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IL-12-related cytokines produced by dendritic cells are considered to be major inducers of adaptive immune system activation upon innate antigen-sensing. IL-23 specifically is currently being discussed to support the differentiation of potentially auto-aggressive Th17 cells. Prostaglandins as bystander cell products are known to modulate the translation of this process. While previous studies focused therefore on IL-12, ignoring the existence of new IL-12-related cytokines IL-23 and IL-27, this study analysed effects of prostaglandin E2, D2 and 15d-PGJ2 on the secretion pattern of these subunits in the murine immature Langerhans cell line XS52 and the murine immature myeloid dendritic cell line JawsII under TLR4 (LPS) and TLR9 (CpG) stimulation as well as effects of prostaglandins on the murine Th1 cell line IF12 in coculture and upon Con A treatment. In serial semi-quantitative RT-PCR of the IL-12 related cytokines of the XS52 cell line and the JawsII cell line, the p40 subunit was upregulated in both DC cell lines upon TLR-stimulation, the IL-23p19 subunit constantly expressed in XS52 and upregulated in JawsII upon TLR-stimulation, while the IL-27p28 subunit was only weekly expressed under additional stimulating aCD40 Ab treatment. IL-12p35 could only be detected in the immature myeloid cell line. The protein expression of the p40 subunit was measured in Western blot assays following SDS-PAGE under reducing conditions in XS52. The Western blot-based antibody specification allowed the establishment of a p40-specific ELISPOT assays, where overadditive upregulation of the number of LPS-stimulated spot forming XS52 cells was observed under stimulation with PGE2 while PGD2 depressed the number of LPS-stimulated cytokine secreting cells. Contrary IL-12p40 could not be detected in supernatants of the JawsII cell line. Both DC cell lines were further tested for differential response towards different TLR stimulation described as a defining feature of DC subsets. While subunit expression on transcription level did not differ, only LPS-treatment led to constant IL-12p40 expression in supernatants of XS52. CpG-treatment of XS52 cells led to constantly high IL-12p40 levels under additional aCD40 Ab treatment. In IFN-g ELISPOT assays, prostaglandin effects were further analysed in IF12 Th1 cells upon Con A treatment or alternatively upon treatment in a coculture model with the syngeneic cell line XS52 and the T lymphocyte-specific protein ovalbumin. While PGE2 depressed the amount of activated Th1, PGD2 showed no effect. In conclusion, a coculture model has been generated that allows the analysis of DC and TC interactions. The importance of prostaglandins as differential regulators in time- and tissue-dependence in inflammatory processes has been demonstrated. These results accord with recent observations of an upregulation of IL-23 secretion upon PGE2 treatment.
Concentration of multivariate random recursive sequences arising in the analysis of algorithms
(2006)
Stochastic analysis of algorithms can be motivated by the analysis of randomized algorithms or by postulating on the sets of inputs of the same length some probability distributions. In both cases implied random quantities are analyzed. Here, the running time is of great concern. Characteristics like expectation, variance, limit law, rates of convergence and tail bounds are studied. For the running time, beside the expectation, upper bounds on the right tail are particularly important, since one wants to know large values of the running time not taking place with possibly high probability. In the first chapter game trees are analyzed. The worst case runnig time of Snir's randomized algorithm is specified and its expectation, asymptotic behavior of the variance, a limit law with uniquely characterized limit and tail bounds are identified. Furthermore, a limit law for the value of the game tree under Pearl's probabilistic modell is proved. In the second chapter upper and lower bounds for the Wiener Index of random binary search trees are identified. In the third chapter tail bounds for the generation size of multitype Galton-Watson processes (with immigration) are derived, depending on their offspring distribution. Therefore, the method used to prove the tail bounds in the first chapter is generalized.
HELEX Septal Occluder for transcatheter closure of patent foramen ovale : multicenter experience
(2006)
Aims Patients with cryptogenic embolic events and a patent foramen ovale (PFO) are at risk of paradoxical embolism causing recurrent cerebral events; however, transcatheter PFO closure remains controversial. The aim of this multicenter trial was to demonstrate the feasibility and safety of transcatheter closure of PFO with the HELEX Septal Occluder. Methods and results The study enrolled 128 patients (66 female; mean age, 50 years). Mean (± SD) PFO size was 10±3.7 mm; 38 patients also had an atrial septal aneurysm. Device implantation was successful in 127 patients. Device-related events during implantation or follow-up were device embolisation, wire-frame fracture, and retrieval cord breaks (two cases each; no sequelae). Other adverse events included atrial arrhythmia (two patients), migraine, convulsion, and transient ischaemic attack (one case each). There were no recurrent strokes, deaths, perforations, or accumulations of thrombi on the device. Within a mean follow-up period of 21±11 months, complete PFO closure using one device was achieved in 114 patients (90%). Five patients with a moderate to large residual shunt received a second device. Conclusion The HELEX Occluder can be used for PFO closure. Device- and procedure-related complications are rare. The closure procedure appears to reduce recurrence rates of stroke and transient ischaemic attack.
Alzheimer’s Disease (AD) is the most common neurodegenerative disorder marked by progressive loss of memory and cognitive ability. The pathology of AD is characterised by the presence of amyloid plaques, intracellular neurofibrillary tangles and pronounced cell death. The aim of this thesis was to investigate pathways involved in the Aß cascade of neurodegeneration. Since novel findings indicate that already this Aß species exerts neurotoxic effects long before hyperphosphorylated tau, neurofibrillary tangles and extracellular Aß plaques appear, the investigations were accomplished with specific regard to the effects of intracellular Aß. The Swedish double mutation in the APP gene results in six- to eightfold increased Aß production of both Aß1-40 and Aß1-42 compared to human wildtype APP cells (APPwt). Data obtained from PC12 cells indicate that it is possible to specifically increase the Aß load without enhancing APP expression levels. On the basis of these findings, it seemed possible to investigate dose-dependent effects of Aß in multiple experimental designs. These assay designs were created in order to mimick different in-vivo situations that are discussed to occur in AD patients: APPsw PC12 cells exhibit low physiological concentrations of Aß within picomolar range in contrast to APPsw HEK cells, expressing Aß levels within the nanomolar range. Of note, the APPsw HEK cells showed a specific and highly significant increase in the intracellular accumulation of insoluble Aß1-42. Moreover, an intracellular accumulation of Aß and APP was found in the mitochondria of the HEK APPsw cells suggesting a direct impact on mitochondrial function on these cells. This effect might finally lead to disturbances in the energy metabolism of the cell or to increased cell death. Furthermore, baseline g- and ß-secretase activity was assessed since these enzymes represent promising therapeutic targets to slow or halt the disease process. As expected, ß-secretase activity was significantly elevated in all APPsw cell lines. This might be due to the proximity of the Swedish double mutation next to the N-terminus of the Aß sequence. Interestingly, g-secretase activity was similarly increased in PC12 APPsw cells. In addition, the toxicity of different Aß species was investigated in SY5Y and PC12 cells with regard to their effect on cellular viability mirrored by mitochondrial activity using MTT assay. Here, it turned out that not monomers, but already dimers are neurotoxic correlates. Fibrillar Aß species showed the highest toxicity. In the next step, SY5Y cells forming endogenous, dimeric APP and Aß were investigated. In accordance with previous findings, these cells showed a decreased MTT reduction potential in comparison to APPwt and control SY5Y cells reflecting a decrease of cellular viability. The impaired energy metabolism of the cells was even more drastically mirrored by reduced baseline ATP levels. In the second part of this thesis, the expression and intracellular distribution of Bcl-2 family proteins and pro-apoptotic mitochondrial factors under baseline conditions and during oxidative stress were analyzed in the APPwt and APPsw bearing cells. The most prominent finding was the reduction of expression levels of the anti-apoptotic factor Bcl-xL in the cytosolic fractions of APPwt and APPsw PC12 cells. This might indicate that a lack of anti-apoptotic factors or their altered intracellular distribution, rather than an increase in caspase-dependent pro-apoptotic factors, could be responsible for the increased vulnerability of APPwt- and APPsw-transfected PC12 cells against oxidative stress. Since total Bcl-xL expression was unaffected in PC12 cells, in contrast to APPwt and APPsw-expressing SY5Y and HEK cells revealing significantly decreased Bcl-xL expression levels. Thus, alterations in Bcl-xL distribution seem to be an early event in the disease process. Increasing Bcl-xL expression might potentially be one promising strategy for AD modification. PC12 and HEK cells bearing APPsw or APPwt were treated with the potent g-secretase inhibitor DAPT. Of note, DAPT did not only efficiently block Aß production, but additionally led to an elevation of the MTT reduction potential, reflecting an increase in cellular viability. As another disease-modifying strategy, several efforts are undertaken to ameliorate AD-relevant symptoms by the treatment with nerve growth factor (NGF). Generally, it is known that substituted pyrimidines have modest growth-promoting effects. Here, KP544, a novel substituted pyrimidine, was characterised. This drug increased MTT reduction potential in terminally differentiated and undifferentiated PC12 cells. Furthermore, treatment with KP544 led to a reduction in Aß1-40 secretion. Thus, one may conclude that the target of KP544, GSK-3ß, represents a connecting link between the two main pathological hallmarks of AD and might thus be a very promising therapeutic target for AD.
The aim of the thesis was to identify structure activity relationships (SAR) in the primary screening data of high-throughput screening (HTS) assays. The strategy was to perform a hierarchical clustering of the molecules, assign the primary screening data to the created clusters and derive models from the clusters. The models should serve to identify singletons, clusters enriched with actives, not confirmed hits and false-negatives. Two hierarchical clustering algorithms, NIPALSTREE and hierarchical k-means have been developed and adapted for this purpose, respectively. A graphical user interface (GUI) has been implemented to extract SAR from the clustering results. Retrospective and prospective applications of the clustering approach were performed. SAR models were created by combining the clustering results with different chemoinformatic methods. NIPALSTREE projects a data set onto one dimension using principle component analysis. The data set is sorted according to the scoring vector and split at the median position into two subsets. The algorithm is applied recursively onto the subsets. The hierarchical k-means recursively separates a data set into two clusters using the k-means algorithm. Both algorithms are capable of clustering large data sets with more than a million data points. They were validated and compared to each other on the basis of different structural classes. NIPALSTREE provided with the loading vectors first insights into SAR whereas the hierarchical k-means yielded superior results. A GUI was developed allowing the display of and the navigation in the clustering results. Functionalities were integrated to analyse the clusters in the dendrogram, molecules in a cluster, and physicochemical properties of a molecule. Measures were developed to identify clusters enriched with actives, to characterize singletons and to analyse selectivity and specificity. Different protease inhibitors of the COBRA database were examined using the hierarchical k-means algorithm. Supported by similarity searches and nearest neighbour analyses thrombin inhibitor singletons were quickly isolated and displayed in the dendrogram. By scaling enrichment factors to the logarithm of the dendrogram level, clusters enriched with different structural classes of factor Xa inhibitors were simultaneously identified. The observed co-clustering of other protease inhibitors provided a deeper insight into selectivity and specificity and shows the utility of the approach for constructing focussed screening libraries. Specificity was analyzed by extracting and clustering relative frequencies of the protease inhibitors from the clusters of dendrogram level 7. A unique ligand based point of view on the pocketome of the protease enzymes was obtained. To identify not confirmed hits and false-negatives in the primary screening data of HTS assays, three assays were retrospectively analysed with the hierarchical k-means algorithm. A rule catalogue was developed judging hits in terminal clusters based on the cluster size, the percent control values of the entries in a cluster, the overall hit rate, the hit rate in the cluster and the environment of a cluster in the dendrogram. It resulted in the identification of a high proportion of not confirmed hits and provided for each hit a rating in context of related non-hits. This allows prioritizing compounds for follow-up studies. Non-hits and hits were retrieved from terminal clusters containing hits. Molecules bearing false-negative scaffolds were co-extracted and enriched. To minimize the number of false-positives in the extracted lists, Bayesian regularized artificial neutral network classification models were trained with the data. Applying the models marked improvement of enrichment factors for the false-negatives was obtained. It proofs the scaffold-hopping potential of the approach. NIPALSTREE, the hierarchical k-means algorithm and self-organising maps were prospectively applied to identify novel lead candidates for dopamine D3 receptors. Compounds with novel scaffolds and low nanomolar binding affinity (65 nM, compound 42) were identified. To provide a deeper insight into the SAR of these molecules, different alternative computational methods were employed. Support vector-based regression and partial least squares were examined. Predictive models for dopamine D2 and D3 receptor binding affinity values were obtained. Important features explaining SAR were extracted from the models. The prospective application of the models to the diverse and novel virtual screening data was of limited success only. Docking studies were performed using a homology model of the dopamine D3 receptor. The visual inspection of the binding modes resulted in the hypothesis of two alternative binding pockets for the aryl moiety of dopamine D3 receptor antagonists. A pharmacophore model was created simultaneously requiring both aryl moieties. Virtual screening with the model identified a nanomolar hit (65 nM, compound 59) corroborating the hypothesis of the two binding pockets and providing a new lead structure for dopamine D3 receptors. The presented data shows that the combined approach of hierarchically clustering a data set in combination with the subsequent usage of the clusters for model generation is suited to extract SAR from screening data. The models are successful in identifying singletons, clusters enriched with actives, not confirmed hits and false-negative scaffolds.
Customer channel migration
(2006)
Customer Channel Migration deals with the active management of a customer's channel usage behavior with the aim to increase her profitability and lifetime. Hence, the dissertation answers two distict questions: on one hand, it investigates the impact of channel use on a customer's profitability and lifetime. On the other hand, it is researched how a customer's channel usage behavior can be influenced and managed. The cumulative dissertation consists of five articles: the first article describes the matching method and its application to marketing problems. The matching method is necessary to estimate the unbiased impact of channel use on a customer's profitability and lifetime. The second article describes the application of the matching method in order to determine the monetary implications of using the internet in the financial services industry. The third article investigates the impact of the internet use on a customer's lifetime. The forth and the fifth article of the dissertation both investigate the management of a customer's channel usage behavior. The forth article designs a scale to measure a customer's perceived channel value. The fifth article builds upon these findings and develops a model which explains a customer's channel usage behavior. Based on these insights this article derives some managerial implications on how to manage customers between different channels.
Nuclear matter, that takes the form of protons and neutrons under normal conditions, is subject to a phase transition at high temperatures and densities, liberating the quarks and gluons that are usually confined in nucleons and creating a medium of free partons: the Quark-Gluon-Plasma. It is generally believed that this state of matter can be created in relativistic collisions of heavy nuclei. The study of the medium created in these collisions is the subject of heavy-ion physics. One topic within this field are particles with high transverse momentum, that are created in initial hard collisions between partons of the incoming nuclei. The energetic partons lose energy due to interactions with the medium before they fragment into a jet of hadrons. Due to momentum conservation, these jets are usually created as back-to-back pairs, or less commonly as three-jet or photon-jet events, where a single jet is balanced by a hard photon. The energy loss can be measured using correlations between particles with high transverse momenta. A trigger particle is selected with very high transversemomentum and the distribution of the azimuthal angle of associated particles in the same event is studied, relative to the azimuth of the trigger particle.These azimuthal correlations show a peak for opening angles around 0 from particles selected from the same jet, and a second peak at opening angles around 180 degrees from back-to-back di-jets. Random combinations with the underlying event generate a flat background, extending over the full range of opening angles. The STAR experiment observed a modification of these correlations in central Au+Au collisions, where trigger particles with 4GeV < pT(trigger) < 6GeV and associated particles with 2GeV < pT(trigger) < 4GeV were selected. A strong suppression has been observed for away-side correlations in central Au+Au collisions, relative to p+p, d+Au and peripheral Au+Au data. This can be explained by assuming two partons going in opposite directions, where at least one has to travel a large distance through the medium, causing energy loss and effectively removing the event from the analysis. For near-side correlations, no significant modification has been observed, which can be explained by surface emission, assuming that the observed jets have travelled only a short distance in themedium, not leaving enough time for interactions with the medium. Both trigger- and associated particles in a correlation analysis with charged hadrons are subject to modifications due to the medium. This can be avoided by using photon-jet events instead of di-jets, because the photon does not interact with the medium and therefore provides the best available measure of the properties of the opposite jet in the presence of the underlying event. This thesis studies azimuthal correlations between regions of high energy deposition in the electro-magnetic calorimeter as trigger- and charged tracks as associated particles. The data sample had been enriched by online event selection, allowing for the selection of trigger particles with a transverse energy of more than 10GeV and associated particles with more than 2,3 or 4 GeV. The away-side yield per trigger particle is strongly suppressed like in correlations between charged particles. The near-side yield is also reduced by about a factor two, clearly different from charged correlations. The trigger particles are a mixture of photon pairs from the decays of neutral pions and single photons, mainly from photon-jet events, with small contributions from other hadron decays and fragmentation photons. Pythia simulations predict a ratio of neutral pions to prompt photons of 3.5:1 in p+p collisions with the same cuts as in the presented analysis. Single particle suppression further reduces this ratio in central Au_Au collisions, down to about 0.8:1, indicating that the majority of trigger particles in central Au+Au collisions are prompt photons. The increasing fraction of prompt photon triggers without an accompanying jet and therefore zero associated yield reduces the average yield per trigger particle. The magnitude of the observed effect agrees well with the expectation from Pythia simulations and the assumption of a single particle suppression by a factor 4-5. An analysis of away-side correlations is more difficult, because both photon-jet and di-jet events contribute. The aim is the separation of these two contributions. As a clear separation is not possible with the available dataset, a comparison with two different scenarios is given, where a surprisingly small suppression by only a factor of about 5 is favoured for both dijet- and photon-jet-correlations. A separate measurement of both contributions will be possible by a shower-shape analysis with the EM calorimeter or a comparison with charged correlations in the same kinematic region.
Although in general cells are genetically identical in multicellular organisms, the differential expression of genomic information enables cell type definition and specific organ function. In eukaryotic cells, the DNA is associated with histone and non-histones proteins into a restrictive structure called chromatin. Assembly into chromatin does not only protect and package the linear double stranded DNA into the nucleus but is fundamental for the execution of diverse genetic programs. Posttranslational modifications of histones regulate the accessibility of the DNA to transcription factors and serve as scaffold for binding of regulatory proteins. Nuclear receptors are transcription factors that bind specific target sequences on the DNA and recruit transcriptional coregulators at the promoter. These are able to modify the chromatin structure in an activating or repressing manner. The contribution of corepressors to the biological actions of nuclear receptors has turned out to be essential. Impaired corepressor function can be the cause of endocrine malfunctions, neoplastic diseases or severe developmental abnormalities. To better understand the role of the nuclear receptor corepressor N-CoR the unknown function of the extreme C-terminus was investigated. In this thesis the interaction of N-CoR with the non-POU-domain containing octamer-binding protein Non0/p54nrb, that was found tobe a potential interaction partner in a yeast-two-hybrid screen, was confirmed. This protein contains two RNA recognition motifs (RRM) and is described as a multifunctional protein since it is involved in transcription Initiation as well as in pre-mRNA processing. The RRM1 motif was determined to be essential and sufficient for the interaction with N-CoR. Obtaining dominant negative effect with the Non0/p54nrb RRM1 deletion mutant in functional reporter assays, data support that NonO modulates the capacity of N-CoR to repress and alters the recruitment of N-CoR by nuclear receptors to targeted Promoters. Additional analyses suggest that the N- and C- terminus of N-CoR are involved in intramolecular interactions and that they regulate each other. Taken results together a functional model is proposed that supports the biological relevance of the interaction of N-CoR with NonO and the function of N-CoR C-terminus acting as asensor that evaluates the ratio of corepressors and coactivators in the nuclear receptor environment. N-CoR repressive capacity would be altered by modulating factors like NonO that interacts with N-CoR C-terminus. The mechanism support that splicing and transcription regulation are physically and functionallylinked to ensure the appropriate amount of messager RNA to be transcript and process in response to stimulation intensity and cell context.
Inhaltsverzeichnis Liste der wissenschaftlichen Beiträge .................................................................................. III Inhaltsverzeichnis ..............................................................................................................IV Abbildungsverzeichnis I List of Figures ................................................................................ VII Tabellenverzeichnis I List of Tables ..................................................................................... VIII Abkürzungsverzeichnis .......................................................................................................... IX 1 Einleitung 1.1 Problemstellung .............................................................................................................. 1 1.2 Einordnung und Ergebnisse der wissenschaftlichen Beiträge ....................................... 3 Literaturverzeichnis ................................................................................................................ 9 2 Langes Leben und Wohlstand im Alter: Ein Überblick über die finanzwirtschaftlichen Alternativen zur Ausgestaltung des Ruhestandes ... 10 2.1 Einführung .................................................................................................................... 10 2.2 Produktalternativen fiir die Ausgestaltung der Entnahmephase .................................. 12 2.2.1 Leibrenten .......................................................................................................... 12 2.2.1.1 Charakteristika von Leibrenten und deren historische Entwicklung .... 12 2.2.1.2 Leibrentenmarkt und -produkte in Deutschland ................................... 15 2.2.1.3 Determinanten von Leibrentenprämien ................................................ 22 2.2.2 Entnahmepläne ................................................................................................... 28 2.2.2.1 Charakteristika von Entnahmeplänen ................................................... 28 2.2.2.2 Entnahmepläne als Instrument der Ruhestandsplanung ....................... 31 2.2.2.3 Leibrenten vs. Entnahmepläne .............................................................. 33 2.3 Forschungsergebnisse zur Ausgestaltung der Entnahmephase .................................... 36 2.3.1 Einleitende Bemerkungen .................................................................................. 36 2.3.2 Positive Literatur ................................................................................................ 37 2.3.2.1 Theoretische Arbeiten zur Bedeutung von Leibrenten ......................... 37 2.3.2.2 Vererbungsmotive als Erklärungsansatz fiir geringe Nachfrage nach Leibrenten ... 39 2.3.2.3 Kosten als Erklärungsansatz fiir geringe Nachfrage nach Leibrenten .. 42 2.3.2.4 Weitere Erklärungsansätze rur geringe Nachfrage nach Leibrenten .... 44 2.3.3 Normative Literatur ............................................................................................ 47 2.3.3.1 Untersuchungen zu reinen Entnahmeplänen ......................................... 47 2.3.3.2 Untersuchung von Entnahmeplänen unter Berücksichtigung von Leibrenten ..... 50 2.3.4 Sonstige Arbeiten ............................................................................................... 56 2.4 Schlussbetrachtung ....................................................................................................... 57 Anhang A: Berechnung von Leibrentenprämien ................................................................. 59 Anhang B: Abbildung der Biometrie ................................................................................... 62 Literaturverzeichnis .............................................................................................................. 67 3 Betting on Death and Capital Markets in Retirement: A Shortfall Risk Analysis of Life Annuities versus Phased Withdrawal Plans... 76 3.1 Introduction .................................................................................................................. 76 3.2 The Case of Phased Withdrawal .................................................................................. 79 3.2.1 Withdrawal Plans with Fixed Benefits ............................................................... 80 3.2.2 Phased Withdrawal Rules with Variable Benefits ............ : ................................ 80 3.3 Risk and Reward Analysis of Phased Withdrawal Plans Conditional on Survival... ... 82 3.3.1 Research Design ................................................................................................. 82 3.3.2 Analysis of Expected Benefits ........................................................................... 84 3.3.3 Shortfall Risk Analysis ...................................................................................... 86 3.3.4 Analysis of Expected Bequests .......................................................................... 89 3.4 Risk-Minimizing Phased Withdrawal Strategies ......................................................... 90 3.4.1 Optimized Withdrawal Rules in a Risk-Return Context... ................................. 90 3.4.2 Comparative Results: Annuity versus Phased Withdrawal Plans ...................... 92 3.4.3 Phased Withdrawal Plans with Mandatory Deferred Annuities ........................ 97 3.4.4 Comparative Results ........................................................................................ 100 3.5 Summary and concluding remarks ............................................................................. 101 Appendix A: Determining Annuity Benefits ..................................................................... 104 Appendix B: Determining Expected Benefits, Expected Bequest and the Risk of a Consumption Shortfall for Phased Withdrawal Plans with given Benefit-to-Wealth Ratios .......................................................................................................................... 105 References .......................................................................................................................... 107 4 Leistungsgarantien in der Auszahlphase von investmentbasierten Altersvorsorgeverträgen: Entwicklung eines konditionalen Eigenkapitalsystems und Analyse seiner ökonomischen Implikationen ... 111 4.1 Einführung .................................................................................................................. 111 4.2 Altersvorsorgeverträge in der Auszahlphase ............................................................. 114 4.2.1 Gesetzliche Regelungen ................................................................................... 114 4.2.2 Entnahmepläne vs. Leibrenten ......................................................................... 115 4.3 Konditionales Eigenkapitalsystem fiir Altersvorsorgeverträge ................................. 117 4.3.1 Einleitende Vorbemerkungen ........................................................................... 117 4.3.2 Konzeptionelle Grundlagen eines konditionalen EK-Systems ........................ 119 4.3.3 Deduktion eines Eigenkapitalsystems fiir die Entnahmephase ........................ 121 4.4 Eigenkapitalanforderungen in der Entnahmephase .................................................... 126 4.4.1 Vorbemerkungen zur empirischen Untersuchung ............................................ 126 4.4.2 Ex post Analyse von Altersvorsorge-Entnahmeplänen ................................... 128 4.4.3 Untersuchung der Eigenkapitalanforderungen im ex ante Kontext ................. 132 4.4.3.1 Untersuchungsansatz und Modellannahmen ....................................... 132 4.4.3.2 Analysen auf Einzelvertragsbasis ....................................................... 135 4.4.3.3 Analysen im Rahmen eines Geschäfts- und Absatzmodells ............... 140 4.4.3.4 Robustheitsanalysen ............................................................................ 145 4.5 Schlussbetrachtung ..................................................................................................... 147 Literaturverzeichnis ............................................................................................................ 149 Lebenslauf ............................................................................................................................. 151 Ehrenwörtliche Erklärung: ................................................................................................. 154
On the molecular basis of novel anti-inflammatory compounds and functional leukocyte responses
(2006)
Inflammation is a complex pathophysiological event that can be triggered by activation of a number of distinct activation pathways eventually leading to the release of pro-inflammatory molecules and enzymes. Among all cells involved in inflammatory processes, neutrophils, monocytes and platelets are of major relevance. Activation of leukocytes occurs via binding of agonists to distinct GPCRs leading to activation of G proteins and proximate signaling cascades. In short, GPCR activation by pro-inflammatory agonists such as fMLP, PAF or LTB4 leads to activation of G proteins that are associated with the receptor at the cytosolic side of the plasma membrane. G proteins consist of a Gα- and a Gβγ-subunit which are associated in the inactive state. In this state, G proteins bind GDP. Upon activation, GDP is replaced by GTP that results in the dissociation of the Gα- from the Gβγ-subunit. Both subunits are capable of activating distinct PLC-β isoenzymes that catalyze the turnover of PtdIns(4,5)P2 into the second messengers Ins(1,4,5)P3 and DAG. Every GPCR holds a distinct pattern of associated G proteins which preferentially activate distinct PLC-β isoenzymes. Ca2+ channels within the SR/ER-membrane function as specific receptors for Ins(1,4,5)P3. Ligation of Ins(1,4,5)P3 to this receptor causes a release of Ca2+ from intracellular stores into the cytosol that is subsequently followed by the influx of Ca2+ e through channels in the plasma membrane. Ca2+ represents an important signaling molecule, involved in the regulation of cellular processes and enzymes that mediate inflammatory events such as ROS formation and the release of degradative enzymes. 5-LO and COXs are involved in the biosynthesis of pro-inflammatory eicosanoids and catalyze the turnover of AA into LTs and PGs, respectively. Both enzymes play pivotal roles in the initiation and maintenance of allergic diseases and inflammatory processes. LTB4 is regarded as a potent chemotactic and chemokinetic substance, whereas the cysteinyl-LTs cause smooth muscle contraction and increased vascular permeability. Therefore, 5-LO inhibitors are assumed to possess therapeutic potential for the treatment of diseases related to inflammation. Besides the intervention with 5-LO activity, inhibition of COX-activity is an effective way to suppress inflammatory reactions. The two COX isoenzymes, namely COX-1 and COX-2 show different patterns in terms of tissue expression and sensitivity towards inhibitors. COX-1 is supposed to be constantly expressed whereas COX-2 expression is upregulated at sites of inflammation. The extract of H. perforatum is commonly used for the treatment of mild to moderate depressive disorders, accompanied by a moderate profile of side effects. The extract´s efficacy as an antidepressant can be traced back to the content of the phloroglucinol hyperforin which represents the most abundant lipophilic constituent. However, in folk medicine hypericum extracts are additionally used for the treatment of inflammatory disorders such as rheumatoid arthritis or inflammatory skin diseases. In fact, it was shown that hypericum extracts and hyperforin possess anti-inflammatory potential. Hyperforin was described as a dual inhibitor of 5-LO and COX-1. The phloroglucinols MC and S-MC from M. communis significantly differ from the molecular structure of hyperforin. Hyperforin represents a monomeric prenylated derivative whereas MS and S-MC are non-prenylated oligomeric compounds. To date, the anti-inflammatory potential of SM and S-MC has not been investigated in detail. So far, solely antioxidant activity was attributed to MC and S-MC that indeed might qualify them as anti-inflammatory drugs. The phloroglucinols MC, S-MC and hyperforin are potent inhibitors of ROS formation and HLE release. However, any inhibitory potential of these compounds was only observed when cells were activated by GPCR agonists such as fMLP or PAF. In contrast, when cells were stimulated under circumvention of G protein-associated signaling cascades, the abovementioned inhibitors were not effective at all. In leukocytes, [Ca2+]i plays a pivotal role in signal transduction and regulation of the indicated pro-inflammatory cellular functions. We were able to show that MC, S-MC and hyperforin inhibited GPCR-mediated Ca2+ mobilization with approximately the same potency as the above-mentioned leukocyte responses. However, all of the indicated phloroglucinols were ineffective when cells were stimulated with ionomycin. Since ionomycin as well as GPCR agonists exert their effects by mobilizing Ca2+ i, it seems conceivable that MC, S-MC and hyperforin somehow interfere with G protein-associated signaling pathways. In order to investigate PLC as a potential target of hyperforin, the effects of hyperforin were compared to those of the broad spectrum PLC inhibitor U-73122. We found that both inhibitors acted in a comparable manner in terms of agonist-induced Ca2+ mobilization and in regard of the manipulation of basal Ca2+ levels in unstimulated cells. In this respect, significant differences between hyperforin and U-73122 were obvious for inhibition of total PLC activity in vitro. Thus, U-73122 blocked PLC activity whereas hyperforin was ineffective in this respect. This might indicate that only certain PLC isoenzymes are affected by hyperforin. Alternatively, other components within G protein-associated signaling pathways such as G proteins itself or the Ins(1,4,5)P3 receptor must be taken into account as putative targets of hyperforin. We were able to introduce MC and S-MC as novel dual inhibitors of 5-LO and COX-1. Interestingly, such a pattern was also described for hyperforin. MC and S-MC turned out to be direct inhibitors of 5-LO, based on the fact that they inhibit 5-LO not only in intact cells but also as purified enzyme in vitro. For MC and S-MC, great discrepancies were observed between the IC50 values concerning 5-LO inhibition and the concentrations that exert the antioxidative effects. It seems probable that 5-LO inhibition is not related to reduction of the active site iron as a result of the antioxidant activity of MC and S-MC but rather to direct interference with the 5-LO enzyme. The capability of MC and S-MC to suppress COX-1 activity seems not to be a unique effect of these phloroglucinols because for COX-1, the IBPC, present in both MC and S-MC, turned out to be the most active compound. ....