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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 Coronavirus Pandemic has influenced the lives of many people. We analyzed the effects of physical activity and stress on students’ motivation during the Pandemic. Participants were 254 university students who reported their academic motivation, physical activity, general stress, the Coronavirus Pandemic strain, and their Coronavirus stress. Women reported higher levels of Coronavirus stress, general stress, and motivation. The Coronavirus stress was predicted by the strain of the Coronavirus Pandemic but not by physical activity. General stress and gender predicted mastery goals, and performance goals were predicted by general stress. Physical activity was not related to students’ motivation during the Pandemic. Higher levels of general stress were associated with higher academic motivation. Negative emotions like stress could have enhanced students’ motivation during uncertain times of the Pandemic. Moreover, a moderate stress level could be favorable for academic dedication and achievement.
This dissertation is dedicated to a new concept for capturing renunciation-oriented attitudes and beliefs — sufficiency orientation. Sufficiency originates in the interdisciplinary sustain-ability debate. In contrast to efficiency and consistency, sufficiency considers human behaviour as the cause of socio-ecological crises and strives for a reduction in consumption respecting the planetary boundaries. The present work places sufficiency in a psychological research context and explores it qualitatively and quantitatively. On the basis of five manuscripts, the overarching question pursued is to what extent sufficiency orientation contributes to socio-ecological transformation. Based on one qualitative study and five further quantitative studies, sufficiency orientation is investigated in different behavioural contexts that are of particular importance with regard to CO2 emissions. In addition, sufficiency orientation is linked to a wider range of psychologically relevant theories that help gain an overview of correlates and possible causes for the development of a sufficiency orientation.
Manuscript 1 uses expert interviews (N = 21) to develop a heuristic framework on a transformation towards societal sufficiency orientation including barriers and enablers, as well as ambiguities on such a change. The derived elements are interpreted in the light of the leverage points approach. This framework can serve as a heuristic for future research and to develop measures concerning sufficiency orientation.
As part of an online study (N = 648), Manuscript 2 examines the extent to which sufficiency orientation can be embedded in classic models for explaining pro-environmental intentions and behaviour (Theory of Planned Behaviour, Norm Activation Model), and showed a significant contribution to the explanation of intentions and behaviour in the field of plastic consumption.
Manuscript 3 reports two framing experiments (Study 1, N = 123, Study 2, N = 330) to investigate how pro-social justice sensitivity contributes to making sufficiency orientation more salient and promoting it. While sufficiency orientation and pro-social facets of justice sensitivity were positively related to each other, there was no effect of the framing intervention in the hypothesised direction. The results indicate that justice-related information at least in the presented manner is more likely to generate reactance.
Manuscript 4 presents an online study (N = 317) and targets the importance of sufficiency orientation for predicting actual greenhouse gas emissions in relation to flight behav-iour and policy support for the decarbonisation of mobility. In addition, the connection between sufficiency orientation and global identity is examined. It turns out that sufficiency orientation is superior to global identity in predicting actual emissions and decarbonisation policies. Contrary to expectations, sufficiency orientation and the form of global identity operationalised in the presented study shows a positive correlation and are compatible.
Manuscript 5 reports a reflective diary intervention (N = 252) that should lead to a short- and long-term increase in sufficiency orientation by satisfying basic psychological needs through induced self-reflection. For both groups with or without the intervention, sufficiency orientation increased slightly but significantly. Although no specific effect of the manipulation was found, basic psychological need satisfaction turns out to be the largest predictor for sufficiency orientation. Subjective well-being is positively associated with sufficiency orientation, while time affluence shows no clear associations in the study.
Overall, the results highlight the relevance of sufficiency orientation in relation to socio-ecological transformation and actual behavioural change. Sufficiency orientation is related to low-emission behaviour and support for political measures to decarbonize infrastructures. These results contribute to the discussion on the intention-behaviour gap in regard to impact-relevant behaviour, i.e. behaviour producing high emissions. The present findings suggest, that sufficiency orientation could be related to a strong intention-behavioural consistency. However, further research is needed to validate these results and improve the measurement of sufficiency orientation. Furthermore, the studies provided insights on correlates of sufficiency orientation: justice sensitivity, global identity, subjective well-being and left-wing liberal political ideologies are all found to be positively related to sufficiency orien-tation. Moreover, basic psychological need satisfaction was identified as a potential mechanism that can support the emergence of sufficiency orientation, however, causality remains unclear. From these findings, the work derives practical implications how to possibly strengthen sufficiency orientation on the micro, meso and macro levels of society.
Taken together, the dissertation provides important insights into a new and still developing concept, and shows its connectivity to psychological theories. However, future research is required in order to grasp more precisely the complexity of sufficiency orientation and to understand origins and predictors of sufficiency orientation. This work contributes to the interdisciplinary debate on socio-ecological transformation and points out that sufficiency orientation can serve to a future worth living as being related to reduced consumption.
Background: For over a century, scientists have studied host-pathogen interactions between the crayfish plague disease agent Aphanomyces astaci and freshwater crayfish. It has been hypothesised that North American crayfish hosts are disease-resistant due to the long-lasting coevolution with the pathogen. Similarly, the increasing number of latent infections reported in the historically sensitive European crayfish hosts seems to indicate that similar coevolutionary processes are occurring between European crayfish and A. astaci. Our current understanding of these host-pathogen interactions is largely focused on the innate immunity processes in the crayfish haemolymph and cuticle, but the molecular basis of the observed disease-resistance and susceptibility remain unclear. To understand how coevolution is shaping the host’s molecular response to the pathogen, susceptible native European noble crayfish and invasive disease-resistant marbled crayfish were challenged with two A. astaci strains of different origin: a haplogroup A strain (introduced to Europe at least 50 years ago, low virulence) and a haplogroup B strain (signal crayfish in lake Tahoe, USA, high virulence). Here, we compare the gene expression profiles of the hepatopancreas, an integrated organ of crayfish immunity and metabolism.
Results: We characterised several novel innate immune-related gene groups in both crayfish spe cies. Across allchallenge groups, we detected 412 differentially expressed genes (DEGs) in the noble crayfish, and 257 DEGs in the marbled crayfish. In the noble crayfish, a clear immune response was detected to the haplogroup B strain, but not to the haplogroup A strain. In contrast, in the marbled crayfish we detected an immune response to the haplogroup A strain, but not to the haplogroup B strain. Conclusions: We highlight the hepatopancreas as an important hub for the synthesis of immune molecules in the response to A. astaci. A clear distinction between the innate immune response in the marbled crayfish and the noble crayfish is the capability of the marbled crayfish to mobilise a higher variety of innate immune response effectors.
Objectives: Crayfish plague disease, caused by the oomycete pathogen Aphanomyces astaci represents one of the greatest risks for the biodiversity of the freshwater crayfish. This data article covers the de novo transcriptome assembly and annotation data of the noble crayfish and the marbled crayfish challenged with Ap. astaci. Following the controlled infection experiment (Francesconi et al. in Front Ecol Evol, 2021, https://doi.org/10.3389/fevo.2021.647037), we conducted a differential gene expression analysis described in (Boštjančić et al. in BMC Genom, 2022, https://doi.org/10.1186/s12864-022-08571-z) Data description: In total, 25 noble crayfish and 30 marbled crayfish were selected. Hepatopancreas tissue was isolated, followed by RNA sequencing using the Illumina NovaSeq 6000 platform. Raw data was checked for quality with FastQC, adapter and quality trimming were conducted using Trimmomatic followed by de novo assembly with Trinity. Assembly quality was assessed with BUSCO, at 93.30% and 93.98% completeness for the noble crayfish and the marbled crayfish, respectively. Transcripts were annotated using the Dammit! pipeline and assigned to KEGG pathways. Respective transcriptome and raw datasets may be reused as the reference transcriptome assemblies for future expression studies.
Diese Bachelorarbeit erforscht eine Methode zur 3D-Objekterkennung und Posenschätzung, basierend auf dem Punkte-Paare-Eigenschaften-Verfahren (PPE) von Drost et. al. [Dro+10]. Die Methoden der Posenschätzung haben sich in den letzten Jahre zwar deutlich verbessert, stellen jedoch weiterhin ein zentrales Problem im Bereich der Computervisualistik dar. Im Rahmen dieser Arbeit wurde ein Programm implementiert, welches Punktewolkenszenen als Ausgangspunkt erhält und daraus eine Objekterkennung und Posenschätzung durchführt. Das Programm deckt alle Schritte eines Objekterkennungsprogramm ab, indem es 3D-Modelle von Objekten verarbeitet, um deren PPE zu extrahieren. Diese Eigenschaften werden gruppiert und in einer Tabelle gespeichert. Anhand des Auswahlverfahrens, bei dem die Übereinstimmung der Eigenschaften überprüft wird, können potenzielle Posen des Objekts ermittelt werden. Die Posen mit der größten Übereinstimmung werden miteinander verglichen, um ähnliche Posen zu gruppieren. Die Gruppen mit der höchsten Übereinstimmung werden erneut überprüft, sodass am Ende nur eine Pose ausgewählt wird. Das Programm wurde anhand von Real– und Simulationsdaten Daten getestet. Die erhaltenen Ergebnisse wurden anschließend analysiert und evaluiert.
The decline of biodiversity can be observed worldwide and its consequences are alarming. It is therefore crucial that nature must be protected and, where possible, restored. A wide variety of different project options are possible. Yet in the context of limited availability of resources, the selection of the most efficient measures is increasingly important. For this purpose, there is still a lack of information. This pertains, as outlined in the next paragraph, in particular, to information at different scales of projects.
Firstly, there is a lack of information on the concrete added value of biodiversity protection projects. Secondly, there is a lack of information on the actual impacts of such projects and on the costs and benefits associated with a project. Finally, there is a lack of information on the links between the design of a project, the associated framework conditions and the perception of specific impacts. This paper addresses this knowledge gap by providing more information on the three scales by means of three empirical studies on three different biodiversity protection projects in order to help optimize future projects.
The first study “Assessing the trade-offs in more nature-friendly mosquito control in the Upper Rhine region” examines the added value of a more nature-friendly mosquito control in the Upper Rhine Valley of Germany using a contingent valuation method. Recent studies show that the widely used biocide Bti, which is used as the main mosquito control agent in many parts of the world, has more negative effects on nature than previously expected. However, it is not yet clear whether the population supports a more nature-friendly mosquito control, as such an adaptation could potentially lead to higher nuisance. This study attempts to answer this question by assessing the willingness to pay for an adapted mosquito control strategy that reduces the use of Bti, while maintaining nuisance protection within settlements. The results show that the majority of the surveyed population attaches a high value to a more nature-friendly mosquito control and is willing to accept a higher nuisance outside of the villages.
The second study “Inner city river restoration projects: the role of project components for acceptance” examines the acceptance of a river restoration project in Rhineland-Palatinate, Germany. Despite much effort, many rivers worldwide are still in poor condition. Therefore, a rapid implementation of river restoration projects is of great importance. In this context, acceptance by society plays a fundamental role, however, the factors determining such acceptance are still poorly understood. In particular, the complex interplay between the acceptance or rejection of specific project components and the acceptance of the overall project require further exploration. This study addresses this knowledge gap by assessing the acceptance of the project, its various ecological and social components, and the perception of real and fictitious costs as well as the benefits of the components. Our findings demonstrate that while acceptance of the overall project is generally rather high, many respondents reject one or more of the project's components. Complementary social project components, like a playground, find less support than purely ecological components. Overall, our research shows that complementary components may increase or decrease acceptance of the overall project. We, furthermore, found that differences in the acceptance of the individual components depend on individual concerns, such as perceived flood risk, construction costs, expected noise and littering as well as the quality of communication, attachment to the site, and the age of the respondents.
The third study “What determines preferences for semi-natural habitats in agrarian landscapes? A choice-modelling approach across two countries using attributes characterizing vegetation” investigates people's aesthetic preferences for semi-natural habitats in agricultural landscapes. The EU-Common Agricultural Policy promotes the introduction of woody and grassy semi-natural habitats (SNH) in agricultural landscapes. While the benefits of these structures in terms of regulating ecosystem services are already well understood, the effects of SNH on visual landscape quality is still not clear. This study investigates the factors determining people’s visual preferences in the context of grassy and woody SNH elements in Swiss and Hungarian landscapes using picture-based choice experiments. The results suggest that respondents’ choices strongly depend on specific vegetation characteristics that appear and disappear over the year. In particular, flowers as a source of colours and green vegetation as well as ordered structure and the proportion of uncovered soil in the picture play an important role regarding respondents’ aesthetic perceptions of the pictures.
The three empirical studies can help to make future projects in the study areas of biodiversity protection more efficient. While this thesis highlights the importance of exploring biodiversity protection projects at different scales, further analyses of the different scales of biodiversity protection projects are needed to provide a sound basis to develop guidance on identifying the most efficient biodiversity protection projects.
Instructor feedback on written assignments is one of the most important elements in the writing process, especially for students writing in English as a foreign language. However, students are often critical of both the amount and quality of the feedback they receive. In order to better understand what makes feedback effective, this study explored the nature of students’ assessments of the educational alliance, and how their receptivity to, perceptions of, and decisions about using their instructors’ feedback differed depending on how strong they believed the educational alliance to be. This exploratory case study found that students not only assessed the quality of the educational alliance based on goal compatibility, task relevance, and teacher effectiveness, but that there was also a reciprocal relationship between these elements. Furthermore, students’ perceptions of the educational alliance directly influenced how they perceived the feedback, which made the instructor’s choice of feedback method largely irrelevant. Stronger educational alliances resulted in higher instances of critical engagement, intrinsic motivation, and feelings of self-efficacy. The multidirectional influence of goal, task, and bond mean that instructors who want to maximize their feedback efforts need to attend to all three.
Soziale Netzwerke sind allgegenwärtige Strukturen, die wir jeden Tag generieren und bereichern, während wir uns über Plattformen der sozialen Medien, E-Mails und jede andere Art von Interaktion mit Menschen verbinden. Während diese Strukturen für uns nicht greifbar sind, sind sie sehr wichtige Informationsträger. Zum Beispiel kann die politische Neigung unserer Freunde ein Näherungswert sein, um unsere eigenen politischen Präferenzen zu identifizieren. Gleichermaßen
kann die Kreditwürdigkeit unserer Freunde entscheidend bei der Gewährung oder Ablehnung unserer eigenen Kredite sein. Diese Erklärungskraft wird bei der Gesetzgebung, bei Unternehmensentscheidungen und in der Forschung genutzt, da sie maschinellen Lerntechniken hilft, genaue Vorhersagen zu treffen. Diese Verallgemeinerungen kommen jedoch häufig nur der Mehrheit der Menschen zugute, welche die allgemeine Struktur des Netzwerks prägen, und benachteiligen unterrepräsentierte Gruppen, indem sie ihre Mittel und Möglichkeiten begrenzen. Daher ist es wichtig zuerst zu verstehen, wie sich soziale Netzwerke bilden, um dann zu überprüfen, inwieweit ihre Mechanismen der Kantenbildung dazu beitragen, soziale Ungleichheiten in Algorithmen des maschinellen Lernens zu verstärken.
Zu diesem Zweck schlage ich im ersten Teil dieser Arbeit HopRank und Janus vor, zwei Methoden um die Mechanismen der Kantenbildung in realen ungerichteten sozialen Netzwerken zu charakterisieren. HopRank ist ein Modell der Daten-Hamsterei in Netzwerken. Sein Schlüsselkonzept ist ein gezinkter zufälliger Wanderer, der auf Übergangswahrscheinlichkeiten zwischen K-Hop-Nachbarschaften basiert. Janus ist ein Bayessches Rahmenwerk, mit dem wir plausible Hypothesen der Kantenbildung in Fällen identifizieren und bewerten können, in denen Knoten zusätzliche Daten enthalten. Im zweiten Teil dieser Arbeit untersuche ich die Auswirkungen dieser Mechanismen - welche die Kantenbildung in sozialen Netzwerken erklären - auf das maschinelle Lernen. Insbesondere untersuche ich den Einfluss von Homophilie, bevorzugter Bindung, Kantendichte, Anteil von Minderheiten und der Richtung von Verbindungen sowohl auf Leistung als auch auf systematische Fehler von kollektiver Klassifizierung und auf die Sichtbarkeit von Minderheiten in Top-K-Rängen. Meine Ergebnisse zeigen eine starke Korrelation zwischen der Netzwerkstruktur und den Ergebnissen des maschinellen Lernens. Dies legt nahe, dass die systematische Diskriminierung spezieller Personen: (i) durch den Netzwerktyp vorweggenommen und (ii) durch strategisches Verbinden im Netzwerk verhindert werden kann.
In dieser Arbeit werden die Möglichkeiten der Echtzeitvisualisierung von
OpenVDB-Dateien untersucht. Die Grundlagen von OpenVDB, dessen
Möglichkeiten, und NanoVDB, der GPU-Schnittstelle, werden erforscht.
Es wird ein System entwickelt, welches PNanoVDB, die Grafik-APIPortierung
von OpenVDB, verwendet. Außerdem werden Techniken
zur Verbesserung und Beschleunigung eines Einzelstrahlansatzes zur
Strahlenverfolgung getestet und angepasst. Um eine Echtzeitfähigkeit
zu realisieren, werden zwei Einzelstreuungsansätze implementiert, von
denen einer ausgewählt, weiter untersucht und optimiert wird.
Dies ermöglicht potenziellen Nutzern eine direkte Rückmeldung über
ihre Anpassungen zu erhalten, sowie die Möglichkeit, alle Parameter zu
ändern, um einen freien Gestaltungsprozess zu gewährleisten.
Neben dem visuellen Rendering werden auch entsprechende Benchmarks
gesammelt, um verschiedene Verbesserungsansätze zu vergleichen und
deren Relevanz zu beweisen. Um eine optimale Nutzung zu erreichen,
wird auf die Rendering-Zeiten und den Speicherverbrauch auf der GPU
geachtet. Ein besonderes Augenmerk wird auf die Integrierbarkeit und
Erweiterbarkeit des Programms gelegt, um eine einfache Integration in
einen bestehenden Echtzeit-Renderer wie U-Render zu ermöglichen.
Semantic-Web-Technologien haben sich als Schlüssel für die Integration verteilter und heterogener Datenquellen im Web erwiesen, da sie die Möglichkeit bieten, typisierte Verknüpfungen zwischen Ressourcen auf dynamische Weise und nach den Prinzipien von sogenannten Dataspaces zu definieren. Die weit verbreitete Einführung dieser Technologien in den letzten Jahren führte zu einer großen Menge und Vielfalt von Datensätzen, die als maschinenlesbare RDF-Daten veröffentlicht wurden und nach ihrer Verknüpfung das sogenannte Web of Data bilden. Angesichts des großen Datenumfangs werden diese Verknüpfungen normalerweise durch Berechnungsmethoden generiert, den Inhalt von RDF-Datensätzen analysieren und die Entitäten und Schemaelemente identifizieren, die über die Verknüpfungen verbunden werden sollen. Analog zu jeder anderen Art von Daten müssen Links die Kriterien für Daten hoher Qualität erfüllen (z. B. syntaktisch und semantisch genau, konsistent, aktuell), um wirklich nützlich und leicht zu konsumieren zu sein. Trotz der Fortschritte auf dem Gebiet des maschinellen Lernens ist die menschliche Intelligenz für die Suche nach qualitativ hochwertigen Verbindungen nach wie vor von entscheidender Bedeutung: Menschen können Algorithmen trainieren, die Ausgabe von Algorithmen in Bezug auf die Leistung validieren, und auch die resultierenden Links erweitern. Allerdings sind Menschen – insbesondere erfahrene Menschen – nur begrenzt verfügbar. Daher kann die Ausweitung der Datenqualitätsmanagementprozesse von Dateneigentümern/-verlegern auf ein breiteres Publikum den Lebenszyklus des Datenqualitätsmanagements erheblich verbessern.
Die jüngsten Fortschritte bei Human Computation und bei Peer-Production-Technologien eröffneten neue Wege für Techniken zur Verwaltung von Mensch-Maschine-Daten, die es ermöglichten, Nicht-Experten in bestimmte Aufgaben einzubeziehen und Methoden für kooperative Ansätze bereitzustellen. Die in dieser Arbeit vorgestellten Forschungsarbeiten nutzen solche Technologien und untersuchen Mensch-Maschine-Methoden, die das Management der Verbindungsqualität im Semantic Web erleichtern sollen. Zunächst wird unter Berücksichtigung der Dimension der Verbindungsgenauigkeit eine Crowdsourcing Methode zur Ontology Alignment vorgestellt. Diese Methode, die auch auf Entitäten anwendbar ist, wird als Ergänzung zu automatischen Ontology Alignment implementiert. Zweitens werden neuartige Maßnahmen zur Dimension des Informationsgewinns eingeführt, die durch die Verknüpfungen erleichtert werden. Diese entropiezentrierten Maßnahmen liefern Datenmanagern Informationen darüber, inwieweit die Entitäten im verknüpften Datensatz Informationen in Bezug auf Entitätsbeschreibung, Konnektivität und Schemaheterogenität erhalten. Drittens wenden wir Wikidata - den erfolgreichsten Fall eines verknüpften Datensatzes, der von einer Gemeinschaft von Menschen und Bots kuratiert, verknüpft und verwaltet wird - als Fallstudie an und wenden deskriptive und prädiktive Data Mining-Techniken an, um die Ungleichheit der Teilnahme und den Nutzerschwung zu untersuchen. Unsere Ergebnisse und Methoden können Community-Managern helfen, Entscheidungen darüber zu treffen, wann/wie mit Maßnahmen zur Nutzerbindung eingegriffen werden soll. Zuletzt wird eine Ontologie zur Modellierung der Geschichte der Crowd-Beiträge auf verschiedenen Marktplätzen vorgestellt. Während der Bereich des Mensch-Maschine-Datenmanagements komplexe soziale und technische Herausforderungen mit sich bringt, zielen die Beiträge dieser Arbeit darauf ab, zur Entwicklung dieses noch aufstrebenden Bereichs beizutragen.
Motiviert wurde die vorliegende Arbeit durch die dynamischen Phänomene, die bei grundlegenden katalytischen Oberflächenreaktionen beobachtet werden, insbesondere durch Bi- und Tristabilität und die Wechselwirkungen zwischen diesen stabilen Zuständen. In diesem Zusammenhang wurden drei Reaktions-Diffusions-Modelle entwickelt und auf Bifurkationen analytisch und mittels numerischer Simulationen untersucht.
Das erste Modell wurde entwickelt, um die bistabile CO-Oxidation auf Ir(111) um Wasserstoff und dessen Oxidationsreaktionen zu erweitern. Das Differentialgleichungssystem wurde im Rahmen der Bifurkationstheorie analysiert, wobei drei Zweige stabiler Lösungen gefunden wurden. Einer der Zustände ist durch hohe Bildungsraten gekennzeichnet (upper rate, UR), während die anderen beiden Zweige niedrige Bildungsraten aufweisen (lower rate (LR) \& very low rate (VLR)).
Die Kurve der Sattel-Knoten-Bifurkationen bildet zwei Spitzen aus, wodurch die sich überschneidenden Zustände die Form eines Schwalbenschwanzes bilden. Eine Temperaturerhöhung führt zur Entfaltung und damit zu einer Komplexitätserniedrigung des Systems.
Um die experimentelle (Un-)Zugänglichkeit dieser Zustände zu veranschaulichen wurde eine Reihe von numerischen Simulationen durchgeführt, die mögliche Experimente widerspiegeln. Relaxationsexperimente zeigen teilweise lange Konvergenzzeiten. Quasi-statisches Scannen des Versuchsparameters zeigt die Existenz aller drei Zustände innerhalb des tristabilen Region und ihre jeweilige Umwandlung beim Verlassen desselben.
Ein erster Versuch bezüglich Reaktions-Diffusions-Fronten zwischen den stabilen Zuständen wurde durchgeführt. In 1D dominiert UR, während in 2D die Interphase zwischen UR und VLR durch den LR Zustand durchdrungen wird.
Anschließend wurde ein generisches `Parodie'-Monospezies-Modell für die umfassende Untersuchung von Reaktions-Diffusions-Fronten verwendet. Als Reaktionsterm wurde ein Polynom fünften Grades gewählt. Dies resultiert aus einem polynomischen Potential sechster Ordnung, das mit der ``Schmetterlingsbifurkation'' verbunden ist. Dies garantiert abhängig von dem vierdimensionalen Parameterraum bis zu drei stabile Lösungen ($u_{0}$,$u_{1}$,$u_{2}$).
Das Modell wurde eingehend untersucht, wobei Regionen mit ähnlichem Verhalten identifiziert wurden. Es wurde ein Term für die Frontgeschwindigkeit zwischen zwei stabilen Zuständen abgeleitet, der eine Abhängigkeit von der relativen Potentialdifferenz der beiden Zustände zeigt. Es wurden Äquipotentialkurven gefunden, bei denen die Geschwindigkeit der zugehörigen Front verschwindet. Numerische Simulationen auf einer zweidimensionalen, endlichen Scheibe unterstützten diese Ergebnisse.
Außerdem wurde die Front-Splitting-Instabilität beobachtet, bei der die Frontlösung $u_{02}$ instabil wird und sich in $u_{01}$ und $u_{12}$ mit je unterschiedlichen Geschwindigkeiten aufteilt. Eine gute Schätzung zu den Grenzen der Front-Splitting-Region wurde gegeben und mit Hilfe von numerischen Zeitentwicklungen überprüft.
Schließlich wurde das etablierte kontinuierliche Modell räumlich diskretisiert, wobei eine einfache Domäne in 1D und drei verschiedene Gitter in 2D (quadratisch, hexagonal, dreieckig) verwendet wurden. Bei niedrigen Diffusivitäten oder großen Abständen zwischen den gekoppelten Knoten können die Fronten `einfrieren', falls die Parameter in der Nähe einer Äquipotentiallinie liegen. Dieses Phänomen ist als Propagationsversagen (PF) bekannt und sein Ausmaß im Parameterraum (Pinning Region) wurde in 1D untersucht. In 2D wurde zunächst eine Schätzung für die Frontausbreitung in ausgezeichnete Gitterrichtungen mittels einer Pseudo-2D-Näherung vorgenommen.
Nahe der Pinning-Region weichen die Frontgeschwindigkeiten erheblich von der kontinuierlichen Erwartung ab, da die exakte Form des Potentials signifikant wird. Größe und Form der Pinning-Regionen wird von der Kopplungsstärke, dem Gitter, die Frontausrichtung zum Gitter und die Frontlösung selbst entschieden. Das Bifurkationsdiagramm zeigt eine schlängelnde Kurve innerhalb der Pinning-Region, wobei jeder abwechselnde Zweig aus stabilen bzw. instabilen, eingefrorenen Fronten besteht.
Numerische Simulationen bestätigten die Beobachtungen bezüglich des PF und der Gitterabhängigkeit. Darüber hinaus wurde der Einfluss der Frontorientierung auf die Geschwindigkeit genauer untersucht. Es wurde gezeigt, dass Fronten mit ausgezeichneter Orientierung zum Gitter mehr oder weniger anfällig für PF sind. Hieraus resultiert die Möglichkeit zur Stabilisierung von metastabilen Mustern, welche die Gittergeometrie widerspiegelt. Die Quantifizierung der winkelabhängigen Frontausbreitung zeigt plausible Ergebnisse mit einer guten Übereinstimmung zum Pseudo-2D-Ansatz.
The growing numbers of breeding rooks (Corvus frugilegus) in the city of Landau (Rhineland- Palatinate, Germany) increase the potential for conflict between rooks and humans, which is mainly associated with noise and faeces. Therefore, the aim of this work is a better understanding of the breeding tree selection of the rook in order to develop options for action and management in the future.
Part I of this thesis provides general background information on the rook and includes mapping of the rookeries in the Anterior Palatinate and South Palatinate including Landau in the year 2020. That mapping revealed that the number of rural colonies has decreased, while the number of urban colonies has increased in the study area in the last few years. In line with current literature, tree species and tree size were important criteria for breeding tree selection. However, the mapping showed that additional factors must be important as well.
Therefore, as rooks seem to often breed along traffic axes, Part II of this thesis examines how temperature, artificial light and noise, which are all linked to traffic axes, affect the breeding tree selection of the rook in the city of Landau. The following three hypotheses are developed: (1) manually selected breeding trees (Bm) have a warmer microclimate than manually selected non-breeding trees (Nm) or randomly selected non-breeding trees (Nr), (2) Bm are exposed to a higher light level than Nm or Nr and (3) Bm are exposed to a higher noise level than Nm or Nr. To test these hypotheses, 15 Bm, 13 Nm and 16 Nr are investigated.
The results show that Bm were exposed to more noise than both types of non-breeding trees (μBm, noise = 36.52481 dB, μNm, noise = 31.27229 dB, μNr, noise = 29.17417 dB) where the difference between Bm and Nr was significant. In addition, there was a tendency for Bm to be exposed to less light (μBm, light = 0.356 lx) than Nm (μNm, light = 0.4107692 lx) and significantly less light than Nr (μNr, light = 1.995 lx), while temperature did not differ between the groups (μBm, temp = 16.90549 °C, μNm, temp = 16.93118 °C, μNr, temp = 17.28639 °C).
This study shows for the first time that rooks prefer trees which are exposed to low light levels and high noise levels, i.e. more intense traffic noise, for breeding. It can only be speculated that the cause of this is lower enemy pressure at such sites. The fact that temperature does not seem to have any influence on breeding tree selection may be due to only small temperature differences at nest height, which might be compensated by breeding behaviour. Consequently, in the long term one management approach could be to divert traffic from inner-city areas, especially schools and hospitals, to bypasses. If tree genera suitable for rooks, such as plane trees, are planted along the bypasses, those sites could provide suitable alternative habitats to inner-city breeding locations, which become less attractive for breeding due to noise reduction. In the short term in addition to locally implemented repellent measures the most effective approach is to strengthen rook acceptance among the population. However, further research is needed to verify the results of this thesis and to gain further insights into rook breeding site selection in order to develop effective management measures.
Background. Agricultural plastic mulches offer great benefits such as higher yields and lower pesticide use. Yet, plastic mulches may disintegrate over time and fragment into smaller debris. Such plastic debris is expected to remain in the field after removal of the plastic mulch and thus contributes to soil contamination with plastics.
Method. To investigate this, we collected soil samples at 0–10 cm and 10–40 cm depth from three fields covered with black mulch film for three consecutive years. Three fields without any reported plastic use served as control. Visual plastic debris > 1 cm (macroplastics) was collected from the soil surface. Mesoplastics between 2 mm and 1 cm were density separated from the sampled soil using saturated NaCl solution and analyzed by Fourier-transform infrared spectroscopy. Debris ≤ 2 mm (microplastics) was dispersed from 50 g soil using sodium hexametaphosphate solution followed by the aforementioned density separation. The separated polyethylene (PE), polypropylene (PP), and polystyrene (PS) were quantified via solvent-based pyrolysis–gas chromatography/mass spectrometry (Py–GC/MS).
Results. With 89–206 fragments ha−1, the majority of macroplastics were located in fields previously covered with mulch films. 80% of the collected specimen were identified as black PE film. The number of mesoplastics in plastic-mulched soil was 2.3 particles kg−1, while only 1.0 particles kg−1 were found in the reference fields. Py–GC/MS revealed microplastic levels of up to 13 mg kg−1. The PE content was significantly higher in plastic-mulched fields than in reference fields.
Discussion. Although the identified plastic levels are lower than those reported in comparable studies, our results still suggest that plastic mulching functions as a source of plastic debris in agricultural systems. Due to its severely restricted degradability, these plastics are likely to accumulate in soil in the long term and further fragment into smaller and smaller debris.
Intensivierung der Landwirtschaft führt weltweit zu einem fortschreitenden Verlust der biologischen Vielfalt in Agrarlandschaften. Die daraus resultierende Homogenität der Landschaft, die mit der Ausweitung von Monokulturflächen und dem Verlust naturnaher Lebensräume einhergeht, hat schwerwiegende Auswirkungen auf Arthropoden in Agrarlandschaften. Während Ackerflächen aufgrund intensiver und häufiger Störungen für viele Arten ungeeignete Habitate darstellen, können naturnahe Lebensräume in Agrarökosystemen als wichtige Rückzugsflächen fungieren. Die Erschaffung von naturnahen Lebensräumen durch Agrarumweltmaßnahmen in intensiven Agrarlandschaften, wie der Maifelder Agrarlandschaft in Westdeutschland, sollen den negativen Auswirkungen der landwirtschaftlichen Intensivierung entgegenwirken. Allerdings ist die Wirksamkeit dieser Maßnahmen für den Artenschutz noch umstritten. Aus diesem Grund wird in dieser Arbeit die Artenvielfalt der Käfer (Coleoptera) und Spinnen (Araneida) auf Weizenfeldern und verschiedenen naturnahen Lebensräumen (grasbewachsene Feldränder angrenzend an Weizen- und Rapsfelder; klein- und großflächige, mit Wildblumenmischungen eingesäte, Stilllegungsflächen; dauerhafte Grünlandbrachen) miteinander verglichen. Hierfür wurden die Arthropoden in den Jahren 2019 und 2020 mit Bodenfallen und Saugproben erfasst. Die vorliegenden Ergebnisse zeigen, dass die Landnutzung die Käfer- und Spinnendiversität im Untersuchungsgebiet beeinflusst, mit einer deutlich höheren Artenvielfalt auf den Grünlandbrachen als auf den Weizenfeldern. Überraschenderweise bestanden zwischen allen naturnahen Lebensräumen nur geringe Unterschiede, jedoch beherbergten sie unterschiedliche Artengemeinschaften. Hier unterschieden sich vor allem die Käfer- und Spinnengemeinschaften der großflächigen Grünlandbrachen deutlich von allen anderen untersuchten Landnutzungstypen. Insbesondere für Habitatspezialisten und gefährdete Arten stellten die Grünlandbrachen wichtige Lebensräume dar, wahrscheinlich aufgrund ihrer variablen Bodenfeuchtigkeit und komplexen Lebensraumstruktur. Im Gegensatz dazu wiesen Weizenfelder homogene Arthropodengemeinschaften mit einem geringeren Merkmalsreichtum auf und wurden von einigen wenigen räuberischen Arten dominiert, die sich an derartig intensive Lebensräume angepasst haben. Die Ergebnisse deuten darauf hin, dass sich alle Schutzmaßnahmen ergänzen, indem sie auf unterschiedliche Weise zur Förderung der Käfer und Spinnen auf landwirtschaftlichen Flächen beitragen können. Selbst kleinflächige naturnahe Lebensräume und bestehende Habitatgrenzen in einer landwirtschaftlichen Matrix scheinen wertvolle Lebensräume für Arthropoden in Agrarökosystemen darzustellen, indem sie zur Erhöhung der taxonomischen Vielfalt beitragen. Feldränder und kleine, mit Wildblumen eingesäte Flächen, können isolierte naturnahe Lebensräume miteinander verbinden und zu einer heterogenen Agrarlandschaft beitragen. Folglich führt eine Kombination verschiedener klein- und großflächiger Begrünungsmaßnahmen zu einer erhöhten Landschaftsheterogenität, die sich wiederum positiv auf die Käfer- und Spinnenvielfalt auswirkt. In Anbetracht des weltweit anhaltenden Verlustes der Artenvielfalt in Agrarlandschaften, sollten Agrarumweltmaßnahmen in Zukunft gefördert werden, da sie für den Arthropodenschutz in intensiven Agrarlandschaften, wie im Maifeld, besonders bedeutsam sind.
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.
Remote Working Study 2022
(2022)
The Remote Working Study 2022 is focused on the transition to work from home (WFH) triggered by the stay at home directives of 2020. These directives required employees to work in their private premises wherever possible to reduce the transmission of the coronavirus. The study, conducted by the Center for Enterprise Information Research (CEIR) at the University of Koblenz from December 2021 to January 2022, explores the transition to remote working.
The objective of the survey is to collect baseline information about organisations’ remote work experiences during and immediately following the COVID-19 lockdowns. The survey was completed by the key persons responsible for the implementation and/or management of the digital workplace in 19 German and Swiss organisations.
The data presented in this report was collected from member organisations of the IndustryConnect initiative. IndustryConnect is a university-industry research programme that is coordinated by researchers from the University of Koblenz. It focuses on research in the areas of the digital workplace and enterprise collaboration technologies, and facilitates the generation of new research insights and the exchange of experiences among user companies.
To render the surface of a material capable of withstanding mechanical and electrochemical loads, and to perform well in service, the deposition of a thin film or coating is a solution. In this project, such a thin film deposition is carried out. The coating material chosen is titanium nitride (TiN) which is a ceramic material known to possess a high hardness (>10 GPa) as well as good corrosion resistance. The method of deposition selected is high power impulse magnetron sputtering (HiPIMS) that results in coatings with high quality and enhanced properties. Sputtering is a physical process that represents the removal or dislodgment of surface atoms by energetic particle bombardment. The term magnetron indicates that a magnetic field is utilized to increase the efficiency of the sputtering process. In HiPIMS, a high power is applied in pulses of low duty cycles to a cathode that is sputtered and that consists of the coating material. As result of the high power, the ionization of the sputtered material takes place giving the possibility to control these species with electric and magnetic field allowing thereby the improvement and tuning of coating properties. However, the drawback of HiPIMS is a low deposition rate.
In this project, it is demonstrated first that it is possible to deposit TiN coating using HiPIMS with an optimized deposition rate, by varying the magnetic field strength. It was found that low magnetic field strength (here 22mT) results in a deposition rate similar to that of conventional magnetron sputtering in which the average power is applied continuously, called also direct current magnetron sputtering (dcMS). The high deposition rate at low magnetic field strength was attributed to a reduction in the back attraction probability of the sputtered species. The magnetic field strength did not show noticeable influence on the mechanical properties. The proposed explanation was that the considered peak current density interval 1.22-1.72 A∙cm-2 does not exhibit dramatic changes in the plasma dynamics.
In a second part, using the optimized deposition rate, the optimized chemical composition of TiN was determined. It was shown that the chemical composition of TiN does not significantly influence the corrosion performance but impacts considerably the mechanical properties. It was also shown that the corrosion resistance of the coatings deposited using HiPIMS was higher than that of the coatings deposited using dcMS.
The third study was the effect of annealing post deposition on the properties of TiN coating deposited using HiPIMS. The hardness of the coatings showed a maximum at 400°C reaching 24.8 GPa. Above 400°C however, a lowering of the hardness was measured and was due to the oxidation of TiN which led to the formation of TiN-TiO2 composites with lower mechanical properties.
The coating microscopic properties such as crystal orientation, residual stresses, average grain size were determined from X-ray diffraction data and the roughness was measured using atomic force microscopy. These properties were found to vary with the magnetic field strength, the chemical composition as well as the annealing temperature.
Der Zweck dieser Arbeit ist es, sich auf die kritischen Forschungsherausforderungen und -themen zu konzentrieren, die UI/UX-Designprinzipien umgeben, mit einem Schwerpunkt auf kulturübergreifenden Konzepten aus der Perspektive von E-Learning-Plattformen. Zu diesem Zweck betrachten wir zunächst die kulturellen Dimensionen auf der Grundlage des Hofstede-Rahmens mit dem Ziel, wichtige kulturelle Werte zu identifizieren. Als zweites Ziel der Forschung erleichtert eine Reihe von Kriterien, die so genannte Usability-Heuristik von Nielsen, die Erkennung von Usability Problemen bei der Gestaltung von Benutzeroberflächen (UI). Die Usability-Heuristiken umfassen zehn Variablen, die die Interaktion zwischen dem Benutzer und einem Produkt oder System beeinflussen. Wenn wir uns näher mit
diesen Themen befassen, werden wir in der Lage sein, eine Matrix mit Beziehungen zwischen der heuristischen Bewertung von Nielsen und dem kulturellen Rahmen von Geert Hofstede aufzudecken. Abschließend erörtern wir das mögliche Potenzial kultureller Werte zur Beeinflussung von Benutzeroberflächen für E-Learning-Plattformen. In der Tat gibt es einige Funktionen in E-Learning-Plattformen, die aufgrund der Kultur weniger diskutiert werden, obwohl sie sehr praktisch in die Plattformen integriert werden können.
The use of agricultural plastic covers has become common practice for its agronomic benefits such as improving yields and crop quality, managing harvest times better, and increasing pesticide and water use efficiency. However, plastic covers are suspected of partially breaking down into smaller debris and thereby contributing to soil pollution with microplastics. A better understanding of the sources and fate of plastic debris in terrestrial systems has so far been hindered by the lack of adequate analytical techniques for the mass-based and polymer-selective quantification of plastic debris in soil. The aim of this dissertation was thus to assess, develop, and validate thermoanalytical methods for the mass-based quantification of relevant polymers in and around agricultural fields previously covered with fleeces, perforated foils, and plastic mulches. Thermogravimetry/mass spectrometry (TGA/MS) enabled direct plastic analyses of 50 mg of soil without any sample preparation. With polyethylene terephthalate (PET) as a preliminary model, the method limit of detection (LOD) was 0.7 g kg−1. But the missing chromatographic separation complicated the quantification of polymer mixtures. Therefore, a pyrolysis-gas chromatography/mass spectrometry (Py-GC/MS) method was developed that additionally exploited the selective solubility of polymers in specific solvents prior to analysis. By dissolving polyethylene (PE), polypropylene (PP), and polystyrene (PS) in a mixture of 1,2,4-trichlorobenzene and p-xylene after density separation, up to 50 g soil became amenable to routine plastic analysis. Method LODs were 0.7–3.3 mg kg−1, and the recovery of 20 mg kg−1 PE, PP, and PS from a reference loamy sand was 86–105%. In the reference silty clay, however, poor PS recoveries, potentially induced by the additional separation step, suggested a qualitative evaluation of PS. Yet, the new solvent-based Py-GC/MS method enabled a first exploratory screening of plastic-covered soil. It revealed PE, PP, and PS contents above LOD in six of eight fields (6% of all samples). In three fields, PE levels of 3–35 mg kg−1 were associated with the use of 40 μm thin perforated foils. By contrast, 50 μm PE films were not shown to induce plastic levels above LOD. PP and PS contents of 5–19 mg kg−1 were restricted to single observations in four fields and potentially originated from littering. The results suggest that the short-term use of thicker and more durable plastic covers should be preferred to limit plastic emissions and accumulation in soil. By providing mass-based information on the distribution of the three most common plastics in agricultural soil, this work may facilitate comparisons with modeling and effect data and thus contribute to a better risk assessment and regulation of plastics. However, the fate of plastic debris in the terrestrial environment remains incompletely understood and needs to be scrutinized in future, more systematic research. This should include the study of aging processes, the interaction of plastics with other organic and inorganic compounds, and the environmental impact of biodegradable plastics and nanoplastics.