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This is the 14. article in our series Trouble on the Far-Right.
country’s domestically weak far right has managed to send its representatives to the European Parliament (EP). Prior to 2014, these MEPs remained largely isolated, retaining a non-affiliated status. Initially, Volen Siderov’s far right party Attack, the first of its kind in post-communist Bulgaria, won three seats in the legislative body in 2007. Formed in 2005, Attack quickly gained electoral support, conveying a strong xenophobic and anti-minority rhetoric combined with emphasis on Orthodox Christian values and opposition to globalization. No other Bulgarian party has previously sought to attract voters using such a strategy. Attack participated in the short-lived Identity, Tradition, Sovereignty group in the EP. Further efforts for constructing a lasting political grouping on the far right with the participation of Bulgarian parties remained futile, making their influence on debate-shaping and decision-making hardly possible. Winning a seat less in 2009, Attack remained outside of any recognized EP political group...
This is the 13. article in our series Trouble on the Far-Right.
The environment for populist radical right (PRR) parties in Europe is favourable. Both the refugee crisis as well as the recent terrorist attacks in Paris and Brussels have ostensibly fuelled further xenophobic and anti-Islam sentiments among European publics, on the basis of which PRR parties have been shown to build their support. Recent elections in Europe have indeed seen good results for parties with an outspoken xenophobic message, the victories in March 2016 for the Alternative for Germany (AfD) in the German regional elections and two far right parties (SNS and L’SNS) in the Slovak national elections being cases in point. Opinion polls in countries such as France and the Netherlands look equally promising for PRR parties. Even though not all European countries have witnessed the successful mobilisation of the PRR, it is fair to conclude that this party family is going strong. It would be too quick to conclude, however, that PRR parties only thrive on the recent salience of the immigration issue.
This is the twelth article in our series Trouble on the Far-Right.
In 2008 and 2009, a group of Hungarian right-wing extremists committed a series of attacks on random members of the Roma community. Six people were killed, including a five-year-old, and another five were injured. The trial of the four suspects lasted two-and-a-half years, and the verdict was passed in August 2013. Director Eszter Hajdú filmed the trial and condensed it to create an oppressive Kammerspielfilm starring the cold-blooded suspects, an irritable judge and the victims’ families. Without any commentary, Hajdú recorded the drawn-out and sometimes chaotic trial from the cramped courtroom’s public gallery. A small static camera shows the judge’s point of view, while close-ups highlight the emotions of the people touched by the crime. Sometimes we see the protagonists outside the courtroom, for example during the reconstruction at the crime scene. At the start of the trial, the victims and next of kin assume there will be justice, and they have faith that the Hungarian authorities will protect them. But will the extremists be found guilty? The widespread anti-Roma sentiment in Hungarian society, and the bungling (intentional or otherwise) on the part of the police give them reason to fear they will not...
In der Diskussion zwischen verschiedenen Spielarten der Diskursanalyse und den Gouvernementalitätsstudien haben Vertreter beider Seiten das Dispositiv als vermittelnden Begriff vorgeschlagen. In diesem Zusammenhang wird die Frage »Was ist ein Dispositiv?« neu gestellt. Durch eine Relektüre von Foucaults Texten wird ein Debattenbeitrag zum Dispositivkonzept entworfen, welcher der Verwässerung einerseits und andererseits einer methodischen Schließung durch Operationalisierung des Dispositivkonzepts entgehen soll. Als Destillat dieser Rekonstruktion werden sechs Kernelemente für eine dispositivanalytische Forschungsperspektive vorgeschlagen. Der anschließende Teil bringt Foucaults Analysen mit Bruno Latours Akteur-Netzwerk-Theorie (ANT) ins Gespräch, um potentielle Leerstellen in der Dispositivanalyse zu schließen. Diese betreffen vor allem die Bereiche »Natur«, »Technik« und »Medien«. Neben Latours Akteur-Netzwerk-Theorie wird im letzten Teil Karen Barads Agentieller Realismus für die Dispositivanalyse produktiv gemacht und in das Konzept eingearbeitet.
Sisymbrium strictissimum ist die einzige in Mitteleuropa heimische ausdauernde Art der Gattung Sisymbrium. Ihre Vorkommen in Niedersachsen, Baden-Württemberg, Osttirol sowie im Unterengadin wurden vergleichend untersucht. Sisymbrium strictissimum wächst meistens in großen Herden oder Kolonien, selten in kleinen Gruppen oder einzelnen Individuen. Aufgrund ihrer Wuchshöhe und ihres kräftigen Rhizoms kann sie sich an einmal besiedelten Wuchsplätzen sehr lange halten. Trotz hoher Samenproduktion (ca. 50.000—80.000 Samen pro Pflanze und Jahr) keimen in den Beständen dieses ausdauernden Konkurrenzstrategen nur wenige Samen. Sisymbrium strictissimum ist eine gefährdete Art, da starke Störungen der jetzigen Wuchsorte dazu führen können, daß die Populationen gebietsweise erlöschen. Die Sisymbrium strictissimum-Bestände wurden in verschiedenen Gegenden Mitteleuropas untersucht und mit pflanzensoziologischen Aufnahmen belegt. In den meisten Fällen wächst die Art in nitrophilen Saumgesellschaften der Ordnung Glechometalia. Lediglich Urtica dioica, Galium aparine, Aegopodium podagraria und Geum urbanum sind in den Sisymbrium strictissimum-Beständen aller Gebiete vertreten. In dem relativ kontinental getönten Engadin ist Sisymbrium strictissimum auch mit thermophilen Ruderalpflanzen vergesellschaftet.
Es werden genaue Angaben über Systematik, Morphologie, Verbreitung, Ökologie und Gefährdung von Dryopteris affinis (LOWE) FRASER-JENKINS in der Westeifel gemacht. Die Fundorte werden auf Übersichtskarten dargestellt und in einer ökologischen Tabelle und durch Vegetationsaufnahmen charakterisiert. Es zeigt sich, daß Dryopteris affinis im Untersuchungsgebiet vor allem auf Waldrand-Böschungen, aber auch in naturnahen Fagion-Gesellschaften wächst. Entscheidend für das Vorkommen der Art sind offensichtlich ausreichende Wasserversorgung, hohe Luftfeuchte sowie wintermildes Klima. Daher bevorzugt Dryopteris affinis auch in der Eifel die stärker atlantisch geprägten Gebiete. Dryopteris affinis lässt sich morphologisch relativ leicht von Dryopteris filix-mas unterscheiden. Nachweise von Dryopteris x complexa in der Westeifel fehlen bisher. Die Unterscheidung der Unterarten von Dryopteris affinis anhand rein morphologischer Merkmale gestaltet sich schwierig, jedoch scheinen nur die triploiden Sippen ssp. borreri und ssp. robusta vorzukommen. Unter dem Gesichtspunkt der Erhaltung des genetischen Potentials der von anderen Unterarten schwer zu unterscheidenden diploiden Unterart müssen die Wuchsorte von Dryopteris affinis unbedingt erhalten werden.
Trotz zunehmender Verbesserungen in der Diagnostik und Therapie von Krebserkrankungen leiden onkologische Patienten häufig unter gravierenden tumorund therapiebedingten Symptomen und Nebenwirkungen wie Fatigue, Reduktion der Leistungsfähigkeit und Lebensqualität (Courneya, 2003a; Crevenna et al., 2002; Ferriset al., 2009). Zahlreiche Untersuchungen und Übersichtsarbeiten zeigen, dass körperliche Aktivität in den verschiedenen Phasen der Krebstherapie möglich ist und zu einer Reduktion der Nebenwirkungen sowie zu einer Verbesserung der Lebensqualität und Leistungsfähigkeit führen kann (Cramp & Byron-Daniel, 2012; Jones & Peppercorn, 2010; Mishra et al., 2012b; Schmitz et al., 2010). In aktuellen Leitlinien wird körperliche Aktivität deshalb als wichtige supportive Therapiemaßnahme während der Akuttherapie und im Rahmen der Nachsorge sowie Rehabilitation empfohlen. Analog der zunehmenden Individualisierung medizinischer Diagnostik- und Therapiestrategien in der Onkologie (z. B. vergleichbare oder sequentielle Therapieregime, targeted therapies, Patientenwunsch), gibt es inzwischen auch im Bereich der Sportmedizin Forderungen nach individuell angepassten, effektiven körperlichen Trainingsprogrammen (Jensen et al., 2011). Bei der Erarbeitung dieser Bewegungsangebote sollten Informationen zur Einschätzung der körperlichen Leistungsfähigkeit sowie zu den individuellen persönlichen und medizinischen Voraussetzungen der Betroffenen berücksichtigt werden. Entsprechend muss bei der Planung der körperlichen Aktivität auch die aktuelle Behandlungsphase im Rahmen der onkologischen Therapien einbezogen werden. Neben der zeitlichen Einteilung der Therapiephasen in Akut- oder Rehabilitationsphase gibt es die Möglichkeit, den Therapieprozess in Abhängigkeit der Heilungsaussicht einzuordnen. Dabei wird die Prognose einer Tumorerkrankung in Abhängigkeit des Tumorstadiums, des Lymphknotenbefalls und der möglichen Metastasierung in einen heilbaren (kurativen) und nicht heilbaren (palliativen) Therapieansatz eingestuft. Während ein Großteil der Studien die Wirkung bewegungstherapeutischer Interventionen bei Patienten mit kurativem Therapieansatz untersucht, gibt es bisher nur sehr wenig Untersuchungen bei unheilbar kranken Tumorpatienten (Albrecht & Taylor, 2012). Infolgedessen sind Aussagen zu prognosebezogenen Informationen über die individuelle Leistungsfähigkeit und zu unterschiedlichen physischen und psychischen Reaktionenaufgrund körperlicher Aktivität bei dieser Patientengruppe bisher nur bedingt möglich und erlauben folglich keine zielgruppenspezifischen Empfehlungen.
Angesichts dieses Forschungsdefizits ist das Kernziel der vorliegenden Arbeit, mögliche Unterschiede von Lebensqualität, Fatigue und aerober Kapazität (VO2peak) in Abhängigkeit der Heilungsaussicht (kurativ/palliativ) initial zu identifizieren und gleichzeitig die jeweiligen Veränderungen im Rahmen der Intervention über den Gesamtuntersuchungszeitraum zu überprüfen.
Initial konnten 300 onkologische Patienten (histologisch gesichertes Malignom) mit unterschiedlichen Krebsentitäten, in verschiedenen Behandlungsphasen, mit bekannter klinischer Heilungsprognose (kurativ/palliativ) und unter Berücksichtigung definierter Ein- und Ausschlusskriterien in die Untersuchung eingeschlossen werden. Mit dem Ziel einer individuellen Sportberatung und Trainingsplangestaltung absolvierten die Studienteilnehmer eine sportmedizinische Gesundheits- und Leistungsdiagnostik zur Ermittlung der Ausdauerleistungsfähigkeit und Bestimmung des Trainingsbereichs. Die Messungen erfolgten auf dem Fahrradergometer (0W; 25W Inkrement; 3 Minuten) und umfassten Herzfrequenz, Blutdruck, maximale Sauerstoffaufnahmefähigkeit (VO2peak), Laktatkonzentration und subjektives Belastungsempfinden (Borg Skala). Baseline- und identische Wiederholungs-untersuchungen nach 4-6 und nach 16-20 Wochen dienten gleichzeitig der Erfassung der subjektiven Parameter Lebensqualität und Fatigue (EORTC QLQ-C30) (Aaronson et al., 1993). Der Trainingsplan wurde unter Einbeziehung persönlicher Präferenzen, individueller Leistungsfähigkeit und Empfehlungen zur Gesundheitsprävention der WHO (als Orientierung für den Trainingsumfang von 150 min/Wo.) erstellt und dem Patienten in einem ca. 20minütigen Beratungsgespräch erläutert. Art, Umfang und Häufigkeit des mindestens mit moderater Intensität absolvierten Ausdauertrainings wurde durch die Patienten in einem Trainingstagebuch dokumentiert. Die Gruppenzuteilung erfolgte in Abhängigkeit der Heilungsprognose (kurativ/palliativ) unter Verwendung des TNM-Systems. Patienten mit der Prognose „heilbar“ wurden der kurativen Stichprobe zugeteilt, während Patienten mit histologisch gesichertem Nachweis von Metastasen (M1) als palliativ eingestuft wurden.
Referenzwerte waren für die VO2peak: alters- und geschlechtsentsprechende Normdaten (Median) des American College of Sports Medicine und für die Daten des EORTCQLQ-C30: das Manual „EORTC QLQ-C30 Reference Values“ einer EORTCArbeitsgruppe (Scott, 2008). Die Dateneingabe und die Aufbereitung der Rohdaten erfolgte mit Hilfe von Microsoft Excel. Für die statistische Auswertung wurden alle statistischen Analysen anschließend mithilfe der Statistikprogramme SPSS 19.0 (SPSS Inc., Chicago, IL, USA) und „BIAS für Windows“, Version 10, 2012, Universität Frankfurt) durchgeführt. Das Signifikanzniveau wurde a priori auf p<0,05 festgelegt.
Insgesamt 158 Patienten (99 kurativ, 59 palliativ; 54,9±11,1 Jahre, 108 ♀, 50 ♂) nahmen an allen drei Untersuchungen teil. Der parameterfreie Mann-Whitney-Test zeigte sowohl für Lebensqualität als auch Fatigue-Symptomatik keine signifikanten Unterschiede bei der Eingangsuntersuchung zwischen kurativen und palliativen Teilnehmern. Für die VO2peak ergab der parametrische T-Test ebenfalls keine Unterschiede bei den Initialwerten. Nach Abschluss der Intervention zeigten sich in beiden Patientengruppen sowohl bei der Lebensqualität als auch der Fatigue-Symptomatik signifikante Verbesserungen über den gesamten Untersuchungszeitraum. Anschließende post-hoc-Tests ergaben keine signifikanten Gruppenunterschiede bezüglich der Entwicklung während der verschiedenen Untersuchungszeiträume und der Differenz von Initial- und Abschlusswert. Die Varianzanalyse mit Messwiederholung (Anova) zeigte sowohl für Kurativ- als auch Palliativpatienten signifikante Veränderungen der VO2peak über die Zeit. Einen Haupteffekt im Bezug auf die Gruppe oder eine Interaktion von Zeit und Gruppe gab es dabei nicht. Folglich entwickelten sich beide Gruppen über den Untersuchungszeitraum vergleichbar.
Die vorliegenden Ergebnisse zeigen, dass die Heilungsprognose, kurativ oder palliativ, keinen unterschiedlichen Einfluss auf die Trainierbarkeit der Betroffenen zu haben scheint. Körperliches Training führte bei beiden Patientengruppen dieser Studie zu signifikanten Verbesserungen der Zielparameter. Ein Vergleich der vorliegenden Daten mit bisherigen Untersuchungsergebnissen ist aufgrund der aktuell geringen Anzahl an Studien mit Palliativpatienten und einer bisher nicht einheitlichen Palliativ-Definition schwierig.
Die sporttherapeutische Beratung, welche neben der Vermittlung von Trainingsumfang und –intensität insbesondere Trainingsziele und deren Wirksamkeit aufzeigen soll, kann Patienten und ihrem Umfeld helfen, den Stellenwert von körperlichem Training zuverstehen und bestenfalls die Compliance erhalten. Darüber hinaus kann die allgemeine Leitlinien-Empfehlung von 150 Minuten moderates Ausdauertraining pro Woche als grober Richtwert bestätigt werden. Unterschiedlich hohe Trainingsumfänge in Abhängigkeit initialer Leistungsfähigkeit weisen indessen darauf hin, dass individuelle Trainingsempfehlungen zu bevorzugen sind. Als Konsequenz aus diesen Ergebnissen ist zu empfehlen, dass sich zukünftig körperliche Aktivität als unverzichtbarer Bestandteil des supportiven Therapieangebotes für Krebspatienten mit fortgeschrittener Erkrankung, speziell bei palliativ eingestuften Patienten, etabliert.
Weitere Untersuchungen zu diesem Thema sollten insbesondere darauf abzielen, Dosis-Wirkungs-Zusammenhänge zu ermitteln und diese in symptom- und entitätsspezifische Empfehlungen zu integrieren.
From an early understanding of organisational theorist (Bartlett & Ghosal, 1989; 1990), the function of global teams in transnational organisations has been conceptualised as the transformation of different embedded cultural practices for the development of a global strategy, products and services. Simultaneously, in the field, from the beginning of the 1990ies to the edge of the new millennium neo-liberal political developments enforced a free flow of capital on a global level (cf. Turner, 2006). In line with the development of respective connectivity via the internet the form of globally distributed team work was spread (Maznevski & Chudoba, 2000). In a study by Biggs (2000), published just after the millennial change, it was shown that 60% of tasks in multinational companies are accomplished by virtual teams. More recent data (Society for Human Resource Management, 2012) showed that the prevalence of such teams stayed more or less constant in the last 10 years. According to the survey 66% of companies are working with distributed global teams.
Globally distributed teams were already described by Bartlett and Ghosal (1989) in their functions of articulation and translation of differing market practices for the integration of requirements and needs on a global level. From a European perspective the importance to further develop innovation capabilities in order to compete in the global market is stressed today (Imp3rove, 2012). In a globalised economy not only the big multinational companies are involved in globally distributed research and development activities (R&D). On the level SMEs, for example, in Switzerland the involvement in global development processes is increasing (Gassmann, 2009). From my own experiences in working with Swiss SMEs, the macro-economic processes in regard to the strong Swiss Franc may accelerate such processes. Thus, the form of globally distributed teams, and their functional task in global development processes, can be viewed as highly relevant, in a globalised economy.
The crucial question for companies at the moment is, if teams can be enabled for innovative project work, which enables the integration of diverging perspectives in a globally distributed setting? Or, if such teams have to be collocated for more innovative, interdependent task work? Requirements for integrating embedded knowledge from different regionally defined clusters into global innovations at least, seems to indicate for the relevance of interdependent globally distributed team work (cf. Li, Eden, Hitt, Ireland, & Garrett, 2012). Bilateral practices of partnering, for example in the Swiss pharmaceutical sector, lead to the integration of selected subsidiaries in the R&D process of the company (Festel et al., 2010). Thus, the form of dispersion for project teams becomes more critical for effective global R&D practices (Boyer O’Leary & Cummings, 2007). So called partially distributed teams integrating balanced subgroups between two sites, hence, become an important subject of inquiry with practical relevance.
The context of partially distributed team work represents by virtue a context involving multiple perspectives influenced by the involvement of actors stemming from different cultural contexts (Dekker, Rutte, & Van den Berg, 2008). It thereby provides the synergetic potential for integrating different perspectives in the resolution of complex problems on a global level (Janssens & Brett, 2006). Simultaneously, cultural diversity engenders challenges for collaboration. Challenges, like different understandings and interpretations regarding tasks, the structuring of communication (Maznevski & Chudoba, 2000) and unexpected events occurring in the collaboration between the actors (Dekker et al., 2008; Oertel & Antoni, 2014) were identified in respective empirical studies.
Opportunities and challenges of partially distributed global teams can be compared with the problematic of face-to-face (f2f) teams with a moderate amount of diversity. Studies have shown (see Thatcher & Patel, 2011 for a meta-analysis) that when the distribution of diversity characteristics is aligned to potentially form culture specific subgroups, so-called diversity faultlines (Lau & Murnighan, 1998), negative subgroup dynamics are reinforced.
To achieve the above mentioned synergetic potentials it seems important to effectively cope with such negative dynamics and allow for a balanced participation in partially distributed teams (Janssens & Brett, 2006). In the research on faultline teams, especially the structuring of task-related interdependences across respective subgroups has been identified as an important impediment for the mentioned subgroup dynamics. Task interdependences, which cross functional roles across respective group faultlines (Bettencourt, Molix, Talley, & Eubanks, 2007; Marcus-Newhall, Miller, Holtz, & Brewer, 1993), are able to unlock the inherent potentials of globally distributed teams on more complex tasks that require the integration of different perspectives. From a work group diversity perspective (van Knippenberg & Schippers, 2007), partially distributed global teams represent a research object for studying the interaction between social categorisation processes involved in the above mentioned subgroup dynamics, and processes of task-related information processing required for innovative team outputs. The exploration of effects of task structures on the interaction between categorisation processes and task-related information processing (van Knippenberg et al., 2004), will be in the main explorative research focus of this thesis. The research thesis represents a heuristic explorative inquiry (Kleining & Witt, 2001) of respective dynamics and structural as well as process-related enablers.
The thesis starts with the theoretical part, in which the historical development of the understanding of teams as open, complex and temporally dynamic systems (Arrow et al., 2005, 2000), will be outlined. A sound definition of partially distributed global teams, including the respective contextual characteristics will be delineated. In a sensitizing framework (Blumer, 1954) which guided the explorative research process, the central boundary condition of task interdependence (Wageman, 2001) and respective episodic theories for explaining global task-related dynamics in teams (Marks et al., 2001), the dynamics of social categorisation (Gaertner, Dovidio, Anastasio, Bachman, & Rust, 1993; Gaertner & Dovidio, 2000), as well as the interaction between social categorisation processes and task-related information processing will be integrated (van Knippenberg et al., 2004). According to the framework, empirical studies on effects of task interdependence on interactions between task-related information processing and social categorisation processes will be addressed (van Knippenberg et al., 2004).
The empirical part of the contribution will be split in two parts. In the first heuristic exploratory study eleven partially distributed global teams are followed up during the time of relevant innovation projects. The approach allowed the study of task interdependence, productive interactions with social categorisation processes and there effects on team innovation. In the second empirical step, the developed hypotheses, were tested in an experimental simulation (Arrow et al., 2005, 2000) in undergraduate courses.
As a conclusion of the two exploratory studies, an episodic team process model will be outlined. The model specifies interdependence dynamics, which allows for team innovation. Furthermore, on a process level, the episodic categorisation-elaboration model (van Knippenberg et al., 2004) proposes three critical team performance episodes. Dynamics in the interplay between task-related information processing and social categorisation processes allow for the development of hypothesis for further research projects. Finally the implications for theory and the practical relevance of the heuristic model will be discussed.
In silico Methoden spielen in der Wirkstoffentwicklung eine immer größere Bedeutung. Sie können eine Größe Hilfe in der Analyse des Targets oder beim Screening von neuen Liganden sein. Ihre Stärken liegen vorallem in der Zeit- und Kostenreduzierung während einer
Wirkstoffentwicklung.
Ziel der Arbeit war die Entwicklung neuer COX-2 Liganden mit Hilfe von in silico Methoden. Weil von der mCOX-2 keine Kristallstruktur in der PDB publiziert war, begann die Arbeit mit der Modellierung der mCOX-2. Dafür wurde aus der Sequenz der hCOX-2 aus UniProt mit der ID P35354 mit Hilfe der Kristallstruktur 3LN1 ein Homologie Modell entwickelt und im Anschluss über eine Validierungsmethode, den Ramachandran Plot, analysiert. Der Ramachandran Plot zeigte, dass 93.7% der Aminosäuren in favorisierten Regionen, 6.1% in
erlaubten Regionen, 0.2% in geduldeten Regionen und 0.0% in unerlaubten Regionen lagen. Mit diesem Modell wurde eine MD-Simulation durchgeführt, um die Energie des Modells zu
minimieren.
Die neuen Verbindungen wurden über drei verschiedene Ansätze designt. Im ersten Ansatz wurde die Software DOGS verwendet. Dabei handelt es sich um ein de novo Design Programm, welches nicht nur neue Verbindungen entwickelt, sondern auch deren Syntheseweg vorschlägt. Die vorgeschlagenen Verbindungen wurden über eine Docking-Studie analysiert, wobei die Verbindungen aus Abbildung 15 identifiziert werden konnten. Verbindung 22 wurde ohne weitere Variationen synthetisiert. Die Verbindungen 71 und 86 wurden aus der modellierten Verbindung 87, welche von DOGS vorgeschlagen wurde, weiterentwickelt. Dabei wurde Verbindung 71 als ein Fragment von Verbindung 85 entwickelt. Verbindung 86 wurde direkt aus Verbindung 87 entwickelt, wobei einige Variationen durchgenommen wurde. Hierbei sollte vorallem die Form von Verbindung 87 beibehalten werden.
Literatur verwendet, um ausgehend von den Verbindungen APHS und ASS neue COX-2 Inhibitoren zu entwickeln (siehe Abb. 16). Dabei wurden mehrere Verbindungen designt, wovon Verbindung 3 als ein leichter Inhibitor identifiziert werden konnte. 3 enthält keine für COX-Inhibitoren typische polare Gruppe, besitzt dafür aber eine Acetylgruppe, die gemäß in silico Untersuchungen in der Lage sein könnte, Ser530 in COX-2 zu acetylieren.
In der letzten Studie wurden mit Hilfe eines Fragment-basierten Designs neue Verbindungen entwickelt, wobei das Benzensulfonamid von Celecoxib aus der Kristallstruktur 1PTH extrahiert und mit kleinen Fragmente verknüpft wurde, welche zuvor über eine Docking-Studie analysiert wurden. Hieraus entwickelte sich Verbindung 35, die in einer kleinen SAR-Studie zu 70 optimiert werden konnte. Dabei konnte das Sulfonamid, welches typisch für Coxibe ist, gegen eine Carbonsäure ausgetauscht werden (69). Erst durch eine Vergrößerung der Verbindung um einen Benzyl-Rest am sekundären Amin von 69 führte zur potenten Verbindung 70.
Zusammenfassend konnten in dieser Arbeit fünf neue COX-2 Inhibitoren als Leitstrukturen entwickelt werden. Dabei kamen fortschrittliche in silico Methoden wie die De-Novo Design Software DOGS aber auch rationale Designmethoden zum Einsatz. Beide Methoden boten Vor- und Nachteile und haben jeweils zu guten Ergebnissen geführt. Bei der Entwicklung der vielversprechendsten Leitstrukturen 70 und 71 wurden die Vorteile beider Ansätze kombiniert.
Paul Seibert 70 Jahre alt
(1991)
Am 18. Februar 1991 vollendete Prof. Dr. rer. nat. Paul Seibert sein 70. Lebensjahr. Als sein Nachfolger auf der Professur für Vegetationskunde (heute Geobotanik) in München hatte ich die Gelegenheit, während der vergangenen 4 Jahre mit Herrn Kollegen Seibert zahlreiche wissenschaftliche und private Gespräche zu führen und ihn auf mehreren gemeinsamen Exkursionen in die oberbayerische Landschaft zu begleiten. Hierbei habe ich nicht nur den Wissenschaftler sondern auch den Menschen Paul Seibert besser kennenlernen können. Deshalb darf ich vorweg sagen: Am wohlsten fühlt sich Herr Kollege Seibert, wenn er im Gelände der zentralen Tätigkeit des Vegetationskundlers nachgehen kann: Analyse der Vegetation, Erfassen der floristischen und ökologischen Zusammenhänge vor Ort, Entschlüsselung der Sprache der Vegetation.
Two new species of Aulonothroscus Horn are described from The Bahamas and a third species is newly reported. Aulonothroscus inawa new species is described from Great Inagua and Aulonothroscus sibateo new species is described from Eleuthera. Aulonothroscus convergens (Horn) is reported from Andros, providing an island and new country record. These are the fi rst Aulonothroscus identifi ed to species from the Lucayan Archipelago and from a West Indies locality other than Guadeloupe. A key to the species of Bahamian Aulonothroscus is provided.
Twelve new country records are presented for Diplocladus compactus Gerstmeier and Weiss, 2009, D. louvelii (Spinola, 1844), D. oculicollis (Fairmaire, 1885), D. rufus (Pic, 1953) Strotocera brevefasciata Gerstmeier and Weiss, 2009, and S. emerita (Péringuey, 1899) and the distribution of S. chicoi Gerstmeier and Weiss, 2009, is corrected.
Within the tribe Coelidiini, subfamily Coelidiinae (Cicadellidae: Hemiptera), fragmentation of the genera Calodia Nielson, Olidiana McKamey and Taharana Nielson established the following 13 new genera: Cladolidia, type-species, Lodiana cladopenis Zhang; Creberulidia, type-species, Calodia paucita Nielson; Glaberana, type-species, Glaberana spadix, sp. nov.; Hamusolidia, type-species, Hamusolidia introrsa, sp. nov.; Hiatusorus, typespecies, Taharana schonhorsti Nielson; Laosolidia, type-species, Laosolidia complexa, sp. nov.; Orbisolidia, typespecies, Calodia spinocava Nielson; Singillatus, type-species, Lodiana furcata Nielson; Trinoridia, type-species, Trinoridia calcaris, sp. nov.; Tripesidia, type-species, Calodia warei Nielson; Tumidorus, type-species, Lodiana nielsoni Zhang; Webbolidia, type-species, Taharana webbi Nielson and Zhangolidia, type-species, Lodiana polyspinata Zhang. Nineteen genera in the tribe are treated.
The following 62 new species in 12 genera are described, illustrated and photographed: Calodia bicompressa (India); C. birama (Philippines); C. propennata (India); C. sichuanensis (China); C. sinuata (Laos); C. vincula (China, Vietnam); Creberulidia corniger (Laos); C. inflata (Thailand); C. multipenicula (Cambodia); C. ordospinosa (Thailand); C. penicula (Thailand); Glaberana ampla (Thailand); G. dentilamina (Thailand); G. longilamina (Thailand); G. penita (Laos); G. spadix (Laos); G. stylafurcata (Indonesia); Hamusolidia introrsa (Laos); Hiatusorus aviformus (Laos); H. robustus (China); H. supraspinosus (Thailand); Laosolidia complexa (Laos); L. tuberis (Laos); L. longiserrata (Laos); Olidiana tuberis (Vietnam); O. bispiculata (Laos); O. filiata (Thailand); O. implicata (Thailand); O. inaequabilia (Thailand); O. lata (Laos); O. parafringa (Laos); O. pennata (Laos); O. tonkinensis (Vietnam); O. vincula (Vietnam); Singillatus gracilius (Indonesia); S. ventrospinatus (India); Taharana abstrusa (Thailand); T. angusta (Vietnam); T. biavicula (Thailand); T. biunca (Thailand); T. brevicutata (Thailand); T. caverna (Malaysia); T. exiquitas (Thailand); T. forcipia (Thailand); T. gracilata (Thailand); T. incisura (Thailand); T. intimacalcara (Thailand); T. lacertosa (Thailand); T. mediolata (Thailand); T. minutura (Thailand); T. oblongiserrata (Laos); T. subspinata (Thailand); T. sublamina (Thailand); T. phetchahabunesis (Thailand); T. protriangulata (Thailand); T. subtumida (Thailand); T. truncata (Thailand); Trinoridia calcaris (India); T. trifida (Malaysia); Tripesidia kubani (Laos); Webbolidia kristenseni (Thailand); W. magna (Laos).
Taxonomy of all the genera is elucidated with a revised key to genera and species. The following formerly suppressed species are herein reinstated: Olidiana (Lodiana) flavofasciana Li, 1989, Olidiana (Lodiana) nigritibiana Li, 1987, Olidiana rufofasciana Li and Wang, 1989 and Webbolidia (Taharana) uniaristata Zhang, 1990. The following 3 species are new junior synonyms: Calodia flavinota Cai and Kuoh, 1993: 220 [= Calodia patricia (Jacobi), 1944:49], Olidiana yangi McKamey 2006: 502 [= Lodiana (Olidiana) hamularis Xu, 2000: 220] and Taharana yinggenensis Zhang and Zhang, 1994: 96 [= Taharana (Coelidia) sparsa (Stål) 1854: 254]. Taharana hainana Zhang 1994: 132 is a nomen nudum based on the same name in Zhang’s thesis (1988) which name was cited later by Li and Wang 1991: 275. Lodiana hainana Cai and He 2002: 139 is also a nomen nudum. A replacement name proposed herein is caii, nom. nov. in the genus Olidiana; Zhang’s 1994: 71 illustrations of subgenital plate (I) and aedeagus (M) of “fasciana Li” does not appear to represent the respective illustrations in Li 1991: 357 and may represent a new species in the genus Glaberana. The name of Olidiana nigridorsum (Cai and Shen) is changed to Olidiana nigridorsa (Cai and Shen) to agree with gender. Among 12 genera, 102 species are proposed in new combinations. Lodiana reductusi Xu and Kuoh, 1997 and Lodiana spicata Xu and Kuoh, 1997 are declared incertae sedis after attempts failed to locate the original descriptions and type specimens. Both species are provisionally assigned to the genus Olidiana. Two syntype specimens of Jassus egregius Schumacher, previously thought to be lost, were located in the Senckenberg Deutsches Entomologisches Institut, Müncheberg, Germany. The male specimen is designated lectotype herein. Six species in the Olidiana brevis (Walker) interspecific variation complex are elucidated with illustrations of male genitalia features.
New records, an updated checklist and a synoptic catalogue are also provided. All taxa including 264 valid species and 304 names are indexed.
We report on collections of seven species of pleasing lacewings (Neuroptera: Dilaridae) from the Americas. New country distributional records are reported for Nallachius pulchellus (Banks) from Honduras and Trinidad, and Nallachius phantomellus Adams from Ecuador. Nallachius ovalis Adams and Nallachius prestoni (McLachlan) are reported from Brazil representing the second reported collections of those species. Additional state records and in-country distributional information are presented for the other species. Two species could not be identified with certainty.
A new genus and four new species of false click beetles
(Coleoptera: Eucnemidae) from Southeast Asia
(2015)
A new genus and four new species of false click beetle (Coleoptera: Eucnemidae) are described. Bermilloides new genus is described from Bornean Malaysia. New species are: Calyptocerus iridis new species (Philippines), Bermilloides lumawigi new species (Malaysia), Spinifornax elongatus new species (Malaysia) and Ceratus antennatus new species (Thailand). Dorsal and ventral habitus, as possible, for each species are illustrated.
Male aedeagi are illustrated for Calyptocerus iridis and Ceratus antennatus. A new key is provided for Calyptocerus species in Southeast Asia.
Pseudaulacaspis kiushiuensis (Kuwana), Pseudaulacaspis latiloba (Takagi and Kawai) and Pseudaulacaspis
ulmicola Tang, occurring on Quercus, Carpinus and Zelkova plants are newly documented in the Korean fauna of armored scales (Hemiptera: Diaspididae). Characteristics of these species are briefl y redescribed and illustrative photographs and information on their distribution and hosts are provided. A dichotomous key to species of Pseudaulacaspis from Korea is given for correct species identifi cation. In addition, the current status of Pseudaulacaspis forsythiae (Kanda) and Pseudaulacaspis nishikigi (Kanda) in Korea is discussed based on the results of a survey of the armored scales of Korea and related papers.
Described, illustrated and discussed is a strikingly distinct new species of the scarabaeine genus Anomiopus Westwood, A. apuskispay Figueroa and Edmonds, from the Chanchamayo montane forest region of eastern Peru. It is a close relative of the recently described A. pishtaco, also from eastern Peru. Both species are noteworthy because of the bizarre form of the male clypeus, which bears extravagantly developed marginal teeth.
A revision of the genus Acyphoderes Audinet-Serville, 1833 (Coleoptera: Cerambycidae), with a brief synopsis of the genus Bromiades Thomson, 1864, is presented. Acyphoderes to comprise eight South American species, Acyphoderes aurulenta (Kirby, 1818), A. abdominalis (Olivier, 1795), A. auricapilla Fisher, 1947, A. crinita (Klug, 1825), A. hirtipes (Klug, 1825), A. rubrohirsutotibialis Tippmann, 1953, A. carinicollis Bates, 1873 and A. amboroensis Clarke 2013; and Acyphoderes is divided into three informal species groups. A new genus, Ameriphoderes, is proposed for eleven Mexican and Central American species, Ameriphoderes acutipennis (Thomson, 1860), A. amoena (Chemsak and Linsley, 1979), A. ayalai (Chemsak and Linsley, 1988), A. bayanicus (Giesbert, 1991), A. cribricollis (Bates, 1892), A. magna (Giesbert, 1991), A. parva (Chemsak and Linsley, 1979), A. prolixa (Chemsak and Linsley, 1979), A. suavis (Bates, 1885), A. velutina (Bates, 1885) and A. yucateca (Bates, 1892); and Ameriphoderes is divided into two informal species groups. Acyphoderes delicata Horn, 1894 is placed in its own genus, Amerispheca. Other new genera are proposed for the following; Acyderophes for Acyphoderes fulgida Chemsak and Linsley, 1979; Brachyphoderes for Acyphoderes dehiscens Chemsak, 1997 and A. longicollis Chemsak and Noguera, 1993; Acutiphoderes for Acyphoderes odyneroides White, 1855; and Anomaloderes for Acyphoderes itaiuba Martins and Galileo, 2004. Acyphoderes sexualis Bates, 1885 and Sphecomorpha forficulifera (Gounelle, 1913) are moved to the new genus Forficuladeres. Acyphoderes synoecae Chemsak and Noguera, 1997 from Mexico is treated as a junior synonym of Sphecomorpha vespiventris
(Bates, 1880) from Guatemala. Acyphoderes cracentis Chemsak and Noguera, 1997 from Mexico, and Acyphoderes violaceus Bezark, Santos-Silva and Martins, 2012 from Costa Rica are placed in the new genus Odontogracilis, together with two species, Odontocera exilis Fisher, 1947 from Mesoamerica and Odontocera gracilis (Klug, 1825) from Brazil. Identification keys are provided for the genera, species groups (and the species in each one). All species are illustrated (both male and female when available). Plates illustrating the following are also provided; types of abdomen, hind leg, and aedeagus (tegmen and median lobe). Host-flower records are provided for many species.
Distributional data are presented for Neotropical spongillafl ies (Sisyridae). New country records from Uruguay are presented for Climacia carpenteri Parfi n and Gurney, C. insolita Flint, C. versicolor Flint. Climacia desordentata Monserrat is synonymized with Climacia basalis Banks, NEW SYNONOMY. For the fi rst time, Sisyra apicalis Banks is reported from Guatemala, Suriname, and Uruguay, and S. panama Parfi n and Gurney is reported from Peru. Additional distributional data are presented for other species.
Characterized by small body size, apically rounded/lobed anterior gonopod telopodites, long slender posterior gonopod telopodites, and torsion in the cyphopod receptacles, Floridobolus fl oydi, n. sp., is described from the southern sector of the Brooksville Ridge in northwestern peninsular Florida. It inhabits sandy “Big Scrub” environments like F. penneri Causey, 1957, and F. orini Shelley, 2014, and is documented from the sector’s center and northern periphery, in Hernando and Citrus Counties, respectively, with a sight record from the eastern periphery. Its discovery supports the thesis that each sand ridge in peninsular Florida may harbor a unique species of this endemic genus.
SAFE Newsletter : 2014, Q4
(2014)
SAFE Newsletter : 2015, Q2
(2015)
SAFE Newsletter : 2015, Q1
(2015)
SAFE Newsletter : 2015, Q3
(2015)
SAFE Newsletter : 2015, Q4
(2015)
SAFE Newsletter : 2016, Q1
(2016)
Acht Lebensjahrzehnte vollenden Sie, lieber Herr Preising, in diesem Jahr und Sie könnten sich nun geruhsam in Ihrem Landhaus inmitten der Lüneburger Heide auf ein ausgefülltes persönliches und wissenschaftliches Leben zurückbesinnen. Ihre Schaffensfreudigkeit und Ihre Zuversicht sind trotz zahlreicher gesundheitlicher Rückschläge aber immer noch Motor und Kraftquelle für Sie, um das wissenschaftliche Werk weiterzuführen und die Pflanzengesellschaften Niedersachsens mit ihrer Bestandsentwicklung, ihrer Gefährdung und ihren Schutzproblemen zu vollenden.
Bücherschau
(1990)
In Anerkennung des von Reinhold Tüxen aufgebauten Forschungszentrums hat nach seinem Tode die Niedersächsische Landesregierung den wissenschaftlichen Nachlaß im Jahre 1981 erworben. Der Erlös aus dem Ankauf des wissenschaftlichen Nachlasses mit ihrer Lehrbuchsammlung, mehr als 40.000 Separata, ihren Karteien, pflanzensoziologischen Originaltabellen und ihren als Dokumente unersetzlichen Diapositiven ist auf testamentarischen Beschluß Tüxens in die REINHOLD-TÜXEN-GESELLSCHAFT e.V. und die REINHOLD-UND-JOHANNA-TÜXEN-STIFTUNG eingegangen. Satzungsgemäßer Zweck der Gesellschaft ist die Förderung der Pflanzensoziologie in Forschung, Lehre und Anwendung sowie die Betreuung und finanzielle Förderung wissenschaftlicher Arbeiten auf der Grundlage der von R. Tüxen entwickelten wissenschaftlichen Grundsätze.
Über 130 Teilnehmer hatten sich zur Jahrestagung der Floristisch-soziologischen Arbeitsgemeinschaft in Münster eingefunden. Bei der Vorbereitung und Durchführung wurde der Tagungsleiter Prof. Dr. F. J. A. Daniels unterstützt von Prof. Dr. K. Burrichter (Münster), Prof. Dr. R. Pott (Hannover), Dr. F. Runge, Dr. E. Schröder, Dr. G. Vester, Dr. A. Vogel (Münster), Dr. J. Hüppe (Hannover), Dr. G. Verbücheln (Düsseldorf), Dr. R. Aerts und Dr. W. Koerselmann (Utrecht, NL), B. Stabenow (Kiel), G. Bremer, J. Pallas, S. Paus und Ch. Rückriem (Münster) sowie anderen Doktoranden und Diplomanden der Arbeitsgruppe Geobotanik in Münster. Nach der Begrüßung der Teilnehmer durch Prof. Daniels im Hotel Lindenhof wurden einführende Vorträge gehalten. Danach fand die ordentliche Jahresversammlung der Floristisch-soziologischen Arbeitsgemeinschaft statt. Am Freitagnachmittag, dem 30.6., wurden 4 Exkursionen in die Umgebung von Münster durchgeführt. Am Samstag und Sonntag, dem 1. und 2.7., fanden ganztägige Exkursionen statt, zudem am Montag, dem 03.07. eine Nachexkursion in die Niederlande.
Die frühen Abschnitte des Postglazials sind im Harz in den bisher bekannten Pollendiagrammen nur unzureichend erfasst. Drei neue Diagramme aus dem Hochmoor "Radauer Born" werden vorgestellt, welche die Entwicklung der Vegetation vom Ende der waldfreien Zeit bis zum Beginn der mittleren Wärmezeit abbilden.
Die nacheiszeitliche Ausbreitung und heutige pflanzensoziologische Stellung von Ilex aquifolium
(1990)
Ursachen und Voraussetzung der Bildung von Ilex aquifolium-reichen Waldgesellschaften werden erörtert und diskutiert. Als atlantisch-submediterranes Gehölz, das vor allem früh- und spätfrostgefährdet ist, benötigt Ilex auf dem europäischen Festland fast überall eine schützende Baumschicht. Das ist wichtig für die postglaziale Ausbreitung von Ilex aus seinen eiszeitlichen Refugien. Die Wege und naturräumlichen Etablierungstendenzen werden nach aktuellen pollenanalytischen Befunden dargestellt. Diese zeigen die multifunktionellen Wirkungskomplexe bei der Ausbreitung von Ilex und dessen Einnischung in verschiedene Waldgesellschaften der Quercetalia robori-petraeae sowie der Fagetalia sylvaticae. Pflanzensoziologisch erfaßt und ausgewertet werden Waldgesellschaften mit reichlichem Ilex-Unterwuchs, so das Fago-Quercetum, das Luzulo-Quercetum, Luzulo-Fagetum-Wälder, Carpinion-Gesellschaften und anspruchsvollere Kalkbuchenwälder des Galio odorati-Fagenion. Dabei zeigt Ilex keine direkte Bindung an eine Waldgesellschaft; vielmehr sind die Ilex-reichen Wälder weitgehend als Relikte der ehemaligen Waldnutzung, vor allem der Waldweide, aufzufassen.
Untersucht wurde der Einfluß oberflächlich ausgebrachter magnesiumhaltiger Kalke auf das C/N-Verhältnis, die Urease- und die Saccharaseaktivität von Vermoderungslagen (Of-Lagen) in Fichtenforsten des Deisters (Waldgebirge südlich von Hannover) ein bis zwei Jahre nach der Düngung. Als Vergleichsflächen dienten ungedüngte Parzellen mit gleichaltrigen Fichtenbeständen unter gleichen geologisch-pedologischen Verhältnissen (Wealden-Sandstein, Podsol-Braunerden, Humusform Moder bis Rohhumus). Die gekalkten Of-Lagen zeigten gegenüber den ungekalkten eine Verminderung des C/N-Verhältnis und eine Erhöhung der Ureaseaktivität. Diese Veränderungen werden als Indizien für eine durch die Kalkung bewirkte Verstärkung der biologischen Aktivität im Of-Horizont interpretiert. Die Saccharaseaktivität des Of-Horizonts war durch die Kalkung nicht beeinflusst worden. Im Oh und im Aeh hatten sich das C/N-Verhältnis und die Ureaseaktivität zur Zeit der Untersuchung (noch) nicht verändert.
In Belize, which is well known for the Belize Barrier Reef and its offshore atolls, coastal lagoons are frequent morphological features along the coast. They represent transitional environments between siliciclastic and carbonate settings. In order to shed light into the Holocene evolution of coastal lagoon environments, five localities along the central coast of Belize were selected as coring sites. These include four coastal lagoons and one marsh area, namely Mantatee Lagoon, Mullins River Beach, Colson Point Lagoon, Commerce Bight Lagoon and Sapodilla Lagoon. A total of 26 sediment cores with core lengths ranging from 109 cm to 500 cm, were drilled using a Lanesky-vibracorer. Overall, 73 m of Holocene sediments and Pleistocene soil were recovered. Together with 58 radiocarbon dates the sediments reveal details on the sediment architecture and depositional features of the localities.
Marine inundation of the mainland and coastal lagoon formation started around 6 kyrs cal BP.
As a response to sea-level rise during the Holocene transgression, facies retrograded towards the coast, as seen in marginal marine overlying brackish mollusk faunas. Evidence for late Holocene progradation of facies due to sea-level stagnation is largely lacking. The occurrence of landward thinning sand beds, hiatuses and marine fauna in lagoonal successions are indications of event (overwash) sedimentation. Sediments recovered are largely of Holocene age (<7980 cal BP), overlying Pleistocene sections. Analyses of sediment composition and texture, radiocarbon dating and mollusk shell identification were used to describe and correlate sedimentary facies.
XRD analyses have identified quartz as the dominant mineral, with the Maya Mountains as main source of coastal lagoon sediments. The most common sedimentary facies include peat and peaty sediment, mud, sand, and poorly sorted sediments. Pleistocene soil forms the basement of Holocene sediments. Holocene mud represents lagoon background permanent sedimentation.
Peats and peat-rich sequences were deposited in mangrove swamp environments, whereas sandy facies mainly occur in the shoreface, beach, barriers, bars, barrier spits and overwash deposits. Facies successions could be identified for each locality, but it has proven difficult to correlate the stratigraphic sequences, especially among localities. These differences among the five locations studied suggest that apart from regional influence such as sea-level rise, local environmental factors such as small-scale variation in geomorphology and resulting facies heterogeneity, connectivity of the lagoon with the sea, antecedent topography and river discharge, were responsible for coastal sedimentation and lagoon development in the Holocene of Belize.
Faunal composition and distribution patterns of mollusk assemblages from 20 shell concentrations in cores collected in coastal lagoons, a mangrove-fringed tidal inlet and the marginal marine area (shallow subtidal) show considerable variation due to environmental heterogeneity and the interplay of several environmental factors in the course of the mid-late Holocene (ca. 6000 cal BP to modern). The investigated fauna ≥2 mm comprises 2246 bivalve, gastropod and 11 scaphopod specimens. Fifty-three mollusk species, belonging to 42 families, were identified. The bivalve Anomalocardia cuneimeris and cerithid gastropods are the dominant species and account for 78% of the total fauna. Diversity indices are low in concentrations from lagoons and relatively high in the marginal marine and tidal inlet areas.
Based on cluster analysis and nonmetric multidimensional scaling (NMDS), seven lagoonal assemblages and three marginal marine/tidal inlet assemblages were defined. A separation between lagoonal and marginal marine/tidal inlet assemblages seen in ordination indicates a lagoon-onshore gradient. The statistical separation among lagoonal assemblages demonstrates environmental changes during the Holocene evolution of the coastal lagoons, which is probably related to the formation of barriers and spits. The controlling factors of species distribution patterns are difficult to figure out, probably due to the heterogeneity of the barrier-lagoon systems and the interaction of paleoecological and paleoenvironmental factors. In addition to the taxonomic analysis, a taphonomic analysis of 1827 valves of A. cuneimeris from coastal lagoons was carried out. There is no relationship between depth and age of shells and their taphonomic condition. Size-frequency distributions and right-left valve ratios of A. cuneimeris suggest that valves were not transported over long distances but were deposited parautochthonously in their original habitat. Shells from tidal inlet and marginal marine environments were also predominantly deposited in their original habitats.
Since the Belize coast was repeatedly affected by hurricanes and the paleohurricane record for this region is poor, the sediment cores have been examined in order to identify storm deposits.
The paleohurricane record presented in this study spans the past 8000 years and exhibits three periods with increased evidences of hurricane strikes occurring at 6000-4900 cal yr BP, 4200-3600 cal yr BP and 2200-1500 cal yr BP. Two earlier events around 7100 and 7900 cal yr BP and more recent events around 180 cal yr BP and during modern times have been detected. Sand layers, redeposited corals and lagoon shell concentrations have been used as proxies for storm deposition. Additionally, hiatuses and reversed ages may indicate storm influence. While sand layers and corals represent overwash deposits, the lagoon shell concentrations, which mainly comprise the bivalve Anomalocardia cuneimeris and cerithid gastropods, have been deposited due to changes in lagoon salinity during and after storm landfalls. Comparison with other studies reveals similarities with one record from Belize, but hardly any matches with other published records. The potential for paleotempestology reconstructions of the barrier-lagoon complexes along the central Belize coast differs depending on geomorphology, and deposition of washovers in the lagoon basins is limited, probably due to the interplay of biological, geological and geomorphological processes.
The Compressed Baryonic Matter (CBM) experiment will explore the phase diagram of strongly interacting matter in the region of high net baryonic densities. The matter at these extreme conditions will be produced and studied in heavy-ion collisions with a fixed target set-up.
The present work is dedicated to the main component of the CBM experiment - the Silicon Tracking System (STS). The STS comprises of 8 tracking stations with 1292 double sided silicon microstrip sensors. The STS has to enable the reconstruction of up to 1000 charged particle tracks per nucleus-nucleus interaction at the rate of up to 10 MHz, provide a momentum resolution of Δp/p =1%, and withstand the radiation load of up to 1 x 1014 neq/cm2 (neq — radiation dose of 1 MeV neutron equivalent). Self-triggering read-out electronics will be located on the periphery of the detecting planes, and connected to the sensors with low mass micro-cables.
During the R&D phase, as well as in the pre-series and series production phase, the characterization of the sensors, of the front-end electronics and of the complete detector modules has to be performed. It is evident that characterization of more than 1000 silicon microstrip sensors and later of complete detector modules is very time-consuming, and may even damage the objects if not performed carefully. One of the goals of this work was to develop a systematic procedure for the quality assurance for the double-sided silicon microstrip sensors. This includes static optical inspection and visual tests, passive electrical test (such as leakage current, bulk capacitance, inter-strip capacitance & resistances, bias resistance and coupling capacitance), radiation hardness and long-term stability. A strategy for the quality assurance of these sensors is presented, defining the various tests to be performed and the documentation of the results. The techniques and quality assurance criteria will be applied for the pre-series and series production.
With decreasing feature size and increase in functionality and structures, the classical mechanical probe approach for internal fault detection and functional testing faces increasing challenges. In the field of silicon based chips and sensors there is rarely any analysis on the topic of non-invasive or contact-less probing and characterization, despite the fact that the contact-less probing is becoming more and more important as the fabrication technologies become smaller and more susceptible to the parasitic impact of mechanical probes. The silicon micro-strip double sided sensors used in STS have a complex structure, such as 1024 metal electrodes, 2048 bias resistors, 2048 DC pads and 4098 AC pads for probing, several guard rings, and even more in the 6.2 cm x 6.2 cm prototype sensor. Photo-intrusive technique is the best solution for the characterization and investigation of crucial parameters related to the detector operation and its functionality. A photo-intrusive probing is a method in which a non-invasive pulsed laser of a desired wavelength is used to inject the photon into the bulk and resulting in electron-hole pairs (e-h). In a completely depleted silicon sensor the charge injected (or generated) by the pulsed laser beam could be detected as current and shall be used for characterization.
A non-invasive contact-less Laser Test System (LTS) was developed based on a pulsed laser to investigate properties of the silicon sensors. The set-up is able to inject charge locally and scan sensors(or detector modules) with a pulsed infra-red laser driven by a step motor. The LTS is designed to measure sensor response in an automatized procedure at several thousand positions across the sensor with focused infra-
red laser light (spot size = 12 μm , wavelength = 1060 nm). The duration (10 ns) and power (5 mW) of the laser pulses are selected such that the absorption of the laser light in the 300 μm thick silicon sensors produces a number of about 24000 electrons, which is similar to the charge created by the minimum ionizing particles (MIP) in these sensors. The set-up was used to developed characterization procedures to determine the charge sharing between strips, and to measure a qualitative uniformity of the sensor response over the whole active area. The prototype sensors which are tested with the set-up are small prototype sensors (256 strips, pitch = 50 μm on each side) and full-size detector modules (1024 strips/side and pitch = 58 μm). They are read-out using a self-triggering prototype read-out electronic ASIC called n-XYTER. Laser scans for amplitude response, charge sharing in the inter-strip region, and spot-size determination technique are reported. For the verification of the some design parameters, unique methods of determining coupling capacitance, and inter-strip capacitance have been developed. The modules were also tested with proton beams, and the charge sharing in the inter-strip region has been compared to the laser test results.
Small molecule drug discovery is strongly supported by biophysical data. In the reach of this thesis, cell free protein expression was used to produce human target proteins for ligand binding assays using Surface Plasmon Resonance spectroscopy (SPR). In the second step the binding and interaction characteristics of small molecules and fragments were analyzed using Nuclear Magnetic Resonance spectroscopy (NMR).
The first target protein was the human acid sensing channel 1 (ASIC1a). ASIC1a was expressed in a cell free expression system based on E.coli lysate. To optimize the expression, several parameters including fusion tags, ion concentrations and different hydrophobic environments were tested.
The adaption of the folding environment for ASIC1a needed more optimization, because it is a very challenging target to express in an in vitro system. Three different expression modes were employed to find a suitable folding environment.
SPR binding studies with ASIC1a were performed with chicken ASIC1a expressed in insect cells. The immobilization of cASIC1a and the used buffer conditions were tested using Psalmotoxin 1, a naturally occurring peptide venom which binds strong to the trimeric form of ASIC1a. Compound characterization experiments were performed with a variety of different ligands including amiloride, a general blocker of the whole ENaC protein family. None of the used ligands showed titration curves that would match a simple 1:1 binding model. The experiments either show no binding signal or signal that could be interpreted as unspecific binding. Even amiloride that should be binding the protein shows no signals that fit a simple binding model.
Another target protein that was investigated is the soluble prolyl cis/trans isomerase Cyclophilin D (or peptidyl prolyl isomerase F – PPIF). This protein is involved in the regulation of the mitochondrial permeability transition pore and therefore a potential drug target to treat neurodegenerative diseases. Small molecule binding was tested with CypD using SPR. Following the kinetic analysis of small molecule ligands, the binding position of different binding fragments was analyzed. These fragments originated from a SPR based fragment screen and gave no co-crystal structures with CypD. Therefore NMR was used to investigate the binding position of these fragments. An analysis of the chemical shift perturbations upon ligand addition revealed that the NMR analysis was in line with the results gathered by x-ray crystallography. The fragments with unknown binding position however, all bind to a specific patch slightly outside the binding pocket.
The ligand CL1 showed a special behavior in the NMR experiments. Upon addition to CypD, it produced large shifts on many signals of the protein, accompanied by a severe line broadening. The shift perturbations were so numerous and large that the spectrum had to be reassigned in complex with the ligand. Triple selective labeling was applied to allow a fast and nearly complete signal assignment. The possibility to use highly sophisticated labeling schemes, is one of the advantages of cell free protein expression. After the assignment of the complex spectrum, the chemical shift perturbations were analyzed and quantified. The residues showing the strongest CSPs are also identified in the crystal structure to be involved in the binding of CL1, giving a consistent picture. The numerous and large shift perturbations, produced by CL1 led to the assumption, that the ligand induces a conformational change in CypD, which is not represented in the co-crystal structure. This conformational change was characterized by a NMR based structure determination. CypD apo yielded a defined bundle, whose folded regions overlap well with the corresponding crystal structure.
For the calculation of the CypD-CL1 complex structure, the sidechain resonances were assigned using an automated assignment approach with the software FLYA. The calculation of the CypD-CL1 complex structure did not result in a defined bundle. While parts of the protein converge in a well folded state, the region around the active site shows no defined folding. Careful analysis of the structure calculation suggests that the problems during structure calculation did not originate from an incorrect resonance assignment, but rather from a lack of NOE crosspeaks. This might be due to a broadening of the corresponding NOE crosspeaks or the coexistence of many different conformations. This leads to the conclusion, that the protein conformation is not defined by the NMR data and could be in a dynamic interchange between multiple structures.
This hypothesis is supported by other observations. The line broadening of the signals in the complex is pronounced in the area around the active site and the substrate binding pocket, hinting to a connection between catalytic activity and protein dynamics. In addition many NMR signals are sensitive to changes in the measurement field strength and the temperature. This field dependent signal splitting suggests dynamic conformational changes in the protein between at least two different conformations on a millisecond timescale.
The current working model is that CL1 binds to CypD and induces the catalytic cycle and the connected conformational changes in CypD. As a result the proline like moiety in CL1 is constantly switching between the cis and the trans conformation. Due to the high affinity of CL1, the inhibitor does not leave the binding pocket after successful catalysis, but stays bound in the pocket stimulating further catalytic cycles. These findings as well as the working model are well in line with data published for Cyclophilin A, another member of the cyclophilin family, thereby supporting the model.
Water is scarce in semi-arid and arid regions. Using alternative water sources (i.e. non-conventional water sources), such as municipal reuse water and harvested rain, contributes to using existing water resources more efficiently and productively. The aim of this study is to evaluate the two alternative water sources reuse water and harvested rain for the irrigation of small-holder agriculture from a system perspective. This helps decision and policy makers to have proper information about which system and technology to adopt under local conditions. For this, the evaluation included ecologic, societal, economic, institutional and political as well as technical aspects. For the evaluation, the study area in central-northern Namibia was chosen in the frame of the research and development project CuveWaters. The main methods used include a mathematical material flow analysis, the computation and modelling of crop requirements, a multi-criteria decision analysis using the Analytical Hierarchy Process (AHP) method and a financial cost-benefit analysis. From a systemic perspective, the proposed novel systems were compared to the exciting conventional infrastructure. The results showed that both water reuse and rainwater harvesting systems for the irrigation of small-holder horticulture offer numerous technological, ecologic, economic, societal, institutional and political benefits. Rainwater harvesting based gardens have a positive benefit-cost ratio under favorable conditions. Government programs could fund the infrastructure investment costs, while the micro-entrepreneur can assume a micro-credit to finance operation and maintenance costs. Installing sanitation in informal settlements and reusing municipal water for irrigation reduces the overall water demand of households and agriculture by 39%, compared to improving sanitation facilities in informal settlements without reusing the water for agriculture. Given that water is the limiting factor for crop fertigation, the generated nutrient-rich reuse water is sufficient to annually irrigate about 10 m2 to 13 m2 per sanitation user. Compared to crop nutrient requirements, there are too many nutrients in the reuse water. Thus when using nutrient-rich reuse water, no use of fertilizers and a careful salt management is necessary. When comparing this novel system with improved sanitation, advanced wastewater treatment and nutrient-rich water reuse to the conventional and to two adapted systems, results showed that the novel CuveWaters system is the best option for the given context in a semi-arid developing country. Therefore, the results of this study suggest a further roll-out of the novel CuveWaters system. The methodology developed and the results of this study demonstrated that taking sanitation users into consideration plays a major role for the planning of an integrated water reuse infrastructure because they are the determinant factor for the amount of available nutrient-rich reuse water. In addition, it could be shown that water reuse and rainwater harvesting systems for the irrigation of small-scale gardens provide a wide range of benefits and can be key to using scarce water resources more efficiently and to contributing to the Sustainable Development Goals.
kurz und kn@pp news : Nr. 36
(2016)
his paper analyses the consumption-investment problem of a loss averse investor equipped with s-shaped utility over consumption relative to a time-varying reference level. Optimal consumption exceeds the reference level in good times and descend to the subsistence level in bad times. Accordingly, the optimal portfolio is dominated by a mean-variance component in good times and rebalanced more aggressively toward stocks in bad times. This consumption-investment strategy contrasts with customary portfolio theory and is consistent with several recent stylized facts about investors' behaviour. I also analyse the joint effect of loss aversion and persistence of the reference level on optimal choices. Finally, the strategy of the loss averse investor outperforms the conventional Merton-style strategies in bad times, but tend to be dominated by the conventional strategies in good times.
We introduce long-run investment productivity risk in a two-sector production economy to explain the joint behavior of macroeconomic quantities and asset prices. Long-run productivity risk in both sectors, for which we provide economic and empirical justification, acts as a substitute for shocks to the marginal efficiency of investments in explaining the equity premium and the stock return volatility differential between the consumption and the investment sector. Moreover, adding moderate wage rigidities allows the model to reproduce the empirically observed positive co-movement between consumption and investment growth.
This paper introduces endogenous preference evolution into a Lucas-type economy and explores its consequences for investors' trading strategy and the dynamics of asset prices. In equilibrium, investors herd and hold the same portfolio of risky assets which is biased toward stocks of sectors that produce a socially preferred good. Price-dividend ratios, expected returns and return volatility are all time varying. In this way, preference evolution helps rationalize the observed under-performance and local biases of investors' portfolios and many empirical regularities of stock returns such a time variation, the value-growth effect and stochastic volatility.
Keywords: Asset pricing, general equilibrium, heterogeneous investors, interdependent preferences, portfolio choice
JEL Classification: D51, D91, E20, G12
We investigate the role of competition on the outcome of Austrian Treasury auctions. Austria's EU accession led to an increase in the number of banks participating in treasury auctions. We use structural estimates of bidders' private values to examine the effect of increased competition on auction performance: We find that increased competition reduced bidder surplus substantially, but less than reduced form estimates would suggest. A significant component of the surplus reduction is due to more aggressive bidding. Counterfactuals establish that as competition increases, concerns regarding auction format play a smaller role.
Private equity fund managers are typically required to invest their own money alongside the fund. We examine how this coinvestment affects the acquisition strategy of leveraged buyout funds. In a simple model, where the investment and capital structure decisions are made simultaneously, we show that a higher coinvestment induces managers to chose less risky firms and use more leverage. We test these predictions in a unique sample of private equity investments in Norway, where the fund manager's taxable wealth is publicly available. Consistent with the model, portfolio company risk decreases and leverage ratios increase with the coinvestment fraction of the manager's wealth. Moreover, funds requiring a relatively high coinvestment tend to spread its capital over a larger number of portfolio firms, consistent with a more conservative investment policy.
This is the eleventh article in our series Trouble on the Far-Right.
Far right and anti-Muslim politics in Britain have become increasingly fragmented. The British National Party (BNP), once the leading far right party, has largely collapsed. During the 2010 general election the BNP polled only 1.9% of the vote and was overshadowed by the United Kingdom Independence Party (UKIP), a right-wing, anti-immigration populist party unencumbered by the BNP’s debilitating historical baggage. Thereafter, the BNP leadership descended into demoralization, bitter recrimination and factional rivalry, hastening the departure of its activist base, the collapse of its membership and leading, ultimately, to the expulsion of its chairman, Nick Griffin, as the party continued its further descent to political irrelevance. The BNP appears ‘finished’ as a political force, its ‘quest for legitimacy’ at an end.
This is the tenth article in our series Trouble on the Far-Right.
How can a racist party that was getting less than 0.2% of the vote for years, enter parliament with 18 MPs? How can a party that promotes violence, hate, sexism and murders amplify its reach after each pogrom? How can Golden Dawn remain the third political power in Greece for four years? And what’s in the mind of a Golden Dawner?...
This is the sixth article in our series Trouble on the Far-Right.
As everywhere else in Eastern Europe, ever since the fall of the communist regime, Romania’s political system has experienced dramatic changes from one electoral cycle to another, starting off with what was considered to be an inflation of political parties at the beginning of the 1990’s and arriving today at what seems to approximate a two-party system, with the Social-Democratic Party (PSD) on the left and the National Liberal Party (PNL) on the right side of the political spectrum. However, the fog surrounding the ideological identities of virtually all Romanian political parties has only intensified in time, leaving the party system in flux and creating the idea that there are no significant differences between the major political players. As was the case of many other countries, this situation has generated the (at least partial) success of a radical anti-establishment discourse. However, unlike other European countries, the far right in Romania did not benefit by the financial crisis...
Here we go again. Recent terrorist attacks against another European capital city in less than a year continue to shake the core of world politics. It is worth to note that terrorist attacks are not only happening against European states, but also against other countries, most notably Turkey and Indonesia. Is it a clash of cultures, religions, or it is merely politics? How do we keep serving Daesh (Islamic State)?
This is the ninth article in our series Trouble on the Far-Right.
Since around 1990, the state of the Austrian far right1 has been characterized by the strength of the Austrian Freedom Party (FPÖ – Freiheitliche Partei Österreichs, more precisely translated as Freedomite Party of Austria2) and the relative weakness of extra-parliamentarian far right activism. Far from a mere coincidence, these two features are to be understood as closely linked: the FPÖ’s electoral successes have brought far right causes and talking points unto the political center stage on a national level, given them ample media coverage and made street militancy increasingly pointless. Insofar, the Austrian far right spectrum could – at least until recently – be described as a photographic negative of the situation in Germany: successful party politics, weak bottom-up mobilizations and a comparatively low incidence of street violence. Currently, however, the long held hopes of German right-wingers for a party both in the mold, and strength, of the FPÖ are apparently being fulfilled by the emergence of the Alternative for Germany (AfD). Conversely, both legal and illegal street activism have been on the rise in Austria in recent years, particularly since the start of the asylum crisis in Europe. Numerous violent incidents were reported in 2015, including a minimum of 25 attacks on housing facilities for asylum seekers.
This is the fifth article in our series Trouble on the Far-Right.
The threat that the far right poses to civil society changes across time and space. In Britain this threat has generally been in the form of hate-crimes and public disorder, yet in the past two decades there has been a shift towards solo-actor terrorism. By examining far right groups in the UK in the post-war period this paper explores the drivers of this change; namely, how membership in extremist groups combined with the proliferation of far right networks created by the internet can create a pathway to radicalisation which ends in acts of terror.
This is the fourth article in our series Trouble on the Far-Right.
Terror from the extreme right has again gained a wider public attention in 2011 with the devastating attacks carried out by Anders Behring Breivik in Norway and the detection of the right-wing terrorist cell called “National Socialist Underground” (NSU), which had committed ten murders, three bombings and a dozen bank robberies during more than a decade of time in Germany. In many Western countries violence motivated by racism, anti-government hate, anti-Semitism or other aspects of right-wing extremism, appears to be a regular part of criminal activities. Hate crime legislation and statistics vary strongly but show that next to high intense terrorist attacks such as 9/11, the attacks in London, Madrid or Paris, right-wing violence and terrorism is the most dangerous politically motivated threat. In the United States for example Perliger (2012) counted 4,420 right-wing terrorist incidents between 1990 and 2012 causing 670 fatalities and 3,053 injuries. In Germany official statistics counted 69 right-wing attacks between 1990 and 2015 causing 75 casualties, while civil society watchdogs count up to 184 deaths. In Russia some experts speak of approximately 450 right-wing motivated killings between 2004 and 2010. Nevertheless, this specific form of political violence remains largely under-researched and misunderstood as non-terroristic. In consequence the threat from the far right is continuously downplayed with severe consequences for victims and the internal security.
This is the eighth article in our series Trouble on the Far-Right.
Trouble’s brewing for the European Union – also in Finland, where the next country-wide elections will see several new, EU-hostile nationalist groups attempt to establish themselves on the political map. At the same time, Finnish Fascism is seeking to entrench and normalize itself into a respectable part of the political framework.
With disaffection growing, the time appears to be ripe. As Heikki Hiilamo, professor of social policy in Helsinki University notes, Finland has been particularly hard hit by the most recent economic downturn. The middle and lower classes are seeing their expectations fade into uncertainty, as globalization is bringing new and intangible threats in the form of vanishing jobs. Finland is heading towards increasing social inequality, with the reality of the educated and the employed drifting further apart from “globalization’s losers”. With no self-evident owner in sight, the accumulating political capital is attracting radical nationalist utilizers...
This is the third article in our series Trouble on the Far-Right.
I am the author of two books about the French nouvelle droite (ND – New Right): Where Have All The Fascists Gone? and Rethinking the French New Right: Alternatives to modernity. In 2014, I published a piece entitled „The French New Right Neither Right, nor Left?“. Surprisingly, the French ND leader Alain de Benoist responded with a polemical and largely ad hominem article in the same journal.1 I must stress that I neither identify with a political party, nor a political movement. I do not support any ideological current. De Benoist does. He is self-described as a man of the right. Hence, he cannot even claim intellectual objectivity.
In this piece, I want to offer some comments on my debate with de Benoist. I argue that while we should strive towards intellectual objectivity, we cannot be silent in the face of falsehoods. In this respect, the ND plays a dishonest game. Its leader and other ND intellectuals feign intellectual objectivity and the platitudes of transcending right and left, but they want cultural hegemony and the triumph of their decidedly radical right-wing ideals...
This is the seventh article in our series Trouble on the Far-Right.
While one cannot say that the far right movements and ideologies in Latvia are in a state of flux, the current situation in Europe has prompted some developments that could turn into significant trends in the medium to longer term. In turn, these could have an effect on broader European politics, if left unchecked...
All the species of Chorisodontium recorded from the neotropical mountains (Bolivia –Costa Rica) have been critically revised. Three species, C. nigricans Herz, C. mittenii (C. Müll.) Broth. And C. wallisii (C. Müll.) Broth. Are accepted. Chorisodontium speciosum (Hook. F. & Wils. ) Broth. Is placed as a variety to C. wallisii.
Index zu den Bildtafeln in folgenden Büchern: F. Schumm (2008): Flechten Madeiras, der Kanaren und Azoren.- 1-294, ISBN 978-300-023700-3; F. Schumm & A. Aptroot (2010): Seychelles Lichen Guide. - 1-404, ISBN 978-3-00-030254-1; F. Schumm (2011): Kalkflechten der Schäbischen Alb - ein mikroskopisch anatomischer Atlas. - 1-410, ISBN 978-3-8448-7365-8 ; A. Aptroot & F. Schumm (2011): Fruticose Roccellaceae - an anatomical-microscopical Atlas and Guide with a worldwide Key and further Notes on some crustose Roccellaceae or similar Lichens. - 1- 374, ISBN 978-3-033689-8; F. Schumm & A Aptroot (2012): A microscopical Atlas of some tropical Lichens from SE-Asia (Thailand, Cambodia, Philippines, Vietnam). - Volume 1: 1-455 (Anisomeridium-Lobaria), ISBN 978-3-8448-9258-1, Volume 2: 456-881 (Malmidea -Trypethelium). ISBN 978-3-8448-9259-9; F. Schumm & A. Aptroot (2013): Flechten Madeiras, der Kanaren und Azoren – Band 2 (Ergänzungsband): 1-457, ISBN 978-3-7322-7480-2; F. Schumm & J.A. Elix (2014): Images from Lichenes Australasici Exsiccati and of other characteristic Australasian Lichens – Volume 1: 1-665, ISBN 978-3-7386-8386-9; Volume 2: 666-1327, ISBN 978-3-7386-
8387-5
The amino acid content (alanine/arginine, glutamine, proline, taurine) of five different lichen species (Evernia prunastri, Hypogymnia physodes, Parmelia sulcata, Physcia adscendens, Xanthoria parietina) from different parts of Germany and NW France with different atmospheric nitrogen depositions was determined.
The study revealed that the so called nitrophytic lichen species (Physcia adscendens, Xanthoria parietina) had no higher amino acid contents as compared with the other species. The amino acid contents of five different lichen species from the same tree varied without regard to the nitrophily of the species. The contents of amino acids of the lichen species studied from Bonn is four to twelve times higher as in the same species in the Vosges Mountains, France. The amount of amino acids in nitrophytic species (Xanthoria parietina, Physcia adscendens) from a region with high load of atmospheric nitrogen (35 kg/y/ha) is in average 5 times higher than in the same species from a region with low nitrogen immission (16 kg/y/ha).
It can be concluded that the amino acid contents of lichens reflects the atmospheric nitrogen load and that the amino acid content of so called nitrophytic lichen species is not higher as in other species, that lichens are passive sampler and take up the available nitrogen but make no use of it but store it as amino acids. On the other hand, the conductivity of the cell liquid (as a measure of the osmotic pressure) of nitrophytic lichen species is higher as compared with non-nitrophytic species. Thus the “nitrophily” of these species is presumably not based upon the facility to higher nitrogen uptake but osmotic tolerance against the salt effects of nitrogen compounds. Within nitrophytic species, the osmotic values of Phaeophyscia orbicularis are double as high as those from Physcia adscendens, which is explained by the higher tolerance of Phaeophyscia against dry deposition. The higher osmotic values of nitrophilous lichen species lead to the conclusion that they are also drought resistant species and occur in regions with low humidity where they are more competitive than other lichen species.
This is the second article in our series Trouble on the Far-Right.
Since 2011 signs have been multiplying in Europe of a far right grassroots insurgency in the making. And there were signals, too, of a racist insurrection: arson attacks, petrol bombs, paramilitary and vigilante activities, and the stockpiling of weapons. The first major indication of the far right’s capacity for mass murder came from Norway on 22 July 2011. Anders Behring Breivik killed 77 people, mainly teenagers, whom he shot dead at the Labour Party youth summer camp on Oslo’s Utøya Island. At his trial, Breivik described the youngsters he so cruelly murdered as ‚traitors‘ who had embraced immigration in order to promote an ‘Islamic colonization of Norway‘..
This is the first article in our series Trouble on the Far-Right.
Europe is in trouble. Far right politics is spreading all over the place and its actors and discourses become increasingly influential at various levels: Parties from the far right achieved successes in French, Austrian and Slovakian elections. Far right movement organizations in Germany and Italy mobilized thousands of people to the streets. In Sweden and Great Britain, vigilante and terrorist groups wage armed struggle. And last but not least, ‚illiberal models of democracy‘ in Poland and Hungary demonstrate the far right’s capacity to transform politics on the European level...
Meine Arbeit beschäftigt sich mit dem systematischen Problem des Selbstbewusstseins, nämlich mit der konzeptuellen Möglichkeit des Selbstbewusstseins. Für die Problemstellung meiner Arbeit ist die Kritik von Fichte und der Philosophen der Heidelberger Schule (dazu gehört Dieter Henrich, Ulrich Pothast, Manfred Frank und Konrad Cramer) an Kant von zentraler Bedeutung. Sie besagt, dass Kants Selbstbewusstsein konzeptuell unmöglich ist, weil es sich in einem petitio principii bzw. Zirkelargument verwickelt. Aufgrund dieser Problemstellung formuliere ich die Fragestellung meiner Arbeit folgendermaßen: ob erstens die Kritik dieser Philosophen angemessen ist? Ob zweitens die Selbstbewusstseinstheorie der Philosophen der Heidelberger Schule, die als Alternative zu Kants Selbstbewusstseinstheorie gemeint ist, überzeugend ist? Drittens ob Kants Selbstbewusstsein konzeptuell unmöglich ist bzw. ob bei Kant eine Theorie des Selbstbewusstseins vorliegt, die philosophisch möglich erscheint?
Die Ergebnisse meiner Untersuchung, die zugleich als Thesen meiner Dissertation gelten, zeigen: erstens sind die Kritiken von Fichte sowie Henrich und seinen Schülern an Kant nicht angemessen. Die Argumentation, derer sich Fichte und Henrich bedienen, um die definitorische Unmöglichkeit der Selbstbewusstseinsphilosophie Kants zu belegen, basiert auf ihrer Gleichsetzung von Apperzeption und Reflexion. Die Apperzeption kann konzeptuell jedoch nicht mit der Reflexion gleichgesetzt werden. Zweitens sind die von Henrich und seinen Schülern entwickelten Selbstbewusstseinstheorien nicht überzeugend, weil sie paradoxerweise zum Verschwinden des erklärten Phänomens, d. h. des Selbstbewusstseins führen. Die Unzulänglichkeit der Selbstbewusstseinstheorie Henrichs verkleinert aber nicht ihre Beiträge zu der Philosophie des Selbstbewusstseins. Durch seine Untersuchung und seine Reflexion über das Selbstbewusstseinsproblem hat Henrich die anderen Dimensionen des Selbstbewusstseinsphänomens eröffnet, die ihn dazu veranlasst haben, dass dasselbe Phänomen von der Perspektive der Intuition und der Mystik und der Romantik her herangegangen werden kann, wie die Selbstbewusstseinstheorien von seinen Schülern zeigen. Drittens ist Kants Selbstbewusstseins nicht unmöglich, wie Fichte, Henrich und seine Schüler behaupten. Kant hat eine Theorie des Selbstbewusstseins. Für ihn ist das Selbstbewusstsein bzw. das Ich ein spontanes Handeln im Form des Ich denke. Es fungiert als das Zugrundeliegende, hypokeimenon, als transzendentales Subjekt im Erkenntnisprozess. Kants Selbstbewusstsein ist ein transzendentales Selbstbewusstsein, das logisch angenommen werden muss als die objektive und notwendige Bedingung der Möglichkeit der Erfahrung.
Das kantische Subjekt kann jedoch nicht im ontologischen Sinne, nämlich als Substanz oder als ein erkennbares Dingartiges verstanden werden. Kant selbst warnt sein Leser an einigen Stellen der KrV, damit sein Subjekt nicht missverstanden wird. Es ist zwar ihm zufolge eine Substanz oder ein Ich, aber „nur eine Substanz in der Idee“ (A 351) oder „(Ich) Substanz im Begriffe, einfach im Begriffe“ (A 400) und nicht in Realität. D. h. das kantische Subjekt ist ein transzendentales Subjekt.
Kants Selbstbewusstsein thematisiert also einen philosophischen Sachverhalt. Worin liegt der philosophische Sinn des Selbstbewusstseins Kants? Er liegt erstens in seiner Transzendentalität, nämlich als Prinzip bzw. als apriorische Bedingung der Möglichkeit der Erkenntnis. Und seine Transzendentalität erlaubt uns nicht, es auf ein bestimmtes wissenschaftliches Problem zu reduzieren. Die Reduktion des Phänomens des Selbstbewusstseins Kants hat uns unmittelbar von seiner Transzendentalität weggeführt. Das philosophische Selbstbewusstsein kann nicht epistemologisch als natürliches Phänomen behandelt werden. Solche Naturalisierung hat unmittelbar seine Transzendentalität verneint. Kants Selbstbewusstsein hat auch zweitens philosophischen Sinn, weil unsere Erkenntnis davon bloß aus dem Begriff der Erfahrung kommt. Das heißt, wir haben Erkenntnis über dieses Selbstbewusstsein bloß aufgrund der Erklärbarkeit der Erfahrung.
This paper describes cash equity markets in Germany and their evolution against the background of technological and regulatory transformation. The development of these secondary markets in the largest economy in Europe is first briefly outlined from a historical perspective. This serves as the basis for the description of the most important trading system for German equities, the Xetra trading system of Deutsche Börse AG. Then, the most important regulatory change for European and German equity markets in the last ten years is illustrated: the introduction of the Markets in Financial Instruments Directive (MiFID) in 2007. Its implications on equity trading in Germany are analyzed against the background of the current status of competition in Europe. Recent developments in European equity markets like the emergence of dark pools and algorithmic / high frequency trading are portrayed, before an outlook on new regulations (MiFID II, MiFIR) that will likely come into force in early 2018 will close the paper.
In the wake of the recent financial crisis, significant regulatory actions have been taken aimed at limiting risks emanating from trading in bank business models. Prominent reform proposals are the Volcker Rule in the U.S., the Vickers Report in the UK, and, based on the Liikanen proposal, the Barnier proposal in the EU. A major element of these reforms is to separate “classical” commercial banking activities from securities trading activities, notably from proprietary trading. While the reforms are at different stages of implementation, there is a strong ongoing discussion on what possible economic consequences are to be expected. The goal of this paper is to look at the alternative approaches of these reform proposals and to assess their likely consequences for bank business models, risk-taking and financial stability. Our conclusions can be summarized as follows: First, the focus on a prohibition of only proprietary trading, as envisaged in the current EU proposal, is inadequate. It does not necessarily reduce risk-taking and it likely crowds out desired trading activities, thereby negatively affecting financial stability. Second, there is potentially a better solution to limit excessive trading risk at banks in terms of potential welfare consequences: Trading separation into legally distinct or ring-fenced entities within the existing banking organizations. This kind of separation limits cross-subsidies between banking and proprietary trading and diminishes contagion risk, while still allowing for synergies across banking, non-proprietary trading and proprietary trading.
An important prerequisite for the efficiency of bail-in as a regulatory tool is that debt holders are able to bear the cost of a bail-in. Examining European banks’ subordinated debt we caution that households may be investors in bail-in able bonds. Since households do not fulfil the aforementioned prerequisite, we argue that European bank supervisors need to ensure that banks’ bail-in bonds are held by sophisticated investors. Existing EU market regulation insufficiently addresses mis-selling of bail-in instruments.
A number of contributions to research on monetary policy have suggested that policy should be asymmetric near the lower bound on nominal interest rates. As inflation and economic activity decline, policy should ease more aggressively than it would in the absence of the lower bound. As activity recovers and inflation picks up, the central bank should act to keep interest rates lower for longer than without the bound. In this note, we investigate to what extent the policy easing implemented by the ECB since summer 2013 mirrors the rate recommendations of a simple policy rule or deviates from it in a way that indicates a “lower for longer” approach to policy near zero interest rates.
We assess the degree of market fragmentation in the euro-area corporate bond market by disentangling the determinants of the risk premium paid on bonds at origination. By looking at over 2,400 bonds we are able to isolate the country-specific effects which are a suitable indicator of the market fragmentation. We find that, after peaking during the sovereign debt crisis, fragmentation shrank in 2013 and receded to pre-crisis levels only in 2014. However, the low level of estimated market fragmentation is coupled with a still high heterogeneity in actual bond yields, challenging the consistency of the new equilibrium.
Who gains from inter-corporate credit? To answer this question we measure the impact of the announcements of inter-corporate loans in China on the stock prices of the firms involved. We find that the average abnormal return for the issuers of inter-corporate loans is significantly negative, whereas it is positive for the receivers. Issuing firms may be perceived by investors to have run out of worthwhile projects to finance, while receiving firms are being certified as creditworthy. Subsequent firm performance and investment confirms these valuations as overall accurate.
Goethe-Universität Frankfurt am Main : Annual report 2014 - 100 years of passion and commitment
(2015)
Pharmakophore sind ein zentrales Konzept der medizinischen Chemie. Im Liganden-basierten Design abstrahieren sie physikochemische Eigenschaften einer Menge aktiver Liganden und lassen dadurch Rückschlüsse auf die möglichen Interaktionen mit einem Target zu. Umgekehrt werden im Struktur-basierten Design Kristallstrukturen von Proteinen genutzt um zu modellieren, welche Eigenschaften die Bindetasche besitzt und welche Eigenschaften das entsprechende Gegenstück möglicher Liganden habe sollte. Diese Informationen können genutzt werden, um neue Substanzen zu identifizieren, welche die im Pharmakophore-Modell modellierten Interaktionen mit dem Target eingehen können. Durch die Abstraktion können hierbei sowohl Verbindungen mit neuen Grundgerüsten (scaffold) als auch mit veränderten funktionellen Gruppen gefunden werden. Im ersten Fall spricht man dabei von „scaffold hopping“, der letzte Fall ist eng verbunden mit dem Konzept des bioisosteren Ersatzes.
Im Rahmen dieser Arbeit wurden Pharmakophore genutzt, um in drei Studien neue Inhibitoren der Arachidonsäurekaskade zu finden. Die Arachidonsäurekaskade ist ein Stoffwechselweg in der aus Arachidonsäure eine Reihe von Lipidmediatoren synthetisiert wird. Viele dieser Mediatoren spielen eine entscheidende Rolle in Entzündungsprozessen und damit einhergehenden Krankheitsbildern. Es wurde außerdem eine neue Methode zur automatischen Generierung von Pharmakophor-Modellen aus einer Menge bekannter Liganden entwickelt.
In der ersten Studie wurde ein Struktur-basiertes Pharmakophor-Modell der Bindetasche der löslichen Epoxidhydrolase (sEH) erstellt, welches die möglichen, relevanten Interaktionsmöglichkeiten abbilden sollte. Dieses Pharmakophor-Modell wurde zum Screening einer Datenbank kommerziell erhältlicher Verbindungen genutzt und führte zu zwei Verbindungen mit IC50-Werten im niedrigen mikromolaren Bereich sowie einer dritten Verbindung mit einem bisher nicht für Inhibitoren der sEH beschriebenem Chemotyp. Zwar war diese Verbindung in höheren Konzentration unlöslich war, jedoch erreichten Derivate ebenfalls IC50-Werte im niedrigen mikromolaren Bereich und könnten als mögliche Startpunkte für eine neue Substanzklasse von sEH-Inhibitoren dienen.
In einer zweiten Studie wurde ein Liganden-basierter Ansatz gewählt um neue Inhibitoren der Leukotrien-A4 Hydrolase (LTA4H) zu suchen. Im Rahmen dieser Studie wurde außerdem eine neue Methode zur automatischen Generierung von Pharmakophor-Modellen entwickelt, welche auf einem wachsenden neuronalen Gas basiert, einer Methode aus dem Bereich des maschinellen Lernens. Die Methode wurde retrospektiv anhand mehrerer Benchmark-Datensätze validiert. Unter anderem wurde überprüft, inwiefern die Methode in der Lage ist die bioaktive Konformation eines Liganden vorherzusagen. Hierzu wurden, ausgehend von co-kristallisierten Liganden, automatisch Modelle generiert, welche im Anschluss genutzt wurden um Konformations-Datenbanken der Liganden zu durchsuchen. Je näher die beste gefundene Konformation an der co-kristallisierten Konformation lag, desto besser war das erzeugte Modell. Die entwickelte Methode war in nahezu allen Fällen in der Lage ein Modell zu erzeugen, mit welchem die durchschnittliche Abweichung zwischen co-kristallisierter und gefundener Konformation unter 2 Å lag. Im Rahmen der Studie wurde die neu entwickelte Methode auch in einem prospektiven Virtual Screening nach neuen Liganden der LTA4H genutzt. Hierzu wurden basierend auf 24 Kristallstrukturen mehrere Pharmakophor-Modelle für LTA4H-Liganden erstellt. Durch zusätzliche Nutzung des ESshape3D Fingerprints konnte außerdem die Form der Bindetasche der LTA4H erfasst werden. Diese Modelle wurden anschließend eingesetzt um eine Datenbank kommerziell erhältlicher Verbindungen zu durchsuchen und führten zur Identifizierung von zwei Substanzen mit IC50-Werten im unteren mikromolaren Bereich. Des Weiteren war die neue Methode in der Lage, den Bindemodus des genutzten Referenzinhibitors vorherzusagen, welcher durch Röntgenstrukturanalyse bestätigt wurde.
In zwei weiteren Studien wurde versucht, duale Inhibitoren der sEH und der 5-Lipoxygenase (5-LO) zu finden. Die erste dieser beiden Studien nutzte hierfür „duale“ Pharmakophor-Modelle: für beide Targets wurde basierend auf einer Vielzahl publizierter, aktiver Liganden eine Reihe von Pharmakophor-Modellen erstellt. Diese Modelle wurden paarweise miteinander verglichen; Modelle, welche eine ausreichend hohe Überlappung an Features besaßen, dienten als Ausgangspunkt für die Suche nach potentiell dualen Liganden. Durch die Suche in einer Fragment-Datenbank konnten neun Verbindungen identifiziert werden, welche eine Aktivität gegenüber einem der beiden Targets zeigten. Diese Verbindungen besaßen zum Teil noch nicht in der Literatur für sEH- oder 5 LO Inhibitoren beschriebene Strukturmerkmale. Eine der Verbindungen war außerdem in der Lage beide Targets im niedrigen mikromolaren Bereich zu inhibieren und könnte als Ausgangspunkt zur Entwicklung weiterer dualer 5-LO/sEH-Inhibitoren dienen. In der zweiten Studie wurde eine auf selbst-organisierenden Karten (SOM) basierende Methode genutzt um potentiell duale Liganden zu suchen. Hierzu wird je eine SOM mit repräsentativen (Sub-) Strukturen von Liganden beider Targets trainiert. Die DrugBank, eine Datenbank zugelassener Wirkstoffe, dient hierbei als Hintergrundverteilung und stellt den Raum wirkstoffartiger chemischer Strukturen dar. Durch einen automatischen Vergleich der trainierten SOMs können mögliche gemeinsame Substrukturen identifiziert werden. Die Anwendung dieser Methode auf bekannte Inhibitoren der sEH und der 5-LO identifizierte neun Fragmente, die auf einem der beiden Targets, sowie fünf Fragmente welche auf beiden Targets im niedrigen mikromolaren Bereich inhibierend wirken. Eine Substruktursuche nach einem dieser Fragmente in einer internen Datenbank lieferte eine Verbindung, welche beide Targets im nanomolaren Bereich inhibiert und eine vielversprechender Basis als Leitstruktur für die Entwicklung dualer 5-LO/sEH-Inhibitoren darstellt.
Zusammenfassend wurden in dieser Arbeit mehrere Ansätze vorgestellt wie Pharmakophore in der Wirkstoffsuche eingesetzt werden können. Im Rahmen mehrerer Virtual Screenings konnten eine Reihe neuer Inhibitoren gefunden werden, einige mit nicht zuvor beschriebenen Strukturmerkmalen für das jeweilige Target. Es wurde außerdem eine neue Methode zur automatischen Generierung von Pharmakophor-Modellen entwickelt, welche sowohl retrospektiv als auch prospektiv validiert wurde.
Municipal wastewater contains nutrients valuable for a reuse in agriculture and can be the source of a multitude of chemicals used in private households and industry, too. As many of these chemicals are incompletely degraded during wastewater treatment, their residues remain partly in sewage sludge and partly in treated wastewater. Concerns are linked particularly to the so called micropollutants, i.e. anthropogenic organic substances such as personal care products, pharmaceuticals and biocides, for which scarce data on their degradability and environmental fate and particularly on their ecotoxicity are available. Thus, when reusing treated wastewater and sewage sludge for irrigation or as soil amendment for a sustainable land and water management, these wastewater-borne pollutants may enter soil, groundwater and surface water. The present work therefore aimed at assessing potential ecotoxic effects on aquatic and terrestrial organisms of reusing treated wastewater and sewage sludge. To this end, established as well as newly developed experimental approaches were used to investigate the problem on several levels. Individual wastewater-borne substances, samples from field study sites and samples from a soil column experiment simulating prolonged wastewater irrigation were examined.
At the start of the experimental work, the ecotoxicity of climbazole was characterised towards five aquatic and five terrestrial test organisms. Climbazole is an azole antimycotic agent applied in cosmetics and anti-dandruff shampoos and was recently detected in relatively high concentrations in treated wastewater and sewage sludge. In the present work climbazole was found to be particularly toxic towards plants such as water lentils with effective concentrations comparable to those of agricultural azole fungicides. Dwarfism, that is reduced shoot elongation observed in plants, pointed at a specific, phytohormone inhibiting mode of action of climbazole. Furthermore, the expected influence of the soil pH on the phytotoxicity of climbazole was experimentally confirmed.
Based on the findings for climbazole, two additional azole antimycotics, ketoconazole and fluconazole, and the regularly in sewage sludge detected biocide benzyldimethyldodecyl-ammonium chloride (BDDA) were investigated for their toxicity towards plants.
In aqueous medium, an increasing phytotoxicity from fluconazole to BDDA, ketoconazole and climbazole was observed, while in soil, phytotoxicity increased from BDDA to ketoconazole, climbazole and fluconazole. The relatively low terrestrial toxicity of BDDA and ketoconazole probably resulted from their strong binding to soil as well as their good biodegradability. To render the exposure scenario more realistic, sewage sludge was co-applied with the four test substances in a parallel test run. However, as no detectable influence on their effective concentrations was found, it can be assumed that the current practice of assessing sewage sludge borne substances with biotests in standard soil is sufficiently realistic. In a further study, different advanced sludge-treatment technologies were assessed for their efficacy in reducing pollutants. Results from the present work indicated that effects assessed in terrestrial short term biotests only seldom correlated with the concentrations of certain pollutants. Rather, a negative correlation of the stability of the sludges, determined by the ratio of volatile to total solids, to their ecotoxicity was seen.
Another aspect of the present work was the design and performance of an experimental approach to assess the environmental risk of a long-term irrigation with treated wastewater concerning the quality of soil and water in a prospective way, i.e. before the installation at field scale. For the simulation of a continuous irrigation corresponding to approximately 30 years, a percolation apparatus was developed and four different soils were percolated with treated wastewater for three months. Acute and chronic biotests with nine test organisms from different trophic levels (green algae, water lentils and water fleas as well as oilseed rape, oats, bacteria, spring tails, enchytraeids and earthworms) were used to assess the soil percolates as well as the soils with and without percolation. These investigations were accompanied by a comprehensive chemical monitoring conducted by project partners. Results indicated that the soil passage, that is the percolation through the soil, generally improved the quality of the treated wastewater as habitat for aquatic organisms which was visible by a reduction of its phytotoxicity. However, in some cases it deteriorated the water quality, probably resulting from the leaching of metals from pre-contaminated soil. A deteriorated habitat quality of the soil after the percolation with treated wastewater was observed for several test organisms and soils. In the same, mainly peaty soils, the highest accumulation of wastewater-borne micropollutants and of zinc was measured. Yet, their concentrations did not correlate to the observed biological effects. Moreover, data on ecotoxicity were only available for a small fraction of the detected substances so that their concentrations could not successfully be used to predict expected biological effects.
The experimental approach used in the present work demonstrated to be an adequate tool to support the prospective evaluation of environmental risks of treated wastewater irrigation. Overall, it can be concluded that the reuse of treated wastewater on soil can improve the quality of treated wastewater but that this can come at the cost of deteriorating the quality of the soil. As these risks cannot be generalised, a comprehensive biotest battery as well as chemical analysis should be used to assess them on a case-specific basis for each respective wastewater and the respective soil.
Response to Kriticos et al.
(2014)
Various aspects of uncertainty have become topical in pest risk modelling discussions. A recent contribution to the literature sought to explore the effect of taxonomic uncertainty on modelled pest risk. The case study involved a high profile plant pathogen Puccinia psidii, which causes a major disease of plants within the Myrtaceae family. Consequently, the results and recommendations may attract a wide range of interest in the biosecurity and pest risk modelling communities. We found the study by Elith et al. (2013) included a number of methodological issues that limit some of the specific and general conclusions reached in the paper. We discuss these issues and the ensuing implications for biosecurity management. We also draw attention to the need for pest risk modellers and biosecurity managers to find ways to communicate more effectively. We urge modellers and managers alike to develop a better understanding of the challenges and limitations of modelling species potential distributions across novel climates, and to be able to appreciate the meanings and limitations of models framed in different ways.
This dataset represents a registry of species that are not native but recorded to live in the wild of at least one of the four countries that comprise the Two Seas Area, i.e. Great Britain, France, Belgium and the Netherlands. For each of the 6,661 species, subspecies and hybrids listed, we provide detailed information on its status in each country, taxonomic affiliation and environment inhabited. The data were collected by review of 36 web- and print-based sources over an eight-month period. Further systematic scanning of three of the most relevant scientific journals, i.e. Neobiota, Aquatic Invasions and BioInvasions Records, recovered 19 additional relevant publications from which information was included in the registry. As a result, the registry will serve as a basis for developing effective, cross-boundary strategies to manage and control non-native species, which can have severe ecological and economic impacts. The registry can further be used as a general reference for both scientists and practitioners, as well as a tool to assess reliability and comprehensiveness of other well-known databases such as the DAISIE portal.
Seit mehr als 200 Jahren gibt es durch die Wissenschaftler der Wetterstation auf dem Hohenpeißenberg systematische Wetterbeobachtungen, doch erst seit wenigen Jahren gibt es unter den Klimaforschern einen Konsens, dass sich das Klima durch anthropogene Einflüsse schon verändert hat – und weiter verändern wird. Die bisherigen Auswirkungen, wie zum Beispiel ein globaler Temperaturanstieg von 0,85°C seit Beginn der Industrialisierung, sind heute gut belegbar. Mögliche zukünftige Entwicklungen des Klimas werden heute ebenso erforscht wie die Auswirkungen des Klimawandels auf Mensch und Umwelt. Zu diesen Auswirkungen gehören unter anderem Folgen für die Landwirtschaft. Durch veränderte Niederschläge und den Temperaturanstieg werden sich die Lebensbedingungen von Bodenorganismen und Anbaubedingungen für Pflanzen ändern. Letztendlich ist aufgrund dieser Veränderungen auch ein verstärkter Einsatz von Pestiziden zu erwarten. Allerdings wurde bisher kaum untersucht, ob der Einsatz von Pestiziden in der Landwirtschaft unter den Bedingungen des Klimawandels (konkret durch die Interaktion von klimatischen und chemischen Faktoren) ein erhöhtes Umweltrisiko für Bodenorganismen darstellt. Bisher werden klimatische Faktoren bei den Tests für die Zulassung von Pestiziden nicht berücksichtigt.
Daher wurde diese Fragestellung in der hier vorliegenden Dissertation am Beispiel der Effekte von zwei zugelassenen Pestiziden auf Bodenorganismen unter verschiedenen klimatischen Bedingungen untersucht. Konkret wurden dazu mit Labor- und Halbfreilandversuchen die Wirkung eines Insektizids und eines Fungizids in Interaktion von Temperatur und Bodenfeuchte auf Vertreter zweier Invertebratengruppen (Collembola: zwei Arten; Enchytraeidae: eine Art) untersucht.
In einem modifizierten Standardtest mit Collembolen erhöhte sich die Toxizität des Insektizids Lambda-Cyhalothrin, wenn die Exposition der beiden Arten bei einer erhöhten Bodenfeuchte stattfindet. Die kühl adaptierte Art Folsomia candida reagierte bei erhöhter Testtemperatur am empfindlichsten auf diese Testsubstanz: Die EC50 aus diesem Experiment lag bei 2,84 mg (a.s.)/kg Boden Trockengewicht (dw). Unter Standardbedingungen, wie sie in Tests für die Zulassung von Pestiziden angewandt werden, lag die EC50 von F. candida dagegen bei 8,65 mg a.s./kg dw.
Unter den gleichen Versuchsbedingungen wurde auch das Fungizid Pyrimethanil an Collembolen getestet. Hier erwies sich die Testsubstanz für beide Arten bei
gleichzeitigem Trockenstress und / oder erhöhter Temperatur als toxischer im Vergleich zu den Standard-Testbedingungen. Dabei zeigte F. candida mit einer EC50 von 28,3 mg a.s./kg dw die höchste Empfindlichkeit. Ohne die veränderten klimatischen Faktoren, betrug die EC50 von F. candida 52,3 mg a.s./kg dw.
In Reproduktionstests mit der Enchytraeen-Art Enchytraeus bigeminus wurde die Bodenfeuchte als klimatischer Faktor in Kombination mit jeweils einer Testsubstanz untersucht. Bei beiden Chemikalien reagierte E. bigeminus in trockenem Boden empfindlicher. Die ermittelten EC50 betrugen 1,34 mg a.s./kg dw für Lambda-Cyhalothrin und 437 mg a.s./kg dw für Pyrimethanil. Getestet unter Standardbedingungen lagen die EC50-Werte bei 3,79 bzw. 499 mg a.s./kg dw.
Neben den Laborexperimenten wurden Tests in „Terrestrischen Modellökosystemen“ (TME) mit den gleichen Chemikalien in Kombination mit variierender Bodenfeuchte als klimatischer Faktor vorgenommen. Diese Experimente wurden in Deutschland und in Portugal durchgeführt, um die Reaktion einer zentraleuropäischen und einer mediterranen Artengemeinschaft zu untersuchen. Aus der terrestrischen Lebensgemeinschaft wurden verschiedene Organismengruppen untersucht. Die Effekte auf Enchytraeen aus dem Experiment mit Pyrimethanil waren als Veröffentlichung Teil dieser Dissertation. In der portugiesischen Halbfreilandstudie wurden keine Effekte auf die Enchytraeen durch Pyrimethanil bei umweltrelevanten Konzentrationen festgestellt, jedoch beeinflusste die Bodenfeuchte die Zusammensetzung der Artengemeinschaft. Im deutschen TME-Experiment wurde eine verstärkte Wirkung des Fungizids in trockenem Boden festgestellt, d.h. die jeweiligen Effektkonzentrationen (niedrigste EC50 3,48 mg a.s./kg dw für Fridericia connata in trockenem Boden) lagen deutlich unterhalb der aus den Labortests mit Enchytraeus bigeminus bekannten Werten (499 mg a.s./kg dw).
Zusammenfassend lässt sich feststellen, dass klimatische Faktoren die Effekte von Pflanzenschutzmittel auf Bodenorganismen beeinflussen können. Für Laborversuche ist eine generelle Berücksichtigung von klimatischen Faktoren im Zulassungsverfahren aus heutiger Sicht zu weit gegriffen. Die TME-Versuche zeigten sich als geeignetes Testverfahren, interaktive Effekte von Pestiziden und Klima bzw. multiplen Stressoren generell auf Artengemeinschaften zu untersuchen. Für TME-Experimente wäre unter Beachtung der Vielzahl möglicher Fragestellungen, Endpunkte und moderner statistischer Auswerteverfahren eine internationale Richtlinie wünschenswert.