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Die Welt des Rechts lässt sich heute nicht mehr so leicht in nationale oder internationale Sphären ordnen. Wo Lawmaker als private Akteure in einer globalisierten Ökonomie die Normen häufig nachhaltiger bestimmen als staatliches Recht, da ändern sich auch die Anforderungen an die Rechtswissenschaft.
Editorial
(2014)
This assessment concept paper provides a methodological approach for the formative assessment and summative assessment of GIZ’s International Water Stewardship Programme (IWaSP) and its component partnerships. IWaSP promotes partnerships between the private sector (corporations and SMEs), the public sector and the society to tackle shared water risks and to manage water equitably to meet competing demands. This evaluative assessment concept describes the generic approach of the assessment, the cycle for the assessment of partnerships, the country coordination and the programme.
The overall goal of the assessment is to provide evidence for taxpayers in the donor countries and for citizens in the partnership countries. It also aims to examine the relevance of the programme’s approach, its underlying assumptions, and the heterogeneity of stakeholders and their specific interests. Since the assessment is also formative feedback to GIZ and IWaSP stakeholders, it aims to guide the future implementation of the partnerships and the programme.
The assessment is guided by several generic principles: assessing for learning (formative assessment); assessment of learning (summative assessment); iteration; structuring complex problems; unblocking results; and conformity with other assessment criteria set out by the OECD the Development Assistance Committee (DAC) and GIZ’s Capacity Works success factors (GTZ 2010).
These generic criteria are adapted to the three levels of the IWaSP structure. First, the assessment cycle for partnerships includes the validation of stakeholders (mapping), the analysis of secondary literature, face-to-face interviews and a process for feeding back the findings. Generic tools are provided to guide the assessment, such as a list of key documents and an interview guide. Partnerships will undergo a baseline, interim assessment and final assessment. As progress varies across individual IWaSP partnerships, the steps taken by each partnership to assess shared water risks, prioritise and agree interventions, are expected to differ slightly. In response to these differences the sequencing and content of the assessment may need to be adapted for the different partnerships.
Second, the country-level assessment considers issues such as the coordination of partnerships within a country, scoping strategies, and interaction between partnership and the programme. Information gathered during the partnership assessment feeds into the country-level assessment.
Third, the assessment cycle for the programme involves a document and monitoring plan analysis, reflection on the different perspectives of the programme staff, country staff and external stakeholders.
The final section is concerned with reporting. Several annexes are provided relating to the organisation and preparation of the assessment, including question guidelines and analysis procedures.
The objective of the present doctoral thesis was to investigate the occurrence, distribution, and behaviour of six hydrophilic ethers: ethyl tert-butyl ether (ETBE), 1,4-dioxane, ethylene glycol dimethyl ether (monoglyme), diethylene glycol dimethyl ether (diglyme), triethylene glycol dimethyl ether (triglyme), and tetraethylene glycol dimethyl ether (tetraglyme) in surface-, waste-, ground- and drinking water samples. Solid phase extraction and gas chromatography/mass spectrometry were used to analyze the six hydrophilic ethers. Altogether more than 150 surface water samples, almost 100 of each groundwater and wastewater samples, and 10 raw and drinking water samples were analyzed during the research project.
Initially, the method was validated in order to simultaneously determine the analytes of interest in various aquatic environments. A solid phase extraction method that uses coconut charcoal (Resprep® activated coconut charcoal, Restek) or carbon molecular sieve material (SupelcleanTM Envi-CarbTM Plus, Supelco) for analyte absorption were found suitable for determination of ETBE, 1,4-dioxane, and glymes in surface-, drinking-, ground- and wastewater samples. Precision and accuracy of both methods was demonstrated for all analytes of interest. The recovery of target compounds from the ultrapure water spiked at 1.0 µg L−1 was between 86.8 % and 98.2 %, with relative standard deviation below 6 %. The samples spiked at 10.0 µg L−1 gave slightly higher recovery of 90.6 % to 112.2 % with a relative standard deviation below 3.4 % for each analyte. Detection and quantification limits in ultrapure water and surface waters were furthermore established. The limit of quantitation (LOQ) in ultrapure water ranged between 0.024 µg L−1 to 0.057 µg L−1 using Restek cartridges, and 0.030 µg L−1 to 0.069 µg L−1 using Supelco cartridges. In the surface water samples the calculated LOQ was 0.032 µg L−1 to 0.067µg L−1 using coconut charcoal material and 0.032 µg L−1 to 0.052 µg L−1 using the carbon molecular sieve material. Moreover, stability of the unpreserved and preserved water samples as well as the extracts was determined. Preservation of samples with sodium bisulfate (at 1 gram per Liter) resulted in much better stability of the ethers in water samples. Subsequently, 27 samples obtained from seven surface water bodies in Germany (Rivers Rhine, Lippe, Main, Oder, Rur, Schwarzbach and Wesel-Datteln Canal) were analyzed for the six hydrophilic ethers. ETBE was present in only two surface waters (Rhine River and Wesel-Datteln Canal) with concentrations close to the LOQ (up to 0.065 µg L−1). 1,4-Dioxane was detected in all of the water samples at concentrations reaching 1.93 µg L–1. Monoglyme was identified only in the Main and Rhine Rivers at the maximum concentration of 0.114 µg L–1 and 0.427 µg L–1, respectively. Very high concentrations (up to 1.73 µg L−1) of diglyme, triglyme, and tetraglyme were detected in the samples from the Oder River. These glymes were also detected in the Rhine River; however the concentrations did not exceed 0.200 µg L–1. Furthermore, tetraglyme was detected in the Main River at an average concentration of 0.409 µg L–1 (n = 6) and in one sample from the Rur River at 0.192 µg L–1.
Four sampling campaigns were conducted at the Oderbruch polder between October 2009 and May 2012, in order to study the behavior of the hydrophilic ethers and organophosphates during riverbank filtration and in the anoxic aquifer. Moreover the suitability of these target compounds was assessed for their use as groundwater organic tracers. At the time of each sampling campaign, concentrations of triglyme and tetraglyme in the Oder River were between 20–185 ng L–1 (n = 4) and 273¬–1576 ng L–1 (n = 4). Monoglyme, diglyme, and 1,4-dioxane were analyzed only during the two last sampling campaigns. At that time, the concentration of diglyme in Oder River was 65¬–94 ng L-1 (n = 2) and 1,4-dioxane 1610¬–3290 ng L–1 (n = 2). In the drainage ditch, following bank filtration, concentrations of ethers ranged between 1090 ng L–1 and 1467 ng L–1 for 1,4-dioxane, 23¬ng L–1 and 41 ng L–1 for diglyme, 37 ng L–1 and 149 ng L–1 for triglyme, and 496 ng L–1 and 1403 ng L–1 for tetraglyme. In the anoxic aquifer, 1,4-dioxane showed the greatest persistence during the groundwater passage. At the distance of 1150 m from the river and an estimated groundwater age of 41.9 years, a concentration above 200 ng L−1 was detected. A positive correlation was found for the inorganic tracer chloride (Cl−) with 1,4-dioxane and tetraglyme. Similarities in the behavior of Cl− and the organic compound suggested that 1,4-dioxane and tetraglyme are controlled by the same hydraulic process and therefore can be used as additional tracers to study the dynamics of the groundwater system. These results show that high concentrations of ethers are present in the surface water and are not removed during bank filtration processes. Moreover, the hydrophilic ethers persist in the anoxic aquifer and little or no degradation is expected, supporting, their possible application as organic tracers.
A separate sampling project was conducted for 1,4-dioxane that focused primarily on its fate in the aquatic environment. This study provided missing information on the extent of water pollution with 1,4-dioxane is Germany. Numerous waste-, surface-, ground- and drinking water samples were collected in order to determine the persistence of 1,4-dioxane in the aquatic environment. The occurrence of 1,4-dioxane was determined in wastewater samples from four municipal sewage treatment plants (STP). The influent and effluent samples were collected during weekly campaigns. The average influent concentrations in all four plants ranged from 262 ± 32 ng L−1 to 834 ± 480 ng L−1, whereas the average effluents concentrations were between 267 ± 35 ng L−1 and 62,260 ± 36,000 ng L−1. The source of increased 1,4-dioxane concentrations in one of the effluents was identified to originate from impurities in the methanol used in the postanoxic denitrification process. Spatial and temporal distribution of 1,4-dioxane in the river Main, Rhine, and Oder was also examined. Concentrations reaching 2,200 ng L−1 in the Oder River, and 860 ng L−1 in both Main and Rhine River were detected. The average load during the sampling was estimated to be 6.5 kg d−1 in the Main, 34.1 kg d−1 in the Oder, and 134.5 kg d−1 in the Rhine River. In all of the sampled rivers, concentrations of 1,4-dioxane increased with distance from the mouth of the river and were found to negatively correlate with the discharge of the river. In order to determine if 1,4-dioxane can reach drinking water supplies, samples from a Rhine River bank filtration site and potable water from two drinking water production facilities were analyzed for the presence of 1,4-dioxane in the raw water and finished potable water. The raw water (following bank filtration) contained 650 ng L−1 to 670 ng L−1 of 1,4-dioxane, whereas the concentration in the finished drinking water fell only to 600 ng L−1 and 490 ng L−1, respectively.
During the final project, investigations of the source identification of high glyme concentrations in the Oder River were carried out. During four sampling campaigns between January, 2012 and April, 2013, 50 samples from the Oder River in the Oderbruch region and Poland were collected. During the first two samplings in the Oderbruch polder, glymes were detected at concentration reaching 0.07 µg L-1 (diglyme), 0.54 µg L−1 (triglyme) and 1.73 µg L−1 (tetraglyme) in the Oder River. The extensive sampling campaign of the Oder River (about 500 km) in Poland helped to identify the area of possible glyme entry into the river. During that sampling the maximum concentrations of triglyme and tetraglyme were 0.46 µg L−1 and 2.21 µg L−1, respectively. A closer investigation of the identified area of pollution, helped to determine the possible sources of glymes in the Oder River. Hence, the final sampling focused on the Kaczawa River, a left tributary of the Oder River and Czarna Woda, a left tributary of Kaczawa River. Moreover, samples from an industrial wastewater treatment plant were collected. Samples from Czarna Woda stream and Kaczawa River contained even higher concentrations of diglyme, triglyme, and tetraglyme, reaching 5.18 µg L−1, 12.87 µg L−1 and 80.81 µg L−1, respectively. Finally, three water samples from a wastewater treatment plant receiving influents from a copper smelter were analyzed. Diglyme, triglyme, and tetraglyme were present at an average concentration of 569 µg L−1, 4300 µg L−1, and 65900 µg L−1, respectively in the wastewater. Further research helped to identify the source of the glymes in the wastewater. The gas desulfurization process – Solinox implemented in the nearby copper smelter uses glymes as physical absorption medium for sulfur dioxide.
Results of this doctoral research provide important information about the occurrence, distribution, and behavior of hydrophilic ethers: 1,4-dioxane, monoglyme, diglyme, triglyme, and tetraglyme in the aquatic environment. A method capable of analyzing a wide range of ether compounds: from a volatile ETBE to a high molecular weight tetraglyme was validated. 1,4-Dioxane and tetraglyme were found to be applicable as organic tracers, since they are not easily attenuated during bank filtration and the anoxic groundwater passage. The extent of water pollution with 1,4-dioxane was shown in waste-, surface-, ground-, and drinking waters. One source of extremely high concentrations of 1,4-dioxane in a municipal sewage treatment plant applying postanoxic denitrification was identified, however more information is needed on the entry of 1,4-dioxane into surface waters. Moreover, 1,4-dioxane was present in drinking water samples from river bank filtration, which demonstrates its persistence in the aquatic environment and its low degradation potential during bank filtration and subsequent water treatment. Furthermore, this was the first study that focused primarily on identifying sources of glymes in surface waters. Glymes find a widespread use in industrial sectors, hence establishing their origin in the surface water is difficult (as with 1,4-dioxane). In this work, a gas desulphurization process was identified to be a dominating source of glyme pollution in the Oder River.
Einleitung: Im Rahmen dieser retrospektiven Studie wurde die Auswirkung der frühen reduzierten Belastung auf Festigkeit der Implantatverankerung untersucht. Zusätzlich wurde geprüft, welchen Einfluss die Faktoren Implantatlänge, Knochenqualität, Augmentationsart und Implantatlokalisation auf die Festigkeit der Implantatverankerung nach der frühen reduzierten Belastung haben.
Material und Methoden: In die Studie wurden Patienten einbezogen, die sich einer Implantationstherapie in Poliklinik für Zahnärztliche Chirurgie und Implantologie in ZZMK (Carolinum) der J. W. Goethe-Universität in dem Zeitraum von Januar 2001 bis Februar 2010 unterzogen haben. Alle teilnehmenden Patienten wurden von einem Behandler betreut. Es wurden ausschließlich Ankylos Implantate (Dentsply, Mannheim, Deutschland) verwendet. Die Festigkeit der Implantatverankerung wurde mit Periotets gemessen. Die Implantationstherapie lief grundsätzlich nach den Rahmenbedingungen der frühen reduzierten Implantatbelastung ab. Nach einer mindestens sechswöchigen geschlossen Einheilung (statische Phase) wurden die Implantate freigelegt und mit Standardabutment versorgt, anschließend wurde der erste Periotestwert erhoben. Die statische Phase nach externem Sinuslift betrug im Schnitt 5 Monate. Für weitere vier bis acht Wochen (dynamische Phase) wurden die Implantate mit Provisorien in Infraokklusion versorgt, bei zahnlosen Patienten wurden die Implantate durch die provisorische Versorgung grundsätzlich verblockt. Patienten wurden unterwiesen, nur weiche Kost zu sich zu nehmen. Nach vier bis acht Wochen im Anschluss an die dynamische Phase wurde der zweite Periotestwert erhoben. Definitiver Zahnersatz mit korrekt eingestellter Okklusion wurde eingegliedert. Die Periotestwerte vor und nach der frühen reduzierten Implantatbelastung wurden zusammengetragen und statistisch ausgewertet.
Ergebnisse: Bei 247 Patienten wurden im Zeitraum von 01.01.2001 bis 01.03.2010 634 Ankylos Implantate inseriert. In der statischen Phase gingen sieben Implantate verloren, restliche 627 Implantate wurden früh reduziert belastet. Kein Implantat ging in der dynamischen Phase verloren. Innerhalb des ersten Jahres unter voller funktioneller Belastung ging kein Implantat aufgrund von knöcherner Überbelastung verloren. Lediglich ein Implantat musste aufgrund von Abutmentfraktur ein Jahr nach der Eingliederung des definitiven Zahnersatzes entfernt werden. Die Periotestwerte nahmen bei 556 Implantaten um mindestens eine Einheit der Periotestwertskala ab. Diese Veränderung der Periotestwerte war statistisch signifikant (p = 0,0001). Der Einfluss der Faktoren Implantatlänge, Knochenqualität, Implantatlokalisation, Augmentationsverfahren auf die Reduktion der Periotestwerte um eine Einheit war statistisch nicht signifikant. Die Reduktion der Periotestwerte um mindestens zwei Einheiten trat bei 409 von insgesamt 627 Implantaten auf und war statistisch signifikant in den Gruppen „weiche Knochenqualität“, „Implantatlänge 8mm, 9,5mm“, „externer Sinuslift“, „Oberkiefer“ (p = 0,001). In zwei Gruppen, nämlich „11mm und 14mm“ sowie „Standardverfahren, laterale Augmentation, interner Sinuslift“ trat eine Abnahme der Periotestwerte statistisch signifikant seltener auf (p = 0,045 bei „11 und 14 mm“ und p = 0,033 bei „Standardverfahren, laterale Augmentation und interner Sinuslift“).
Schlussfolgerung:Die frühe reduzierte Implantatbelastung hat keinen negativen Einfluss auf den Implantaterfolg. Beim Vorliegen von ungünstigen Voraussetzungen, wie unzureichendem Knochenangebot und Knochenqualität sowie Implantation im Oberkiefer, verbessert sich die Festigkeit der Implantatverankerung besonders deutlich. Das Konzept zeichnet sich durch das breite Indikationsspektrum und die hohe Überlebensrate trotz der verkürzten Therapiezeit aus.
Altered mucosal immune response after acute lung injury in a murine model of Ataxia Telangiectasia
(2014)
Background: Ataxia telangiectasia (A-T) is a rare but devastating and progressive disorder characterized by cerebellar dysfunction, lymphoreticular malignancies and recurrent sinopulmonary infections. In A-T, disease of the respiratory system causes significant morbidity and is a frequent cause of death.
Methods: We used a self-limited murine model of hydrochloric acid-induced acute lung injury (ALI) to determine the inflammatory answer due to mucosal injury in Atm (A-T mutated)- deficient mice (Atm−/−).
Results: ATM deficiency increased peak lung inflammation as demonstrated by bronchoalveolar lavage fluid (BALF) neutrophils and lymphocytes and increased levels of BALF pro-inflammatory cytokines (e.g. IL-6, TNF). Furthermore, bronchial epithelial damage after ALI was increased in Atm−/− mice. ATM deficiency increased airway resistance and tissue compliance before ALI was performed.
Conclusions: Together, these findings indicate that ATM plays a key role in inflammatory response after airway mucosal injury.
Background: IL28B gene polymorphism is the best baseline predictor of response to interferon alfa-based antiviral therapies in chronic hepatitis C. Recently, a new IFN-L4 polymorphism was identified as first potential functional variant for induction of IL28B expression. Individualization of interferon alfa-based therapies based on a combination of IL28B/IFN-L4 polymorphisms may help to optimize virologic outcome and economic resources.
Methods: Optimization of treatment outcome prediction was assessed by combination of different IL28B and IFN-L4 polymorphisms in patients with chronic HCV genotype 1 (n = 385), 2/3 (n = 267), and 4 (n = 220) infection treated with pegylated interferon alfa (PEG-IFN) and ribavirin with (n = 79) or without telaprevir. Healthy people from Germany (n = 283) and Egypt (n = 96) served as controls.
Results: Frequencies of beneficial IL28B rs12979860 C/C genotypes were lower in HCV genotype 1/4 infected patients in comparison to controls (20–35% vs. 46–47%) this was also true for ss469415590 TT/TT (20–35% vs. 45–47%). Single interferon-lambda SNPs (rs12979860, rs8099917, ss469415590) correlated with sustained virologic response (SVR) in genotype 1, 3, and 4 infected patients while no association was observed for genotype 2. Interestingly, in genotype 3 infected patients, best SVR prediction was based on IFN-L4 genotype. Prediction of SVR with high accuracy (71–96%) was possible in genotype 1, 2, 3 and 4 infected patients who received PEG-IFN/ribavirin combination therapy by selection of beneficial IL28B rs12979860 C/C and/or ss469415590 TT/TT genotypes (p<0.001). For triple therapy with first generation protease inhibitors (PIs) (boceprevir, telaprevir) prediction of high SVR (90%) rates was based on the presence of at least one beneficial genotype of the 3 IFN-lambda SNPs.
Conclusion: IFN-L4 seems to be the best single predictor of SVR in genotype 3 infected patients. For optimized prediction of SVR by treatment with dual combination or first generation PI triple therapies, grouping of interferon-lambda haplotypes may be helpful with positive predictive values of 71–96%.
HIV neutralizing antibodies (nAbs) represent an important tool in view of prophylactic and therapeutic applications for HIV-1 infection. Patients chronically infected by HIV-1 represent a valuable source for nAbs. HIV controllers, including long-term non-progressors (LTNP) and elite controllers (EC), represent an interesting subgroup in this regard, as here nAbs can develop over time in a rather healthy immune system and in the absence of any therapeutic selection pressure. In this study, we characterized two particular antibodies that were selected as scFv antibody fragments from a phage immune library generated from an LTNP with HIV neutralizing antibodies in his plasma. The phage library was screened on recombinant soluble gp140 envelope (Env) proteins. Sequencing the selected peptide inserts revealed two major classes of antibody sequences. Binding analysis of the corresponding scFv-Fc derivatives to various trimeric and monomeric Env constructs as well as to peptide arrays showed that one class, represented by monoclonal antibody (mAb) A2, specifically recognizes an epitope localized in the pocket binding domain of the C heptad repeat (CHR) in the ectodomain of gp41, but only in the trimeric context. Thus, this antibody represents an interesting tool for trimer identification. MAb A7, representing the second class, binds to structural elements of the third variable loop V3 and neutralizes tier 1 and tier 2 HIV-1 isolates of different subtypes with matching critical amino acids in the linear epitope sequence. In conclusion, HIV controllers are a valuable source for the selection of functionally interesting antibodies that can be selected on soluble gp140 proteins with properties from the native envelope spike.
Coherent photo-production of sons in ultra-peripheral Pb-Pb collisions at the LHC measured by ALICE
(2014)
We present the differential cross section for coherent ρ0 photo-production at mid-rapidity (−0.5 < y < 0.5) measured by the ALICE experiment in Pb-Pb collisions at √sNN = 2.76 TeV at the LHC, as well as the total ρ0 cross section obtained by modelbased extrapolation to all rapidities. These cross sections are compared to various model predictions, as well as to earlier measurements at RHIC. In addition, we present results on nuclear breakup in coincidence with coherent ρ0 photo-production.
Transformationen von Fankultur : organisatorische und ökonomische Konsequenzen globaler Vernetzung
(2014)
Fernando Birri wurde als Nachkomme italienischer Auswanderer am 13.3.1925 in Santa Fe de la Vera Cruz (Argentinien) geboren. Er ist nicht nur (Dokumentarfilm-) Regisseur, sondern auch Theoretiker, Dichter und Puppenspieler. Birri studierte Film am Centro Sperimentale di Cinematografia in Rom; schon vor dem Abschluss (1952) entstand der kurze Dokumentarfilm Selinunte (1951), kurz danach Alfabeto Notturno (über eine Abendschule im sizilianischen Toretta, in der Analphabeten lesen lernen). Zusammen mit dem renommierten Regisseur Mario Verdone, der als Professor am Centro Sperimentale arbeitete, führte er bei Immagini popolari siciliane sacree profane Regie (1953). Mitwirkungen an Filmen von Carlo Lizzani und Vittorio de Sica folgten ebenso wie Kleinauftritte als Schauspieler und Arbeiten als Drehbuchautor.
Background: Nodular lymphocyte predominant Hodgkin lymphoma (NLPHL) usually presents in middle aged men and shows an indolent clinical behavior. However, up to 30% of the patients present a secondary transformation into aggressive diffuse large B cell lymphoma (DLBCL). The aim of the present study was to characterize morphology and immunophenotype of this kind of DLBCL in detail and compare it with conventional DLBCL.
Methods: Morphology and immunophenotype of 33 cases of NLPHL with simultaneous or sequential transformation into DLBCL were investigated. These cases were compared with 41 de novo DLBCL in Finnish men.
Results: The majority of cases exhibited different immunophenotypes in the NLPHL and the DLBCL components. The immunophenotype of the DLBCL secondary to NLPHL was heterogeneous. However, BCL6, EMA, CD75 and J-chain were usually expressed in both components (≥73% positive). Overall, the NLPHL component was more frequently positive for EMA, CD75 and J-chain than the DLBCL component. In contrast, B cell markers, CD10 and BCL2, were more frequently expressed and were expressed at higher levels in the DLBCL component than in the NLPHL component. In the independent series of de novo DLBCL 4 cases could be identified with a growth pattern and immunophenotype that suggested that they had arisen secondarily from NLPHL.
Conclusions: The morphology and immunophenotype of DLBCL arisen from NLPHL is heterogeneous. Further characterization of the particular molecular features of this subgroup is warranted to be able to better identify these cases among conventional DLBCL.
Background: Autotaxin (ATX) and its product lysophosphatidic acid (LPA) are considered to be involved in the development of liver fibrosis and elevated levels of serum ATX have been found in patients with hepatitis C virus associated liver fibrosis. However, the clinical role of systemic ATX in the stages of liver cirrhosis was unknown. Here we investigated the relation of ATX serum levels and severity of cirrhosis as well as prognosis of cirrhotic patients.
Methods: Patients with liver cirrhosis were prospectively enrolled and followed until death, liver transplantation or last contact. Blood samples drawn at the day of inclusion in the study were assessed for ATX content by an enzyme-linked immunosorbent assay. ATX levels were correlated with the stage as well as complications of cirrhosis. The prognostic value of ATX was investigated by uni- and multivariate Cox regression analyses. LPA concentration was determined by liquid chromatography-tandem mass spectrometry.
Results: 270 patients were enrolled. Subjects with liver cirrhosis showed elevated serum levels of ATX as compared to healthy subjects (0.814±0.42 mg/l vs. 0.258±0.40 mg/l, P<0.001). Serum ATX levels correlated with the Child-Pugh stage and the MELD (model of end stage liver disease) score and LPA levels (r = 0.493, P = 0.027). Patients with hepatic encephalopathy (P = 0.006), esophageal varices (P = 0.002) and portal hypertensive gastropathy (P = 0.008) had higher ATX levels than patients without these complications. Low ATX levels were a parameter independently associated with longer overall survival (hazard ratio 0.575, 95% confidence interval 0.365–0.905, P = 0.017).
Conclusion: Serum ATX is an indicator for the severity of liver disease and the prognosis of cirrhotic patients.
XIII Nuclei in the Cosmos, 7-11 July, 2014 Debrecen, Hungary.
As an alternative production scenario to the so-called g process, the most abundant p nucleus 92Mo may be produced by a chain of proton-capture reactions in supernovae type Ia. The reactions 90Zr(p,g) and 91Nb(p,g) are the most important reactions in this chain. We have measured the first reaction using high-resolution in-beam g-spectroscopy at HORUS, Cologne, Germany, to contribute to the existing experimental data base. So far, we only investigated the high-energy part of the Gamow window and the analysis is still in progress. We plan to study the second reaction in standard kinematics at the FRANZ facility, Frankfurt, Germany. Current developments at FRANZ will be explained in detail.
Ziel dieser Arbeit war, mittels einer (n,γ)-Aktivierung, 129Te zu erzeugen und eine Teilchenzahlbestimmung durchzuführen. Aktivierung der Probe am Forschungsreaktor TRIGA und Spektrenaufnahme mittels eines HPGe-Detektors erfolgten im Mai 2014 am Institut für Kernchemie der Johannes Gutenberg Universität in Mainz.
Die Teilchenzahl des Tochternuklids 129I kann anhand der Teilchenzahlen des Isomers und des Grundzustandes von 129Te berechnet werden. In den Aktivierungen #2 bis #6 wurden (14.27 ± 0.53)x10exp12 Iodnuklide erzeugt. Angegeben ist die maximal mögliche Anzahl von Iodteilchen bei unendlich langer Wartezeit und vollständigem Zerfall aller Tellurnuklide.
Beobachtet werden konnte die Abnahme der Grundzustandsaktivität bis zum Erreichen des Gleichgewichts aus Nachbevölkerung durch das Isomer und Zerfall. Die Grundzustandslinien der Energien von 459.60 keV, 487 keV, 1083 KeV und 1111 keV konnten zu dieser Untersuchung herangezogen werden. Diese 4 Linien erfüllen die erforderten Konsistenzkriterien bezüglich der Systematik und können daher zur Teilchenzahlbestimmung des Grundzustandes verwendet werden (Seite 31).
Der Einfluss der Eigenabsorption ist noch zu untersuchen, da die genaue Position der Probe im Polyethylenbehältnis nicht bestimmt werden konnte. Weiterhin ist die Datenanalyse der ersten Aktivierung aufgrund des Detektorwechsels noch nicht erfolgt. Der Austausch war wegen technischer Probleme notwendig. Ziel weiterführender Untersuchungen ist, eine erneute Halbwertszeitbestimmung des radioaktiven 129I vorzunehmen. Sie ist von Interesse, angesichts des Widerspruchs zweier Veröffentlichungen. Die Halbwertszeit des 129I kann Aufschluss über stellare Bedingungen des s-Prozesses geben.
In many markets, design is one of the key factors in determining a product’s success. The present research offers insights into the role of design for the success of cars, and offers procedures to measure the quality of the designs objectively. The authors show that visual design plays a major role in a product’s success in the automobile market. In the study, two visual design aspects were already sufficient to significantly improve traditional sales forecasting models for cars. Visual prototypicality and visual complexity both had a positive impact on sales, and designs that were perceived as both prototypical and complex were the ones that displayed the best results. Most design evaluation used to be based on subjective measures, but the researcher applied a new, objective procedure to measure prototypicality and complexity. While the latter was detected by the disk space needed by the compressed image file, the new approach for measuring prototypicality was even more sophisticated. It relied on the technique of image morphing. Morphing is a technique that allows the construction of a visual synthesis – or average picture – from a number of individual pictures. Once a car morph is developed, one can determine the visual similarity of different car models to the morph in order to obtain its prototypicality. In principle, this procedure can be automated completely, and including a large number of versions is possible. These measures therefore seem suitable for supporting design decision processes in practice.
Die kutane Larva migrans ist eine in ihrem klinischen Bild typische Hautinfektion, die durch aktives Eindringen und anschließende epidermale Wanderung von Nematodenlarven hervorgerufen wird. Dieses typische klinische Bild wird durch Larven von Hakenwürmern, meist Ancylostoma braziliense, selten andere bei Kaniden und Feliden vorkommende Hakenwurmarten, verursacht.
Ziele der Leitlinie sind die Verbesserung der Versorgung der Patienten durch Optimierung von Diagnostik und Therapie bei Infektionen mit Larva migrans cutanea sowie die Verbesserung der Kenntnisse von Ärztinnen und Ärzte über aktuelle Therapieoptionen.
PH Lesenswert : Online-Magazin des Zentrums für Literaturdidaktik Kinder Jugend Medien ; Nr. 1/2014
(2014)
PH Lesenswert : Online-Magazin des Zentrums für Literaturdidaktik Kinder Jugend Medien ; Nr. 2/2014
(2014)
The establishment of robust HCV cell culture systems and characterization of the viral life cycle provided the molecular basis for highly innovative, successful years in HCV drug development. With the identification of direct-acting antiviral agents (DAAs), such as NS3/4A protease inhibitors, NS5A replication complex inhibitors, nucleotide and non-nucleoside polymerase inhibitors, as well as host cell targeting agents, novel therapeutic strategies were established and competitively entered clinical testing. The first-in-class NS3/4A protease inhibitors telaprevir and boceprevir, approved in 2011, were recently outpaced by the pan-genotypic nucleotide polymerase inhibitor sofosbuvir that in combination with pegylated interferon and ribavirin, further shortens therapy durations and also offers the first interferon-free HCV treatment option. In the challenging race towards the goal of interferon-free HCV therapies, however, several oral DAA regimens without nucleotide polymerase inhibitors that combine a NS3/4A protease inhibitor, a NS5A inhibitor and/or a non-nucleoside polymerase inhibitor yielded competitive results. Second generation NS3/4A protease and NS5A inhibitors promise an improved genotypic coverage and a high resistance barrier. Results of novel DAA combination therapies without the backbone of a nucleotide polymerase inhibitor, as well as treatment strategies involving host targeting agents are reviewed herein.
It is commonly assumed that the colonization of restored river reaches by fish depends on the regional species pools; however, quantifications of the relationship between the composition of the regional species pool and restoration outcome are lacking. We analyzed data from 18 German river restoration projects and adjacent river reaches constituting the regional species pools of the restored reaches. We found that the ability of statistical models to describe the fish assemblages established in the restored reaches was greater when these models were based on ‘biotic’ variables relating to the regional species pool and the ecological traits of species rather than on ‘abiotic’ variables relating to the hydromorphological habitat structure of the restored habitats and descriptors of the restoration projects. For species presence in restored reaches, ‘biotic’ variables explained 34% of variability, with the occurrence rate of a species in the regional species pool being the most important variable, while ’abiotic’ variables explained only the negligible amount of 2% of variability. For fish density in restored reaches, about twice the amount of variability was explained by ‘biotic’ (38%) compared to ‘abiotic’ (21%) variables, with species density in the regional species pool being most important. These results indicate that the colonization of restored river reaches by fish is largely determined by the assemblages in the surrounding species pool. Knowledge of species presence and abundance in the regional species pool can be used to estimate the likelihood of fish species becoming established in restored reaches.
Franz Kafka's (1883-1924) "Die Brücke" is one of the less well-known texts by one of the most prolific authors of literary modernity. However, this short prose text embodies prevalent questions of literary modernity and philosophy as it reflects the crisis of language in regard of identity, communication, and literary production. Placed in the context of fin-de-siècle's discourse of language crisis, this article provides a dialogue between Kafka's "Die Brücke" and Hannah Arendt's (1906-1975) philosophy of thinking and speaking in "The Life of the Mind". Contrary to Arendt's understanding of the metaphor as "a carrying over" between the mental activities of the solitude thinker and a reconciliation with the pluralistic world shared with others, this article argues for a deconstructionist reading of "Die Brücke" as a tool to reevaluate Arendt"s notion of a shared human experience ensured through language and illustrates the advantages of poetic texts within philosophical discourses.
The haloarchaeon Haloferax volcanii was shown to contain 145 intergenic and 45 antisense sRNAs. In a comprehensive approach to unravel various biological roles of haloarchaeal sRNAs in vivo, 27 sRNA genes were selected and deletion mutants were generated. The phenotypes of these mutants were compared to that of the parent strain under ten different conditions, i.e. growth on four different carbon sources, growth at three different salt concentrations, and application of four different stress conditions. In addition, cell morphologies in exponential and stationary phase were observed. Furthermore, swarming of 17 mutants was analyzed. 24 of the 27 mutants exhibited a difference from the parent strain under at least one condition, revealing that haloarchaeal sRNAs are involved in metabolic regulation, growth under extreme conditions, regulation of morphology and behavior, and stress adaptation. Notably, 7 deletion mutants showed a gain of function phenotype, which has not yet been described for any other prokaryotic sRNA gene deletion mutant. Comparison of the transcriptomes of one sRNA gene deletion mutant and the parent strain led to the identification of differentially expressed genes. Genes for flagellins and chemotaxis were up-regulated in the mutant, in accordance with its gain of function swarming phenotype. While the deletion mutant analysis underscored that haloarchaeal sRNAs are involved in many biological functions, the degree of conservation is extremely low. Only 3 of the 27 genes are conserved in more than 10 haloarchaeal species. 22 of the 27 genes are confined to H. volcanii, indicating a fast evolution of haloarchaeal sRNA genes.
Dynamics of juvenile woody plant communities on termite mounds in a West African savanna landscape
(2014)
Termites are keystone species in savanna ecology, and their mounds are thought to be an important source of habitat heterogeneity and structural complexity of the savanna. Macrotermes termitaria have been shown to allow woody plant colonisation of landscapes otherwise dominated by C4 grasses. In this study, we assess how resource-rich Macrotermes mounds affect juvenile woody plant and non-woody plant species diversity, community composition, biomass and population dynamics. We repeatedly sampled paired termite mound and savanna plots in Pendjari National Park (Sudanian vegetation zone, North Benin, West Africa) over the course of two years. Despite considerable overlap in their species pools, plant communities of mound and savanna plots were clearly separated in ordinations. Species richness and diversity of juvenile woody plants was consistently higher on termite mounds, while no differences could be detected for non-woody plants. Evenness of juvenile woody plants was generally lower on mounds, whereas density and basal area were higher on mounds. In contrast, we did not detect any influence of the mound microhabitat on colonisation, mortality and turnover of woody juveniles. Therefore, we suggest that differences in the communities on and off mounds should be strongly influenced by directed diaspore dispersal through zoochory.
Background: Subarachnoid hemorrhage (SAH) is mainly caused by ruptured cerebral aneurysms but in up to 15% of patients with SAH no bleeding source could be identified. Our objective was to analyze patient characteristics, clinical outcome and prognostic factors in patients suffering from non-aneurysmal SAH.
Methods: From 1999 to 2009, data of 125 patients with non-aneurysmal SAH were prospectively entered into a database. All patients underwent repetitive cerebral angiography. Outcome was assessed according to the modified Rankin Scale (mRS) (mRS 0-2 favorable vs. 3-6 unfavorable). Also, patients were divided in two groups according to the distribution of blood in the CT scan (perimesencephalic and non-perimesencephalic SAH).
Results: 106 of the 125 patients were in good WFNS grade (I-III) at admission (85%). Overall, favorable outcome was achieved in 104 of 125 patients (83%). Favorable outcome was associated with younger age (P < 0.001), good admission status (P < 0.0001), and absence of hydrocephalus (P = 0.001).73 of the 125 patients suffered from perimesencephalic SAH, most patients (90%) were in good grade at admission, and 64 achieved favorable outcome.52 of the 125 patients suffered from non-perimesencephalic SAH and 40 were in good grade at admission. Also 40 patients achieved favorable outcome.
Conclusions: Patients suffering from non-aneurysmal SAH have better prognosis compared to aneurysm related SAH and poor admission status was the only independent predictor of unfavorable outcome in the multivariate analysis. Patients with a non-perimesencephalic SAH have an increased risk of a worse neurological outcome. These patients should be monitored attentively.
Introduction: On-treatment HCV RNA measurements are crucial for the prediction of a sustained virological response (SVR) and to determine treatment futility during protease inhibitor-based triple therapies. In patients with advanced liver disease an accurate risk/benefit calculation based on reliable HCV RNA results can reduce the number of adverse events. However, the different available HCV RNA assays vary in their diagnostic performance.
Aim: To investigate the clinical relevance of concordant and discordant results of two HCV RNA assays during triple therapy with boceprevir and telaprevir in patients with advanced liver fibrosis/cirrhosis.
Methods: We collected on-treatment samples of 191 patients with advanced liver fibrosis/cirrhosis treated at four European centers for testing with the Abbott RealTime (ART) and COBAS AmpliPrep/COBAS TaqMan HCV v2.0 (CTM) assays.
Results: Discordant test results for HCV RNA detectability were observed in 23% at week 4, 17% at week 8/12 and 9% at week 24 on-treatment. The ART detected HCV RNA in 41% of week 4 samples tested negative by the CTM. However, the positive predictive value of an undetectable week 4 result for SVR was similar for both assays (80% and 82%). Discordance was also found for application of stopping rules. In 27% of patients who met stopping rules by CTM the ART measured levels below the respective cut-offs of 100 and 1000 IU/ml, respectively, which would have resulted in treatment continuation. In contrast, in nine patients with negative HCV RNA by CTM at week 24 treatment would have been discontinued due to detectable residual HCV RNA by the ART assay. Importantly, only 4 of these patients failed to achieve SVR.
Conclusion: Application of stopping rules determined in approval studies by one assay to other HCV RNA assays in clinical practice may lead to over and undertreatment in a significant number of patients undergoing protease inhibitor-based triple therapy.
Knowledge about useful plants and their various applications in West Africa is scattered over many publications and often in form of grey literature difficult to access. Several online-databases compile large scale information from these sources and provide comprehensive summarized descriptions of plant usages. Our aim is to additionally build up a database (UseDa) for primary ethnobotanical interview data. Thus, quantitative data can be extracted and synthesized and data sets can be treated according to different research questions analyzing for example uses in specific areas, of different ethnic groups or user groups, which is essential for practical applications on a local level. In this article we give an overview on the technical structure and the content of the database and discuss at the end the possible output for practical application. The database was set up in the frame of the EU-funded Project UNDESERT.
Understanding the role of structure and social aspects regarding heat stress of people in urban areas requires an interdisciplinary scientific approach that connects methods from both natural sciences and social sciences. In this study, we combine three approaches to provide an interdisciplinary analysis of the structure and social components of heat stress in the city of Aachen, Germany. First, we assess the overall spatial structure of the urban heat island using spatially distributed measurements from mobile air temperature recordings on public transport units combined with spatially distributed geo-statistical data. The results indicate that the time of day matters: During the afternoon, areas with a relative low building density, like the industrial area northeast of the inner city, are the warmest, while surfaces in high-building-density areas like the inner city heat up faster during the evening. Second, we combine these measurements with place-based survey data collected in 2010 from residents aged 50 to 92 regarding their individual housing conditions, medical history and social integration to examine the match among heat-based stress of older residents, social conditions and elevated temperatures in their residential quarter. We identify disadvantaged areas for specific already-disadvantaged demographic groups in the city, pointing to a cumulation of inequalities, including heat stress among the most vulnerable. Third, we compare data of biometeorological measurements on urban public squares during the afternoon with results of the micrometeorological model ENVI-met to examine the spatial variability of the inner-city heat load. We complement the modelling results with on-site interviews to evaluate people’s heat perception at the same public places. A simulation shows that additional vegetation would increase thermal comfort at these public places, whereby the heat load assessed using the predicted mean vote (PMV) value would decrease by approximately 60 %. Furthermore, we demonstrate the strengths and weaknesses of heat stress simulation. ENVI-met allows for an overall reasonable representation of heat load during stable atmospheric conditions. However, due to the setup and structure of ENVI-met, large-scale atmospheric changes that occur during the day cannot readily be integrated into ENVI-met simulations.
Background: Different flavonoids are known to interfere with influenza A virus replication. Recently, we showed that the structurally similar flavonoids baicalein and biochanin A inhibit highly pathogenic avian H5N1 influenza A virus replication by different mechanisms in A549 lung cells. Here, we investigated the effects of both compounds on H5N1-induced reactive oxygen species (ROS) formation and the role of ROS formation during H5N1 replication.
Findings: Baicalein and biochanin A enhanced H5N1-induced ROS formation in A549 cells and primary human monocyte-derived macrophages. Suppression of ROS formation induced by baicalein and biochanin A using the antioxidant N-acetyl-L-cysteine strongly increased the anti-H5N1 activity of both compounds in A549 cells but not in macrophages.
Conclusions: These findings emphasise that flavonoids induce complex pharmacological actions some of which may interfere with H5N1 replication while others may support H5N1 replication. A more detailed understanding of these actions and the underlying structure-activity relationships is needed to design agents with optimised anti-H5N1 activity.
Der Radiofrequenzquadrupol (RFQ) wird typischerweise als erstes beschleunigendes Element in Beschleunigeranlagen eingesetzt. Das elektrische Quadrupolfeld ermöglicht die gleichzeitige Fokussierung und Beschleunigung des Ionenstrahls. Zudem ist der RFQ in der Lage den Gleichstromstrahl von der Ionenquelle zu Teilchenpaketen (Bunche) zu formen, die von den nachfolgenden Driftröhrenbeschleunigern benötigt werden. Ziel der vorliegenden Arbeit war die Untersuchung zur Realisierbarkeit eines 325 MHz 4-rod RFQ Beschleunigers. Die Frequenz von 325 MHz stellt eine ungewöhnlich hohe Betriebsfrequenz für die 4-rod Struktur dar und wird z.B. für den Protonenlinac des FAIR Projektes benötigt. Ein Problem hierbei war, dass durch die bauartbedingten unsymmetrischen Elektrodenaufhängung und der hohen Frequenz ein, das Quadrupolfeld überlagerndes, Dipolfeld erzeugt wird. Dieses störende Feld kann z.B. zu einem Versatz der Strahlachse führen. Hierzu wurde die 4-rod Struktur in Simulationen grundlegend auf Einflüsse von verschiedenen Parametern auf die Resonanzfrequenz und das Dipolfeld untersucht. Es wurden Lösungsstrategien erarbeitet das Diopolfeld zu kompensieren und auf einen Prototypen angewendet. Zudem wurde das Verhalten höherer Schwingungsmoden dieser Struktur simuliert. In diesem Rahmen wurden auch Simulationen zu Randfeldern zwischen den 4-rod Elektroden und der Tankwand untersucht, um nachteilige Effekte für die Strahlqualität auszuschließen. Basierend auf den Simulationsergebnissen wurde ein Prototyp angefertigt. Dieser Prototyp wurde zur Demonstration der Betriebseigenschaften mit Leistungen bis 40 kW getestet. Hierbei wurde die Elektrodenspannung mittels Gammaspektroskopie bestimmt und daraus die Shuntimpedanz berechnet. Diese Werte wurden mit anderen Methoden der Shuntimpedanzbes- timmung verglichen. Außerdem wurden alternative RFQ Resonatorkonzepte ebenfalls auf ihre Realisierbarkeit für den Protonenlinac untersucht. Die Einflüsse verschiedener Parameter auf die Betriebsfrequenz, die Möglichkeiten des Frequenztunings und der Einstellung der longitudinalen Spannungsverteilung gefertigter Modelle wurden in einer Diskussion gegenübergestellt.
Heme-copper oxidases (HCOs) are the terminal enzymes of the aerobic respiratory chain in the inner mitochondrial membrane or the plasma membrane in many prokaryotes. These multi-subunit membrane protein complexes catalyze the reduction of oxygen to water, coupling this exothermic reaction to the establishment of an electrochemical proton gradient across the membrane in which they are embedded. The energy stored in the electrochemical proton gradient is used e.g. by the FOF1-ATP synthase to generate ATP from ADP and inorganic phosphate. The superfamily of HCOs is phylogenetically classified into three major families: A, B and C. The A-family HCOs, represented by the well-studied aa3-type cytochrome c oxidases (aa3-CcOs), are found in mitochondria and many bacteria. The B-family of HCOs contains a number of bacterial and archaeal oxidases. The C-family comprises only the cbb3-type cytochrome c oxidase (cbb3-CcO) and is most distantly related to the mitochondrial respiratory oxidases.
Background: Various kinase inhibitors are known to be ATP-binding cassette (ABC) transporter substrates and resistance acquisition to kinase inhibitors has been associated to increased ABC transporter expression. Here, we investigated the role of the ABC transporters ABCB1, ABCC1, and ABCG2 during melanoma cell resistance acquisition to the V600-mutant BRAF inhibitors PLX4032 (vemurafenib) and PLX4720. PLX4032 had previously been shown to interfere with ABCB1 and ABCG2. PLX4720 had been demonstrated to interact with ABCB1 but to a lower extent than PLX4032.
Findings: PLX4032 and PLX4720 affected ABCC1- and ABCG2-mediated drug transport in a similar fashion. In a panel of 16 V600E BRAF-mutated melanoma cell lines consisting of four parental cell lines and their sub-lines with acquired resistance to PLX4032, PLX4720, vincristine (cytotoxic ABCB1 and ABCC1 substrate), or mitoxantrone (cytotoxic ABCG2 substrate), we detected enhanced ABC transporter expression in 4/4 cytotoxic ABC transporter substrate-resistant, 3/4 PLX4720-resistant, and 1/4 PLX4032-resistant melanoma cell lines.
Conclusion: PLX4032 has the potential to induce ABC transporter expression but this potential is lower than that of PLX4720 or cytotoxic ABC transporter substrates. Since ABC transporters confer multi-drug resistance, this is of relevance for the design of next-line therapies.
Aurora kinase inhibitors displayed activity in pre-clinical neuroblastoma models. Here, we studied the effects of the pan-aurora kinase inhibitor tozasertib (VX680, MK-0457) and the aurora kinase inhibitor alisertib (MLN8237) that shows some specificity for aurora kinase A over aurora kinase B in a panel of neuroblastoma cell lines with acquired drug resistance. Both compounds displayed anti-neuroblastoma activity in the nanomolar range. The anti-neuroblastoma mechanism included inhibition of aurora kinase signalling as indicated by decreased phosphorylation of the aurora kinase substrate histone H3, cell cycle inhibition in G2/M phase, and induction of apoptosis. The activity of alisertib but not of tozasertib was affected by ABCB1 expression. Aurora kinase inhibitors induced a p53 response and their activity was enhanced in combination with the MDM2 inhibitor and p53 activator nutlin-3 in p53 wild-type cells. In conclusion, aurora kinases are potential drug targets in therapy-refractory neuroblastoma, in particular for the vast majority of p53 wild-type cases.
In this article, I review select institutional and analytical traditions of Legal History in 20th century Germany, in order to put forth some recommendations for the future development of our discipline. A careful examination of the evolution of Legal History in Germany in the last twenty-five years, in particular, reveals radical transformations in the research framework: Within the study of law, there has been a shift in the internal reference points for Legal History. While the discipline is opening up to new understandings of law and to its neighboring disciplines, its institutional position at the law departments has become precarious. Research funding is being allocated in new ways and the German academic system is witnessing ever more internal differentiation. Internationally, German contributions and analytic traditions are receiving less attention and are being marginalized as new regions enter into a global dialogue on law and its history. The German tradition of research in Legal History had for long been setting benchmarks internationally; now it has to reflect upon and react to new global knowledge systems that have emerged in light of the digital revolution and the transnationalization of legal and academic systems. If legal historians in Germany accept the challenge these changing conditions pose, thrilling new intellectual and also institutional opportunities emerge. Especially the transnationalization of law and the need for a transnational legal scholarship offers fascinating perspectives for Legal History.
Protagonist des Buches des nigerianisch-kanadischen Historikers Bonny Ibhawoh (Hamilton, Ontario) ist das Judicial Committee of the Privy Council (JCPC), das 1833 formal als letzte Appellationsinstanz für die koloniale Gerichtsbarkeit im Britischen Empire installiert wurde. Das JCPC fungierte zugleich als Beratergremium der Krone und als letztinstanzliches Gericht mit einem unklaren Status: Die Richter des JCPC sprachen keine bindenden Urteile, sondern gaben Entscheidungsempfehlungen an die Krone, welche diese in Form von Orders in Council verbindlich erließ. Bislang hatte sich die historische Forschung auf die Rolle des JCPC bei der Entwicklung des Case Law in Regionen des sog. Old Empire, d. h. Kanadas, Australiens, Neuseelands und Irlands, konzentriert. Die vorliegende Monografie rekonstruiert zum ersten Mal seine Bedeutung für die Rechtsentwicklung in den afrikanischen Kolonien, allerdings ohne die Befunde in Bezug zu den Ergebnissen der Old Empire-Forschungen zu setzen. Dagegen erhält die Analyse besondere Tiefe durch die Auswertung der reichen archivalischen Quellen des JCPC, die Ibhawoh noch in einem »staubigen Keller in der Downing Street« konsultierte (22) und die inzwischen in die National Archives in Kew überführt wurden. Der Beobachtungszeitraum erstreckt sich von 1890 bis zum Ende der 1960er Jahre, als sich die unabhängig gewordenen ehemaligen Kolonien aus dem Rechtsprechungsverbund des Commonwealth lösten und die Appellation an das JCPC in ihren Verfassungen abschafften. ...
For centuries, it may have seemed as if standards of normative thinking now valid across the globe had first been instituted in Europe. These normative orders form the foundations of our verdicts that define and distinguish right and wrong, good and bad or even beautiful and ugly. But in order to better understand the global presence of such normative orders that evolved from within the European horizon, the history and implications of European expansion in the early modern era cannot be swept under the rug. ...
Beim Stichwort Wucher reißt manchem Rechtspraktiker die Geduld. Dabei haben interdisziplinäre Forschungen zu diesem Thema im Zuge der Finanzkrise und dank der erfolgreichen Entwicklung des islamischen Bankwesens in den letzten Jahren einen beachtlichen Aufschwung genommen. Die Frage, was vom Wucher übrigbleibt, stand im Februar 2011 im Mittelpunkt eines Workshops des Exzellenzclusters "Religion und Politik in den Kulturen der Vormoderne und der Moderne" an der Westfälischen Wilhelms-Universität Münster, dessen Ergebnisse nunmehr in einem von Matthias Casper, Norbert Oberauer und Fabian Wittreck veröffentlichten Sammelband vorliegen. Auch wenn es den Herausgebern gelungen ist, die Debatte um einige neue Perspektiven zu erweitern, ist die Themenauswahl traditionsgemäß hauptsächlich auf die Zins- und Wucherkontroverse in den christlichen bzw. muslimischen Rechtstraditionen beschränkt. Der Zusammenbruch des christlichen Zinsverbots vor mindestens fünf Jahrhunderten ist allen bekannt. Aufgrund des Beitrags des Ökonomen Volker Nienhaus über die Entwicklung Sharia-konformer Finanztechniken erscheint jedoch am Ende die Frage legitim, ob nicht auch das Islamische riba-Verbot allmählich durch die Logik des Geldes überwuchert wird. ...
Zu der herkömmlichen Vorstellung des Verhältnisses von Kirche und Staat im frühneuzeitlichen Frankreich gehört, dass Fürsten wie Ludwig XIV. die externe Bevormundung der französischen Kirche durch den Bischof von Rom zugunsten der Formierung einer nationalen Sonderkirche endgültig eingedämmt haben. Dementsprechend sind die 1682 unter Leitung von Jacques Bénigne Bossuet verfassten gallikanischen Artikel klassischer Bestandteil des französischen Selbstverständnisses in Sachen Politik und Religion geworden. Sie gelten als das natürliche Ergebnis einer logischen Entwicklung hin zur Verstetigung der Machtansprüche der lokalen weltlichen und geistlichen Machthaber dem Papst gegenüber, die spätestens mit der 1438 durch Karl VII. verabschiedeten Pragmatischen Sanktion von Bourges ihren ersten großen Erfolg feierte. Dass diese Errungenschaft nicht unumkämpft war, belegt nun allerdings die Dissertation von Cyrille Dounot über den äußerst papsttreuen Juristen Antoine Dadine d’Auteserre (1602–1682). Eine reichlich dokumentierte Biographie dieses Zivilrechtlehrers der Universität Toulouse, die teilweise auf bisher unerforschte Archivmaterialien zurückgeht, bietet der Autor im ersten Teil seiner Arbeit an. ...
Der Begriff von den "Verfassungsvoraussetzungen" wurde von Herbert Krüger geprägt. Sie liegen in der "geistigen Grundlage" und einer "adäquaten Gestimmtheit, damit das [verfassungsrechtliche] Programm sich verwirklicht". Hier bricht sich eine pathetische Sprechweise Bahn: In diesem Sinne geht es um die Grundlagen der Verfassung und in gewisser Weise um mehr als nur das, was Recht ist. Auf dieser rhetorischen Wellenlänge sendet das sog. Böckenförde-Diktum und mit dieser Konnotation hat sich die Vereinigung der Staatsrechtslehrer im Jahr 2008 einer "Erosion von Verfassungsvoraussetzungen" angenommen. Daneben gibt es auch eine nüchtern-rechtsdogmatische Sprechweise, die zum Ausdruck bringt, dass eine Aussage keine verfassungsrechtliche Verbindlichkeit erreicht und insofern weniger ist als Recht. Unklar an der Begriffsbildung Verfassungsvoraussetzung ist bereits, ob es sich um dasjenige handelt, was von der Verfassung respektive dem Verfassungsgeber normativ vorausgesetzt wird (etwa die teloi von Normen), oder um dasjenige, was der Verfassung de facto vorausgesetzt wird. Letzteres wird bisweilen auch als "Verfassungserwartung" bezeichnet. In die pathetische Bedeutung könnte nahezu alles eingelesen werden, auf dem die Verfassung aufruht: der status quo zur Zeit der Verfassungsgebung, Wertesystem, kulturelle Wurzeln, anthropologische Grundkonstanten. Schon in diesem semantischen Spannungsfeld läuft der Begriff der Verfassungsvoraussetzung Gefahr, an Unterscheidungskraft zu verlieren. Darüber hinaus büßt er ungemein an Trennschärfe ein, wenn sogar die Akzeptanz des Rechts und der Regelungsgrund bzw. -gegenstand der Verfassung in den Begriff einbezogen werden. ...
How to write (international) legal histories that would be true to their protagonists while simultaneously relevant to present audiences? Most of us would also want to write "critically" – that is to say, at least by aiming to avoid Eurocentrism, hagiography and commitment to an altogether old-fashioned view of international law as an instrument of progress. Hence we write today our histories "in context". But this cannot be all. Framing the relevant "context" is only possible by drawing upon more or less conscious jurisprudential and political preferences. Should attention be focused on academic debates, military power, class structures or assumptions about the longue durée? Such choices determine for us what we think of as relevant "contexts", and engage us as participants in large conversations about law and power that are not only about what once "was" but also what there will be in the future.
Political theology’s recent rise to academic prominence has, no doubt, been inspired by the sense of a certain staleness of standard (read: Anglo-American) analytical political and legal theory. Especially postcolonial and postmodern philosophy has resuscitated debates about the reality of secularization in Europe, pointing out that much of our shared political metaphysic is indeed that – a metaphysic – with close historical links to debates in theology. That should be no surprise. For almost half a millennium theology stood as the primus inter pares among the three "higher faculties" at European universities. The best minds at work in Europe explained the social and political changes to European audiences within a fully God-centric intellectual universe. Awareness of that fact, as Wim Decock points out in this massive and brilliant work, not only assists us in understanding the development of our political and legal vocabularies. It also enables us to grasp the contingency of our present debates, the way opposite standpoints on political and legal obligation refer back to assumptions about human nature, the roles of individual and society and the nature of "law" that are hard to detach from religious speculation. ...
Die Wahrnehmung von Schmerzen ermöglicht es dem Organismus, auf noxische Reize zu reagieren. Der akute nozizeptive Schmerz hat somit eine natürliche Warnfunktion. Bei länger anhaltenden bzw. chronischen Schmerzen oder Nervenschädigungen kann es jedoch zu pathophysiologischen Veränderungen im Nervensystem kommen, die zur Verselbständigung des Schmerzes führen können. Unter diesen Umständen gilt der Schmerz nicht mehr als Warnsignal, sondern als eigenes Krankheitsbild. Die „International Association for the Study of Pain (IASP)“ definiert Schmerz als „ein unangenehmes Sinnes- und Gefühlserlebnis, das mit aktueller oder potenzieller Gewebsschädigung verknüpft ist oder mit Begriffen einer solchen Schädigung beschrieben wird“. Da bisher verfügbare Arzneimittel chronische Schmerzen in vielen Fällen nicht ausreichend reduzieren können und teilweise zu schwerwiegenden Nebenwirkungen führen, ist es unverzichtbar, an der Entwicklung neuer und noch spezifischer wirkenden Analgetika festzuhalten. Um Pharmaka zu entwickeln, die gezielt in den Mechanismus der Schmerzverarbeitung eingreifen können, ist es notwendig, diesen auf molekularer Ebene zu kennen und zu verstehen.
Die geistes- und sozialwissenschaftlichen Disziplinen haben ihr Spektrum in der jüngeren Vergangenheit um globale Perspektiven erweitert. Auch für das Feld der Intellectual History liegt nun ein Sammelband von Samuel Moyn und Andrew Sartori vor, der die Frage des Globalen diskutiert und dabei viele Beobachtungen enthält, die über das Feld der Ideen- und Geistesgeschichte hinaus Beachtung verdienen. Von rechtshistorischem Interesse sind vor allem die Abschnitte zur Konzeption des Globalen und zur Übersetzung und Verankerung globaler normativer Muster. ...
The article aims to investigate, under the aspect of translation, the process of legal appropriation and reproduction of international law during the course of the 19th century. An occidental understanding of translation played an important role in the so-called process of universalization in the 19th century, as it made the complexity of global circulation of ideas invisible. Approaches proposed by scholars of Postcolonial, Cultural and Translation Studies are useful for re-reading histories of the circulation of European ideas, particularly the international law doctrines, from a different perspective. The great strides made in Translation and Cultural Studies in the last decades, as well as the discernment practiced in the scholarship of Postcolonial Studies, are important for a broader and more differentiated understanding of the processes of appropriation and reproduction of the doctrines of international law during the 19th century. The present article begins by tracing the connection between translation and universalization of concepts in 19th century international law; after a short excursus on the Western idea of translation, the attention is focused on the translation of international law textbooks. The conclusive section is dedicated to a comparison between Emer de Vattel’s Droit des gens and Andrés Bello’s Principios de Derecho de Jentes.
Von Inter- und Transdisziplinarität wurde und wird viel gesprochen. Die oft karikierte "Antragslyrik" zur Gewinnung von Drittmitteln lebt davon. Eine wirkliche Durchdringung verschiedener Fächer findet dagegen nur selten statt, und zwar nicht nur aus Trägheit oder mangelnder Kompetenz. Spezialisierung und entsprechende Blickverengung, Fachsprachen, unterschiedliche Arbeitsziele und -bedingungen machen den Blick über den Tellerrand tatsächlich schwer. Aber gelegentlich gelingt doch etwas. Der Öffentlichrechtler Erk Volkmar Heyen, Emeritus der Universität Greifswald, hatte sich vorgenommen, die europäische Malerei daraufhin zu mustern, ob sich in ihr Motive finden, die sich auf gute und schlechte Politik, weltlichen und religiösen Staat, Verwaltung, Städte, Freiheit und Zwang, Wohlfahrt und Fürsorge, Juristen und anderes Staatspersonal beziehen, kurzum auf alles, was ein Gemeinwesen oder einen Staat ausmacht. Er hat dies, wenn auch mit vielen dankbar genannten Helfern, im Alleingang realisiert und auf diese Weise Interdisziplinarität wirklich praktiziert. ...
Post 9/11 haben Forschungen zur Geschichte des "Terrorismus" weltweit Konjunktur. Kaum eine neuere Überblicksdarstellung zur Geschichte der politischen Gewalt und der Staatsverbrechen kommt ohne "Terrorismus" und den Referenzpunkt "9/11" aus, darunter die auf einer älteren Monographie basierende, 2012 publizierte und auf den universitären Unterricht bzw. ein breiteres Lesepublikum zielende Introduction to Political Crime von Jeffrey Ian Ross, der 2011 erschienene historische Überblick über die Geschichte der Crimes Against the State. From Treason to Terrorism von Michael Head oder die von mehreren französischen Autoren 2010 verfasste Darstellung historischer Terrorismusphänomene Terrorismes: Histoire et Droit. Im Gegensatz zu älteren Darstellungen erscheint "Terrorismus" inzwischen als zentraler Zugang zur Geschichte politischer Gewalt, auch im Hinblick auf die grenzübergreifenden und internationalen Dimensionen sowie die rechtlichen und polizeilichen Gegenmaßnahmen des counter-terrorism. Allerdings konzentrieren sich die historische Forschung wie die Politik- und Rechtswissenschaft auf den modernen zeitgenössischen "Terrorismus" seit dem Ersten Weltkrieg und diskutieren Erscheinungsformen, Ursachen sowie Strategien zu dessen Bekämpfung und Bewältigung. Nur wenige der in den letzten Jahren erschienenen, teils auch neu aufgelegten Gesamtdarstellungen gehen zeitlich weiter zurück und beziehen die Zeit nach der Etablierung des "Terrorismusbegriffs" durch die Französische Revolution mit ein oder greifen gar bis zur Antike aus. So beginnt Randall D. Law seine 2009 publizierte Geschichte des Terrorismus mit dem Kapitel Terror and Tyrannicide in the Ancient World, gefolgt von Abschnitten über das Mittelalter und die Frühe Neuzeit. Antike und Mittelalter nur kurz streifend, sucht Martin A. Miller dagegen die Foundations of Modern Terrorism in der politischen Gewalt des frühneuzeitlichen Europa, deren Ursprünge er insbesondere in den konfessionellen Konflikten verortet. ...
Jubiläen drängen zur Standortbestimmung. Im Jahr 2014 feiert die Frankfurter Goethe Universität ihren 100. Geburtstag. Man lud zu Bilanzen ein, zum Blick nach vorn, auf Erfahrungen und Erwartungen der Rechtswissenschaft und ihrer Teildisziplinen. In diese Spannung stellt sich auch dieser Beitrag zu den Perspektiven des Fachs ‚Rechtsgeschichte‘. Es wird deswegen nur kurz um 100 Jahre (I.), wenig um die Zeit nach 1945 (II.), weit mehr um Rahmenbedingungen rechtshistorischen Forschens in der ‚Berliner Republik‘ (III.) – und um Zukunftsperspektiven des Fachs gehen (IV.).
Background: In an earlier study we demonstrated the feasibility to create tissue engineered venous scaffolds in vitro and in vivo. In this study we investigated the use of tissue engineered constructs for ureteral replacement in a long term orthotopic minipig model. In many different projects well functional ureretal tissue was established using tissue engineering in animals with short-time follow up (12 weeks). Therefore urothelial cells were harvested from the bladder, cultured, expanded in vitro, labelled with fluorescence and seeded onto the autologous veins, which were harvested from animals during a second surgery. Three days after cell seeding the right ureter was replaced with the cell-seeded matrices in six animals, while further 6 animals received an unseeded vein for ureteral replacement. The animals were sacrificed 12, 24, and 48 weeks after implantation. Gross examination, intravenous pyelogram (IVP), H&E staining, Trichrome Masson's Staining, and immunohistochemistry with pancytokeratin AE1/AE3, smooth muscle alpha actin, and von Willebrand factor were performed in retrieved specimens.
Results: The IVP and gross examination demonstrated that no animals with tissue engineered ureters and all animals of the control group presented with hydronephrosis after 12 weeks. In the 24-week group, one tissue engineered and one unseeded vein revealed hydronephrosis. After 48 weeks all tissue engineered animals and none of the control group showed hydronephrosis on the treated side. Histochemistry and immunohistochemistry revealed a multilayer of urothelial cells attached to the seeded venous grafts.
Comclusions: Venous grafts may be a potential source for ureteral reconstruction. The results of so far published ureteral tissue engineering projects reveal data up to 12 weeks after implantation. Even if the animal numbers of this study are small, there is an increasing rate of hydronephrosis revealing failure of ureteral tissue engineering with autologous matrices in time points longer than 3 months after implantation. Further investigations have to prove adequate clinical outcome and appropriate functional long-term results.
Ich möchte dem Direktor, Herrn Professor Thomas Duve, meinen aufrichtigsten Dank dafür sagen, dass ich die Rede zum Beginn einer neuen Phase im mittlerweile langen Leben des Frankfurter Instituts halten darf. Für einen Rechtshistoriker handelt es sich um eine wirkliche Ehre, hat doch das Max-Planck-Institut für europäische Rechtsgeschichte seit 1964, seinem Gründungsjahr, dank seiner Leiter – u.a. Helmut Coing, Dieter Simon, Michael Stolleis und Thomas Duve, die allesamt herausragende, allgemein anerkannte Wissenschaftler waren (und sind) – die Studien zur mittelalterlichen und neuzeitlichen Rechtsgeschichte wesentlich vorangetrieben und sich damit weltweit als wichtigstes Forschungszentrum durchgesetzt. ...
Im Gefolge der spanischen Kolonisation bildete sich ein für Hispanoamerika geltendes Normengefüge heraus, das später so genannte Derecho Indiano. Aus Europa stammende Institutionen und Normen wurden in der "Neuen Welt" (re-)produziert, doch gingen in seine Entstehung auch gewohnheitsrechtliche lokale Praktiken ein: spanische ebenso wie indigene aus vorkolonialer Zeit. Um die komplexe Genese dieses multinormativen Rechts verstehen zu können, sind neben den klassischen Quellen auch die jeweilige lokale Rechtsproduktion und der juristische Diskurs zu berücksichtigen. Wichtige diesbezügliche Zeugnisse hinterließen im 16. Jahrhundert zahlreiche in Hispanoamerika wirkende Juristen. Im zentralandinen Raum, dem heutigen Peru und Bolivien, war Polo Ondegardo einer der herausragenden juristischen Autoren und Akteure, dessen Schriften in zwei neuen Auswahlbänden vorliegen. ...
Causality assessment of suspected drug induced liver injury (DILI) and herb induced liver injury (HILI) is hampered by the lack of a standardized approach to be used by attending physicians and at various subsequent evaluating levels. The aim of this review was to analyze the suitability of the liver specific Council for International Organizations of Medical Sciences (CIOMS) scale as a standard tool for causality assessment in DILI and HILI cases. PubMed database was searched for the following terms: drug induced liver injury; herb induced liver injury; DILI causality assessment; and HILI causality assessment. The strength of the CIOMS lies in its potential as a standardized scale for DILI and HILI causality assessment. Other advantages include its liver specificity and its validation for hepatotoxicity with excellent sensitivity, specificity and predictive validity, based on cases with a positive reexposure test. This scale allows prospective collection of all relevant data required for a valid causality assessment. It does not require expert knowledge in hepatotoxicity and its results may subsequently be refined. Weaknesses of the CIOMS scale include the limited exclusion of alternative causes and qualitatively graded risk factors. In conclusion, CIOMS appears to be suitable as a standard scale for attending physicians, regulatory agencies, expert panels and other scientists to provide a standardized, reproducible causality assessment in suspected DILI and HILI cases, applicable primarily at all assessing levels involved.
We present the data of the 2nd research expedition of the European Dry Grassland Group (EDGG), which was conducted in 2010 in Central Podolia, Ukraine. The aim was to collect plot data to compare Ukrainian dry grasslands with those of other parts of Europe in terms of syntaxonomy and biodiversity. We sampled 21 nested-plot series (0.0001–100 m2) and 184 normal plots (10 m2) covering the full variety of dry grassland types occurring in the study region. For all plots, we recorded species composi-tion of terrestrial vascular plants, bryophytes and lichens, while for the 226 10-m2 plots we estimated and measured percentage cover of all species, structural, topographic, soil and landuse parameters. The 10-m² plots were used for phytosociological classification based on iteratively refined TWINSPAN classification as well as for DCA ordination. Differences between the derived vegetation types with respect to environmental conditions and species richness were assessed with ANOVAs. We assigned our plots to nine association-level units but refrained from placing them into formal associations with two exceptions. In the study area, dry grasslands of the Festuco-Brometea were far more common than those of the Koelerio-Corynephoretea. Among the Festuco-Brometea, xeric Festucetalia valesiacae grasslands were more frequent and represented by the Festucion valesiacae (2 associations, including the Allio taurici-Dichanthietum ischaemi ass. nova) and the Stipion lessingianae (1) compared to the Brachypodietalia pinnati with the Agrostio vinealis-Avenulion schellianae (3). The Koelerio-Corynephoretea were represented by three associations, each from a different order and alliance: basiphilous outcrops (Alysso alyssoidis-Sedetalia: Alysso alyssoidis-Sedion?), acidophilous outcrops (Sedo-Scleranthetalia: Veronico dillenii-Sedion albi?) and mesoxeric sandy grasslands (Trifolio arvensis-Festucetalia ovinae: Agrostion vinealis). We discuss the issue of the mesoxeric order Galietalia veri placed within the Molinio-Arrhenatheretea by Ukrainian authors and conclude that the content of that order would probably be better placed in the mesoxeric orders of the Koelerio-Corynephoretea and Festuco-Brometea. Other syntaxonomic questions could not be solved with our geographically limited dataset and await a supraregional analysis, e.g. whether the Ukrainian outcrop communities should be assigned to the same alliances as known from Central Europe or rather represent new vicariant units. The analysis of the biodiversity patterns showed that at a grain size of 10 m2, Podolian Koelerio-Corynephoretea communities were overall richer than Festuco-Brometea communities (46.4 vs. 40.6 species). This difference was due to the Koelerio-Corynephoretea containing twice as many bryophytes and nine times more lichens, while vascular plant species richness did not differ significantly between classes. The orders within the classes showed no real differences in species richness. The richness patterns observed in Podolia were almost the opposite of those usually found in dry grasslands, where Brachypodietalia pinnati are richer than Festucetalia valesiacae, and these richer than stands of the Koelerio-Corynpehoretea – and we do not have a good explanation for these idiosyncrasies. In conclusion, Podolian dry grasslands behave quite unexpectedly regarding biodiversity, and their syntaxonomy is still poorly understood. These knowledge gaps can only be addressed with supranational analyses based on comprehensive datasets.
Background: Following acute coronary syndrome (ACS), the risk for future cardiovascular events is high and is related to levels of low-density lipoprotein cholesterol (LDL-C) even within the setting of intensive statin treatment. Proprotein convertase subtilisin/kexin type 9 (PCSK9) regulates LDL receptor expression and circulating levels of LDL-C. Antibodies to PCSK9 can produce substantial and sustained reductions of LDL-C. The ODYSSEY Outcomes trial tests the hypothesis that treatment with alirocumab, a fully human monoclonal antibody to PCSK9, improves cardiovascular outcomes after ACS.
Design: This Phase 3 study will randomize approximately 18,000 patients to receive biweekly injections of alirocumab (75-150 mg) or matching placebo beginning 1 to 12 months after an index hospitalization for acute myocardial infarction or unstable angina. Qualifying patients are treated with atorvastatin 40 or 80 mg daily, rosuvastatin 20 or 40 mg daily, or the maximum tolerated and approved dose of one of these agents and fulfill one of the following criteria: LDL-C ≥ 70 mg/dL, non-high-density lipoprotein cholesterol ≥ 100 mg/dL, or apolipoprotein B ≥ 80 mg/dL. The primary efficacy measure is time to first occurrence of coronary heart disease death, acute myocardial infarction, hospitalization for unstable angina, or ischemic stroke. The trial is expected to continue until 1613 primary end point events have occurred with minimum follow-up of at least 2 years, providing 90% power to detect a 15% hazard reduction. Adverse events of special interest include allergic events and injection site reactions. Interim analyses are planned when approximately 50% and 75% of the targeted number of primary end points have occurred.
Summary: ODYSSEY Outcomes will determine whether the addition of the PCSK9 antibody alirocumab to intensive statin therapy reduces cardiovascular morbidity and mortality after ACS.
Rezension von: Barbara Wolbring: Trümmerfeld der bürgerlichen Welt. Universität in den gesellschaftlichen Reformdiskursen der westlichen Besatzungszonen (1945 –1949). Schriftenreihe der Historischen Kommission bei der Bayerischen Akademie der Wissenschaften, Bd. 87, Göttingen 2014, Verlag Vandenhoeck & Ruprecht, ISBN 978-3-5253-6014-9 488 Seiten, 69,99 Euro.
In this concise volume, author and legal scholar Michael Stolleis provides an overview of the development of the modern German welfare state. Stolleis’ analysis focuses on labor law and social policy, while acknowledging the influence of economic, social, and cultural factors thereon. Origins of the German Welfare State does not emphasize a complete understanding of its subject; rather it seeks to provide insight into the development of German social policy in relation to the political/ historical eras in which it finds itself, leading to a deeper understanding of the foundations of social policy. ...
Das Verhältnis zwischen den Frankfurtern und ihrer Universität ist ein wechselvolles: gestiftet und großzügig unterstützt von Bürgern und Stadtpolitikern, gepflegt in den harten Jahren der Inflation, gleichgeschaltet und wissenschaftlich ausgehungert während des Nationalsozialismus, entfremdet und abgelehnt nach der Studentenrevolte in den 1960er und 1970er Jahren, wiederentdeckt ab den 1980er Jahren, geschätzt und gefördert seit der (Rück-)Verwandlung in eine Stiftungsuniversität (2008).
Wassergefiltertes Infrarot A (wIRA) stellt eine spezielle Form der Infrarotstrahlung im Bereich von 780–1400 nm dar, die aufgrund ihrer sehr guten Verträglichkeit in der Medizin zur Prävention und Therapie verwendet wird.
wIRA steigert Temperatur, Sauerstoffpartialdruck und Durchblutung im Gewebe. wIRA mindert indikationsübergreifend Schmerzen, Entzündung und vermehrte Sekretion und verbessert die Infektabwehr und Regeneration, insbesondere auch nach sportlicher Belastung. Zudem kann wIRA als kontaktfreies Verfahren simultan mit Bewegung und Training kombiniert werden.
Die klinische Anwendung von wIRA kann präventiv, therapeutisch, regenerativ oder rehabilitativ erfolgen.
Der hier vorliegenden Übersicht liegen u.a. 6 sportmedizinische Studien mit wIRA zugrunde.
So nahmen beispielsweise 25 Probanden an einer prospektiven, randomisierten, kontrollierten Studie mit stufenweise ansteigender ausbelastender Fußkurbelergometrie teil, an einem Tag mit anschließender Bestrahlung der ventralen Oberschenkelmuskulatur mit wIRA (bzw. am Kontrolltag stattdessen Pause) in Ruhe über 20 Minuten. Am Tag mit Bestrahlung verbesserte sich das Befinden der belasteten Oberschenkelmuskulatur auf einer visuellen Analogskala (umsetzbar in 0–100) von 36 auf 71 signifikant mehr (p=0,0138) als am Kontrolltag in Ruhe ohne Bestrahlung (von 34 auf 54). Erstaunlicherweise erreichte das Befinden nach 20 Minuten Bestrahlung wieder den Ausgangswert vor der Ergometrie von 70. Nach den 20 Minuten Ruhe (mit Bestrahlung bzw. Pause) folgte eine zweite Ergometrie, in der die Leistungsfähigkeit am Tag mit Bestrahlung signifikant weniger (p=0,0128) als am Kontrolltag absank.
Es werden ausführlich die Anwendungsmöglichkeiten von wIRA in der Sport- und Präventivmedizin dargestellt.
Wassergefiltertes Infrarot A (wIRA) als spezielle Form der Wärmestrahlung mit hohem Eindringvermögen in das Gewebe bei geringer thermischer Oberflächenbelastung fördert die Heilung akuter und chronischer Wunden sowohl über thermische und temperaturabhängige als auch über nichtthermische und temperaturunabhängige Effekte. Wassergefiltertes Infrarot A steigert die Temperatur (+2,7°C in einer Gewebetiefe von 2 cm) und den Sauerstoffpartialdruck im Gewebe (+32% in einer Gewebetiefe von 2 cm) und die Gewebedurchblutung. Diese 3 Faktoren sind entscheidend für eine ausreichende Versorgung des Gewebes mit Energie und Sauerstoff und deshalb auch für Wundheilung und Infektionsabwehr. Wassergefiltertes Infrarot A hilft sowohl bei der normalen als auch bei der gestörten Wundheilung, indem es Entzündungsreaktionen und erhöhte Wundsekretion mindert, Infektionsabwehr und Regeneration fördert und Wundschmerzen lindern helfen kann. Die genannten Effekte wurden in insgesamt 7 prospektiven Studien (davon 6 randomisierten kontrollierten Studien) belegt, die meisten mit einem Evidenzgrad von Ia bzw. Ib. Die hier zusätzlich dargestellten Fallbeispiele komplizierter Wundheilungsverläufe illustrieren die belegten Wirkungen von wIRA. Nicht nur in den hier gezeigten 6 Fällen wendeten die Bestrahlungen mit wIRA komplizierte Wundheilungsverläufe zum Besseren und ermöglichten nach ganz unterschiedlich langen Gesamtdauern der Bestrahlungen (in den 6 Fällen: von 51–550 h) und nach verschieden langen Gesamtdauern der Wundpflege, meist nach Transplantation von Spalthautgittern, die Heilung der Wunden. Bei komplizierten Wundheilungsverläufen ersetzt wIRA nicht den Rat und ggf. auch die Behandlung eines erfahrenen plastischen Chirurgen und eines Chirurgen mit der Spezialisierung in septischer Chirurgie. Mit dieser Einschränkung kann wIRA als wertvolle Ergänzung der Behandlung von akuten und chronischen Wunden empfohlen werden.
A cell-based high-throughput screen that assessed the cellular stability of a tumor suppressor protein PDCD4 (Programmed cell death 4) was used to identify a new guanidine-containing marine alkaloid mirabilin K (3), as well as the known compounds mirabilin G (1) and netamine M (2). The structures of these tricyclic guanidine alkaloids were established from extensive spectroscopic analyses. Compounds 1 and 2 inhibited cellular degradation of PDCD4 with EC50 values of 1.8 μg/mL and 2.8 μg/mL, respectively. Mirabilin G (1) and netamine M (2) are the first marine natural products reported to stabilize PDCD4 under tumor promoting conditions.
In self-organized critical (SOC) systems avalanche size distributions follow power-laws. Power-laws have also been observed for neural activity, and so it has been proposed that SOC underlies brain organization as well. Surprisingly, for spiking activity in vivo, evidence for SOC is still lacking. Therefore, we analyzed highly parallel spike recordings from awake rats and monkeys, anesthetized cats, and also local field potentials from humans. We compared these to spiking activity from two established critical models: the Bak-Tang-Wiesenfeld model, and a stochastic branching model. We found fundamental differences between the neural and the model activity. These differences could be overcome for both models through a combination of three modifications: (1) subsampling, (2) increasing the input to the model (this way eliminating the separation of time scales, which is fundamental to SOC and its avalanche definition), and (3) making the model slightly sub-critical. The match between the neural activity and the modified models held not only for the classical avalanche size distributions and estimated branching parameters, but also for two novel measures (mean avalanche size, and frequency of single spikes), and for the dependence of all these measures on the temporal bin size. Our results suggest that neural activity in vivo shows a mélange of avalanches, and not temporally separated ones, and that their global activity propagation can be approximated by the principle that one spike on average triggers a little less than one spike in the next step. This implies that neural activity does not reflect a SOC state but a slightly sub-critical regime without a separation of time scales. Potential advantages of this regime may be faster information processing, and a safety margin from super-criticality, which has been linked to epilepsy.
he observed hump-shaped life-cycle pattern in individuals' consumption cannot be explained by the classical consumption-savings model. We explicitly solve a model with utility of both consumption and leisure and with educational decisions affecting future wages. We show optimal consumption is hump shaped and determine the peak age. The hump results from consumption and leisure being substitutes and from the implicit price of leisure being decreasing over time; more leisure means less education, which lowers future wages, and the present value of foregone wages decreases with age. Consumption is hump shaped whether the wage is hump shaped or increasing over life.
The scope of this Thesis is to understand the position dependency phenomenon of human visual perception. First, under the ecological assumption, meaning under the assumption that animals adapt to the statistical regularities of their environment, we study the consequences of the imaging on the local statistics of the input to the human visual system. Second, we model efficient representations of these statistics and their contribution to shape the properties of eye sensory neurons. Third, we model efficient representations of the semantic context of images and the correctness of different underneath geometrical assumptions on the statistics of images.
The efficient coding hypothesis posits that sensory systems are adapted to the regularities of their signal input in order to reduce redundancy in the resulting representations. It is therefore important to characterize the regularities of natural signals to gain insight into the processing of natural stimuli. While measurements of statistical regularity in vision have focused on photographic images of natural environments it has been much less investigated, how the specific imaging process embodied by the organism’s eye induces statistical dependencies on the natural input to the visual system. This has allowed using the convenient assumption that natural image data is homogeneous across the visual field. Here we give up on this assumption and show how the imaging process in a human eye model influences the local statistics of the natural input to the visual system across the entire visual field. ...
Local active information storage as a tool to understand distributed neural information processing
(2014)
Every act of information processing can in principle be decomposed into the component operations of information storage, transfer, and modification. Yet, while this is easily done for today's digital computers, the application of these concepts to neural information processing was hampered by the lack of proper mathematical definitions of these operations on information. Recently, definitions were given for the dynamics of these information processing operations on a local scale in space and time in a distributed system, and the specific concept of local active information storage was successfully applied to the analysis and optimization of artificial neural systems. However, no attempt to measure the space-time dynamics of local active information storage in neural data has been made to date. Here we measure local active information storage on a local scale in time and space in voltage sensitive dye imaging data from area 18 of the cat. We show that storage reflects neural properties such as stimulus preferences and surprise upon unexpected stimulus change, and in area 18 reflects the abstract concept of an ongoing stimulus despite the locally random nature of this stimulus. We suggest that LAIS will be a useful quantity to test theories of cortical function, such as predictive coding.
Based on a meta-analysis, Redick and Lindsey (2013) found that complex span and n-back tasks show an average correlation of r = 0.20, and concluded that "complex span and n-back tasks cannot be used interchangeably as working memory measures in research applications" (p. 1102). Here, we comment on this conclusion from a psychometric perspective. In addition to construct variance, performance on a test contains measurement error, task-specific variance, and paradigm-specific variance. Hence, low correlations among dissimilar indicators do not provide strong evidence for the existence, or absence, of a construct common to both indicators. One way to arrive at such evidence is to fit hierarchical latent factors that model task-specific, paradigm-specific, and construct variance. We report analyses for 101 younger and 103 older adults who worked on nine different working memory tasks. The data are consistent with a hierarchical model of working memory, according to which both complex span and n-back tasks are valid indicators of working memory. The working memory factor predicts 71% of the variance in a factor of reasoning among younger adults (83% for among older adults). When the working memory factor was restricted to any possible triplet of working memory tasks, the correlation between working memory and reasoning was inversely related to the average magnitude of the correlations among the indicators, indicating that more highly intercorrelated indicators may provide poorer coverage of the construct space. We stress the need to go beyond specific tasks and paradigms when studying higher-order cognitive constructs, such as working memory.
Background & Aims: Simeprevir is an oral, once-daily inhibitor of hepatitis c virus (HCV) protease NS3/4A. We investigated the safety and efficacy of simeprevir with peg-interferon α-2a and ribavirin (PR) in a randomized, double-blind, placebo-controlled, phase 3 trial of patients with HCV genotype 1 infection who relapsed after previous interferon-based therapy.
Methods: Patients were assigned randomly (2:1) to groups given simeprevir (150 mg, once daily) and PR (n = 260) or placebo and PR (n = 133) for 12 weeks. Patients then were given PR alone for 12 or 36 weeks (simeprevir group, based on response-guided therapy criteria) or 36 weeks (placebo group).
Results: Simeprevir and PR was significantly superior to placebo and PR; rates of sustained virologic response 12 weeks after planned end of treatment (SVR12) were 79.2% vs 36.1%, respectively (43.8% difference; 95% confidence interval, 34.6–53.0; P < .001). Among patients given simeprevir, 92.7% met the response-guided therapy criteria and were eligible to complete PR at week 24; of these, 83.0% achieved SVR12. HCV RNA was undetectable at week 4 in 77.2% of patients given simeprevir and 3.1% given placebo. On-treatment failure and relapse rates were lower among patients given simeprevir and PR than those given placebo and PR (3.1% vs 27.1%, and 18.5% vs 48.4%, respectively). Patients given simeprevir did not have adverse events beyond those that occurred in patients given PR alone. Most adverse events were grades 1/2; the prevalence of anemia and rash was similar in both groups. Patients in both groups reported similar severity of fatigue and functional impairments during the study, but duration was reduced among patients given simeprevir.
Conclusions: In a phase 3 trial of patients who had relapsed after interferon-based therapy, the addition of simeprevir to PR was generally well tolerated, with an SVR12 rate of 79.2%. Most patients (92.7%) receiving simeprevir were able to shorten therapy to 24 weeks. ClinicalTrials.gov number: NCT01281839.
Ziel dieser Arbeit war es erstmals durch eine Kombination aus chemischer Mutagenese und gezielter genetischer Modifikation (hier: „metabolic engineering“) einen Phaffia-Stamm herzustellen, welcher über die Mutagenese hinaus über eine weiter verstärkte Astaxanthin-Synthese verfügt.
Die von „DSM Nutritional Products“ bereitgestellten chemischen Mutanten wurden analysiert und über einen Selektionsprozess auf Pigmentstabilität und Wachstum hin optimiert, da die Stämme aus cryogenisierter Dauerkultur starke Pigmentinstabilitäten und ein verzögertes Wachstum aufwiesen.
Über eine exploratorische Phase wurde die Carotinoidsynthese analysiert und festgestellt, dass in den Mutanten keine Einzelreaktionen betroffen sind, welche für die Heraufregulierung der Carotinoidsynthese in den Mutanten verantwortlich sind. Hierbei wurden Limitierungen identifiziert und diese durch Transformation von Expressionsplasmiden mit geeigneten Genen aufgehoben, um damit eine noch effizientere Metabolisierung von Astaxanthin-Vorstufen hin zu Astaxanthin zu erreichen. Eine Überexpression der Phytoensynthase/Lycopinzyklase crtYB resultierte in einem gesteigerten Carotinoidgehalt bei gleichbleibendem Astaxanthin- Anteil. Durch eine zweite Transformation mit einer Expressionskassette für die Astaxanthin-Synthase asy konnte der Carotinoidgehalt weiter gesteigert und zusätzlich eine Limitierung der Metabolisierung von Astaxanthin-Vorstufen behoben werden, sodass die Transformante nahezu alle Intermediate der Astaxanthinsynthese zu Astaxanthin metabolisieren konnte (Gassel et al. 2013). Es konnte gezeigt werden, dass auch in den Mutanten, aus Experimenten mit dem Wildtyp bekannte, Limitierungen identifiziert und ausgeglichen werden konnten.
The success of invasive species has been explained by two contrasting but non-exclusive views: (i) intrinsic factors make some species inherently good invaders; (ii) species become invasive as a result of extrinsic ecological and genetic influences such as release from natural enemies, hybridization or other novel ecological and evolutionary interactions. These viewpoints are rarely distinguished but hinge on distinct mechanisms leading to different management scenarios. To improve tests of these hypotheses of invasion success we introduce a simple mathematical framework to quantify the invasiveness of species along two axes: (i) interspecific differences in performance among native and introduced species within a region, and (ii) intraspecific differences between populations of a species in its native and introduced ranges. Applying these equations to a sample dataset of occurrences of 1,416 plant species across Europe, Argentina, and South Africa, we found that many species are common in their native range but become rare following introduction; only a few introduced species become more common. Biogeographical factors limiting spread (e.g. biotic resistance, time of invasion) therefore appear more common than those promoting invasion (e.g. enemy release). Invasiveness, as measured by occurrence data, is better explained by inter-specific variation in invasion potential than biogeographical changes in performance. We discuss how applying these comparisons to more detailed performance data would improve hypothesis testing in invasion biology and potentially lead to more efficient management strategies.
Understanding major causes of biodiversity and range dynamics requires research on evolutionary processes under consideration of environmental changes. In my thesis, I investigated the spatio-temporal evolution of the Neotropical tree genus Cedrela from the Meliaceae family by studying its genetic diversity, taxonomy, colonization history, climatic niche changes and dynamics of species distributions. My results show that climatic and geological changes are major drivers of biological diversification in Cedrela.
Background: In this study, we examined patients who had non-progressive disease for at least 2 years after diagnosis of inoperable locoregional recurrent or metastatic breast cancer under continuous trastuzumab treatment. Our primary goal was to assess the long-term outcome of patients with durable response to trastuzumab.
Methods: 268 patients with HER2-positive inoperable locally recurrent or metastatic breast cancer and non-progressive disease for at least 2 years under trastuzumab treatment were documented retrospectively or prospectively in the HER-OS registry, an online documentation tool, between December 2006 and September 2010 by 71 German oncology centers. The study end point was time to tumor progression.
Results: Overall, 47.1% of patients (95% confidence interval (CI): 39.9–54.1%) remained in remission for more than 5 years, while the median time to progression was 4.5 years (95% CI: 4.0–6.6 years). Lower age (<50 years) and good performance status (ECOG 0) at time of trastuzumab treatment initiation as well as complete remission after initial trastuzumab treatment were associated with longer time to progression. Interruption of trastuzumab therapy correlated with shorter time to progression.
Conclusions: HER2-positive patients, who initially respond to palliative treatment with trastuzumab, can achieve a long-term tumor remission of several years.
Die Hessische Schülerakademie 2014 stand ganz im Zeichen ihres 10jährigen Bestehens. Seit Gründung der Oberstufenakademie im Jahre 2004 durch Cynthia Hog-Angeloni und Wolfgang Metzler hat sich die "HSAKA" selbstverständlich verändert; das ist bei einem so ambitionierten Projekt auch gar nicht anders denkbar. Die Hessische Schülerakademie hat sich behauptet, indem sie immer wieder neue Impulse aufgenommen und sich beständig um Verbesserung bemüht hat – und sie ist gewachsen.
Multimorbidity is a health issue mostly dealt with in primary care practice. As a result of their generalist and patient-centered approach, long-lasting relationships with patients, and responsibility for continuity and coordination of care, family physicians are particularly well placed to manage patients with multimorbidity. However, conflicts arising from the application of multiple disease oriented guidelines and the burden of diseases and treatments often make consultations challenging. To provide orientation in decision making in multimorbidity during primary care consultations, we developed guiding principles and named them after the Greek mythological figure Ariadne. For this purpose, we convened a two-day expert workshop accompanied by an international symposium in October 2012 in Frankfurt, Germany. Against the background of the current state of knowledge presented and discussed at the symposium, 19 experts from North America, Europe, and Australia identified the key issues of concern in the management of multimorbidity in primary care in panel and small group sessions and agreed upon making use of formal and informal consensus methods. The proposed preliminary principles were refined during a multistage feedback process and discussed using a case example. The sharing of realistic treatment goals by physicians and patients is at the core of the Ariadne principles. These result from i) a thorough interaction assessment of the patient’s conditions, treatments, constitution, and context; ii) the prioritization of health problems that take into account the patient's preferences – his or her most and least desired outcomes; and iii) individualized management realizes the best options of care in diagnostics, treatment, and prevention to achieve the goals. Goal attainment is followed-up in accordance with a re-assessment in planned visits. The occurrence of new or changed conditions, such as an increase in severity, or a changed context may trigger the (re-)start of the process. Further work is needed on the implementation of the formulated principles, but they were recognized and appreciated as important by family physicians and primary care researchers.
Many QCD based and phenomenological models predict changes of hadron properties in a strongly interacting environment. The results of these models differ significantly and the experimental determination of hadron properties in nuclear matter is essential. In this paper we present a review of selected physics results obtained at GSI Helmholtzzentrum für Schwerionenforschung GmbH by HADES (High-Acceptance Di-Electron Spectrometer). The e+e− pair emission measured for proton and heavy-ion induced collisions is reported together with results on strangeness production. The future HADES activities at the planned FAIR facility are also discussed.
The High Acceptance DiElectron Spectrometer HADES [1] is installed at the Helmholtzzentrum für Schwerionenforschung (GSI) accelerator facility in Darmstadt. It investigates dielectron emission and strangeness production in the 1-3 AGeV regime. A recent experiment series focusses on medium-modifications of light vector mesons in cold nuclear matter. In two runs, p+p and p+Nb reactions were investigated at 3.5 GeV beam energy; about 9·109 events have been registered. In contrast to other experiments the high acceptance of the HADES allows for a detailed analysis of electron pairs with low momenta relative to nuclear matter, where modifications of the spectral functions of vector mesons are predicted to be most prominent. Comparing these low momentum electron pairs to the reference measurement in the elementary p+p reaction, we find in fact a strong modification of the spectral distribution in the whole vector meson region.
Background: Hypoxia-inducible factor-1α (HIF-1α) and NF-κB play important roles in the inflammatory response after hemorrhagic shock and resuscitation (H/R). Here, the role of myeloid HIF-1α in liver hypoxia, injury, and inflammation after H/R with special regard to NF-κB activation was studied.
Methods: Mice with a conditional HIF-1α knockout (KO) in myeloid cell-line and wild-type (WT) controls were hemorrhaged for 90 min ( mm Hg) and resuscitated. Controls underwent only surgical procedures.
Results: After six hours, H/R enhanced the expression of HIF-1α-induced genes vascular endothelial growth factor (VEGF) and adrenomedullin (ADM). In KO mice, this was not observed. H/R-induced liver injury in HIF-1α KO was comparable to WT. Elevated plasma interleukin-6 (IL-6) levels after H/R were not reduced by HIF-1α KO. Local hepatic hypoxia was not significantly reduced in HIF-1α KO compared to controls after H/R. H/R-induced NF-κB phosphorylation in liver did not significantly differ between WT and KO.
Conclusions: Here, deleting HIF-1α in myeloid cells and thereby in Kupffer cells was not protective after H/R. This data indicates that other factors, such as NF-κB, due to its upregulated phosphorylation in WT and KO mice, contrary to HIF-1α, are rather key modulators of inflammation after H/R in our model.
Mechanisms behind how the immune system signals to the brain in response to systemic inflammation are not fully understood. Transgenic mice expressing Cre recombinase specifically in the hematopoietic lineage in a Cre reporter background display recombination and marker gene expression in Purkinje neurons. Here we show that reportergene expression in neurons is caused by intercellular transfer of functional Cre recombinase messenger RNA from immune cells into neurons in the absence of cell fusion. In vitro purified secreted extracellular vesicles (EVs) from blood cells contain Cre mRNA, which induces recombination in neurons when injected into the brain. Although Cre-mediated recombination events in the brain occur very rarely in healthy animals, their number increases considerably in different injury models, particularly under inflammatory conditions, and extend beyond Purkinje neurons to other neuronal populations in cortex, hippocampus, and substantia nigra. Recombined Purkinje neurons differ in their miRNA profile from their nonrecombined counterparts, indicating physiological significance. These observations reveal the existence of a previously unrecognized mechanism to communicate RNA-based signals between the hematopoietic system and various organs, including the brain, in response to inflammation.
Talking about emotion and sharing emotional experiences is a key component of human interaction. Specifically, individuals often consider the reactions of other people when evaluating the meaning and impact of an emotional stimulus. It has not yet been investigated, however, how emotional arousal ratings and physiological responses elicited by affective stimuli are influenced by the rating of an interaction partner. In the present study, pairs of participants were asked to rate and communicate the degree of their emotional arousal while viewing affective pictures. Strikingly, participants adjusted their arousal ratings to match up with their interaction partner. In anticipation of the affective picture, the interaction partner’s arousal ratings correlated positively with activity in anterior insula and prefrontal cortex. During picture presentation, social influence was reflected in the ventral striatum, that is, activity in the ventral striatum correlated negatively with the interaction partner’s ratings. Results of the study show that emotional alignment through the influence of another person’s communicated experience has to be considered as a complex phenomenon integrating different components including emotion anticipation and conformity.
9.01 This chapter outlines the development of Contingent Convertible Securities (CoCos) for financial institutions from their theoretical origins to their current form under the European Union’s Fourth Capital Requirements Directive framework and its Bank Recovery and Resolution Directive and examines the effect the framework and the directive have had on their design and ability to fulfill the ends for which they were initially conceived. It examines this from two viewpoints: the policy goals CoCos are meant to achieve and the corporate law issues raised by the requirements of CRD IV. On the policy side we conclude that CRD IV and the RRD have significantly limited the amount of CoCos a financial institution is likely to issue, but expanded their possible forms by including write-down as well as convertible structures and narrowed the differences between them and pure regulatory bail-in structures, thus calling into question whether they are truly ‘going concern’ rather than ‘gone concern’ capital. On the company law side we conclude that a number of issues, in particular the limits on an authorization of management to issue CoCos and shares, the scope of the shareholders’ right of pre-emption, the concept of dilution and the distinction between contributions in cash and in kind merit closer attention than they appear to have received in the current discussion on CoCos.
Die „Rente mit 63“ hat wieder einmal den Blick auf den Renteneintritt gerichtet. In der öffentlichen Debatte werden dabei zwei Ereignisse regelmäßig vermischt: das Ende des Arbeitslebens und der Beginn der Rentenzahlung. Dabei müssen beide nicht unmittelbar aufeinander folgen. Unter bestimmten Umständen kann es finanziell attraktiv sein, die staatliche Rente nicht sofort nach dem Ausstieg aus dem Erwerbsleben zu beantragen, sondern die Ausgaben bis zum späteren Rentenbeginn durch den Abbau von Finanzkapital zu finanzieren. Dieser Beitrag gibt einen kurzen Einblick in die neueste Studie von Olivia Mitchell, Andreas Hubener und Raimund Maurer zur Alterssicherung in den USA und stellt auch Berechnungen für Deutschland auf.
Social Security rules that determine retirement, spousal, and survivor benefits, along with benefit adjustments according to the age at which these are claimed, open up a complex set of financial options for household decisions. These rules influence optimal household asset allocation, insurance, and work decisions, subject to life cycle demographic shocks, such as marriage, divorce, and children. Our model-based research generates a wealth profile and a low and stable equity fraction consistent with empirical evidence. We confirm predictions that wives will claim retirement benefits earlier than husbands, while life insurance is mainly purchased by younger men. Our policy simulations imply that eliminating survivor benefits would sharply reduce claiming differences by sex while dramatically increasing men’s life insurance purchases.
Background: In Germany, about 20% of the total population have a migration background. Differences exist between migrants and non-migrants in terms of health care access and utilisation. Colorectal cancer is the second most common malignant tumour in Germany, and incidence, staging and survival chances depend, amongst other things, on ethnicity and lifestyle. The current study investigates whether stage at diagnosis differs between migrants and non-migrants with colorectal cancer in an area of high migration and attempts to identify factors that can explain any differences.
Methods/Design: Data on tumour and migration status will be collected for 1,200 consecutive patients that have received a new, histologically verified diagnosis of colorectal cancer in a high migration area in Germany in the previous three months. The recruitment process is expected to take 16 months and will include gastroenterological private practices and certified centres for intestinal diseases. Descriptive and analytical analysis will be performed: the distribution of variables for migrants versus non-migrants and participants versus non-participants will be analysed using appropriate χ2-, t-, F- or Wilcoxon tests. Multivariable, logistic regression models will be performed, with the dependent variable being the dichotomized stage of the tumour (UICC stage I versus more advanced than UICC stage I). Odds ratios and associated 95%-confidence intervals will be calculated. Furthermore, ordered logistic regression models will be estimated, with the exact stage of the tumour at diagnosis as the dependent variable. Predictors used in the ordered logistic regression will be patient characteristics that are specific to migrants as well as patient characteristics that are not. Interaction models will be estimated in order to investigate whether the effects of patient characteristics on stage of tumour at the time of the initial diagnosis is different in migrants, compared to non-migrants.
Discussion: An association of migration status or other socioeconomic variables with stage at diagnosis of colorectal cancer would be an important finding with respect to equal health care access among migrants. It would point to access barriers or different symptom appraisal and, in the long term, could contribute to the development of new health care concepts for migrants.
Trial registration: German Clinical Trials Register DRKS00005056.
Die vorliegende Dissertation hatte das Ziel molekulare Mechanismen der Präeklampsieerkrankung aufzuklären. Bei PE handelt es sich um eine schwangerschaftsassoziierte Krankheit, die in 3 bis 5 % aller Schwangerschaften auftritt und eine der Hauptursachen für maternale und fetale Mortalität und Morbidität ist. Zudem haben PE-Patientinnen und ihre Kinder im späteren Leben ein erhöhtes Risiko für die Ausbildung kardiovaskulärer und hypertensiver Erkrankungen. Trotz langer und intensiver Forschung konnte die komplexe Pathogenese von PE noch nicht aufgeklärt werden. Im Rahmen der Promotion sollten neue Gene in der präeklamptischen Plazenta identifiziert und ihre Funktionen im Pathogeneseprozess der Krankheit untersucht werden. Dabei war es wichtig die Zusammenhänge der gestörten Prozesse zu verstehen um Mutter und Kind vor schwerwiegenden und langfristigen Folgeerscheinungen von PE zu schützen.
Mit dem durchgeführten Gen-Array konnte gezeigt werden, dass bei PE die Expression einiger Gene der Angiogenese-, der Invasions- sowie der Migrationsregulation verändert waren. Zudem konnten anhand von Deregulationen bei der SURVIVIN und BCL6 Expression zwei weitere Gene identifiziert werden, deren Funktionen in der präeklamptischen Plazenta bislang unbekannt waren.
Bei PE kam es im Vergleich zur gesunden Kontrolle zu einer verringerten Genexpression von SURVIVIN. Eine Veränderung des Proteinlevels konnte jedoch nicht festgestellt werden. Die Analyse der Survivin Funktionen zeigte, dass die Zellen der präeklamptischen Plazenta, die konstantem zellulärem Stress ausgesetzt sind, versuchen durch Aktivierung aller Überlebensmechanismen, wie einer Stabilisierung des anti-apoptotischen Proteins Survivin, ihr Überleben zu sichern und somit die Funktionalität des ganzen Organs zu gewährleisten. Als multifunktionelles Protein ist Survivin bislang vor allem als Apoptose-Inhibitor sowie als Partner des CPC mit Funktionen bei der Zellteilung bekannt. Die Untersuchungen ergaben, dass Survivin auch in Trophoblastenzellen für den einwandfreien Ablauf der Mitose verantwortlich ist, da es bei einer Depletion zu einem G2/M Arrest der Zellen sowie einer erhöhten Rate an Centrosomen Abberationen und congression Fehlern kam. Die vorliegende Arbeit zeigt zum ersten Mal, dass die Stabilisierung von Survivin bei Präeklampsie der Kompensation der gestörten Trophoblastenfunktionen dient indem die vermehrte Apoptose der Zellen verhindert und die Proliferation der Trophoblasten präzise gesteuert wird.
Im Rahmen der Dissertation wurden zudem die Funktionen von BCL6 bei Präeklampsie untersucht. BCL6 ist vorrangig durch seine Rolle bei der B-Zell Reifung und der T-Zell Regulation sowie als Onkogen bei B-Zell Lymphomen und auch bei Mammakarzinomen bekannt. Es konnte gezeigt werden, dass sowohl die Gen-, wie auch Proteinexpression von BCL6 in der präeklamptischen Plazenta erhöht sind. Bei einer Depletion von BCL6 kam es zu verminderter Proliferation der Trophoblasten mit G2/M Arrest und vermehrter Apoptose sowie reduzierter Invasions- und Migrationsfähigkeit. Eine erhöhte BCL6 Expression führte zu einer verminderten Expression der Fusionsregulatoren Syncytin 2, β-hCG und GCM1, woraus eine gestörte, reduzierte Fusionsfähigkeit der Trophoblasten resultierte. Dies bedeutet, dass die Expression von BCL6 präzise reguliert werden muss um die Trophoblasten zu Beginn der Schwangerschaft vor Apoptose und Zellzyklusarrest zu schützen und somit die Invasion und Plazentation zu ermöglichen. Kommt es im weiteren Verlauf zu einer Deregulation mit erhöhter BCL6 Expression, so resultiert daraus eine verminderte Trophoblastenfusion und Präeklampsie.
Zusammenfassend belegt die Arbeit, dass mit Survivin und BCL6 zwei weitere Regulatoren der PE-Pathogenese identifiziert und charakterisiert wurden. Im Rahmen der Promotion konnten die Funktionen bei der Regulation von Zellzyklus, Apoptose sowie Trophoblastenfusion und –invasion dargestellt werden. Weitere Untersuchungen sind jedoch notwendig um die Rolle von Survivin und BCL6 im ersten Schwangerschaftstrimester aufzuklären. Aufgrund ihrer wichtigen Rolle bei PE stellen Survivin und BCL6 neue Möglichkeiten zur Entwicklung von Therapieansätzen sowie zur Identifizierung prognostischer Marker für die Präeklampsieerkrankung dar.
Cancer is a disease characterized by uncontrolled cell growth and the capacity to disseminate to distant organs. The properties of cancers are caused by genetic and epigenetic alterations when compared to their normal counterparts. Genetic mutations occur in oncogenes and tumor suppressor genes and are the initial drivers of cellular transformation (Lengauer et al., 1998; Vogelstein and Kinzler, 2004). In addition, epigenetic alterations, which influence the expression of oncogenes and tumor suppressor genes independently from sequence alterations, are also involved in the transformation process (Esteller and Herman, 2001; Sharma et al., 2010). Genetic alterations and epigenetic regulatory signals cooperate in tumor etiology. Glioblastoma multiforme (GBM) is a frequent and aggressive malignant brain tumor in humans. The median survival of GBM patients is about 15 months after diagnosis. Like in other cancers, genetic and epigenetic alterations can be detected in GBM. Genetic alterations in GBM affect cell growth, apoptosis, angiogenesis, and invasion; however, epigenetic alterations in GBM also affect the expression of oncogenes or tumor suppresser genes that increase tumor malignancy (Nagarajan and Costello, 2009).
Reprogramming is a cellular process in which somatic cells can be induced to assume the properties of less differentiated stem cells. This process can be mediated through epigenetic modifications of the genome of somatic cells by the action of four defined transcription factors (Oct4, Sox2, Klf4 and Myc) or by the action of the miR 302/367 cluster (Anokye-Danso et al., 2011; Takahashi and Yamanaka, 2006; Takahashi et al., 2007) and result in the generation of induced pluripotent stem cells (iPS cells). Reprogramming of somatic cells by the miR 302/367 cluster can generate nontumorigenic iPS cells through the inhibition of the epithelial to mesenchymal transition (EMT), cell cycle regulatory genes and epigenetic modifiers (Lin and Ying, 2013).
Immunotherapy of cancer utilizes dendritic cells (DCs) for antigen presentation and the induction of tumor-specific immune responses. However, the therapeutic induction of anti-tumor immunity is limited by tumor escape mechanisms. In this study, immortalized dendritic D2SC/1 cells were transduced with a mutated version of the p53 tumor suppressor gene, p53M234I, or p53C132F/E168G, which are overexpressed in MethA fibrosarcoma tumor cells. In addition, D2SC/1 cells were fused with MethA tumor cells to generate a vaccine that potentially expresses a large repertoire of tumor-antigens. Cellular vaccines were transplanted onto Balb/c mice and MethA tumor growth and anti-tumor immune responses were examined in vaccinated animals. D2SC/1-p53M234I and D2SC/1-p53C132F/E168G cells induced strong therapeutic and protective MethA tumor immunity upon transplantation in Balb/c mice. However, in a fraction of immunized mice MethA tumor growth resumed after an extended latency period. Analysis of these tumors indicated loss of p53 expression. Mice, pre-treated with fusion hybrids generated from D2SC/1 and MethA tumor cells, suppressed MethA tumor growth and averted adaptive immune escape. Polyclonal B-cell responses directed against various MethA tumor proteins could be detected in the sera of D2SC/1-MethA inoculated mice. Athymic nude mice and Balb/c mice depleted of CD4(+) or CD8(+) T-cells were not protected against MethA tumor cell growth after immunization with D2SC/1-MethA hybrids. Our results highlight a potential drawback of cancer immunotherapy by demonstrating that the induction of a specific anti-tumor response favors the acquisition of tumor phenotypes promoting immune evasion. In contrast, the application of DC/tumor cell fusion hybrids prevents adaptive immune escape by a T-cell dependent mechanism and provides a simple strategy for personalized anti-cancer treatment without the need of selectively priming the host immune system.
Background: HER2 status assessment is a prerequisite for the establishment of an appropriate treatment strategy in gastric cancer. Gastric cancers are very heterogeneous and separate evaluations of gene amplification and protein expression lead to uncertainties in localizing distinct clones and are time consuming. This study evaluates the equivalence of the novel method combining both gene and protein platforms on one slide.
Methods: Immunohistochemistry (IHC) and HER2 dual-colour silver in situ hybridization (SISH) as single methods (IHC/SISH) and gene-protein platform combining both methods on one slide (gene/protein) were performed in randomly collected 100 cases of gastric adenocarcinoma. Results of IHC/SISH were compared with gene/protein staining.
Results: 96 of 100 samples were assessable. In the gene/protein staining, pathologists were able to assess gene amplification and consequent protein expression at the single cell level. In comparison trials, gene amplification was observed in 14.6% by both, conventional SISH and gene/protein platform (agreement 100%; Kappa-coefficient κ = 1.0). Protein expression scores by IHC were 70.8% (0), 10.4% (1+), 9.4% (2+), and 9.4% (3+). Protein expression by gene/protein method were: 70.8% (0), 11.5% (1+), 7.3% (2+) and 10.4% (3+) of patients. There were complete concordances in IHC assessment of cases with score 0 (100.0%; κ = 1). High concordances are shown in score 1+ (98.96%; κ = 0.947) and 3+ (96.88%; κ = 0.825) cases and good concordances in 2+ cases (95.83%; κ = 0.728).
Conclusions: This novel combined platform has the advantage of being able to evaluate both gene and the protein status in the same cancer cell and may be of particular interest for research and patient's care.
Die Suche nach neuen Zielmolekülen und Wirkstoffen für die Schmerztherapie ist eine unerlässliche Aufgabe, um Nebenwirkungen heutiger auf dem Markt befindlicher Schmerzmedikamente entgegenzuwirken. Ein vielversprechendes Ziel - als Alternative zu cyclooxigenasehemmenden Medikamenten (tNSDAIDs und Coxibe) - ist die mikrosomale Prostaglandin E-Synthase 1 (mPGES-1). In dieser Arbeit wurden zwei Substanzklassen rund um die Benzensulfonamid-Leitstruktur FR4 und die Quinazolinon-Leitstruktur FR20 aufgebaut. Die Benzensulfonamidklasse enthält 32 Derivate, die Klasse der Quinazolinone 24 Derivate. Beide Strukturklassen konnten durch chemische Modulation an verschiedenen Resten erweitert werden. Durch strukturelle Variationen konnte die Aktivität der FR4-Klasse von initial 14 µM auf 0,8 µM (FR4-Dev28) optimiert werden. In der FR20-Klasse konnten zahlreiche equipotente Derivate gefunden werden. Beide Klassen zeigten eine niedrige Toxizität (ab etwa 100 µM) und konnten auch auf zellulärer Ebene den PGE2-Level konzentrationsabhängig reduzieren. In humanen Vollblutversuchen wurde die Kreuzreaktivität dieser Substanzen auf andere Eicosanoide untersucht. Beide Klassen konnten auch hier den PGE2-Level reduzieren. Ein Prostanoidshunting in Folge der mPGES 1-Hemmung konnte dabei nicht festgestellt werden. Darüber hinaus wurde eine dualinhibitorische Funktion der Benzensulfonamide beobachtet. Neben der mPGES-1 wurde auch das 5LOX-vermittelte LTB2-Level reduziert. Dieser Effekt trat bei den Quinazolinonen nicht auf. Neben der humanen mPGES-1 wurde auch der Einfluss auf das murine Enzym untersucht. Dabei wurde festgestellt, dass die Hemmung von der Wahl der Klasse abhängt: Benzensulfonamide hemmen die murine mPGES-1, Quinazolinone nicht. Damit konnte erstmals eine Strukturklasse mit dualinhibitorischer (mPGES-1/5LOX) und speziesübergreifender Hemmung (human/murin) beschrieben werden. Untersuchungen an erstellten Homologie-Modellen der humanen und murinen mPGES-1 zeigten Unterschiede der Bindetaschen der beiden Spezies. PLIF-Analysen der beiden Strukturklassen deckten verschiedene Bindungsmuster auf. In vivo-Pharmakologische Untersuchungen von FR4-Dev6 zeigten eine sehr schnelle Resorption ins Blut (tMax = 10 min) sowohl nach intraperitonealer als auch nach oraler Applikation, gefolgt von einer raschen Verteilung in zahlreiche Organe. Hohe Konzentrationen wurden im Gastrointestinaltrakt und der Niere gemessen, beides Organe, in denen PGE2 eine physiologische Funktion ausübt. Die Konzentration fiel bereits nach 30 min in allen Organen wieder stark ab, ein basaler Level war aber noch nach sechs Stunden mit der eigens entwickelten LC-MS/MS-Methode detektierbar. Eine antiinflammatorische Wirkung in einem Zymosan-induzierten Entzündungsmodell konnte nicht bestätigt werden, da die gewählte Formulierung bereits den PGE2-Level stark reduzierte. Eine starke Akkumulation von FR4-Dev6 konnte aber im Pfotenödem gemessen werden. Die umfassende Charakterisierung der vorgestellten Substanzklassen hat neben grundlegenden Struktur-Aktivitätsbeziehungen neue Einsichten in die Wirkungsweise von mPGES-1-Inhibitoren geliefert. Diese Ergebnisse können in Zukunft für weitere Entwicklungen von neuartigen, verträglicheren Analgetika, Antiphlogistika und Antipyretika mit dem Zielmolekül mPGES-1 genutzt werden.
Ein im Jahr 2012 in Bayern verabschiedetes Naturwaldreservats-Forschungskonzept weist 26 der insgesamt 159 Reservate als Schwerpunktreservate für die künftige Dauerbeobachtung aus. 2013 wurden in vier der 26 Schwerpunktreservate erste Dauerbeobachtungsflächen eingerichtet. Alle Probeflächen liegen innerhalb von 1 ha großen Repräsentationsflächen der Schwerpunktreservate und umfassen jeweils 6 Probekreise mit einem Radius von 10 m (314 m2). Der Kreismittelpunkt wurde fest vermarkt; auf jedem der Probekreise wurde eine pflanzensoziologische Aufnahme nach Braun-Blanquet (1964) angefertigt.
Das Konzept des geplanten Langzeit-Monitorings der Waldbestände wird vorgestellt, Auswertungswege werden skizziert und an Hand der ersten in 2013 erhobenen Daten erläutert. Da die erhobenen Daten räumlich stark autokorreliert sind, wurden sie in einen für die Waldfläche Bayerns repräsentativen Referenzdatensatz eingehängt. Dieser besteht aus von Ewald (2009) für die pnV-Einstufung an 313 Probepunkten der nationalen Bodenzustandserhebung (BZE II) im 8 x 8 km Grundraster definierten Partneraufnahmen in den jeweils nächstgelegenen Naturwaldreservaten. Mittels Entzerrter Korrespondenzanalyse (DCA) wurden Aufnahme-Verteilungsmuster ermittelt. Der Referenzdatensatz ermöglichte eine objektive Waldgesellschafts-Zuordnung jeder Vegetationsaufnahme, indem die größte floristische Übereinstimmung zu einer Referenzaufnahme errechnet wurde. Die weitere Charakterisierung erfolgte anschließend über pflanzensoziologische Tabellenarbeit.
Die in je zwei Naturwaldreservaten im Hügelland Nord- und Südbayerns neu erhobenen Daten beinhalten Buchenwälder auf Kalk (Hordelymo-Fagetum) und Silikatstandorten (Galio- und Luzulo-Fagetum), Hangmischwälder (Adoxo-Aceretum) und Auwälder (Pruno-Fraxinetum, Querco-Ulmetum). Der vorherrschende Nährstoff- und Basengradient entspricht dem floristischen Hauptgefälle im gesamtbayerischen Referenzdatensatz. Ebenso wurde ein Gefälle von Wärmezeigern auf der 2. Achse in beiden Datensätzen (Referenzdatensatz und neu erhobene Daten) abgebildet. Im Falle der neu erhobenen Daten erscheint das Temperaturgefälle allerdings als Pseudo-Effekt, der durch Nadelholzanbau (mit-)verursacht ist. Die Möglichkeiten der Datenauswertung werden in den nächsten zwei Jahrzehnten sukzessive ansteigen. In dem bis 2022 vollständig erstinventarisierten Gesamtset der 26 Schwerpunkt-reservate wird künftig die Beobachtung der Dynamik innerhalb der Buchenwälder ebenso möglich sein wie im Randbereich sowie jenseits der Höhen-, Trocken- oder Nässegrenze der Buche.
Herbaceous ground vegetation is an important pool of biomass and nutrients, which is also used as the major forage source for wild ungulates. Up to now no standard methods exist to estimate herbaceous biomass on a landscape level for temperate forests, which are characterised by deciduous trees with closed canopies. Quantity and quality of the herbaceous forage accessible to herbivores can be estimated from estimated cover in vegetation plot data and information on biomass and element concentrations in plant species. Vegetation was sampled stratified by community types and forest developmental phases in Bavarian Forst National Park, Germany. We adopted the PhytoCalc model to estimate biomass and bioelement stocks from vegetation plot data and adjusted species assignments and absolute levels of biomass to the conditions in the national park. We categorised attractiveness of plant species as forage for red deer (Cervus elaphus) and roe deer (Capreolus capreolus). Multiple controls of total biomass and of plant groups (graminoids, ferns, herbs, Vaccinium, Rubus) were studied by stepwise regression against stand and environmental predictors. Herbaceous mass had a highly skewed distribution in the park, with 75% of plots having less than 231 g*m-2 of biomass or 24 g*m-2 of raw protein. Contributions of plant groups were site-dependent and variable, but decreased in the order Vaccinium-graminoids-Rubus-herbs-ferns. Biomass appeared to be controlled by deciduous tree cover, by total cover of canopy and coarse woody debris and by site quality, with nutrient-poor, high elevation sites having higher herb biomass. As a consequence, montane beech forests offered less forage mass than coniferous communities of high elevations and mires. Stand disturbances by bark beetles and the corresponding forest developmental phases had no systematic effects on total biomass.
In den Bergwäldern der Bayerischen Alpen sind Standorte mit geringer Nachlieferung von N, P und K, z. T. auch von Mg und Ca weit verbreitet. Um diese gegenüber Biomassenutzung empfindlichen Standorte im Gelände zu erkennen, können Pflanzenarten der Bodenvegetation als Indikatoren genutzt werden. Ziel unserer Arbeit war es, anhand einer umfangreichen Vegetations- und Bodendatenbank Indikatorarten für nährstoffarme Waldstandorte in den Bayerischen Alpen zu ermitteln. Mit Hilfe einer Indikatorartenanalyse wurden insgesamt 745 verschiedene Gefäßpflanzenarten und die Torfmoose (auf Gattungsebene zusammengefasst) auf ihre Eignung als Indikatorarten überprüft. Dazu wurden insgesamt 1.496 durch Vegetationsaufnahmen und Bodenprofilansprachen gekennzeichnete Waldstandorte hinsichtlich ihrer Nährstoffversorgung eingestuft und ausgewertet. Potentilla erecta, Vaccinium vitis-idaea, Homogyne alpina und Huperzia selago wurden als allgemeine Indikatorarten für nährstoffarme Standorte ermittelt. Vorkommen von Vaccinium myrtillus (Deckung ≥ 5 %) sowie Vorkommen von Juncus effusus, Luzula sylvatica und Luzula pilosa weisen auf nährstoffarme, tiefgründig versauerte Mineralböden mit Auflagehumus hin, während Calamagrostis varia, Sesleria albicans, Melampyrum sylvaticum, Aster bellidiastrum und Anthoxanthum odoratum eng an nährstoffarme kalkreiche Standorte gebunden sind. Die dargestellten Indikatorarten wurden speziell für die nährstoffarmen Waldstandorte der Bayerischen Alpen zusammengestellt. Sie ermöglichen ohne viel Sach- und Zeitaufwand im Gelände eine Ansprache von nährstoffarmen Waldstandorten, deren Nährstoffangebot aus Standortskarten nur grob eingeschätzt werden kann.
Der Eintrag starker anorganischer Säuren in Wälder führte zu tiefen pH-Werten und hohen Al3+-Konzentrationen im Boden. Dem versuchte man in Deutschland seit den 1980er Jahren durch Kalkung unter Verwendung dolomitischer Kalke zu begegnen. In den ersten Jahren nach Kalkung werden organische Auflagen abgebaut und die darin enthaltenen Nährstoffe, v. a. Stickstoff (N), mobilisiert und teils im humosen Oberboden gespeichert, teils aufgenommen, teils ins Grundwasser ausgewaschen. Die Bodenvegetation reagiert auf Kalkungmit einer Zunahme an nährstoff- und stickstoffliebenden Arten, Azidophyten gehen zurück. Die Artenzusammensetzung von Mykorrhizapilzen und Bodenfauna verändern sich vollständig. Die Baumwurzeln ziehen sich in den mineralischen Oberboden zurück. Bis die basischen Kationen eine Tiefe von 30 cm erreichen, vergehen viele Jahre. Seit 1990 gingen die Depositionen an Schwefel (S) stark zurück, doch der N-Eintrag blieb bis heute auf hohem Niveau. In Nadelbaumbeständen ist der N-Eintrag wesentlich höher als in Laubwäldern oder im Freiland. Hohe N-Einträge tragen zur fortdauernden Bodenversauerung bei, zugleich eutrophieren sie Waldökosysteme, welche von Natur aus N-limitiert sind. Das verstärkte Wachstum der Waldbestände zieht einen erhöhten Bedarf an anderen Nährstoffen nach sich. In vielen Wäldern wird die kritische Belastungsgrenze („critical load“) des Eintrags von ca. 10 bis 20 kg N ha-1 a-1 überschritten. Solche Wälder werden mit N übersättigt und geben überschüssiges Nitrat, das nicht im Humus eingebaut oder von der Waldvegetation aufgenommen wird, ans Grundwasser ab. Bis heute werden in Baden-Württemberg, Rheinland-Pfalz, Hessen, Niedersachsen, Sachsen, Nordrhein-Westfalen, Thüringen und neuerdings Sachsen-Anhalt große Waldflächen mit drei bis vier Tonnen dolomitischem Kalk pro Hektar und Jahrzehnt gekalkt. Ziel ist es, eine weitere säurebedingte Verwitterung von Tonmineralen zu verhindern und die Vitalität der Waldbestände zu erhöhen. Oftmals werden dem Kalk auch Phosphor- (P) und/oder Kaliumverbindungen (K) beigemengt. Bayern, Brandenburg und Mecklenburg-Vorpommern verzichten auf Waldkalkungen oder wenden sie nur in sehr spezifischen Fällen an. Die mitteleuropäischen Hauptbaumarten Buche, Fichte, Wald-Kiefer, Tanne und Eichen sind dort ähnlich vital, da diese edaphisch eine weite ökologische Amplitude besitzen. Analysen von Blatt- und Nadelspiegeln belegen eine geringe, doch ausreichende Nährelementversorgung selbst auf den sauersten Waldböden. Heute stellt nicht Bodenversauerung, sondern N-Eutrophierung (und Klimawandel) die Hauptgefährdung der Waldökosysteme dar. Eutrophierung gefährdet die Lebensgemeinschaften auf schwach gepufferten Böden in besonderem Maße, insbesondere oligotrophe Kiefern- und Eichenwälder. Kalkung in eutrophierten Wäldern wirkt der Versauerung entgegen und führt langfristig zu tieferer Durchwurzelung. Zugleich jedoch verbessert sie angesichts hohen N-Eintrags die Verfügbarkeit limitierender Nährstoffe und verstärkt dadurch die Auswirkungen der Eutrophierung. Daher fällt die Bewertung der Kalkung ambivalent aus. Nur eine Reduzierung des N-Eintrags stellt eine wirklich gute Lösung dar. Aus Naturschutzsicht besonders bedenklich ist Waldkalkung auf natürlich basenarmen Substraten und ihren oligotraphenten Lebensgemeinschaften. Deren Habitate müssen durch Pufferzonen und angepasste Verabreichungstechniken gegen Kalkeinträge geschützt werden. Auf bestimmten mesotrophen, aber versauerungsanfälligen Lehmböden kann Kalkung fallweise toleriert werden. Die Anreicherung mit P und K entspricht einer Düngung und ist daher nicht akzeptabel. Um die Auswirkungen von Waldkalkung abwägen zu können, sollten ausreichend große ungekalkte Kontrollflächen ausgewiesen werden. Angesichts eines heute relativ hohen Waldwachstums sollte eine weitere Förderung von Waldkalkung überdacht werden.
Oscillations play a critical role in cognitive phenomena and have been observed in many brain regions. Experimental evidence indicates that classes of neurons exhibit properties that could promote oscillations, such as subthreshold resonance and electrical gap junctions. Typically, these two properties are studied separately but it is not clear which is the dominant determinant of global network rhythms. Our aim is to provide an analytical understanding of how these two effects destabilize the fluctuation-driven state, in which neurons fire irregularly, and lead to an emergence of global synchronous oscillations. Here we show how the oscillation frequency is shaped by single neuron resonance, electrical and chemical synapses.The presence of both gap junctions and subthreshold resonance are necessary for the emergence of oscillations. Our results are in agreement with several experimental observations such as network responses to oscillatory inputs and offer a much-needed conceptual link connecting a collection of disparate effects observed in networks.
High lipoprotein expression and potent activation of host Toll-like receptor-2 (TLR2) are characteristic features of the staphylococcal species. Expression of TLR2 in the host is important for clearance of Staphylococcus aureus infection and host survival. Thus, we hypothesized that bacterial regulation of its intrinsic TLR2-stimulatory capacity could represent a means for immune evasion or host adaptation. We, therefore, compared clinical S. aureus isolates in regards to their TLR2 activation potential and assessed the bacterial factors that modulate TLR2-mediated recognition. S. aureus isolates displayed considerable variability in TLR2-activity with low to absent TLR2-activity in 64% of the isolates tested (68/106). Notably, strain-specific TLR2-activity was independent of the strain origin, e.g. no differences were found between strains isolated from respiratory specimen from cystic fibrosis patients or those isolated from invasive disease specimen. TLR2-activity correlated with protein A expression but not with the agr status. Capsule expression and small colony variant formation had a negative impact on TLR2-activity but any disruption of cell wall integrity enhanced TLR2 activation. Altogether, heterogeneity in host TLR2-activity reflects differences in metabolic activity and cell wall synthesis and/or remodeling.
We study the equilibrium properties of strongly-interacting infinite parton-hadron matter, characterized by the transport coefficients such as shear and bulk viscosity and electric conductivity, and the non-equilibrium dynamics of heavy-ion collisions within the Parton-Hadron-String Dynamics (PHSD) transport approach, which incorporates explicit partonic degrees of freedom in terms of strongly interacting quasiparticles (quarks and gluons) in line with an equation of state from lattice QCD as well as the dynamical hadronization and hadronic collision dynamics in the final reaction phase. We discuss in particular the possible origin for the strong elliptic flow v2 of direct photons observed at RHIC energies.
We investigate the properties of the QCD matter across the deconfinement phase transition. In the scope of the parton-hadron string dynamics (PHSD) transport approach, we study the strongly interacting matter in equilibrium as well as the out-of equilibrium dynamics of relativistic heavy-ion collisions. We present here in particular the results on the electromagnetic radiation, i.e. photon and dilepton production, in relativistic heavy-ion collisions and the relevant correlator in equilibrium, i.e. the electric conductivity. By comparing our calculations for the heavy-ion collisions to the available data, we determine the relative importance of the various production sources and address the possible origin of the observed strong elliptic flow ν2 of direct photons.
Cytokine-regulated GADD45G induces differentiation and lineage selection in hematopoietic stem cells
(2014)
The balance of self-renewal and differentiation in long-term repopulating hematopoietic stem cells (LT-HSC) must be strictly controlled to maintain blood homeostasis and to prevent leukemogenesis. Hematopoietic cytokines can induce differentiation in LT-HSCs; however, the molecular mechanism orchestrating this delicate balance requires further elucidation. We identified the tumor suppressor GADD45G as an instructor of LT-HSC differentiation under the control of differentiation-promoting cytokine receptor signaling. GADD45G immediately induces and accelerates differentiation in LT-HSCs and overrides the self-renewal program by specifically activating MAP3K4-mediated MAPK p38. Conversely, the absence of GADD45G enhances the self-renewal potential of LT-HSCs. Videomicroscopy-based tracking of single LT-HSCs revealed that, once GADD45G is expressed, the development of LT-HSCs into lineage-committed progeny occurred within 36 hr and uncovered a selective lineage choice with a severe reduction in megakaryocytic-erythroid cells. Here, we report an unrecognized role of GADD45G as a central molecular linker of extrinsic cytokine differentiation and lineage choice control in hematopoiesis.
Acute myeloid leukemia (AML) is characterized by an aberrant self-renewal of hematopoietic stem cells (HSC) and a block in differentiation. The major therapeutic challenge is the characterization of the leukemic stem cell as a target for the eradication of the disease. Until now the biology of AML-associated fusion proteins (AAFPs), such as the t(15;17)-PML/RARα, t(8;21)-RUNX1/RUNX1T1 and t(6;9)-DEK/NUP214, all able to induce AML in mice, was investigated in different models and genetic backgrounds, not directly comparable to each other. To avoid the bias of different techniques and models we expressed these three AML-inducing oncogenes in an identical genetic background and compared their influence on the HSC compartment in vitro and in vivo.
These AAFPs exerted differential effects on HSCs and PML/RARα, similar to DEK/NUP214, induced a leukemic phenotype from a small subpopulation of HSCs with a surface marker pattern of long-term HSC and characterized by activated STAT3 and 5. In contrast the established AML occurred from mature populations in the bone marrow. The activation of STAT5 by PML/RARα and DEK/NUP214 was confirmed in t(15;17)(PML/RARα) and t(6;9)(DEK/NUP214)-positive patients as compared to normal CD34+ cells. The activation of STAT5 was reduced upon the exposure to Arsenic which was accompanied by apoptosis in both PML/RARα- and DEK/NUP214-positive leukemic cells. These findings indicate that in AML the activation of STATs plays a decisive role in the biology of the leukemic stem cell. Furthermore we establish exposure to arsenic as a novel concept for the treatment of this high risk t(6;9)-positive AML.
Kollektives und kulturelles Erinnern : Erinnerungskulturen leben von der Dynamik der Gegenwart
(2014)
Keine Gemeinschaft kommt ohne kollektive Erinnerungen aus, dazu gehören Gedenkfeiern und Denkmäler ebenso wie Mythen und Rituale oder die Identifikation mit großen Ereignissen oder Persönlichkeiten. Erinnern ist nicht nur identitätsstiftend, es bedeutet auch, sich vergangene Erlebnisse zu vergegenwärtigen – oder wie Marcel Proust es ausdrückt: "Erst im Gedächtnis formt sich die Wirklichkeit." Wenn die Erinnerungskultur ihre Dynamik aus der Aktualität verliert, ist sie tot.
Background: Despite improvements in liver surgery over the past decades, hemostasis during hepatic resections remains challenging. This multicenter randomized study compares the hemostatic effect of a collagen hemostat vs. a carrier-bound fibrin sealant after hepatic resection.
Methods: Patients scheduled for elective liver resection were randomized intraoperatively to receive either the collagen hemostat (COLL) or the carrier-bound fibrin sealant (CBFS) for secondary hemostasis. The primary endpoint was the proportion of patients with hemostasis after 3 min. Secondary parameters were the proportions of patients with hemostasis after 5 and 10 min, the total time to hemostasis, and the complication rates during a 3 months follow-up period.
Results: A total of 128 patients were included. In the COLL group, 53 out of 61 patients (86.9 %) achieved complete hemostasis within 3 min after application of the hemostat compared to 52 out of 65 patients (80.0 %) in the CBFS group. The 95 % confidence interval for this difference [−6.0 %, 19.8 %] does not include the lower noninferiority margin (−10 %). Thus, the COLL treatment can be regarded as noninferior to the comparator. The proportions of patients with hemostasis after 3, 5, and 10 min were not significantly different between the two study arms. Postoperative mortality and morbidity were similar in both treatment groups.
Conclusion: The collagen hemostat is as effective as the carrier-bound fibrin sealant in obtaining secondary hemostasis during liver resection with a comparable complication rate.
BACKGROUND: Recent findings support the idea that interleukin (IL)-22 serum levels are related to disease severity in end-stage liver disease. Existing scoring systems--Model for End-Stage Liver Disease (MELD), Survival Outcomes Following Liver Transplantation (SOFT) and Pre-allocation-SOFT (P-SOFT)--are well-established in appraising survival rates with or without liver transplantation. We tested the hypothesis that IL-22 serum levels at transplantation date correlate with survival and potentially have value as a predictive factor for survival.
MATERIAL AND METHODS: MELD, SOFT, and P-SOFT scores were calculated to estimate post-transplantation survival. Serum levels of IL-22, IL-6, IL-10, C-reactive protein (CRP), and procalcitonin (PCT) were collected prior to transplantation in 41 patients. Outcomes were assessed at 3 months, 1 year, and 3 years after transplantation.
RESULTS: IL-22 significantly correlated with MELD, P-SOFT, and SOFT scores (Rs 0.35, 0.63, 0.56 respectively, p<0.05) and with the discrimination in post-transplantation survival. IL-6 showed a heterogeneous pattern (Rs 0.40, 0.63, 0.57, respectively, p<0.05); CRP and PCT did not correlate. We therefore added IL-22 serum values to existing scoring systems in a generalized linear model (GLM), resulting in a significantly improved outcome prediction in 58% of the cases for both the P-SOFT (p<0.01) and SOFT scores (p<0.001).
CONCLUSIONS: Further studies are needed to address the concept that IL-22 serum values at the time of transplantation provide valuable information about survival rates following orthotopic liver transplantation.
ND3, ND1 and 39kDa subunits are more exposed in the de-active form of bovine mitochondrial complex I
(2014)
An intriguing feature of mitochondrial complex I from several species is the so-called A/D transition, whereby the idle enzyme spontaneously converts from the active (A) form to the de-active (D) form. The A/D transition plays an important role in tissue response to the lack of oxygen and hypoxic deactivation of the enzyme is one of the key regulatory events that occur in mitochondria during ischaemia. We demonstrate for the first time that the A/D conformational change of complex I does not affect the macromolecular organisation of supercomplexes in vitro as revealed by two types of native electrophoresis. Cysteine 39 of the mitochondrially-encoded ND3 subunit is known to become exposed upon de-activation. Here we show that even if complex I is a constituent of the I+III2+IV (S1) supercomplex, cysteine 39 is accessible for chemical modification in only the D-form. Using lysine-specific fluorescent labelling and a DIGE-like approach we further identified two new subunits involved in structural rearrangements during the A/D transition: ND1 (MT-ND1) and 39kDa (NDUFA9). These results clearly show that structural rearrangements during de-activation of complex I include several subunits located at the junction between hydrophilic and hydrophobic domains, in the region of the quinone binding site. De-activation of mitochondrial complex I results in concerted structural rearrangement of membrane subunits which leads to the disruption of the sealed quinone chamber required for catalytic turnover.