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Acoma howdenorum, Acoma westcotti, Acoma quadrilaminata, and Acoma cimarron (Coleoptera: Scarabaeidae: Melolonthinae), all new species, are described from Yuma County, Arizona, USA, and Baja California Sur, Baja California (Norte), and Sonora, Mexico, respectively. Habitus of the four new species is illustrated, and an updated key to the described species in the genus is provided. Distribution and variation of Acoma glabrata Cazier are also discussed.
Heavy quark and charmonium production as well as their space-time evolution are studied in transport simulations of heavy-ion collisions at RHIC and LHC. In the partonic transport model Boltzmann Approach of MultiParton Scatterings (BAMPS) heavy quarks can be produced in initial hard parton scatterings or during the evolution of the quark-gluon plasma. Subsequently, they interact with the medium via binary scatterings with a running coupling and a more precise Debye screening which is derived from hard thermal loop calculations, participate in the flow and lose energy. We present results of the elliptic flow and nuclear modification factor of heavy quarks and compare them to available data. Furthermore, preliminary results on J/psi suppression at forward and mid-rapidity are reported for central and non-central collisions at RHIC. For this, we study cold nuclear matter effects and the dissociation as well as regeneration of J/psi in the quark-gluon plasma. XLIX International Winter Meeting on Nuclear Physics 24-28 January 2011 BORMIO, Italy
It has become commonplace to say that, in the past, international governance has been legitimated mainly, if not exclusively, by its welfare-enhancing ‘output’. There has been very little research, however, on the history of legitimating international governance by its output to validate this point. In this essay I begin to address this gap by inquiring into the origins of output-oriented strategies for legitimating international organizations. Scrutinizing the programmatic literature on international organizations from the early 20th century, I illustrate how a new and distinctive account of technocratic legitimation emerged and in the 1920s separated from other types of liberal internationalism. My inquiry, centring on the works of James Arthur Salter, David Mitrany, Paul S. Reinsch and Pitman B. Potter, explores their respective conceptions of ‘good functional governance’, executed by a non-political international technocracy. Their account is explicitly pitched against a notion of ‘international politics’, perceived as violent, polarizing, and irrational. The emergence of such a technocratic legitimation of international governance, I submit, needs to be seen in the context of societal modernization and bureaucratization that unfolded in the first half of the 20th century. I also highlight how in this account the material output of governance is intimately linked to the virtues of the organizational form that brings it about.
The monotypic aesaline genus Lucanobium Howden and Lawrence (Coleoptera: Lucanidae) was previously known only from Venezuela. A second species is here described as new from French Guiana, extending the range of the genus approximately 1800 km to the southeast. The generic description of Lucanobium is updated with respect to the discovery of a second species.
The female of Nothopleurus subsulcatus (Dalman, 1823) (Coleoptera: Cerambycidae: Prioninae: Macrotomini) is described for the first time, and the female of Strongylaspis bullata Bates, 1872 is redescribed. Color photographs of the habitus of both, and key characters for the former are included. New distributional records within Mexico for N. subsulcatus and Strongylaspis championi Bates, 1884 are given.
Neolecanium amazonensis Foldi is redescribed and illustrated and is transferred to the new genus Foldilecanium Kondo as Foldilecanium amazonensis (Foldi) comb. nov. A new species, Foldilecanium multisetosus Kondo, is described and illustrated based on specimens collected in Cali, Colombia, on Cananga odorata (Lam.) Hook.f. and Thomson (Annonaceae). An updated taxonomic key to New World Myzolecaniinae and a key to separate the two species of Foldilecanium are provided.
From 1995 to 2004 collections for Bruchidae (Coleoptera) were made in La Reserva de la Biósfera Sierra de Huautla, Morelos, Mexico. Specimens were reared from mature seedpods, but also collected by net, malaise trap, and light trap. In total 72 species in 13 genera of Bruchidae were recovered. Of those two new species are here described: Amblycerus montalvoi Romero and Acanthoscelides camerinoi Romero. We record 27 host plants for the bruchids found in the study area.
I add new collection and phenological data on the North American earwigfly, Merope tuber Newman, and new county records for the red scorpionfly, Panorpa rufa Gray, and veined scorpionfly, Panorpa venosa Westwood, in Florida. Additionally, I report on a new Georgia county record for the extralimital species, Panorpa ferruginea Byers, the ferruginous scorpionfly, and speculate on its potential occurrence in Florida.
Five new species of anilline ground beetles (Carabidae: Trechinae: Bembidiini) are described from the Appalachian Mountains and Piedmont Plateau of eastern United States. Two species, Anillinus unicoi n. sp. (from the Unicoi Mountains, North Carolina) and A. carltoni n. sp. (from the Great Smoky Mountains, North Carolina/Tennessee), inhabit the crests of adjacent mountain ranges, and share similarities with A. moseleyae Sokolov and Carlton. These three comprise a high-altitude group of species in the region. The third species A. chilhowee n. sp. is one of the smallest representatives of the loweae-group of species. It differs from its relatives in characters of male genitalia and inhabits the isolated Chilhowee Mountain ridge between Ocoee and Hiwassee Rivers (Polk County, Tennessee). The fourth and fifth species possess complex arrays of spines on the internal sac of the aedeagus, similar to A. valentinei (Jeannel) from caves of Alabama. In the case of A. smokiensis n. sp. (Gregory Cave, Great Smoky Mountains National Park, Tennessee), the aedeagal similarity suggests a close relationship with A. valentinei. Anillinus chandleri n. sp. from the Piedmont Plateau (Sumter National Forest, South Carolina) is similar to A. cornelli Sokolov and Carlton, also described from the Carolina Piedmont region. Keys are provided for the new species, where possible.
First discovered in 1934 and described as a variety of Cicindela abdominalis Fabricius (Coleoptera: Cicindelidae), the form floridana, to our knowledge, has not been recollected until we discovered it in 2007, south of the presumed type locality. From our examination of the type specimen, eight paratypes and 40 specimens from the new locality and additional study, we reinterpreted its status to be a full species. This interpretation is based on distinctive and consistent differences from the closely related Cicindelidia scabrosa (Schaupp). These differences include morphology (maculation, color and elytral microsculpture), distribution, habitat, and seasonality. We present here a more detailed description of this species within the genus Cicindelidia Rivalier, following Rivalier and Wiesner becoming Cicindelidia floridana (Cartwright) new combination.
Nine new species of Hyperaspis from various South American localities are described, illustrated, and compared with previously described taxa. New taxa are: Hyperaspis luciae, H. corcovado, H. divaricata, H. humboldti, H. mimica, H. praecipua, H. unimaculosa, H. drechseli, and H. esmeraldas. Hyperaspis pectoralis Crotch is recognized as a valid species of Hyperaspis and integrated into the existing classification.
This paper summarizes the published information on the beetle fauna of the northern Leeward Islands (Anguilla, Antigua, Barbuda, Nevis, Saba, St. Barthélemy, St. Eustatius, St. Kitts, St. Martin-St. Maarten, and smaller associated islands, excluding Montserrat). These islands are generally smaller, lower, and drier than the remaining Leeward and Windward islands of the Lesser Antilles island arc. The fauna contains 26 families, with 155 genera, and 218 species. The families with the largest number of recorded species are Staphylinidae (36), Cerambycidae (28), Scarabaeidae (25), Tenebrionidae (23), Curculionidae (18), and Carabidae (15). At least 7 species (3.2% of the fauna) were probably introduced to the island by human activities. Sixteen species (7.3%) are endemic (restricted) to a single paleo-island bank and likely speciated there. Twenty nine species (13.3%) are shared only with other islands of the Lesser Antilles (Lesser Antillean endemics), and 43 species (19.7%) are more widespread Antilles endemics. The remaining 123 species (56.4%) in the fauna are otherwise mostly widely distributed in the Antilles and the Neotropical Region. The local beetle fauna is largely an immigrant fauna and has mostly originated elsewhere than on the islands of the northern Leewards. Summary data on total species endemicity of the entire Lesser Antilles indicate the presence of at least 1278 endemic beetle species, which is a density of about 20.7 species per 100 km2. This is now equivalent to that of the endemic vascular plants of the Caribbean islands. This truly makes the Caribbean islands a biodiversity hotspot for beetles. For the northern Leewards, it is evident that the beetle diversity is markedly understudied, and that the actual number of species is many times higher than now known.
The biogeographic significance of Diplopoda is substantiated by 50 maps documenting indigenous occurrences of the 16 orders, the three Spirostreptida s. l. suborders – Cambalidea, Epinannolenidea, Spirostreptidea – and all higher taxa including Diplopoda itself. The class is indigenous to all continents except Antarctica and islands/archipelagos in all temperate and tropical seas and oceans except the Arctic; it ranges from Kodiak Island and the northern Alaskan Panhandle, United States (USA), southern Hudson Bay, Canada, and near or north of the Arctic Circle in Iceland, continental Scandinavia, and Siberia to southern “mainland” Argentina, the southern tips of Africa and Tasmania, and Campbell Island, subantarctic New Zealand. The vast, global distribution is interrupted by sizeable, poorly- or unsampled areas including the Great Basin, USA; the Atacama Desert region of Chile and neighboring countries; southern South American islands; the central Kalahari and Sahara deserts; the Gobi Desert, Mongolia, and all of north-central and western China; from north of the Caspian Sea, Russia, to central Kazakhstan; and the “Outback” of central Australia. Five Arabian countries lack both samples and published records of indigenous diplopods – Bahrain, Kuwait, Oman, Qatar, and United Arab Emirates – as do Turks and Caicos, in the New World, and Mauritania and possibly Egypt, Africa. New records, including the first for Chilognatha from Botswana and the first specific localities from Northern Territory, Australia, are cited in the Appendix. Increased emphasis on mappings in taxonomic research is warranted along with investigations of insular “species swarms” that constitute a microcosm of the early evolution of the class. The largest “species swarm” in the Diplopoda is Diplopoda itself!
The investigation of distributed coding across multiple neurons in the cortex remains to this date a challenge. Our current understanding of collective encoding of information and the relevant timescales is still limited. Most results are restricted to disparate timescales, focused on either very fast, e.g., spike-synchrony, or slow timescales, e.g., firing rate. Here, we investigated systematically multineuronal activity patterns evolving on different timescales, spanning the whole range from spike-synchrony to mean firing rate. Using multi-electrode recordings from cat visual cortex, we show that cortical responses can be described as trajectories in a high-dimensional pattern space. Patterns evolve on a continuum of coexisting timescales that strongly relate to the temporal properties of stimuli. Timescales consistent with the time constants of neuronal membranes and fast synaptic transmission (5–20 ms) play a particularly salient role in encoding a large amount of stimulus-related information. Thus, to faithfully encode the properties of visual stimuli the brain engages multiple neurons into activity patterns evolving on multiple timescales.
We address the question of whether and how boosting and bagging can be used for speech recognition. In order to do this, we compare two different boosting schemes, one at the phoneme level and one at the utterance level, with a phoneme-level bagging scheme. We control for many parameters and other choices, such as the state inference scheme used. In an unbiased experiment, we clearly show that the gain of boosting methods compared to a single hidden Markov model is in all cases only marginal, while bagging significantly outperforms all other methods. We thus conclude that bagging methods, which have so far been overlooked in favour of boosting, should be examined more closely as a potentially useful ensemble learning technique for speech recognition.
Introduction: As the immunosuppressive potency of 15-deoxyspergualin (DSG) has been shown in the therapy of renal transplant rejection and Wegener's granulomatosis, the intention of this study was to evaluate the safety of DSG in the therapy of lupus nephritis (LN). Methods: Patients with histologically proven active LN after prior treatment with at least one immunosuppressant were treated with 0.5 mg/kg normal body weight/day DSG, injected subcutaneously for 14 days, followed by a break of one week. These cycles were repeated to a maximum of 9 times. Doses of oral corticosteroids were gradually reduced to 7.5 mg/day or lower by cycle 4. Response was measured according to a predefined decision pattern. The dose of DSG was adjusted depending on the efficacy and side effects. Results: 21 patients were included in this phase-I/II study. After the first DSG injection, one patient was excluded from the study due to renal failure. 5 patients dropped out due to adverse events or serious adverse events including fever, leukopenia, oral candidiasis, herpes zoster or pneumonia. 11/20 patients achieved partial (4) or complete responses (7), 8 were judged as treatment failures and one patient was not assessable. 12 patients completed all 9 cycles; in those patients, proteinuria decreased from 5.88g/day to 3.37g/day (P = 0.028), Selena-SLEDAI decreased from 17.6 to 11.7. In 13/20 patients, proteinuria decreased by at least 50%; in 7 patients to less than 1g/day. Conclusions: Although the number of patients was small, we could demonstrate that DSG provides a tolerably safe treatment for LN. The improvement in proteinuria encourages larger controlled trials.
TIM23-mediated insertion of transmembrane alpha-helices into the mitochondrial inner membrane
(2011)
While overall hydrophobicity is generally recognized as the main characteristic of transmembrane (TM) alpha-helices, the only membrane system for which there are detailed quantitative data on how different amino acids contribute to the overall efficiency of membrane insertion is the endoplasmic reticulum (ER) of eukaryotic cells. Here, we provide comparable data for TIM23-mediated membrane protein insertion into the inner mitochondrial membrane of yeast cells. We find that hydrophobicity and the location of polar and aromatic residues are strong determinants of membrane insertion. These results parallel what has been found previously for the ER. However, we see striking differences between the effects elicited by charged residues flanking the TM segments when comparing the mitochondrial inner membrane and the ER, pointing to an unanticipated difference between the two insertion systems. Keywords: CoxVa , membrane protein , Mgm1p , mitochondria , TIM23
G-quadruplex topologies of telomeric repeat sequences from vertebrates were investigated in the presence of molecular crowding (MC) mimetics, namely polyethylene glycol 200 (PEG), Ficoll 70 as well as Xenopus laevis egg extract by CD and NMR spectroscopy and native PAGE. Here, we show that the conformational behavior of the telomeric repeats in X. laevis egg extract or in Ficoll is notably different from that observed in the presence of PEG. While the behavior of the telomeric repeat in X. laevis egg extract or in Ficoll resembles results obtained under dilute conditions, PEG promotes the formation of high-order parallel topologies. Our data suggest that PEG should not be used as a MC mimetic.
Rezension zu: Julian Millie: Splashed by the saint. Ritual reading and islamic sanctity in West Java
(2011)
"Vom Heiligen bespritzt. Rituelle Lesung und muslimische Heiligkeit in Westjava" ist der aus dem Englischen wörtlich übersetzte Titel einer modernen Ethnografie zum Sunda-Gebiet. Wie in einer klassischen Ethnografie wird ein bestimmtes Ritual ins Zentrum der Untersuchung gerückt. Es handelt sich dabei um eine Lesung, die sich auf "Heiligkeit" bezieht und deshalb vom Autor als karamat-Lesung (Arab.: karamat - charismatische und/oder mystische Kraft) bezeichnet wird. Die Lesungen finden entweder im privaten, häuslichen Umfeld oder in einem Pesantren (muslimisches Internat) statt, wo sie von jedem Interessenten besucht werden können. Kern des Rituals sind Texte über Abd al-Qadir al-Jaelani, den die Ritualteilnehmer als Mittler zu Allah verstehen, und an dessen Heiligkeit sie Anteil haben können. Interessant ist dabei, dass Abd al Qadir kein autochthoner Urahn ist. Der Legende nach wurde er 1088 n. Chr. in Gilan im Iran geboren und in Bagdad beerdigt, wo sein Grabmal zu einer Pilgerstätte von Muslimen aus aller Welt geworden ist. Erklärtes Ziel des Autors ist es, zu untersuchen, was ritualisiertes Lesen und die Rezitation sakraler Erzählungen über Islamische Frömmigkeit und über den Raum, den die Texte in der muslimischen Gesellschaft einnehmen, aussagen.
Schulstreit in Niedersachsen
(2011)
Der Amtsantritt der CDU/FDP-Regierung in Niedersachsen im Jahre 2003 war verbunden mit dem klaren Bekenntnis zum dreigliedrigen Schulsystem aus Hauptschule, Realschule und Gymnasium und einer Kampfansage an die bestehenden Gesamtschulen im Lande. Sie sollten fortan nur noch als Auslaufmodell geduldet und Neugründungen nicht mehr genehmig werden. ...
Editorial: Michael Heise : The Chief Economist of Allianz SE about the economic outlook for 2011 Research Finance: Andreas Hackethal, Utpal Bhattacharya, Benjamin Loos, Simon Kaesler, Steffen Meyer : "Unbiased Financial Advice – Wanted but not Followed" Research Law: Katja Langenbucher : "Insider Trading in Europe" Research Money/Macro: Thomas Laubach, Michael U. Krause, Matthias Hoffmann : "Long-Run Growth Expectations and Current Account Balances" Policy Platform: Heinz Hilgert, Jan Pieter Krahnen, Günther Merl, Helmut Siekmann : "Proposal for a Reorganisation of the German Landesbanks and Savings Banks Sector" Interview: Viral V. Acharya : "The Dodd-Frank Act Leaves a Lot to be Desired"
Background: FTY720, an immunomodulator derived from a fungal metabolite which reduces circulating lymphocyte counts by increasing the homing of lymphocytes to the lymph nodes has recently gained interest in stroke research. The aim of this study was to evaluate the protective efficacy of FTY720 in cerebral ischemia in two different application paradigms and to gather first data on the effect of FTY720 on the rate of spontaneous bacterial infections in experimental stroke. Methods: Middle cerebral artery occlusion (MCAO) in C57BL/6 mice (strain J, groups of 10 animals) was performed with two different durations of ischemia (90 min and 3 h) and FTY720 was applied 2 h after vessel occlusion to study the impact of reperfusion on the protective potency of FTY720. Lesion size was determined by TTC staining. Mice treated with FTY720 or vehicle were sacrificed 48 h after 90 min MCAO to determine the bacterial burden in lung and blood. Results: FTY720 1 mg/kg significantly reduced ischemic lesion size when administered 2 h after the onset of MCAO for 3 h (45.4 +/- 22.7 mm3 vs. 84.7 +/- 23.6 mm3 in control mice, p = 0.001) and also when administered after reperfusion, 2 h after the onset of MCAO for 90 min (31.1 +/- 28.49 mm3 vs. 69.6 +/- 27.2 mm3 in control mice, p = 0.013). Bacterial burden of lung homogenates 48 h after stroke did not increase in the group treated with the immunomodulator FTY720 while there was no spontaneous bacteremia 48 h after MCAO in treated and untreated animals. Conclusions: Our results corroborate the experimental evidence of the protective effect of FTY720 seen in different rodent stroke models. Interestingly, we found no increase in bacterial lung infections even though FTY720 strongly reduces the number of circulating leukocytes.
Ziel der Tagung war es, umwelthistorische Perspektiven […] mit der ökokritischen Diskussion zu verbinden. Es wurde gefragt, wie der Wandel im menschlichen Verhältnis zur Natur zu unterschiedlichen Zeiten in literarischen Texten verhandelt wird und welche neuen literarischen Ausdrucksformen diese Verhandlungen womöglich provozieren. Komplementär wird gefragt, wie sich literarische und kulturelle Muster auf die Gestaltung der naturalen Umwelt auswirken können. Vor dem Hintergrund der zunehmenden Etablierung des Ecocriticism als relativ jungem theoretischen Zugang zu Literatur einerseits und der Umweltgeschichte als ebenfalls junger Disziplin in der Geschichtswissenschaft andererseits konnte eine Fülle von Themen in Literatur und Geschichte ausgebreitet werden: Ausgehend von einer theoretischen Einführung in den Ecocriticism umspannten die Beiträge zeitlich 2000 Jahre von der römischen Antike über die Hausväterliteratur des 17. und 18. Jahrhunderts und die Literatur des frühen 20. Jahrhunderts bis zur Gegenwart. Räumlich reichten sie von den Weiten des Alls über die alpine Maienwiese bis zur Tiefsee. Sowohl Literatur als auch bildende Kunst und Gartenkunst wurden einbezogen.
Background: Studies on allele length polymorphism designate several glacial refugia for Norway spruce (Picea abies) in the South Carpathian Mountains, but infer only limited expansion from these refugia after the last glaciation. To better understand the genetic dynamics of a South Carpathian spruce lineage, we compared ancient DNA from 10,700 and 11,000-year-old spruce pollen and macrofossils retrieved from Holocene lake sediment in the Retezat Mountains with DNA extracted from extant material from the same site. We used eight primer pairs that amplified short and variable regions of the spruce cpDNA. In addition, from the same lake sediment we obtained a 15,000-years-long pollen accumulation rate (PAR) record for spruce that helped us to infer changes in population size at this site. Results: We obtained successful amplifications for Norway spruce from 17 out of 462 pollen grains tested, while the macrofossil material provided 22 DNA sequences. Two fossil sequences were found to be unique to the ancient material. Population genetic statistics showed higher genetic diversity in the ancient individuals compared to the extant ones. Similarly, statistically significant Ks and Kst values showed a considerable level of differentiation between extant and ancient populations at the same loci. Lateglacial and Holocene PAR values suggested that population size of the ancient population was small, in the range of 1/10 or 1/5 of the extant population. PAR analysis also detected two periods of rapid population growths (from ca. 11,100 and 3900 calibrated years before present (cal yr BP)) and three bottlenecks (around 9180, 7200 and 2200 cal yr BP), likely triggered by climatic change and human impact. Conclusion: Our results suggest that the paternal lineages observed today in the Retezat Mountains persisted at this site at least since the early Holocene. Combination of the results from the genetic and the PAR analyses furthermore suggests that the higher level of genetic variation found in the ancient populations and the loss of ancient allele types detected in the extant individuals were likely due to the repeated bottlenecks during the Holocene. This study demonstrates how past population size changes inferred from PAR records can be efficiently used in combination with ancient DNA studies. The joint application of palaeoecological and population genetic analyses proved to be a powerful tool to understand the influence of past population demographic changes on the haplotype diversity and genetic composition of forest tree species.
Der Stellenwert der Familie, ihre Aufgaben und ihre Struktur sind Gegenstand breit geführter Debatten in Politik, Medien, Gesellschaft und diversen wissenschaftlichen Disziplinen. Auch Literatur und Kunst haben die Familie als Topos längst wiederentdeckt. Im Zuge der zunehmenden globalen Migrationsbewegungen rücken dabei nun auch interkulturelle Fragestellungen ins Zentrum des Interesses. Die Familie im Kontext der Interkulturalitätsforschung stand auch im Zentrum einer interdisziplinären Tagung an der Universität Freiburg. Unter dem Titel „Familienkonstellationen aus interkultureller Perspektive“ gingen Literatur- und Medienwissenschaftlerinnen, Soziologinnen und Ethnologinnen der Frage nach, wie sich Migrationsprozesse auf Familienkonstellationen und deren Zusammenhalt auswirken und wie dies in Literatur und Film inszeniert wird. Die Tagungsbeiträge eröffneten durch ihre interdisziplinäre Ausrichtung ein vielfältiges Forschungsfeld und verdeutlichten die Aktualität des Themas.
Die vorliegende Arbeit untersucht den Zusammenhang zwischen dem schweren Heben oder Tragen von Lasten am Arbeitsplatz und dem Auftreten einer kernspintomografisch gesicherten Supraspinatussehnenruptur bei Männern. An der Studie nahmen 483 Fälle und 300 Kontrollen teil. Anhand eines standardisierten Interviews wurden die Probanden bezüglich der Belastungen durch das Heben oder Tragen von schweren Lasten befragt. Die Expositionsdauer wurde anhand der jeweiligen Angaben der Probanden hinsichtlich der Dauer der Lastenhandhabung für das gesamte Arbeitsleben erfasst. Zur Risikoabschätzung wurden mittels logistischer Regression Odds Ratios berechnet. Adjustiert wurde hierbei für Alter, Region, Arbeiten auf oder über Schulterniveau, Arbeiten mit handgeführten vibrierenden Werkzeugen, Geräteturnen, Ringen, Tennis, Kugelstoßen, Speer- und Hammerwerfen, da auch diese Faktoren das Auftreten einer Supraspinatussehnenruptur begünstigen. Es fand sich lediglich in der höchsten Belastungskategorie (mindestens 77 Stunden) mit einer Odds Ratio von 1,8 (95 % CI 1,0-3,2) ein nahezu signifikanter Zusammenhang zwischen dem Heben oder Tragen von Lasten über 20 kg und dem Auftreten einer Supraspinatussehnenruptur. Die Werte in der niedrigen und mittleren Belastungskategorie waren hingegen statistisch nicht signifikant. Aufgrund dessen und aufgrund der geringen Belastungsdauer von mindestens 77 Stunden sind die Ergebnisse hinsichtlich des Hebens oder Tragens von Lasten mit Vorsicht zu betrachten. Hinweise auf einen kausalen Zusammenhang zwischen dem Heben oder Tragen von Lasten und dem Auftreten einerSupraspinatussehnenruptur gehen jedoch neben der erhöhten Odds Ratio in der höchsten Belastungskategorie auch aus der positiven Dosis-Wirkungs-Beziehung hervor, beruhend auf dem Anstieg der Odds Ratios mit zunehmender Expositionsdauer. Bereits schon in früher durchgeführten Studien ergaben sich vergleichbare Ergebnisse. Letztendlich konnten in der vorliegenden Arbeit lediglich diskrete rechnerische Hinweise auf einen kausalen Zusammenhang zwischen dem Heben oder Tragen von Lasten über 20 kg beobachtet werden. Für die Anerkennung einer Supraspinatussehnenruptur bedingt durch das schwere Heben oder Tragen von Lasten als Berufskrankheit sind somit noch weiter epidemiologische Studien erforderlich.
In den vorgelegten drei Studien wurden Lebenserzählungen zum einen über die Adoleszenzentwicklung und zum anderen im Adult Attachment Interview textanalytisch, über semantisch-syntaktische Kodes, untersucht. Die ersten beiden Studien untersuchen die Variablen globale Kohärenz, bzw. narrative Verantwortungsübernahme in Lebenserzählungen von 102 Kindern, Jugendlichen und jungen Erwachsenen (8, 12, 16 und 20 Jahre). Hypothesen sind, dass beide Variablen in der Adoleszenz aufgrund der Identitätsentwicklung ansteigen. Die Haupthypothesen zeigen sich als bestätigt. In der dritten Studie wird die narrative Verantwortungsübernahme anhand einer Sekundäranalyse von Adult Attachment Interviews von 28 Frauen untersucht. Die Hypothese lautet, dass sichere Bindungsrepräsentationen mehr narrative Verantwortungsübernahme zeigen als unsichere Bindungsrepräsentationen und dass unsichere Bindungsrepräsentationen mehr narrative Abstufungen von Verantwortung zeigen als sichere Bindungsrepräsentationen. Während die erste Hypothese keine signifikanten Ergebnisse zeigt, stellt sich die zweite Hypothese als bestätigt dar. Die Ergebnisse werden in den ersten beiden Studien in Bezug auf die Identitätsentwicklung und in der dritten Studie im Zusammenhang mit einer Grammatik von unsicherer Bindung diskutiert. Enth. 3 Sonderabdr. aus verschiedenen Zeitschr: Developmental Psychology 2008, Vol. 44, No. 3, 707–721 The Development of Global Coherence in Life Narratives Across Adolescence: Temporal, Causal, and Thematic Aspects de Silveira, Cybèle and Habermas, Tilmann(2011) 'Narrative Means to Manage Responsibility in Life Narratives Across Adolescence', The Journal of Genetic Psychology, 172: 1, 1 — 20 de Silveira, Cybèle and Habermas, Tilmann(2010) 'Narrative Grading of Responsibility of Secure and Insecure Attachment Representations in the Adult Attachment Interview'
Anfang des 20. Jahrhunderts regierte Europa über ca. 85% des globalen Territoriums in Form von Kolonien, Protektoraten und Dependancen. Die koloniale Expansion war ein exorbitanter und gewalttätiger Prozess, der durch Ausbeutung, Versklavung und Diebstahl charakterisiert war. Es stellt sich deswegen die Frage, warum sich innerhalb der westlichen wissenschaftlichen Disziplinen lange Zeit nur eine kleine Minderheit diesem Ereignis analytisch angenommen hat. Keine große intellektuelle Anstrengung ist vonnöten, um zu verstehen, dass eine solch massive territoriale Expansion, die zum Teil über Jahrhunderte gewaltvoll erhalten wurde, erstens nicht nur durch militärische Präsenz möglich war, zweitens nicht mit der bloßen formalen Unabhängigkeit der kolonisierten Staaten zu einem Ende kommen konnte und schließlich kaum nur Spuren in den kolonisierten Ländern hinterlassen haben kann, sondern auch den globalen Norden prägten. Postkoloniale Studien nähern sich dieser Komplexität und irritieren dabei die Vorstellung einer zwangsläufigen, geradezu naturwüchsigen, kolonialen Beherrschung durch Europa. Sie werfen einen Blick auf die Mannigfaltigkeit kolonialer Interventionen und deren Wirkmächtigkeit bis in die heutigen Tage (etwa Randeria/Eckert 2009).
In ihrem Buch "Cultivating Humanity" formuliert Martha Nussbaum folgenden Appell: "(…) die Welt um uns herum ist unausweichlich international. Themen vom Handel bis zur Landwirtschaft – über die Menschenrechte bis hin zu der Linderung von Hungersnöten – fordern uns dazu heraus, den Blick über eng gefasste Gruppenloyalitäten hinaus zu wagen und weit entfernte Lebenswirklichkeiten zu berücksichtigen. (…) Die Kultivierung unserer Menschlichkeit in einer komplexen und ineinander verflochtenen Welt, bedarf eines Verständnisses über die Art und Weise in der gemeinsame Bedürfnisse und Ziele in unterschiedlichen Lebensverhältnissen je verschieden identifiziert und verfolgt werden" (1997, 10). Diese Forderung, die das liberale westliche Individuum dazu aufruft, sich angesichts zunehmender globaler Interdependenzen für Belange verantwortlich zu zeigen, die über das jeweilige Eigeninteresse hinausgehen, erscheint auf den ersten Blick als ein überaus lobenswertes Unternehmen.
Ziel der durchgeführten Experimente dieser Arbeit war es, den Versuch zu unternehmen, Cooper-Paare als Träger des supraleitenden Stroms direkt mit Hilfe des Photoelektrischen Effektes nachzuweisen. Die Methode der koinzidenten Photoelektronenspektroskopie zielt dabei auf den Nachweis von zwei kohärent emittierten Elektronen durch die Wechselwirkung mit einem Photon ab. Da elektrostatische Analysatoren typischerweise nur einen sehr kleinen Raumwinkel erfassen, was mit sehr geringen Koinzidenzraten einhergeht, ist im Zusammenhang mit dieser Arbeit ein Flugzeitprojektionssystem entwickelt worden, welches nahezu den gesamten Raumwinkel auf einem ortsauflösenden Detektor abbildet. Die zur Messung erforderliche gepulste Lichtquelle in Form von spezieller Synchrotronstrahlung ist so schwach eingestellt worden, daß nur vereinzelt Photonen auf die Probe gelangen konnten. Spektroskopiert wurde neben Testmessungen an Silberschichten sowohl ein Blei-Einkristall als Vertreter der klassischen BCS-Supraleiter als auch einkristallines Bi2Sr2CaCu2O8 aus der Gattung der Hochtemperatursupraleiter. Mit Anregungsenergien bis 40 eV konnte gezeigt werden, daß hinreichend glatte und saubere Oberflächen in der supraleitenden Phase innerhalb des Auflösevermögens von ungefähr 0.5 eV keine erkennbaren, signifikanten Unterschiede im Vergleich zur normalleitenden Phase aufweisen. Neben diesen Untersuchungen ist weiterhin ausführlich die einfache Photoemission an den verschiedenen Proben und insbesondere im Falle des Bleikristalls behandelt, da hier keine vergleichbaren Resultate bekannt sind. Dabei wird der gesamte Impulsraum besprochen und die Fermi-Fläche als dreidimensionales Modell erstellt, mit dessen Hilfe die Meßergebnisse diskutiert werden. In den theoretischen Beschreibungen sind verschiedene Modelle zur Cooper-Paar-Emission vorgestellt, wobei beispielsweise dem Impulsaustausch mit dem Kristall eine besondere Rolle beigemessen wird, da dieser bei direkten Anregungen nur über diskrete Gittervektoren erfolgen kann.
This work deals with the use of dielectrics with high permeability, so-called high-k dielectrics in organic thin-film field-effect transistors (FETs). The central part was the preparation of the high-k dielectric and its implementation in transistors, in which organic semiconductors were used as active layer. A field-effect transistor can be used to measure the charge carrier mobility. Employing high-k dielectrics the carrier concentration in the active layer can be greatly increased. In this way, high charge carrier concentrations in organic layers can be achieved without chemical doping. As high-k dielectric strontium titanate (STO) was selected. It is also available as a niobium-doped and therefore conducting substrate material. Thus, one has an ideal substrate for the growth of the dielectric layer in conjunction with a substrate which acts as gate electrode. As the organic semiconductor the small molecules pentacene and copper phthalocyanine (CuPc) were sublimated, as electrical contacts gold was used. As a key part of this work an ultra high vacuum chamber system was constructed for in situ preparation of field effect transistors. For the deposition of the organic thin films a molecular beam deposition chamber was built, including a manipulator and effusion cells as evaporation sources. For the preparation of the dielectric a sputtering chamber was set-up. Another chamber was used in conjunction with an effusion cell for the deposition of the gold contacts. For the structured deposition of the different layers in the devices a shadow mask system was implemented. Movable masks could be positioned by means of a wobble stick onto the sample carriers. The system thus allowed for the use of masks in all chambers. The different thin films required in the transistor structure were first individually prepared and characterized. For the characterization primarily X-ray diffraction and optical microscopy were used. The growth of pentacene was analyzed on aplha-AlO substrates. With X-ray diffraction the (00l) reflections of the thin film phase were observed. In growth studies of CuPc aplha-AlO and STO substrates were used. With X-ray diffraction the aplha-phase was detected. With increasing substrate temperature an increase in crystallinity, but also an increase in surface roughness was observed. The sputtering of STO as a high-k dielectric was studied and optimized. Simultaneously, a high deposition rate, a smooth film surface and good crystallinity of the layer were required. As the most important parameters the substrate temperature, pressure and sputtering power were identified. Argon and oxygen were employed as sputtering gases, as substrate MgO was used. The films showed in comparison to crystalline STO a distortion to larger lattice constants. The degree of distortion decreased with increasing chamber pressure, on the other hand, deposition rate decreased with increasing chamber pressure as well. By combining the individual deposition processes FETs in bottom-gate geometry were prepared. The first step was always sputtering of the STO dielectric on niobium-doped STO substrates. Subsequently, the electrodes and the organic layer were deposited. For comparison transistors on silicon substrates with silicon dioxide (SiO2) as the dielectric were prepared. To study the transistor properties a measurement setup was build. A dielectric constant of about 190 for the STO in the transistors was achieved. The transistors with CuPc as active layer showed p-type conduction behavior. The transistors with STO as dielectric had a much stronger response than those with SiO2. They reached mobilities of 2E-4 cm2/Vs at very low applied voltages of 3V. It could thus be demonstrated that STO is suitable as a dielectric for organic FETs, and that through the use of high-k dielectrics high charge carrier densities can be achieved.
Zusammenfassung der Dissertation "9,10-Dihydro-9,10-diboraanthracen: Ein neuartiges ditopes Hydroborierungsreagenz zum Aufbau photolumineszenter pi-konjugierter Organylborane" von Andreas Lorbach (2011) Borhaltige pi-konjugierte Verbindungen eignen sich u.a. als Chemosensoren zur Detektion von Lewis-Basen sowie als Materialien für optoelektronische Bauteile, wie z.B. organische Leuchtdioden. Vertreter dieser Substanzklasse sind Vinylborane, welche sich sehr effizient durch Addition von Hydroboranen an terminale Alkine erzeugen lassen. Diese Reaktivität nutzten Chujo et al. zum Aufbau pi-konjugierter Polymere, wobei sie Aryldiine mit sterisch anspruchsvollen Organylboranen RBH2 (R = 2,4,6-Trimethylphenyl; 2,4,6-Triisopropylphenyl; 1,1,2-Trimethylpropyl) umsetzten. Zur Detektion von Lewis-Basen sind sterisch weniger anspruchsvolle Substituenten R, die einen freien Zugang zum Boratom ermöglichen, von Vorteil. Untersuchungen unserer Arbeitsgruppe haben jedoch gezeigt, dass sich die entsprechenden Organylborane RBH2 nicht als Hydroborierungsreagenzien eignen, da sie stattdessen unter Abspaltung von Diboran spontan zu Diorganylboranen kondensieren. Im Rahmen der vorliegenden Arbeit wurde gezeigt, dass sich diese unerwünschte Substituentenübertragung durch Einbindung des Borzentrums in ein cyclisches Molekülgerüst verhindern lässt und 9,10-Dihydro-9,10-diboraanthracen (1) somit ein isolierbares ditopes Hydroboran darstellt. Mittels eines in dieser Dissertation entwickelten dreistufigen Synthesewegs kann 1 in guten Ausbeuten aus 1,2-Dibrombenzol gewonnen werden. Im Festkörper bildet 1 eine polymere supramolekulare Struktur [1]n aus, in der die 9,10-Dihydro-9,10-diboraanthracen-Einheiten über 2-Elektronen-3-Zentren-BHB-Bindungen miteinander verknüpft sind. Durch Umsetzung von schwerlöslichem [1]n mit Dimethylsulfid lässt sich das supramolekulare Aggregat aufbrechen und man erhält das lösliche Addukt 1(Me2S)2, das als kristallines Material in hoher Reinheit isoliert werden kann. Bei 1(Me2S)2 handelt es sich um ein hervorragendes Hydroborierungsreagenz, welches bei Raumtemperatur mit terminalen Alkinen zu den entsprechenden Vinylboranen reagiert. Aus 1 lassen sich mit Diethinylarenen außerdem lumineszente pi-konjugierte Hydroborierungspolymere erzeugen. Die Umsetzung mit bidentaten Lewis-Basen, wie z.B. Pyridazin, führt zu sehr stabilen symmetrischen Addukten, in denen die Base die beiden aziden Borzentren des Diboraanthracens verbrückt. Um einen Einblick in die elektronischen Eigenschaften des 9,10-Dihydro-9,10-diboraanthracens (1) zu erhalten, wurde im Rahmen der vorliegenden Arbeit das zu Anthracen isoelektronische dianionische Diborataanthracen ([1]2-) isoliert und hinsichtlich seiner Festkörperstruktur und Reaktivität untersucht.
NK cells are part of the innate immune system, and are important players in the body’s first defence line against virus-infected and malignantly transformed cells. While T cells recognize neoplastic cells in an MHC-restricted fashion, NK cells do not require prior sensitization and education about the target. In leukemia and lymphoma patients undergoing allogeneic hematopoietic stem cell transplantation not only T cells but also NK cells have been found to mediate potent graft-versus-tumor effects. Hence, autologous or donor-derived NK cells hold great promise for cancer immunotherapy. Since the generation of highly purified NK cell products for clinical applications is labor-intensive and time consuming, established human NK cell lines such as NK-92 are also being considered for clinical protocols. NK-92 cells display phenotypic and functional characteristics similar to activated primary NK cells. While NK-92 cells are highly cytotoxic towards malignant cells of hematologic origin, they do not affect healthy human tissues. NK-92 cells can be expanded under GMP-compliant conditions, and can therefore be provided in sufficient numbers with defined phenotypic characteristics for clinical applications. Safety of NK-92 cells for adoptive immunotherapy was already shown in two phase I/II clinical trials...
Hermann Hoffmann (1819-1891) gilt als Pionier der Arealkunde und der Floristischen Kartierung auf Basis von Rasterfeldern. Seine "Nachträge zur Flora des Mittelrhein-Gebietes" erschienen in acht Folgen von 1879 bis 1889 und enthalten "bezifferte Täfelchen" (Erläuterung bei HOFFMANN 1879: 4), welche Vorläufer der heute üblichen Raster-Verbreitungskarten darstellen. Das von Hoffmann bearbeitete "Mittelrhein-Gebiet" umfasst einen quadratischen Ausschnitt Deutschlands, zu dem ein großer Teil des heutigen Bundeslandes Hessen sowie Teile angrenzender Bundesländer gehören (Nordrhein-Westfalen, Rheinland-Pfalz, Baden-Württemberg und Bayern, zudem in geringem Maße Saarland). Hoffmann unterteilte das Gebiet in 7 x 7 gleich große Rasterfelder, die jeweils einer Fläche von ungefähr 25 x 25 km entsprechen. Die "Nachträge" enthalten für etwa 580 Sippen Raster- Verbreitungskarten. Die erste Folge enthält nach einer Einleitung auch ein Ortsverzeichnis (S. 18-21) sowie ein "Systematisches Verzeichniß der aufgenommenen Arten" (S. 21-27). Die letzte Folge enthält ein "Schriften-Verzeichniß zur Flora des Mittelrhein-Gebietes (S. 23-32). Die Digitalisierung der entsprechenden Bände der Berichte der Oberhessischen Gesellschaft erfolgte im Rahmen des Projektes Biodiversity Heritage Library. Für das vorliegende Konvolut wurden die entsprechenden Bände heruntergeladen, die einzelnen Folgen der "Nachträge" wurden herausgeschnitten und zu einer einzigen PDF-Datei vereinigt.
Ziel der vorliegenden Arbeit war es die Einflussmöglichkeiten von Umweltverbänden im energiepolitischen Entscheidungsprozess in Deutschland und in Südkorea zu vergleichen. Diese Studie untersuchte exemplarisch den BUND und die KFEM hinsichtlich ihrer Einflusschancen auf die Atompolitik in beiden Staaten innerhalb eines bestimmten Zeitraumes (vom Tschernobyl-Reaktorunfall 1986 bis 2007). Ein besonderer Fokus galt dabei den Faktoren, die auf unterschiedlichen Ebenen diese Einflusschancen herstellen bzw. minimieren...
In dieser Arbeit wurden zwei Schlüsselenzyme des Energiestoffwechsels in Archaeen im Hinblick auf ihre funktionellen, spektroskopischen und strukturellen Eigenschaften untersucht. Die Heterodisulfid-Reduktase (Hdr) katalysiert die Reduktion des terminalen Elektronenakzeptors CoM-S-S-CoB zu CoM-SH (Coenzym M) und CoB-SH (Coenzym B) und spielt eine Schlüsselrolle im zentralen Energie-konservierenden Prozess von methanogenen Archaeen. Hdr existiert in Form von zwei unterschiedlichen Enzymen: HdrDE und HdrABC. Beide weisen ein charakteristisches Cystein-reiches Sequenzmotiv (CCG-Domäne) auf, welches als Bindestelle für ein ungewöhliches [4Fe-4S]-Zentrum dient. Frühere Studien zeigten, dass das [4Fe-4S]-Zentrum in der Untereinheit HdrB lokalisiert ist und als zentraler Bestandteil des aktiven Zentrums die Fähigkeit besitzt, ein Thiyl-Radikal zu binden. Darauf aufbauend wurden genetische, spektroskopische und strukturelle Untersuchungen überwiegend am H2:Heterodisulfid-Oxidoreduktase-Komplex (Mvh:Hdr) aus Methanothermobacter marburgensis oder an der heterolog produzierten Untereinheit HdrB durchgeführt. Das Reinigungsprotokoll des Mvh:Hdr-Komplexes wurde für Kristallisationsexperimente und für ENDOR- und Mössbauer-spektroskopische Studien optimiert. Eine Kristallisation des Mvh:Hdr-Komplexes gelang nicht; doch konnten Kristalle der Heterodisulfid-Reduktase-assoziierten Hydrogenase (Mvh) bis zu einer Auflösung von 3.34 Å vermessen und mit Hilfe der anomalen Information der Elektronentransferweg zwischen den [Fe-S]-Clustern definiert werden. Ergänzende elektronenmikroskopische Studien zeigten einen unsymmetrischen Aufbau des Komplexes. DesWeiteren wurde die Untereinheit HdrB aus M. marburgensis in Methanosarcina acetivorans heterolog produziert und seine Funktionalität kinetisch und spektroskopisch nachgewiesen. Ferner wurde HdrB in Escherichia coli heterolog produziert und gereinigt, um Kristallisationsexperimente durchzuführen und es für ENDOR- und Mössbauer-Studien verfügbar zu machen. Um HdrB spektroskopisch zu vergleichen, wurde eine Untereinheit der Succinat:Chinon Oxidoreduktase (SdhE) aus Sulfolobus solfataricus ebenfalls heterolog in E. coli produziert und mittels ENDOR-Spektroskopie charakterisiert. Ein grundlegender Prozess des biogeochemischen Schwefelkreislaufes ist die dissimilatorische Sulfat-Reduktion, in der Sulfat (SO4 2􀀀) zu Schwefelwasserstoff (H2S) umgewandelt wird. Die dissimilatorische Sulfit-Reduktase (dSir), das Schlüsselenzym im Energiestoffwechsel der Sulfat-Reduzierer, besitzt einen einzigartigen Sirohäm-[4Fe-4S]-Cofaktor, der die Reduktion von Sulfit (SO3 2􀀀) zu H2S in einem 6-Elektronen-Schritt katalysiert. Um diesen Mechanismus zu untersuchen, wurden kinetische, spektroskopische und röntxi Zusammenfassung genkristallographische Methoden angewandt. Die Kristallstrukturen von dSir aus Archaeoglobus fulgidus wurden im Komplex mit Sulfit, Sulfid (S2􀀀), Kohlenmonoxid (CO), Cyanid (CN􀀀), Nitrit (NO2􀀀), Nitrat (NO3 􀀀) und Phosphat (PO4 3􀀀) gelöst. Aktivitätstest und analytische Studien zeigten, dass dSir von A. fulgidus neben Sulfit und Nitrit auch Thiosulfat und Trithionat reduziert und Letztere auch als Intermediate entstehen. Auf dieser Basis wurde ein 3-Stufen-Mechanismus postuliert, wobei jede Stufe aus einem 2-Elektronentransfer, einer Aufnahme von zwei Protonen und einer Dehydrationsreaktion besteht. Im Vergleich zur assimilatorischen Sulfit-Reduktase (aSir) aus E. coli zeigt die dSir-Struktur einen veränderten Substratkanal, eine Rotation des Sulfits um 60° und beträchtliche Konformationsänderungen der katalytischen Reste Arga170 und Lysa211. Aufgrund dieser Änderungen kann ausschließlich in dSir ein weiteres Sulfit-Molekül in van-der-Waals-Kontakt zum an das Sirohäm-gebundene Sulfit oder Schwefel-Sauerstoff-Zwischenprodukt platziert werden, das nötig ist, um Thiosulfat und Trithionat zu synthetisieren.
Capoeta damascina (Teleostei: Cyprinidae) is one of the most common freshwater fish species, found throughout the Levant, Mesopotamia, Turkey and Iran. According to the state of knowledge prior to this study, C. damascina, which is distributed over a wide range of isolated water bodies, was not a well-defined species. It was questionable whether it represents a single species or a complex of closely related species with high intraspecific and comparatively low interspecific variability. The goal of this study was to investigate the taxonomy, systematic position of the C. damascina species complex and the phylogenetic relationships among its members, based on morphological features as well as molecular phylogeny. Samples obtained from throughout the geographic range of this species complex were subjected to comparative morphological analyses in order to define, properly diagnose and separate species within the C. damascina complex. To elucidate phylogenetic relationships among members of the C. damascina species complex, samples were subjected to genetic analyses, using two molecular markers targeting the mitochondrial cytochrome oxidase I (COI, n = 103) and the two adjacent divergence regions (D1-D2) of the nuclear 28S rRNA genes (LSU, n = 65). Based on morphological and molecular genetic data, six closely related species were recognized within the C. damascina complex: C. buhsei, C. caelestis, C. damascina, C. saadii, C. umbla and an undescribed species, Capoeta sp.1. Analyses of the morphometric and meristic data obtained in this study revealed phenotypic variability among the various populations within a species and among the different species. Such differences in morphological characters reflect genetic differences, environmentally induced phenotypic variation or both, as the meristic phenotype of fish is sometimes a consequence of environmental parameters acting on the genotype. Based on phylogenetic analyses, two main lineages were identified within the C. damascina species complex: a western lineage represented by C. caelestis, C. damascina and C. umbla and an eastern lineage represented by C. buhsei, C. saadii and Capoeta sp.1. The close phylogenetic relationships between C. damascina and C. umbla and the sharing of same haplotypes between one specimen of C. damascina from Euphrates and another of C. umbla from Tigris reflect one of three possibilites: recent speciation, mitochondrial introgression or a combination of both. The results obtained in this study indicate that speciation of the above-mentioned six taxa is quite recent and that their dispersal and present-day distribution can be related to Pleistocene events. The drying out of the Persian Gulf, probably during one of the first glacials of the Pleistocene, led the ancestor of the C. damascina species complex in Mesopotamia to reach the rivers of the Gulf and of Hormuz basins and differentiate there, giving rise to the eastern lineage (ancestor of C. buhsei, C. saadii and Capoeta sp.1). As connections presumably existed among the different river drainages and basins in Iran during the wet periods of the Pleistocene, the ancestor of C. buhsei, C. saadii and Capoeta sp.1 was subsequently able to colonize the various Iranian drainages and differentiate there, giving rise to C. buhsei, C. saadii and Capoeta sp.1. After the separation from the eastern lineage, the western lineage, represented by the ancestor of C. damascina, C. umbla and C. caelestis, most likely reached the Levant from the Tigris-Euphrates system during the Pleistocene glacials, when river connections existed in the regions of the upper courses of Ceyhan Nehri (southern Turkey) and some western affluents to the Euphrates. From Ceyhan Nehri, it dispersed into other rivers in southern Turkey during Pleistocene periods of low sea levels until it reached Göksu Nehri and evolved into C. caelestis. The sister population differentiated into C. damascina and C. umbla. Based on the results obtained in this study, it is likely that C. damascina colonized the Levant and southern Turkey during the Pleistocene glacials. This is well supported by the low genetic variability among the C. damascina populations. Direct connections existed among the river drainages in the Levant during the Pleistocene periods of low sea level, thus serving as a pathway for the dispersal of C. damascina. The results of this study provide a coherent picture of the taxonomic position, phylogenetic relationships and evolutionary history of the C. damascina species complex and explain present patterns of distribution considering paleogeographic events.
Background: Although literature provides support for cognitive behavioral therapy (CBT) as an efficacious intervention for social phobia, more research is needed to improve treatments for children. Methods: Forty four Caucasian children (ages 8-14) meeting diagnostic criteria of social phobia according to the Diagnostic and Statistical Manual of Mental Disorders (4th ed.; APA, 1994) were randomly allocated to either a newly developed CBT program focusing on cognition according to the model of Clark and Wells (n = 21) or a wait-list control group (n = 23). The primary outcome measure was clinical improvement. Secondary outcomes included improvements in anxiety coping, dysfunctional cognitions, interaction frequency and comorbid symptoms. Outcome measures included child report and clinican completed measures as well as a diagnostic interview. Results: Significant differences between treatment participants (4 dropouts) and controls (2 dropouts) were observed at post test on the German version of the Social Phobia and Anxiety Inventory for Children. Furthermore, in the treatment group, significantly more children were free of diagnosis than in wait-list group at post-test. Additional child completed and clinician completed measures support the results. Discussion: The study is a first step towards investigating whether CBT focusing on cognition is efficacious in treating children with social phobia. Future research will need to compare this treatment to an active treatment group. There remain the questions of whether the effect of the treatment is specific to the disorder and whether the underlying theoretical model is adequate. Conclusion: Preliminary support is provided for the efficacy of the cognitive behavioral treatment focusing on cognition in socially phobic children. Active comparators should be established with other evidence-based CBT programs for anxiety disorders, which differ significantly in their dosage and type of cognitive interventions from those of the manual under evaluation (e.g. Coping Cat).
An annotated world catalogue and bibliography of the cucujoid family Propalticidae (Coleoptera) is presented. Each taxon is accompanied by a complete taxonomic history, including a full annotated synonymy with original references cited, and current location and status of primary types. The name Slipinskogenia nom. nov. is proposed to replace Discogenia Kolbe, 1897, junior homonym of Discogenia LeConte, 1866, resulting in 11 new combinations. A key is provided for separation of the two genera included in the family. Complete published and previously unpublished distributional data are given.
Pocket gopher burrows (Rodentia: Geomyidae) were sampled from five previously unsampled localities in northern Louisiana to determine the associated faunal composition of Histeridae and Scarabaeidae (Coleoptera). Sampling produced four species of Histeridae and seven species of Scarabaeidae, all of which had been previously reported from Louisiana. The most commonly collected scarab beetle was Cryptoscatomaseter haldemani (Horn) followed by Geomyphilus insolitus (Brown). Onthophilus kirni Ross was the most commonly collected hister beetle.
A catalogue of aphidiine parasitoids (Hymenoptera: Braconidae: Aphidiinae) associated with various aphids species occurring in India was compiled. The present catalogue with 125 species under 22 genera has been further reinforced with not only all the latest taxonomic changes but also host names, host plants, distribution in India etc.
An additional 137 species and two tribes are added to the cerambycid fauna of Bolivia while 12 species are deleted. This brings the total number of species known from Bolivia to 1,561. Comments and statistics regarding the growth of knowledge on the Bolivian Cerambycid fauna and species endemicity are included.
In the microstructure literature, information asymmetry is an important determinant of market liquidity. The classic setting is that uninformed dedicated liquidity suppliers charge price concessions when incoming market orders are likely to be informationally motivated. In limit order book markets, however, this relationship is less clear, as market participants can switch roles, and freely choose to immediately demand or patiently supply liquidity by submitting either market or limit orders. We study the importance of information asymmetry in limit order books based on a recent sample of thirty German DAX stocks. We find that Hasbrouck’s (1991) measure of trade informativeness Granger-causes book liquidity, in particular that required to fill large market orders. Picking-off risk due to public news induced volatility is more important for top-of-the book liquidity supply. In our multivariate analysis we control for volatility, trading volume, trading intensity and order imbalance to isolate the effect of trade informativeness on book liquidity. JEL Classification: G14 Keywords: Price Impact of Trades , Trading Intensity , Dynamic Duration Models, Spread Decomposition Models , Adverse Selection Risk
We revisit the role of time in measuring the price impact of trades using a new empirical method that combines spread decomposition and dynamic duration modeling. Previous studies which have addressed the issue in a vector-autoregressive framework conclude that times when markets are most active are times when there is an increased presence of informed trading. Our empirical analysis based on recent European and U.S. data offers challenging new evidence. We find that as trade intensity increases, the informativeness of trades tends to decrease. This result is consistent with the predictions of Admati and Pfleiderer’s (1988) rational expectations model, and also with models of dynamic trading like those proposed by Parlour (1998) and Foucault (1999). Our results cast doubt on the common wisdom that fast markets bear particularly high adverse selection risks for uninformed market participants. JEL Classification: G10, C32 Keywords: Price Impact of Trades, Trading Intensity, Dynamic Duration Models, Spread Decomposition Models, Adverse Selection Risk
We present an intertemporal consumption model of consumer investment in financial literacy. Consumers benefit from such investment because their stock of financial literacy allows them to increase the returns on their wealth. Since literacy depreciates over time and has a cost in terms of current consumption, the model determines an optimal investment in literacy. The model shows that financial literacy and wealth are determined jointly, and are positively correlated over the life cycle. Empirically, the model leads to an instrumental variables approach, in which the initial stock of financial literacy (as measured by math performance in school) is used as an instrument for the current stock of literacy. Using microeconomic and aggregate data, we find a strong effect of financial literacy on wealth accumulation and national saving, and also show that ordinary least squares estimates underestate the impact of financial literacy on saving. JEL Classification: E2, D8, G1, J24 Keywords: Financial Literacy, Cognitive Abilities, Human Capital, Saving
We analytically show that a common across rich/poor individuals Stone-Geary utility function with subsistence consumption in the context of a simple two-asset portfolio-choice model is capable of qualitatively and quantitatively explaining: (i) the higher saving rates of the rich, (ii) the higher fraction of personal wealth held in risky assets by the rich, and (iii) the higher volatility of consumption of the wealthier. On the contrary, time-variant “keeping-up-with-the-Joneses” weighted average consumption which plays the role of moving benchmark subsistence consumption gives the same portfolio composition and saving rates across the rich and the poor, failing to reconcile the model with what micro data say. JEL Classification: G11, D91, E21, D81, D14, D11
Background: The interferon-inducible immunity-related GTPases (IRG proteins/p47 GTPases) are a distinctive family of GTPases that function as powerful cell-autonomous resistance factors. The IRG protein, Irga6 (IIGP1), participates in the disruption of the vacuolar membrane surrounding the intracellular parasite, Toxoplasma gondii, through which it communicates with its cellular hosts. Some aspects of the protein's behaviour have suggested a dynamin-like molecular mode of action, in that the energy released by GTP hydrolysis is transduced into mechanical work that results in deformation and ultimately rupture of the vacuolar membrane. Results: Irga6 forms GTP-dependent oligomers in vitro and thereby activates hydrolysis of the GTP substrate. In this study we define the catalytic G-domain interface by mutagenesis and present a structural model, of how GTP hydrolysis is activated in Irga6 complexes, based on the substrate-twinning reaction mechanism of the signal recognition particle (SRP) and its receptor (SRalpha). In conformity with this model, we show that the bound nucleotide is part of the catalytic interface and that the 3'hydroxyl of the GTP ribose bound to each subunit is essential for trans-activation of hydrolysis of the GTP bound to the other subunit. We show that both positive and negative regulatory interactions between IRG proteins occur via the catalytic interface. Furthermore, mutations that disrupt the catalytic interface also prevent Irga6 from accumulating on the parasitophorous vacuole membrane of T. gondii, showing that GTP-dependent Irga6 activation is an essential component of the resistance mechanism. Conclusions: The catalytic interface of Irga6 defined in the present experiments can probably be used as a paradigm for the nucleotide-dependent interactions of all members of the large family of IRG GTPases, both activating and regulatory. Understanding the activation mechanism of Irga6 will help to explain the mechanism by which IRG proteins exercise their resistance function. We find no support from sequence or G-domain structure for the idea that IRG proteins and the SRP GTPases have a common phylogenetic origin. It therefore seems probable, if surprising, that the substrate-assisted catalytic mechanism has been independently evolved in the two protein families.
Background: Although being considered as a rarely observed HIV-1 protease mutation in clinical isolates, the L76V-prevalence increased 1998-2008 in some European countries most likely due to the approval of Lopinavir, Amprenavir and Darunavir which can select L76V. Beside an enhancement of resistance, L76V is also discussed to confer hypersusceptibility to the drugs Atazanavir and Saquinavir which might enable new treatment strategies by trying to take advantage of particular mutations. Results: Based on a cohort of 47 L76V-positive patients, we examined if there might exist a clinical advantage for L76V-positive patients concerning long-term success of PI-containing regimens in patients with limited therapy options. Genotypic- and phenotypic HIV-resistance tests from 47 mostly multi-resistant, L76V-positive patients throughout Germany were accomplished retrospectively 1999-2009. Five genotype-based drug-susceptibility predictions received from online interpretation-tools for Atazanavir, Saquinavir, Amprenavir and Lopinavir, were compared to phenotype-based predictions that were determined by using a recombinant virus assay along with a Virtual Phenotype™(Virco). The clinical outcome of the L76V-adapted follow-up therapy was determined by monitoring viral load for 96 weeks. Conclusions: In this analysis, the mostly used interpretation systems overestimated the L76V-mutation concerning Atazanavir- and SQV resistance. In fact, a clear benefit in drug susceptibility for these drugs was observed in phenotype analysis after establishment of L76V. More importantly, long-term therapy success was significantly higher in patients receiving Atazanavir and/or Saquinavir plus one L76V-selecting drug compared to patients without L76V-selecting agents (p = 0.002). In case of L76V-occurrence ATV and/or SQV may represent encouraging options for patients in deep salvage situations.
Background: The combination of high-throughput transcript profiling and next-generation sequencing technologies is a prerequisite for genome-wide comprehensive transcriptome analysis. Our recent innovation of deepSuperSAGE is based on an advanced SuperSAGE protocol and its combination with massively parallel pyrosequencing on Roche's 454 sequencing platform. As a demonstration of the power of this combination, we have chosen the salt stress transcriptomes of roots and nodules of the third most important legume crop chickpea (Cicer arietinum L.). While our report is more technology-oriented, it nevertheless addresses a major world-wide problem for crops generally: high salinity. Together with low temperatures and water stress, high salinity is responsible for crop losses of millions of tons of various legume (and other) crops. Continuously deteriorating environmental conditions will combine with salinity stress to further compromise crop yields. As a good example for such stress-exposed crop plants, we started to characterize salt stress responses of chickpeas on the transcriptome level. Results: We used deepSuperSAGE to detect early global transcriptome changes in salt-stressed chickpea. The salt stress responses of 86,919 transcripts representing 17,918 unique 26bp deepSuperSAGE tags (UniTags) from roots of the salt-tolerant variety INRAT-93 two hours after treatment with 25 mM NaCl were characterized. Additionally, the expression of 57,281 transcripts representing 13,115 UniTags was monitored in nodules of the same plants. From a total of 144,200 analyzed 26bp tags in roots and nodules together, 21,401 unique transcripts were identified. Of these, only 363 and 106 specific transcripts, respectively, were commonly up- or down-regulated (>3.0-fold) under salt stress in both organs, witnessing a differential organ-specific response to stress. Profiting from recent pioneer works on massive cDNA sequencing in chickpea, more than 9,400 UniTags were able to be linked to UniProt entries. Additionally, gene ontology (GO) categories over-representation analysis enabled to filter out enriched biological processes among the differentially expressed UniTags. Subsequently, the gathered information was further cross-checked with stress-related pathways. From several filtered pathways, here we focus exemplarily on transcripts associated with the generation and scavenging of reactive oxygen species (ROS), as well as on transcripts involved in Na+ homeostasis. Although both processes are already very well characterized in other plants, the information generated in the present work is of high value. Information on expression profiles and sequence similarity for several hundreds of transcripts of potential interest is now available. Conclusions: This report demonstrates, that the combination of the high-throughput transcriptome profiling technology SuperSAGE with one of the next-generation sequencing platforms allows deep insights into the first molecular reactions of a plant exposed to salinity. Cross validation with recent reports enriched the information about the salt stress dynamics of more than 9,000 chickpea ESTs, and enlarged their pool of alternative transcripts isoforms. As an example for the high resolution of the employed technology that we coin deepSuperSAGE, we demonstrate that ROS-scavenging and -generating pathways undergo strong global transcriptome changes in chickpea roots and nodules already 2 hours after onset of moderate salt stress (25mM NaCl). Additionally, a set of more than 15 candidate transcripts are proposed to be potential components of the salt overly sensitive (SOS) pathway in chickpea. Newly identified transcript isoforms are potential targets for breeding novel cultivars with high salinity tolerance. We demonstrate that these targets can be integrated into breeding schemes by micro-arrays and RT-PCR assays downstream of the generation of 26bp tags by SuperSAGE.
Vacuum-assisted closure (VAC) of complex infected wounds has recently gained popularity among various surgical specialties. The system is based on the application of negative pressure by controlled suction to the wound surface. The effectiveness of the VAC System on microcirculation and the promotion of granulation tissue proliferation are proved. In our case report we illustrate a scenario were a patient developed severe bleeding from the ascending aorta by penetration of wire fragments in the vessel. We conclude that all free particles in the sternum have to be removed completely before negative pressure is used.
Die Geburt eines Kindes gilt als eines der „major life events“ im Leben eines Menschen. Die Zeit um die Geburt und insbesondere das Wochenbett ist dadurch eine dramatische Umbruchzeit im Leben der Mutter. Etliche Arbeiten konnten belegen, dass diese Zeit, obgleich im soziokulturellen Kontext durchweg positiv besetzt, eine Phase erhöhter psychischer Vulnerabilität im Leben von Frauen ist. Diese Vulnerabilität führt zu einer erhöhten Inzidenz mehrerer psychischer Erkrankungen im Wochenbett. Eine herausragende Rolle nimmt unter diesen die postpartale Depression, umgangssprachlich auch „Wochenbettdepression“ genannt, ein. Mehrere Arbeiten haben ergeben, dass die Prävalenz einer postpartalen Depression um 10% aller Mütter im Wochenbett zu verorten ist. Bezüglich der Ursachen und der Pathogenese der postpartalen Depression gibt es mehrere Hypothesen. So wurden soziodemographische genauso wie neurobiologische Ursachen erforscht. Insgesamt besteht aber immer noch Bedarf an einem umfassenden, integrativen Konzept der Ätiopathogenese postpartaler Depression, dass verschiedene Faktoren zusammen fasst und gewichtet. Insbesondere fehlen bislang Untersuchungen zur Rolle der Persönlichkeit der Mutter bezüglich postpartaler psychischer Vulnerabilität und in der Entstehung postpartaler Depression. Um Erkenntnisse zur Persönlichkeitsstruktur von Müttern im Wochenbett zu gewinnen und den Einfluss von Persönlichkeitsmerkmalen auf die Entstehung einer postpartalen Depression zu erkennen, wurde dieser Arbeit das „fünf-Faktoren-Modell“ als allgemein etabliertes dimensionales Persönlichkeitsmodell zugrunde gelegt. Insgesamt wurden N = 130 Mütter im Wochenbett über einen Zeitraum von einem Tag post partum bis sechs Wochen post partum untersucht. Die Persönlichkeitsanalyse nach dem „fünf-Faktoren-Modell“ erfolgte dabei mittels des Persönlichkeitstest NEO-FFI. Depressivität wurde mittels den Depressivitätstest BDI (Beck Depression Inventory) und EPDS (Edinburgh Postnatal Depression Scale) gemessen und in klinischen Interviews bestätigt. Daneben wurden die gynäkologisch-geburtshilfliche und die psychosomatische Anamnese der Mütter erhoben und ausgewertet. Insgesamt fand sich bei N = 16 der insgesamt N = 130 untersuchten Müttern eine postpartale Depression. Dies entspricht einem Anteil von 12,3%. Überraschender Weise zeigte sich, dass die untersuchten Mütter in ihrer Gesamtheit bezüglich der Ausprägung der Faktoren des verwendeten Persönlichkeitstests signifikant von der allgemeinen Normierungsstichprobe abweichen. Die Abweichung findet sich in der getrennten Auswertung von postpartal depressiven und gesunden Müttern vor allem in letzterer Gruppe; postpartal depressive Mütter zeigten keine signifikante Abweichung zur Normstichprobe. Im Vergleich beider Gruppen untereinander zeigten sich Unterschiede in der Ausprägung der Persönlichkeitsfaktoren Neurotizismus und Extraversion. Mütter mit postpartaler Depression wiesen im Mittel mehr Neurotizismus und weniger Extraversion auf. Gesteigerter Neurotizismus und verminderte Extraversion sind mehrfach als Vulnerabilitätsfaktor für psychische Erkrankungen, auch affektive Erkrankungen, beschrieben worden. Darüber hinaus zeigten sich auch signifikante Korrelationen beider Faktoren mit der Ausprägung depressiver Symptomatik in den Depressivitätstests BDI und EPDS. Neurotizismus war mit den Punktescores dieser Tests positiv, Extraversion hingegen negativ korreliert. Eine wesentliche Beeinflussung durch die soziale oder gynäkologisch-geburtshilfliche Anamnese ließ sich nicht erkennen. In der Zusammenschau der Ergebnisse stellt sich zunächst die Frage nach der Stabilität der NEO- Faktoren bzw. deren Beeinflussbarkeit durch major life events. Für den praktischen Gebrauch im Wochenbett und die weitere Erforschung des Einflusses von Persönlichkeitsmerkmalen auf die Entstehung postpartaler Depression ist zunächst die Normierung des NEO-Fünf-Faktoren-Inventars für Mütter im Wochenbett zu fordern. Die gefundenen Abweichungen in der Ausprägung von Neurotizismus und Extraversion bei postpartaler Depression sowie deren Korrelation mit den Depressivitätstests (BDI und EPDS) zeigen eine –wenn auch unspezifische- Vulnerabilität für postpartale Depression an. Folgende Untersuchungen sollten, auch unter Einbeziehung anderer dimensionaler Persönlichkeitsmodelle, darstellen, in wie weit bestimmte, spezifische Persönlichkeitsmerkmale als prädisponierend für postpartale Depression angesehen werden können.
The objective of this thesis is to develop new methodologies for formal verification of nonlinear analog circuits. Therefore, new approaches to discrete modeling of analog circuits, specification of analog circuit properties and formal verification algorithms are introduced. Formal approaches to verification of analog circuits are not yet introduced into industrial design flows and still subject to research. Formal verification proves specification conformance for all possible input conditions and all possible internal states of a circuit. Automatically proving that a model of the circuit satisfies a declarative machine-readable property specification is referred to as model checking. Equivalence checking proves the equivalence of two circuit implementations. Starting from the state of the art in modeling analog circuits for simulation-based verification, discrete modeling of analog circuits for state space-based formal verification methodologies is motivated in this thesis. In order to improve the discrete modeling of analog circuits, a new trajectory-directed partitioning algorithm was developed in the scope of this thesis. This new approach determines the partitioning of the state space parallel or orthogonal to the trajectories of the state space dynamics. Therewith, a high accuracy of the successor relation is achieved in combination with a lower number of states necessary for a discrete model of equal accuracy compared to the state-of-the-art hyperbox-approach. The mapping of the partitioning to a discrete analog transition structure (DATS) enables the application of formal verification algorithms. By analyzing digital specification concepts and the existing approaches to analog property specification, the requirements for a new specification language for analog properties have been discussed in this thesis. On the one hand, it shall meet the requirements for formal specification of verification approaches applied to DATS models. On the other hand, the language syntax shall be oriented on natural language phrases. By synthesis of these requirements, the analog specification language (ASL) was developed in the scope of this thesis. The verification algorithms for model checking, that were developed in combination with ASL for application to DATS models generated with the new trajectory-directed approach, offer a significant enhancement compared to the state of the art. In order to prepare a transition of signal-based to state space-based verification methodologies, an approach to transfer transient simulation results from non-formal test bench simulation flows into a partial state space representation in form of a DATS has been developed in the scope of this thesis. As has been demonstrated by examples, the same ASL specification that was developed for formal model checking on complete discrete models could be evaluated without modifications on transient simulation waveforms. An approach to counterexample generation for the formal ASL model checking methodology offers to generate transition sequences from a defined starting state to a specification-violating state for inspection in transient simulation environments. Based on this counterexample generation, a new formal verification methodology using complete state space-covering input stimuli was developed. By conducting a transient simulation with these complete state space-covering input stimuli, the circuit adopts every state and transition that were visited during stimulus generation. An alternative formal verification methodology is given by retransferring the transient simulation responses to a DATS model and by applying the ASL verification algorithms in combination with an ASL property specification. Moreover, the complete state space-covering input stimuli can be applied to develop a formal equivalence checking methodology. Therewith, the equivalence of two implementations can be proven for every inner state of both systems by comparing the transient simulation responses to the complete-coverage stimuli of both circuits. In order to visually inspect the results of the newly introduced verification methodologies, an approach to dynamic state space visualization using multi-parallel particle simulation was developed. Due to the particles being randomly distributed over the complete state space and moving corresponding to the state space dynamics, another perspective to the system's behavior is provided that covers the state space and hence offers formal results. The prototypic implementations of the formal verification methodologies developed in the scope of this thesis have been applied to several example circuits. The acquired results for the new approaches to discrete modeling, specification and verification algorithms all demonstrate the capability of the new verification methodologies to be applied to complex circuit blocks and their properties.
Ernst Bloch pointed out in a particularly emphatic way that the concept of human dignity featured centrally in historical struggles against different forms of unjustified rule, i.e. domination – to which one must add that it continues to do so to the present day. The “upright gait,” putting an end to humiliation and insult: this is the most powerful demand, in both political and rhetorical terms, that a “human rights-based” claim expresses. It marks the emergence of a radical, context-transcending reference point immanent to social conflicts which raises fundamental questions concerning the customary opposition between immanent and transcendent criticism. For within the idiom of demanding respect for human dignity, a right is invoked “here and now,” in a particular, context-specific form, which at its core is owed to every human being as a person. Thus Bloch is in one respect correct when he asserts that human rights are not a natural “birthright” but must be achieved through struggle; but in another respect this struggle can develop its social power only if it has a firm and in a certain sense “absolute” normative anchor. Properly understood, it becomes apparent that these social conflicts always affect “two worlds”: the social reality, on the one hand, which is criticized in part or radically in the light of an ideal normative dimension, on the other. For those who engage in this criticism there is no doubt that the normative dimension is no less real than the reality to which they refuse to resign themselves. Those who critically transcend reality always also live elsewhere.
The overvaluation hypothesis (Miller 1977) predicts that a) stocks are overvalued in the presence of short selling restrictions and that b) the overvaluation increases in the degree of divergence of opinion. We design an experiment that allows us to test these predictions in the laboratory. The results indicate that prices are higher with short selling constraints, but the overvaluation does not increase in the degree of divergence of opinion. We further find that trading volume is lower and bid-ask spreads are higher when short sale restrictions are imposed. JEL Classification: C92, G14 Keywords: Overvaluation Hypothesis , Short Selling Constraints , Divergence of Opinion
Regulations in the pre-Sarbanes–Oxley era allowed corporate insiders considerable flexibility in strategically timing their trades and SEC filings, for example, by executing several trades and reporting them jointly after the last trade. We document that even these lax reporting requirements were frequently violated and that the strategic timing of trades and reports was common. Event study abnormal re-turns are larger after reports of strategic insider trades than after reports of otherwise similar nonstrategic trades. Our results also imply that delayed reporting is detrimental to market efficiency and lend strong support to the more stringent trade reporting requirements established by the Sarbanes–Oxley Act. JEL Classification: G14, G30, G32 Keywords: Insider Trading , Directors' Dealings , Corporate Governance , Market Efficiency
This paper studies the market quality of an internalization system which is designed as part of an open limit order book (the Xetra system operated by Deutsche Börse AG). The internalization sys-tem (Xetra BEST) guarantees a price improvement over the inside spread in the Xetra order book. We develop a structural model of this unique dual market environment and show that, while adverse selection costs of internalized trades are significantly lower than those of regular order book trades, the realized spreads (the revenue earned by the suppliers of liquidity) is significantly larger. The cost savings of the internalizer are larger than the mandatory price improvement. This suggests that internalization can be profitable both for the customer and the internalizer. JEL Classification: G10
This paper reconsiders the effect of investor sentiment on stock prices. Using survey-based sentiment indicators from Germany and the US we confirm previous findings of predictability at intermediate time horizons. The main contribution of our paper is that we also analyze the immediate price reaction to the publication of sentiment indicators. We find that the sign of the immediate price reaction is the same as that of the predictability at intermediate time horizons. This is consistent with sentiment being related to mispricing but is inconsistent with the alternative explanation that sentiment indicators provide information about future expected returns. JEL Classification: G12, G14 Keywords: Investor Sentiment , Event Study , Return Predictability
This paper examines to what extent the build-up of "global imbalances" since the mid-1990s can be explained in a purely real open-economy DSGE model in which agents’ perceptions of long-run growth are based on filtering observed changes in productivity. We show that long-run growth estimates based on filtering U.S. productivity data comove strongly with long-horizon survey expectations. By simulating the model in which agents filter data on U.S. productivity growth, we closely match the U.S. current account evolution. Moreover, with household preferences that control the wealth effect on labor supply, we can generate output movements in line with the data. JEL Classification: E13, E32, D83, O40
Background: The treatment of high-risk neuroblastoma patients consists of multimodal induction therapy to achieve remission followed by consolidation therapy to prevent relapses. However, the type of consolidation therapy is still discussed controversial. We applied metronomic chemotherapy in the prospective NB90 trial and monoclonal anti-GD2-antibody (MAB) ch14.18 in the NB97 trial. Here, we present the long term outcome data of the patient cohort. Methods: A total of 334 stage 4 neuroblastoma patients one year or older were included. All patients successfully completed the induction therapy. In the NB90 trial, 99 patients received at least one cycle of the oral maintenance chemotherapy (NB90 MT, 12 alternating cycles of oral melphalan/etoposide and vincristine/cyclophosphamide). In the NB97 trial, 166 patients commenced the MAB ch14.18 consolidation therapy (six cycles over 12 months). Patients who received no maintenance therapy according to the NB90 protocol or by refusal in NB97 (n = 69) served as controls. Results: The median observation time was 11.11 years. The nine-year event-free survival rates were 41 ± 4%, 31 ± 5%, and 32 ± 6% for MAB ch14.18, NB90 MT, and no consolidation, respectively (p = 0.098). In contrast to earlier reports, MAB ch14.18 treatment improved the long-term outcome compared to no additional therapy (p = 0.038). The overall survival was better in the MAB ch14.18-treated group (9-y-OS 46 ± 4%) compared to NB90 MT (34 ± 5%, p = 0.026) and to no consolidation (35 ± 6%, p = 0.019). Multivariable Cox regression analysis revealed ch14.18 consolidation to improve outcome compared to no consolidation, however, no difference between NB90 MT and MAB ch14.18-treated patients was found. Conclusions: Follow-up analysis of the patient cohort indicated that immunotherapy with MAB ch14.18 may prevent late relapses. Finally, metronomic oral maintenance chemotherapy also appeared effective.
This dissertation investigated the development of the complementiser that from the demonstrative pronoun in the Germanic languages; each chapter dealt with a different aspect. In the introduction, the terms ‘reanalysis’ and ‘analogy’ and their relevance for grammaticalisation were explained, and the issues of the chapters were presented. The second chapter introduced some information about the Germanic language family and the languages which were relevant for this investigation, namely Gothic, Old English, Old Icelandic, Old Saxon and Old High German. Previous assumptions about the diachrony of that were presented and discussed. One of these proposals which mainly draws on evidence from West Germanic involves the idea that the source construction contained two independent main clauses with a demonstrative pronoun (that) at the end of the first clause (cf. e.g. Paul 1962, § 248). In contrast to this, the Gothic evidence showed that the source construction of the reanalysis of ϸatei was not a proper paratactic construction (at least in Gothic) but already a complex construction which contained a complementiser (ei) in the appositional subordinate clause (cf. also e.g. Longobardi 1994 for the diachrony of ϸatei). This contradiction raised the question whether the analysis of the Gothic that-complementiser also applies to the diachrony of that in West Germanic. This issue was taken up in the third chapter which presented an overview of subordination and complementisers in Northwest Germanic. The aim was to show that the Northwest Germanic languages also show a subordinating particle, which functions like the Gothic ei, namely ϸe (OE), er/es (OI), the (OHG, OS). As a result, the subordinating particle could be observed in relative and adverbial clauses in all Northwest Germanic languages. In complement clauses, which are most crucial for the argumentation, the subordinating particle is found in Old English and Old Icelandic but not in Old Saxon. In Old High German, there are only combinations of the with a following pronoun, theih and theiz, in ‘Otfrids Evangelienbuch’ (see Wunder 1965). Consequently, the presence of a subordinating particle is confirmed in North and West Germanic. The fact that the patterns of subordination are quite similar in all Germanic languages suggested a unitary analysis of the development of that in Germanic was appropriate. In chapter four, the similarities and differences between the Germanic languages with respect to the development of that were explained. It was argued that the preconditions of the reanalysis were the same, whereas the consequences of the reanalysis are realised differently in each language. The most important precondition was that the appositional source construction (explained in more detail below) was generally available in Germanic. Since the demonstrative pronoun at the end of the matrix clause and the subordinating particle of the subordinate clause were adjacent, phonological combination might have been crucial for the subsequent reanalysis to take place. After reanalysis, however, different changes can be observed in the different languages. For instance, it appears that during the Old English period the final syllable of the form ϸætte was deleted (see chapter 4 for references), whereas the final –ei is still present in the Gothic ϸatei, and completely absent in Old High German and Old Saxon. The source structure of the reanalysis was discussed in detail in a separate subsection. The appositional source construction, which was already assumed for the reanalysis of Gothic ϸatei, was compared with analyses of clitic left dislocation which propose that two constituents with the same theta-role derive from a Big DP (see e.g. Grewendorf 2009, Belletti 2005). Based on the Big DP analysis of Grewendorf (2009), it was claimed that the appositional clause, introduced by the subordinating particle, is generated in the Spec of a DP, and adjoined to this DP on the surface. It was argued that this whole complement DP-node occurred in an extraposed position in OV-languages so that the verb, when it stays in-situ, does not appear between the demonstrative pronoun and the subordinating particle. The structure in (1) illustrates the syntactic source structure which is assumed to apply to the development of the complementiser that in Germanic. ...
Background: Many cancer patients seek homeopathy as a complementary therapy. It has rarely been studied systematically, whether homeopathic care is of benefit for cancer patients. Methods: We conducted a prospective observational study with cancer patients in two differently treated cohorts: one cohort with patients under complementary homeopathic treatment (HG; n=259), and one cohort with conventionally treated cancer patients (CG; n=380). For a direct comparison, matched pairs with patients of the same tumour entity and comparable prognosis were to be formed. Main outcome parameter: change of quality of life (FACT-G, FACIT-Sp) after 3 months. Secondary outcome parameters: change of quality of life (FACT-G, FACIT-Sp) after a year, as well as impairment by fatigue (MFI) and by anxiety and depression (HADS). Results: HG: FACT-G, or FACIT-Sp, respectively improved statistically significantly in the first three months, from 75.6 (SD 14.6) to 81.1 (SD 16.9), or from 32.1 (SD 8.2) to 34.9 (SD 8.32), respectively. After 12 months, a further increase to 84.1 (SD 15.5) or 35.2 (SD 8.6) was found. Fatigue (MFI) decreased; anxiety and depression (HADS) did not change. CG: FACT-G remained constant in the first three months: 75.3 (SD 17.3) at t0, and 76.6 (SD 16.6) at t1. After 12 months, there was a slight increase to 78.9 (SD 18.1). FACIT-Sp scores improved significantly from t0 (31.0 - SD 8.9) to t1 (32.1 - SD 8.9) and declined again after a year (31.6 - SD 9.4). For fatigue, anxiety, and depression, no relevant changes were found. 120 patients of HG and 206 patients of CG met our criteria for matched-pairs selection. Due to large differences between the two patient populations, however, only 11 matched pairs could be formed. This is not sufficient for a comparative study. Conclusion: In our prospective study, we observed an improvement of quality of life as well as a tendency of fatigue symptoms to decrease in cancer patients under complementary homeopathic treatment. It would take considerably larger samples to find matched pairs suitable for comparison in order to establish a definite causal relation between these effects and homeopathic treatment.
Mohammeds Frage : Versuche zur theologischen Differenzierung von Vergeltung und Vergebung im Islam
(2011)
Martin Luther und der Islam
(2011)
HDL, through sphingosine-1-phosphate (S1P), exerts direct cardioprotective effects on ischemic myocardium. It remains unclear whether other HDL-associated sphingophospholipids have similar effects. We therefore examined if HDL-associated sphingosylphosphorylcholine (SPC) reduces infarct size in a mouse model of transient myocardial ischemia/reperfusion. Intravenously administered SPC dose-dependently reduced infarct size after 30 minutes of myocardial ischemia and 24 hours reperfusion compared to controls. Infarct size was also reduced by postischemic, therapeutical administration of SPC. Immunohistochemistry revealed reduced polymorphonuclear neutrophil recruitment to the infarcted area after SPC treatment, and apoptosis was attenuated as measured by TUNEL. In vitro, SPC inhibited leukocyte adhesion to TNFα-activated endothelial cells and protected rat neonatal cardiomyocytes from apoptosis. S1P3 was identified as the lysophospholipid receptor mediating the cardioprotection by SPC, since its effect was completely absent in S1P3-deficient mice. We conclude that HDL-associated SPC directly protects against myocardial reperfusion injury in vivo via the S1P3 receptor.
Im Rahmen dieser Dissertation wurde die spätpleistozäne und holozäne Landschaftsentwicklung im Umfeld der im Tal des Wadis Chuera in Nordsyrien liegenden bronzezeitlichen Siedlung Tell Chuera untersucht. Durch die Kombination von hochgenauen Vermessungen, Satellitenbildauswertungen und Untersuchungen der Wadisedimente konnten mehrere flussgeschichtliche Entwicklungsphasen erarbeitet und in einen chronostratigraphischen Rahmen eingeordnet werden. Über ein grobsandig-kiesiges System eines verzweigten Flusses wurden mindestens bis ins Obere Pleistozän mächtige Kieslagen im Untersuchungsgebiet sedimentiert. Innerhalb einer fossilen Rinne abgelagerte lössähnliche Sedimente, welche die Kiesfolgen partiell überlagern, konnten relativchronologisch ins Obere Pleistozän gestellt werden und dokumentieren vermutlich eine trockene Phase. Durch die mit scharfer Diskordanz über den Kiesen abgelagerten pelitischen Hochflutsedimente wird ein abrupter flussdynamischer Umbruch von dem eines ursprünglich verzweigten Flusses zu dem eines mäandrierenden Flusses mit Hochflutsedimentation nachgewiesen. IRSL-Datierungen stellen den Beginn der Ablagerung der Hochflutsedimente ins letzte Glazial. Der größte Teil der Sedimente wurde jedoch im frühen und mittleren Holozän (ca. 9 und 5 kaBP) abgelagert, so dass zu Beginn der Hauptsiedlungsphase am Tell Chuera (3. Jahrtausend v.Chr.) die Oberfläche der Überschwemmungsebene ihr heutiges Niveau nahezu erreicht hatte. Bis dahin führten großflächige Überschwemmungen zur Hochflutsedimentation in der Aue. Ein erneuter Wechsel der fluvialen Geomorphodynamik und der Sedimentationsverhältnisse zeigt sich darin, dass die letzten ca. 5000 Jahre keine nennenswerte Sedimentation in der Hochflutebene zu verzeichnen war. Es kam zu einer bis heute stattfindenden, lateralen Verlagerung der Mäander des Wadis und damit der Aufarbeitung von Teilen der Kiese und Hochflutsedimente. Siedlungsspuren im Wadiverlauf weisen auf eine Periodizität des Abflusses des Wadis Chuera zwischen etwa 4.7 und 4.2 kaBP hin. Die Theorie einer verstärkten Akkumulation von Kolluvien der Rahmenhöhen im Wadital als direkte Folge eines steigenden Siedlungsdrucks während der Hauptsiedlungsphase konnte widerlegt werden. Vielmehr handelt es sich bei den vermeintlichen Kolluvien um fluvial aufgearbeitete Hochflutsedimente. Anthropogene Eingriffe in den Landschaftshaushalt lassen sich in Form von Kalkkrustensteinbrüchen und einem komplexen Wegenetz nachweisen.
In total, this dissertation comprises three research papers. Objective of all of these papers are to detect mistakes of private investors when conducting mutual funds investments and to analyze the implications. Moreover, the question is addressed whether financial advisors help private investors to avoid these investment mistakes. All three research papers use the same data base which has been provided by a German online brokerage house. The detailed data set allows contributing to existing literature on mutual fund investments, smart decision making, household finance as well as financial advice on an investor- and transaction-specific level. The first paper addresses the question which particular decision criteria private investors use when purchasing mutual funds. It can be shown that funds volume is the dominating decision criterion, whereas historical performance is only of minor importance. As performance persistence exists in the underlying data set, it can be concluded that the majority of investors make investment mistakes. In the second paper it is shown that smart investors, i.e. investors who purchase mutual funds by chasing historical performance, are older, wealthier, more experienced and less likely to be overconfident. In addition, it can be verified that there exists a positive impact of the ability to select mutual funds by chasing historical performance on the overall investment success. Hence, the quality of mutual fund selection ability is an ex-ante measure for investment success. Finally, the third paper analyzes the influence of financial advice on mutual fund decision making of private investments. Evidence can be provided that financial advisors do not help their customers to purchase mutual funds by chasing historical performance. In fact, advisors recommend high-volume mutual funds from well-known fund families. Apparently, financial advisors are much more salesmen than real advisors. These results hold when controlling for potential endogeneity issues.
Der Granatapfel ist bei uns zur Weihnachtszeit mittlerweile regelmäßig an Obstständen zu finden. Trotzdem gehört er für Mitteleuropäer noch immer zu den exotischen Früchten und oft weiß man nicht so recht, was man mit ihm anfangen soll. Ganz anders im Mittelmeergebiet. Hier wird der Granatapfel einerseits als Obstbaum, andererseits wegen seiner prachtvollen leuchtend roten Blüten häufig gepflanzt. Ihn umgibt eine Fülle von Symbolik und mythologischen Geschichten von der Antike bis ins Mittelalter.
Forgotten features of head zones and their relation to diagnostically relevant acupuncture points
(2011)
In the 1890s Sir Henry Head discovered certain areas of the skin that develop tenderness (allodynia) in the course of visceral disease. These areas were later termed ‘Head zones’. In addition, he also emphasized the existence of specific points within these zones, that he called ‘maximum points’, a finding that seems to be almost forgotten today. We hypothesized that two important groups of acupuncture points, the diagnostically relevant Mu and Shu points, spatially and functionally coincide with these maximum points to a large extent. A comparison of Head's papers with the Huang Di Neijing (Yellow Thearch's Inner Classic) and the Zhen Jiu Jia Yi Jing (Systematic Classic of Acupuncture and Moxibustion), two of the oldest still extant Chinese sources on acupuncture, revealed astonishing parallels between the two concepts regarding both point locations and functional aspects. These findings suggest that the Chinese discovery of viscerocutaneous reflexes preceded the discovery in the West by more than 2000 years. Furthermore, the fact that Chinese medicine uses Mu and Shu points not only diagnostically but also therapeutically may give us new insights into the underlying mechanisms of acupuncture.