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The phylogeny of the genus Gazella and the phylogeography and population genetics of arabian species
(2014)
Biodiversity is caused by a fundamental evolutionary process: speciation. When species can spread into new habitats and are allowed to colonize new ecological niches, speciation can become accelerated and is then called radiation. This can happen, e.g., when formerly separated land masses become connected. A prime example of such a scenario is the Arabian Peninsula that connects Africa and Asia since the Oligocene (approx. 30 Ma ago). Since then, the peninsula promoted several faunal exchanges between both continents. The mammalian genus Gazella is an excellent candidate for investigating this faunal exchange. Species are distributed on both, the African and Asian continent as well as on the Arabian Peninsula that is located in between. The aim of my thesis was to cast new light on the evolution and speciation of the genus and, furthermore, to evaluate the currently problematic taxonomy to infer suggestions for improved conservation actions for threatened gazelle species. Therefore, I investigated the taxon Gazella genetically and identified factors that promoted the speciation of this diverse genus. I assessed intraspecific genetic variability for species that inhabited the Arabian Peninsula to infer the past demography of those species and to estimate the history of species divergence and past population parameters.
In the first part of my thesis I inferred a mitochondrial phylogeny based on cytochrome b gene sequences using samples of all nine extant species of Gazella and also of closely related taxa (chapter 2). Besides the monophyly of the genus Gazella two reciprocally monophyletic clades were detected that evolved in allopatry: one predominantly African and one predominantly Asian clade. Within both clades species pairs could be inferred with species being ecologically adapted to different habitats: one species is a desert-dweller (probably the ancestral character state combination), while the other one is adapted to rather mountainous and humid habitats. These adaptations also correlate with the behavior of the species with the mountainous forms being sedentary, territorial and living in small groups and the desert forms being migratory, non-territorial and living in larger herds.
The second part of my thesis focuses on the Arabian gazelle species. In a study about G. subgutturosa I could show that the Arabian form G. marica (sand gazelle)—previously recognized as a subspecies of G. subgutturosa—is genetically distinct from the nominate form (chapter 3). Moreover, a phylogenetic tree based on cytochrome b gene sequences revealed a polyphyly of G. subgutturosa and G. marica with sand gazelles being more closely related to G. leptoceros and G. cuvieri of North Africa. Consequently, I suggested the restoration to full species level for G. marica corroborating earlier conservation practices of breeding both taxa separately in captivity.
In case of G. dorcas such a genetic differentiation could not be detected (chapter 4). Despite the large distribution range from Mali in the west to Saudi Arabia in the east only low genetic variation was detectable in mitochondrial sequence data. Statistically parsimony network analyses revealed pronounced haplotype sharing across regions. Using a coalescence approach I observed a steep population decline that started about 25,000 years ago and which is still ongoing. The decline could be correlated with human hunting activities in the Sahara. Hence, hunting of G. dorcas (already in ancient times) had a much larger impact on gazelle populations than previously thought and even led to the extinction of the Arabian form of G. dorcas.
In chapter 5 of my thesis I provided a rigorous test to genetically distinguish between the potential species G. gazella and G. arabica. Previously recognized as a single species mitochondrial sequence analyses provided first hints for the separation of both taxa. But without the investigation of nuclear loci the observed pattern could also be the result of male biased dispersal combined with female philopatry. Therefore, I amplified mitochondrial sequence markers and nuclear microsatellite loci for both taxa and found support for the earlier view of two separate species. No signs of recurrent gene flow could be detected between neighboring populations of G. arabica and G. gazella. The split of both species could be estimated one million years ago and the recommendation of breeding both taxa separately in captivity for conservation purposes is fully justified.
Several populations of G. arabica suffer from a severe decline. In chapter 6 I asked whether the population occurring on the Farasan archipelago—being at stable individual numbers for decades—may serve as potential source for future reintroduction on the Arabian mainland, although the gazelles show a reduced body size. Analyzing the genetic differentiation of Farasan gazelles, a genetic cluster could be inferred being endemic to the archipelago. However, only approx. 70% of Farasan individuals were assigned to this specific cluster, while the others showed at least intermediate or even complete assignment to the mainland cluster. This indicates ongoing introgression that is probably mediated by human translocations of gazelles from and onto the islands. Considering the uniform dwarfism of Farasan gazelles, reasons for the smaller body size might be direct consequences of resource limitations, i.e., phenotypic plasticity. If the population decline on the mainland will hold on Farasan gazelles could serve as stocks for future reintroductions.
In dieser Arbeit wurden eine Reihe neuer organischer Ladungstransfer (CT)-Verbindungen in Form von Einkristallen und Dünnschichten synthetisiert und grundlegend charakterisiert.
Für die Synthese kamen verschiedene bekannte und bislang unbekannte Donor- und Akzeptormoleküle zum Einsatz. Während einige bekannte Materialien wie TTF und TCNQ kommerziell erworben werden konnten, bestand im Rahmen der Kollaboration mit dem MPI für Polymerforschung zudem Zugang zu mehreren neuen Molekülen wie TMP und HATCN, die besonders mit Blick auf die Möglichkeit zur Dünnschichtpräparation ausgewählt wurden. Auf dieser Grundlage konnten zum einen mittels verschiedener Varianten der Lösungszüchtung erfolgreich neue CT-Komplexe als Einkristalle gezüchtet werden. Dabei kamen mehrere unterschiedliche Lösungsmittel zur Anwendung, die z.T. auch die gezielte Synthese bestimmter Kristallphasen erlaubten. Zum zweiten gelang die Präparation eines Teils dieser Systeme als Dünnschicht über die Methode der Molekularstrahldeposition mit verschiedenen Isolatoren wie SiO2 als Substratmaterial. Hierbei wurde zum Teil zuvor gezüchtetes Material eingesetzt, zum Teil entstand die neue Verbindung erst über diesen Prozess.
Die Proben der neuen Verbindungen wurden zunächst mittels verschiedener Methoden morphologisch und kristallographisch untersucht. Die Kristallzüchtung lieferte in vielen Fällen eine gute Kristallqualität, die sowohl für die Strukturbestimmung als auch die späteren elektrischen Messungen ausreichend war. Die Kristallstruktur konnte für mehrere neue Systeme ermittelt werden und ergab in allen Fällen eine Anordnung mit gemischten Donor-Akzeptor-Stapeln. Für die präparierten Dünnschichten konnte bei einem Großteil der Verbindungen gemäß der Untersuchungen mittels Röntgendiffraktion die gleiche(n) kristalline(n) Struktur(en) wie in den Einkristallen festgestellt werden. Es ließen sich zwei wesentliche Beobachtungen machen: a) Die Morphologie der Schichten besitzt eine ausgeprägte Tendenz zu rauem Inselwachstum; b) In praktisch allen Fällen bilden sich innerhalb der Schicht mindestens zwei stabile CT-Phasen parallel. Beide Verhaltensweisen traten nahezu unabhängig von Substrat, dessen Temperatur, Ausgangszustand (Material vorreagiert oder nicht) und Depositionstemperatur auf.
Die elektronischen Transportmessungen bestanden primär aus temperaturabhängigen Messungen
der elektrischen Leitfähigkeit, während Feldeffektmessungen mit organischen Transistorstrukturen
lediglich den Charakter einer Grundsteinlegung für tiefergehende Untersuchungen mit optimierten Schichten hatten. Die Kryostat-Messungen bis hinunter zu rund 1,5 Kelvin zeigten bei keiner der Verbindungen ein klares Anzeichen für einen Phasenübergang. Die absoluten Werte der Leitfähigkeit bei Raumtemperatur passten qualitativ zu der typischen Erwartung an ein gemischt gestapeltes CT-System, nämlich ein halbleitendes oder isolierendes Verhalten, was durch das arrhenius-artige Temperaturverhalten auch bestätigt wurde.
Dielektrische Messungen mit Kondensatorstrukturen wurden für die neuen Systeme TMP-TCNQ
und ET-DTF in der Dünnschichtform vorgenommen. Im Vordergrund stand dabei die Suche nach neuen Verbindungen, die einen neutral-ionischen Phasenübergang zeigen, der sich im Idealfall durch eine starke, peakförmige Anomalie in der Temperaturabhängigkeit der Dielektrizitätskonstanten bemerkbar machen sollte. Während sich in TMP-TCNQ keinerlei Hinweise auf einen Übergang zeigten, lieferte ET-DTF einen Verlauf, der einen strukturellen
Übergang andeutet, dessen Identität aber noch ungeklärt ist.
Zur Ergänzung wurden mit Hilfe mehrerer Kooperationspartner weitere Untersuchungen zwecks
Charakterisierung der neuen CT-Systeme vorgenommen. Die Bestimmung des Ladungstransfergrades δ mittels IR-Absorption lieferte im Wesentlichen eine Bestätigung der Beobachtung, dass die inspizierten Verbindungen gemischt gestapelte Systeme halbleitender oder
isolierender Natur sind, da δ nur geringe Werte von max. ca. 0,2 zeigte, die für solche Systeme
typisch sind. In ähnlicher Weise bestätigten Bandstruktur-Rechnungen dieses Verhalten, da die Bänder allgemein nur eine eher geringe elektronische Bandbreite zeigten. Zudem ergab sich für die trikline Phase von ET-DTF und das System TMP-F4TCNQ eine deutliche Anisotropie hinsichtlich der Dispersion, da diese erheblich verstärkt entlang der zur Stapelachse des Systems korrespondierenden Richtung des k-Raumes auftritt, also (im Einklang mit den Leitfähigkeitsdaten) 1D-Charakter besitzt. Ein weiterer Beitrag zur Suche nach neuen NI-Verbindungen entstand durch Messung der charakteristischen CT-Absorption einiger Systeme im optischen bzw. IR-Spektrum. In Kombination mit den Werten für Ionisierungsenergie und Elektronenaffinität konnte eine Einordnung in das von Torrance et al. entwickelte, sog. V-Diagramm vorgenommen werden, mit dessen Hilfe sich aussichtsreiche Molekülkombinationen für ein neues NI-System eruieren ließen.
Fünfzehnhundertsiebenundachtzig : Literatur, Geschichte und die Historia von D. Johann Fausten
(2014)
Ausgehend von der Beobachtung, dass die 1587 in Frankfurt am Main erschienene »Historia von D. Johann Fausten« überaus erfolgreich war, wird die These formuliert, dass dieser Erfolg auf der dichten Vernetzung mit zeitgenössischen Techniken, Praktiken und Diskursen beruht. Um Teile dieses Netzwerks zu rekonstruieren, beschränkt sich der Beobachtungszeitraum auf die 1580er und frühen 1590er Jahre. Innerhalb dieses Zeitraums wird etwa untersucht, wie man am »Faustbuch« weiterschreibt, welche Rolle die Hexen- und Zaubererverfolgung spielt, wie es um den Einfluss der Transformationen des Postsystems und des Kalenders bestellt ist und was man von außergewöhnlichen Zeichen zu halten hat, die auf dem Körperäußeren erscheinen. Methodisch ist die Arbeit dem New Historicism verpflichtet, dessen vermittelnde Stellung zwischen ›Literatur‹ und ›Geschichte‹ auch dazu genutzt wird, gängige disziplinäre Grenzziehungen in Frage zu stellen.
Die Dissertation gliedert sich in zwei Teile – einen methodisch-wissenschaftstheoretischen bzw. biografisch-dogmenhistorischen und einen wirtschaftsethischen Bereich. Beide Abschnitte sind wechselseitig miteinander verzahnt. Im ersten Teil geht es vorwiegend um biografische und theoriegeschichtliche Fragestellungen. Der erste Aufsatz – On the Affiliation of Phenomenology and Ordoliberalism – beschäftigt sich mit dem wechselseitigen Einfluss von Husserl, Rudolf und Walter Eucken. Der erste Aufsatz – On the Affiliation of Phenomenology and Ordoliberalism – beschäftigt sich mit dem wechselseitigen Einfluss von Husserl, Rudolf und Walter Eucken. Dabei wird eine Drei-Ebenen-Unterscheidung vorgenommen: Einflüsse lassen sich demnach nicht nur auf der biografischen, sondern gleichfalls auf der wissenschaftstheoretischen und sozialphilosophischen Ebene ausmachen. Dennoch ist Vorsicht geboten, denn der Einfluss der Phänomenologie auf das Werk Walter Euckens sollte nicht überbetont werden, in dem Sinne, dass man Eucken als angewandten Phänomenologen und die Husserlsche Phänomenologie als Metatheorie des Ordoliberalismus darstellt. Vielmehr ist von einem eklektischen Denkmuster in den Schriften Euckens auszugehen, das maßgeblich vom Werk seines Vaters beeinflusst wurde (d.i., Walter Eucken als Rudolf Euckenianer) – und dies sowohl im Bereich der Wissenschaftstheorie und Methodik als auch im Kontext des sozialphilosophischen Topos der Gesellschaftskrisis. Der zweite Aufsatz – An Ordoliberal Interpretation of Adam Smith – geht den Parallelen im Denken Adam Smiths und Euckens nach. Auffallend ist, dass Eucken Smith meist im Zusammenhang mit seiner Kritik am laissez faire- respektive Paläoliberalismus zitiert. Dabei ist seine Bezugnahme auf Smith von verzerrten Stereotypen geprägt – und dies obwohl es einige bemerkenswerte Parallelen nicht nur zwischen Eucken und Smith, sondern auch zwischen Smith und Kant gibt. Der Übergang vom sogenannten Paläo- bzw. klassischen Liberalismus hin zum Ordoliberalismus ist somit gradueller, nicht jedoch revolutionärer Art. Im Mittelpunkt des zweiten Hauptteils stehen wirtschaftsethische Themenstellungen, die eine große Affinität zum Forschungsprogramm des Exzellenzclusters 'Die Herausbildung normativer Ordnungen' aufweisen. Dabei geht es wesentlich um die Herausarbeitung des ethischen Gehalts und der stark normativen Komponenten des Ordoliberalismus. Die ersten Essays im zweiten Teilbereich der Dissertation beziehen sich primär auf Eucken und die Freiburger Schule. Die letzten beiden Aufsätze jedoch sind bestrebt, über Eucken hinauszugehen und den Ordoliberalismus i.e.S. um den Soziologischen Neoliberalismus bzw. den Wirtschafts- und Sozialhumanismus Rüstows und Röpkes zu erweitern. Die Aufsätze 'Über die normativen Implikationen des Ordoliberalismus für die moderne Wirtschaftsethik' und 'On the Economic Ethics of Walter Eucken' geben dem Leser einen Überblick über die Wirtschaftsethik der Freiburger Schule im Allgemeinen und Walter Euckens im Besonderen. Dabei wird insbesondere das ordoliberale Staats- sowie das (in der kantischen Tradition stehende) Freiheitsverständnis herausgearbeitet und der Versuch unternommen, Eucken für die moderne Wirtschaftsethik anschlussfähig zu machen. Als Ergebnis wird Euckens Ordoliberalismus, dem es um ein ausgewogenes Verhältnis von Eigeninteresse und Gemeinwohl und die Realisierung des Ideals einer funktionsfähigen und menschenwürdigen Gesellschaftsordnung geht, im Spannungsfeld von Homannscher Moralökonomik und Ulrichs Integrativer Wirtschaftsethik porträtiert. Ergänzt wird dieser Einblick in die ordoliberale Wirtschaftsethik durch das Kapitel 'Von Hayek and Ordoliberalism on Justice', das die Gerechtigkeitskonzeptionen Euckens, Rüstows und Röpkes mit derjenigen von von Hayek kontrastiert. Derart werden u.a. die Unterschiede zwischen Ordoliberalismus und Evolutorischem Liberalismus deutlich. Das Kapitel 'Individual versus Regulatory Ethics: An Economic-Ethical and Theoretical-Historical Analysis of German Neoliberalism' untersucht im Anschluss an Foucaults ‚Ambiguitätsthese‘ das Verhältnis von Individual- und Ordnungsethik und kommt zu dem Ergebnis, dass es die Besonderheit des Ordoliberalismus ist, eine weitreichende, integrative Einheit beider Ebenen vorzunehmen. Aufbauend auf der Unterscheidung von Individual- und Ordnungsethik werden im vorletzten Kapitel – 'Ordoliberalism and the Evolution of Norms' – schließlich die divergierenden Normengenese-Prozesse im Ordoliberalismus einer Analyse unterzogen. Das verblüffende Resultat lautet, dass im Ordoliberalismus zwei unterschiedliche Arten der Entstehung von Normen nebeneinander existieren – eine kulturell-evolutionäre und eine elitär-expertokratische. Mithilfe dieser Unterscheidung ist eine weitere Differenzierung zwischen von Hayek und dem Ordoliberalismus möglich. Das letzte Kapitel – Beyond Ordoliberalism? – fasst zentrale Kritikpunkte am Ordoliberalismus noch einmal zusammen und geht der Frage nach, inwiefern es realistisch erscheint, auf eine Renaissance eines aktualisierten Ordoliberalismus zu hoffen?
Organische Verbindungen sind für den Einsatz in der Elektronik und Optoelektronik von großem Interesse, da ihre Eigenschaften durch Derivatisierung gezielt verändert werden können. Eine vielversprechende Strategie ist hierbei der Einbau von Hauptgruppenelementen (z.B. Boratomen) in die Kohlenstoffgerüste.
Bislang fehlte jedoch ein detaillierter Vergleich der optischen und elektronischen Eigenschaften einer umfassend charakterisierten Kohlenwasserstoffspezies mit denen einer isostrukturellen Bor-dotierten Verbindung. In unserer Gruppe wird 9,10-Dihydro-9,10-diboraanthracen (DBA) als Bor-haltiger Baustein zum Aufbau lumineszierender Polymere genutzt. Das isostrukturelle Kohlenstoffanalogon zum DBA-Fragment stellt hierbei das Anthracen-Gerüst dar. Vor diesem Hintergrund wurden in dieser Arbeit die elektronischen, strukturellen und optischen Eigenschaften des DBA-Derivats 30 und des Anthracen-Derivats 31 umfassend untersucht und miteinander verglichen, wobei signifikante Unterschiede zwischen der Kohlenstoffverbindung 31 und dem Bor-dotierten Analogon 30 beobachtet wurden.
In this thesis hard probes are studied in the partonic transport model BAMPS (Boltzmann Approach to MultiParton Scatterings). Employing Monte Carlo techniques, this model describes the 3+1 dimensional evolution of the quark gluon plasma phase in ultra-relativistic heavy-ion collisions by propagating all particles in space and time and carrying out their collisions according to the Boltzmann equation. Since hard probes are produced in hard processes with a large momentum transfer, the value of the running coupling is small and their interactions should be describable within perturbative QCD (pQCD). This work focuses on open heavy flavor, but also addresses the suppression of light parton jets, in particular to highlight differences due to the mass. For light partons, radiative processes are the dominant contribution to their energy loss. For heavy quarks, we show that also binary interactions with a running coupling and an improved Debye screening matched to hard-thermal-loop calculations play an important role. Furthermore, the impact of the mass in radiative interactions, prominently named the dead cone effect, and the interplay with the Landau-Pomeranchuk-Migdal (LPM) effect are studied in great detail. Since the transport model BAMPS has access to all medium properties and the space time information of heavy quarks, it is the ideal tool to study the dissociation and regeneration of J/psi mesons, which is also investigated in this thesis.
The objective of the present doctoral thesis was to investigate the occurrence, distribution, and behaviour of six hydrophilic ethers: ethyl tert-butyl ether (ETBE), 1,4-dioxane, ethylene glycol dimethyl ether (monoglyme), diethylene glycol dimethyl ether (diglyme), triethylene glycol dimethyl ether (triglyme), and tetraethylene glycol dimethyl ether (tetraglyme) in surface-, waste-, ground- and drinking water samples. Solid phase extraction and gas chromatography/mass spectrometry were used to analyze the six hydrophilic ethers. Altogether more than 150 surface water samples, almost 100 of each groundwater and wastewater samples, and 10 raw and drinking water samples were analyzed during the research project.
Initially, the method was validated in order to simultaneously determine the analytes of interest in various aquatic environments. A solid phase extraction method that uses coconut charcoal (Resprep® activated coconut charcoal, Restek) or carbon molecular sieve material (SupelcleanTM Envi-CarbTM Plus, Supelco) for analyte absorption were found suitable for determination of ETBE, 1,4-dioxane, and glymes in surface-, drinking-, ground- and wastewater samples. Precision and accuracy of both methods was demonstrated for all analytes of interest. The recovery of target compounds from the ultrapure water spiked at 1.0 µg L−1 was between 86.8 % and 98.2 %, with relative standard deviation below 6 %. The samples spiked at 10.0 µg L−1 gave slightly higher recovery of 90.6 % to 112.2 % with a relative standard deviation below 3.4 % for each analyte. Detection and quantification limits in ultrapure water and surface waters were furthermore established. The limit of quantitation (LOQ) in ultrapure water ranged between 0.024 µg L−1 to 0.057 µg L−1 using Restek cartridges, and 0.030 µg L−1 to 0.069 µg L−1 using Supelco cartridges. In the surface water samples the calculated LOQ was 0.032 µg L−1 to 0.067µg L−1 using coconut charcoal material and 0.032 µg L−1 to 0.052 µg L−1 using the carbon molecular sieve material. Moreover, stability of the unpreserved and preserved water samples as well as the extracts was determined. Preservation of samples with sodium bisulfate (at 1 gram per Liter) resulted in much better stability of the ethers in water samples. Subsequently, 27 samples obtained from seven surface water bodies in Germany (Rivers Rhine, Lippe, Main, Oder, Rur, Schwarzbach and Wesel-Datteln Canal) were analyzed for the six hydrophilic ethers. ETBE was present in only two surface waters (Rhine River and Wesel-Datteln Canal) with concentrations close to the LOQ (up to 0.065 µg L−1). 1,4-Dioxane was detected in all of the water samples at concentrations reaching 1.93 µg L–1. Monoglyme was identified only in the Main and Rhine Rivers at the maximum concentration of 0.114 µg L–1 and 0.427 µg L–1, respectively. Very high concentrations (up to 1.73 µg L−1) of diglyme, triglyme, and tetraglyme were detected in the samples from the Oder River. These glymes were also detected in the Rhine River; however the concentrations did not exceed 0.200 µg L–1. Furthermore, tetraglyme was detected in the Main River at an average concentration of 0.409 µg L–1 (n = 6) and in one sample from the Rur River at 0.192 µg L–1.
Four sampling campaigns were conducted at the Oderbruch polder between October 2009 and May 2012, in order to study the behavior of the hydrophilic ethers and organophosphates during riverbank filtration and in the anoxic aquifer. Moreover the suitability of these target compounds was assessed for their use as groundwater organic tracers. At the time of each sampling campaign, concentrations of triglyme and tetraglyme in the Oder River were between 20–185 ng L–1 (n = 4) and 273¬–1576 ng L–1 (n = 4). Monoglyme, diglyme, and 1,4-dioxane were analyzed only during the two last sampling campaigns. At that time, the concentration of diglyme in Oder River was 65¬–94 ng L-1 (n = 2) and 1,4-dioxane 1610¬–3290 ng L–1 (n = 2). In the drainage ditch, following bank filtration, concentrations of ethers ranged between 1090 ng L–1 and 1467 ng L–1 for 1,4-dioxane, 23¬ng L–1 and 41 ng L–1 for diglyme, 37 ng L–1 and 149 ng L–1 for triglyme, and 496 ng L–1 and 1403 ng L–1 for tetraglyme. In the anoxic aquifer, 1,4-dioxane showed the greatest persistence during the groundwater passage. At the distance of 1150 m from the river and an estimated groundwater age of 41.9 years, a concentration above 200 ng L−1 was detected. A positive correlation was found for the inorganic tracer chloride (Cl−) with 1,4-dioxane and tetraglyme. Similarities in the behavior of Cl− and the organic compound suggested that 1,4-dioxane and tetraglyme are controlled by the same hydraulic process and therefore can be used as additional tracers to study the dynamics of the groundwater system. These results show that high concentrations of ethers are present in the surface water and are not removed during bank filtration processes. Moreover, the hydrophilic ethers persist in the anoxic aquifer and little or no degradation is expected, supporting, their possible application as organic tracers.
A separate sampling project was conducted for 1,4-dioxane that focused primarily on its fate in the aquatic environment. This study provided missing information on the extent of water pollution with 1,4-dioxane is Germany. Numerous waste-, surface-, ground- and drinking water samples were collected in order to determine the persistence of 1,4-dioxane in the aquatic environment. The occurrence of 1,4-dioxane was determined in wastewater samples from four municipal sewage treatment plants (STP). The influent and effluent samples were collected during weekly campaigns. The average influent concentrations in all four plants ranged from 262 ± 32 ng L−1 to 834 ± 480 ng L−1, whereas the average effluents concentrations were between 267 ± 35 ng L−1 and 62,260 ± 36,000 ng L−1. The source of increased 1,4-dioxane concentrations in one of the effluents was identified to originate from impurities in the methanol used in the postanoxic denitrification process. Spatial and temporal distribution of 1,4-dioxane in the river Main, Rhine, and Oder was also examined. Concentrations reaching 2,200 ng L−1 in the Oder River, and 860 ng L−1 in both Main and Rhine River were detected. The average load during the sampling was estimated to be 6.5 kg d−1 in the Main, 34.1 kg d−1 in the Oder, and 134.5 kg d−1 in the Rhine River. In all of the sampled rivers, concentrations of 1,4-dioxane increased with distance from the mouth of the river and were found to negatively correlate with the discharge of the river. In order to determine if 1,4-dioxane can reach drinking water supplies, samples from a Rhine River bank filtration site and potable water from two drinking water production facilities were analyzed for the presence of 1,4-dioxane in the raw water and finished potable water. The raw water (following bank filtration) contained 650 ng L−1 to 670 ng L−1 of 1,4-dioxane, whereas the concentration in the finished drinking water fell only to 600 ng L−1 and 490 ng L−1, respectively.
During the final project, investigations of the source identification of high glyme concentrations in the Oder River were carried out. During four sampling campaigns between January, 2012 and April, 2013, 50 samples from the Oder River in the Oderbruch region and Poland were collected. During the first two samplings in the Oderbruch polder, glymes were detected at concentration reaching 0.07 µg L-1 (diglyme), 0.54 µg L−1 (triglyme) and 1.73 µg L−1 (tetraglyme) in the Oder River. The extensive sampling campaign of the Oder River (about 500 km) in Poland helped to identify the area of possible glyme entry into the river. During that sampling the maximum concentrations of triglyme and tetraglyme were 0.46 µg L−1 and 2.21 µg L−1, respectively. A closer investigation of the identified area of pollution, helped to determine the possible sources of glymes in the Oder River. Hence, the final sampling focused on the Kaczawa River, a left tributary of the Oder River and Czarna Woda, a left tributary of Kaczawa River. Moreover, samples from an industrial wastewater treatment plant were collected. Samples from Czarna Woda stream and Kaczawa River contained even higher concentrations of diglyme, triglyme, and tetraglyme, reaching 5.18 µg L−1, 12.87 µg L−1 and 80.81 µg L−1, respectively. Finally, three water samples from a wastewater treatment plant receiving influents from a copper smelter were analyzed. Diglyme, triglyme, and tetraglyme were present at an average concentration of 569 µg L−1, 4300 µg L−1, and 65900 µg L−1, respectively in the wastewater. Further research helped to identify the source of the glymes in the wastewater. The gas desulfurization process – Solinox implemented in the nearby copper smelter uses glymes as physical absorption medium for sulfur dioxide.
Results of this doctoral research provide important information about the occurrence, distribution, and behavior of hydrophilic ethers: 1,4-dioxane, monoglyme, diglyme, triglyme, and tetraglyme in the aquatic environment. A method capable of analyzing a wide range of ether compounds: from a volatile ETBE to a high molecular weight tetraglyme was validated. 1,4-Dioxane and tetraglyme were found to be applicable as organic tracers, since they are not easily attenuated during bank filtration and the anoxic groundwater passage. The extent of water pollution with 1,4-dioxane was shown in waste-, surface-, ground-, and drinking waters. One source of extremely high concentrations of 1,4-dioxane in a municipal sewage treatment plant applying postanoxic denitrification was identified, however more information is needed on the entry of 1,4-dioxane into surface waters. Moreover, 1,4-dioxane was present in drinking water samples from river bank filtration, which demonstrates its persistence in the aquatic environment and its low degradation potential during bank filtration and subsequent water treatment. Furthermore, this was the first study that focused primarily on identifying sources of glymes in surface waters. Glymes find a widespread use in industrial sectors, hence establishing their origin in the surface water is difficult (as with 1,4-dioxane). In this work, a gas desulphurization process was identified to be a dominating source of glyme pollution in the Oder River.
In this thesis, different physical and electrical aspects of silicon microstrip sensors and low-mass multi-line readout cables have been investigated. These silicon microstrip sensors and readout cables will be used in the Silicon Tracking System (STS) of the fixed-target heavy-ion Compressed Baryonic Matter (CBM) experiment which is under development at the upcoming Facility for Antiproton and ion Research (FAIR) in Darmstadt, Germany. The highly segmented low-mass tracking system is a central CBM detector system to resolve the high tracking densities of charged particles originating from beam-target interactions. Considering the low material budget requirement the double-sided silicon microstrip detectors have been used in several planar tracking stations. The readout electronics is planned to be installed at the periphery of the tracking stations along with the cooling system. Low-mass multi-line readout cables shall bridge the distance between the microstrip sensors and the readout electronics. The CBM running operational scenario suggests that some parts of the tracking stations are expected to be exposed to a total integrated particle fluence of the order of 1e14 neq/cm2. After 1e14 neq/cm2 the damaged modules in the tracking stations will be replaced. Thus radiation hard sensor is an important requirement for the sensors. Moreover, to cope with the high reaction rates, free-streaming (triggerless) readout electronics with online event reconstruction must be used which require high signal-to-noise (SNR) ratio (i.e., high signal efficiency, low noise contributions). Therefore, reduction in noise is a major goal of the sensor and cable development.
For better insight into the different aspects of the silicon microstrip sensors and multi-line readout cables, the simulation study has been performed using SYNOPSYS TCAD tools. 3D models of the silicon microstrip sensors and the readout cables were implemented which is motivated by the stereoscopic construction of the silicon microstrip sensors. For the evaluation of the performance of the silicon microstrip sensors in the harsh radiation environment during experimental operation, a radiation damage model has been included. It reproduces the behavior of the irradiated CBM prototype sensors. In addition to the static characteristics, the interstrip parameters relevant to understand strip isolation and cross-talk issues have been extracted. The transient simulations have been performed to estimate the charge collection performance of the irradiated sensors. The signal transmission in the readout cables has been evaluated with the finite element simulation tool RAPHAEL. Based on the performance of the front-end electronics used for early prototyping in the CBM experiment, capacitive and resistive noise contributions from the silicon microstrip sensors and multi-line readout cables have been extracted.
To validate the aforementioned simulations, numerous tests have been performed both on the multi-line readout cables and silicon microstrip sensors. Characterizations of multi-line readout cables and silicon microstrip sensors in laboratory conditions have been found to agree reasonably well with the simulations. Considering the expected radiation environment the behavior of silicon microstrip sensors have been studied especially in terms of noise and charge collection efficiency. Source-scan of the silicon microstrip sensors using 241Am is presented. In order to test a first system of detector stations including the data acquisition system, slow control and online monitoring software and for track reconstruction, in-beam tests have been performed at the COSY synchrotron of the Research Center Juelich, Germany. Further, different design parameters have been suggested to improve the sensor and readout cable design on the basis of the simulations and the measurements. Many of these parameters have been implemented in the new prototypes under production. These new prototypes will be tested in-beam by the end of 2013.
Imitation paradigms are used in various domains of developmental psychological research to assess various cognitive processes such as memory (deferred imitation), action perception and action understanding (mainly direct imitation), as well as categorization and learning about objects (deferred imitation with a change in target objects and generalized imitation). Although these processes are most likely not independent from each other, their relations are still largely unclear. On the one hand, deferred imitation studies have shown that infants' performance improves with increasing age, resulting in the reproduction of more target actions after longer delay intervals. On the other hand, imitation studies focusing on infants' action understanding have found that infants do not necessarily imitate the model's exact actions – actions or action steps that seem to be irrational or irrelevant are omitted by infants under certain circumstances (selective imitation). Additionally, findings of imitation studies that require a transfer of the target actions to novel objects have demonstrated that infants do not only learn about actions, but also about objects, when they engage in imitation.
The present dissertation aims at integrating different perspectives of imitation research by testing 12- and 18-month-old infants in deferred imitation tests consisting of functional vs. arbitrary target actions, and by combining deferred imitation with eye tracking in half of the experiments. A deferred imitation paradigm was chosen to assess memory performance. Systematic variation of target action characteristics enabled the assessment of infants' imitation pattern, i.e., if they would imitate one kind of target actions more frequently than the other. Functionality was chosen as the action characteristic in focus because function is an object's most important property, thus this variation might shed some light on infants' learning about objects in the context of an imitation test. The main goal of the eye tracking experiments was to tackle the relations between infants' visual attention to, and deferred imitation of, different kinds of target actions.
The behavioral experiments revealed that both 12- and 18-month-olds imitated significantly more functional than arbitrary target actions after a delay of 30 minutes. In addition, while 12-month-olds showed a memory effect only for functional actions, 18-month-olds showed a memory effect for both kinds of actions. Thus, 12-month-olds imitated strictly selectively, and 18-month-olds imitated more exactly. This shows that the well established memory effect is modulated by target action functionality, which affects 12- and 18-month-olds' imitation differently. Furthermore, when retested after a two weeks delay, 18-month-olds' performance rates of functional and arbitrary target actions decreased parallel. This suggests that selective imitation is not affected by the duration of the retention interval, and that selection of target actions takes place at an earlier stage of action perception and memory processes.
In the eye tracking experiments, both 12- and 18-month-olds' imitation patterns replicated the findings of the behavioral experiments, showing consistently higher imitation rates of functional than arbitrary target actions. Contrary to this, infants' fixation times to the target actions were not affected by target action functionality. This contrast was supported by statistical analyses that found no clear correspondence between visual attention to and deferred imitation of target actions. This suggests that selective imitation cannot be explained by selective visual attention. Nevertheless, finer-grained analyses of gaze and imitation data in the 18 months old group suggested that infants' increased attention to the social-communicative context of the imitation task was related to more exact imitation, i.e. imitation of not only functional, but also arbitrary target actions.
The findings are discussed against the background of imitation theories, with regard to the relations between different cognitive processes underlying infants' imitation, such as memory, action perception and learning about objects.
The work presented in this thesis is devoted to two classes of mathematical population genetics models, namely the Kingman-coalescent and the Beta-coalescents. Chapters 2, 3 and 4 of the thesis include results concerned with the first model, whereas Chapter 5 presents contributions to the second class of models.