Universitätspublikationen
Refine
Year of publication
Document Type
- Article (12953)
- Part of Periodical (3427)
- Doctoral Thesis (3165)
- Contribution to a Periodical (2075)
- Book (2051)
- Working Paper (1869)
- Preprint (1297)
- Review (1047)
- Report (910)
- Conference Proceeding (659)
Language
- English (16236)
- German (13534)
- Portuguese (231)
- Spanish (123)
- Italian (65)
- French (64)
- Multiple languages (57)
- Turkish (12)
- Ukrainian (10)
- slo (7)
Keywords
- Deutschland (132)
- COVID-19 (93)
- Financial Institutions (90)
- inflammation (90)
- ECB (67)
- Capital Markets Union (64)
- SARS-CoV-2 (63)
- Financial Markets (61)
- Adorno (58)
- Banking Union (50)
Institute
- Medizin (6237)
- Präsidium (4979)
- Physik (3057)
- Wirtschaftswissenschaften (2242)
- Gesellschaftswissenschaften (2009)
- Biowissenschaften (1671)
- Frankfurt Institute for Advanced Studies (FIAS) (1455)
- Biochemie und Chemie (1370)
- Sustainable Architecture for Finance in Europe (SAFE) (1369)
- Informatik (1350)
Most defined contribution pension plans pay benefits as lump sums, yet the US Treasury has recently encouraged firms to protect retirees from outliving their assets by converting a portion of their plan balances into longevity income annuities (LIA). These are deferred annuities which initiate payouts not later than age 85 and continue for life, and they provide an effective way to hedge systematic (individual) longevity risk for a relatively low price. Using a life cycle portfolio framework, we measure the welfare improvements from including LIAs in the menu of plan payout choices, accounting for mortality heterogeneity by education and sex. We find that introducing a longevity income annuity to the plan menu is attractive for most DC plan participants who optimally commit 8-15% of their plan balances at age 65 to a LIA that starts paying out at age 85. Optimal annuitization boosts welfare by 5-20% of average retirement plan accruals at age 66 (assuming average mortality rates), compared to not having access to the LIA. We also compare the optimal LIA allocation versus two default options that plan sponsors could implement. We conclude that an approach where a fixed fraction over a dollar threshold is invested in LIAs will be preferred by most to the status quo, while enhancing welfare for the majority of workers.
We designed and fielded an experimental module in the 2014 HRS which seeks to measure older persons’ willingness to voluntarily defer claiming of Social Security benefits. In addition we evaluate the stated willingness of older individuals to work longer, depending on the Social Security incentives offered to delay claiming their benefits. Our project extends previous work by analyzing the results from our HRS module and comparing findings from other data sources, which included very much smaller samples of older persons. We show that half of the respondents would delay claiming if no work requirement were in place under the status quo, and only slightly fewer, 46 percent, with a work requirement. We also asked respondents how large a lump sum they would need with or without a work requirement. In the former case, the average amount needed to induce delayed claiming was about $60,400, while when part-time work was required, the average was $66,700. This implies a low utility value of leisure foregone of only $6,300, or about 10 percent of older households’ income.
Background: Cancer screening participation rates in Germany differ depending on patients’ gender. International studies have found that patient–physician gender concordance fosters recommendation and conducting of cancer screening, and especially cancer screening for women.
Objectives: We aimed to ascertain whether gender concordance influences general practitioners' (GPs’) rating of the usefulness of cancer screening, as well as their recommendations and readiness to conduct cancer screening in general practice in Germany.
Methods: For an exploratory cross-sectional survey, 500 randomly selected GPs from all over Germany were asked to fill in a questionnaire on cancer screening in general practice between March and June 2015. We asked them to rate the usefulness of each cancer screening examination, how frequently they recommended and conducted them and whether they viewed GPs or specialists as responsible for carrying them out. We used multiple logistic regression to analyse gender effect size by calculating odds ratios.
Results: Our study sample consisted of 139 GPs of which 65% were male. Male and female GPs did not differ significantly in their rating of the general usefulness of any of the specified cancer screening examinations. Male GPs were 2.9 to 6.8 times as likely to consider GPs responsible for recommending and conducting PSA testing and digital rectal examinations and were 3.7 to 7.9 times as likely to recommend and conduct these examinations on a regular basis.
Conclusion: Patient–physician gender concordance made it more likely that male-specific cancer screenings would be recommended and conducted, but not female-specific screenings.
Background and Aims. Biliary complications are the most frequent complications after common liver surgeries. In this study, accuracy of hepatobiliary scintigraphy (HBS) and impact of hyperbilirubinemia were evaluated. Methods. Between November 2007 and February 2016, 131 patients underwent hepatobiliary scintigraphy after having liver surgery. 39 patients with 42 scans after LTX (n=13) or hepatic resection (n=26) were evaluated in the study; 27 were male, with mean age 60 years. The subjects underwent hepatobiliary scintigraphy with Tc-99m labeled Mebrofenin. The results were compared to ERCP as gold standard performed within one month after HBS. We calculated sensitivity, specificity, PPV, and NPV. We compared LTX patients to patients with other liver surgeries. Furthermore the influence of hyperbilirubinemia on HBS scans was evaluated. Results. HBS always provided the correct diagnosis in cases of bile leak in the liver-resected group (14/14). Overall diagnostic accuracy was 76% (19/25) in this group and 54% (7/13) in the LTX group. False negative (FN) diagnoses occurred more often among LTX patients (p=0.011). Hyperbilirubinemia (>5 mg/dL) significantly influenced the excretion function of the liver, prolonging HBS’s time-activity-curve (p=0.001). Conclusions. Hepatobiliary scintigraphy is a reliable tool to detect biliary complications, but reduced accuracy must be considered after LTX.
Die Beobachtung, dass Tumorzellen häufig eine Abhängigkeit gegenüber einer einzelnen und treibenden Mutation entwickeln, obwohl sie zahlreiche Mutationen aufweisen, bildet die Grundlage der mittlerweile etablierten, zielgerichteten Tumortherapie (Weinstein, 2002). Mit der Identifikation verantwortlicher Signalwege sowie beteiligter Signalkomponenten, sind Ansatzpunkte für diese Therapieform geschaffen worden, die bereits zu einigen Erfolgen in der Leukämie-, Brustkrebs- oder Lungenkrebsbehandlung geführt haben (Druker et al., 2001; Slamon et al., 2001; Kwak et al., 2010) . In vielen Fällen stellt sich jedoch ein Rückfall aufgrund der Ausbildung von Resistenzen ein oder auch das Nichtanschlagen der Therapien wird beobachtet (Ramos & Bentires-Alj, 2015).
Verschiedenste Mechanismen kommen dabei in Frage, doch häufig werden kompensatorische Veränderungen in den Signalwegen beobachtet, die schließlich zur Umgehung der Inhibition führen (Holohan et al., 2013). Grundlage hierfür ist die Redundanz und Verknüpfung der Signalwege mit- und untereinander, die es der Zelle im Sinne der Homöostase ermöglichen sich flexibel an ihre Umgebung anzupassen (Rosell et al., 2013; Sun & Bernards, 2014) . Daher ist es von äußerster Wichtigkeit, die Mechanismen der Inhibition im Hinblick auf die Signalwege der Zellen genauer zu verstehen, und dabei nicht nur die direkten, sondern auch die indirekten Effekte der Inhibition zu analysieren. So lassen sich Rückschlüsse auf den Einsatz zielgerichteter Medikamenten ziehen, die in besseren Therapiekombinationen resultieren und dadurch die Entstehung von Resistenzen verhindern.
Eine Hyper-Aktivierung von STAT3 sowie das dadurch induzierte Genmuster sind als starkes onkogenes Signal identifiziert worden, und spielen darüber hinaus an der Vermittlung von Resistenzen gegenüber Tumortherapien eine entscheidende Rolle. Durch seine Rolle in diversen zellulären Prozessen, beeinflusst STAT3 die Proliferation und das Überleben von Tumorzellen, ihr migratorisches und invasives Verhalten sowie ihre Kommunikation mit Stroma- und Immunzellen. (Bromberg et al., 1999; Wake & Watson, 2015) Sehr selten ist die aberrante Aktivierung des Transkriptionsfaktors auf eigene Mutationen zurückzuführen, vielmehr sorgen Treiber überhalb für diese (Johnston & Grandis, 2011; Kucuk et al., 2015).
In der vorliegenden Arbeit wurden verschiedene STAT3-Inhibitionen in unterschiedlichen Modellen verglichen um darüber Rückschlüsse auf Kriterien einer Therapie zu ziehen. In einem Gliommodell aus der Maus, dem eine v-SRC-Expression als Treiber zu Grunde liegt (Smilowitz et al., 2007), wurde eine indirekte, BMX-vermittelte STAT3-Inhibition mit einer zielgerichteten STAT3-Hemmung verglichen. BMX, die zur TEC-Kinase-Familie gehört, wird als STAT3-aktivierende Kinase beschrieben. In letzter Zeit wurde ihr Einfluss bei der Tumorentwicklung immer deutlicher (Dai et al., 2006; Hart et al., 2011; Holopainen et al., 2012). Unter anderem konnte in Glioblastom-Stammzellen eine BMX-vermittelte STAT3-Aktivierung als Treiber für die Selbsterneurungskapazität und das tumorigene Potential identifiziert werden (Guryanova et al., 2011). Mit dem Tyrosinkinase-Inhibitor Canertinib ist es gelungen, in den murinen Tu-2449-Gliomzellen eine BMX-vermittelte STAT3-Aktivierung nachzuweisen und zu inhibieren. Dies ist damit die erste Arbeit, in der Canertinib als BMX-Inhibitor in einem endogenen Zellsystem getestet wurde. Die einmalige Canertinib-Gabe resultierte in einem Zellzyklusarrest der G1-Phase und die Aufrechterhaltung der Inhibitorwirkung im Zelltod. Im Vergleich dazu konnte eine RNAivermittelte STAT3-Stilllegung nicht das Absterben dieser Zellen induzieren. Mit der Suche weiterer Zielstrukturen von Canertinib, die die Grundlage dieser unterschiedlichen Phänotypen bilden, konnte eine zusätzliche AKT-Inhibition identifiziert werden. Sehr wahrscheinlich wird die AKT-Inhibition ebenfalls durch BMX vermittelt, da keine Inhibition der ERBB-Familie bestätigt werden konnte. Um die Effekte weiter abzugleichen wurden Canertinib-Versuche mit einem humanen Brustkrebsmodell durchgeführt, das als Treiber eine Überexpression des EGFR aufweist.
In MDA-MB-468-Zellen, in denen keine BMX-Aktivierung vorliegt, resultierte eine Canertinib-Behandlung in der sehr prominenten Inhibition des ERK-Signalweges und in einer weniger ausgeprägten Verminderung der STAT3- und AKT-Aktivierung. Auch in diesen Zellen führte die Canertinib-Behandlung zum Zelltod. Diese Effekte werden sehr wahrscheinlich durch die Inhibition des EGFR induziert, da Canertinib als pan-ERBBInhibitor beschrieben ist (Slichenmyer et al., 2001; Djerf Severinsson et al., 2011) .
Resultate die früher in der Arbeitsgruppe gewonnen wurden, beweisen, dass eine Herunterregulation von STAT3 in der Brustkrebszelllinie MDA-MB-468 ausreicht um ein Absterben der Zellen zu induzieren (Groner et al., 2008).
Die Ergebnisse dieser Arbeit zeigen, dass eine Canertinib-Behandlung über die Inhibition unterschiedlicher Signalwege den Zelltod in beiden Zelllinien induziert. Obwohl beide Zelllinien Treiber-vermitteltes, konstitutiv aktives STAT3 aufweisen, stellt nur in den Brustkrebszellen seine Inhibition eine ausreichende Therapiebedingung dar. Somit sind die Unterschiede zwischen den beiden Zelllinien essentiell für ein Überleben der Zellen nach einer STAT3-Inhibition. In Zukunft ist es wichtig, diese Unterschiede zu identifizieren um damit zu definieren, in welchen Patientengruppen eine STAT3-Inhibition zum Erfolg führt.
In this chapter, I examine the relationship between customary international law and general principles of law. Both are distinct sources of public international law (Art. 38(1)(b) and (c) of the Statue of the International Court of Justice). In a first step, I analyze the different meanings of principles as a “source” of international law. Second, I consider different approaches to principles as a norm type in legal theory. Third, I discuss attempts in international legal doctrine to facilitate conceptual issues by either unifying general principles as a source with the source of customary international law or by equating general principles as a source and as a norm type. Finally, I propose that the delimitation between customary international law and general principles of law as sources of international law should follow the distinction between situations dominated by factual reciprocity (which justify customary norms) and situations where such factual reciprocity is absent (which justify general principles). The jurisgenerative processes leading to the emergence of general principles of international law are processes of changing identities and argumentative self-entrapment.
As a centerpiece of antigen processing, the ATP-binding cassette transporter associated with antigen processing (TAP) became a main target for viral immune evasion. The herpesviral ICP47 inhibits TAP function, thereby suppressing an adaptive immune response. Here, we report on a thermostable ICP47-TAP complex, generated by fusion of different ICP47 fragments. These fusion complexes allowed us to determine the direction and positioning in the central cavity of TAP. ICP47-TAP fusion complexes are arrested in a stable conformation, as demonstrated by MHC I surface expression, melting temperature, and the mutual exclusion of herpesviral TAP inhibitors. We unveiled a conserved region next to the active domain of ICP47 as essential for the complete stabilization of the TAP complex. Binding of the active domain of ICP47 arrests TAP in an open inward facing conformation rendering the complex inaccessible for other viral factors. Based on our findings, we propose a dual interaction mechanism for ICP47. A per se destabilizing active domain inhibits the function of TAP, whereas a conserved C-terminal region additionally stabilizes the transporter. These new insights into the ICP47 inhibition mechanism can be applied for future structural analyses of the TAP complex.
Global investment in biomedical research has grown significantly over the last decades, reaching approximately a quarter of a trillion US dollars in 2010. However, not all of this investment is distributed evenly by gender. It follows, arguably, that scarce research resources may not be optimally invested (by either not supporting the best science or by failing to investigate topics that benefit women and men equitably). Women across the world tend to be significantly underrepresented in research both as researchers and research participants, receive less research funding, and appear less frequently than men as authors on research publications. There is also some evidence that women are relatively disadvantaged as the beneficiaries of research, in terms of its health, societal and economic impacts. Historical gender biases may have created a path dependency that means that the research system and the impacts of research are biased towards male researchers and male beneficiaries, making it inherently difficult (though not impossible) to eliminate gender bias. In this commentary, we – a group of scholars and practitioners from Africa, America, Asia and Europe – argue that gender-sensitive research impact assessment could become a force for good in moving science policy and practice towards gender equity. Research impact assessment is the multidisciplinary field of scientific inquiry that examines the research process to maximise scientific, societal and economic returns on investment in research. It encompasses many theoretical and methodological approaches that can be used to investigate gender bias and recommend actions for change to maximise research impact. We offer a set of recommendations to research funders, research institutions and research evaluators who conduct impact assessment on how to include and strengthen analysis of gender equity in research impact assessment and issue a global call for action.
Background: Aedes albopictus and Ae. japonicus are two of the most widespread invasive mosquito species that have recently become established in western Europe. Both species are associated with the transmission of a number of serious diseases and are projected to continue their spread in Europe.
Methods: In the present study, we modelled the habitat suitability for both species under current and future climatic conditions by means of an Ensemble forecasting approach. We additionally compared the modelled MAXENT niches of Ae. albopictus and Ae. japonicus regarding temperature and precipitation requirements.
Results: Both species were modelled to find suitable habitat conditions in distinct areas within Europe: Ae. albopictus within the Mediterranean regions in southern Europe, Ae. japonicus within the more temperate regions of central Europe. Only in few regions, suitable habitat conditions were projected to overlap for both species. Whereas Ae. albopictus is projected to be generally promoted by climate change in Europe, the area modelled to be climatically suitable for Ae. japonicus is projected to decrease under climate change. This projection of range reduction under climate change relies on the assumption that Ae. japonicus is not able to adapt to warmer climatic conditions. The modelled MAXENT temperature niches of Ae. japonicus were found to be narrower with an optimum at lower temperatures compared to the niches of Ae. albopictus.
Conclusions: Species distribution models identifying areas with high habitat suitability can help improving monitoring programmes for invasive species currently in place. However, as mosquito species are known to be able to adapt to new environmental conditions within the invasion range quickly, niche evolution of invasive mosquito species should be closely followed upon in future studies.
Erratum to doi:10.1186/s13071-016-1853-2