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In the crystal of the title co-crystalline adduct, C8H16N4·C8H9ClO, (I), prepared by solid-state reaction, the molecules are linked by intermolecular O—H⋯N hydrogen bonds, forming a D motif. The azaadamantane structure in (I) is slightly distorted, with N—CH2—CH2—N torsion angles of 10.4 (3) and −9.0 (3)°. These values differ slightly from the corresponding torsion angles in the free aminal cage (0.0°) and in related co-crystalline adducts, which are not far from a planar geometry and consistent with a D2d molecular symmetry in the tetraazatricyclo structure. The structures also differ in that there is a slight elongation of the N—C bond lengths about the N atom that accepts the hydrogen bond in (I) compared with the other N—C bond lengths. In the crystal, the two molecules are not only linked by a classical O—H⋯N hydrogen bond but are further connected by weak C—H⋯π interactions, forming a two-dimensional supramolecular network parallel to the bc plane.
The crystal structure of the title compound, C25H24N2O2, at 173 K has monoclinic (C2/c) symmetry. The molecule is located on a crystallographic twofold rotation axis with only half a molecule in the asymmetric unit. The imidazolidine ring adopts a twist conformation, with a twist about the ring C—C bond. The crystal structure shows the anticlinal disposition of the two (2-hydroxynaphthalen-1-yl)methyl substituents of the imidazolidine ring. The structure displays two intramolecular O—H⋯N hydrogen bonds, each forming an S(6) ring motif.
In the title ternary co-crystalline adduct, C7H14N4·2C6H5NO3, molecules are linked by two intermolecular O—H⋯N hydrogen bonds, forming a tricomponent aggregates in the asymmetric unit. The hydrogen-bond formation to one of the N atoms is enough to induce structural stereoelectronic effects in the normal donor→acceptor direction. In the title adduct, the two independent nitrophenol molecules are essentially planar, with maximum deviations of 0.0157 (13) and 0.0039 (13) Å. The dihedral angles between the planes of the nitro group and the attached benzene rings are 4.04 (17) and 5.79 (17)°. In the crystal, aggregates are connected by C—H⋯O hydrogen bonds, forming a supramolecular dimer enclosing an R66(32) ring motif. Additional C—H⋯O intermolecular hydrogen-bonding interactions form a second supramolecular inversion dimer with an R22(10) motif. These units are linked via C—H⋯O and C—H⋯N hydrogen bonds, forming a three-dimensional network.
The title compound, C21H26Cl2N2O2, was prepared in a solvent-free microwave-assisted synthesis, and crystallizes in the orthorhombic space group Pna21. The imidazolidine ring adopts an envelope conformation and its mean plane is almost perpendicular to the two pendant aromatic rings [dihedral angles = 84.61 (9) and 86.54 (9)°]. The molecular structure shows the presence of two intramolecular O—H⋯N hydrogen bonds between the phenolic hydroxy groups and imidazolidine N atoms. The two 3-chloro-6-hydroxy-2,4-dimethylbenzyl groups are located in a cis orientation with respect to the imidazolidine fragment. As a result, the lone pairs of electrons on the N atoms are presumed to be disposed in a syn conformation. This is therefore the first example of an exception to the `rabbit-ears' effect in such 2,2′-[imidazolidine-1,3-diylbis(methylene)]diphenol derivatives.
Analyzing the relationship between differentiated online sentiment and company-specific stock prices
(2015)
PRACTITIONERS AND RESEARCHERS ALIKE INCREASINGLY USE SOCIAL MEDIA MESSAGES AS AN ADDITIONAL SOURCE OF INFORMATION WHEN DEALING WITH STOCKS. BASED ON EMOTION THEORY AND AN ESTABLISHED SENTIMENT LEXICON, WE DEVELOP AND APPLY AN OPEN SOURCE DICTIONARY FOR THE ANALYSIS OF SEVEN DIFFERENT EMOTIONS IN 5.5 MILLION TWITTER MESSAGES ON 33 S&P 100 COMPANIES. WE FIND VARYING EXPLANATORY POWER OF DIFFERENT EMOTIONS (ESP. HAPPINESS, AND DEPRESSION) FOR COMPANY-SPECIFIC STOCK PRICE MOVEMENTS OVER A PERIOD OF THREE MONTHS.
Introduction: Aim of this study was to reduce blood loss caused by diagnostic blood sampling and to minimize the development of anemia in a high-risk group of mechanically ventilated medical intensive care patients. We therefore implemented a “blood-saving bundle” (BSB) combining a closed-loop arterial blood sampling system, smaller sampling tubes, reduced frequency of blood drawings, and reduced sample numbers.
Methods: The study included all patients from our medical ICU who were ventilated for more than 72 hours. Exclusion criteria were: acute or chronic anemia on admission, bleeding episode(s) during the ICU stay, or end-of-life therapy. The BSB was introduced in 2009 with training and educational support. Patients treated in 2008, before the introduction of the BSB, served as a control group (n = 41, 617 observation days), and were compared with patients treated in 2010 after the introduction of the BSB (BSB group, n = 50, 559 observation days). Primary endpoints were blood loss per day, and development of anemia. Secondary endpoints were numbers of blood transfusions, number of days on mechanical ventilation, and length of the ICU stay.
Results: Mean blood loss per ICU day was decreased from 43.3 ml (95% CI: 41.2 to 45.3 ml) in the controls to 15.0 ml (14.3 to 15.7 ml) in the BSB group (P < 0.001). The introduction of a closed-loop arterial blood sampling system was the major contributor to this effect. Mean hemoglobin concentrations showed no significant differences in both groups during the ICU stay. Hemoglobin values <9 g/dl, however, were recorded in 21.2% of observation days in the controls versus 15.4% in the BSB group (P = 0.01). Units of transfused red blood cells per 100 observation days decreased from 7 to 2.3 (P < 0.001). The mean number of ventilation days was 7.1 days (6.1 to 8.3 days) in the controls and 7.5 days (6.6 to 8.5 days) in the BSB group (P = NS). In total, patients in the BSB group stayed in ICU for a mean of 9.9 days (8.6 to 11.3 days), compared to a mean ICU stay of 13.0 days (10.9 to 15.4 days) in the control group (P = 0.014). Due to the longitudinal study design, however, we cannot exclude uncontrolled confounders affecting the transfusion frequency and mean ICU stay.
Conclusion: Our BSB could be easily implemented and was able to reduce diagnostic blood loss.
Die anhaltende Beliebtheit elektronischer Datenverarbeitung hat dazu geführt, dass Daten uns in unseren Alltag immer wieder unterschiedlich begegnen. Dadurch hat sich ein breites Begriffsfeld entwickelt: Inhaltsdaten, Metadaten, personenbezogene und anonyme Daten, Big Data, Datenklau, Datenschutz und Datenkraken, um nur einige zu nennen. Doch um Daten wird nicht nur wirtschaftlich gekämpft, sondern auch politisch...
Municipal wastewater contains nutrients valuable for a reuse in agriculture and can be the source of a multitude of chemicals used in private households and industry, too. As many of these chemicals are incompletely degraded during wastewater treatment, their residues remain partly in sewage sludge and partly in treated wastewater. Concerns are linked particularly to the so called micropollutants, i.e. anthropogenic organic substances such as personal care products, pharmaceuticals and biocides, for which scarce data on their degradability and environmental fate and particularly on their ecotoxicity are available. Thus, when reusing treated wastewater and sewage sludge for irrigation or as soil amendment for a sustainable land and water management, these wastewater-borne pollutants may enter soil, groundwater and surface water. The present work therefore aimed at assessing potential ecotoxic effects on aquatic and terrestrial organisms of reusing treated wastewater and sewage sludge. To this end, established as well as newly developed experimental approaches were used to investigate the problem on several levels. Individual wastewater-borne substances, samples from field study sites and samples from a soil column experiment simulating prolonged wastewater irrigation were examined.
At the start of the experimental work, the ecotoxicity of climbazole was characterised towards five aquatic and five terrestrial test organisms. Climbazole is an azole antimycotic agent applied in cosmetics and anti-dandruff shampoos and was recently detected in relatively high concentrations in treated wastewater and sewage sludge. In the present work climbazole was found to be particularly toxic towards plants such as water lentils with effective concentrations comparable to those of agricultural azole fungicides. Dwarfism, that is reduced shoot elongation observed in plants, pointed at a specific, phytohormone inhibiting mode of action of climbazole. Furthermore, the expected influence of the soil pH on the phytotoxicity of climbazole was experimentally confirmed.
Based on the findings for climbazole, two additional azole antimycotics, ketoconazole and fluconazole, and the regularly in sewage sludge detected biocide benzyldimethyldodecyl-ammonium chloride (BDDA) were investigated for their toxicity towards plants.
In aqueous medium, an increasing phytotoxicity from fluconazole to BDDA, ketoconazole and climbazole was observed, while in soil, phytotoxicity increased from BDDA to ketoconazole, climbazole and fluconazole. The relatively low terrestrial toxicity of BDDA and ketoconazole probably resulted from their strong binding to soil as well as their good biodegradability. To render the exposure scenario more realistic, sewage sludge was co-applied with the four test substances in a parallel test run. However, as no detectable influence on their effective concentrations was found, it can be assumed that the current practice of assessing sewage sludge borne substances with biotests in standard soil is sufficiently realistic. In a further study, different advanced sludge-treatment technologies were assessed for their efficacy in reducing pollutants. Results from the present work indicated that effects assessed in terrestrial short term biotests only seldom correlated with the concentrations of certain pollutants. Rather, a negative correlation of the stability of the sludges, determined by the ratio of volatile to total solids, to their ecotoxicity was seen.
Another aspect of the present work was the design and performance of an experimental approach to assess the environmental risk of a long-term irrigation with treated wastewater concerning the quality of soil and water in a prospective way, i.e. before the installation at field scale. For the simulation of a continuous irrigation corresponding to approximately 30 years, a percolation apparatus was developed and four different soils were percolated with treated wastewater for three months. Acute and chronic biotests with nine test organisms from different trophic levels (green algae, water lentils and water fleas as well as oilseed rape, oats, bacteria, spring tails, enchytraeids and earthworms) were used to assess the soil percolates as well as the soils with and without percolation. These investigations were accompanied by a comprehensive chemical monitoring conducted by project partners. Results indicated that the soil passage, that is the percolation through the soil, generally improved the quality of the treated wastewater as habitat for aquatic organisms which was visible by a reduction of its phytotoxicity. However, in some cases it deteriorated the water quality, probably resulting from the leaching of metals from pre-contaminated soil. A deteriorated habitat quality of the soil after the percolation with treated wastewater was observed for several test organisms and soils. In the same, mainly peaty soils, the highest accumulation of wastewater-borne micropollutants and of zinc was measured. Yet, their concentrations did not correlate to the observed biological effects. Moreover, data on ecotoxicity were only available for a small fraction of the detected substances so that their concentrations could not successfully be used to predict expected biological effects.
The experimental approach used in the present work demonstrated to be an adequate tool to support the prospective evaluation of environmental risks of treated wastewater irrigation. Overall, it can be concluded that the reuse of treated wastewater on soil can improve the quality of treated wastewater but that this can come at the cost of deteriorating the quality of the soil. As these risks cannot be generalised, a comprehensive biotest battery as well as chemical analysis should be used to assess them on a case-specific basis for each respective wastewater and the respective soil.
In conclusion our data show, that Flightless I function is essential for striated muscle development in zebrafish. Myofibrillar bundling and focal adhesion formation represent the basis for this development, and are ultimately a prerequisite for cardiac trabeculation. Future analysis of Actin polymerization in trabeculation will provide addition knowledge about the sensitivity of the developing and adult heart to a disequilibrium in F-actin versus G-actin availability.
In this study we found a novel ErbB2-dependent cardiomyocyte maturation process which affects both cardiac chambers. It will be of great interest to further study the nature of the Memo1-GFP cell-cell junctions and other junction proteins in order to unravel the significance of this maturation process for heart development.
Interestingly we found, that memo1bns4 homozygous mutant animals, which we generated with CRISPR/Cas9 technology, develop indistinguishable from siblings, suggesting that zygotic memo1 expression is dispensable for zebrafish development. Future studies will address the question if maternal zygotic memo1bns4 mutants will develop a heart or vascular phenotype as reported form Memo1 knockout mice or as observed in memo1 morphants in this study.
In cultured C2 mouse skeletal muscle cells the Golgi-apparatus relocalizes dependent on centrosomal proteins and independent of microtubules. We describe here that zebrafish cardiomyocytes have a similar Golgi-complex distribution suggesting a similar differentiation-dependent reorganization. This striated muscle specific, fragmented Golgi distribution might be an advantage for these cells in order to shuttle vesicles through the densely packed sarcomere structures. Future studies could address the timing of the Golgi-reorganization in cardiomyocytes during development and possibly use this Golgi-zebrafish line as a tool to study cardiomyocyte maturation in disease models and in heart regeneration.
The ancient Egyptians were accustomed to use "travel" and "individualism" as metaphors for the journey of one's life, as an expression of an individual’s aspirations in pursuit of a goal, whether on land or sea. ,A person who exhibits unusual attitudes or deviates from the cultural path of Egyptian society, will face obstacles and serious difficulties such as drowning, drifting, or disaster, while at the same time being tested by the gods, who could integrate him back into society and the Egyptian culture again, or leave him in the depths of darkness. In this context, our paper aims to shed light on the importance of individualism and how it is used as the basis for deviation from the prevalent cultural path. It also examines the relationship between individualism and the Egyptian culture, social identity, and self-representation. It also deals with individualism as an expression of human ambition, and its implications. Additionally, it discusses the issue of determinism and divine fate and their impact on the orientation of humans travelling through life, as opposed to human free will.
O presente artigo busca demonstrar que o individuo padece de uma crise de reconhecimento quando busca a solução dos conflitos no poder Judiciário. Este, porém, pode restabelecer apenas o reconhecimento de um dos indivíduos processuais, deixando o outro em processo de não reconhecimento. Desta forma, busca-se comparar os princípios e ideias da jurisdição estatal com os da mediação, demonstrando que a mediação é um processo resolução de conflitos que melhor coaduna suas ideias e princípios com a teoria do reconhecimento. Assim, aplicando a teoria do reconhecimento de Axel Honneth ao modelo jurisdicional convencional, nota-se que uma parte da demanda acaba insatisfeita com a decisão judicial, enquanto, na mediação, busca-se um equilíbrio de satisfações. Devido a esse equilíbrio e convergência, acredita-se que o processo de afirmação da personalidade de nenhuma das partes processuais, quando a mediação é utilizada, seja desarticulado.
Since few decades there is a broad debate about the so called ecological crisis. The debate had its highlight at the Rio-Conference in 1992. This conference was also the starting point for a wide range of political efforts concerned with a broad spectrum of biodiversity issues. Insofar, the term ‘biodiversity’ is not one of the natural sciences, but one which is inherently connected with questions of good human life. This article argues that the question for the good life predominantly fulfills a heuristic function and is to be answered in light of certain societal relations to nature. Furthermore, in light of these societal relations to nature it is argued for a virtue ethical approach with respect to the individual good life, whereas concerning the scale of societal aspects transdisciplinarity is identified as the appropriate research mode, which addresses both societal and scientific issues.
Seit Oktober 2010 reflektiert im Italienisch-Deutschen Historischen Institut in Trient eine Gruppe von Historikern über ein zentrales Problem der Geschichtswissenschaften, demjenigen der Epochen und der "Transitionen" zwischen diesen. Vom 11.–14. September 2012 veranstaltete das Institut hierzu eine Tagung, auf der erste Ergebnisse und Gedanken vorgestellt wurden. Der Sammelband versammelt die meisten der damaligen Vorträge. ...
Background: Chronic ethanol (EtOH) abuse worsens pathophysiological derangements after hemorrhagic shock and resuscitation (H/R) that induce hepatic injury and strong inflammatory changes via JNK and NF-κB activation. Inhibiting JNK with a cell-penetrating, protease-resistant peptide D-JNKI-1 after H/R in mice with healthy livers ameliorated these effects. Here, we studied if JNK inhibition by D-JNKI-1 in chronically EtOH-fed mice after hemorrhagic shock prior to the onset of resuscitation also confers protection.
Methods: Male mice were fed a Lieber-DeCarli diet containing EtOH or an isocaloric control (ctrl) diet for 4 weeks. Animals were hemorrhaged for 90 min (32 ± 2 mm Hg) and randomly received either D-JNKI-1 (11 mg/kg, intraperitoneally, i. p.) or sterile saline as vehicle (veh) immediately before the onset of resuscitation. Sham animals underwent surgical procedures without H/R and were either D-JNKI-1 or veh treated. Two hours after resuscitation, blood samples and liver tissue were harvested.
Results: H/R induced hepatic injury with increased systemic interleukin (IL)-6 levels, and enhanced local gene expression of NF-κB-controlled genes such as intercellular adhesion molecule (ICAM)-1 and matrix metallopeptidase (MMP)9. c-Jun and NF-κB phosphorylation were increased after H/R. These effects were further increased in EtOH-fed mice after H/R. D-JNKI-1 application inhibited the proinflammatory changes and reduced significantly hepatic injury after H/R in ctrl-fed mice. Moreover, D-JNKI-1 reduces in ctrl-fed mice the H/R-induced c-Jun and NF-κB phosphorylation. However, in chronically EtOH-fed mice, JNK inhibition did not prevent the H/R-induced hepatic damage and proinflammatory changes nor c-Jun and NF-κB phosphorylation after H/R.
Conclusions: These results indicate, that JNK inhibition is protective only in not pre-harmed liver after H/R. In contrast, the pronounced H/R-induced liver damage in mice being chronically fed with ethanol cannot be prevented by JNK inhibition after H/R and seems to be under the control of NF-κB.
Thought structures of modelling task solutions and their connection to the level of difficulty
(2015)
Although efforts have been made to integrate the concept of mathematical modelling in school, among others PISA and TIMSS revealed weaknesses of not only German students in the field of mathematical modelling. There may be various reasons starting from educational policy via curricular issues to practical instructional concerns. Studies show that mathematical modelling has not been arrived yet in everyday school class (Blum &BorromeoFerri, 2009, p. 47). Thus, the proportion of mathematical modelling in everyday school classes is low (Jordan et al., 2006). When focusing on the teachers’ point of view there are difficulties which may contribute to avoid modelling tasks in class. The development of reasonable modelling tasks, estimating the task space, valuating the task difficulty and assessing the student solutions are difficulties which occur to an increasing degree compared to ordinary mathematics tasks.The project MokiMaS (transl.: modeling competency in math classes of secondary education) aims at providing inter-year modelling tasks, whose task space and level of difficulty is known, together with an evaluation scheme. In particular a theory based method has been developed to determine the level of difficulty of modelling tasks on the basis of thought structures, representing the cognitive load of solution approaches. The current question is whether this method leads to a realistic rating. To go further into that question an evaluation scheme has been developed which is guided by the daily assessment work of teachers, to investigate the relation of task difficulty and student performance.
Von den Realitäten im Cyberwar, oder: Die Bedeutung des Sony-Hacks für zukünftige Cyber-Konflikte
(2015)
Part VI of our series on cyberpeace "Cyberpeace: Dimensionen eines Gegenentwurfs".Ende November des vergangenen Jahres wurde das US-amerikanische Unternehmen Sony Pictures Entertainment (SPE) Opfer einer groß angelegten Hackerkampagne. Dabei wurden Daten von Angestellten und Kooperationspartnern, wie Namen, Adress- und Versicherungsangaben aber auch Finanzinformationen und Verschlüsselungsdaten entwendet und viele Arbeitsplatzrechner des SPE-Netzwerkes durch eine Schadsoftware infiziert. Aussagen hochrangiger Sony-Mitarbeiter zufolge wollten die Angreifer Sony mit den erbeuteten Daten ursprünglich um Geld erpressen. Medial wurde der Vorfall jedoch rasch mit der anstehende Premiere der von SPE produzierten Komödie “The Interview“, die sich satirisch mit der Situation in Nordkorea auseinandersetzt, in Verbindung gesetzt. Jedoch trat erst Mitte Dezember eine Hackergruppe names “Guardians of Peace” mit Forderungen gegen die Ausstrahlung des Films als Urheber der Hacking-Attacke auf und drohte mit der Veröffentlichung der entwendeten Sony-Daten. Kurz darauf wurde der Sony-Hack auch durch das FBI offiziell bestätigt und staatliche Einrichtung Nordkoreas als Urheber der Angriffe beschuldigt. In der Beweisführung bezog sich das FBI auf Erkenntnisse und Ähnlichkeiten zu früheren Vorkommnisse in den USA und Süd-Korea sowie den geografischen Standorten der IP-Adressen einiger, für den Angriff benutzen Computer...
Wenn eine Neuerscheinung von zwei renommierten Verlagen gleich beim Erscheinen angekündigt wird mit dem spektakulären ‚Aufmacher‘ „Das konkurrenzlose Handbuch zu den großen Mythen der Welt“ und mit den plakativen Tops: „Konkurrenzlos umfassend: berücksichtigt alle wichtigen Kulturkreise – Kompakte Einträge zu einzelnen Mythen und ihrer Wirkung – Erklärung von Begriff, Funktion und Deutung von Mythen – Informationen zum Mythos in Wissenschaft und Künsten“, so werden damit beim breiteren Publikum und auch in Fachkreisen einige Erwartungen geweckt. Daher sieht der Rezensent, nach langer ‚Arbeit am Mythos‘ unlängst Verfasser des ersten systematischen Handbuchs zum antiken Mythos (2011) und eines weiteren handbuchartigen Überblickswerks zu Mythen, Sagen und Märchen (2012), seine Aufgabe vor allem in der Beantwortung der Frage, inwieweit die Neuerscheinung diesen Erwartungen gerecht wird...
Das vorliegende Buch behandelt den Kleinhandel in der Stadt Rom und schließt damit eine Lücke in der Erforschung der antiken Wirtschaft. Wie Holleran in ihrer Einleitung mit Recht schreibt, hat die Forschung bisher den überregionalen Handel deutlich umfänglicher in den Blick genommen, während der „retail trade“, auch aufgrund der schwierigen Quellenlage, nur wenig bearbeitet worden ist (4f.)...
Neutron capture cross sections of unstable isotopes are important for neutron-induced nucleosynthesis as well as for technological applications. A combination of a radioactive beam facility, an ion storage ring and a high flux reactor would allow a direct measurement of neutron induced reactions over a wide energy range on isotopes with half lives down to minutes. The idea is to measure neutron-induced reactions on radioactive ions in inverse kinematics. This means, the radioactive ions will pass through a neutron target. In order to efficiently use the rare nuclides as well as to enhance the luminosity, the exotic nuclides can be stored in an ion storage ring. The neutron target can be the core of a research reactor, where one of the central fuel elements is replaced by the evacuated beam pipe of the storage ring. Using particle detectors and Schottky spectroscopy, most of the important neutron-induced reactions, such as (n,γ), (n,p), (n,α), (n,2n), or (n,f), could be investigated.
Au milieu du beau livre d’Anna Karla, le lecteur tombe sur les réflexions du général François-Amédée Doppet qui, dans sa préface aux »Mémoires politiques et militaires«(1797), rapporte les conditions nécessaires pour écrire une histoire véritable de la Révolution française. À son avis, il faudra un écrivain impartial, éloigné du chaos des événements, qui, tout d’abord, rassemblera tous les souvenirs écrits par les protagonistes de la Révolution, jusque-là encore dominés par l’esprit de parti. Seul cet écrivain pourra, avec l’impartialité de l’historien, extraire de ces mémoires une histoire complète des bouleversements révolutionnaires. La vérité sur la Révolution, donc, ne pourra être formulée que longtemps après la fin de celle-ci. ...
Encouraging growth funding
(2015)
The CARIBIC (Civil Aircraft for the Regular Investigation of the Atmosphere Based on an Instrument Container) passenger aircraft observatory performed in situ measurements at 10–12 km altitude in the South Asian summer monsoon anticyclone between June and September 2008. These measurements enable us to investigate this atmospheric region, which so far has mostly been observed from satellites, using the broad suite of trace gases and aerosols measured by CARIBIC. Elevated levels of a range of atmospheric pollutants were recorded e.g. carbon monoxide, total reactive nitrogen oxides, aerosol particles and several volatile organic compounds. The measurements provide detailed information about the chemical composition of air in different parts of the monsoon anticyclone, particularly of ozone precursors. While covering a range of 3500 km inside the monsoon anticyclone, CARIBIC observations show remarkable consistency, i.e. with regular latitudinal patterns of trace gases during the entire monsoon period. Trajectory calculations indicate that these air masses originated mainly from South Asia and Mainland Southeast Asia.
Using the CARIBIC trace gas and aerosol measurements in combination with the Lagrangian particle dispersion model FLEXPART we investigated the characteristics of monsoon outflow and the chemical evolution of air masses during transport. Estimated photochemical ages of the air were found to agree well with transport times from a source region east of 95 ° E. The photochemical ages of the air in the southern part of the monsoon anticyclone were consistently younger (less than 7 days) and the air masses mostly in an ozone forming chemical regime. In its northern part the air masses were older (up to 13 days) and had unclear ozone formation or destruction potential. Based on analysis of forward trajectories several receptor regions were identified. In addition to predominantly westward transport, we found evidence for efficient transport (within 10 days) to the Pacific and North America, particularly during June and September, and also of cross-tropopause exchange, which was strongest during June and July. Westward transport to Africa and further to the Mediterranean was the main pathway during July.
Thermal dilepton radiation from the hot fireballs created in high-energy heavy-ion collisions provides unique insights into the properties of the produced medium. We first show how the predictions of hadronic many-body theory for a melting ρ meson, coupled with quark–gluon plasma emission utilizing a modern lattice-QCD based equation of state, yield a quantitative description of dilepton spectra in heavy-ion collisions at the SPS and the RHIC beam energy scan program. We utilize these results to systematically extract the excess yields and their invariant-mass spectral slopes to predict the excitation function of fireball lifetimes and (early) temperatures, respectively. We thereby demonstrate that future measurements of these quantities can yield unprecedented information on basic fireball properties. Specifically, our predictions quantify the relation between the measured and maximal fireball temperature, and the proportionality of excess yield and total lifetime. This information can serve as a “caloric” curve to search for a first-order QCD phase transition, and to detect non-monotonous lifetime variations possibly related to critical phenomena.
Este trabajo es el resultado de la investigación Capital Humano como factor de crecimiento Económico, en el cual se desarrolla una reflexión crítica sobre la teoría del Capital Humano, el abordaje se hace desde la teoría económica y el análisis tiene como referente los planteamientos de la Escuela de Frankfurt, especialmente en lo que tiene que ver con el uso desde la perspectiva de la racionalidad. Desde el punto de vista metodológico se trata de una investigación cualitativa, basada en un proceso de carácter interpretativo y comprensivo de tipo Histórico Hermenéutico, el método utilizado responde a una finalidad de descripción, interpretación, argumentación, que permitan avanzar hacia la comprensión de las temáticas estudiadas en un proceso dialéctico. Como resultado del proceso investigativo se hace un análisis de la instrumentalización de la educación, la formación, la capacidad de trabajo y el estado de salud del hombre, y aún de su propio ser, las cuales se consideran de la misma naturaleza que una maquina y quedan cosificadas al ser convertidas en mercancías comerciales que se venden en el mercado, lo que determina la posibilidad de colocarle un precio pagado en el mercado a la productividad de un tipo de trabajo determinado, a la acción del propio hombre y el desarrollo de sus capacidades superiores que deberían permitirle contribuir al logro de una sociedad mejor y una vida más digna.
Ribosomes are the central cellular assembly lines for protein synthesis. To cope with the translational needs, a proliferating mammalian cell can produce up to 7500-ribosomes per minute. However, under growth limiting conditions, such as nutrient depletion, ribosome synthesis is rapidly shut down exemplifying the importance of a tight coordination between ribosome supply and cellular energy status. In addition to the quantitative regulation, a strict quality control of ribosome synthesis is equally important, because alterations in the composition or function of ribosomes can lead to a variety of pathologies. To cope with these challenges a highly regulated, multi-step pathway of ribosome biogenesis has evolved. In mammals this pathway generates the mature 80S ribosomes that comprise the large 60S and the small 40S subunits. Together they contain around 80 ribosomal proteins and the 28S, 18S, 5.8S and 5S rRNAs. The 28S, 5.8S and 5S rRNAs are assembled into the large subunit, while the 18S rRNA is part of the small subunit. The pathway of ribosome biogenesis is a multi-step cellular process, where specific stages occur in distinct subcellular compartments. Transcription of the 47S rRNA, which is the precursor for the 28S, 18S and 5.8S species, occurs in the nucleolus. Modification of distinct bases and early processing of this precursor also take place in the nucleolus. Subsequently, the 40S and 60S pre-ribosomes take separate maturation routes through the nucleoplasm before their export and final assembly in the cytoplasm. The various stages of preribosomal maturation require the constant and sequential action of a large number of non-ribosomal proteins, known as trans-acting factors. These factors coordinate the delicate remodeling of the pre-ribosomal intermediates and thereby ensure proper progression of the maturation process. The remodeling events largely depend on the dynamics of post-translational modifications, such as phosphorylation or SUMOylation. This requires that the enzymes controlling these modifications are properly targeted to their sites of activity as they fulfill their functions within specific compartments. Here we studied the regulatory principles that govern the subcellular partitioning of the SUMO-specific isopeptidase SENP3 and its associated factor PELP1. Previous work from our laboratory has delineated the importance of the SUMO system for proper ribosome biogenesis in mammalian cells. In particular, we have shown that SENP3 is critically involved in 28S rRNA formation, which is a key step for pre-60S subunit maturation. A critical involvement of SENP3 at this stage of the maturation process is in agreement with the observed enrichment of SENP3 in the nucleolus, since 28S rRNA processing is considered to occur in the nucleolus. Our subsequent work identified the nucleolar scaffold protein NPM1 and the ribosomal trans-acting factor PELP1 as bona fide substrates of SENP3. For both proteins we could demonstrate modification by SUMO2/3 and define SENP3 as the demodifying enzyme. Depletion of SENP3 enhanced the conjugation of SUMO to both proteins and concomitantly reduced conversion of the 32S pre-rRNA to the mature 28S rRNA. PELP1 is part of a larger protein complex consisting of the core components PELP1, TEX10 and WDR18. We could show that the balanced SUMOylation/deSUMOylation of PELP1 controls the nucleolar/nucleoplasmic distribution of this complex. Enhanced SUMOylation, which is observed in the absence of SENP3, triggers the nucleolar release of the complex suggesting that SENP3-mediated deSUMOylation controls the dynamics of nucleolar trans-acting factors. Based on these findings we first wanted to understand, in which cellular compartment(s) SENP3 exerts its function on 28S maturation. Next, we wanted to tackle the question how the subcellular distribution of SENP3 is controlled. Finally
we addressed the question how the SUMOylation of PELP1 determines the subnuclear distribution of the PELP1 complex. This work initially revealed that the nucleolar localization of SENP3 is crucial for proper 28S rRNA formation and 60S ribosome maturation. Importantly, we could demonstrate that the nucleolar compartmentalization of SENP3 depends on its direct physical interaction with NPM1. Further, we could show that the amino-terminal region of SENP3 is necessary for its binding to NPM1 and nucleolar recruitment. Strikingly, this interaction requires the phosphorylation of SENP3, which is brought about by the mTOR kinase. By in-vitro kinase assays and mass-spectrometric approaches we identified five serine/threonine residues within the amino-terminal region of SENP3 that are targeted by mTOR (S/T 25, 26, 141, 142, 143). We could further demonstrate by mutagenesis that these sites in SENP3 are in fact critical for the phospho-dependent binding of SENP3 to NPM1 and its nucleolar recruitment.
Consistent with these data, we found that chemical inhibitors of the mTOR kinase trigger the nucleolar release of SENP3 and impair its interaction with NPM1. Strikingly, this goes along with severe 28S rRNA maturation defects demonstrating the physiological importance of mTOR signaling in the regulation SENP3 function and rRNA processing. By specifically depleting components of the either mTORC1 or mTORC2, we could attribute the observed effects to signaling by mTORC1 rather than mTORC2. In an attempt to find the negative regulators of SENP3 phosphorylation, we identified PP1-γ as the candidate phosphatase in this pathway. We found a strong physical interaction of SENP3 with PP1-γ and observed a loss of SENP3 nucleolar localization upon ectopic expression of PP1-γ. Thus we could define mTOR/PP1-γ mediated phosphorylation/dephosphorylation of SENP3 as an important
mechanism in the control of ribosome maturation. Given that mTOR activity is controlled by nutrient availability, SENP3 functions as a sensor that couples ribosome synthesis with nutrient availability. The second part of this work delineated the role of SUMOylated PELP1 in nucleoplasmic partitioning of the SENP3-PELP1 complex. It was revealed that the AAA-ATPase MDN1 binds preferentially to SUMO modified PELP1 and likely segregates SUMOylated PELP1 from nucleolar pre-60S particles. We initially found that the PELP1 complex associates with MDN1, a factor known to be involved in the 28S rRNA maturation. Notably, depletion of MDN1 led to an enhanced accumulation of the PELP1 complex in the nucleolus and a strong association of PELP1 with pre-60S particles, suggesting that MDN1 is required for the release of this complex from the pre-ribosomes. Intriguingly, the interaction of PELP1 with MDN1 requires SUMO2/3 and SUMOylated PELP1 shows enhanced binding to MDN1 when compared to unmodified PELP1. Taken together this work provides new insights in the control of the SENP3-PELP1 complex dynamics. We could define several layers for the coordinated spatial regulation of SENP3 and the PELP1 complex. This work therefore underscores the crucial importance of dynamic post-translational modifications for the control of ribosome maturation.
The dopamine β-hydroxylase (DβH) enzyme transforms dopamine into noradrenaline. We hypothesized that individuals with low activity DBH genotypes (rs1611115 CT/TT) are more sensitive to the influence of cannabis and cocaine on cognitive impulse control and functional connectivity in the limbic ‘reward’ circuit because they experience a drug induced hyperdopaminergic state compared to individuals with high activity DBH genotypes (rs1611115 CC). Regular drug users (N = 122) received acute doses of cannabis (450 μg/kg THC), cocaine HCl 300 mg and placebo. Cognitive impulse control was assessed by means of the Matching Familiar Figures Test (MFFT). Resting state fMRI was measured in a subset of participants to determine functional connectivity between the nucleus accumbens (NAc) and (sub)cortical areas. The influence of cannabis and cocaine on impulsivity and functional connectivity significantly interacted with DBH genotype. Both drugs increased cognitive impulsivity in participants with CT/TT genotypes but not in CC participants. Both drugs also reduced functional connectivity between the NAc and the limbic lobe, prefrontal cortex, striatum and thalamus and primarily in individuals with CT/TT genotypes. Correlational analysis indicated a significant negative association between cognitive impulsivity and functional connectivity in subcortical areas of the brain. It is concluded that interference of cannabis and cocaine with cognitive impulse control and functional corticostriatal connectivity depends on DBH genotype. The present data provide a neural substrate and behavioral mechanism by which drug users can progress to drug seeking and may also offer a rationale for targeted pharmacotherapy in chronic drug users with high risk DBH genotypes.
Ionizing radiation generates DNA double-strand breaks (DSB) which, unless faithfully repaired, can generate chromosomal rearrangements in hematopoietic stem and/or progenitor cells (HSPC), potentially priming the cells towards a leukemic phenotype. Using an enhanced green fluorescent protein (EGFP)-based reporter system, we recently identified differences in the removal of enzyme-mediated DSB in human HSPC versus mature peripheral blood lymphocytes (PBL), particularly regarding homologous DSB repair (HR). Assessment of chromosomal breaks via premature chromosome condensation or γH2AX foci indicated similar efficiency and kinetics of radiation-induced DSB formation and rejoining in PBL and HSPC. Prolonged persistence of chromosomal breaks was observed for higher LET charged particles which are known to induce more complex DNA damage compared to X-rays. Consistent with HR deficiency in HSPC observed in our previous study, we noticed here pronounced focal accumulation of 53BP1 after X-ray and carbon ion exposure (intermediate LET) in HSPC versus PBL. For higher LET, 53BP1 foci kinetics was similarly delayed in PBL and HSPC suggesting similar failure to repair complex DNA damage. Data obtained with plasmid reporter systems revealed a dose- and LET-dependent HR increase after X-ray, carbon ion and higher LET exposure, particularly in HR-proficient immortalized and primary lymphocytes, confirming preferential use of conservative HR in PBL for intermediate LET damage repair. HR measured adjacent to the leukemia-associated MLL breakpoint cluster sequence in reporter lines revealed dose dependency of potentially leukemogenic rearrangements underscoring the risk of leukemia-induction by radiation treatment.
The hallmark of Philadelphia chromosome positive (Ph+) leukemia is the BCR/ABL kinase, which is successfully targeted by selective ATP competitors. However, inhibition of BCR/ABL alone is unable to eradicate Ph+ leukemia. The t(9;22) is a reciprocal translocation which encodes not only for the der22 (Philadelphia chromosome) related BCR/ABL, but also for der9 related ABL/BCR fusion proteins, which can be detected in 65% of patients with chronic myeloid leukemia (CML) and 100% of patients with Ph+ acute lymphatic leukemia (ALL). ABL/BCRs are oncogenes able to influence the lineage commitment of hematopoietic progenitors. Aim of this study was to further disclose the role of p96ABL/BCR for the pathogenesis of Ph+ ALL. The co-expression of p96ABL/BCR enhanced the kinase activity and as a consequence, the transformation potential of p185BCR/ABL. Targeting p96ABL/BCR by RNAi inhibited growth of Ph+ ALL cell lines and Ph+ ALL patient-derived long-term cultures (PD-LTCs). Our in vitro and in vivo stem cell studies further revealed a functional hierarchy of p96ABL/BCR and p185BCR/ABL in hematopoietic stem cells. Co-expression of p96ABL/BCR abolished the capacity of p185BCR/ABL to induce a CML-like disease and led to the induction of ALL. Taken together our here presented data reveal an important role of p96ABL/BCR for the pathogenesis of Ph+ ALL.
Adult neurogenesis is frequently studied in the mouse hippocampus. We examined the morphological development of adult-born, immature granule cells in the suprapyramidal blade of the septal dentate gyrus over the period of 7–77 days after mitosis with BrdU-labeling in 6-weeks-old male Thy1-GFP mice. As Thy1-GFP expression was restricted to maturated granule cells, it was combined with doublecortin-immunolabeling of immature granule cells. We developed a novel classification system that is easily applicable and enables objective and direct categorization of newborn granule cells based on the degree of dendritic development in relation to the layer specificity of the dentate gyrus. The structural development of adult-generated granule cells was correlated with age, albeit with notable differences in the time course of development between individual cells. In addition, the size of the nucleus, immunolabeled with the granule cell specific marker Prospero-related homeobox 1 gene, was a stable indicator of the degree of a cell's structural maturation and could be used as a straightforward parameter of granule cell development. Therefore, further studies could employ our doublecortin-staging system and nuclear size measurement to perform investigations of morphological development in combination with functional studies of adult-born granule cells. Furthermore, the Thy1-GFP transgenic mouse model can be used as an additional investigation tool because the reporter gene labels granule cells that are 4 weeks or older, while very young cells could be visualized through the immature marker doublecortin. This will enable comparison studies regarding the structure and function between young immature and older matured granule cells.
The ability of hematopoietic stem cells (HSCs) to self-renew is a prerequisite for the establishment of definitive hematopoiesis and life-long blood regeneration. Here, we report the single-stranded DNA-binding transcriptional regulator far upstream element (FUSE)-binding protein 1 (FUBP1) as an essential factor of HSC self-renewal. Functional inactivation of FUBP1 in two different mouse models resulted in embryonic lethal anemia at around E15.5 caused by severely diminished HSCs. Fetal and adult HSCs lacking FUBP1 revealed an HSC-intrinsic defect in their maintenance, expansion, and long-term blood reconstitution, but could differentiate into all hematopoietic lineages. FUBP1-deficient adult HSCs exhibit significant transcriptional changes, including upregulation of the cell-cycle inhibitor p21 and the pro-apoptotic Noxa molecule. These changes caused an increase in generation time and death of HSCs as determined by video-microscopy-based tracking. Our data establish FUBP1 and its recognition of single-stranded genomic DNA as an important element in the transcriptional regulation of HSC self-renewal.
Abstract: The current Ebola outbreak poses a threat to individual and global public health. Although the disease has been of interest to the scientific community since 1976, an effective vaccination approach is still lacking. This fact questions past global public health strategies, which have not foreseen the possible impact of this infectious disease. To quantify the global research activity in this field, a scientometric investigation was conducted. We analyzed the research output of countries, individual institutions and their collaborative networks. The resulting research architecture indicated that American and European countries played a leading role regarding output activity, citations and multi- and bilateral cooperations. When related to population numbers, African countries, which usually do not dominate the global research in other medical fields, were among the most prolific nations. We conclude that the field of Ebola research is constantly progressing, and the research landscape is influenced by economical and infrastructural factors as well as historical relations between countries and outbreak events.
Author Summary: For the first time in the history of the disease, the Ebola virus left its local setting and affected people not only in isolated rural areas, but reached larger towns and cities leading to worldwide repercussions. This development prompted a joint global response to this health threat. This encompassed not only immediate relief efforts, but also an up search in global research work. In this study, the scientific output in Ebola research available in one of the mayor medical search platforms was characterized. We studied among others the origin of research, the collaboration between countries and the research topics. Partly, the obtained data was weighted against economic parameters. We attained a detailed map of the research activities from the discovery of Ebola in 1976 up to today. Our research provides the first overview of the worldwide Ebola research output. It might help stakeholders in Ebola research to better plan investigations with a global perspective.
Correlation functions provide information on the properties of mesons in vacuum and of hot nuclear matter. In this work, we present a new method to derive a well-defined spectral representation for correlation functions. Combining this method with the quark gap equation and the inhomogeneous Bethe–Salpeter equation in the rainbow-ladder approximation, we calculate in-vacuum masses of light mesons and the electrical conductivity of the quark–gluon plasma. The analysis can be extended to other observables of strong-interaction systems.
The metabolome of any live cell consists of several hundred, if not thousands of different molecules at any given moment, be it a relatively small bacterial cell or a whole multicellular organism. Although there are continuous attempts to differentiate between primary and secondary metabolites, the borders often blur in the eye of almost perfect interconvertability of all such matter. With chemistry and physics dominating this domain of biology it is an interdisciplinary endeavor to tackle the questions surrounding the workings of the metabolic pathways involved, searching for answers that ultimately help us to better understand life and find solutions to problems that affect us humans. One area of biochemistry that serves as a formidable example of the intertwined primary and secondary metabolic pathways are fatty acids, essential components of bacterial membranes, sources of energy and carbon but also important building blocks of several natural products. The second area to be mentioned is the metabolism of amino acids, the basic components of proteins and enzymes, which also serve as precursors to a diverse set of metabolites with many biological purposes.
This work focuses on these two areas of biochemistry, as several intermediates of their metabolism serve as building blocks for complex secondary metabolites whence many interesting and bioactive natural products are derived. The powerful and relatively novel tool of click-chemistry is employed to track azide-labeled precursors of primary and secondary metabolism in various bacterial strains to observe biochemistry at work and adds to the knowledge gained through other methods. The methods presented in this work serve the observation of fatty acid biosynthesis, degradation, modification and transport through direct ligation of azido fatty acids with cyclooctynes on one hand, leading to a revision of fatty acid transport in general. On the other hand a cleavable azide-reactive resin is devised to generally track the fate of azidated compounds through the myriads of metabolic pathways offered by entomopathogenic bacteria possessing a rich secondary metabolism. The resulting findings led to the identification of several antimicrobial peptides, amides and other compounds of which many had remained so far undetected in the strains that underwent investigation, underlining the worth of this method for future metabolomic research and beyond.
The metabolome of any live cell consists of several hundred, if not thousands of different molecules at any given moment, be it a relatively small bacterial cell or a whole multicellular organism. Although there are continuous attempts to differentiate between primary and secondary metabolites, the borders often blur in the eye of almost perfect interconvertability of all such matter. With chemistry and physics dominating this domain of biology it is an interdisciplinary endeavor to tackle the questions surrounding the workings of the metabolic pathways involved, searching for answers that ultimately help us to better understand life and find solutions to problems that affect us humans. One area of biochemistry that serves as a formidable example of the intertwined primary and secondary metabolic pathways are fatty acids, essential components of bacterial membranes, sources of energy and carbon but also important building blocks of several natural products. The second area to be mentioned is the metabolism of amino acids, the basic components of proteins and enzymes, which also serve as precursors to a diverse set of metabolites with many biological purposes.
This work focuses on these two areas of biochemistry, as several intermediates of their metabolism serve as building blocks for complex secondary metabolites whence many interesting and bioactive natural products are derived. The powerful and relatively novel tool of click-chemistry is employed to track azide-labeled precursors of primary and secondary metabolism in various bacterial strains to observe biochemistry at work and adds to the knowledge gained through other methods. The methods presented in this work serve the observation of fatty acid biosynthesis, degradation, modification and transport through direct ligation of azido fatty acids with cyclooctynes on one hand, leading to a revision of fatty acid transport in general. On the other hand a cleavable azide-reactive resin is devised to generally track the fate of azidated compounds through the myriads of metabolic pathways offered by entomopathogenic bacteria possessing a rich secondary metabolism. The resulting findings led to the identification of several antimicrobial peptides, amides and other compounds of which many had remained so far undetected in the strains that underwent investigation, underlining the worth of this method for future metabolomic research and beyond.
n this paper we report on the investigation of baryonic resonance production in proton-proton collisions at the kinetic energies of 1.25 GeV and 3.5 GeV, based on data measured with HADES. Exclusive channels npπ+ and ppπ0 as well as ppe+e− were studied simultaneously in the framework of a one-boson exchange model. The resonance cross sections were determined from the one-pion channels for Δ(1232) and N(1440) (1.25 GeV) as well as further Δ and N* resonances up to 2 GeV/c2 for the 3.5 GeV data. The data at 1.25 GeV energy were also analysed within the framework of the partial wave analysis together with the set of several other measurements at lower energies. The obtained solutions provided the evolution of resonance production with the beam energy, showing a sizeable non-resonant contribution but with still dominating contribution of Δ(1232)P33. In the case of 3.5 GeV data, the study of the ppe+e− channel gave the insight on the Dalitz decays of the baryon resonances and, in particular, on the electromagnetic transition form-factors in the time-like region. We show that the assumption of a constant electromagnetic transition form-factors leads to underestimation of the yield in the dielectron invariant mass spectrum below the vector mesons pole. On the other hand, a comparison with various transport models shows the important role of intermediate ρ production, though with a large model dependency. The exclusive channels analysis done by the HADES collaboration provides new stringent restrictions on the parameterizations used in the models.
Die vorliegende Arbeit befasst sich mit der numerischen Behandlung elasto-plastischer Materialmodelle unter großen Deformationen. Elasto-plastisches Materialverhalten zeichnet sich dadurch aus, dass neben den reversiblen (elastischen) Deformationen auch irreversible (plastische) Deformationen betrachtet werden, die einem Evolutionsgesetz folgen. Ein numerischer Algorithmus der Elasto-Plastizität muss daher dieses plastische Evolutionsgesetz zusammen mit den klassischen Erhaltungsgleichungen der Kontinuumsmechanik lösen und geeignet behandeln. Der prominenteste Vertreter eines elasto-plastischen Algorithmus' ist der sogenannte Return-Mapping-Algorithmus (RMA). Neben seiner Funktionalität werden allerdings auch die einschränkenden Modellannahmen beleuchtet, auf denen der RMA gründet. Diese beschränkte Anwendungsmöglichkeit motiviert die Entwicklung eines neuen Plastizitätsalgorithmus'. Der in dieser Arbeit entwickelte Verallgemeinerte Plastizitätsalgorithmus (GPA: Generalised Plasticity Algorithm) führt eine zusätzliche Linearisierung bezüglich der plastischen Variable ein, in der das plastische Evolutionsgesetz formuliert ist. In der vorliegenden Arbeit ist diese Variable durch den plastischen Deformationstensor gegeben, der die Inverse des plastischen rechten Cauchy-Greenschen Deformationstensors beschreibt. Somit erlaubt der GPA eine Behandlung von allgemeineren und komplexeren elasto-plastischen Modellen als der RMA.
Anhand von bekannten Benchmark-Problemen werden die beiden Algorithmen in dieser Arbeit validiert und verglichen. Ein numerischer Test zur Poroplastizität unter großen Deformationen dient schließlich als Beleg dafür, dass der GPA auf Modelle anwendbar ist, die durch komplexes elasto-plastisches Materialverhalten charakterisiert sind und für die der RMA in seiner klassischen Form nicht als Lösungsstrategie gewählt werden kann.
Neben der Entwicklung des Verallgemeinerten Plastizitätsalgorithmus' hat diese Arbeit das Ziel industrielle Anwendungen effizient zu lösen. Dazu wird für ein Problem der linearen Elastizität der effiziente Einsatz des Mehrgitterlösers bis zu einer viertel Million Prozessoren gezeigt und es werden elasto-plastische Rechnungen für zwei industrielle Beispiele mit einer anspruchsvollen Geometrie durchgeführt.
Den Ausgangspunkt für diese Dissertation bildeten die seit 2010 verstärkt stattfindenden Diskussionen um das Thema Elektromobilität, deren politischer Fokus auf das Elektroautomobil gerichtet ist, was insbesondere in dem Ziel von 1 Mio. Elektroautos, die bis 2020 in Deutschland unterwegs sein sollen, zum Ausdruck kommt. Während die Fortschritte in diesem Bereich aber relativ verhalten waren, hatte sich zu diesem Zeitpunkt bereits die Fahrrad-Elektromobilität aus einem Schattendasein gelöst und in den letzten Jahren erhebliche Zuwächse erzielen können. Nach Erkenntnissen des Zweirad-Industrie-Verbandes (ZIV 2013) hat sich die Anzahl verkaufter Pedelecs zwischen 2009 und 2012 kontinuierlich von 150.000 auf 380.000 erhöht.
Im Rahmen der Dissertation wurde über die Analyse der Akzeptanz, Nutzung und Wirkung von Pedelecs untersucht, ob durch die verstärkte Nutzung dieser technologischen Innovation ein Beitrag zu einem nachhaltigeren und zukunftsfähigen Mobilitätssystem geleistet werden kann. Das Ziel der Untersuchung mit dem Schwerpunkt der berufsbezogenen Mobilität war es, herauszufinden, ob und ggf. wie durch eine Verstärkung der Praxis des Pedelec‐Fahrens ein Wandel innerhalb des Mobilitätssystems erreicht werden kann.
Als Ergebnis der Dissertation kann festgehalten werden, dass die Chancen für einen Wandel des Mobilitätssystems derzeit sehr gut stehen und Pedelecs, als vergleichsweise nachhaltige Fahrzeuge, dazu einen aktiven Beitrag leisten können. Zwar findet die dazu notwendige Nutzung, die insbesondere aber nicht ausschließlich zu einer Reduzierung von Automobilität führt, derzeit noch auf einem relativ niedrigen Niveau statt, so dass von einem systemwirksamen Beitrag noch nicht gesprochen werden kann. Es konnten aber, neben der Substitutionswirkung, noch weitere Wirkungen identifiziert werden, die ebenfalls Beiträge zu einem nachhaltigeren Mobilitätssystem leisten können. Damit wird deutlich, dass eine weitere Förderung von Pedelecs, die als notwendig erachtet wird, nicht nur der Pedelec-Mobilität zugutekommen kann, sondern nachhaltiger Mobilität insgesamt.
Die Dissertation untersucht die posthumen skulpturalen Bildwerke Ludwigs IX. des Heiligen (1226-1270). Seine konkrete Gestaltungsweise wird vor der Folie des französischen Königsbildes im Allgemeinen entwickelt. Vor allem die Zeit von 1270 bis in die 1340er Jahre steht im Fokus der Betrachtung. Diese Zeiteinteilung beruht auf der zentralen Frage, ab wann das Königsbild beginnt lesbar zu werden. Die methodische Voraussetzung dazu ist die bis jetzt noch nicht durchgeführte strikte Distinktion sowohl von Typus und Stil als auch von Typus und Gattung. Hier kristallisiert sich heraus, dass die Bildwerke Ludwigs IX., die nach seiner Kanonisation von 1297 datieren, eine Zäsur darstellen. An ihnen lässt sich erstmals die Präzisierung eines bestimmten Königs in der Gestaltungsweise festhalten. Seine Spezifika werden erarbeitet. Die besondere, zunächst auf Ludwig IX. beschränkte Darstellungsform geht in der unmittelbaren Auseinandersetzung mit den Leiden der Heiligen hervor - wie bei ihnen wird sein Antlitz mimisch belebt, um sein Leiden darzustellen. Ein neuer Königstypus entsteht. Damit sind Bildwerke von Ludwig IX. lesbar – ein Novum innerhalb des französischen Königsbildes.
Diese Entwicklung vollzieht sich vor allem in der Zeit Philipps IV. Zahlreiche Neuerungen sowohl im Herrscherbild als auch in den Bildprogrammen geschehen in seiner Regentschaft. Vor allem die Kanonisation Ludwigs IX. gibt dem Souverän neue Möglichkeiten an die Hand, die besondere Sakralität des französischen Königtums weiter auszubauen. Mit der Darstellung des Heiligen verband sich eine Kultfunktion, die sich in der Gestaltung widerspiegelt und die dem französischen Herrscherbild neue Impulse vermittelt hat. Darüber hinaus erschöpfen sich die Bildstrategin Philipps IV. aber nicht allein in der Indienstnahme des neuen Dynastieheiligen, sondern sie erweitern zudem die politische Ikonografie.
Wie sich das französische Herrscherbild unter welchen formalen sowie historischen Kriterien warum wandelt, ist Untersuchungsgegenstand der Dissertation.
Dieser journalistische Gastbeitrag ist der fünfte Artikel unseres Blogfokus zu Flucht und Migration. Migration ist eine Tatsache in einer Welt, in der Kriege und Globalisierung massenhaft Lebensräume zerstören. Natürlich darf man die Zerstörungen und Verwüstungen nicht als gottgegeben hinnehmen. Im Irak etwa ist ja nicht der liebe Gott einmarschiert, sondern die Amerikaner haben das getan. Natürlich muss man schauen, wie man wieder zu erträglichen Zuständen in Syrien kommt, natürlich muss man alles tun, um Fluchtländer wieder zu Ländern zu machen, in denen Menschen leben können. Man muss etwas tun gegen die Fluchtursachen, auch wenn das sehr schwer ist. Im Fall Syrien heißt das, dass man auch mit Assad reden muss...
Saphenous vein graft disease is a timely problem in coronary artery bypass grafting. Indeed, after exposure of the vein to arterial blood flow, a progressive modification in the wall begins, due to proliferation of smooth muscle cells in the intima. As a consequence, the graft progressively occludes and this leads to recurrent ischemia. In the present study we employed a novel ex vivo culture system to assess the biological effects of arterial-like pressure on the human saphenous vein structure and physiology, and to compare the results to those achieved in the presence of a constant low pressure and flow mimicking the physiologic vein perfusion. While under both conditions we found an activation of Matrix Metallo-Proteases 2/9 and of microRNAs-21/146a/221, a specific effect of the arterial-like pressure was observed. This consisted in a marked geometrical remodeling, in the suppression of Tissue Inhibitor of Metallo-Protease-1, in the enhanced expression of TGF-β1 and BMP-2 mRNAs and, finally, in the upregulation of microRNAs-138/200b/200c. In addition, the veins exposed to arterial-like pressure showed an increase in the density of the adventitial vasa vasorum and of cells co-expressing NG2, CD44 and SM22α markers in the adventitia. Cells with nuclear expression of Sox-10, a transcription factor characterizing multipotent vascular stem cells, were finally found in adventitial vessels. Our findings suggest, for the first time, a role of arterial-like wall strain in the activation of pro-pathologic pathways resulting in adventitial vessels growth, activation of vasa vasorum cells, and upregulation of specific gene products associated to vascular remodeling and inflammation.
Since August 2009, German legislation allows for voluntary Say on Pay Votes (SoPV) during Annual General Meetings (AGMs). We examine 1,169 AGMs of all German listed firms with more than 10,000 agenda items over the period 2010-2013 to identify (1) determinants and approval rates of voluntary SoPVs, (2) the effect of voluntary SoPVs on AGM participation, and (3) the effect of SoP on executive compensation. Our data reveals that in the first four years of the voluntary say on pay regime every second firm in our sample has opted for having a SoPV. The propensity for a SoPV increases with firm size, abnormal executive compensation and free float of shares. Indeed, smaller firms with concentrated ownership do not only have a lower propensity for a SoPV, but also show a higher propensity to opt for only limited disclosure of executive compensation. Approval rates of SoPVs are lower than the approval rate for the average AGM agenda item and this effect is stronger in (i) widely held firms as well as in (ii) firms with abnormal executive compensation. Additionally, SoPVs actually can increase AGM participation; however, this result is particularly evident for widely held firms. Finally, we find stronger pay for performance elements within total executive compensation, particularly when the effect of executive compensation is lagged over the years following the vote. Overall, our results are consistent with the view that firms use voluntary SoPV to gain legitimation for executive remuneration policies in firms with low ownership concentration. This is enforced, where (small) shareholders consider executive compensation a part of the agency problem of listed firms, and where (small) shareholders consider SoPVs as a possibility to actively influence corporate decisions, with these decisions leading to a higher degree of alignment between executive management boards and shareholders.
In der momentanen politischen und medialen Auseinandersetzung um die Flüchtlingsaufnahme in Deutschland scheinen folgende Punkte selbstevident: Die gegenwärtige Flüchtlingsbewegung in die Bundesrepublik sei in ihrer Größe eine seit dem Ende des Zweiten Weltkriegs einzigartige Belastung für die Sozialsysteme. Auch seien für die meisten Skeptiker die ankommenden Flüchtlinge in ihrer kulturellen Eigenart von der deutschen Gesellschaft so verschieden, dass eine Integration quasi aussichtslos erscheine. Schließlich erwachse daraus eine fundamentale Gefahr für die soziale und politische Ordnung in Deutschland. Wobei (paradoxerweise) mit der Berufung auf dieses vermeintliche Bedrohungsszenario dann wiederholt der Ruf nach einer tatsächlichen rechtlichen und politischen Revision der bundesdeutschen Ordnung begründet wird.
In this paper, I examine how maternal myths are deployed in popular development literature. Using critical discourse analysis and working within a feminist postcolonial framework I analyse five texts produced by development organizations for popular consumption. I identify how maternal myths are constructed in each text and conduct a contextual analysis of four myths to identify their ideological significance within the development sector. I conclude that that in their construction of maternal myths, these texts, while intended to elicit support for gender and development interventions, reinforce exploitative gender roles and relations and limit women’s experiences of development.
DCs express intrinsic cellular defense mechanisms to specifically inhibit HIV-1 replication. Thus, DCs are productively infected only at very low levels with HIV-1, and this non-permissiveness of DCs is suggested to go along with viral evasion. We now illustrate that complement-opsonized HIV-1 (HIV-C) efficiently bypasses SAMHD1 restriction and productively infects DCs including BDCA-1 DCs. Efficient DC infection by HIV-C was also observed using single-cycle HIV-C, and correlated with a remarkable elevated SAMHD1 T592 phosphorylation but not SAMHD1 degradation. If SAMHD1 phosphorylation was blocked using a CDK2-inhibitor HIV-C-induced DC infection was also significantly abrogated. Additionally, we found a higher maturation and co-stimulatory potential, aberrant type I interferon expression and signaling as well as a stronger induction of cellular immune responses in HIV-C-treated DCs. Collectively, our data highlight a novel protective mechanism mediated by complement opsonization of HIV to effectively promote DC immune functions, which might be in the future exploited to tackle HIV infection.
Die Geschichte der europäischen Integration wird in der Regel als Erfolgsgeschichte erzählt, vor allem als wirtschaftliche Erfolgsgeschichte, die sich in Folge kluger und aus historischer Erfahrung getroffener Entscheidungen ergeben habe (vgl. Loth 2014; vgl. auch Mittag 2008). Der Zweite Weltkrieg habe endgültig gezeigt, dass das durch zahlreiche Nationalstaaten gekennzeichnete Europa, sollte es nicht zusammenarbeiten, zu verheerenden Konflikten neige. Und die Zusammenarbeit sei nicht nur politisch klug; sie zahle sich zusätzlich wirtschaftlich aus. So seien allen Teilnehmerstaaten auch in einem ganz ordinär materiellen Sinne Profiteure der europäischen Einigung, die in dieser Logik dann auch gar nicht weit genug gehen kann, bedingen sich hiernach doch das politisch Sinnvolle und das ökonomisch Erfolgreiche gegenseitig – und zwar genau in der Form der supranationalen Organisation, die die Europäische Union mittlerweile angenommen hat. Liest man einen Satz der Bundeskanzlerin Angela Merkel so, dann ist die europäische Integration nach Brüsseler Art deshalb alternativlos, weil es kein vergleichbares Erfolgsmodell gibt. Aus der zunächst durch das Leid des Krieges geprägten Bereitschaft zur Zusammenarbeit ist unter der Hand eine Art Sachzwang geworden, denn von der einmal eingeschlagenen Straße der Integration kann man in dieser Sicht nur unter erheblichen Wohlstandsverlusten und politischen Risiken abweichen.
In dieser Sachzwanglogik war allerdings die Euro-Krise nicht vorgesehen. Sie konnte im strengen Sinne auch gar nicht passieren, war doch die weitere Vertiefung der europäischen Union zur Währungsunion in den 1990er Jahren gerade damit begründet worden, dass derartige Krisen zukünftig ausgeschlossen seien (vgl. Tietmeyer 2005). Dass die Politik auf sie zunächst überrascht, fast panisch und dann durch konsequentes Vorantreiben der institutionellen und finanziellen Integration reagiert hat, zeigt auch, dass hier ein Denken vorherrscht, das nach dem Motto funktioniert, es könne doch nicht sein, was nicht sein dürfe. ...
Regionale Kooperation und Integration im Sub-Sahara Afrika – Eine dritte Welle der Regionalisierung?
(2015)
Vor allem seit Mitte der 1990er Jahre ist regionale Kooperation und Integration im sub-saharischen Afrika zu einem Trendphänomen geworden, das immer mehr Politikfelder berührt. Mit der so genannten 2. Welle der Regionalisierung erhofften sich viele afrikanische Staaten nicht nur neue Lösungen für ihre zahlreichen (sicherheits-)politischen, ökonomischen und sozialen Probleme. Vielmehr können die Versuche zur vertieften dauerhaften Kooperation und Integration auf dem Kontinent auch als Antwort auf globale Entwicklungen, Interdependenzen und integrative Erfolgsgeschichten (z.B. EU, ASEAN) betrachtet werden. In die derzeit existierenden 19 Regionalorganisationen in Afrika (davon 14 größere und fünf kleinere), werden demnach sehr viele Hoffnungen und Erwartungen, nicht nur von Seiten der Regierungen, sondern neuerdings auch von Seiten externer und zivilgesellschaftlicher Kräfte gesteckt. Zunehmend sind in verschiedenen Organisationen wie der East African Community (EAC), der Economic Community of West African States (ECOWAS) oder der Southern African Development Community nicht mehr nur kooperative, sondern dezidiert integrative Formen der Zusammenarbeit feststellbar. Befindet sich das sub-saharische Afrika daher auf dem Weg zu einer neuen, einer dritten Welle der Regionalisierung?
Ein Laserblitz von unvorstellbarer Intensität pulverisiert im Labor ein Molekül. Wachsam zeichnen die Instrumente die Flugbahn und Geschwindigkeit jedes Bruchstücks auf. Physiker gewinnen daraus hochpräzise Informationen über die Molekülstruktur. Auch links- und rechtshändige Formen lassen sich unterscheiden.
Die vorliegende Arbeit befasst sich mit der Untersuchung einzelner chiraler Moleküle durch Koinzidenzmessungen. Ein Molekül wird chiral genannt, wenn es in zwei Varianten, sogenannten Enantiomeren auftritt, deren Strukturmodelle Spiegelbilder voneinander sind.
Da viele biologisch relevante Moleküle chiral sind, sind Methoden und Erkenntnisse dieses Gebiets von großer Bedeutung für Biochemie und Pharmazie. Bemerkenswert ist, dass in der Natur meist nur eines der beiden möglichen Enantiomere auftritt. Ob diese Wahl zufällig war, ob sie aufgrund der Anfangsbedingungen bei Entstehung des Lebens erfolgte, oder ob sie eine fundamentale Ursache hat, ist bisher ungeklärt. Seit der Entdeckung chiraler Molekülstrukturen in der zweiten Hälfte des 19. Jahrhunderts ist eine Vielzahl von Methoden entwickelt worden, um die beiden Enantiomere eines Moleküls zu unterscheiden und ihre Eigenschaften zu untersuchen. Aussagen über die mikroskopische Struktur (Absolutkonfiguration) können jedoch meist nur mithilfe theoretischer Modelle getroffen werden.
Der innovative Schritt der vorliegenden Arbeit besteht darin, eine in der Atomphysik entwickelte Technik zur Untersuchung einzelner mikroskopischer Systeme erstmals auf chirale Moleküle anzuwenden: Mit der sogenannten Cold Target Recoil Ion Momentum Spectroscopy (COLTRIMS) ist es möglich, einzelne Moleküle in der Gasphase mehrfach zu ionisieren und die entstandenen Fragmente (Ionen und Elektronen) zu untersuchen. Die gleichzeitige Detektion dieser Fragmente wird als Koinzidenzmessung bezeichnet.
Zunächst wurde das prototypische chirale Molekül CHBrClF mit einem Femtosekunden-Laserpuls mehrfach ionisiert, sodass alle fünf Atome als einfach geladene Ionen in einer sogenannten Coulomb-Explosion „auseinander fliegen“. Durch Messung der Impulsvektoren dieser Ionen konnte die mikroskopische Konfiguration einzelner Moleküle mit sehr hoher Zuverlässigkeit bestimmt werden. Somit eignet sich die Koinzidenzmethode auch dazu, die Anteile der rechts- bzw. linkshändigen Enantiomere in einer Probe zu bestimmen. Die Messungen an der verwendeten, racemischen Probe zeigen bei der Ionisation mit linear polarisiertem Licht im Rahmen der statistischen Unsicherheit wie erwartet eine Gleichverteilung der beiden Enantiomere.
In einem nachfolgenden Experiment konnte gezeigt werden, dass sich die Coulomb-Explosion auch mit einzelnen hochenergetischen Photonen aus einer Synchrotronstrahlungsquelle realisieren lässt. Für beide Ionisationsmechanismen – am Laser und am Synchrotron - wurden mehrere Fragmentationskanäle untersucht. Im Hinblick auf die Erweiterung der Methode hin zu komplexeren, biologisch relevanten Molekülen ist es entscheidend zu wissen, inwieweit sich die Händigkeit bestimmen lässt, wenn nicht alle Atome des Moleküls als atomare Ionen detektiert werden. Hierbei stellte sich heraus, dass auch molekulare Ionen zur Bestimmung der Absolutkonfiguration herangezogen werden können. Eine signifikante Steigerung der Effizienz konnte für den Fall demonstriert werden, dass nicht alle Fragmente aus der Coulomb-Explosion des Moleküls detektiert wurden – hier lassen sich allerdings nur noch statistische Aussagen über die Absolutkonfiguration und die Häufigkeit der beiden Enantiomere treffen.
Um die Grenzen der Methode in Bezug auf die Massenauflösung zu testen, wurden isotopenchirale Moleküle, d.h. Moleküle, die nur aufgrund zwei verschiedener Isotope chiral sind, untersucht. Auch hier ist eine Trennung der Enantiomere möglich, wenn auch mit gewissen Einschränkungen.
Ein wichtiges Merkmal chiraler Moleküle ist das unterschiedliche Verhalten der Enantiomere bei Wechselwirkung mit zirkular polarisierter Strahlung. Diese Asymmetrie wird Zirkulardichroismus genannt. Die koinzidente Untersuchung von Ionen und Elektronen aus der Fragmentation eines Moleküls eröffnet neue Möglichkeiten für die Untersuchung des Dichroismus. So können die Impulsvektoren der Ionen mit bekannten Asymmetrien in der Elektronenverteilung (Photoelektron-Zirkulardichroismus) verknüpft werden, was zu einem besseren Verständnis der Wechselwirkung elektromagnetischer Strahlung mit chiralen Molekülen führen kann.
In dieser Arbeit wurde nach Asymmetrien in der Winkelverteilung sowohl der Ionen als auch der Elektronen nach der Ionisation von CHBrClF und Propylenoxid (C3H6O) mit zirkular polarisierter Synchrotronstrahlung gesucht. In den durchgeführten Messungen konnte kein zweifelsfreier Nachweis für einen Dichroismus bei den verwendeten experimentellen Bedingungen erbracht werden. Technische und prinzipielle Limitierungen der Methode wurden diskutiert und Verbesserungsvorschläge für zukünftige Messungen genannt.
Mit der erfolgreichen Bestimmung der Absolutkonfiguration und der prinzipiellen Möglichkeit, Asymmetrien in zuvor nicht zugänglichen Messgrößen zu untersuchen, legt diese Arbeit den Grundstein für die Anwendung der Koinzidenzspektroskopie auf Fragestellungen der Stereochemie.
Dies ist der fünfte Artikel unseres Blogfokus „Salafismus in Deutschland“.
Dschihadismus ist keine neue Erscheinung in Deutschland, und schon gar nicht in Europa. Erinnert sei beispielsweise an drei der 9/11-Attentäter, die in Hamburg lebten und konspirierten, an die Mitglieder der so genannten Sauerlandzelle und die Anschläge von Madrid 2004 und London 2005. Seit Jahren werden immer wieder neue Gesichter des Terrors vor Richter und Kamera geführt. Seit der Entstehung des „Islamischen Staates“ (IS) ändert sich jedoch nicht nur die Art wie Terroristen kommunizieren und mobilisieren, sondern auch ihre Motivation. Sowohl die IS Propaganda als auch die individuellen Motivationen werden durch subkulturelle Merkmale gekennzeichnet: ästhetische, Audio- und Videoelemente – zum Teil westlicher Natur –, die inspirieren und motivieren sollen, sowie Abenteuerlust, Provokation und Widerstand....
In modernen Marktgesellschaften bedürfen die Menschen zur Sicherung ihrer Lebensgrundlage regelmäßiger Einkommen. Diese erzielen sie in der Regel durch Erwerbstätigkeiten verschiedenster Art, in ihrer Mehrzahl durch Lohnarbeit. Ihr Lebensstandard hängt von Art und Umfang der Güter und Dienste ab, die sie mit ihrem Einkommen erwerben können.
An den Europäischen Außengrenzen gehört der Tod von Flüchtlingen zum Alltag. Mehr als 29.000 Menschen sollen seit dem Jahr 2000 nach Recherchen von Journalist*innen auf ihrem Weg nach Europa gestorben sein. Das Projekt The Human Costs of Border Control der Universität Amsterdam hat jüngst eine Datenbank öffentlich gemacht, in der die tödlichen Umstände von über 3.000 Flüchtlingen dokumentiert werden. ...
Viel zu selten erhält der Münchner NSU-Prozess die Öffentlichkeit, die seinem Gegenstand entsprechen würde. Der 249. Verhandlungstag wird jedoch in Erinnerung bleiben. Die Hauptangeklagte Beate Zschäpe hat ihr Schweigen gebrochen und zum ersten Mal über ihren neuen Anwalt Mathias Grasel eine Aussage verlesen lassen (vgl. Vollständiges Protokoll). Diese lässt sich mit dem Egotronic-Song "Von nichts gewusst" zusammenfassen. Dass die beiden Uwes Morde begangen haben? Nichts gewusst, erst später habe sie davon erfahren. Der Bombenanschlag in der Kölner Keupstraße? Nichts gewusst. Der Inhalt des NSU-Bekennervideos, das sie selbst per Post verschickt hat? Habe sie im Prozess zum ersten Mal gesehen. ...
Die Mordserie des Nationalsozialistischen Untergrunds (NSU) hat eine beispiellose Reihe von Skandalen deutscher Sicherheitsbehörden öffentlich gemacht. In der vergangenen Woche hat ein Artikel in der Welt am Sonntag von den Journalisten Stefan Aust, Dirk Laabs und Per Hinrichs ein neues Kapitel in die Geschichte des NSU-Komplex eingefügt. ...
A current challenge in life sciences is to image cell membrane receptors while characterizing their specific interactions with various ligands. Addressing this issue has been hampered by the lack of suitable nanoscopic methods. Here we address this challenge and introduce multifunctional high-resolution atomic force microscopy (AFM) to image human protease-activated receptors (PAR1) in the functionally important lipid membrane and to simultaneously localize and quantify their binding to two different ligands. Therefore, we introduce the surface chemistry to bifunctionalize AFM tips with the native receptor-activating peptide and a tris-N-nitrilotriacetic acid (tris-NTA) group binding to a His10-tag engineered to PAR1. We further introduce ways to discern between the binding of both ligands to different receptor sites while imaging native PAR1s. Surface chemistry and nanoscopic method are applicable to a range of biological systems in vitro and in vivo and to concurrently detect and localize multiple ligand-binding sites at single receptor resolution.
Der Beitrag hat die Keilschriftrechtsgeschichte als rechtshistorische Teildisziplin zum Gegenstand. Bei ihrer wissenschaftsgeschichtlichen Einordnung zeigt sich eine charakteristische Prägung durch den methodischen Ansatz der historischen Rechtsvergleichung wie auch durch eine stark interdisziplinäre Ausrichtung. Stand und Perspektiven der von juristischer Seite betriebenen Keilschriftrechtsgeschichte werden anhand von aktuellen Forschungsvorhaben im Rahmen Frankfurter Verbundprojekte exemplarisch beschrieben. Dabei wird deutlich, dass das Fach, nicht zuletzt aufgrund der vorgenannten Prägung, in hohem Maße anschlussfähig an kulturübergreifende Erkenntnisinteressen ist.
Simultaneous and dose dependent melanoma cytotoxic and immune stimulatory activity of betulin
(2015)
Conventional cytostatic cancer treatments rarely result in the complete eradication of tumor cells. Therefore, new therapeutic strategies focus on antagonizing the immunosuppressive activity of established tumors. In particular, recent studies of antigen-loaded dendritic cells (DCs) eliciting a specific antitumor immune response has raised the hopes of achieving the complete elimination of tumor tissue. Genistein, fingolimod and betulin have already been described as active compounds in different types of cancer. Herein, we applied an integrated screening approach to characterize both their cytostatic and their immune-modulating properties side-by-side. As will be described in detail, our data confirmed that all three compounds exerted proapoptotic and antiproliferative activity in different B16 melanoma cell lines to a given extent, as revealed by an MTT assay, CFSE and DAPI staining. However, while genistein and fingolimod also affected the survival of primary bone marrow (BM) derived DCs of C57BL/6 mice, betulin exhibited a lower cytotoxicity for BMDCs in comparison to the melanoma cells. Moreover, we could show for the first time, that only betulin caused a simultaneous, highly specific immune-stimulating activity, as measured by the IL-12p70 release of Toll-like receptor 4-stimulated BMDCs by ELISA, which was due to increased IL-12p35 mRNA expression. Interestingly, the activation of DCs resulted in enhanced T lymphocyte stimulation, indicated by increased IL-2 and IFN-γ production of cytotoxic T cells in spleen cell co-culture assays which led to a decreased viability of B16 cells in an antigen specific model system. This may overcome the immunosuppressive environment of a tumor and destroy tumor cells more effectively in vivo if the immune response is specific targeted against the tumor tissue by antigen-loaded dendritic cells. In summary, cytostatic agents, such as betulin, that simultaneously exhibit immune stimulatory activity may serve as lead compounds and hold great promise as a novel approach for an integrated cancer therapy.
Die These des Beitrags lautet, dass die Ausweitung des Anwendungsbereichs zentraler Materien des Wirtschaftsrechts Ausdruck und weiterer Treiber einer generellen Ökonomisierung der Gesellschaft ist. Hierbei handelt es sich um die Generalisierung ökonomischer, effizienzorientierter Denk- und Handlungsmuster zu einem Analyse- und Bewertungsprinzip für sämtliche sozialen Beziehungen. Zur Überprüfung dieser These sollen die Grenzen des Anwendungsbereichs des Marktverhaltens- und Unternehmens-rechts abgeschritten werden. Die kritisch-normative Pointe geht dahin, vom Wirtschaftsrecht mehr Reflexivität zu verlangen: Es muss die nicht genuin öko-nomischen Gründe für die Begrenztheit seines Regulierungsanspruchs in seine Tatbestandsvoraussetzungen integrieren.
Nach vorherrschender Lesart prallen im Internet Exklusivitäts- und Zugangsinteressen aufeinander. Das Urheberrecht soll diesen Konflikt in ein angemessenes Gleichgewicht bringen. Im folgenden Beitrag werden die Auseinandersetzungen um das digitale Urheberrecht anders gedeutet. Demnach ist die Online-Kommunikation von zwei koexistierenden Kulturen geprägt, die sich je verschieden zum Urheberrecht verhalten. Die Ausgestaltung des digitalen Urheberrechts wird mit darüber entscheiden, ob das dynamische Nebeneinander von Exklusivitäts- und Zugangskultur fortdauert oder ob eine der beiden Kulturen verdrängt wird. Das Urheberrecht ist folglich als Teil der Internetregulierung zu betrachten.
According to the prevailing view, the purpose of digital copyright is to balance conflicting interests in exclusivity on the one hand and in access to information on the other. This article offers an alternative reading of the conflicts surrounding copyright in the digital era. It argues that two cultures of communication coexist on the internet, each of which has a different relationship to copyright. Whereas copyright institutionalizes and supports a culture of exclusivity, it is at best neutral towards a culture of free and open access. The article shows that, depending on the future regulation of copyright and the internet in general, the dynamic coexistence of these cultures may well be replaced by an overwhelming dominance of the culture of exclusivity.
We compute potentials of two static antiquarks in the presence of two quarks qq of finite mass using lattice QCD. In a second step we solve the Schrödinger equation, to determine, whether the resulting potentials are sufficiently attractive to host a bound state, which would indicate the existence of a stable qqb¯b¯ tetraquark. We find a bound state for qq=(ud−du)/2–√ with corresponding quantum numbers I(JP)=0(1+) and evidence against the existence of bound states with isospin I=1 or qq∈{cc,ss}.
The project is focusing on a monumental funerary complex which is located in the Valley of the Nobles at Luxor. The topographic context is certainly very interesting, both because it is not very well known and deeply investigated, as well as because it appears to have been densely exploited in antiquity and for long time. It was then intensively inhabited in the last two centuries, fact that determined the obliteration of numerous tombs, but also the loss of the sense of context of this section of the ancient necropolis of Luxor. It was certainly in antiquity an important section of the necropolis, looking at the monumentality of some of the tombs, and it has been continuously used for centuries for funerary purposes, not only during the "pharaonic period", but also during later periods, as clearly suggested by Ptolemaic tombs, Greco-Roman inscriptions and finds.
A large team is collaborating at the project, including very different scholars and senior students working together from the excavation to the topographic survey, from the diagnostic mapping to the conservation, from the anthropometric analysis to the archaeometric studies, from the epigraphic interpretation to the historical reconstruction. A multidisciplinary approach to the study of this funerary complex can guarantee both an interdisciplinary interpretation of the monuments, as well as of their evolution and use throughout a long period. Too often, in fact, the monuments in Egypt are analysed just looking at their original plan and use in the pharaonic period; nevertheless, in the Theban necropolis the interesting phenomenon of the ‘re-use’ is widely attested, and the tombs present frequent enlargements, later openings, junctions with neighbor tombs, later passages transforming the original plans.
The Neferhotep’s Complex represents one of the most interesting in this sense because about six tombs have been built around a large courtyard in the late Bronze period, but about three more phases are clearly attested now by the new excavations and surveys, showing that also in the ‘later periods’, from the 7th to the 1st centuries BC, the tombs in this complex were continuously reused for burials and widely reorganized, transforming slowly their original shapes. In Roman times, the presence of the legions in the area, has determined a partial change of use of some of the areas of the necropolis, while some other contexts have continued to be used for funerary purposes.
The plan of the funerary complex is quite articulated (fig.1), with a central square courtyard, crowning and emphasizing the larger tomb, which is known as TT49. It was built just at the end of the XVIII dynasty and still preserves the original spectacular paintings. The conservation of the decorations is based on the use of a non-invasive laser methodology. A German team (PROCON) is conservating the tomb, and within the last eight seasons a large portion of the paintings in the funerary chapel have been completely cleaned and consolidated. An equip of Egyptologists, both Argentinian (the University of Buenos Aires and the CONICET) and Brasilian (of the National Museum of Rio de Janeiro) is studying and interpreting hieroglyphics and iconographies. Moreover, a team of archaeologists, geologists and topographers from the University of Chieti is working at the excavations of other two tombs of this architectonic complex and at the mapping of the context and of the tombs. During the last seasons also a team of anthropologists and palaeo-botanists from the Museum of Chieti University has joined the team, especially because of the large quantity of human and organic remains coming from the excavations. The aim of this paper is to present the project, its interdisciplinary methodologies and the preliminary results of the last seasons. Moreover, the complex is presented here analyzing not only the main original tombs and monuments, but including the numerous phases through the centuries till recent times.
Background: The sodium-taurocholate cotransporting polypeptide (NTCP) is both a key bile acid (BA) transporter mediating uptake of BA into hepatocytes and an essential receptor for hepatitis B virus (HBV) and hepatitis D virus (HDV). In this study we aimed to characterize to what extent and through what mechanism BA affect HDV cell entry.
Methods: HuH-7 cells stably expressing NTCP (HuH-7/NTCP) and primary human hepatocytes (PHH) were infected with in vitro generated HDV particles. Infectivity in the absence or presence of compounds was assessed using immunofluorescence staining for HDV antigen, standard 50% tissue culture infectious dose (TCID50) assays and quantitative PCR.
Results: Addition of primary conjugated and unconjugated BA resulted in a dose dependent reduction in the number of infected cells while secondary, tertiary and synthetic BA had a lesser effect. This effect was observed both in HuH-7/NTCP and in PHH. Other replication cycle steps such as replication and particle assembly and release were unaffected. Moreover, inhibitory BA competed with a fragment from the large HBV envelope protein for binding to NTCP-expressing cells. Conversely, the sodium/BA-cotransporter function of NTCP seemed not to be required for HDV infection since infection was similar in the presence or absence of a sodium gradient across the plasma membrane. When chenodeoxycolic acid (15 mg per kg body weight) was administered to three chronically HDV infected individuals over a period of up to 16 days there was no change in serum HDV RNA.
Conclusions: Primary BA inhibit NTCP-mediated HDV entry into hepatocytes suggesting that modulation of the BA pool may affect HDV infection of hepatocytes.
This paper examines the dynamic relationship between credit risk and liquidity in the sovereign bond market in the context of the European Central Bank (ECB) interventions. Using a comprehensive set of liquidity measures obtained from a detailed, quote-level dataset of the largest interdealer market for Italian government bonds, we show that changes in credit risk, as measured by the Italian sovereign credit default swap (CDS) spread, generally drive the liquidity of the market: a 10% change in the CDS spread leads a 11% change in the bid-ask spread. This relationship is stronger, and the transmission is faster, when the CDS spread is above the 500 basis point threshold, estimated endogenously, and can be ascribed to changes in margins and collateral, as well as clientele effects. Moreover, we show that the Long-Term Refinancing Operations (LTRO) intervention by the ECB weakened the sensitivity of the liquidity provision by the market makers to changes in the Italian government's credit risk. We also document the importance of market-wide and dealer-specific funding liquidity measures in determining the market liquidity for Italian government bonds.
This contribution1 is framed within the field of cultural studies and migration and ethnic relations, trying to examine how the Italian American experience has been imaginatively (re)created and received. It will entail an interdisciplinary approach about the cultural and literary analysis of the Italian diaspora in the United States, from a gender perspective that recovers the voice and historical presence of women as has been transmitted in the arts and critical methods. Focusing on the media and literary representations that deal with Italian migration to the United States since the last decades of the 19th century, their welcome or later development until our days, I make particular reference to a community mainly conceived in the masculine, as major receptions and persistent stereotypes about family relations and ethnicity attest. I will analyse, at the same time, the existence of other works that either contest or balance that cultural and gender stereotyping of the Italian American experience or community.
Teil X unserer Serie zum „Islamischen Staat“. Im November 2014 schworen mehrere jihadistische Gruppierungen in Ägypten, Libyen und Algerien dem Islamischen Staat (IS) zeitgleich den Treueid. Der Anführer des IS, Abu Bakr al-Baghdadi, erklärte daraufhin, seine Organisation habe weitere Territorien in Nordafrika annektiert, diese Länder seien nun Provinzen des Islamischen Staates.
Diese konzertierte Aktion sorgte weltweit für Aufsehen, vermittelte sie doch den Eindruck einer ungebrochenen Expansion des IS, der nach Landgewinnen in Syrien und dem Irak nun auch in anderen Regionen der islamischen Welt die Vorherrschaft anstrebte. Doch bei näherer Betrachtung entpuppt sich die vom Islamischen Staat erklärte Expansion nach Nordafrika vor allem als geschickte PR-Aktion: Denn die Behauptung des IS, auf einen Schlag die Herrschaft über weite Teile Nordafrikas übernommen zu haben, ist falsch. Sofern diese Expansion stattfindet, dann vorrangig in den Köpfen der Beobachter – sie entspricht jedoch nur sehr eingeschränkt den Tatsachen am Boden. Dort ist der Einfluss der IS-Anhänger lokal begrenzt, dort sind sie nur eine von vielen Gruppen, die um Macht und Einfluss kämpfen. Von der Verwaltung ganzer Städte und Landstriche kann derzeit jedoch keine Rede sein...
The hepatitis C virus (HCV) was discovered in the late 1980s. Interferon (IFN)-α was proposed as an antiviral treatment for chronic hepatitis C at about the same time. Successive improvements in IFN-α-based therapy (dose finding, pegylation, addition of ribavirin) increased the rates of sustained virologic response, i.e. the rates of curing HCV infection. These rates were further improved by adding the first available direct-acting antiviral (DAA) drugs to the combination of pegylated IFN-α and ribavirin. An IFN-free era finally started in 2014, yielding rates of sustained virologic response over 90% in patients treated for 8 to 24 weeks with all-oral regimens. Major challenges however remain in implementation of these new treatment strategies, not only in low- to middle-income countries, but also in high-income countries where the price of these therapies is still prohibitive. Elimination of HCV infection through treatment in certain areas is possible but raises major public health issues.
Emotional instability, difficulties in social adjustment, and disinhibited behavior are the most common symptoms of the psychiatric comorbidities in juvenile myoclonic epilepsy (JME). This psychopathology has been associated with dysfunctions of mesial-frontal brain circuits. The present work is a first direct test of this link and adapted a paradigm for probing frontal circuits during empathy for pain. Neural and psychophysiological parameters of pain empathy were assessed by combining functional magnetic resonance imaging (fMRI) with simultaneous pupillometry in 15 JME patients and 15 matched healthy controls. In JME patients, we observed reduced neural activation of the anterior cingulate cortex (ACC), the anterior insula (AI), and the ventrolateral prefrontal cortex (VLPFC). This modulation was paralleled by reduced pupil dilation during empathy for pain in patients. At the same time, pupil dilation was positively related to neural activity of the ACC, AI, and VLPFC. In JME patients, the ACC additionally showed reduced functional connectivity with the primary and secondary somatosensory cortex, areas fundamentally implicated in processing the somatic cause of another's pain. Our results provide first evidence that alterations of mesial-frontal circuits directly affect psychosocial functioning in JME patients and draw a link of pupil dynamics with brain activity during emotional processing. The findings of reduced pain empathy related activation of the ACC and AI and aberrant functional integration of the ACC with somatosensory cortex areas provide further evidence for this network's role in social behavior and helps explaining the JME psychopathology and patients' difficulties in social adjustment.
Objective: To evaluate two ultrafast cone-beam CT (UF-CBCT) imaging protocols with different acquisition and injection parameters regarding image quality and required contrast media during image-guided hepatic transarterial chemoembolization (TACE).
Methods: In 80 patients (male: 46, female: 34; mean age: 56.8 years; range: 33–83) UF-CBCT was performed during TACE for intraprocedural guidance. Imaging was performed using two ultrafast CBCT acquisition protocols with different acquisition and injection parameters (imaging protocol 1: acquisition time 2.54 s, and contrast 6 mL with 3 s delay; imaging protocol 2: acquisition time 2.72 s, and contrast 7 mL with 6 s delay). Image evaluation was performed with both qualitative and quantitative methods. Contrast injection volume and dose parameters were compared using values from the literature.
Results: Imaging protocol 2 provided significantly better (P < 0.05) image quality than protocol 1 at the cost of slightly higher contrast load and patient dose. Imaging protocol 1 provided good contrast perfusion but it mostly failed to delineate the tumors (P < 0.05). On the contrary, imaging protocol 2 showed excellent enhancement of hepatic parenchyma, tumor, and feeding vessels.
Conclusion: Tumor delineation, visualization of hepatic parenchyma, and feeding vessels are clearly possible using imaging protocol 2 with ultrafast CBCT imaging. A reduction of required contrast volume and patient dose were achieved due to the ultrafast CBCT imaging.
Die Endometriose ist eine gynäkologische Erkrankung, bei der epitheliale und stromale Zellen des Endometriums Läsionen außerhalb des Uterus bilden, die in ihrem Aufbau dem Endometrium gleichen. Diese Läsionen, sowie deren zyklische Proliferation, führen zu Schmerzen bei betroffenen Frauen. In isolierten, invasiven Epithelzellen (EEC145T) einer Endometriose-Läsion konnte die Expression von Shrew-1 gezeigt werden. Auch in anderen zellulären Zusammenhängen fördert die Expression von Shrew-1 den invasiven Phänotyp. Shrew-1 ist ein Transmembranprotein, das in Epithelzellen mit den Adhärenzverbindungen assoziiert ist und Interaktionen mit β-Catenin und E-Cadherin eingeht. In MCF7-Zellen fördert die Expression von Shrew-1 die EGF-induzierte Internalisierung von E-Cadherin, welche zur Verminderung der Zell-Zell-Adhäsion führt. In 12Z- und HT1080-Zellen konnte eine Interaktion mit CD147 gezeigt werden. CD147 fördert die Aktivität von MMPs und in Shrew-1-überexprimierenden HT1080-Zellen konnte eine erhöhte Aktivität der MMP9 gezeigt werden. Shrew-1 wirkt somit auf die Invasivität von Zellen und ist gleichzeitig Teil der Adhärenzverbindung. Aus diesem Grund wird Shrew-1 eine modulatorische Rolle in diesem Kontext zugeschrieben.
In immunhistologischen Färbungen von Shrew-1 und E-Cadherin konnte in Adenomyose-Läsionen eine inverse Expression der beiden Proteine in einigen epithelialen Zellen gezeigt werden, die im Endometrium nicht detektiert werden konnten. In den epithelialen Endometriose-Zelllinien 12Z und 49Z, die kein E-Cadherin exprimieren und äquivalent zu der Zelllinie EEC145T sind, führte die Herunterregulation von Shrew-1 (Shrew-1 KD) zur Reexpression von E-Cadherin. E-Cadherin ist in den 12Z Shrew-1 KD-Zellen an der Plasmamembran lokalisiert und interagiert mit β-Catenin, wodurch seine Assoziation mit den Adhärenzverbindungen wahrscheinlich ist. Die Herunterregulation von Shrew-1 führt zu einer verminderten Motilität und Invasivität der 12Z-Zellen, wobei die reduzierte Invasivität nicht alleine auf die Reexpression von E-Cadherin zurückgeführt werden kann. Es ist zu vermuten, dass das verminderte invasive Verhalten mit der ausbleibenden Interaktion von Shrew-1 mit CD147 zusammenhängt, welches die Aktivität von MMPs fördert.
Da Shrew-1 eine direkte Interaktion mit β-Catenin eingehen kann, ist es möglich, dass die Herunterregulation von Shrew-1 zu Veränderungen in der Lokalisation von β-Catenin und weiteren Proteinen, die mit den Adhärenzverbindungen assoziiert sind (p120 Catenin und Aktin), führen. Dies konnte jedoch nicht beobachtet werden. Eine verstärkte Lokalisation von Vinculin an den Enden von Aktin-Stressfasern sowohl in Zellausstülpungen als auch an Zell-Zell-Kontakten konnte in 12Z-Zellen nach der Herunterregulation von Shrew-1 beobachtet werden. Dies könnte eine Folge der E-Cadherin-Reexpression oder entscheidend für die Lokalisation von E-Cadherin an der Membran sein.
Die Reexpression von E-Cadherin, die in den 12Z Shrew-1 KD-Zellen auf mRNA- und Protein-Ebene nachgewiesen werden kann, erfolgt in den 12Z-Zellen vermutlich hauptsächlich über Veränderungen von Histon-Acetylierungen, da die Behandlung mit dem HDAC-Inhibitor TSA die Expression von E-Cadherin in den 12Z-Zellen induziert. Eine verstärkte H3K9-Acetylierung am CDH1-Promotor konnte in ChIP-Analysen in den 12Z Shrew-1 KD-Zellen gezeigt werden. Die gesteigerte Acetylierung resultiert vermutlich aus der verminderten Assoziation von HDAC1 und HDAC2 mit dem CDH1-Promotor in diesen Zellen. Eine Beteiligung der Repressoren Snail, Slug, Twist und ZEB1 an der Reexpression von E-Cadherin in den 12Z Shrew-1 KD-Zellen konnte nicht gezeigt werden. Ebenso scheinen Veränderungen am Methylierungsstatus des CDH1-Promotors nach der Herunterregulation von Shrew-1 nicht zu erfolgen.
TSA induziert auch in weiteren epithelialen Endometriose-Zelllinien (10Z und 49Z) die Expression von E-Cadherin. In stromalen Zellen führt hingegen weder TSA noch die Herunterregulation von Shrew-1 zur Expression von E-Cadherin (17B, 18B und 22B). Dies weist darauf hin, dass die Herunterregulation von Shrew-1 über die Veränderungen von Histon-Acetylierungen wirkt und dass dieser Mechanismus in epithelialen Endometriose-Zellen entscheidend ist. In den stromalen Zellen muss die Expression von E-Cadherin über einen anderen und/oder weitere Mechanismen blockiert sein.
Auch der Wnt-Signalweg scheint an der Reexpression von E-Cadherin in 12Z-Zellen beteiligt zu sein. Die Inhibierung der GSK3β (LiCl und SB216763) führt zur Expression von geringen Mengen an E-Cadherin. In 12Z Shrew-1 KD-Zellen führt die Stabilisierung von Axin (XAV939) zur verminderten Expression von E-Cadherin. Dies lässt darauf schließen, dass Shrew-1 auch einen Einfluss auf den Wnt-Signalweg hat, was vor allem durch dessen Interaktion mit β-Catenin wahrscheinlich ist.
The PANDA experiment at FAIR will study fundamental questions of strong interaction with high precision. Effcient particle identification for a wide momentum range and the full solid angle is required for successful reconstruction of the benchmark channels of the broad PANDA physics program. For this purpose a compact ring imaging Cherenkov detector is being developed for the barrel region of the PANDA detector. The concept and the baseline design of the PANDA Barrel DIRC were inspired by the BABAR DIRC and improved with important modifications, like fast photon timing, a compact expansion volume, and focusing optics. The required detector resolution was defined based on the PANDA PID specifications using the phase space distributions of the final state kaons produced in selected benchmark channels. To optimize the PANDA Barrel DIRC design in terms of performance and cost the baseline detector geometry and a number of design options were implemented in the simulation. The key options include the radiator dimensions, two types of expansion volume shapes, and a variety of focusing systems. The performance of the detector designs was quantified in terms of single photon Cherenkov angle resolution and photon yield. It was found that the number of radiators can be reduced by about 40% without loss in performance. A compound spherical lens without air gap was found to be a promising focusing system. An optimized Barrel DIRC design meeting the PID requirements includes three radiator bars per at section, the compound lens without air gap, a compact prism-shaped EV, and a total of 192 Microchannel-Plate PMTs as photosensors. The number of electronic channels can be halved without loss in performance by combining two neighbouring pixels. For such a detector design the total cost will be significantly reduced compared to the baseline version while still meeting or exceeding the PANDA PID performance goals.
A record number of 39 209 HSCT in 34 809 patients (14 950 allogeneic (43%) and 19 859 autologous (57%)) were reported by 658 centers in 48 countries to the 2013 survey. Trends include: more growth in allogeneic than in autologous HSCT, increasing use of sibling and unrelated donors and a pronounced increase in haploidentical family donors when compared with cord blood donors for those patients without a matched related or unrelated donor. Main indications were leukemias, 11 190 (32%; 96% allogeneic); lymphoid neoplasias, 19 958 (57%; 11% allogeneic); solid tumors, 1543 (4%; 4% allogeneic); and nonmalignant disorders, 1975 (6%; 91% allogeneic). In patients without a matched sibling or unrelated donor, alternative donors are used. Since 2010 there has been a marked increase of 96% in the number of transplants performed from haploidentical relatives (802 in 2010 to 1571 in 2013), whereas the number of unrelated cord blood transplants has slightly decreased (789 in 2010 to 666 in 2013). The use of donor type varies greatly throughout Europe.
El siguiente trabajo se propone como objetivo la reconstrucción de la estructura interna que constituye a las acciones con sentido (o intencionales) de los hombres tal como puede ser hecha desde la pragmática trascendental del lenguaje de Karl-Otto Apel. Resaltando (I) el papel decisivo que juega el lenguaje y el discurso en la constitución como tal de las acciones intencionales, se procede a la explicitación de una estructura interna de pretensiones de validez similar a la que es posible encontrar en el discurso explícito, tal como lo hicieron los planteos clásicos de Karl-Otto Apel. Luego de la discusión de algunas críticas que pueden hacerse a esta reconstrucción (II), se arriban finalmente a algunas conclusiones referidas a los presupuestos de las acciones no lingüísticas (III).
Exclusive measurements of quasi-free proton scattering reactions in inverse and complete kinematics
(2015)
Quasi-free scattering reactions of the type (p, 2p) were measured for the first time exclusively in complete and inverse kinematics, using a 12C beam at an energy of ∼400 MeV/u as a benchmark. This new technique has been developed to study the single-particle structure of exotic nuclei in experiments with radioactive-ion beams. The outgoing pair of protons and the fragments were measured simultaneously, enabling an unambiguous identification of the reaction channels and a redundant measurement of the kinematic observables. Both valence and deeply-bound nucleon orbits are probed, including those leading to unbound states of the daughter nucleus. Exclusive (p, 2p) cross sections of 15.8(18) mb, 1.9(2) mb and 1.5(2) mb to the low-lying 0p-hole states overlapping with the ground state (3/2−) and with the bound excited states of 11B at 2.125 MeV (1/2−) and 5.02 MeV (3/2−), respectively, were determined via γ -ray spectroscopy. Particle-unstable deep-hole states, corresponding to proton removal from the 0s-orbital, were studied via the invariant-mass technique. Cross sections and momentum distributions were extracted and compared to theoretical calculations employing the eikonal formalism. The obtained results are in a good agreement with this theory and with direct-kinematics experiments. The dependence of the proton–proton scattering kinematics on the internal momentum of the struck proton and on its separation energy was investigated for the first time in inverse kinematics employing a large-acceptance measurement.
Exclusive measurements of quasi-free proton scattering reactions in inverse and complete kinematics
(2015)
Quasi-free scattering reactions of the type (p, 2p)were measured for the first time exclusively in com-plete and inverse kinematics, using a 12C beam at an energy of ∼400MeV/u as a benchmark. This new technique has been developed to study the single-particle structure of exotic nuclei in experiments with radioactive-ion beams. The outgoing pair of protons and the fragments were measured simultaneously, enabling an unambiguous identification of the reaction channels and a redundant measurement of the kinematic observables. Both valence and deeply-bound nucleon orbits are probed, including those leading to unbound states of the daughter nucleus. Exclusive (p, 2p)cross sections of 15.8(18)mb, 1.9(2)mb and 1.5(2)mb to the low-lying 0p-hole states overlapping with the ground state (3/2−) and with the bound excited states of 11B at 2.125MeV (1/2−) and 5.02MeV (3/2−), respectively, were determined via γ-ray spectroscopy. Particle-unstable deep-hole states, corresponding to proton removal from the 0s-orbital, were studied via the invariant-mass technique. Cross sections and momentum distributions were ex-tracted and compared to theoretical calculations employing the eikonal formalism. The obtained results are in a good agreement with this theory and with direct-kinematics experiments. The dependence of the proton–proton scattering kinematics on the internal momentum of the struck proton and on its sep-aration energy was investigated for the first time in inverse kinematics employing a large-acceptance measurement.
Snake bite envenoming often results in disability or death of breadwinners of poor families in the rural tropics and the subtropics of Nepal. Identification of the medically relevant snake species, circumstances of venomous snake bites, prehospital care of their bites and human responses to snakes and snake bite is, therefore, crucial to enable victims or first aider to select the appropriate first aid measures, physicians to anticipate complications and to use appropriate treatment protocols as well as the local community to implement prevention strategies. Inadequate educational gaps exist in Nepal and hinder identification of snakes involved in bites. To fill this gap, I aim to provide an evidence-based list of medically relevant snake species. Snake specimens brought by patients bitten or their attendants from the tropical and subtropical regions in southeastern, southcentral, and southwestern Nepal to snake bite treatment centres over a period from 2010 through 2014, were taxonomically identified and medical records of envenoming were evaluated.
In Nepal, the epidemiology of snake bite is poorly known. Here I describe the ecological circumstances of proven krait (Bungarus spp.) and Russell´s Viper (Daboia russelii) bites to elucidate and examine, whether environmental circumstances or human behaviour contributed to envenoming. In a cross-sectional study, data about prehospital care, environmental circumstances of 46 krait and 10 Russell´s Viper bites were evaluated. Patients were interviewed using structured interview forms. Snake bite prone communities were surveyed to test people´s knowledge on snakes and their attitude towards venomous snakes in general.
Of 349 snakes involved in bites, 199 (57%) specimens were found to be medically relevant venomous snakes that included 11 species belonging to six genera and two families. Among them, Naja naja (n = 76, 22%), Bungarus caeruleus (n = 65, 19%) and Trimeresusurs albolabris (n = 10, 3%) were the most widely distributed snakes. Daboia russelii (n = 10, 3%) was found to be restricted to the southwestern part of Nepal. For B. walli, a previously poorly known species, 13 voucher specimens represent the first country records of this species as well as the first documented cases of involvement in snake bite envenoming by this species in Nepal.
Numerous snake bites (33%) occurred at night, during the rainy season, and are mainly due to Bungarus species, particularly B. caeruleus. Bites of cobras and Russell’s Vipers are a risk at daytime. Evaluation of data regarding the place where the bite happened, indicates that the snake bite risks appear to be as high in residential areas, in and around houses, as in rural areas. In cases of kraits (n = 46), 61% of the bites occurred while the victim was sleeping indoors, those of Russell´s Vipers mainly during agricultural activities in the fields. Analysis of socio-demographic data revealed that both krait and viper bites predominantly affected farmers or their family members. However, snake bites involved also people of higher socio-economic status, which suggests that it is not a health problem of poor people only living in the rural areas of Nepal.
A small number of snake bite victims (n = 7) sought help from traditional healers, but most patients went to hospitals for medical treatment using motorbikes (65%) or were transferred by ambulance cars (22%). As a first aid measure, most patients (78%) had used a tourniquet, which is of doubtful value and has often severe sequelae, instead of applying the WHO recommended pressure immobilisation bandage or local compression pad. The overall case fatality rate was calculated to be 10%, but up to 17% in cases of Bungarus spp. bites.
Rural community people were found to be extremely afraid of snakes, a major reason for indiscriminate killing of even harmless snakes, e.g., Lycodon aulicus, which were wrongly considered to be venomous. This is mainly due to the poor knowledge on snakes in general and on their role in providing ecological services, which may eventually lead to a decline in snake populations and even the extinction of rare species.
The results of the present study strongly emphasize that snake bite is an important public health issue in Nepal. There is an urgent need to improve the knowledge of people on snakes and to try changing their attitudes towards these reptiles, in addition to documenting the biodiversity and distribution of medically relevant snakes, the epidemiology and circumstances of their bites. Avoiding high-risk behaviour (e.g., killing of snakes), using screened doors and windows are some of the suggested measures preventing snake bite. Early and accurate identification of the snakes involved should help physicians to apply timely treatment, eventually referring the patient to the appropriate hospital. This also has important implications in developing public health and conservation strategies, to the benefit of the people of Nepal.
The c-MYC proto-oncogene is a regulator of fundamental cellular processes such as cell cycle progression and apoptosis. The development of novel c-MYC inhibitors that can act by targeting the c-MYC DNA G-quadruplex at the level of transcription would provide potential insight into structure-based design of small molecules and lead to a promising arena for cancer therapy. Herein we report our finding that two simple bis-triazolylcarbazole derivatives can inhibit c-MYC transcription, possibly by stabilizing the c-MYC G-quadruplex. These compounds are prepared using a facile and modular approach based on Cu(I) catalysed azide and alkyne cycloaddition. A carbazole ligand with carboxamide side chains is found to be microenvironment-sensitive and highly selective for "turn-on" detection of c-MYC quadruplex over duplex DNA. This fluorescent probe is applicable to visualize the cellular nucleus in living cells. Interestingly, the ligand binds to c-MYC in an asymmetric fashion and selects the minor-populated conformer via conformational selection.
IKKβ acts as a tumor suppressor in cancer-associated fibroblasts during intestinal tumorigenesis
(2015)
Cancer-associated fibroblasts (CAFs) comprise one of the most important cell types in the tumor microenvironment. A proinflammatory NF-κB gene signature in CAFs has been suggested to promote tumorigenesis in models of pancreatic and mammary skin cancer. Using an autochthonous model of colitis-associated cancer (CAC) and sporadic cancer, we now provide evidence for a tumor-suppressive function of IKKβ/NF-κB in CAFs. Fibroblast-restricted deletion of Ikkβ stimulates intestinal epithelial cell proliferation, suppresses tumor cell death, enhances accumulation of CD4+Foxp3+ regulatory T cells, and induces angiogenesis, ultimately promoting colonic tumor growth. In Ikkβ-deficient fibroblasts, transcription of negative regulators of TGFβ signaling, including Smad7 and Smurf1, is impaired, causing up-regulation of a TGFβ gene signature and elevated hepatocyte growth factor (HGF) secretion. Overexpression of Smad7 in Ikkβ-deficient fibroblasts prevents HGF secretion, and pharmacological inhibition of Met during the CAC model confirms that enhanced tumor promotion is dependent on HGF–Met signaling in mucosa of Ikkβ-mutant animals. Collectively, these results highlight an unexpected tumor suppressive function of IKKβ/NF-κB in CAFs linked to HGF release and raise potential concerns about the use of IKK inhibitors in colorectal cancer patients.
Single-molecule super-resolution microscopy allows imaging of fluorescently-tagged proteins in live cells with a precision well below that of the diffraction limit. Here, we demonstrate 3D sectioning with single-molecule super-resolution microscopy by making use of the fitting information that is usually discarded to reject fluorophores that emit from above or below a virtual-'light-sheet', a thin volume centred on the focal plane of the microscope. We describe an easy-to-use routine (implemented as an open-source ImageJ plug-in) to quickly analyse a calibration sample to define and use such a virtual light-sheet. In addition, the plug-in is easily usable on almost any existing 2D super-resolution instrumentation. This optical sectioning of super-resolution images is achieved by applying well-characterised width and amplitude thresholds to diffraction-limited spots that can be used to tune the thickness of the virtual light-sheet. This allows qualitative and quantitative imaging improvements: by rejecting out-of-focus fluorophores, the super-resolution image gains contrast and local features may be revealed; by retaining only fluorophores close to the focal plane, virtual-'light-sheet' single-molecule localisation microscopy improves the probability that all emitting fluorophores will be detected, fitted and quantitatively evaluated.
Prehistoric dental treatments were extremely rare, and the few documented cases are known from the Neolithic, when the adoption of early farming culture caused an increase of carious lesions. Here we report the earliest evidence of dental caries intervention on a Late Upper Palaeolithic modern human specimen (Villabruna) from a burial in Northern Italy. Using Scanning Electron Microscopy we show the presence of striations deriving from the manipulation of a large occlusal carious cavity of the lower right third molar. The striations have a "V"-shaped transverse section and several parallel micro-scratches at their base, as typically displayed by cutmarks on teeth. Based on in vitro experimental replication and a complete functional reconstruction of the Villabruna dental arches, we confirm that the identified striations and the associated extensive enamel chipping on the mesial wall of the cavity were produced ante-mortem by pointed flint tools during scratching and levering activities. The Villabruna specimen is therefore the oldest known evidence of dental caries intervention, suggesting at least some knowledge of disease treatment well before the Neolithic. This study suggests that primitive forms of carious treatment in human evolution entail an adaptation of the well-known toothpicking for levering and scratching rather than drilling practices.
A novel series of ribonucleosides of 1,2,3-triazolylbenzyl-aminophosphonates was synthesized through the Kabachnik–Fields reaction using I2 as catalyst followed by copper-catalyzed cycloaddition of the azide–alkyne reaction (CuAAC). All structures of the newly prepared compounds were characterized by 1H NMR, 13C NMR, and HRMS spectra. The structures of 2e, 2f, 3d, and 3g were further confirmed by X-ray diffraction analysis. These compounds were tested against various strains of DNA and RNA viruses; compounds 4b and 4c showed a modest inhibitory activity against respiratory syncytial virus (RSV) and compound 4h displayed modest inhibitory activity against Coxsackie virus B4.
In the title compound, C20H24N2O4, both peptide bonds adopt a trans configuration with respect to the —N—H and —C=O groups. The dihedral angle between the aromatic rings is 53.58 (4)°. The molecular conformation is stabilized by an intramolecular N—H⋯O hydrogen bond. The crystal packing is characterized by zigzag chains of N—H⋯O hydrogen-bonded molecules running along the b-axis direction.
Ausgehend von dem gesellschaftlichen Problem des Übergewichts im Kindesalter wird die besondere Bedeutung und Verantwortung des Sportunterrichts für diese Klientel herausgestellt. Dabei wird die These vertreten, dass der Sportunterricht seinem Auftrag nur dann gerecht werden kann, wenn es gelingt, auch übergewichtigen Kindern positive Erfahrungen in Bezug auf Bewegung, Spiel und Sport zu vermitteln. Im Rahmen dieses sportpädagogischen Problemfeldes wurde zunächst ein Fragebogen konzipiert und validiert, der das Wohlbefinden als Indikator für positive Erfahrungen übergewichtiger Schüler mit dem von normalgewichtigen Kindern vergleicht (n = 336). Eine anschließende qualitative Untersuchung in Form von Leitfadeninterviews (mit acht übergewichtigen/adipösen Kindern) ergänzt und konkretisiert die Ergebnisse.
Als wesentliches Resultat konnte die Erkenntnis gewonnen werden, dass das Wohlbefinden – gemessen durch ein faktorenanalytisch generiertes Modell mit den drei Faktoren „Sportunterricht/Sportlehrer“ (Faktor I), „sportliches Selbstwertgefühl“ (Faktor II) und „Mitschüler/Schulzufriedenheit“ (Faktor III) – keine signifikanten Unterschiede zwischen den Gewichtsklassen zeigt (Faktor I p = .57; Faktor II p = .04; Faktor III p = .23). Übergewichtige Schüler fühlen sich demnach nicht weniger wohl als ihre normalgewichtigen Klassenkameraden, in der Skala sportliches Selbstwertgefühl erzielten sie sogar höhere Werte (Normalgewichtige m = 2,06 ± 0,96; Übergewichtige m = 2,27 ± 0,89). Trotz dieses positiven Befundes verspüren Übergewichtige durchaus so manche Unzufriedenheit. Die Frage nach der Wichtigkeit der bzw. der Zufriedenheit mit den Komponenten Sportunterricht, eigene sportliche Leistung, Zusammenarbeit mit den Mitschülern, Figur und Sportlehrer machte deutlich, dass den Übergewichtigen Figur und sportliche Leistung sehr wichtig sind, sie jedoch nur bedingt damit zufrieden sind. Die Unterschiede in den entsprechenden Skalen erwiesen sich als hoch signifikant (Figur p = .00 d = .28; sportliche Leistung p = .01 d = .29). Die Überprüfung der Frage F1.2 hinsichtlich der geschlechtsspezifischen Unterschiede in den Aussagen zum Wohlbefinden lieferte lediglich ein signifikantes Ergebnis (p = .01) mit mittlerem Effekt (d = .48). Übergewichtige Mädchen gaben im Faktor „Mitschüler/Schulzufriedenheit“ höhere Werte an (m = 3,27 ± 0,66) als übergewichtige Jungen (m = 2,93 ± 0,75). Daraus lässt sich schließen, dass sich die weiblichen Übergewichtigen besser von ihren Mitschülern verstanden und unterstützt fühlen und sie eine allgemein größere Schulzufriedenheit verspüren als die männliche Vergleichsgruppe.
Die Auswertung in Bezug auf die Herkunft der Schüler lieferte keine signifikanten Ergebnisse. Dieser Befund deutet auf eine gelungene Integration der ausländischen Schüler hin, die aber möglicherweise aufgrund des hohen Ausländeranteils im Stadtgebiet Offenbach nicht repräsentativ ist.
Die Auswertung der Interviews zeigte, dass der positive Selbstwert auf ein hohes Maß an sozialer Anerkennung zurückzuführen ist. Entgegen zahlreichen theoretischen Vorannahmen berichtete kein Kind von anhaltenden Diskriminierungen oder Schamgefühlen aufgrund seines Gewichts. Die Bedeutung der eigenen sportlichen Leistung zeichnete sich mehrfach als Schlüsselkriterium im Umgang mit der pädagogischen Herausforderung, dem Erschaffen eines Problembewusstseins, ohne den Selbstwert und die Freude am Sporttreiben zu trüben, ab. Übergewichtige Kinder messen der Leistung einen hohen Stellenwert bei und erkennen in der Hoffnung einer möglichen Verbesserung, dass eine Reduktion des Gewichtes vorteilhaft ist.
Teil XII unserer Serie zum „Islamischen Staat“. „Die Obama Administration ist fälschlicherweise der Überzeugung, es gibt Radikale mit denen man sprechen kann, wie das Regime in Iran und Radikale, die eine Bedrohung der Welt darstellen, wie der Islamische Staat. Von dieser naiven Unterscheidung profitieren alle sunnitischen Extremisten.“ Der schiitische libanesische Politiker Ahmad El Assaad, von dem diese Zeilen stammen, ist dieser Tage wahrhaft nicht der einzige im Nahen Osten, der fast schon verzweifelt die USA vor einer weiteren Annäherung an Teheran warnt und mit Entsetzen beobachtet, wie der Iran weitgehend ungebremst im Nahen Osten expandiert...
Part II of our series on ISIS : Blogforum "Kalifat des Terrors: Interdisziplinäre Perspektiven auf den Islamischen Staat"
On Thursday January 15, only a week after the bloodyattacks in Paris by the Kouachi brothers and AmedyCoulibali, Belgium was on high alert. In a raid carriedout by police and security forces in the small villageof Verviers, two alleged terrorists were shot dead, a third suspect wasarrested. The action was part of a larger operation carried out throughout thecountry to prevent imminent attacks by a group of Islamists, some of whomwere directly tied to the war in Syria and Iraq. In the days that followed itbecame clear that the prevented attacks probably were aimed at a highranking police official. The terror threat level was subsequently raised tolevel three, indicating that the threat of attacks was imminent. What makesBelgium such a hub for Jihadis?..
Freundschaftsvorstellungen des Mittelalters und die politisch-soziale Bedeutung der Freundschaft sind keine "jungen" Gegenstände mehr: Schon in den 1990er Jahren unterstrich Gerd Althoff die Bedeutung der hochmittelalterlichen amicitiae, und seinen Pionierarbeiten folgten weitere Studien, die das Mittelalter räumlich und zeitlich recht breit erfassten. In dieser Forschungslandschaft müssen sich neue Beiträge entsprechend sorgfältig positionieren. ...
Freund und Favorit: Begriffliche Reflexionen zu zwei Bindungstypen an spätmittelalterlichen Höfen
(2015)
Am Anfang der folgenden Überlegungen steht eine Irritation: Sie resultiert aus der Bourdieu’schen Theorie von der Existenz unterschiedlicher Kapitalformen – des ökonomischen, sozialen und kulturellen Kapitals –, die im sozialen Miteinander mehr oder weniger konvertierbar sein sollten und vom Individuum zur sozialen Positionierung eingesetzt werden können. Zur Erklärung der sozialen Dynamik spätmittelalterlicher Höfe ist dieses Modell gleichermaßen einleuchtend und hilfreich. Es weist aber mindestens eine Bruchstelle auf: So gut es viele (wenn auch nicht alle) Prozesse und Strategien des Handelns im höfischen Kontext erklärt, ist die Dynamik erst einmal angelaufen, so lässt es doch die Frage nach dem Eintritt in das Spiel offen. Woher kommt das Kapital, das Bewegung über die ständige Konvertierung hinaus ermöglicht? Oder anders gefragt: Wie gelingt Neuankömmlingen der Eintritt? ...
The Federal Reserve’s muddled mandate to attain simultaneously the incompatible goals of maximum employment and price stability invites short-term-oriented discretionary policymaking inconsistent with the systematic approach needed for monetary policy to contribute best to the economy over time. Fear of liftoff—the reluctance to start the process of policy normalization after the end of a recession—serves as an example. Causes of the problem are discussed, drawing on public choice and cognitive psychology perspectives. The Federal Reserve could adopt a framework that relies on a simple policy rule subject to periodic reviews and adaptation. Replacing meeting-by-meeting discretion with a simple policy rule would eschew discretion in favor of systematic policy. Periodic review of the rule would allow the Federal Reserve the flexibility to account for and occasionally adapt to the evolving understanding of the economy. Congressional legislation could guide the Federal Reserve in this direction. However the Federal Reserve may be best placed to select the simple rule and could embrace this improvement on its own, within its current mandate, with the publication of a simple rule along the lines of its statement of longer-run goals.
Prostaglandin E2 (PGE2) favors multiple aspects of tumor development and immune evasion. Therefore, microsomal prostaglandin E synthase (mPGES-1/-2), is a potential target for cancer therapy. We explored whether inhibiting mPGES-1 in human and mouse models of breast cancer affects tumor-associated immunity. A new model of breast tumor spheroid killing by human PBMCs was developed. In this model, tumor killing required CD80 expression by tumor-associated phagocytes to trigger cytotoxic T cell activation. Pharmacological mPGES-1 inhibition increased CD80 expression, whereas addition of PGE2, a prostaglandin E2 receptor 2 (EP2) agonist, or activation of signaling downstream of EP2 reduced CD80 expression. Genetic ablation of mPGES-1 resulted in markedly reduced tumor growth in PyMT mice. Macrophages of mPGES-1-/- PyMT mice indeed expressed elevated levels of CD80 compared to their wildtype counterparts. CD80 expression in tumor-spheroid infiltrating mPGES-1-/- macrophages translated into antigen-specific cytotoxic T cell activation. In conclusion, mPGES-1 inhibition elevates CD80 expression by tumor-associated phagocytes to restrict tumor growth. We propose that mPGES-1 inhibition in combination with immune cell activation might be part of a therapeutic strategy to overcome the immunosuppressive tumor microenvironment.
Der interdisziplinäre Doktoranden-Workshop "Neue Tendenzen der Italienforschung zu Mittelalter und Renaissance" fand erstmalig vom 13. bis 15. November 2014 am Kunsthistorischen Institut in Florenz, Max-Planck-Institut, statt. Initiatoren und Organisatoren waren seitens der Geschichte INGRID BAUMGÄRTNER (Kassel) und KLAUS HERBERS (Erlangen-Nürnberg) sowie seitens der Kunstgeschichte ALESSANDRO NOVA (Florenz/Frankfurt am Main) und GERHARD WOLF (Florenz/Berlin). Ziel des gut besuchten Workshops war es, aktuelle Ansätze der Italienforschung gemeinsam zu kommentieren und kritisch zu würdigen. Nachwuchswissenschaftler/innen aus verschiedenen Disziplinen, insbesondere Geschichte, Kunstgeschichte und Philosophie, stellten ihre Projekte zur Diskussion. ...
GIUSEPPE CUSA (Frankfurt am Main) referierte über die Laiengeschichtsschreibung in der Mark Verona-Treviso am Übergang von der Kommune zur Signorie. Er fragte nach Unterschieden und Gemeinsamkeiten in den verschiedenen Städten sowie danach, welchen Berufen die geschichtsschreibenden Laien nachgingen und aus welcher Motivation heraus sie Zeitgeschichte dokumentierten. ...
Psychological ownership is a cognitive–affective construct based on individuals’ feelings of possessiveness towards and of being psychologically tied/attached to objects that are material (e.g. tools or work) and immaterial (e.g. ideas or workspace) in nature. Research suggests that psychological ownership could be influenced by various individual, organisational and contextual factors. The South African Employment Equity Act, which was implemented to grant equitable opportunities to previously disadvantaged employees, could be a significant contextual factor affecting psychological ownership, due to perceptions associated with inequality. Ethnicity may also act as a moderator for the relationship between perceptions of employment equity and psychological ownership. The objective of this study was to investigate the relationship between employment equity perceptions and psychological ownership and to explore whether ethnicity plays a moderating role in the relationship. A cross-sectional survey design was employed with a purposeful sample of 202 respondents employed in a large South African mining house. Pearson product–moment correlations and structural equation modelling confirmed that employment equity perceptions could predict the five components of psychological ownership. However, the results revealed that ethnicity has no moderating effect on the relationship between perceptions of employment equity and the emergence of psychological ownership. By implication, organisations that seek to retain employees targeted through equity initiatives need to find ways to enhance and develop the psychological ownership of these employees. The research contributes new insights into and knowledge of how contextual factors could influence employees’ psychological ownership.
Polygenic risk scores, based on risk variants identified in genome-wide-association-studies (GWAS), explain a considerable portion of the heritability for schizophrenia (SZ) and bipolar disorder (BD). However, little is known about the combined effects of these variants, although polygenic neuroimaging has developed into a powerful tool of translational neuroscience. In this study, we used genome wide significant SZ risk variants to test the predictive capacity of the polygenic model and explored potential associations with white matter volume, a key candidate in imaging phenotype for psychotic disorders.
By calculating the combined additive schizophrenia risk of seven SNPs (significant hits from a recent schizophrenia GWAS study), we show that increased additive genetic risk for SZ was associated with reduced white matter volume in a group of participants (n = 94) consisting of healthy individuals, SZ first-degree relatives, SZ patients and BD patients. This effect was also seen in a second independent sample of healthy individuals (n = 89). We suggest that a moderate portion of variance (~4%) of white matter volume can be explained by the seven hits from the recent schizophrenia GWAS.
These results provide evidence for associations between cumulative genetic risk for schizophrenia and intermediate neuroimaging phenotypes in models of psychosis. Our work contributes to a growing body of literature suggesting that polygenic risk may help to explain white matter alterations associated with familial risk for psychosis.