Universitätspublikationen
Refine
Year of publication
Document Type
- Article (13007)
- Part of Periodical (3429)
- Doctoral Thesis (3188)
- Contribution to a Periodical (2103)
- Book (2049)
- Working Paper (1869)
- Preprint (1312)
- Review (1051)
- Report (910)
- Conference Proceeding (659)
Language
- English (16294)
- German (13510)
- Portuguese (231)
- Spanish (123)
- Italian (66)
- French (64)
- Multiple languages (59)
- Turkish (12)
- Ukrainian (10)
- slo (7)
Has Fulltext
- yes (30398) (remove)
Keywords
- Deutschland (132)
- COVID-19 (93)
- inflammation (91)
- Financial Institutions (90)
- ECB (67)
- Capital Markets Union (64)
- SARS-CoV-2 (63)
- Financial Markets (61)
- Adorno (58)
- Banking Union (50)
Institute
- Medizin (6273)
- Präsidium (4999)
- Physik (3061)
- Wirtschaftswissenschaften (2236)
- Gesellschaftswissenschaften (2005)
- Biowissenschaften (1690)
- Frankfurt Institute for Advanced Studies (FIAS) (1454)
- Biochemie und Chemie (1377)
- Sustainable Architecture for Finance in Europe (SAFE) (1370)
- Informatik (1351)
Ausgangspunkt ist die Beobachtung, dass sich empirisch eine inklusive Schule oftmals als eine differenzierte und differenzierende Schule darstellt. Dies bezieht sich etwa auf die Ausdifferenzierung der ‚heterogenen Lehrgruppe‘. Im zeitgemäßen inklusiven Unterricht sind allgemein- und sonderpädagogische Lehrkräfte ebenso wie Schulbegleitungen anwesend. Auch Sozialpädagog*innen und Therapeut*innen gehören vermehrt zum Schulalltag.
Vorliegende Studien dokumentieren, dass die Gestaltung inklusiver Schulen bzw. von inklusivem Unterricht von nicht intendierten Effekten und Widerständigkeiten der Akteur*innen begleitet ist. Im Beitrag werden – basierend auf der ProFiS-Studie – zwei Herausforderungen von inklusiven Schulen in den Mittelpunkt gerückt. Zum einen wird auf das Spannungsfeld von Professionalisierung und Deprofessionalisierung eingegangen. Zum anderen stellt das Verhältnis von Kategorisierung und Dekategorisierung eine Herausforderung dar. Beide Relationen sind als Spannungsverhältnisse untereinander und zueinander zu denken, die sich nicht ‚einfach‘ in eine Richtung auflösen lassen, sondern die in ihrer Widersprüchlichkeit gerade konstitutiv für die Praxis ‚inklusiver Schulen‘ wirken. Zentrale Frage des Beitrags ist, wie dieses komplexe Spannungsverhältnis der wechselseitigen Bezogenheit de/kategorisierender und de/professionalisierender Prozesse in professionellen Aktivitäten hervorgebracht wird.
Die Gestaltung eines inklusiven Mathematikunterrichts, der allen Schüler*innen Zugänge zur Mathematik eröffnet, wirft Fragen hinsichtlich einer fachbezogenen Aus- und Weiterbildung von Lehrpersonen auf. Im vorliegenden Beitrag wird eine Qualifizierungsmaßnahme vorgestellt, die darauf zielt, angehende Lehrkräfte für die Anforderungen und Herausforderungen eines inklusiven Mathematikunterrichts zu sensibilisieren sowie diesbezügliche Kritik- und Analysefähigkeiten zu entwickeln. Es wird untersucht, welche Potenziale die Analyse von Praxismaterialien in Bezug auf ihre Eignung für inklusiven Mathematikunterricht bietet. Die Datengrundlage bilden offene Fragebögen, in denen Studierende einen auf Inklusion bezogenen Praxisbeitrag reflektieren. Die Auswertung der Fragebögen erfolgt anhand einer qualitativen Inhaltsanalyse nach Mayring (2010). Auf Basis einer theoretischen Konzeptionalisierung wird somit eine empirisch erprobte Möglichkeit der Qualifizierung in der ersten Phase der Lehramtsausbildung vor- und zur Diskussion gestellt.
Die Zielsetzung der vorliegenden Studie liegt darin, Bedarfe für eine Qualifizierung und Professionalisierung von Lehrkräften in inklusiven Schulen zu identifizieren. Dabei stehen sowohl spezifische Lehrer*innengruppen als auch konkrete Inhalte bzw. Anforderungen von Inklusion im Fokus. Den Rahmen hierfür bilden Schulen mit dem Schulprofil Inklusion (N = 471 Lehrkräfte aus 49 Schulen). Mittels hierarchischer Clusteranalyse (Überprüfung durch Diskriminanzanalyse) werden Gruppen von Lehrer*innen gebildet. Diese basieren darauf, wie die Lehrkräfte berichten, die Anforderungen von Inklusion (adaptive Unterrichtsgestaltung, Förderplanung, Schulkonzeptentwicklung, innerschulische und externe Kooperation) umzusetzen. Die Betrachtung der vier Cluster zeigt eine Gruppe von Lehrer*innen, die die Anforderungen inklusiver Bildung durchwegs am intensivsten realisiert. Diese machen deutlich, dass nicht für alle Lehrenden gleichermaßen die Notwendigkeit einer Qualifizierung besteht. Gleiches gilt für die Konzeption einheitlicher Maßnahmen, denn für alle Lehrkräfte identische Maßnahmen werden der Diversität der geäußerten Einschätzungen nicht gerecht. Zielführender erscheinen mikrokontextuell orientierte Maßnahmen, die auf bestimmte Lehrkräfte und Anforderungen zugeschnitten sind. Solche Bedarfe zielen einerseits auf die Lehrer*innen ab, die die Anforderungen von Inklusion übergreifend als am geringsten verwirklicht einschätzen sowie diejenigen, die bestimmte Anforderungen nicht umsetzen. Für diese sind Gründe und folgend Maßnahmen zu diskutieren, warum die Umsetzung durchwegs eine so negative Einschätzung erfährt. Maßnahmen im Kontext von Schulentwicklung oder Supervision erscheinen zielführend. Spezifische Qualifizierungsbedarfe bestehen vor allem hinsichtlich innerschulischer Zusammenarbeit, die sich clusterübergreifend als eher gering ausgeprägt erweist.
Der vorliegende Beitrag beschreibt den theoretischen Hintergrund und das Design des Projekts GLUE (Gemeinsame Lern-Umgebungen Entwickeln). Die Konzeption der Gemeinsamen Lern-Umgebungen zielt im Sinne der Prinzipien des ‚Universal Design of Learning‘ (Hall, Meyer & Rose, 2012) darauf ab, den inklusiven Mathematikunterricht von einem gemeinsamen Lerngegenstand aus zu denken, der einerseits Zugänglichkeit für alle Lernenden schafft und andererseits Unterstützungsmaßnahmen auf unterschiedlichen Niveaustufen zulässt.
Das Projekt geht der Frage nach, wie sich die Kompetenzentwicklung von berufserfahrenen Lehrkräften der allgemeinen Schule und für sonderpädagogische Förderung durch Fortbildungsangebote zum inklusiven Mathematikunterricht wirksam unterstützen lässt. Hierzu wurde ein Blended-Learning-Angebot zur Entwicklung gemeinsamer Lernumgebungen für alle Kinder einer Lerngruppe erarbeitet, die sich auch von mehreren Lehrkräften gemeinsam entwickeln lassen.
In diesem Beitrag werden der theoretische Hintergrund, die Konzeption und die methodische Anlage des Projekts vorgestellt. Kapitel 1 befasst sich mit Differenzieren und Fördern im Mathematikunterricht der Primarstufe, Kapitel 2 diskutiert zentrale Befunde zur Wirksamkeit von Lehrerfortbildungsmaßnahmen sowie zu Blended-Learning-Angeboten. Im dritten Kapitel werden auf dieser Grundlage die Ziele des Projekts (Kap. 3.1), die Inhalte und die Struktur des Fortbildungsangebots (Kap., 3.2), die Forschungsfragen (Kap. 3.3) und das Design der Interventionsstudie dargestellt (Kap. 3.4). Die Wirksamkeit wird in einem ausbalancierten Prä-Post-Follow-Up-Test-Design im Vergleich zu unbegleiteten Online-Angeboten evaluiert, die Ergebnisse sollen in einer Folgepublikation kommuniziert werden.
Historic amphibian settlements in the northwestern Nile delta - a geoarchaeological perspective
(2020)
No concise picture of the archaeological and palaeoecological evolution can be drawn for the northwestern Nile delta, and archaeological records show significant population dynamics that still need explanation and spur the need for further palaeoenvironmental research. This study delivers a set of new methods especially in the fields of remote sensing and data analytics that can be regarded as important milestones and foundations for further palaeoenvironmental research in the area. Additionally, it shows new insights for individual time slices.
This geoarchaeological project is a cooperation with the archaeological excavations of the German Archaeological Institute (DAI) in Buto and Kom el’Gir. It expands the work of Wunderlich (1989) which laid important foundations in understanding the origin of the initial landscape that was later colonized in different cultural stages showing different dynamics, settlement intensities and even long phases of abandonment or breaks in between. This forms the starting point for relating the population dynamics of the different cultural phases reaching from Predynastic (prior to 3150 before Christ) up to the Greco-Roman era (~anno Domini 650) to the environmental history and events that occurred in the area. It is very likely that environmental changes such as the shifting of major water routes, inundation or paludification of larger areas or other environmental events affected settlements and human life in the area.
In the fields of remote sensing new methods are presented to complete information on the location of ancient settlements, and complex workflows are developed that allow the tracing of subsurface structures via indirect analysis of vegetation growth in larger time series data. It was verified that a relationship exists between vegetation performance, the appearance of archaeologic material in the topsoil, and the location of former Nile river branches.
Together with a new high resolution digital elevation model (DEM) based on TanDEM-X data, new interpretations with a high spatial significance are possible. For individual time slices, namely the Late Dynastic and Greco-Roman era, this work delivers a detailed landscape description suggesting a finely ramified subdelta, with all settlements placed on alluvial levees. This explains the massive increase in settlements in the Ptolemaic, Roman and in particular late Roman periods (4th century before Christ – anno Domini 7th century).
We sampled the Nile delta clays together with the channels and the material of the archaeologic excavations in vibracores and profile walls. This geologic inspection of the subsurface together with geochemical results from a handheld portable X-ray fluorescence device (pXRF) allowed new interpretations of the landscape and environmental history. For example, we used geochemical data to distinguish between artificial and natural channels as a measure for the anthropogenic influence, a proxy for past environmental characteristics and lastly as a basis for a new dating method. Many of the channels, for instance, were dated by our own 14C datings, comparisons with the previous work ofWunderlich (1989) and application of new dating approach based on machine learning with artificial neural networks. Additionally, we run a full methodological approach, and examine the applicability of pXRF methods in general, and test the quality of the data to detect distinct geochemical differences between the main settlement phases with advanced methods in data analytics. The dating is based, for example, on the training of artificial neural networks with pXRF data from archaeological material of well-dated context to date test data of cultural layers within the vibracores. With this method the homogeneous Nile alluvium, cultural layers and channels can be dated roughly and, as a result, fundamental changes in the landscape can be linked with the settlement history of Buto and neighboring tells.
Was verstehen Lehramtsstudierende unter Inklusion? Eine Untersuchung subjektiver Definitionen
(2019)
Der Begriff der Inklusion ist ein mehrdimensionales Konstrukt, das sowohl in Theorie als auch in Praxis unterschiedlich definiert ist. Für angehende Lehrkräfte bedeutet dies, dass sie sich mit unterschiedlichen Konnotationen dieses Begriffs auseinandersetzen müssen und dadurch möglicherweise eigene Begriffsdefinitionen vornehmen. Im Mittelpunkt dieses Beitrages steht die Frage nach den subjektiven Begriffsdefinitionen zum Begriff Inklusion. Im Rahmen einer schriftlichen Befragung wurden 290 Lehramtsstudierende mit Hilfe einer offenen Fragestellung zu ihrem Inklusionsverständnis befragt. Das Material wurde mittels qualitativer Inhaltsanalyse ausgewertet. Die Ergebnisse verweisen auf ein differenziertes Begriffsverständnis angehender Lehrkräfte. Es können vier Verständnistypen unterschieden werden, ausgehend von einem sehr engen bis hin zu einem sehr weiten und offenen Begriffsverständnis.
Schulbegleitung ist ein zunehmend relevantes Tätigkeitsfeld bei der Realisierung inklusiver Bildungsangebote. Kritisch diskutiert wird die Einschlägigkeit der Qualifikation der eingesetzten Personen. Aktuell sind etwa 50% der als Schulbegleiter/innen Beschäftigten pädagogisch, therapeutisch oder medizinisch-pflegerisch qualifiziert. Bislang ist wenig darüber bekannt, welchen Tätigkeiten Schulbegleiter/innen genau nachgehen und wie die Zusammenarbeit mit Lehrkräften eingeschätzt wird. In der vorliegenden Untersuchung werden deshalb Tätigkeitsprofile und Selbsteinschätzungen zur Qualität der Zusammenarbeit mit Lehrkräften bei Fachkräften und Nicht-Fachkräften vergleichend in den Blick genommen. Es wurden in einer Fragebogenbefragung n = 61 Schulbegleiter/innen befragt. Die Ergebnisse zeigen, dass wider Erwarten die Fachkräfte mit pädagogischer Qualifikation eher im Bereich der lebenspraktischen Unterstützung als im Bereich der Emotions- und Verhaltensregulation tätig sind. Die Zusammenarbeit mit Lehrkräften wird von Fachkräften und Nicht-Fachkräften gleichermaßen positiv bewertet. Es gibt Hinweise darauf, dass die Bewertung der Zusammenarbeit mit Lehrkräften von spezifischen Tätigkeitsprofilen abhängt.
leporello #5
(2020)
This thesis discusses important questions of the beam dynamics in the proton-lead operation in the Large Hadron Collider (LHC) at CERN in Geneva. In two time blocks of several weeks in the years 2013 and 2016, proton-lead collisions have so far been successfully generated in the LHC and used by the experiments at the LHC. One reason for doubts regarding the successful operation in proton-lead configuration was the fact that the beams have to be accelerated with different revolution frequencies. There is long-range repulsion between the beams, since both beams share the beam chamber around the interaction points. Because of the different revolution frequencies, the positions of the interaction between the beams shift each revolution. This can lead to resonant excitation and to an increase in the transverse beam emittance, as was observed in the Relativistic Heavy-Ion Collider (RHIC). In this thesis, simulations for the LHC, RHIC and the High-Luminosity Large Hadron Collider (HL-LHC) are performed with a new model. The results for RHIC show relative growth rates of the emittances of the gold beam in gold-deuteron operation in RHIC from 0.1 %/s to 1.5 %/s. Growth rates of this magnitude were observed experimentally in RHIC. Simulations for the LHC show no significant increase of the emittance of the lead beam for different intensities of the counter-rotating beam. The simulation results confirm the measured stability of the beams in the LHC and the issue of strongly increasing emittances in RHIC is reproduced. Also, no significant increase of the emittance is predicted for the Future Circular Collider (FCC) and the HL-LHC.
Using a frequency-map analysis, this work verifies whether the interaction of the lead beam with the much smaller proton beam in the proton-lead operation of the LHC leads to diffusion within the lead beam. Experiences at HERA at DESY in Hamburg and at SppS at CERN have shown that the lifetime of the larger beam can rapidly decrease under certain circumstances. The results of the simulation show no chaotic dynamics near the beam centre of the lead beam. This result is supported by experimental observation.
A program code has been developed which calculates the beam evolution in the LHC by means of coupled differential equations. This study shows that the growth rates of the lead beam due to intra-beam scattering is overestimated and that particle bunches of the lead beam lose more intensity than assumed in the model. The analysis also shows that bunches colliding in a detector suffer additional losses that increase with decreasing crossing angle at the interaction point.
In this work, 2016 data from beam-loss monitors in combination with the luminosity and the loss rate of the beam intensity are used to determine the cross section of proton-lead collisions at the center-of-mass energy of 8.16 TeV. Beam-loss monitors that mainly detect beam losses that are not caused by the collision process itself are used to determine the total cross section via regression. An analysis of the data recorded in 2016 at the center-of-mass energy of 8.16 TeV resulted in a total cross section of σ=(2.32±0.01(stat.)±0.20(sys.)) b. This corresponds approximately to a hadronic cross section of σ(had)=(2.24±0.01(stat.)±0.21(sys.)) b. This value deviates only by 5.7 % from the theoretical value σ(had)=(2.12±0.01) b.
The simulation code for determining the beam evolution is also used to estimate the integrated luminosity of a future one-month run with proton-lead collisions. The result of the study shows that in the future the luminosity in the ATLAS and CMS experiments will increase from 15/nb per day in 2016 to 30/nb per day, which is a significant increase in terms of the performance. This operation, however, requires the use of the TCL collimators to protect the dispersion suppressors at ATLAS and CMS from collision fragments.
This work also gives an outlook on the expected luminosity production in proton-nucleus operation using ion species lighter than lead ions. For example, a change from proton-lead to proton-argon collisions would increase the integrated luminosity from monthly 0.8/nb to 9.4/nb in ATLAS and CMS. This is an increase of one order of magnitude and approximately a doubling of the integrated nucleon-nucleon luminosity. There may be a test operation with proton-oxygen collisions in 2023, which will last only a few days and will be operated with a low luminosity. The LHCf experiment (LHCb experiment) would achieve the desired integrated luminosity of 1.5/nb (2/nb) within 70h (35h) beam time.
Stickstoff (NO), Kohlenmonoxid (CO) und Schwefelwasserstoff (H2S) gehören zur Gruppe der Gasotransmitter. Dabei handelt es sich um kleine gasförmige Signalmoleküle, welche innerhalb des Körpers gebildet werden und dort wichtige physiologische Funktionen bei der Regulation der Apoptose, der Proliferation, der Entzündungsreaktion und der Genexpression übernehmen. Aufgrund ihrer Membranpermeabilität ist die Wirkung der Gasotransmitter nicht an die Interaktion mit spezifischen membranständigen Rezeptoren gebundenen. Je nach Organ, Gewebe und Konzentration können diese Mediatoren unterschiedliche Prozesse beeinflussen und teils sogar gegenteilige Wirkungen hervorrufen.H2S beispielsweise kann im Verlauf der Leukozytenadhäsion im Epithelium anti-inflammatorisch, bei Brandwunden oder rheumatischen Erkrankungen jedoch pro-inflammatorisch wirken. Im Kreislaufsystem hingegen bewirkt H2S durch die Aktivierung von ATP-abhängigen K+-Kanälen und die damit zusammenhängende Vasorelaxion der glatten Muskelzellen einen eindeutig protektiven Effekt.
H2S kann je nach Substrat und Zelltyp durch eines von 3 Enzymen gebildet werden. Die Cystathionin-γ-Lyase (CSE) und die Cystathionin-β-Synthase (CBS) nutzen L-Cystein als Substrat für die Synthese von H2S. Das dritte H2S-bildende Enzym, die 3-Mercaptopyruvate Sulfurtransferase (3-MST) verwendet α-Ketoglutarat als Substrat, welches zuvor von der Cystein-Aminotransferse (CAT) aus L-Cystein synthetisiert wurde. Während die beiden Enzyme CSE und CBS im Zytosol der Zelle zu finden sind, ist die 3-MST hauptsächlich in den Mitochondrien der Zelle zu finden. Im Gegensatz zur CBS, welche eher ein konstitutiv exprimiertes Protein ist, wird die Expression der CSE auf der Transkriptionsebene durch u.a. Entzündungsmediatoren wie TNF-α oder Wachstumsfaktoren wie PDGF-BB induziert.
Ein Ziel der Arbeit war es, die Wirkung von H2S bei der Wundheilung, bei entzündlichen glomerulären Erkrankungen der Niere und beim Schlaganfall zu untersuchen. Für diesephänotypische Analysen stand ein Knockoutmodell für die CSE zur Verfügung.
Zudem wurden in dieser Arbeit Untersuchungen mit einem Knockoutmodell für das zytoskeletäre Protein durchgeführt. Bei Clp36 (PDLIM1) handelt es sich um ein PDLIM-Protein (PDZ and LIM domain protein),welches durch die Gasotransmitter NO und H2S auf transkriptioneller und translationaler Ebene reguliert wird ist und aufgrund seiner Assoziation mit dem Zytoskelett dynamische Vorgänge der Zelle moduliert. Es ist bereits bekannt, dass Clp36 ein negativer Regulator des Glykoprotein VI (GPVI), welches eine wichtige Rolle bei der Aktivierung von Thrombozyten spielt, ist.
Beide Knockoutmodelle wurden in murinen Mesangiumzellen der Niere und in Krankheitsmodellen der Haut (kutane Wundheilung)und des Gehirns (Schlaganfall mit dem MCAO-Modell) analysiert.
Neben nicht signifikanten Effekten im MCAO-Modell, konnten sowohl Effekte des CSE-, als auch des CLP36-KOs auf die Migration und Proliferation und im Falle der CSE auch auf die Adhäsion der murinen Mesangiumzellen beobachtet werden. Die Depletion von Clp36 führte zu einer Verringerung der Migrations- und einer Erhöhung der Proliferationsrate, wohingegen die Depletion der CSE zu einer Erhöhung der Migrations-, Proliferations- und Adhäsionsrate führte. Die vielversprechendsten Ergebnisse konnten im Tiermodell der kutanen Wundheilung generiert werden. Untersucht wurde die Expression der H2S-produzierenden Enzyme CSE, CBS und 3-MST. Alle drei Enzyme zeigten im Tiermodell keine transkriptionelle Regulation und blieben auch während der akuten Entzündungsphase und der proliferativen Phase der Wundheilung unverändert. Es konnte jedoch gezeigt werden, dass die Expression der CSE in der späten Phase der Wundheilung signifikant anstieg, wenn die Proliferation innerhalb des Granulationsgewebes und der Neoepidermis geringer wurde. Die Vermutung, dass H2S in dieser Phase eine wichtige Rolle spielt, konnte durch die Analyse der CSE-KO Mäuse bekräftigt werden, da dort der Verlust der CSE offenbar durch die CBS kompensiert wurde.
In immunhistochemischen Untersuchungen konnten insbesondere follikuläre Keratinozyten der Neo-Epidemis als Quelle der CSE-Expression identifiziert werden. Durch in-vitro Studien auf mRNA und Proteinebene in HaCaT Zellen wurde gezeigt, dass H2S die Keratinozyten-Differenzierung beeinflusst. Der langsam freisetzendeH2S-Donor GYY4137 konnte in humanen Keratinozyten zu einer signifikanten Erhöhung der Ca2+- induzierten Expression der frühen Keratinozyten-Differenzierungsmarker Cytokeratin 10 (CK10) und Involucrin (IVN) beitragen.
Im Laufe dieser Arbeit konnte der molekulare Mechanismus hinter diesen Beobachtungen noch nicht geklärt werden.
Durch weitere Versuche meiner Arbeitsgruppe konnte jedoch gezeigt werden, dass die GYY4137-abhängige Induktion der CK10-Expression durch eine verstärkte Bindung der RNA-Polymerase II an den CK10 Promotor zustande kommt.
The events of 1968/69 initiated a dispute between Adorno and Marcuse over the (alleged) separation of theory and praxis. While Marcuse “stood at the barricades” Adorno sought recluse in the “ivory tower”. Marcuse and German students perceived Adorno’s move as departure from fundamental postulates of critical theory as laid down in Horkheimer’s 1937 essay. Adorno died amidst the process of clarifying his differences with Marcuse and thus the “unlimited discussions” between the two remain unfinished. This paper sets to examine how both Marcuse and Adorno remained dedicated to the unity of theory and praxis, albeit in different ways. I argue that Adorno did not separate theory and praxis; instead, he perceived the gap between critical theory and concrete historical situation. Adorno rejected simple and unreflective translation of theory into praxis. Hence his attempt to recalibrate critical theory. Marcuse’s and Adorno’s differences lie in their different evaluation of the student movement and this (mis)evaluation was context related. My second argument is that Marcuse/Adorno disagreement is partly caused by the absence of the two from the concrete historical context.
In this review, we focus on the ubiquitination process within the endoplasmic reticulum associated protein degradation (ERAD) pathway. Approximately one third of all synthesized proteins in a cell are channeled into the endoplasmic reticulum (ER) lumen or are incorporated into the ER membrane. Since all newly synthesized proteins enter the ER in an unfolded manner, folding must occur within the ER lumen or co-translationally, rendering misfolding events a serious threat. To prevent the accumulation of misfolded protein in the ER, proteins that fail the quality control undergo retrotranslocation into the cytosol where they proceed with ubiquitination and degradation. The wide variety of misfolded targets requires on the one hand a promiscuity of the ubiquitination process and on the other hand a fast and highly processive mechanism. We present the various ERAD components involved in the ubiquitination process including the different E2 conjugating enzymes, E3 ligases, and E4 factors. The resulting K48-linked and K11-linked ubiquitin chains do not only represent a signal for degradation by the proteasome but are also recognized by the AAA+ ATPase Cdc48 and get in the process of retrotranslocation modified by enzymes bound to Cdc48. Lastly we discuss the conformations adopted in particular by K48-linked ubiquitin chains and their importance for degradation.
Background: Native T1 may be a sensitive, contrast-free, non-invasive cardiovascular magnetic resonance (CMR) marker of myocardial tissue changes in patients with pulmonary artery hypertension. However, the diagnostic and prognostic value of native T1 mapping in this patient group has not been fully explored. The aim of this work was to determine whether elevation of native T1 in myocardial tissue in pulmonary hypertension: (a) varies according to pulmonary hypertension subtype; (b) has prognostic value and (c) is associated with ventricular function and interaction.
Methods: Data were retrospectively collected from a total of 490 consecutive patients during their clinical 1.5 T CMR assessment at a pulmonary hypertension referral centre in 2015. Three hundred sixty-nine patients had pulmonary hypertension [58 ± 15 years; 66% female], an additional 39 had pulmonary hypertension due to left heart disease [68 ± 13 years; 60% female], 82 patients did not have pulmonary hypertension [55 ± 18; 68% female]. Twenty five healthy subjects were also recruited [58 ±4 years); 51% female]. T1 mapping was performed with a MOdified Look-Locker Inversion Recovery (MOLLI) sequence. T1 prognostic value in patients with pulmonary arterial hypertension was assessed using multivariate Cox proportional hazards regression analysis.
Results: Patients with pulmonary artery hypertension had elevated T1 in the right ventricular (RV) insertion point (pulmonary hypertension patients: T1 = 1060 ± 90 ms; No pulmonary hypertension patients: T1 = 1020 ± 80 ms p < 0.001; healthy subjects T1 = 940 ± 50 ms p < 0.001) with no significant difference between the major pulmonary hypertension subtypes. The RV insertion point was the most successful T1 region for discriminating patients with pulmonary hypertension from healthy subjects (area under the curve = 0.863) however it could not accurately discriminate between patients with and without pulmonary hypertension (area under the curve = 0.654). T1 metrics did not contribute to prediction of overall mortality (septal: p = 0.552; RV insertion point: p = 0.688; left ventricular free wall: p = 0.258). Systolic interventricular septal angle was a significant predictor of T1 in patients with pulmonary hypertension (p < 0.001).
Conclusions: Elevated myocardial native T1 was found to a similar extent in pulmonary hypertension patient subgroups and is independently associated with increased interventricular septal angle. Native T1 mapping may not be of additive value in the diagnostic or prognostic evaluation of patients with pulmonary artery hypertension.
Rechtsaspekte des Forschungsdatenmanagements werfen nach wie vor viele Fragen für Forschende und Nachnutzende auf: Wer darf welche Daten zu welchen Zwecken erheben und verarbeiten? Wem können die Daten "zugeordnet" werden? Wer darf entscheiden, ob und wann sie veröffentlicht werden? Welche Lizenzen sind geeignet?
Um den Unsicherheiten im rechtlichen Umgang mit Forschungsdaten zu begegnen, hat HeFDI auf Basis des Gutachtens des DataJus-Projekts (https://tu-dresden.de/gsw/jura/igetem/jfbimd13/ressourcen/dateien/dateien/DataJus/DataJus_Zusammenfassung_Gutachten_12-07-18.pdf?lang=de) die hier publizierte Handreichung zusammengestellt. Die Handreichung dient dazu, Forschenden und Forschungsdatenmanager*innen einen gut verständlichen Zugang zu Rechtsfragen hinsichtlich Forschungsdaten zu ermöglichen. Das anschaulich konzipierte Material kann sowohl in Schulungen zum Datenmanagement als auch in konkreten Beratungsprozessen eingesetzt werden.
In einem ersten Schritt hat HeFDI die Themenfelder (I) Urheber- und Leistungsschutzrechte an Forschungsdaten sowie (II) Entscheidungsbefugnis über den Umgang mit Forschungsdaten in der hier publizierten Handreichung zusammengefasst.
Das vorliegende Material umfasst zum einen eine animierte Präsentation in editierbarem Format. Gleichzeitig stellt HeFDI den Inhalt der Präsentation sowohl editierbar als auch im PDF-Format als Druckvorlage für ein Handout o. Ä. im DIN A4-Format zur Verfügung.
Brain aging is one of the major risk factors for the development of several neurodegenerative diseases. Therefore, mitochondrial dysfunction plays an important role in processes of both, brain aging and neurodegeneration. Aged mice including NMRI mice are established model organisms to study physiological and molecular mechanisms of brain aging. However, longitudinal data evaluated in one cohort are rare but are important to understand the aging process of the brain throughout life, especially since pathological changes early in life might pave the way to neurodegeneration in advanced age. To assess the longitudinal course of brain aging, we used a cohort of female NMRI mice and measured brain mitochondrial function, cognitive performance, and molecular markers every 6 months until mice reached the age of 24 months. Furthermore, we measured citrate synthase activity and respiration of isolated brain mitochondria. Mice at the age of three months served as young controls. At six months of age, mitochondria-related genes (complex IV, creb-1, β-AMPK, and Tfam) were significantly elevated. Brain ATP levels were significantly reduced at an age of 18 months while mitochondria respiration was already reduced in middle-aged mice which is in accordance with the monitored impairments in cognitive tests. mRNA expression of genes involved in mitochondrial biogenesis (cAMP response element-binding protein 1 (creb-1), peroxisome proliferator-activated receptor gamma coactivator 1-alpha (PGC1-α), nuclear respiratory factor-1 (Nrf-1), mitochondrial transcription factor A (Tfam), growth-associated protein 43 (GAP43), and synaptophysin 1 (SYP1)) and the antioxidative defense system (catalase (Cat) and superoxide dismutase 2 (SOD2)) was measured and showed significantly decreased expression patterns in the brain starting at an age of 18 months. BDNF expression reached, a maximum after 6 months. On the basis of longitudinal data, our results demonstrate a close connection between the age-related decline of cognitive performance, energy metabolism, and mitochondrial biogenesis during the physiological brain aging process.
Kinetics of circulating endothelial progenitor cells in patients undergoing carotid artery surgery
(2016)
Aim: Endothelial progenitor cells (EPCs) are primitive cells found in the bone marrow and peripheral blood (PB). In particular, the potential of EPCs to differentiate into mature endothelial cells remains of high interest for clinical applications such as bio-functionalized patches for autologous seeding after implantation. The objective of this study was to determine EPCs’ kinetics in patients undergoing carotid artery thromboendarterectomy (CTEA) and patch angioplasty.
Methods: Twenty CTEA patients were included (15 male, mean age 76 years). PB samples were taken at 1 day preoperatively, and at 1, 3, and 5 days postoperatively. Flow cytometric analysis was performed for CD34, CD133, KDR, and CD45. Expression of KDR, SDF-1α, and G-CSF was analyzed by means of enzyme-linked immunosorbent assay.
Results: Fluorescence-activated cell sorting analysis revealed 0.031%±0.016% (% of PB mononuclear cells) KDR+ cells and 0.052%±0.022% CD45-/CD34+/CD133+ cells, preoperatively. A 33% decrease of CD45–/CD34+/CD133+ cells was observed at day 1 after surgery. However, a relative number (compared to initial preoperative values) of CD45-/CD34+/CD133+ cells was found on day 3 (82%) and on day 5 (94%) postoperatively. More profound upregulated levels of CD45–CD34+/CD133+ cells were observed for diabetic (+47% compared to nondiabetic) and male (+38% compared to female) patients. No significant postoperative time-dependent differences were found in numbers of KDR+ cells and the concentrations of the cytokines KDR and G-CSF. However, the SDF-1α levels decreased significantly on day 1 postoperatively but returned to preoperative levels by day 3.
Conclusion: CTEA results in short-term downregulation of circulating EPCs and SDF-1α levels. Rapid return to baseline levels might indicate participation of EPCs in repair mechanisms following vascular injury.
Acne‐like skin reactions frequently occur in patients undergoing treatment with drugs inhibiting the epidermal growth factor receptor. Recently, the effects of vitamin K1 containing cream (Reconval K1) as prophylactic skin treatment in addition to doxycycline were explored in a double‐blind randomized phase II trial (EVITA) in patients with metastatic colorectal cancer receiving cetuximab. EVITA demonstrated a trend towards less severe skin rash in Reconval K1‐treated patients using the tripartite WoMo skin reaction grading score as a thorough tool for quantification of drug related skin reactions. This gender‐specific analysis of the EVITA trial evaluated the application of the WoMo score for assessment of epidermal growth factor receptor (EGFR)‐related skin toxicities according to treatment arm and gender. To show the robustness of results parametric and non‐parametric statistical analyses were conducted. All three parts of the WoMo score independently demonstrated the superiority of the treatment arm (Reconval K1) regarding a significant reduction in acneiform skin reactions in women. Men did not benefit from Reconval K1 cream at any time point in none of the WoMo score analyses. The treatment effect in women was confirmed by the use of skin rash categories based on the final WoMo overall score and mixed effect longitudinal multiple linear regression analysis. The WoMo score represents a sensitive tool for studies exploiting treatments against EGFR mediated acne‐like skin rash. Part C of the WoMo score seems to be sufficient for quantification of drug related skin toxicities in further studies. Standard WoMo skin reaction score values for future studies are provided.
Microstructural abnormalities in white matter (WM) are often reported in Alzheimer’s disease (AD) and may reflect primary or secondary circuitry degeneration (i.e., due to cortical atrophy). The interpretation of diffusion tensor imaging (DTI) eigenvectors, known as multiple indices, may provide new insights into the main pathological models supporting primary or secondary patterns of WM disruption in AD, the retrogenesis, and Wallerian degeneration models, respectively. The aim of this review is to analyze the current literature on the contribution of DTI multiple indices to the understanding of AD neuropathology, taking the retrogenesis model as a reference for discussion. A systematic review using MEDLINE, EMBASE, and PUBMED was performed. Evidence suggests that AD evolves through distinct patterns of WM disruption, in which retrogenesis or, alternatively, the Wallerian degeneration may prevail. Distinct patterns of WM atrophy may be influenced by complex interactions which comprise disease status and progression, fiber localization, concurrent risk factors (i.e., vascular disease, gender), and cognitive reserve. The use of DTI multiple indices in addition to other standard multimodal methods in dementia research may help to determine the contribution of retrogenesis hypothesis to the understanding of neuropathological hallmarks that lead to AD.
The National Institutes of Health Stroke Scale (NIHSS) score is the most frequently used score worldwide for assessing the clinical severity of a stroke. Prior research suggested an association between acute symptomatic seizures after stroke and poorer outcome. We determined the frequency of acute seizures after ischemic stroke in a large population-based registry in a central European region between 2004 and 2016 and identified risk factors for acute seizures in univariate and multivariate analyses. Additionally, we determined the influence of seizures on morbidity and mortality in a matched case–control design. Our analysis of 135,117 cases demonstrated a seizure frequency of 1.3%. Seizure risk was 0.6% with an NIHSS score at admission <3 points and increased up to 7.0% with >31 score points. Seizure risk was significantly higher in the presence of acute non-neurological infections (odds ratio: 3.4; 95% confidence interval: 2.8–4.1). A lower premorbid functional level also significantly increased seizure risk (OR: 1.7; 95%CI: 1.4–2.0). Mortality in patients with acute symptomatic seizures was almost doubled when compared to controls matched for age, gender, and stroke severity. Acute symptomatic seizures increase morbidity and mortality in ischemic stroke. Their odds increase with a higher NIHSS score at admission.
Anxiety and politics
(2017)
The English version of this article was first published in 1957. The journal tripleC: Communication, Capitalism & Critique republished it 60 years later in 2017. In this essay, Franz L. Neumann discusses the role of anxiety in politics. The article asks: How does it happen that the masses sell their souls to leaders and follow them blindly? On what does the power of attraction of leaders over masses rest? What are the historical situations in which this identification of leader and masses is successful, and what view of history do the men have who accept leaders? For answering these questions, the author suggests a combination of political economy, Freudian political psychology, and ideology critique. He sees anxiety in the context of alienation. Alienation is analysed as a multidimensional phenomenon consisting of economic, political, social and psychological alienation. Neumann introduces the notions of Caesaristic identification, institutionalised anxiety and persecutory anxiety. The essay shows that fascism remains an actual threat in capitalist societies.
Background: Pancreatic surgery demands complex multidisciplinary management. Clinical pathways (CPs) are a tool to facilitate this task, but evidence for their utility in pancreatic surgery is scarce. This study evaluated the effect of CPs on quality of care for pancreatoduodenectomy.
Methods: Data of all consecutive patients who underwent pancreatoduodenectomy before (n = 147) or after (n = 148) CP introduction were evaluated regarding catheter and drain management, postoperative mobilization, pancreatic enzyme substitution, resumption of diet and length of stay. Outcome quality was assessed using glycaemia management, morbidity, mortality, reoperation and readmission rates.
Results: Catheters and abdominal drainages were removed significantly earlier in patients treated with CP (p < 0.0001). First intake of liquids, nutritional supplement and solids was significantly earlier in the CP group (p < 0.0001). Exocrine insufficiency was significantly less common after CP implementation (47.3% vs. 69.7%, p < 0.0001). The number of patients receiving intraoperative transfusion dropped significantly after CP implementation (p = 0.0005) and transfusion rate was more frequent in the pre-CP group (p = 0.05). The median number of days with maximum pain level >3 was significantly higher in the CP group (p < 0.0001). There was no significant difference in mortality, morbidity, reoperation and readmission rates.
Conclusions: Following implementation of a CP for pancreatoduodenectomy, several indicators of process and outcome quality improved, while others such as mortality and reoperation rates remained unchanged. CPs are a promising tool to improve quality of care in pancreatic surgery.
This article uses survey data from the German Socio-Economic Panel (GSOEP) to analyze the persistence of educational attainment across three generations in Germany. I obtain evidence of a robust effect of grandparents’ education on respondents’ own educational attainment in West Germany, net of parental class, education, occupational status, family income, parents’ relationship history, and family size. I also test whether the grandparent effect results from resource compensation or cumulative advantage and find empirical support for both mechanisms. In comparison, the intergenerational association between grandparents’ and respondents’ education is considerably weaker in East Germany and is also mediated completely by parental education. There are hardly any gender differences in the role of grandparents for respondents’ educational attainment, except for the fact that resource compensation is found to be exclusively relevant for women’s attainment in both West Germany and in East Germany after German reunification and the associated transition to an open educational system.
Background: With the current study, we aimed to determine the prevalence of back pain in employees of a German chemical company. We put a specific focus on disabling back pain and its association with sociodemographic, lifestyle- and work-related characteristics.
Methods: We used cross-sectional data, surveyed in health check-ups between 2011 and 2014 in Ludwigshafen am Rhein (Germany). A blood sample, physical examination and anamnesis by an occupational health physician as well as a written questionnaire were part of the check-up. A modified version of the Standardised Nordic Musculoskeletal Questionnaire was utilized to survey the back-pain specific information. Disabling back pain was defined as presence of any back pain in the past 12 months which prevented employees from carrying out their usual working tasks. We used multinomial logistic regression analysis to assess the association between (categorical) duration of disabling back pain and sociodemographic, lifestyle-, and work-related characteristics.
Results: Overall, 17,351 employees participated in the health check-up, information on 16,792 persons could be used for analyses. Participants were on average 43.7 (SD: 9.7) years old and mainly male (79.1%). Lifetime-, 12-months-, and 7-days-prevalence of any type and duration of back pain were 72.5, 66.1, and 27.1% respectively. About one third (33.5%) had suffered from an episode of disabling back pain, 16.7% 1–7 days, 10.3% 8–30 days, and 6.5% more than 30 days. Multinomial regression analysis yielded that 8–30 days or more than 30 days of disabling back pain (relative to 0 days) were more likely with older age, female gender, being married, former or current smoking, lower occupational status, higher work-related stress score, history of a spinal injury, and diagnosed dorsopathy.
Conclusions: There is a great need for action regarding multifaceted preventive measures and early interventions, especially for manual workers, older employees and women, where occupational medicine can play a decisive role.
Die Untersuchung von graffiti writing als soziokulturelle Praxis hat sich zu einem Forschungstrend entwickelt, ohne dass bislang eine systematische Untersuchung dieses Phänomens vorlag. Diese Lücke schließt nun Lohmann mit einer Herausarbeitung der Charakteristika antiker Graffiti im Kontext pompejanischer Wohnkultur. ...
Aim: The purpose of this study was to analyze treatment compliance in osteoporotic patients treated with osteoporosis medications in Germany.
Methods: Patients included in the analysis had been diagnosed with osteoporosis with or without fractures and started anti-osteoporotic therapy (bisphosphonates, denosumab, or strontium ranelate) between 2011 and 2014 in a general (GP) or orthopedic practice (OP) setting in Germany. Data pertaining to 6,221 individuals followed in GP and 4,044 individuals followed in OP were analyzed retrospectively. The last follow-up was in December 2015. The main outcome measure was the compliance within the one-year period after the index prescription date. Compliance was measured indirectly and was based on the mean possession ratio (MPR). A multivariate logistic regression model was used to determine the association between MPR (dependent variable) and age, gender, type of practice, type of osteoporosis treatment, therapy frequency, and history of fracture (covariates).
Results: The mean age of the study group was 73.3 years, and 13.2% of subjects were men. Regarding type of practice, 60.6% of individuals were followed in GP and 39.4% in OP. Noncompliance was observed in 55.2% of the patients. Patients in the age group ≤60 years were at a higher risk of being noncompliant when compared to those in the age group of 61–70 years. Men and patients who received oral drugs were also more likely to be noncompliant than women and patients who received injectable or intravenous drugs. Finally, therapies that were given every three or six months were associated with a decrease in the risk of noncompliance when compared to weekly therapy, whereas daily and monthly treatments were associated with an increased risk.
Conclusion: Compliance is insufficient in osteoporotic patients treated with osteoporosis medications.
Objective: A high unilateral load to the musculoskeletal system is specific for formation dance. Due to the lack of data the aim of this study was the side-related (right – left) analysis of strength- and balance capability subject to injuries, gender and performance standards.
Methods: N = 51 dancers (m: n = 24, f: m = 27) of two performance levels participated in this cross-sectional study. Double-sided tests of the isometric maximal strength of relevant muscle groups and the balance capability were carried out. The tests were supplemented by a self report questionnaire.
Results: Tests of the isometric maximal strength in the elite performance level showed significant differences between either side of the body. As to the balance capability, no significant side-related differences could be found in. Correlations between the strength capability and the injuries could be observed in either group.
Conclusion: The significant strength differences are presumably caused by the right-sided load in the dance-specific movements. The cautious conclusion that movement patterns challenge the stability of either side of the body likewise may be allowed. The increased injury frequency at the muscularly stronger side of the body primarily results from an overload. An additive muscular training should be considered as a preventive measure.
As women's labor-force participation and earnings have grown, so has the likelihood that wives outearn their husbands. A common concern is that these couples may be at heightened risk of divorce. Yet with the rise of egalitarian marriage, wives' relative earnings may be more weakly associated with divorce than in the past. We examine trends in the association between wives' relative earnings and marital dissolution using data from the 1968–2009 Panel Study of Income Dynamics. We find that wives' relative earnings were positively associated with the risk of divorce among couples married in the late 1960s and 1970s, and that this was especially true for wives who outearned their husbands, but this was no longer the case for couples married in the 1990s. Change was concentrated among middle-earning husbands and those without college degrees, a finding consistent with the economic squeeze of the middle class over this period.
Background: The year 2016 has marked the highest number of displaced people worldwide on record. A large number of these refugees are women, yet little is known about their specific situation and the hurdles they have to face during their journey. Herein, we investigated whether sociodemographic characteristics and traumatic experiences in the home country and during the flight affected the quality of life of refugee women arriving in Germany in 2015–2016.
Methods: Six hundred sixty-three women from six countries (Afghanistan, Syria, Iran, Iraq, Somalia, and Eritrea) living in shared reception facilities in five distinct German regions were interviewed by native speakers using a structured questionnaire. Sociodemographic data and information about reasons for fleeing, traumatic experiences, symptoms, quality of life, and expectations towards their future were elicited. All information was stored in a central database in Berlin. Descriptive analyses, correlations, and multivariate analyses were performed.
Results: The most frequent reasons cited for fleeing were war, terror, and threat to one’s life or the life of a family member. Eighty-seven percent of women resorted to smugglers to make the journey to Europe, and this significantly correlated to residence in a war zone (odds ratio (OR) = 2.5, 95% confidence interval (CI) = 1.4–4.6, p = 0.003) and homelessness prior to fleeing (OR = 2.1, 95% CI = 1–4.3, p = 0.04). Overall the described quality of life by the women was moderate (overall mean = 3.23, range of 1–5) and slightly worse than that of European populations (overall mean = 3.68, p < 0.0001). The main reasons correlating with lower quality of life were older age, having had a near-death experience, having been attacked by a family member, and absence of health care in case of illness.
Conclusions: Refugee women experience multiple traumatic experiences before and/or during their journey, some of which are gender-specific. These experiences affect the quality of life in their current country of residence and might impact their integration. We encourage the early investigation of these traumatic experiences to rapidly identify women at higher risk and to improve health care for somatic and mental illness.
Memoirs by women (from the Global North) who have employed a gestational host (from the Global South) to become mothers are situated in a force field of intersecting discourses about gender, race and class. The article sheds light on the characteristic dynamics of this special sub-genre of ‘mommy lit’ (Hewett), labelled ‘IP memoirs,’ with a special emphasis on memoirs featuring transnational cross-racial gestational surrogacy arrangements in India. These texts do not only present narratives of painful infertility experiences, autopathographic self-blame, and scriptotherapeutic quests towards happiness, i.e. (a) child(ren), but also speak back to knotty issues such as potential exploitation, commodification, colonisation and disenfranchisement, as well as genetic essentialism in the context of systemic inequities.
Intestinal carriage of multidrug-resistant bacteria among healthcare professionals in Germany
(2017)
Healthcare professionals (HCP) might be at increased risk of acquisition of multidrug-resistant bacteria (MDRB), i.e., methillicin-resistant Staphylococcus aureus (MRSA), vancomycin-resistant enterococci (VRE), and multidrug-resistant gram-negative bacteria (MDRGN) and could be an unidentified source of MDRB transmission.
The aim of this study was to determine the prevalence as well as risk factors of MDRB colonization among HCP.
HCP (n=107) taking part in an antibiotic stewardship program, were voluntarily recruited to perform a rectal swab and to fill in a questionnaire to identify risk factors of MDRB carriage, i.e. being physician, gender, travel abroad within the previous 12 months, vegetarianism, regular consumption of raw meat, contact to domestic animals, household members with contact to livestock, work or fellowship abroad, as well as medical treatment abroad and antibiotic therapy within the previous 12 months.
Selective solid media were used to determine the colonization rate with MRSA, VRE and MDRGN. MDRGN were further characterized by molecular analysis of underlying β-lactamases.
None of the participants had an intestinal colonization with MRSA or VRE. 3.7% of the participants were colonized with extended-spectrum beta-lactamase (ESBL)-producing Enterobacteriaceae, predominantly blaCTX-M type. Neither additional flouroquinolone resistance nor carbapenem resistance was detected in any of these isolates. No risk factors were identified to have a significant impact of MDRB carriage among HCP.
A colonization rate of 3.7% with ESBL-producing Enterobacteriaceae is of interest, but comparing it to previously published data with similar colonization rates in the healthy population in the same geographic area, it is probably less an occupational risk.
Objective: Extracorporeal life support (ECLS) is a life-saving procedure used in the treatment of severe cardiogenic shock. Within this retrospective single centre study, we examined our experience in this critically ill patient cohort to assess outcomes and clinical parameters by comparison of ECLS with or without selective left ventricular decompression.
Methods: Between 2004 and 2014 we evaluated 48 adult patients with INTERMACS level 1 heart failure (age 49.7 ± 19.5 years), who received either central ECLS with (n = 20, 41.7%) or ECLS without (n = 28, 58.3%, including 10 peripheral ECLS) integrated left ventricular vent in our retrospective single centre trial.
Results: Follow up was 100% with a mean of 0.83 ± 1.85 years. Bridge to ventricular assist device was feasible in 29.2% (n = 14), bridge to transplant in 10.4% (n = 5) and bridge to recovery in 8.3% (n = 4). Overall 30-day survival was 37.5%, 6-month survival 27.1% and 1-year survival 25.0%. ECLS support with left ventricular decompression showed favourable 30-day survival compared to ECLS without left ventricular decompression (p = 0.034). Thirty-day as well as long-term survival did not differ between the subgroups (central ECLS with vent, ECLS without vent and peripheral ECLS without vent). Multivariate logistic regression adjusted for age and gender revealed ECLS without vent as independent factor influencing 30-day survival.
Conclusion: ECLS is an established therapy for patients in severe cardiogenic shock. Independent of the ECLS approach, 30-day mortality is still high but with superior 30-day survival for patients with ECLS and left ventricular venting. Moreover, by unloading the ventricle, left ventricular decompression may provide an important time window for recovery or further treatment, such as bridge to bridge or bridge to transplant.
A potential clinical and etiological overlap between schizophrenia (SZ) and bipolar disorder (BD) has long been a subject of discussion. Imaging studies imply functional and structural alterations of the hippocampus in both diseases. Thus, imaging this core memory region could provide insight into the pathophysiology of these disorders and the associated cognitive deficits. To examine possible shared alterations in the hippocampus, we conducted a multi-modal assessment, including functional and structural imaging as well as neurobehavioral measures of memory performance in BD and SZ patients compared with healthy controls. We assessed episodic memory performance, using tests of verbal and visual learning (HVLT, BVMT) in three groups of participants: BD patients (n = 21), SZ patients (n = 21) and matched (age, gender, education) healthy control subjects (n = 21). In addition, we examined hippocampal resting state functional connectivity, hippocampal volume using voxel-based morphometry (VBM) and fibre integrity of hippocampal connections using diffusion tensor imaging (DTI). We found memory deficits, changes in functional connectivity within the hippocampal network as well as volumetric reductions and altered white matter fibre integrity across patient groups in comparison with controls. However, SZ patients when directly compared with BD patients were more severely affected in several of the assessed parameters (verbal learning, left hippocampal volumes, mean diffusivity of bilateral cingulum and right uncinated fasciculus). The results of our study suggest a graded expression of verbal learning deficits accompanied by structural alterations within the hippocampus in BD patients and SZ patients, with SZ patients being more strongly affected. Our findings imply that these two disorders may share some common pathophysiological mechanisms. The results could thus help to further advance and integrate current pathophysiological models of SZ and BD.
Exposure to community violence through witnessing or being directly victimized has been associated with conduct problems in a range of studies. However, the relationship between community violence exposure (CVE) and conduct problems has never been studied separately in healthy individuals and individuals with conduct disorder (CD). Therefore, it is not clear whether the association between CVE and conduct problems is due to confounding factors, because those with high conduct problems also tend to live in more violent neighborhoods, i.e., an ecological fallacy. Hence, the aim of the present study was: (1) to investigate whether the association between recent CVE and current conduct problems holds true for healthy controls as well as adolescents with a diagnosis of CD; (2) to examine whether the association is stable in both groups when including effects of aggression subtypes (proactive/reactive aggression), age, gender, site and socioeconomic status (SES); and (3) to test whether proactive or reactive aggression mediate the link between CVE and conduct problems. Data from 1178 children and adolescents (62% female; 44% CD) aged between 9 years and 18 years from seven European countries were analyzed. Conduct problems were assessed using the Kiddie-Schedule of Affective Disorders and Schizophrenia diagnostic interview. Information about CVE and aggression subtypes was obtained using self-report questionnaires (Social and Health Assessment and Reactive-Proactive aggression Questionnaire (RPQ), respectively). The association between witnessing community violence and conduct problems was significant in both groups (adolescents with CD and healthy controls). The association was also stable after examining the mediating effects of aggression subtypes while including moderating effects of age, gender and SES and controlling for effects of site in both groups. There were no clear differences between the groups in the strength of the association between witnessing violence and conduct problems. However, we found evidence for a ceiling effect, i.e., individuals with very high levels of conduct problems could not show a further increase if exposed to CVE and vice versa. Results indicate that there was no evidence for an ecological fallacy being the primary cause of the association, i.e., CVE must be considered a valid risk factor in the etiology of CD.
One striking observation in Parkinson’s disease (PD) is the remarkable gender difference in incidence and prevalence of the disease. Data on gender differences with regard to disease onset, motor and non-motor symptoms, and dopaminergic medication are limited. Furthermore, whether estrogen status affects disease onset and progression of PD is controversially discussed. In this retrospective single center study, we extracted clinical data of 226 ambulatory PD patients and compared age of disease onset, disease stage, motor impairment, non-motor symptoms, and dopaminergic medication between genders. We applied a matched-pairs design to adjust for age and disease duration. To determine the effect of estrogen-related reproductive factors including number of children, age at menarche, and menopause on the age of onset, we applied a standardized questionnaire and performed a regression analysis. The male to female ratio in the present PD cohort was 1.9:1 (147 men vs. 79 women). Male patients showed increased motor impairment than female patients. The levodopa equivalent daily dose was increased by 18.9% in male patients compared to female patients. Matched-pairs analysis confirmed the increased dose of dopaminergic medication in male patients. No differences were observed in age of onset, type of medication, and non-motor symptoms between both groups. Female reproductive factors including number of children, age at menarche, and age at menopause were positively associated with a delay of disease onset up to 30 months. The disease-modifying role of estrogen-related outcome measures warrants further clinical and experimental studies targeting gender differences, specifically hormone-dependent pathways in PD.
Background/Objectives: Sharing the bed with a partner is common among adults and impacts sleep quality with potential implications for mental health. However, hitherto findings are contradictory and particularly polysomnographic data on co-sleeping couples are extremely rare. The present study aimed to investigate the effects of a bed partner's presence on individual and dyadic sleep neurophysiology.
Methods: Young healthy heterosexual couples underwent sleep-lab-based polysomnography of two sleeping arrangements: individual sleep and co-sleep. Individual and dyadic sleep parameters (i.e., synchronization of sleep stages) were collected. The latter were assessed using cross-recurrence quantification analysis. Additionally, subjective sleep quality, relationship characteristics, and chronotype were monitored. Data were analyzed comparing co-sleep vs. individual sleep. Interaction effects of the sleeping arrangement with gender, chronotype, or relationship characteristics were moreover tested.
Results: As compared to sleeping individually, co-sleeping was associated with about 10% more REM sleep, less fragmented REM sleep (p = 0.008), longer undisturbed REM fragments (p = 0.0006), and more limb movements (p = 0.007). None of the other sleep stages was significantly altered. Social support interacted with sleeping arrangement in a way that individuals with suboptimal social support showed the biggest impact of the sleeping arrangement on REM sleep. Sleep architectures were more synchronized between partners during co-sleep (p = 0.005) even if wake phases were excluded (p = 0.022). Moreover, sleep architectures are significantly coupled across a lag of ± 5min. Depth of relationship represented an additional significant main effect regarding synchronization, reflecting a positive association between the two. Neither REM sleep nor synchronization was influenced by gender, chronotype, or other relationship characteristics.
Conclusion: Depending on the sleeping arrangement, couple's sleep architecture and synchronization show alterations that are modified by relationship characteristics. We discuss that these alterations could be part of a self-enhancing feedback loop of REM sleep and sociality and a mechanism through which sociality prevents mental illness.
Limbic encephalitis (LE) is an autoimmune syndrome often associated with temporal lobe epilepsy. Recent research suggests that particular structural changes in LE depend on the type of the associated antibody and occur in both mesiotemporal gray matter and white matter regions. However, it remains questionable to what degree conventional diffusion tensor imaging (DTI)-methods reflect alterations in white matter microstructure, since these methods do not account for crossing fibers. To address this methodological shortcoming, we applied fixel-based analysis as a novel technique modeling distinct fiber populations. For our study, 19 patients with LE associated with autoantibodies against glutamic acid decarboxylase 65 (GAD-LE, mean age = 35.9 years, 11 females), 4 patients with LE associated with autoantibodies against leucine-rich glioma-inactivated 1 (LGI1-LE, mean age = 63.3 years, 2 females), 5 patients with LE associated with contactin-associated protein-like 2 (CASPR2, mean age = 57.4, 0 females), 20 age- and gender-matched control patients with hippocampal sclerosis (19 GAD-LE control patients: mean age = 35.1 years, 11 females; 4 LGI1-LE control patients: mean age = 52.6 years, 2 females; 5 CASPR2-LE control patients: mean age = 42.7 years, 0 females; 10 patients are included in more than one group) and 33 age- and gender-matched healthy control subjects (19 GAD-LE healthy controls: mean age = 34.6 years, 11 females; 8 LGI1-LE healthy controls: mean age = 57.0 years, 4 females, 10 CASPR2-LE healthy controls: mean age = 57.2 years, 0 females; 4 subjects are included in more than one group) underwent structural imaging and DTI at 3 T and neuropsychological testing. Patient images were oriented according to lateralization in EEG resulting in an affected and unaffected hemisphere. Fixel-based metrics fiber density (FD), fiber cross-section (FC), and fiber density and cross-section (FDC = FD · FC) were calculated to retrieve information about white matter integrity both on the micro- and the macroscale. As compared to healthy controls, patients with GAD-LE showed significantly (family-wise error-corrected, p < 0.05) lower FDC in the superior longitudinal fascicle bilaterally and in the isthmus of the corpus callosum. In CASPR2-LE, lower FDC in the superior longitudinal fascicle was only present in the affected hemisphere. In LGI1-LE, we did not find any white matter alteration of the superior longitudinal fascicle. In an explorative tract-based correlation analysis within the GAD-LE group, only a correlation between the left/right ratio of FC values of the superior longitudinal fascicle and verbal memory performance (R = 0.64, Holm-Bonferroni corrected p < 0.048) remained significant after correcting for multiple comparisons. Our results underscore the concept of LE as a disease comprising a broad and heterogeneous group of entities and contribute novel aspects to the pathomechanistic understanding of this disease that may strengthen the role of MRI in the diagnosis of LE.
Triathlon is a popular sport for both recreational and competitive athletes. This study investigated the rates and patterns of stress fractures in the German national triathlon squad. We developed a web-based retrospective questionnaire containing questions about the frequency of stress fractures, anatomic localisation and associated risk factors. The survey was conducted as an explorative cross-sectional study. Eighty-six athletes completed the questionnaire. Twenty athletes (23%) sustained at least one stress fracture. All documented stress fractures were located in the lower extremities. Factors associated with a higher risk for stress fractures were female gender, competitive sport prior to triathlon career, Vitamin D or iron deficiency, menstrual disturbances and a high number of annual training hours. Disseminating knowledge among athletes and their professional community in order to raise awareness about early symptoms and relevant risk factors could help to improve prevention and reduce the incidence of stress fractures.
Members of conflicting groups experience threats to different identity dimensions, resulting in the need to restore the aspect of identity that was threatened. Do these needs translate into specific goals in social interactions? In the present research, we examined the hypotheses that (1) experiencing one’s ingroup as illegitimately disadvantaged or victimized arouses agentic goals (to act and appear assertive and confident) when interacting with the advantaged or victimizing group, while (2) experiencing one’s ingroup as illegitimately advantaged or perpetrating transgressions arouses communal goals (to act and appear warm and trustworthy) when interacting with the disadvantaged or victimized group. Study 1 (N = 391) generally supported both hypotheses across diverse intergroup contexts involving gender, national/ethnic, and consumer identities. Study 2 (N = 122) replicated this pattern in a context of occupational identities. Study 2 further showed that the effect of ingroup role on agentic and communal intergroup goals was not moderated by participants’ general dispositional preferences for agentic and communal goals in interpersonal interactions, thus demonstrating how ingroup role exerts a distinct and robust influence on goals for interactions with other groups. Theoretical and practical implications are discussed.
Advertising arbitrage
(2020)
Arbitrageurs with a short investment horizon gain from accelerating price discovery by advertising their private information. However, advertising many assets may overload investors' attention, reducing the number of informed traders per asset and slowing price discovery. So arbitrageurs optimally concentrate advertising on just a few assets, which they overweight in their portfolios. Unlike classic insiders, advertisers prefer assets with the least noise trading. If several arbitrageurs share information about the same assets, inefficient equilibria can arise, where investors' attention is overloaded and substantial mispricing persists. When they do not share, the overloading of investors' attention is maximal.
In fifteen European countries, China, and the US, stocks and business equity as a share of total household assets are represented by an increasing and convex function of income/wealth. A parsimonious model fitted to the data shows why background labor- income risk can explain much of this risk-taking pattern. Uncontrollable labor-income risk stresses middle-income households more because labor income is a larger fraction of their total lifetime resources compared with the rich. In response, middle-income households re-duce (controllable) financial risk. Richer households, having less pressure, can afford more risk-taking. The poor take low risk because they avoid jeopardizing their subsistence consumption.
Einleitung: Ataxia telangiectasia (A-T) ist eine lebenslimitierende autosomal-rezessiv vererbte Systemerkrankung, die durch eine Mutation im ATM Gen hervorgerufen wird. Symptome wie Neurodegeneration, Immundefizienz, Teleangiektasien, Wachstums- und Gedeihstörungen, endokrine Dysfunktionen, erhöhte Strahlensensitivität, sowie Malignomprädisposition sind charakterisierend für die Erkrankung. Des Weiteren zeigen viele Patienten eine progrediente Lebererkrankung, die bis jetzt nur unzureichend untersucht wurde.
Zielsetzung: Untersuchung der laborchemischen und strukturellen Veränderungen im Rahmen der Hepatopathie bei A-T Patienten. Des Weiteren soll der Zusammenhang der Körperzusammensetzung, der Muskelkraft und der Lebensqualität mit der Lebererkrankung analysiert werden.
Methoden: Von November 2016 bis Mai 2018, wurden 31 A-T Patienten in die Studie eingeschlossen. Die Patienten wurden zur Auswertung in zwei Gruppen eingeteilt (21 Patienten ≤ zwölf Jahre, zehn Patienten > zwölf Jahre). Neben der Bestimmung der Laborparameter wurden die Veränderungen der Leber anhand der transienten Elastographie und des FibroMax® erhoben. Die Körperzusammensetzung wurde mit Hilfe der bioelektrischen Impedanzanalyse (BIA) ermittelt, die Muskelkraft anhand des Five-Times-Sit-to-Stand-Tests (FTSST). Zur Erfassung der Lebensqualität wurde der EuroQol-Fragebogen 5Q-5D-5L durchgeführt.
Ergebnisse: Bei der transienten Elastographie zeigte sich bei zwei (10%) jüngeren im Vergleich zu neun (90%) älteren Patienten eine Steatose. Eine Fibrose lag bei fünf (50%) älteren Patienten vor. Die Leberenzyme (AST (37.8 ± 7.9 U/l vs. 49.8 ± 15.2 U/l, p<0,05), ALT (25.1 ± 9.6 U/l vs. 71.6 ± 25.8 U/l, p<0,001), GGT (13.2 ± 4,5 U/l vs. 123.7 ± 99.6 U/l, p<0,0001)), das Alpha-Fetoprotein (AFP) (313.4 ± 267,2 ng/ml vs. 540.8 ± 275.8 ng/ml, p<0,05), der HbA1c (4,8 ± 0,4 % vs. 5,7 ± 0,6 %, p<0,0001) sowie die Triglyceride (66.5 ± 34.3 mg/dl vs. 200.4 ± 98.8 mg/dl, p<0,0001) waren signifikant in der älteren Patientengruppe erhöht. Zusätzlich zeigte sich eine signifikante Korrelation der Steatose und Fibrose mit dem Alter (r=0,82, p<0,0001; r=0,59, p<0,001), der AST (r=0,39, p<0,05; r=0,42, p<0,05), der ALT (r=0,77, p<0,0001; r=0,53, p<0,01), der
GGT (r=0,83, p<0,0001; r=0,67, p<0,0001), dem HbA1c (r=0,59, p<0,01; r=0,63, p<0,001) und den Triglyceriden (r=0,74, p<0,0001; r=0,62, p<0,001). Die transiente Elastographie und der SteatoTest des FibroMax zeigten übereinstimmende Ergebnisse.
Eine Magermasse unterhalb der zehnten Perzentile wiesen elf (52%) jüngere im Gegensatz zu neun (90%) älteren Patienten auf. Auch der Phasenwinkel lag bei neun (43%) jüngeren und acht (80%) älteren Patienten unterhalb der zehnten Perzentile. Die jüngeren Patienten waren beim FTSST signifikant schneller (10,8 ± 6,1s vs. 19,4 ± 5,6s, p < 0,01). Die Auswertung des EuroQol-Fragebogen 5Q-5D-5L zeigte einen signifikanten Unterschied der Einschätzung der Beweglichkeit / Mobilität der Patienten (3 (1-4) vs. 4 (2-5), p<0,05).
Schlussfolgerung: Eine Hepatopathie im Sinne einer nicht-alkoholische Fettlebererkrankung (NAFLD) bzw. nicht-alkoholische Steatohepatitis (NASH) tritt bei fast allen älteren A-T Patienten auf. Charakteristisch hierfür sind erhöhte Leberenzyme und eine Fettleber bis hin zur Leberfibrose und Zirrhose. Oxidativer Stress, Inflammation und ein partielles metabolisches Syndrom in Form einer Dyslipidämie und Dysglykämie tragen zu diesem Prozess bei. Die Lebererkrankung im Rahmen der A-T sollte regelmäßig qualifiziert erfasst werden, um Langzeitfolgen, wie beispielsweise die Entwicklung eines hepatozellulären Karzinoms rechtzeitig zu detektieren. Die transiente Elastographie stellt hierfür eine gut reproduzierbare, nicht invasive Methode dar, mit der bereits frühe Stadien der Lebererkrankung erkannt werden können.
Ziel: Das Ziel dieser Studie war es, den Einfluss der Erfahrung von Radiologen auf die Qualität der radiologischen Diagnostik von Speicheldrüsentumoren mittels MRT- und CT-Aufnahmen zu analysieren.
Material und Methoden: Drei Radiologen mit unterschiedlicher Erfahrung (R1 > 20, R2 > 11 und R3 > 7 Jahre) diagnostizierten retrospektiv 128 Fälle (116 MRT-, 12 CT-Studien) mit Verdacht auf Speicheldrüsentumoren hinsichtlich der Dignität und Entität mit Histopathologie als Referenzstandard. Um die diagnostische Leistung zu vergleichen, wurden die Sensitivität, die Spezifität, der positive/negative Vorhersagewert und die Inter-Observer-Übereinstimmung unter Verwendung von Cohens Kappa (κ) berechnet.
Ergebnisse: In 87 Fällen waren die Tumoren gutartig und in 23 Fällen bösartig, 18 Fälle waren ohne Neoplasien (davon 15 Fälle mit sonstigen Erkrankungen and 3 Fälle ohne pathologischen Befund). Bei CT-Aufnahmen wurde bei der Dignitätsbestimmung die höchste Inter-Observer-Reliabilität zwischen R1 und R2 (κ = 0,74, p <0,001) erreicht und die niedrigste zwischen R2 und R3 (κ = 0,28, p <0,001). Bei MRT-Aufnahmen war die Sensitivität/Spezifität bei der Klassifizierung von pleomorphen Adenomen wie folgt: R1 (100 % / 100 %), R2 (76,92 % / 87,01 %), R3 (43,53 % / 67,53 %) und für CT: R1 (100 % / 100 %), R2 (100 % / 88,89 %), R3 (66,67 % / 88,89 %); für Warthin-Tumor mit MRT: R1 (100 % / 97,44 %), R2 (68,42 % / 83,33 %), R3 (50,00 % / 67,95 %) und unter Verwendung von CT: R1 (100 % / 100 %), R2 (50,00 % / 100 %), R3 (100 % / 100 %); für Plattenepithelkarzinome mittels MRT: R1 (100 % / 100 %), R2 (75,00 % / 97,12 %), R3 (75,00 % / 99,04 %) und unter Verwendung von CT: R1 (100 % / 100 %), R2 (66,67 % / 88,89 %), R3 (66,67 % / 66,67 %). Bei MRT bestand die größte Übereinstimmung zwischen R1 und R2 (κ = 0,62, p <0,001) und die niedrigste zwischen R1 und R3 (κ = 0,28, p <0,001).
Schlussfolgerung: Die diagnostische Qualität bei der Bewertung von Speicheldrüsentumoren ist von der Erfahrung des Radiologen abhängig und die Diagnostikgüte steigt mit zunehmender Berufserfahrung.
Se il legislatore volesse incriminare nuove condotte o aggravare il trattamento sanzionatorio previsto per tipologie di condotte già penalmente rilevanti, lo potrebbe fare solo con efficacia per il futuro.
Il divieto costituzionale di retroattività impedisce, da un lato, che un comportamento penalmente irrilevante possa essere soggetto a sanzione penale dopo la sua commissione e, dall’altro lato, che una condotta già penalmente rilevante possa essere oggetto di un incremento del trattamento sanzionatorio rispetto a quello previsto al momento del fatto.
Qualora un comportamento penalmente irrilevante al momento della sua commissione diventi, al contrario, penalmente rilevante a seguito del verificarsi di un cambio di interpretazione giurisprudenziale oppure finisca per essere sanzionato (in astratto) con pene più sfavorevoli, quali garanzie sono riconosciute al cittadino?
La Corte costituzionale nel 1988 aveva dichiarato la parziale illegittimità costituzionale della disciplina dell’ignorantia legis, consacrando il principio secondo cui l’ignoranza inevitabile della legge penale scusa il soggetto. Principio che però non ha impedito in tutti questi anni alla giurisprudenza (di legittimità, anche nella sua massima istanza) di riconoscere ai mutamenti giurisprudenziali sfavorevoli efficacia retroattiva, quindi rispetto a fatti già verificatisi.
Più recentemente si è diffusa, su impulso della Corte di Strasburgo, l’idea secondo cui i mutamenti giurisprudenziali peggiorativi non possono retroagire solo laddove imprevedibili.
Secondo l’opinione tuttora maggioritaria, il divieto di retroattività non potrebbe o non dovrebbe svolgere alcun ruolo di garanzia in questi casi in quanto il riconoscimento del medesimo divieto anche rispetto ai mutamenti giurisprudenziali in malam partem determinerebbe l’equiparazione del “diritto giurisprudenziale” alla legge sul piano delle fonti del diritto penale, equiparazione evidentemente insostenibile sulla base del nostro modello costituzionale di separazione dei poteri. È davvero così?
Il lavoro affronta, in prospettiva anche europea e comparata, il tema delle garanzie costituzionali riconosciute al singolo cittadino a fronte del verificarsi di un mutamento giurisprudenziale (soprattutto in seno alle Sezioni unite) produttivo di conseguenze sfavorevoli.
Die wesentliche Glaubenslehre des Islam ist das Bekenntnis der Einheit Gottes (Tawḥīd). Jalāluddīn Rūmī (g. 1273) erzählt in einer der längsten Geschichten seiner Maṯnawī die geistige Entwicklung des Menschen, bis er von Zwiespalt, Zweifel und Sorge befreit wird und so Tawḥīd, d.h. Einheit und Frieden in sich erreicht. Die Geschichte des Wüstenarabers (A‛rābī) und seiner Frau, welche in diesem Artikel behandelt wird, legt die Stufen der geistigen Reise, das Voranschreiten der Seele zur Einheit und hierbei das Verhältnis von Vernunft und Seele des Menschen, die als ein Ehepaar versinnbildlicht werden, dar.
Es handelt sich hier um die portugiesische Übersetzung einer an der Universität Wien eingereichten Magisterarbeit aus dem Jahr 2004. Die übersetzte Version wurde im Jahr 2006 zudem um einige Inhalte erweitert.
Die vorliegende Dissertation befasst sich mit Flow-Zuständen beim Lesen fiktiver Texte. Das 1975 von Mihaly Csikszentmihalyi vorgestellte Konzept des Flow bezieht sich auf das völlige Aufgehen in einer optimal herausfordernden Tätigkeit, das mit Absorption, Verarbeitungsflüssigkeit und intrinsische Freude einhergeht. Bislang wurde Flow zumeist im Kontext motorischer und leistungsorientierter Aktivitäten empirisch untersucht und in erster Linie theoretisch mit Lesefreude in Verbindung gebracht. Ziel der drei Studien, die diese Dissertation umfasst, war es daher einerseits, Flow beim Lesen erstmals anhand größerer Leser-Stichproben und mithilfe von psychometrischen Gütekriterien genügenden Messinstrumenten nachzuweisen. Andererseits sollte Flow im Rahmen eines Modells für positives Leseerleben mit anderen in der Leseforschung diskutierten Konzepten in Verbindung gebracht und im Hinblick auf potenzielle psychophysiologische Korrelate untersucht werden.
In der ersten Studie wurde eine in der allgemeinen Flow-Forschung verbreitete Kurz-Skala an den Lesekontext adaptiert und anhand einer 229 Leser umfassenden Stichprobe psychometrisch getestet. Hierzu wurden die Teilnehmer im Rahmen einer Online-Studie gebeten, nach 20-minütigem Lesen in einem selbstgewählten Roman Fragebögen zu ihrem Leseerleben auszufüllen. Zufriedenstellende Reliabilitätskoeffizienten, positive Korrelationen mit konvergenten Maßen, die faktoranalytische Unterscheidbarkeit zu diskriminanten Maßen und die erwartete Assoziation mit einem Flow-Kriterium bestätigten die Güte der Flow-Skala. Eine Explorative Faktorenanalyse ergab jedoch, dass fast alle Items auf dem Faktor Absorption luden. Zudem ließ die zweifakorielle Skalenstruktur keine abschließende Aussage zur Legitimierung eines globalen Flow-Scores zu. Daher wurde in der zweiten Studie auf Basis der ersten Skala und der aus der Theorie bekannten Flow-Komponenten ein umfassenderer lesespezifischer Flow-Fragebogen entwickelt. Dessen Reliabilität und Validität konnte anhand einer Online-Studie mit 373 Teilnehmern, in deren Rahmen ein Kapitel aus Homers Odyssee gelesen wurde, bestätigt werden. Neben Hinweisen zur konvergenten und diskriminanten Konstrukt- und zur Kriteriumsvalidität stützten die Ergebnisse einer Konfirmatorischen Faktorenanalyse eine theoretisch angemessene Skalenstruktur, mit den einzelnen Komponenten, mit Absorption, Verarbeitungsflüssigkeit und intrinsischer Freude als Subdimensionen und mit Flow als übergeordnetem Faktor. Mittels eines Strukturgleichungsmodells konnte zudem demonstriert werden, dass der auf Basis dieses Fragebogens gemessene Flow eine zentrale Rolle beim Leseerleben einnehmen kann. So wurde Flow als Mediator für andere, ebenfalls erhobene Erlebnisformen beim Lesen wie etwa Identifikation oder Spannung bestätigt. Von diesen Konzepten klärte Flow den größten Anteil an Varianz in Lesefreude und Textverständnis auf, die als Outcomes von positivem Leseerleben modelliert wurden. Da Flow gegenüber anderen Konzepten der Leseforschung den Vorteil hat, die Ableitung experimenteller Paradigmen und psychophysiologischer Hypothesen zu ermöglichen, wurden in der dritten Studie über die Manipulation des stilistischen Herausforderungsgrades eines weiteren Odyssee-Kapitels unterschiedliche Lese-Bedingungen hergestellt und kardiovaskuläre Daten gemessen. Es zeigten sich zwar keine signifikanten Gruppenunterschiede im Flow-Erleben, jedoch Interaktionen zwischen der Lesebedingung und kardiovaskulären Indikatoren bei der Vorhersage von Flow. So scheinen parasympathische Dominanz und ein entsprechender innerer Entspannungszustand, indiziert durch eine geringe Herzrate und hohe Herzratenvariabilität, Flow beim Lesen zu begünstigen, wenn der Text stilistisch anspruchsvoll ist. Es fanden sich hingegen keine Hinweise dafür, dass Flow-Erleben die Herzaktivität von Lesern verändert oder sich durch sie objektiv erfassen lässt.
Insgesamt sprechen die Ergebnisse dieses Forschungsprojektes somit für das Auf-treten von Flow beim Lesen sowie für dessen zentrale Rolle bei positiven Leseerlebnissen. Außerdem zeigen sie das Potenzial des Flow-Konzeptes für die Leseforschung auf, insbesondere hinsichtlich psychophysiologischer Experimentalstudien.
The innate immune system is the first line of host defense that senses invading pathogens by various surveillance mechanisms, involving pattern recognition receptors (PRRs) such as Toll-like receptors (TLRs). Furthermore, in response to stress, tissue injury or ischemia, cells release endogenous danger-associated molecular patterns (DAMPs) which activate PRRs in order to prompt an effective immune response. Activation of PRRs by DAMPs initiates signaling transduction pathways which drive sterile inflammation by the production of pro-inflammatory effector molecules. Biglycan, a class I small leucine-rich proteoglycan (SLRP), is proteolytically released from the extracellular matrix (ECM) in response to tissue stress and injury or de novo synthesized by activated macrophages. In its soluble form, biglycan operates as an ECM-derived DAMP and triggers a potent inflammatory response by engaging TLR2 and TLR4 on immune cells. By selective utilization of TLR2/4 and the TLR adaptor molecules adaptor molecule myeloid differentiation primary response gene 88 (MyD88) or TIR domain-containing adaptor-inducing interferon-β (TRIF) biglycan differentially regulates the production of TLR downstream mediators or inflammatory molecules. In this way, biglycan triggers the activation of mitogen-activated protein kinase (MAPK) p38, extracellular signal-regulated kinase (Erk) and nuclear factor kappa-light-chain enhancer of activated B cells (NF-κB) in a primarily MyD88-dependent manner. In contrast, biglycan induces the expression of (C–C motif) ligand (CCL)5 and chemokine (C-X-C motif) ligand (CXCL)10 over TLR4/TRIF, heat shock protein 70 (HSP70) production over TLR2 and the synthesis of tumor necrosis factor (TNF)-α, CCL2 and CCL20 by utilizing TLR2/4/MyD88. As a consequence, biglycan promotes the recruitment of immune cells such as neutrophils, T cells, B cells and macrophages into the inflamed tissue. Research over the past years showed that biglycan-induced inflammation is involved in the pathogenesis of various inflammatory diseases such as lupus nephritis (LN), sepsis and renal ischemia/reperfusion injury (IRI), whereby genetic deletion of biglycan or TLR2/4 alleviated disease outcome. Unfortunately, the selective interaction of biglycan to TLRs and TLR adaptors complicates the identification of an efficient pharmacological target in biglycan-mediated inflammation. Yet, the necessity of possible co-receptors in biglycan signaling such as cluster of differentiation 14 (CD14) which was found in a high molecular complex with biglycan was not addressed so far.
In the first part of the present study, by utilizing primary peritoneal murine macrophages we demonstrated that the biglycan-induced expression and synthesis of TNF-α and CCL2 via TLR2/4/MyD88, CCL5 through TLR4/TRIF and HSP70 over TLR2 is blunted in CD14 deficient mice, proving that CD14 is essential in TLR2- and TLR4-mediated biglycan signaling. Pre-incubation of macrophages with an anti-CD14 antibody significantly reduced the protein levels of TNF-α, CCL2, CCL5 and HSP70. In line with these data, pharmacological inhibition of CD14 alleviated the transcriptional activation of NF-κB by biglycan in HEK-Blue cells expressing hTLR2/CD14 as well as hTLR4/CD14/MD2 supporting CD14-dependency for biglycan/TLR2/4 signaling. Western blot analysis of phosphorylated p38, p44/42 and NF-κB in WT and CD14 deficient mice revealed that activation of biglycan-mediated TLR downstream signaling is CD14-dependent. Accordingly, biglycan-induced activation and nuclear translocation of p38, p44/42 and NF-κB was blocked in Cd14-/- mice as analyzed by confocal microscopy. Co-immunoprecipitation studies combined with microscale thermophoresis analysis showed that biglycan is in complex with CD14 in macrophages and in vitro binds directly with high affinity to CD14, thereby sustaining the concept that CD14 is a novel co-receptor in biglycan-mediated inflammation. Additionally, we provided proof-of-principle of our concept in an in vivo mouse model of renal IRI. Transient overexpression of biglycan in WT mice exacerbated the expression and production of TNF-α, CCL2, CCL5 and HSP70 in a CD14-dependent manner. Interestingly, pLIVE or pLIVE-hBGN-injected Cd14-/- mice displayed lower chemo- and cytokine levels in reperfused kidneys as compared to respective WT controls during renal IRI (30 h), indicating a renoprotective effect by CD14 deficiency. Flow cytometry analysis of kidney homogenates underlined the pivotal effect of CD14 in biglycan signaling as biglycan-mediated infiltration of CD11b- and F4/80-positive renal macrophages was abolished in Cd14-/- mice. Additionally, pLIVE or pLIVE-hBGN-injected CD14 deficient mice displayed lower numbers of renal CD11b- and F4/80-positive cells during renal IRI compared to WT mice. Analysis of F4/80- and CD38-positive cells isolated from mononuclear cell extracts from kidney homogenates of pLIVE or pLIVE-hBGN-injected WT and Cd14-/- mice revealed that biglycan triggers the polarization of pro-inflammatory M1 macrophages in a CD14-dependent manner. In line with this, Cd14-/- mice, either injected with pLIVE or pLIVE-hBGN, showed less F4/80- and CD38-positive cells during renal IRI than the respective WT control. As a corroboration of our data PAS-stained renal sections of pLIVE- or pLIVE-hBGN-injected WT or Cd14-/- mice uncovered that biglycan worsens tubular damage in IRI-subjected mice via CD14. At the same time, tubular damage was significantly reduced in IRI-subjected Cd14-/- mice as compared to WT mice. In correlation with these data, serum creatine levels were increased in pLIVE-hBGN-injected WT mice during renal IRI. In contrast, serum creatine levels were significantly less increased in pLIVE- or pLIVE-hBGN-injected Cd14-/- mice than in WT littermate controls. In conclusion we demonstrated that CD14 is a new high affinity ligand for biglycan-mediated pro-inflammatory signaling over TLR2 and TLR4 in macrophages. In vivo, soluble biglycan triggers the expression of various inflammatory mediators by utilizing the co-receptor CD14. Ablation of CD14 abolishes biglycan-induced renal macrophage infiltration and M1 macrophage polarization as well as overall kidney function by reduced tubular damage and serum creatinine levels. Therefore, this study identifies CD14 as a promising therapeutic target to ameliorate biglycan-induced inflammation.
...
Chiralität ist in der belebten Natur ein omnipräsentes Phänomen und beschreibt die Symmetrieeigenschaft eines Objektes, dass dieses von seinem Spiegelbild unterscheidbar ist. Die bisherigen Untersuchungen der Wechselwirkung zwischen chiralen Molekülen und Licht fokussieren sich auf das Regime der Ein- und Multiphoton-Ionisation und wird mit dieser Arbeit um Untersuchungen im Starkfeldregime erweitert. Im Rahmen dieser Arbeit wurden Experimente an einzelnen chiralen Molekülen in starken Laserfeldern vorbereitet, durchgeführt, analysiert und alle geladenen Fragmente in Koinzidenz untersucht.
Die Präsentation der Ergebnisse orientierte sich an der Reihenfolge, in der auch die Datenauswertung von Vielteilchenaufbrüchen vonstattengeht: Zunächst wurde der Dichroismus in den Photoionen (PICD) auf chirale Signale in integraler differentieller Form untersucht, dann wurde die Asymmetrien in den Elektronenverteilungen vorgestellt und abschließend die Zusammenhänge zwischen den Ionen- und Elektronenverteilungen aufgezeigt.
Kapitel 6 untersuchte die (differentielle) Ionisations- und Fragmentationswahrscheinlichkeit von verschiedenen chiralen Molekülen. Die in Kapitel 6.1 präsentierten Daten verknüpften erstmals den bereits in der Literatur diskutierten Zirkulardichroismus in den Zählraten von Photoionen (PICD) mit dem signalstärkeren differentiellen PICD in der Einfachionisation von Methyloxiran. Dissoziiert das Molekül nach der Ionisation rasch genug, gewährt der Impulsvektor des geladenen Fragments Zugang zu einer Fragmentationsachse. Durch die Auflösung nach einer Molekülachse ist der beobachtete PICD fast eine Größenordnung stärker, als der über alle Raumrichtungen integrierte.
In steigender Komplexität wurde in Kapitel 6.2 eine Fragmentation in vier Teilchen von Molekülen aus einem racemischen Gemisch von CHBrClF untersucht. Über die Auswertung eines Spatproduktes aus den Impulsvektoren konnte für jedes Molekül dessen Händigkeit bestimmt und der vollständig differentielle PICD untersucht werden. Durch das Festhalten einer Fragmentationsachse (analog zu Kapitel 6.1) konnten um einen Faktor vier stärkere PICD-Signale und durch das Auflösen nach der vollständigen Molekülorientierung die Signalstärke des PICD um einen Faktor von etwa 16 in den Bereich einiger Prozente gebracht werden. Leider übersteigt die theoretische Beschreibung dieses Prozesses den aktuellen Stand der Forschung weit. Daher kann nicht ausgeschlossen werden, dass nicht ein Beitrag zur PICD-Signalverstärkung auch aus der Dynamik der sequentiellen vielfachen Ionisation stammt.
Die untersuchte Reaktion in Kapitel 6.3 war der Fünf-Teilchenaufbruch der achiralen Ameisensäure. In der Messung aller ionischen Fragmente konnten analog zu dem vorherigen Kapitel die internen Koordinaten sowie die Orientierung des Moleküls ermittelt werden. Tatsächlich wurde von einer chiralen Fragmentation der achiralen Ameisensäure berichtet. Welches Enantiomer in der Fragmentation beobachtet wird, hängt maßgeblich von der Molekülorientierung relativ zum ionisierenden Laserpuls ab. Diese Erkenntnis könnte zu neuen Ansätzen für Laserkatalysierte enantioselektive Reaktionen führen. Darüber hinaus konnte gezeigt werden, dass die beobachtete Händigkeit des Moleküls nicht nur von seiner Orientierung, sondern auch von der Helizität des ionisierenden Laserpulses abhängt. Dieser differentielle PICD an der Ameisensäure zeigte sich neben einer sehr großen Signalstärke von über 20 % auch als sensitive Probe für die molekulare Struktur.
In Kapitel 7 wurden die Untersuchungen an den 3-dimensionalen Impulsverteilungen der Photoelektronen vorgestellt. Zunächst wird hierzu auf die allgemeine Form des Dichroismus in den Photoelektronen (PECD) im Starkfeldregime eingegangen und die vorherrschenden Symmetrien des Ionisationsregimes herausgearbeitet (Kapitel 7.1). Mit leicht steigender Komplexität konnte eine klare Verbindung zwischen der Asymmetrie in der Elektronenverteilung und dem Schicksal des zurückbleibenden molekularen Ions anhand der Einfachionisation von Methyloxiran herausgearbeitet werden (Kapitel 7.2). Dies hat eine wichtige Auswirkung auf die Nutzbarkeit des PECD im Starkfeldregime als Analysemethode für Chemie und Pharmazie: Der über alle Fragmentationskanäle integrierte PECD ist sensitiv auf die Gewichtung der Fragmente und damit auch auf beispielsweise die maximale Laserintensität. Die Daten legen nahe, dass die Abhängigkeit des PECD von dem Fragmentationskanal auf die unterschiedliche Auswahl von Subensembles molekularer Orientierungen zurückzuführen ist.
Bei Verwendung von elliptisch polarisiertem Licht treten gegenüber der zirkularen Polarisation eine Reihe neuer Effekte auf (Kapitel 7.3). Zunächst zeigt der PECD auch im Starkfeldregime eine nicht lineare Sensitivität auf den Polarisationszustand, welche sich auch als Funktion des Elektronentransversalimpulses und dem Fragmentationskanal ändert. Somit ist die Verwendung von elliptisch polarisiertem Licht bestens für die chirale Erkennung geeignet, wie inzwischen auch in der Literatur bestätigt wurde. Darüber hinaus führt die gebrochene Rotationssymmetrie bei elliptisch polarisiertem Licht zu einer Elektronenimpulsverteilung, welche selbst chiral ist: Der PECD variiert je nach Winkel φ in der Polarisationsebene, wobei die Extrema des PECD nicht mit den Maxima der Zählraten übereinstimmen. Als neue chirale Beobachtungsgröße konnten wir eine enantiosensitive und vorwärts-/rückwärtsasymmetrische Rotation der Zählratenmaxima einführen. Als abgeleitete Größe aus derselben drei-dimensionalen Elektronenverteilung ist diese Beobachtungsgröße jedoch untrennbar verknüpft mit dem ϕ-abhängigen PECD.
Kapitel 8 verknüpfte das (partielle) Wissen um die molekulare Orientierung und den PICD mit den Asymmetrien der Elektronenverteilung für die Messung der fünffach-Ionisation von Ameisensäure (Kapitel 8.1), der vierfach-Ionisation von CHBrClF (Kapitel 8.2) und der Einfachionisation von Methyloxiran (Kapitel 8.3). Im Datensatz der Ameisensäure und dem des CHBrClF zeigte die molekulare Orientierung einen größeren Einfluss auf die Asymmetrie in der Elektronenverteilung als das Enantiomer oder die Helizität des Lichtes. Diese Verknüpfung zwischen Molekülorientierung und Elektronenasymmetrie überträgt die Asymmetrien des PICD auf die Elektronenverteilung. Die Messung an Methyloxiran relativiert diesen Zusammenhang jedoch in dem dieser in dieser Stärke nur bei manchen Fragmentationskanälen auftritt. Offenbar ist die Übertragung der Asymmetrie der differentiellen Ionisationswahrscheinlichkeit nur einer der Mechanismen, welcher zu Elektronasymmetrien im Starkfeldregime führt.
Gliflozins are inhibitors of the renal proximal tubular sodium-glucose co-transporter-2 (SGLT-2), that inhibit reabsorption of urinary glucose and they are able to reduce hyperglycemia in patients with type 2 diabetes. A renoprotective function of gliflozins has been proven in diabetic nephropathy, but harmful side effects on the kidney have also been described. In the current project, primary highly purified human renal proximal tubular epithelial cells (PTCs) have been shown to express functional SGLT-2, and were used as an in vitro model to study possible cellular damage induced by two therapeutically used gliflozins: empagliflozin and dapagliflozin. Cell viability, proliferation, and cytotoxicity assays revealed that neither empagliflozin nor dapagliflozin induce effects in PTCs cultured in a hyperglycemic environment, or in co-medication with ramipril or hydro-chloro-thiazide. Oxidative stress was significantly lowered by dapagliflozin but not by empagliflozin. No effect of either inhibitor could be detected on mRNA and protein expression of the pro-inflammatory cytokine interleukin-6 and the renal injury markers KIM-1 and NGAL. In conclusion, empa- and dapagliflozin in therapeutic concentrations were shown to induce no direct cell injury in cultured primary renal PTCs in hyperglycemic conditions.