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Contents - BIX: pole position and runner-up - Frankfurt University Library: its responsibilities, its collections, its databases, its supra-regional collecting responsibilities – and some statistics - The "Sondersammelgebiet" Germanistik: its scope and contents, its principal strengths, present situation, and budget - Sammlung Deutscher Drucke: the 1801-1870 segment of the "Distributed National Library" - Information Services: Bibliographie der deutschen Sprach- und Literaturwissenschaft (BDSL), Neuerwerbungsliste Germanistik, Bibliographie germanistischer Bibliographien (BgB), DigiZeitschriften, information bulletins - Work of the Subject Specialist: exhibitions, publicity material
This paper investigates the production and comprehension of intrasentential anaphoric pronominal reference in Russian. In particular, it examines the elicited imitation and comprehension of three anaphoric pronouns in subject position – personal 3rd singular masculine, demonstrative and zero – in one hundred and eighty monolingual Russian-speaking children and twenty adults. The three types of pronouns were designed to have an antecedent in the preceding sentence containing a verb and two arguments. These antecedents differ in their syntactical role and animacy. The sentence position, agentivity and topicality remained constant. The sentences with (in)animate subjects and objects constituted the following four 'conditions': two sentences with a subject and an object being either animate or inanimate and two sentences with a subject and an object exhibiting a diverse (in)animacy. Regarding the resolution of the anaphoric pronouns the similarity principle (or feature-concord rule) and its possible violations were tested. This principle suggests that an anaphoric pronoun is most likely resolved to the antecedent with a maximum of similar characteristics or features and it primarily governs the assignment of an antecedent to anaphoric pronouns in subject position in the absence of the violating conditions. Results show the influence of this rule on the anaphora resolution process increasing with age, on the one hand, and the development of the impact of animacy, syntactic role and the type of anaphoric pronouns that violate the feature-concord rule, on the other.
After he had only tightly lost the election in July 2006, Andrés Manuel López Obrador and his Coalición claimed fraud and asserted that unfair conditions during the campaign had diminished his chances to win the presidency. The paper investigates this latter allegation centering on a perceived campaign of hate, unequal access to campaign resources and malicious treatment by the mass media. It further analyzes the mass media’s performance during the conflictual post electoral period until the final decision of the Federal Electoral Tribunal on September 5th, 2006. While the media’s performance during the campaign tells us about their compliance with fair media coverage mechanisms that have been implemented by electoral reforms in the 1990s, the mass media is uncontained by such measures after the election. Thus, their mode of coverage of the postelectoral conflicts allows us to “test” the mass media’s transformation to a more unbiased, social responsible “fourth estate”. Finally the paper scrutinizes whether the claims of fraud and the protests by the leftist movement resulted in lower levels of institutional trust and democratic support. The analysis of the media performance is based on data provided by the Federal Electoral Institute (IFE). Its Media Monitor encompassed more than 150 TV stations, 240 radio stations and 200 press publications. However, there is no comparable data available for the postelectoral period. Interviews with Mexican media experts, which the author has conducted during the postelectoral period, serve as empirical basis for the second part. Data on the public opinions and attitudes of Mexican citizens are taken from the 2007 Latinobarometro, the 2006 Encuesta Nacional and several polls conducted by Grupo Reforma. The results do not support López Obradors notions. Even though a strong party bias is characteristic of the Mexican media system, all findings hint at a continuity of balanced campaign coverage and fair access to mass media publicity. Coverage during the postelectoral period was more polarized, yet both sides remained at least partially open for oppositional views. The claims of fraud, mass protest mobilization and anti-institutional discourse by Lopez Obrador’s leftist movement seem not to have caused significant loss in institutional trust, support of and satisfaction with democracy, even though these levels remain quite low.
Pope Benedict XVI’s Regensburg lecture has been exposed by some learned voices of 'the Muslim world' as alluding, by the means of one particular quotation, to age-old stereotypes about Islam being an essentially violent creed in which moderation through reason has no legitimate place, and of representing Muhammadas an evil and inhuman man who preached that Islam should be spread by the sword. While none of these presumably 'Muslim' voices deny that the Pope has the right to express his opinions, even when they are plainly wrong in the face of historic facts that show how Islam and Christianity were spread (or were made to spread) across the world, he is criticised for a host of omissions in terms of intellectual honesty and factual accuracy. These omissions, it is argued here, cast an unfortunate light on the compatibility of scientific and religious rationality much advocated by the Pope in his 12 September 2006 lecture. This flagrant 'performative contradiction' (Habermas) leaves room for speculation about the true aim of the speech. Is Benedict XVI's appeal to theology as a legitimate academic discipline a credible attempt to explicate Roman Catholicism's rightful place in a modern world governed by liberal democracy and ethical-political pluralism, or is it a reflection of a move to restore the age-old, intolerant, anti-scientific, and anti-democratic legacy of the pre-Vatican II Catholic Church?
2,5-Diformylbenzene-1,4-diol (5) is a well-suited starting compound for the preparation of ditopic hydroquinone-based ligands. Here, we report an optimized synthesis of 5 which improves the overall yield from published 7% to 42 %. Three new ditopic Schiff base ligands, 2,5-[iPr2N(CH2)2N=CH]2 - 1,4-(OH)2-C6H2 (8), 2,5-(pyCH2N=CH)2-1,4-(OH)2-C6H2 (9), and 2,5-[py(CH2)2N=CH]2-1,4- (OH)2-C6H2 (10), have been synthesized from 5 and structurally characterized by X-ray crystal structure analysis (py = 2-pyridyl).
The history of German migration policies was a growth industry during the 1990s. The political battles of the present, such as asylum legislation, integration, and citizenship reform, created growing interest in the German historical experience of migration, migration controls and citizenship law. At the time, the only major work to tackle the subject was Klaus Bade's pioneering study of Prussian migration policies before the First World War, recently republished in an updated edition.[1] Initially, interest in German migration policies was guided largely by two leading questions. Histories of citizenship in Germany tended to adopt a long or a comparative perspective, which sought to test the hypothesis that German citizenship law and its implementation in practice reflected a particularly ethnic German conception of nationhood.[2] Histories of migration policy, by contrast, tended to focus on particular episodes in which a German tendency to view migrants primarily with regard to their usefulness, and not as potential immigrants and future citizens, clearly emerged, especially with regards to histories of the German Empire, the First World War, National Socialism, the Second World War and the post-war treatment of Gastarbeiter. The Weimar Republic, in contrast, was usually passed over in a few pages that highlighted the continuity of labor market control.[3] This state of affairs was remarkable because research on other countries highlighted the interwar period as an epoch of massive change in international migration policies. Race and ethnicity loomed larger than they had before, as indicated by the implementation of a quota system and barred zones in the United States. Moreover, with the First World War came the introduction of documentation requirements and the creation of labor-management bureaucracies that facilitated the distinction between citizens and aliens, as well as attempts to match labor supply to labor demand. Gérard Noiriel had even gone so far as to argue, largely with a view to migration and documentation policies, that the practices of Vichy had their roots in republican reforms of the late 1920s and 1930s.[4] Jochen Oltmer's magisterialHabilitationsschrift closes this gap all but completely. Based on a thorough reading of the archival record and contemporary public debate, his book shows that the transition from the politics of the First World War to the politics of National Socialism in the years of a labor shortage was more complicated previously assumed. He also highlights that migration policy was a field in which the Weimar Republic's problems emerged with particular poignancy. Oltmer's account is organized thematically rather than chronologically, though his subjects are arranged in the order in which they emerged as the main foci of internal administrative and public political debate. In the Weimar Republic's early years, these topics concerned ethnic Germans left outside the Empire's post-Versailles borders, prisoners of war and political refugees. In the later years, the position of migrant workers gained more prominence. While publicly committed to aiding fellow Germans, the republic's practice was ambivalent. The arrival of former residents of Alsace--mostly skilled workers in industries where labor was in demand, from a territory unlikely to be re-conquered soon--was welcome, but emigration of ethnic Germans from areas under Polish control was actively discouraged. The official view of these potential emigrants was less positive, their numbers were larger by several orders of magnitude and maintaining a visible German minority outside Germany's eastern borders seemed a good way to bolster the German case for a revision of the Treaty of Versailles. Migrants from Poland who could not prove they had been persecuted could therefore only expect accommodation in forbidding refugee camps in remote locations. As Oltmer's third chapter shows, this attitude also shaped the Weimar Republic's response to ethnic German emigration from Russia, which peaked during the famine years of the 1920s. Individual ethnicity was, therefore, not a dominant factor in the treatment of refugees; aliens of all ethnic backgrounds remained in a precarious position in the Weimar Republic, regardless of whether they were former prisoners of war who had opted to stay, or Jewish refugees from eastern and southeastern Europe who loomed relatively large in public debates or refugees from Soviet Russia. Ethnicity and race also loomed large in debates on the desirability of labor immigration. In general, the attitudes of state governments had more or less come full circle since the days of the empire. Whereas Prussia had been most concerned about the impact of Polish immigrants on national homogeneity before 1914, Bavaria and Baden-Württemberg proved most rigid after 1919. However, the majority of migrant workers were interested in jobs in Prussia, in the industrial areas of the Ruhr and, more prominently, in the agricultural east, which continued to rely on the access to Polish labor markets, particularly for potato planting and harvesting. In theory, the states and the empire had a powerful new tool to control labor migration: the obligatory work permit, issued only if no German applicants could be found for a job. Things were, however, not so simple in practice. Political interest in ethnic homogeneity was equal to interest in increasing the supply of food, a goal that could only be achieved, East Elbian landowners claimed, if Polish seasonal workers remained available to German employers. Immigration was, however, regarded with distaste by the völkisch right, Prussia's conservative bureaucracy and the Social Democrats, who viewed Polish laborers as an obstacle to the long-overdue modernization of rural Prussia through mechanization and unionization. The solution, fixed quotas for migrant laborers set to decline every year, proved unworkable, as rural employers turned to undocumented laborers. Moreover, the German government did its bit to undermine respect for legality in immigration matters. Seeking to reimpose a de facto policy forcing Polish migrants to return home for part of the year to prevent their settlement in Poland, German officials came into conflict with Polish determination to cut the state's ties to long-term emigrants, and were frequently forced to aid migrants in clandestinely crossing the border, before an unequal agreement could be concluded with Poland in 1927 that confirmed the status of Polish workers as second-class migrants excluded from social insurance and subject to a forced return for part of the year. Oltmer's comprehensively documented study does more than simply fill a gap in existing research. He unearths a striking pattern to Weimar policies, which could be found in many other fields of policy and may contribute to explaining why successive Weimar governments had such a difficult time in gaining the population's respect. Public pronouncements frequently contradicted secret or semi-secret policies. Official quotas for foreign workers, for example, were unofficially raised and little attempt was made to sanction employers of undocumented workers. Such actions exposed the Republic to criticism from the right and created a climate in which even more restrictive National Socialist policies could acquire broad popular support. Oltmer's book thus treats a question at the center, not the periphery, of the Weimar years.
Jonathan Wagner has written a monograph on a migration movement that was in many ways a peripheral one. From a Canadian perspective, Germans accounted for a relatively minor share of immigrants, compared to former residents of the British Isles, of eastern or southern Europe. Seen from Germany, Canada was one of many destinations for migrants who wished to leave the country and were prepared to travel over long distances, but were, for whatever reason, not attracted by the United States, the destination for the overwhelming majority of transcontinental emigrants. Nevertheless, the movement from Germany to Canada was significant in absolute and often symbolic terms. The way Wagner tells it, the story of German-Canadian migration was a tale of parallel experiences: both Germany and Canada experienced federation and increasing international autonomy from the 1860s; both were ruled by domineering conservative figures presiding over de facto liberalization in the 1870s; both participated in the First World War, and both went through traumatic economic crises in the interwar period. ...
Rheumatoid arthritis (RA) is a chronic inflammatory disease with a heritability of 60%. Genetic contributions to RA are made by multiple genes, but only a few gene associations have yet been confirmed. By studying animal models, reduced capacity of the NADPH-oxidase (NOX) complex, caused by a single nucleotide polymorphism (SNP) in one of its components (the NCF1 gene), has been found to increase severity of arthritis. To our knowledge, however, no studies investigating the potential role played by reduced reactive oxygen species production in human RA have yet been reported. In order to examine the role played by the NOX complex in RA, we investigated the association of 51 SNPs in five genes of the NOX complex (CYBB, CYBA, NCF4, NCF2, and RAC2) in a Swedish case-control cohort consisting of 1,842 RA cases and 1,038 control individuals. Several SNPs were found to be mildly associated in men in NCF4 (rs729749, P = 0.001), NCF2 (rs789181, P = 0.02) and RAC2 (rs1476002, P = 0.05). No associations were detected in CYBA or CYBB. By stratifying for autoantibody status, we identified a strong association for rs729749 (in NCF4) in autoantibody negative disease, with the strongest association detected in rheumatoid factor negative men (CT genotype versus CC genotype: odds ratio 0.34, 95% confidence interval 0.2 to 0.6; P = 0.0001). To our knowledge, this is the first genetic association identified between RA and the NOX complex, and it supports previous findings from animal models of the importance of reactive oxygen species production capacity to the development of arthritis.
Detailed mass balance food web models were constructed to compare ecosystem characteristics for three Alaska regions: the eastern Bering Sea (EBS), the Gulf of Alaska (GOA), and the Aleutian Islands (AI). This paper documents the methods and data used to construct the models and compares ecosystem structure and indicators across models. The common modeling framework, including biomass pool and fishery definitions, resulted in comparable food webs for the three ecosystems which showed that they all have the same apex predator—the Pacific halibut longline fishery. However, despite the similar methods used to construct the models, the data from each system included in the analysis clearly define differences in food web structure which may be important considerations for fishery management in Alaska ecosystems. The results showed that the EBS ecosystem has a much larger benthic influence in its food web than either the GOA or the AI. Conversely, the AI ecosystem has the strongest pelagic influence in its food web relative to the other two systems. The GOA ecosystem appears balanced between benthic and pelagic pathways, but is notable in having a smaller fisheries catch relative to the other two systems, and a high biomass of fish predators above trophic level (TL) 4, arrowtooth flounder and halibut. The patterns visible in aggregated food webs were confirmed in additional more detailed analyses of biomass and consumption in each ecosystem, using both the single species and whole ecosystem indicators developed here.
Multicomponent Tree Adjoining Grammars (MCTAG) is a formalism that has been shown to be useful for many natural language applications. The definition of MCTAG however is problematic since it refers to the process of the derivation itself: a simultaneity constraint must be respected concerning the way the members of the elementary tree sets are added. This way of characterizing MCTAG does not allow to abstract away from the concrete order of derivation. In this paper, we propose an alternative definition of MCTAG that characterizes the trees in the tree language of an MCTAG via the properties of the derivation trees (in the underlying TAG) the MCTAG licences. This definition gives a better understanding of the formalism, it allows a more systematic comparison of different types of MCTAG, and, furthermore, it can be exploited for parsing.
This article examines the narratives with regard to lifting the boycott decisions imposed upon the Prophet Muhammad and his companions. There are basically two narratives about this event. While the first one relies on more accurate knowledge, the other contains a speculative scenario. However, since these two narratives were mixed with each other in time, some contradictory information was narrated, especially information based on a speculative scenario became most popular among the people. At the end, it is understood that the document that included the decisions of boycott was not destroyed in a mysterious way, but torn by a group of people.
Recent models with liquidity constraints and impatience emphasize that consumers use savings to buffer income fluctuations. When wealth is below an optimal target, consumers try to increase their buffer stock of wealth by saving more. When it is above target, they increase consumption. This important implication of the buffer stock model of saving has not been subject to direct empirical testing. We derive from the model an appropriate theoretical restriction and test it using data on working-age individuals drawn from the 2002 and 2004 Italian Surveys of Household Income and Wealth. One of the most appealing features of the survey is that it has data on the amount of wealth held for precautionary purposes, which we interpret as target wealth in a buffer stock model. The test results do not support buffer stock behavior, even among population groups that are more likely, a priori, to display such behavior. The saving behavior of young households is instead consistent with models in which impatience, relative to prudence, is not as high as in buffer stock models. JEL Classification: D91
A generic-level phylogenetic review of the Macrodactylini (Coleoptera: Scarabaeidae: Melolonthinae)
(2007)
A revision of the generic classification of the tribe Macrodactylini is provided using morphological characters of adults. The revision is based on a taxonomic analysis of 80 genera historically placed in the tribe and a cladistic analysis of 32 genera conforming to the new tribal definition. Synapomorphies for the newly defined Macrodactylini include: the length of the fifth ventrite longer than the fourth ventrite when viewed ventrally, fifth ventrite lacking a complete suture between the tergite and sternite, and the metathoracic tibial spurs (if present) offset, allowing the metatarsus to move past them. Thirty-two genera constitute the newly defined Macrodactylini: Agaocnemis Moser, Alvarinus Blanchard, Ancistrosoma Curtis, Anomonyx Saylor, Anoplosiagum Blanchard, Astaenosiagum Martínez, Barybas Blanchard, Calodactylus Blanchard, Ceraspis Le Peletier and Serville, Ceratolontha Arrow, Chariodactylus Moser, Chariodema Blanchard, Chremastodus Solier, Clavipalpus Laporte, Ctenotis Burmeister, Dasyus Le Peletier and Serville, Dicrania Le Peletier and Serville, Gama Blanchard, Gastrohoplus Moser, Hercitis Burmeister, Hieritis Burmeister, Isonychus Mannerheim, Issacaris Fairmaire, Macrodactylus Dejean, Manodactylus Moser, Manopus Laporte, Oedichira Burmeister, Pectinosoma Arrow, Plectris Le Peletier and Serville, Pristerophora Harold, Rhinaspis Perty, and Schizochelus Blanchard. Sixteen genera are removed or their removal is confirmed from the historical Macrodactylini: Coenonycha Horn, Dichelonyx Harris, and Gymnopyge Linell (to Dichelonychini), Homalochilus Blanchard, Homoliogenys Gutiérrez, Liogenys Guérin-Méneville, and Pacuvia Curtis (to Diplotaxini), Diphycerus Deyrolle and Fairmaire (to Diphycerini), Hyperius Deyrolle and Fairmaire (to Melolonthini), Apterodemidea Gutiérrez (to Sericoidini), Blepharotoma Blanchard (to Liparetrini ), Diaphylla Erichson (removed from Macrodactylini, and currently unplaced into existing melolonthine tribes), Hilarianus Blanchard, Manonychus Moser, Pseudoisonychus Frey (removed from Macrodactylini, and currently unplaced into existing melolonthine tribes) and Zabacana Saylor (to Epectinaspis (Rutelinae)). Nine new generic synonyms are proposed: Corminus Burmeister, junior synonym of Alvarinus Blanchard; Ctilocephala Burmeister, Eubarybas Gutiérrez, and Pseudohercitis Moser, each a junior synonym of Barybas Blanchard; Byrasba Harold, Rhinaspoides Moser, and Ulomenes Blanchard, each a junior synonym of Rhinaspis Perty; Demodema Blanchard, a junior synonym of Plectris Le Peletier and Serville; and Pachylotoma Blanchard, junior synonym of Gama Blanchard.
Nestling growth and development studies have been a topic of interest for a greater part of the last century (Sutton 1935, Walkinshaw 1948) and continue to be of interest today. This is not surprising since studies on nestling growth can provide a wealth of biological information that has larger implications for avian management and conservation. Despite this history of studying nestling development, basic information is still limited or absent for many species. Many questions remain unanswered, and contradictory conclusions are often found in the literature (Starck and Ricklefs 1998a). Therefore, much information on aging and development can still be gained from studying the development patterns of similar species and from comparative studies, across avian orders (Minea et al. 1982, Saunders and Hansen 1989, Carsson and Hörnfeldt 1993). Additionally, nestling growth studies can yield insight into the effects of different nesting strategies on productivity (O’Connor 1978), as well as the impacts of parental effort and environmental variables on fitness (Ross 1980, Ricklefs and Peters 1981, Magrath 1991). Since low reproductive success may play a significant role in the declines of many North American passerines (Sherry and Holmes 1992, Ballard et al. 2003), a better understanding of the factors that influence reproductive success is a vital component of avian conservation (Martin 1992). Data on nestling aging can be used to improve nest survival estimates (Dinsmore 2002, Nur et al. 2004), providing information that can be used to more precisely age nests (Pinkowski 1975, Podlesack and Blem 2002), (Jones and Geupel 2007). Indeed, the relatively short time period young spend developing in the nest is a critical part of a bird’s life cycle and a nestling’s developmental path can affect its survival to independence, its survival as an adult, and its future reproductive success.
Published claims in 1887-1903 that the mole cricket Neocurtilla hexadactyla (Perty) occurs in Puerto Rico all seem to be derived from a misidentification made by Agustín Stahl, a medical practitioner and collector of natural history objects, published in 1882. That species does not seem now to occur in Puerto Rico and almost certainly never did. However, the opportunity still exists for it to colonize by wind-assisted flight from islands to the southeast just as we believe did the mole cricket Scapteriscus didactylus (Latreille) as an immigrant. Stahl evidently mistook the latter for the former. According to some subsequent authors, he also stated that it (the mole cricket now believed to be S. didactylus) arrived in the port of Mayagüez in a cargo of guano about 1850 from Peru and thus colonized Puerto Rico. We found no verification for that story, and we doubt it. The first detection of the presence of S. didactylus in Puerto Rico may have been by a French expedition in 1797, but this species may have been present much earlier. Two other species of Scapteriscus were later detected in Puerto Rico. One, S. abbreviatus Scudder, was detected in 1917 and likely arrived as a contaminant of ship ballast some time earlier, perhaps at the port of Mayagüez. The other, S. imitatus Nickle and Castner, was detected about 1940 and seems to have been introduced inadvertently, as a result of mistaken identity. In broad terms, S. didactylus, S. abbreviatus, and S. imitatus are adventive species (meaning they arrived from somewhere else and are not native) in Puerto Rico. The vernacular name changa in Puerto Rico is owned by S. didactylus, which is called West Indian mole cricket in the English-speaking Caribbean. Historical accounts suggest that populations of S. didactylus and of two pest Phyllophaga spp. (Coleoptera: Scarabaeidae) surged after 1876/1877 and declined after 1920. This coincidence suggests that the cause may have been the same. The cause of the rise might conceivably have been introduction of the mongoose Herpestes javanicus (E. Geoffroy St. Hilaire) in 1877 (because it may have destroyed vertebrate predators) and the cause of the decline might conceivably have been introduction of the toad Bufo marinus L. in 1920, because it is a predator of Phyllophaga and Scapteriscus.