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Bill Violas mediale Neubearbeitungen der Passion Christi mögen hier als ein produktiver Umweg fungieren, der die Abkehr von einer Ikonographie der Passion ermöglicht und eine neue Sicht auf die Passion als Denkstil eröffnet. Denn durch einen solchen leidenschaftlichen Denkstil, gemäß der Bedeutung von 'Passion' als intensiver Hingabe an eine Person oder ein Objekt, zeichnet sich Sigrid Weigels wissenschaftliche Praxis aus, so etwa durch die Leidenschaft für dialektische Analyseverfahren von Bild und Schrift, verstanden als kritische Praxis. Solch ein Erkenntnisinteresse versucht unermüdlich, eine Neubestimmung kritischer Wissenschaft vorzunehmen, die sich sowohl im historischen Prozess bewährt als auch in gegenwärtigen Belangen verankert bleibt. Es folgt eine kritische Lektüre von Bildern, die jeweils in dichten Beschreibungen eingeführt werden. Drei Beispiele aus der Gegenwartskunst veranschaulichen die Konstituierung von Identitäten mit Blick auf die Diskurse von Geschlecht, Rasse und sexueller Orientierung und damit die Konstruktion einer Identität im Spannungsfeld von Subjektivität und Fremdbestimmung. Die Bilder verdeutlichen dabei die resultierenden Konflikte zwischen eigenem Erleben und vorherrschenden Strukturen.
BACKGROUND: Despite its impact on female health worldwide, no efforts have been made to depict the global architecture of ovarian cancer research and to understand the trends in the related literature. Hence, it was the objective of this study to assess the global scientific performance chronologically, geographically and in regards to economic benchmarks using bibliometric tools and density equalizing map projections.
METHODS: The NewQIS platform was employed to identify all ovarian cancer related articles published in the Web of Science since 1900. The items were analyzed regarding quantitative aspects (e.g. publication date, country of origin) and parameters describing the recognition of the work by the scientific community (e.g. citation rates).
RESULTS: 23,378 articles on ovarian cancer were analyzed. The USA had the highest activity of ovarian cancer research with a total of n = 9312 ovarian cancer-specific publications, followed by the UK (n = 1900), China (n = 1813), Germany (n = 1717) and Japan (n = 1673). Ovarian cancer-specific country h-index also showed a leading position of the USA with an h-index (HI) of 207, followed by the UK (HI = 122), Canada (HI = 99), Italy (HI = 97), Germany (HI = 84), and Japan (HI = 81). In the socio-economic analysis, the USA were ranked first with an average of 175.6 ovarian cancer-related publications per GDP per capita in 1000 US-$, followed by Italy with an index level of 46.85, the UK with 45.48, and Japan with 43.3. Overall, the USA and Western European nations, China and Japan constituted the scientific power players publishing the majority of highly cited ovarian cancer-related articles and dominated international collaborative efforts. African, Asian and South American countries played almost no visible role in the scientific community.
CONCLUSIONS: The quantity and scientific recognition of publications related to ovarian cancer are continuously increasing. The research endeavors in the field are concentrated in high-income countries with no involvement of lower-resource nations. Hence, worldwide collaborative efforts with the aim to exchange epidemiologic data, resources and knowledge have to be strengthened in the future to successfully alleviate the global burden related to ovarian cancer.
Autophagy can act either as a tumor suppressor or as a survival mechanism for established tumors. To understand how autophagy plays this dual role in cancer, in vivo models are required. By using a highly heterogeneous C. elegans germline tumor, we show that autophagy-related proteins are expressed in a specific subset of tumor cells, neurons. Inhibition of autophagy impairs neuronal differentiation and increases tumor cell number, resulting in a shorter life span of animals with tumors, while induction of autophagy extends their life span by impairing tumor proliferation. Fasting of animals with fully developed tumors leads to a doubling of their life span, which depends on modular changes in transcription including switches in transcription factor networks and mitochondrial metabolism. Hence, our results suggest that metabolic restructuring, cell-type specific regulation of autophagy and neuronal differentiation constitute central pathways preventing growth of heterogeneous tumors.
Based on a non-rigorous formalism called the “cavity method”, physicists have made intriguing predictions on phase transitions in discrete structures. One of the most remarkable ones is that in problems such as random k-SAT or random graph k-coloring, very shortly before the threshold for the existence of solutions there occurs another phase transition called condensation [Krzakala et al., PNAS 2007]. The existence of this phase transition seems to be intimately related to the difficulty of proving precise results on, e. g., the k-colorability threshold as well as to the performance of message passing algorithms. In random graph k-coloring, there is a precise conjecture as to the location of the condensation phase transition in terms of a distributional fixed point problem. In this paper we prove this conjecture, provided that k exceeds a certain constant k0.
Lactate is an essential component of carbon metabolism in mammals. Recently, lactate was shown to signal through the G protein coupled receptor 81 (GPR81) and to thus modulate inflammatory processes. This study demonstrates that lactate inhibits pro-inflammatory signaling in a GPR81-independent fashion. While lipopolysaccharide (LPS) triggered expression of IL-6 and IL-12 p40, and CD40 in bone marrow-derived macrophages, lactate was able to abrogate these responses in a dose dependent manner in Gpr81-/- cells as well as in wild type cells. Macrophage activation was impaired when glycolysis was blocked by chemical inhibitors. Remarkably, lactate was found to inhibit LPS-induced glycolysis in wild type as well as in Gpr81-/- cells. In conclusion, our study suggests that lactate can induce GPR81-independent metabolic changes that modulate macrophage pro-inflammatory activation.
Reconstructions of the vegetation of Europe during the Last Glacial Maximum (LGM) are an enigma. Pollen-based analyses have suggested that Europe was largely covered by steppe and tundra, and forests persisted only in small refugia. Climate-vegetation model simulations on the other hand have consistently suggested that broad areas of Europe would have been suitable for forest, even in the depths of the last glaciation. Here we reconcile models with data by demonstrating that the highly mobile groups of hunter-gatherers that inhabited Europe at the LGM could have substantially reduced forest cover through the ignition of wildfires. Similar to hunter-gatherers of the more recent past, Upper Paleolithic humans were masters of the use of fire, and preferred inhabiting semi-open landscapes to facilitate foraging, hunting and travel. Incorporating human agency into a dynamic vegetation-fire model and simulating forest cover shows that even small increases in wildfire frequency over natural background levels resulted in large changes in the forested area of Europe, in part because trees were already stressed by low atmospheric CO2 concentrations and the cold, dry, and highly variable climate. Our results suggest that the impact of humans on the glacial landscape of Europe may be one of the earliest large-scale anthropogenic modifications of the earth system.
Single long-chain omega-3 fatty acids (e.g. docosahexaenoic acid (DHA) or eicosapentaenoic acid (EPA)) are known for their neuroprotective properties associated with ischemic stroke. This pilot study aimed to test the effectiveness of an acute treatment with a long-chain omega-3 lipid emulsion (Omegaven 10%®, OGV) that contains fish oil (DHA 18 mg/ml; EPA 21 mg/ml) and α-tocopherol (0.2 mg/ml) in a transient middle cerebral artery occlusion (MCAO) model of ischemic stroke in mice. For this purpose, female CD-1 mice were anesthetized and subjected to 90 minutes of MCAO. To reflect a clinically relevant situation for an acute treatment, either after induction of stroke or after reperfusion, a single dose of OGV was injected intravenously into the tail vein (5 ml/kg b.w.). A neurological severity score was used to assess motor function and neurological outcome. Stroke-related parameters were determined 24 hours after MCAO. Microdialysis was used to collect samples from extracellular space of the striatum. Mitochondrial function was determined in isolated mitochondria or dissociated brain cells. Inflammation markers were measured in brain homogenate. According to control experiments, neuroprotective effects could be attributed to the long-chain omega-3 content of the emulsion. Intravenous injection of OGV reduced size and severity of stroke, restored mitochondrial function, and prevented excitotoxic glutamate release. Increases of pro-inflammatory markers (COX-2 and IL-6) were attenuated. Neurological severity scoring and neurochemical data demonstrated that acute OGV treatment shortly after induction of stroke was most efficient and able to improve short-term neurological outcome, reflecting the importance of an acute treatment to improve the outcome. Summarising, acute treatment of stroke with a single intravenous dose of OGV provided strong neuroprotective effects and was most effective when given immediately after onset of ischemia. As OGV is an approved fishoil emulsion for parenteral nutrition in humans, our results may provide first translational data for a possible early management of ischemic stroke with administration of OGV to prevent further brain damage.
Preserving a patient’s own teeth—even in a difficult situation—is nowadays preferable to surgical intervention and therefore promotes development of suitable dental repair materials. Biodentine®, a mineral trioxide aggregate substitute, has been used to replace dentine in a bioactive and biocompatible manner in both the dental crown and the root. The aim of our study was to evaluate the influence of Biodentine® on pulp fibroblasts in vitro. For this study, one to five Biodentine® discs with a diameter of 5.1mm were incubated in DMEM. To obtain Biodentine® suspensions the media were collected and replaced with fresh medium every 24h for 4 days. Primary pulp cells were isolated from freshly extracted wisdom teeth of 20–23 year old patients and incubated with the Biodentine® suspensions. Proliferation, cell morphology, cell integrity and cell viability were monitored. To evaluate the effect of Biodentine® on collagen type I synthesis, the secretion of the N-terminal domain of pro-collagen type I (P1NP) and the release of transforming growth factor-β1 (TGF-β1) were quantified. None of the Biodentine® suspensions tested influenced cell morphology, proliferation or cell integrity. The cell viability varied slightly depending on the suspension used. However, the concentrations of P1NP of all pulp fibroblast cultures treated for 24h with the moderate to high Biodentine® concentration containing suspensions of day 1 were reduced to 5% of the control. Furthermore, a significant TGF-β1 reduction was observed after treatment with these suspensions. It could be shown that Biodentine® is biocompatible. However, dissolved particles of the moderate to high concentrated Biodentine® suspensions 24h after mixing induce a significant reduction of TGF-β1 release and reduce the secretion of collagen type I of primary pulp fibroblasts.
It is long known that Kasugamycin inhibits translation of canonical transcripts containing a 5’-UTR with a Shine Dalgarno (SD) motif, but not that of leaderless transcripts. To gain a global overview of the influence of Kasugamycin on translation efficiencies, the changes of the translatome of Escherichia coli induced by a 10 minutes Kasugamycin treatment were quantified. The effect of Kasugamycin differed widely, 102 transcripts were at least twofold more sensitive to Kasugamycin than average, and 137 transcripts were at least twofold more resistant, and there was a more than 100-fold difference between the most resistant and the most sensitive transcript. The 5’-ends of 19 transcripts were determined from treated and untreated cultures, but Kasugamycin resistance did neither correlate with the presence or absence of a SD motif, nor with differences in 5’-UTR lengths or GC content. RNA Structure Logos were generated for the 102 Kasugamycin-sensitive and for the 137 resistant transcripts. For both groups a short Shine Dalgarno (SD) motif was retrieved, but no specific motifs associated with resistance or sensitivity could be found. Notably, this was also true for the region -3 to -1 upstream of the start codon and the presence of an extended SD motif, which had been proposed to result in Kasugamycin resistance. Comparison of the translatome results with the database RegulonDB showed that the transcript with the highest resistance was leaderless, but no further leaderless transcripts were among the resistant transcripts. Unexpectedly, it was found that translational coupling might be a novel feature that is associated with Kasugamycin resistance. Taken together, Kasugamycin has a profound effect on translational efficiencies of E. coli transcripts, but the mechanism of action is different than previously described.
The condensation phase transition and the number of solutions in random graph and hypergraph models
(2016)
This PhD thesis deals with two different types of questions on random graph and random hypergraph structures.
One part is about the proof of the existence and the determination of the location of the condensation phase transition. This transition will be investigated for large values of $k$ in the problem of $k$-colouring random graphs and in the problem of 2-colouring random $k$-uniform hypergraphs, where in the latter case we investigate a more general model with finite inverse temperature.
The other part deals with establishing the limiting distribution of the number of solutions in these structures in density regimes below the condensation threshold.
The three 'Materialienbände' - 'Schnitte'; 'Rom, Blicke'; and 'Erkundungen für die Präzisierung des Gefühls für einen Aufstand' - that Rolf Dieter Brinkmann produced in the early 1970s have, in the last decade, gradually come to be recognized as central statements of a radically new cultural formation. A peculiar feature of this recognition, though, is the relative puzzlement that lingers over the question as to the 'form' of these volumes. That the three objects resist generic classification is by now a truism of the Brinkmann literature; yet even the construction of a cultural field within which the volumes might be compared to other works has remained elusive. The essay that follows, based largely on a reading of 'Rom, Blicke', is an attempt to construct precisely that cultural field.
Thyroid hormone is a crucial regulator of gene expression in the developing and adult retina. Here we sought to map sites of thyroid hormone signaling at the cellular level using the transgenic FINDT3 reporter mouse model in which neurons express β-galactosidase (β-gal) under the control of a hybrid Gal4-TRα receptor when triiodothyronine (T3) and cofactors of thyroid receptor signaling are present. In the adult retina, nearly all neurons of the ganglion cell layer (GCL, ganglion cells and displaced amacrine cells) showed strong β-gal labeling. In the inner nuclear layer (INL), a minority of glycineric and GABAergic amacrine cells showed β-gal labeling, whereas the majority of amacrine cells were unlabeled. At the level of amacrine types, β-gal labeling was found in a large proportion of the glycinergic AII amacrines, but only in a small proportion of the cholinergic/GABAergic ‘starburst’ amacrines. At postnatal day 10, there also was a high density of strongly β-gal-labeled neurons in the GCL, but only few amacrine cells were labeled in the INL. There was no labeling of bipolar cells, horizontal cells and Müller glia cells at both stages. Most surprisingly, the photoreceptor somata in the outer nuclear layer also showed no β-gal label, although thyroid hormone is known to control cone opsin expression. This is the first record of thyroid hormone signaling in the inner retina of an adult mammal. We hypothesize that T3 levels in photoreceptors are below the detection threshold of the reporter system. The topographical distribution of β-gal-positive cells in the GCL follows the overall neuron distribution in that layer, with more T3-signaling cells in the ventral than the dorsal half-retina.
Combined diabetes-obesity syndromes severely impair regeneration of acute skin wounds in mouse models. This study assessed the contribution of subcutaneous adipose tissue to exacerbated wound inflammatory conditions. Genetically obese (ob/ob) mice showed an increased expression of positive transcriptional effectors of adipocyte differentiation such as Krüppel-like factor (KLF)-5 and peroxisome proliferator-activated receptor (PPAR)-γ and an associated expression of leptin and fatty acid-binding protein (FABP)-4, but also CXCL2 in isolated subcutaneous fat. This observation in obese mice is in keeping with differentially elevated levels of KLF-5, PPAR-γ, leptin, FABP-4 and CXCL2 in in vitro-differentiated 3T3-L1 adipocytes. Notably, CXCL2 expression restrictively appeared upon cytokine (IL-1β/TNF-α) stimulation only in mature, but not immature 3T3-L1 adipocytes. Of importance, the critical regulator of adipocyte maturation, PPAR-γ, was merely expressed in the final phase of in-vitro induced adipocyte differentiation from 3T3-L1 pre-adipocytes. Consistently, the PPAR-γ agonist rosiglitazone suppressed cytokine-induced CXCL2 release from mature adipocytes, but not from early 3T3-L1 adipocyte stages. The inhibitory effect of PPAR-γ activation on CXCL2 release appeared to be a general anti-inflammatory effect in mature adipocytes, as cytokine-induced cyclooxygenase (Cox)-2 was simultaneously repressed by rosiglitazone. In accordance with these findings, oral administration of rosiglitazone to wounded obese mice significantly changed subcutaneous adipocyte morphology, reduced wound CXCL2 and Cox-2 expression and improved tissue regeneration. Thus, our data suggest that PPAR-γ might provide a target to suppress inflammatory signals from mature adipocytes, which add to the prolonged wound inflammation observed in diabetes-obesity conditions.
A variety of joint action studies show that people tend to fall into synchronous behavior with others participating in the same task, and that such synchronization is beneficial, leading to greater rapport, satisfaction, and performance. It has been noted that many of these task environments require simple interactions that involve little planning of action coordination toward a shared goal. The present study utilized a complex joint construction task in which dyads were instructed to build model cars while their hand movements and heart rates were measured. Participants built these models under varying conditions, delimiting how freely they could divide labor during a build session. While hand movement synchrony was sensitive to the different tasks and outcomes, the heart rate measure did not show any effects of interpersonal synchrony. Results for hand movements show that the more participants were constrained by a particular building strategy, the greater their behavioral synchrony. Within the different conditions, the degree of synchrony was predictive of subjective satisfaction and objective product outcomes. However, in contrast to many previous findings, synchrony was negatively associated with superior products, and, depending on the constraints on the interaction, positively or negatively correlated with higher subjective satisfaction. These results show that the task context critically shapes the role of synchronization during joint action, and that in more complex tasks, not synchronization of behavior, but rather complementary types of behavior may be associated with superior task outcomes.
Background: Antiangiogenic treatment of glioblastomas with Bevacizumab lacks predictive markers. Myoinositol (MI) is an organic osmolyte, with intracellular concentration changes depending on the extracellular osmolality. Since Bevacizumab markedly reduces tumor edema and influences the tumor microenvironment, we investigated whether the MI concentration in the tumor changes during therapy.
Methods: We used 1H-magnetic resonance spectroscopy to measure the MI concentrations in the tumor and contralateral control tissue of 39 prospectively recruited patients with recurrent glioblastomas before and 8–12 weeks after starting therapy. 30 patients received Bevacizumab and 9 patients were treated with CCNU/VM26 as control. We performed a survival analysis to evaluate MI as a predictive biomarker for Bevacizumab therapy.
Results: MI concentrations increased significantly during Bevacizumab therapy in tumor (p < .001) and control tissue (p = .001), but not during CCNU/VM26 treatment. For the Bevacizumab cohort, higher MI concentrations in the control tissue at baseline (p = .021) and higher differences between control and tumor tissue (delta MI, p = .011) were associated with longer survival. A Kaplan-Meier analysis showed a median OS of 164 days for patients with a deltaMI < 1,817 mmol/l and 275 days for patients with a deltaMI > 1,817 mmol/l. No differences were observed for the relative changes or the post treatment concentrations. Additionally calculated creatine concentrations showed no differences in between subgroups or between pre and post treatment measurements.
Conclusion: Our data suggest that recurrent glioblastoma shows a strong metabolic reaction to Bevacizumab. Further, our results support the hypothesis that MI might be a marker for early tumor cell invasion. Pre-therapeutic MI concentrations are predictive of overall survival in patients with recurrent glioblastoma treated with Bevacizumab.
Ribosomes are large ribonucleoprotein complexes that are fundamental for protein synthesis. Ribosomes are ribozymes because their catalytic functions such as peptidyl transferase and peptidyl-tRNA hydrolysis depend on the rRNA. rRNA is a heterogeneous biopolymer comprising of at least 112 chemically modified residues that are believed to expand its topological potential. In the present study, we established a comprehensive modification profile of Saccharomyces cerevisiae’s 18S and 25S rRNA using a high resolution Reversed-Phase High Performance Liquid Chromatography (RP-HPLC). A combination of mung bean nuclease assay, rDNA point mutants and snoRNA deletions allowed us to systematically map all ribose and base modifications on both rRNAs to a single nucleotide resolution. We also calculated approximate molar levels for each modification using their UV (254nm) molar response factors, showing sub-stoichiometric amount of modifications at certain residues. The chemical nature, their precise location and identification of partial modification will facilitate understanding the precise role of these chemical modifications, and provide further evidence for ribosome heterogeneity in eukaryotes.
Pulmonary hypertension (PH) is characterized by the increase of the mean pulmonary arterial pressure in the lung circulation. Despite the large number of experimental and clinical studies conducted on pulmonary hypertension, there is no comprehensive work that analyzed the global research activity on PH so far. We retrieved the bibliometric data of the publications on pulmonary hypertension for two periods from the Web of science database. Here, we set the first investigation period from 1900 to 2007 (t1) due to the cited half life of articles and the relating difficulties to interpret the citation parameters. The second evaluation period (t2) covers the time interval from 2008 onwards including the year 2015. The data were analyzed and processed to density-equalizing maps using the NewQIS platform. A total number of 18,986 publications were identified in t1 that come from 85 countries. The US published the highest number of publications (n = 7,290), followed by the UK, Germany, Japan and France. In t2 19,676 items could be found worked out by 130 countries. The raking started just the same with the USA as most publishing nation with 7,127 publications on PH, followed by the UK and Germany. Japan fell back on 6th place, whereas China came into view on the 5th position. Analyzing the average citation rate as a parameter for research quality, Mexico reached the highest value in t1 and Ireland in t2. While, the country specific h-index underlined the leading position of the US research in both evaluation periods again. The average number of international collaboration items was expanding from none in 1978 to 530 items in 2015 with the USA as the country with the highest number of collaboration articles. The present study is the first large scale density-equalizing mapping and scientometric analysis of global PH research activity. Our data draw a sketch of the global research architecture in this field, indicating a need for specific research programs in countries with a lower human development index.
Differentiated neurons can be rapidly acquired, within days, by inducing stem cells to express neurogenic transcription factors. We developed a protocol to maintain long-term cultures of human neurons, called iNGNs, which are obtained by inducing Neurogenin-1 and Neurogenin-2 expression in induced pluripotent stem cells. We followed the functional development of iNGNs over months and they showed many hallmark properties for neuronal maturation, including robust electrical and synaptic activity. Using iNGNs expressing a variant of channelrhodopsin-2, called CatCh, we could control iNGN activity with blue light stimulation. In combination with optogenetic tools, iNGNs offer opportunities for studies that require precise spatial and temporal resolution. iNGNs developed spontaneous network activity, and these networks had excitatory glutamatergic synapses, which we characterized with single-cell synaptic recordings. AMPA glutamatergic receptor activity was especially dominant in postsynaptic recordings, whereas NMDA glutamatergic receptor activity was absent from postsynaptic recordings but present in extrasynaptic recordings. Our results on long-term cultures of iNGNs could help in future studies elucidating mechanisms of human synaptogenesis and neurotransmission, along with the ability to scale-up the size of the cultures.
Background: HCV GT4 accounts for up to 20% of HCV infections worldwide. Simeprevir, given for 12 weeks as part of a 24- or 48-week combination regimen with PR is approved for the treatment of chronic HCV GT4 infection. Primary study objectives were assessment of efficacy and safety of simeprevir plus PR in treatment-naïve patients with HCV GT4 treated for 12 weeks. Primary efficacy outcome was sustained virologic response 12 weeks post-treatment (SVR12). Additional objectives included investigation of potential associations of rapid virologic response and baseline factors with SVR12.
Methods: This multicentre, open-label, single-arm study (NCT01846832) evaluated efficacy and safety of simeprevir plus PR in 67 patients with HCV GT4 infection. Patients were treatment-naïve, aged 18–70 years with METAVIR F0–F2 fibrosis. Patients with early virologic response (HCV RNA <25 IU/mL [detectable/undetectable in IL28B CC patients or undetectable in IL28B CT/TT patients] at Week 2 and undetectable at Weeks 4 and 8) were eligible to stop all treatment at the end of Week 12, otherwise PR therapy was continued to Week 24.
Results: Of 67 patients treated, 34 (51%) qualified for 12-week treatment including all but one patient with IL28B CC genotype (14/15). All patients in the 12-week group had undetectable HCV RNA at end of treatment, and 97% (33/34) achieved SVR12. No new safety signals with simeprevir plus PR were identified. The proportion of patients experiencing Grade 3–4 adverse events was lower in the 12-week group than in the 24-week group.
Conclusions: Our findings on simeprevir plus PR therapy shortened to 12 weeks in patients with HCV GT4 infection with favourable baseline characteristics and displaying early on-treatment virologic response are encouraging. No new safety signals were associated with simeprevir plus PR in this study.
This study evaluated the interferon-free, oral combination of deleobuvir (non-nucleoside HCV NS5-RNA-polymerase inhibitor) and faldaprevir (HCV NS3/4A-protease inhibitor) with ribavirin in patients with HCV genotype-1b and moderate (Child-Pugh B [CPB], n = 17) or mild hepatic impairment (Child-Pugh A [CPA], n = 18). Patients received faldaprevir 120 mg and deleobuvir (600 mg [CPA], 400 mg [CPB]) twice-daily with weight-based ribavirin for 24 weeks. Baseline characteristics were similar between groups. Among CPA patients, 13/18 completed treatment; discontinuations were for adverse events (AEs, n = 1), lack of efficacy (n = 3) and withdrawal (n = 1). Among CPB patients, 8/17 completed treatment; discontinuations were for AEs (n = 6), withdrawal (n = 1) and ‘other’ (n = 2). Sustained virologic response at post-treatment Week 12 (SVR12) was achieved by 11 (61%) CPA patients (95% confidence interval: 38.6%–83.6%) and 9 (53%) CPB patients (95% confidence interval: 29.2%–76.7%), including most CPA (11/16) patients with Week 4 HCV RNA <25 IU.mL-1 (target detected or not detected) and most CPB (8/9) patients with Week 4 HCV RNA <25 IU.mL-1 (target not detected); 0/4 CPB patients with Week 4 HCV RNA <25 IU.mL-1 (target detected) achieved SVR12. The most common AEs in both groups were nausea, diarrhoea and vomiting. Serious AEs were observed in 9 (53%) CPB patients and 1 (6%) CPA patient. Plasma trough concentrations of deleobuvir and faldaprevir were not substantially different between the CPA and CPB groups. In conclusion, in this small study the safety and efficacy profiles for 24 weeks of treatment with faldaprevir+deleobuvir+ribavirin in patients with mild or moderate hepatic impairment were consistent with the safety and efficacy profile of this regimen in non-cirrhotic patients. Faldaprevir+deleobuvir+ribavirin resulted in SVR12 in 53–61% of patients: proportions achieving SVR4 but not SVR12 were higher than in non-cirrhotic patients and overall response rates were lower than rates reported with other all-oral regimens in patients with cirrhosis.
BACKGROUND: Evaluation of latest generation automated attenuation-based tube potential selection (ATPS) impact on image quality and radiation dose in contrast-enhanced chest-abdomen-pelvis computed tomography examinations for gynaecologic cancer staging.
METHODS: This IRB approved single-centre, observer-blinded retrospective study with a waiver for informed consent included a total of 100 patients with contrast-enhanced chest-abdomen-pelvis CT for gynaecologic cancer staging. All patients were examined with activated ATPS for adaption of tube voltage to body habitus. 50 patients were scanned on a third-generation dual-source CT (DSCT), and another 50 patients on a second-generation DSCT. Predefined image quality setting remained stable between both groups at 120 kV and a current of 210 Reference mAs. Subjective image quality assessment was performed by two blinded readers independently. Attenuation and image noise were measured in several anatomic structures. Signal-to-noise ratio (SNR) was calculated. For the evaluation of radiation exposure, CT dose index (CTDIvol) values were compared.
RESULTS: Diagnostic image quality was obtained in all patients. The median CTDIvol (6.1 mGy, range 3.9-22 mGy) was 40 % lower when using the algorithm compared with the previous ATCM protocol (median 10.2 mGy · cm, range 5.8-22.8 mGy). A reduction in potential to 90 kV occurred in 19 cases, a reduction to 100 kV in 23 patients and a reduction to 110 kV in 3 patients of our experimental cohort. These patients received significantly lower radiation exposure compared to the former used protocol.
CONCLUSION: Latest generation automated ATPS on third-generation DSCT provides good diagnostic image quality in chest-abdomen-pelvis CT while average radiation dose is reduced by 40 % compared to former ATPS protocol on second-generation DSCT.
Paul Klees 'Angelus Novus' setzt bei Benjamin eine Reflexion in Gang, die unter der Ziffer 9 in seiner Schrift "Über den Begriff der Geschichte" (1940) ihre letzte sprachliche Gestalt findet. Das Denkbild setzt sich zur Zeichnung abseits 'objektiver' Beschreibungen und gängiger Bildkritik ins Verhältnis. Benjamins methodologisches Plädoyer für die Verwandlung von "Dinge[n] und Werke[n] in erregende Schrift" führt zu einer Betrachtungsweise, der es gelingt, das materielle Bild in sinnlicher Präsenz zur Darstellung zu bringen, und zwar wiederum als - dialektisches - Bild, welches den Augenblick, in dem die aktuelle Lektüre mit dem Abstand der Zeit zusammentritt, stillstellt. Diese Kunst der Darstellung soll hier Anlass dafür sein, das Verhältnis von Benjamins Sprache zur Malerei als einem zweiten Medium zu beleuchten.
Im Folgenden werden einige Facetten dieses weiten Feldes [der Synästhesie] herausgegriffen, nämlich das der Farblichtmusik und der Verbindung von Ton und Bild zwischen 1920 und 1930 mittels apparativer Verschaltungen. Hierzu werden zwei technische Anordnungen gegenübergestellt, die eine Ton-Bild-Wandlung auf eine Weise vornahmen, die radikaler als die damals weit verbreiteten Lichtorgeln vorging, indem sie nicht nur metaphorisch mit der gleichschwingenden Kraft von Tönen und Bildern agierten, sondern diese zum Gegenstand medientechnischer Anordnungen machten. Die eine dieser Apparaturen wurde im Kontext der Kunst entwickelt und stammt von Raoul Hausmann, während die andere von dem Fernmeldetechniker Fritz Winckel realisiert wurde. Indem Hausmann und Winckel die Zuordnung von Tönen und Bildern nicht assoziativ realisierten wie die meisten Lichtorgeln dieser Zeit, sondern die Ton- und Bildquellen mit analoger Technik direkt verschalteten, riefen sie umso mehr den Vergleich mit der durch Menschen wahrgenommenen Synästhesie auf, weshalb zu Beginn auf diese etwas breiter eingegangen werden muss. Hier ist zu fragen, was geschieht, wenn Synästhesie zu einem künstlerischen Konzept wird und welche Rhetoriken von Kunstschaffen in den 1920er Jahren daran gebunden waren. Es soll deutlich werden, dass die vom Menschen wahrgenommene Synästhesie in ihrer körperlichen Grundlage sowie in ihrem ästhetischen Empfinden nicht mehr als eine Metapher für ihr medientechnisches Pendant sein konnte. Synästhetische Wahrnehmung und verschaltete Medien bringen jeweils ihre eigenen ästhetischen Reiche hervor. Andererseits boten die unscharfen und vielschichtigen Konzepte der Synästhesie zahlreiche Anregungen für Künstler, schufen Raum für eine Synthese der Künste und waren der Anstoß für neue künstlerische Ausdrucksformen mittels Medientechnik und damit eine frühe Form der Medienkunst.
Multimodal therapy of glioblastoma (GBM) reveals inter-individual variability in terms of treatment outcome. Here, we examined whether a miRNA signature can be defined for the a priori identification of patients with particularly poor prognosis.
FFPE sections from 36 GBM patients along with overall survival follow-up were collected retrospectively and subjected to miRNA signature identification from microarray data. A risk score based on the expression of the signature miRNAs and cox-proportional hazard coefficients was calculated for each patient followed by validation in a matched GBM subset of TCGA. Genes potentially regulated by the signature miRNAs were identified by a correlation approach followed by pathway analysis.
A prognostic 4-miRNA signature, independent of MGMT promoter methylation, age, and sex, was identified and a risk score was assigned to each patient that allowed defining two groups significantly differing in prognosis (p-value: 0.0001, median survival: 10.6 months and 15.1 months, hazard ratio = 3.8). The signature was technically validated by qRT-PCR and independently validated in an age- and sex-matched subset of standard-of-care treated patients of the TCGA GBM cohort (n=58). Pathway analysis suggested tumorigenesis-associated processes such as immune response, extracellular matrix organization, axon guidance, signalling by NGF, GPCR and Wnt. Here, we describe the identification and independent validation of a 4-miRNA signature that allows stratification of GBM patients into different prognostic groups in combination with one defined threshold and set of coefficients that could be utilized as diagnostic tool to identify GBM patients for improved and/or alternative treatment approaches.
Background: Erythema migrans represents an early cutaneous and most common manifestation of Lyme borreliosis. Recommendations regarding pharmacological agents, dose and duration of treatment are subject of intense debate. This review aims to explore differences in efficacy and safety between pharmacological treatments and control treatment.
Methods: To identify relevant studies, we will conduct a systematic literature search. We will include randomised controlled trials (RCTs) and non-RCTs. Eligible comparative studies need to (1) consider patients with a diagnosis of erythema migrans resulting from Lyme borreliosis and (2) compare different pharmacological agents against each other, against any other non-pharmacological treatment, placebo or no treatment. Two review authors will independently assess included studies for risk of bias according to the methods of the Cochrane Handbook for Systematic Reviews of Interventions and related to specific study designs. We will address patient-relevant outcomes including clinical remission of cutaneous symptoms, any treatment-related adverse events, quality of life and progressive symptoms such as neuroborreliosis or Lyme carditis and flu-like symptoms. Provided that the identified trials are comparable in terms of clinical issues, combined estimates will be provided. Estimations of treatment effects will be calculated based on a random effects model. Heterogeneity will be evaluated based on I (2) and chi-square test. In case of significant heterogeneity, a pooled estimate will not be provided, but heterogeneity will be investigated on the basis of methodological and clinical study aspects. We plan subgroup analysis to reveal potential differences in the effect estimates between patient populations and treatment specifications. We will consider risk of bias using sensitivity analyses to decide whether to rely on the pooled estimates. The quality of a body of evidence for individual outcomes will be assessed using the GRADE approach.
Discussion: Benefits and harms of pharmacological treatment in erythema migrans have not yet been adequately assessed. This systematic review will evaluate and summarise available evidence addressing benefits and harms of different pharmacological treatments. In addition, this summary of clinical evidence will inform decision-making between clinicians and patients and will play an important part in patient care.
Systematic review registration: PROSPERO: CRD42016037932.
To accommodate the growth of the software industry, programming languages are getting increasingly easy to use. The latest trend in the simplification of the software development process is the usage of visual programming environments. To make visual programming effective, the graph-like representation of the source code must be clearly arranged. This thesis details some of the difficulties in automatic layout generation and proposes an interface as well as two different implementations of automatic layout generators to integrate into the VWorkflows visual programming framework.
Polo-like kinase 1 inhibition sensitizes neuroblastoma cells for vinca alkaloid-induced apoptosis
(2015)
High polo-like kinase 1 (PLK1) expression has been linked to poor outcome in neuroblastoma (NB), indicating that it represents a relevant therapeutic target in this malignancy. Here, we identify a synergistic induction of apoptosis by the PLK1 inhibitor BI 2536 and vinca alkaloids in NB cells. Synergistic drug interaction of BI 2536 together with vincristine (VCR), vinblastine (VBL) or vinorelbine (VNR) is confirmed by calculation of combination index (CI). Also, BI 2536 and VCR act in concert to reduce long-term clonogenic survival. Importantly, BI 2536 significantly enhances the antitumor activity of VCR in an in vivo model of NB. Mechanistically, BI 2536/VCR co-treatment triggers prolonged mitotic arrest, which is necessary for BI 2536/VCR-mediated apoptosis, since pharmacological inhibition of mitotic arrest by the CDK1 inhibitor RO-3306 significantly reduces cell death. Prolonged mitotic arrest leads to phosphorylation-mediated inactivation of BCL-2 and BCL-XL as well as downregulation of MCL-1, since inhibition of mitotic arrest by RO-3306 also prevents phosphorylation of BCL-2 and BCL-XL and MCL-1 downregulation. This inactivation of antiapoptotic BCL-2 proteins promotes activation of BAX and BAK, cleavage of caspase-9 and -3 and caspase-dependent apoptosis. Engagement of the mitochondrial pathway of apoptosis is critically required for BI 2536/VCR-induced apoptosis, since ectopic expression of a non-degradable MCL-1 phospho-mutant, BCL-2 overexpression or BAK knockdown significantly reduce BI 2536/VCR-mediated apoptosis. Thus, PLK1 inhibitors may open new perspectives for chemosensitization of NB.
Chromosomal translocations of the human mixed-lineage leukemia (MLL) gene have been analyzed for more than 20 yr at the molecular level. So far, we have collected about 80 direct MLL fusions (MLL-X alleles) and about 120 reciprocal MLL fusions (X-MLL alleles). The reason for the higher amount of reciprocal MLL fusions is that the excess is caused by 3-way translocations with known direct fusion partners. This review is aiming to propose a solution for an obvious problem, namely why so many and completely different MLL fusion alleles are always leading to the same leukemia phenotypes (ALL, AML, or MLL). This review is aiming to explain the molecular consequences of MLL translocations, and secondly, the contribution of the different fusion partners. A new hypothesis will be posed that can be used for future research, aiming to find new avenues for the treatment of this particular leukemia entity.
Die "Sagen der Schwäbischen Alb" bieten einen Querschnitt der Überlieferungen und bilden die Landschaft ab mit ihren besonderen Herausforderungen an die Menschen, die in ihr leben. Neben der Hauptmasse an Prosatexten in heutigem Neuhochdeutsch finden sich in der Sammlung auch einige Sagenballaden sowie Sagentexte in Frühneuhochdeutsch sowie Sagenvarianten. Eine Einführung und ein Kommentar zu den jeweiligen Sagentexten führt in die Welt der Sagen mit ihren Motiven und Erzählsträngen ein. Nachweise zu den einzelnen Texten und ein Ortsregister beschließen das Buch. In dem Band finden sich Sagen der gesamten Schwäbischen Alb: Westalb und Heuberg, Burgen und Felsen im oberen Donautal, Rund um Baiingen, Aus Hohenzollern, Im Sagenreich der Pfullinger Urschel, Auf der rauhen Alb, An der oberen Fils, Im Land der Sibylle von der Teck, An Blau und Lone, Auf der Ostalb.
Grundlage der hier vorliegenden retrospektiven Studie stellen alle in der Zeit von März bis Oktober 2004 an den Städtischen Kliniken Frankfurt-Höchst zur Geburt aufgenommenen 102 Patientinnen mit der Diagnose Gestationsdiabetes (GDM) und ihrer gleichstarken Kontrollgruppe dar. In beiden Gruppen kamen jeweils 102 Kinder auf die Welt. Die Untersuchung erstreckte sich darauf, innerhalb der beiden Gruppen fetales Outcome, Unterschiede und Risikofaktoren, die für einen GDM prädisponieren, herauszuarbeiten. Keine Auffälligkeiten ergaben sich bei mütterlichem Alter und Herkunft der Patientinnen. Die Gestationsdiabetikerinnen hatten im Mittel ein höheres Körpergewicht sowie einen höheren BMI vor und nach der Schwangerschaft. Die Gewichtszunahme während der Schwangerschaft war dagegen in der Kontrollgruppe mit 20,3 % höher als in der GDM-Gruppe (16,3 %). Hinsichtlich der Fehlgeburtenrate, der Anzahl an vorherigen Geburten, der Schwangerschaftsdauer und der Frühgeburtlichkeit konnten wir keine Unterschiede zwischen den beiden Gruppen feststellen. Bestätigen konnten wir jedoch den Risikofaktor „familiärer Diabetes“. In der GDM-Gruppe gaben 30,6 % der Patientinnen eine positive familiäre Diabetesanamnese an gegenüber 6,9 % in der Kontrolle. Beim Entbindungsmodus fiel in der GDM-Gruppe eine erhöhte Anzahl an sekundären Sectiones mit 20,6 % gegenüber 6,9 % in der Kontrollgruppe auf. Betrachtet man die Gruppe der adipösen Gestationsdiabetikerinnen separat, so fiel ebenfalls eine erhöhte Anzahl an Schnittentbindungen auf. Den in der Literatur beschriebenen Trend zur Schnittentbindung bei GDM bzw. Adipositas können wir somit in unserer Studie bestätigen. Die primäre Sectiorate bei makrosomen Kindern der GDM-Gruppe war mit 52,9 % ebenfalls erhöht. Geburtstraumata wie Schulterdystokien und Plexusschäden fielen bei keinem der untersuchten Kinder auf. Erhöhte Verlegungsraten in die Kinderklinik und somit ein schlechteres fetales Outcome ergaben sich bei Gestationsdiabetikerinnen mit erhöhtem Alter (> 34 Jahren), osteuropäischer und asiatischer Herkunft, erhöhtem BMI (> 30 kg/m²) vor und nach Schwangerschaft sowie starker Gewichtszunahme (> 30 %) während der Schwangerschaft. Tendenziell erhöhte Verlegungsraten in der GDM-Gruppe fanden sich bei Mehrgravida und bei Frauen mit mehr als einer Fehlgeburt in der geburtshilflichen Anamnese. Die Neugeborenen der beiden Gruppen unterschieden sich nicht hinsichtlich Geschlecht, Körperlänge, Körpergewicht, Kopfumfang, pH-Wert, Base Excess und Fehlbildungsrate. Auffälligkeiten ergaben sich dagegen bei der Makrosomierate. 16,7 % der GDM-Kinder lagen über der 90. Perzentile, gegenüber 5,9 % der Kinder der Kontrollgruppe. Das Outcome unmittelbar nach Geburt war bei Neugeborenen gestationsdiabetischer Mütter öfter schlechter als bei Neugeborenen der Kontrolle. Dies wurde beim APGAR-Score deutlich. In den ersten 5 Minuten hatten 8 GDMKinder jeweils einen APGAR-Wert < 7 gegenüber nur einem Kind aus der Kontrolle. Bei 35,3 % der Neugeborenen diabetischer Mütter wurde eine Hypoglykämie ≤ 45 mg/dl innerhalb der ersten 3 Stunden nach Geburt gemessen. Hiervon stammen 41,7 % der Kinder von insulinär eingestellten Frauen. Als mütterliche Risikofaktoren, die eine Verlegung des Neugeborenen in die Kinderklinik wahrscheinlich machen, sind eine kurze Schwangerschaftsdauer, Adipositas und eine Insulintherapie bei Gestationsdiabetes aufzuführen. Insgesamt ist festzustellen, dass es Unterschiede zwischen gestationsdiabetischen und normoglykämischen Schwangeren gibt. Bestimmte Risikofaktoren stellen weiterhin eine Gefahr für das Neugeborene dar. Es gilt diese Unterschiede und Prädiktoren rechtzeitig zu erkennen und zu therapieren. Nur durch Aufklärung der Bevölkerung über den Gestationsdiabetes und Verschärfung der metabolischen Kontrolle in der Schwangerschaft, sowie frühzeitiges Erkennen prädisponierender Risikofaktoren für einen Gestationsdiabetes lässt sich für die Zukunft eine Angleichung der kindlichen Morbidität bei GDM an das Schwangerschaftsprodukt normoglykämisch Schwangerer erreichen.
I show that disruptions to personal sources of financing, aside from commercial lending supply shocks, impair the survival and growth of small businesses. Entrepreneurs holding deposit accounts at retail banking institutions that defaulted following the financial crisis reduce personal borrowing and are consequently more likely to exit their firm. Exposure to the corresponding investment losses from delisted publicly traded bank stocks strongly reduces the rate of firm survival, particularly for early-stage ventures. At the intensive margin, owners who remain in business reduce employees after personal wealth losses. My results suggest that personal finance is an important component of firm financing.
Helmholtz, Mach, Schönberg. Zwei Wissenschaftler und ein Künstler, die ein neues Konzept zur Strukturierung akustischen Materials umkreisen. Sie finden mit der musikalischen Notation und der physikalischen Abbildung eine doppelte Sichtbarkeit des Hörbaren vor. Eine Sichtbarkeit, die sich dem künstlerischen und wissenschaftlichen Gebrauch organischer und mechanischer Instrumente verdankt. Zwei Wissensordnungen, zwei Objektklassen. Einmal Musiktheorie, die das akustische Material nach Zahlverwandtschaften ordnet, dann Naturwissenschaft, die es mathematisiert. Einmal die organischen Handlungspaare Auge/Hand und Ohr/ Stimme für Sichtbares und Hörbares, und dann die damit verbundenen mechanischen Instrumente der Klangaufzeichnung und Klangerzeugung. Die Ordnungen vermischen sich nicht, aber ihre Verflechtungen führen zu einer Verschiebung der symbolischen Konfiguration, und aus den Tonempfindungen, die bisher natürlichen Klangeigenschaften zugeschrieben worden waren, lassen sich nun bearbeitbare Reihen punktueller Elementarempfindungen bilden. Pierre Boulez wird diese Bewegung begrüßen: "man kann sehr wohl sagen, daß die Ära Rameaus mit ihren 'natürlichen' Prinzipien endgültig außer Kurs gesetzt ist; darum müssen wir aber noch lange nicht aufhören, uns die anschaulichen Modelle [...] zu suchen und auszudenken." Sein anschauliches Modell ist der Gegensatz von Kerbung und Glättung. Kerbung verstanden als jene Strukturierung des Akustischen, die sich durch den Punkt charakterisieren lässt, Glättung als die Aufhebung dieser vorgegebenen Kerbung mit Hilfe neuer Techniken. Gilles Deleuze und Félix Guattari übernehmen diese Unterscheidung und führen sie in ihren 'Tausend Plateaus' als technische, künstlerische und wissenschaftliche durch. Beispielhaft setzen sie das Gewebe gegen den Filz, die aus Längs- und Querfäden gebildeten Rasterpunkte gegen die gleichmäßige Verdichtung zufällig angeordneter, unverbundener Einzelfäden. Am Ende seiner 'Lehre von den Tonempfindungen' findet auch Hermann von Helmholtz für die musikalische Strukturierung des akustischen Materials einen solchen handwerklichen Vergleich. "Ja dadurch, dass die Musik den stufenweisen Fortschritt im Rhythmus und in der Tonleiter einführt, macht sie sich eine auch nur angenäherte Naturnachahmung geradezu unmöglich, denn die meisten leidenschaftlichen Affektionen der Stimme charakterisiren sich gerade durch schleifende Uebergange der Tonhohe. Die Naturnachahmung in der Musik ist dadurch in derselben Weise unvollkommen geworden, wie die Nachahmung eines Gemäldes durch eine Straminstickerei in abgesetzten Quadraten und abgesetzten Farbtönen." Dieser stufenweise Fortschritt gegen die Natur verdankt sich dem Zusammenspiel von Stimme und Instrument, das sichtbare Stufen in das hörbare Kontinuum melodischer Bewegungen kerbt. Eine Kerbung, welche die Grundlage eines musiktheoretischen Systems bildet, das bis zu seiner Revolutionierung Anfang des 20. Jahrhunderts seine Gültigkeit hat. Eine Kerbung, die sich der Verbindung und wechselseitigen Nachahmung des organischen Instruments Stimme mit den Musikinstrumenten verdankt. Eine Kerbung, die beständig vollzogen werden muss, und zwar gleichermaßen durch die Übung der inneren Klangvorstellung (dem eigentlichen Hören der gewählten Parameter) und der äußeren Klangverschriftung (der Kontrolle durch das Sichtbare). Alle Tonzeichen innerhalb dieses gekerbten Klangraumes haben ihre Gültigkeit nur in Bezug auf das zugrunde liegende Tonsystem. Der folgende Text wird versuchen einige Motive des Umsturzes dieses Systems zu verfolgen, die zeitgleich in Naturwissenschaft und Musiktheorie zu finden sind.
We develop a model that endogenizes the manager's choice of firm risk and of inside debt investment strategy. Our model delivers two predictions. First, managers have an incentive to reduce the correlation between inside debt and company stock in bad times. Second, managers that reduce such a correlation take on more risk in bad times. Using a sample of U.S. public firms, we provide evidence consistent with the model's predictions. Our results suggest that the weaker link between inside debt and company stock in bad times does not translate into a mitigation of debt-equity conflicts.
This paper compares the dynamics of the financial integration process as described by different empirical approaches. To this end, a wide range of measures accounting for several dimensions of integration is employed. In addition, we evaluate the performance of each measure by relying on an established international finance result, i.e., increasing financial integration leads to declining international portfolio diversification benefits. Using monthly equity market data for three different country groups (i.e., developed markets, emerging markets, developed plus emerging markets) and a dynamic indicator of international portfolio diversification benefits, we find that (i) all measures give rise to a very similar long-run integration pattern; (ii) the standard correlation explains variations in diversification benefits as well or better than more sophisticated measures. These Findings are robust to a battery of robustness checks.
his paper examines whether investor mood, driven by World Health Organization (WHO) alerts and media news on globally dangerous diseases, is priced in pharmaceutical companies' stocks in the United States. We concentrate on irrational investors who buy and sell pharmaceutical companies' stocks guided by beliefs as opposed to rational expectations. We argue that disease-related news (DRNs) should not trigger rational trading. We find that DRNs have a positive and significant sentiment effect among investors (on Wall Street). The effect is stronger (weaker) for small (large) companies, who are less (more) likely to engage in the development of new vaccines in the wake of DRNs. A potential negative mood (on Main Street) – induced by disease related fear – does not alter the positive sentiment effect. Our findings give rise to profitable trading strategies leading to significantly positive performances. Overall, this unparalleled research shows that large events of devastating nature to the economy can be considered as good news to some groups of interest, such as stock market traders.
In a field study with more than 1.500 customers of an online-broker we test what happens when investors receive repeated feedback on their investment success in a monthly securities account report. The reports show investors’ last year’s returns, costs, their current level of risk and their portfolio diversification. We find that receiving a report results in investors trading less, diversifying more and having higher risk-adjusted returns. Results are robust to controlling for potential play money accounts and changes in report designs. We also find that investors who are less likely to subscribe equally benefit from the report.
It is commonly believed that the response of the price of corn ethanol (and hence of the price of corn) to shifts in biofuel policies operates in part through market expectations and shifts in storage demand, yet to date it has proved difficult to measure these expectations and to empirically evaluate this view. We utilize a recently proposed methodology to estimate the market’s expectations of the prices of ethanol, unfinished motor gasoline and crude oil at horizons from three months to one year. We quantify the extent to which price changes were anticipated by the market, the extent to which they were unanticipated, and how the risk premium in these markets has evolved. We show that the Renewable Fuel Standard (RFS) is likely to have increased ethanol price expectations by as much $1.45 in the year before and in the year after the implementation of the RFS had started. Our analysis of the term structure of expectations provides support for the view that a shift in ethanol storage demand starting in 2005 caused an increase in the price of ethanol. There is no conclusive evidence that the tightening of the RFS in 2008 shifted market expectations, but our analysis suggests that policy uncertainty about how to deal with the blend wall raised the risk premium in the ethanol futures market in mid-2013 by as much as 50 cents at longer horizons. Finally, we present evidence against a tight link from ethanol price expectations to corn price expectations and hence to storage demand for corn in 2005-06.
Duchamp hat sein Verständnis des Begriffs 'Optique de précision' nirgends präzisiert. Lediglich hat er 1953 im Interview mit dem New Yorker Galeristenehepaar Harriet und Sidney Janis bemerkt: "Es war eine Kompensation für meine arme, zur Untätigkeit verdammte Netzhaut", und damit humorvoll auf seine Ablehnung der von ihm als "retinal" gescholtenen "Peinture pure" angespielt. In einem Interview mit dem amerikanischen Ausstellungskurator William C. Seitz ergänzte er zehn Jahre später: "Maler zu sein um des Malens willen war nie das Endziel meines Lebens, verstehen Sie. Deshalb versuchte ich, anderen Formen der Betätigung nachzugehen - rein optische Dinge […] - was nichts mit Malerei zu tun hat." Ob diese "rein optischen Dinge" allerdings tatsächlich so wenig mit "Malerei" zu tun hatten, wie von Duchamp rückblickend behauptet, diese Frage soll Gegenstand des vorliegenden Beitrags sein. Meine Grundthese lautet dabei: Mit dem, was er 'Optique de précision' nannte, reihte Duchamp sich keineswegs in die Traditionslinie physiologischer, ophthalmologischer oder gestaltpsychologischer Diskurse seiner Zeit ein; vielmehr setzte er sich - im (impliziten) Wissen um die Erkenntnisse der physiologischen Optik seit Helmholtz - unter dem ironischen Rubrum 'Präzisionsoptik' mit den theoretischen Grundlagen eines der maßgeblichen Gestaltungsmittel der Malereigeschichte auseinander, der sogenannten Zentralperspektive. Diese These zu plausibilisieren, gliedert sich der vorliegende Beitrag in drei Teile: Im ersten Teil wird es um Duchamps Auffassung von 'Wahrnehmung' und sein sich daraus ergebendes Bildverständnis gehen. Im zweiten Teil wird Duchamps Auseinandersetzung mit der Linearperspektive in seinem letzten Gemälde 'Tu m'' aus dem Jahr 1918 nachzuzeichnen sein, um schlussendlich im letzten Teil eine Deutungsperspektive zumindest für die erste der beiden präzisionsoptischen Apparaturen Duchamps, 'Rotative plaques verre (Optique de précision)' aus dem Jahr 1920, vorzuschlagen.
Dies ist ein Crosspost mit freundlicher Genehmigung der Hessischen Stiftung Friedens- und Konfliktforschung. Der Beitrag findet sich ebenso auf der Seite der HSFK.
Trotz Bangen war am Ende allen zum Feiern zumute: Am 16. Dezember 2016 fasste die fünfte Überprüfungskonferenz der UN-Waffenkonvention (Convention on Certain Conventional Weapons, CCW) unter pakistanischem Vorsitz den Beschluss, im nächsten Jahr eine offizielle Expertenkommission einzusetzen, die sich mit letalen autonomen Waffensystemen (Lethal Autonomous Weapons Systems, LAWS) befassen soll. Diese Group of Governmental Experts (GGE) wird unter indischem Vorsitz „open-ended“ tagen und 2017 zu zwei je fünftägigen Treffen zusammenkommen...
Terrorism isn't new to the country; in its history, France has experienced a significant number of attacks. In 1995, the GIA-affiliated terrorist network of which Khaled Kelkal was part conducted several attacks, as did the Al Qaida-affiliated gang de Roubaix one year later; but until Mohammed Merah’s murders in 2012 in Toulouse and Montauban, terrorist attacks were treated as political violence in the context of anti-colonial struggles or connected to other kinds of violent conflicts abroad, such as the Bosnian War, rather than as religiously inspired or connected to social, societal and/or political issues within the country, or as some sort of atypical pathology. Terrorist perpetrators, their networks and milieus were met with repressive instruments – a wider angle of analysis which would have allowed to tackle the threat from a more holistic perspective had not been incorporated in a counter-terrorism policy design.
Der angebliche Hack von etwa 900.000 Telekomroutern hat in Deutschland das Thema IT-Sicherheit wieder einmal auf die Tagesordnung gesetzt. In den folgenden Tagen kristallisierte sich heraus, dass der Ausfall der Router mit Internetkriminalität in Verbindung stand. Dabei hätte es bleiben können, aber es sollte nicht lange dauern, bis das ebenfalls immer aktuelle Reizthema Terrorismus mit den Vorfällen in Verbindung gebracht wurde: Rainer Wendt, Bundesvorsitzender der Deutschen Polizeigewerkschaft, ließ im Zuge des angeblichen Hackerangriffs folgendes verlautbaren: "Cyber-Kriminalität ist Terrorismus."
Die Gleichsetzung von Hackern mit Terroristen, die Herr Wendt in seinem Interview vornimmt, ist derart absurd und gleichzeitig symptomatisch für eine unproduktive und hysterische Debatte zu IT-Sicherheit (vulgo: Cybersicherheit) und dem vagen Begriff des Cyberterrors, dass es sinnvoll ist, sie in einen kritischen Kontext zu setzen. Dieser Beitrag betrachtet daher, ausgehend vom Ausfall der Telekomrouter, die Ereignisse und diskutiert wieso die Debatte um IT-Sicherheit in Deutschland fundamental an den eigentlichen Sicherheitsproblemen in der IT und aus Sicht der Terrorbekämpfung vorbei geht.