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Specimens of Burmagomphus asahinai Kosterin, Makbun and Dawwrueng, 2012 and Burmagomphus divaricatus Lieftinck, 1964 from SW and NE Cambodia show differences in the development of the light pattern. One male of the latter species has unusual posterior spinules on posterior hamuli. Two males of Orientogomphus minor(Laidlaw, 1931) from the same locality in NE Cambodia have substantial differences in the thoracic and abdominal pattern. NE Cambodian specimens of Gomphidia abbotti Williamson, 1907 and Lamelligomphus castor (Lieftinck, 1941) have minor differences from data on these species from literature. Caution is necessary when composing and using keys for identification of the mentioned genera of gomphids.
Balut and Sarangani islands are two small landmasses situated off the coast of Davao Occidental, Mindanao Island. Despite recent increase on odonatological data from various islands in the Philippines, these two remote islands have never been explored. Hence, a short survey was conducted on first week of April and November 7 – November 14, 2010 on all freshwater systems in these two islands. Twenty-five species under seven families and 21 genera were found representing the first Odonata record for the two islands.
We propose a novel approach on how to estimate systemic risk and identify its key determinants. For US financial companies with publicly traded equity options, we extract option-implied value-at-risks and measure the spillover effects between individual company value-at-risks and the option-implied value-at-risk of a financial index. First, we study the spillover effect of increasing company risks on the financial sector. Second, we analyze which companies are mostly affected if the tail risk of the financial sector increases. Key metrics such as size, leverage, market-to-book ratio and earnings have a significant influence on the systemic risk profiles of financial institutions.
This thesis serves two main purposes:
1. The introduction of a novel experimental method to investigate phase change dynamics of supercooled liquids
2. First-time measurements for the crystallization behaviour for hydrogen isotopes under various conditions
1) The new method is established by the synergy of a liquid microjet of ~ 5 µm diameter and a scattering technique with high spatial resolution, here linear Raman spectroscopy. Due to the high directional stability and the known velocity of the liquid filament, its traveling axis corresponds to a time axis static in space. Utilizing evaporative cooling in a vacuum environment, the propagating liquid cools down rapidly and eventually experiences a phase transition to the crystalline state. This temporal evolution is probed along the filament axis, ultimately resulting in a time resolution of 10 ns. The feasibility of this approach is proven successfully within the following experiments.
2) A main object of study are para-hydrogen liquid filaments. Raman spectra reveal a temperature gradient of the liquid across the filament. This behaviour can quantitatively be reconstructed by numerical simulations using a layered model and is rooted in the effectiveness of evaporative cooling on the surface and a finite thermal conductivity. The deepest supercoolings achieved are ~ 30% below the melting point, at which the filament starts to solidify from the surface towards the core. With a crystal growth velocity extracted from the data the appropriate growth mechanism is identified. The crystal structure that initially forms is metastable and probably the result of Ostwald’s rule of stages. Indications for a transition within the solid towards the stable equilibrium phase support this interpretation.
The analog isotope ortho-deuterium is evidenced to behave qualitatively similar with quantitative differences being mass related.
In further measurements, isotopic mixtures of para-hydrogen and ortho-deuterium are investigated. It is found that the crystallization process starts earlier and lasts significantly longer compared to the pure substances with the maximum values between 20-50% ortho-deuterium content. A solely temperature based explanation for this effect can be excluded. The difference in the quantum character and hence effective size of the isotopes suggests a strong influence of the progressing liquid-solid-interface. Small dilutions of each para-hydrogen and ortho-deuterium with neon show an even more extended crystallization process compared to above isotopic mixtures. Additionally, the crystal is strongly altered in favor of the equilibrium lattice structure of neon.
In dieser Arbeit wurde die automatisierte Separation von Heliummono-, -di- und -trimeren beschrieben. Unter Nutzung ihrer unterschiedlichen De-Broglie-Wellenlängen wurden die verschiedenen Fraktionen mit einem Nanogitter getrennt. Zunächst wurden einige physikalische Grundlagen zu den genannten Atom- bzw. Molekülspezies, der hier auftretenden Bindungsform der Van-der-Waals-Bindung und insbesondere zur Materiewellenbeugung gelegt. Anschließend wurde der Versuchsaufbau dargestellt.
Bei der Durchführung wurden zunächst die drei jeweils vorhandenen Gitter und Spalte zu je einer Messung kombiniert und die beste Kombination für die weiteren Messungen ausgewählt. Das Experiment wurde weitergeführt, indem für verschiedene Temperaturen und Quelldrücke jeweils ein Beugungsspektrum von der für alle Heliumteilchen identischen nullten Ordnung bis zur ersten Ordnung der Heliummonomere aufgenommen wurde.
In der Auswertung wurde die Detektionswahrscheinlichkeit auf rund 37 % abgeschätzt. Weiterhin wurden die Ereignisse in den ersten Maxima der einzelnen Heliumfraktionen gezählt und so unter Verwendung der Detektionswahrscheinlichkeit molare Konzentrationen für das Heliumdi- und -trimer berechnet. Dabei wurden Anteile von bis zu 0,45 % für das Heliumdimer und 4,2 % für das Heliumtrimer erreicht. Diese Molanteile und ihre Abhängigkeit von Druck und Temperatur stimmen qualitativ gut mit der Literatur überein, quantitativ lassen sie sich u. a. wegen abweichender Nachweismethoden kaum vergleichen.
Anschließend wurde der Abstand von Düse und Skimmer variiert mit dem Ergebnis, daß eine Veränderung im betrachteten Bereich keinen nennenswerten Einfluß auf die Bildungsraten von Di- und Trimeren hat. Weiterhin wurde die auf zweierlei Weise bstimmbare Geschwindigkeit der Heliumteilchen im Gasjet ermittelt und verglichen.
Die beiden Geschwindigkeiten weichen lediglich im unteren Temperaturbereich signifikant voneinander ab, wofür plausible Erklärungsansätze dargelegt wurden.
Die Größe der Quellregion der betrachteten Heliumcluster wurde unter geometrischen Gesichtspunkten und unter Extrapolation der für verschiedene Spaltbreiten gemessenen Maximumsbreiten untersucht. Im Ergebnis wird die Quellbreite zu 58,5 μm abgeschätzt.
Die Automatisierung des Aufbaus erlaubte eine Vielzahl von systematischen Messungen, die ohne diese Automatisierung sehr zeitaufwendig gewesen wären. Insbesondere wurden in kurzer Zeit - wie zuvor geschildert - die Beugungsmuster von drei Gittern in Kombination mit je drei verschiedenen Kollimationspalten sowie die Abhängigkeit der Heliumdimer- und -trimerbildung von Temperatur, Druck und Abstand von Düse und Skimmer untersucht. Die Automatisierung erlaubt für zukünftige Messungen, z. B. in Strahlzeiten am Freien Elektronenlaser FLASH, jeweils in situ die Clusterbildung zu untersuchen. Möge das beschriebene Experiment nicht nur diese, sondern auch viele weitere Messungen beschleunigen helfen und so zum gesellschaftlichen Erkenntnisgewinn beitragen!
Low interest rates are becoming a threat to the stability of the life insurance industry, especially in countries such as Germany, where products with relatively high guaranteed returns sold in the past still represent a prominent share of the total portfolio. This contribution aims to assess and quantify the effects of the current low interest rate phase on the balance sheet of a representative German life insurer, given the current asset allocation and the outstanding liabilities. To do so, we generate a stochastic term structure of interest rates as well as stock market returns to simulate investment returns of a stylized life insurance business portfolio in a multi-period setting. Based on empirically calibrated parameters, we can observe the evolution of the life insurers' balance sheet over time with a special focus on their solvency situation. To account for different scenarios and in order to check the robustness of our findings, we calibrate different capital market settings and different initial situations of capital endowment. Our results suggest that a prolonged period of low interest rates would markedly affect the solvency situation of life insurers, leading to relatively high cumulative probability of default for less capitalized companies.
This paper analyzes how on-the-job search (OJS) by an agent impacts the moral hazard problem in a repeated principal-agent relationship. OJS is found to constitute a source of agency costs because efficient search incentives require that the agent receives all gains from trade. Further, the optimal incentive contract with OJS matches the design of empirically observed compensation contracts more accurately than models that ignore OJS. In particular, the optimal contract entails excessive performance pay plus efficiency wages. Efficiency wages reduce the opportunity costs of work effort and hence serve as a complement to bonuses. Thus, the model offers a novel explanation for the use of efficiency wages. When allowing for renegotiation, the model generates wage and turnover dynamics that are consistent with empirical evidence. I argue that the model contributes to explaining the concomitant rise in the use of performance pay and in competition for high-skill workers during the last three decades.
We study consumption-portfolio and asset pricing frameworks with recursive preferences and unspanned risk. We show that in both cases, portfolio choice and asset pricing, the value function of the investor/ representative agent can be characterized by a specific semilinear partial differential equation. To date, the solution to this equation has mostly been approximated by Campbell-Shiller techniques, without addressing general issues of existence and uniqueness. We develop a novel approach that rigorously constructs the solution by a fixed point argument. We prove that under regularity conditions a solution exists and establish a fast and accurate numerical method to solve consumption-portfolio and asset pricing problems with recursive preferences and unspanned risk. Our setting is not restricted to affine asset price dynamics. Numerical examples illustrate our approach.
The cones of nonnegative polynomials and sums of squares arise as central objects in convex algebraic geometry and have their origin in the seminal work of Hilbert ([Hil88]). Depending on the number of variables n and the degree d of the polynomials, Hilbert famously characterizes all cases of equality between the cone of nonnegative polynomials and the cone of sums of squares. This equality precisely holds for bivariate forms, quadratic forms and ternary quartics ([Hil88]). Since then, a lot of work has been done in understanding the difference between these two cones, which has major consequences for many practical applications such as for polynomial optimization problems. Roughly speaking, minimizing polynomial functions (constrained as well as unconstrained) can be done efficiently whenever certain nonnegative polynomials can be written as sums of squares (see Section 2.3 for the precise relationship). The underlying reason is the fundamental difference that checking nonnegativity of polynomials is an NP-hard problem whenever the degree is greater or equal than four ([BCSS98]), whereas checking whether a polynomial can be written as a sum of squares is a semidefinite feasibility problem (see Section 2.2). Although the complexity status of the semidefinite feasibility problem is still an open problem, it is polynomial for fixed number of variables. Hence, understanding the difference between nonnegative polynomials and sums of squares is highly desirable both from a theoretical and a practical viewpoint.
Trust in policy makers fluctuates signi
cantly over the cycle and affects the transmission mechanism. Despite this it is absent from the literature. We build a monetary model embedding trust cycles; the latter emerge as an equilibrium phenomenon of a game-theoretic interaction between atomistic agents and the monetary authority. Trust affects agents' stochastic discount factors, namely the price of future risk, and through this it interacts with the monetary transmission mechanism. Using data from the Eurobarometer surveys, we analyze the link between trust and the transmission mechanism of macro and monetary shocks: Empirical results are in line with theoretical ones.
We document and study international differences in both ownership and holdings of stocks, private businesses, homes, and mortgages among households aged fifty or more in thirteen countries, using new and comparable survey data. We employ counterfactual techniques to decompose observed differences across the Atlantic, within the US, and within Europe into those arising from differences in population characteristics and differences in economic environments. We then correlate the latter differences to country-level indicators. Ownership across the range of the assets considered tends to be more widespread among US households. We document that shortly prior to the current crisis, US households tended to invest larger amounts in stocks and smaller ones in homes, and to have larger mortgages in older age, even controlling for characteristics. This is consistent with the high prevalence of negative equity associated with the current crisis. More generally, we find that differences in household characteristics often play a small role, while differences in economic environments tend to explain most of the observed differences in ownership rates and in amounts held. The latter differences are much more pronounced among European countries than among US regions, suggesting further potential for harmonization of policies and institutions.
Regulation of investor access to financial products is often based on product familiarity indicated by previous use. The underlying premise that lack of familiarity with a product class causes unwarranted participation is difficult to test. This paper uses household-level data from the ‘experiment’ of German reunification that (exogenously) offered to East Germans access to capitalist products (exogenously) unfamiliar to them. We compare the evolution of post-unification participation of former East and West Germans in financial products, controlling for relevant household characteristics. We vary familiarity differentials by considering (i) both unfamiliar ‘capitalist’ products (stocks, bonds, and consumer credit) and ones available in the East (savings accounts and life insurance); and (ii) cohorts with different exposure to capitalism. We find that East Germans participated immediately in unfamiliar risky securities, at rates comparable to West Germans of similar characteristics. They phased out disproportionate participation in previously familiar assets as familiarity with capitalist products grew. They were more likely to use consumer debt, partly to catch up with richer new peers. We find no signs of abrupt participation drops that could suggest mistakes or regret related to lack of familiarity.
In this paper we investigate the implications of providing loan officers with a compensation structure that rewards loan volume and penalizes poor performance versus a fixed wage unrelated to performance. We study detailed transaction information for more than 45,000 loans issued by 240 loan officers of a large commercial bank in Europe. We examine the three main activities that loan officers perform: monitoring, originating, and screening. We find that when the performance of their portfolio deteriorates, loan officers increase their effort to monitor existing borrowers, reduce loan origination, and approve a higher fraction of loan applications. These loans, however, are of above-average quality. Consistent with the theoretical literature on multitasking in incomplete contracts, we show that loan officers neglect activities that are not directly rewarded under the contract, but are in the interest of the bank. In addition, while the response by loan officers constitutes a rational response to a time allocation problem, their reaction to incentives appears myopic in other dimensions.
Euro area data show a positive connection between sovereign and bank risk, which increases with banks’ and sovereign long run fragility. We build a macro model with banks subject to moral hazard and liquidity risk (sudden deposit withdrawals): banks invest in risky government bonds as a form of capital buffer against liquidity risk. The model can replicate the positive connection between sovereign and bank risk observed in the data. Central bank liquidity policy, through full allotment policy, is successful in stabilizing the spiraling feedback loops between bank and sovereign risk.
We study the dispersion of debt maturities across time, which we call "granularity of corporate debt,'' using a model in which a firm's inability to roll over expiring debt causes inefficiencies, such as costly asset sales or underinvestment. Since multiple small asset sales are less costly than a single large one, firms diversify debt rollovers across maturity dates. We construct granularity measures using data on corporate bond issuers for the 1991-2012 period and establish a number of novel findings. First, there is substantial variation in granularity in that we observe both very concentrated and highly dispersed maturity structures. Second, observed variation in granularity supports the model's predictions, i.e. maturities are more dispersed for larger and more mature firms, for firms with better investment oppo
Juvenile neuronal ceroid lipofuscinosis (JNCL) is caused by mutations in the CLN3 gene, which encodes for a putative lysosomal transmembrane protein with thus far undescribed structure and function. Here we investigate the membrane topology of human CLN3 protein with a combination of advanced molecular cloning, spectroscopy, and in silico computation. Using the transposomics cloning method we first created a library of human CLN3 cDNA clones either with a randomly inserted eGFP, a myc-tag, or both. The functionality of the clones was evaluated by assessing their ability to revert a previously reported lysosomal phenotype in immortalized cerebellar granular cells derived from Cln3Δex7/8 mice (CbCln3Δex7/8). The double-tagged clones were expressed in HeLa cells, and FRET was measured between the donor eGFP and an acceptor DyLight547 coupled to a monoclonal α-myc antibody to assess their relative membrane orientation. The data were used together with previously reported experimental data to compile a constrained membrane topology model for hCLN3 using TOPCONS consensus membrane prediction algorithm. Our model with six transmembrane domains and cytosolic N- and C-termini largely agrees with those previously suggested but differs in terms of the transmembrane domain positions as well as in the size of the luminal loops. This finding improves understanding the function of the native hCLN3 protein.
High-throughput metabarcoding studies on fungi and other eukaryotic microorganisms are rapidly becoming more frequent and more complex, requiring researchers to handle ever increasing amounts of raw sequence data. Here, we provide a flexible pipeline for pruning and analyzing fungal barcode (ITS rDNA) data generated as paired-end reads on Illumina MiSeq sequencers. The pipeline presented includes specific steps fine-tuned for ITS, that are mostly missing from pipelines developed for prokaryotes. It (1) employs state of the art programs and follows best practices in fungal high-throughput metabarcoding; (2) consists of modules and scripts easily modifiable by the user to ensure maximum flexibility with regard to specific needs of a project or future methodological developments; and (3) is straightforward to use, also in classroom settings. We provide detailed descriptions and revision techniques for each step, thus giving the user maximum control over data treatment and avoiding a black-box approach. Employing this pipeline will improve and speed up the tedious and error-prone process of cleaning fungal Illumina metabarcoding data.
Guanine quadruplex (G-quadruplex) motifs in the 5′ untranslated region (5′-UTR) of mRNAs were recently shown to influence the efficiency of translation. In the present study, we investigate the interaction between cellular proteins and the G-quadruplexes located in two mRNAs (MMP16 and ARPC2). Formation of the G-quadruplexes was confirmed by biophysical characterization and the inhibitory activity on translation was shown by luciferase reporter assays. In experiments with whole cell extracts from different eukaryotic cell lines, G-quadruplex-binding proteins were isolated by pull-down assays and subsequently identified by matrix-assisted laser desorption ionization-time of flight mass spectrometry. The binding partners of the RNA G-quadruplexes we discovered included several heterogenous nuclear ribonucleoproteins, ribosomal proteins, and splicing factors, as well as other proteins that have previously not been described to interact with nucleic acids. While most of the proteins were specific for either of the investigated G-quadruplexes, some of them bound to both motifs. Selected candidate proteins were subsequently produced by recombinant expression and dissociation constants for the interaction between the proteins and RNA G-quadruplexes in the low nanomolar range were determined by surface plasmon resonance spectroscopy. The present study may thus help to increase our understanding of the mechanisms by which G-quadruplexes regulate translation.
Reduction and deletion processes occur regularly in conversational speech. A segment that is affected by such reduction and deletion processes in many Germanic languages (e.g., Dutch, English, German) is /t/. There are similarities concerning the factors that influence the likelihood of final /t/ to get deleted, such as segmental context. However, speakers of different languages differ with respect to the acoustic cues they leave in the speech signal when they delete final /t/. German speakers usually lengthen a preceding /s/ when they delete final /t/. This article investigates to what extent German listeners are able to reconstruct /t/ when they are presented with fragments of words where final /t/ has been deleted. It aims also at investigating whether the strategies that are used by German depend on the length of /s/, and therefore whether listeners are using language-specific cues. Results of a forced-choice segment detection task suggest that listeners are able to reconstruct deleted final /t/ in about 45% of the times. The length of /s/ plays some role in the reconstruction, however, it does not explain the behavior of German listeners completely.
Information theory allows us to investigate information processing in neural systems in terms of information transfer, storage and modification. Especially the measure of information transfer, transfer entropy, has seen a dramatic surge of interest in neuroscience. Estimating transfer entropy from two processes requires the observation of multiple realizations of these processes to estimate associated probability density functions. To obtain these necessary observations, available estimators typically assume stationarity of processes to allow pooling of observations over time. This assumption however, is a major obstacle to the application of these estimators in neuroscience as observed processes are often non-stationary. As a solution, Gomez-Herrero and colleagues theoretically showed that the stationarity assumption may be avoided by estimating transfer entropy from an ensemble of realizations. Such an ensemble of realizations is often readily available in neuroscience experiments in the form of experimental trials. Thus, in this work we combine the ensemble method with a recently proposed transfer entropy estimator to make transfer entropy estimation applicable to non-stationary time series. We present an efficient implementation of the approach that is suitable for the increased computational demand of the ensemble method's practical application. In particular, we use a massively parallel implementation for a graphics processing unit to handle the computationally most heavy aspects of the ensemble method for transfer entropy estimation. We test the performance and robustness of our implementation on data from numerical simulations of stochastic processes. We also demonstrate the applicability of the ensemble method to magnetoencephalographic data. While we mainly evaluate the proposed method for neuroscience data, we expect it to be applicable in a variety of fields that are concerned with the analysis of information transfer in complex biological, social, and artificial systems.
Nowadays a number of endemic mosquito species are known to possess vector abilities for various diseases, as e.g. the sibling species Culex pipiens and Culex torrentium. Due to their morphological similarity, ecology, distribution and vector abilities, knowledge about these species' population structure is essential. Culicidae from 25 different sampling sites were collected from March till October 2012. All analyses were performed with aligned cox1 sequences with a total length of 658 bp. Population structure as well as distribution patterns of both species were analysed using molecular methods and different statistical tests like distance based redundancy analysis (dbDRA), analysis of molecular variances (AMOVA) or McDonald & Kreitman test and Tajima's D. Within both species, we could show a genetic variability among the cox1 fragment. The construction of haplotype networks revealed one dominating haplotype for Cx. pipiens, widely distributed within Germany and a more homogeneous pattern for Cx. torrentium. The low genetic differences within Cx. pipiens could be a result of an infection with Wolbachia which can induce a sweep through populations by passively taking the also maternally inherited mtDNA through the population, thereby reducing the mitochondrial diversity as an outcome of reproductive incompatibility. Pairwise population genetic differentiation (FST) ranged significantly from moderate to very great between populations of Cx. pipiens and Cx. torrentium. Analyses of molecular variances revealed for both species that the main genetic variability exists within the populations (Cx. pipiens [88.38%]; Cx. torrentium [66.54%]). Based on a distance based redundancy analysis geographical origin explained a small but significant part of the species' genetic variation. Overall, the results confirm that Cx. pipiens and Cx. torrentium underlie different factors regarding their mitochondrial differentiation, which could be a result of endosymbiosis, dispersal between nearly located populations or human introduction.
Hauptbestandteil dieser Masterarbeit war es, ein neues COLTRIMS Experiment zu entwerfen und zu bauen. Den gesamten Aufbau mit allen dazugehörigen Komponenten wie verschiedensten Vakuumkomponenten sowie Detektoren und Elektronik unter realen Messbedingungen zu testen, bildete schließlich den Abschluss des praktischen Teils. Sowohl einige Kalibrationsmessungen mit dem neuen Aufbau, als auch die ersten Ergebnisse der Messungen mit der chiralen Substanz Bromchlorfluormethan wurden hier vorgestellt.
Ein Großteil der Projektarbeit bestand darin, Überlegungen für die vielen verschiedenen Bauteile anzustellen, diese mit Rücksprache erfahrener Gruppenmitglieder zu verbessern und schließlich zu konstruieren und zu zeichnen...
Susanne Heeg & Marit Rosol: Vorwort
Svenja Keitzel, Janine Pößneck & Ole Werner: Zwangsräumungen in Frankfurt am Main - Wandel des Wohnungsmarktes und seine Folgen
Eva Kuschinski: Sozialer Wohnungsbau lohnt sich nicht - Ökonomisierung der Frankfurter Wohnungspolitik am Beispiel der ABG Frankfurt Holding
Nicole Dornig & Andreas Blechschmidt: Betrieblicher Wohnungsbau im Wandel: Eine Untersuchung am Beispiel der Eisenbahnersiedlung in Frankfurt-Nied
Jakob Hebsaker & Pieterjan Dom: Alternatives Wohnen zwischen Häuserkampf und GmbH – Zur Entwicklung der Idee des Mietshäuser Syndikats
Lucas Pohl & Franziska Vaessen: Die Möglichkeit von Irrelevanz: Zur stadtpolitischen Auseinandersetzung um selbstverwaltete (Frei-)Räume am Beispiel des „Instituts für vergleichende Irrelevanz“ in Frankfurt am Main
Lara-Maria Mohr & Franziska Schmidt: Wohnraum verdichten, Wohnraum vernichten? - Bürgerbeteiligung bei der Planung von innerstädtischer Nachverdichtung
Amrei Biedermann, Andre Mascarinas & Anna-Lena Ripperger: Wie die Verbriefung von Gewerbeimmobilien deutsche Städte verändert – das Beispiel City Tower in Offenbach am Main
Der vorliegende 12. Band des vom Institut für Humangeographie herausgegebenen „Forum Humangeographie“ beschäftigt sich mit politischen Fragen rund um Wohnen und Immobilienentwicklung in Städten. Er vereint theoretisch fundierte und zugleich aktuelle empirische Beiträge zur Verwertung, Nutzung und Gestaltung der gebauten Umwelt, aber auch zu den Fragen, was der Verlust von Wohnraum bedeutet und welche alternativen Ansprüche an die gebaute Umwelt formuliert werden. Im regionalen Fokus dieses Sammelbandes stehen Frankfurt am Main und Offenbach als Teil der Rhein-Main-Region. Dieser räumliche Bezug hat forschungspraktische (z.B. Zugänglichkeit von Expert_innen), aber auch inhaltliche Gründe, da sich in dieser Region Wohnen und die gebaute Umwelt im besonderen Maße als gesellschaftliches Konfliktfeld – gekennzeichnet durch Phänomene wie Büroleerstand, Wohnungsmangel und Widerstand gegen Wohnen als Ware – erweisen und untersuchen lassen. Die Rhein-Main-Region ist wie andere große deutsche Metropolregionen von einem angespannten Immobilienmarkt geprägt, der das Ziel volatiler, d.h. in Bezug auf Umfang und Objekte sehr stark schwankender, Investments ist. Bis 2008 flossen Investitionen vorrangig in den Bürobestand, im Zuge der Finanz- und Schuldenkrise wurden Investments institutioneller Anleger jedoch in den Wohnungsmarkt umgelenkt (Scharmanski 2013; Heeg 2013). Hintergrund hierfür sind einerseits eine steigende Zahl von sog. notleidenden Krediten („non-performing loans“) im Büroimmobilienbereich (vgl. Biedermann et al., Kap. 7) und andererseits anziehende Mieten und Eigentumspreise auf dem Wohnungsmarkt, welche Investitionen in Wohnimmobilien lukrativ werden lassen (Kholodilin/Mense 2012). In der Folge werden vermehrt Luxuswohnungen erstellt und wird preiswerter Wohnraum vernichtet.
Der Ruf nach einem „Rettungsschirm für Kommunen“, einem „Stärkungspakt Stadtfinanzen“ oder „kommunalen Entschuldungsfonds“ rückt in regelmäßigen Abständen die ernste Lage einer Vielzahl klammer Kommunen ins öffentliche Bewusstsein. Die drohende Überschuldung deutscher Städte und Gemeinden stellt parallel zur Entwicklung der globalen Finanz- und Wirtschaftskrise eine besorgniserregende Realität dar. Große Löcher in den Kommunalhaushalten sind dabei kein Phänomen der jüngsten Vergangenheit, vielmehr macht sich die angespannte Finanzlage in vielen Kommunen bereits seit Jahren vor Ort bemerkbar. Beispielsweise in den Bereichen von Kultur, Jugendeinrichtungen, Beratungsstellen, Museen, Bibliotheken, Sportplätzen, Freibädern, Freizeitangeboten und Tierparks sind Ausgabenkürzungen an der Tagesordnung, die die Einwohner_innen alltäglich mit der finanziellen Unterausstattung auf Lokalebene konfrontieren. Außerdem dokumentiert ein rasanter Anstieg des Kreditvolumens im vergangenen Jahrzehnt die klamme Lage der Kommunen. Im Krisenjahr 2009 sind die sogenannten Kassenkredite, die kurzfristige Engpässe im Kommunalhaushalt ausgleichen sollen, auf fast 35 Milliarden Euro angestiegen und haben bundesweit mittlerweile ein Volumen von 48 Milliarden Euro überschritten (Deutscher Städtetag 2013).
Diese enorme Schuldenlast ist vor allem als Resultat einer strukturellen Unterfinanzierung der Städte zu werten, welche nicht zuletzt die Erbringung der kommunalen Daseinsvorsorge im Infrastrukturbereich gefährdet sowie wie bei der städtischen Gas-, Wasser- und Elektrizitätsversorgung oder im engeren sozialen Bereich. Um die lokale Verantwortung für die Versorgungssicherheit wiederzugewinnen, gab es in den letzten Jahren vermehrt Projekte, um Versorgungsbetriebe wieder in städtisches Eigentum zurückzuführen (Libbe 2011; Verband kommunaler Unternehmen 2012). Unter dem Stichwort Rekommunalisierung wurde die Gründung eigener Stadtwerke bereits als Abkehr von einer Privatisierungslogik (Candeias et al. 2009) präsentiert. In diesem Licht erscheint Kommunalpolitik mitunter als Alternative zu renditeorientiertem Wirtschaften.
Eine solche Darstellung übersieht allerdings, dass kommunales Handeln eng in den wachstumsorientierten Finanzmarktkapitalismus eingebunden ist. Diese Einbindung hat eine materielle Basis und tritt beispielsweise dann zu Tage wenn Kommunen auf Grund der konjunkturellen Flaute in der internationalen Finanz- und Wirtschaftskrise stark unter steigenden Ausgaben für Sozialtransfers sowie unter sinkenden Steuereinnahmen leiden. Zusätzlich besteht aber auch eine diskursive Einbindung, die sich darin äußert, dass die Pflicht zur Fiskaldisziplin in bundesdeutschen Kommunen bereits eine vergleichbare Bedeutung erlangt hat wie in den Haushaltsplänen der Nationalstaaten der Euro-Zone. Schon werden in Anlehnung an die Einführung nationaler Schuldenbremsen kommunale Schuldenbremsen diskutiert (Bertelsmann Stiftung 2013). Das kann kaum verwundern, da in einer Mehrzahl der Kommunen schon kurz nach der Subprimekrise die Verantwortlichen zu einem wettberwerbsorientierten Politikverständnis zurückkehrten und konservative Konzepte der Krisenlösung anwendeten(Belina und Schipper 2009). Zum aktuellen Zeitpunkt gibt es daher wenig Anlass Kommunalpolitik auf einem alternativen Entwicklungsweg zu glauben.
Ein ungebremster Klimawandel „[…] würde[n] die physikalische Geografie der Welt transformieren. Eine radikale Änderung der physikalischen Geografie der Welt muss unbedingt starke Auswirkungen auf die humane Geografie haben – wo Menschen leben und wie sie leben.“(Stern 2006: iv)
Unser Erdsystem sowie unser Gesellschafts- und Wirtschafssystem zeichnen sich durch ihre Offenheit, Prozesshaftigkeit und Dynamik aus; sie befinden sich in einem ständigen Wandel. Auch das Weltklima hat sich schon immer verändert; gekennzeichnet durch einen Wechsel von Kalt- und Warmzeiten. Doch heute dominiert der Faktor Mensch das Erdsystem: Mit der industriellen Revolution und dem Übergang in ein kapitalistisches Gesellschafts- und Wirt-schaftssystem hat sich auch der natürliche Treibhauseffekt entscheidend beschleunigt. Durch vom Menschen verursachte Emissionen, ist die CO2-Menge in unserer Atmosphäre heute be-reits um ein Drittel höher als sie in den Jahrmillionen vor Beginn der Industrialisierung jemals war (Gebhardt und Glaser 2007: 963; Bernstein et al. 2008). Die Qualität und Tragweite des Phänomens Klimawandel ist von solchem Ausmaß, dass die natürliche wie soziale Umwelt dadurch aus ihren Fugen geraten kann.
This paper explains why the collection of panel (reinterview) data on a comprehensive measure of household expenditures is of great value both for measuring budget shares (the core mission of a Consumer Expenditure survey) and for the most important research and public policy uses to which CE data can be applied, including construction of spending-based measures of poverty and inequality and estimating the effects of fiscal policy.
The Great Recession confirmed a bedrock principle of modern consumption theory: It is impossible to explain aggregate spending behavior without knowledge of the underlying microeconomic distribution of circumstances and choices across households. National accounting frameworks therefore need to be augmented by “bottom up” measures that both (a) capture the microeconomic heterogeneity (in expenditures, income, assets, debt, and beliefs) in the population and (b) sum up to statistics that have a recognizable relationship to the aggregate totals that are already reasonably well measured.
Background: The most common spinocerebellar ataxias (SCA)—SCA1, SCA2, SCA3, and SCA6—are caused by (CAG)n repeat expansion. While the number of repeats of the coding (CAG)n expansions is correlated with the age at onset, there are no appropriate models that include both affected and preclinical carriers allowing for the prediction of age at onset.
Methods: We combined data from two major European cohorts of SCA1, SCA2, SCA3, and SCA6 mutation carriers: 1187 affected individuals from the EUROSCA registry and 123 preclinical individuals from the RISCA cohort. For each SCA genotype, a regression model was fitted using a log-normal distribution for age at onset with the repeat length of the alleles as covariates. From these models, we calculated expected age at onset from birth and conditionally that this age is greater than the current age.
Results: For SCA2 and SCA3 genotypes, the expanded allele was a significant predictor of age at onset (−0.105±0.005 and −0.056±0.003) while for SCA1 and SCA6 genotypes both the size of the expanded and normal alleles were significant (expanded: −0.049±0.002 and −0.090±0.009, respectively; normal: +0.013±0.005 and −0.029±0.010, respectively). According to the model, we indicated the median values (90% critical region) and the expectancy (SD) of the predicted age at onset for each SCA genotype according to the CAG repeat size and current age.
Conclusions: These estimations can be valuable in clinical and research. However, results need to be confirmed in other independent cohorts and in future longitudinal studies.
In Deutschland erkranken pro Jahr ~1800 Kinder neu an Krebs, wobei Leukämien mit 33,8 % die häufigste diagnostizierte Krebsform darstellen. Besonders Leukämien mit dem Phänotyp einer akuten lymphatischen Leukämie (ALL) sind mit der Erkrankung im Kindesalter assoziiert. Die häufigsten genetischen Ursachen kindlicher ALLs sind ein hyperdiploider Karyotyp oder chromosomale Translokationen. Unter Säuglingen im Alter von nur wenigen Monaten mit einer ALL treten hier oft reziproke chromosomale Translokationen mit Beteiligung des MLL-Gens auf. Die t(4;11)-assoziierte Leukämie, mit dem AF4-Gen als Translokationspartner, stellt den häufigsten Krankheits-Phänotyp dieser Patientengruppe dar. Die Erkrankung zeichnet sich durch eine stark erhöhte Leukozytenzahl im peripheren Blut bei Diagnose aus. Aufgrund immunphänotyperischer und morphologischer Analysen werden die Leukozyten und auch die Erkrankung durch einen pro B-Zell Phänotyp charakterisiert. Ein weiteres klinisches Merkmal ist das schnell auftretende Rezidiv, welches schlecht auf eine folgende Therapie anspricht und zu sehr geringen Überlebensraten führt, wodurch die t(4;11)-assoziierte Leukämie als Hochrisiko-Leukämie klassifiziert wird. Als genetische Grundlage des Mechanismus der t(4;11)-Leukämogenese wird die Expression der resultierenden Fusionsproteine MLL•AF4 und AF4•MLL angenommen. Durch die Expression beider Fusionsproteine wird die Funktion des Wildtyp MLL-Proteins gehemmt, welches als epigenetischer Regulator für die Hämatopoese und die Ausbildung des Körperbauplans während der Embryogenese essenziell ist. Weiterhin wird auch die Funktion des Wildtyp AF4-Proteins gehemmt, welches einen bedeutenden Bestandteil der zellulären Transkriptionsinitiations- und Elongationsmaschinerie darstellt. Außerdem beeinflussen beide Fusionsproteine zelluläre Mechanismen wie die Proliferation, das Überleben und die Differenzierung, weshalb die Erforschung des Pathomechanismus der Fusionsproteine essenziell für die Rekapitulation und damit für die Therapie und Heilung der Erkrankung ist.
Aktuell rekapitulieren Studien der beiden Fusionsproteine die humane Erkrankung jedoch nur unzureichend. Das MLL•AF4-Protein zeigte bisher eine Blockierung der Apoptose nach unterschiedlichsten Induktionen in zellbasierten Systemen. Allerdings konnte dem Fusionsprotein kein onkogenes Potenzial in vitro nachgewiesen werden und auch in vivo führte die Expression von MLL•AF4 zur Bildung von hauptsächlich myeloischen Neoplasien nach langen Latenzzeiten. Die Expression des reziproken AF4•MLL-Proteins führte in zellbasierten Systemen zu einem verstärkten Metabolismus durch die Steigerung der zellulären Transkription und beeinflusste so die Proliferation. Parallel trat eine hohe Apoptoserate auf, sodass die Proliferation nahezu unverändert schien. Da in vitro jedoch die Kontaktinhibition und Wachstumstransformation von Zellen gezeigt werden konnte und im Mausmodell der humane Phänotyp einer pro B-ALL ausgelöst wurde, scheint das AF4•MLL-Protein das treibende Onkogen der t(4;11)-assoziierten Leukämie zu sein. Allerdings wird die Erkrankung auch in diesem Modell erst nach einer langen Latenzzeit beobachtet und auch die zellulären Mechanismen, in welchen das onkogene Potenzial des reziproken Fusionsproteins entscheidend ist, bleiben weiter zu untersuchen. Deshalb sollten im Rahmen dieser Arbeit hauptsächlich die Auswirkungen der Expression des onkogenen AF4•MLL-Proteins unter verschiedenen Aspekten untersucht, und kooperierende Ereignisse analysiert werden.
Grundlegend sollte die Auswirkung des reziproken Fusionsproteins in humanen Zellen studiert, und auch Effekte des MLL•AF4-Proteins mit früheren Studien verglichen werden, um zellbiologisch relevante Mechanismen aufzudecken. Weiterhin sollte der Einfluss möglicher sekundärer Mutationen und die Wirkung von Koffein als Stimulans untersucht werden, um mögliche Ursachen der langen Latenzzeiten in t(4;11)-assoziierten Mausmodellen zu identifizieren. Da jedoch etwa 20 % aller t(4;11)-Patienten kein AF4•MLL-Protein bilden und als Reziprok oft der solitäre MLL C-Terminus exprimiert wird, sollte zudem der Effekt des MLL•C-Proteins im Mausmodell studiert werden. Insgesamt konnten alle erhobenen Daten mit Resultaten früherer Studien kombiniert werden, wodurch ein spezifisches Modell der t(4;11)-assoziierten Leukämogenese entstand. Das Modell diskutiert die onkogene Funktion des AF4•MLL-Proteins besonders während der hämatopoetischen Differenzierung. Durch die Ergebnisse dieser Arbeit zum klonogenen Wachstum der humanen Zellen nach Expression von AF4•MLL und der Ergebnisse im MLL•C-Mausmodell konnte ein Einfluss des Reziproks auf die Differenzierung von Leukozyten gezeigt werden.
Weiterhin konnte nach AF4•MLL-Expression in humanen Zellen die Steigerung des Metabolismus aber auch die einhergehende vermehrte Apoptose bestätigt werden, welche die lange Latenzzeit im AF4•MLL-Mausmodell begründen könnte. Durch Kooperation mit dem MLL•AF4-Protein, welches anti-apoptotische Effekte zeigt, könnte es jedoch zum frühen Ausbruch der Erkrankung im Säuglingsalter kommen. Allerdings konnte in dieser Arbeit auch eine Steigerung der Proliferation von MLL•AF4-exprimierenden Zellen beobachtet werden, wenn anti-apoptotische Mechanismen des Fusionsproteins inaktiv sind, welche aus der Aktivierung des RAS/RAF/MEK/ERK-Signalwegs resultiert. Werden neben der Translokation zusätzliche RAS-Mutationen aquiriert, die bei 26 % der Kinder mit einer t(4;11)-Leukämie auftreten, wird der Signalweg und somit die Proliferation der leukämischen Blasten zusätzlich stabilisiert. Dadurch kommt es zu höheren Leukozytenzahlen und einem noch früheren Ausbruch der Erkrankung. Weiterhin deckte die Analyse von sekundären Mutationen auch die Beteiligung des FLT3-Signalwegs an der Therapieresistenz durch Quieszenz auf. Ein besonderer Einfluss von Koffein als Stimulans in t(4;11)-Zellen konnte hingegen ausgeschlossen werden. So wurde der Pathomechanismus der t(4;11)-assoziierten Leukämie in dieser Arbeit weiterführend aufgeklärt, wodurch Strategien zur Therapie und Heilung der Erkrankung in Zukunft intensiviert werden können.
The historical account of Aztec Emperor Auitztol's introduction of the great-tailed grackle Quiscalus mexicanus into the Valley of Mexico (1486–1502) is significant because it documents human translocation of wild birds in Mexico over 500 years ago, before the Spanish Conquest of that land. In the present paper, which defends the account from writings that dispute it, I first review the evidence of how the account was obtained and show that its many details are consistent with what is known from other sources about both the great-tailed grackle and the Aztecs (Nahuas). I then review and examine all published criticisms of the account and explain in detail why they are wrong. The critics have to date presented no persuasive evidence to support their speculation that the Aztecs confused, or might have confused, a natural invasion for an introduction. In contrast to these critics, Bernardino de Sahagún’s research group in the 1500s presented a highly credible, peer-reviewed historical account that documented Aztec introduction of the great-tailed grackle. The pioneering work of these Renaissance Mexican scholars continues to stand as one of the most important records of invasive alien species introduction in ancient times.
The mature palm forest of the Vallée de Mai, a UNESCO World Heritage Site, on the Seychelles island of Praslin, is a unique ecosystem containing many endemic species, including the iconic coco de mer palm Lodoicea maldivica. In 2009, the invasive yellow crazy ant Anoplolepis gracilipes was recorded for the first time within the palm forest, raising concern about its potential impacts on the endemic fauna. This research aimed to: (1) assess the current distribution and spread of A. gracilipes within the palm forest; (2) identify environmental variables that are linked to A. gracilipes distribution; and (3) compare endemic species richness and abundance in A. gracilipes invaded and uninvaded areas. Anoplolepis gracilipes was confined to the north-east of the site and remained almost stationary between April 2010 and December 2012, with isolated outbreaks into the forest. Infested areas had significantly higher temperature and humidity and lower canopy cover. Abundance and species richness of the endemic arboreal fauna were lower in the A. gracilipes invaded area. Molluscs were absent from the invaded area. The current restricted distribution of A. gracilipes in this ecosystem, combined with lower abundance of endemic fauna in the invaded area, highlight the need for further research to assess control measures and the possible role of biotic resistance to the invasion of the palm forest by A. gracilipes.
In the last few decades, the abundance and importance of invasive alien species have grown continuously due to the undiminished growth of global trade. In most cases, arthropod introductions were unintended and occurred as hitchhikers or contaminants. Alien arthropods can have significant environmental impacts and can be economically costly. To measure these impacts, we expand a generic impact scoring system initially developed for mammals and birds, and applied it to terrestrial arthropods. It consists of six environmental impact categories and six economic impact categories, each with five impact levels. Information on impact was derived from an intensive analysis of published scientific literature. The scoring of the 77 most widely distributed arthropod species alien to Europe revealed the mite Varroa destructor as the most harmful species, followed by the Chinese longhorn beetle Anoplophora chinensis and the Argentine ant Linepithema humile. The highest environmental impact is through herbivory, disease transmission, and ecosystem impacts. The highest economic impact is on agriculture and human infrastructure and administration. The generic impact scoring system allows the impact scores of vertebrates and arthropods to be compared, thus serving as a background for the decision making processes of policy makers and stakeholders.
Invasions by non-native species are a threat to biodiversity because invaders can impact native populations, communities and entire ecosystems. To manage this threat, it is necessary to have a strong mechanistic understanding of how non-native species affect local species and communities. We reviewed 259 published papers (1972–2012) that described field experiments quantifying the impact of aquatic nonnative species, to examine whether various types of study biases are limiting this understanding. Our review revealed that invasion impacts had been experimentally quantified for 101 aquatic non-native species, in all major freshwater and marine habitats, on all continents except Antarctica and for most higher taxonomic groupings. Over one-quarter (26%) of studies included tests for impacts on local biodiversity. However, despite this extensive research effort, certain taxa, habitats and regions remain poorly studied. For example, of the over one hundred species examined in previous studies, only one was a marine fish and only six were herbivores. Furthermore, over half (53%) of the studies were from the USA and two-thirds (66%) were from experiments conducted in temperate latitudes. By contrast, only 3% of studies were from Africa and <2% from high latitudes. We also found that one-fifth (20%) of studies were conducted in estuaries, but only 1% from coral reefs. Finally, we note that the standard procedure of pooling or not reporting non-significant treatments and responses is likely to limit future synthetic advancement by biasing meta-analysis and severely limiting our ability to identify non-native species with none or negligible ecological impacts. In conclusion, a future focus on poorly-studied taxa, habitats and regions, and enhanced reporting of results, should improve our understanding and management of impacts associated with aquatic non-native species.
To understand what makes some species successful invaders, it is critical to quantify performance differences between native and introduced regions, and among populations occupying a broad range of environmental conditions within each region. However, these data are not available even for the world’s most notorious invasive species. Here we introduce the Global Garlic Mustard Field Survey, a coordinated distributed field survey to collect performance data and germplasm from a single invasive species: garlic mustard (Alliaria petiolata) across its entire distribution using minimal resources. We chose this species for its ecological impacts, prominence in ecological studies of invasion success, simple life history, and several genetic and life history attributes that make it amenable to experimental study. We developed a standardised field survey protocol to estimate population size (area) and density, age structure, plant size and fecundity, as well as damage by herbivores and pathogens in each population, and to collect representative seed samples. Across four years and with contributions from 164 academic and non-academic participants from 16 countries in North America and Europe thus far, we have collected 45,788 measurements and counts of 137,811 plants from 383 populations and seeds from over 5,000 plants. All field data and seed resources will be curated for release to the scientific community. Our goal is to establish A. petiolata as a model species for plant invasion biology and to encourage large collaborative studies of other invasive species.
The cattle egret (Bubulcus ibis) has recently colonized Brazil. This process offers an excellent opportunity for the study of colonization and dispersal patterns across extensive areas by non-native birds. The aims of the present investigation were a) to determine the genetic diversity of the cattle egret in Brazil and Africa, b) evaluate genetic differentiation between populations in different regions of Brazil and Africa, and c) detect genetic signs of demographic expansion in these two areas. Mitochondrial DNA (mtDNA) Control Region (CR) sequences were obtained from 112 cattle egrets in four Brazilian and four African (Kenya, Ghana and Nigeria) populations. Genetic diversity (H, h, θ) and population structure (AMOVA, Fst) were assessed and the populations were tested for signs of recent demographic expansion. A total of 35 haplotypes were found: 22 exclusive to Africa, 10 exclusive to Brazil and three shared by both samples. The degree of genetic diversity, determined by mtDNA analysis, was similar between Brazil and Africa, demonstrating that the successful colonization of the non-native area occurred with no significant loss of diversity. The pairwise Fst values among the Brazilian and African populations were all significantly different. The population in southern Brazilian exhibited the lowest degree of differentiation with respect to the African population, followed by the southeastern and northeastern populations of the country. The genetic differentiation data suggest that the colonization of Brazil by the cattle egret began in the southern region and expanded to the southeastern and northeastern regions of the country. This genetic differentiation pattern is in accordance with the higher number of cattle per grazing area in southern Brazil, which may have favored the onset of the successful establishment of the species. The findings indicate that mtDNA genetic diversity was retained during the colonization process and colonization began in the southern region of the country. Moreover, signs of demographic expansion were detected in the African sample.
Wrack burial reduces germination and establishment of the invasive cordgrass Spartina densiflora
(2014)
Germination and emergence of halophytes may decrease significantly by seed burial in dead plant material, or wrack, which is common and abundant in tidal marshes. The effects of plant debris (wrack) burial on seed germination and seedling establishment of Spartina densiflora, an invasive cordgrass, were studied under greenhouse conditions and compared with field observations. Five wrack burial depths were applied: control without wrack, 1 cm (1235 ± 92 g DW wrack m-2), 2 cm (3266 ± 13 g DW m-2), 4 cm (4213 ± 277 g DW m-2), and 8 cm (6138 ± 227 g DW m-2). Sediment pH, electrical conductivity, redox potential and temperature were recorded. Quiescence increased with wrack load up to ~20% at 8 cm deep. Germination decreased with wrack load from 96% to 14%, which could be related with anoxic conditions under the debris since sediment redox potential was as low as -83 ± 7 mV at 8 cm. Germination percentage increased and quiescent and dormant percentages decreased at higher daily sediment temperatures and with higher daily temperature fluctuations, conditions that were recorded without or under low loads of wrack. Spartina densiflora did not show primary dormancy, but its seeds entered into a non-deep physiological dormancy below 1 cm deep in plant debris. The establishment of S. densiflora seedlings was also greatly reduced by wrack burial since only 6 seedlings (11 ± 5 % of germinated seeds) emerged above plant debris from 1 cm and all seedlings died from deeper than 1 cm. S. densiflora seedling development was also reduced by wrack burial. The inverse relationship between germination and emergence of S. densiflora with wrack burial recorded in our study is useful to predict its invasion dynamics and to plan the management of invaded marshes.
Halting biological invasions in Europe : from data to decisions ; a message from NEOBIOTA 2012
(2014)
The NEOBIOTA conferences initiated by the European Group on Biological Invasions represents a forum for exchange of ideas and discussion of topics related to biological invasions as well as an interface between science, application and policies (Kowarik and Starfinger 2009). The 7th NEOBIOTA conference (http://neobiota2012.blogspot.com.es/), held in Pontevedra (Spain) from 12–14 September 2012, brought together 288 participants (ecologists, conservationists, representatives of governmental agencies and stake-holders), from 24 European countries and 9 non-European ones (namely, Australia, Brazil, Canada, Chile, Colombia, New Zealand, South Africa, United States and Venezuela).
The success of invasive species has been explained by two contrasting but non-exclusive views: (i) intrinsic factors make some species inherently good invaders; (ii) species become invasive as a result of extrinsic ecological and genetic influences such as release from natural enemies, hybridization or other novel ecological and evolutionary interactions. These viewpoints are rarely distinguished but hinge on distinct mechanisms leading to different management scenarios. To improve tests of these hypotheses of invasion success we introduce a simple mathematical framework to quantify the invasiveness of species along two axes: (i) interspecific differences in performance among native and introduced species within a region, and (ii) intraspecific differences between populations of a species in its native and introduced ranges. Applying these equations to a sample dataset of occurrences of 1,416 plant species across Europe, Argentina, and South Africa, we found that many species are common in their native range but become rare following introduction; only a few introduced species become more common. Biogeographical factors limiting spread (e.g. biotic resistance, time of invasion) therefore appear more common than those promoting invasion (e.g. enemy release). Invasiveness, as measured by occurrence data, is better explained by inter-specific variation in invasion potential than biogeographical changes in performance. We discuss how applying these comparisons to more detailed performance data would improve hypothesis testing in invasion biology and potentially lead to more efficient management strategies.
Saccharum spontaneum L. is an invasive grass that has spread extensively in disturbed areas throughout the Panama Canal watershed (PCW), where it has created a fire hazard and inhibited reforestation efforts. Currently physical removal of aboveground biomass is the primary means of controlling this weed, which is largely ineffective and does little to inhibit spread of the species. Little is known about reproduction of this species, although it is both rhizomatous and produces abundant seed. Here we report a series of studies looking at some of the basic reproductive mechanisms and strategies utilised by S. spontaneum to provide information to support development of better targeted management strategies. We found that seed produced between September and November was germinable both in the lab and in situ. Genetic diversity of mature stands was assessed using microsatellite markers and found to be high, even at small scales. Studies of vegetative reproduction showed that buds on stems that had been dried for up to six weeks were still capable of sprouting. Separate experiments showed that stem fragments could sprout when left on the surface or buried shallowly and that larger pieces sprouted more readily than smaller pieces. Collectively these results demonstrate that S. spontaneum in the PCW has the capability to produce many propagules that can successfully recruit and it is likely that seed dispersal drives the spread of the species. Timing of management actions to reduce flowering would significantly reduce the seed load into the environment and help to prevent spread to new sites. Similarly, where biomass is cut, cutting stems into smaller pieces will allow the stems to dry out and reduce the ability of buds to sprout. Additionally, attention should be paid to prevent accidental transport to new sites on machinery.
Smut fungi are well-suited to investigate the ecology and evolution of plant pathogens, as they are strictly biotrophic, yet cultivable on media. Here we report the genome sequence of Melanopsichium pennsylvanicum, closely related to Ustilago maydis and other Poaceae-infecting smuts, but parasitic to a dicot plant. To explore the evolutionary patterns resulting from host adaptation after this huge host jump, the genome of M. pennsylvanicum was sequenced and compared to the genomes of Ustilago maydis, Sporisorium reilianum, and Ustilago hordei. While all four genomes had a similar completeness in CEGMA analyses, gene absence was highest in M. pennsylvanicum, and most pronounced in putative secreted proteins, which are often considered as effector candidates. In contrast, the amount of private genes was similar among the species, highlighting that gene loss rather than gene gain is the hallmark of adaptation after the host jump to the dicot host. Our analyses revealed a trend of putative effectors to be next to another putative effector, but the majority of these are not in clusters and thus the focus on pathogenicity clusters might not be appropriate for all smut genomes. Positive selection studies revealed that M. pennsylvanicum has the highest number and proportion of genes under positive selection. In general, putative effectors showed a higher proportion of positively selected genes than non-effector candidates. The 248 putative secreted effectors found in all four smut genomes might constitute a core set needed for pathogenicity, while those 92 that are found in all grass-parasitic smuts, but have no ortholog in M. pennsylvanicum might constitute a set of effectors important for successful colonization of grass hosts.