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Heterogenous subtypes of breast cancer need to be analyzed separately. Pooling of datasets can provide reasonable sample sizes but dataset bias is an important concern. We assembled a combined dataset of 579 Affymetrix microarrays from triple negative breast cancer (TNBC) in Gene Expression Omnibus (GEO) series GSE31519. We developed a method for selecting comparable datasets and to control for the amount of dataset bias of individual probesets.
Broad AOX expression in a genetically tractable mouse model does not disturb normal physiology
(2017)
Plants and many lower organisms, but not mammals, express alternative oxidases (AOXs) that branch the mitochondrial respiratory chain, transferring electrons directly from ubiquinol to oxygen without proton pumping. Thus, they maintain electron flow under conditions when the classical respiratory chain is impaired, limiting excess production of oxygen radicals and supporting redox and metabolic homeostasis. AOX from Ciona intestinalis has been used to study and mitigate mitochondrial impairments in mammalian cell lines, Drosophila disease models and, most recently, in the mouse, where multiple lentivector-AOX transgenes conferred substantial expression in specific tissues. Here, we describe a genetically tractable mouse model in which Ciona AOX has been targeted to the Rosa26 locus for ubiquitous expression. The AOXRosa26 mouse exhibited only subtle phenotypic effects on respiratory complex formation, oxygen consumption or the global metabolome, and showed an essentially normal physiology. AOX conferred robust resistance to inhibitors of the respiratory chain in organello; moreover, animals exposed to a systemically applied LD50 dose of cyanide did not succumb. The AOXRosa26 mouse is a useful tool to investigate respiratory control mechanisms and to decipher mitochondrial disease aetiology in vivo.
ʿAzīmabādīs Erläuterung des Taǧdīd-Hadithes als Beispiel eines religiösen Autorisierungsdiskurses
(2017)
This paper discusses the syntax of relative clauses in European Portuguese (EP) by focussing on the status of the relativizer que in restrictive and appositive relative clauses. We propose a unified account of que in terms of a D-element and discuss the syntactic implications of this assumption for an adequate analysis of relative clauses in EP. We assume that relative que has properties of demonstrative and interrogative determiners. In restrictive object and subject relative clauses, que occurs as a transitive determiner [DP que [NP e]], which selects for a nominal complement, whereas in prepositional and appositive relative clauses, [DP que] is an intransitive determiner parallel to an e-type pronoun. We discuss the position of restrictive relative clauses in the DP containing the modified noun, and propose that they are merged pre-nominally, in the same fashion as demonstratives.
"I Am a Hottentot" : africanist mimicry and green xenophilia in Hans Paasche and Karen Blixen
(2014)
Claims that industrialized western countries must reform their environmental practices have often been made with reference to less-developed non-western societies living in greater "harmony" or "balance" with the natural world. Examples of what I call green xenophilia (from the Greek "xenos", meaning strange, unknown or foreign, and "philia", meaning love or attraction), are myriad, wide-ranging and culturally dispersed. They range from the appearance of the iconic "crying Indian" in anti-pollution TV and newspaper spots in the months leading up to the first Earth Day on April 22 1970 to numerous environmentalist individuals' and groups' use of the fabricated "Chief Seattle's Speech" as an authoritative touchstone of ecological consciousness, and from the British Schumacher College's endorsement of India as a source of simplicity, holism, humility, vegetarianism etc. to leading deep ecologists' advocacy of East Asian religions (especially Buddhism, Jainism and Taoism) as "biocentric" alternatives to "anthropocentric" Christianity (Rolston 1987; Dunaway 2008; Krupat 2011; Corrywright 2010). Invocations of non-western cultures, identities and worldviews have proved potent heuristic devices, enabling greens both to critique the status quo and to gesture (however schematically) towards the possibility of alternatives. Pervasive media-borne ideas and images like "the Green Tibet" (Huber 1997) and "the ecological Indian" (Krech 1999) have given environmentalist ideas about the good life physical incarnation, making them seem less remote and abstract. Yet the prevalence of xenophile dis course has also made environmentalism vulnerable to recurrent accusations of romantic primitivism, orientalism and exoticism, as western greens have sometimes (though not always) appeared to buttress traditional socio-cultural norms in the very act of challenging them (Guha 1989; Lohmann 1993; Bartholomeusz 1998). What is gained and what is risked when western greens speak about, with, for or as "the other"? In this essay I engage with two early-twentieth-century North European writers, the German Hans Paasche (1881-1921) and the Dane Karen Blixen (1885-1962), whose works bring this question to the forefront. Critical of European industrialization, and awkwardly positioned vis-a-vis their upper-class social milieus, Paasche and Blixen wrote as self-made "Africans", testing the limits between colonialism, anti-colonialism and emergent forms of environmentalism and green" lifestyle reform. More precisely, Paasche in "Die Forschungsreise des Afrikaners Lukanga Kukara ins Innerste Deutschland" ("The African Lukanga Mukara's Research Joumey into the Innermost of Germany" (1912-1913) and Blixen in "Out of Africa" (1937) deploy the ambiguous form of mimicry that Susan Gubar labels "racechange", impersonating or appropriating culturally other voices and perspectives on animals, food, physical embodiment and human-natural relations (Gubar 1997). Paasche and Blixen, I argue, used their considerable intercultural insight to construct images of Africa that they hoped would stand in redemptive contrast to the humanly and environmentally ruinous beliefs and practices of European modernity. I am interested in the acts of ethnic and textual self-alienation that these writers perform because they highlight the discursive, ethical and political ambiguities of green xenophilia - ambiguities that can be explored from different positions within the developing field of ecocritical studies.
The disruption of coupling between brain areas has been suggested as the mechanism underlying loss of consciousness in anesthesia. This hypothesis has been tested previously by measuring the information transfer between brain areas, and by taking reduced information transfer as a proxy for decoupling. Yet, information transfer is a function of the amount of information available in the information source—such that transfer decreases even for unchanged coupling when less source information is available. Therefore, we reconsidered past interpretations of reduced information transfer as a sign of decoupling, and asked whether impaired local information processing leads to a loss of information transfer. An important prediction of this alternative hypothesis is that changes in locally available information (signal entropy) should be at least as pronounced as changes in information transfer. We tested this prediction by recording local field potentials in two ferrets after administration of isoflurane in concentrations of 0.0%, 0.5%, and 1.0%. We found strong decreases in the source entropy under isoflurane in area V1 and the prefrontal cortex (PFC)—as predicted by our alternative hypothesis. The decrease in source entropy was stronger in PFC compared to V1. Information transfer between V1 and PFC was reduced bidirectionally, but with a stronger decrease from PFC to V1. This links the stronger decrease in information transfer to the stronger decrease in source entropy—suggesting reduced source entropy reduces information transfer. This conclusion fits the observation that the synaptic targets of isoflurane are located in local cortical circuits rather than on the synapses formed by interareal axonal projections. Thus, changes in information transfer under isoflurane seem to be a consequence of changes in local processing more than of decoupling between brain areas. We suggest that source entropy changes must be considered whenever interpreting changes in information transfer as decoupling.
Aesthetic perception and judgement are not merely cognitive processes, but also involve feelings. Therefore, the empirical study of these experiences requires conceptualization and measurement of aesthetic emotions. Despite the long-standing interest in such emotions, we still lack an assessment tool to capture the broad range of emotions that occur in response to the perceived aesthetic appeal of stimuli. Elicitors of aesthetic emotions are not limited to the arts in the strict sense, but extend to design, built environments, and nature. In this article, we describe the development of a questionnaire that is applicable across many of these domains: the Aesthetic Emotions Scale (Aesthemos). Drawing on theoretical accounts of aesthetic emotions and an extensive review of extant measures of aesthetic emotions within specific domains such as music, literature, film, painting, advertisements, design, and architecture, we propose a framework for studying aesthetic emotions. The Aesthemos, which is based on this framework, contains 21 subscales with two items each, that are designed to assess the emotional signature of responses to stimuli’s perceived aesthetic appeal in a highly differentiated manner. These scales cover prototypical aesthetic emotions (e.g., the feeling of beauty, being moved, fascination, and awe), epistemic emotions (e.g., interest and insight), and emotions indicative of amusement (humor and joy). In addition, the Aesthemos subscales capture both the activating (energy and vitality) and the calming (relaxation) effects of aesthetic experiences, as well as negative emotions that may contribute to aesthetic displeasure (e.g., the feeling of ugliness, boredom, and confusion).
Hassrede und Katzenbilder : Wie können im globalen Netz nationale Gesetze respektiert werden?
(2017)
Der Zugang zum Internet ist die Voraussetzung, um online aktiv zu sein, zu kommunizieren oder einzukaufen. Zugang allein reicht aber nicht: Erst sogenannte Internet-Intermediäre (oder Internet-Inhalt-Vermittler) wie Google, Facebook oder Amazon ermöglichen es, das Internet zu nutzen, um über Social Media zu kommunizieren, auf Musik, Filme und Texte zuzugreifen oder überhaupt erst via Suchmaschine passende Online-Angebote ausfindig zu machen. Intermediäre verbinden Nutzer mit dem Internet, sie helfen bei der Datenverarbeitung, sie hosten und indexieren Inhalte, sie ermöglichen die Suche, sammeln Informationen, vermitteln Angebote Dritter und ermöglichen Käufe und Zahlungen...
The arachidonic acid cascade is a key player in inflammation, and numerous well-established drugs interfere with this pathway. Previous studies have suggested that simultaneous inhibition of 5-lipoxygenase (5-LO) and soluble epoxide hydrolase (sEH) results in synergistic anti-inflammatory effects. In this study, a novel prototype of a dual 5-LO/sEH inhibitor KM55 was rationally designed and synthesized. KM55 was evaluated in enzyme activity assays with recombinant enzymes. Furthermore, activity of KM55 in human whole blood and endothelial cells was investigated. KM55 potently inhibited both enzymes in vitro and attenuated the formation of leukotrienes in human whole blood. KM55 was also tested in a cell function-based assay. The compound significantly inhibited the LPS-induced adhesion of leukocytes to endothelial cells by blocking leukocyte activation.
Introduction: This study reports about antenatal characteristics of Roma minority population. The study was designed to investigate data about health behaviours known to be associated with reproductive outcomes of Roma women that have very good living conditions and relatively high resource availability.
Methods: A retrospective study included 204 Roma and 408 non-Roma hospitalised singleton births that occurred in the Maternity Ward of the General Hospital Virovitica in the period from 1991 to 2010. Data about women’s age, marital status, smoking, reproductive health (abortions, delivery), antenatal care, perinatal complications and gestational age were taken from hospital records and analysed.
Results: Roma women were averagely more than three years younger than non-Roma women, only 10.8% were married. Smoking was more frequent. The average number of births of Roma and non-Roma women was similar, averagely two children per woman. The rate of induced abortions in the Roma women was higher, while the frequency of spontaneous abortions was equal. Inadequate antenatal care of Roma women was associated with two times higher incidence of perinatal complications. A higher frequency of deliveries at home without professional assistance in Roma pregnancy resulted in lower perinatal outcomes. It was confirmed that Roma mothers give birth earlier (38+6 vs. 39+4 weeks) and have a higher incidence of premature births (9.3% vs. 2.2%).
Conclusions: In the comparison of antenatal parameters between the two researched groups, poorer prenatal outcomes in the Roma population were found, despite full integration and considerable improvement in living standards of this ethnic Roma population.
Purpose: Prisoners are at a particularly high risk of suicide. In contrast to other psychosocial risk factors it remains unclear to what degree the risk of suicide differs between prisoners with local citizenship and foreigners. In order to provide more detailed information for suicide prevention in prisons, this study aims to compare suicide rates (SR) between these populations in German criminal custody.
Methods: Based on a German national database of completed suicide in custody, suicides by prisoners were analysed and compared with epidemiological data of the prison population and the general population, stratified for German and foreign citizenship. Data analysis was adjusted for differences in the age distribution of both populations by calculating standard mortality ratios (SMR) for suicide.
Results: SR were higher in prisoners with German citizenship than those with foreign citizenship (SR = 76.5 vs. SR = 42.8, P<0.01). This association was not specific to the prison population, as the higher SR in citizens compared to non-citizens (SR = 19.3 vs. SR = 9.0, P<0.01) were also found in the general population. The association between prison suicide and citizenship was comparable in juvenile and adult prisoners, indicating its relevance to both the juvenile and adult detention systems.
Conclusion: Imprisonment is associated with a substantially increased risk of suicide in both German and non-German citizens, a finding which needs to be taken into consideration by the justice system. The lower suicide risk in non-German citizens is independent of whether or not they are in custody.
The present article analyzes a prominent yet relatively understudied contact space among Native American, New Zealand Maori, and aboriginal Taiwanese literatures: the struggle of indigenous peoples to negotiate optimal relationships between themselves and the natural world, particularly in light of capitalist modernity and globalization. Many indigenous narratives draw sharp distinctions between native peoples and outsiders, predictably portraying the former as protectors and the latter as destroyers of both nature and indigenous local cultures. The Native American Chickasaw writer Linda Hogan's (1947-) novel 'People of the Whale' (2008), the Maori writer Patricia Grace's (1937-) novel 'Patiki' (1986), and the aboriginal Taiwanese writer Topas Tamapima's short story "Zuihou de lieren" are no exception. But these texts also problematize notions of the so-called "ecological native." They do so most conspicuously by revealing the ambiguous relationships those peoples believed closest to nature have with the nonhuman world, that is to say their environmental ambiguity ('ecoambiguity') (Thornber 2012).
To study the implications of highly space-demanding organic moieties on the properties of self-assembled monolayers (SAMs), triptycyl thiolates and selenolates with and without methylene spacers on Au(111) surfaces were comprehensively studied using ultra-high vacuum infrared reflection absorption spectroscopy, X-ray photoelectron spectroscopy, near-edge X-ray absorption fine structure spectroscopy and thermal desorption spectroscopy. Due to packing effects, the molecules in all monolayers are substantially tilted. In the presence of a methylene spacer the tilt is slightly less pronounced. The selenolate monolayers exhibit smaller defect densities and therefore are more densely packed than their thiolate analogues. The Se–Au binding energy in the investigated SAMs was found to be higher than the S–Au binding energy.
Box C/D snoRNAs are known to guide site-specific ribose methylation of ribosomal RNA. Here, we demonstrate a novel and unexpected role for box C/D snoRNAs in guiding 18S rRNA acetylation in yeast. Our results demonstrate, for the first time, that the acetylation of two cytosine residues in 18S rRNA catalyzed by Kre33 is guided by two orphan box C/D snoRNAs–snR4 and snR45 –not known to be involved in methylation in yeast. We identified Kre33 binding sites on these snoRNAs as well as on the 18S rRNA, and demonstrate that both snR4 and snR45 establish extended bipartite complementarity around the cytosines targeted for acetylation, similar to pseudouridylation pocket formation by the H/ACA snoRNPs. We show that base pairing between these snoRNAs and 18S rRNA requires the putative helicase activity of Kre33, which is also needed to aid early pre-rRNA processing. Compared to yeast, the number of orphan box C/D snoRNAs in higher eukaryotes is much larger and we hypothesize that several of these may be involved in base-modifications.
The Caloptera damselflies of Thailand – Distribution maps by provinces (Odonata: Calopterygoidea)
(2017)
Distribution maps at province level accuracy are presented for the 44 species of the superfamily Calopterygoidea (in the old sense, excluding the ’megapodagrionid’ families) recorded in Thailand. Brief species accounts are presented with information on the distribution, phenology and the first discovery of the species. For eleven species the primary type was collected in Thailand. The history of the discovery and documentation of these insects in Thailand is discussed.
Schlechte Leistungen in der Schule können mit der Gesundheit, der Bildungssituation oder sozialen Rahmenbedingungen in Zusammenhang gebracht werden. Die Forschungsarbeit untersucht die Zusammenhänge aus Sicht der jungen Menschen und beschreibt deren Theorien. Aus den Theorien werden Ansätze zur Verbesserung der gesundheitlichen und sozialen Situation sowie der Bildung abgeleitet.
Recent STAR data for the directed flow of protons, antiprotons and charged pions obtained within the beam energy scan program are analyzed within the Parton-Hadron-String-Dynamics (PHSD/HSD) transport models. Both versions of the kinetic approach are used to clarify the role of partonic degrees of freedom. The PHSD results, simulating a partonic phase and its coexistence with a hadronic one, are roughly consistent with the STAR data. Generally, the semi-qualitative agreement between the measured data and model results supports the idea of a crossover type of quark-hadron transition which softens the nuclear EoS but shows no indication of a first-order phase transition. Furthermore, the directed flow of kaons and antikaons is evaluated in the PHSD/HSD approachesfrom √sNN ≈ 3 - 200 GeV which shows a high sensitivity to hadronic potentials in the FAIR/NICA energy regime √sNN ≤ 8 GeV.
Die vorliegende Arbeit, die im Rahmen des zwischen 2011 und 2013 durchgeführten Forschungsprojektes „Förderung von Modellbildungs- und Falsifikationsprozessen im Elementar- und Primarbereich“ entstanden ist, untersuchte auf Grundlage neuerer entwicklungspsychologischer Forschungsbefunde die Möglichkeiten der Förderung im naturwissenschaftlichen Denken bei Kindern im Elementarbereich. Nach der theoretischen Einordnung des Themas und der Darstellung der Forschungslage wurden im empirischen Teil in einem ersten Schritt die Kompetenzen beim Schlussfolgern im Themengebiet Elastizität und Plastizität und beim Wissenschaftsverständnis von Kindern im Alter von vier bis zehn Jahren, eingeteilt in vier Altersstufen, ermittelt; weiterhin wurden die Verknüpfungen beider Kompetenzbereiche untersucht. Als Instrumente dienten ein bereits erprobter Schlussfolgerungstest sowie ein neu entwickelter Test zur Kompetenzmessung von Wissenschaftsverständnis. In der Grundschule wurden die Tests jeweils als Gruppentests und im Kindergarten als Einzeltests durchgeführt. Die Stichprobe um-fasste 142 Kinder, 82 Kinder aus dem Primarbereich und 60 Kinder aus dem Elementarbereich. Beim Schlussfolgern zeigte sich, dass es für Kinder aller einbezogenen Altersgruppen deutlich leichter war, mit Ereignissen umzugehen, die eine Vermutung bestätigen, als mit solchen, die eine Vermutung widerlegen. Zudem stellte sich heraus, dass der Umgang mit Ereignissen, die im Hinblick auf eine Vermutung irrelevant sind, noch schwieriger war. Mit zunehmendem Alter war eine Kompetenzsteigerung erkennbar. Die Analyse der Tests ergab außerdem einen Zusammenhang zwischen Wissenschaftsverständnis und Schlussfolgern sowie einen deutlichen Einfluss exekutiver Funktionen. Im zweiten Schritt wurden zwei ausgewählte Trainingsmaß-nahmen zur Förderung der Koordination von Theorie und Evidenz bei Kindern im Alter von fünf bis sechs Jahren auf ihre Wirksamkeit hin geprüft, und zwar einerseits durch die Unter-stützung mit adaptivem Nachfragen bei fehlerhaften Antworten sowie andererseits durch eine intensive Förderung mit Modellierung. Die an einer Stichprobe von 63 Kindern durchgeführte Trainingsstudie war als Prä-Post-Studie angelegt und umfasste die Überprüfung des erworbenen Wissens. Die Studie ergab, dass die intensiv geförderten Kinder deutlich höhere Kompetenzen erworben hatten als die durch adaptive Unterstützung unterstützten Probanden. Außer-dem wurde ein Transfer-Test im Inhaltsgebiet Schwimmen und Sinken durchgeführt; hierbei wurden beide Trainingsgruppen in gleicher Weise mit adaptivem Nachfragen unterstützt. Dabei zeigten Kinder beider Trainingsgruppen deutlich höhere Kompetenzen beim Schlussfolgern als im Post-Test, dennoch zeigten Kinder mit vorheriger intensiver Förderung durch Modellierung wiederum höhere Kompetenzen im Transfer-Test als Kinder aus der Gruppe mit adaptiver Unterstützung. Abschließend wurde noch ein Argumentationstest durchgeführt, bei dem Kinder aller drei Experimentalgruppen (Trainingsgruppe 1, Trainingsgruppe 2, Kontrollgruppe) über-greifende Kompetenzen beim Schlussfolgern zeigen konnten. In diesem Test zeigte sich zwischen den drei Gruppen kein Unterschied im Hinblick auf angemessene Antworten beim Schlussfolgern.
In April and May 2012 data on Au+Au collisions at beam energies of Ekin = 1.23A GeV were recorded with the High Acceptance Di-Electron Spectrometer, which is located at the GSI Helmholtz Center for Heavy Ion Research in Darmstadt, Germany. At this beam energy all hadrons containing strangeness are produced below their elementary production threshold. The required energy is not available in binary NN collisions but must be provided by the system e.g. through multi-particle interactions or medium effects like a modified in-medium potential (e.g. KN/ΛN potential). Thus, a high sensitivity to these medium effects is expected in the investigated system.
The baryon-dominated systems created in relativistic heavy-ion collisions (HIC) at SIS18 energies reach densities of about 2-3 times ground state density p0 and may be similar to the properties of matter expected in the inner core of neutron stars. It is in particular the behavior of hadrons containing strangeness, i.e. kaons and hyperons, and their potentials in the dense medium which may have severe implications on astrophysical objects and processes. As ab-initio calculations of quantum chromodynamics (QCD) cannot be performed rigorously on the lattice at finite baryo-chemical potentials due to the fermion sign problem, effective descriptions have to be used in order to model properties of dense systems and the involved particles. The only way to access the in-medium potential of strange hadrons above nuclear ground state density p0 is by comparing data from relativistic HIC to such effective microscopic models. Up to now, not much data on neutral kaons and Λ hyperons are available from heavy collision systems close to their NN production threshold. These two electromagnetically uncharged strange hadrons are in particular well suited to study their potential in a dense nucleon-dominated environment as their kinematic spectra are not affected by Coulomb interactions.
We study the sensitivities of the directed flow in Au+Au collisions on the equation of state (EoS), employing the transport theoretical model JAM. The EoS is modified by introducing a new collision term in order to control the pressure of a system by appropriately selecting an azimuthal angle in two-body collisions according to a given EoS. It is shown that this approach is an efficient method to modify the EoS in a transport model. The beam energy dependence of the directed flow of protons is examined with two different EoS, a first-order phase transition and crossover. It is found that our approach yields quite similar results as hydrodynamical predictions on the beam energy dependence of the directed flow; Transport theory predicts a minimum in the excitation function of the slope of proton directed flow and does indeed yield negative directed flow, if the EoS with a first-order phase transition is employed. Our result strongly suggests that the highest sensitivity for the critical point can be seen in the beam energy range of 4.7 ≤√sNN≤11.5GeV.
Ecocriticism started out in the early 1990s in the framework of American literary studies - in the Anglo sense that equates "America" with the "United States." In fact, the new field's first professional organization, the Association for the Study of Literature and the Environment, was founded as an offshoot of academic interest focused on a particular region of the United States, in the backroom of a casino in Reno, Nevada, during the 1992 annual convention of the Western Literature Association. During its first decade, the bulk of ecocritical attention focused on American literature as shaped by Thoreau and British literature as shaped by Wordsworth - a limited but powerful concentration on nature writing in the genres of poetry, nonfiction prose, and the noveI, with particular attention to Native American literature. By the turn of the millennium, in a story that has by now been told repeatedly, interest in the literature-environment nexus had grown and diversified enough that ecocriticism almost literally exploded into a much broader research area encompassing multiple historical periods (from the Middle Ages to postmodernism), genres (from poetry to the graphic novel and narrative film), and regions: the Caribbean, Latin America, East Asia, and Western Europe all emerged as new areas of ecocritical exploration. New encounters between postcolonial theory and ecocritical analysis proved particularly productive for both fields: linking historical exploration and political ecology with literary analysis, the emergent "poco-eco" matrix opened new perspectives on the connections and disjunctures between imperialism, ecological crisis, and conservation. Over the last few years, the concept of "Environmental Humanities" has increasingly co me to accompany and to superimpose itself as an umbrella term on ecocriticism and comparable research areas in neighboring disciplines: environmental history, environmental anthropology, environmental philosophy, cultural geography, and political ecology. Driven by the impulse to connect environmental research across the humanities, to justify humanistic research at institutions often prone to cut first in the humanities, and to bring the knowledge generated through humanistic research into the public sphere, environmentally oriented scholars have used the term "Environmental Humanities" as a shorthand for what they hope will be a new vision of their discipline. As of this writing, the concept remains somewhat more aspirational than real. While ecocritics and environmental philosophers have long collaborated in Australia, and environmental historians and ecocritics sometimes collaborate in the United States, the disciplines that make up the Environmental Humanities have to date largely pursued their own disciplinary trajectories. But there are signs that the tide may have begun to turn. Various universities and research organizations have started programs in the field. The Swedish environmental historian Sverker Sörlin published a brief outline of the new interdisciplinary matrix in the journal 'BioScience' in 2012, and a longer manifesto followed from the editorial collective of the newly established journal 'Environmental Humanities' at Macquarie University in Australia (Rose et al. 2012). Another journal focusing on the environmental humanities began publication in early 2014 from the University of Oregon under the title 'Resilience'.
Cancer is characterized by a remarkable intertumoral, intratumoral, and cellular heterogeneity that might be explained by the cancer stem cell (CSC) and/or the clonal evolution models. CSCs have the ability to generate all different cells of a tumor and to reinitiate the disease after remission. In the clonal evolution model, a consecutive accumulation of mutations starting in a single cell results in competitive growth of subclones with divergent fitness in either a linear or a branching succession. Acute lymphoblastic leukemia (ALL) is a highly malignant cancer of the lymphoid system in the bone marrow with a dismal prognosis after relapse. However, stabile phenotypes and functional data of CSCs in ALL, the so-called leukemia-initiating cells (LICs), are highly controversial and the question remains whether there is evidence for their existence. This review discusses the concepts of CSCs and clonal evolution in respect to LICs mainly in B-ALL and sheds light onto the technical controversies in LIC isolation and evaluation. These aspects are important for the development of strategies to eradicate cells with LIC capacity. Common properties of LICs within different subclones need to be defined for future ALL diagnostics, treatment, and disease monitoring to improve the patients’ outcome in ALL.
Local treatment of unresectable colorectal liver metastases : results of a randomized phase II trial
(2017)
Background: Tumor ablation is often employed for unresectable colorectal liver metastases. However, no survival benefit has ever been demonstrated in prospective randomized studies. Here, we investigate the long-term benefits of such an aggressive approach.
Methods: In this randomized phase II trial, 119 patients with unresectable colorectal liver metastases (n < 10 and no extrahepatic disease) received systemic treatment alone or systemic treatment plus aggressive local treatment by radiofrequency ablation ± resection. Previously, we reported that the primary end point (30-month overall survival [OS] > 38%) was met. We now report on long-term OS results. All statistical tests were two-sided. The analyses were according to intention to treat.
Results: At a median follow up of 9.7 years, 92 of 119 (77.3%) patients had died: 39 of 60 (65.0%) in the combined modality arm and 53 of 59 (89.8%) in the systemic treatment arm. Almost all patients died of progressive disease (35 patients in the combined modality arm, 49 patients in the systemic treatment arm). There was a statistically significant difference in OS in favor of the combined modality arm (hazard ratio [HR] = 0.58, 95% confidence interval [CI] = 0.38 to 0.88, P = .01). Three-, five-, and eight-year OS were 56.9% (95% CI = 43.3% to 68.5%), 43.1% (95% CI = 30.3% to 55.3%), 35.9% (95% CI = 23.8% to 48.2%), respectively, in the combined modality arm and 55.2% (95% CI = 41.6% to 66.9%), 30.3% (95% CI = 19.0% to 42.4%), 8.9% (95% CI = 3.3% to 18.1%), respectively, in the systemic treatment arm. Median OS was 45.6 months (95% CI = 30.3 to 67.8 months) in the combined modality arm vs 40.5 months (95% CI = 27.5 to 47.7 months) in the systemic treatment arm.
Conclusions: This phase II trial is the first randomized study demonstrating that aggressive local treatment can prolong OS in patients with unresectable colorectal liver metastases.
Genetic mutations underlying neurodegenerative disorders impair ribosomal DNA (rDNA) transcription suggesting that nucleolar dysfunction could be a novel pathomechanism in polyglutamine diseases and in certain forms of amyotrophic lateral sclerosis/frontotemporal dementia. Here, we investigated nucleolar activity in pre-symptomatic digenic models of Parkinson's disease (PD) that model the multifactorial aetiology of this disease. To this end, we analysed a novel mouse model mildly overexpressing mutant human α-synuclein (hA53T-SNCA) in a PTEN-induced kinase 1 (PINK1/PARK6) knockout background and mutant mice lacking both DJ-1 (also known as PARK7) and PINK1. We showed that overexpressed hA53T-SNCA localizes to the nucleolus. Moreover, these mutants show a progressive reduction of rDNA transcription linked to a reduced mouse lifespan. By contrast, rDNA transcription is preserved in DJ-1/PINK1 double knockout (DKO) mice. mRNA levels of the nucleolar transcription initiation factor 1A (TIF-IA, also known as RRN3) decrease in the substantia nigra of individuals with PD. Because loss of TIF-IA, as a tool to mimic nucleolar stress, increases oxidative stress and because DJ-1 and PINK1 mutations result in higher vulnerability to oxidative stress, we further explored the synergism between these PD-associated genes and impaired nucleolar function. By the conditional ablation of TIF-IA, we blocked ribosomal RNA (rRNA) synthesis in adult dopaminergic neurons in a DJ-1/PINK1 DKO background. However, the early phenotype of these triple knockout mice was similar to those mice exclusively lacking TIF-IA. These data sustain a model in which loss of DJ-1 and PINK1 does not impair nucleolar activity in a pre-symptomatic stage. This is the first study to analyse nucleolar function in digenic PD models. We can conclude that, at least in these models, the nucleolus is not as severely disrupted as previously shown in DA neurons from PD patients and neurotoxin-based PD mouse models. The results also show that the early increase in rDNA transcription and nucleolar integrity may represent specific homeostatic responses in these digenic pre-symptomatic PD models.
Development of single-port cholecystectomy : results of a case-control study matched to one surgeon
(2012)
Background: Single-port laparoscopic cholecystectomy is an evolving technique which is now widely established. Up until now, the safety of the procedure and a respective learning curve have not been adequately reported in most studies. The aim of this study was to demonstrate that single-port cholecystectomy is a safe procedure, with a positive learning curve from a case-control study matched to one surgeon.
Methods: One hundred single-port cholecystectomies performed by one surgeon (AB) were retrospectively matched to 100 patients who underwent conventional laparoscopic cholecystectomy carried out by the same surgeon. The two groups were matched in respect of surgical indication, gender, age, and body mass index. The groups were compared with respect to operation time, use of additional trocars, analgesics required in the post anesthesia care unit, postoperative complications, and duration of hospital stay.
Results: No significant difference was found between the two groups with respect to postoperative complications and stay in hospital. The operation time increased slightly in the single-port group. Directly after the operation, the analgesic use required in the post anesthesia care unit was higher in the single-port group. Consumption of analgesics on the surgical ward was very similar in each group. In respect to the learning curve, the operation time and use of additional trocars showed a positive trend, starting with the thirtieth operation.
Conclusion: Single-port cholecystectomy is a feasible and safe procedure in a specialist setting. The procedure can be done under the same safety rules as those for conventional laparoscopic cholecystectomy. Considering the learning curve, starting with the thirtieth operation, a positive trend was seen. Long-term studies will be needed to establish the incidence and rate of incisional hernias.
This post hoc analysis of a phase 3 trial explored the effect of pixantrone in patients (50 pixantrone, 47 comparator) with relapsed or refractory aggressive B-cell non-Hodgkin lymphoma (NHL) confirmed by centralized histological review. Patients received 28-d cycles of 85 mg/m2 pixantrone dimaleate (equivalent to 50 mg/m2 in the approved formulation) on days 1, 8 and 15, or comparator. The population was subdivided according to previous rituximab use and whether they received the study treatment as 3rd or 4th line. Median number of cycles was 4 (range, 2–6) with pixantrone and 3 (2–6) with comparator. In 3rd or 4th line, pixantrone was associated with higher complete response (CR) (23·1% vs. 5·1% comparator, P = 0·047) and overall response rate (ORR, 43·6% vs. 12·8%, P = 0·005). In 3rd or 4th line with previous rituximab (20 pixantrone, 18 comparator), pixantrone produced better ORR (45·0% vs. 11·1%, P = 0·033), CR (30·0% vs. 5·6%, P = 0·093) and progression-free survival (median 5·4 vs. 2·8 months, hazard ratio 0·52, 95% confidence interval 0·26–1·04) than the comparator. Similar results were found in patients without previous rituximab. There were no unexpected safety issues. Pixantrone monotherapy is more effective than comparator in relapsed or refractory aggressive B-cell NHL in the 3rd or 4th line setting, independently of previous rituximab.
Relative orientation of POTRA domains from cyanobacterial Omp85 studied by pulsed EPR spectroscopy
(2016)
Many proteins of the outer membrane of Gram-negative bacteria and of the outer envelope of the endosymbiotically derived organelles mitochondria and plastids have a β-barrel fold. Their insertion is assisted by membrane proteins of the Omp85-TpsB superfamily. These proteins are composed of a C-terminal β-barrel and a different number of N-terminal POTRA domains, three in the case of cyanobacterial Omp85. Based on structural studies of Omp85 proteins, including the five POTRA-domain-containing BamA protein of Escherichia coli, it is predicted that anaP2 and anaP3 bear a fixed orientation, whereas anaP1 and anaP2 are connected via a flexible hinge. We challenged this proposal by investigating the conformational space of the N-terminal POTRA domains of Omp85 from the cyanobacterium Anabaena sp. PCC 7120 using pulsed electron-electron double resonance (PELDOR, or DEER) spectroscopy. The pronounced dipolar oscillations observed for most of the double spin-labeled positions indicate a rather rigid orientation of the POTRA domains in frozen liquid solution. Based on the PELDOR distance data, structure refinement of the POTRA domains was performed taking two different approaches: 1) treating the individual POTRA domains as rigid bodies; and 2) using an all-atom refinement of the structure. Both refinement approaches yielded ensembles of model structures that are more restricted compared to the conformational ensemble obtained by molecular dynamics simulations, with only a slightly different orientation of N-terminal POTRA domains anaP1 and anaP2 compared with the x-ray structure. The results are discussed in the context of the native environment of the POTRA domains in the periplasm.
Rezension zu "Zwischen Transfer und Vergleich. Theorien und Methoden der Literatur- und Kulturbeziehungen aus deutsch-französischer Perspektive". Hg. Christiane Solte-Gresser, Hans-Jürgen Lüsebrink und Manfred Schmeling. Stuttgart: Franz Steiner, 2013 (VICE VERSA. Deutsch-französische Kulturstudien; Bd. 5). 457 S.
The effects of aging on response time were examined in a paper-based lexical-decision experiment with younger (age 18–36) and older (age 64–75) adults, applying Ratcliff’s diffusion model. Using digital pens allowed the paper-based assessment of response times for single items. Age differences previously reported by Ratcliff and colleagues in computer-based experiments were partly replicated: older adults responded more conservatively than younger adults and showed a slowing of their nondecision components of RT by 53 ms. The rates of evidence accumulation (drift rate) showed no age-related differences. Participants with a higher score in a vocabulary test also had higher drift rates. The experiment demonstrates the possibility to use formal processing models with paper-based tests.
Objective: Loss of function mutations in PINK1 typically lead to early onset Parkinson disease (PD). Zebrafish (Danio rerio) are emerging as a powerful new vertebrate model to study neurodegenerative diseases. We used a pink1 mutant (pink−/−) zebrafish line with a premature stop mutation (Y431*) in the PINK1 kinase domain to identify molecular mechanisms leading to mitochondrial dysfunction and loss of dopaminergic neurons in PINK1 deficiency.
Methods: The effect of PINK1 deficiency on the number of dopaminergic neurons, mitochondrial function, and morphology was assessed in both zebrafish embryos and adults. Genome-wide gene expression studies were undertaken to identify novel pathogenic mechanisms. Functional experiments were carried out to further investigate the effect of PINK1 deficiency on early neurodevelopmental mechanisms and microglial activation.
Results: PINK1 deficiency results in loss of dopaminergic neurons as well as early impairment of mitochondrial function and morphology in Danio rerio. Expression of TigarB, the zebrafish orthologue of the human, TP53-induced glycolysis and apoptosis regulator TIGAR, was markedly increased in pink−/− larvae. Antisense-mediated inactivation of TigarB gave rise to complete normalization of mitochondrial function, with resulting rescue of dopaminergic neurons in pink−/− larvae. There was also marked microglial activation in pink−/− larvae, but depletion of microglia failed to rescue the dopaminergic neuron loss, arguing against microglial activation being a key factor in the pathogenesis.
Interpretation: Pink1−/− zebrafish are the first vertebrate model of PINK1 deficiency with loss of dopaminergic neurons. Our study also identifies TIGAR as a promising novel target for disease-modifying therapy in PINK1-related PD. Ann Neurol 2013;74:837–847
Stroke is a major public health issue worldwide. The prevalence of stroke in 2010 was 33 million, with 16.9 million people having a first stroke.1 Stroke was the second‐leading cause of death behind heart disease globally, accounting for over 10% of total deaths worldwide.
Stroke is a heterogeneous condition that can be due to rupture of a blood vessel (hemorrhagic) or to blockage of a vessel (ischemic). About 85% of strokes are ischemic in origin and these are often classified by mechanism. This should be distinguished from risk factors such as hypertension, diabetes, smoking, etc. Risk factors increase the risk of stroke but do not necessarily explain the mechanism of a particular stroke. About 25% of ischemic strokes have a radiographic appearance similar to that seen in patients with cardioembolic sources (such as atrial fibrillation [AF], prosthetic valves, valvular prolapse, or mitral valve regurgitation), but no embolic source is found. These "cryptogenic strokes" (CS; also called embolic strokes of undetermined source) pose a particular clinical challenge in that the optimal antithrombotic therapy to reduce recurrence is uncertain. Since there are currently no data to support long‐term oral anticoagulation (OAC) in CS, but also no specific trials that have addressed this question, guidelines recommend antiplatelet therapy. Identification of AF in these patients changes the most likely mechanism to cardioembolism, and thus changes the recommended antithrombotic therapy to OAC, which is extremely effective in preventing stroke in patients with AF.
This report is based on discussions held at The Diagnostics and Monitoring Stroke Focus Group, a meeting held on January 15 to 17, 2015. The meeting focused on CS as a healthcare issue, and the utility of extended cardiac monitoring for AF in patients with strokes of unknown origin. The objectives of the meeting were to review existing information on the subject, define areas where knowledge was lacking or limited, and discuss study designs by which information gaps might be filled.
In European Robins, Erithacus rubecula, the magnetic compass is lateralized in favor of the right eye/left hemisphere of the brain. This lateralization develops during the first winter and initially shows a great plasticity. During the first spring migration, it can be temporarily removed by covering the right eye. In the present paper, we used the migratory orientation of robins to analyze the circumstances under which the lateralization can be undone. Already a period of 1½ h being monocularly left-eyed before tests began proved sufficient to restore the ability to use the left eye for orientation, but this effect was rather short-lived, as lateralization recurred again within the next 1½ h. Interpretable magnetic information mediated by the left eye was necessary for removing the lateralization. In addition, monocularly, the left eye seeing robins could adjust to magnetic intensities outside the normal functional window, but this ability was not transferred to the “right-eye system”. Our results make it clear that asymmetry of magnetic compass perception is amenable to short-term changes, depending on lateralized stimulation. This could mean that the left hemispheric dominance for the analysis of magnetic compass information depends on lateralized interhemispheric interactions that in young birds can swiftly be altered by environmental effects.
We investigate the properties of the QCD matter across the deconfinement phase transition in the scope of the parton-hadron string dynamics (PHSD) transport approach. We present here in particular the results on the electromagnetic radiation, i.e. photon and dilepton production, in relativistic heavy-ion collisions. By comparing our calculations for the heavy-ion collisions to the available data, we determine the relative importance of the various production sources and address the possible origin of the observed strong elliptic flow v2 of direct photons. We argue that the different centrality dependence of the hadronic and partonic sources for direct photon production in nucleusnucleus collisions can be employed to shed some more light on the origin of the photon v2 “puzzle”. While the dilepton spectra at low invariant mass show in-medium effects like an enhancement from multiple baryonic resonance formation or a collisional broadening of the vector meson spectral functions, the dilepton yield at high invariant masses (above 1.1 GeV) is dominated by QGP contributions for central heavy-ion collisions at ultra-relativistic energies. This allows to have an independent view on the parton dynamics via their electromagnetic massive radiation.
The asymmetric unit of the title compound, C18H18I2N2O2, consists of one half-molecule, completed by the application of inversion symmetry. The molecule adopts the typical structure for this class of bis-benxozazines, characterized by an anti orientation of the two benzoxazine rings around the central C—C bond. The oxazinic ring adopts a half-chair conformation. In the crystal, molecules are linked by C—I⋯N short contacts [I⋯N = 3.378 (2) Å], generating layers lying parallel to the bc plane.
Denisovite is a rare mineral occurring as aggregates of fibres typically 200–500 nm diameter. It was confirmed as a new mineral in 1984, but important facts about its chemical formula, lattice parameters, symmetry and structure have remained incompletely known since then. Recently obtained results from studies using microprobe analysis, X-ray powder diffraction (XRPD), electron crystallography, modelling and Rietveld refinement will be reported. The electron crystallography methods include transmission electron microscopy (TEM), selected-area electron diffraction (SAED), high-angle annular dark-field imaging (HAADF), high-resolution transmission electron microscopy (HRTEM), precession electron diffraction (PED) and electron diffraction tomography (EDT). A structural model of denisovite was developed from HAADF images and later completed on the basis of quasi-kinematic EDT data by ab initio structure solution using direct methods and least-squares refinement. The model was confirmed by Rietveld refinement. The lattice parameters are a = 31.024 (1), b = 19.554 (1) and c = 7.1441 (5) Å, β = 95.99 (3)°, V = 4310.1 (5) Å3 and space group P12/a1. The structure consists of three topologically distinct dreier silicate chains, viz. two xonotlite-like dreier double chains, [Si6O17]10−, and a tubular loop-branched dreier triple chain, [Si12O30]12−. The silicate chains occur between three walls of edge-sharing (Ca,Na) octahedra. The chains of silicate tetrahedra and the octahedra walls extend parallel to the z axis and form a layer parallel to (100). Water molecules and K+ cations are located at the centre of the tubular silicate chain. The latter also occupy positions close to the centres of eight-membered rings in the silicate chains. The silicate chains are geometrically constrained by neighbouring octahedra walls and present an ambiguity with respect to their z position along these walls, with displacements between neighbouring layers being either Δz = c/4 or −c/4. Such behaviour is typical for polytypic sequences and leads to disorder along [100]. In fact, the diffraction pattern does not show any sharp reflections with l odd, but continuous diffuse streaks parallel to a* instead. Only reflections with l even are sharp. The diffuse scattering is caused by (100) nanolamellae separated by stacking faults and twin boundaries. The structure can be described according to the order–disorder (OD) theory as a stacking of layers parallel to (100).
I summarize recent developments in the hard-thermal-loop approach to QCD. I first discuss a finite-temperature and -density calculation of QCD thermodynamics at NNLO from the hard-thermal-loop perturbation theory. I then discuss a generalization of the hard-thermal-loop framework to the magnetic scale g2T, from which a novel non-Abelian massless mode is uncovered.
We study a random matrix model for QCD at finite density via complex Langevin dynamics. This model has a phase transition to a phase with nonzero baryon density. We study the convergence of the algorithm as a function of the quark mass and the chemical potential and focus on two main observables: the baryon density and the chiral condensate. For simulations close to the chiral limit, the algorithm has wrong convergence properties when the quark mass is in the spectral domain of the Dirac operator. A possible solution of this problem is discussed.
The high collision energies reached at the LHC lead to significant production yields of light (anti-)nuclei and (hyper-)nuclei in proton–proton, proton–lead and, in particular, lead–lead collisions. The excellent particle identification capabilities of the ALICE apparatus, based on the specific energy loss in the Time Projection Chamber and the velocity information in the Time-Of-Flight detector, allow for the detection of these rarely produced particles. Further, the Inner Tracking System gives the possibility to separate primary nuclei from those coming from weak decay of heavier systems. One example of such a weak decay is the measurement of the (anti-)hypertriton decay to 3He + π− (3H̅e̅ + π+). The aforementioned capabilities of the ALICE apparatus offer the unique opportunity to search for exotica, like the bound state of a Λ and a neutron which would decay into a deuteron and a pion, or the bound state of two Λ’s. Results on the production of stable nuclei in Pb–Pb collisions at √sNN = 2.76 TeV are presented, and compared with thermal model predictions. We further present the current status of the searches, by their upper limits on the production yields, and compare the results to thermal and coalescence model expectations.
The pA system is typically regarded in heavy ion collisions as a “cold” nuclear matter environment and thought to isolate and identify initial state effects due to the presence of multiple nucleons in the incoming nucleus. Moreover, pA collisions bridge the gap between peripheral AA collisions and the pp baseline to create a more complete understanding of underlying production mechanisms and how they evolve with multiplicity. Recent measurements at both RHIC and the LHC provide an indication, however, that the “cold” nuclear matter picture may be somewhat naïve.
Recent LHC results from the 2013 p–Pb run at √sNN = 5.02 TeV will be discussed.
O Sentido do Direito
(2014)
Time resolved measurements of the biased disk effect at an Electron Cyclotron Resonance Ion Source
(1999)
First results are reported from time resolved measurements of ion currents extracted from the Frankfurt 14 GHz Electron Cyclotron Resonance Ion Source with pulsed biased-disk voltage. It was found that the ion currents react promptly to changes of the bias. From the experimental results it is concluded that the biased disk effect is mainly due to improvements of the extraction conditions for the source and/or an enhanced transport of ions into the extraction area. By pulsing the disk voltage, short current pulses of highly charged ions can be generated with amplitudes significantly higher than the currents obtained in continuous mode.
A small electrostatic storage ring is the central machine of the Frankfurt Ion Storage Experiments (FIRE) which will be built at the new Stern-Gerlach Center of Frankfurt University. As a true multiuser, multipurpose facility with ion energies up to 50 keV, it will allow new methods to analyze complex many-particle systems from atoms to very large biomolecules. With envisaged storage times of some seconds and beam emittances in the order of a few mm mrad, measurements with up to 6 orders of magnitude better resolutions as compared to single-pass experiments become possible. In comparison to earlier designs, the ring lattice was modified in many details: Problems in earlier designs were related to, e.g., the detection of light particles and highly charged ions with different charge states. Therefore, the deflectors were redesigned completely, allowing a more flexible positioning of the diagnostics. Here, after an introduction to the concept of electrostatic machines, an overview of the planned FIRE is given and the ring lattice and elements are described in detail.
We report on the results on the dynamical modelling of cluster formation with the new combined PHSD+FRIGA model at Nuclotron and NICA energies. The FRIGA clusterization algorithm, which can be applied to the transport models, is based on the simulated annealing technique to obtain the most bound configuration of fragments and nucleons. The PHSD+FRIGA model is able to predict isotope yields as well as hypernucleus production. Based on present predictions of the combined model we study the possibility to detect such clusters and hypernuclei in the BM@N and MPD/NICA detectors.
The properties of matter at finite baryon densities play an important role for the astrophysics of compact stars as well as for heavy ion collisions or the description of nuclear matter. Because of the sign problem of the quark determinant, lattice QCD cannot be simulated by standard Monte Carlo at finite baryon densities. I review alternative attempts to treat dense QCD with an effective lattice theory derived by analytic strong coupling and hopping expansions, which close to the continuum is valid for heavy quarks only, but shows all qualitative features of nuclear physics emerging from QCD. In particular, the nuclear liquid gas transition and an equation of state for baryons can be calculated directly from QCD. A second effective theory based on strong coupling methods permits studies of the phase diagram in the chiral limit on coarse lattices.
The topic of global trade has become central to debates on global justice and on duties to the global poor, two important concerns of contemporary political theory. However, the leading approaches fail to directly address the participants in trade and provide them with normative guidance for making choices in non-ideal circumstances. This paper contributes an account of individuals’ responsibilities for global problems in general, an account of individuals’ responsibilities as market actors, and an explanation of how these responsibilities coexist. The argument is developed through an extended case study of a consumer’s choice between conventional and fair trade coffee. My argument is that the coffee consumer’s choice requires consideration of two distinct responsibilities. First, she has responsibilities to help meet foreigners’ claims for assistance. Second, she has moral responsibilities to ensure that trades, such as between herself and a coffee farmer, are fair rather than exploitative.
Aims: The purpose of this study was to analyze the prevalence of depression, anxiety, adjustment disorders, and somatoform disorders in patients diagnosed with age-related macular degeneration (AMD) in Germany.
Methods: This study included 7,580 patients between the ages of 40 and 90 diagnosed with AMD between January 2011 and December 2014 in 1,072 primary care practices (index date). The last follow-up was in July 2016. We also included 7,580 controls without AMD, which were matched (1:1) to the AMD cases by age, sex, type of health insurance (private or statutory), physician, and Charlson comorbidity score as a generic marker of comorbidity. The outcome of the study was the prevalence of depression, anxiety, adjustment disorders, and somatoform disorders recorded in the database between the index date and the end of follow-up.
Results: The mean age among subjects was 75.7 years (SD=10.1 years), 34.0% were men, and 7.8% had private health insurance coverage. The Charlson comorbidity index was 2.0 (SD=1.8). Depression was the most frequent disease (33.7% in AMD patients versus 27.3% in controls), followed by somatoform disorders (19.6% and 16.7%), adjustment disorders (14.8% and 10.5%), and anxiety disorders (11.7% and 8.2%). Depression (OR=1.37, 95% CI: 1.27–1.47), anxiety (OR=1.50, 95% CI: 1.35–1.67), adjustment disorders (OR=1.50, 95% CI: 1.36–1.65), and somatoform disorders (OR=1.22, 95% CI: 1.12–1.32) were all positively associated with AMD.
Conclusion: Overall, a significant association was found between AMD and depression, anxiety, adjustment disorders, and somatoform disorders.
Green tea (GT) and green tea extracts (GTE) have been postulated to decrease cancer incidence. In vitro results indicate a possible effect; however, epidemiological data do not support cancer chemoprevention. We have performed a PubMED literature search for green tea consumption and the correlation to the common tumor types lung, colorectal, breast, prostate, esophageal and gastric cancer, with cohorts from both Western and Asian countries. We additionally included selected mechanistical studies for a possible mode of action. The comparability between studies was limited due to major differences in study outlines; a meta analysis was thus not possible and studies were evaluated individually. Only for breast cancer could a possible small protective effect be seen in Asian and Western cohorts, whereas for esophagus and stomach cancer, green tea increased the cancer incidence, possibly due to heat stress. No effect was found for colonic/colorectal and prostatic cancer in any country, for lung cancer Chinese studies found a protective effect, but not studies from outside China. Epidemiological studies thus do not support a cancer protective effect. GT as an indicator of as yet undefined parameters in lifestyle, environment and/or ethnicity may explain some of the observed differences between China and other countries.
Rimski novčići u ženskim srednjovekovnim grobovima sa teritorije Srbije: mogućnosti interpretacije
(2016)
U ovom radu istražuje se fenomen sekundarne upotrebe rimskih novčića (II–IV vek) u srednjovekovnim nekropolama (X–XV vek) sa teritorije Srbije. U fokusu istraživanja su grobovi u kojima su rimski novčići upotrebljeni kao dekorativni elementi pokojnikove odeće – najčešće preoblikovani u priveske. Ovakav tip sekundarne upotrebe rimskog novca konstatovan je samo u ženskim grobovima. Cilj rada je da predloži interpretaciju ove pojave kroz analizu vrednosti i značaja sekundarno upotrebljenih novčića u stvaranju porodičnih dragocenosti koje se definišu u važnim i kritičnim momentima društvenog života zajednice. Posebno se ispituje mogućnost interpretacije ovih nalaza kao primera grobova u kojima su sahranjene ženske osobe sa delovima svog miraza. Analizira se konstrukcija značenja i vrednosti ovih predmeta kroz njihovu razmenu u običajima vezanim za sklapanje braka, i, naposletku, u funerarnim praksama. Budući da je rimski novac iz ovih grobova malobrojan, i da se uvek radi o bronzanim denominacijama, možemo pretpostaviti da je definisanje njihove vrednosti i značaja zasnovano na simboličkom i reprezentativnom nivou. Polazna tačka ovog rada je korpus radova koji istražuju fenomen ponovne upotrebe stvari u prošlosti, da bi se dalje u radu dublje istražila veza između srednjovekovne društvene strukture i evaluacije novčića u seoskim zajednicama centralnog Balkana.
Depth hermeneutics—as developed by LORENZER within the framework of the Frankfort School's program of critical social research—represents a methodological and systematic approach to psychoanalytic research. The new ways and means by which a neo-Nazi utilises his visit to the Auschwitz Memorial to arouse further anti-Semitism are to be investigated by means of a scene-by-scene interpretation of his filmed appearances—first as a good-mooded tourist, then as a volatile right-wing extremist, as competent expert, and as rebellious adolescent. The aim is to demonstrate how the meaning of these role plays develops within the tension between a manifest and a latent significance. The results of this process of interpretations form the basis for clarifying the question: what patterns of socialisation are used by this "yuppie-neo-Nazi" to fascinate particularly adolescents?? In conclusion, the way in which through his post-modern film-production the producer turns Auschwitz into a test-ground where the neo-Nazi can do "a merry dance on the volcano", is analysed.
Mit der von LORENZER begründeten Tiefenhermeneutik wird eine methodologisch und methodisch reflektierte Methode psychoanalytischer Forschung vorstellt, die im Rahmen der kritischen Sozialforschung der Frankfurter Schule entwickelt wurde. Die neue Art und Weise, wie ein Neonazi einen Besuch der Gedenkstätte Auschwitz dazu benutzt, um einen neuen Antisemitismus zu erzeugen, soll durch eine szenische Interpretation seiner medialen Auftritte als gut gelaunter Tourist, als zorniger Rechtsextremist, als sachlicher Experte und als trotziger Jugendlicher untersucht werden: Es wird zu zeigen sein, wie sich die Bedeutung dieser Rollenspiele in der Spannung zwischen einem manifesten und einem latenten Sinn entfaltet. Die Ergebnisse dieses Interpretationsprozesses bilden die Grundlage für die theoretische Klärung der Frage, welcher Sozialisationsmuster dieser "Yuppie-Nazi" sich bedient, um vor allem Jugendliche zu faszinieren. Schließlich soll analysiert werden, wie der Regisseur durch eine postmoderne Inszenierung Auschwitz als Testgelände zur Verfügung stellt, auf dem der Neonazi einen "fröhlichen Tanz auf dem Vulkan" aufführen kann.
In meinem Beitrag stelle ich einige Besonderheiten und Probleme des Konzepts einer "ethnografischen Polizeiforschung" dar. Empirische Referenz ist eine ethnografische Untersuchung mehrerer Hessischer Polizeidienststellen im Jahr 1995. Die "teilnehmende Beobachtung des Gewaltmonopols" ist zwar nicht neu, nach wie vor aber in mehrfacher Hinsicht spannend, weil es sich um den Blick auf ein exklusives Gewaltverhältnis handelt, das zwar durch individuelle Akteure vollzogen wird, das aber strukturell auf die Kontextabhängigkeit der Handlung verweist: Gewalt ist nicht gleich Gewalt, die Staatsgewalt ist eine andere als der "Widerstand" gegen dieselbe. Diese Spannung, so die Ausgangsthese, findet sich auch in den Texten und Handlungen wieder, die von Polizisten tagtäglich habituell gestaltet werden. Die ethnografische Untersuchung der Polizei bezieht sich hauptsächlich auf Erzählungen von Polizisten und der Beobachtung ihres Alltags. Beschrieben wird, dass, im Gegensatz zu den offiziellen Bildern der Polizei (d.h. zur Polizeikultur), die sog. Handlungsmuster der Polizisten "auf der Straße" (diese nenne ich Polizistenkultur) sich im wesentlichen an einem informell tradierten Alltagspragmatismus orientieren, der häufig gekoppelt ist mit einer expressiven Bewerkstelligung von Männlichkeit.
Das Buch enthält einerseits eine Reihe von Fallstudien zu unterschiedlichen pädagogischen Fragen. Gemeinsam ist ihnen, dass qualitative Methoden angewandt werden, die Studierenden ermöglichen, eine "forschende Haltung" zu entwickeln. Andere Beiträge beschreiben die Bedingungen für eine Integration von wissenschaftlichen Methoden im Rahmen der Ausbildung von Lehrerinnen und Lehrern. Das Buch arbeitet keine Theorie auf, sondern zeigt, wie die Analyse empirisch erhobener Daten sinnvoll in der ersten Phase der Lehrerbildung zur Selbstreflexion der Studierenden beitragen kann. Die praktische Philosophie des Freiburger Verständnisses einer Interpretationswerkstatt kann Lehrende zur Arbeit mit Fallstudien ermuntern und Studierenden einen Einblick in die Möglichkeiten von Fallstudien bieten.
Wolfgang KÖHLER's Monographie über das Verstehen einer Person als eines Individuums ist ein Versuch, den in der Alltagssprache undifferenziert gebrauchten Begriff des Fremdverstehens sowie den des Selbstverstehens, wie er in Aussagen wie "Maria versteht ihren Mann" oder "Ich verstehe mich selbst nicht mehr" vorkommt, durch eine philosophische Reflexion zu differenzieren. Durch diese Reflexion wird gezeigt, dass der Verstehensbegriff auf drei verschiedene Weisen gebraucht wird: mit dem Anspruch eines Wissens, eines Könnens und eines Fühlens. Es ergibt sich, dass das Verstehen der eigenen wie der fremden Person im Sinne eines Wissens eine Ausnahme bildet, zumal dieses Wissen in einer mehr oder weniger poetischen Beschreibung darzustellen ist. Der Normalfall des Verstehens einer Person als eines unverwechselbaren Individuums besteht dagegen in einem Können oder Fühlen – und verdient damit gar nicht, ein "Verstehen" genannt zu werden im Sinne eines Wissens, wer jemand und wer man selbst ist. Das Buch erlaubt es, kritisch zu prüfen, welche hohen Ansprüche an die Versuche zu stellen sind, andere Personen, aber auch sich selbst zu verstehen. KÖHLER bleibt dabei eng an seinem lebensweltlichen Gegenstand und klärt im besten Sinne über das Verstehen von Personen auf.
Quest and query: interpreting a biographical interview with a turkish woman laborer in Germany
(2003)
Hülya, a young woman who came to Germany from Turkey at the age of 17 in pursuit of a better life looks back at the age of 31. In her biographical query she relates her experiences to a social commentary on the hard and inhuman conditions of contract labor. At the same time she is critical of the common sense notions that suffering and social problems are the main consequences of labor migration. In our analytical query of "doing biographical analysis" we discuss how we interpreted Hülya's narrative and commentary in socio-historical context and also in relation to the discourse on migration from Turkey. We looked for terms to analyze agency and suffering within biographical accounts without giving priority to either of them. Referring to the analysis of another case and to the concept of "twofold perspectivity" we describe how both suffering and also pursuing one's potential are negotiated in biographical quests and queries.
Der Band versammelt heterogene Beiträge zur "Pädagogischen Forschung im Kontext von Ethnografie und Biografie", die ihren gemeinsamen Bezugspunkt in den Forschungswerkstätten an der Kasseler Universität haben. In der Rezension werden die 14 Artikel vor dem Hintergrund der Zielsetzung des Bandes dargestellt. Diese besteht darin, die Vielfalt von ethnografischen Zugängen zu pädagogischen Feldern entlang einer methodenreflexiven Präsentation von Forschungsergebnissen zu dokumentieren und damit einen Beitrag zur Methodendiskussion in der Erziehungswissenschaft zu leisten. Die meisten Einzelbeiträge legen ihre Forschungsergebnisse entsprechend methodenreflexiv dar, wobei sie sich jedoch sehr unterschiedlich und zum Teil auch eher vage auf Ethnografie ausrichten bzw. auf pädagogische Felder beziehen. Leider wird der Ertrag dieser Kompilation von teilweise disparaten Forschungszugängen von den Herausgebern nicht systematisiert, sodass – trotz interessanter Einzelbeiträge – das Potenzial des Bandes für die methodologische "Vergewisserungsarbeit" in der Erziehungswissenschaft nur wenig sichtbar wird. Vielmehr hinterlässt die Lektüre des Bandes insgesamt eher den Eindruck einer gewissen Beliebigkeit im Gebrauch des Begriffes "Ethnografie".
An den Rändern der Diskurse. Jenseits der Unterscheidung diskursiver und nicht-diskursiver Praktiken
(2007)
Wenn von und für Diskursanalytiker(innen) eine Preisfrage ausgesetzt werden würde, dann wäre wohl eine der ersten zu beantwortenden Fragen, was denn eine "nicht-diskursive Praktik" sei. Die Frage markiert gewissermaßen die Grenze des Diskurses, denn schon die Benennung lässt vermuten, dass "nicht-diskursive Praktiken" eben nicht mehr Diskurs sind. Dieses Problem des Nicht-Diskursiven und die verschiedenen Möglichkeiten, diesen Rand, diese Grenze zu denken, auf ihrem Grat zu gehen oder sie zu unterlaufen, möchten wir im Folgenden zunächst anhand der theoretisch-methodologischen Debatte und dann anhand einiger konkreter Interpretationen von Texten und Beobachtungen aus verschiedenen empirischen Forschungsprojekten diskutieren. Dabei orientieren wir uns an den denkbaren Grenzen des Diskurses – der Macht, der Alltagspraxis, dem Körper, dem Subjekt – und entfalten die These, dass die Unterscheidung von diskursiv und nicht-diskursiv gerade nicht geeignet ist, Klarheit in die Debatte zu bringen.
In der letzten Dekade hat sich die Diskursforschung im Anschluss an Michel FOUCAULT im deutschsprachigen Raum interdisziplinär beständig weiterentwickelt. Sie ist dabei, sich im Rahmen qualitativer Sozialforschung – wie auch an sprachwissenschaftlichen Verfahren orientiert – zu etablieren.
Auf der internationalen und interdisziplinären Tagung "Sprache – Macht – Wissen" vom 10.-12.Oktober 2007 in Augsburg wurde der aktuelle Stand von Diskurstheorie und -analyse eruiert und diskutiert. Der Tagungsessay soll einen Einblick in die derzeitige Diskussion geben. Wir zeichnen zunächst die Fragestellungen und Zielsetzungen der Tagung nach. Es folgt eine knappe Zusammenfassung der gehaltenen Vorträge. Im Laufe der Tagung kristallisierten sich verschiedene Schwerpunkte heraus, die wiederholt aufgegriffen und diskutiert wurden: das Verhältnis von Diskursanalyse und Kritik, das Verhältnis von Subjekt(ivität) und Diskurs, das Verhältnis von Macht, Diskurs und Dispositiv sowie das Verhältnis von Diskursanalyse und Visualität. Mit der Systematisierung dieser vier Punkte nehmen wir eine kritische Betrachtung der "Ergebnisse" der Tagung vor. Abschließend verweisen wir auf zwei aktuelle Netzwerkinitiativen zur interdisziplinären Diskursforschung, die während der Tagung vorgestellt wurden.
Das Buch "Qualitative Evaluation" zeigt Schritt für Schritt die Vorgehensweise und stellt damit in sehr anwendungsorientierter Form das Handwerkszeug für eine qualitative Evaluation zur Verfügung. So werden Lesende in die Lage versetzt, eine solche Evaluation auch bei geringen Vorkenntnissen durchzuführen, wobei damit das Risiko verbunden sein kann, dass bei der Interpretation der Befunde wichtige Voraussetzungen für das Gelingen einer qualitativen Studie wie Verwurzelung der Interpretation im tatsächlich aufgezeichneten Text vernachlässigt werden.
Basierend auf Erfahrungen in einem Forschungsprojekt mit iranischstämmigen Migranten geht der Beitrag der Frage nach, inwiefern sich die umfassend reglementierte und damit weitgehend fremdbestimmte Lebenssituation als Flüchtling im deutschen Asyl auf die biografische Selbstthematisierung in Forschungszusammenhängen auswirkt.
Unabhängig vom jeweiligen Forschungsgegenstand beeinflusst der Kontext der Interviewsituation und die darin zustande kommende Beziehung zwischen Forschenden und Beforschten grundsätzlich die Gestalt der biografischen Erzählung. Infolge der Machtprozeduren im "totalen Flüchtlingsraum", die mit institutionell weitreichenden Zugriffen auf die Biografien von Asylsuchenden verbunden sind, ließ sich in den untersuchten Interviews jedoch eine mehr oder weniger stark ausgeprägte Verschärfung des ohnehin vorhandenen Hierarchieverhältnisses beobachten. In Anbetracht der empirischen Beobachtungen wird für eine reflexive biografiewissenschaftliche Migrationsforschung plädiert, die die Machtverhältnisse im transnationalen Raum in ihren Auswirkungen auf den Forschungsprozess systematisch analysiert. Forschende und Beforschte sind dabei nicht lediglich in ihren kulturellen Differenzen zu betrachten, sondern darüber hinaus in ihren unterschiedlichen intersektionellen Positionierungen, die von weiteren Machtmomenten wie dem sozioökonomischen Status, der Nationalität, dem Geschlecht, der Sexualität usw. bestimmt werden.
Rezension zu "Klassiker neu übersetzen. Zum Phänomen der Neuübersetzungen deutscher und italienischer Klassiker / Ritradurre i classici. Sul fenomeno delle ritraduzioni di classici italiani e tedeschi". Hg. Barbara Kleiner, Michele Vangi und Ada Vigliani. Stuttgart: Franz Steiner, 2014 (Villa Vigoni im Gespräch; Band 8). 147 S.
Alljährlich wird von der "Arbeitsgemeinschaft Objektive Hermeneutik" eine Tagung ausgerichtet, in deren Rahmen Vorhaben und/oder Ergebnisse von Forscher/innen, die mit der Methode der objektiven Hermeneutik arbeiten, vorgestellt und diskutiert werden. Für die diesjährige Tagung wurde mit "Bildung und Unterricht" ein inhaltlicher Schwerpunkt gelegt, der in vier Blöcken diskutiert wurde: "Berufliches Handeln im Kontext von Bildungsinstitutionen", "Wirkungen des Unterrichts und deren Analyse", "Zur Ordnung des Unterrichts"; in einem vierten Block wurden Fragen der Methode aufgegriffen, z.B. inwieweit sich fremdsprachige Unterrichtstranskripte analysieren lassen. Eine der zentralen Diskussionen der Tagung betraf das Verhältnis von Erziehungs- und Sozialwissenschaften. Als strittig erwies sich die Frage, ob die gewinnbringende Anwendung der Methode der objektiven Hermeneutik in der Unterrichtsforschung an eine dem Forschungsgebiet und dessen "Eigenstruktur" verpflichtete theoretische Perspektive gebunden ist.
Der Soziologe Johannes TWARDELLA analysiert in seinem Buch "Pädagogischer Pessimismus" den vollständigen Verlauf einer Unterrichtsstunde im Fach Deutsch in der 10. Jahrgangsstufe einer Hauptschule. Aus einem "wunderschönen guten Morgen" – so beginnt das Transkript – wird eine kleine Katastrophe. Wie konnte das passieren? Die detaillierte Analyse TWARDELLAs zeigt eindrücklich, dass das Verhältnis der Lehrkraft zu den Schülerinnen und Schülern sowie zu ihrer Profession gestört und widersprüchlich ist. Auf der einen Seite ist der Unterricht geprägt von einer negativen Anthropologie des Schülers bzw. der Schülerin, dem pädagogischen Pessimismus. Auf der anderen Seite besteht aus Sicht der Lehrkraft der optimistische Glaube an die didaktische Lösung des handlungsorientierten Unterrichts. Letztlich wird erkennbar, dass sich durch eine Self-Fulfilling Prophecy diese abgründige Kombination zu einer veränderungsresistenten Ideologie verhärtet und am Ende nur noch die Aufrechterhaltung des Betriebs steht – so sinnfrei er auch geworden sein mag. Das vorliegende Buch wird in den Kontext der derzeitigen bildungspolitischen und bildungswissenschaftlichen Diskussion gesetzt.
The article focuses on the way events are connected with preceding events of the same type carrying out a participatory observation on a golden wedding celebrated in a small village in the middle of Germany. Events are formally connected by their participants. In contrast to participant networks, the chronological order of event-event networks is evident. Different models for the connection of events are discussed with reference to a classic dataset of the "Deep South" study DAVIS, GARDNER and GARDNER (1941). A stability of forms (in the sense of SIMMEL's "formal sociology" [1908]) was found with a variation of some elements. The main reason for the stability is the uncertainty that arises when people temporarily change their position from that of guest to host. They fall back on approved forms for their celebration. Professionals are the other important position. They ensure that events will take place as they did in the past. It is proposed that an analysis of the chronological order of networks between events can lead to a renaissance in the cultural analysis of forms. The analysis presented is an approach to an investigation of the development of culture.
Das Feld der interdisziplinäre Diskursforschung hat in den letzten Jahren zunehmend an Bedeutung gewonnen und sich zu einer etablierten Forschungsperspektive am Schnittpunkt von Sprache und Gesellschaft, von Wissen und Macht entwickelt. Die theoretische und methodische Vielgestaltigkeit dieser Forschungsperspektive führt allerdings insbesondere bei der Konzeption und Durchführung von Forschungsarbeiten solchen Zuschnitts immer wieder zu Unsicherheiten und Schwierigkeiten. Drei Werke, die – in unterschiedlicher Weise – auf das sich aus der Vielgestaltigkeit dieses Feldes ergebende Bedürfnis nach Systematisierung und Orientierung antworten, werden im Folgenden vorgestellt. Dabei gilt es deutlich herauszustellen, dass die vorgestellten Werke nicht als Methodenbücher oder Anleitungen zur "korrekten" Durchführung von diskursorientierten Forschungsarbeiten misszuverstehen, sondern vielmehr als Anregung und Verständigung über Fragen, Probleme und Richtungen der Diskursforschung auch über nationale und disziplinäre Grenzen hinweg zu lesen sind.
Die Frage, ob und in welcher Hinsicht ADORNO als Vorbereiter eines Paradigmas qualitativer Sozialforschung verstanden werden kann, wird diskutiert anhand zweier Briefe ADORNOs an Paul LAZARSFELD aus dem Jahre 1938, als er in dessen "Radio Research Project" an der Universität Princeton mitzuarbeiten begann. ADORNO musste sich hier erstmals mit empirischer Sozialforschung amerikanischer Prägung ins Verhältnis setzen, wobei er in Ermangelung praktischer Erfahrung auf diesem Gebiet zunächst ganz auf seine Bordmittel als Philosoph und Künstler angewiesen war. In der Korrespondenz mit LAZARSFELD artikulierten sich erstmals Überlegungen, die in ADORNOs Schriften zur Sozialforschung aus der Nachkriegszeit ihre kanonische Gestalt fanden. Die quantifizierenden Verfahren kritisierend, entwickelte er gleichsam naturwüchsig ein Modell qualitativer Forschung, das aber zugleich bestimmten, auch später nicht überwundenen Restriktionen unterlag, die ihren Grund vor allem in Vorbehalten gegenüber methodisch geregelten Vorgehen überhaupt hatten.
Der Kulturwissenschaftler Andreas RECKWITZ beschäftigt sich in seinem Buch mit dem Titel "Subjekt" dergestalt mit einer Reihe von strukturalistischen bzw. poststrukturalistischen Autor/innen, dass er ihre Werke als Beiträge zu einer Analyse des Subjekts in der Moderne interpretiert. In dem vorliegenden Aufsatz werden nun nicht nur diese Interpretationen in groben Zügen wiedergegeben, sondern es wird auch der Versuch unternommen, ihre die Empirie aufschließende "Kraft" zu "prüfen". In dem Bezug auf einen Ausschnitt aus dem Alltag der Schule, einer Unterrichtsstunde im Fach Deutsch, zeigt sich, wie diese unterschiedlichen "subjekttheoretischen Analysestrategien" zu jeweils anderen, interessanten und aufschlussreichen Interpretationen führen können. Darüber hinaus wird aber auch deutlich, dass auf die Vorstellung von Subjektivität – und damit auch von Bildung und Mündigkeit – nicht verzichtet werden kann. Ohne diese Vorstellung wäre die pädagogische Praxis zynisch – und ihr Verständnis unmöglich.
In this review, I argue that this textbook edited by BENNETT and CHECKEL is exceptionally valuable in at least four aspects. First, with regards to form, the editors provide a paragon of how an edited volume should look: well-connected articles "speak to" and build on each other. The contributors refer to and grapple with the theoretical framework of the editors who, in turn, give heed to the conclusions of the contributors. Second, the book is packed with examples from research practice. These are not only named but thoroughly discussed and evaluated for their methodological potential in all chapters. Third, the book aims at improving and popularizing process tracing, but does not shy away from systematically considering the potential weaknesses of the approach. Fourth, the book combines and bridges various approaches to (mostly) qualitative methods and still manages to provide abstract and easily accessible standards for making "good" process tracing. As such, it is a must-read for scholars working with qualitative methods. However, BENNETT and CHECKEL struggle with fulfilling their promise of bridging positivist and interpretive approaches, for while they do indeed take the latter into account, their general research framework remains largely unchanged by these considerations. On these grounds, I argue that, especially for scholars in the positivist camp, the book can function as a "how-to" guide for designing and implementing research. Although this may not apply equally to interpretive researchers, the book is still a treasure chest for them, providing countless conceptual clarifications and potential pitfalls of process tracing practice.
Das zu besprechende Buch ist der Versuch einer Integration von Kindheitsund Biographieforschung. Es bietet einen umfangreichen, fast alle Autoren in diesen Bereichen versammelnde Übersicht über die beiden Forschungsgebiete. Ein Teil dieser Beiträge wird unter der Frage betrachtet, welchen Beitrag die Biographieforschung für die neue Kindheitsforschung zu leisten vermag. Unter "neue Kindheitsforschung" wird dabei jene Kindheitsforschung verstanden, die nach der "Perspektive von Kindern" fragt. Das Ergebnis besteht in Bezug auf das Buch darin, dass hier eine Vielzahl von neuen Verbindungen zwischen beiden Forschungsbereichen eröffnet wird. Eine der wesentlichen Verbindungen wird darin gesehen, dass die Biographieforschung Hinweise zu einem anderen Verständnis qualitativer Forschung im Kontext von Kindheitsforschung zu geben vermag.
The following paper is about artists doing experimental and performative art who expect the spectators to become participants in the process of artwork production. The artwork is thus produced through a process of participation. As a researcher, I was similarly expected to participate in the artwork process. As I observed, the artists worked at having their agency in the artwork process recognized by the participating spectators. At the same time, the artists create a certain proximity to the spectators-participants through performing art, which I call "performing proximity." By involving the participants in their art-in-process, they make use of their agency to redefine the artworld and enlarge it into other social worlds. I also discuss how artists' ability to enact redefined social worlds can be compared to agency in performative social science and in biographical research.
In seinem Buch "Interview und dokumentarische Methode. Anleitungen für die Forschungspraxis" erklärt der Erziehungswissenschaftler Arnd-Michael NOHL, wie die dokumentarische Methode für die Interpretation von Interviews fruchtbar gemacht werden kann. Sein zentraler Gedanke besagt, der Prozess der Forschung solle in Stufen erfolgen: von der Stufe der "formulierenden Interpretation" über die der "reflektierenden Interpretation" bis zur Stufe der "Typenbildung". In Bezug auf die Frage, wie ein Forschungsprozess organisiert werden kann, scheint das ein sinnvolles Verfahren zu sein. Das zentrale Problem der Deutung von "Äußerungen" bzw. "Sequenzen" bleibt bei NOHL jedoch weitgehend unbehandelt.
The aim of this thesis is finding a geometric configuration that allows electron insertion into a Gabor plasma lens in order to increase the density of the confined electrons and provide ignition conditions at parameters where ignition is not possible. First, simulations using CST and bender were conducted to investigate several geometric configurations in terms of their performance of inserting electrons manually. One particular design has been chosen as a basis for an experiment. In order to prepare the experiment, further simulations using the code bender have been conducted to investigate the density distribution that is formed inside the Gabor lens when inserting electrons transversally in compliance with the chosen design. Additionally, bender was used to investigate the impact of the initial electron energy on the distribution inside the lens. Simulations with and without space charge effects have shown a significant impact of the space charge effects on the resulting density dstribution. Therefore, space charge effects have proven to be the major electron redistribution process. A given electron source was characterised in order to find the performance under the conditions inside a Gabor lens. In particular, a transversal magnetic field that will be present in the experiment has to be compensated by shielding the inner regions of the source by a μ-metal layer. Using a μ-metal shield, transversal magnetic fields are sufficiently tolerable to perform measurements in a Gabor lens. Additionally, operating close to 100 eV electron energy yields a maximum in the emitted current. Adding a Wehnelt cylinder to the electron source furthermore improves the extracted current to roughly 1 mA. A test stand consisting of a newly designed anode for the Gabor lens, as well as a terminal for the electron source, was constructed. The electron source was thoroughly characterised in the environment of the Gabor lens and the ignition properties of the new system were evaluated. In further experiments, electron beam assisted ignition by increasing the residual gas pressure was observed and the impact of the position of the electron source on the ignition properties was investigated. In addition, ignition of a sub-critical state, that is a state consisting of potential, magnetic field and pressure that did not yet perform ignition by itself, was performed by increasing the extracted current from the electron source. Finally, the electron source was used to influence a pre-ignited plasma. The density was measured, which was increased by the use of the electron source in most cases. This project is part of the EDEN collaboration (Electron DENsity boosting) of the NNP Group at IAP Frankfurt with INFN institutes in Bologna and Catania.
Osteoid osteoma is a benign bone tumor of undetermined etiology, composed of a central zone named nidus which is an atypical bone completely enclosed within a wellvascularized stroma and a peripheral sclerotic reaction zone. There are three types of radiographic features: cortical, medullary and subperiosteal. Forty-four patients with osteoid osteoma were studied retrospectively. In plain films, 35 patients presented as the cortical type, six cases were located in the medullary zone and three had subperiosteal osteoid osteoma. In all the cases, the nidus was visualized on computed tomography (CT) scan. The nidus was visible in four out of five patients who had also undergone magnetic resonance imaging (MRI). Double-density sign, seen on radionuclide bone scans was positive in all patients. MRI is more sensitive in the diagnosis of bone marrow and soft tissue abnormalities adjacent to the lesion, and in the nidus that is located closer to the medullary zone. On the other hand, CT is more specific when it comes to detecting the lesion’s nidus.
Die Entwicklungen in der Medizinischen Ausbildung der letzten Jahre konfrontieren Lehrende zunehmend mit neuen didaktischen Herausforderungen. An zahlreichen Standorten im deutschsprachigen Raum werden bereits Qualifizierungsangebote für Lehrende angeboten, jedoch fehlt bisher ein Orientierungsrahmen für medizindidaktische Kompetenzen, der ein Qualifikationsprofil für Lehrende darstellt.
Vor dem Hintergrund der Diskussion um die Kompetenzorientierung des Medizinstudiums und auf Grundlage aktueller internationaler Literatur wurde durch den GMA Ausschuss für Personal- und Organisationsentwicklung in der Lehre ein Kernkompetenzmodell für Lehrende in der Medizin entwickelt. Das Modell soll nicht nur den Lehrenden Orientierung zu ihrem Qualifikationsprofil geben, sondern auch die inhaltliche Ausrichtung hochschuldidaktischer (Aus-) Weiter- und Fortbildungen sowie die Evaluation von Fakultätsentwicklungsprozessen erleichtern und nicht zuletzt einheitliche Kriterien für die Beurteilung der Lehrqualifikation in deutschsprachigen Raum definieren.
Das Modell besteht aus sechs Kompetenzfeldern, für die jeweils Teilkompetenzen definiert und Lernziele beschrieben wurden. Anwendungsbeispiele sollen die jeweiligen Kompetenzen verdeutlichen.
Das Modell ist für die praktische Anwendung konzipiert und soll in einem nächsten Schritt durch spezifische Kompetenzen für Lehrende mit besonderen Aufgaben ergänzt werden.
Recent developments in medical education have created increasing challenges for medical teachers which is why the majority of German medical schools already offer educational and instructional skills trainings for their teaching staff. However, to date no framework for educational core competencies for medical teachers exists that might serve as guidance for the qualification of the teaching faculty. Against the background of the discussion about competency based medical education and based upon the international literature, the GMA Committee for Faculty and Organizational Development in Teaching developed a model of core teaching competencies for medical teachers. This framework is designed not only to provide guidance with regard to individual qualification profiles but also to support further advancement of the content, training formats and evaluation of faculty development initiatives and thus, to establish uniform quality criteria for such initiatives in German-speaking medical schools. The model comprises a framework of six competency fields, subdivided into competency components and learning objectives. Additional examples of their use in medical teaching scenarios illustrate and clarify each specific teaching competency. The model has been designed for routine application in medical schools and is thought to be complemented consecutively by additional competencies for teachers with special duties and responsibilities in a future step.
Objective: The glucose stimulation of insulin secretion (GSIS) by pancreatic β-cells critically depends on increased production of metabolic coupling factors, including NADPH. Nicotinamide nucleotide transhydrogenase (NNT) typically produces NADPH at the expense of NADH and ΔpH in energized mitochondria. Its spontaneous inactivation in C57BL/6J mice was previously shown to alter ATP production, Ca2+ influx, and GSIS, thereby leading to glucose intolerance. Here, we tested the role of NNT in the glucose regulation of mitochondrial NADPH and glutathione redox state and reinvestigated its role in GSIS coupling events in mouse pancreatic islets.
Methods: Islets were isolated from female C57BL/6J mice (J-islets), which lack functional NNT, and genetically close C57BL/6N mice (N-islets). Wild-type mouse NNT was expressed in J-islets by adenoviral infection. Mitochondrial and cytosolic glutathione oxidation was measured with glutaredoxin 1-fused roGFP2 probes targeted or not to the mitochondrial matrix. NADPH and NADH redox state was measured biochemically. Insulin secretion and upstream coupling events were measured under dynamic or static conditions by standard procedures.
Results: NNT is largely responsible for the acute glucose-induced rise in islet NADPH/NADP+ ratio and decrease in mitochondrial glutathione oxidation, with a small impact on cytosolic glutathione. However, contrary to current views on NNT in β-cells, these effects resulted from a glucose-dependent reduction in NADPH consumption by NNT reverse mode of operation, rather than from a stimulation of its forward mode of operation. Accordingly, the lack of NNT in J-islets decreased their sensitivity to exogenous H2O2 at non-stimulating glucose. Surprisingly, the lack of NNT did not alter the glucose-stimulation of Ca2+ influx and upstream mitochondrial events, but it markedly reduced both phases of GSIS by altering Ca2+-induced exocytosis and its metabolic amplification.
Conclusion: These results drastically modify current views on NNT operation and mitochondrial function in pancreatic β-cells.
Photodynamic treatment of oral squamous cell carcinoma cells with low curcumin concentrations
(2017)
Objective: Curcumin is known for its anti-oxidative, anti-inflammatory and anti-tumorigenic qualities at concentrations ranging from 3.7µg/ml to 55µg/ml. Therefore it is pre-destined for tumour therapy. Due to high oral doses that have to be administered and the low bioavailability of curcumin new therapy concepts have to be developed. One of these therapy concepts is the combination of low curcumin concentrations and UVA or visible light. Aim of our study was to investigate the influence of this treatment regime on oral squamous cell carcinoma cells.
Materials and Methods: A human oral squamous cell carcinoma cell line (HN) was pre-incubated with low curcumin concentrations (0.01µg/ml to 1µg/ml). Thereafter cell cultures were either left un-irradiated or were irradiated either with 1J/cm2 UVA or for 5min with visible light. Quantitative analysis of proliferation, membrane integrity, oxidative potential and DNA fragmentation were done.
Results: It could be shown that low curcumin concentrations neither influenced proliferation, nor cell morphology, nor cell integrity nor apoptosis. When combining these curcumin concentrations with UVA or visible light irradiation cell proliferation as well as development of reactive oxygen species was reduced whereas DNA fragmentation was increased. Concentration as well as light entity specific effects could be observed.
Conclusions: The present findings substantiate the potential of the combination of low curcumin concentrations and light as a new therapeutic concept to increase the efficacy of curcumin in the treatment of cancer of the oral mucosa.
The production of 77,79,85,85mKr and 77Br via the reaction Se(a, x) was investigated between Ea = 11 and 15 MeV using the activation technique. The irradiation of natural selenium targets on aluminum backings was conducted at the Physikalisch-Technische Bundesanstalt (PTB) in Braunschweig, Germany. The spectroscopic analysis of the reaction products was performed using a high-purity germanium detector located at PTB and a low energy photon spectrometer detector at the Goethe University Frankfurt, Germany. Thicktarget yields were determined. The corresponding energy-dependent production cross sections of 77,79,85,85mKr and 77Br were calculated from the thicktarget yields. Good agreement between experimental data and theoretical predictions using the TALYS-1.6 code was found.
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Editorial
(2017)
Bevacizumab for patients with recurrent gliomas presenting with a gliomatosis cerebri growth pattern
(2017)
Bevacizumab has been shown to improve progression-free survival and neurologic function, but failed to improve overall survival in newly diagnosed glioblastoma and at first recurrence. Nonetheless, bevacizumab is widely used in patients with recurrent glioma. However, its use in patients with gliomas showing a gliomatosis cerebri growth pattern is contentious. Due to the marked diffuse and infiltrative growth with less angiogenic tumor growth, it may appear questionable whether bevacizumab can have a therapeutic effect in those patients. However, the development of nodular, necrotic, and/or contrast-enhancing lesions in patients with a gliomatosis cerebri growth pattern is not uncommon and may indicate focal neo-angiogenesis. Therefore, control of growth of these lesions as well as control of edema and reduction of steroid use may be regarded as rationales for the use of bevacizumab in these patients. In this retrospective patient series, we report on 17 patients with primary brain tumors displaying a gliomatosis cerebri growth pattern (including seven glioblastomas, two anaplastic astrocytomas, one anaplastic oligodendroglioma, and seven diffuse astrocytomas). Patients have been treated with bevacizumab alone or in combination with lomustine or irinotecan. Seventeen matched patients treated with bevacizumab for gliomas with a classical growth pattern served as a control cohort. Response rate, progression-free survival, and overall survival were similar in both groups. Based on these results, anti-angiogenic therapy with bevacizumab should also be considered in patients suffering from gliomas with a mainly infiltrative phenotype.
Overrepresentation of bidirectional connections in local cortical networks has been repeatedly reported and is a focus of the ongoing discussion of nonrandom connectivity. Here we show in a brief mathematical analysis that in a network in which connection probabilities are symmetric in pairs, Pij = Pji, the occurrences of bidirectional connections and nonrandom structures are inherently linked; an overabundance of reciprocally connected pairs emerges necessarily when some pairs of neurons are more likely to be connected than others. Our numerical results imply that such overrepresentation can also be sustained when connection probabilities are only approximately symmetric.
Celiac disease (CD) is an immune-mediated enteropathy that is characterized by intraepithelial lymphocytosis, crypt hyperplasia, and villous atrophy. Prevalence is high and has been estimated to range between 0.5% and 1.5%. Capsule endoscopy (CE) has a sensitivity and specificity of approximately 90%. CD is an important differential diagnosis for diagnostic workup for anemia, malabsorption, or diarrhea, and must be recognized reliably by the investigator. Moreover, CE is the preferred method to screen for complications in CD, such as enteropathy-associated T-cell lymphoma, ulcerative jejunitis, and small bowel adenocarcinoma. This article is part of an expert video encyclopedia.
The von Willebrand factor (VWF) is a glycoprotein in the blood that plays a central role in hemostasis. Among other functions, VWF is responsible for platelet adhesion at sites of injury via its A1 domain. Its adjacent VWF domain A2 exposes a cleavage site under shear to degrade long VWF fibers in order to prevent thrombosis. Recently, it has been shown that VWF A1/A2 interactions inhibit the binding of platelets to VWF domain A1 in a force-dependent manner prior to A2 cleavage. However, whether and how this interaction also takes place in longer VWF fragments as well as the strength of this interaction in the light of typical elongation forces imposed by the shear flow of blood remained elusive. Here, we addressed these questions by using single molecule force spectroscopy (SMFS), Brownian dynamics (BD), and molecular dynamics (MD) simulations. Our SMFS measurements demonstrate that the A2 domain has the ability to bind not only to single A1 domains but also to VWF A1A2 fragments. SMFS experiments of a mutant [A2] domain, containing a disulfide bond which stabilizes the domain against unfolding, enhanced A1 binding. This observation suggests that the mutant adopts a more stable conformation for binding to A1. We found intermolecular A1/A2 interactions to be preferred over intramolecular A1/A2 interactions. Our data are also consistent with the existence of two cooperatively acting binding sites for A2 in the A1 domain. Our SMFS measurements revealed a slip-bond behavior for the A1/A2 interaction and their lifetimes were estimated for forces acting on VWF multimers at physiological shear rates using BD simulations. Complementary fitting of AFM rupture forces in the MD simulation range adequately reproduced the force response of the A1/A2 complex spanning a wide range of loading rates. In conclusion, we here characterized the auto-inhibitory mechanism of the intramolecular A1/A2 bond as a shear dependent safeguard of VWF, which prevents the interaction of VWF with platelets.