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New technologies generate risks, for the evaluation of which various mechanisms have been developed; the most frequent of these mechanisms consists of advice from committees of experts to the bodies whose role is to decide whether a new technology should be implemented or not. Such committees try to measure the magnitude of the threats that accompany the introduction of a new technology in order that the policy-makers may take their decisions in the light of the reports of the experts. The legitimacy of such reports is not only found in the technical capacity of its authors, but also in the impartiality of their recommendations. On numerous occasions, nevertheless, the effective presence of this evaluation finds itself today under suspicion. There are various methods that can be employed to try to resolve this problem. Firstly by reinforcing the mechanisms on which the technocratic evaluation of the risk are based; for example, through transparency in the selection of the experts. Secondly, by means of the incorporation of democratic mechanisms in the scientific-technological policy. The exposure of the internal conditions to the dynamics of the technological change that make possible the institutionalised involvement of society in the control of risk, as well as of the mechanisms to realise it are the principal subjects of this work.
Akrasia, or weak-will, is a term denoting a phenomenon when one acts freely and intentionally contrary to his or her better judgment. Discussion of akrasia originates in the Plato's Protagoras where he states that “No one who either knows or believes that there is another possible course of action, better than the one he is following, will ever continue on his present course”. However, in his influential article from 1970, Donald Davidson argued that akrasia is theoretically possible yet irrational. Some other critics of Plato's stance point out that phenomenon of akrasia is common in our everyday experience, therefore it must be possible.
These two arguments in favor of akrasia existence – theoretical and empirical – will be discussed from both – philosophical and psychological points of view. Especially, George Ainslie's argument that akrasia results from hyperbolic discounting will be taken into consideration to show how it affects traditional thinking about weak-willed actions.
Finally, the paper will discuss how the contemporary notion of akrasia may affect the idea of responsibility and free will. Implications for the philosophy of law will be shown, i.a. whether it is possible to claim that a given example of a weak-willed action was indeed free and intentional and one should be held responsible for its results.
Occasionally, in pursuing their adjudicative duties over the course of a legal hearing, judges are called upon to acquire new concepts – that is, concepts which they did not possess at the commencement of the hearing. In performing their judicial role they are required to learn new things and, as a result, conceptualise the world in a way which differs from the way they conceived of things before the hearing commenced. Some theorists have argued that either as a general matter or as a matter specific to judicial practice and the legal context, judges are, with some degree of necessity, incapacitated from acquiring certain kinds of concepts. Such concepts include those possessed by the members of culturally different minority groups. Drawing on contemporary trends in analytic and naturalistic philosophy of mind, this paper explores the extent to which a judge might be incapacitated from acquiring new concepts over the course of a legal hearing and identifies those factors which condition the success or failure of that process.
The main purpose of my article is to discuss what GMOs are, the controversies about this specific issue and the related regulations that are put forward by the authorities. GMOs are genetically altered organisms which have been widely produced and breeded in certain parts of the world. According to some experts, this special practice of agriculture emerged in order to put an end to famine and prevent food scarcity. As growing GMOs seems to be more convenient than the traditional farming, it is more eligible to produce food in large scale which will be a fine solution for food scarcity. However, there are some oppositions to the GMOs. It is strongly believed that the real causes of famine is not related to production, it is a problem of distribution of food. Moreover, patenting the seeds leads to an unstoppable control and dominance over food by the private enterprises. Therefore, the opponents state that the aims of these companies are solely financial gain and monopolisation in food production. Patenting the seeds is another arguable issue. It poses a great threat for the organic farmers since GMO seeds can contaminate the others through natural ways. This is not the only danger that organic farmers face with; thay can also be sued by the GMO producers for this unintended exposure to GMO seeds. Not only the diminishing of the variety of species but also the possible adverse effects of GMOs on human health create a debate between the two groups. These are not the only topics that are open to discussion. In addition to these, labelling the products creates a huge problem among the poorly educated consumers as they have not been clearly regulated in some countries. Hence, this subject having such a close connection to human health cannot be ignored by the law. In fact, a number of countries have enacted legislation in order to regulate this sensitive field. Turkey, having been dependent on the import of the agricultural goods for a period of time, has to join these countries with a recent legislation. All these contemporary issues for Turkey will be highlighted in my article.
In this paper I demonstrate the utility of a Values in Design (VID) perspective for the assessment, the design and development of e-democracy tools. In the first part, I give some background information on Values in Design and Value-Sensitive Design and their relevance in the context of e-democracy. In part 2, I analyze three different e-democracy tools from a VID-perspective. The paper ends with some conclusions concerning the merits of VID for e-democracy as well as some considerations concerning the dual tasks of philosophers in assessing and promoting value-sensitive technology design.
The aim of this paper is to explore the case of the Spanish ‘indignants’ movement of May 2011 as an example of the structural changes occurring in the public sphere after the emergence of a new type of social movement characterized by the widespread use of the ICTs. First I focus on the ideological dimension of discourse of the ‘indignants’ movement, so as to reconstruct the protesters’ self-image. They thought that ICTs were playing a prominent role in a wider trend towards a regeneration of democracy, but they were rather misguided because they lack an accurate description of what really happened. In the second part of this paper I will challenge some features of my case study, emphasizing three basic elements of a democratic public sphere. I aim to call into question the idea that a ‘truly’ democratic public may be hosted by the emergent communicative environment.
In the debate on how the new information and communication technologies impact on democratic politics the role played by the digital architecture seems to be surprisingly underrated. In particular, while a lot of attention has been paid to the possibilities that new technologies open up to democratic theory, few works have attempted to look at how democracy may help in shaping technologies. By adopting as a starting point the approach known as ‘code as law’, the paper aims at two objectives: to re-affirm the importance of discussing normative principles to guide the process of code writing in order to reinvigorate the debate; to claim the importance of input reasons when deciding which principles should be chosen. After having remarked that code is relevant for establishing democratic norms, the paper briefly tackles with the main attempts by European scholars to deal with this issue. Then, a couple of practical examples of how code impacts on democratic rights are sketched out. In the last section of the paper a shift from an output-based approach to the legitimacy of code to an input-based is openly advocated: an inquiry into the legitimacy of code should focus on its production.
The aim of this contribution is to introduce and outline a third theory of rights. Concentrating on claim-rights, it proposes to approach this aim via the concept of a directed duty. This approach is justified by the widely shared presupposition that an entity has a right if and only if a duty is owed to this entity. Unlike some prominent other proposals, this contribution does not contrast directed duties with undirected ones. It contrasts two ways a duty can be related to an entity. On the one hand, a duty can be owed to an entity. In this case it is directed to this entity. On the other hand, a duty can concern an entity. There is no reason to presuppose that they exclude each other, on the contrary. Theories of rights have to reconstruct the difference between these two ways a duty can be related to an entity. After having introduced the starting point for a theory of rights in that way, the two classic theories of rights will be rejected, the will theory and the interest theory. The main focus lies on the shortcomings of the different versions of the interest theory. This criticism helps to formulate the conditions a convincing theory of rights has to meet. In the last part, the status theory of rights will be outlined.
This paper aims to assess the arguments that claim representative democracy may be enhanced or replaced by an updated electronic version. Focusing on the dimension of elections and electioneering as the core mechanism of representative democracy I will discuss: (1) the proximity argument used to claim the necessity of filling the gap between decision-makers and stakeholders; (2) the transparency argument, which claims to remove obstacles to the publicity of power; (3) the bottom-up argument, which calls for a new form of legitimacy that goes beyond classical mediation of parties or unions; (4) the public sphere argument, referred to the problem of hierarchical relation between voters and their representatives; (5) the disintermediation argument, used to describe the (supposed) new form of democracy following the massive use of ICTs. The first way of conceptualizing e-democracy as different from mainstream 20th century representative democracy regimes is to imagine it as a new form direct democracy: this conception is often underlying contemporary studies of e-voting. To avoid some of the ingenuousness of this conception of e-democracy, we should take a step back and consider a broader range of issues than mere gerrymandering around the electoral moment. Therefore I shall problematize the abovementioned approach by analyzing a wider range of problems connected to election and electioneering in their relation with ICTs.
Until three years ago, ICT Technologies represented a main “subordinate clause” within the “grammar” of Participatory Budgeting (PB), the tool made famous by the experience of Porto Alegre and today expanded to more than 1400 cities across the planet. In fact, PB – born to enhance deliberation and exchanges among citizens and local institutions – has long looked at ICTS as a sort of “pollution factor” which could be useful to foster transparency and to support the spreading of information but could also lead to a lowering in quality of public discussion, turning its “instantaneity” into “immediatism,” and its “time-saving accessibility” into “reductionism” and laziness in facing the complexity of public decision-making through citizens’ participation. At the same time, ICTs often regarded Participatory Budgeting as a tool that was too-complex and too-charged with ideology to cooperate with. But in the last three years, the barriers which prevented ICTs and Participatory Budgeting to establish a constructive dialogue started to shrink thanks to several experiences which demonstrated that technologies can help overcome some “cognitive injustices” if not just used as a means to “make simpler” the organization of participatory processes and to bring “larger numbers” of intervenients to the process. In fact, ICTs could be valorized as a space adding “diversity” to the processes and increasing outreach capacity. Paradoxically, the experiences helping to overcome the mutual skepticism between ICTs and PB did not come from the centre of the Global North, but were implemented in peripheral or semiperipheral countries (Democratic Republic of Congo, Brazil, Dominican Republic and Portugal in Europe), sometimes in cities where the “digital divide” is still high (at least in terms of Internet connections) and a significant part of the population lives in informal settlements and/or areas with low indicators of “connection.” Somehow, these experiences were able to demystify the “scary monolithicism” of ICTs, showing that some instruments (like mobile phones, and especially the use of SMS text messaging) could grant a higher degree of connectivity, diffusion and accountability, while other dimensions (which could risk jeopardizing social inclusion) could be minimized through creativity. The paper tries to depict a possible panorama of collaboration for the near future, starting from descriptions of some of the above mentioned “turning-point” experiences – both in the Global North as well as in the Global South.
In this article, I examine how open borders can serve the idea of global distributive justice by asking how or how not the existing practices of immigration to rich countries may contribute to global economic redistribution. There are two observations. First, migration is not the redistributive option that anyone has an equal access. In order to make use of migration as a means of global redistribution, rich countries need to provide a chance to migrate to those who cannot afford movement by themselves. Second, as long as brain-drain problems happen, what the perspective of global distributive justice requires is the compensation for some educational cost of raising professionals or some control of their movement. Immigration admissions largely focusing on getting highly skilled professionals may not serve the idea of global redistribution.
The revolution will be tweeted : how the internet can stimulate the public exercise of freedoms
(2012)
This article discusses how new technologies of communication, especially the Internet and, more specifically, social network services, can interfere in social interactions and in political relations. The main objective is to problematize the concept of public liberty and verify how the new technologies can promote the reoccupation of public spaces and the recovery of public life, in opposition to the tendency to valorize the private sphere, observed in the second half of the twentieth century. The theoretical benchmark adopted for the investigation is Hannah Arendt's theory about the exercise of fundamental political capacities in order to establish a public space of freedom, as presented in “On Revolution”. The “Praia da Estação” (“Station Beach”) case is chosen to test the hypothesis. In 2010 in the Brazilian city of Belo Horizonte, different individuals articulated a movement through blogs, Twitter and facebook, in order to protest against the Mayor’s act that banned the assembling of cultural events in one of the main public places of the city, the “Praça da Estação” (Station Square). By applying Arendt's concepts to the selected case, it is possible to demonstrate that the Internet can assume an important role against governmental arbitrariness and abuse of power, as it can stimulate the public exercise of fundamental freedoms, such as freedom of assembly and manifestation.
The role of experts grows in the present and that is, in part, justifiable: as complexity rises, the ones who deliberate feel the need of the help of those who have know-how in specific fields. The question that must be asked revolves around the type of expectations developed in modern societies regarding what experts can do. Though specialization is not a peculiarity of our time (the process can be observed since human beings became sedentary); it has presently gained specific characteristics. Two aspects of modern life are particularly significant on that matter: (i.) the fact that the economic system is based on excitation of new needs (and no longer on the demand for satisfaction of needs); (ii.) the growing pursuit for total administration of conflicts. These factors are constitutive of what Gadamer sees as a great threat to our civilization: the excessive emphasis given in our time to the human ability to adapt. A specific ability is demanded from individuals: the capability of making an apparatus functions properly. Less resistance and more adaptability is requested, and because of that, autonomous thought - that is, not determined by the function it has in a system – is devalued. The threat we currently face is that the abilities of a good technocrat become the only qualities demanded from those who are responsible for practical decisions (especially in politics and law). Teleological reason, that guides the activity of specialists (and requires know-how in a specific area and consists in choosing means to reach a previously established goal), should not substitute practical reason, as the former requires adaptability to experience (not to a plan that was previously established) and is grounded on solidarity. In order to discuss the limits of the activity of specialists, the paper looks back to phrónesis and the way ancient Greeks set boundaries - this exercise should help raising new questions revolving the matter.
Alexander’s theory of the civil sphere can be placed in the context of development of sociology of law. However, Alexander draws not so much on sociological theories but rather on the approaches of philosophy of law, particularly the ideas of Fuller, Dworkin and Habermas. The civil sphere is presented by Alexander as the embodiment of Dworkin’s principal integrity. Locating law within civil morality Alexander reveals the similarity of his viewpoint to Dworkin’s position. Drawing on Fuller’s works Alexander singles out the procedural foundations of the democratic order. At the same time for Alexander the source of morality of law is not the legal system itself but a certain level of civil solidarity. Like Habermas, Alexander emphasizes the culturally embedded character of the legal norms. Alexander shares Habermas’s understanding of law as a regulative mechanism affecting all spheres of social life. However, Habermas is more sensitive to the danger of colonization of law by the imperatives of the economic and political subsystems. Alexander’s approach can be contrasted with Luhmann’s sociological theory of law. Alexander concentrates on interrelation and mutual penetration of the civil sphere and law while Luhmann regards law as an autonomous system following its own logic. While Alexander claims that his theory is rooted both in sociology and philosophy of law in fact his approach is closer to normative philosophy.
Doctrines developed by the EFTA Court have placed considerable demands on national courts in the EFTA States. The Court now considers the EEA Agreement to form an “international treaty sui generis which contains a distinct legal order of its own.” It would thus seem that EEA law has transformed into an independent legal order, and subsequently has a claim to validity which emulates the self-legitimising presentation of the EU legal order. This, however, is not an empirically verifiable fact, but a particular understanding which arises when one adopts the viewpoint of the EFTA Court. EEA law takes place in a different realm when interpreted and applied in the national order: this realm is essentially a construction of the constitutional order. Case law shows that the Icelandic Supreme Court is far from accepting all EEA judge-made principles. This study will describe a context of legal pluralism by reference to the Icelandic legal system and its relationship with the EEA legal order. To illustrate the discussion, the most important case law relative to the interaction between Icelandic laws and EEA law will be considered in the light of legal pluralism - particularly the principles of contrapunctual law designed by Miguel Maduro. The paper argues that the Supreme Court’s internal domestic approach to the application of EEA law will inevitably become a source of fragmentation unless it takes place within an institutional framework of judicial tolerance and judicial dialogue.
The demarcation of authority between parents and the State regarding education of children has become an increasingly complex issue over the past three decades. During the same period the number of parents around the world choosing educational alternatives such as homeschooling has grown exponentially, causing significant legislative and jurisprudential shifts in the United States as well as other Western nations. If the State is responsible for education or has a significant interest therein, then it must have broad authority by which to prescribe the method, mechanism, and acceptable outcomes of education; it must also be able to review and enforce these desired outcomes. If parents, on the other hand, are responsible, then it is the State’s duty to defer to parents absent a compelling reason to interfere. A survey of the philosophical foundations from ancient to modern times demonstrates the tension between the State and parents in the realm of education; however, modern human rights norms contained in post-1945 international human rights documents provide explicit grounds on which the State must defer to parental choice in education.
H. L. A. Hart thought that a theory of law can be purely descriptive and called his theory a “descriptive sociology”. One of his great contributions to modern legal theory is his emphasis on the internal aspect of social rules. According to him, a theory of law can be built on the basis of the description of the participants’ view without sharing with it. This descriptivism is totally rejected by Dworkin, who propagates a theory that denies a sharp separation between a legal theory and its implications for adjudication. For Dworkin, a legal theory is only possible as a theory with “the internal, participants’ point of view”. Dworkin’s position implies a radicalization of legal theory that will transform the statement of an external point of view to that of an internal one. For Dworkin, the descriptivism bases on the sociological concept of law, which is an “imprecise criterial concept” and is “not sufficiently precise to yield philosophically interesting essential features.”Hart’s position is vulnerable because it takes an impure form of descriptivism that still draws a categorical distinction between fact and norm. This theoretical impurity results from the ambiguity of interpreting the internal aspect of rules. A strategy to rescue the Hart’s project is to radicalize his descriptivism with Luhmann's systems theory. Adapting the systems theoretical distinction between internal and external observation of law with all its implications for the explanation of the legal system and legal communications, Hart’s descriptivism finally attains its pure form, which is not only a distinctive paradigm of legal theory, but also possesses the potentialities to clarify its relationship to the legal theory based on the internal aspect of law.
Technologies carry politics since they embed values. It is therefore surprising that mainstream political and legal theory have taken the issue so lightly. Compared to what has been going on over the past few decades in the other branches of practical thought, namely ethics, economics and the law, political theory lags behind. Yet the current emphasis on Internet politics that polarizes the apologists holding the web to overcome the one-to-many architecture of opinion-building in traditional representative democracy, and the critics that warn cyber-optimism entails authoritarian technocracy has acted as a wake up call. This paper sets the problem – “What is it about ICTs, as opposed to previous technical devices, that impact on politics and determine uncertainty about democratic matters?” – into the broad context of practical philosophy, by offering a conceptual map of clusters of micro-problems and concrete examples relating to “e-democracy”. The point is to highlight when and why the hyphen of e-democracy has a conjunctive or a disjunctive function, in respect to stocktaking from past experiences and settled democratic theories. My claim is that there is considerable scope to analyse how and why online politics fails or succeeds. The field needs both further empirical and theoretical work.
Mitochondrial dynamics and mitophagy play a key role in ensuring mitochondrial quality control. Impairment thereof was proposed to be causative to neurodegenerative diseases, diabetes, and cancer. Accumulation of mitochondrial dysfunction was further linked to aging. Here we applied a probabilistic modeling approach integrating our current knowledge on mitochondrial biology allowing us to simulate mitochondrial function and quality control during aging in silico. We demonstrate that cycles of fusion and fission and mitophagy indeed are essential for ensuring a high average quality of mitochondria, even under conditions in which random molecular damage is present. Prompted by earlier observations that mitochondrial fission itself can cause a partial drop in mitochondrial membrane potential, we tested the consequences of mitochondrial dynamics being harmful on its own. Next to directly impairing mitochondrial function, pre-existing molecular damage may be propagated and enhanced across the mitochondrial population by content mixing. In this situation, such an infection-like phenomenon impairs mitochondrial quality control progressively. However, when imposing an age-dependent deceleration of cycles of fusion and fission, we observe a delay in the loss of average quality of mitochondria. This provides a rational why fusion and fission rates are reduced during aging and why loss of a mitochondrial fission factor can extend life span in fungi. We propose the ‘mitochondrial infectious damage adaptation’ (MIDA) model according to which a deceleration of fusion–fission cycles reflects a systemic adaptation increasing life span.
I characterize optimal monetary and fiscal policy in a stochastic New Keynesian model when nominal interest rates may occasionally hit the zero lower bound. The benevolent policymaker controls the short-term nominal interest rate and the level of government spending. Under discretionary policy, accounting for fiscal stabilization policy eliminates to a large extent the welfare losses associated with the presence of the zero bound. Under commitment, the gains associated with the use of the fiscal policy tool remain modest, even though fiscal stabilization policy is part of the optimal policy mix.
In den letzten Jahren haben die Forschungsaktivitäten im Bereich Thermoelektrik stetig zugenommen. Das neu erweckte Interesse an der Thermoelektrik ist zurückzuführen auf neue nanostrukturierte Materialien, Quantenschicht-Strukturen und Nanodrähte, welche
eine wesentliche Steigerung der thermoelektrischen Effektivität Z im Vergleich zum Massivmaterial versprechen. Für Nanodrähte ist die größte Steigerung der thermoelektrischen Effektivität zu erwarten. Zur Bestätigung der Theorie bedarf es neuer Messmethoden zur Bestimmung des Seebeck-Koeffizienten S, der elektrischen Leitfähigkeit σ und der Wärmeleitfähigkeit λ, um hieraus eine Steigerung der thermoelektrischen Effektivität Z = (Sexp2)σ/λ experimentell zu bestätigen.
Der Schwerpunkt der Doktorarbeit lag in der Untersuchung thermoelektrischer Eigenschaften von Nanodrähten. Hierzu wurden neueMessmethoden zur Bestimmung der elektrischen und thermischen Leitfähigkeit von Nanodrähten entwickelt.
Die elektrische und thermische Leitfähigkeit von Pt-Nanodrähten wurden mit dem in dieser Arbeit entwickelten λ-Chip gemessen. Die elektrische Leitfähigkeit der Pt-Nanodrähte ist im Vergleich zum Massivmaterial entsprechend der klassischen Size-Effekt-Theorie reduziert. Ebenso wurde eine Abnahme der Wärmeleitfähigkeit beobachtet. Die Ergebnisse stimmen mit den im Rahmen der klassischen Size-Effekt-Theorie zu erwartenden Resultaten gut überein, jedoch bedarf die Reduzierung der Lorenz-Zahl noch einer theoretischen Erklärung.
Im Weiteren wurde die elektrische Leitfähigkeit von BixTe1-x und BixSb1-x-Nanodrähten mit dem λ-Chip bestimmt. Hierzu wurden zunächst unterschiedliche Kontaktmaterialien getestet, um die Diffusion des Kontaktmaterials in den Nanodraht auszuschließen. Als bewährtes Kontaktmaterial stellte sich ein Schichtsystem aus Titan und Gold heraus. Die Ti-Schicht wirkt hierbei als Diffusionsbarriere und Haftvermittler-Schicht. Die Wärmeleitfähigkeit der Bi-haltigen Nanodrähte konnte mit dem λ-Chip nicht gemessen werden, da die Unterätzung der Nanodrähte mittels reaktivem Ionenätzen die Nanodrähte angriff. Als Alternative können die Nanodrähte auf dem λ-Chip mit einem fokusierten Ionenstrahl unterätzt werden. Der Aufwand hierzu ist jedoch relativ hoch und diese Alternative wurde deshalb nicht weiter verfolgt. Als weitere Alternative wurde der Z-Chip entwickelt. Hierbei werden die Nanodrähte auf den fertigen Chip aufgebracht und mittels Elektronenstrahl-induzierter Deposition an den elektrischen Kontakten fixiert. Der Chip ermöglicht die Messung der elektrische Leitfähigkeit in 4-Punkt-Anordnung, der Wärmeleitfähigkeit und des Seebeck-Koeffizienten an
einem einzelnen Nanodraht. Somit ist die Bestimmung der thermoelektrischen Effektivität an einem Nanodraht möglich. DesWeiteren wurden die theoretischen Grundlagen zur Bestimmung der Wärmekapazität an einzelnen Nanodrähten mit dem Z-Chip präsentiert. Zum Zeitpunkt der Durchführung dieser Arbeit fehlte jedoch das notwendige Equipment zur Ausführung der Wärmekapazitätsmessung an einzelnen Nanodrähten.
Des Weiteren wurde die Cross-Plane Methode zur Bestimmung der Wärmeleitfähigkeit an eingebetteten Nanodrähten entwickelt. Analog der Messmethode, welche für die Einzeldrahtmessungen verwendet wird, handelt es sich hierbei um eine stationäre „Joule-Heating“ Methode. Die Temperaturdifferenz wird aus der Widerstandsänderung einer auf die eingebetteten Nanodrähte aufgebrachten Heizschicht bestimmt.Mit derMethode wurde die Wärmeleitfähigkeit von BixTe1-x-Nanodrähten ermittelt.
Die elektrische Leitfähigkeit wurde von BixTe1-x-Nanodrähten unterschiedlicher Zusammensetzung und Herstellungsparameter mit dem λ- und dem Z-Chip bestimmt. Die gemessenen Nanodrähte zeigen sowohl intrinsisches wie extrinsisches Leitungsverhalten verbunden mit einer, im Vergleich zum Volumenmaterial, reduzierten Temperaturabhängigkeit der elektrischen Leitfähigkeit infolge von Oberflächen- und Korngrenzenstreuung der Ladungsträger. Die elektrischen Leitfähigkeitsmessungen stimmen mit Beobachtungen anderer Gruppen gut überein.
Die Wärmeleitfähigkeit konnte an einem einzelnen BixTe1-x-Nanodraht und an eingebetteten BixTe1-x-Nanodrähten gemessen werden. Die Wärmeleitfähigkeit ist gegenüber dem Massivmaterial reduziert. Die Ergebnisse sind in guter Übereinstimmung mit bisher publizierten Ergebnissen von Bismuttellurid-Nanodrähten.
This chapter aims to provide a hands-on approach to New Keynesian models and their uses for macroeconomic policy analysis. It starts by reviewing the origins of the New Keynesian approach, the key model ingredients and representative models. Building blocks of current-generation dynamic stochastic general equilibrium (DSGE) models are discussed in detail. These models address the famous Lucas critique by deriving behavioral equations systematically from the optimizing and forward-looking decision-making of households and firms subject to well-defined constraints. State-of-the-art methods for solving and estimating such models are reviewed and presented in examples. The chapter goes beyond the mere presentation of the most popular benchmark model by providing a framework for model comparison along with a database that includes a wide variety of macroeconomic models. Thus, it offers a convenient approach for comparing new models to available benchmarks and for investigating whether particular policy recommendations are robust to model uncertainty. Such robustness analysis is illustrated by evaluating the performance of simple monetary policy rules across a range of recently-estimated models including some with financial market imperfections and by reviewing recent comparative findings regarding the magnitude of government spending multipliers. The chapter concludes with a discussion of important objectives for on-going and future research using the New Keynesian framework.
Als Unterzeichnerstaaten der internationalen Drogenabkommen, deren Ausgestaltung maßgeblich durch die Vereinigten Staaten bestimmt wurde, ist die Drogenpolitik in Deutschland und den USA als Prohibitionspolitik verfasst. Dennoch bestehen zwischen beiden Ländern drogenpolitische Unterschiede, die aus einer tendenziellen „Emanzipierung“ Deutschlands vom US-amerikanischen Modell seit den 1990er Jahren resultieren: Während die USA weiterhin vor allem auf Punitivität setzen, wird in Deutschland verstärkt ein medizinischer und schadensreduzierender Ansatz verfolgt.
Gegenstand der vorliegenden Studie ist eine komparative Analyse der Drogengebrauchssituation und Drogenkontrollpolitik in Deutschland und den USA, mit der genderbezogene Einblicke in die Wirkung differenter drogenpolitischer Ansätze gewonnen werden sollten. Das Erkenntnisinteresse richtete sich einerseits auf die sozialstrukturellen und drogenpolitischen Bedingungen und deren Auswirkungen auf den Umgang mit illegalen Substanzen und die hiermit assoziierten gesundheitlichen und sozialen Begleitfolgen. Andererseits sollten die Spezifika der in diese Strukturen eingebetteten Alltagswelten von kompulsiven Drogenkonsumentinnen der Straßenszenen in Frankfurt und New York untersucht werden.
Das Forschungsdesign der Studie war methodenplural angelegt. Der quantitative Zugang erfolgte über eine Sekundäranalyse nationaler statistischer Daten, mit der soziale Indikatoren des Drogengebrauchs länder- und geschlechtervergleichend betrachtet wurden. Zudem wurden standardisierte Fragebogeninterviews mit Drogenkonsumierenden der Frankfurter Straßenszene geführt. Qualitative Ergebnisse wurden durch Leitfadeninterviews mit Heroin- und/oder Crackkonsumentinnen und eine Metaanalyse ethnographischer Forschungsarbeiten gewonnen.
Ein zentrales Ergebnis der Untersuchung ist, dass sich der Drogengebrauch offenbar relativ unabhängig von der Drogenpolitik bzw. der Intensität der Repression entwickelt. Trotz der punitiveren Ausrichtung der US-amerikanischen Drogenpolitik ist der illegale Substanzkonsum dort wesentlich stärker verbreitet als in Deutschland. Gleichzeitig erzeugt die Prohibitionspolitik zahlreiche Problemlagen, die in den USA erneut gravierender ausfallen und sich in höheren Morbiditäts- und Mortalitätsraten und einer stärkeren Kriminalisierung von Drogenkonsumentinnen niederschlagen.
Trotz der stärkeren Hinwendung zu einem gesundheitspolitischen Ansatz ist jedoch auch in Deutschland keine Entpönalisierung des Drogengebrauchs erkennbar. Eine verstärkt dem gesundheitspolitischen Ansatz folgende Drogenpolitik, die weiterhin unter dem Drogenverbot operiert, kann den durch die Prohibition entstehenden Schaden allenfalls mildern. So hat sich in Deutschland durch die modifizierte drogenpolitische Richtung zwar die gesundheitliche Situation von Drogenkonsumentinnen in Teilbereichen (v.a. rückläufige HIV- und Drogentodeszahlen) verbessert, das Grundproblem ihrer Kriminalisierung, sozialen Marginalisierung und Etikettierung aber bleibt. Konzepte einer Legalisierung und deren Begründungszusammenhänge müssen daher zukünftig verstärkt im gesellschaftlichen Diskurs platziert werden, um so eine Politik der Integration initiieren zu können.
IL-18 is an important mediator involved in chronic inflammatory conditions such as cutaneous lupus erythematosus, psoriasis and chronic eczema. An imbalance between IL-18 and its endogenous antagonist IL-18 binding protein (BP) may account for increased IL-18 activity. IL-27 is a cytokine with dual function displaying pro- and anti-inflammatory properties. Here we provide evidence for a yet not described anti-inflammatory mode of action on skin resident cells. Human keratinocytes and surprisingly also fibroblasts (which do not produce any IL-18) show a robust, dose-dependent and highly inducible mRNA expression and secretion of IL-18BP upon IL-27 stimulation. Other IL-12 family members failed to induce IL-18BP. The production of IL-18BP peaked between 48–72 h after stimulation and was sustained for up to 96 h. Investigation of the signalling pathway showed that IL-27 activates STAT1 in human keratinocytes and that a proximal GAS site at the IL-18BP promoter is of importance for the functional activity of IL-27. The data are in support of a significant anti-inflammatory effect of IL-27 on skin resident cells. An important novel property of IL-27 in skin pathobiology may be to counter-regulate IL-18 activities by acting on keratinocytes and importantly also on dermal fibroblasts.
Two new species of the genus Pahamunaya Schmid (Trichoptera: Polycentropodidae), P. talon sp. n. and P. spinifera sp. n., from Vietnam are described and illustrated. Examination of the holotype male of P. khoii Oláh and Johanson, in combination with an additional specimen of the same species, revealed new characters. New illustrations for this species are provided.
Two species of the genus Sisyra Burmeister (Neuroptera: Sisyridae), S. cameroonensis, n. sp., and S. gruwelli, n. sp., are described from the African Republic of Cameroon. Sisyra pallida Meinander is synonymized with Sisyra delicata Smithers, new synonymy, after comparison of the types of the former with topotypic paratypes of the latter. Type material of Sisyra nilotica Tjeder appears to be lost. Examples of Sisyra are recorded from Nigeria, Ethiopia and Uganda. A second species of the endemic African genus, Sisyborina, Monserrat, S. scitula, n. sp., is described from Cameroon, Guinea, and Zambia.
Significant new host and distribution records are presented for Hylesinus mexicanus (Wood) (Coleoptera: Curculionidae: Scolytinae), including its pest potential on cultivated olives. Hylesinus mexicanus is similar to H. fasciatus LeConte and information presented here suggests that the distinctiveness of these two species needs to be re-examined.
The chilopod, Cryptops hortensis (Donovan, 1810) (Scolopendromorpha: Cryptopidae), and the diplopods, Pseudospirobolellus avernus (Butler, 1876) (Spirobolida: Pseudospirobolellidae) and Oxidus gracilis (C. L. Koch, 1847) (Polydesmida: Paradoxosomatidae), are newly recorded from Saba Island, Lesser Antilles, which also harbors one additional scolopendromorph and four more chilognath millipeds. Except for the plausibly native scolopendrid centipede, Scolopendra alternans Leach, 1813, all are human introductions. Concentrated sampling is needed in the cloud/elfin forest atop Mt. Scenery, where indigenous millipeds may reside, and with extraction techniques throughout the island, to potentially document the diplopod subclass Penicillata. Nine small Caribbean islands in addition to Saba have been incorrectly reported as lacking diplopod records because publications citing them were overlooked by past authors. Works documenting myriapods from small Caribbean islands are consolidated.
Extreme economic effects globally of various populations of the whitefly Bemisia tabaci (Gennadius) (Hemiptera: Aleyrodidae) led to an in depth study of the morphology of that species as well as that of numerous other species of whiteflies in the genus Bemisia Quaintance and Baker and other similar appearing species. The data collected are presented here as illustrations of the puparia (fourth instar nymphal stages) and discussions of morphology as it relates to species and generic separations within this closely knit group of insects. A brief history of the pest outbreaks of B. tabaci is given and an overview of the important morphological characteristics of aleyrodine whiteflies is provided. Each of the eighty illustrations is accompanied by a discussion of the more important aspects of morphology.
A new genus and species of armored scale insect (Hemiptera: Diaspididae), Protomorgania koebelei.
Dooley and Evans, is described and illustrated from specimens collected by Albert Koebele on Pittosporum sp.
(Pittosporaceae) in Australia around the year 1900. A key to the genera of armored scale insects similar to Protomorgania
and known to occur in Australia is provided.
The taxonomic position of Onthophagus (Palaeonthophagus) lemuroides d’Orbigny, 1898 and Onthophagus
(Palaeonthophagus) fortigibber Reitter, 1909 is discussed (Coleoptera: Scarabaeidae: Scarabaeinae: Onthophagini).
A key to the species is given. Photos of type specimens of the two taxa and significant chromatic varieties, and
drawings of aedeagi are presented.
Essentially any behavior in simple and complex animals depends on neuronal network function. Currently, the best-defined system to study neuronal circuits is the nematode Caenorhabditis elegans, as the connectivity of its 302 neurons is exactly known. Individual neurons can be activated by photostimulation of Channelrhodopsin-2 (ChR2) using blue light, allowing to directly probe the importance of a particular neuron for the respective behavioral output of the network under study. In analogy, other excitable cells can be inhibited by expressing Halorhodopsin from Natronomonas pharaonis (NpHR) and subsequent illumination with yellow light. However, inhibiting C. elegans neurons using NpHR is difficult. Recently, proton pumps from various sources were established as valuable alternative hyperpolarizers. Here we show that archaerhodopsin-3 (Arch) from Halorubrum sodomense and a proton pump from the fungus Leptosphaeria maculans (Mac) can be utilized to effectively inhibit excitable cells in C. elegans. Arch is the most powerful hyperpolarizer when illuminated with yellow or green light while the action spectrum of Mac is more blue-shifted, as analyzed by light-evoked behaviors and electrophysiology. This allows these tools to be combined in various ways with ChR2 to analyze different subsets of neurons within a circuit. We exemplify this by means of the polymodal aversive sensory ASH neurons, and the downstream command interneurons to which ASH neurons signal to trigger a reversal followed by a directional turn. Photostimulating ASH and subsequently inhibiting command interneurons using two-color illumination of different body segments, allows investigating temporal aspects of signaling downstream of ASH.
Background: Valvular aortic stenosis is a common disease in the elderly, often in multimorbid patients. It is often associated with coronary artery disease and peripheral artery disease. In this situation, the risk of conventional open-heart surgery is too high, and other treatment strategies have to be evaluated.
Case report: A 79-year-old female patient with severe aortic stenosis, coronary artery disease and end-stage chronic obstructive pulmonary disease suffering from dyspnea at rest and permanently dependent on oxygen was treated in three steps. Firstly, her pulmonary infection was treated with antibiotics for 7 days. Then, the left anterior descending artery was stented (bare-metal stent). In the same session, valvuloplasty of the aortic valve was performed. She was sent to rehabilitation to improve her pulmonary condition and took clopidogrel for 4 weeks. Finally, she underwent transapical aortic valve replacement. She was released to rehabilitation on postoperative day 12.
Conclusion: A combination of modern interventional and minimally invasive surgical techniques to treat aortic stenosis and coronary heart disease can be a viable option for multimorbid patients with extremely high risk in conventional open-heart surgery.
Objective: Sensorineural hearing loss leads to the progressive degeneration of spiral ganglion cells (SGC). Next to postoperative fibrous tissue growth, which should be suppressed to assure a close nerve–electrode interaction, the density of healthy SGC is one factor that influences the efficiency of cochlear implants (CI), the choice of treatment for affected patients. Rolipram, a phosphodiesterase-4 inhibitor, has proven neuroprotective and anti-inflammatory effects and might also reduce SGC degeneration and fibrosis, but it has to pass the cellular membrane to be biologically active.
Methods: Lipidic nanocapsules (LNC) can be used as biodegradable drug carriers to increase the efficacy of conventional application methods. We examined the biological effects of rolipram and LNC's core encapsulated rolipram on SGC and dendritic cell (DC) tumor necrosis factor-α (TNF-α) production in vitro and on SGC survival in systemically-deafened guinea pigs in vivo.
Results: Our results prove that rolipram does not have a beneficial effect on cultured SGC. Incorporation of rolipram in LNC increased the survival of SGC significantly. In the DC study, rolipram significantly inhibited TNF-α in a dose-dependent manner. The rolipram-loaded LNC provided a significant cytokine inhibition as well. In vivo data do not confirm the in vitro results.
Conclusion: By transporting rolipram into the SGC cytoplasm, LNC enabled the neuroprotective effect of rolipram in vitro, but not in vivo. This might be due to dilution of test substances by perilymph or an inadequate release of rolipram based on differing in vivo and in vitro conditions. Nevertheless, based on in vitro results, proving a significantly increased neuronal survival when using LNC-rolipram compared to pure rolipram and pure LNC application, we believe that the combination of rolipram and LNC can potentially reduce neuronal degeneration and fibrosis after CI implantation. We conclude that rolipram is a promising drug that can be used in inner ear therapy and that LNC have potential as an inner ear drug-delivery system. Further experiments with modified conditions might reveal in vivo biological effects.
Bei der Information und Sensibilisierung von Eigenheimbesitzer/innen für das Thema
Energie und CO2-Einsparung im Gebäudesektor stehen bislang vor allem breitenwirksame
Instrumente zur Verfügung. Dialogische Kommunikationsangebote, die in anderen
Bereichen des Nachhaltigkeitsmarketing eingesetzt werden, sind bislang nur wenig
verbreitet.
In dem vorliegenden Arbeitspapier werden die Bausteine einer integrierten Kommunikationsstrategie
für eine energetische Gebäudesanierung beleuchtet. Nach dem Verständnis
der Autor/innen umfasst eine solche Strategie monologisches und dialogisches
Marketing, Energieberatung sowie Markenbildung. Gestützt auf konzeptionelle
Überlegungen und empirische Ergebnisse werden im ersten Teil grundlegende Ziele
und Elemente einer dialogischen Kommunikationsstrategie für eine energetische Sanierung
erläutert. Im zweiten Teil illustrieren konkrete Beispiele, wie unter anderem
eine dialogische Kommunikation für unterschiedliche Sanierungsanlässe in der Praxis
gestaltet werden kann.
Im Projekt OPTUM wurde untersucht, welche Umweltentlastungen durch Elektrofahrzeuge in Zukunft erzielt werden könnten. Hierzu wurde ein integrativer Ansatz verfolgt, der neben der fahrzeugseitigen Betrachtung auch die Interaktionen mit dem Strommarkt berücksichtigt. Im Einzelnen fanden Analysen zu den folgenden zentralen Aspekten statt: Akzeptanz und Attraktivität von Elektrofahrzeugen, Marktpotenziale für Elektrofahrzeuge, Interaktion von Elektrofahrzeugen mit dem Stromsektor, CO2-Minderungspotenziale von Elektromobilität, Ökonomische Betrachtung der Speichermedien und Ressourceneffizienz des Systems Elektromobilität. In diesem Studientext werden die Forschungsergebnisse zur Frage nach der Attraktivität und Akzeptanz von Elektroautos vorgestellt. Dabei wird auf Ergebnisse aus zwei empirischen Untersuchungen eingegangen, die in OPTUM zur Ermittlung der Attraktivität und Akzeptanz von Elektrofahrzeugen durchgeführt wurden. Bei diesen Untersuchungen handelt es sich zum einen um eine qualitative Untersuchung mittels Fokusgruppen und zum anderen um eine standardisierte Erhebung, bei der NeuwagenkäuferInnen befragt wurden. Mit der standardisierten Befragung wurde eine Conjoint-Analyse zur Fahrzeugwahl gekoppelt, bei der sich die Befragten zwischen Fahrzeugen mit Verbrennungsmotor, Plug-in-Hybrid-Antrieb und voll-elektrischem Antrieb entscheiden mussten. Die empirischen Analysen verdeutlichen, dass es ein erhebliches Akzeptanzpotenzial für die beiden Elektrofahrzeugkonzepte – Plug-in-Hybride und vollelektrische Fahrzeuge – gibt. Speziell für voll-elektrische Fahrzeuge existiert je nach Szenario und Fahrzeugklasse ein Akzeptanzpotenzial von 12 bis 25 Prozent. Des Weiteren liefern beide empirischen Erhebungen Hinweise, wie dieses Akzeptanzpotenzial ausgeschöpft oder gar vergrößert werden kann.
Wir leben in einer Welt voller Bilder. Unser Denken funktioniert in Bildern, die menschliche Kommunikation bedient sich verschiedener Sprachbilder und das mediale Zeitalter überrollt uns mit einer wahren Flut aus bewegten und unbewegten Bildern. Die Moderne greift dabei nicht nur auf den reichen Bilderschatz vergangener Jahrhunderte zurück, sondern es werden auch traditionelle Motive variiert, verändert und verworfen. Das ursprüngliche Bild wird ergänzt durch Gegenbilder und Alternativkonzepte. Letztlich ringen sie alle, Bilder und ihre Gegenbilder, um die Deutungshoheit. Die Veranstalter Corina Erk, M.A., und Christoph Naumann, M.A., eröffneten als Promovierendenvertreter der Bamberger Graduiertenschule für Literatur, Kultur und Medien den Workshop „Gegenbilder – literarisch/filmisch/fotografisch“ und stellten das anspruchsvolle Tagungsprogramm vor, das sich in fünf Sektionen gliederte. Jedes Panel näherte sich aus einer anderen Perspektive dem Themenbündel „Gegenbild“ an.
A preliminary checklist of the Cerambycidae, Disteniidae, and Vesperidae (Coleoptera) of Peru is presented. Within Cerambycidae, we record five subfamilies, 55 tribes, 345 genera and subgenera, and 714 species. Within Disteniidae, we record one tribe, six genera, and 11 species. We also record one subfamily, one tribe, one genus, and two species within Vesperidae. Four new country records are recorded: one species in the tribe Anacolini (Cerambycidae: Prioninae): Cycloprionus flavus Tippmann, 1953; and three species in the tribe Onciderini (Cerambycidae: Lamiinae): Cacostola simplex (Pascoe, 1859); Marensis simplex (Bates, 1865); Trachysomus cavigibba Martins, 1975. In addition, 161 species recorded are known only from Peru.
The Caribbean Islands (or the West Indies) are recognized as one of the leading global biodiversity hot
spots. This is based on data on species, genus, and family diversity for vascular plants and non-marine vertebrates. This
paper presents data on genus level endemicity for the most speciose (but less well publicised) group of terrestrial
animals: the beetles, with 205 genera (in 25 families) now recognized as being endemic (restricted) to the West Indies.
The predominant families with endemic genera are Cerambycidae (41), Chrysomelidae (28), Curculionidae (26), and
Staphylinidae (25). This high level of beetle generic endemicity can be extrapolated to suggest that a total of about
700 genera of all insects could be endemic to the West Indies. This far surpasses the total of 269 endemic genera of all
plants and non-marine vertebrates, and reinforces the biodiversity richness of the insect fauna of the West Indies.
The mirine plant bug Tropidosteptes forestierae, new species (Hemiptera: Miridae) is described from
Collier County, Florida, where it was found causing serious injury to an extensive ornamental hedge of Florida swampprivet, Forestiera segregata (Jacq.) Krug and Urb. (Oleaceae). Adult male and female, fifth instar, and egg are described. Color images of the adults, nymph, egg, and injury; scanning photomicrographs of selected adult structures; and illustrations of male genitalia are provided. A key to help distinguish the 16 species of Tropidosteptes known to occur in the southeastern United States is given.