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A measurement of the transverse momentum spectra of jets in Pb-Pb collisions at sNN−−−√=2.76 TeV is reported. Jets are reconstructed from charged particles using the anti-kT jet algorithm with jet resolution parameters R of 0.2 and 0.3 in pseudo-rapidity |η|<0.5. The transverse momentum pT of charged particles is measured down to 0.15 GeV/c which gives access to the low pT fragments of the jet. Jets found in heavy-ion collisions are corrected event-by-event for average background density and on an inclusive basis (via unfolding) for residual background fluctuations and detector effects. A strong suppression of jet production in central events with respect to peripheral events is observed. The suppression is found to be similar to the suppression of charged hadrons, which suggests that substantial energy is radiated at angles larger than the jet resolution parameter R=0.3 considered in the analysis. The fragmentation bias introduced by selecting jets with a high pT leading particle, which rejects jets with a soft fragmentation pattern, has a similar effect on the jet yield for central and peripheral events. The ratio of jet spectra with R=0.2 and R=0.3 is found to be similar in Pb-Pb and simulated PYTHIA pp events, indicating no strong broadening of the radial jet structure in the reconstructed jets with R<0.3.
Transverse momentum spectra of π±, K± and p(p¯) up to pT = 20 GeV/c at mid-rapidity in pp, peripheral (60–80%) and central (0–5%) Pb–Pb collisions at √sNN = 2.76 TeV have been measured using the ALICE detector at the Large Hadron Collider. The proton-to-pion and the kaon-to-pion ratios both show a distinct peak at pT ≈ 3 GeV/c in central Pb–Pb collisions. Below the peak, pT < 3 GeV/c, both ratios are in good agreement with hydrodynamical calculations, suggesting that the peak itself is dominantly the result of radial flow rather than anomalous hadronization processes. For pT > 10 GeV/c particle ratios in pp and Pb–Pb collisions are in agreement and the nuclear modification factors for π±, K± and p(p¯) indicate that, within the systematic and statistical uncertainties, the suppression is the same. This suggests that the chemical composition of leading particles from jets in the medium is similar to that of vacuum jets.
Introduction: Hip fracture surgery is associated with high in-hospital and 30-day mortality rates and serious adverse patient outcomes. Evidence from randomised controlled trials regarding effectiveness of spinal versus general anaesthesia on patient-centred outcomes after hip fracture surgery is sparse.
Methods and analysis: The iHOPE study is a pragmatic national, multicentre, randomised controlled, open-label clinical trial with a two-arm parallel group design. In total, 1032 patients with hip fracture (>65 years) will be randomised in an intended 1:1 allocation ratio to receive spinal anaesthesia (n=516) or general anaesthesia (n=516). Outcome assessment will occur in a blinded manner after hospital discharge and inhospital. The primary endpoint will be assessed by telephone interview and comprises the time to the first occurring event of the binary composite outcome of all-cause mortality or new-onset serious cardiac and pulmonary complications within 30 postoperative days. In-hospital secondary endpoints, assessed via in-person interviews and medical record review, include mortality, perioperative adverse events, delirium, satisfaction, walking independently, length of hospital stay and discharge destination. Telephone interviews will be performed for long-term endpoints (all-cause mortality, independence in walking, chronic pain, ability to return home cognitive function and overall health and disability) at postoperative day 30±3, 180±45 and 365±60.
Ethics and dissemination: iHOPE has been approved by the leading Ethics Committee of the Medical Faculty of the RWTH Aachen University on 14 March 2018 (EK 022/18). Approval from all other involved local Ethical Committees was subsequently requested and obtained. Study started in April 2018 with a total recruitment period of 24 months. iHOPE will be disseminated via presentations at national and international scientific meetings or conferences and publication in peer-reviewed international scientific journals.
Trial registration number: DRKS00013644; Pre-results
The KASCADE-Grande experiment has significantly contributed to the current knowledge about the energy spectrum and composition of cosmic rays for energies between the knee and the ankle. Meanwhile, post-LHC versions of the hadronic interaction models are available and used to interpret the entire data set of KASCADE-Grande. In addition, a new, combined analysis of both arrays, KASCADE and Grande, was developed significantly increasing the accuracy of the shower observables. First results of the new analysis with the entire data set of the KASCADE-Grande experiment will be the focus of this contribution.
A distinguishing feature of the ECB’s monetary policy setup is the preannouncement of a minimum bid rate in its weekly repo auctions. However, whenever interest rates are expected to decline, the minimum bid rate is viewed as too high and banks refrain from bidding, severely impeding the ECB’s money market management. To shed more light on banks’ underbidding, we perform a panel analysis of the bidder behavior in the repo auctions of the Bundesbank where no minimum bid rate was set. Our results indicate that neither bank’s participation nor the submitted bid amount is significantly affected by an expected rate cut. This suggests that abandoning the minimum bid rate might increase the efficiency of the ECB’s money market management.
This paper investigates various theories explaining banks´ overbidding in the fixed rate tenders of the European Central Bank (ECB). Using auction data from both the Bundesbank and the ECB, we show that none of the theories can on its own explain the observed overbidding. This implies that the proposed new rules by the ECB, aimed at neutralizing interest rate expectations, would not eliminate overbidding if the rationing rule in the fixed rate tenders remains unchanged. JEL - Klassifikation: D44 , E32
Background Anti-angiogenic treatment is believed to have at least cystostatic effects in highly vascularized tumours like pancreatic cancer. In this study, the treatment effects of the angiogenesis inhibitor Cilengitide and gemcitabine were compared with gemcitabine alone in patients with advanced unresectable pancreatic cancer. Methods A multi-national, open-label, controlled, randomized, parallel-group, phase II pilot study was conducted in 20 centers in 7 countries. Cilengitide was administered at 600 mg/m2 twice weekly for 4 weeks per cycle and gemcitabine at 1000 mg/m2 for 3 weeks followed by a week of rest per cycle. The planned treatment period was 6 four-week cycles. The primary endpoint of the study was overall survival and the secondary endpoints were progression-free survival (PFS), response rate, quality of life (QoL), effects on biological markers of disease (CA 19.9) and angiogenesis (vascular endothelial growth factor and basic fibroblast growth factor), and safety. An ancillary study investigated the pharmacokinetics of both drugs in a subset of patients. Results Eighty-nine patients were randomized. The median overall survival was 6.7 months for Cilengitide and gemcitabine and 7.7 months for gemcitabine alone. The median PFS times were 3.6 months and 3.8 months, respectively. The overall response rates were 17% and 14%, and the tumor growth control rates were 54% and 56%, respectively. Changes in the levels of CA 19.9 went in line with the clinical course of the disease, but no apparent relationships were seen with the biological markers of angiogenesis. QoL and safety evaluations were comparable between treatment groups. Pharmacokinetic studies showed no influence of gemcitabine on the pharmacokinetic parameters of Cilengitide and vice versa. Conclusion There were no clinically important differences observed regarding efficacy, safety and QoL between the groups. The observations lay in the range of other clinical studies in this setting. The combination regimen was well tolerated with no adverse effects on the safety, tolerability and pharmacokinetics of either agent.
The checklist contains records of spiders from the federal countries Schleswig-Holstein, Hamburg, Bremen and the northern plain of Lower Saxony which are compiled from published data, unpublished papers and personal communications. Among the total of 601 species Gnaphosa leporina, Marpissa nivoyi, Dictyna major, Baryphymamaritimum, Pelecopsisnemoraloides, Ozyptila westringi, Silometopus ambiguus and Micaria romana are species which occurin Germany mostlyin the north-western region. The species records in the checklist can be related to their informational sources and they can be localised in the TK25-grid, which represents sheets of the 1:25.000 topographical map.
Two-particle angular correlations between unidentified charged trigger and associated particles are measured by the ALICE detector in p–Pb collisions at a nucleon–nucleon centre-of-mass energy of 5.02 TeV. The transverse-momentum range 0.7 < pT,assoc < pT,trig < 5.0 GeV/c is examined, to include correlations induced by jets originating from low momentum-transfer scatterings (minijets). The correlations expressed as associated yield per trigger particle are obtained in the pseudorapidity range |η| < 0.9. The near-side long-range pseudorapidity correlations observed in high-multiplicity p–Pb collisions are subtracted from both near-side short-range and away-side correlations in order to remove the non-jet-like components. The yields in the jet-like peaks are found to be invariant with event multiplicity with the exception of events with low multiplicity. This invariance is consistent with the particles being produced via the incoherent fragmentation of multiple parton–parton scatterings, while the yield related to the previously observed ridge structures is not jet-related. The number of uncorrelated sources of particle production is found to increase linearly with multiplicity, suggesting no saturation of the number of multi-parton interactions even in the highest multiplicity p–Pb collisions. Further, the number scales only in the intermediate multiplicity region with the number of binary nucleon–nucleon collisions estimated with a Glauber Monte-Carlo simulation.
Worum geht es in dieser Arbeit? Dies ist eine Arbeit über Websites. Darüber, wie sie gelesen und geschrieben werden und wie man das lernen kann. Da es in dieser Arbeit um Lesen, Schreiben und Lernen geht, fließen in sie sowohl Aspekte der Sprachwissenschaft als auch der Sprachdidaktik ein. Was will diese Arbeit? Diese Arbeit hat zwei Ziele, ein sprachwissenschaftliches und ein sprachdidaktisches. In sprachwissenschaftlicher Hinsicht sollen, auf der Grundlage einer gründlichen Analyse seiner Eigenschaften, die Besonderheiten des Lesens und Schreibens im World Wide Web herausgearbeitet werden. Aufbauend auf dieser Analyse sollen im sprachdidaktischen Teil der Arbeit die Kompetenzen ermittelt und in Beziehung zueinander gesetzt werden, die zur Erstellung von Websites notwendig sind. Das so entstehende Kompetenzmodell bildet die Basis für eine zielgerichtete, effektive und evaluierbare Umsetzung der Gestaltung von Websites in der Schule und die Grundlage für weiterführende empirische Arbeiten. Wie ist die Arbeit aufgebaut? Im ersten Kapitel der Arbeit wird die Entwicklung der technischen und strukturellen Formate geschildert, welche die Grundlage des Websiteformats bilden. Darauf aufbauend werden seine wichtigsten Eigenschaften beschrieben. Im zweiten Kapitel wird das Websiteformat von anderen kommunikativen Formaten abgegrenzt und mit Hilfe der besonderen Charakteristika, die es besitzt, sein überwältigender Erfolg erklärt. Im dritten Kapitel wird unter Rückgriff auf Ergebnisse der Leseforschung und empirische Untersuchungen zum Lesen im World Wide Web erarbeitet, welchen Einfluss das Websiteformat auf das Lesen von Texten hat und welche Unterschiede es zum Lesen von Texten in anderen kommunikativen Formaten gibt. Auf dieser Grundlage wird ein Bewertungs- und Analyseraster für die Lesbarkeit von Texten im Websiteformat entwickelt. Im vierten Kapitel wird auf der Grundlage verschiedener Modelle des Schreibprozesses dargestellt, was das Schreiben für das Websiteformat vom Schreiben für andere Formate unterscheidet, was dabei besonders beachtet werden muss und welche Entwicklungen für die Zukunft zu erwarten sind. Dabei werden, unter Berücksichtigung des in Kapitel drei erarbeiteten Bewertungs- und Analyserasters, Hinweise für eine sinnvolle Vorgehensweise bei der Gestaltung von Websites gegeben. Im fünften Kapitel wird vor dem Hintergrund der aktuellen bildungspolitischen Diskussion ein Kompetenzmodell für die Gestaltung von Websites entwickelt, das als Basis für die Festlegung von Bildungsstandards und die Beschreibung der Rahmenbedingungen dient, unter denen diese in der Schule verwirklicht werden können. In einer abschließenden Diskussion werden die wichtigsten Ergebnisse nochmals herausgearbeitet und es wird auf Perspektiven für zukünftige sprachwissenschaftliche und sprachdidaktische Forschungsvorhaben hingewiesen.