary forest, secondary forests of different seral stages, grasslands, plantations, and natural glades.
World’s ecosystems are under great pressure satisfying anthropogenic demands, with freshwaters being of central importance. The Millennium Ecosystem Assessment has identified anthropogenic land use and associated stressors as main drivers in jeopardizing stream ecosystem functions and the
biodiversity supported by freshwaters. Adverse effects on the biodiversity of freshwater organisms, such as macroinvertebrates, may propagate to fundamental ecosystem functions, such as organic matter breakdown (OMB) with potentially severe consequences for ecosystem services. In order to adequately protect and preserve freshwater ecosystems, investigations regarding potential and observed as well as direct and indirect effects of anthropogenic land use and associated stressors (e.g. nutrients, pesticides or heavy metals) on ecosystem functioning and stream biodiversity are needed. While greater species diversity most likely benefits ecosystem functions, the direction and magnitude of changes in ecosystem functioning depends primarily on species functional traits. In this context, the functional diversity of stream organisms has been suggested to be a more suitable predictor of changes in ecosystem functions than taxonomic diversity.
The thesis aims at investigating effects of anthropogenic land use on (i) three ecosystem functions by anthropogenic toxicants to identify effect thresholds (chapter 2), (ii) the organic matter breakdown by three land use categories to identify effects on the functional level (chapter 3) and (iii)on the stream community along an established land-use gradient to identify effects on the community level.
In chapter 2, I reviewed the literature regarding pesticide and heavy metal effects on OMB, primary production and community respiration. From each reviewed study that met inclusion criteria, the toxicant concentration resulting in a reduction of at least 20% in an ecosystem function was standardized based on laboratory toxicity data. Effect thresholds were based on the relationship between ecosystem functions and standardized concentration-effect relationships. The analysis revealed that more than one third of pesticide observations indicated reductions in ecosystem functions at concentrations that are assumed being protective in regulation. However, high variation within and between studies hampered the derivation of a concentration-effect relationship and thus effect thresholds.
In chapter 3, I conducted a field study to determine the microbial and invertebrate-mediated OMB by deploying fine and coarse mesh leaf bags in streams with forested, agricultural, vinicultural
and urban riparian land use. Additionally, physicochemical, geographical and habitat parameters were monitored to explain potential differences in OMB among land use types and sites. Regarding results, only microbial OMB differed between land use types. The microbial OMB showed a negative relationship with pH while the invertebrate-mediated OMB was positively related to tree cover. OMB responded to stressor gradients rather than directly to land use.
In chapter 4, macroinvertebrates were sampled in concert with leaf bag deployment and after species identification (i) the taxonomic diversity in terms of Simpson diversity and total taxonomic
richness (TTR) and (ii) the functional diversity in terms of bio-ecological traits and Rao’s quadratic entropy was determined for each community. Additionally, a land-use gradient was established and the response of the taxonomic and functional diversity of invertebrate communities along this gradient was investigated to examine whether these two metrics of biodiversity are predictive for the rate of OMB. Neither bio-ecological traits nor the functional diversity showed a significant relationship with
OMB. Although, TTR decreased with increasing anthropogenic stress and also the community structure and 26 % of bio-ecological traits were significantly related to the stress gradient, any of these shifts propagated to OMB.
Our results show that the complexity of real-world situations in freshwater ecosystems impedes the effect assessment of chemicals and land use for functional endpoints, and consequently our potential to predict changes. We conclude that current safety factors used in chemical risk assessment may not be sufficient for pesticides to protect functional endpoints. Furthermore, simplifying real-world stressor gradients into few land use categories was unsuitable to predict and quantify losses in OMB. Thus, the monitoring of specific stressors may be more relevant than crude land use categories to detect effects on ecosystem functions. This may, however, limit the large scale assessment of the status of OMB. Finally, despite several functional changes in the communities the functional diversity over several trait modalities remained similar. Neither taxonomic nor functional diversity were suitable predictors of OMB. Thus, when understanding anthropogenic impacts on the linkage between biodiversity and ecosystem functioning is of main interest, focusing on diversity metrics that are clearly linked to the stressor in question (Jackson et al. 2016) or integrating taxonomic and functional metrics (Mondy et al., 2012) might enhance our predictive capacity.
In this thesis we examined the question whether personality traits of early child care workers influence process quality in preschool.
Research has shown that in educational settings such as preschool, pedagogical quality affects children’s developmental outcome (e.g. NICHD, 2002; Peisner-Feinberg et al., 1999). A substantial part of pedagogical quality known to be vital in this respect is the interaction between teacher and children (e.g., Tietze, 2008). Results of prior classroom research indicate that the teachers’ personality might be an important factor for good teacher-child-interaction (Mayr, 2011). Thus, personality traits might play a vital role for the interaction in preschool. Therefore, the aims of this thesis were to a) identify pivotal personality traits of child care workers, b) assess ideal levels of the identified personality traits and c) examine the relationship between pivotal personality traits and process quality. On that account, we conducted two requirement analyses and a video study. The results of these studies showed that subject matter experts (parents, child care workers, lecturers) partly agreed as to which personality traits are pivotal for child care workers. Furthermore, the experts showed high consensus with regard to the minimum, ideal and maximum personality trait profiles. Furthermore, child care workers whose profiles lay closer to the experts’ ideal also showed higher process quality. In addition, regression analyses showed that the child care workers’ levels of the Big Two (Communion and Agency) related significantly to their process quality.
Rivers play an important role in the global water cycle, support biodiversity and ecological integrity. However, river flow and thermal regimes are heavily altered in dammed rivers. These impacts are being exacerbated and become more apparent in rivers fragmented by multiple dams. Recent studies mainly focused on evaluating the cumulative impact of cascade reservoirs on flow or thermal regimes, but the role of upstream reservoirs in shaping the hydrology and hydrodynamics of downstream reservoirs remains poorly understood. To improve the understanding of the hydrodynamics in cascade reservoirs, long-term observational data are used in combination with numerical modeling to investigate the changes in flow and thermal regime in three cascade reservoirs at the upper reach of the Yangtze River. The three studied reservoirs are Xiluodu (XLD), Xiangjiaba (XJB) and Three Gorges Reservoir (TGR). In addition, the effects of single reservoir operation (at seasonal/daily time scale) on hydrodynamics are examined in a large tributary of TGR. The results show that the inflow of TGR has been substantially altered by the two upstream reservoirs with a higher discharge in spring and winter and a reduced peak flow in summer. XJB had no obvious contribution to the variations in inflow of TGR. The seasonal water temperature of TGR was also widely affected by the upstream two reservoirs, i.e., an increase in winter and decrease in spring, associated with a delay in water temperature rise and fall. These effects will probably be intensified in the coming years due to the construction of new reservoirs. The study also underlines the importance of reservoir operation in shaping the hydrodynamics of TGR. The seasonal dynamics of density currents in a tributary bay of TGR are closely related to seasonal reservoir operations. In addition, high-frequency water level fluctuations and flow velocity variations were observed in response to periodic tributary bay oscillations, which are driven by the diurnal discharge variations caused by the operation of TGR. As another consequence of operation of cascade reservoirs, the changes in TGR inflow weakened spring thermal stratification and caused warming in spring, autumn and winter. In response to this change, the intrusions from TGR occurred more frequently as overflow and earlier in spring, which caused a sharp reduction in biomass and frequency of phytoplankton blooms in tributary bays of TGR. This study suggests that high-frequency bay oscillations can potentially be used as an efficient management strategy for controlling algal blooms, which can be included in future multi-objective ecological conservation strategies.
Agriculture covers one third of the world land area and has become a major source of water pollution due to its heavy reliance on chemical inputs, namely fertilisers and pesticides. Several thousands of tonnes of these chemicals are applied worldwide annually and partly reach freshwaters. Despite their widespread use and relatively unspecific modes of action, fungicides are the least studied group of pesticides. It remains unclear whether the taxonomic groups used in pesticide risk assessment are protective for non-target freshwater fungi. Fungi and bacteria are the main microbial decomposers converting allochthonous organic matter (litter) into a more nutritious food resource for leaf-shredding macroinvertebrates. This process of litter decomposition (LD) is central for aquatic ecosystem because it fuels local and downstream food webs with energy and nutrients. Effects of fungicides on decomposer communities and LD have been mainly analysed under laboratory conditions with limited representation of the multiple factors that may moderate effects in the field.
In this thesis a field study was conducted in a German vineyard area to characterise recurrent episodic exposure to fungicides in agricultural streams (chapter 2) and its effects on decomposer communities and LD (chapter 3). Additionally, potential interaction effects of nutrient enrichment and fungicides on decomposer communities and LD were analysed in a mesocosm experiment (chapter 4).
In the field study event-driven water sampling (EDS) and passive sampling with EmporeTM styrene-divinylbenzene reverse phase sulfonated disks (SDB disks) were used to assess exposure to 15 fungicides and 4 insecticides. A total of 17 streams were monitored during 4 rainfall events within the local application period of fungicides in 2012. EDS exceeded the time-weighted average concentrations provided by the SDB disks by a factor of 3, though high variability among compounds was observed. Most compounds were detected in more than half of the sites and mean and maximum peak (EDS) concentrations were under 1 and 3 µg/l, respectively. Besides, SDB disk-sampling rates and a free-software solution to derive sampling rates under time-variable exposure were provided.
Several biotic endpoints related to decomposers and LD were measured in the same sampling sites as the fungicide monitoring, coinciding with the major litter input period. Our results suggest that polar organic fungicides in streams change the structure of the fungal community. Causality of this finding was supported by a subsequent microcosm experiment. Whether other effects observed in the field study, such as reduced fungal biomass, increased bacterial density or reduced microbial LD can be attributed to fungicides remains speculative and requires further investigation. By contrast, neither the invertebrate LD nor in-situ measured gammarid feeding rates correlated with water-borne fungicide toxicity, but both were negatively associated with sediment copper concentrations. The mesocosm experiment showed that fungicides and nutrients affect microbial decomposers differently and that they can alter community structure, though longer experiments are needed to determine whether these changes may propagate to invertebrate communities and LD. Overall, further studies should include representative field surveys in terms of fungicide pollution and physical, chemical and biological conditions. This should be combined with experiments under controlled conditions to test for the causality of field observations.
The ongoing loss of species is a global threat to biodiversity, affecting ecosystems worldwide. This also concerns arthropods such as insects and spiders, which are especially endangered in agricultural ecosystems. Here, one of the main causing factors is management intensification. In areas with a high proportion of traditionally managed grassland, extensive hay meadows that are cut only once per year can still hold high levels of biodiversity, but are threatened by conversion into highly productive silage grassland. The Westerwald mountain range, western Germany, is such a region. In this thesis, I compare the local diversity of bees, beetles, hoverflies, leafhoppers, and spiders of five grassland management regimes along a gradient of land-use intensity. These comprise naturally occurring grassland fallows, three types of traditionally managed hay meadows, and intensively used silage grassland. By using three different sampling methods, I recorded ground-dwelling, flower-visiting, and vegetation-dwelling species. The results show that in most cases species richness and diversity are highest on fallows, whereas variation among different managed grassland types is very low. Also, for most sampled taxa, fallows harbour the most distinct species assemblages, while that of other management regimes are largely overlapping. Management has the largest effect on species composition, whereas environmental parameters are of minor importance. Long-term grassland fallows seem to be highly valuable for arthropod conservation, even in a landscape with a low overall land-use intensity, providing structural heterogeneity. In conclusion, such fallows should be subsidized agri-environmental schemes, to preserve insect and spider diversity.
The intention of this thesis was to characterise the effect of naturally occurring multivalent cations like Calcium and Aluminium on the structure of Soil Organic Matter (SOM) as well as on the sorption behaviour of SOM for heavy metals such as lead.
The first part of this thesis describes the results of experiments in which the Al and Ca cation content was changed for various samples originated from soils and peats of different regions in Germany. The second part focusses on SOM-metal cation precipitates to study rigidity in dependence of the cation content. In the third part the effects of various cation contents in SOM on the binding strength of Pb cations were characterised by using a cation exchange resin as desorption method.
It was found for soil and peat samples as well as precipitates that matrix rigidity was affected by both type and content of cation. The influence of Ca on rigidity was less pronounced than the influence of Al and of Pb used in the precipitation experiments. For each sample one cation content was identified where matrix rigidity was most pronounced. This specific cation content is below the cation saturation as expected by cation exchange capacity. These findings resulted in a model describing the relation between cation type, content and the degree of networking in SOM. For all treated soil and precipitate samples a step transition like glass transition was observed, determined by the step transition temperature T*. It is known from literature that this type of step transition is due to bridges between water molecules and organic functional groups in SOM. In contrast to the glass transition temperature this thermal event is slowly reversing after days or weeks depending on the re-conformation of the water molecules. Therefore, changes of T* with different cation compositions in the samples are explained by the formation of water-molecule-cation bridges between SOM-functional groups. No influence on desorption kinetics of lead for different cation compositions in soil samples was observed. Therefore it can be assumed that the observed changes of matrix rigidity are highly reversible by changing the water status, pH or putting agitation energy by shaking in there.
Systemic neonicotinoids are one of the most widely used insecticide classes worldwide. In addition to their use in agriculture, they are increasingly applied on forest trees as a protective measure against insect pests. However, senescent leaves containing neonicotinoids might, inter alia during autumn leaf fall, enter nearby streams. There, the hydrophilic neonicotinoids may be remobilized from leaves to water resulting in waterborne exposure of aquatic non-target organisms. Despite the insensitivity of the standard test species Daphnia magna (Crustacea, Cladocera) toward neonicotinoids, a potential risk for aquatic organisms is evident as many other aquatic invertebrates (in particular insects and amphipods) display adverse effects when exposed to neonicotinoids in the ng/L- to low µg/L-range. In addition to waterborne exposure, in particular leaf-shredding invertebrates (= shredders) might be adversely affected by the introduction of neonicotinoid-contaminated leaves into the aquatic environment since they heavily rely on leaf litter as food source. However, dietary neonicotinoid exposure of aquatic shredders has hardly received any attention from researchers and is not considered during aquatic environmental risk assessment. The primary aim of this thesis is, therefore, (1) to characterize foliar neonicotinoid residues and exposure pathways relevant for aquatic shredders, (2) to investigate ecotoxicological effects of waterborne and dietary exposure on two model shredders, namely Gammarus fossarum (Crustacea, Amphipoda) and Chaetopteryx villosa (Insecta, Trichoptera), and (3) to identify biotic and abiotic factors potentially modulating exposure under field conditions.
During the course of this thesis, ecotoxicologically relevant foliar residues of the neonicotinoids imidacloprid, thiacloprid and acetamiprid were quantified in black alder trees treated at field relevant levels. A worst-case model – developed to simulate imidacloprid water concentrations resulting from an input of contaminated leaves into a stream – predicted only low aqueous imidacloprid concentrations (i.e., ng/L-range). However, the model identified dietary uptake as an additional exposure pathway relevant for shredders up to a few days after the leaves’ introduction into the stream. When test organisms were simultaneously exposed (= combined exposure) to neonicotinoids leaching from leaves into the water and via the consumption of contaminated leaves, adverse effects exceeded those observed under waterborne exposure alone. When exposure pathways were separated using a flow-through system, dietary exposure towards thiacloprid-contaminated leaves caused similar sublethal adverse effects in G. fossarum as observed under waterborne exposure. Moreover, the effect sizes observed under combined exposure were largely predictable using the reference model “independent action”, which assumes different molecular target sites to be affected. Dietary toxicity for shredders might, however, be reduced under field conditions since UV-induced photodegradation and leaching decreased imidacloprid residues in leaves and thereby the toxicity for G. fossarum. In contrast, both shredders were found unable to actively avoid dietary exposure. This thesis thus recommends considering dietary exposure towards systemic insecticides, such as neonicotinoids, already during their registration to safeguard aquatic shredders, associated ecosystem functions (e.g., leaf litter breakdown) and ultimately ecosystem integrity.
Agricultural land-use may lead to brief pulse exposures of pesticides in edge-of-field streams, potentially resulting in adverse effects on aquatic macrophytes, invertebrates and ecosystem functions. The higher tier risk assessment is mainly based on pond mesocosms which are not designed to mimic stream-typical conditions. Relatively little is known on exposure and effect assessment using stream mesocosms.
Thus the present thesis evaluates the appliacability of the stream mesocosms to mimic stream-typical pulse exposures, to assess resulting effects on flora and fauna and to evaluate aquatic-terrestrial food web coupling. The first objective was to mimic stream-typical pulse exposure scenarios with different durations (≤ 1 to ≥ 24 hours). These exposure scenarios established using a fluorescence tracer were the methodological basis for the effect assessment of an herbicide and an insecticide. In order to evaluate the applicability of stream mesocosms for regulatory purposes, the second objective was to assess effects on two aquatic macrophytes following a 24-h pulse exposure with the herbicide iofensulfuron-sodium (1, 3, 10 and 30 µg/L; n = 3). Growth inhibition of up to 66 and 45% was observed for the total shoot length of Myriophyllum spicatum and Elodea canadensis, respectively. Recovery of this endpoint could be demonstrated within 42 days for both macrophytes. The third objective was to assess effects on structural and functional endpoints following a 6-h pulse exposure of the pyrethroid ether etofenprox (0.05, 0.5 and 5 µg/L; n = 4). The most sensitive structural (abundance of Cloeon simile) and functional (feeding rates of Asellus aquaticus) endpoint revealed significant effects at 0.05 µg/L etofenprox. This concentration was below field-measured etofenprox concentrations and thus suggests that pulse exposures adversely affect invertebrate populations and ecosystem functions in streams. Such pollutions of streams may also result in decreased emergence of aquatic insects and potentially lead to an insect-mediated transfer of pollutants to adjacent food webs. Test systems capable to assess aquatic-terrestrial effects are not yet integrated in mesocosm approaches but might be of interest for substances with bioaccumulation potential. Here, the fourth part provides an aquatic-terrestrial model ecosystem capable to assess cross-ecosystem effects. Information on the riparian food web such as the contribution of aquatic (up to 71%) and terrestrial (up to 29%) insect prey to the diet of the riparian spider Tetragnatha extensa was assessed via stable isotope ratios (δ13C and δ15N). Thus, the present thesis provides the methodological basis to assess aquatic-terrestrial pollutant transfer and effects on the riparian food web.
Overall the results of this thesis indicate, that stream mesocosms can be used to mimic stream-typical pulse exposures of pesticides, to assess resulting effects on macrophytes and invertebrates within prospective environmental risk assessment (ERA) and to evaluate changes in riparian food webs.
The global problematic issue of the olive oil industry is in its generation of large amounts of olive mill wastewater (OMW). The direct discharge of OMW to the soil is very common which presents environmental problems for olive oil producing countries. Both, positive as well as negative effects on soil have been found in earlier studies. Therefore, the current study hypothesized that whether beneficial effects or negative effects dominate depends on the prevailing conditions before and after OMW discharge to soil. As such, a better understanding of the OMW-soil interaction mechanisms becomes essential for sustainable safe disposal of OMW on soil and sustainable soil quality.
A field experiment was carried out in an olive orchard in Palestine, over a period of 24 months, in which the OMW was applied to the soil as a single application of 14 L m-2 under four different environmental conditions: in winter (WI), spring (SP), and summer with and without irrigation (SUmoist and SUdry). The current study investigated the effects of seasonal conditions on the olive mill wastewater (OMW) soil interaction in the short-term and the long-term. The degree and persistence of soil salinization, acidification, accumulation of phenolic compounds and soil water repellency were investigated as a function of soil depth and time elapsed after the OMW application. Moreover, the OMW impacts on soil organic matter SOM quality and quantity, total organic carbon (SOC), water-extractable soil organic carbon (DOC), as well as specific ultraviolet absorbance analysis (SUVA254) were also investigated for each seasonal application in order to assess the degree of OMW-OM decomposition or accumulation in soil, and therefore, the persisting effects of OMW disposal to soil.
The results of the current study demonstrate that the degree and persistence of relevant effects due to OMW application on soil varied significantly between the different seasonal OMW applications both in the short-term and the long-term. The negative effects of the potentially hazardous OMW residuals in the soil were highly dependent on the dominant transport mechanisms and transformation mechanisms, triggered by the ambient soil moisture and temperature which either intensified or diminished negative effects of OMW in the soil during and after the application season. The negative effects of OMW disposal to the soil decreased by increasing the retention time of OMW in soil under conditions favoring biological activity. The moderate conditions of soil moisture and temperature allowed for a considerable amount of applied OMW to be biologically degraded, while the prolonged application time under dry conditions and high temperature resulted in a less degradable organic fraction of the OMW, causing the OMW constituents to accumulate and polymerize without being degraded. Further, the rainfall during winter season diminished negative effects of OMW in the soil; therefore, the risk of groundwater contamination by non-degraded constituents of OMW can be highly probable during the winter season.
Carabids, which are frequently distributed in agricultural landscapes, are natural enemies of different pests including slugs. Semi-natural habitats are known to affect carabids and thus, their potential to support natural pest control.
The impact of semi-natural habitats was investigated on carabids and slugs within different non-crop habitats (chapter 2). Most carabids and Deroceras reticulatum showed preferences for herbaceous semi-natural habitats, while Arion spp. occured mainly in woody habitats. An increase of predatory carabid abundance, which was linked to an inclining amount of semi-natural habitats in the landscape, and a decrease of Arion spp. densities, indicated a high potential for slug control in structural rich landscapes.
Effects of semi-natural habitats were investigated on predatory carabids and slugs in 18 wheat fields (chapter 3). Predatory carabid species richness was positively affected by the increasing amount of semi-natural habitats in the landscape, whereas predatory carabid abundance was neither influenced by adjacent habitat type nor by the proportion of semi-natural habitats in the landscape. The target pest species showed divergent patterns, whereas Arion spp. densities were highest in structural poor landscapes near woody margins. D. reticulatum was not affected by habitat type or landscape, reflecting its adaptation to agriculture. Results indicate an increased control of Arion spp. by carabids in landscapes with a high amount of semi-natural habitats.
Effects of semi-natural habitats and the influence of farming system was tested on carabid distribution within 18 pumpkin fields (chapter 4). Carabid species richness generally increased with decreasing distance to the field margins, whereas carabid abundance responded differently according to the adjacent habitat type. Farming system had no effect on carabids and landscape heterogeneity only affected carabids in organic pumpkin fields.
Slug and slug egg predation of three common carabid species was tested in single and double species treatments in the laboratory (chapter 5). Results show additive and synergistic effects depending on the carabid species. In general, semi-natural habitats can enhance the potential of slug control by carabids. This counts especially for Arionid slugs. Semi-natural habitats can support carabid communities by providing shelter, oviposition and overwintering sites as wells as complementary food sources. Therefore, it is important to provide a certain amount of non-crop habitats in agricultural landscapes.
Die Arbeit stellt die Frage nach den Effekten einer tertiären Präventionsmaßnahme in Bezug auf Schmerzbewältigung und Schmerzveränderung bei chronischen Lumbalgiepatienten. Im Rahmen der Überprüfung werden ausdifferenzierte psychophysische Interventionsmaßnahmen aus den Bereichen der Physiotherapie/Krankengymnastik und Psychologie eingesetzt. Die Gruppenunterteilung erfolgt in eine behandelte Versuchsgruppe und eine unbehandelte Warte-Kontrollgruppe mit jeweils 100 Probanden (N=200). Die Ergebnisse der tertiären Präventionsmaßnahme zeigen statistisch und klinisch relevante sowie positive Veränderungen in den Bereichen der Schmerzbewältigung und Schmerzveränderung.
Real-time operating systems for mixed-criticality systems
must support different types of software, such as
real-time applications and general purpose applications,
and, at the same time, must provide strong spatial and
temporal isolation between independent software components.
Therefore, state-of-the-art real-time operating systems
focus mainly on predictability and bounded worst-case behavior.
However, general purpose operating systems such as Linux
often feature more efficient---but less deterministic---mechanisms
that significantly improve the average execution time.
This thesis addresses the combination of the two contradicting
requirements and shows thread synchronization mechanisms
with efficient average-case behavior, but without sacrificing
predictability and worst-case behavior.
This thesis explores and evaluates the design space of fast paths
in the implementation of typical blocking synchronization
mechanisms, such as mutexes, condition variables, counting
semaphores, barriers, or message queues. The key technique here
is to avoid unnecessary system calls, as system calls have high
costs compared to other processor operations available in user
space, such as low-level atomic synchronization primitives.
In particular, the thesis explores futexes, the state-of-the-art
design for blocking synchronization mechanisms in Linux
that handles the uncontended case of thread synchronization
by using atomic operations in user space and calls into the
kernel only to suspend and wake up threads. The thesis also
proposes non-preemptive busy-waiting monitors that use an
efficient priority ceiling mechanism to prevent the lock holder
preemption problem without using system calls, and according
low-level kernel primitives to construct efficient wait and
notify operations.
The evaluation shows that the presented approaches
improve the average performance comparable
to state-of-the-art approaches in Linux.
At the same time, a worst-case timing analysis shows
that the approaches only need constant or bounded temporal
overheads at the operating system kernel level.
Exploiting these fast paths is a worthwhile approach
when designing systems that not only have to fulfill
real-time requirements, but also best-effort workloads.
Bislang mangelt es an Forschung zur Führung durch Selbstführung, ein laut Manz und Sims (2007) für die modernen Arbeitsbedingungen des 21. Jahrhunderts adäquater Führungsansatz. Zudem findet dieses Führungsverhalten in der Praxis bisher noch wenig Verbreitung (vgl. Butzmann, 2008; Jilg, 2010). Dies verdeutlicht, dass ein erheblicher Bedarf an Förderung und Training von Führung durch Selbstführung besteht. In diesem Zusammenhang wären zum einen Kenntnisse darüber von Vorteil, welche Eigenschaften und Kompetenzen für den Erwerb dieses Führungsverhalten prädisponieren. Zum anderen wäre eine empirische Fundierung der Erfolgsrelevanz von Führung durch Selbstführung interessant.
Anliegen vorliegender Arbeit ist, hierzu einen Beitrag zu leisten. Auf eignungsspezifischer Seite wurden das unternehmerische Eignungspotential sowie die individuelle Selbstführungskompetenz untersucht. Auf erfolgsspezifischer Seite wurde Führung durch Selbstführung sowohl mit dem objektiven Unternehmenserfolg als auch mit der Arbeitszufriedenheit und dem Wohlbefinden, als Indikatoren des subjektiven Unternehmenserfolgs, in Beziehung gesetzt. Die Untersuchung erfolgte an einer Stichprobe von N = 102 beruflich selbstständige Personen. Aufgrund der sehr homogenen Stichprobenzusammensetzung in Bezug auf das unternehmerische Eignungspotential sowie einer eingeschränkten Messqualität einer der Skalen zur Erfassung von Führung durch Selbstführung konnten einige der aufgestellten Hypothesen nicht bestätigt werden. Ein explorativ getestetes Modell, aus welchem diese kritischen Skalen bzw. Variablen entfernt wurden, weist allerdings einen sehr guten ModellFit auf und bestätigt weitestgehend die postulierten Zusammenhänge zwischen der individuellen Selbstführungskompetenz, Führung durch Selbstführung sowie den subjektiven und objektiven Erfolgsindikatoren. Zu beachten ist, dass dieses Modell aufgrund seines explorativen Charakters erst nach seiner erfolgreichen Replizierung als bestätigt angesehen werden darf, wobei die gefundenen Ergebnisse zu weiterführenden Untersuchungen im Bereich der Führung-durch-Selbstführungsforschung ermutigen.
In the present dissertation, the structural interaction between potassium waterglass and aluminium metaphosphates (aluminium tetrametaphosphate and aluminium hexametaphosphate) were investigated in terms of the resettlement behaviour of the metaphosphates as hardening agents. The crystalline phase composition was described qualitatively and quantitatively in terms of powder diffraction patterns combined with Rietveld refinement. The amorphous phase content was determined by different spectroscopic methods (e.g. solid-state NMR, ATR-IR, and Raman spectroscopy). The solubility behaviour of the chemical hardening agents was investigated by optical emission spectroscopy and electron absorption spectroscopy. The mechanical properties of the samples were measured by three-point bending tests, resonance damping frequency analysis, and acid test. The structural framework of the chemically hardened waterglasses was explored by scanning electron microscopy method. It could be proven, that the reaction mechanism of the resettlement is strongly dependent on the structure of the aluminium metaphosphate. After the dissolution of the aluminium ions of aluminium tetrametaphosphate through the alkalic environment of the potassium waterglass, a potassium tetrametaphosphate is developed through an ion-exchange reaction with the waterglass` potassium ions. In the hexametaphosphate system, no analogous structure could be proven. Parallel to the ion-exchange reaction an incremental depolymerization of the cyclic metaphosphate structure to the final crystalline product potassium dihydrogen phosphate occurs. The drop in pH value due to the addition of the respective aluminium metaphosphate initiates a polycondensation of the potassium waterglass due to the decreasing stabilization of the waterglass. This process is increased by the depolymerization products of the metaphosphate, that remove further quantities of the alkali ions, which accelerates the polycondensation reaction due to a further decrease in pH value. The dissolved aluminium ions from the aluminium metaphosphate penetrate into the amorphous, hardening silica network and develops an alumosilicate binder matrix. Furthermore, amorphous hydrated aluminium phosphate phases develop in separate domains beside silicate, alumosilicate phases, and the crystalline phase contents e.g. potassium dihydrogenphosphate and the incomplete reacted aluminium metaphosphate. Consequently, the chemically hardened potassium waterglass binder is not necessarily homogenous. Regarding the mechanical and chemical properties, in summary with increasing alkali modulus the mechanical flexural strength, and the young modulus drop, while the chemical resistance towards acid attack, and the porosity of the samples increase. The change in the cyclic structure from aluminium tetrametaphosphate to aluminium hexametaphosphate leads to a drop in the acid resistance, the porosity of the samples, the flexural strength, and the young modulus.
Die vorliegende Untersuchung beschäftigt sich zentral mit der Frage, in wieweit es möglich ist, durch eine transkranielle Elektrostimulation während des Schlafs bei Patienten mit idiopathischem Parkinsonsyndrom (IPS) auf die Schlafqualität bzw. auf den Prozess der Gedächtniskonsolidierung Einfluss zu nehmen. Ausgehend von der Überlegung, dass bei dieser neurologischen Erkrankung Defizite sowohl im Bereich der Schlafqualität als auch der kognitiven Leistungsfähigkeit beobachtet werden können, wurde die Möglichkeit untersucht, entsprechende, bei jungen gesunden Erwachsenen vorbekannte Stimulationseffekte auf IPS-Patienten zu übertragen. Die Intervention bestand aus einer transkraniellen "Slow-Oscillation-Stimulation". Zielvariablen waren die Schlafqualität, in erster Linie operationalisiert über den Anteil an Slow-Wave-Sleep und die kognitive Leistung, gemessen am Lernerfolg in verschiedenen Lernaufgaben. Zur Anwendung kam dabei sowohl visuell verbales als auch non-verbales Lernmaterial, wobei die Aufgaben hauptsächlich den Bereich des deklarativen Gedächtnisses berührten. Es zeigte sich jedoch, dass bekannte Stimulationseffekte weder bei IPS-Patienten, noch bei gleichaltrigen Gesunden nachweisbar sind und daher die prinzipielle Übertragbarkeit bestehender Ergebnisse in Frage gestellt werden muss. Die Gründe hierfür erscheinen vielfältig und werden an entsprechender Stelle diskutiert.
Die vorliegende Arbeit verfolgt das Erkenntnisinteresse, die Hindernisse auf der Ebene der kulturellen Muster und Wertvorstellungen zu ermitteln, die der Implementierung eines dualen Ausbildungssystems nach bundesdeutschem Vorbild in den USA entgegenwirken. Es wird ein Einblick in die historische und systematische Verwobenheit von gesellschaftlichen Teilstrukturen gegeben und verdeutlicht, warum solche Teilstrukturen nicht ohne Weiteres in andere gesellschaftliche Kontexte übertragen werden können.
Nach einer begrifflichen und theoretischen Grundlegung von deutschen und US-amerikanischen Formen betrieblicher Ausbildung werden die beiden Systeme miteinander verglichen, um signifikante Unterschiede zu identifizieren und dabei erste Anhaltspunkte für vorhandene Inkompatibilitäten auf der strukturellen Ebene zu erhalten. Hierbei steht die Frage im Vordergrund, inwieweit die dominanten und dauerhaften Charakteristika und Komponenten des deutschen Ausbildungsmodells im US-amerikanischen System wiedergefunden werden können. Durch die Einnahme einer kulturalistischen Perspektive werden die kulturspezifischen Werte und Praktiken Deutschlands und der USA erarbeitet, um die Kulturgebundenheit der Struktur, Organisation und Rahmenbedingungen von dualen Berufsausbildungen zu verdeutlichen. Hierfür wird eine Kombination aus einem etischen und einem emischen Vorgehen angewandt und die ermittelten Daten in Form einer kontrastierenden Darstellung aufbereitet, aus der die prägnantesten Kulturunterschiede hervorgehen. Mit Hilfe der erlangten Erkenntnisse werden Ansätze für ein System der dualen Berufsausbildung in den USA entwickelt, das die Implikationen aus dem Kulturvergleich aufgreift und so die für das deutsche System charakteristischen Merkmale unter Berücksichtigung der spezifischen kulturellen Muster adaptiert.
Refractory dry-vibratable mixes, which consist of a mineral filling material and an organic or anorganic binder system, are widely used for linings in industrial aggregates, where a very high temperature resistance is required (e.g. steel industry). During lining, all compounds are mixed and hardening is chemically or thermally initiated. The time span required for hardening is of special relevance for the application of refractory dry-vibratable mixes. It should be long enough for adequate processability, but simultaneously avoid too long downtimes. Prediction or regulation of the hardening time, necessary for an ideal processing, is currently limited. One the one hand, this is a result of the lack of an appropriate method for time-dependent determination of the harding process. On the other hand, the mechanisms responsible for this very complex process have not yet been investigated in detail and the effect of influencing factors, like the temperature or the composition of the refractory dry-vibratable mixes, are poorly documented.
To make a contribution to the understanding of the hardening mechanism of refractory dry-vibratable mixes, it was the aim of the present work, to develop an appropriate test method for the time-dependent investigation of this process. This was realized by means of the dynamic-mechanical analysis. In addition, the hardening mechanism was described for a refractory dry-vibratable mix with a binder system, which consists of a waterglass and a phosphate hardener (AlPO4 und BPO4), using supplement gravimetric investigations and determining solubility behavior of the phosphates. By means of X-ray diffraction analysis, nuclear magnetic resonance spectroscopy and scanning electron microscopy, the impact of the hardening mechanism on the crystal and amorphous structure was studied. It could be shown, that according to the two phosphates, the hardening leads to different network structures in respect of their link denseness. These structure characteristics correlate with the speed of the hardening reactions. In addition, the impact on selected properties (thermal linear deformation, temperature-dependent phase development and phase transition) could be deducted.
This study examined whether positive resource change and two types of baseline stressors would influence general life satisfaction and satisfaction with health at the end of treatment in mothers attending an inpatient rehabilitation or preventive program for mothers, fathers and children. Parenting self-efficacy was included as an indicator of resources while baseline distress was operationalized in terms of parenting-related stressors and depressive symptoms, respectively. Drawing on Hobfoll- conservation of resources theory, it was hypothesized that resource change and baseline stressors would interact in their effect on satisfaction measures at the end of the preventive/rehabilitation program: resource gains were expected to influence satisfaction more strongly in patients who reported higher stress levels at baseline (as compared to patients with lower baseline distress; primary research question). Hypotheses were tested using a sample of N=1724 female prevention and rehabilitation patients by means of structural equation modeling including latent interactions. Results showed that parenting-related stressors were negatively associated with general satisfaction as well as satisfaction with health while resource gains had a small positive effect on satisfaction. There was, however, no significant interaction of parenting-related stressors and positive resource change. When depressive symptoms were included as a measure of baseline distress, they were negatively associated with both facets of satisfaction. In these models, there were only small positive associations of resource gains and satisfaction measures. Again, no interaction effects were found. Additional analyses that comprised both stressor types as predictors showed that the effects of depressive symptoms on satisfaction were more pronounced than the influence of parenting-related stressors; the effects of resource gains were small to negligible. In addition, it was examined whether problem-oriented coping strategies mediated the influence of positive resource change on general life satisfaction and satisfaction with health, respectively (secondary research question). Correlations between coping, resource change and satisfaction were low or not significant. Given this lack of direct associations between the relevant variables, no further path analytic testing was performed; the hypothesized mediating role of problem-oriented coping could thus not be confirmed. All in all, study results show that contrary to the hypotheses derived from conservation of resources theory, the effects of positive resource change and distress indicators on patients" life satisfaction and satisfaction with health were not interdependent.
Zahlreiche Untersuchungen weisen darauf hin, dass die Kombination von Texten und Bildern beim Wissenserwerb zu besseren Lern- und Behaltensleistungen führt, als wenn nur mit Texten gearbeitet wird. Dieser Multimediaeffekt ist häufig auch dann zu beobachten, wenn beispielsweise Schüler oder Studierende Bild und Text sequenziert lernen. Einige Arbeiten haben dabei gezeigt, dass die Reihenfolge, in der die beiden Formate verarbeitet werden, großen Einfluss auf den Wissenserwerb hat. Erfolgt die Präsentation des Bildes vor dem Text, gelingt es den Lernenden in der Regel mehr Fakten zu erinnern. Das Phänomen des picture-text-sequencing-Effekts wurde von zwei Forschern aufgegriffen und anhand alternativer Theoriemodelle auf unterschiedliche Weise erklärt. Während einer der Autoren kapazitätsspezifische Merkmale der mentalen Repräsentation des Bildes als Ursache ansieht, macht der andere Autor Interferenzen für den Einfluss der Verarbeitungsreihenfolge verantwortlich. Das Ziel der Arbeit war es daher, zu untersuchen, welcher der beiden Ansätze der Wahrheit am ehesten entspricht. Zu diesem Zweck wurde eine Studie durchgeführt, bei der Verarbeitungsreihenfolge und Informationverhältnis beim Lernen mit multiplen Repräsentationen experimentell variierte. Das Stimulusmaterial bestand aus Texten und Bildern zur Geodynamik, die in einer komplementären und einer kongruenten Version vorlagen. Anders als erwartet, zeigte sich jedoch kein eindeutiges Ergebnis, obwohl die Analyse der Lernzeiten letztlich gegen die Annahme eines besonderen Kapäzitätsvorteils sprach. Eine Anschlussuntersuchung erbrachte die Möglichkeit, Personen, die Texte und Bilder erhalten hatten, mit Teilnehmern zu vergleichen, die nur auf ein Format zurückgreifen konnten. Die Auswertungen ergab Unterschiede hinsichtlich der mentalen Belastung bei äquivalenten Leistungen im Wissenstest. Interpretiert wurden diese Resultate als Hinweis für das Auftreten von Interferenzen, die immer dann entstanden, wenn die Versuchspersonen das Bild nach dem Text lernten. In diesem Zusammenhang hatte die dritte und letzte Untersuchung den Zweck, weitere Belege für die Interferenzannahme zu finden. Anhand von Blickbewegungsparametern, die während des sequenzierten Lernens mit den Texten und Bildern erhoben worden waren, konnten jedoch keine Unterschiede festgestellt werden. Insgesamt ließ sich die Schlussfolgerung ziehen, dass hinsichtlich des sequenzierten Lernens mit Texten und Bildern weiterhin ein großer Spielraum für zusätzliche Forschungsarbeiten besteht.
Auf der Basis originaler Krankenakten von schizophrenen Frauen aus Heil- und Pflegeanstalten wurden die Einstellungen und Verhaltensdispositionen der Anstaltspsychiater hinsichtlich der praktischen Umsetzung des Gesetzes zur Verhütung erbkranken Nachwuchses untersucht. Im Zentrum der retrospektiven Studie standen die Fragen: (1) nach der institutionsbezogenen und organisatorischen Umsetzung des Gesetzes zur Verhütung erbkranken Nachwuchses durch die Anstaltspsychiater der Heil- und Pflegeanstalten. (2) nach dem Einfluss der nationalsozialistisch gelenkten eugenischen Gesundheitspolitik auf die ärztlichen Einstellungen und das ärztliche Entscheidungsverhalten hinsichtlich der Beantragung einer Zwangssterilisation bei schizophrenen Patientinnen. (3) nach der Anwendung eines klinischen Diagnoseschemas und der Untersuchung und Dokumentation von Nachweisen zur Erblichkeit der Schizophrenie bei der Diagnose- und Antragsstellung. (4) nach den selektiven ärztlichen Entscheidungsprozessen im Zusammenhang mit der Antragstellung auf Unfruchtbarmachung auf der Basis der ärztlichen Dokumentationen in den Krankenakten und den erhobenen sozialanamnestischen Daten. (5) nach dem weiteren Krankheitsverlauf und möglichen Auswirkungen des Zwangseingriffs bei den zwangssterilisierten Patientinnen. (6) nach dem Umfang von Wiedergutmachungsverfahren in der Nachkriegszeit für die von der Zwangssterilisation betroffenen Frauen.
Immersion into narrative worlds - theoretical and empirical approaches to audience experience
(2015)
Die vorliegende Dissertation widmet sich dem Phänomen des Erlebens der Rezeption von audiovisuellen narrativen unterhaltenden Medieninhalten. Dieses wird zunächst in die Rezeptions- und Wirkungsforschung eingeordnet und für das weitere Vorgehen konkretisiert: Transportation und Narrative Engagement stellen aktuell die beiden wichtigsten Konzepte der Medienpsychologie bezüglich der Nutzung und Wirkung von Geschichten dar.
Anschließend werden drei Fragestellungen bearbeitet. Bisher standen Forscher und Forscherinnen vor dem Problem der Manipulation des Rezeptionserlebens. Daher wurden in der vorliegenden Arbeit zwei Verfahren vorgeschlagen und in vier experimentellen Studien geprüft. Der Einsatz von Rezensionen erwies sich als geeignet, um bei allen narrativen unterhaltenden Texten das Rezeptionserleben ökonomisch zu manipulieren. Weiterhin gibt es bislang kein etabliertes Verfahren zur rezeptionsbegleitenden Messung des Rezeptionserlebens.
In dieser Arbeit wurde ein Verfahren aus einer Kombination von Real Time Response Measurement (RTR), Secondary Task Reaction Times (STRT) und der Erhebung der Lidschlagfrequenz entwickelt. Vor allem RTR war in der Lage, die im Zusammenhang mit dem Rezeptionserleben auftretenden emotionalen Prozesse zu erfassen. Die Befürchtung, die rezeptionsbegleitenden Messmethoden könnten das Rezeptionserleben verhindern, wurde in einer weiteren experimentellen Studie größtenteils entkräftet. Zuletzt wurde der Prozess des Zusammenfassens des Rezeptionserlebens in ein postrezeptives Urteil thematisiert. Nach der Entwicklung eines Rahmenmodells der Beantwortung postrezeptiver Skalen wurde in einer weiteren Studie die Bedeutung verschiedener Verlaufsparameter für das postrezeptive Urteil untersucht. Vier ausgesuchte Parameter zusammen können das postrezeptive Urteil besser erklären als der Verlaufs-Mittelwert. Die Arbeit schließt mit einer Diskussion, in der unter anderem die dynamische und die postrezeptive Messung des Rezeptionserlebens aufeinanderrnbezogen werden und hinsichtlich ihrer Bedeutung kritische Würdigung erfahren.
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.
Social media provides a powerful way for people to share opinions and sentiments about a specific topic, allowing others to benefit from these thoughts and feelings. This procedure generates a huge amount of unstructured data, such as texts, images, and references that are constantly increasing through daily comments to related discussions. However, the vast amount of unstructured data presents risks to the information-extraction process, and so decision making becomes highly challenging. This is because data overload may cause the loss of useful data due to its inappropriate presentation and its accumulation. To this extent, this thesis contributed to the field of analyzing and detecting feelings in images and texts. And that by extracting the feelings and opinions hidden in a huge collection of image data and texts on social networks After that, these feelings are classified into positive, negative, or neutral, according to the features of the classified data. The process of extracting these feelings greatly helps in decision-making processes on various topics as will be explained in the first chapter of the thesis. A system has been built that can classify the feelings inherent in the images and texts on social media sites, such as people’s opinions about products and companies, personal posts, and general messages. This thesis begins by introducing a new method of reducing the dimension of text data based on data-mining approaches and then examines the sentiment based on neural and deep neural network classification algorithms. Subsequently, in contrast to sentiment analysis research in text datasets, we examine sentiment expression and polarity classification within and across image datasets by building deep neural networks based on the attention mechanism.
Emotion regulation – an empirical investigation in female adolescents with nonsuicidal self- injury
(2015)
Nonsuicidal self-injury (NSSI) was included as a condition for further study in the DSM-5. Therefore, it is necessary to investigate the suggested diagnostic criteria and the clinical and psychological correlates. In order to provide an optimal treatment best tailored to the patients need, a clear differentiation between Borderline Personality Disorder (BPD) and NSSI is needed. The investigation of personality traits specific to patients with NSSI might be helpful for this differentiation. Furthermore, social difficulties can often be a trigger for NSSI. However, little is known about how adolescents with NSSI perceive social situations. Therefore, we examined how adolescents with NSSI process emotional expressions. A new emotion recognition paradigm (ERP) using colored and morphed facial expressions of happiness, anger, sadness, disgust and fear was developed and evaluated in a student sample, selected for being high (HSA) or low socially anxious (LSA). HSA showed a tendency towards impaired emotion recognition, and the paradigm demonstrated good construct validity.
For the main study, we investigated characteristics of NSSI, clinical and psychological correlates, personality traits and emotion recognition. We examined 57 adolescents with NSSI diagnosis, 12 adolescents with NSSI without impairment/distress and 14 adolescents with BPD, 32 clinical controls without NSSI, and 64 nonclinical controls. Participants were interviewed regarding mental disorders, filled out self-report questionnaires and participated in the ERP.
Results indicate that adolescents with NSSI experienced a higher level of impairment than clinical controls. There were similarities between adolescents with NSSI and adolescents with BPD, but also important differences. Adolescents with NSSI were characterized by specific personality traits such as high harm avoidance and novelty seeking compared to clinical controls. In adolescents with BPD, these personality traits were even more pronounced. No group differences in the recognition of facial expressions were found. Nonetheless compared to the control group, adolescents with NSSI rated the stimuli as significantly more unpleasant and arousing.
In conclusion, NSSI is a highly impairing disorder characterized by high comorbidity with various disorders and by specific personality traits, providing further evidence that NSSI should be handled as a distinct diagnostic entity. Consequently, the proposed DSM-5 diagnostic criteria for NSSI are useful and necessary.
Die Studien der vorliegenden Arbeit untersuchen geschlechtsspezifisch-emotionale Reaktionsmuster auf stärkere und weniger stark emotionalisierte Texte verschiedener Textarten zu negativen Themen. Zusätzlich finden verschiedene Ausprägungen von Geschlechterstereotypen und dahingehend mögliche Zusammenhänge mit emotionalen Reaktionen Berücksichtigung. Versuchspersonen wurden mit Textmaterial konfrontiert und sollten daraufhin mit Hilfe des Emotionsfragebogens M-DAS ihre emotionalen Reaktionen bewerten. Frauen zeigten eine stärkere Ergriffenheit in Bezug auf das Textmaterial im Allgemeinen und besonders auf emotionalisiertes Textmaterial. Gemischte Ergebnisse zeigten sich in Bezug auf geschlechtertypische Textarten. Eine Sachtextpräferenz der Männer ließ sich ebensowenig signifikant belegen wie die erwartete stärkere Vorliebe der Frauen für literarische Texte. Geschlechtsspezifische Emotionen wurden weitestgehend erwartungskonform berichtet: Frauen reagierten mit stärkerer Angst und Trauer auf das Textmaterial, Männer mit stärkerer Verachtung. Die Ergebnisse in Bezug auf Wut sind gemischt, in einigen Fällen wurde Wut jedoch stärker von den Frauen berichtet. Die Untersuchung der Zusammenhänge zwischen internalisierten Stereotypen ergab Einflüsse hauptsächlich von weiblichen Stereotypen auf emotionale Reaktionen, männliche Stereotype konnten nur in einer Teilfragestellung als Einflussfaktor ausgemacht werden. Emotionsbezogene Stereotype wiesen keine Zusammenhänge mit emotionalen Reaktionen auf. Insgesamt belegen die Ergebnisse der Arbeit, dass sich geschlechterspezifische Unterschiede in emotionalen Reaktionen finden lassen.
In der vorliegenden Arbeit werden vom Autor entwickelte und in der Schulpraxis bzw. Lehrerausbildung erprobte Unterrichtskonzepte zum selbstständigen Wissens- und Könnenserwerb an Lernstationen und für den lehrerzentrierten Frontalunterricht für den Themenbereich "Photovoltaik" vorgestellt (siehe Anhang A, S. 147). Es wird mit dieser Arbeit ein Beitrag zur aktuellen Kompetenzforschung geleistet. Die wesentlichen Resultate sind: - Es wird gezeigt, dass die Legitimation der Unterrichtsthematik "Photovoltaik" aus gesellschaftlicher, bildungstheoretischer und fachdidaktischer Sicht begründbar ist. - Es wird nachgewiesen, dass das Teilchenmodell für die Beschreibung des Aufbaus und der Funktionsweise der Solarzelle im Physikunterricht geeignet ist (Elementarisierung des Leitungsvorganges in Halbleitern). - Die Analysen der Vorerfahrungen der Schülerinnen und Schüler zur Photovoltaik lassen erkennen, dass diese phänomenologischer Natur sind. Über konkrete Vorkenntnisse zur Solarzelle verfügen die Schülerinnen und Schüler nicht. - Die empirischen Untersuchungen belegen, dass sowohl im Frontalunterricht als auch beim Lernen an Stationen ein großer Lernzuwachs nachweisbar ist. Dieses Ergebnis zeigt, dass die Lernenden der 10. und 11. Klasse in der Lage sind, sich neues Wissen und Können anzueignen (Abschnitt 6.2, S. 94). - Die empirischen Untersuchungen weisen nach, dass die Urteilsfähigkeit der Schülerinnen und Schüler (Kompetenz: Bewertung) im Nachtest signifikant überzeugender (Nutzung von wissenschaftlich gesicherten Argumenten) ist als im Vortest (Abschnitt 6.4, S. 101). - Die Aufgabenstellungen der einzelnen Stationen wurden hinsichtlich der Kompetenzanforderungen vom Autor und von Experten analysiert. Dabei stellte sich heraus, dass die Zuordnung der Aufgabenstellungen zu den vier Kompetenzbereichen (Fachwissen, Erkenntnisgewinnung, Kommunikation und Bewertung) von den meisten Experten einheitlich erfolgt. Große Unterschiede treten bei der Zuordnung der Aufgabenstellungen zu den Auforderungsbereichen auf. Die Hauptursachen sieht der Autor in den unzureichenden Erläuterungen der Bildungsstandards zu den Auforderungsbereichen und den Erfahrungen der Experten bei der Bewertung von Kompetenzen (Abschnitt 7.4, S. 120).
Die vorliegende Doktorarbeit hatte zum Ziel zu prüfen, ob Emulsionspolymere auf Acrylatbasis als neuartige Photokatalysatoren bzw. Katalysatoren genutzt werden können.
Auf Grund der Beschaffenheit und der Eigenschaften von Emulsionspolymeren ist davon auszugehen, dass die Nutzung selbiger als Katalysatoren eine neue Art einer chemischen Katalyse ermöglicht. So sollen die Vorteile der heterogenen und homogenen Katalyse vereint und die jeweiligen Nachteile minimiert werden. Als besonders erfolgversprechend hat sich während der praktischen Arbeit die Nutzung von Emulsionspolymeren als Photokatalysatoren herausgestellt.
Die Anbindung der photokatalytisch aktiven Moleküle an/in den Polymerstrang soll kovalent erfolgen. Deshalb war ein erstes Teilziel dieser Arbeit prototypische Katalysatormoleküle zu synthetisieren, die über einen Acrylat-Substituenten verfügen, der in einer radikalischen Polymerisationsreaktion reagieren kann. Als Photokatalysatoren wurden Ruthenium- Polypyridin-Komplexe ausgewählt, die sowohl für eine inter- als auch intramolekulare Photokatalyse zur Herstellung von Wasserstoff aus Wasser geeignet sind. Für organokatalytische Zwecke wurde ein L-Prolin-Derivat synthetisiert, welches jedoch nicht auf seine Polymerisierbarkeit getestet wurde.
In einem ersten Schritt wurden die prototypischen 2,2’-Bipyridin-Liganden synthetisiert. Dabei konnte eine verbesserte Synthesemethode für 4-Brom-2,2’-bipyridin ausgearbeitet werden. Die Funktionalisierung erfolgte letztendlich durch eine Horner-Wadsworth-Emmons-Reaktion, die anschließend an eine Eintopfsynthese zur Darstellung von 4-Formyl-2,2’-biypridin erfolgte. Die prototypischen Photokatalysatoren zeigten mäßige Erfolge (TON: 37-136, 6h, 10% H2O, 470 nm) in Bezug auf die photokatalytische Wasserstoffproduktion, sodass an dieser Stelle eine Verbesserung der entsprechenden katalytischen Systeme erfolgen sollte.
Die Polymerisationsreaktion konnte für zwei intermolekulare Photokatalysatoren und zwei intramolekulare Photokatalysatoren durchgeführt werden. Dabei fiel auf, dass die intermolekularen Photokatalysatoren besser polymerisieren als die intramolekularen Photokatalysatoren. Es wird angenommen, dass dies mit der Löslichkeit der Substanzen im Monomer Ethylmethacrylat zusammen hängt.
Die photokatalytisch funktionalisierten Emulsionspolymere zeigten eine ähnliche photokatalytische Aktivität (TON: 9-101, 6h, 10% H2O, 470 nm) wie die jeweiligen Ausgangsstoffe selbst. Es konnte jedoch bewiesen werden, dass Emulsionspolymere als Photokatalysatoren genutzt werden können, wenn auch noch weitere Arbeiten zur Optimierung der Systeme nötig sind.
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.
Engineering criminal agents
(2019)
This PhD thesis with the title "Engineering Criminal Agents" demonstrates the interplay of three different research fields captured in the title: In the centre are Engineering and Simulation, both set in relation with the application field of Criminology - and the social science aspect of the latter. More precisely,
this work intends to show how specific agent-based simulation models can be created using common methods from software engineering.
Agent-based simulation has proven to be a valuable method for social science since decades, and the trend to increasingly complex simulation models is apparent, not at least due to advancing computational and simulation techniques. An important cause of complexity is the inclusion of 'evidence' as basis of simulation models. Evidence can be provided by various stakeholders, reflecting their different viewpoints on the topic to model.
This poses a particular burden by interrelating the two relevant perspectives on the topic of simulation: on the one hand the user of the simulation model who provides the requirements and is interested in the simulation results, on the other hand the developer of the simulation model who has to program a verified and validated formal model. In order to methodically link these two perspectives, substantial efforts in research and development are needed, where this PhD thesis aims to make a contribution.
The practical results - in terms of software - were achieved by using the multi-faceted approach mentioned above: using methods from software engineering, in order to become able to apply methods from computational social sciences, in order to gain insights into social systems, such as in the internal dynamics of criminal networks.
The PhD thesis shows the research involved to create these practical results, and gives technical details and specifications of the developed software.
The frame for research and development to achieve these results was provided mainly by two research projects: OCOPOMO and GLODERS.
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.
An assistance system has been developed for the purpuse of supporting the surgeon during the repositioning phase of intramedullary nailing of femural shaft fractures. As a basic principle the high forces generated by femural muscles and ligaments are taken by a linear sledge and a threaded rod. In order to move bone fragments directly Schanz screws are used as bone-machine interface. Two more Schanz screws are used for fine tuning orientation and position of the fragments according to the well known Joystick technique. The screws are fixed to two articulated arms, one passive and one fully robotic with manipulator. Thanks to the serial kinematic configuration of the system only minmal space of the surgeons working area gets occupied. Running a realtime operating system, the central control unit consits could be implemented as an embedded system comprising of a ARM Cortex-M0 microcontroller at it’s heart. This enables realtime computation and motor control of each joints value of the robotic arm using inverse kinematics. As inverse kinematics solver the iterative FABRIK algorithm was chosen. Serving as innovative and single user interface for the surgeon an optical force-torque sensor is used. The robotic arm always follows the surgeons motion when interacting with the sensor. Using the proposed demonstrator system a positioning resulution of <0,1mm could be accomplished. Thus by using the proposed solution during intramedullary nailing of femural shaft fractures a tremendous gain in positioning precision of bone fragments can be achieved. Furthermore a massive reduction of x-ray exposition of the surgeon is possible when applying the proposed approach. Also this approach enables the chance of cost reduction of femural fracture therapy due to reduction of needed time and staff.
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.
Entwicklung eines Computermodells der lumbalen Wirbelsäule zur Bestimmung mechanischer Belastungen
(2009)
Ziel der Arbeit war die Erstellung eines MKS-Modells der menschlichen lumbalen Wirbelsäule zur Ermittlung der mechanischen Belastungen innerer Körperstrukturen. Die Oberflächen der Wirbelkörper wurden aus CT-Daten menschlichen Sektionsguts als CAD-Oberflächen generiert und bilden das Grundgerüst des Modells. Die genaue Positionierung des Facettengelenke ist dabei vorgegeben ebenso wie die Ansatzpunkte und Verlaufsrichtungen der ligamentösen Strukturen. Zwischen den starren Wirbelkörpern wurden elastische Bandscheiben eingeführt, deren Mittelpunkte als jeweiliges Drehzentrum der entsprechenden funktionalen Einheiten definiert sind. Damit sind gleichzeitig die Hebelarme zu den Ansatzpunkten der einzelnen Bänder festgelegt. Das mechanische Verhalten dieser verschiedenen Strukturen wurde über physiologische Gleichungen oder Kennlinien in das Modell implementiert. So wurde für die Facettengelenke ein Ansatz für Kontaktkräfte in horizontaler Richtung eingeführt. Für die Kraftentwicklung bei Dehnung der Bänder fanden individuelle Kennlinien aus der Literatur Verwendung. Bei der Deformation der Bandscheiben folgt die Kraftentwicklung einer mechanischen Relation in Abhängigkeit der Deformation sowie der Deformationsgeschwindigkeit. Die entsprechenden Materialkonstanten in den Gleichungen wurden über experimentelle Messdaten aus der Literatur ermittelt. Dem Aufbau von Drehmomenten bei Auslenkung der Bandscheiben um die drei möglichen Rotationsachsen liegen wiederum Kennlinien aus der Literatur zugrunde. In Anpassung an diese experimentell ermittelten Kurven wurden mechanische Gleichungen entwickelt, die letztendlich in das Modell implementiert wurden und die bei jeweiliger Verdrehung der Bandscheibe die Entwicklung eines entsprechenden Moments angeben. Die Validierung des Modells erfolgt auf der einen Seite über die Gleichgewichtsbedingung, bei der die Summe aller Kräfte und Drehmomente bezüglich des Schwerpunkts einer funktionalen Einheit Null sein muss. Dieser Zustand konnte mit dem Modell eindeutig nachgewiesen werden. Auf der anderen Seite konnten punktuell Messergebnisse aus der Literatur über die Modellrechnungen in guter Näherung reproduziert werden. Hier besteht jedoch die Schwierigkeit, dass Messungen an Sektionsgut immer nur in isoliertem Zustand und in einem definierten Versuchsaufbau mit Belastung nur einer Richtung durchgeführt wurden. Innerhalb des Modells befinden sich die Strukturen in einem beweglichen Verbund und unterliegen damit vielfältigen mechanischen Einflüssen, was der Realität im menschlichen Körper auch wesentlich mehr entspricht. Dennoch spiegelt das Materialverhalten der elastischen Elemente innerhalb des Modells größenordnungsmäßig die Ergebnisse der verschiedensten experimentellen Messungen aus der Literatur wider. Zur Simulation unterschiedlicher Belastungssituationen wurde das Modell der Lendenwirbelsäule in verschiedenen Fallbeispielen der Einwirkung einer jeweils konstanten äußeren Kraft unterschiedlicher Größe ausgesetzt. Nach einer kurzen Phase der Bewegung aller Teilstrukturen stellte sich in jedem gerechneten Fallbeispiel ein neuer Gleichgewichtszustand ein. Für alle implementierten Strukturen, wie Bandscheiben, Bänder und Facettengelenke, konnte der zeitliche Verlauf der Belastungszunahme sowie die Belastung im Endzustand berechnet werden. Eine Überprüfung ergab, dass sich alle Ergebnisse im physiologisch gesunden Wertebereich befanden. Damit ist der Nachweis erbracht, dass mit dem vorliegenden Modell ein Instrument entwickelt wurde, das im Rahmen der Genauigkeit des Modells die Belastung der inneren Strukturen bei äußerer Krafteinwirkung zuverlässig berechnet werden können. Die Anwendungen eines derartigen Modells sind vielfältiger Art. Durch Variationen von Parametern können die verschiedensten Situationen simuliert werden. Beispiele sind hier die Auswirkung von degenerierten Bandscheiben mit völlig anderem Materialverhalten auf die umgebenden gesunden Teilstrukturen. Weitere Krankheitsbilder wie schwache Bänder, Wirbelgleiten, Knochenveränderungen oder auch der Einfluss von operativen Maßnahmen wie Versteifung einzelner Abschnitte oder die Einsetzung von Implantaten können damit simuliert werden und ermöglichen quantitative Aussagen über die Veränderung der Beanspruchung der angrenzenden Strukturen. Als Beispiel einer Anwendung in der Medizin wurde der Fall einer degenerierten Bandscheibe aufgezeigt. Die Bandscheibe wurde chirurgisch entfernt und durch ein Implantat zur Versteifung ersetzt. Mit Hilfe der Simulationsrechnung wurde die Auswirkung der Versteifung auf die Deformation der angrenzenden Bandscheiben und die veränderte Kraftentwicklung dargelegt.
Die vorliegende Arbeit beschäftigt sich mit der Fragestellung, wie eine repräsentative und aussagekräftige Vergleichbarkeit hinsichtlich der Nachhaltigkeitsleistung (Ökoeffizienz) von Unternehmen branchenunabhängig gewährleistet werden kann trotz der Problematik der Definition repräsentativer Bewertungskriterien der Nachhaltigkeit, sowie der Heterogenität der zu bewertenden Branchen. Bisherige Konzepte zu Umwelt- und Nachhaltigkeitsmanagementsystemen (z.B. EMAS, ISO 14000, ISO 26000, EMASplus), zur Umweltleistungsmessung sowie zur Nachhaltigkeitsbewertung und -berichterstattung (z.B. DNK, GRI) sind mit ihren branchenunabhängigen Formulierung zu allgemein gehalten, um für eine konkrete effizienzorientierte Messung nachhaltigen Wirtschaftens von Unternehmen geeignet zu sein.
Folglich besteht kein System zur Messung der Umweltleistung, um den Forschungsbedarf der Herstellung einer aussagekräftigen Vergleichbarkeit der Ressourcen- und Energieverbräuche der Betriebe einer heterogenen Branche zu begegnen. Angesichts dessen wurde im Rahmen der Arbeit eine allgemeine und branchenunabhängig anwendbare aber dennoch –spezifische Methodik zur Herstellung der Vergleichbarkeit von Unternehmen einer Branche hinsichtlich der Ressourcen- und Energieeffizienz entwickelt. Dabei stellt der Kern der Methodik die Generierung eines betriebsindividuellen Gesamtgewichtungsfaktors dar (GGF-Konzept), welcher als Operationalisierung der Vergleichbarkeit angesehen werden kann und damit der Problematik der Heterogenität begegnet. Die Ermittlung von Kriteriengewichtungen im Rahmen des GGF-Konzeptes kann in Analogie zu einem Entscheidungsproblem bei Mehrfachzielsetzung (Multi Criteria Decision Making – MCDM) gesehen werden, da mehrere Kriterien und Sub-Kriterien zueinander in Relation gesetzt werden mussten. Infolgedessen stellte sich der Analytische-Hierarchie-Prozess als das geeignete Verfahren im Rahmen der Methodikentwicklung heraus. Anwendung fand die Methodik in einem ersten empirischen Test anhand einer ausgewählten Stichprobe von 40 Wäschereibetrieben. Dabei zeigten die Ergebnisse auf, dass repräsentatives sowie aussagekräftiges betriebsindividuelles Benchmarking der Ressourcen- und Energieverbräuche völlig unterschiedlicher und bislang nicht vergleichbarer Betriebe möglich wurde. Hierfür mussten zunächst branchenspezifische repräsentative Bewertungskriterien der Ressourcen- und Energieeffizienz bestimmt werden. Abschließend konnten betriebsspezifische Brennpunkte identifiziert und somit Handlungsempfehlungen zur Optimierung der Ressourcen- und Energieeffizienz der Wäschereibetriebe abgeleitet werden, sodass eine zielorientierte Reduzierung des Ressourcen- und Energieverbrauchs folgen kann.
Die deutsche Holzhausbranche wächst seit Jahren, allerdings beschäftigen sich die Unternehmen nicht strategisch mit dem Thema Marketing. Diese Dissertation bildet durch qualitative und quantitative Bewohnerbefragungen die Basis für die Entwicklung eines strategischen Marketingansatzes im Holzhausbereich.
The increase in plastic particles (< 5 mm) in the environment is a global problem, which is in direct correlation to the increasing production quantity and variety. Through direct input (primary) or through the degradation of macroplastics (secondary), particles enter the environmental compartments water and/or soil via conventional material transportation paths. The research and development work on the sustainable removal of microplastic particles (inert organic chemical stressors, IOCS) from wastewater is based on the construction of polymer inclusion compounds. IOCS describe a group of organic chemical molecules, which demonstrate a high level of persistence upon entry in the ecosystem and whose degradation is limited.
Following the principle of Cloud Point Technology, a novel separation technique has been developed which induces particle growth in microplastics and allows easier separation from the water by volume increase according to the state of the art. The concept for the sustainable removal of microplastics from Herbort and Schuhen is based on a three-step synthesis. This concept was further optimized as part of the research and adapted to the criteria of resource efficiency and profitability. The fundamental research is premised on the hypothesis that van der Waals forces with short ranges and localized hydrophobic interactions between precursors and/or material and the IOCS to be connected can induce a fixation through the formation of an inclusion compound with particle growth. Through the addition of silicon-based ecotoxicologically irrelevant coagulation and inclusion units, it is possible to initiate molecular self-organization with the hydrophobic stressors in an aggregation process induced through water. It results in adhesive particle growth around the polymer particles and between particles. Subsequently, the polymer extract can be separated from aquatic media through simple and cost-effective filtration processes (e.g. sand trap, grease trap), due to the 10,000 times larger volume microplastic agglomerates.
This publication describes a concept for the design of an information system of aesthetics and art based on a system of object-oriented databases with a World Wide Web (WWW) interface for access. At first, this information system was developed for the Art of Cubism, so confined to a rather limited subject. The prototype was implemented within the research project PRISMA (Picture Retrieval and Information System for Modern Arts) at the Johannes Gutenberg-Universität Mainz because a suitable system of distributed object-oriented databases with a WWW interface was made available there. The purpose of the prototype implementation of the information system is to provide a retrieval tool for aesthetics, allowing a direct access to very different types of data (for example pictures, movies, text files). The user interaction is farmost independent from hard- and software by using just common WWW-browsers. In addition, the structure of the system allows an arbitrary scalability and basically the connection to any number of databases. Besides, an investigation was performed whether the system is useful as a retrieval and information system as well as a documentation tool for educational tasks at universities and as an application to computer based lessons of different disciplines at school and in adult education.
Perfluorocarboxylic acids (PFCA) are substances of anthropogenic origin and have been used for several decades. These compounds are a new class of environmental pollutants. Their high surface activity, thermal stability, amphipathicity and weak intermolecular interactions lead to persistence and bioaccumulation. Therefore, there is a great need for reliable analytical methods for detecting the presence and determination of concentration in both environmental samples and everyday products. GC-MS is a cost-effective alternative and supplement to established LC-MS/MS methods. The greatest challenge in the method development is the derivatization reaction. Many of the previously published derivatization reactions for PFCA are time consuming and require high reaction temperatures or toxic reagents.
In the present dissertation, two new derivatization reactions for PFCA have been developed and optimized. The first part of the thesis shows the development and optimization of the reaction with triethylsilanol in water. In addition to optimizing the reaction, classical solid-phase extraction was modified to simplify the sample preparation.
In the second part of the work, the reaction products of perfluorooctanoic acid (PFOA) with N,N-dimethylformamide dimethyl acetal (DMF-DMA) and -diethyl acetal (DMF-DEA) were identified. From these measurements, it follows that both DMF-DMA and DMF-DEA in the presence of PFOA form an iminium cation, which leads to salt formation. This PFOA salt react further in the GC injector and a corresponding amine is produced.
In the last part of the thesis, an analytical method based on the DMF-DMA reaction was developed. The matrix effects have been described in detail. The method has been successfully applied for three different types of samples: dental floss, textiles and sewage sludge. The results were verified by LC-MS/MS analysis in an external laboratory. The differences between the PFCA values for a spiked sample measured by GC-MS and LC-MS/MS were less than 10%.
Die Biomechanik umfasst natur-, ingenieur- und sportwissenschaftliche sowie medizinische Aspekte. Unter Berücksichtigung all dieser Aspekte leistet die vorliegende Arbeit einen Beitrag zum besseren Verständnis von Verletzungsmechanismen ausgewählter Sportarten. Dabei stellen numerische Verfahren ein adäquates Mittel dar, wenn Messtechnik an ihre Grenzen stößt oder experimentelle Untersuchungen aus ethischen Gründen nicht oder nur bedingt durchführbar sind. Den Schwerpunkt in dieser Arbeit bildet daher der Aufbau und die Überprüfung detaillierter physikalischer Modelle, sog. Mehrkörpersysteme (MKS), ausgesuchter Regionen des menschlichen Körpers. Die entsprechenden Bereiche des Bewegungsapparates wurden anatomisch detailliert besprochen und die mechanischen Eigenschaften der einzelnen Strukturen untersucht.
This doctoral thesis concerns the theoretical basis, development and validation of a multipart instrument to provide students of educational sciences with some feedback about their competence-development (instrument KIPBI) and report to their experiences in practical training (instrument EIPRA). It thus supports the reflection capability of the student teachers. Both instruments are part of an online self-assessment (Tour 3-RLP), which is similar to the Career-Counselling for Teachers (CCT, see cct-germany.de) but unlike this, does not focus on ability but on competence-development. The instruments serve to promote the professional development of student teachers. This is a goal of the reformed concept of teacher training in Rhineland-Palatinate, the so-called KMK-standards for teacher training and education, the Rhineland-Palatinate "Framework School Quality" as well as of handouts and manuals for the implementation of in-depth practical training in teacher education. The first part of this dissertation describes the theoretical framework for the development of instruments for the "CCT-Tour 3-RLP" starting with the issue of professionalization in teacher profession. Historical dimensions and their associated approaches to teacher education research are manifold. They range from the aspect of "teacher personality" to the implementation of teaching-standards and standards for teacher education and output orientation. While within the 60s and 70s the personality approach was pivotal in teacher education research, nowadays expertise-development and models of skills-development are discussed as central issues. Therefore, the theory section describes the influence of previous research-paradigms and their semantic content upon the current trend. As one part of the analysis the construct of "teacher self-efficacy" will be explained, along topological and typological models of competence-development.
Furthermore the practical elements of teacher education and their contribution to the professionalization of future teachers are presented. Professional reflection is assumed to be a basis for developing expertise. Therefore it is necessary to investigate how theoretical knowledge can be "transferred" to practical performance. A unifying theory connecting the integration hypothesis (assuming that knowledge is directly transferable into practice) with the differentiation hypothesis (teacher skills form their own knowledgebase independent from both theoretical and practical knowledge) is provided by cognitive psychology (particularly by research on expertise). Endpoint of the theoretical discourse is the evaluation of the referred theoretical positions and their meaning for the Rhineland-Palatinate reform of teacher education and teacher training and the role that the "Tour 3-RLP" is going to play in this context.In the empirical part the methodical and methodological steps for validation of the instruments are discussed. At first the Swiss standards for teacher profession (developed by the Pädagogische Hochschule Schwyz, Central Switzerland) are presented. They can serve as a model building a competency-oriented tool that refers to competency stages.
An analysis of various methods for the setting of cut-scores aiming to develop appropriate competency levels is also a fundament for the procedures developed in the context of the empirical investigations. The results of the pilot-study and a follow-up study conducted with both described instruments (KIPBI and EIPRA) show that the instruments for competence-measurement fulfil the requirements of psychometric criteria (like a scale-structure) and tend to support student teachers´ self-reflection. Core concern of both instruments is the promotion of students, realized by the online-self-assessment by the use of appropriate feedback structures and related recommendations for action.The final chapter of this thesis includes the discussion of the results of the validation and implementation study. This final view is devoted to the question whether or not competency-modeling or standard-based approaches to professionalization are the only possible accesses to map and explain skills development. The role of reflection seems to be important for both the integral and the differential approach and interconnects them.
Die Wirbelsäule als tragende Säule des menschlichen Körpers ist bei vielen Bewegungsabläufen hohen Belastungen ausgesetzt. Fehl- und Überbelastungen rufen dabei oft dauerhafte Schädigungen hervor. Daher ist es von Interesse, die innerhalb der Wirbelsäule auftretenden Belastungen zu bestimmen. Eine moderne und zuverlässige Methode zur Belastungsbestimmung ist der Aufbau eines Berechnungsmodells.
In der vorliegenden Arbeit wurde ein Mehr-Körper-System (MKS) Modell der Lendenwirbelsäule erstellt. Mit Hilfe des Modells können sowohl die übertragenen Kräfte und Momente in allen inneren Strukturen berechnet als auch die Kinematik des Bewegungsablaufs simuliert werden. Die Grundstruktur des Modells bilden die als Starrkörper angenommenen knöchernen Strukturen der fünf Lendenwirbel L1 bis L5, des Os Sacrums und des Os iliums, die über die Segmentierung eines CT-Datensatzes des Abgusses der Wirbeloberflächen eines durchschnittlich großen Europäers gewonnen wurden. Die elastischen Elemente der Wirbelsäule wurden unter Berücksichtigung ihrer physikalischen Eigenschaften in das Modell implementiert. Grundlage für die Modellierung der Zwischenwirbelscheiben waren dabei eigens durchgeführte experimentelle Messungen. Das charakteristische Kraft-Deformations-Verhalten der Ligamente wurde der Literatur entnommen.
Die Umsetzung im Computermodell berücksichtigt neben dem physikalischen Verhalten eines einzelnen Ligamentes zusätzlich durch einen Gewichtungsfaktor das Zusammenspiel aller Ligamente im komplex aufgebauten Ligamentapparat. Die Facettengelenke wurden durch Kontaktmodellierung in den Knorpelschichten realisiert. Daneben wurde ein Modell eines Implantatsystems entwickelt, das zur dynamischen Stabilisierung der Lendenwirbelsäule genutzt wird. Die Validierung der erstellten Modelle erfolgte über den Vergleich mit In-Vitro erhobenen Daten. Betrachtet wurden neben der intakten Wirbelsäule zudem degenerative Schädigungen der Zwischenwirbelscheibe und deren operative Versorgung durch Nukleotomie und dynamische Stabilisierung. Die Ergebnisse der Simulationen zeigen dabei eine sehr gute Näherung an die experimentell ermittelten Messwerte. Durch Anwendung der Computermodelle konnten die Auswirkungen verschiedener operativer Eingriffe, wie Interlaminotomie, Hemilaminektomie und Laminektomie auf die unterschiedlichen Strukturen der Lendenwirbelsäule berechnet werden. Ein weiteres Anwendungsgebiet lag in der Untersuchung des momentanen Drehzentrums. Neben der Bestimmung der Drehpunktbahn bei intakter Wirbelsäule konnten die Effekte einer degenerativ geschädigten und operativ versorgten Zwischenwirbelscheibe auf den Verlauf des momentanen Drehzentrums berechnet und simuliert werden.
Environmental processes transforming inorganic nanoparticles: implications on aquatic invertebrates
(2020)
Engineered inorganic nanoparticles (EINPs) are produced and utilized on a large scale and will end up in surface waters. Once in surface waters, EINPs are subjected to transformations induced by environmental processes altering the particles’ fate and inherent toxicity. UV irradiation of photoactive EINPs is defined as one effect-inducing pathway, leading to the formation of reactive oxygen species (ROS), increasing EINP toxicity by exerting oxidative stress in aquatic life. Simultaneously, UV irradiation of photoactive EINP alters the toxicity of co-occurring micropollutants (e.g. pesticides) by affecting their degradation. The presence of natural organic matter (NOM) reduces the agglomeration and sedimentation of EINPs, extending the exposure of pelagic species, while delaying the exposure of benthic species living in and on the sediment, which is suggested as final sink for EINPs. However, the joint impact of NOM and UV irradiation on EINP-induced toxicity, but also EINP-induced degradation of micropollutants, and the resulting risk for aquatic biota, is poorly understood. Although potential effects of EINPs on benthic species are increasingly investigated, the importance of exposure pathways (waterborne or dietary) is unclear, along with the reciprocal pathway of EINPs, i.e. the transport back from aquatic to terrestrial ecosystems. Therefore, this thesis investigates: (i) how the presence of NOM affects the UV-induced toxicity of the model EINP titanium dioxide (nTiO2) on the pelagic organism Daphnia magna, (ii) to which extent UV irradiation of nTiO2 in the presence and absence of NOM modifies the toxicity of six selected pesticides in D. magna, (iii) potential exposure pathway dependent effects of nTiO2 and silver (nAg) EINPs on the benthic organism Gammarus fossarum, and (iv) the transport of nTiO2 and gold EINPs (nAu) via the merolimnic aquatic insect Chaetopteryx villosa back to terrestrial ecosystems. nTiO2 toxicity in D. magna increased up to 280-fold in the presence of UV light, and was mitigated by NOM up to 12-fold. Depending on the pesticide, UV irradiation of nTiO2 reduced but also enhanced pesticide toxicity, by (i) more efficient pesticide degradation, and presumably (ii) formation of toxic by-products, respectively. Likewise, NOM reduced and increased pesticide toxicity, induced by (i) protection of D. magna against locally acting ROS, and (ii) mitigation of pesticide degradation, respectively. Gammarus’ energy assimilation was significantly affected by both EINPs, however, with distinct variation in direction and pathway dependence between nTiO2 and nAg. EINP presence delayed C. villosa emergence by up to 30 days, and revealed up to 40% reduced lipid reserves, while the organisms carried substantial amounts of nAu (~1.5 ng/mg), and nTiO2 (up to 2.7 ng/mg). This thesis shows, that moving test conditions of EINPs towards a more field-relevant approach, meaningfully modifies the risk of EINPs for aquatic organisms. Thereby, more efforts need to be made to understand the relative importance of EINP exposure pathways, especially since a transferability between different types of EINPs may not be given. When considering typically applied risk assessment factors, adverse effects on aquatic systems might already be expected at currently predicted environmental EINP concentrations in the low ng-µg/L range.
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.
“Mittelstand” businesses are the backbone of the German economy. To operate effectively, these businesses require sufficient financing provided through adequate financing instruments. Yet, which characteristics do capital seekers value in adequate financing instruments? Despite the macroeconomic relevance of the topic, only few empirical studies exist to this date, which examine the financing behaviour of “Mittelstand”. For the paper at hand, all PREPS financed German businesses were asked to fill out an online survey. PREPS is a standardized mezzanine financing instrument, which was offered to “Mittelstand” businesses with a high degree of credit worthiness - primarily to finance business growth. PREPS financed businesses are of particular interest for this research as they can choose from the greatest variety of financing options amongst their peers due to their size and credit worthiness. Financing instruments differ in terms of rights and obligations associated with them. Depending on their design, financing contracts can fulfil a variety of functions beyond the obvious supply of liquidity, such as financial transformation, influencing of behaviours, and signalling private information. The paper at hand suggests that the businesses in question selected the same financing instrument, however, for different reasons. Furthermore, the degree of appreciation for certain characteristics of the financing instrument varies with business and situation specific context. When exploring individual hypotheses on how individual factors influence this degree of appreciation for certain financing characteristics, this paper builds on core capital structure theories as well as recent empirical insights in regards to financing behaviour. In addition, the paper examines several explorative hypotheses.
Von November 2001 bis Dezember 2002 wurden 304 Grundwassermessstellen in Baden-Württemberg je zweimal faunistisch beprobt. Ebenso wurden Wasserproben zur Ermittlung der hydrochemischen Feldparameter entnommen. Dabei wurden 106 Tierarten gefunden, von denen 74 als stygophil oder stygobiont einzustufen sind. Mehr als 20 % der Messstellen waren unbesiedelt. Es wurden im Durchschnitt 2,3 Arten je Messstelle gefunden. Die meisten dieser Arten waren über das gesamte Gebiet verbreitet, nur etwa 20 waren in ihrer Verbreitung regional beschränkt. Vier Arten konnten nicht bestimmt werden und dürfen als bisher unbeschrieben gelten. Bemerkenswert ist der Einzelfund eines Syncariden der Familie Parabathynellidae, bei dem es sich um den Erstnachweis für diese Familie nördlich der Alpen und um eine neue, sehr ursprüngliche Art handelt. Mit zunehmender Tiefe wurde eine Abnahme der Artenzahl, Abundanz, Diversität und Besiedlungsfrequenz festgestellt, wobei diese Veränderungen unterhalb 20 m Tiefe sprunghaft erfolgten, wobei das oberflächennahe Grundwasser am dichtesten und artenreichsten besiedelt war. Die Zahl der tatsächlich vorkommenden, insbesondere der seltenen Arten, konnte vermutlich nicht annähernd erfasst werden. Die Zahl der in einer beliebigen Landschaftseinheit festgestellten Arten korrelierte linear mit der Zahl der untersuchten Messstellen. Auch konnten einige aus anderen Untersuchungen in Baden-Württemberg bekannte Arten nicht wiedergefunden werden. Dies weist darauf hin, dass die Zahl der im Untersuchungsgebiet lebenden Arten stark unterschätzt wurde. Eine starke Unterschätzung der Artenvielfalt im Grundwasser wird deswegen auch für die überwiegende Mehrzahl anderer grundwasserfaunistischer Studien angenommen. Die faunistischen Unterschiede zwischen den einzelnen Messstellen waren erheblich, was auf die große Heterogenität des Lebensraumes Grundwasser zurückzuführen ist. Eine Auswertung der Daten auf der Ebene der Einzelmessstellen und selbst auf der Ebene der Naturräume führte daher zu keinem Ergebnis. Ebenso wenig konnten deshalb Referenzzoozönosen beschrieben werden. Auf der nächst höheren Auswertungsebene, der Ebene der Naturraumgruppen zeigte die Fauna Verteilungsmuster, die sehr gut die geographischen Verhältnisse widerspiegeln, d. h. die faunistischen Ähnlichkeiten zwischen den Naturraumgruppen entsprachen annähernd auch ihrer räumlichen Lage zueinander. Auf dieser Auswertungsebene ergaben sich auch indirekte Zusammenhänge zwischen der Artengemeinschaft und der Landnutzung, der Leiterstruktur und der Nährstoffverfügbarkeit Fast alle Arten, die eine regional beschränkte Verbreitung aufwiesen, kamen im Einzugsgebiet des Rheins vor, waren jedoch in der Regel selten. Nur eine Art, Acanthocyclops gmeineri, wurde exklusiv im Donaueinzugsgebiet, an einer einzelnen Messstelle, gefunden. Ebenso waren auf Gemeinschaftsebene einzugsgebietsbedingte Verbreitungsmuster zu erkennen. Ein Einfluss der ehemaligen, voreiszeitlichen Flussgebietszugehörigkeit auf die Fauna konnte im Gebiet des Hochrheins, des Schwarzwaldes und des voralpinen Moor- und Hügellandes festgestellt werden: Diese Regionen, die heute dem Rheingebiet angehören, waren im Pliozän noch dem Flusseinzugsgebiet der Donau zugeordnet. Eine Reihe von Arten hat in diesen Regionen und im heutigen Donaueinzugsgebiet, also den Donau-Iller-Lechplatten und der Schwäbischen Alb, ihren Verbreitungsschwerpunkt. Wie oben bereits erwähnt, konnten die meisten regional begrenzten Arten im Rheineinzugsgebiet angetroffen werden. Nur eine Art konnte exklusiv für das rezente Donauflussgebiet festgestellt werden. Dieses Muster dürfte damit in Zusammenhang stehen, dass weite Teile des pliozänen oberen Donaueinzugsgebietes an das rezente Rheinsystem angegliedert wurden. So lassen sich drei Gruppen von Grundwassertieren unterscheiden: Arten des pliozänen Rheins, Arten der pliozänen Donau und nacheiszeitliche Wiederbesiedler mit einer landesweiter Verbreitung. Zusammenhänge zwischen der glazialen Vereisung und der rezenten Besiedlung des Grundwassers konnten nur insofern gefunden werden, als die meisten Arten als nacheiszeitliche Wiederbesiedler im gesamten Gebiet auftreten. Nur indirekte Zusammenhänge konnten zwischen der Besiedlung und der Art bzw. dem Chemismus der verschiedenen Grundwasserlandschaften gefunden werden. Als entscheidender Faktor für die Besiedlung erwies sich die hydraulische Leitfähigkeit. Diese überlagerte alle anderen Einflussgrößen, wie naturräumliche Gliederung, Hydrogeologie und Hydrographie. Danach konnten vier Gruppen unterschieden werden, von denen drei " Geringleiter, Lockergesteinsleiter und Kluftleiter - eindeutig voneinander zur trennen waren, während der Karst teilweise starke faunistische Ähnlichkeit mit den Lockergesteinsleitern aufwies. Große Ähnlichkeiten wurden zwischen den verschiedenen Lockergesteinsleitern festgestellt, so dass sie auch unter ökologischen Gesichtspunkten als einheitliche Gruppe aufgefasst werden können. Kluftleiter und Geringleiter waren in ihrer Besiedlung wesentlich heterogener als Karst- und Lockergesteinleiter. Um die Grundwassergemeinschaften bestimmter Landschaftseinheiten zu charakterisieren, erscheint es erforderlich, alle vorhandenen Aquifertypen der untersuchten Einheiten zu erfassen. Dabei sollte der Fokus nicht nur auf den Lockergesteinsleitern, sondern vor allem auch auf den Kluft- und Geringleitern liegen. Zwischen der faunistischen Besiedlung und natürlichen chemischen Stoffen und Parametern - einschließlich des Sauerstoffs " wurden keine direkten, signifikanten Zusammenhänge festgestellt. Korrelationen ergaben sich dagegen mit dem Nahrungsangebot, insbesondere der Menge an Detritus und toten Kleintieren (Aas). Daher ist davon auszugehen, dass das Auftreten von Grundwasserorganismen vor allem durch das Nahrungsangebot und weniger durch den Wasserchemismus beeinflusst wird. Das Nahrungsangebot seinerseits ist eine direkte Folge des hydrologischen Austausches, d. h. der Beeinflussung des Grundwassers durch Oberflächenwasser. Zur zukünftigen ökologischen Klassifizierung von Grundwasserlebensräumen wird ein hierarchisches, dreistufiges System, beginnend bei den geographischen, hydrographischen und naturräumlichen Verhältnissen über den Typ des Grundwasserleiters bis zum hydrologischen Austausch der Einzelstandorte diskutiert. Mit dem hydrologischen Austausch als zusätzliches Gliederungskriterium können die trophischen Verhältnisse mitberücksichtigt werden, die die kleinräumige Verteilung der Arten bestimmen.
Invasive species often have a significant impact on the biodiversity of ecosystems and the species native to it. One of the worst invaders worldwide is Aphanomyces astaci, the causative agent of the crayfish plague, an often fatal disease to crayfish species not native to North America. Aphanomyces astaci originates from North America and was introduced to Europe in the midst of the 19th century. Since then, it spread throughout Europe diminishing the European crayfish populations. The overall aim of this thesis was to evaluate the threat that A. astaci still poses to European crayfish species more than 150 years after its introduction to Europe. In the first part of the thesis, crayfish specimens, which are available in the German pet trade, were tested for infections with A. astaci. Around 13% of the tested crayfish were clearly infected with A. astaci. The study demonstrated the potential danger the pet trade poses for biodiversity through the import of alien species and their potential pathogens, in general. In the second part of the thesis, the A. astaci infection prevalence of crayfish species in wild populations in Europe was tested. While the stone crayfish, Austropotamobius torrentium, showed high susceptibility to different haplogroups of A. astaci, the narrow-clawed crayfish, Astacus leptodactylus, was able to survive infections, even by haplogroup B, which is considered to be highly virulent. In the last part of the thesis, A. astaci was traced back to its original distribution area of North America. While the crayfish plague never had such a devastating effect on crayfish in North America as it had in Europe, the reasons for the success of invasive crayfish within North America are not yet fully understood. It is possible that A. astaci increases the invasion success of some crayfish species. Several populations of the rusty crayfish, Orconectes rusticus, in the Midwest of North America were confirmed to be infected with A. astaci and a new genotype was identified, possibly indicating that each crayfish host is vector of a unique A. astaci genotype, even in North America. Overall, the present thesis provides evidence that A. astaci is still a major threat to the crayfish species indigenous to Europe. Crayfish mass mortalities still occur in susceptible crayfish species like A. torrentium even 150 years after the first introduction of A. astaci. While there are some indications for increased resistances through processes of co-evolution, the continuous introduction of crayfish species to Europe threatens to cause new outbreaks of the crayfish plague through the parallel introduction of new, highly virulent A. astaci strains.
This dissertation deals with the opportunities and restrictions that parties face in an election campaign at the supranational level of the EU. Using communication science concepts of agenda-setting (focus: media) and agenda-building (focus: political parties), the first part of the study is based on the election campaign for the European Parliament (EP) in 2014. It analyses to what extent political parties put the EU on the agenda. Second, it is examined whether parties have used their structural advantage of being able to influence the media agenda at the supranational level during the election campaign in the context of the EP election campaign. Third, it is examined whether parties can gain an advantage for the visibility of their campaigns by rejecting EU integration and the associated conflictual communication. Fourth and final, it will be explored whether agenda-building can influence the rankings of specific policy issues on the media agenda in the European context.
First, the analyses show that a European political focus of election campaign communication can no longer be found only on the part of the small (eurosceptic) parties. Second, parties have a good chance of being present in media coverage if the they pursue a European political focus in their campaign communication. Third, a negative tone in party communication turns out not to be decisive for the parties' visibility in the election campaign. Fourth, a clear positioning on political issues also prepares parties for restrictions of the further development of a European thematic agenda. After a discussion of these results, the paper concludes with an assessment of the analysis limitations and an outlook on further research approaches.
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.
Die vorliegende Dissertation beschäftigt sich mit euroskeptischen Äußerungen in der Parteienkommunikation und der Medienberichterstattung im Vorfeld der Europawahl 2014. Die Arbeit verwendet ein akteurszentriertes Forschungsdesign, welches eine differenzierte Betrachtung der öffentlichen Debatte europäischer Themen erlaubt. Die Analyse deckt auf, welche nationalen Parteien euroskeptische Positionen vertreten und inwiefern diese Einzug in die mediale Berichterstattung finden. Auch die Positionierung der Medien selbst wird durch die Untersuchung meinungsbezogener Artikel berücksichtigt. Die den Studien zu Grunde liegende Konzeptualisierung des Euroskeptizismus-Begriff umfasst neben globalen und konkreten negativen Bewertungen der EU auch die Zuschreibung von Problemverantwortung als weitere Spielart euroskeptischer Äußerungen. Die Arbeit nimmt weiterhin eine international vergleichende Perspektive ein, um den Einfluss nationaler Kontextfaktoren auf die Verbreitung euroskeptischer Positionen aufzuzeigen.
Die Ergebnisse der Analyse decken zunächst auf, dass das Vorhandensein erstarkender euroskeptischer Oppositionsparteien nicht zwangsläufig zu einer Politisierung der europäischen Debatte führt, da sich die europhilen Mainstream-Parteien verschiedener Strategien zur Vermeidung einer solchen Kontroversen bedienen. Die Analysen ergeben weiterhin, dass europhile Regierungsparteien zwar mehrheitlich vor konkreten negativen Bewertungen der EU zurückschrecken, diese aber in Bezug auf die europäische Finanzkrise vorwiegend als Verursacher von Problemlagen skizzieren. Letztlich verdeutlichen die Ergebnisse, dass die mediale Berichterstattung zu Themen mit EU-Bezug eine starke Synchronizität zwischen Nachrichten- und Meinungsteil aufzeigt. Dies gilt sowohl in Bezug auf die geäußerten Bewertungen zur Europäischen Union als auch hinsichtlich der Darstellung von Verantwortlichkeit.
The application of pesticides to agricultural areas can result in transport to adjacent non-target environments. In particular, surface water systems are likely to receive agricultural pesticide input. When pesticides enter aquatic environments, they may pose a substantial threat to the ecological integrity of surface water systems. To minimize the risk to non-target ecosystems the European Union prescribes an ecotoxicological risk assessment within the registration procedure of pesticides, which consists of an effect and an exposure assessment.
This thesis focuses on the evaluation of the exposure assessment and the implications to the complete regulatory risk assessment, and is based on four scientific publications. The main part of the thesis focuses on evaluation of the FOCUS modelling approach, which is used in regulatory risk assessment to predict pesticide surface water concentrations. This was done by comparing measured field concentrations (MFC) of agricultural insecticides (n = 466) and fungicides (n = 417) in surface water to respective predicted environmental concentrations (PEC) calculated with FOCUS step 1 to step 4 at two different levels of field relevance. MFCs were extracted from the scientific literature and were measured in field studies conducted primarily in Europe (publications 1 and 3).
In addition, an alternative fugacity-based multimedia mass-balance model, which needs fewer input parameters and less computing effort, was used to calculate PECs for the same insecticide MFC dataset and compared to the FOCUS predictions (publication 3). Furthermore, FOCUS predictions were also conducted for veterinary pharmaceuticals in runoff from an experimental plot study, to assess the FOCUS predictions for a different class of chemicals with a different relevant entry pathway (publication 2).
In publication 4, the FOCUS step-3 approach was used to determine relevant insecticide exposure patterns. These patterns were analysed for different monitoring strategies and the implications for the environmental risk assessment (publication 4).
The outcome of this thesis showed that the FOCUS modelling approach is neither protective nor appropriate in predicting insecticide and fungicide field concentrations. Up to one third of the MFCs were underpredicted by the model calculations, which means that the actual risk might be underestimated. Furthermore, the results show that a higher degree of realism even reduces the protectiveness of model results and that the model predictions are worse for highly hydrophobic and toxic pyrethroids.
In addition, the absence of any relationship between measured and predicted concentrations questions the general model performance quality (publication 1 and 3). Further analyses revealed that deficiencies in protectiveness and predictiveness of the environmental exposure assessment might even be higher than shown in this thesis, because actual short-term peak concentrations are only detectable with an event-related sampling strategy (publication 4). However, it was shown that the PECs of a much simpler modelling approach are much more appropriate for the prediction of insecticide MFC, especially for calculations with a higher field relevance (publication 3). The FOCUS approach also failed to predict concentrations of veterinary pharmaceuticals in runoff water (publication 2). In conclusion, the findings of this thesis showed that there is an urgent need for the improvement of exposure predictions conducted in the environmental risk assessment of pesticides as a group of highly relevant environmental chemicals, to ensure that the increasing use of those chemicals does not lead to further harmful effects in aquatic ecosystems.
For a comprehensive understanding of evolutionary processes and for providing reliable prognoses about the future consequences of environmental change, it is essential to reveal the genetic basis underlying adaptive responses. The importance of this goal increases in light of ongoing climate change, which confronts organisms worldwide with new selection pressures and requires rapid evolutionary change to avoid local extinction. Thereby, freshwater ectotherms like daphnids are particularly threatened. Unraveling the genetic basis of local adaptation is complicated by the interplay of forces affecting patterns of genetic divergence among populations. Due to their key position in freshwater communities, cyclic parthenogenetic mode of reproduction and resting propagules (which form biological archives), daphnids are particularly suited for this purpose.
The aim of this thesis was to assess the impact of local thermal selection on the Daphnia longispina complex and to reveal the underlying genetic loci. Therefore, I compared genetic differentiation among populations containing Daphnia galeata, Daphnia longispina and their interspecific hybrids across time, space, and species boundaries. I revealed strongly contrasting patterns of genetic differentiation between selectively neutral and functional candidate gene markers, between the two species, and among samples from different lakes, suggesting (together with a correlation with habitat temperatures) local thermal selection acting on candidate gene TRY5F and indicating adaptive introgression. To reveal the candidate genes’ impact on fitness, I performed association analyses among data on genotypes and phenotypic traits of D. galeata clones from seven populations. The tests revealed a general temperature effect as well as inter-population differences in phenotypic traits and imply a possible contribution of the candidate genes to life-history traits. Finally, utilizing a combined population transcriptomic and reverse ecology approach, I introduced a methodology with a wide range of applications in evolutionary biology and revealed that local thermal selection was probably a minor force in shaping sequence and gene expression divergence among four D. galeata populations, but contributed to sequence divergence among two populations. I identified many transcripts possibly under selection or contributing strongly to population divergence, a large amount thereof putatively under local thermal selection, and showed that genetic and gene expression variation is not depleted specifically in temperature-related candidate genes.
In conclusion, I detected signs of local adaptation in the D. longispina complex across space, time, and species barriers. Populations and species remained genetically divergent, although increased gene flow possibly contributed, together with genotypes recruited from the resting egg bank, to the maintenance of standing genetic variation. Further work is required to accurately determine the influence of introgression and the effects of candidate genes on individual fitness. While I found no evidence suggesting a response to intense local thermal selection, the high resilience and adaptive potential regarding environmental change I observed suggest positive future prospects for the populations of the D. longispina complex. However, overall, due to the continuing environmental degradation, daphnids and other aquatic invertebrates remain vulnerable and threatened.
Science education has been facing important challenges in the recent years: the decline in student’s interest in scientific topics, and moreover, the decrease of students pursuing science beyond their compulsory studies (Bennett, Hogarth, Lubben, 2003). As a result, research has focus on examining different approaches that could attempt to improve the situation. One of these approaches has been the use of context-based problem-solving tasks (Kölbach & Sumfleth, 2011; Bennett, Hogarth, Lubben, 2003). While research into context-based problem-solving tasks suggest that they are very motivating for students, it is still unclear how they influence motivation. Following an experimental pretest-postest design, two studies examined the effects of context-based task characteristics of contextualization, complexity, and transparency, on students’ motivational variables, performance, and metacognitive experiences.
Results from both studies suggest that the task characteristic of contextualization directly influences how students’ interest is triggered and maintained throughout the task. On the other hand, the task characteristics of complexity and transparency had different effects for the other dependent variables of effort, difficulty, and solution correctness.
Moreover, data shows that other motivational variables such as anxiety and success expectancies are strongly influenced by the interaction of the parameters under study. The dissertation concludes that appropriate design and use of context-based task characteristics can benefit students’ learning processes and outcomes.
The availability of digital cameras and the possibility to take photos at no cost lead to an increasing amount of digital photos online and on private computers. The pure amount of data makes approaches that support users in the administration of the photo necessary. As the automatic understanding of photo content is still an unsolved task, metadata is needed for supporting administrative tasks like search or photo work such as the generation of photo books. Meta-information textually describes the depicted scene or consists of information on how good or interesting a photo is.
In this thesis, an approach for creating meta-information without additional effort for the user is investigated. Eye tracking data is used to measure the human visual attention. This attention is analyzed with the objective of information creation in the form of metadata. The gaze paths of users working with photos are recorded, for example, while they are searching for photos or while they are just viewing photo collections.
Eye tracking hardware is developing fast within the last years. Because of falling prices for sensor hardware such as cameras and more competition on the eye tracker market, the prices are falling, and the usability is increasing. It can be assumed that eye tracking technology can soon be used in everyday devices such as laptops or mobile phones. The exploitation of data, recorded in the background while the user is performing daily tasks with photos, has great potential to generate information without additional effort for the users.
The first part of this work deals with the labeling of image region by means of gaze data for describing the depicted scenes in detail. Labeling takes place by assigning object names to specific photo regions. In total, three experiments were conducted for investigating the quality of these assignments in different contexts. In the first experiment, users decided whether a given object can be seen on a photo by pressing a button. In the second study, participants searched for specific photos in an image search application. In the third experiment, gaze data was collected from users playing a game with the task to classify photos regarding given categories. The results of the experiments showed that gaze-based region labeling outperforms baseline approaches in various contexts. In the second part, most important photos in a collection of photos are identified by means of visual attention for the creation of individual photo selections. Users freely viewed photos of a collection without any specific instruction on what to fixate, while their gaze paths were recorded. By comparing gaze-based and baseline photo selections to manually created selections, the worth of eye tracking data in the identification of important photos is shown. In the analysis of the data, the characteristics of gaze data has to be considered, for example, inaccurate and ambiguous data. The aggregation of gaze data, collected from several users, is one suggested approach for dealing with this kind of data.
The results of the performed experiments show the value of gaze data as source of information. It allows to benefit from human abilities where algorithms still have problems to perform satisfyingly.
Exposition in der Versorgungspraxis: Zur Frage der Umsetzbarkeit und Prädiktion früher Veränderungen
(2018)
Ziel der vorliegenden Arbeit war die Beantwortung folgender Fragestellungen: 1. Wie wirksam ist ein evidenzbasiertes Expositionsmanuals bei Panikstörung mit Agoraphobie in der Routineversorgung? 2. Was sind mögliche Barrieren und Hindernisse bei der Umsetzung der Exposition? 3. Was sind Prädiktoren früher Veränderungen im Therapieverlauf?
Methode: Im Rahmen einer prospektiven Längsschnittstudie wurden die Daten der vorliegenden Studie mit denen der Multicenter-Studie von Gloster et al. (2011) mittels Effektstärken und Testung auf Äquivalenz verglichen. Grundlage war das Manual von Lang, Helbig-Lang, Westphal, Gloster und Wittchen (2011). Die Patientinnen und Patienten und Therapeutinnen und Therapeuten wurden zu den Hausaufgaben, der Umsetzung im Alltag und der therapeutischen Beziehung befragt. Zusätzlich wurde die wechselseitige Beeinflussung von therapeutischer Allianz und dem Behandlungserfolg im Therapieverlauf untersucht. In Anlehnung an Westra, Marcus und Dozois (2007) wurde getestet, ob bei es Patientinnen und Patienten mit einer hohen Hausaufgaben-Compliance und einer positiven Behandlungserwartung vor Beginn der Therapie zu einer frühen Reduktion der Panik-Symptomatik kommt und ob frühe Veränderungen durch die Compliance und die Behandlungserwartung beeinflusst werden.
Ergebnisse: 1. Die Behandlung war in der Versorgungspraxis nicht weniger effektiv als in der Multicenter-Studie. 2. Die Abbrecherquote lag bei 20.59%. Die meisten Behandelten gaben an, ihre Hausaufgaben wie besprochen erledigt zu haben und schätzten sie nicht übermäßig schwer ein. Die Umsetzbarkeit der Anforderungen im Alltag wurde von den Patientinnen und Patienten sehr hoch eingeschätzt. Die meisten Therapeutinnen und Therapeuten stimmten der Aussage, die Umsetzung der massierten Exposition sei im therapeutischen Alltag nicht praktikabel eher nicht oder gar nicht zu. Je negativer die Einschätzungen der therapeutischen Beziehung durch die Behandelten war, umso höher waren die Panikwerte am Ende der Therapie. Der HAQ-S korrelierte mit dem Outcome zu r = .21, der HAQ-F zu r = .37. 3. Die beiden Mediator-Hypothesen von Westra et al. (2007) konnten nicht bestätigt werden.
Diskussion: Die Behandlung ist in der Routineversorgung wirksam und praktikabel. Die Hausaufgaben scheinen frühe Veränderungen nicht zu prädizieren. In späteren Arbeiten des Forschungsprojektes wird notwendig sein, zudem die differentielle Wirksamkeit des angepassten Manuals zu untersuchen, und zwar mittels drei aktiver Vergleichsgruppen: massierte Exposition versus prolongierte Exposition versus die Kombination beider.
Software is vital for modern society. The efficient development of correct and reliable software is of ever-growing importance. An important technique to achieve this goal is deductive program verification: the construction of logical proofs that programs are correct. In this thesis, we address three important challenges for deductive verification on its way to a wider deployment in the industry: 1. verification of thread-based concurrent programs 2. correctness management of verification systems 3. change management in the verification process. These are consistently brought up by practitioners when applying otherwise mature verification systems. The three challenges correspond to the three parts of this thesis (not counting the introductory first part, providing technical background on the KeY verification approach). In the first part, we define a novel program logic for specifying correctness properties of object-oriented programs with unbounded thread-based concurrency. We also present a calculus for the above logic, which allows verifying actual Java programs. The calculus is based on symbolic execution resulting in its good understandability for the user. We describe the implementation of the calculus in the KeY verification system and present a case study. In the second part, we provide a first systematic survey and appraisal of factors involved in reliability of formal reasoning. We elucidate the potential and limitations of self-application of formal methods in this area and give recommendations based on our experience in design and operation of verification systems. In the third part, we show how the technique of similarity-based proof reuse can be applied to the problems of industrial verification life cycle. We address issues (e.g., coping with changes in the proof system) that are important in verification practice, but have been neglected by research so far.
Fachdidaktische und pädagogische Kompetenzen angehender Mathematiklehrkräfte für die Realschule
(2019)
Studien zur Wirksamkeit der Ausbildung von Lehrerinnen und Lehrern sind in der Regel fragebogenbasiert. In der vorliegenden Untersuchung wird ein anderer Ansatz gewählt, um die Kompetenzen angehender Mathematiklehrkräfte zu erheben und zu evaluieren. Die Studie untersucht anhand der unterrichtlichen Performanz, welche Kompetenzen Anwärterinnen und Anwärter in ihrer praktischen Ausbildung erworben haben. Der Analyse liegen 137 anonymisierte Niederschriften zu benote-ten Lehrproben von Anwärterinnen und Anwärtern im Fach Mathematik zugrunde. Diese bilden die Ausbildungsjahrgänge von 2004 bis 2011 ab. Die Anwärterinnen und Anwärter werden unterrichtspraktisch anhand der Niederschriften in Anlehnung an eine qualitative Inhaltsanalyse auf ihre Kompetenzausprägungen hin getestet. Dies erfolgt schwerpunktmäßig in den Bereichen Fachdidaktik, Fachmethodik, Classroom-Management und Gesprächsführung. Im Verlauf der Untersuchung wird deutlich, dass die Teilneh-mergruppe vor allem Stärken im methodischen Bereich hat. Hier können durchgehend gute Kompetenzausprägungen festgestellt werden. Über den gesamten Erhebungszeitraum zeigen sich hingegen in den Bereichen Classroom-Management und Gesprächsführung deutliche Defizite. Die fachdidaktischen Kompetenzen der angehenden Lehrkräfte entwickeln sich negativ: Ist zu Beginn der Erhebung noch etwa die Hälfte der Anwärterinnen und Anwärter im Bereich der Fachdidaktik zufriedenstellend einzustufen, gilt das im letzten Erhebungsjahrgang nur noch für knapp ein Fünftel der Probandinnen und Probanden. Es kann gezeigt werden, dass eine gute Notenfestsetzung eng mit den er-forderlichen Kompetenzen in der Fachdidaktik zusammenhängt.
Die vorliegende Studie bestätigt im Bereich der Fachdidaktik die Ergebnisse jener Studien, die auf Fragebögen basieren.
Es konnte zudem ein statistischer Zusammenhang zwischen den fachdidaktischen Fähigkeiten und den Steuerungskompetenzen hergestellt werden.
Factors triggering the ecotoxicity of metal-based nanoparticles towards aquatic invertebrates
(2015)
Nanoparticles are produced and used in huge amounts increasing their probability to end up in surface waters. There, they are subject to environmentally driven modification processes. Consequently, aquatic life may be exposed to different nanoparticle agglomerate sizes, while after sedimentation benthic organisms are more likely to be affected.
However, most ecotoxicity studies with nanoparticles exclusively investigated implications of their characteristics (e.g. size) on pelagic organisms, ignoring environmentally modified nanoparticles. Therefore, a systematic assessment of factors triggering the fate and toxicity of nanoparticles under environmentally relevant conditions is needed. The present thesis, therefore, investigates the implications of nanoparticle related factors (i.e., inherent material-properties and nanoparticle characteristics) as well as environmental conditions towards the pelagic living organism Daphnia magna and the benthic species Gammarus fossarum. In detail, inert titanium dioxide (nTiO2) and ion-releasing silver nanoparticles (nAg), both of varying particle characteristics (e.g. initial size), were tested for their toxicity under different environmental conditions (e.g. ultraviolet-light (UV-light)).
The results indicate that the toxicity of nTiO2 and nAg is mainly determined by: their adsorption potential onto biota, and their fate in terms of reactive oxygen species or Ag+ ion release. Thus, inherent material-properties, nanoparticle characteristics and environmental conditions promoting or inhibiting these aspects revealed significant implications in the toxicity of nTiO2 and nAg towards daphnids.
Furthermore, the presence of ambient UV-light, for example, adversely affected gammarids at 0.20 mg nTiO2/L, while under darkness no effects occurred even at 5.00 mg nTiO2/L. Hence, the currently associated risk of nanoparticles might be underestimated if disregarding their interaction with environmental parameters
Fate and effects of insecticides in vegetated agricultural drainage ditches and constructed wetlands
(2006)
Studies have shown that runoff and spray-drift are important sources of nonpoint-source pesticide pollution of surface waters. Owing to this, public concern over the presence of pesticides in surface and ground water has resulted in intensive scientific efforts to find economical, yet environmentally sound solutions to the problem. The primary objective of this research was to assess the effectiveness of vegetated aquatic systems in providing buffering between natural aquatic ecosystems and agricultural landscape following insecticide associated runoff and spray-drift events. The first set of studies were implemented using vegetated agricultural ditches, one in Mississippi, USA, using pyrethroids (bifenthrin, lambda-cyhalothrin) under simulated runoff conditions and the other in the Western Cape, South Africa using the organophosphate insecticide, azinphos-methyl (AZP), under natural runoff and spray-drift conditions. The second set of studies were implemented using constructed wetlands, one in the Western Cape using AZP under natural spray-drift conditions and the other in Mississippi, USA using the organophosphate MeP under simulated runoff conditions. Results from the Mississippi-ditch study indicated that ditch lengths of less than 300 m would be sufficient to mitigate bifenthrin and lambda-cyhalothrin. In addition, data from mass balance calculations determined that the ditch plants were the major sink (generally > 90%) and/or sorption site for the rapid dissipation of the above pyrethroids from the water column. Similarly, results from the ditch study in South Africa showed that a 180 m vegetated system was effective in mitigating AZP after natural spray drift and low flow runoff events. Analytical results from the first wetland study show that the vegetated wetland was more effective than the non-vegetated wetland in reducing loadings of MeP. Mass balance calculations indicated approximately 90% of MeP mass was associated with the plant compartment. Ninety-six hours after the contamination, a significant negative acute effect of contamination on abundances was found in 8 out of the 15 macroinvertebrate species in both wetland systems. Even with these toxic effects, the overall reaction of macroinvertebrates clearly demonstrated that the impact of MeP in the vegetated wetland was considerably lower than in the non-vegetated wetland. Results from the constructed wetland study in South Africa revealed that concentrations of AZP at the inlet of the 134 m wetland system were reduced by 90% at the outlet. Overall, results from all of the studies in this thesis indicate that the presence of the plant compartment was essential for the effective mitigation of insecticide contamination introduced after both simulated and natural runoff or spray-drift events. Finally, both the vegetated agricultural drainage ditch and vegetated constructed wetland systems studied would be effective in mitigating pesticide loadings introduced from either runoff or spray-drift, in turn lowering or eliminating potential pesticide associated toxic effects in receiving aquatic ecosystems. Data produced in this research provide important information to reduce insecticide risk in exposure assessment scenarios. It should be noted that incorporating these types of best management practices (BMPs) will decrease the risk of acute toxicity, but chronic exposure may still be an apparent overall risk.
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.
The European landscape is dominated by intensive agriculture which leads to widespread impact on the environment. The frequent use of agricultural pesticides is one of the major causes of an ongoing decline in flower-visiting insects (FVIs). The conservation of this ecologically diverse assemblage of mobile, flying insect species is required by international and European policy. To counteract the decrease in species numbers and their abundances, FVIs need to be protected from anthropogenic stressors. European pesticide risk assessment was devised to prevent unacceptable adverse consequences of pesticide use on FVIs. However, there is an ongoing discussion by scientists and policy-makers if the current risk assessment actually provides adequate protection for FVI species.
The first main objective of this thesis was to investigate pesticide impact on FVI species. The scientific literature was reviewed to identify groups of FVIs, summarize their ecology, and determine their habitat. This was followed by a synthesis of studies about the exposure of FVIs in their habitat and subsequent effects. In addition, the acute sensitivity of one FVI group, bee species, to pesticides was studied in laboratory experiments.
The second main objective was to evaluate the European risk assessment for possible deficits and propose improvements to the current framework. Regulatory documents were screened to assess the adequacy of the guidance in place in light of the scientific evidence. The suitability of the honey bee Apis mellifera as the currently only regulatory surrogate species for FVIs was discussed in detail.
The available scientific data show that there are far more groups of FVIs than the usually mentioned bees and butterflies. FVIs include many groups of ecologically different species that live in the entire agricultural landscape. Their habitats in crops and adjacent semi-natural areas can be contaminated by pesticides through multiple pathways. Environmentally realistic exposure of these habitats can lead to severe effects on FVI population parameters. The laboratory studies of acute sensitivity in bee species showed that pesticide effects on FVIs can vary greatly between species and pesticides.
The follow-up critical evaluation of the European FVI risk assessment revealed major shortcomings in exposure and effect assessment. The honey bee proved to be a sufficient surrogate for bee species in lower tier risk assessment. Additional test species may be chosen for higher tier risk assessment to account for ecological differences. This thesis shows that the ecology of FVIs should generally be considered to a greater extent to improve the regulatory process. Data-driven computational approaches could be used as alternative methods to incorporate ecological trait data in spatio-temporal scenarios. Many open questions need to be answered by further research to better understand FVI species and promote necessary changes to risk assessment. In general, other FVI groups than bees need to be investigated. Furthermore, comprehensive data on FVI groups and their ecology need to be collected. Contamination of FVI habitat needs to be linked to exposure of FVI individuals and ecologically complex effects on FVI populations should receive increased attention. In the long term, European FVI risk assessment would benefit from shifting its general principles towards more scientifically informed regulatory decisions. This would require a paradigm shift from arbitrary assumptions and unnecessarily complicated schemes to a substantiated holistic framework.
Flowering habitats to enhance biodiversity and pest control services in agricultural landscapes
(2015)
Meeting growing demands for agricultural products requires management solutions that enhance food production, whilst minimizing negative environmental impacts. Conventional agricultural intensification jeopardizes farmland biodiversity and associated ecosystem services through excessive anthropogenic inputs and landscape simplification. Agri-environment schemes (AES) are commonly implemented to mitigate the adverse effects of conventional intensification on biodiversity. However the moderate success of such schemes thus far would strongly benefit from more explicit goals regarding ecosystem service provisioning. Providing key resources to beneficial organisms may improve their abundance, fitness, diversity and the ecosystem services they provide. With targeted habitat management, AES may synergistically enhance biodiversity and agricultural production and thus contribute to ecological intensification. We demonstrate that sown perennial wildflower strips, as implemented in current AES focusing on biodiversity conservation also benefit biological pest control in nearby crops (Chapter 2).
Comparing winter wheat fields adjacent to wildflower strips with fields without wildflower strips we found strongly reduced cereal leaf beetle (Oulema sp.) density and plant damage near wildflower strips. In addition, winter wheat yield was 10 % higher when fields adjoined wildflower strips. This confirms previous assumptions that wildflower strips, known for positive effects on farmland biodiversity, can also enhance ecosystem services such as pest control and the positive correlation of yield with flower abundance and diversity suggests that floral resources are key. Refining sown flower strips for enhanced service provision requires mechanistic understanding of how organisms benefit from floral resources. In climate chamber experiments investigating the impact of single and multiple flowering plant species on fitness components of three key arthropod natural enemies of aphids, we demonstrate that different natural enemies benefit differently from the offered resources (Chapter 3).
Some flower species were hereby more valuable to natural enemies than others overall. Additionally, the mixture with all flowers generally performed better than monocultures, yet with no transgressive overyielding. By explicitly tailoring flower strips to the requirements of key natural enemies of crop pests we aimed to maximise natural enemy mediated pest control in winter wheat (Chapter 4)and potato (Chapter 5) crops.
Respecting the manifold requirements of diverse natural enemies but not pests, in terms of temporal and spatial provisioning of floral, extra floral and structural resources, we designed targeted annual flower strips that can be included in crop rotation to support key arthropods at the place and time they are needed. Indeed, field experiments revealed that cereal leaf beetle density and plant damage in winter wheat can be reduced by 40 % to 61 % and aphid densities in potatoes even by 77 %, if a targeted flower strip is sown into the field. These effects were not restricted to the vicinity of flower strips and, in contrast to fields without flower strip, often prevented action thresholds from being reached. This suggests that targeted flower strips could replace insecticides. All adult natural enemies were enhanced inside targeted flower strips when compared to control strips. Yet, spillover to the field was restricted to key natural enemies such as ground beetles (winter wheat), hoverflies (potato) and lacewings (winter wheat and potato), suggesting their dominant role in biological control. In potatoes, targeted flower strips also enhanced hoverfly species richness in strips and crop, highlighting their additional benefits for diversity.
The present results provide more insights into the mechanisms underlying conservation biological control and highlight the potential of tailored habitat management for ecological intensification.
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 Basis für die Untersuchung bilden die theoretischen Erkenntnisse zur Transition und zum Fremdsprachenunterricht. In der Studie wurden saarländische Grundschullehrer und Gymnasiallehrer zu für den Fremdsprachenunterricht relevanten Aspekten befragt. Aus den Ergebnissen wurden Konsequenzen für die Bildungspolitik und die Unterrichtspraxis abgeleitet.
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.
Die Entwicklung von naturwissenschaftlichen Konzepten und Bildungssprache beginnt schon vor dem Schuleintritt und bildungssprachliche und naturwissenschaftliche Kompetenzen werden als wichtige Faktoren für Schulerfolg angesehen (Ehlich, Bredel & Reich, 2008; Saçkes, Trundle & Bell, 2013). Die frühe Förderung dieser Kompetenzen ist deshalb sinnvoll.
Lernumgebungen, die naturwissenschaftliche Konzepte fördern (Hardy, Möller & Stern, 2006; Leuchter, Saalbach & Hardy, 2014), zeichnen sich ebenso wie Lernumgebungen, die Bildungssprache fördern (Gibbons, 2006; Quehl & Trapp, 2013), dadurch aus, dass sie zum Sammeln eigener Erfahrungen (z.B. beim Experimentieren) und zum Versprachlichen und Begründen eigener Gedanken anregen (z.B. in Planungs- und Reflexionsphasen). Die zur Förderung von Bildungssprache erforderliche sprachliche Komplexität wird besonders in Gesprächen herausgefordert, die außerhalb der Experimentiersituation, d.h. kontext-reduziert, stattfinden (Gibbons, 2006; Quehl & Trapp, 2013). Bisherige Forschung untersucht allerdings entweder sprachliche oder konzeptuelle Fortschritte und dies überwiegend im schulischen Kontext. Eine gemeinsame Betrachtung beider Bereiche bei Vorschulkindern fehlt bisher. Die zentrale Forschungsfrage der Arbeit lautet daher: „Welche Effekte haben kontext-reduzierte Gespräche auf Vorstellungen von Vorschulkindern zu zweiseitigen Hebeln und deren bildungssprachliche Lexik und Grammatik?“
Die Effekte kontext-reduzierter Gespräche wurden in einem quasi-experimentellen Design (N = 90) mit drei Gruppen untersucht. Alle Gruppen nahmen an Experimentierphasen zu zweiseitigen Hebeln teil. Zwei Gruppen erhielten außerdem Planungs- und Reflexionsphasen mit verbalen Unterstützungsmaßnahmen. In der kontext-reduzierten Bedingung fanden die Planungs- und Reflexionsgespräche in raum-zeitlicher Trennung zum Experimentiermaterial statt, in der kontextualisierten Bedingung stand den Kindern das Material auch während der Planungs- und Reflexionsphasen zur Verfügung.
Zwischen kontext-reduzierten und kontextualisierten Gesprächen konnten weder signifikante Unterschiede im naturwissenschaftlichen Konzept noch in den bildungssprachlichen Kompetenzen gefunden werden. Ein signifikanter Fördereffekt von Planungs- und Reflexionsgesprächen gegenüber der reinen Experimentierphase ohne Gespräche zeigt sich für konzeptuelle Vorstellungen zu zweiseitigen Hebeln, jedoch nicht für bildungssprachliche Lexik und Grammatik. Diese Ergebnisse lassen sich aus dem theoretischen Hintergrund nur bedingt erklären und geben Anlass für weitere Forschung.