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The paper was submitted to the conference on company law reform at the University of Cambridge, July 4th, 2002. Since the introduction of corporation laws in the individual German states during the first half of the 19th century, Germany has repeatedly amended and reformed its company law. Such reforms and amendments were prompted in part by stock exchange fraud and the collapse of large corporations, but also by a routine adjustment of law to changing commercial and societal conditions. During the last ten years, a series of significant changes to German company law led one commentator to speak from a "company law in permanent reform". Two years ago, the German Federal Chancellor established a Regierungskommission Corporate Governance ("Government Commission on Corporate Governance") and instructed it to examine the German Corporate Governance system and German company law as a whole, and formulate recommendations for reform.
On April 24, 2001 the European Commission presented a proposal for a Directive1 introducing supplementary supervision of financial conglomerates (the Proposed Directive). The Proposed Directive requires a closer coordination among supervisory authorities of different sectors of the financial industry and leads to changes in the number of existing Directives relating to the supervision of credit institutions, insurance undertakings and investment firms.
It is an established policy in the United States to separate commercial banking (the business of taking deposits and making commercial loans) from other commercial activities. The separation of banking and commercial activities is achieved by federal and state banking laws, which enumerate the powers that banks may exercise, the activities that banks may engage in, and the investments that banks may lawfully make, and expressly exclude banks from certain activities or relationships. Some of these provisions could be circumvented if a nonbank company could carry on banking activities through a banking subsidiary and nonbanking activities either itself or through a nonbanking subsidiary.
The institutionalization and internationalization of shareholdings, the globalization of capital markets and the rapid development of information technologies have placed our corporate law system under increasing pressure to adapt to the ever changing requirements of the market. For this reason, in May 2000, the German government called together a group of industrialists, representatives of shareholder associations and institutional investors, trade unionists, politicians and scholars to form an expert Panel with the task of reviewing the German corporate governance system. This Government Panel on Corporate Governance prepared a questionnaire on key issues in the field, and solicited responses and input from numerous national and international experts and institutions. In July 2001, the Commission presented its 320 page report (available at www.ottoschmidt. de/corporate_governance.htm) to the German Chancellor. The Report made nearly 150 recommendations for amendments or changes to existing provisions of German law and also set forth proposals on how the German corporate governance system should be further developed in order to maintain a normative framework that is suitable and attractive not only for companies, but also for domestic and foreign investors. In order that the Panel s proposals may receive careful consideration from a diverse audience, it seems very useful to keep a wider public informed of the Panel s recommendations. Therefore, also on behalf of the Panel, I very much appreciate that the international law firm Shearman & Sterling has taken the initiative to have the summary of the Panel s recommendations translated into English.
The road to shareowner power
(1999)
A dramatic rise in shareowner power and improvements in corporate governance tan be achieved in the next few years by expanding the role of proxy advisory firms. This will require changing the way such firms are paid. They are now paid directly by investors who buy their advice; but this arrangement suffers from a free-rider problem. Instead, they should be paid by each corporation about which they are advising, in accordance with shareholder vote so as to preclude management influence. This arrangement would make it economically feasible for advisory firms to expand their services, becoming proactive like relational investors. Any proxy advisor other than the market leader Stands to gain tremendously by initiating this new System. lt would eliminate the natura1 monopoly feature of the current System, and spread the tost more equitably across all shareowners. lt would also enable proxy advisory ftrms to market their Services to individual investors via the internet.
Shareholder voting is back on the agenda of public debate for several reasons. One is the investors’ internationalization of capital investments and the raising of funds globally by companies. It can be predicted that considering the growing together of capital markets the trend to international investments will increase not least because the introduction of the Euro will create a uniform European stock market. This leads to the question how the law deals with this development and its problems. The EU Commission has commissioned a comparative study dealing, inter alia, with shareholders’ representation at general meetings in the EU member states.1 The aim is to simplify the operating regulations for public limited companies in the EU. Furthermore, the internationalization of shareholdings leads the investors to ask how their interests are protected abroad. Are the mechanisms of shareholder protection sufficient for foreign investors? In particular the formation of transnational companies like Daimler-Chrysler will change corporate governance systems. It remains to be seen whether and how foreign institutional investors will use measures of - in this case - German corporate law to control the management. From a microeconomic point of view the question is what specific features of a given corporate governance system might contribute to better performance of firms. The following remarks will however, be confined to one specific aspect of corporate governance only, the exercise of shareholders’ voting rights at the general meeting.
I analyze the most powerful shareholders in Germany to illustrate the concentration of control over listed corporations. Compared to other developed economies, the German stock market is dominated by large shareholders. I show that 77% of the median firm’s voting rights arecontrolled by large blockholders. This corresponds to 47% of the market value of all firms listed in Germany’s official markets. About two thirds of this amount is controlled by banks, industrial firms, holdings, and insurance companies. I show that due to current legislation it is clear for neither group who ultimate exerts control over the shareholding firm itself. For the remaining blockholders, only blocks controlled by voting pools and individuals can be traced back to the highest level of ownership. In the aggregate, both groups control only 5.6% of all reported blocks. The German government controls 8%, and it is not clear who ultimately is responsible for the consequences of decisions.
We first analyze legal provisions relating to corporate transparency in Germany. We show that despite the new securities trading law (WpHG) of 1995, the practical efficacy of disclosure regulation is very low. On the one hand, the formation of business groups involving less regulated legal forms as intermediate layers can substantially reduce transparency. On the other hand, the implementation of the law is not practical and not very effective. We illustrate these arguments using several examples of WpHG filings. To illustrate the importance of transparency, we show next that German capital markets are dominated by few large firms accounting for most of the market’s capitalization and trading volume. Moreover, the concentration of control is very high. First, 85% of all officially listed AGs have a dominant shareholder (controlling more than 25% of the voting rights). Second, few large blockholders control several deciding voting blocks in listed corporations, while the majority controls only one block.
The article describes the legal structure of the Daimler-Chrysler merger. It asks why this specific structure rather than another cheaper way was chosen. This leads to the more general question of the pros and cons of mandatory corporate law as a regulatory device. The article advocates an "optional" approach: The legislator should offer various menus or sets of binding rules among which the parties may choose. (JEL: ...)
The previous proposal for a company law directive on takeovers in 1990 was rejected in Germany almost unanimously for several different reasons. The new "slimmed down" draft proposal, in the light of the subsidiarity principle, takes the different approaches to investorprotection in the various member states better into account. Notably, the most controversial principle of the previous draft, viz. the mandatory bid rule as the only means of investorprotection in case of a change of control, has been given up. Therefore a much higher degree of acceptance seems likely. The Bundesrat (upper house) and the industry associations have already expressed their consent; the Bundestag (Federal Parliament) will deal with the proposal shortly. The technique of a "frame directive" leaves ample leeway for the member states. That will shift the discussion back to the national level and there will lead to the question as to how to make use of this leeway (cf. II, III, below) rather than to a debate about principles as in the past. It seems likely that criticism will confine itself to more technical questions (cf. IV, below).
The corporate governance systems in Europe differ markedly. Economists tend to use stylized models and distinguish between the Anglo-American, the German and the Latinist model.1 In this view, for instance, the Austrian, Dutch, German, and Swiss systems are said to be variations of one model. For lawyers the picture is of course, much more detailed as particular rules may vary even where common principles prevail. Many comparative studies on these differences have been undertaken meanwhile.2 I do not want to add another study but to treat a different question. Are there as a consequence of growing internationalization, globalization of markets and technological change, also tendencies of convergence of our corporate governance systems? My answer will be in two parts. As corporate governance systems are traditionally mainly shaped by legislation, the first part will analyze the influence of the economic and technological change on the rule-setting process itself. How does this process react to the fundamental environmental change? That includes a short analysis of the solution of centralized harmonizing of company law within the EU as well as the question of whether EU-wide competition between national corporate law legislators can be observed or be expected in the future. The second part will then turn to the national level. It deals with actual tendencies of convergence or, more correctly, of approach by the German corporate governance system to the Anglo-American one.
Universal banking means that banks are permitted to offer all of the various kinds of financial services. This includes classical banking activities like the credit and deposit business, as well as investment services, placement and brokerage of securities, and even insurance activities, trading in real estate and others. German universal banks also hold stock in nonfinancial firms and offer to vote their clients' shares in other firms. This paper deals with universal banks and their role in the investment business, more specifically, their links with investment companies and their various roles as shareholders and providers of financial services to such companies. Banks and investment companies have, as financial intermediaries, one trait in common: they both transform capital of investors (depositors and shareholders of investment funds, respectively) into funds (loans and equity or debt securities, respectively) that are channeled to other firms. So why should a regulation forbid to combine these transformation tasks in one institution or group, and why should the law not allow banks to establish investment companies and provide all kinds of financial services to them in addition to their banking services? German banking and investment company law have answered these questions in the affirmative. This paper argues that the existing regulation is not a sound and recommendable one. The paper is organized as follows: Sections II - V identify four areas where the combination of banking and investment might either harm the shareholders of the investment funds and/or negatively affect other constituencies such as the shareholders of the banking institution. These sections will at the same time explore whether there are institutional or regulatory provisions in place or market forces at work that adequately protect investors and the other constituencies in question. Concluding remarks follow (VI.).
For the German observer the idea of a Company repurchasing its own shares seems to resemble the picture of a snake eating its own tail. It appears to be highly unnatura1 and one wonders how the tail tan possibly be eatable for the snake. Not in the United States. Although repurchases have once been subject to the most stubbornly fought conflict in US Company law only some modest disclosure requirements and safeguards against overt market manipulation exist today. Large repurchases are an almost everyday event and there is an increasing tendency. The aggregate value of shares repurchased by NYSE listed companies has increased from $ 1 .l billion in 1975 to $ 6.3 billion in 1982 to $ 37.1 billion in 1985*. Few examples may illustrate this practice further: Within three years Ford Motor Corp. repurchased 30 million shares for $ 1.2 billion. In 1985 Phillips Petroleum Corp. was faced with two hostile bids and took several defensive Steps, one of which was to tender for 20 million of its own shares at a total tost of $ 1 billion. And by the end of 1988 Exxon Corp. retired 28 percent of its shares that had once been outstanding at an aggregate tost of $ 14.5 billion. The Situation in Germany is completely different. As it will be shown under German law repurchases are severely restricted and do appreciable amount at all. not take place at an In contrast to German law the United Kingdom does not prohibit repurchases but requires companies to comply with such complex rules that US companies would regard simply as limiting their economic freedom. Therefore UK companies very seldom repurchase their own shares, too. This Paper deals with repurchases by quoted companies, in particular the UK public Company and the more or less German equivalent, the Aktiengesellschaft (AG). It seeks to ascertain the reasons why companies might want to engage in those activities. Moreover, it tries to analyse the Problems which may arise from repurchases and the safeguards which the UK and German legal Systems provide for these Problems.This Paper deals with repurchases by quoted companies, in particular the UK public Company and the more or less German equivalent, the Aktiengesellschaft (AG). It seeks to ascertain the reasons why companies might want to engage in those activities. Moreover, it tries to analyse the Problems which may arise from repurchases and the safeguards which the UK and German legal Systems provide for these Problems.
Until the late 1980s, asset securitisation was an US-American finance technique. Meanwhile this technique has been used also in some European countries, although to a much lesser extent. While some of them have adopted or developed their legal and regulatory framework, others remain on earlier stages. That may be because of the lack of economic incentives, but also because of remaining regulatory or legal impediments. The following overview deals with the legal and regulatory environment in five selected European countries. It is structured as follows: First, this finance technique will be described in outline to the benefit of the reader who might not be familiar with it. A further part will report the recent development and the underlying economic reasons that drive this development. The main part will then deal with international aspects and give an overview of some legal and regulatory issues in five European legislations. Tax and accounting questions are, however, excluded. Concluding remarks follow.
The following descriptive overview of the German corporate governance system and the current debate is structured as follows. Part II will give some information on the empirical background. Part III will describe the formal legal setting as well as actual practices in some key areas. Part IV will then deal with some issues of the current debate.
In my following remarks I will focus on a differente which we find in German law as well as in other legislations, the differente b e t w e e n entrepreneurial investments among firms and merely financial investments. Whereas OUT law of groups of companies o f Konzernrecht contains quite an elaborated set of rules, the rules governing financial investments, especially Cross-border financial investments, seems to be somewhat underdeveloped.
In early 1991 the United States Treasury Department of the Bush Administration recommended in ib proposal for Modemizing The FinancialSystem l that, in addition to other remarkable breaks with the traditional United States financial Services framework, the current bank holding Company structure be replaced with a new financial Services holding Company that would reward banks with the ability to engage in a broad new range of financial activities through separate afbliates, including full-service securities, insurance, and mutual fund activities. The Treaaury Department pointed out that commercial banking and investment banking are complementary Services and that the Glass-Steagall Separation was unnecessary. The Treasury Department gave many reasons for the need for financial modernization and why such a modemized System would work better. As an example that demonstrates the advantages of the System proposed by the Treasury Department, the proposal pointed to the German banks and called the German model of a universal banking System the most liberal banking System in the world. -What makes the German universal banking System so unique and desirable? The following outline of the history and the current structure of the Getman banking System is intended to give readers a background tc determine whether the German banking System could be a model for the System of the future.
The task of this Paper as originally described in the outline of the current project was to compare the German banking System, as one type of relationship banking , with the Japanese main bank System. This was, of course, not simply meant in the sense of a mere description and comparison of different institutions. A meaningful contribution rather has to look at the functions of a given banking System as a provider of capital or other financial Services to their client firms, has to ask in what respect the one or the other System might be superior or less efficient, and has to analyze the reasons for this. Such a thorough analysis would have to answer questions like, for instance, to what extent investment is financed by (lang or short term-)bank loans, whether German banks have, because of specific institutional arrangements like own equity holdings, seats on Company boards or other links with their borrowers, informational or other advantages that make bank finance eheaper or easier available; how such banks behave with respect to financial distress and bankruptcy of their client firms, and what their exact role in corporate governance is. While preparing this Paper I found that in Order to give reliable answers to these questions there had to be several other conferences comparable to the present one that had to focus exclusively on our domestic System. Hence what this Paper only tan provide for at this moment is a short overview of the German banking System and its special t r a i t s ( Universalbankensystem and Group Banking ; part I), describe and analyse some aspects of bank lending to firms (Part II), and the role of German banks as delegated monitors in widely held firms (Part Ill). A description of the historical development of the specific links between banks and industry and their impact on the economic growth of Germany during the period of the industrialization and later on would be specifically interesting within the framework of a Conference that discusses the lessons and relevante of banking Systems for developing market economies and for transforming socialist economies. However, historical remarks had to be omitted completely, not least because of lack of own knowledge, time and space, but also because this history is already well documented and available in English publications, too.
Other than in Belgium, German banks may hold even controlling equity participations in industrial firms (and such firms may own banks) and do so to a large extent. Vis-a-vis the European development this leads to two questions: From the perspective of the (Belgian and other) competitors of these banks, whether their own domestic System might be disadvantageous to them. And from a public interest perspective, which advantages and drawbacks are connected with the different regulations in Europe. The article first informs about the legal framework and some statistical facts. Then the various and different reasons why banks acquire and hold shares on own account are analyzed. The following Parts deal with the various public policy arguments whether equity links between banks and industrial firms should be prohibited or not (safety and soundness of banking; autonomie de Ia fonction bancaire ; abuse of confidential information and conflicts of interest; antitrust considerations; negative and positive impacts on the respective firm). In its last part the article deals with recent proposals in the German political debate to limit stockholdings of banks. The article argues that a step-by-step approach to the Single Problems and issues (conflict of interests; anticompetitive effects etc.) should be preferred to a general limitation of stock ownership of banks.
The corporate governance Systems in the U.K. and in Germany differ markedly. German large firms have a two-board structure, they are subject to employee codetermination, their managements are not confronted with public hostile takeover bids, and banks play a major role in corporate governance, through equity stakes, through proxies given to them by small investors, and through bankers positions on the supervisory boards of these firms. One of the main issues of corporate governance in large firms, the Problem of shareholders passivity in monitoring management in Berle-Means type corporations, is thus addressed by an institutional Provision, the role of the banks, rather than by a market-oriented Solution as we find it in the U.K. with its market for corporate control through the threat of hostile takeovers. These two different approaches to corporate governance have been compared several times recently, and it was argued that a bank-based or institutional Solution has clear advantages and should be preferred. Cosh, Hughes and Singh, for example, argue at the conclusion of their discussion of takeovers and short-termism in the U.K. that the institutional shareholder [in the UK] should take a much more active and vigorous part in the internal governance of corporations. . . . In Order for such a proposal to be effective both in disciplining inefficient managements and promoting long-term investments, far reaching changes in the internal workings and behaviour of the financial institutions would be required. The financial institutions would need to pool their resources together, set up specialised departments for promoting investment and innovations - in other words behave like German banks. The following remarks seek to continue this discussion from the German perspective. The article will first attempt to evaluate the monitoring potential of our domestic bank or institution-oriented corporate governance System and then, in a further patt, compare it with that of a market-oriented Solution. lt will be argued that both Systems focus on different Problems and have specific advantages and drawbacks, and that there are still quite a few puzzles to be solved until all pros and cons of each of these monitoring devices tan be assessed. The perception that both Systems focus on different Problems suggests combining institutional monitoring with a market for corporate control rather than considering them to be contrasting and incompatible approaches. The article is organized as follows. Section II will describe the legal structure of the large corporation in Germany in more detail. Section Ill explains why a market for corporate control by the threat of public hostile takeover bids does not exist in Germany. Section IV then Shows how corporate governance in publicly held corporations with small investors is organized instead, and deals with the role of banks in corporate governance in these firms. Section V of the atticle then will try to compare the monitoring potential of a marketoriented and our bank or institution-oriented corporate governance System. Concluding remarks follow.
The hypothesis that oxidative stress plays a role in the pathogenesis of Alzheimer’s disease (AD) was tested by studying oxidative damage, acitvities of antioxidant enzymes and levels of reactive oxygen species (ROS) in several models. To this end, mouse models transgenic for mutant presenilin (PS1M146L) as well as mutant amyloid precursor protein (APP) and human post mortem brain tissue from sporadic AD patients and age-matched controls were studied. Aging leads to an upregulation of antioxidant enzyme activities of Cu/Zn-superoxide dismutase (Cu/Zn-SOD), glutathione peroxidase (GPx) and glutathione reductase (GR) in brains from C57BL/6J mice. Simultaneously, levels of lipid peroxidation products malondialdehyde MDA and 4-hydroxynonenal HNE were reduced. Additionally, pronounced gender effects were observed, as female mice display better protection against oxidative damage due to higher activity of GPx. Hence, antioxidant enzymes provide an important contribution to the protection against oxidative damage. In PS1M146L transgenic mice oxidative damage was only detectable in 19-22 months old mice, arguing for an additive effect of aging and the PS1 mutation. Both HNE levels in brain tissue as well as mitochondrial and cytosolic levels of ROS in splenic lymphocytes were increased in PS1M146L mice. Antioxidant defences were unaltered. In PDGF-APP and PDGF-APP/PS1 trangenic mice no changes in any of the parameters studied were observed in any age group. In contrast, Thy1-APP transgenic mice display oxidative damage as assessed by increased HNE levels. Reduced activity of Cu/Zn-SOD may explain this observation. Additionally, gender modified this effect, as female APP transgenic mice display higher b-secretase cleavage of APP and simultaneously increased HNE levels and reduced Cu/Zn-SOD activity earlier than male mice, i.e. from an age of 3 months and before the formation of Ab plaques. Reduced Cu/Zn-SOD activity was also found in another APP transgenic mouse model, in APP23 mice. In post mortem brain tissue from sporadic AD patients activities of Cu/Zn-SOD and GPx were however increased, and changes were most pronounced in temporal cortex. Simultaneously, levels of HNE but not MDA were elevated. Additionally, in vitro stimulation of lipid peroxidation led to increased MDA formation in samples from AD patients, indicating that increased activity of Cu/Zn-SOD and GPx are insufficient to protect against oxidative damage. Furthermore, the observed changes were subject to a gender effect, as samples from female AD patients showed increased activities of Cu/Zn-SOD and GPx as well as increased HNE levels, indicating that brain tissue from females is more sensitive towards oxidative damage. Levels of soluble Ab1-40 were positively correlated with with MDA levels and activities of Cu/Zn-SOD and GPx. Additionally, levels of lipid peroxidation products MDA and HNE are gene-dose-dependently modulated by the Apolipoprotein E4 allele, the most important genetic risk factor for AD known so far. While MDA levels were negatively correlated with MMSE scores, a measure for cognitive function, HNE levels were highest in AD patients with moderate cognitive impairment. Hence, increased HNE levels may play an important role in neurodegenerative events at an early disease stage. In summary, oxidative damage, as assessed by increased HNE levels, could be detected in sporadic AD patients and in different transgenic mouse models. The results of this thesis therefore support the further research of pharmacological targets aiming at augmentation of antioxidant defences for therapy or prophylaxis of Alzheimer’s disease.
The cytochrome bc1 complex is a cornerstone in bioenergetic electron transfer chains, where it carries out tasks as diverse as respiration, photosynthesis, and nitrogen fixation. This homodimeric multisubunit membrane protein has been studied extensively for several decades and the enzyme mechanism is described with the modified protonmotive Q cycle. Still, the molecular and kinetic description of the catalytic cycle is not complete and questions remain regarding the bifurcation of electron transfer at the quinol oxidation (Qo) site, substrate occupancy, pathways of proton conduction, and the nature of the Rieske protein domain movement. We used competitive inhibitors to study the molecular architecture at the Qo site with X-ray crystallography. The structure of the enzyme with the substrate analog 5-n-heptyl-6-hydroxy-4,7-dioxobenzothiazole (HHDBT) bound at the Qo site was determined at 2.5 Å resolution. Spectroscopic studies showed that HHDBT is negatively charged when bound at the active site. Mechanistic interpretations from inhibitor binding are in line with single occupancy model for quinol oxidation and structural analysis supports the proposed proton transfer pathway. For functional insight into the enzyme mechanism, redox-sensitive protonation changes were studied by Fourier transform infrared spectroscopy. The protein purification procedure was optimized for less delipidation and the isolated enzyme was more active. Furthermore, two new phospholipids were identified in the X-ray structures, including a cardiolipin. Strikingly, conserved lipid binding cavities were observed in structural comparison with homologous enzymes. The functional role of tightly bound phospholipids will be discussed. Finally, the Qo site is a target for various compounds of agricultural and pharmaceutical importance. Importantly, the X-ray structures permit detailed analysis of the molecular reasons for acquired resistance to and treatment failure of Qo site inhibitors, such as atovaquone, that is used to treat malaria and pneumonia, as discussed herein.
The cytochrome bc1 complex or ubiquinol:cytochrome c oxidoreductase (QCR) catalyses electron transfer from ubiquinol to cytochrome c in respiration and photosynthesis coupled to a vectorial proton transport across the membrane, in which the enzyme resides. In both bacteria and eukaryotic organisms, QCR participates in supramolecular assembly of membrane proteins that comprise the respiratory or photosynthetic chain. In the present work, proton transfer pathways, substrate binding and the supramolecular assembly of the respiratory chain in yeast were probed by structure-based site-directed mutagenesis and characterization of the variants. Both active sites centre P, the place of quinol oxidation, and centre N, where quinone reduction takes place, lack direct access to the bulk solvent necessary for proton release and uptake. Based on the X-ray structure, proton transfer pathways were postulated. Analysis at centre P showed, that E272 and Y132 of cytochrome b are important for QCR catalysis as indicated by increased superoxide production and lowered Cyc1p reductase activity in these variants. Pre-steady state heme reduction kinetics in combination with stigmatellin resistance indicated that charge and length of the side chain at position 272 are crucial for efficient docking of the ISP to form the enzyme substrate complex and for electron bifurcation at centre P. Variants of Y312 and F129, both residues of cytochrome b, showed an increased Km indicating participation of these residues in coordination of ubiquinol or the possible intermediate semiquinone anion radical. F129 proved to be crucial for a functional Q-cycle as indicated by respiratory negative growth phenotype and a lowered H+/e- stoichiometry of F129 variants. At centre N, the postulated CL/K and E/R proton transfer pathways are located at opposite sites of the bound ubiquinone. Variants in the surface residues R218 (cytochrome b) and E52 (Qcr7) of the E/R pathway and E82 (Qcr7) of the CL/K pathway showed instability upon purification indicating an important role of these residues for QCR integrity. The slowed down centre N reduction kinetics in H85 (CL/K), R218 and N208 (both E/R) variant was attributed to a destabilised semiquinone anion consistent with the observed decreased sensitivity towards the site-specific inhibitor antimycin and an increased Km. Variants of residues of both pathway, E82Q and R218M, exhibited a decreased H+/e- stoichiometry indicating a crucial role of both residue for maintaining a working Q-cycle and supporting the proposed protonation of the substrate via the Cl/K and the E/R pathway. Long-range interaction between centre N and centre P were observed by altered reduction kinetics of the high potential chain and increased superoxide production in the centre N variants. The role of the cation-pi-interaction between F230 of Cyt1p and R19 of cytochrome c in binding of the redox carrier to QCR was analysed. In F230L hydrophobic interaction were partially lost as was deduced from the ionic strength dependence of Cyc1p reductase activity and Cycp1 binding, as detected by ionic strength sensitive Kd and Km for Cyc1p. The decreased enzymatic rate of F230W could be explained by a disturbed binding of Cyc1p to the variant enzyme. F230 may influence the heme mid point potential and thereby the electron transfer rate to Cyc1p. Reduction of Cobp via both centre P and centre N was disturbed suggesting an interaction between high and low potential chain. Supramolecular association between QCR and cytochrome c oxidase (COX) in yeast mitochondria was probed by affinity chromatography of a his-tagged QCR in the presence of the mild detergent digitonin. In comparison to purification with laurylmaltoside, the presence of both QCR and COX subunits was detected in the elution fractions by SDS-PAGE, Cyc1p reductase and TMPD oxidase activity assays and immunoblot analysis. The CL-dependent formation of the supercomplex between QCR and COX was analysed by replacement variants in the CL-binding site of QCR in CL containing and CL free environment. With an increasing number of replacements of the three lysines the CL-binding pocket supercomplex formation was not abolished, when CL is present as shown by BN-PAGE analysis. This was supported by the synergetic decrease in enzyme activity for both enzymes upon increased number of replacements. In the CL-free environment, no supracomplex formation was observed for a wildtype CL binding site. By replacements of two lysines in the CL-binding pocket, supercomplex formation could be recovered as revealed by BN-PAGE. This indicates, that CL may serve as a charge neutralizer for the lysines near the presumed interaction domain between complex III and complex IV. The obtained results for centre P provide new information of residues critical for stabilisation of ubiquinol and controlling electron short circuit reactions. The observations for centre N variants clearly support the proposed two proton transfer pathways and the role of the bound phospholipids in centre N kinetics. Variants in the Cyc1p binding site suggest a role for F230 both in Cyc1p binding and electron transfer. Clear interaction between the high and low potential chain in both Cyt1p and centre N variants strongly support long-range interactions in the complex. Studies on the supramolecular association of complex III and complex IV indicate a new role of Cl in stabilising a supracomplex.
The enzyme quinol:fumarate reductase (QFR) from the anaerobic e-proteobacterium Wolinella succinogenes is part of the anaerobic respiratory system of this organism. It couples the reduction of fumarate to succinate to the oxidation of menaquinol to menaquinone. W. succinogenes uses fumarate as terminal electron acceptor and can use various substrates (e.g., formate or molecular hydrogen) as electron donors. The concerted catalytic substrate turnover of either a hydrogenase or a formate dehydrogenase in conjunction with QFR contributes to the generation of an electrochemical potential gradient across the bacterial plasma membrane, which is used for the phosphorylation of ADP with inorganic phosphate, Pi, to ATP. In addition to an FAD (in subunit A) and three iron-sulfur clusters (in subunit B), QFR binds a low- and a high-potential heme b group in its transmembrane subunit C, as was ultimately shown in the crystal structure at 2.2 Å resolution (Lancaster et al., 1999, Nature 402, 377– 385). Both hemes are part of the electron transport chain between the two catalytic sites of this redox enzyme. The midpoint potentials of the hemes are well established but their assignment to the distal and proximal positions in the structure had not yet been determined. Furthermore, QFR from W. succinogenes has been proposed to exhibit a novel coupling mechanism of transmembrane electron and proton transfer, which has been described in the so-called “E-pathway” hypothesis (Lancaster, 2002, Biochim. Biophys. Acta 1565, 215–231). The aim of this project was to characterize the relationship between structure and function of QFR and to investigate the details of the proposed coupling mechanism (“Epathway”) with the help of computer-based electrostatic calculations on the QFR wild-type (WT) coordinates, and electrochemically induced FTIR and VIS difference spectroscopy on the QFR WT and available variant enzymes (in particular enzyme variant E180Q, in which the glutamic acid at position C180 has been replaced by a glutamine). 1.) It was demonstrated in this study that the diheme-containing QFR exhibits stable and reproducible electrochemically induced FTIR difference bands in the midinfrared range from 1800 cm-1 to 1000 cm-1 that reflect transitions from the reduced to the oxidized state of the enzyme. The spectral features that were observed in the FTIR difference spectra are fully reversible when changing from a reductive to an oxidative reference potential at the working electrode and vice versa. This indicates that the underlying redox reactions of the enzyme at the gold grid working electrode are also fully reversible under the applied experimental conditions. The same reversible spectral redox behavior in the visible range could also be ascertained for the Soret- and a-band of the two heme b groups of QFR. This behavior allowed to reliably determine the heme b midpoint potentials of QFR at various pH values. Analysis of the FTIR difference spectra in the amide I range yields evidence for structural reorganizations of the polypeptide backbone upon the electrochemically induced redox reaction. 2.) The redox titrations of the high- and low-potential heme b of QFR as simulated by multiconformation continuum electrostatics (MCCE) calculations showed a very high level of agreement with respect to the experimentally observed midpoint potentials of the heme b groups at pH 7. As determined with the help of the theoretical calculations, prominent features governing the differences in redox potential between the two hemes are the higher loss of reaction field energy for the proximal heme and the stronger destabilization of the oxidized form of the proximal heme due to several buried and ionized Arg and Lys residues. The explicit incorporation of crystallographically identified water molecules in the calculations had a noticeable effect on the absolute values of the determined midpoint potentials, although the relative difference of the two obtained midpoints did not change significantly. The results of the electrostatic calculations clearly showed that the lowpotential heme corresponds to the distal position bD in the structure, and that the high-potential heme is identical to the proximal heme bP. This assignment could previously not be achieved unequivocally with experimental methods. 3.) In addition, the currently discussed mechanism of coupled electron and proton transfer in the QFR of W. succinogenes (i.e., the “E-pathway” hypothesis) is further supported by the results of this study. The simulations of intermediate states of electron transfer via the heme b groups show that the protonation state of the key amino acid residue Glu C180 depends on the redox states of the heme groups as suggested in the “E-pathway” hypothesis. This result yields a possible mechanism for the coupling of transient transmembrane proton transfer via Glu C180 to the electron transfer via the heme b groups, since Glu C180 could be part of a “proton wire” and its redox-dependent protonation state could serve as the regulatory element of the “E-pathway”. Furthermore, the results of simulated heme reduction indicate that the side chain of Glu C180 also changes its conformation with respect to the redox state of the hemes. Both major results concerning the role of Glu C180, the change of protonation as well as the reorientation of the side chain upon reduction of the heme groups, are consistent with the results from electrochemically induced FTIR difference spectroscopy: Of particular interest was the spectral range above 1710 cm-1, where C=O stretching vibrations of protonated COOH carboxyl groups absorb, because those groups can act as proton donors, respectively acceptors, and can be involved in intra-protein proton transfer reactions. It was possible to observe signals of such protonated carboxyl groups originating from QFR enzyme, which either change their protonation state and/or experience an environmental change in the course of the induced redox reaction. This finding was supported by the fact that the relevant FTIR difference signals are sensitive to an isotopic hydrogen/deuterium (1H/2H) exchange via the buffer solution, since they were shifted towards lower wavenumbers in D2O. Furthermore, it could be shown with the help of site-directed mutagenesis that the acidic residue Glu C180, which is located in the membranespanning, diheme-containing subunit C of QFR, is contributing to the redox dependent signal of protonated carboxyl groups. The observed residual signal in the FTIR double-difference spectrum of QFR wild-type and enzyme variant E180Q (Glu C180 has been replaced with a Gln residue) could be interpreted as a protonation/deprotonation event that is superimposed by an environmental effect on the specific C=O vibration. This result strongly supports the proposed “E-pathway” of coupled transmembrane electron and proton transfer in the QFR enzyme, which states that residue Glu C180 is an essential constituent of a transient redox-controlled transmembrane proton transfer pathway. 4.) As a second possible constituent of the suggested “E-pathway”, the ring C propionate of the distal heme was found to be unusually fully protonated in all simulated redox states, indicating a possible role as a transient proton donor/acceptor in the “E-pathway”. Similarly to Glu C180, experimental evidence from FTIR difference spectroscopy on a modified QFR with 13C-labeled heme propionates was obtained, which indicates an involvement of at least one of the two propionates of heme bD in proton transfer. The observed signals can tentatively be interpreted as a redox-coupled (de)protonation of the ring C propionate of bD, which is possibly xiii superimposed by a conformational or environmental change of the specific propionate. 5.) Also the observation of a strong redox Bohr effect for both heme b groups in QFR is in line with the proposed “E-pathway” hypothesis, as this effect yields a possible and well-established mechanism for the coupling of proton transfer and redox changes of the heme groups. The comparison of the observed effect in QFR WT and E180Q together with the results from FTIR spectroscopy and MCCE calculation indicate that the ring C propionate of the distal heme is dominating the pHdependence of the midpoint potential of bD, and that the corresponding group for bP is Glu C180. The origin of the redox Bohr effect for bP in the enzyme variant E180Q (which is dramatically changed with respect to the WT) could not be identified unequivocally, but the observation of this redox Bohr effect in the variant implies the presence of other protolytic groups, which interact with heme bP and which may be necessary for a functional “E-pathway”.
Die vorliegende Arbeit soll einen Beitrag zur Erforschung der Verarbeitungsmechanismen des Gehirns leisten. Die Erregung des komplexen Systems "Hirn" liefert Antworten, deren Analyse zu einem besseren Verständnis dieser Informationsverarbeitung führt. Zu diesem Zweck wurde das Gehirn mit unterschiedlichen visuellen Stimuli angeregt und die hirnelektrischen Signale gemessen, die von Nervenzellgruppen (Multiunits) im visuellen Kortex der Katze ausgesandt wurden.Die verwendeten Stimuli waren ein Streifenmuster sowie eine Zufallspunktverteilung, deren Kohärenz beliebig geändert werden konnte. Darüber hinaus wurden die Antworten auf eine Vielzahl von Stimuli analysiert, die nur aufgrund des Bewegungskontrastes zwischen punktdefiniertem Objekt und Hintergrund zu erkennen sind (Shape-from-Motion- (SFM-) Stimuli). Die aufgenommenen Daten wurden mit Hilfe einer umfangreichen Signalanalyse untersucht. So wurden in Abhängigkeit von der Stimulusbedingung die Anzahl der Nervenimpulse pro Zeiteinheit (Feuerraten), Synchronisation, Frequenzverteilung sowie Kopplung von Aktionspotenzialen und LFPDaten analysiert. Die Experimente im ersten Teil dieser Arbeit untersuchten den Einfluss von Kohärenz auf die Verarbeitung von Bewegungsinformation im primären visuellen Areal (A17) und im posteromedialen lateralen suprasylvischen Sulcus (Area PMLS) der Katze. Es konnte gezeigt werden, dass Multiunits in A17 und PMLS sowohl auf Streifenmuster als auch auf Zufallspunktverteilungen antworten und dass die Stärke der Antwort als eine Funktion der Stimulusrichtung variiert. Die Vorzugsrichtung ist in beiden Arealen weitgehend unabhängig von der Art des verwendeten Stimulus, was darauf hindeutet, dass die Stimulusrichtung für Streifenmuster und Zufallspunktmuster in diesen Arealen durch einen einheitlichen Mechanismus bestimmt wird. Bei einer Abnahme der Stimuluskohärenz zeigen die Multiunits eine Abnahme der Feuerrate, wobei im Vergleich zu PMLS in A17 eine stärkere Abnahme der Kohärenz nötig ist, um die gleiche Abnahme der Feuerrate zu erreichen. Dieses Ergebnis konnte durch die unterschiedlichen Größen der rezeptiven Felder der beiden Areale erklärt werden und ist ein weiterer Hinweis darauf, dass eine wichtige Funktion von PMLS in der Analyse von Bewegung und räumlich verteilter Information liegt. Da beide Areale keine signifikante Änderungen der Feuerrate bei Inkohärenzniveaus von mehr als 50% zeigten, scheinen sie nicht in der Lage zu sein, die Bewegungsrichtung eines inkohärenten Zufallspunktmusters nahe der psychophysischen Detektionsschwelle von 95% auf der Basis von Feuerraten zu erkennen. Die Korrelation der Aktionspotenziale unterschiedlicher Multiunits zeigte bereits bei einer geringen Abnahme der Stimuluskohärenz eine monotone Verbreiterung des zentralen Maximums in den Korrelogrammen beider Areale. Die Stärke der Synchronisation hingegen war kaum beeinflusst. Darüberhinaus kam es zu einer Verschiebung der Leistung im lokalen Feldpotential (LFP) von hohen hin zu niedrigen Frequenzbereichen. Diese Verschiebung wurde auch für die Kopplung zwischen LFP und Akvi tionspotenzialen nachgewiesen. Diese Resultate unterstützen die Theorie, dass präzise Synchronisation und hochfrequente Oszillationen ein Mechanismus für die Bindung kohärenter Objekte sind. Sie zeigen darüber hinaus, dass Synchronisation auch nicht kohärente Stimuli binden kann und dass die Verschiebung im LFP hin zu niedrigeren Frequenzen wichtig für die Integration verteilter Information über einen größeren visuellen Raum sein kann. Da bei hohen Inkohärenzniveaus keine präzise Synchronisation mehr nachgewiesen werden konnte, kann jedoch auch die Synchronisation nicht als alleiniger Mechanismus zum Erkennen einer Bewegungsrichtung eines inkohärenten Zufallspunktmusters herangezogen werden. In den Experimenten im zweiten Teil dieser Arbeit wurde untersucht, wie das Gehirn SFM-Stimuli verarbeitet. Die Auswertungen der Feuerraten haben gezeigt, dass Multiunits in PMLS sowohl auf helligkeitsdefinierte Kontrastbalken als auch auf SFM-Balken reagieren. Die Stärke der Antwort hängt von der Kombination von Stimulus und Hintergrund und von der relativen Bewegungsrichtung zueinander ab. Während ähnliche Feuerraten für Balken mit hohem Kontrast relativ zum Hintergrund und für punktdefinierte Balken gefunden wurde, die sich über einen dunklen Hintergrund bewegten, führte ein statischer Zufallspunkthintergrund zu einer starken Abnahme der von dem SFM-Balken hervorgerufenen Antwort. Ein in die Gegenrichtung bewegter Hintergrund sowie ein reduziertes Kohärenzniveau des Zufallspunkthintergrundes führten dazu, dass die Multiunits auf den SFM- Balken nicht mehr mit einer Zunahme der Feuerraten reagierten. Um die hemmende Wirkung des Hintergrundes aufzuheben, musste der Hintergrund auf einer Fläche des visuellen Feldes, die der Größe des rezeptiven Feldes entsprach, abgedeckt werden. Dieses Ergebnis zeigt, dass die Feuerraten für diese Art Stimulus nicht wesentlich von Arealen außerhalb des rezeptiven Feldes beeinflusst werden. Zur weiteren Analyse der Fähigkeit von PMLS, SFM-Balken nur aufgrund des Bewegungskontrastes zwischen punktdefiniertem Objekt und Hintergrund zu erkennen, wurde mit Hilfe von zwei Tuningkurven-Stimuli, bei denen sich die Bewegungsrichtung der Punkte innerhalb des Balkens um 90° unterschied, die Vorzugsrichtung der Multiunits bestimmt. Die Auswertung ergab, dass sich die gemessene Vorzugsrichtung der Multiunit um 45° drehte, obwohl sich die Bewegungsrichtung des Balkens selbst nicht änderte. Darüber hinaus wurden verschiedene SFM-Stimuli untersucht, die alle dieselbe Bewegungsrichtung des Balkens, jedoch unterschiedliche Bewegungsrichtungen der Punkte innerhalb des Balkens aufwiesen. Wenn PMLS die Bewegung des SFM-Objekts statt der Bewegung der einzelnen Punkte verarbeitet, sollte die Feuerrate für alle diese Bedingungen identisch sein. Die Ergebnisse zeigen jedoch, dass sich die durch die verschiedenen SFM-Stimuli hervorgerufenen Feuerraten verringerten, je weiter sich die Punkte, die den Balken bildeten, von der Bewegungsrichtung des Balkens – und damit von der Vorzugsrichtung der Multiunit – weg bewegten. Durch dieses Ergebnis konnte gezeigt werden, dass Multiunits in PMLS nicht in der Lage sind, die Richtung von kinetisch definierten Balken zu analysieren und statt dessen nur die Bewegung der einzelnen Komponenten erfassen.
Proton-translocating NADH:ubiquinone oxidoreductase (complex I) transports two electrons from NADH to membranal ubiquinone: in this process protons are translocated across the membrane, producing 40% of the total proton gradient between matrix side and intermembrane space. Mitochondrial complex I contains at least 46 subunits in mammals, and has a molecular weight of around 1000 kDa. Electronic microscopy analysis showed that complex I has an L-form, which consists of two domains: a peripheral “arm” (hydrophilic domain) and a membrane “arm” (hydrophobic domain). The peripheral domain, which protrudes into the matrix, contains one non-covalently bound flavin mononucleotide (FMN) and the iron-sulfur clusters N1a, N1b, N2, N3, N4 and N5 as redox active groups. They transport electrons from NADH to ubiquinone. Cluster N2 is supposed to be the immediate electron donor to ubiquinone by virtue of its highest and pH dependent redox midpoint potential (Em,7 –150 mV). The exact location of the tetra-nuclear cluster N2 is still object of discussion. The TYKY and the PSST subunits contain three binding motifs for tetranuclear clusters which are formed by twelve cysteins. In an effort to investigate the “ubiquinone reduction module” of complex I, in the first part of this work site directed mutagenesis of the TYKY and PSST subunits has been carried out. Mutant strains were characterised in terms of complex I content, catalytic activity and EPR signature of cluster N2. The second part of this work was aimed at developing a substrate inducible version of the internal alternative NADH:ubiquinone oxidoreductase (NDH2i). A substrate inducible NDH2i is expected to offer a “switch” between complex I activity dependent (no NDH2i activity) and independent (NDH2i activity) cell growth, by changing between activating and non-activating substrates. This strategy would allow the screening for two types of complex I mutants, which is a prerequisite for realising a random PCR mutagenesis of single subunits of complex I, that allows the production of a high number of point mutations in relatively short time. Y. lipolytica complex I deficiency mutant strains could be easily identified, by virtue of their inability to survive under complex I dependent growth conditions (no NDH2i activity). By this way, amino acids that have an important role for complex I structure or function could be identified by subsequent sequence analysis. Each of the twelve cysteines that form the above mentioned three binding motifs for iron-sulfur cluster have been mutagenised. In mutant mitochondrial membranes, no assembled complex I could be detected. From these data one may conclude that the mutagenised 6 SUMMARY 92 cysteines play an important role for complex I stability, or that are a prerequisite for complex I assembly in Y. lipolytica, but there is not direct evidence indicating that any of the four mutagenised residues acts as a ligand. Two aspartates in the PSST subunit, Asp-99 and Asp-115, were found to be essential for complex I catalytic activity. EPR spectroscopic analysis indicated that the electron transfer to N2 cluster was not blocked and implied that this was not the reason for the loss of catalytic activity. From these data it can be concluded that D99 and D115 play a vital role for complex I NADH:ubiquinone reductase activity, but are not ligands for cluster N2 and that their position is not close enough to the cluster to influence directly its electromagnetic environment. Three mutations, identified in the PSST and TYKY homologous subunits of patients affected with Leigh syndrome (V119M in PSST, P78L and R101H in TYKY) were reconstructed in the obligate aerobic yeast Y. lipolytica. This approach may help to understand the aetiology of the Leigh syndrome, in terms of the ability of complex I to oxidize NADH and to transport electrons. In fact, all three mutations showed effects on electron transport, reducing the VMax by about 50%. Mutant V119M in the PSST subunit, which had a lethal effect in two patients that were homozygous for this mutation, affects a fully conserved residue. Overall, the results from site directed mutagenesis carried out so far support the theory that the “catalytic core ” (N2 cluster and quinone binding site) of complex I has been evolved from the electron transfer module of the [Ni-Fe] hydrogenases. In fact, mutagenesis of residues that are fully conserved between complex I and [Ni-Fe] hydrogenases, showed dramatic effects on complex I in terms of assembly (cysteine mutants) or catalytic activity (D99-D115). Differently, changing aspartate 174 and glutamic acid 185 (not fully conserved, Fig 4.1A) had little or no effect on the Michaelis-Menten parameters and N2 EPR signal. In recent years Y. lipolytica has been developed as a yeast genetic system to study mitochondrial complex I. The present work introduced the promoter for the isocitrate lyase (pICL1) as a useful tool for the substrate selective expression of the internal version of the alternative NADH:ubiquinone oxidoreductase (pICL1-NDH2i). This allows to rescue complex I deficiencies “in vivo” selectively by growth on acetate (or ethanol) medium. The integration of the pICL1-NDH2i construct into the genome of Y. lipolytica and subsequent deletion of nuclear-coded subunits like PSST, TYKY and 49 kDa, would contribute to further develop this organism as a useful genetic model for studying subunits of mitochondrial complex I by site directed mutagenesis.
Stability, unfolding and refolding of the outer membrane protein porin from Paracoccus denitrificans was investigated using genetic and spectroscopic methods. Structural and functional activity studies on wild type and mutant porins: The site-directed mutants were constructed based on conserved residues and evidences on the role of certain amino acids from previous studies with OmpF. Secondary structure analysis of wild type and mutants E81Q, W74C, E81Q/D148N, E81Q/D148N/W74C by FTIR and CD spectroscopy are in line with the fact that porins are predominantly ß-sheet structure. The functional activity studies by black lipid bilayer techniques showed that the wild type and mutants W74C, E81Q/D148N, E81Q/D148N/W74C have a conductance of 3.25 nS. For mutant E81Q conductance of 1.25nS was more predominant over 3.25 nS. The activity of the mutants was observed to be far less than the wild type. This indicates that structural similarities does not implies similar functional activity. Thermal stability analysis of porin in detergent micelles and reconstituted into liposomes: Thermal stability analysis of wild type and mutants in detergent micelles showed changes in secondary and quaternary structure. It was found that wild type porin unfolds into aggregated structure with a high transition temperature of 86.2 °C. For mutants E81Q, W74C, E81Q/D148N the transition temperature was found to be 84.2 °C, 80.3 °C and 80.2 °C respectively. Functional activity assays at high temperatures revealed that the protein tends to loose its activity on heating up to 50 °C. This shows that structural stability does not imply functionality in the case of porins. Thermal stability analysis of porin reconstituted into liposomes showed that there was no change in the secondary and quaternary structure of the protein up to 100 °C, revealing that the protein becomes more thermostable when it is reconstituted into liposomes. Refolding of aggregated porin: This study shows that disaggregation of ß-sheet membrane protein porin is possible by changing its chemical and thermodynamic parameters. An increase of the solution pH to 12 or above results in opening up of the aggregated protein into unordered structure, as observed by FTIR and CD spectroscopy. This unordered structure could be refolded into native-like structure forming trimers. The secondary structure of the refolded protein deviated slightly from the native one. The thermal stability analysis of the native-like refolded proteins showed that the unfolding pattern is entirely different when compared to the native porins. pH dependent unfolding of porin: Thermal stability of porin at different pH values showed that the protein is stable in a pH range of 1-11. At pH 12 and above the protein unfolds into unordered structure instead of aggregating. The high pH unfolding of porin is a reversible process. The secondary structure of the refolded protein varied slightly from the native-one. Whereas thermal stability was entirely different. This shows that even though the unfolding of porin at high pH is reversible, it results in changes in local interaction between the amino acids resulting in a difference in stability. Unfolding in presence of urea and guanidinium hydrochloride (GuHCl): Denaturation of porin in the presence of chemical denaturants like urea and GuHCl showed that porin unfold into unordered structure. The unfolding is a reversible process. Unfolded protein was refolded into detergent micelles and liposomes. Refolding into detergent micelles was faster compared to refolding into liposomes, as seen by kinetic gel shift assays. The refolding into liposomes showed the presence of intermediates similar to those reported for OmpF. This study shows the difference in thermal stability of the outer membrane protein porin from Paracoccus denitrificans in detergent micelles and native-like liposomes. It suggests various unfolding pathways, which can be further investigated for unfolding and refolding kinetics. This report also suggests that it is possible to refold a heat-aggregated protein.
Dutch nominalised infinitives have been notoriously difficult to analyse, partly because they seem to show mixed verbal and nominal properties interspersed across the structure. In this paper, it is argued that at least two types of such infinitives should be distinguished, one which contains a high level of verbal functional structure, and one that differs at least in not projecting TP. On the basis of this distinction it is possible to show that Dutch nominalised infinitives have much more predictable properties than could previously be identified. They show evidence of conforming to a model of analysing mixed categories in terms of category switch within the constituent. In order to account for the seemingly interspersed nature of nominal and verbal properties in Dutch nominalised infinitives I propose that Dutch of-phrases (van-phrases) may merge inside the VP, provided they have access to nominal functional structure for feature checking. I will show that if D° is filled by a special type of non-deictic demonstratives van-phrases may even occur in SpecDP.
Results were presented from Brownian dynamics simulations for cyt c molecules approximated as spherical particles with diameter 2R ' 3.3 nm interacting with a charged planar membrane surface. Using the well-known Ermak-McCammon algorithm of ref. [36, 37] for solving the Langevin equations (see Chapter 2), a new computer program in C++ was developed. An overview of the way it is implemented is given in Chapter 3. The program in its current state is able to compute the trajectories (translation and rotation) of hundreds of spherical particles in systems with typical dimensions of 103 − 1003 nm3 . As explained in the introductory Chapter 1 the motivation for studying the dynamics of cyt c molecules in such systems came from the progress in the research of photosynthetic bacteria, e.g. While the internal processes of energy transduction (light harvesting, channelling to RC, charge separation) are quite well understood, the dynamics of soluble cyt c as an electron transporter in this context is not yet clear. In many textbooks one can find illustrations where a single cyt c is responsible for the electron transport between two integral membrane proteins (the reaction centre RC and the bc1 complex). But as pointed out in publications like refs. [49], [59], [60], [61] or [62] biological cells are crowded with different molecules. Consequently, one can assume that the electron transport between two integral membrane proteins is not simply taken on by one single cyt c molecule. Instead it is likely that many of these particles are located in a cyt c pool above the membrane and that they perform the electron transport in turns. Thus, it is desirable to have a simulation package that is able to compute the trajectories of many proteins. Note that the detailed processes of electron transfer and binding to membrane proteins are not modelled here. The details of these processes are quite complicated so that we refrained from including them in the coarse-grained simulations. Here, the actual binding is simply defined by a particle distance zb from the membrane which marks the beginning of the attractive potential. ...
Hinreichend kalte und dichte Quarkmaterie ist ein Farbsupraleiter. Ähnlich wie Elektronen in einem gewöhnlichen Supraleiter bilden Quarks Cooper-Paare. Während bei Elektronen der Austausch von Phononen zu einer Anziehung führt, ist im Falle von Quarks der Antitriplett-Kanal der starken Wechselwirkung attraktiv. Arbeiten in den letzten Jahren haben verschiedene Phasen von farbsupraleitender Quarkmaterie untersucht und sich dabei vor allem auf Phasen konzentriert, m denen der Gesamtspin eines Cooper-Paares verschwindet. In der vorliegenden Dissertation habe ich hauptsächlich Farbsupraleiter diskutiert, deren Cooper-Paare im Spin-Triplett-Kanal kondensieren, d.h. die Cooper-Paare haben den Gesamtspin 1. Diese Art von Supraleiter ist möglicherweise relevant für Systeme in der Natur, wie z.B. das Innere von Neutronensternen. Denn bei der Spin-0-Farbsupraleitung wird vorausgesetzt, dass die Fermi-Impulse zweier Quark-Flavor gleich ist oder zumindest hinreichend klein, was für realistische Systeme, also für nicht zu große Dichten, fragwürdig ist. Diese Einschränkung gibt es im Falle von Spin-1-Farbsupraleitern nicht, da hier Quarks des gleichen Flavors Cooper-Paare bilden. Ich habe in meiner Dissertation die verschiedenen möglichen Phasen eines Spin-1-Farbsupraleiters systematisch klassifiziert. Dies wurde mit Hilfe von gruppen-theoretischen Methoden durchgeführt, basierend auf der Tatsache, dass die Farbsupraleitung durch das theoretische Konzept der spontanen Symmetriebrechung beschrieben werden kann. Ähnlich wie bei supraflüssigem Helium-3 gibt es eine Vielzahl theoretisch möglicher Phasen. Ich habe die physikalischen Eigenschaften von vier dieser Phasen untersucht, nämlich der polaren und planaren Phasen sowie der A- und CSL-(color-spin-locked)Phasen. Mit Hilfe der QCD-Lückengleichung wurde die Energielücke sowie die kritische Temperatur bestimmt. Es stellt sich heraus, dass die Energielücke eines Spin-1-Farbsupraleiters um 2-3 Größenordnungen kleiner ist als die eines Spin-0-Farbsupraleiters, d.h. sie liegt im Bereich von 10 - 100 keV. Zwei besondere Eigenschaften der Energielücke werden diskutiert, nämlich eine 2-Lücken-Struktur, die in zwei der untersuchten Fälle auftritt, sowie mögliche Anisotropien, insbesondere Nullstellen der Lückenfunktion. Die Berechnung der kritischen Temperatur zeigt, dass es durchaus farbsupraleitende Materie in einer Spin-1-Phase im Innern von Neutronensternen geben kann, da die Temperatur von alten Neutronensternen im Bereich von einigen keV oder sogar darunter liegt. Darüber hinaus wurde die Frage untersucht, ob ein Farbsupraleiter auch ein gewöhnlicher Supraleiter ist. In diesem Zusammenhang ist die Frage von Interesse, ob ein Spin-1-Farbsupraleiter gewöhnliche Magnetfelder aus seinem Innern verdrängt, was sicherlich Auswirkungen auf die Observablen eines Neutronensterns hätte. Tatsächlich stellt sich heraus, dass ein Spin-1-Farbsupraleiter, im Gegensatz zu einem Spin-0-Farbsupraleiter, einen elektronmagnetischen Meissner-Effekt aufweist. Dieses Ergebnis wurde mit Hilfe von gruppentheoretischen Überlegungen vorausgesagt und mit Hilfe einer detaillierten Berechnung der Photon-Meissner-Massen bestätigt.
A new experimental setup, for pump-probe fs DFWM measurements, which is based on a femtosecond laser system, has been constructed. It allows for the investigation of molecular species in the gas phase at different temperatures, from ~30 K in a seeded supersonic jet up to ~500 K in a heat-pipe oven. In comparison to other RCS methods the employed fs DFWM technique is less complicated and gives much higher signal-to-noise ratio [BFZ86, FeZ95a, CKS89, CCH90, HCF91, WRM02, Rie02]. A general computer code for the simulation of fs DFWM spectra of nonrigid asymmetric top molecules has been developed. This new DFWM code in combination with a non-linear fitting routine allows one to determine rotational and centrifugal distortion constants and obtain information on the polarizability tensor components from the experimental spectra. Fs DFWM spectroscopy was successfully applied to the medium-sized molecules benzene and benzene-d6 in a gas cell and in a supersonic jet. The spectrum from a seeded expansion has been measured up to delay time of 3.9 ns (restricted by the length of the delay stage) with excellent signal-to-noise ratio (102-103). In that way 87 and 72 J-type transients have been recorded for benzene and benzene-d6, correspondingly. A relative accuracy on the order of 10-5 has been achieved for the rotational constant. From the room temperature experiments, precise values of centrifugal distortion constants DJ and DJK have been extracted. The literature data for cyclohexane have been revised and a new precise rotational constant B0 has been obtained, which is (+5.5 MHz) shifted from the one reported in the former Raman investigation by Peters et al. [PWW73]. Additionally, high-level ab initio calculations of cyclohexane have been carried out using a large number of basis sets at several levels of theory. In particular, the vibrational averaging effects have been examined in order to critically compare the experimentally determined and theoretically evaluated rotational constants. The contribution of highly symmetric vibrational modes to vibrational averaging effects was clarified. More structural information could be obtained from fs DFWM measurements of asymmetric top species, since different type of rotational recurrences can appear, and all three rotational constants (A, B, C) can be extracted. On the other hand the analysis of the asymmetric top spectra is no longer trivial. In fact the simple formula for rotational recurrence periods of symmetric top species (Tab. 2.1) can not be applied to asymmetric top molecules. Thus, in order to extract high-resolution data for asymmetric species, a complete fitting of the experimental spectra is necessary. The fs DFWM and (1+2') PPI method have been applied to the asymmetric top molecules pyridine in the ground (S0) and pDFB in the S0 and electronically excited (S1) states. By fitting the measured fs DFWM spectra the rotational and centrifugal distortion constants have been extracted with good precision and the value of the parametrized polarizability angle of pDFB was obtained. In this work, the first application of fs DFWM spectroscopy to a molecular cluster has been reported. Also, the chemical equilibrium between monomeric and dimeric species was studied. In particular formic and acetic acid have been investigated in a gas cell and in a supersonic expansion. Many spectral features have been observed and analized in the fs DFWM spectrum of formic acid vapor in a gas cell at room temperature. Most of them were attributed to rotational recurrences of the formic acid monomer, but also spectral feature originating from the formic acid dimer of O-H×××O/O×××H-O type have been detected and analyzed. From the fitted simulation, the rotational and centrifugal distortion constants, and parametrized polarizability angle were extracted for the dimeric structure of O-H×××O/O×××HO type. With the assumption of unperturbed monomers a center-of-mass distance of R = 2.990 ± 0.001 Å for the monomers within the dimer has been calculated from the spectroscopic results. This distance is 0.028 Å smaller than that reported from electron diffraction [ABM69]. Thus, the centers-of-mass distance was assigned as the main point of disagreement between results of fs DFWM and electron diffraction experiments. In contrast to formic acid, acetic acid shows strong recurrences from dimeric species even in the fs DFWM spectra at room temperature. This is explained in terms of different symmetry of the moments-of-inertia tensor, which modulates the intensity of RRs (the fs DFWM signal is in general stronger from symmetric species). Due to the symmetric nature of the acetic acid dimer, only the sum (B+C) of the rotational constants has been extracted. The changes of geometrical parameters upon dimer formation have been analyzed for, both, formic and acetic acid. A heat-pipe oven has been used in order to overcome the main drawback of fs DFWM spectroscopy – the square dependence of the signal intensity on the sample number density. Two-ring molecules (cyclohexylbenzene, para-cyclohexylaniline and nicotine) with low vapor pressure (<0.1 mbar) at room temperature have been investigated. From the analysis of the experimental and ab-initio results for CHB and pCHA a nearly perpendicular conformation of the aromatic vs. cyclohexane ring for both system is inferred. The enlargement of the benzene ring of CHB in the electronically excited state (S1) has been found to cause the smaller rotational constants in S1. This conclusion has been drawn from the comparison of the ground and electronically excited state experimental rotational constants in combination with ab-initio calculations. The extraction of precise structural information for nicotine was not possible due to it weak fs DFWM signal. However, the fact that fs DFWM technique can be applied to conformational analysis of molecular species in an equilibrium mixture opens other applications for this kind of spectroscopy. In general the results obtained in this work show that the fs DFWM technique, being an experimental implementation of RCS, provides one with an important tool for structural analysis of molecular species in the gas phase in particular for the species to which microwave spectroscopy can not be applied. It gives spectra with excellent signal-to-noise ratio even at low number density samples expanded in a seeded supersonic jet. It provides an alternative and innovative approach towards rotational Raman spectroscopy of large polyatomic molecules applicable under various experimental conditions (broad temperature and pressure range). With the introduction of femtosecond (10-15s) laser pulses (usually picosecond (10-12s) laser pulses were used in RCS) an improvement in time-resolution and therefore in precision for the rotational constants by more than one order of magnitude has been achieved. Molecular systems in the ground electronic state without permanent dipole moment and chromophore can be studied with high precision, providing thereby molecular benchmark systems for the electronic structure theory. As has been shown, the study of molecular clusters by fs DFWM spectroscopy is possible, but its potential are restricted by the square dependence of the fs DFWM signal from the sample number density, which is even more important for supersonic jet expansions. Here, the application of near-resonant and resonant FWM schemes should help in order to compensate for the low sample concentration. With the introduction of the heat pipe oven for fs DFWM experiments, the investigation of large nonvolatile molecules under equilibrium conditions is possible now. In our laboratory the first results on the structural analysis of different conformers of pyrrolidine in the gas phase have been obtained [MaR04]. This method can have even more prospects for the structural investigations of large molecular species in combination with new non-thermal gas phase sources for nonvolatile molecules, like laser desorption [CTL89], laser oblation [MHL83], electrospray [FMM90], laser induced liquid beam ion desorption [KAB96, Sob00] etc. A very recent application of the fs DFWM technique is the investigation of the influence of strong laser fields on molecular gas phase sample, which could range from active alignment [PPB03] over molecular deformation to field ionization [CSD03]. In regards to future development in fs DFWM spectroscopy for more complex molecules one has to take into account, how large amplitude motions such as the van der Waals vibrations or internal rotation (see section 6.4.2) affect the rotational coherences. In any case, femtosecond Degenerate Four-Wave Mixing as experimental implementation of Rotational Coherence Spectroscopy can be considered as an innovative, developing, and powerful method for the structural investigation of the molecular species, which are hard to study by classical frequency-resolved spectroscopy [FeZ95a, Dan01, Rie02].
Ruth First papers
(2001)
Scope and content: The collection includes personal material of First and her immediate family such as correspondence and financial records, papers relating to First's work as a journalist in South Africa, as a university lecturer, an anti-apartheid activist, and as an author and editor of numerous books and articles on Africa and other political topics. Also included are research papers and printed material relating to First and her family, collected both during her lifetime and after her death. System of arrangement: The collection is divided into individual deposits which have been presented separately to the Institute of Commonwealth Studies. As far as has been possible, the arrangement of the material within each deposit reflects the system of arrangement used by First, although much has been resorted. Throughout this catalogue the series into which the collection is divided are shown with the reference, title and date underlined. Orderable files are described without underlining.
Nitric oxide (NO) represents a short-lived mediator that pivotally drives keratinocyte movements during cutaneous wound healing. In this study, we have identified p68 DEAD box RNA helicase (p68) from a NO-induced differential keratinocyte cDNA library. Subsequently, we have analyzed regulation of p68 by wound-associated mediators in the human keratinocyte cell line HaCaT. NO, serum, growth factors and pro-inflammatory cytokines were potent inducers of p68 expression in the cells. p68 was constitutively expressed in murine skin, but rapidly down-regulated upon injury. The down-regulation appeared to be transient, as p68 protein expression increased again after the inflammatory phase of repair. However, p68 protein expression did not completely disappear during wound inflammation, as immunohistochemistry and cell fractiona tion analysis revealed a restricted localization of p68 in keratinocyte nuclei of the developing epithelium. In line, cultured human (HaCaT) and murine (PAM 212) keratinocyte cell lines showed a nuclear localization of the helicase. Moreover, confocal microscopy revealed a strong localization of p68 protein within the nucleoli of the keratinocytes. Functional analyses demonstrated that p68 strongly participates in keratinocyte proliferation and gene expression. Keratinocytes that constitutively overexpressed p68 protein were characterized by a marked increase in serum-induced proliferation and vascular endothelial growth factor (VEGF) expression, whereas down-regulation of endogenous p68 using small interfering RNA (siRNA) markedly attenuated serum-induced proliferation and VEGF expression. Altogether, our results suggest a tightly controlled expression and nucleolar localization of p68 in keratinocytes in vitro and during skin repair in vivo that functionally contributes to keratinocyte proliferation and gene expression.
Reliable communication in the central nervous system requires the precise control of the duration and the intensity of neurotransmitter action at specific molecular targets. After their release at the synapse, neurotransmitters activate pre- and/or postsynaptic receptors. To terminate synaptic transmission, neurotransmitters are in turn inactivated by either enzymatic degradation or active uptake into neuronal and/or glial cells by neurotransmitter transporters. In the present study, two types of membrane proteins involved in transcellular signal transduction were investigated, the P2X receptors, which are ATP-gated ion channels and the glutamate transporters of the EAAT family. The first part of this study is concerned with the targeting and anchoring of P2X receptors at specific locations. P2X receptors play a role of fast excitatory neurotransmission to extracellular ATP in both the peripheral and central nervous system. For several ligand-gated ion channel, like glycine receptors or nicotinic acetylcholine receptors, it is known that specific binding proteins exist, which are involved in receptor trafficking and anchoring of the receptors at appropriate sites on the synapse. Within the P2X family, amino acid homology is scattered over the protein sequence excepted of the cytoplasmic C-terminal tails, which do not share significant sequence similarity, indicating that they might provide peculiar properties to the respective receptor isoforms. Using GST fusion proteins containing the C terminal end of the P2X2A, P2X5 and P2X7 subunits as baits, ßIII tubulin was identified by MALDI-TOF mass spectrometry as a direct interacting partner of P2X2A. ßIII tubulin did not interact with P2X5 nor with P2X7. The tubulin binding motif of P2X2A could be confined to a 42 amino acid long region ranging from amino acid 371 to 412 of the complete P2X2A subunit. This domain, which includes a total of six serine residues and twelve proline residues, interestingly overlaps to a significant extent with a 69 amino acid long sequence, which is lacking in P2X2B, a splice variant of P2X2A. P2X2B receptors are known to desensitize - significantly faster than P2X2A receptors. The interaction of the P2X2A receptor with ßIII tubulin may contribute to receptor desensitization as well as tethering of the P2X2A receptor at specialized regions of the cell. In a second part of this work, the oligomeric state of two distantly related glutamate transporters, the human glial glutamate transporter hEAAT2, and the glutamate transporter ecgltP of E.coli was determined. Excitatory amino acid transporters (EAATs) buffer and remove synaptically released L-glutamate and maintain its concentration below neurotoxic levels. Mammalian glutamate transporter subunits are known to form homomultimers, but controversial numbers of subunits per transporter complex have been reported, ranging from 2-5. Both hEAAT2 and ecgltP proteins expressed at high levels in Xenopus laevis oocytes, from which they were purified in a [35S]methionine-labeled form under nondenaturing conditions by metal affinity chromatography. Blue native PAGE analysis revealed that both the hEAAT2 and ecgltP transporters exist exclusively as homogenous populations of homotrimers in Xenopus oocytes. The trimeric structure was corroborated by chemical crosslinking. Also, ecgltP purified as a recombinant protein from its natural host E.coli migrated as a trimeric protein on blue native PAGE gels. The conservation of the quaternary structure from prokaryotes to mammals assigns an important functional role to the trimeric structure. Glutamate transporters are known to exhibit a dual mode of operation by functioning both as glutamate Na+/K+/H+ co-transporters and as anion channels. It is intriguing to speculate that the EAAT monomer is responsible for the secondary active transport of glutamate, whereas a barrel-like arrangement of the three subunits forms a central anion pore mediating anion conductivity.
The detailed mechanism of the 20 S proteasome from Thermoplasma acidophilum is unknown. Substrates are degraded processively to small fragments without the release of intermediates, but the basis for this unique degradation mode remains obscure. The proteasome is a molecular machine, but how the different nanocompartments interplay and whether more than one substrate can be treated simultaneously has not been elucidated yet. To address these questions we had to disable the functionality of one aperture in order to dissect whether the other pore can compensate for the loss. As it is challenging to introduce mutations solely around one pore aperture of the highly symmetrical construct, we chose a novel approach by unique orientation of the proteasome at interfaces. For this purpose we purified recombinant 20 S proteasomes, where hexahistidine tags were fused either around the entrances or at the sides. According to electron microscopic studies we immobilized these constructs uniformly either end-on or side-on at metal-chelating interfaces (lipid vesicles, lipid monolayers and self-assembled thiol monolayers). Degradation of small fluorogenic peptides and large proteins like casein was analyzed. Small substrates were degraded with comparable activity by free and immobilized proteasomes, irrespective of their orientation. Thus it can be assumed that peptides can pass the sealed entrance of the 'dead-end' proteasome. However, larger substrates like fluorescently labeled casein were processed near the temperature optimum by side-on immobilized and soluble proteasomes with threefold activity compared to end-on immobilized proteasomes. Hence it can be concluded that one pore is sufficient for substrate entry and product release. In other words, the pore and antechamber can fulfil a triple function in the import and unwinding of substrates and the egress of products. With means of surface plasmon resonance the exact substrate/proteasome stoichiometry could be determined to ~1 for 'dead-end' proteasomes and ~2 for side-on immobilized (active and inactive) proteasomes. Most importantly, a fit with the Hill equation revealed positive cooperativity for side-on immobilized (Hill coefficient ~2) in contrast to end-on immobilized proteasomes (Hill coefficient ~1). Thus in case of soluble proteasomes two substrates bind presumably in opposite antechambers with positive cooperativity. The off-rate of casein as substrate is twofold for the active side-on immobilized proteasome in comparison to the end-on immobilized proteasome. The exact 2:1 stoichiometry of the off-rates equals the ratio of exit pathways amenable in case of side-on orientated versus 'dead-end' immobilized proteasomes. Thus crevices along the cylindrical body of the 20 S proteasome seem not to participate in the egress of small products. An inactive proteasome mutant displays a concentration-dependent off-kinetic against casein. Accordingly, the off-rate of the bisubstrate:proteasome complex can be attributed around half the value of the monosubstrate:proteasome complex. Consequently, substrates exit the inactive proteasome via the route of access due to obstruction of the trans side with an entering substrate. Hence the active proteasomes have to chop substrates down to small fragments prior to release through both pores. Thus the processive degradation mode might result from positive binding cooperativity. The on-rate constants for casein suggested that substrate association represents a two-step process comprising a rate-limiting translocation step and a fast binding step. As fluorescence cross-correlation revealed that two substrates can be co-localized in the proteasome and bind successively with increasing affinity (KD,1 = 8 µM versus KD,2 = 700 nM), an allosteric transition in the proteasome can be assumed. Combining our results with the data from other research groups led to a mechanistic model for the 20 S proteasome. Accordingly, the first substrate undergoes a slow translocation step, binds in the antechamber and diffuses subsequently to the catalytic centers, where it is degraded. By switching on the catalytic activity, the pores at both termini are dilated via conformational changes. Hence entry of the second substrate into the proteasome is facilitated due to omission of the rate-determining translocation step. The second substrate is either accommodated in the antechamber before it is processed (alternating degradation) or, most probably, is directly threaded into the central cavity (simultaneous degradation). As effusing peptides compete with entering proteins for binding in the antechamber, the pores are kept in an open state. After finishing digestion the pores are closed and a new degradation cycle can be reinitiated. In summary, substrate association with the proteasome underlies an ordered alternating binding mechanism in contrast to the random mode of degradation. Thus the two-stroke engine offers the advantage of speeding up degradation without enhancing complexity.
Transmembrane proteins play crucial roles in biological systems as active or passive channels and receptors. Experimentally only few structures could be determined so far. Gaining structural insights enables besides a general understanding of biological mechanisms also further processing such as in drug design. Due to the lack of experimental data, reliable theoretical predictions would be of high value. However, for the same reason, missing data, the knowledge-based class of prediction methods that is well established for soluble proteins can not be applied. The goal of predicting transmembrane protein structures with ab initio methods demands locating the free energy minimum. Main difficulties here are, first, the computational costs of explicitly calculating all involved interactions and, second, providing an algorithm that is capable of finding the minimum within an extremely complex and rugged energy landscape. We have developed promising energy functions that describe the interactions of amino acids on a residue level, reducing computational costs while still containing most information on the atomistic level. We have also found a way to describe the interaction of the residues with its surrounding in a realistic manner by distinguishing residues exposed to the environment from those buried within helices using a sphere algorithm. The sphere algorithm can also be applied for a different purpose: one can measure how densely sidechains are packed for certain helical conformations, and thereby get an estimate of the sidechain entropy. In addition, overcrowding effects can be identified which are not well-described by the energy functions due to the pairwise calculation. To determine the absolute free energy minimum, we assume the helices to be located on an equidistance grid with slightly larger distances than to be expected. Optimizing the helices on the grid provides a starting point that should enable common minimizing algorithms, gradient-based or not, to find the absolute minimum beyond the grid. To simulate the dynamics of the helices on large time scales, we split them into rigid body dynamics and internal dynamics in terms of the dihedrals. The former one is well-known with its inherent problem of numerical drift and plenty of approaches to it, among which we have chosen the quaternions to represent the rotation of the rigid bodies. The latter one requires a detailed analysis of the torque size exerted on the dihedrals caused by the forces acting on the residues.
Die 5 Lipoxygenase (5 LO) ist das Schlüsselenzym in der Synthese von Leukotrienen. Sie wird auf transkriptioneller und posttranskriptioneller Ebene reguliert. Die Differenzierung myeloider Zelllinien mit 1,25-Dihydroxyvitamin D3 (1,25(OH)2D3) und transformierendem Wachstumsfaktor beta (TGFbeta) führt zu einer Erhöhung der 5 LO mRNA-, Protein-Bildung und der zellulären Enzymaktivität. Hier wurde gezeigt, dass dabei reife, nicht jedoch prä-mRNA der 5 LO im Zytosol und im Zellkern stark angereichert wird und dass beide Agentien in die mRNA-Prozessierung eigreifen. Obwohl die Bindung von VDR-Retinoid-X-Rezeptor (RXR)-Heterodimeren an Bindungsstellen im 5 LO-Promotor mittels DNAseI-Footprinting und EMSAs nachgewiesen wurde, konnten Reportergene unter der Kontrolle des 5 LO-Promotors in transienten und stabilen Transfektionen durch 1,25(OH)2D3/TGFbeta nicht stimuliert werden. Offensichtlich wird die Induktion der Expression der 5 LO durch 1,25(OH)2D3/TGFbeta durch Elemente außerhalb des Promotors vermittelt. In transienten Transfektionen führte der Einbau der kodierenden Sequenz der 5 LO in Luziferase-Plasmide bei Cotransfektion von VDR/RXR zu einer 5 fachen Induktion der Reportergen-Aktivität durch 1,25(OH)2D3/TGFbeta, was durch zusätzlichen Einbau der letzten vier Introns auf eine 13-fache Erhöhung gesteigert wurde. Der VDR zeigte einen Ligand-unabhängigen Effekt. Diese Reportergen-Effekte waren promotorunabhängig und von der kodierenden Sequenz gesteuert. RT-PCR-Analyse wies auf eine Deletion von Teilen der kodierenden Sequenz im Laufe der mRNA-Prozessierung hin, was durch 1,25(OH)2D3/TGFbeta verhindert wird. Auch Cotransfektion der TGFbeta-Effektoren Smads 3/4 führte in Abhängigkeit von der kodierenden Sequenz und in geringerem Maße von der 3'-UTR und den Introns J M, aber unabhängig vom Promotor, zu einer starken Erhöhung der Reportergenaktivität. Die 5 LO-Expression wird in den untersuchten Zellen vermutlich durch posttranskriptionelle Prozesse (Splicing, mRNA-Reifung) herunterreguliert, während 1,25(OH)2D3/TGFbeta die Expression der 5 LO durch eine Gegenregulation zu erhöhen, an der Komplexe beteiligt sind, die vermutlich Smads, VDR-RXR-Dimere, andere Transkriptionsfaktoren, Coaktivatoren, RNA-Polymerase II und Splicing-Faktoren enthalten. Hyperacetylierung des 5 LO-Promoters durch Inkubation mit mit dem Histondeacetylase-Inhibitor TsA führte zu einer transkriptionellen Aktivierung. Die kodierende Sequenz (und die Introns) wirkt diesem Effekt vermutlich durch die Rekrutierung von HDACs an VDR oder Smads, die direkt oder indirekt an die kodierende Region binden, entgegen.
The transporter associated with antigen processing (TAP) plays a pivotal role in the adaptive immune response against virus-infected or malignantly transformed cells. As member of the ABC transporter family, TAP hydrolyzes ATP to energize the transport of antigenic peptides from the cytosol into the lumen of the endoplasmic reticulum. TAP forms a heterodimeric complex composed of TAP1 and TAP2 (ABCB2/3). Both subunits contain a hydrophobic transmembrane domain and a hydrophilic nucleotide-binding domain. The aim of this work was to study the ATP hydrolysis event of the TAP complex and gain further insights into the mechanism of peptide transport process. To analyze ATP hydrolysis of each subunit I developed a method of trapping 8- azido-nucleotides to TAP in the presence of phosphate transition state analogs followed by photocross-linking, immunoprecipitation, and high-resolution SDS-PAGE. Strikingly, trapping of both TAP subunits by beryllium fluoride is peptide-specific. The peptide concentration required for half-maximal trapping is identical for TAP1 and TAP2 and directly correlates with the peptide-binding affinity. Only background levels of trapping were observed for low affinity peptides or in the presence of the herpes simplex viral protein ICP47, which specifically blocks peptide binding to TAP. Importantly, the peptideinduced trapped state is reached after ATP hydrolysis and not in a backward reaction of ADP binding and trapping. In the trapped state, TAP can neither bind nor exchange nucleotides, whereas peptide binding is not affected. In summary, these data support the model that peptide binding induces a conformation that triggers ATP hydrolysis in both subunits of the TAP complex within the catalytic cycle. The role of the ABC signature motif (C-loop) on the functional non-equivalence of the NBDs was investigated. The C-loops of TAP transporter contain a canonical C-loop (LSGGQ) for TAP1 and a degenerated ABC signature motif (LAAGQ) for TAP2. Mutation of the leucine or glycine (LSGGQ) in TAP1 fully abolished peptide transport. TAP complexes with equivalent mutations in TAP2 showed however still residual peptide transport activity. To elucidate the origin of the asymmetry of the NBDs of TAP, we further examined TAP complexes with exchanged C-loops. Strikingly, the chimera with two canonical C-loops showed the highest transport rate whereas the chimera with two degenerated C-loops had the lowest transport rate, demonstrating that the ABC signature motifs control the peptide transport efficiency. All single-site mutants and chimeras showed similar activities in peptide or ATP binding, implying that these mutations affect the ATPase activity of TAP. In addition, these results prove that the serine of the C-loop is not essential for TAP function, but rather coordinates, together with other residues of the C-loop, the ATP hydrolysis in both nucleotide-binding sites. To study the coupling between the ATP binding/hydrolysis and the peptide binding, the putative catalytic bases of the TAP complex were mutated to generate the so-called EQ mutants. The mutations did not influence the peptide-binding ability. Dimerization of the NBDs of EQ mutants upon ATP binding does not alter the peptide binding property. At 27°C, both ATP and ADP could induce the loss of peptide-binding ability (Bmax) only in the variants bearing a mutated TAP2. Further studies are required to deduce at which stage in the catalytic cycle the peptide-binding site is affected. In addition, mutation of the putative catalytic base of both subunits showed a magnesium-dependent peptide transport activity, demonstrating these mutants did not abolish the ATP hydrolysis. Thus, the function of this acidic residue as the catalytic base is not likely to be universe for all ABC transporters.
Abraham Lincoln
(1899)
Ligands of Iron-Sulphur Cluster N2: In this work the ubiquinone reducing catalytic core of NADH:ubiquinone oxidoreductase (complex I) from Y. lipolytica was studied by a series of point mutations replacing conserved histidines or arginines in the 49-kDa subunit. Although the missing 4th ligand of cluster N2 could not be found in the 49-kDa subunit of complex I, it was clearly demonstrated that iron-sulphur cluster N2 resides directly on the interface between the PSST and 49-kDa subunits. The results presented in this work show that residues in the 49-kDa subunit have strong influence on this redox centre and also on catalytic activity. The strong influence of Arg-141 and His-226 residues in 49-kDa subunit on this cluster can be deducted from complete loss of N2 signals in EPR spectra such as in case of mutants H226A and R141A. In the case of mutant H226M the EPR signal from cluster N2 was shifted and cluster N2 even lost the pH dependence of its redox midpoint potential and became more similar to the other so called 'isopotential' clusters. Specifically in the case of mutants R141M and R141K the characteristic signature of cluster N2 became undetectable in EPR spectra. However, specific dNADH:DBQ oxidoreductase activity that could be inhibited with the specific complex I inhibitors DQA and rotenone was not absolutely abolished but rather reduced. These reductions in complex I activity did not correspond to similar reductions in the specific EPR signal of cluster N2 as it was observed in the His-226 mutant series. No indications could be found that these mutations had modified the magnetic properties of cluster N2, resulting in different EPR spectra. From these observations it could be concluded that both mutants R141K and R141M virtually or entirely lack iron-sulphur cluster N2. The rates in complex I activity could be reconciled with electron transfer theory: After removal of a single redox centre in a chain, electron transfer rates are predicted to be still much faster than steady-state turnover of complex I. These results from mutants R141K, R141M and also the result from mutant H226M that protons are being pumped even if the redox midpoint potential of cluster N2 is not pH dependent questions the prominent role in the catalytic mechanism of complex I that has been ascribed to cluster N2. Histidine 91 and 95 were found to be absolutely essential for activity of complex I since in both mutants complex I was fully assembled and artificial NADH:HAR activity was parental whereas complex I specific dNADH:DBQ activity was abolished. The signal from cluster N2 in EPR spectra was parental for all His-91 and -95 mutants. Mutations at the C-terminal arginine 466 affected ubiquinone affinity and inhibitor sensitivity but also destabilised complex I. All these results provide further support for a high degree of structural conservation between the 49-kDa subunit of complex I and the large subunit of water soluble [NiFe] hydrogenases. Remodelling of Human Pathogenic 49-kDa Mutations in Y. lipolytica: Y. lipolytica has been proven a good system for studying complex I properties and thus also for studying defects that occur in humans. In this work pathogenic mutations in the 49-kDa subunit of complex I were recreated and studied. The P232Q mutant showed non-assembly of complex I and this is probably the cause why this mutation was lethal in patients. The mutants R231Q and S416P were parental for the content, artificial and also specific complex I activity, Km for DBQ and IC50 for DQA. From these results we can conclude that these two residues Arg-228 and Ser-413 in mammalian cells have specific structural importance for the 49-kDa subunit even if they are not directly involved in catalytic process.
Removal of apoptotic cells by macrophages or resident semi-professional phagocytes is a prominent principle with important implications for the pathophysiology of chronic inflammatory diseases, viral infections, or cancer. To characterize mechanisms which may determine the fate of apoptotic cells, I investigated chemokine expression in apoptotic promonocytic U-937 cells or PBMC. Exposure of U-937 cells to the anti-cancer drug etoposide (VP-16), an inducer of apoptosis in these cells, was associated with increased expression of the chemokines IL-8 and macrophage inflammatory protein 1alpha (MIP-1alpha). Upregulation of IL-8 mRNA expression by VP-16 was observed as early as 4 h after onset of treatment and was still detectable after 19h of exposure. A serine protease inhibitor prevented both VP-16-induced apoptosis and release of IL-8, whereas inhibition of p38 MAP-kinases reduced IL-8 secretion only. Moreover, I observed that incubation with 2-chlorodeoxyadenosine (CdA) upregulated release of IL-8 from adherent PBMC in parallel to induction of apoptosis. In these cells a modest but significant induction of TNF-alpha release by CdA was also detected. In addition, CdA augmented release of IL-8 from whole blood cultures. By facilitating adequate recruitment of phagocytes to sites of cell death, stress-induced upregulation of chemokines associated with apoptosis may contribute to mechanisms aiming at efficient removal of apoptotic cells.
This dissertation study argues that 'policy advice formation', as a discourse development, is a differentiated hybrid resultant from merger between comparative education and policy studies disciplines. Through discourse analysis based on John Creswell's format, this study identifies revisions, restatements and shifts in emphasis of theories, methodological models and challenge topics of comparative education and policy studies. Findings which display the development of policy advice formation' discourse. In conclusion, this study found differential patterns seemingly formed because of collaborative affects of standardization in education science knowledge expressed within discourse.
Remodeling of extracellular matrix (ECM) is an important physiologic feature of normal growth and development. In addition to this critical function in physiology many diseases have been associated with an imbalance of ECM synthesis and degradation. In the kidney, dysregulation of ECM turnover can lead to interstitial fibrosis, and glomerulosclerosis. The major physiologic regulators of ECM degradation in the glomerulus are the large family of zinc-dependent proteases, collectively refered to matrix metalloproteinases (MMPs). The tight regulation of most of these proteases is accomplished by different mechanisms, including the regulation of MMP gene expression, the processing and conversion of the inactive zymogen by other proteases such as serine proteases and finally the inhibition of active MMPs by endogenous inhibitors of MMPs, denoted as tissue inhibitors of metalloproteinases (TIMPs). Namely, the MMP-9 has been shown to be critically involved in the dysregulation of ECM turnover associated with severe pathologic conditions such as rheumatoid arthritis or fibrosis of lung, skin and kidney. In the present work I searched for a possible modulation of MMP-9 expression and/or activity in glomerular mesangial cells which are thought as key players of many inflammatory and non-inflammatory glomerular diseases. I found that various structurally different PPARalpha agonists such as WY-14,643, LY-171883 and fibrates potently suppress the cytokine-induced MMP-9 expression in renal MC. Furthermore, I demonstrate that the inhibition of MMP-9 expression by PPARalpha agonists was paralleled by a strong increase of cytokine-induced iNOS expression and subsequent NO formation, suggesting that PPARalpha-dependent effects on MMP-9 expression level primarily result from alterations in NO production which in turn reduces the MMP-9 mRNA half-life. Searching for the detailed mechanism of NO-dependent effects on MMP-9 mRNA stability, I found that NO either given from exogenous sources or endogenously produced increases the MMP-9 mRNA degradation by decreasing the expression of the mRNA stabilizing factor HuR. Furthermore, I demonstrate a reduction in the RNA-binding capacity of HuR containing complexes to MMP-9 ARE motifs in cells treated with NO. Since the reduction of HuR expression can be mimicked by the cGMP analog 8-Bromo-cGMP, I suggest that NO reduces in a cGMP-dependent manner the expression of HuR. Finally, I elucidated the modulatory effect of extracellular nucleotides, mainly ATP, on cytokine-triggered MMP-9 expression. Interestingly, I found that in contrast to NO, gamma-S-ATP the stable analog of ATP potently amplifies the IL-beta mediated MMP-9 expression. The increase in mRNA stability was paralleled by an increase in the nuclear-cytosolic shuttling of the mRNA stabilizing factor HuR. Furthermore, I demonstrate an increase in the RNA-binding capacity of HuR containing complexes to the 3'-UTR of MMP-9 by ATP. In summary, the data presented here may help to find new targets (posttranscriptional regulation) that could be used to manipulate or modulate the expression of not only MMP-9 but also other genes regulated on the level of mRNA stability.
In this thesis the anti-proton to proton ratio in 197Au + 197Au collisions, measured at mid-rapidity, at a center of mass energy of psNN = 200GeV is reported. The value was measured to be ¹p/p = 0.81+-0.002stat +- 0.05syst: in the 5% most central collisions. The ratio shows no dependence on rapidity in the range jyj < 0:5. Furthermore, a dependence on transverse momentum within 0:4< p? < 1:0 GeV/c is not observed. At higher p?, a slight drop in the ratio is observed. In the present analysis, the highest momentum considered is p? = 4:5 GeV/c yielding ¹p=p = 0:645§0:005stat: §0:10syst:. However, the systematic error is higher in this momentum range. A slight centrality dependence was observed, where a decrease from ¹p=p = 0:83§0:002stat:§0:05syst: for most peripheral collisions (less than 80% central) to ¹p=p = 0:78§0:002stat:§0:05syst: for the 5% most central collisions was measured. An estimate of the feed-down contributions fromthe decay of heavier strange baryons results in ¹p=p = 0:77 § 0:05syst:. The measured ratio indicates a » 12:5 times higher value compared to the highest SPS energy of psNN = 17:3 and an \almost net-baryon free" region, at mid- rapidity. The asymmetry of protons and anti-protons may be explained by the contribution ofvalence quarks in a nucleus break-up picture. In such a scenario, the absolute value of the ratio and the fact that the ratio does not depend on rapidity (at mid-rapidity) is well reproduced. Fragmentation of quarks and anti- quarks into protons and anti-protons is assumed. An estimate of the ratio, when feed-down correction is taken into consideration, agrees well with the prediction of a statistical model analysis at a temperature of T = 177 § 7 MeV and a baryon chemical potential of ¹B = 29 § 8 MeV. The temperature achieved is only slightly higher when compared to the top SPS energy, while the baryochemical potential is factor »10 lower. As in the case of the SPS results, these parameters are close to the phase boundary of Figure 1.6. The measurement of the ratio at high transverse momentum was of special in- terest in this analysis, since at RHIC energies, the cross section for hadrons at high transverse momentum is increased with respect to SPS energies. The weak dependence of the ratio on the transverse momentum is well described by the non- perturbative quenched and baryon junction scenario (i.e. Soft+Quench model), where baryon creation is enhanced by baryon junctions. In comparison the ratio does not decrease within the considered momentum range as predicted by pQCD.
Der Produktion von Interleukin-8 (IL-8), Hämoxygenase-1 (HO-1), und dem vaskulären endothelialen Wachstumsfaktor (VEGF) wird zunehmend größere Bedeutung im Rahmen der Regulation der Immunantwort bei Entzündung, Infektion und Tumorwachstum zugemessen. Ziel dieser Arbeit war die Untersuchung der Regulation dieser Botenstoffe in vitro durch Verwendung der humanen Dickdarmkarzinomzellinie DLD-1. Die Substanz Pyrrolidinedithiocarbamate (PDTC) verstärkt nicht nur die durch Tumornekrosefaktor-a (TNF-a) vermittelte Ausschüttung von IL-8, sondern induziert auch als alleiniger Stimulus die IL-8-Sekretion. Mutationsanalysen des IL-8-Promotors und "Electrophoretic Mobility Shift" Untersuchungen (EMSA) zeigten, daß die Aktivierung des Transkriptionsfaktors AP-1 (Aktivator Protein-1) und die Bindungsaktivität von konstitutiv aktiviertem NF-KB in DLD-1 Zellen für die PDTC induzierte IL-8 Expression zwingend erforderlich waren. Weiterhin war PDTC in der Lage in DLD-1 Zellen neben IL-8 auch die Expression von HO-1 und VEGF zu verstärken. Die Induktion von IL-8 durch PDTC war nicht nur auf DLD-1 Zellen beschränkt, sondern wurde auch in Caco-2 Zellen (ebenfalls Dickdarmkrebszellen) und in humanen mononukleären Blutzellen beobachtet. Die Verwendung von PDTC wird seit kurzem als Kombinationspräparat für Zytostatia zur Behandlung von verschiedenen bösartigen Tumoren, unter ihnen auch Darmkrebs, vorgeschlagen. Aus unseren Versuchen läßt sich ableiten, daß die Induktion von IL-8, HO-1 und VEGF die therapeutische Anwendung dieser Substanz nachteilig beeinflussen könnte. Dies ergibt sich daraus, daß alle drei genannten Faktoren durch proangiogene Wirkungen das Tumorwachstum fördern. Die Expression der induzierbaren Stickoxidsynthase und die Produktion von Stickoxid (NO) korreliert mit der Angiogenese bei verschiedenen Krebserkrankungen darunter Melanome, Tumore im Hals- und Kopfbereich und Darmkrebs. Da tumorbegünstigende Funktionen von NO mit vermehrter Angiogenese in Verbindung gebracht werden, wurden die Effekte von NO hinsichtlich der Produktion von ausgesuchten Chemokinen, die an der Steuerung des Tumorwachstums beteiligt sind, untersucht. Zu diesen Chemokinen gehören das proangiogene IL-8 sowie das tumorsuppressiv durch Interferon induzierbare Protein-10 (IP-10) und das Monokin induziert durch Interferon-y (MIG). Diese Chemokine werden, nach Stimulation mit IL- 1ß und lnterferon-? (IFN-?) von DLD-1 Zellen, ausgeschüttet. Unter diesen Bedingungen wird die IL-8 Freisetzung alleine durch IL-1ß vermittelt, aber nicht durch INFy. Im Gegensatz zu IL-8 hängt die Sekretion von IP-10 und MIG von der Aktivierung durch IFNy ab. Die Effekte von NO wurden analysiert indem DLD-1 Zellen mit dem NO-Donor DETA-NO inkubiert wurden. DETA-NO besitzt eine Halbwertzeit von 16,5h und simuliert damit die Effekte der endogenen NO-Synthase. Synthese und Freisetzung von IL-8 wurden durch die Behandlung mit NO stark gesteigert. Außerdem wurde in Zellen die dem NO-Donor ausgesetzt wurden die basale Sekretion des VEGF signifikant verstärkt. Dies steht im Gegensatz zur IL-Iß/IFNy-induzierten Produktion von IP-10 und MIG, beide wurden durch Koinkubation mit NO unterdrückt. Ebenso wurde die Regulation der IFNy abhängigen induzierbaren Stickoxidsynthase in DLD-1 Zellen von NO unterdrückt. Die vorliegenden Daten ergänzen vorherige Studien, in denen NO mit Tumorangiogenese und verstärkten Tumorwachstum in Verbindung gebracht wird. Die NO vermittelte Induktion von IL-8 und VEGF, ebenso wie die Verminderung der IP-10 and MIG Expression, könnte zu diesem Phänomen beitragen. Unsere Studien stützen die Hypothese, daß spezifische lnhibitoren der iNOS therapeutischen Nutzen bei humanen Neoplasien haben könnten.
Cytochrome c oxidase is the terminal enzyme in the respiratory chain of mitochondria and aerobic bacteria. This enzyme ultimately couples electron transfer from cytochrome c to an oxygen molecule with proton translocation across the inner mitochondrial and bacterial membrane. This reaction requires complicated chemical processes to occur at the catalytic site of the enzyme in coordination with proton translocation, the exact mechanism of which is not known at present. The mechanisms underlying oxygen activation, electron transfer and coupling of electron transfer to proton translocation are the main questions in the field of bioenergetics. The major goal of this work was to investigate the coupling of electron transfer and proton translocation in cytochrome c oxidase from Paracoccus denitrificans. Different theoretical approaches have been used to investigate the coupling of electron and proton transfer. This thesis presents an internal water prediction scheme in the enzyme and a molecular dynamics study of cytochrome c oxidase from Paracoccus denitrificans in the fully oxidized state, embedded in a fully hydrated dimyristoylphosphatidylcholine lipid bilayer membrane. Two parallel molecular dynamics simulations with different levels of protein hydration, 1.125 ns each in length, were carried out under conditions of constant temperature and pressure using three-dimensional periodic boundary conditions and full electrostatics to investigate the distribution and dynamics of water molecules and their corresponding hydrogen-bonded networks inside cytochrome c oxidase. The average number of solvent sites in the proton conducting K- and D- pathways was determined. The highly fluctuating hydrogen-bonded networks, combined with the significant diffusion of individual water molecules provide a basis for the transfer of protons in cytochrome c oxidase, therefore leading to a better understanding of the mechanism of proton pumping. The importance of the hydrogen bonding network and the possible coupling of local structural changes to larger scale changes in the cytochrome c oxidase during the catalytic cycle have been shown.
Obwohl Böden unzweifelhaft ein signifikanter Pool von organischem Kohlenstoff sind, ist ihre Bedeutung als potenzielle langfristige Senke für atmosphärischen Kohlenstoff keineswegs klar. Trotz bedeutender wissenschaftlicher Forschritte aus den letzten Jahren zur Klärung der Kohlenstoffdynamik in Böden gibt es nach wie vor offene Fragen insbesondere hinsichtlich der spezifischen geochemischen Mechanismen, die für die Stabilisierung organischen Kohlenstoffs in Böden verantwortlich sind. Vor diesem Hintergrund besteht ein wesentliches Ziel der vorliegenden Dissertation darin, in unterschiedlichen Bodentypen die Konzentration von organischem Kohlenstoff und Stickstoff sowie die mineralogische Zusammensetzung zu untersuchen, um Hinweise auf einen möglichen Einfluss der Tonmineralogie, der spezifischen Oberfläche und der Oxidkonzentration auf die Stabilisierung organischen Materials zu ermitteln. Die Ergebnisse sollen einen Beitrag dazu liefern, die Mechanismen der Fixierung organischer Substanz in Böden besser zu verstehen und das vorhandene Wissen hierüber zu erweitern. Hierzu wurden fünf verschiedene Bodenprofile aus Hessen mit unterschiedlicher mineralogischer Zusammensetzung untersucht. Um die Auswirkungen verschiedener physikalischer und geochemischer Faktoren auf den Gehalt organischer Substanz in den untersuchten Böden festzustellen, wurden folgende Parameter untersucht: -Tonmineralogie, -organische Kohlenstoff- und Stickstoff-Konzentrationen, -%-Kationensättigung, -spezifische Oberfläche, -dithionit- und oxalatlösliche Gehalte an Fe, Al und Mn. Anhand dieser Parameter wurden weiterführende statistische Analysen unter Verwendung der Statistiksoftware SPSS für Windows durchgeführt, um mögliche statistische Zusammenhänge aufzudecken, die für die Stabilisierung von organischem Kohlenstoff in den betrachteten Böden verantwortlich sind. Die im Rahmen der vorliegenden Dissertation ermittelten Ergebnisse zeigen, dass der Tonanteil und die Tonmineralogie der untersuchten Böden nur einen begrenzten Einfluss auf die Stabilisierung organischer Substanz haben. Weiterhin wird gezeigt, dass die in der Literatur propagierte Beziehung zwischen spezifischer Oberfläche und der Konzentration organischen Kohlenstoffs nicht auf alle Böden anwendbar ist. Die Ergebnisse deuten darauf hin, dass die Präsenz von amorphen Eisen- und Aluminiumoxiden der wichtigste Einflussfaktor für die Fixierung von organischem Material in den untersuchten Böden ist. Die größeren Konzentrationen von organischem Kohlenstoff in den kleinsten Fraktionen (Feinschluff und Ton) der Profile sind vor allem darauf zurückzuführen, dass Oxide ebenfalls in diesen Fraktionen aufzufinden sind. Tonminerale haben demnach eine sekundäre Bedeutung, indem sie Komplexe mit den Oxiden bilden, die zur Stabilisierung von organischer Substanz führen können. Insgesamt deuten die Ergebnisse daraufhin, dass Böden keine geeignete Senke für die langfristige Speicherung von organischem Kohlenstoff sind. Obwohl Mechanismen wie die Adsorption von organischer Substanz an Oxide die Stabilisierung organischen Materials unterstützen, scheinen diese nicht stark genug zu sein, um eine permanente Speicherung von organischem Kohlenstoff zu bewirken.
A gene trap strategy was used to identify genes induced in hematopoietic cells undergoing apoptosis by growth factor withdrawal. IL-3 dependent survival of hematopoietic cells relies on a delicate balance between proliferation and apoptosis that is controlled by the availability of cytokines (Thompson, 1995; Iijima et al., 2002). From our previous results of gene trap assay, we postulated that transcriptionally activated antagonistic genes against apoptosis might actually block or delay cell death (Wempe et al., 2001) causing cells to have carcinogenic behavior. The analysis attempted to better understand the outcome of a death program following IL-3 deprivation and to identify those survival genes whose expression is affected by time dependent manner. As described in the chapter 4, there would be two major conclusions evident from the three separate experiments (Genetrap, Atlas cDNA array and Affymetrix chips): Firstly 56% of trapped genes, that are up-regulated by IL-3 withdrawal (28 of 50), are directly related to cell death or survival. Secondly, unlike most array technologies, gene trapping only selects for the transiently induced genes that is independent of pre-existing steady state mRNA levels. In regarding correlations of the genes with potential carcinogenesis, the pre-existing mRNA makes difficult to describe the unique characteristics of deregulated tumor tissue genes. For a joint project with Schering (Schering AG, Berlin), the genes of our GTSTs were examined. The first screen with custom array was used to look for whether the survival genes of our GTSTs are involved in various cancer cell lines, whilst the second screen with Matched Tumor/Normal Array was used to characterize if the selected seven genes (ERK3, Plekha2, KIAA1140, PI4P5Ka/g, KIAA0740, KIAA1036 and PEST domains) are transformation-related genes or not in different tumor tissues. Twenty-six genes were identified as either induced or repressed in one or more cell lines. Genetic information is expressed in complex and ever changing patterns throughout a life span of cells. A description of these patterns and how they relate to the tissue specific cancer is crucial for our understanding of the network of genetic interactions that underlie the processes of normal development, disease and evolution. The development of cancer and its progression is clearly a multiplex phenotype, as a function of time, involving dozens of primary genes and hundreds of secondary modifier genes. There would be a major conclusion evident from the three separate experiments (Genetrap, Affymetrix mouse chip and Matched Tumor/Normal Array): ERK3 could play a significant role in breast, stomach and uterus carcinogenesis with tissue specific regulations. It is clear that ERK3 is obvious putative survival gene in these tumor tissues. Especially, in breast tumors, seven times up-regulation was considerable and the activation of ERK3 could be a feature of breast tumors. My results imply that the unique deregulation of ERK3 is perhaps the major consequence of possible transformation of normal cells into malignant cancer cells, even though further analysis remains to be determined whether an alterated activity of associated survival genes is primarily responsible for a carcinogenesis. However unlike all the other known MAP Kinases, no stimuli and no nuclear substrates of ERK3 is reported. Therefore, it will be necessary first to determine the spectrum of substrates and to identify the proximal effectors for the ERK3 in breast carcinoma cells.
Zahnwale sind die einzige Säugetiergruppe, die umfassend an ein Leben im Wasser angepasst ist und dabei ein aktives Sonarsystem zur Orientierung nutzt. Wahrscheinlich produzieren alle Zahnwalarten sonische oder ultrasonische Klicklaute, deren Echos die Tiere zu einem drei-dimensionalen "akustischen Bild" zusammensetzen. Im Gegensatz zu den meisten anderen Säugetieren produzieren Zahnwale diese Laute im Nasen-Komplex durch einen pneumatisch betriebenen Mechanismus. Jedoch spielt auch der Kehlkopf dabei eine wichtige Rolle, indem er den nötigen Luftdruck in der Nase erzeugt. Die Ergebnisse werden in Bezug auf die physikalischen Voraussetzungen eines Bio-Sonars in einer aquatischen Umwelt interpretiert. Um die morphologischen Eigenschaften (Struktur, Form, Topographie) der Organe im Kopf verschiedener Zahnwalarten vollständig zu erfassen, wurden diese mittels Computertomographie und Magnetresonanztomographie gescannt. Daraufhin wurden die Köpfe makroskopisch präpariert und histologische Schnitte von Gewebeproben angefertigt. Schließlich wurden die Ergebnisse durch digitale dreidimensionale Rekonstruktionen vervollständigt. Diese Studie basiert zum größten Teil auf der Untersuchung von Schweinswalen (Phocoena phocoena) und Pottwalen (Physeter macrocephalus). Zum Vergleich wurden fetale und postnatale Individuen anderer Zahnwalarten herangezogen wie Delphinartige (Delphinus delphis, Stenella attenuata, Tursiops truncatus), Flussdelphinartige (Pontoporia blainvillei, Inia geoffrensis) und der Zwergpottwal (Kogia breviceps). Im Allgemeinen konnte durch die morphologischen Daten dieser Studie die einheitliche "phonic lips-Hypothese der Schallproduktion bei Zahnwalen, wie sie von Cranford, Amundin und Norris [J. Morphol. 228 (1996): 223-285] aufgestellt wurde, bestätigt werden. Diese Hypothese beschreibt eine ventilartige Struktur in der Nasenpassage, den sogenannten "monkey lips/dorsal bursae complex" (MLDB) als Schallgenerator. Der pneumatische Mechanismus lässt die beiden Hälften des MLDB aufeinanderschlagen und erzeugt damit die initiale Schallschwingung im Gewebe ("phonic lips"). Diese Vibration wird über die Melone, einen großen Fettkörper in der vorderen Nasenregion der Zahnwale, fokussiert und in das umgebende Wasser übertragen. Die akzessorischen Nasensäcke und spezielle Schädel- und Bindegewebestrukturen können zu der Fokussierung beitragen. Obwohl die Echolotsignale der Schweinswale sehr spezialisiert zu sein scheinen, weisen die Übereinstimmungen in der Topographie und in der Form der Nasenstrukturen im Vergleich zu Delphinen und Flussdelphinartigen (Pontoporia und Inia) auf eine ganz ähnliche Funktion der Nase bezüglich der Produktion und Emission von Echolotschall hin. Allerdings gibt es einige anatomische Besonderheiten im Nasenkomplex des Schweinswals, welche die besondere Pulsstruktur der Sonarsignale erklären könnte. Diese werden in der Dissertation diskutiert. Bei einem Vergleich der Nasenmorphologie der Pottwale einerseits und der nicht-pottwalartigen Zahnwale andererseits fällt vor allem der Grad der Asymmetrie ins Auge. Im Gegensatz zu dem oben für Delphine und Schweinswale beschrieben Mechanismus betreiben Pottwale die Schallproduktion an den "monkey lips" mit Luft, die im rechten Nasengang unter Druck gesetzt wird (und nicht im nasopharyngealen Raum). Zudem könnte durch Änderung des Luftvolumens im rechten Nasengang die Schalltransmission zwischen den Fettkörpern, und somit die Schallemission, kontrolliert werden. In diesem theoretischen Szenario fungiert der breite rechte Nasengang als eine Art "akustische Schranke", welche zwischen zwei verschiedenen Modi der Klickproduktion wechselt: Der erste Modus mit luftgefülltem Nasengang führt zur Produktion der Kommunikationsklicks ("coda clicks") und der zweite Modus zur Aussendung von Echolotklicks, wenn der Nasengang kollabiert ist. Somit scheinen die zentrale Position und die nahezu horizontale Orientierung des rechten Nasengangs im Kopf der Pottwale als Schnittstelle (Schranke) zwischen den beiden großen Fettkörpern mit dem Mechanismus der Schallproduktion bei veränderten Luftvolumina korreliert zu sein. Die hier beschriebenen und andere Ergebnisse dieser Dissertation deuten darauf hin, dass die Gestalt und das Ausmaß der Nasenasymmetrie nicht mit der systematischen Zugehörigkeit der jeweiligen Art korrelieren, sondern durch den jeweiligen Typus des Sonarsystems als Ausdruck einer bestimmten ökologischen Anpassung bedingt sind. Bei Zahnwalen ist der Kehlkopf charakterisiert durch eine rostrale Verlängerung des Kehldeckels und der beiden Stellknorpel, die ein gänseschnabelartiges Rohr bilden, das von einem starken Sphinktermuskel umrundet und dabei in Position gehalten wird. Auf diese Weise ist das Atemrohr vollständig vom Digestionstrakt getrennt. Aus anatomischer Sicht ist es wahrscheinlich, dass die Schallerzeugung bei Zahnwalen durch eine Kolbenbewegung des Kehlkopfes in Richtung der Choanen zustande kommt, wodurch der Luftdruck im Nasenbereich erzeugt wird. Die Kontraktion des Sphinktermuskels als einem muskulösen Schlauch erzeugt wahrscheinlich die größte Kraft für diese Kolbenbewegung. Jedoch dürften die Muskelgruppen, die den Kehlkopf und das Zungenbein am Unterkiefer und an der Schädelbasis aufhängen, signifikant zur Druckerhöhung beitragen.
The endothelin B receptor belongs to the rhodopsin-like G-protein coupled receptors family. It plays an important role in vasodilatation and is found in the membranes of the endothelial cells enveloping blood vessels. During the course of this work, the production of recombinant human ETB receptor in yeast, insect and mammalian cells was evaluated. A number of different receptor constructs for production in the yeast P. pastoris was prepared. Various affinity tags were appended to the receptor N-and C-termini to enable receptor detection and purification. The clone pPIC9KFlagHisETBBio, with an expression level of 60 pmol/mg, yielded the highest amount of active receptor (1.2 mg of receptor per liter of shaking culture). The expression level of the same clone in fermentor culture was 17 pmol/mg, and from a 10L fermentor it was possible to obtain 3 kg of cells that contained 20-39 mg of the receptor. For receptor production in insect cells, Sf9 (S. frugiperda) suspension cells were infected with the recombinant baculovirus pVlMelFlagHisETBBio. The peak of receptor production was reached at 66 h post infection, and radioligand binding assays on insect cell membranes showed 30 pmoL of active receptor /mg of membrane protein. Subsequently, the efficiency of different detergents in solubilizing the active receptor was evaluated. N-dodecyl-beta-D-maltoside (LM), lauryl-sucrose and digitonine/cholate performed best, and LM was chosen for further work. The ETB receptor was produced in mammalian cells using the Semliki Forest Virus expression system. Radioligand binding assays on membranes from CHO cells infected with the recombinant virus pSFV3CAPETBHis showed 7 pmol of active receptor /mg of membrane protein. Since the receptor yield from mammalian cells was much lower than in yeast and insect cells, this system was not used for further large-scale receptor production. After production in yeast and insect cells, the ETB receptor was saturated with its ligand, endothelin-1, in order to stabilize its native form. The receptor was subsequently solubilized with n-dodecyl-beta-D-maltoside and subjected to purification on various affinity matrices. Two-step affinity purification via Ni2+-NTA and monomeric avidin proved the most efficient way to purify milligram amounts of the receptor. The purity of the receptor preparation after this procedure was over 95%, as judged from silver stained gels. However, the tendency of the ETB receptor produced in yeast to form aggregates was a constant problem. Attempts were made to stabilize the active, monomeric form of the receptor by testing a variety of different buffer conditions, but further efforts in this direction will be necessary in order to solve the aggregation problem. In contrast to preparations from yeast, the purification of the ETB receptor produced in insect cells yielded homogeneous receptor preparations, as shown by gel filtration analysis. This work has demonstrated that the amounts of receptor expressed in yeast and insect cells and the final yield of receptor, isolated by purification, represent a good basis for beginning 3D and continuing 2D crystallization trials.
Hepatitis E virus (HEV) is a positive-stranded RNA virus with a 7.2 kb genome that is capped and polyadenylated. The virus is currently unclassified : the organisation of the genome resembles that of the Caliciviridae but sequence analyses suggest that it is more closely related to the Togaviridae. HEV is an enterically transmitted virus that causes both epidemics and sporadic cases of acute hepatitis in many countries of Asia and Africa but only rarely causes disease in more industrialised countries. Initially the virus was believed to have a limited geographical distribution. However, serological studies suggest that that HEV may be endemic also in the United states and Europe even though it infrequently causes overt disease in these countries. Many different animal species worldwide recently have been shown to have antibodies to HEV suggesting that hepatitis E may be zoonotic. Although two related strains have been experimentally transmitted between species, direct transmission from animal to a human has not been documented. Our main objective in this study is to evaluate the suitability of current available HEV antibody assays for use in low-endemicity areas such as in Germany. Methods: We selected sera on the basis of at least borderline reactivity in the routinely used Abbot EIA. Most were tested as part of routine screening of long-term expatriates in endemic countries. The following assays (recombinant antigens : ORF2 and ORF3) were used: Abbot EIA, Genelabs ELISA, Mikrogen recomBlot and a 'Prototype' DSL-ELISA. We observed a wide range of sensitivity ( average of 56.8%) and specificity ( an average of 61.4%) in these used assays. These results implies that , these assays might be unreliable for detection of HEV infection in areas where hepatitis E is not endemic. However, most anti- HEV assays have not been correlated with the HEV RNA determined by reverse transcription. Many of these unexpected results and discrepancies can be alluded to the following reasons: I. The choice and the size of the HEV antigen. II. Duration of the antibody persistence III. A cross reactivity with different agent IV. Due to geographic species V. A low sensitivity of the available assays. VI. And infection with non-pathogenic HEV strain. (zoonotic strain?). We therefore suggest that, further studies will be required to improve the sensitivity and specificity of the available commercial assays on the market.
In the present study the cryo-immunogold technique was used and optimized for investigating the ultrastructure and immunolabeling of synaptic proteins. It is evidently a suitable method for the localization of membrane proteins since the antigens are not treated with any chemical denaturation before immunolabeling except for the fixation and since the antigens are directly exposed to the surface of the cryo-ultrasections. The v-SNARE VAMP II and the vesicle-associated proteins SV2 and Rab3A were detected extensively at small vesicles in the mossy fiber terminals. The t-SNARE SNAP-25, and N-type and P/Q type Ca2+ channels were allocated to the plasma membrane both at the active zone and outside the active zone. SNAP-25 and N-type Ca2+ channels appeared also at synaptic vesicles. A significantly increased immunolabeling of VAMP II, SV2, Rab3A, SNAP-25 and N-type Ca2+ channels was found at the active zones of fast synapses, indicating a concentration of these proteins at sites of exocytosis. The widespread distribution of the t-SNARE SNAP-25 at the axonal plasma membrane reveals that membrane-targeting specificity cannot be determined solely by v/t-SNARE interactions. Additional control components are required to assure the docking and exocytosis of the synaptic vesicles at active zones. The novel protein Bassoon was only found at active zones of central synapses and showed the highest specific labeling among all proteins investigated. Its labeling pattern implies an association of Bassoon with the presynaptic dense projections, the structural guide for vesicle exocytosis. The involvement of Bassoon in the organization of the neurotransmitter release site suggests that Bassoon may play an important role in determining the specificity of vesicle docking and fusion. In the neurosecretory endings of neurohypophysis the synaptic proteins VAMP II, SNAP- 25, SV2, Rab3A, and the N-type Ca2+ channels showed a preferential labeling over microvesicles. Moreover, the immunolabeling intensity of these proteins over microvesicles corresponded closely to that over synaptic vesicles. This suggests that these synaptic proteins share an identical association with synaptic vesicle and microvesicles. A significant labeling of SNAP-25, the N-type Ca2+ channels and VAMP II was also detected at the plasma membrane near the clustered microvesicles, indicating the competence of microvesicles for docking and exocytosis along the plasma membrane in the absence of active zones. No significant labeling of VAMP II, SNAP-25, SV2 and N-type Ca2+ channel was observed at the membrane of neurosecretory granules. This is in agreement with the notion that synaptic vesicles and microvesicles possess regulatory mechanisms for exocytosis different from those of granules. In contrast, a/ß-SNAP and NSF were found on the granules, and Rab3A and the P/Q-type Ca2+ channels on granules in a subset of terminals. Rab3A is associated specifically with the oxytocin-containing granule population. Interestingly, some plasma membrane proteins, such as SNAP-25 and even N-type Ca2+ channels and P/Q-type Ca2+ channels, were observed not only at the plasma membrane but also at the vesicular organelles. This suggests that these vesicular organelles may be involved in transporting newly synthesized proteins from the soma to the plasma membrane of the terminal. Furthermore, the vesicular pool of the Ca2+ channels may serve in the stimulationinduced translocation into the plasma membrane when required. Using the conventional preembedding method with Epon and the post-embedding method with LR Gold, VAMP II was localized at vesicular organelles of varying size and on horseradish peroxidase filled endocytic organelles in cultured astrocytes, with and without stimulation in the presence of the horseradish peroxidase. This indicates that VAMP II is involved in the cycle of vesicular exocytosis and endocytosis in astrocytes. U373 cells are capable of expressing all three members of the synaptic SNARE complex (v-SNARE VAMP II, t-SNARE syntaxin I and SNAP25). This indicates the competence of U373 to carry out regulated exocytosis by means of the classical SNARE mechanism. In addition, the ubiquitous v-SNARE cellubrevin and the endosome-associated small GTPbinding protein Rab5 could be expressed in U373 cells. All recombinant synaptic proteins investigated in U373 cells revealed a punctuate cellular distribution under the fluorescence microscope, suggesting that they are mainly associated with intracellular compartments. The cryo-electron microscopy provided direct evidence for the association of all expressed proteins with electron-lucent vesicular organelles. It further supports the potential of U373 MG cells to release low molecular weight messengers by a regulated exocytosis mechanism. In addition, myc-VAMP II was found on dispersed granules. Probably, VAMP II also participates in the exocytosis event of granules in U373 cells. Gold labeling for the two presumptive t-SNAREs syntaxin I and SNAP-25 in U373 cells was confined to the vesicular organelles. At the ultrastructural level no significant labeling was identified at the plasma membrane. The high level of colocalization of the two SNARE proteins VAMP II and syntaxin I in the cell body and in cell processes suggests that the two proteins are mostly sorted into identical vesicular organelles. A partial colocalization of VAMP II and cellubrevin as well as of VAMP II and Rab5 was observed under the fluorescence microscope. At the ultrastructural level, a colocalization of VAMP II and cellubrevin as well as of VAMP II and Rab5 was found on some clustered vesicles. The partial colocalization of VAMP II and cellubrevin implies that they similarly function as v-SNAREs. The partial colocalization of Rab5 with VAMP II in U373 cells suggests that the endosomal protein Rab5 is associated with VAMP II-containing organelles during some stages of their life cycle.
The focus of this study were Celtic gold coins excavated from the Martberg, a Celtic oppidium and sanctuary, occupied in the first century B.C. by a Celtic tribe known as the Treveri. These coins and a number of associated coinages, were characterised in terms of their alloy compositions and their geochemical and isotopic signatures so as to answer archaeological and numismatic questions of coinage development and metal sources. This required the development of analytical methods involving; Electron Microprobe (EPMA), Laser Ablation-ICP-MS, solution Multicollector-ICPMS and LA-MC-ICP-MS. The alloy compositions (Au-Ag-Cu-Sn) were determined by EPMA on a small polished area on the edge of the coins. A large beam size, 50µm (diameter), was used to overcome the extreme heterogeneity of these alloys. These analyses were shown to be representative of the bulk composition of the coins. The metallurgical development of the coinages was defined and showed that the earlier coinages followed a debasement trend, which was superceded by a trend of increasing copper at the expense of sliver while gold compositions remained stable. This change occurred with the appearance of the inscribed "POTTINA" coinage, Scheers 30/V. Two typologically different coinages, Scheers 16 and 18 ("Armorican Types") were found to have markedly different compositions which do not fit into the trends described above. A Flan for a gold coin, which may indicate the presence of a mint at the Martberg, was found to have an identicle weight and composition as the Scheers 30/I coins, which preceeded the majority of the coins found at the Martberg in the coin development chronology. The trace element anaylses were made by Laser Ablation-ICPMS using an AridusTM desolvating nebuliser to introduce matrix matched solution standards to calibrate the measurements, which were then normalised to 100%. Quantitative results were obtained for the following elements: Sc, Ti, Cr, Mn, Co, Ni, Cu, Zn, Se, Ru, Rh, Pd, Ag, Sb, Te, W, Ir, Pt, Pb, Bi. The remaining elements remain problematic as they produced incorrect standardisations mainly due to chemical effects in solution such as adsorption onto the beaker walls or oxidation : V, Fe, Ga, Ge, As, Mo, Sn, Re, Os, Hg. Changes in the sources of Au, Ag and Cu were observed during the development of the coinages through the variation of trace elements, which correlate positively with the major components of the coin alloys. Changes in the Pt/Au ratios show that the Scheers 23 coins contain distinctly different gold from the later coinages and that the Scheers 18 gold source was also different. Te/Ag was used to show that the Sch.23 coins also contained different silver and some subgroups were observed in the Sch. 30/V coins. A major change in copper source is indicated by the sudden increase of Sb and Ni with the introduction of the Sch. 30/V coins (POTTINA), which can be linked to a similar change in copper observed in the contemporary silver coinage, Sch. 55 (with a ring). Lead isotopic analyses were made by solution- and Laser Ablation - MC-ICP-MS, The laser technique proved to be in good agreement with the solution analyses with precisions between 1 and 0.1%o (per mil). The development of the laser method opens the way for easy and virtually non-destructive Pb isotopic determinations of ancient gold coins. The results showed that Sch. 23 is very different from the following coinages, Sch. 16 and 18 are also different, forming their own group, and all the later "Eye" staters (Sch. 30/I-VI) lie on a mixing line controlled by the addition of copper from a Mediterranean source, probably Sardinia or Spain. An indication of gold and silver sources should be possible with further analyses of the Sch. 23 and Rainbow Cup gold coins and the Sch. 54 and 55 silver coinages. Copper Isotopic analyses were made by solution- and Laser Ablation - MC-ICP-MS. Both techniques require further development to produce more reproducible results. The results show that there appears to be a trend to more positive d Cu65 values for the later coinages and that the link between the copper used in the Sch. 30/V (POTTINA) coins and the silver Sch. 55 (with a ring) coins is also shown by similarly postive d Cu65 values. The full suite of analyses were also made on samples of gold from the region. They were mostly composed of "placer gold", alluvial gold found in rivers. It was found that when a study is restricted to a limited number of deposits or areas then it is possible to distinguish between deposits based on the concentration of those elements which are least affected by transport related alteration processes. These elements include; the PGE's, due to their refractory nature, and those elements which are usually present in high enough concentrations to remain relatively unaffected, eg: Cu, Pb and Sb. Due to the nature of the coin alloy it is not possible to link the gold used in the coins studied here with gold deposits, as the large amounts of Ag and Cu, added to the coin alloys, have masked the Au signature. However, further Pb isotopic analyses of gold deposits should prove useful in determining from which regions Celtic gold was derived.
Role in routing to the plasma membrane of the L 0 domain of the multidrug resistance protein MRP1
(2003)
Die mehrfache Chemotherapieresistenz (Multidrug Resistance) beruht auf vermehrtem Transport von Xenobiotika aus der Zelle, was zu einer dramatischen Verringerung der intrazellulären Konzentration von chemotherapeutischen Substanzen führt. Dieser Effekt wird von transmembranen Transporter-Proteinen der ABC-Familie verursacht. Zu dieser Familie gehört MRP1, die eine große Vielfalt an Substraten transportieren kann. MRP1 ist ein 190 kDa Glykoprotein mit einer vermuteten Topologie, die zusätzlich zum typischen P-gp ähnlichen Kern (Delta MRP1) eine amino-proximale transmembrane Domäne aufweist, die aus fünf transmembranen Alpha-Helices besteht. Sie ist durch einen cytoplasmatischen Verbindungs-Loop (L0) mit Delta MRP1 verbunden. Wenn MRP1 in polarisierten Zellen exprimiert wird, wird es zu der basolateralen Membran geleitet. In der vorliegenden Arbeit sollte nun die Funktion des amino-terminalen Bereichs von MRP1, der aus der ersten transmembranen Domäne TMD0 und dem cytoplasmischen Verbindungs-Loop L0 besteht, durch Expression und Koexpression von diversen MRP1 Mutanten in polarisierten MDCKII Zellen untersucht werden. Es wurde gezeigt, dass in der L0 Region eine amphipathische Helix vorhanden ist, die für die Funktionalität der MRP1 notwendig ist; dass das isolierte L0-Peptid in der Lage ist, sich mit Delta MRPI zu assoziieren (dadurch erlangt das Protein wieder seine Funktion und lokalisiert sich in der basolateralen Membrane); dass TMD0L0 sich teilweise in der basolaterale Membrane befindet und dass seine Anwesenheit genügt, um die Glycosilierung (Fig. 4.17 in der Dissertation) und die Lokalisierung in der basolateralen Membrane des Delta MRP1 zu ermöglichen (Fig. 4.18 in der Dissertation); dass die Koexpression der zwei komplementären Fragmente eine wild-type-ähnliche Transportaktivität ergibt (Fig. 4.19 in der Dissertation) und dass die beiden Fragmente interagieren (Fig. 4.21 in der Dissertation). Es wurde ausserdem ein chimerisches Protein hergestellt, welches aus TMD0 von MRP1 und L0 von MRP2 besteht und in MDCKII und MDCKII-Delta MRP1 Zellen exprimiert. Es wurde festgestellt, dass das unvollständig glycosiliert ist (Fig. 4.24 in der Dissertation) und dass es sich im endoplasmatischen Reticulum lokalisiert (Fig. 425 in der Dissertation).
In dieser Arbeit wurde der chemische Ozonverlust in der arktischen Stratosphäre über elf Jahre hinweg, zwischen 1991 und 2002, mit Hilfe der so genannten "Ozon-Tracer Korrelationstechnik" (TRAC), untersucht. Bei dieser Methode werden Korrelationen zwischen Ozon und langlebigen Spurenstoffen im Verlauf des Winters im Polarwirbels beobachtet und so der jährliche akkumulierte Ozonverlust berechnet. Die Ergebnisse dieser Arbeit basieren im wesentlichen auf Messdaten der Satelliteninstrumente: HALOE (Halogen Occultation Experiment) auf UARS (Upper Atmosphere Research Satellite) und ILAS (Improved Limb Atmospheric Spectrometer) Instrument auf ADEOS (Advanced Earth Observing Satellite). Das HALOE Instrument misst seit Oktober 1991 kontinuierlich alle zwei bis drei Monate für einige Tage in höheren nördlichen Breiten. ILAS lieferte ausschließlich für den Winter 1996-97 Messungen, die über sieben Monate hinweg in hohen Breiten aufgenommen wurden. Aufgrund der eingeführten Erweiterungen und Verbesserungen der Methode in dieser Arbeit, konnte die Methode anhand einer detaillierten Studie für den Winter 1996-97 validiert werden. Die ILAS Messreihe wurde dazu verwendet, erstmals die Untersuchung der zeitlichen Entwicklung von Ozon-Tracer Korrelationen kontinuierlich für die gesamte Lebensdauer des Polarwirbels durchzuführen. Dabei wurden auch Korrelationen während der Bildung des Wirbels untersucht und im Besonderen mögliche Mischungsvorgänge zwischen Wirbelluft und Luftmassen außerhalb des Wirbels. Ausserdem wurde ein Vergleich der Ergebnisse von ILAS und HALOE Messdaten durchgeführt und Unterschiede in den Ergebnissen tiefgreifend analysiert. Basierend auf HALOE Messungen konnte die erweiterte TRAC Methode über elf Jahren hinweg angewendet werden. Damit war erstmals eine konsistente Analyse von Ozonverlust und Chloraktivierung über diesen Zeitraum möglich. Die Erweiterungen führten zu einer Verringerung und genauen Quantifizierung von Unsicherheiten der Ergebnisse. Ein deutlicher Zusammenhang zwischen meteorologischen Bedingungen, Chloraktivierung und dem chemischen Ozonverlust wurde deutlich. Weiterhin zeigte sich eine Abhängigkeit zwischen den meteorologischen Bedingungen und der Homogenität des Ozonverlustes innerhalb eines Winters, sowie der mögliche Einfluss von horizontaler Mischung auf Luftmassen in einem schwach ausgeprägten Polarwirbel. In dieser Arbeit wurde eine positive Korrelation zwischen den über die gesamte Lebensdauer des Wirbels auftretenden möglichen PSC-Flächen und den akkumulierten Ozonverlusten für die elf untersuchten Jahre deutlich. Es konnte darüber hinaus gezeigt werden, dass der Ozonverlust von deutlich mehr Einflüssen als nur von der Fläche möglichen PSC Auftretens bestimmt wird, sondern zum Beispiel von der Stärke der Sonneneinstrahlung abhängt. Außerdem lassen sich Auswirkungen von Vulkanausbrüchen, wie zum Beispiel im Jahr 1991 der des Mount Pinatubo, identifizieren.
Die Infrarotspektroskopie in Verbindung mit photoaktivierbaren Substraten wurde zur Untersuchung von Substrat-Protein-Wechselwirkungen eingesetzt. Dabei wurden Konformationsänderungen der Ca2+-ATPase des Sarkoplasmatischen Retikulums bei Bindung des Nukleotids, der Phosphorylierung der ATPase und der Hydrolyse des Phosphoenzyms beobachtet. Verwender wurden das native Substrat ATP und seine Analoga ADP, AMPPNP, 2'-deoxyATP, 3'-deoxyATP, ITP, AMP, Pyrophosphat, Ribosetriphosphat und TNP-AMP beobachtet. Diese Analoga waren an spezifischen funktionellen Gruppen des Substrats ATP modifiziert. Modifikation der 2'- und 3'-OH Gruppe des Ribosetriphosphats, der beta- und gamma-Phosphatgruppe und der Aminogruppe des Adenins reduzieren das Ausmaß an bindungsinduzierten Konformationsänderungen. Ein besonders starker Effekt wird für die 3'-OH Gruppe und die Aminogruppe des Adenins beobachtet. Dies zeigt die strukturelle Empfindlichkeit des Nukleotid-ATPase Komplexes auf einzelne Wechselwirkungen zwischen dem Nukleotid und der ATPase. Die Wechselwirkungen einer bestimmten Ligandengruppe mit der ATPase hängen von Wechselwirkungen anderer Ligandengruppen mit die ATPase ab. Die TNP-AMP Bindung verursacht teilweise gegenläufige und kleinere Konformationsänderungen verglichen mit ATP. Die Bindungweise von TNP-AMP ist unterschiedlich zu der von ATP, AMPPNP und anderen Tri- und Diphosphat Nucleotiden. Die Phosphorylierung der ATPase wurde mit ITP und 2'-deoxyATP beobachtet. Ca2E1P wurde in gleichem Ausmaß mit ITP und 2'-deoxyATP wie mit ATP akkumuliert, obwohl das Ausmaß der Konformationsänderungen bei Ca2E1P-Bildung geringer ist. Änderungen der 2'- und 3'-OH des Ribosetriphosphats und der Aminogruppe des Adenins beeinflussen die Reaktionsgeschwindigkeit der Phosphorylierung der ATPase. Es gibt keine direkte Verbindung zwischen dem Ausmaß der Konformationsänderung bei Nukleotid- Bindung und der Rate der Phosphorylierung. Das volle Ausmaß der ATP-induzierten Konformationsänderung ist nicht zwingend für die Phosphorylierung. Die Konformationen von Ca2E1N und Ca2E1P hängen vom Nukleotid ab. Dies weist darauf hin, dass die Struktur von ATPase Zuständen heterogener ist, als bisher erwartet. Die Aussagekraft und der Reichtum an Informationen in den Infrarotspektren zeigen, dass hiermit eine leistungsfähige Methode für die Untersuchung von Enzym-Substrat-Wechsel-Wirkungen und das räumliche Abtasten von Bindungstaschen zur Verfügung steht.
In this study we investigated the regulation of IL-18BPa by IFN-y in the context of colon cancer and human autoimmune diseases. IL-18BPa is a naturally occuring inhibitor that counteracts IL-18 bioactivity. By enhancing IFN-y production IL-18 has been introduced as pivotal mediator of TH1 immune responses. Indeed, many IL-18 effects are mediated by IFN-y. IL-18 bioactivity is connected with the pathogenesis of different inflammatory diseases, for instance, septic shock, colitis, Crohn's disease, myasthenia gravis, multiple sclerosis, rheumatoid arthritis, atherosclerosis, and organ transplant rejection. In addition, IL-18 has tumor-suppressive properties. IFN-y induced IL-18BPa expression was shown on protein and mRNA level in different colon carcinoma cell lines, organ cultures of colonic intestinal biopsy specimens, HaCaT keratinocytes as well as rheumatoid arthritis fibroblastlike synoviocytes (RA-FLS). The IFN-y-mediated induction of IL-18BPa appears to be a more general phenomenom. The capability of IFN-y to induce IL-18BPa also has been confirmed on the promoter level by performing luciferase reporter gene studies with two IL- 18BP promoter fragments. A GAS-site proximal to the transcription start site has been identified to be relevant for IFN-y-mediated induction of these two IL18BP promoter fragments. The induction of IL-18BPa is most likely mediated by STAT-1 in DLD-1 colon carcinoma cells. Sodium butyrate inhibited IFN-y-induced IL-18BPa expression in these cells. On the basis of our observations, we postulate a negative feedback mechanism, by which IFN-y-dependent and -independent IL-18 action might be counterregulated. In this model sodium butyrate is an additional player, that may interrupt the postulated negative feedback loop. A coculture system was performed to simulate an inflammatory TH1 response. This model which is more close to the in vivo situation, confirmed upregulation of IL-18BPa by endogenously produced IFN-y. The role of IL-18BPa is manifold and depends on IL-18 function in each particular case. In autoimmune diseases, for instance, which are often characterized by a TH1 polarized immune response, IL-18BPa might counterregulate IL-18 and/or IL-18-induced IFN-y bioactivity. Important examples are Crohn's disease and rheumatoid arthritis. In CD therapeutic use of IL-18BPa may therefore restore a hypothetically disturbed IL-18/IL-18BP balance. Concerning RA, IL-18BPa expression might contribute to protective functions of IFN-y, observed in different murine models for arthritis and in rheumatoid arthritis patients. Moreover, IL-18BPa might inhibit IL-18-mediated induction of subsequent cardinal inflammatory cytokines responsible for the pathogenesis of these diseases. Indeed, the pharmaceutical industry successfully used IL-18BP as therapeutic agent in a murine model of RA and in phase I clinical trials. On the contrary, in the context of carcinogenesis IFN-y- mediated IL-18BPa expression might be disadvantageous. By counterregulating the IL-18 arm of immune defenses against tumors, IL-18BP may have the potential to promote carcinogenesis. Our hypothesis is underlined by the observation that sodium butyrate, known to be protective in colon cancer, inhibited IFN-y-induced IL-18BPa expression. In parallel, IL-18-induced IFN-y is also responsible for iNOS induction. iNOS-derived NO provides a second possible way for inhibition of IFN-y-dependent and -independent tumor suppressive effects of IL-18. Finally, IFN-y-induced IL-18BPa expression was confirmed on the promoter level. This induction on the promoter level was associated with STAT-1 binding to the GAS element proximal to the start of transcription. It is tempting to speculate that blockage of the cytokine cascade upstream of IL-1 and TNF- a on the level of IL-18 may be of therapeutic benefit. Our data reflect the relationship between inflammation and cancer, in that inflammatory cells and cytokines found in tumors are likely to contribute to tumor growth, progression, and immunosuppression than they are to mount an effective host antitumour response.
In the recent years, high-resolution conditions have been established in solid-state NMR by the combination of magic angle spinning, state-of-the-art r.f. pulse schemes and the introduction of ultra-high magnetic fields. Similar to what is now routine in solution-state NMR, this has opened the way for structure determination by HR-SSNMR methods. Complete structural or dynamical characterization of the biomolecule of interest is most easily achieved if multiple or even uniformly [13C, 15N]-labeled versions are studied. In a first step, experiments that allow the complete assignment of the 13C and 15N resonances have been recently designed. To date, nearly complete chemical shift assignments were reported for two well-ordered proteins, the ±-spectrin SH3 domain and the Crh protein. The SSNMR analysis of the later protein has been presented in Section 4.1. For SSNMR applications, not the molecular size or solubility, but the spectral resolution can be of crucial importance. Experimental parameters and sample inherent conditions such molecular disorder may reduce the overall spectral dispersion. In these circumstances, techniques that allow for spectral simplification without the need of elaborated biochemical procedures (of isotopelabeling) are of special importance. In Section 2, several spectral editing methods have been proposed. These methods not only select resonances due to changesin the physical and chemical environment of the nucleus but they can also directly probe molecular properties such as dynamics and conformational heterogeneity. Once the chemical shifts are available for the biomolecule of interest, methods that permit to obtain structural restraints can be applied. In the case of multiply isotope labeled proteins, such techniques can in principle result in multiple structural parameters. In Section 3.1, we have shown that, similar to solution-state NMR, secondary chemical shifts can be readily employed to study the local backbone conformation. Inaddition, distance constraints between protons may be encoded in high-resolution on rare spins like 13C and 15N and measured. Finally, carbon-carbon constraints may be probed by employing frequency selective r.f. pulse schemes. These dihedral and distance constraints may subsequently lead to the determination of protein secondary to tertiary structure from a single protein sample. In Section 4.2,we have shown that high-affinity ligand binding to membrane proteins can be investigated with solid-state NMR. Here, the neuropeptide neurotensin which binds to the Gprotein coupled receptor NTS1 in sub-nanomolar affinity was investigated.Except for the case of rhodopsin, there is currently no information on the high-resolution structure of any other GPCR or a corresponding high-affinity ligand.Our SSNMR results identify, for the first time, a distinct binding mode of neurotensin that could be of considerable relevance for further pharmacological studies. As exemplified in section 4.3, HR-SSNMR based structural studies can also assist in refining existing (X-ray or solution-state NMR) membrane-protein structures. The presented results provide, for the first time, direct experimental evidence for a double occupancy of the Q0 binding site in the ubiquinone-bc1 complex and may provide the basis for the complete 3D structural determination of the ubiquinone binding pocket. Advancements regarding sample preparation (for example, including modular labeling, in vitro expression and intein technology) and improvements in NMR hardware instrumentation could open up new areas of solid-state NMR research such as the investigation of large protein-protein complexes or the complete 3D characterization of larger membrane proteins. Solid-state NMR studies of multiply-labeled biomolecules will furthermore profit from improved procedures for calculating 3D structures, in particular in the presence of ambiguousor a limited number of structural constraints. Unlike X-ray crystallography, protein motion does not hinder solid-state NMR methods. In fact, complementary to solution-state NMR, it may provide a very efficient means to study protein folding, flexibility and function under biologically relevant conditions. Hand in hand with solution-state techniques and crystallographic methods, solid-state NMR could provide insight into protein function and the chemistry of life with unprecedented accuracy and flexibility.
Im ersten Teil dieser Arbeit sind Protein-Protein Docking-Studien dokumentiert. Bis heute konnten die meisten Protein-Komplex-Strukturen nicht experimentell aufgeklärt werden, so auch die beiden oben genannten Elektrontransfer-Komplexe. Nach einem erfolgreichen Test wurden verschiedene Cytochrom c Oxidase:Cytochrom c Paare mit der gleichen Methode gedockt: COX aus Paracoccus denitrificans mit Pferdeherz Cytochrom c und COX mit dem löslichen Fragment des membrangebundenen Cytochrom C552 (beide aus P. denitrificans). Im zweiten Teil dieser Arbeit wurde die diffusive Annäherung des Cytochrom c an die Cytochrom c Qxidase mit der Brownschen Dynamik Methode simuliert. Die Diffusionsbewegung eines Brownschen Teilchens in wässriger Lösung wird durch die Langevin-Gleichung bestimmt. Der auf dieser Gleichung fußende Ermak-McCammon-Algorithmus ist Grundlage der Simulationsmethode. Die so ermittelten Raten für COX und Pferdeherz, sowie für COX und Cytochrom C552, wurden dann mit experimentell gewonnenen Raten verglichen. Da die Elektrostatik für den Annäherungsprozeß dieser Proteine eine so gewichtige Rolle spielt, wirken sich Mutationen, die mit einer Ladungsänderung einhergehen, merklich aus. Dies ist vor allem dann der Fall, wenn sich die Mutation in der Nähe der Bindungsstelle befindet. Aus dem gleichen Grund ist die Assoziationsrate auch stark von der Ionenstärke der umgebenden Lösung abhängig. Steigt die Ionenkonzentration wird die elektrostatische Komplementarität der Bindingsstellen der beiden Makromoleküle stärker abgeschirmt, und die Rate sinkt. Diese beiden relativen Trends konnten durch die Simulationen gut reproduziert und bestätigt werden. Allerdings liegen die absoluten Resultate merklich über den experimentell gemessenen Raten. Es ist sehr gut möglich, daß post-diffusive Effekte, die nicht in einer Brownschen Dynamik Simulation von starren Körpern berücksichtigt werden können, die Raten erniedrigen. Um den Einfluß der Membranumgebung auf die Wechselwirkung des Elektrontransportsystems zu untersuchen. wurde eine DPPC Doppelschicht um die Oxidase modelliert und energieminimiert. Mit Poisson-Boltzmann Rechnungen wurde das elektrostatische Potential dieses Nanosystems untersucht und mit dem der einzelnen Oxidase verglichen. Durch einen modifizierten Set-up konnten dann auch für dieses Membransystem Brownsche Dynamik Simulationen durchgeführt werden. Der Vergleich mit den vorhergehenden Simulationen ohne Membran erbrachte bemerkenswerte Ergebnisse. Während die Assoziationsraten für Pferdeherz Cytochrom c durch den Membraneinfluß erniedrigt wurden, stiegen sie im Fall des physiologischen Transferpartners c552. Pferdeherz Cytochrom c weist eine positive Nettoladung und einen ausgeprägten bipolaren Charakter auf. Eine große Zahl positiv geladener Seitenketten befindet sich auf der gleichen Hemisphäre wie die Bindungsstelle. Obwohl die DPPC Lipidmoleküle neutral sind, zeigten die Elektrostatikrechnungen, daß die Membranoberfläche abstoßend auf positive Ladungen wirkt. Da sich nun die Bindungsstelle der Oxidase für Cytochrom c nur etwa 10 Å oberhalb der Membran befindet, verringert sich die Wahrscheinlichkeit der Assoziation.
Mitogen activated protein kinases (MAPKs) are found in all eukaryotic cells and represent crucial elements in the signal transduction from the plasma membrane to the nucleus. Although a broad variety of extracellular stimuli activate MAPKs, they evoke very distinct cellular responses. The amplitude and duration of MAPK activation determine signal identity and ultimately cell fate. A tight and finely tuned regulation is therefore critical for a specific cellular response. The role and the regulation of extracellular signal-regulated kinase 5 (ERK5), a MAPK with a large and unique C-terminal tail, were studied in different cellular systems. The study highlights two aspects of ERK5 regulation: control of the phosphorylation state and regulated protein stability. In analogy to other MAPKs ERK5 is activated by dual phosphorylation of threonine and tyrosine residues in its activation motif. A first part of the study concentrates on whether and how the protein tyrosine phosphatase PTP-SL is involved in the downregulation of the ERK5 signal. The direct interaction of both proteins is shown to result in mutual modulation of their enzymatic activities. PTP-SL is a substrate of ERK5 and, independent of its phosphorylation, binding to the kinase enhances its catalytic phosphatase activity. On the other hand, interaction with PTP-SL does not only downregulate enzymatic ERK5 activity but also effectively impedes its translocation to the nucleus. The second part of this study focuses on the interaction of ERK5 with c-Abl and its oncogenic variants Bcr/Abl and v-Abl. In this study these tyrosine kinases are demonstrated to regulate ERK5 by two mechanisms: first, by induction of kinase activity and secondly, by stabilisation of the ERK5 protein. Stabilisation involves the direct interaction of unique ERK5 domains with Abl kinases and is independent of MAPK cascade activation. The level of ERK5 and its intrinsic basal activity – rather than its activation – are essential for v-Abl-induced transformation as well as for survival of Bcr/Abl-positive leukaemia cells. Stabilisation of ERK5 thus contributes to cell survival and should therefore be considered as an additional aspect in therapy of chronic myeloid leukaemia. Taken together, the results obtained in this study demonstrate that diverse pathways regulate ERK5 signalling by affecting kinase activity, localisation and protein stability. While the phosphatase PTP-SL is involved in negative regulation of ERK5, Abl kinases potently activate ERK5 and increase its half-life. Protein stabilisation thus is presented as a novel mechanism in the regulation of MAPKs.
Gegenstand dieser Arbeit sind Eigenschaften angeregter hadronischer Materie sowie physikalische Systeme, in denen diese Materie auftritt bzw. produziert wird. Die Beschreibung der stark wechselwirkenden Materie erfolgt in einem hadronischen, chiral-symmetrischen SU(3)L x SU(3)R Modell, welches die Saturierungseigenschaften von Kernmaterie und die Eigenschaften von Atomkernen reproduziert. Die Untersuchung heißer und dichter unendlicher hadronischor Materie zeigt, dass das vom Modell vorhergesagte Phasendiagramm stark von den Kopplungen der Baryonenresonanzen abhängt. Für kalte hadronische Materie ergibt die Einbeziehung des Baryonendekupletts und die Freiheit in deren Vektorkopplungen eine sehr große Bandbreite an verschiedenen Zustandsgleichungen. Für heiße hadronische Materie mit verschwindendem baryochemischen Potential zeigt sich ebenfalls eine starke Abhängigkeit der Eigenschaften hadronischer Materie von der Ankopplung der baryonischen Resonanzen. Es werden drei verschiedene Parametrisierungen betrachtet. Das resultierende Phasenübergangsverhalten variiert von einem "Crossover" über einen schwachen, zu einem doppelten Phasenübergang erster Ordnung. Es zeigt sich jedoch, dass die beobachteten Eigenschaften von Neutronensternen die Unbestimmtheit bzgl. der Vektorkopplung dieser Freiheitsgrade und damit der Zustandsgleichung deutlich verringern. Das Raum-Zeit Verhalten relativistischer Schwerionenkollisionen bei SPS- und RHIC-Energien wird mittels einer hydrodynamischen Simulation unter Benutzung der chiralen Zustandsgleichungen untersucht. Dabei spiegelt sich das unterschiedliche Phasenübergangsverhalten deutlich im Ausfrierverhalten der hadronischen Materie wider. Die im chiralen Modell berechneten Teilchenzahlverhältnisse werden mit den aus Schwerionenkollisionen von AGS- bis RHIC-Energien erhaltenen experimentellen Daten verglichen. Dabei zeigt sich, dass die verschiedenen Parametersätze des chiralen Modells und die Rechnungen für ein nichtwechselwirkendes, ideales Hadronengas eine ähnlich gute Beschreibung der gemessenen Weite liefern. Die deduzierten Ausfrierwerte für die Temperatur sind sensitiv auf das Phasenübergangsverhalten und liegen unterhalb der jeweiligen kritischen Temperatur. Die vorhergesagten Ausfriermassen sind in allen Parametrisierungen sehr ähnlich mit Abweichungen bis zu 15% von den entsprechenden Vakuumwerten. Die Untersuchung der Eigenschaften von Vektormesonen in dichter Materie erfolgt in der Mittleren-Feld- und in der HartreeNäherung. Hierbei zeigt sich eine signifikante Reduzierung der Teilchenmassen durch Vakuumpolarisationseffekte.
We consider the long-time behaviour of spatially extended random populations with locally dependent branching. We treat two classes of models: 1) Systems of continuous-time random walks on the d-dimensional grid with state dependent branching rate. While there are k particles at a given site, a branching event occurs there at rate s(k), and one of the particles is replaced by a random number of offspring (according to a fixed distribution with mean 1 and finite variance). 2) Discrete-time systems of branching random walks in random environment. Given a space-time i.i.d. field of random offspring distributions, all particles act independently, the offspring law of a given particle depending on its position and generation. The mean number of children per individual, averaged over the random environment, equals one The long-time behaviour is determined by the interplay of the motion and the branching mechanism: In the case of recurrent symmetrised individual motion, systems of the second type become locally extinct. We prove a comparison theorem for convex functionals of systems of type one which implies that these systems also become locally extinct in this case, provided that the branching rate function grows at least linearly. Furthermore, the analysis of a caricature model leads to the conjecture that local extinction prevails generically in this case. In the case of transient symmetrised individual motion the picture is more complex: Branching random walks with state dependent branching rate converge towards a non-trivial equilibrium, which preserves the initial intensity, whenever the branching rate function grows subquadratically. Systems of type 1) and systems of type 2) with quadratic branching rate function show very similar behaviour. They converge towards a non-trivial equilibrium if a conditional exponential moment of the collision time of two random walks of an order that reflects the variability in the branching mechanism is finite almost surely. The equilibrium population has finite variance of the local particle number if the corresponding unconditional exponential moment is finite. These results are proved by means of genealogical representations of the locally size-biased population. Furthermore, we compute the threshold values for existence of conditional exponential moments of the collision time of two random walks in terms of the entropy of the transition functions, using tools from large deviations theory. Our results prove in particular that - in contrast to the classical case of independent branching - there is a regime of equilibria with variance of the local number of particles.
One of the known apoptotic pathways in mammalian cells involves release of mitochondrial Cytochrome c into the cytosol. Cyt c then together with ATP or dATP induces a conformational change in the adaptator protein Apaf-1 (a homologue of the C. elegans CED4 protein) (Zou, Henzel et al. 1997), leading to its oligomerization and the recruitment of several pro-Casp-9 molecules. This protein complex assembly called "apoptosome" leads to the activation of Casp-9 which then initiates or amplifies the caspase cascade. The cell death program can be stalled at several points and we were interested in identifying new proteins inhibiting cell death downstream of Cyt c release. This thesis describes how I have screened a cDNA library derived from a pool of human breast carcinomas in a yeast-based survival screen, using the S. pombe yeast strain HC4 containing an inducible CED4 construct(James, Gschmeissner et al. 1997). The screen resulted in the identification of six proteins displaying cell death-inhibiting activity in S. pombe as well as anti-apoptotic potential in mammalian cells. Those six molecules were RoRet (Ruddy, Kronmal et al. 1997), Aven (Chau, Cheng et al. 2000), Fte-1/S3a (Kho, Wang et al. 1996), PGC2 (Padilla, Kaur et al. 2000; Goetze, Eilers et al. 2002), SAA1-2ß (Moriguchi, Terai et al. 2001) and FBP (Brockstedt, Rickers et al. 1998) of which I selected RoRet, Aven and Fte-1/S3a for further analysis. RoRet is a new anti-apoptotic molecule that can inhibit the mitochondrial pathway via its PRY-SPRY domain. RoRet does not seem to bind to Apaf-1, and does not co-localize with the activated Apaf-1/Caspase-9 complex. Aven was published to act as an anti-apoptotic protein and suggested to function via the recruitment of Bcl-XL to Apaf-1. This work shows that its C-terminal domain can bind to Apaf-1 and has a strong anti-apoptotic activity by itself. Moreover, Aven co-localizes with the activated Apaf-1/Caspase-9 complex suggesting that it is a component of the apoptosome. Furthermore, the expression of Aven is regulated in mammary glands during the pregnancy cycle. Fte-1/S3a has been already implicated in increased transformation capacity of v-Fos in fibroblasts (Kho and Zarbl 1992; Kho, Wang et al. 1996). This work shows that it has anti-apoptotic activity and can protect against Bak- and Apaf-1-induced apoptosis. It can bind directly to activated Apaf-1 at the linker domain between the WD40 repeats and the CED4-like domain, suggesting that it may protect by sequestering the activated Apaf-1 to some organelles whose nature remains to be determined. Moreover, expression studies on mRNA and protein level showed upregulation of Fte-1/S3a in colon, lung and kidney carcinoma. Hmgb1 (Flohr, Rogalla et al. 2001; Pasheva, Ugrinova et al. 2002; Stros, Ozaki et al. 2002) was identified during a survival screen performed with a NIH 3T3 mouse fibroblast cDNA library in a Bak-expressing yeast S. pombe strain. HMGB1 can protect against Bak-, UV-, FasL- and TRAIL-induced apoptosis. Significant overexpression of HMGB1 was found in breast and colon carcinoma, and elevated mRNA amounts were detected in uterus, colon and stomach carcinoma, suggesting that it may be a tumour marker (Brezniceanu et al., 2003).
Resistive Plate Chambers (RPCs) are gaseous parallel plate avalanche detectors that implement electrodes made from a material with a high volume resistivity between 10 high 7 and 10 high 12 omega cm. Large area RPCs with 2mm single gaps operated in avalanche mode provide above 98% efficiency and a time resolution of around 1 ns up to a flux of several kHz/cm high 2. These Trigger RPCs will, as an example, equip the muon detector system of the ATLAS experiment at CERN on an area of 3650 m high 2 and with 355.000 independent read out channels. Timing RPCs with a gas gap of 0.2 to 0.3mm are widely used in multi gap configurations and provide 99% efficiency and time resolution down to 50 ps. While their performance is comparable to existing scintillator-based Time-Of-Flight (TOF) technology, Timing RPCs feature a significantly, up to an order of magnitude, lower price per channel. They will for example equip the 176 m high 2 TOF barrel of the ALICE experiment at CERN with 160.000 independent read out cells. RPCs were originally operated in streamer mode providing large signals which simplifies readout electronics and gap uniformity requirements. However, high rate applications and detector aging issues made the operation in avalanche mode popular. This was also facilitated by the development of new highly quenching C2F4H2-based gas mixtures with small contents of SF6. While the physics of streamers is difficult to study, the avalanche mode opened the possibility for a detailed simulation of the detector physics processes in RPCs. Even though RPCs were introduced in the early eighties and have been (will be) used in experiments, there are still disagreements about the explanation of several aspects of the RPC performance. The high efficiency of single gap RPCs would require a large ionization density of the used gases, which according to some authors contradicts measurements. Even in the case of a large ionization density the gas gain has to be extremely large, in order to arrive at the observed RPC efficiency. This raises other questions: A very strong space charge effect is required to explain the observed small avalanche charges around 1 pC. Doubts have been raised whether an avalanche can progress under such extreme conditions without developing into a streamer. To overcome these difficulties, other processes, like the emission of an electron from the cathode, were suggested. Moreover, the shape of measured charge spectra of single gap RPCs differs largely from what is expected from the statistics of the primary ionization and the avalanche multiplication. In this thesis we discuss the detector physics processes of RPCs, from the primary ionization and the avalanche statistics to the signal induction and the read out electronics. We present Monte-Carlo simulation procedures that implement the described processes. While the fundament of the described model and some results were already published elsewhere [1], the subject of this thesis is the implementation of the space charge effect. We present analytic formulas for the electrostatic potential of a point charge in the gas gap of an RPC. These formulas were developed in collaboration with the University of Graz [2] and were published in [3, 4]. The simulation model presented in [1] is completed by the dynamic calculation of the space charge field using these formulas. Since the gas parameters like drift velocity and the Townsend and attachment coefficients depend on the electric field, they are calculated dynamically as well. The functional dependence of these parameters on the field is obtained with the simulation programs MAGBOLTZ and IMONTE. For the primary ionization parameters, we use the values that are predicted by the program HEED. While the described procedure only simulates the longitudinal avalanche development towards the anode of the RPC, we also present more dimensional models that allow a careful study of the transverse repulsive and attractive forces of the space charge fields, and of the consequences for the avalanche propagation. We shall show that the efficiencies of single gap Timing RPCs is indeed explained by the high primary ionization density (about 9.5 /cm as predicted by HEED) and a large effective Townsend coefficient (around 113 /mm as predicted by IMONTE). We show that the space charge field reaches the same magnitude as the applied electric field in avalanches at large gas gain. This strong space charge effect effectively suppresses large values for the avalanche charges. The shape of the simulated charge spectra is very similar to the measurements. Also the simulated average charges are close to the experimental results. RPCs are operated in a strong space charge regime over a large range of applied voltage, contrary to wire chambers. We apply only standard detector physics simulations to RPCs. The performance of Timing and Trigger RPCs is well reproduced by our simulations. The results concerning the space charge effect were presented and discussed at the 'RPC 2001' workshop [5] and on the '2002 NSS/MIC' conference [6].
In summary, the cooled heavy-ion beams of the ESR storage ring offer excellent experimental conditions for a precise study of the effects of QED in the groundstate of high-Z one- and two-electron ions. This has been demonstrated within the series of experiments conducted at the electron cooler device as well as at the gasjet target. In this work we have used a recently developed experimental approach to obtain the first direct measurement of the two-electron contributions to the ground state binding energy of helium-like uranium. By employing our method, all one-electron contributions to the binding energy such as finite-nuclear size corrections and the one-electron self energy cancel out completely. Note, this is a distinctive feature of this particular kind of QED test and is in contrast to all other tests of bound state QED for high-Z ions such as 1s Lamb shift (in one-electron systems), g-factor of bound electrons, or hyperfine splitting. Compared to former investigations conducted at the superEBIT in Livermore we could already substantially improve the statistical accuracy and extend studies to the higher-Z regime. Moreover, our result has reached a sensitivity on specific two-electron QED contributions. Our value agrees with the theoretical predictions within the experimental uncertainty. Similar to the superEBIT experiment possible sources of systematic errors are essentially eliminated and the final result is limited only by counting statistics. For the case of the 1s Lamb shift in hydrogen-like uranium, the achieved accuracy of +- 4.2 eV is a substantial improvement by a factor of 3 compared to the most precise value up to now [44] (see Fig. 5.6). Our result already provides a test of the first-order QED contributions at the 1.5% level and only a slight improvement is required in order to achieve a sensitivity to QED contributions beyond first-order SE and VP.
The mechanism of peptide transport has been studied on two different ABC transporters of S. cerevisiae. Thereby, the aim of this PhD thesis was to characterise the transporter function on molecular level and shed light on the physiological role of these transporters. The ABC gene YLL048 encodes a novel intracellular transporter translocating peptides from the cytosol to the lumen of the ER. Deletion of the gene resulted in loss of peptide transport activity. The transport activity was fully restored after transformation of the deletion mutant by plasmid-encoded YLL048. Studying the substrate specificity using randomized peptide libraries it was demonstrated that peptides of the size from 6 to 56 amino acids are recognized. So far, no upper limit of the substrate size was obtained. Introduction of D-amino acids in various positions of a nonamer peptide did not impair transport activity. The physiological function of YLL048p is not well understood. The gene product is not essential for cell viability as the deletion mutant did not show any growth phenotype. To examine the possibility that YLL048 encoded protein is part of a quality control of yeast cells involved in the unfolded protein response (UPR), upregulation of YLL048 transcription by heat shock and stress conditions were investigated. We could not observe an influence of stress factors on YLL048 mRNA level. Upregulation of gene expression by the transcription factors Pdr1p and Pdr3p was excluded. The ABC transporter Mdl1p has been identified as peptide transporter of the inner mitochondrial membrane. This protein is required for the export of peptides with the size of 6 to 21 amino acids from the matrix into the intermembrane space. These peptides are generated by m-AAA proteases degrading non-assembled or missfolded membrane proteins. In order to understand the transport mechanism in detail, Mdl1p was expressed in S. cerevisiae and E. coli. Partially enriched protein was reconstituted into liposomes and was active in ATP binding. The association of the NBDs has been described as a central step of the ATPase cycle of ABC transporters, but it is still controversial how both motor domains cooperate and coordinate ATP hydrolysis. To address this question, the Mdl1p-NBD was overexpressed in E. coli and purified to homogeneity. The isolated NBD was active in ATP binding and hydrolysis with a turnover of 0.5 ATP per min and a Km value of 0.2 mM. Isolated NBDs did not show cooperativity in ATPase activity. However, the ATPase activity was observed to be non-linearly dependent on protein concentration suggesting the active form of this enzyme is not a monomer. Very importantly, for the first time an ATP-induced dimer was observed after trapping the NBD by ortho-vanadate or BeFx. The nucleotide composition of the trapped intermediate state was determined and two ADP molecules were simultaneously bound per dimer. An ATP-induced dimer of the ATPase inactive mutant (E559Q) was observed already in the absence of ATPase inhibitor. The E599Q dimer contained two ATP molecules in the absence of Mg2+ at 4°C. Prolonged incubation at 30°C in the presence of Mg2+ induced a stable dimer in which one ATP and ADP molecule were trapped at the same time. Based on these experiments, a new cycle for ATPase activity of ABC transporters was proposed. Binding of ATP to two NBD monomers induces dimerization. Both nucleotides are hydrolysed sequentially. During the hydrolysis cycle the nucleotides cannot be released from the dimer. After hydrolysis of two ATP molecules the domains dissociate and start a new cycle.
Die Entwicklung der Renormierungsgruppen-Technik, die in ihrer feldtheoretischen Version auf Ideen von Stückelberg und Petermann und in der Festkörperphysik auf K.G. Wilson zurückgeht, hat wesentliche Einsichten in die Natur physikalischer Systeme geliefert. Insbesondere das Konzept der so genannten Universalitätsklassen erhellt, warum Systeme, die durch scheinbar sehr verschiedene Hamilton-Operatoren beschrieben werden, doch im Wesentlichen die selbe (Niederenergie-)Physik zeigen. Ein weiterer Grund für den Erfolg dieser Methode liegt darin begründet, dass sie in systematischer Weise unendlich viele Feynman-Diagramme aufsummiert und somit über konventionelle Störungstheorie hinaus geht. Dies spielt in der Festkörperphysik vor allem dann eine wichtige Rolle, wenn das vorliegende physikalische System stark korreliert ist. Entsprechend der Vielzahl von Anwendungsmöglichkeiten hat sich in den vergangenen Jahrzehnten eine große Bandbreite verschiedener Formulierungen der Renormierungsgruppen-Technik ergeben. Eine davon ist die sogenannte funktionale Renormierungsgruppe, die auf Wegner und Houghton zurück geht und die auch in der vorliegenden Arbeit benutzt und weiter entwickelt wurde. Wir haben hier insbesondere auf die Einbeziehung der wichtigen Reskalierungsschritte wertgelegt. Als erstes Anwendungsgebiet des neu entwickelten Formalismus wurden stark korrelierte Elektronen in einer Raumdimension ausgewählt und hier insbesondere ein Modell, das als Tomonaga-Luttinger-Modell (TLM) bezeichnet wird. Im TLM wechselwirken Elektronen mit einer strikt linearen Energiedispersion ausschließlich über so genannte Vorwärtsstreu-Prozesse. Aufgrund der Linearisierung der Energiedispersion nahe der Fermipunkte ergibt sich ein Modell, das z.B. mit Hilfe der so genannten Bosonisierungs-Technik exakt gelöst werden kann. Hauptziel der vorliegenden Arbeit ist es, die bekannte Spektralfunktion dieses Modells unter Verwendung des Renormierungsgruppen-Formalismus zu reproduzieren. Gegenüber der bisherigen Implementierung der Renormierungsgruppe, bei der lediglich der Fluss einer endlichen Anzahl von Kopplungskonstanten betrachtet wird, stellt die Berechnung des Flusses ganzer Korrelationsfunktionen eine enorme Erweiterung dar. Der Erfolg dieser Herangehensweise im TLM bestärkt die Hoffnung, dass es in Zukunft auch möglich sein wird, die Spektralfunktionen anderer Modelle mit dieser Methode zu berechnen, bei denen herkömmliche Techniken versagen.
This thesis presented the measurement of antideuteron and antihelium-3 production in central AuAu collisions at V SNN = 200 GeV center-of-mass energy at RHIC. The analysis is based on STAR data, about 3 x 10 high 6 events at top 10% centrality. Within the data sample a total number of about 5000 antideuterons and 193 antihelium-3 were observed in the STARTPC at mid-rapidity. The specific energy loss measurement in the TPC provides antideuteron identification only in a small momentum window, antihelium-3 however can be identified nearly background free with almost complete momentum range coverage. Following the statistical analysis of the hadronic composition at chemical freeze-out of the fireball, the antinuclei abundances were analyzed in terms of the same statistical description. Now applied to the clusterization of the fireball, the statistical analysis yields a fireball temperature of (135+-10) MeV and chemical potential of (5+-10) MeV at kinetic freeze-out. In the same way as the hadronization, the clusterization process is phase-space dominated and clusters are born into a state of maximum entropy. The large sample of observed antihelium-3 allowed for the first time in heavy-ion physics to calculate a differential multiplicity and invariant cross section as a function of transverse momentum. As expected, the collective transverse flow in the fireball flattens the shape of the transverse momentum spectrum and leads to the high inverse slope parameter of (950+-140) MeV of the antihelium-3 spectrum. With the extracted mean transverse momentum of antihelium-3, the collective flow velocity in transverse direction could be estimated. As the average thermal velocity is small compared to the mean collective flow velocity for heavy particles, the mean transverse momentum of antihelium-3 by itself constrains the flow velocity. Here, a simple ideal-gas approximation was fitted to the distribution of the mean transverse momentum as a function of particle mass and provided direct access to the kinetic freeze-out temperature and the flow velocity. A concept, which is complementary to the combined analysis of momentum spectra and two-particle HBT correlation methods commonly used to extract these parameters, and a cross check for the statistical analysis. The upper limit for the transverse collective flow velocity from the antihelium-3 measurement alone is v flow <= (0.68+-0.06)c, whereas the ideal-gas approximation yields a temperature of (130+-40) MeV and v flow = (0.46+-0.08)c. The results indicate, that the kinetic freeze-out conditions at SPS and RHIC are very similar, except for a smaller baryon chemical potential at RHIC. The simultaneous inclusive measurement of antiprotons allowed to study the cluster production in terms of the coalescence picture. With the large momentum coverage of the antihelium-3 momentum spectrum, the coalescence parameter could be calculated as a function of transverse momentum. Due to the difference between antiproton and antihelium-3 inverse slopes, increases with increasing transverse momentum - again a direct consequence of collective transverse flow. Both B2 and B3 follow the common behavior of decreasing coalescence parameters as a function of collision energy. According to the simple thermodynamic coalescence model, this indicates an increasing freeze-out volume for higher energies and is confirmed by the interpretation of the coalescence parameters in the framework of Scheibl and Heinz. Their model includes a dynamically expanding source in a quantum mechanical description of the coalescence process and expresses the coalescence parameter as a function of the homogeneity volume V hom accessible also in two-particle HBT correlation analyzes. The values for the antideuteron and antihelium-3 results agree well with the homogeneity volume from pion-pion correlations, but do not seem to follow the same transverse mass dependence. A comparison with proton-proton correlations may clarify this point and provide an important cross check for this analysis. Compared to SPS the homogeneity volume increases nearly by a factor of two. The analysis of the antinuclei emission at RHIC allowed to study the kinetic freeze-out of the created fireball. The results show, that the temperature and mean transverse velocity in the expanding system does not change significantly, when the collision energy increases by one order of magnitude. Only the source volume, i.e. the homogeneity volume, increases. That leaves open questions for the theoreticians to the details of the system evolution from the initial hot and dense phase - the initial energy density is a factor of two to three higher at RHIC than at SPS - to the final kinetic freeze-out with similar conditions. At the same time, the results are important constraints for the theoretical descriptions. The successful implementation of the Level-3 trigger system in STAR opens the door for the measurement of very rare signals. Indeed, in the coalescence physics perspective, the first observations of anti-alpha 4 He nuclei and antihypertritons 3/Delta H will come within the reach of STAR, in addition to a high statistics sample of antihelium-3.
For palaeotropical regions, only a few anecdotal reports had been published on the existence of 'ant-gardens' before this study started. As opposed to this, 'ant-house epiphytes' (i.e. domatiabearing epiphytes) were reported to be highly abundant in Southeast Asia and were presumed to be a second type of ant-epiphyte interaction. In the much better studied neotropical regions the situation seemed to be the reverse: Many reports on AGs in contrast to very few reports on anthouse epiphytes. In this study, I have presented extensive data which may help towards a better understanding of the 'Southeast Asian part' of this 'ant-epiphyte puzzle'. In Peninsular Malaysia, Borneo, Java, and Southern Thailand, a great variety of formerly unknown AG systems were discovered. 18 ant species (from 5 genera, 4 subfamilies) were identified as true AG ants, i.e. these ants actively retrieved seeds of certain epiphyte species into their carton nests. Another 49 ant species inhabited AGs as secondary, opportunistic settlers. On the epiphyte side, 84 plant species were found growing on AGs, 51 (19 genera, 12 families) of which were probably true AG epiphytes, i.e. ants retrieved the seeds to their arboreal carton nests, on which the epiphytes were then cultivated. Most of the epiphyte flora of lowland forests in Peninsular Malaysia (except for ferns, orchids and facultative epiphytes) seemed to be totally dependent on ants for their establishment in the canopy. Together with the high number of opportunistic AG inhabitants (ants, epiphytes, and many arthropod guests), these facts suggest that AGs function as pioneers in the canopy of Southeast Asian rain forests. Moreover, AG-associations might even have accounted for the unusual species richness in the epiphyte genera Dischidia, Hoya (Asclepiadaceae), Myrmecodia, and Hydnophytum (Rubiaceae). The definition of the term ant-garden only describes the basic interactions. In the ant-garden associations investigated in this study, interactions going beyond these basic ones varied depending on ant and epiphyte species. Ant-gardens initiated by Diacamma spKfmA111 were regarded as the 'most primitive' type, because this ponerine was totally dependent on preformed cavities for nest establishment, did not tend any trophobionts, and was the least selective in its seed-retrieving behavior. On the other end of the scale, Crematogaster spKfmA18 and Camponotus spKfmA9 were rated as 'most advanced' because both lived in free (i.e. cavityindependent) AGs, tended trophobionts underneath their nests, were associated with a couple of other organisms, and were highly selective in their seed-retrieving behavior. Moreover, Camponotus spKfmA9 occurred preferentially with one single epiphyte species, Hoya elliptica (Asclepiadaceae), and Crematogaster spKfmA18 was specialized on some species of giant bamboo as phorophyte. Philidris spKfmA160, which occupied a medium position in relation to the other AGs was particularly interesting for several reasons. This ant species was mainly associated with ant- house epiphytes and occurred in the heath forests of Borneo. However, the major part of the colonies, including the queen, was located underneath carton structures near the surface of the host tree and not inside the domatia of the associated plants. Moreover, very young Philidris spKfmA160 colonies had only small seedlings growing on their carton nests. The ant workers actively retrieved the seeds of their epiphyte partners into the nests. These results indicate that associations with ant-house epiphytes must be regarded as a special case of ant-gardens. I therefore suggest using the term 'ant-house' only to describe the epiphytes, but not to describe the association, and to include this type of association in the group of AGs. Strict species-specificity never occurred, but some epiphytes showed great preference for growing on the nests of certain ant species, while others occurred over a wider range. Vice versa, most ant species had several epiphytes growing on their nests, while others were mostly found with one or very few epiphyte species. These patterns were shown to be the effect of different factors, including common microclimatic preferences of ants and epiphytes, interspecific competition of epiphytes, and selective seed retrieval of AG ants. The main behavioral trait responsible for the establishment of AGs was the selectivity shown by the ants in the epiphyte seeds they carried. However, details of the mechanisms, i.e. what characteristics of the seeds are important and what motivates the ants to retrieve them, varied widely. In many cases, seed compounds located on the surface triggered carrying behavior. Detailed experimental investigations combined with literature data from the two other known 'myrmecochory systems', terricolous myrmecochores and neotropical AGs, suggested that myrmecochory is frequently triggered by a two-stage system. One relatively unspecific compound (or a combination of such compounds) constitutes the basic attractiveness for a number of ant species. Other seed characteristics (elaiosomes, mechanical properties, other surface-compounds) modulate this basic signal, accounting for species-specific preferences of ants towards certain plant species. A comparison of AGs in Southeast Asia and the neotropics shows that the numbers of AG ant and epiphyte species in each case are almost equal. Southeast Asian AG epiphytes might even turn out to outnumber the neotropical ones. Thus, not only was it possible to break down the distinction between ant-house and AG associations, but also to show that AGs in Southeast Asia are present in such high diversity and abundance as to diminish the apparent contrast between the two biogeographical regions yet further. These data help to solve at least the Southeast Asian part of the 'ant-epiphyte puzzle'.
Die Physik beschäftigt sich seit jeher mit der Frage nach dem Aufbau und der Struktur der Materie. Die Antworten änderten sich im Laufe der Zeit, der gegenwärtige Stand der Erkenntnis ist im sogenannten Standardmodell zusammengefasst. Dort werden die Elementarteilchen in Leptonen und Quarks unterteilt, die Wechselwirkungen zwischen ihnen beschreibt man durch vier fundamentale Kräfte: die Gravitation, die elektromagnetischen Kraft, die schwache und die starke Kernkraft. Gemäß dem Standardmodell sind Nukleonen, also Protonen und Neutronen, aus Quarks aufgebaut. Das Proton ist beispielsweise ein gebundener Zustand aus zwei up und einem down Quark. Die Nukelonen bilden ihrerseits die Atomkerne, welche die Systematik der Elemente bestimmen. Quarks treten in sechs verschiedenen Arten (flavours) auf: up, down, strange, charm, bottom und top. Freie Quarks konnten bislang nicht nachgewiesen werden, sie werden nur als Quark-Antiquark Paar (Meson) oder als Kombination aus drei Quarks (Baryon) beobachtet. Mesonen und Baryonen werden unter dem Begriff Hadronen zusammengefaßt. Die starke Kernkraft beruht letztlich auf der Wechselwirkung zwischen Quarks, diese wird durch die Quantenchromodynamik (QCD) beschrieben. Ähnlich der Glashow- Salam-Weinberg Theorie (GSW), die die elektromagnetische und die schwache Kernkraft beschreibt, ist die Quantenchromodynamik durch Austauschteilchen charakterisiert. Im Fall der GSW wurden die Photonen bzw. W± oder Z-Teilchen als Austauschteilchen identifiziert, in der QCD fungieren Gluonen als Austauschteilchen. Photonen vermitteln die elektromagnetische Kraft zwischen allen Teilchen, die elektrische Ladung tragen. Analog wirkt die Kraft, die durch den Austausch von Gluonen beschrieben wird, zwischen Teilchen, die eine Farbladung tragen. Anders als das neutrale Photon trägt das Gluon selbst Farbe und wechselwirkt daher mit anderen Teilchen, die Farbe tragen. Dieser Umstand zeigt bereits, dass in der QCD ganz andere Phänomene zu erwarten sind als in der GSW. Die Tatsache, dass Quarks nur in gebundenen Zuständen vorliegen, erschwert die direkte Beobachtung der Wechselwirkung zwischen ihnen. Ein indirekter Weg, um die Wirkungweise diese Kraft zu untersuchen, liegt in der Erzeugung hoher Kernmateriedichten und hoher Kerntemperaturen. Die Idee besteht darin, das Phasendiagramm von Kernmaterie experimentell zu bestimmen (Abbildung 1.3) und dann auf die zugrundeliegende Kraft zu schließen. Unter anderem führen die Kräfte, die zwischen den Einzelteilchen des Mediums herrschen, zu charakteristischen Phasenübergängen. Im Fall der Kernmaterie hofft man insbesondere, den Übergang von gebundenen Zuständen in eine Quark-Gluon-Plasma Phase (QGP), in der sich Quarks und Gluonen frei bewegen, zu beobachten. Zwei prominente Beispiele demonstrieren, warum die Eigenschaften dieses Materiezustandes - und ob er überhaupt existiert - auch für andere Teilgebiete der Physik von großem Interesse sind. Zum einen geht man davon aus, dass in der Frühphase des Universums, 10-12 s nach dem Urknall, die Energiedichte so hoch war, dass die Materie in einem Plasmazustand vorlag. In diesem Bild führt die Expansion des Raumes zu einer Abkühlung des Plasmas und schließlich zum Ausfrieren in Hadronen. Zum anderen zeigen viele Modellstudien, dass im Innern von Neutronensternen mit extremen Dichten zu rechnen ist. Unter Umständen werden Energiedichten erreicht, die hoch genung sind, um einen Phasenübergang in ein Quark Gluon Plasma zu erzwingen. Die Beschreibung dieser astronomischen Objekte setzt somit auch die Kenntnis der Kräfte zwischen den Quarks voraus. Der einzige Weg, dichte Kernmaterie im Labor zu erzeugen, stellen Schwerionenreaktionen dar. Wenn zwei ultrarelativistische schwere Kerne zentral kollidieren, entsteht für kurze Zeit eine Region hoher Energiedichte (Abbildung 1.1). QCD-Gitter-Rechnungen deuten darauf hin, dass die Dichte, die man in Schwerionreaktion gegenwärtig erreicht, hoch genung ist, um einen Übergang der Kernmaterie in eine Plasma-Phase zu erzwingen. Aufgrund des hohen Drucks expandiert die verdichtete, heiße Kernmaterie in longitudinaler (entlang des Strahls) und transversaler (senkrecht zum Strahl) Richtung und die Dichte nimmt ab. Vorausgesetzt am Anfang der Reaktion wurde ein Quark-Gluon-Plasma erzeugt, dann friert diese Phase in Hadronen aus (chemisches Ausfrieren), wenn Dichte und Temperatur einen kritischen Wert unterschreiten. Die erzeugten Hadronen wechselwirken zunächst noch elastisch miteinander, d.h. die Impulse der Teilchen ändern sich, die Identität der Teilchen bleibt jedoch erhalten. Schließlich enden auch diese Wechselwirkungen (thermisches Ausfrieren), und die Teilchen verlassen die Reaktionszone (Abbildung 1.4). Der Ablauf einer solchen Schwerionenreaktion dauert einige 10-23s und ihre räumliche Ausdehnung liegt in der Größenordnung von 10-15m, damit ist die Reaktion selbst nicht beobachtbar. Nur der Endzustand, also die Identitäten und Impluse der emittierten Teilchen, kann bestimmt werden. Um den Ablauf der Reaktion zu rekonstruieren, ist man daher auf Modellrechnungen angewiesen. Aufgrund dieser Modellrechnungen wurden einige Observablen vorgeschlagen, die einen Phasenübergang kennzeichnen. Neben anderen Signaturen führt ein Phasenübergang wahrscheinlich zu einer verlängerten Emissionsdauer. Dieser Effekt kann möglicherweise durch die Analyse von Zwei-Teilchen-Korrelationen sichtbar gemacht werden. Ganz allgemein stellt die Untersuchung von Teilchenkorrelationen die einzige Möglichkeit dar, die raum-zeitlichen Strukturen während des thermischen Ausfrierens experimentell zu bestimmen. Korrelationen zwischen Teilchen, die von einer hinreichend kleinen Quelle emittiert werden, haben verschiedene Ursachen. Betrachtet man beispielsweise die Häufigkeitsverteilung der Impulsdifferenz zwischen zwei elektrisch gleich geladenen Teilchen, so stellt man fest, dass Paare mit geringer Impulsdifferenz weniger häufig vorkommen, als man anhand der Ein-Teilchen Impulsverteilung vorhersagen würde. Dieser Effekt ist auf die Abstoßung zwischen zwei elektrisch gleich geladenen Teilchen zurückzuführen, die mit kleiner Impulsdifferenz emittiert wurden. Eine weniger offensichtliche Korrelation wird durch den Quantencharakter identischer Teilchen verursacht. Zwei identische Bosonen, die im Phasenraum nahe beieinander liegen, können gemäß den Prinzipien der Quantentheorie nicht unterschieden werden. Die Wellenfunktion, die diesen Zwei-Teilchen-Zustand beschreibt, muß beim Vertauschen der Teilchen erhalten bleiben. Diese Forderung führt zu einem Interferenzterm in der Zwei-Teilchen Intensitätsverteilung. Diese Verteilung ist proportional zur Wahrscheinlichkeit, ein Teilchenpaar mit der Impulsdifferenz q zu messen. Berechnet man die Impulsdifferenzverteilung von Pionenpaaren und berücksichtig nur quanten- statistische Effekte, so findet man, dass Paare mit geringem Impulsunterschied bis zu zweimal häufiger vorkommen, als man aufgrund einfacher statistischer Überlegungen erwarten würde. Um diesen Effekt experimentell sichtbar zu machen, konstruiert man die Korrelationsfunktion, die die gemessene Impulsdifferenzverteilung in Relation zu einer Untergrundverteilung setzt. Experimentell gewinnt man diese Referenzverteilung, indem Paare aus Spuren aus verschiedenen Ereignissen gebildet werden. Die Referenzverteilung entspricht damit der Verteilung, die man messen würde, wenn die Teilchen nicht der Quantenstatistik unterlägen. Die Korrelationsfunktion wird im allgemeinen durch eine Gauß-Funktion angenähert. Das Inverse der Standardabweichung dieser Funktion wird nach den Pionieren der Intensitätsinterferometrie R. Hanbury Brown und R. Twiss als HBT-Radius bezeichnet. Teilchen interferieren nur dann, wenn sie im Phasenraum nahe beieinander liegen, das heißt sowohl die Impulsdifferenz als auch der räumliche Abstand muß hinreichend klein sein. Diese Bedingung kann genutzt werden, um von der gemessenen Korrelationsfunktion, die nur auf den Impulskomponenten basiert, auf die räumliche Verteilung der Teilchenproduktion zu schließen. Eine detaillierte Betrachtung erlaubt sogar, aufgrund der gemessenen Korrelationsfunktion quantitative Aussagen über die räumlichen Aspekte der Teilchenquelle zu machen. Beispielsweise können im Rahmen eines Modells die Stärke der transversalen Expansion oder die Emissionsdauer in Relation zu den HBT-Radien gesetzt werden. In Kapitel 2 sind die Grundlagen der Teilcheninterferometrie ausführlicher dargestellt. Der eigentliche Gegenstand dieser Arbeit ist experimentelle Analyse der Zwei- Teilchen-Korrelationen in einer Schwerionenreaktion. Dazu wird zunächst in Kapitel 3 das STAR Experiment am RHIC vorgestellt, in dem die Daten aufgezeichnet wurden, die Grundlage dieser Analyse sind. Am RHIC-Beschleuniger am BNL in den USA werden AuAu Kollisionen bis zu einer Schwerpunktsenergie von Wurzel aus SNN=200 GeV erzeugt. Figur 3.1 zeigt den Beschleuniger-Ring und die vier Experimente Brahms, Phenix, Phobos und STAR. Der hier analysierte Datensatz wurde bei der Datennahme im Jahr 2000 aufgezeichnet. Zu dieser Zeit wurde am RHIC eine Schwerpunktsenergie von Wurzel aus SNN=130 GeV erreicht. Bei einer zentralen AuAu Kollision werden mehrere Tausend Teilchen produziert. Der STAR Detektor ist dafür konzipiert, hadronische Teilchen kleiner Rapidität (d.h. großer Winkel zur Strahlachse) zu messen, innerhalb der Akzeptanz werden etwa 80% der produzierten geladenen Teilchen nachgewiesen. Der schematische Aufbau des STAR Detektorsystems ist in Figur 3.2 dargestellt. Der zentrale Detektor ist eine TPC (Zeit-Projektions-Kammer). Dieser Detektor basiert darauf, dass geladene Teilchen beim Durchgang durch ein Messgas eine Spur von Ionen hinterlassen. Ein starkes elektrisches Feld driftet die Elektronen, die bei den Ionisationsprozessen freigesetzt wurden, zu einer Ausleseebene. Der Punkt, an dem die Elektronen auf der Ausleseebene ein Signal erzeugen, entspricht der Projektion des Ionisationpunktes auf die Ausleseebene. Die dritte Komponente, die den Raumpunkt der Ionisation festlegt, ist durch die Driftzeit bei bekannter Driftgeschwindigkeit gegeben. So erscheint eine Teilchenspur als eine Kette von Ionisationspunkten im Detektorgas. Ein magnetisches Feld parallel zur Strahlachse führt zu einer Ablenkung der geladenen Teilchen. Die Krümmung der Spur ist dabei umgekehrt proportional zum transversalen Impuls. Abbildung 3.6 zeigt ein typisches Ereignis mit etwa 105 Ionisationspunkten und den entsprechenden Teilchenspuren. Der spezifische Energieverlust eines Teilchens beim Durchgang durch das Messgas hängt von seinem Impuls und seiner Masse ab. Die Stärke des auf der Ausleseebene induzierten Signals erlaubt den spezifischen Energieverlust zu bestimmen. Da der Impuls durch die Krümmung der Spur bekannt ist, kann so die Masse und damit die Identität des Teilchens bestimmt werden (siehe Abbildung 3.7). In Kapitel 4 wird der Datensatz beschrieben, der als Grundlage für diese Analyse dient. Während der Datennahme werden die digitalisierten Daten der TPC auf ein Speichermedium geschrieben. Der erste Schritt bei der Rekonstruktion der Ereignisse besteht darin, die Ionisationspunkte zu lokalisieren. Dies leistet der Clusterfinder- Algorithmus, der in Kapitel 4.1.1 beschrieben ist. Die Spurpunkte werden dann durch den Tracking-Algorithmus zu Teilchenspuren verbunden. Die erreichte Effizienz, Akzeptanz und Impulsauflösung der Rekonstruktion sind in Kapitel 4.1.2 zusammengefaßt. Die Zwei-Teilchen-Korrelationen werden nur für zentrale Kollisionen betrachtet, das sind Ereignisse mit kleinem Stoßparameter. Die Multipliztät der gemessenen Spuren ist in erster Näherung ein Maß für die Zentralität des Ereignisses. Für diese Analyse werden nur die 12% zentralsten Ereignisse zugelassen. Die Selektion der Ereignisse ist in Kapitel 4.2 beschrieben. Die Auswahl der Spuren, die in der Analyse verwendet werden, ist in Kapitel 4.3 beschrieben. Es werden nur Spuren zugelassen, deren Impulse in einem Bereich hinreichend hoher Akzeptanz und Effizienz liegen. Außerdem werden die Spuren ausgewählt, die mit hoher Wahrscheinlichkeit von Pionen stammen. Eine weitere Auswahl wird auf der Paarebene getroffen. Die Korrelationsfunktion wird in einzelnen Intervallen transversalen Paarimpulses kt und Paarrapidität Yðð gebildet. Damit kann die Abhängigkeit der HBT-Radien von diesen Größen dargestellt werden. Zwei weitere Auswahlkriterien sollen die Qualität der Spurpaare garantieren. Zum einen werden solche Paare verworfen, die im Detektor zu nahe beieinander liegen. Für die HBT-Analyse sind Paare mit geringem Impulsunterschied entscheidend, ein geringer Impulsunterschied heißt notwendigerweise, dass die Spuren räumlich nicht sehr weit getrennt sind. Wenn die Spuren aber zu nahe liegen, können sie vom Detektor und von der Rekonstruktionskette nicht mehr aufgelöst werden. Damit verliert man einen Teil der Paare in der Signalverteilung, nicht aber in der Untergrundverteilung, da in diesem Fall die endliche Zwei-Spur-Auflösung keine Rolle spielt. Um die Korrelationsfunktion nicht durch einen Detektoreffekt zu verfälschen, entfernt man die Paare, die im Detektor nahe beieinander liegen, sowohl in der Signal- als auch in der Untergrundverteilung. Ein weiteres Problem stellen "gebrochene" Spuren dar. In einigen Fällen wird eine Teilchenspur von der Rekonstruktionskette nicht als Ganzes erkannt, vielmehr werden zwei Spurstücke im Dektor gefunden. Da diese Spurstücke vom selben Teilchen stammen, haben sie eine sehr geringe Impulsdifferenz. Diese Paare können anhand ihrer Topologie im Detekor erkannt werden. Wie im Fall der begrenzten Zwei-Spur-Auflösung werden sie sowohl für die Signal- als auch für die Untergrundverteilung nicht zugelassen. In Kapitel 5 werden schließlich die Ergebnisse der Korrelationsanalyse dargestellt. Die Korrelationsfunktion wird in verschiedenen Parametrisierungen betrachtet. In der einfachsten Form betrachtet man nur den Betrag des Impulsdifferenzvektors. Dieser Ansatz bedeutet aber, dass der entsprechende HBT-Radius alle Raum-Zeit Komponenten mischt und damit nur wenig Aussagekraft bezüglich der Quellfunktion besitzt. Eine differenzierte Analyse in drei unabhängigen Komponenten ermöglichen die Pratt-Bertsch (PB) und die Yano-Koonin-Podgoretskii (YKP) Parametrisierung. Die beiden Parametrisierungen unterscheiden sich in der Zerlegung des Impulsdifferenzvektors in drei unabhängige Komponenten. Im ersten Fall bezeichnet man die Komponenten als qout, qlong und qside, im zweiten Fall als qpara, qperp und q0 (Kapitel 2.7 und 2.8). Die entsprechenden Korrelationsfunktionen sind in Gleichung 2.31 bzw. 2.34 gegeben. Die jeweiligen HBT-Radien Rout, Rlong und Rside bzw. Rpara, Rperp und R0 können in Relation zu den Parametern der Quellfunktion (Gleichung 2.43) gesetzt werden. Die beiden Parametrisierungen liefern im Prinzip die gleiche Information und die beiden Sätze von HBT-Radien können in Beziehung zueinander gesetzt werden (Gleichung 2.41). Beispielsweise entspricht der HBT-Radius R0 in der YKP-Parametrisierung in erster Näherung der Emissionsdauer, während in der PB- Parametrisierung diese Größe Verhältnis von Rout zu Rside abhängt. Zusätzlich zu den Radien enthält die YKP-Parametrisierung einen Parameter ß, der erlaubt, die longitudinale Geschwindigkeit des betrachteten Quellelementes zu bestimmen. Die Abbildungen 5.7 bis 5.10 zeigen die HBT-Radien beider Parametrisierungen in Abhänigigkeit vom transversalen Paarimpuls kt und von der Paarrapidität Yðð. Die Größe der gemessenen Radien bewegt sich zwischen 3 und 7 fm. Nur der Radius R0 verschwindet in den meisten kt-Yðð Intervallen. Die anderen Radien nehmen mit steigendem kt ab und sind unabhängig von Yðð . Abbildung 5.11 demonstriert, dass die beiden Parametrisierungen -dort wo sie vergleichbar sind- konsistente Ergebnisse liefern. Eine Diskussion der Ergebnisse schließt sich in Kapitel 6 an. Die Abhänigigkeit des Parameters ß von Yðð zeigt eine starke longitudinale Expansion an. Ein ähnliches Verhalten wurde bei niedrigeren Schwerpunktsenergien beobachtet, wo man allerdings eine schwächere longitudinale Expansion erwarten würde. Die Lebensdauer der Quelle, also die Zeit vom anfänglichen Überlapp der Kerne bis zum thermischen Ausfrieren, bestimmt die kt-Abhänigigkeit des Parameters Rlong. Dieser Zusammenhang wurde von Mahklin und Sinyukow formuliert, eine Anpassung der entsprechenden Funktion an die gemessene kt Abhänigigkeit von Rlong ergibt eine Lebensdauer von etwa 8 fm/c bei einer Ausfriertemperatur von etwa 126 MeV. Entsprechende Messungen bei niedrigeren Kollisionsenergien lieferten ähnliche Resultate. Die kt-Abhängigkeit des Parameters Rside ist mit der Stärke der transversalen Expansion gemäß Gleichung 6.3 verknüpft. Da die Relation nicht eindeutig ist, muß entweder eine feste Ausfriertemperatur angenommen werden oder es werden gleichzeitig Einteilchenspektren betrachtet, um die Mehrdeutigkeit zu eliminieren. Eine vorläufige Abschätzung ergibt eine mittlere transversale Expansions- geschwindigkteit von v ungefähr gleich 0.6 und einen gemetrischen Radius von RG ungefähr gleich 7.4 fm . Auch diese Ergebnisse sind vergleichbar mit entsprechenden Resultaten bei niedrigeren Kollisionsenergien. Ein weiterer Parameter der Quellfunktion ist die Emissionsdauer. Die Pionen werden nicht zu einem festen Zeitpunkt emittiert, man geht vielmehr davon aus, dass die Zeitpunkte der letzten elastischen Wechselwirkung in der Quelle gaußförmig verteilt sind. Den Mittelwert dieser Verteilung bezeichnet man als Lebensdauer der Quelle, die Breite als Emissionsdauer. Entsprechend Gleichung 6.4 bzw. 6.5 ist die Emissionsdauer mit dem Radius R0 bzw. dem Verhältnis Rout zu Rside verbunden. Wie in Abbildung 5.8 ersichtlich verschwindet der Parameter R0 , außer im kleinsten kt Intervall. Dies entspricht in der PB-Parametrisierung der Tatsache, dass das Verhältnis Rout zu Rside bei hohen kt kleiner als eins ist. Diese Resultate sind nicht vereinbar mit herkömmlichen Modellen. Insbesondere weil eine verlängerte Emissionsdauer als Signatur für die Bildung eines Quark-Gluon-Plasmas vorgeschlagen wurde, wird dieses Ergebnis derzeit intensiv diskutiert. Die Ergebnisse dieser Analyse sind sowohl mit bereits publizierten Daten der STAR Kollaboration als auch mit Resultaten von anderen RHIC Experimenten verträglich (siehe Abbildung 6.8). In Abbildung 6.9 ist die Abhängigkeit der HBT-Radien von kt bei verschiedenen Schwerpunktsenergien dargestellt. Im Gegensatz zu vielen anderen Observablen ändern sich die HBT Radien nur geringfügig. Da man erwartet, dass die Reaktion bei hohen Energien vollkommen anders abläuft, würde man auch davon ausgehen, dass sich die Ausfrierbedingungen ändern. Dass dies nicht in den Zwei-Teilchen- Korrelationen sichtbar wird, deutet darauf hin, dass die Näherungen die notwendig sind, um die gemessenen Radien mit Modellparametern zu verbinden, nicht gültig sind. Die Systematik der HBT Parameter als Funktion der Schwerpunktsenergie enthält damit keinen direkten Hinweis, dass die kritische Energiedichte überschritten wurde, ab der die Kernmaterie in einer Plasmaphase vorliegt. Andererseits werden weder die verschwindende Emissionsdauer noch die Tatsache, dass die anderen HBT-Parameter sich nur wenig mit der Schwerpunktsenergie ändern, als Argument dafür gewertet, dass die kritische Energiedichte nicht überschritten wurde. Die Frage, ob ein Quark- Gluon-Plasma im Labor erzeugt und analysiert werden kann, bleibt damit offen. Das thermische Ausfrieren einer Pionenquelle scheint hingegen anders zu verlaufen, als bisher angenommen wurde. Systematische Studien der Korrelationsfunktion in AA Kollisionen am RHIC in Kombination mit Fortschritten im theoretischen Verständnis der Teilcheninterferometrie in Schwerionenreaktion werden in Zukunft hoffentlich erlauben, die gemessenen Radien in ein konsistentes Bild einzuordnen. In zukünftigen Experimenten am LHC werden noch weit höhere Dichten erreicht als bisher, damit sollten sich auch die Ausfrierbedingungen stark verändern. Es wird sich dann zeigen, ob die Teilcheninterferometrie das geeignete Instrument ist, um die Quellfunktion einer Schwerionenreaktion zu messen.
Periplasmic Sud protein encoded by the Wolinella succinogenes catalyses the transfer of bound polysulfide-sulfur to the active site of the membrane bound polysulfide reductase. The homodimeric protein consists of 131 residues per monomer, each with one cysteine residue in the active site. Polysulfide-sulfur is covalently bound to the catalytic Cys residues of the Sud protein. In order to understand the structure-function relationship of this protein, the features of its solution structure determined by heteronuclear multidimensional NMR techniques are reported here. The first step of structure determination leads to resonance assignments using 15N/13C/2H- and 15N/13C-labeled protein. The sequential backbone and side chain resonance assignments have been successfully completed. Structure calculations were carried out using the ARIA program package. The structure is based on 2688 NOE-derived distance restraints, 68 backbone hydrogen bond restraints derived from 34 slow-exchanging backbone amide protons and 334 torsion angle restraints obtained from the TALOS program as well as 158 residual dipolar coupling restraints for the refinement of relative vector orientations. The three-dimensional structure of the Sud protein was determined with an averaged rootmean- square deviation of 0.72 Å and 1.28 Å for the backbone and heavy atoms, respectively, excluding the terminal residues. Without the poorly defined segment between residues 90-94 the average r.m.s.d. value drops down to 0.6 Å and 1.14 Å. The ensemble refined with residual dipolar coupling (rdc) restraints shows good convergence. The r.m.s.d. value for the backbone heavy atoms, excluding residues 90- 94, drops down from 0.97 to 0.66 for the rdc-refined ensemble. The relative orientation of the two monomers in the protein structures refined with residual dipolar coupling restraints are also different from those without residual dipolar coupling restraints. The structure determination of the dimeric protein has been hampered by the high molecular mass (30 kDa), severe peak degeneracy, and by the small number of experimental intermonomer NOEs (relative orientation problem of two monomers). For the resonance assignments of aliphatic side chain, many resonances were ambiguously assigned because of severe overlap of signals. The Sud dimer protein contains 17 Lys, 14 Leu and one His tag for each monomer. It complicated the resonance assignments. The conventional 3D 15N-separated TOCSY HSQC experiment failed because of the large molecular weight which results in line broadening and hence made the resonance assignments of side chains more difficult. The determined structure contains a five-stranded parallel ß-sheet enclosing a hydrophobic core, a two-stranded anti-parallel ß-sheet and seven a-helices. The dimer structure is stabilized predominantly by hydrophobic residues. Sud catalyses the transfer of the polysulfide-sulfur to cyanide, similar to rhodanese encoded by Azotobacter vinelandii (Bordo et al., 2000). The two proteins are similar in the active site environment primarily owing to the main-chain conformation of the active-site loop with the cysteine residue and with respect to the surrounding positively charged residues. The active-site loop (residues 89-95) in the Sud protein appears to be flexible, reflected by few assigned proton resonances of residues 90-94 in the active site. Despite their similarity in function and their similar structure in active site, the amino acid sequences and the folds of the two proteins are remarkably different. The negatively charged polysulfide interacts with positively charged R46, R67, and R94 and hence may be stabilized in structure. The mutation of one of the three arginines that are also conserved in rhodanese from A. vinelandii leads to a loss of sulfur-transfer activity. The polysulfide chain extends from inside of Sud protein to outside, where Sud may form contacts with polysulfide reductase. These contacts provide the possible polysulfide-sulfur transfer from Sud protein to the active site of polysulfide reductase.
P2X receptor subunits assemble in the ER of Xenopus oocytes to homomultimeric or heteromultimeric complexes that appear as ATP-gated cation channels at the cell surface. In this work it was intended to investigate the posttranslational modifications such as N-linked glycosylation and disulfide bond formation that is undergone by P2X1 receptors. In addition, the aim of this study was to examine the expression and the quaternary structure of selected P2X receptor isoforms in Xenopus oocytes. The investigation of the quaternary structure of the metabolically or surface labeled His-P2X2 receptor by BN-PAGE revealed that, while the protein complex is only partially assembling in oocytes, the plasma membrane form of the His-P2X2 receptor assembled into trimeric and even hexameric complex as was shown by the BN-PAGE analysis. Besides this finding, it is shown that the His-P2X5 protein that was purified from metabolically or surface labeled oocytes appeared as one single band corresponding to a trimer when analyzed by BN-PAGE. The present study signified that His-P2X6 alone does not reach a defined assembly status and possibly needs the hetero-polymerisation with other P2X subunits to assemble properly for insertion into the plasma membrane. Another finding of this study is that the P2X1 and P2X2 subunits could exist as heteromultimeric protein complexes in the plasma membrane of cells. Purification of surface expressed His-P2X2 subunit allowed the detection of co-injected P2X1 subunit and vice versa in Xenopus oocytes. Incubation with glutardialdehyde led to the cross-linking of P2X2 and P2X1 subunits to dimers and trimers. BN-PAGE analysis of the P2X2/P2X1 complex isolated under nondenaturing conditions from surface-labeled oocytes yielded one distinct band corresponding to a trimeric complex. The analysis of a C-terminally GFP tagged His-P2X1 fusion protein by confocal fluorescence microscopy revealed small clusters of the protein complexes, approximately 4-6 µm in diameter from a diffuse distribution of the protein in the plasma membranes of Xenopus oocytes. The cross-linking or BN-PAGE analysis of the fusion protein resulted in proteins that migrated quantitatively as trimers when purified in digitonin. The analysis of some chimeric constructs confirmed the results of others, which showed that desensitization can be removed from the P2X1 or P2X3 receptor by providing the N-domain from the P2X2 receptor (Werner et al., 1996) The exchange of this domain did not alter the quaternary structure of the chimeras, which showed to be present as trimers when expressed in oocytes. In addition, glycan minus mutants of His-P2X1 receptor were analyzed to examine whether carbohydrate side chains are important for P2X1 subunit assembly, surface expression, or ligand recognition. SDS-PAGE analysis of glycan minus mutants carrying Q instead of N at five individual NXT/S sequons reveals that 284N remains unused because of a proline in the 4 position. The four other sites (153Asn, 184N, 210N, and 300N) carry N-glycans, but solely 300N acquires complex-type carbohydrates. Like parent P2X1 receptor, glycan minus mutants migrate as homotrimers when resolved by blue native PAGE. Recording of ATP-gated currents revealed that elimination of 153N or 210N diminishes or increases functional expression levels, respectively. In addition, elimination of 210N causes a 3-fold reduction of the potency for ATP. If three or all four N-glycosylation sites are simultaneously eliminated, formation of P2X1 receptors is severely impaired or abolished, respectively. It is concluded that at least one N-glycan per subunit of either position is absolutely required for the formation of P2X1 receptors. The SDS-PAGE analysis of surface-labeled His-P2X2 and His-P2X5 receptors revealed that, while the His-P2X2 subunit acquires three complex-type carbohydrates, in case of His-P2X5 polypeptide, only two of the three N-glycans could obtain complex-type carbohydrates during transit of the Golgi apparatus. Furthermore, it was shown that DTT treatment blocked the appearance of newly made His-P2X1 at the plasma membranes of Xenopus oocytes. Also, it was revealed that the effects of DTT on His-P2X1 biogenesis are fully reversible. Removal of the reducing agent leads to subsequent folding and assembly into His-P2X1 receptor complex, followed by transport to the cell surface. The characterization of cysteine minus mutants by SDS PAGE and BN-PAGE demonstrated that, the cysteine substitution in the first cysteine rich domain (C1 - C6) does not have a major effect on assembly for the mutant receptors. In contrast, the replacement of the four cysteine residues (C7 - C10) from the second cysteine rich domain demonstrate a critical importance of this domain for the functional surface expression of P2X1 receptor. The investigations of several double cysteine mutants revealed that according to a similarity in the sensitivity to ATP, the C1 and C6, as well as C2 and C4 and finally C3 and C5 are pairs forming two disulfide bonds in each P2X1 subunit.
One of the most species-rich ant-plant mutualisms worldwide is the palaeotropical Crematogaster-Macaranga system. The pioneer-tree genus Macaranga (Euphorbiaceae) is mainly inhabited by at least nine specific species of Crematogaster (Myrmicinae), of which eight belong to the subgenus Decacrema, as well as several species of Camponotus (Formicinae). Ant species are not randomly distributed among the Macaranga host plants but distinct patterns of associations have been found (Fiala et al., 1999 and references cited therein). The specificity of the associations is maintained in spite of common sympatric distribution of several host-plant species. Associations are, however, usually not species-specific and especially the Decacrema ants, that are the focus of this study, usually colonize several host plant species each. In this study I used a combined approach of ecological data as well as phylogenetic data based on mitochondrial DNA sequences in order to elucidate the factors determining the patterns found in the associations and the evolution of this mutualistic system between the specific Decacrema ant partners and their Macaranga host plants. Life history traits of seven different morphospecies found on the most common Macaranga host plants were compared and colony development was followed from colony founding on saplings to adult trees. Temporal variability of the associations between Decacrema ants and their respective host plants was also examined. Associations between Crematogaster ants of the subgenus Decacrema and their Macaranga host plants were found to be stable over periods of time, long enough to enable reproduction of the ant colony and (in most cases) the host plants, too. Life-expectancy of the ant colony seems to be shorter than that of the host plant in general. All adult trees still provide nesting space as well as food for the ants. Colonies from different morphospecies differed in longevity, the onset of alate production, queen number and mode of colony founding. The examined Decacrema species could be placed into two groups according to their life-history traits as well as on morphological grounds: The decamera-group and the captiosa-group, each named after one species that could be synonymized with one morphospecies included in the group. Members of the captiosa-group have larger colonies, presumably with a longer life-span, and a later onset of reproduction compared to the decamera-group. Additionally, queens of the captiosa-group found colonies on saplings as well as in the crown region of bigger trees, whereas queens of the decamera-group found colonies on saplings and small treelets only. Queens belonging to the captiosa-group are brown with relatively large eyes (= 1/3 of the head length), whereas queens from the decamera-group are smaller in size, are dark brown to black in colour and have smaller eyes (< 1/3 of the head length). On some of the host plants examined in this study lifespan of the host plant and their specific ant partners seemed to be well matched whereas on others an ontogenetic succession of specific Decacrema partner ants was found, when host plants were abandoned due to the death of comparatively short-lived ant colonies, usually from species belonging to the decamera-group. Ant-partners of saplings or young plants often differed from specific partner ants found on bigger trees. Only species belonging to the captiosa-group were found to re-colonize the crown region of adult trees, thus facilitating a change of ant species, when longlived host plant species were colonized by relatively short-lived species from the decamera-group first. When long -lived host plants were colonized by long-lived species from the captiosa-group associations were stabler: I did not find any temporal variation in ant-inhabitants then. Life-span of the ant colony as well colony founding behaviour of the different partner ant species therefore play an important role for these ontogenetic changes and the specificity of the associations over time. For the host plant the ontogenetic changes have a strong impact as uninhabited host plants that are not patrolled by workers of specific ant partners suffer higher herbivore damage. Uninhabited host plants may also be colonized by unspecific arboreal ants that only make use of the nesting space and/ or food offered by the plant but do not confer protection against herbivores. Stable associations with a specific ant partner are therefore most beneficial for the host plants. Usually ant colonies are monogynous, but changes in the colony structure were found locally in two Decacrema species. I found colonies that turned secondarily polygynous, possibly after the death of the original founding queen. Secondary polygyny therefore can prolong the life-span of the antcolony on its host plant, leading to a parallel life-history and stable association as it was the case in Macaranga bancana-Crematogaster captiosa. However, in the other association (Macaranga hypoleuca-Crematogaster cf. decamera) life-expectancy of the ant-colony is still much shorter than that of its host plant species, leading to a change in the specific ant partner at a later stage. Pleometrotic foundress associations that directly led to polygynous colonies in one species were also found locally, a phenomenon hardly ever reported from ants in general. Foundress associations were found to be more successful in establishing colonies than single queens. I found indications that this change in colony founding behaviour might be due to interspecific competition for the same host plant species with another Decacrema species specific to Macaranga. For the phylogenetic analysis partial mitochondrial cytochrome oxidase I and II were sequenced and Neighbor-Joining, Maximum Parsimony, Maximum Likelihood as well as Bayesian analyses were performed. The four different analyses yielded phenetic as well as phylogenetic trees that all had a similar topology. Ants of the subgenus Decacrema formed a monophyletic clade, indicating a single colonization event at the beginning of the Macaranga-Decacrema symbiotic system. In the phylogenetic analysis the decamera-group as well as the captiosa-group were confirmed and clearly separated from each other. However, two species that would have been placed into the decamera-group, due to morphological as well as life-history traits, formed a third separate clade within the Decacrema. These two species (msp. 7- group) as well as the decamera-group came out as the basal groups in the phylogenetic analysis. Thus, life -history traits of these two groups (relatively small colonies, early onset of alate production, colony founding in ground region only) would be the ancestral state for Macarangaassociated ants of the subgenus Decacrema. Changes in colony structure, like secondary polygyny, were found in the captiosa- as well as the decamera-group and are therefore independent of the affiliation within the phylogeny. I did not find evidence for strict cocladogenesis between the subgenus Decacrema and their Macaranga host-plants, although ecological interactions between the two partner groups are close and associations can be rather specific. The phylogenies presented here, along with the known association patterns indicate that host-shifting of the ants is common in some of the species, opening the possibility of sympatric speciation as a result of increased host usage. Additionally, the considerable geographic substructuring found in the phylogenetic trees suggests that allopatric speciation has played a major role in diversification of the Decacrema ants.