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Aristotle argued over 2000 years ago that it was legitimate to resist tyranny, yet he provided no arguments as to which means were legitimate. Until today, although we still cannot agree in defining legally what activity can be characterized as “terrorism,” we can all repeat the famous words, “I can’t define it but I know when I see it.” Most important, we all feel the need to explain it and finally combat it. Yet human bombs, this fashionable weapon of today’s terror campaigns, pose an extra difficulty, as they are perceived by many as most difficult to prevent and repel: how can someone actually stop and deter a person who is not afraid of giving up life? The appearance of women in this kind of murder activity has complicated the question, as their gender makes it quite difficult to detect let alone understand them, due to existing images and perceptions about the female role in society and crime. Usually security services, policymakers, and analysts have little conceptual understanding of how the factors contributing to terrorism, as well as the various social parameters, actually affect the individual terrorist. Instead they seem to believe strongly that hard-line policies will prevent terrorism because terrorists want to avoid high costs. The prescriptions dictated by this approach are quite attractive, because they are conventional, compatible with the existing political doctrine, and relatively easy to implement. Few efforts have been made thus far to devise an analytical framework for understanding the processes and factors that underlie the development of the suicide bomber and the execution of suicide bombing attacks, and even fewer about the female actors. Yet to date the approach has contributed little in combating suicide terrorism, where the perpetrators clearly are oblivious to the physical cost of their actions. If multiple factors are likely to underlie any one observation, this undoubtedly applies to suicide terrorism, which is a complex phenomenon not caused by one single factor and not to be adequately explained by one overarching motivation. In order to understand it there is a need to appreciate the ethnic, religious, political, social, and economic context in which it takes place. If perceived as a crime, then any factor that affects or concerns the perpetrator also has to be analyzed in order to break down the pattern of deviance and deter it adequately. Gender is one of these crucial factors, so the female participation in suicide terrorism merits special research, since the cultural, social, and religious standards in the terrorism arenas put women in a very different position than that of men. They are “special” deviants, not because the operational method of their self-immolation differs from that of men, but because their womanhood plays a key role in the way the whole social environment influences them. It is the specific province of criminology, which involves studying the manifestations of crime and social control in relation to law as well as the conditions, processes, and implications at the societal level, that Criminological Perspectives on Female Suicide Terrorism contributes to identifying and analyzing female suicide attacks. Thus, criminology can offer valuable explanations to the formidable goals of counterterrorism, which in turn will be better able to try to combat or modify the special characteristics of this form of female criminal behavior.
The meaning of chains
(1998)
This thesis investigates the mechanisms applying in the interpretation of syntactic chains. The theoretical background includes a translation of syntactic forms into semantic forms and a model theoretic explication of the meaning of semantic forms. Simplicity considerations apply to all three stages of the interpretation process: syntactic derivation, translation into semantic forms, interpretation of semantic forms. Three main results are achieved. The first is that trace positions can have semantic content beyond what is needed for the semantic dependency of trace and binder. This extra content is some or all of the lexical material of the head of the chain, as expected on the copy theory of movement. Two independent arguments support this conclusion. One, discussed in chapter 2, is based on the distribution of Condition C effects, where novel interactions between variable binding, antecedent contained deletion and Condition C are observed. The second, developed in chapter 3, is based on conditions on the identity of traces observed in antecedent contained deletion constructions. Both arguments lead to the same generalizations about what lexical material of the head is interpreted in the trace position. The second main result is that lambda calculus is superior to both standard predicate logic and combinatorial logic as the mathematical model for the semantic mechanism mediating the dependency of trace (or bound pronoun) and binder. Chapter 4 argues this on the basis of the distribution of focus and destressing in constructions with bound pronouns. The third main result is that quantification must be allowed to range over pointwise different choice functions. Chapter 5 shows that quantification over individuals is insufficient, and that pointwise different choice functions are required. The result entails that the syntactic difference of A-chains and A-bar chains predicts a semantic difference in the type of the variable involved, which is argued to explain weak crossover phenomena. Chapters 6 argues that the interpretation procedures developed in the preceeding chapters account for all cases. It is shown that only traces of the type of individuals arise, and that scope reconstruction is a phonological phenomenon. The latter result also supports the T-model of syntax.
Milah books & manuals
(2009)
The Bay of Diego-Suarez, considered to be one of the finest and largest natural harbours in the world, is located towards the northernmost tip of Madagascar in the Antsiranana province. Despite its historical and current use as a port, much of its convoluted perimeter is still somewhat untouched, harbouring pristine shorelines and subtidal coral reefs. The position of the bay between other regions in which high marine biodiversity has already been revealed suggests that it may also harbour high biodiversity. However, the relatively long coastline and limited connectivity of the bay with the Indian Ocean, in combination with existing anthropogenic activities, potentially make its marine environments susceptible to a range of environmental impacts including sedimentation, nutrification and pollution. The Frontier-Madagascar Marine Research Programme (FMMRP) became involved in conducting marine ecological survey work in the Bay of Diego-Suarez, north Madagascar, in April 2005, having relocated from its previous base at Anakao in southwest Madagascar. The rationale for the survey programme stemmed from the affiliation of the FMMRP with the Malagasy organisations Association Nationale pour la Gestion des Aires Protégées (ANGAP) and Service d’Appui a la Gestion de l’Environnement (SAGE), who were interested in identifying areas of the bay with particularly healthy coral reef systems. Additional environmental interest in the bay has arisen as a result of its proximity to surrounding terrestrial protected areas such as the newly managed Ramena complex, incorporating Orangea and Montagne des Français, and also Montagne d’Ambre. Since its relocation to the Diego-Suarez area, the FMMRP has compiled over two years’ worth of marine ecological data relating to benthic community composition, fish species abundance and population size structure, frequency of algae and invertebrate indicator species, and physical environmental parameters. Thus there exists an extensive dataset for the Bay of Diego-Suarez, from which details of the current condition of its marine habitats can be investigated and a baseline for temporal monitoring can be established. The primary purpose of this report is to signify the initial detailed dissection of the dataset and demonstrate the conclusions that can be made regarding the ecological status of coral reef systems within the bay. This has mostly involved the examination of benthic data, focusing upon variations in percentage cover of substrata and coral community characteristics as useful structural indicators of reef condition. Additionally, the report includes an assessment of the abundance and distribution of sea urchins and their relation to benthic community patterns, as a demonstration of the ability to interrelate different aspect of the FMMRP dataset to enhance the conclusions that can be drawn. Benthic community data were obtained from 380 line intercept transects conducted in different sectors of the Bay of Diego-Suarez between October 2005 and December 2007, representing a combined distance of 7,600 m. Sediment occupied the greatest overall proportion of the benthos (around 38%), especially in the western areas of the bay. Overall mean hard coral cover was around 15%, and tended to co-vary with other ‘hard’ substrata such as rock and rubble. In total, 38 scleractinian coral genera were recorded during survey work, in addition to a number of unidentified genera. The coral communities of the bay were dominated by Acropora and Porites spp., which comprised around 33% and 20% of total recorded hard coral cover, respectively. Hard coral cover and generic diversity appeared to be positively related. These indicators were greatest in the northeast area opposite the mouth of the bay, reaching mean values of around 37% and 6.8 genera, respectively. Here, the hard coral community was dominated by Acropora spp. and comprised a relatively high proportional cover of Galaxea spp. In the northwest of the bay, coral cover was approximately half as great and consisted primarily of species belonging to the genera Porites and Millepora. Habitats in this area were highly similar in terms of their overall coral community composition. Hard coral cover and diversity were generally lower in the southern portion of the bay, especially in more immediate proximity to the population centre of Diego-Suarez (around 2% and 1.5- 5.5 genera, respectively). Coral community composition was considerably more variable than in the northern portion of the bay. v After sediment and ‘hard’ substrata, seagrass formed the next major interplaying component of the benthic environment (around 10% overall proportional cover). The easternmost areas adjacent to the mouth of the bay were characterised by high seagrass cover, whic h reached around 48%. Little or no seagrass was encountered elsewhere, except at one locality in the northwest (around 13% cover). Macroalgae cover was low and less variable, reaching a maximum value of around 10% adjacent to Diego-Suarez. There were no differences between island and mainland sites in terms of overall benthic substratum characteristics, yet soft coral cover was significantly greater amongst island sectors. Sea urchin abundance data were obtained from 498 belt transects conducted between April 2006 and December 2007, representing a total area of 49,800 m2. A total of 6 species were recorded, of which Diadema setosum comprised by far the greatest relative abundance (96%) and observation frequency (55%). The greatest population densities of this species were encountered in the more exposed areas in the west and northwest, reaching around 1.5 m-2, and very few individuals were recorded in the eastern reaches. Data suggest a possible seasonal increase in D. setosum densities, corresponding with an increase in water temperature towards the end of the year. No significant correlation existed between D. setosum population density and coral cover, although these seemed to be inversely related in the central northern area of the bay. There was also no significant correlation with macroalgae cover. However, D. setosum density was positively and negatively associated with rubble and seagrass cover, respectively. There was a lack of a clear pattern amongst sectors with respect to overall benthic community characteristics, let alone between the density of D. setosum and benthic substratum composition. In conclusion, a relatively detailed map of benthic community composition has been produced for the Bay of Diego-Suarez, which shall be useful in elucidating the primary factors determining the condition of marine environments within the bay and developing effective sustainable management strategies. Further analysis, incorporating additional components of the FMMRP dataset, is required in order to further clarify our understanding of the key issues surrounding the current status of these coral reef systems. It is hoped that continued survey work will enable important long-term ecological monitoring of the marine environment of the bay and assessment of the effectiveness of any management initiatives that may be implemented.
The content of this book will explain A For various reasons Europeans and Germans left their Homeland. B How they travelled in groups and individually. C How they landed in South Australia. D The Newcomers reception in a British colony. E The treatment they received in Australia. F What the Germans and Europeans achieved in Australia.
Contents: Foreword I. Prolonged Diving Previous Investigations Present Investigations Diving Experiments with Seals Diving Experiments with a Beaver Investigations on Whales Diving Experiments with Penguins and Domestic Ducks II. Deep Diving Previous Investigations and Views Present Investigations Methods References Appendix (Tables)
Four MA dissertations and 222 BA research essays are listed alphabetically, and indexed by reference number under three subject categories-geographical area (by district, etc.), ethnic group, and a general subject index of 42 headings. All but 31 of the 226 alphabetical entries contain research solely on Botswana: the other countries being South Africa (12 entries), Zimbabwe (11), Namibia (6), Angola and Zambia (1 each). The most researched district of Botswana is Central (54 entries), followed by Kgatleng and Kweneng (25 each), North-East (24), South-East (16), Southern (9), Ngamiland (6), Chobe and Ghanzi (3 each), and Kgalagadi (2). The subject index of 29 ethnic groups ranges from Afrikaners (2 entries) and Amandebele (2) through Babirwa (7), Bakalanga (24), Bakgatla (27), Bakhalagari (4), Bakwena (21), Bangwato (19), Basarwa (5), and Batlharo (1), to Indians (3) and Ovambanderu (2). The general subject index ranges from Administration (29 entries), Agriculture (18), and Archaeology (21), through Biography (28), Cattle (7), Chieftainship (27), Class formation (7), Councils (7), Economic development (23), Education (14), and Heritage management (7), to Labour and labour migration (7), Medicine (4), Nationalism (13), Religion (15), Serfdom, servitude and slavery (7), Settlement history (19), Trade and commerce (13), Trade unions (6), and Urbanization (15). With the notable exception of one MA dissertation, there is a lack of cultural studies which may partly be attributed to research being done instead under the aegis of other departments in the Faculty of Humanities.
Northern Chile, which includes the extremely arid Atacama Desert and the semiarid Andean Highlands, has more than 100 basins with interior drainage; most contain salars (salt-ilncrusted playas). The area of interior drainage totals more than 38,000 square miles, within which salara and clay playas extend over a total area of about 2,800 square miles. In addition, hills and valleys in the Atacama Desert are extensively covered either with a thin hard saline crust, chiefly salt-cemented soil, or with a powdery soil that has a high content of saline material, chiefly anhydrite and gypsum. The region has an exceptional variety of types of hard saline crusts that are generally rare in other deserts, and many morphological and structural salt features, some of which may be unique. Soft saline crusts and clay playas, more characteristic of arid regions elsewhere, are also present. Hard salar crusts have formed by deposition of saline material in open water or by capillary migration and evaporation of near-surface ground water. Such crusts generally range from a few inches to several feet in thickness. Locally, crusts may attain thicknesses of several tens of feet, and one salar, Salar Grande, is a basin filled with high. purity rock salt to a local depth of at least 560 feet. Six general types of hard salar crusts are distinguished: (1) layered massive rock salt with a rugged surface, (2) slabby or nodular silty rock salt, (3) rugged gypsum or anhydrite, (4) massive coarsely crystalline rock salt, (5) smooth rock salt, and (6) silty nitrate-bearing saline crust. Soft surfaces or crusts include moist gypsum-bearing crusts, which commonly contain nodules and layers of ulexite in Andean salars, and moist to dry puffy soils and crusts that contain gypsum, thenardite and mirabilite as the principal saline constituents. An unusual chemical feature of the salars and the desert soils of northern Chile is the general paucity of carbonate minerals (for example, trona, calcite, and aragonite) which are widespread in other desert regions. Among the many morphological and structural features that can be recognized in and near salars of northern Chile, the most unusual occur in hard rock-salt crusts, which in themselves are scarce in other arid regions. Included are features due to corrosion of rock-salt crusts by windblown water or free-flowing surface water, such as: (1) salt cusps and crenulate margins of salars, (2) salt channels, (3) salt pseudobarchans, and (4) salt tubes. Constructional features in the salars include: (1) gypsum buttresses at borders of saline ponds, (2) salt veins, (3) salt stalactites, and (4) salt cones. In some salars, new fresh-water springs have formed steep-walled brine pools in thick rock-salt crusts. Prominent salt cascades and constructional salt terraces have been built up in one Andean valley by springs that are fed by brine from a nearby salar (Salar de Pedernales). Sag basins and prominent scarps occur along faults that cut through the salt mass of Salar Grande. Of, the 67 closed basins in the Andean Highlands of northern Chile, at least 35 show shorelines or deltas of former perennial lakes. Today only flve perennial lakes occur in this area. The former lakes probably formed at one or more times during the Pleistocene and perhaps continued to form into Holocene time. They indicate a climate that was either more rainy or cooler, or both, during the time of their formation. However, the absence of glacial features throughout most of the northern Chilean Andes indicates that the climate during the Pleistocene glacial stages was not greatly different from today's climate. It is estimated that perennial lakes would form in nearly all thil Andean basins if the mean annual rainfall of the region above 10,000 feet in altitude were increased to 15 inches from its present 8 inches, and if the mean annual temperature were about 2° F. less than it is at present.
Youth movements
(2008)
Agro-technology
(2001)
This regional study documents the life and the destruction of the Jewish community of Magdeburg, in the Prussian province of Saxony, between 1933 and 1945. As this is the first comprehensive and academic study of this community during the Nazi period, it has contributed to both the regional historiography of German Jewry and the historiography of the Shoah in Germany. In both respects it affords a further understanding of Jewish life in Nazi Germany. Commencing this study at the beginning of 1933 enables a comprehensive view to emerge of the community as it was on the eve of the Nazi assault. The study then analyses the spiralling events that led to its eventual destruction. The story of the Magdeburg Jewish community in both the public and private domains has been explored from the Nazi accession to power in 1933 up until April 1945, when only a handful of Jews in the city witnessed liberation. This study has combined both archival material and oral history to reconstruct the period. Secondary literature has largely been incorporated and used in a comparative sense and as reference material. This study has interpreted and viewed the period from an essentially Jewish perspective. That is to say, in documenting the experiences of the Jews of Magdeburg, this study has focused almost exclusively on how this population simultaneously lived and grappled with the deteriorating situation. Much attention has been placed on how it reacted and responded at key junctures in the processes of disenfranchisement, exclusion and finally destruction. This discussion also includes how and why Jews reached decisions to abandon their Heimat and what their experiences with departure were. In the final chapter of the community’s story, an exploration has been made of how the majority of those Jews who remained endured the final years of humiliation and stigmatisation. All but a few perished once the implementation of the ‘Final Solution’ reached Magdeburg in April 1942. The epilogue of this study charts the experiences of those who remained in the city, some of whom survived to tell their story.
I conducted an 18 month study on the behavior and ecology of two species of sympatric caviid rodents (Kerodon rupestris and Galea spixii) in northeastern Brazil. Preliminary observations indicated that Kerodon was a habitat specialist. occurring only in large boulder piles. whereas Galea appeared to be a habitat generalist. occurring in a variety of open habitats excepting the boulder piles inhabited by Kerodon. This situation presented an ideal field experiment to compare the social structures in these two closely related genera. I first established breeding colonies of both in order to describe their behavioral displays and to discern their function. Complete behavioral repeltoires. including vocalizations. are presented for both Kerodon and Galea. Reproduction and growth. behavioral development. sexual behavior. agonistic behavior. and use of space were all examined both quantitatively and qualitatively in the colonies and in the field. Time budgets were calculated and analyzed for both genera. Differences in rates of growth and behavioral development between the two genera afe probably related to ecological aspects of their significantly different microhabitat preferences. Data on sexual and agonistic behavior collected in the colonies suggested that Kerodon exhibited resource defense polygyny, whereas the Galea mating system approximated male dominance polygyny. Field data supported the colony observations. These differences in mating systems may be related to the different habitat preferences observed. Kerodvll is compared to other resource defense polygynists. Finally, a model for the evolution of behavior in the family Caviidae is presented. The social organizations of the various genera seem to be very responsive to ecological requirements. The importance of social organization in ecological adaptation is discussed.
Twelve genera, two of them new, are recognized in the tribe Adesmiini in southern Africa. Four new species of Epiphysa, one of Alogenius (placed in a new subgenus), two of Stenocara, one of Metriopus, and one placed in one of the new genera, are described. The genera are revised, and their distribution and relationship are briefly discussed
This paper is a preliminary attempt to reconstruct the consonant system of Proto-East-Cushitic (PEC) , one of the four branches of the Cushitic family. Data are taken from some twenty-odd languages including unpublished material on a variety of hitherto little known languages. After discussing a number of general problems raised by the phonological comparison of the East Cushitic languages, 23 consonants are reconstructed for the inventory of the proto-language and the evidence for the reconstructions is presented in the form of cognate sets and correspondence rules which map the proto-phonemes onto the individual reflexes. The method employed is that of comparative linguistics as traditionally employed in Indo-European linguistics.
If we see a film, we experience the passing time in two ways. On the one hand, it is conveyed as the time in which the film action takes place – felt as “lived” time. On the other hand, via camera travels and movements of objects vertically to the picture plane, time is perceived – in a much more indirect way – as a vehicle for representation of spatial depth. It is this link between space and time where the method of “time tilting” introduced here sets in. When a film scene is “time-tilted”, one of the spatial dimensions (here the horizontal direction of the picture plane) is interchanged with the time dimension: In a first step, the pictures of the scene are digitalized. Then, the thus gained pixels of all pictures of the scene are arranged into a three-dimensional data field. Finally, a new series of pictures is read out, along one of the two former picture axes, which is then shown as a scene of moving pictures. The resulting film will present optical phenomena which are, on the one hand, aesthetically appealing and, on the other hand, informative for film analysis. First examples demonstrate how the procedure operates on basic movements in space as well as on camera travels in space.
Rwanda entered independence following a transition marked by violent internecine conflict. The conflict was stoked by the departing colonial rulers as they sought to place control of the levers of state in the hands of an ethnic majority, which they had hitherto marginalised in favour of a minority they now sought to exclude. It carried on into the country’s post-colonial politics. For nearly three decades Rwanda’s postcolonial rulers presided over an ethnocracy that perpetuated the negative colonial legacy of ethnic division. They systematically practiced a politics of exclusion and repression that placed the country’s long-term stability under threat, eventually led to civil war, and culminated in the genocide of 1994. After the genocide and the defeat and overthrow of the ancien regime of ethnic supremacists, the new ruling elite - most of whom had spent nearly three decades in exile or been born there - embarked on re-building a collapsed state and re-ordering the country’s politics. The last fourteen years have witnessed deliberate efforts to re-orient the country away from three decades of politics of division and exclusion under the First and Second Republics, towards a system which privileges national reconciliation and unity, equity, and inclusion. This paper examines developments in post-1994 Rwanda against the background of pre-1994 politics and society, and the factors that led to and facilitated the war that culminated in the genocide and eventual overthrow of the Second Republic. It provides insights into the efforts and achievements made by the new ruling elites in pursuit of long-term peace and stability. A great deal, however, remains inadequately explored, including political organisation and the role of political parties, economic reform and management, and the reform and management of the security sector, all of which are the focus of on-going research.
Die Stücke der Windrose für Salonorchester (1989-95) by the Argentine-German composer Mauricio Kagel (*1931) constitute a set of eight pieces on the main bearings of the compass, each number being named after a compass point. In my thesis I explore how the different musical idioms – references to non-Western musics and to salon orchestra music, as well as Kagel’s own compositional procedures – relate to one another in the pieces. The specific origin of the materials Kagel utilised is established by examining a variety of sources, such as the composer’s own programme notes, an interview I conducted with him, and most importantly, the sketch materials. On this basis I develop a theoretical model of the intertextual relations between different musical discourses by means of Bakhtinian dialogics, resulting in a typology distinguishing different kinds of cross-cultural musical representation according to the degree of ‘stylisation’ involved. This typology serves as the framework of my analyses in which I discuss the different ways Kagel engages with his source materials in terms of compositional technique, aesthetic issues such as Kagel’s challenge to traditional notions of authorship, and the ideological implications of cross-cultural musical representation, interpreted in the light of recent discourses, for instance in cultural studies and postcolonialism. In particular, I demonstrate that Kagel‘s work is as much a critical reflection on common Western representations of ‘otherness’, as it engages in such a practice itself, as is apparent in the ostentatious employment of a salon orchestra with its associations of turn-of-thecentury exoticism. By illustrating methodological approaches to cross-cultural composition, which has become a prominent feature of contemporary Western concert music, the thesis aims to contribute to current discourses concerning the musical representation of ‘otherness’.
Since independence, the government of Botswana has practiced an exclusive language policy in which only English has been used in government circles at the exclusion of all the 26 languages represented in the country, with a limited use of the national language, Setswana. However, in recent years more positive statements have been heard in Parliament, opening up to recognize the use of other languages in education and society. These statements have provided a conducive environment for Non-governmental organizations to develop other languages for use in education and out-of-school literacy. This paper focuses on the work of one such organization. It reports on a project this organization is undertaking to revive the language and culture of the Wayeyi people in North Western, and Central Botswana. It gives findings on attitudes towards Shiyeyi as a language of instruction for literacy and shows how the preference expressed for Shiyeyi has great potential for a literacy program.
In response to rising anti-Semitism worldwide, including in some of the strongest democracies, the U.S. Congress passed the Global Anti-Semitism Review Act of 2004. On October 16, 2004, President George W. Bush signed the legislation into law (Public Law 108-332). The Act requires the U.S. Department of State to document and combat acts of anti-Semitism globally. To advance these goals, the Act mandated a one-time report on anti-Semitic acts, which the U.S. Department of State submitted to the U.S. Congress in January 2005. The Act also established within the U.S. Department of State an Office of the Special Envoy to Monitor and Combat Anti-Semitism. On May 22, 2006, Gregg Rickman was sworn in by U.S. Secretary of State Condoleezza Rice as the first Special Envoy.The U.S. Department of State’s January 2005 Report on Global Anti-Semitism surveyed anti-Semitic incidents throughout the world. The annual Country Reports on Human Rights Practices and the annual Report on International Religious Freedom include country-by-country assessments of the nature and extent of acts of anti-Semitism and anti-Semitic incitement. The Office of the Special Envoy to Monitor and Combat Anti-Semitism contributes to the anti-Semitism sections of these annual surveys, pursuant to the Global Anti-Semitism Review Act. Both reports have revealed that incidents of anti-Semitism have become more frequent in recent years. Consistent with the U.S. Department of State’s commitment to assess and counter anti-Semitism, this report is provided to the U.S. Congress to further assess contemporary anti-Semitism by exploring anti-Semitic themes and practices. This report is meant to be used as a resource for increasing understanding of and informing public discourse about contemporary forms of anti-Semitism and for shaping policies to combat anti-Semitism worldwide.
Moreno noted a similarity between a late 18th Century play by the great German scholar and artist, Goethe, and some elements of psychodrama, which can be substantiated; however, Goethe was not, as Moreno suggested, an early promoter of spontaneity. The similarities and contrasts between these two men are intriguing.
The present work reports two experiments on brain electric correlates of cognitive and emotional functions. (1) Studying paranormal belief, 35-channel resting EEG (10 believers and 13 skeptics) was analyzed with "Low Resolution Electromagnetic Tomography" (LORETA) in seven frequency bands. LORETA gravity centers of all bands shifted to the left in believers vs. sceptics, and showed that believers had stronger left fronto-temporo-parietal activity than skeptics. Self-rating of affective attitude showed believers to be less negative than skeptics. The observed EEG lateralization agreed with the ‘valence hypothesis’ that posits predominant left hemispheric processing for positive emotions. (2) Studying emotions, positive and negative emotion words were presented to 21 subjects while "Event-Related Potentials" (ERPs) were recorded. During word presentation (450 ms), 13 microstates (steps of information processing) were identified. Three microstates showed different potential maps for positive vs. negative words; LORETA functional imaging showed stronger activity in microstate #4 (106-122 ms) for positive words right anterior, for negative words left central; in #6 (138-166 ms) for positive words left anterior, for negative words left posterior; in #7 (166-198 ms), for positive words right anterior, for negative words right central. In conclusion: during word processing, the extraction of emotion content starts as early as 106 ms after stimulus onset; the brain identifies emotion content repeatedly in three separate, brief microstate epochs; and, this processing of emotion content in the three microstates involves different brain mechanisms to represent the distinction positive vs. negative valence.
The thesis is a study of the Jewish community of Leipzig, Germany over the course of the 20 th century. It begins with an overview of the Jews of the city until the rise to power of Adolf Hitler, emphasizing divisions with the Jewish community over the ideology of Zionism and between German-born and foreign-born Jews. It goes on to describe the lives of Jews as the Nazis come to state authority, the riots of November, 1938, and the gradual exclusion of Jews from professional and pubic life in the city. Jewish responses in education, politics and culture are examined, as are the decisions of many local people to emigrate. After the 1938 riots, exclusion began to shift to extermination, and the Jewish community found itself subject to deportation to camps in Eastern Europe. Most of those deported were murdered. Those who lived were able to do so because of good fortune, canny survival skills, or marriage to non-Jews. Jewish life, which had been an important part of the city, was systematically destroyed. After 1945, those few who survived in the city were joined by another handful of Jewish Leipzigers who survived the camps, and by some non-Leipzig Jews, to reform the Jewish community. A tiny percentage of the old Jewish world of Leipzig was left to rebuild. They did so, reestablishing institutions, reclaiming property, and beginning negotiations with the new authorities, the Soviet occupation and then the German Democratic Republic. The Jews of Leipzig continued some of their old concerns in this new world, negotiating with the government and among themselves the nature of their identities as Jews and as Germans. These negotiations were brought to a halt by a series of anti-Semitic purges in 1952 and 1953. The leadership of the Jewish community fled, as did many of their fellow-Jews. The behavior of the East German state at this point showed some surprising commonality with their Nazi predecessors. After the purges were over, those who remained began another process of rebuilding, this time in constant tension with a government that wanted to use them for propaganda purposes during the Cold War. With the fall of the communist regime in 1989-90, the Jewish community of Leipzig was able to chart its destiny again. The old issues of identity and community--among themselves and between Jews and their German neighbors--continue in a very different context.