Refine
Year of publication
- 2009 (2384) (remove)
Document Type
- Article (941)
- Doctoral Thesis (391)
- Part of Periodical (309)
- Book (210)
- Review (125)
- Working Paper (116)
- Part of a Book (81)
- Report (65)
- Conference Proceeding (58)
- Preprint (15)
Language
- German (1397)
- English (857)
- Portuguese (47)
- Croatian (39)
- French (24)
- Multiple languages (5)
- Italian (4)
- Spanish (4)
- dut (2)
- Hungarian (2)
Is part of the Bibliography
- no (2384) (remove)
Keywords
- Deutsch (58)
- Linguistik (34)
- Literatur (25)
- Rezension (24)
- Filmmusik (21)
- Lehrdichtung (18)
- Reiseliteratur (16)
- Deutschland (14)
- Film (13)
- Mittelhochdeutsch (13)
Institute
- Medizin (287)
- Extern (195)
- Biochemie und Chemie (158)
- Biowissenschaften (92)
- Präsidium (80)
- Physik (67)
- Gesellschaftswissenschaften (61)
- Rechtswissenschaft (51)
- Geowissenschaften (48)
- Geschichtswissenschaften (48)
Renewed interest in fiscal policy has increased the use of quantitative models to evaluate policy. Because of modeling uncertainty, it is essential that policy evaluations be robust to alternative assumptions. We find that models currently being used in practice to evaluate fiscal policy stimulus proposals are not robust. Government spending multipliers in an alternative empirically-estimated and widely-cited new Keynesian model are much smaller than in these old Keynesian models; the estimated stimulus is extremely small with GDP and employment effects only one-sixth as large.
We examined the neural signatures of stimulus features in visual working memory (WM) by integrating functional magnetic resonance imaging (fMRI) and event-related potential data recorded during mental manipulation of colors, rotation angles, and color–angle conjunctions. The N200, negative slow wave, and P3b were modulated by the information content of WM, and an fMRI-constrained source model revealed a progression in neural activity from posterior visual areas to higher order areas in the ventral and dorsal processing streams. Color processing was associated with activity in inferior frontal gyrus during encoding and retrieval, whereas angle processing involved right parietal regions during the delay interval. WM for color–angle conjunctions did not involve any additional neural processes. The finding that different patterns of brain activity underlie WM for color and spatial information is consistent with ideas that the ventral/dorsal “what/where” segregation of perceptual processing influences WM organization. The absence of characteristic signatures of conjunction-related brain activity, which was generally intermediate between the 2 single conditions, suggests that conjunction judgments are based on the coordinated activity of these 2 streams. Keywords: EEG, fMRI, source analysis, visual, working memory
We show that loanword adaptation can be understood entirely in terms of phonological and phonetic comprehension and production mechanisms in the first language. We provide explicit accounts of several loanword adaptation phenomena (in Korean) in terms of an Optimality-Theoretic grammar model with the same three levels of representation that are needed to describe L1 phonology: the underlying form, the phonological surface form, and the auditory-phonetic form. The model is bidirectional, i.e., the same constraints and rankings are used by the listener and by the speaker. These constraints and rankings are the same for L1 processing and loanword adaptation.
Experimental data shows that adult learners of an artificial language with a phonotactic restriction learned this restriction better when being trained on word types (e.g. when they were presented with 80 different words twice each) than when being trained on word tokens (e.g. when presented with 40 different words four times each) (Hamann & Ernestus submitted). These findings support Pierrehumbert’s (2003) observation that phonotactic co-occurrence restrictions are formed across lexical entries, since only lexical levels of representation can be sensitive to type frequencies.
The present study argues that variation across listeners in the perception of a non-native contrast is due to two factors: the listener-specic weighting of auditory dimensions and the listener-specic construction of new segmental representations. The interaction of both factors is shown to take place in the perception grammar, which can be modelled within an OT framework. These points are illustrated with the acquisition of the Dutch three-member labiodental contrast [V v f] by German learners of Dutch, focussing on four types of learners from the perception study by Hamann and Sennema (2005a).
The multiplicity fluctuations in A+A collisions at SPS and RHIC energies are studied within the HSD transport approach. We find a dominant role of the fluctuations in the nucleon participant number for the final fluctuations. In order to extract physical fluctuations one should decrease the fluctuations in the participants number. This can be done considering very central collisions. The system size dependence of the multiplicity fluctuations in central A+A collisions at the SPS energy range – obtained in the HSD and UrQMD transport models – is presented. The results can be used as a ‘background’ for experimental measurements of fluctuations as a signal of the critical point. Event-by-event fluctuations of the K/p , K/p and p/p ratios in A+A collisions are also studied. Event-by-event fluctuations of the kaon to pion number ratio in nucleus-nucleus collisions are studied for SPS and RHIC energies. We find that the HSD model can qualitatively reproduce the measured excitation function for the K/p ratio fluctuations in central Au+Au (or Pb+Pb) collisions from low SPS up to top RHIC energies. The forward-backward correlation coefficient measured by the STAR Collaboration in Au+Au collisions at RHIC is also studied. We discuss the effects of initial collision geometry and centrality bin definition on correlations in nucleus-nucleus collisions. We argue that a study of the dependence of correlations on the centrality bin definition as well as the bin size may distinguish between these ‘trivial’ correlations and correlations arising from ‘new physics’. 5th International Workshop on Critical Point and Onset of Deconfinement - CPOD 2009, June 08 - 12 2009 Brookhaven National Laboratory, Long Island, New York, USA
This paper analyzes the risk properties of typical asset-backed securities (ABS), like CDOs or MBS, relying on a model with both macroeconomic and idiosyncratic components. The examined properties include expected loss, loss given default, and macro factor dependencies. Using a two-dimensional loss decomposition as a new metric, the risk properties of individual ABS tranches can directly be compared to those of corporate bonds, within and across rating classes. By applying Monte Carlo Simulation, we find that the risk properties of ABS differ significantly and systematically from those of straight bonds with the same rating. In particular, loss given default, the sensitivities to macroeconomic risk, and model risk differ greatly between instruments. Our findings have implications for understanding the credit crisis and for policy making. On an economic level, our analysis suggests a new explanation for the observed rating inflation in structured finance markets during the pre-crisis period 2004-2007. On a policy level, our findings call for a termination of the 'one-size-fits-all' approach to the rating methodology for fixed income instruments, requiring an own rating methodology for structured finance instruments. JEL Classification: G21, G28 Keywords: credit risk, risk transfer, systematic risk
The genus Haroldiataenius Chalumeau, 1981 (Aphodiinae: Eupariini) from southern United States, Mexico, and Central America is revised and nine species are recognized. The subgeneric name Sayloria Chalumeau, 1981 is synonymized with Haroldiataenius (sensu stricto) and Ataenius sabinoi Cartwright, 1974 is synonymized with A. lucanus Horn, 1871. Five species are transferred to Haroldiataenius from the genus Ataenius Harold creating the following new combinations: H. convexus (Robinson), H. griffini (Cartwright), H. lucanus (Horn), H. saramari (Cartwright), and H. semipilosus (Van Dyke). One new species,Haroldiataenius buvexus is described from Texas, USA. A key to species of Haroldiataenius is included and pertinent morphological details are illustrated.
The New World euparine scarab genera Parataenius Balthasar, 1961 and Pseudataenius Brown, 1927 are revised. Ataenius brunneus Schmidt is transferred to the genus Parataenius becoming Parataenius brunneus (Schmidt), new combination. The monospecific genus Ataenioides Petrovitz, 1973, is synonymized with Pseudataenius Brown, 1927, (new synonymy) and the type species, Ataenioides gracilitarsis Petrovitz, is given the new combination Pseudataenius gracilitarsis (Petrovitz). New species of Parataenius are described from southern South America: Parataenius selvae, P. estero, and P. martinezi. Keys for species of both genera are presented and pertinent morphological details are illustrated.
Interesse für und Liebe zu den Vögeln und vor allem zu den Vogelstimmen entwickelten sich an getrennten Orten: Bei Hans-Heiner Bergmann in Marburg und Osnabrück, bei Hans-Wolfgang Helb in Erlangen und Kaiserslautern. Neue Forschungsmöglichkeiten und moderne Technik wie die Sonagraphie ließen aus den beiden Ornitho-Akustikern ein Kollegen-Team werden. Beide Stimmen-Sammlungen zusammen mündeten in gemeinsamen Publikationen, auch in dem Werk „Die Stimmen der Vögel Europas“.
Epidermal growth factor (EGF) receptor belongs to the broad family of enzymatic receptors called receptor tyrosine kinases (RTKs). Generally, the binding of a ligand to these receptors leads to activation of their intracellular kinase activity that sets in motion a cascade of signaling events. In order to ensure appropriate responses to physiological stimuli, the cell is endowed with the ability to regulate signal transduction via numerous mechanisms such as dephosphorylation of the RTK and its substrates as well as downregulation of the RTK. Activation of EGFR is a potent mitogenic (proliferative) and motogenic (cell motility) signal that plays crucial roles during embryonic development and maintenance of adult tissue. EGFR signaling is primarily regulated by ligand-induced receptor internalization with subsequent degradation in lysosomes. While the complex of proteins that are recruited to EGFR after its activation is well understood, proteins that interact with the receptor in the absence of ligand binding are still not systematically studied. With the goal of identifying novel binding partners of non-activated EGFR, a membrane based yeast-two hybrid screen (MYTH) was conducted. MYTH is based on the principle of in vivo reconstitution of the N-terminus (Nub) and C-terminus (Cub) halves of ubiquitin once brought into close proximity. A chimeric protein consisting of EGFR fused to Cub and a transcription factor was used as a bait to screen Nub-tagged cDNA library. Analysis of resultant yeast transformants revealed a total of 87 proteins to interact with EGFR. Of these only 11 were previously shown to bind to EGFR. A majority of the other proteins were shown to interact with the receptor by yeast retransformation. Fifteen were confirmed to bind to EGFR by coimmunoprecipitation assays in mammalian cells. One of the novel EGFR interactors identified in the screen was histone deacetylase 6 (HDAC6). This deacetylase is localized in the cytoplasm and known to deacetylate alpha-tubulin, HSP90 and cortactin. The juxtamembrane region of EGFR binds to the Cterminus of HDAC6. Functionally, overexpression of wild type HDAC6 stabilized ligand-induced degradation of the receptor. On the other hand, deacetylase deficient or EGFR binding compromised mutants of HDAC6 were able to stabilize EGFR only partially. Downmodulation of HDAC6 expression by RNAi markedly accelerated degradation of the receptor. Taken together, HDAC6 is a negative regulator of EGFR downregulation that is dependent on its deacetylase activity and ability to bind to the receptor. Imaging studies revealed that HDAC6 does not affect internalization of EGFR from the plasma membrane but rather influences the post-endocytic trafficking of the receptor-ligand complex to lysosomes. Pulse-chase experiments using fluorophoretagged EGF showed that EGFR is transported faster towards the peri-nuclear region and delivered to late endosomes rapidly in HDAC6 depleted cells. HDAC6 is demonstrated to act, at least partly, by regulating the acetylation of alpha-tubulin. Upon EGFR activation, acetylation of alpha-tubulin on lysine 40 is progressively increased as shown by mass spectrometry and immunoblotting. Forced expression of a dominant negative mutant of alpha-tubulin, but not wild type alpha-tubulin, led to reduced speed and processive movement of early endosomes in GFP-Rab5 expressing cells. In a surprising twist, EGFR is able to phosphorylate HDAC6 on Tyr570. Phosphorylation of Tyr570 and Ser568 leads to inactivation of the deacetylase function of HDAC6 as shown by in vivo and in vitro assays. In summary, HDAC6 diminishes EGFR downregulation by slowing the transport of intracellular vesicles. The inhibitory effect is removed once HDAC6 is phosphorylated on key residues. In line with these findings, two recent reports have shown that hyper-acetylation of alpha-tubulin induced by inhibition of HDAC6 increases the transport of brain derived neurotrophic factor and JNK interacting protein-1 in different cell systems. Acetylated microtubules are more efficient in recruiting motor proteins like kinesin-1 and dynein. These findings indicate that HDAC6 plays an important regulatory role in intracellular trafficking pathways. However, several outstanding issues still remain unresolved. How does acetylation of microtubules influence vesicular trafficking? In this regard, the temporal and spatial dynamics of alpha-tubulin acetylation following EGFR activation should be studied. Furthermore, whether HDAC6 affects the trafficking of other endocytic cargos and additional organelles is an interesting question to address.
Die vorliegende Arbeit analysierte die Behandlung von Patienten mit Infektionserkrankungen am Zentrum der Zahn-, Mund- und Kieferheilkunde des Klinikums der Johann Wolfgang Goethe-Universität, Frankfurt am Main (Carolinum). Dabei wurde vor allem untersucht, welche Auswirkungen die Reduzierung von Personalressourcen speziell für die Behandlung dieser Patienten ab dem Jahr 2000 hinsichtlich der Betreuung und Versorgung hatte. Die Studie war retrospektiv angelegt und wertete Daten aus den Jahren 1998 bis 2002 aus. Hierfür wurden alle im Archiv lagernden Karteikarten herangezogen und die Daten in eine dafür entwickelte FilemakerPro©-Datenbank übertragen. Im Untersuchungszeitraum nahmen 940 Patienten mit Infektionskrankheiten etwa 3700 Besuche wahr. Regelmäßig erschienen 25% der Patienten, auf sie entfielen 60% aller Besuche. Diese Gruppe wurde einer näheren Betrachtung unterzogen: Die Auswertung der erhobenen Daten zeigte, dass das Ziel der Absenkung der Patientenzahlen und die Anzahl der Behandlungstermine erreicht werden konnte, die systematische Betreuung der Patienten sich jedoch verschlechterte. Der Anteil der sanierten Patienten sank von 34% auf 18% ab, die Zahl der unsystematisch behandelten Patienten verdreifachte sich dagegen von 1999 auf 2000 und blieb bei diesem hohen Wert. Vorsorgebehandlungen nahmen maximal ein fünftel aller Behandlungen ein, mit abnehmender Systematik sank dieser Anteil gegen null. Begünstigender Faktor für eine Sanierung waren ein erstelltes OPG (ersatzweise ein Zahnfilmstatus) und die Erstellung einer Behandlungsplanung. Das Vorhandensein eines OPGs erhöhte aber nicht die Wahrscheinlichkeit für eine folgende Behandlungsplanung. Patienten die an das Carolinum von außerhalb überwiesen wurden, hatten eine größere Chance auf eine Sanierung. Letztlich wurden nur 4% aller regelmäßig erschienenen Patienten systematisch mit Recall betreut, zahnärztlich saniert wurden insgesamt jedoch 30% der behandelten Patienten. Entgegen allgemeiner Annahmen waren kurzfristig abgesagte oder nicht eingehaltene Termine die Ausnahme.
The selection of features for classification, clustering and approximation is an important task in pattern recognition, data mining and soft computing. For real-valued features, this contribution shows how feature selection for a high number of features can be implemented using mutual in-formation. Especially, the common problem for mutual information computation of computing joint probabilities for many dimensions using only a few samples is treated by using the Rènyi mutual information of order two as computational base. For this, the Grassberger-Takens corre-lation integral is used which was developed for estimating probability densities in chaos theory. Additionally, an adaptive procedure for computing the hypercube size is introduced and for real world applications, the treatment of missing values is included. The computation procedure is accelerated by exploiting the ranking of the set of real feature values especially for the example of time series. As example, a small blackbox-glassbox example shows how the relevant features and their time lags are determined in the time series even if the input feature time series determine nonlinearly the output. A more realistic example from chemical industry shows that this enables a better ap-proximation of the input-output mapping than the best neural network approach developed for an international contest. By the computationally efficient implementation, mutual information becomes an attractive tool for feature selection even for a high number of real-valued features.
Die Landschaft der Zeichen : eine semiotische Analyse von W. G. Sebalds "Die Ringe des Saturn"
(2009)
W. G. Sebald's "The Rings of Saturn" resists genre classification: Neither novel nor mere travel literature, it combines report with fiction, historical anecdotes with melancholy musings, explanations of economic and political facts with accounts of personal anxieties. This vast material, however, is joined by a semiotic regard, a way of looking at the world attentive on signs and their use. Hence, some of the far-ranging narratives, observations and reflections, often barely connected by associations of the narrator, can be systematically linked by a semiotic methodology. In this article, semiotic categories like index, icon and symbol, encoding, decoding and recoding, change of meaning and pattern recognition are applied to different levels of the text. The semiotic approach thus integrates the disparate episodes in "The Rings of Saturn", revealing them as being linked by their interest in signs and signification. In this way, semiotics proves itself as a method for literary studies.
In this thesis we have studied the physics of different ultracold Bose-Fermi mixtures in optical lattices, as well as spin 1=2 fermions in a harmonic trap. To study these systems we generalized dynamical mean-field theory for a mixture of fermions and bosons, as well as for an inhomogeneous environment. Generalized dynamical mean-field theory (GDMFT) is a method that describes a mixture of fermions and bosons. This method consists of Gutzwiller mean-field for the bosons, and dynamical mean-field theory for the fermions, which are coupled on-site by the Bose-Fermi density-density interaction and possibly a Feshbach term which converts a pair of up and down fermions into a molecule, i.e. a boson. We derived the self-consistency equations and showed that this method is well-controlled in the limit of high lattice coordination number z. We develop real-space dynamical mean-field theory for studying systems in an inhomogeneous environment, e.g. in a harmonic trap. The crucial difference compared to standard DMFT is that we are taking into account that different sites are not equivalent to each other and thus take into account the inhomogeneity of the system. Different sites are coupled by the real-space Dyson equation. ...
Dieser Beitrag befasst sich erstmals mit Fugenelementen in Lehnwortbildungen, genauer: in N+N-Komposita mit fremdem Bestimmungswort (auch Determinations- oder Erstglied). Da Fugenelemente morphologisch zum Bestimmungs- und nicht zum Grundwort gehören, spielt das Grundwort keine Rolle bei der Entscheidung, ob die Kompositionsnahtstelle verfugt wird oder nicht […]. […] Dabei fällt auf – und hierauf spielt der Zweifelsfall Subjekt(+s+)pronomen im Titel an –, dass es zahlreiche Schwankungen gibt […]. Schwankungsfälle erfordern u. E. besondere Aufmerksamkeit, weil sie in der Regel Sprachwandel im Vollzug darstellen, d. h. den Übergang eines älteren zu einem jüngeren Sprachzustand markieren. […] Was die Fremdwortkomposita so interessant macht, ist die Tatsache, dass nichtnatives Material einem sehr nativen Verfahren […] unterzogen wird […]. In diesem Beitrag gehen wir wie folgt vor: Zunächst – in Kapitel 2 – definieren wir das Fugenelement und stellen kurz seine Entstehung, sein Inventar von immerhin sechs Allo-Formen und deren Distribution dar. In Kapitel 3 fragen wir nach der bzw. den Funktionen von Fugenelementen, die in der bisherigen Forschung vorgebracht wurden. […]. Kapitel 4 befasst sich speziell mit dem Fugenverhalten in Fremdwortkomposita, genauer: in Komposita mit nichtnativem Erstglied. Hier zeigen wir, dass es in erster Linie die phonologische Wortstruktur des Erstglieds ist, die die s-Fugensetzung steuert.
Die deutschen Präteritopräsentia sind, indem alte Perfektformen das heutige Präsens stellen, aus mehreren Gründen als hochgradig irregulär zu betrachten. Hinzu kommt ein bisher nicht geklärter Umlaut bei vier (von heute sieben) dieser Verben: „müssen“, „dürfen“, „können“ und „mögen“. Bisherige Erklärungsversuche werden diesem Problem nicht gerecht: Zwar versuchen sie durchaus, den Umlaut im Präsens zu motivieren, doch vermögen sie es nicht, sein ausschließliches Vorkommen im Plural des Präsens zu erklären. Hier wird für die These argumentiert, dass es sich um einen (verbalen) Pluralumlaut handelt, der insbesondere auch im Nominalbereich gang und gäbe ist und dort zur gleichen Zeit einen massiven Ausbau (Morphologisierung) erfährt. Damit handelt es sich um einen sog. transkategorialen Marker. In deutschen Dialekten haben auch andere Verben zu solchen Pluralumlauten gegriffen.
Goethe und das Judentum
(2009)
U radu se opisuju sintaktičke funkcije participa prezenta aktivnog i participa preterita aktivnog I. u Katančićevu prijevodu Svetoga pisma (1831.). Posebno se istražuje participska konstrukcija apsolutni nominativ (particip u nominativu + ime u nominativu) te se utvrđuju njezine sintaktičke funkcije.
This article compares the prototypical (i. e. the most frequent) surnames of three neighbouring regions: The Netherlands, Flanders, and Germany. It concentrates on the surname’s emergence, development, their lexical sources and their current distribution. The latter is documented by maps based on telephone or official registers. Only some of the regional differences can be explained by cultural or historical factors. An important result is that onomastic landscapes do not follow national or linguistic borders.
Meeting Abstract : Deutscher Kongress für Orthopädie und Unfallchirurgie ; 73. Jahrestagung der Deutschen Gesellschaft für Unfallchirurgie ; 95. Tagung der Deutschen Gesellschaft für Orthopädie und Orthopädische Chirurgie ; 50. Tagung des Berufsverbandes der Fachärzte für Orthopädie und Unfallchirurgie ; 21. - 24.10.2009, Berlin Fragestellung: Ziel war die Evaluierung der funktionellen und radiologischen Ergebnisse nach osteosynthestischer Versorgung von Olecranonfrakturen mit einer zur Hakenplatte modifizierten Drittelrohrplatte. Methodik: In einem Zeitraum von 12 Monaten wurden 29 Patienten mit Olecranonfrakturen prospektiv erfasst und eine Osteosynthese mit einer zur Hakenplatte modifizierten Kleinfragment-Drittelrohrplatte durchgeführt. Eine additive Verschraubung von zusätzlichen Fragmenten erfolgte bei 6 Patienten (20%). Das mittlere Patientenalter zum Unfallzeitpunkt betrug 50 Jahre (Min 29/ Max 83). Unter Verwendung der Frakturklassifikation nach Schatzker stellte sich in 8 Fällen (28%) eine Querfraktur vom Typ A, in 6 Fällen (20%) eine Querfraktur mit Impaktion vom Typ B und in 15 Fällen (52%) eine Mehrfragmentfraktur vom Typ D dar. Bei 4 Patienten (14%) lag eine offene Fraktursituation vor. Nach im Mittel 7,2 Monaten (Min 6/ Max 8) wurde das funktionelle Outcome anhand des Mayo Elbow Performence Scores (MEPS), der visuellen Analogskala (VAS) und des Disabilities of the Arm, Shoulder and Hand Scores (DASH) bewertet sowie die radiologischen Befunde erhoben. Ergebnisse und Schlussfolgerungen: Das Ziel einer primär übungsstabilen Osteosynthese konnte bei allen Patienten erreicht werden. Unter Verwendung des MEPS wurden annähernd ausschließlich sehr gute (12 Fälle/41%) und gute (16 Fälle/55%) Ergebnisse erzielt. Lediglich bei einem Patienten ergab sich ein nur befriedigendes Ergebnis. Der mittlere Punktwert für den MEPS betrug 91,4 (Min 65/Max 100). In der VAS konnte ein Mittelwert von 8,2 Punkten (Min 7/Max 10) erzielt werden (0=keine Zufriedenheit, 10=volle Zufriedenheit). Der mittlere DASH-Wert betrug 16,2 Punkte (Min 0/Max 39). Der mittlere Bewegungsumfang betrug für Extension/Flexion bei einem durchschnittlichen Streckdefizit von 8° (Min 0°/Max 25°) und einer Beugung von 135° (Min 105°/Max 155°) 125° (Min 90°/Max 155°). Die Unterarmumwendbewegungen waren mit 175° (Min 165°/Max 180°) kaum eingeschränkt. Bei keinem Patienten gab es postoperative Komplikationen. Eine zur Hakenplatte modifizierte Drittelrohrplatte stellt im Gegensatz zu präformierten, winkelstabilen Implantaten eine kostengünstige Alternative zur Osteosynthese bei Olecranonfrakturen dar. Auch bei komplexen mehrfragmentären Frakturtypen und osteoporotischer Knochenqualität konnte so im nachuntersuchten Kollektiv eine sichere Frakturretention erzielt werden. Hinsichtlich des funktionellen Ergebnisses profitieren die Patienten von einer dadurch unmittelbar postoperativ möglichen, physiotherapeutischen Nachbehandlung. Das für die Hakenplatte benötigte Osteosynthesematerial (Kleinfragment-Drittelrohrplatte) ist nahezu überall verfügbar und lässt sich in kurzer Zeit der individuellen Anatomie und Frakturmorphologie anpassen. Eine Drahtmigration, wie bei der weit verbreiteten Zuggurtungsosteosynthese häufig beobachtet, ist ausgeschlossen.
Biodiversität und Klimawandel in der Debatte um den ökologischen Waldumbau – eine Diskursfeldanalyse
(2009)
In der Umweltpolitik werden die Themenfelder Klimawandel und Biodiversität besonders betont. Klimaveränderung und Erhalt/Veränderungen der biologischen Vielfalt werden zumeist unabhängig voneinander betrachtet und nicht miteinander verknüpft. Debatten zum Klimawandel und zum Schutz der Biodiversität werden von Vertretern der Politik, Wirtschaft, Wissenschaft und Gesellschaft kontrovers geführt. Die im aktuellen Diskurs um den ökologischen Waldumbau erwähnten Zusammenhänge von Biodiversität und Klimawandel werden analysiert, da dieser Umbau darauf abzielt, Waldbestände mit naturnahen Strukturen und natürlichen Lebensabläufen zu schaffen. Aufgrund des Klimawandels sind trotz Wissenslücken Maßnahmen eines klimaanpassenden Umbaus sinnvoll. Erwartungsgemäß wird Biodiversität häufig thematisiert, etwa bezogen auf die Baumartenwahl und -mischung, aber auch die Verkürzung der Umtriebszeiten und Grenzen der Naturverjüngung. Hinweise für weitere Aktivitäten im LOEWE Biodiversität und Klima Forschungszentrum BiKF wurden identifiziert.
Background The effect of additional treatment strategies with antineoplastic agents on intraperitoneal tumor stimulating interleukin levels are unclear. Taurolidine and Povidone-iodine have been mainly used for abdominal lavage in Germany and Europe. Methods In the settings of a multicentre (three University Hospitals) prospective randomized controlled trial 120 patients were randomly allocated to receive either 0.5% taurolidine/2,500 IU heparin (TRD) or 0.25% povidone-iodine (control) intraperitoneally for resectable colorectal, gastric or pancreatic cancers. Due to the fact that IL-1beta (produced by macrophages) is preoperatively indifferent in various gastrointestinal cancer types our major outcome criterion was the perioperative (overall) level of IL-1beta in peritoneal fluid. Results Cytokine values were significantly lower after TRD lavage for IL-1beta, IL-6, and IL-10. Perioperative complications did not differ. The median follow-up was 50.0 months. The overall mortality rate (28 vs. 25, p = 0.36), the cancer-related death rate (17 vs. 19, p = .2), the local recurrence rate (7 vs. 12, p = .16), the distant metastasis rate (13 vs. 18, p = 0.2) as well as the time to relapse were not statistically significant different. Conclusion Reduced cytokine levels might explain a short term antitumorigenic intraperitoneal effect of TRD. But, this study analyzed different types of cancer. Therefore, we set up a multicentre randomized trial in patients undergoing curative colorectal cancer resection. Trial registration : ISRCTN66478538
Der Begriff des doing gender als interaktive Inszenierung des sozialen Geschlechts (gender) hat sich auch in der Linguistik etabliert und ist vor allem für die Sprachverwendung bzw.- Gesprächslinguistik fruchtbar gemacht worden. Doch selbst etwas so biologisch determiniert Erscheinendes wie weibliche und männliche Stimmen, ihre Höhe, ihre Verlaufsmuster, sind konstruierter, als man dies bisher für möglich gehalten hatte. Der am stärksten und radikalsten segregierte sprachliche Bereich, die Rufnamen, wurde für das Deutsche erst 2003 mit der Arbeit "Naming Gender" von Susanne Oelkers empirisch auf die Kodierung von Geschlecht hin untersucht. Erstmals wird systematisch nachgewiesen, dass und worin sich Frauen- und Männernamen phonologisch-strukturell voneinander unterscheiden, außerdem, dass wir diese Geschlechtszuordnungen auch bei uns unbekannten Namen vornehmen. Das heißt, es besteht ein kollektives Wissen darüber, wie weibliche und männliche Rufnamen beschaffen sind.
A Unita, na pessoa do seu presidente, JMS, demonstrou com uma estrutura de poder, marcada por nuances tradicionais e por querelas palacianas, pôde colocar a mulher nas situações mais extremas e caricatas. Para a questão em análise, não se trata de um conflito entre a instituição da família tradicional, assente na poligamia, e a moderna, que postula pela família monogâmica com os valores a si adstritos. Trata-se do uso, do abuso e da coisificação da mulher, em consequência de um poder autocrático que por vezes, e não foram poucas, mostrou ter perdido o controlo da situação. As mulheres de Jonas Savimbi dividem-se em aquelas que mais amou - e assumiu como “primeira-dama”, mas que também, por razões que se desconhecem mais odiou -, as amantes, que teve filhos com algumas delas, e outras, fruto de relações fortuitas, cujo segredos elas guardam a sete chaves.
Was zwar schon länger vermutet, jedoch bislang nie nachgewiesen werden konnte, ist nun Gewissheit! Die jüngste Expedition einer Gruppe Studierender im Jahr 2006 unter Leitung von Professor Hans-Heiner Bergmann (Universität Osnabrück) brachte es ans Tageslicht. In der Sarmaschlucht westlich des Baikal im russischen Sibirien kommt eine bisher unbekannte endemische Art aus der Ordnung der Sperlingsvögel (Passeriformes) vor, der Sarmensische Steppenschwirl (Locustella sarmensis, Bergmann 2006).
U radu se analizira latinski sintaktički utjecaj pri uporabi zamjenica u Marulićevu i Kašićevu prijevodu popularnoga srednjovjekovnog djela De imitatione Christi. Istražuju se ova sintaktička svojstava zamjenica: izricanje pripadanja 3. licu s pomoću genitiva ličnih zamjenica za 3. lice, uporaba posvojne zamjenice za 1. i 2. lice u odnosu na povratno-posvojnu zamjenicu svoj, uporaba povratno-posvojne zamjenice svoj u odnosu na posvojne za 3. lice, uporaba lične zamjenice za 1. i 2. lice u odnosu na povratnu zamjenicu, uporaba odnosnih zamjenica na početku rečenice te množina srednjega roda pokaznih, relativne (koji) i neodređenih (sav, svaki) zamjenica u značenju jednine. Na temelju promatranih kategorija autorice nastoje utvrditi sličnosti i razlike tih dvaju proznih prijevodnih tekstova te objasniti prevoditeljski postupak.
Ključne riječi: De imitatione Christi ; Marko Marulić ; Bartol Kašić ; uporaba zamjenica ; sintaktičke prevedenice
Representations of the unknown and the foreign can be found in every culture. Paralleling the method of constructing identity in relation to the Other, all cultures create myths about the ‘foreign’ in order to discern what the ‘native’ is, and thus often essentialize them as either good or bad, ultimately to vindicate one’s own actions and values. The nature of myths has it as such that they lend themselves to images, which are easily transformed into representations. Representations of the foreign in the United States follow the same purpose; they are propagated to define the nation’s identity and set it into political and cultural relation to other nations and civilizations. In this thesis’ context, then, representations of Asian Americans in American culture strengthen the imaginative bonds of American national identity manifesto. However, the interdependency of the Self and the Other clarifies and further entangles the subjects that constitute American national identity and in turn legitimizes the belated claim of Asian Americans to be included into it. Asian American literature is primarily concerned with these myths and (mis)representations that are influenced by Orientalist images in Western culture. Thus, Orientalism – a constructed myth about the Orient, which exists in art, books, and armchair theories of all kinds in the Western world – becomes the main motif for Asian American literature. If we construe this theory a little further then Asian American identity is formed in relation to Orientalist representations that need to be deconstructed first. From the outset, if Orientalism is considered as a produce of imperialism, it seems that time is a defining factor in Orientalism, both as an agent of change and as a factor of perspective. In reality, however, Orientalism seems resilient to time and change; the creation of the Madame Butterfly myth exemplifies what was created in 1887 had been perfected by 1900 and since then enjoys frequent comebacks until today. Thus, for Asian American artists and writers to dismantle Orientalist stereotypes begins a literally archaeological process: excavating the leftovers of American Orientalism, evaluating those finds, and re-relating them with their own cultural and historical actuality. Rather than producing a neat line of argumentation, the approaches on defining Asian American identity within the American national identity manifesto fall into unwieldy clusters and even get tangled up into self-contradictions. The methods of dismantling Orientalist stereotypes are manifold and range from total rejection over evocation and appropriation to reflection. In order to wrestle such disparate issues Orientalism produces in Asian American Literature into an organic whole, it was important to focus consistently on the over arching theme of American national identity. As this thesis aims to show, Orientalist issues that are dealt with in Asian American literature all point toward the greater aim of national inclusion. This thesis is grouped into two parts. PART I provides historical and theoretical background information necessary to understand Orientalist issues in contemporary Asian American literature. Analogous to Asian American writers that feel the necessity to bed their work into the correct historical frame in order to prevent misunderstanding, chapters two and three serve to couch my argument into the correct frame. The theoretical base work is laid with Edward Said’s Orientalism and its implementation on the American and Asian American context. PART II examines literary examples, applying the theorems discussed in PART I. Chapter four is a close analysis of the submissive Butterfly stereotype that has, since its appearance in late nineteenth century, moved, inspired and even outraged writers. Beginning with the literary development of Madame Butterfly, D. H. Hwang’s deconstructivist M. Butterfly gives new perspectives on Orientalism by redefining gender and racial roles. To complement my analysis, in chapter five, I try to trace current Asian American reactions to Orientalism. Texts by comedian Margaret Cho and poet Beau Sia serve as examples of analysis. As a result of the disparate narrative forms of the analyzed works and the unevenness of scholarship on twenty-first century, the analyses vary greatly in scope and detail. In choosing fairly young narrative forms like stand-up comedy and spoken word poetry I want to emphasize how Orientalism pertains to the question of Asian American identity. To close the circle of my discourse I will go back to where I start my thesis: Asian Americans and their position within America’s national identity discourse. It is noteworthy that until today, Asian American identity remains a hostage of these Orientalist stereotypes that mark the boundaries of their American identity.
Introduction Loss of intestinal integrity has been implicated as an important contributor to the development of excessive inflammation following severe trauma. Thus far, clinical data concerning the occurrence and significance of intestinal damage after trauma remain scarce. This study investigates whether early intestinal epithelial cell damage occurs in trauma patients and, if present, whether such cell injury is related to shock, injury severity and the subsequent inflammatory response. Methods Prospective observational cohort study in 96 adult trauma patients. Upon arrival at the emergency room (ER) plasma levels of intestinal fatty acid binding protein (i-FABP), a specific marker for damage of differentiated enterocytes, were measured. Factors that potentially influence the development of intestinal cell damage after trauma were determined, including the presence of shock and the extent of abdominal trauma and general injury severity. Furthermore, early plasma levels of i-FABP were related to inflammatory markers interleukin-6 (IL-6), procalcitonin (PCT) and C-reactive protein (CRP). Results Upon arrival at the ER, plasma i-FABP levels were increased compared with healthy volunteers, especially in the presence of shock (P < 0.01). The elevation of i-FABP was related to the extent of abdominal trauma as well as general injury severity (P < 0.05). Circulatory i-FABP concentrations at ER correlated positively with IL-6 and PCT levels at the first day (r2 = 0.19; P < 0.01 and r2 = 0.36; P < 0.001 respectively) and CRP concentrations at the second day after trauma (r2 = 0.25; P < 0.01). Conclusions This study reveals early presence of intestinal epithelial cell damage in trauma patients. The extent of intestinal damage is associated with the presence of shock and injury severity. Early intestinal damage precedes and is related to the subsequent developing inflammatory response.
Realität – Repräsentation – Öffentlichkeit : der Dokumentarfilm in der heutigen Fernsehlandschaft
(2009)
In dieser Studie wurde die Frage aufgestellt, ob und wie durch einen Fernsehdokumentarfilm im Vergleich zu ethnographischen Darstellungen Wirklichkeit dokumentiert und Wissen über diese vermittelt werden kann. Die Beantwortung der Fragestellung wurde durch eine vergleichende Analyse einzelner Produktionsschritte, wie auch der dahinter stehenden Kriterien und Konventionen auf empirischer und theoretischer Ebene, angestrebt. Ergänzt wurde dies durch eine Evaluation der Rahmenbedingungen, die sich auf die Produktion und vereinzelt auch auf die Konventionen auswirken können.
Breaking tolerance to the natural human liver autoantigen cytochrome P450 2D6 by virus infection
(2009)
Autoimmune hepatitis (AIH) is a chronic liver disease of unknown etiology, characterized by a loss of tolerance against hepatocytes leading to the progressive destruction of hepatic parenchyma and cirrhosis. Clinical signs for AIH are interface hepatitis and portal plasma cell infiltration, hypergammaglobulinemia, and autoantibodies. Based on serological markers AIH is defined in subtypes. The hallmark of AIH type 2 are type 1 liver/kidney microsomal autoantibodies (LKM-1), whereas AIH type 1 is characterized by the presence of anti-nuclear (ANA) and/or anti-smooth muscular (SMA) autoantibodies. The major autoantigen recognized specifically by LKM-1 autoantibodies was identified as the 2D6 isoform of the cytochrome P450 enzyme family (CYP2D6). Not much is known about the etiology and pathogenic mechanisms of AIH so far and most animal models available result in only transient hepatic liver damage after a rather complex initiation method. It was the aim of my project to generate a novel animal model for AIH that reflects the chronic and progressive destruction of the liver characteristic for the human disease while using a defined and feasible initiating event to further analyze the pathogenic mechanisms leading to the autoimmune-mediated destruction of the liver. Therefore, mice transgenically expressing the human CYP2D6 in the liver and wild-type mice were infected with a liver-tropic adenovirus expressing the human CYP2D6 (Ad-2D6). Selftolerance to CYP2D6 was broken in Ad-2D6-infected mice, resulting in persistent autoimmune liver damage, apparent by cellular infiltration, hepatic fibrosis and necrosis. Similar to type 2 AIH patients, Ad-2D6-infected mice generated LKM-1-like antibodies recognizing the same immunodominant epitope of CYP2D6. Taken together, we could introduce a new animal model that reflects the persistent autoimmune-mediated liver damage as well as the serological marker characteristic for AIH type 2 and we could demonstrate that chronic autoimmune diseases targeting the liver can be triggered by molecular mimicry occurring in the context of a hepatotropic viral infection.
In this work, we extend the Hegselmann and Krause (HK) model, presented in [16] to an arbitrary metric space. We also present some theoretical analysis and some numerical results of the condensing of particles in finite and continuous metric spaces. For simulations in a finite metric space, we introduce the notion "random metric" using the split metrics studies by Dress and al. [2, 11, 12].
Background: Mitochondrial DNA sequencing increasingly results in the recognition of genetically divergent, but morphologically cryptic lineages. Species delimitation approaches that rely on multiple lines of evidence in areas of co-occurrence are particularly powerful to infer their specific status. We investigated the species boundaries of two cryptic lineages of the land snail genus Trochulus in a contact zone, using mitochondrial and nuclear DNA marker as well as shell morphometrics.
Results: Both mitochondrial lineages have a distinct geographical distribution with a small zone of co-occurrence. In the same area, we detected two nuclear genotype clusters, each being highly significantly associated to one mitochondrial lineage. This association however had exceptions: a small number of individuals in the contact zone showed intermediate genotypes (4%) or cytonuclear disequilibrium (12%). Both mitochondrial lineage and nuclear cluster were statistically significant predictors for the shell shape indicating morphological divergence. Nevertheless, the lineage morphospaces largely overlapped (low posterior classification success rate of 69% and 78%, respectively): the two lineages are truly cryptic.
Conclusions: The integrative approach using multiple lines of evidence supported the hypothesis that the investigated Trochulus lineages are reproductively isolated species. In the small contact area, however, the lineages hybridise to a limited extent. This detection of a hybrid zone adds an instance to the rare reported cases of hybridisation in land snails.
Zwischen Bilateralismus und Multilateralismus : die Zentralasienpolitik der Volksrepublik China
(2009)
Die Außenpolitik der Volksrepublik China (VRC) ist im Wandel begriffen. Nur ein – wenngleich wesentlicher – Ausdruck dessen ist die erst seit wenigen Jahren zu beobachtende Entwicklung, dass sich die VRC vermehrt multilateralen Institutionen zuwendet und diese mittlerweile zum Teil gar selbst initiiert. Dieser Trend stellt eine radikale Kehrtwende gegenüber dem dar, was die VRC seit ihrer Gründung 1949 noch bis weit in die 1990er-Jahre hinein mit Multilateralismus (ML) assoziiert hat – nämlich Mechanismen zur Strafung und Einengung der VRC. Doch welche praktische Bedeutung kommt multilateralen Wirkungsweisen innerhalb der chinesischen Außenpolitik in jüngster Zeit tatsächlich zu? Die vorliegende Magisterarbeit beschäftigt sich mit dieser Fragestellung, indem sie zu analysieren sucht, welche Rolle multilaterale Strukturen – im Gegensatz zu bilateralen – bei der Implementierung chinesischer außenpolitischer Interessen spielen. Dies geschieht anhand eines einzigartigen Fallbeispiels, und zwar der chinesischen Zentralasienpolitik, innerhalb der wiederum die Shanghai Cooperation Organization (SCO) eine herausragende Stellung einnimmt. Diese Organisation ist das einzige multilaterale Forum, an dem die VRC von Beginn an als der maßgebende Akteur im Hinblick auf ideelle, konzeptionelle und inhaltliche Belange teilgenommen hat. Entsprechend ist davon auszugehen, dass die Untersuchung ein Höchstmaß an Einblicken in den tatsächlich intendierten Zweck des chinesischen ML zu liefern vermag. Die Analyse zeigt, dass multilaterale Vorgehensweisen in quantitativer Hinsicht seit Gründung der SCO im Jahre 2001 stark zugenommen haben, und das auf allen vier identifizierten Hauptinteressensgebieten der VRC in Zentralasien: Sicherheit, Wirtschaft, Energie und Geopolitik. Mit Blick auf die qualitative Komponente ist indessen zu konstatieren, dass dem ML, den China in der Region praktiziert, einige negativ behaftete Charakteristika zu eigen sind. Die Attribute „flexibel“, „selektiv“, „flach“ und „instrumentalisiert“, die derzeit weitgehend als prägend für den chinesischen ML in seiner Gesamtheit angesehen werden, besitzen auch – und gerade – in Zentralasien ihre Gültigkeit. Insgesamt fällt auf, dass die VRC multilaterale Strategien nur dann verfolgt, wenn der kurzfristige Eigennutzen über den bilateraler Mechanismen hinausgeht. Und auch dann hört der Rückgriff auf ML dort auf, wo der eigene Gewinn ein Maximum erreicht. Somit bleiben die chinesischen Machthaber den Praxisbeweis einer integrativen Funktion von ML noch schuldig.
Medium range hydrological forecasts in mesoscale catchments are only possible with the use of hydrological models driven by meteorological forecasts, which in particular contribute quantitative precipitation forecasts (QPF). QPFs are accompanied by large uncertainties, especially for longer lead times, which are propagated within the hydrometeorological model system. To deal with this limitation of predictability, a probabilistic forecasting system is tested, which is based on a hydrological-meteorological ensemble prediction system. The meteorological component of the system is the operational limited-area ensemble prediction system COSMO-LEPS that downscales the global ECMWF ensemble to a horizontal resolution of 10 km, while the hydrological component is based on the semi-distributed hydrological model PREVAH with a spatial resolution of 500 m.
Earlier studies have mostly addressed the potential benefits of hydrometeorological ensemble systems in short case studies. Here we present an analysis of hydrological ensemble hindcasts for two years (2005 and 2006). It is shown that the ensemble covers the uncertainty during different weather situations with appropriate spread. The ensemble also shows advantages over a corresponding deterministic forecast, even under consideration of an artificial spread.
CD8 T cells are recognized key players in control of persistent virus infections, but increasing evidence suggests that assistance from other immune mediators is also needed. Here, we investigated whether specific antibody responses contribute to control of lymphocytic choriomeningitis virus (LCMV), a prototypic mouse model of systemic persistent infection. Mice expressing transgenic B cell receptors of LCMV-unrelated specificity, and mice unable to produce soluble immunoglobulin M (IgM) exhibited protracted viremia or failed to resolve LCMV. Virus control depended on immunoglobulin class switch, but neither on complement cascades nor on Fc receptor gamma chain or Fc gamma receptor IIB. Cessation of viremia concurred with the emergence of viral envelope-specific antibodies, rather than with neutralizing serum activity, and even early nonneutralizing IgM impeded viral persistence. This important role for virus-specific antibodies may be similarly underappreciated in other primarily T cell–controlled infections such as HIV and hepatitis C virus, and we suggest this contribution of antibodies be given consideration in future strategies for vaccination and immunotherapy.
Introduction Chemokines and their receptors control immune cell migration during infections as well as in autoimmune responses. A 32 bp deletion in the gene of the chemokine receptor CCR5 confers protection against HIV infection, but has also been reported to decrease susceptibility to rheumatoid arthritis (RA). The influence of this deletion variant on the clinical course of this autoimmune disease was investigated. Methods Genotyping for CCR5d32 was performed by PCR and subsequent electrophoretic fragment length determination. For the clinical analysis, the following extra-articular manifestations of RA were documented by the rheumatologist following the patient: presence of rheumatoid nodules, major organ vasculitis, pulmonary fibrosis, serositis or a Raynaud's syndrome. All documented CRP levels were analyzed retrospectively, and the last available hand and feet radiographs were analyzed with regards to the presence or absence of erosive disease. Results Analysis of the CCR5 polymorphism in 503 RA patients and in 459 age-matched healthy controls revealed a significantly decreased disease susceptibility for carriers of the CCR5d32 deletion (Odds ratio 0.67, P = 0.0437). Within the RA patient cohort, CCR5d32 was significantly less frequent in patients with extra-articular manifestations compared with those with limited, articular disease (13.2% versus 22.8%, P = 0.0374). In addition, the deletion was associated with significantly lower average CRP levels over time (median 8.85 vs. median 14.1, P = 0.0041) and had a protective effect against the development of erosive disease (OR = 0.40, P = 0.0047). Intriguingly, homozygosity for the RA associated DNASE2 -1066 G allele had an additive effect on the disease susceptibility conferred by the wt allele of CCR5 (OR = 2.24, P = 0.0051 for carrier of both RA associated alleles) Conclusions The presence of CCR5d32 significantly influenced disease susceptibility to and clinical course of RA in a German study population. The protective effect of this deletion, which has been described to lead to a decreased receptor expression in heterozygous patients, underlines the importance of chemokines in the pathogenesis of RA.
Mammalian retinae have rod photoreceptors for night vision and cone photoreceptors for daylight and colour vision. For colour discrimination, most mammals possess two cone populations with two visual pigments (opsins) that have absorption maxima at short wavelengths (blue or ultraviolet light) and long wavelengths (green or red light). Microchiropteran bats, which use echolocation to navigate and forage in complete darkness, have long been considered to have pure rod retinae. Here we use opsin immunohistochemistry to show that two phyllostomid microbats, Glossophaga soricina and Carollia perspicillata, possess a significant population of cones and express two cone opsins, a shortwave-sensitive (S) opsin and a longwave-sensitive (L) opsin. A substantial population of cones expresses S opsin exclusively, whereas the other cones mostly coexpress L and S opsin. S opsin gene analysis suggests ultraviolet (UV, wavelengths <400 nm) sensitivity, and corneal electroretinogram recordings reveal an elevated sensitivity to UV light which is mediated by an S cone visual pigment. Therefore bats have retained the ancestral UV tuning of the S cone pigment. We conclude that bats have the prerequisite for daylight vision, dichromatic colour vision, and UV vision. For bats, the UV-sensitive cones may be advantageous for visual orientation at twilight, predator avoidance, and detection of UV-reflecting flowers for those that feed on nectar.