@phdthesis{Zube2008, author = {Zube, Christina}, title = {Neuronal representation and processing of chemosensory communication signals in the ant brain}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-30383}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Ants heavily rely on olfaction for communication and orientation and ant societies are characterized by caste- and sex-specific division of labor. Olfaction plays a key role in mediating caste-specific behaviours. I investigated whether caste- and sex-specific differences in odor driven behavior are reflected in specific differences and/or adaptations in the ant olfactory system. In particular, I asked the question whether in the carpenter ant, Camponotus floridanus, the olfactory pathway exhibits structural and/or functional adaptations to processing of pheromonal and general odors. To analyze neuroanatomical specializations, the central olfactory pathway in the brain of large (major) workers, small (minor) workers, virgin queens, and males of the carpenter ant C. floridanus was investigated using fluorescent tracing, immunocytochemistry, confocal microscopy and 3D-analyzes. For physiological analyzes of processing of pheromonal and non-pheromonal odors in the first odor processing neuropil , the antennal lobe (AL), calcium imaging of olfactory projection neurons (PNs) was applied. Although different in total glomerular volumes, the numbers of olfactory glomeruli in the ALs were similar across the female worker caste and in virgin queens. Here the AL contains up to ~460 olfactory glomeruli organized in 7 distinct clusters innervated via 7 antennal sensory tracts. The AL is divided into two hemispheres regarding innervations of glomeruli by PNs with axons leaving via a dual output pathway. This pathway consists of the medial (m) and lateral (l) antenno-cerebral tract (ACT) and connects the AL with the higher integration areas in the mushroom bodies (MB) and the lateral horn (LH). M- and l-ACT PNs differ in their target areas in the MB calyx and the LH. Three additional ACTs (mediolateral - ml) project to the lateral protocerebrum only. Males had ~45\% fewer glomeruli compared to females and one of the seven sensory tracts was absent. Despite a substantially smaller number of glomeruli, males possess a dual PN output pathway to the MBs. In contrast to females, however, only a small number of glomeruli were innervated by projection neurons of the m-ACT. Whereas all glomeruli in males were densely innervated by serotonergic processes, glomeruli innervated by sensory tract six lacked serotonergic innervations in the female castes. It appears that differences in general glomerular organization are subtle among the female castes, but sex-specific differences in the number, connectivity and neuromodulatory innervations of glomeruli are substantial and likely to promote differences in olfactory behavior. Calcium imaging experiments to monitor pheromonal and non-pheromonal processing in the ant AL revealed that odor responses were reproducible and comparable across individuals. Calcium responses to both odor groups were very sensitive (10-11 dilution), and patterns from both groups were partly overlapping indicating that processing of both odor classes is not spatially segregated within the AL. Intensity response patterns to the pheromone components tested (trail pheromone: nerolic acid; alarm pheromone: n-undecane), in most cases, remained invariant over a wide range of intensities (7-8 log units), whereas patterns in response to general odors (heptanal, octanol) varied across intensities. Durations of calcium responses to stimulation with the trail pheromone component nerolic acid increased with increasing odor concentration indicating that odor quality is maintained by a stable pattern (concentration invariance) and intensity is mainly encoded in the response durations of calcium activities. For n-undecane and both general odors increasing response dynamics were only monitored in very few cases. In summary, this is the first detailed structure-function analyses within the ant's central olfactory system. The results contribute to a better understanding of important aspects of odor processing and olfactory adaptations in an insect's central olfactory system. Furthermore, this study serves as an excellent basis for future anatomical and/or physiological experiments.}, subject = {Gehirn}, language = {en} } @phdthesis{Zdziarski2008, author = {Zdziarski, Jaroslaw Maciej}, title = {Bacterial Genome Plasticity and its Role for Adaptation and Evolution of Asymptomatic Bacteriuria (ABU) Escherichia coli Strains}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-32879}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Asymptomatic bacteriuria (ABU) represents the long term bacterial colonization of the urinary tract, frequently caused by Escherichia coli (E. coli), without typical symptoms of a urinary tract infection (UTI). To investigate characteristics of ABU E. coli isolates in more detail, the geno- and phenotypes of eleven ABU isolates have been compared. Moreover, consecutive in vivo re-isolates of the model ABU strain 83972 were characterized with regard to transcriptomic, proteomic and genomic alterations upon long term in vivo persistence in the human bladder. Finally, the effect of the human host on bacterial adaptation/evolution was assessed by comparison of in vitro and in vivo-propagated strain 83972. ABU isolates represent a heterologous group of organisms. The comparative analysis of different ABU isolates elucidated the remarkable genetic and phenotypic flexibility of E. coli isolates. These isolates could be allocated to all four major E. coli phylogenetic lineages as well as to different clonal groups. Accordingly, they differed markedly in genome content, i.e., the genome size as well as the presence of typical UPEC virulence-associated genes. Multi locus sequence typing suggested that certain ABU strains evolved from UPEC variants that are able to cause symptomatic UTI by genome reduction. Consequently, the high E. coli genome plasticity does not allow a generalized view on geno- and phenotypes of individual isolates within a clone. Reductive evolution by point mutations, DNA rearrangements and deletions resulted in inactivation of genes coding for several UPEC virulence factors, thus supporting the idea that a reduced bacterial activation of host mucosal inflammation promotes the ABU lifestyle of these E. coli isolates. Gene regulation and genetic diversity are strategies which enable bacteria to live and survive under continuously changing environmental conditions. To study adaptational changes upon long term growth in the bladder, consecutive re-isolates of model ABU strain 83972 derived from a human colonisation study and from an in vitro long term cultivation experiment were analysed with regard to transcriptional changes and genome rearrangements. In this context, it could be demonstrated that E. coli, when exposed to different host backgrounds, is able to adapt its metabolic networks resulting in an individual bacterial colonisation strategy. Transcriptome and proteome analyses demonstrated distinct metabolic strategies of nutrients acquisition and energy production of tested in vivo re-isolates of strain 83972 that enabled them to colonise their host. Utilisation of D-serine, deoxy- and ribonucleosides, pentose and glucuronate interconversions were main up-regulated pathways providing in vivo re-isolates with extra energy for efficient growth in the urinary bladder. Moreover, this study explored bacterial response networks to host defence mechanisms: The class III alcohol dehydrogenase AdhC, already proven to be involved in nitric oxide detoxification in pathogens like Haemophilus influenzae, was shown for the first time to be employed in defending E. coli against the host response during asymptomatic bacteriuria. Consecutive in vivo and in vitro re-isolates of strain 83972 were also analysed regarding their genome structure. Several changes in the genome structure of consecutive re-isolates derived from the human colonisation study implied the importance of bacterial interactions with the host during bacterial microevolution. In contrast, the genome structure of re-isolates from the in vitro long term cultivation experiment, where strain 83972 has been propagated without host contact, was not affected. This suggests that exposure to the immune response promotes genome plasticity thus being a driving force for the development of the ABU lifestyle and evolution within the urinary tract.}, subject = {Escherichia coli}, language = {en} } @phdthesis{Zabka2008, author = {Zabka, Vanessa}, title = {The Plasticity of Barley (Hordeum vulgare) Leaf Wax Characteristics and their Effects on Early Events in the Powdery Mildew Fungus (Blumeria graminis f.sp. hordei): Interactive Adaptations at the Physiological and the Molecular Level}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-26402}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {In order to test the effects of environmental factors on different characteristics of plant leaf waxes, barley plants (Hordeum vulgare) were abiotically stress treated (exposure to darkness, heavy metal, high salt concentrations and drought), and biotically stressed by the infection with powdery mildew (Blumeria graminis f.sp. hordei; Bgh). Different wax parameters like amount, chemical composition, and micromorphology of epicuticular wax crystals, were investigated. Etiolated leaves of barley showed distinctly reduced wax amounts and modifications in their relative composition. The alterations of these wax parameters might be a result of a developmental delay, which could have been caused by a decreased availability of energy for cellular processes, due to lack of light. Cadmium exposure led to a 1.5-fold increase of wax amount, while chemical composition was unaffected. In drought- and salt-stressed plants, all investigated leaf wax parameters remained unaltered. In each of the abiotic treatments, the microstructure of epicuticular wax crystals, formed as typical platelets, was not modified. Even after 6d infection with powdery mildew (Bgh), neither locally nor systemically enforced modifications of wax features were revealed. The analyzed leave surfaces, resulting from these four abiotic and the biotic treatment (phenotypic approach), were compared to altered leaf surfaces' characteristics of 18 analyzed eceriferum (cer-) wax mutants (genotypic approach). Within the screening, 5 mutants were selected which distinctly differed from the wild-type in wax amount, portions of epi- and intracuticular wax fraction, relative chemical composition, crystal morphology, and surface wettability (hydrophobicity). Apart from quantitative and qualitative effects on the leaf waxes, environmentally enforced modifications in cuticular waxes might be reflected in molecular processes of wax biogenesis. Therefore, a barley wax-microarray was established. 254 genes were selected, which are putatively involved in processes of de novo fatty acid biosynthesis, fatty acid elongation, and modification, and which are supposed to take part in lipid-trafficking between cell compartments, and transport of wax components to the outer cell surface. The regulations within the expression pattern evoked by the respective treatments were correlated with the corresponding analytical wax data, and the observed molecular effects of a 3d powdery mildew infection were compared with succeeding fungal morphogenesis. Etiolation and cadmium exposition pointed to transcriptional modifications in the de novo fatty acid synthesis, and in the screened, transport-related mechanisms, which correlate with respective alterations in surface wax characteristics. Moderate changes in the gene expression pattern, evoked by drought- and salinity-stress, might give hints for evolved adaptations in barley to such common habitat stresses. Theinvasion of powdery mildew into the epidermal host cells was reflected in the regulation of several genes. Beside other functions, these genes take part in pathogen defense, and intracellular component transport, or they encode transcription factors. The different modifications within the molecular responses evoked by the investigated abiotic treatments, and the effects of powdery mildew infection representing a biotic stressor, were compared between the different treatments. In order to test the potential impact of different wax parameters on Bgh, conidia germination and differentiation was comparably investigated on leaf surfaces of abiotically stressed wild-type and cer-mutants, isolated cuticles, and further artificial surfaces. The rates of conidial development were similar on each of the leaf surfaces resulting from the abiotic treatments, while a significant reduction of the germination and differentiation success was revealed for the wax mutant cer-yp.949. Compared to the wild-type, developmental rates on isolated cuticles and extracted leaf waxes of the mutant cer-yp.949 indicated a modified embedding of cuticular waxes, and a possibly changed three-dimensional structure of the cer-yp.949 cuticle, which might explain the reduced conidial developmental rates on leaf surfaces of this particular mutant. Experiments with Bgh conidia on mechanically de-waxed leaf surfaces (selective mechanical removal of the epicuticular leaf waxes with glue-like gum arabic, followed by an extraction of the intracuticular wax portion with chloroform) demonstrated the importance of the wax coverage for the germination and differentiation of the fungal conidia. On all dewaxed leaf surfaces, except those of cer-yp.949, the differentiation success of the germlings was significantly reduced, by about 20\% ("wax-effect"). This result was verified through an artificial system with increased conidia developmental rates on glass slides covered with extracted leaf waxes. Further comparative tests with the major components of barley leaf wax, hexacosanol and hexacosanal, showed that the germination and differentiation of powdery mildew conidia not only depends on the different chemistry, but is also influenced by the respective surface hydrophobicity. Compared to hexacosanol, on hexacosanal coated glass surfaces, higher germination and differentiation rates were achieved, which correlated with increased levels of surface hydrophobicity. Developmental rates of conidia on hydrophobic foils demonstrated that hydrophobicity, as a sole surface factor, may stimulate the conidial germination and differentiation processes. Moreover, the survival of conidia on artificial surfaces is determined by additional surface derived factors, e.g. the availability of water, and a pervadable matrix.}, subject = {Mehltau}, language = {en} } @phdthesis{Yarali2008, author = {Yarali, Ayse}, title = {Aspects of predictive learning in the fruit fly}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-28741}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Past experience contributes to behavioural organization mainly via learning: Animals learn otherwise ordinary cues as predictors for biologically significant events. This thesis studies such predictive, associative learning, using the fruit fly Drosophila melanogaster. I ask two main questions, which complement each other: One deals with the processing of those cues that are to be learned as predictors for an important event; the other one deals with the processing of the important event itself, which is to be predicted. Do fruit flies learn about combinations of olfactory and visual cues? I probe larval as well as adult fruit flies for the learning about combinations of olfactory and visual cues, using a so called 'biconditional discrimination' task: During training, one odour is paired with reinforcement only in light, but not in darkness; the other odour in turn is reinforced only in darkness, but not in light. Thus, neither the odours nor the visual conditions alone predict reinforcement, only combinations of both do. I find no evidence that either larval or adult fruit flies were to solve such task, speaking against a cross-talk between olfactory and visual modalities. Previous studies however suggest such cross-talk. To reconcile these results, I suggest classifying different kinds of interaction between sensory modalities, according to their site along the sensory-motor continuum: I consider an interaction 'truly' cross-modal, if it is between the specific features of the stimuli. I consider an interaction 'amodal' if it instead engages the behavioural tendencies or 'values' elicited by each stimulus. Such reasoning brings me to conclude that different behavioural tasks require different kinds of interaction between sensory modalities; whether a given kind of interaction will be found depends on the neuronal infrastructure, which is a function of the species and the developmental stage. Predictive learning of pain-relief in fruit flies Fruit flies build two opposing kinds of memory, based on an experience with electric shock: Those odours that precede shock during training are learned as predictors for punishment and are subsequently avoided; those odours that follow shock during training on the other hand are learned as signals for relief and are subsequently approached. I focus on such relief learning. I start with a detailed parametric analysis of relief learning, testing for reproducibility as well as effects of gender, repetition of training, odour identity, odour concentration and shock intensity. I also characterize how relief memories, once formed, decay. In addition, concerning the psychological mechanisms of relief learning, first, I show that relief learning establishes genuinely associative conditioned approach behaviour and second, I report that it is most likely not mediated by context associations. These results enable the following neurobiological analysis of relief learning; further, they will form in the future the basis for a mathematical model; finally, they will guide the researchers aiming at uncovering relief learning in other experimental systems. Next, I embark upon neurogenetic analysis of relief learning. First, I report that fruit flies mutant for the so called white gene build overall more 'negative' memories about an experience with electric shock. That is, in the white mutants, learning about the painful onset of shock is enhanced, whereas learning about the relieving offset of shock is diminished. As they are coherently affected, these two kinds of learning should be in a balance. The molecular mechanism of the effect of white on this balance remains unresolved. Finally, as a first step towards a neuronal circuit analysis of relief learning, I compare it to reward learning and punishment learning. I find that relief learning is distinct from both in terms of the requirement for biogenic amine signaling: Reward and punishment are respectively signalled by octopamine and dopamine, for relief learning, either of these seem dispensible. Further, I find no evidence for roles for two other biogenic amines, tyramine and serotonin in relief learning. Based on these findings I give directions for further research.}, subject = {Lernen}, language = {en} } @phdthesis{Wolpert2008, author = {Wolpert, Daniel}, title = {Quantum Control of Photoinduced Chemical Reactions}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-27171}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {The control of quantum mechanical processes, especially the selective manipulation of photochemical reactions by shaped fs laser pulses was successfully demonstrated in many experiments in the fields of physics, chemistry and biology. In this work, attention is directed to the control of two systems that mark a bridge to real synthetic chemistry. In a liquid phase environment the outcome of the photo-induced Wolff rearrangement of an industrially relevant diazonaphthoquinone compound, normally used in photoresists (e.g. Novolak) was optimized using shaped fs laser pulses. In the second series of experiments chemical reactions on a catalyst metal surface which comprise laser induced molecular bond formation channels were selectively manipulated for the first time. The control of liquid phase reactions necessitates adequate spectroscopic signals that are characteristic for the formed product species. Therefore, a pump-probe setup for transient absorption spectroscopy in the mid-infrared for the purpose of investigating ultrafast structural changes of molecules during photoreactions was constructed. This versatile setup enables to monitor structural changes of molecules in the liquid phase and to find appropriate feedback signals for the control of these processes. Prior to quantum control experiments, the photoinduced Wolff-rearrangement reaction of 2-diazo-1-naphthoquinone (DNQ) dissolved in water and methanol was thoroughly investigated. Steady state absorption measurements in the mid-infrared in combination with quantum chemical density functional theory (DFT) calculations revealed the characteristic vibrational bands of DNQ and of possible products. A mid-infrared transient absorption study was performed, to illuminate the structural dynamics of the ultrafast rearrangement reaction of DNQ. The experimental observations indicate, that the Wolff rearrangement reaction of DNQ proceeds within 300 fs. A model for the relaxation dynamics of the ketene photoproduct and DNQ after photoexcitation can be deduced that fits the measured data very well. The object of the quantum control experiments on DNQ was the improvement of the ketene yield. It was shown that the ketene formation after Wolff rearrangement of DNQ is very sensitive to the shape of the applied excitation laser pulses. The variation of single parameters, like the linear chirp as well as the pulse separation of colored double pulses lead to the conclusion that the well known intrapulse dumping mechanism is responsible for the impact of the frequency ordering within the excitation pulse on the photoproduct yield. Adaptive optimizations using a closed learning loop basically lead to the same result. Adaptive fs quantum control was also applied to surface reactions on a catalyst metal surface for the first time. Therefore, the laser-induced catalytic reactions of carbon monoxide (CO) and hydrogen (H2) on a Pd(100) single crystal surface were studied. This photochemical reaction initiated with fs laser pulses has not been observed before. Several product molecules could be synthesized, among them also species (e.g. CH^3+) for whose formation three particles are involved. The systematic variation of different parameters showed that the reactions are sensitive to the catalyst surface, the composition of the adsorbate and to the laser properties. A pump-probe study revealed that they occur on an ultrafast time scale. These catalytic surface reactions were then investigated and improved with phaseshaped fs laser pulses. By applying a feedback optimal control scheme, the reaction outcome could be successfully manipulated and the ratio of different reaction channels could be selectively controlled. Evidence has been found that the underlying control mechanism is nontrivial and sensitive to the specific conditions on the surface. The experiments shown here represent the first successful experiment on adaptive fs quantum control of a chemical reaction between adsorbate molecules on a surface. In contrast to previous quantum control experiments, reaction channels comprising the formation of new molecular bonds rather than the cleavage of already existing bonds are controlled. This work successfully showed that quantum control can be extended to systems closer to situations encountered in synthetic chemistry as was demonstrated in the two examples of the optimization of a complicated rearrangement reaction and the selective formation of chemical bonds with shaped fs laser pulses.}, subject = {Nichtlineare Spektroskopie}, language = {en} } @phdthesis{Wenisch2008, author = {Wenisch, Jan}, title = {Ferromagnetic (Ga,Mn)As Layers and Nanostructures: Control of Magnetic Anisotropy by Strain Engineering}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-34552}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {This work studies the fundamental connection between lattice strain and magnetic anisotropy in the ferromagnetic semiconductor (Ga,Mn)As. The first chapters provide a general introduction into the material system and a detailed description of the growth process by molecular beam epitaxy. A finite element simulation formalism is developed to model the strain distribution in (Ga,Mn)As nanostructures is introduced and its predictions verified by high-resolution x-ray diffraction methods. The influence of lattice strain on the magnetic anisotropy is explained by an magnetostatic model. A possible device application is described in the closing chapter.}, subject = {Magnetischer Halbleiter}, language = {en} } @phdthesis{Weber2008, author = {Weber, Sebastian}, title = {Simulation of self-assembled nanopatterns in binary alloys on the fcc(111) surface}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-27914}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {In this PhD thesis, we study the heteroepitaxial crystal growth by means of Monte Carlo simulations. Of particular interest in this work is the influence of the lattice mismatch of the adsorbates relative to the substrate on surface structures. In the framework of an off-lattice model, we consider one monolayer of adsorbate and investigate the emerging nanopatterns in equilibrium and their formation during growth. In chapter 1, a brief introduction is given, which describes the role of computer simulations in the field of the physics of condensed matter. Chapter 2 is devoted to some technical basics of experimental methods of molecular beam epitaxy and the theoretical description. Before a model for the simulation can be designed, it is necessary to make some considerations of the single processes which occur during epitaxial growth. For that purpose we look at an experimental setup and extract the main microscopic processes. Afterwards a brief overview of different theoretical concepts describing that physical procedures is given. In chapter 3, the model used in the simulations is presented. The aim is to investigate the growth of an fcc crystal in the [111] direction. In order to keep the simulation times within a feasible limit a simple pair potential, the Lennard-Jones potential, with continuous particle positions is used, which are necessary to describe effects resulting from the atomic mismatch in the crystal. Furthermore the detailed algorithm is introduced which is based on the idea to calculate the barrier of each diffusion event and to use the barriers in a rejection-free method. Chapter 4 is attended to the simulation of equilibrium. The influence of different parameters on the emerging structures in the first monolayer upon the surface, which is completely covered with two adsorbate materials, is studied. Especially the competition between binding energy and strain leads to very interesting pattern formations like islands or stripes. In chapter 5 the results of growth simulations are presented. At first, we introduce a model in order to realize off-lattice Kinetic Monte Carlo simulations. Since the costs in simulation time are enormous, some simplifications in the calculation of diffusion barriers are necessary and therefore the previous model is supplemented with some elements from the so-called ball and spring model. The next point is devoted to the calculation of energy barriers followed by the presentation of the growth simulations. Binary systems with only one sort of adsorbate are investigated as well as ternary systems with two different adsorbates. Finally, a comparison to the equilibrium simulations is drawn. Chapter 6 contains some concluding remarks and gives an outlook to possible further investigations.}, subject = {Kristallwachstum}, language = {en} } @book{Wang2008, author = {Wang, Wen}, title = {Validation of shRNA clones for gene silencing in 293FT cells}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-25955}, publisher = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {...}, subject = {shRNA}, language = {en} } @phdthesis{Walther2008, author = {Walther, Markus}, title = {Simulation of strain-induced and defect-controlled self-organization of nanostructures}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-27931}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {In this PhD thesis, the effect of strain on heteroepitaxial growth is investigated by means of Kinetic Monte Carlo simulations. In this context the lattice misfit, arising from the different lattice constants of the adsorbate and the substrate material, is of particular interest. As a consequence, this lattice misfit leads to long-range elastic strain effects having strong influence on the entire growing crystal and its resulting surface morphology. The main focus of this work is the investigation of different strain relaxation mechanisms and their controlling parameters, revealing interesting consequences on the subsequent growth. Since epitaxial growth is carried out under conditions far away from thermodynamic equilibrium, it is strongly determined by surface kinetics. At this point the relevant kinetic microscopic processes are described, followed by theoretical considerations of heteroepitaxial growth disclosing an overview over several independent methodological streams, used to model epitaxy in different time and length scales, as well as the characterization of misfit dislocations and the classification of epitaxial growth modes based on thermodynamic considerations. The epitaxial growth is performed by means of Kinetic Monte Carlo simulations which allows for the consideration of long range effects in systems with lateral extension of few hundred atoms. By using an off-lattice simulation model the particles are able to leave their predefined lattice sites, which is an indispensable condition for simulating strain relaxation mechanisms. The main idea of our used model is calculating the activation energy of all relevant thermally activated processes by using simple pair potentials and then realizing the dynamics by performing each event according to its probability by means of a rejection-free algorithm method. In addition, the crystal relaxation procedure, the grid-based particle access method, which accelerates the simulation enormously, and the efficient implementation of the algorithm are discussed. To study the influence of long range elastic strain effects, the main part of this work was realized on the two dimensional triangular lattice, which can be treated as a cross section of the real three dimensional case. Chapter 4 deals with the formation of misfit dislocations as a strain relaxation mechanism and the resulting consequences on the subsequent heteroepitaxial growth. We can distinguish between two principally different dislocation formation mechanisms, depending strongly on the sign as well as on the magnitude of the misfit, but also the surface kinetics need to be taken into account. Additionally, the dislocations affect the lattice spacings of the crystal whose observed progression is in qualitative good agreement with experimental results. Furthermore, the dislocations influence the subsequent growth of the adsorbate film, since the potential energy of an adatom is modulated by buried dislocations. A clear correlation between the lateral positions of buried dislocations and the positions of mounds grown on the surface can be observed. In chapter 5, an alternative strain relaxation mechanism is studied: the formation of three dimensional islands enables the particles to approach their preferred lattice spacing. We demonstrate that it is possible to adjust within our simulation model each of the three epitaxial growth modes: Volmer-Weber, Frank-van der Merve or layer-by-layer, and Stranski-Krastanov growth mode. Moreover, we can show that the emerging growth mode depends in principle on two parameters: on the one hand the interaction strength of adsorbate particles with each other, compared to the interaction of adsorbate with substrate particles, and on the other hand the lattice misfit between adsorbate and substrate particles. A sensible choice of these two parameters allows the realization of each growth mode within the simulations. In conclusion, the formation of nanostructures controlled by an underlying dislocation network can be applied in the concept of self-organized pattern formation as well as by the tendency to form ordered arrays of strain-induced three dimensional grown islands. In chapter 6, we extend our model to three dimensions and investigate the effect of strain on growth on bcc(100) surfaces. We introduce an anisotropic potential yielding a stable bcc lattice structure within the off-lattice representation. We can show that the strain built up in submonolayer islands is mainly released at the island edges and the lattice misfit has strong influence on the diffusion process on the plane surface as well as on the situation at island edges with eminent consequences on the appearance of submonolayer islands.}, subject = {Kristallwachstum}, language = {en} } @phdthesis{Wagner2008, author = {Wagner, Alexander}, title = {Production of Sleptons in e¯e¯-Collisions}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-28307}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Supersymmetry is currently the best motivated extension of the Standard Model and will be subject to extensive studies in the upcoming generation of colliders. The e-e- mode would be a straight forward extension to the currently planed International Linear Collider, planned to operate in e+e- mode. The low background in this mode may prove advantageous in the study of CP- and Lepton Flavour Violtation. In this work a CP sensitive observable based on transverse beam polarisation is introduced and the impact of neutralino mixing on the total cross section in cas of non-vanishing CP-violtating phases is studied in representative scenarios including non-GUT scenarios. Additionally, the mixing of sleptons is studied in the context of LFV, an analytical approximation is developed, and possible background free measurements of these effects are investigated.}, subject = {Supersymmetrie}, language = {en} } @phdthesis{VuXuan2008, author = {Vu Xuan, Nghia}, title = {Generation of tools to investigate Chikungunya virus}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-28993}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {CHIKV is the prototype of Alphaviruses and it causes an acute febrile illness with rash, severely painful arthralgias, and sometimes arthritis. While CHIKV has first been identified in the 1950s in Africa, recent outbreaks of CHIKV in the islands of the Indian Ocean and particular in Italia have re-drawn attention to CHIKV. In the past CHIKV disease was considered self-limiting and non-fatal. However, a number of deaths on Reunion (Anonym, 2006) during the outbreak, which was affected directly or indirectly by CHIKV, have changed this view. To defeat CHIKV outbreaks diagnostic tools and anti CHIKV therapies are urgently needed. In this thesis, we generated tools to investigate CHIKV at the molecular level by serological tests. CHIKV was isolated from a German woman who was infected during her holidays on the Mauritius Island. To characterize this viral isolate the complete viral genome was amplified by PCR and molecular cloned. In order to analyse antibody responses of infected individuals some of the structural and non-structural genes were subcloned in bacterial expression vectors. The NSP2, proteinase, capsid, E1 and E2 were subsequently expressed in E.coli using purified successfully. In this thesis, the structural proteins were used to develop a screening test for anti-CHIKV antibodies in patient derived serum samples. These tests were evaluated with pre-characterized anti-CHIKV sera (30 samples) obtained from the BNI Hamburg and 100 serum samples from German blood donors used as negative controls. Immunoblotting analysis revealed that up to 77\% of precharacterised positive sera could recognize the recombinant proteins and there were no detectable reactivity of CHIKV-negative German donor sera. The recombinant proteins were also recognized by 71.4\% of positive sera in the newly established ELISA. In order to go further in analyses of the results, an in house IFA was performed. Positive sera (21 samples) were used. The results showed that all of them reacted positive, but this assay was less sensitive than the IFA from BNI. In comparison with the IFA result from BNI Hamburg, the results were not congruent in all test performed. This could be due to various drawbacks of the tests. A cross reaction in Alphaviruses and the different strains are mentioned as well as the denatured forms of the structural proteins. Besides the main structural proteins (E1, E2 and C), other proteins such as non-structural proteins, uncleaved precursor proteins could participate in the different outcomes of serological assays. In order to go further in the CHIKV diagnoses, the CHIKV recombinant proteins were applied to screen the anti-CHIKV antibodies in the Vietnamese population, who are considered to live in the high risk regions. In serological tests, 158 sera of Vietnamese donors were incubated with the recombinant proteins or the fixed CHIKV infected cells. The results showed that 24\% of Vietnamese donor sera recognized the recombinant proteins in immunoblot assay, while 36\% scored positive in the ELISA assay. In IFA, the sera considered positive were 11.4\%. While some discrepancies in serological tests were found, these results showed that the ratio of CHIKV-positive sera seem to be equal to the other regions in the world, which are affected by CHIKV. It is suggested that CHIKV infection in Vietnam has been repeatedly misdiagnosed. This study cohort consisted only of samples originating from Hanoi area of Northern Vietnam, thus, future studies should expand to include samples from other Vietnam areas. To do this the various subtypes of the virus in the different regions should be isolated and the sequences of these viruses should be well characterized.}, subject = {Viren}, language = {en} } @phdthesis{Verburg2008, author = {Verburg, Frederik Anton}, title = {The course of differentiated thyroid carcinoma in patients in whom the initial I-131 ablative treatment was successful}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-33346}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Objective: The objective of this study was to study recurrence in patients with differentiated thyroid carcinoma who after initial therapy consisting of total thyroidectomy and I-131 ablation, were cured defined as a negative TSH-stimulated Tg-levels and a negative I-131 whole body scan (WBS) at the first follow-up after ablation. Methods: Retrospective data for differentiated thyroid carcinoma patients from three university hospitals were pooled. Out of 1993 patients, 526 cured patients were included. All patients received at least one more TSH-stimulated WBS and Tg-measurement within 5 years after initial treatment. Results: 12 patients (2.1\%) developed a recurrence after an average interval of 35 months (range: 12-59 months) following administration I-131 ablation. Overall disease-free survival according to the method of Kaplan-Meier was 96.6\%. There was no difference in disease-free survival between high- and low-risk patients (p=0.61). Recurrence was first discovered by Tg-measurement during levothyroxin therapy in 7 patients, and by TSH-stimulated Tg-measurement in 5 patients. I-131 WBS did not contribute to the detection of recurrences. Multivariate analysis showed that age TNM-stage (p=0.015) and histology (p=0.032) were independent predictors of disease-free survival. Conclusion: Recurrence is a rare event in patients with DTC who received total thyroidectomy with subsequent I-131 ablation, and who had a negative first follow-up TSH-stimulated I-131 WBS and negative concurrent Tg. In the study population there were no recurrences after more than 5 years of follow-up.}, subject = {Schilddr{\"u}senkrebs}, language = {en} } @phdthesis{Tyrsin2008, author = {Tyrsin, Dmitry}, title = {Autoregulation of NFATc1 gene}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-26544}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Die Familie der NFAT-Transkriptionsfaktoren (NFATc1-c4) ist im Zuge einer Immunreaktion endscheidend an der transkriptionellen Regulation der Genexpression beteiligt. Wurden NFAT-Faktoren zun{\"a}chst als T-zell-spezifische Aktivatoren von Zytokinpromotoren beschrieben, so hat sich inzwischen gezeigt, dass sie in einer Vielzahl von Geweben eine wichtige Rolle spielen. Als Beispiele seien die Herzklappenentwicklung, die Bildung von Blutgef{\"a}ssen, die Ausbildung neuronaler Axone oder die Osteoklastendifferenzierung genannt [10, 24]. In der hier vorliegenden Arbeit zeigen wir, dass die starke Expression der kurzen Isoform NFATc1/\&\#945;A in Effektor-T-Lymphozyten durch die induzierbare Aktivit{\"a}t des Promoters P1 kontrolliert wird. Die P1 Aktivierung f{\"u}hrt zum Splicing des Exon 1 zu 3 (\&\#945;-Isoformen) und endet meist durch Benutzung der Polyadenylierungsstelle pA1 hinter Exon 9 (A-Isoformen). Der zweite, schw{\"a}cherer Promoter P2 befindet sich vor dem zweiten Exon und ist f{\"u}r die konstitutive Synthese der \&\#946;-Isoformen verantwortlich. Der Transkriptionstart am zweiten Exon geht meist mit der Benutzung einer zweiten, hinter dem 11. Exon gelegenen Polyadenylierungsstelle pA2 einher, die durch alternatives Splicing zur Synthese der Isoformen B und C f{\"u}hrt. Insgesamt k{\"o}nnen so vom nfatc1-Lokus sechs verschiedene Isoformen (\&\#945;A, \&\#945;B, \&\#945;C, \&\#946;A, \&\#946;B und \&\#946;C) generiert werden. Die induzierbare Aktivit{\"a}t des P1-Promoters ist, im Gegensatz zum eher konstitutiv aktiven P2-Promoter, NFAT-abh{\"a}ngig und somit eine Form der Autoregulation. In ruhenden T-Lymphozyten sind einzig die Transkripte der NFATc1/\&\#946;-Isoformen nachweisbar. Nach einer T-Zell-Aktivierung nimmt ihre H{\"a}ufigkeit dann ab, w{\"a}hrend nun die \&\#945;-Isoformen dominant werden. In dieser Arbeit wird gezeigt, dass es nach Induktion prim{\"a}rer Effektor-T-Helfer-Zellen oder in T-Zell-Linien zu einer 15-20-fachen Akkumulation der NFATc1/\&\#945;A mRNA bzw. einer 2-5-fachen Zunahme der NFATc1/\&\#945;B und C mRNAs kommt. Zur maximalen Induktion des P1-Promotors bedarf es zum einen eines anhaltenden Anstiegs der intrazellul{\"a}ren Kalziumkonzentration, die zur Aktivierung der Phosphatase Calcineurin und damit zur Kernlokalisation der NFAT-Faktoren f{\"u}hrt. Zum anderen ist die Aktivierung der Proteinkinase C-Enzyme und der MAP-Kinasen notwendig, wie sie durch Phorbolester in der Zelle vermittelt wird. Dies l{\"a}sst darauf schließen, dass f{\"u}r eine optimale Aktivierung des P1-Promotors sowohl Signale des T-Zell-Rezeptors als auch Signale von Korezeptoren - wie von CD28 - notwendig sind. Da die Induktion von NFATc1/\&\#945;A in NFATc2/NFATc3 doppeldefizienten M{\"a}usen normal erfolgt, kann man schlussfolgern, dass NFATc1 in Form einer Autoregulation die Aktivit{\"a}t des P1-Promoters und damit die Synthese der \&\#945;-Isoformen kontrolliert. Die NFAT-vermittelte Aktivierung des P1-Promoters erfolgt {\"u}ber zwei tandemartig angeordnete NFAT-Bindungsstellen der Nukleotidsequenz TGGAAA, an die jeweils ein NFAT-Protein binden kann. Daneben enth{\"a}lt der Promoter konservierte Bindemotive f{\"u}r CREB-, AP-1, Sp-, NF-kB- und GATA-Faktoren, die wahrscheinlich an der komplexen Kontrolle dieses induzierbaren NFATc1-Promoters beteiligt sind. Zusammengefasst ergibt sich aus diesen Daten das folgende Modell. Die Transkription im nfatc1-Genlokus erfolgt in naiven und in ruhenden Effektor-T-Zellen konstitutiv und gesteuert durch den P2-Promotor. In Folge einer Aktivierung der Zelle verringert sich die Aktivit{\"a}t des P2-Promotors, w{\"a}hrend gleichzeitig der P1-Promotor induziert wird, der zusammen mit einer verst{\"a}rkten Nutzung der pA1-Polyadenylierungssequenz f{\"u}r die massive Zunahme der NFATc1/\&\#945;A-Isoform verantwortlich ist. Dies deutet auf eine besondere Bedeutung dieser kurzen Isoform in der Effektorphase der T-Zell-Aktivierung hin, insbesondere in Th1-Zellen, die NFATc1/\&\#945;A in hohen Konzentrationen produzieren.}, subject = {Autoregulation}, language = {en} } @phdthesis{Tischler2008, author = {Tischler, German}, title = {Theory and Applications of Parametric Weighted Finite Automata}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-28145}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Parametric weighted finite automata (PWFA) are a multi-dimensional generalization of weighted finite automata. The expressiveness of PWFA contains the expressiveness of weighted finite automata as well as the expressiveness of affine iterated function system. The thesis discusses theory and applications of PWFA. The properties of PWFA definable sets are studied and it is shown that some fractal generator systems can be simulated using PWFA and that various real and complex functions can be represented by PWFA. Furthermore, the decoding of PWFA and the interpretation of PWFA definable sets is discussed.}, subject = {Automat }, language = {en} } @masterthesis{Thuenken2008, type = {Bachelor Thesis}, author = {Th{\"u}nken, Florian}, title = {Internet Censorship in China - Recent Developments and Perception of Internet Censorship by Chinese Internet Users}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-34445}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {With the launch of economic reforms and the opening up in 1978, China started to catch up with the industrial nations. During the 1980s and 90s great importance was attached to the development of the science and educational sector. Development of the first Chinese intranet and connection to the internet became a key to developing science and economy. In 1987 the China Academic Network (CAnet, Zhongguo xueshu wangluo) was established. In the same year the first e-mail was sent from China to the University of Karlsruhe. Full access to the internet was gained in 1994, and it took four more years until the internet business was booming. The growth rate of internet users is tremendous, and China soon will have the largest online community in the world. In January 2008 China had about 210 million internet users, being only second to the United States with 215 million users. Analysts often forget that Chinese internet users only constitute a small percentage of the population (about 16\% in December 2007). The internet penetration rate compared to countries like the USA or Japan (both above 65\% in July 2007) is still very low. The internet market will grow as a large part of the population still is not connected to the worldwide web, especially in the rural areas. But it should be kept in mind that today's surfers still represent an elite. A large proportion of internet users (about 36.2\% in 2007) hold academic degrees, while persons who enjoyed tertiary education only make up for 6,22\% of the populace. Besides economic aspects, western analyses often stress the aspect of censorship. Involvement of Western companies in content control and imprisonment of 'cyber dissidents', like Shi Tao, have been topics of discussion for a long time. Reporters Without Borders and Amnesty International have recommended China to respect its citizens' freedom of speech. The USA, Germany and France have criticised China for its censorship policies. According to a proposal passed in February 2007 the European Union might consider internet censorship a trade barrier. This could affect future negotiations with the PRC. Literature on internet censorship in the PRC still holds the view that the Chinese government has successfully build a solid firewall, which can only be circumvented by using special software. Others hold the opinion that a system as complex as the internet cannot be censored in an effective way. As Bill Clinton put it once, trying to control the internet would be like 'trying to nail Jello to the wall'. Some are overly enthusiastic in regard to the possible impact which the internet might have on the process of democratisation, by stressing the importance of its 'feedback functionality' and the influx of foreign body of thought. Imperfect control would lead to a more open public discourse, which would eventually lead to the fall of China's authoritarian regime.The first part of the thesis will examine the status quo of internet censorship in the PRC. Mechanisms which the Chinese authorities employ to censor the web will be examined, but the focus will rest on the non-technical aspects internet censorship. It will be explored how mechanisms of censorship are becoming increasingly indirect, alongside taking a look at regulations and codes and the news monopoly of the Chinese state and its agencies, like Xinhua. The second part of the thesis will examine user's reactions to internet censorship, how they adapt to it, and if they circumvent technical barriers, or if they are aware of the existence of internet censorship. Special attention will be paid to self-censorship and self-seduction, by taking a look at online behaviour. To better put into perspective the topic of internet censorship I will use the concept of Panopticism, mediated by Michel Foucault, as well as media theories by Chomsky and Herman. The paper is based on articles and research papers, surveys, as well as online articles and papers. Online articles are used throughout the paper because of their timeliness and availability, as the latest changes in China's internet censorship cannot be found in traditional papers and articles.}, subject = {Zensur}, language = {en} } @phdthesis{Thumati2008, author = {Thumati, Naresh Reddy}, title = {Characterization of new protein kinases of the EVH1 domain containing protein VASP and identification of binding partners for a new EVH1 domain of the Spred2 protein : A case study on protein interactions of EVH1 domain containing proteins}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-26617}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Protein interactions as mediated by catalytic or non-catalytic protein domains contribute to cellular signal transduction processes by covalent protein modification of or non-covalent binding to interaction partners. Ena/VASP homology 1 (EVH1) domains are found in different signal transduction proteins as N-terminal non-catalytic adaptor modules of ~ 115 amino acids sharing a common fold. By targeting their host proteins to subcellular sites of action they are involved in several signalling cascades which include protein phosphorylation and cytoskeletal reorganisation. In this study, protein interactions of the two EVH1 domain containing proteins VASP and Spred2 were studied according to their involvement in different and non-overlapping signal transduction pathways of the cell. EVH1 domains were first described in the Ena/VASP protein family with the Vasodilator-stimulated phosphoprotein VASP being its founding member. As a cytoskeleton-associated protein VASP not only interacts with different proteins of the actin network but it is also a substrate for cAMP- and cGMP-dependent protein kinases. However the full complement of protein kinases targeting VASP as their substrate is still unknown. Here we used mouse cardiac fibroblast (MCFB) cells in order to study the phosphorylation status of VASP and identify new candidate protein kinases involved after serum stimulation of these cells. Using phosphosite-specific antibodies we found that serum stimulation induces a phosphorylation of VASP at Ser-157 in a time-dependent manner reaching its maximum after 90 min of stimulation. We developed an interaction graph model of possible candidate protein kinases involved. Using a pharmacological perturbation analysis with different combinations of specific protein kinase inhibitors and activators we excluded any contribution of cGMP-dependent protein kinase and Rho kinases to this process and identified a combined action of classical isoforms of PKCs and PKA in serum-stimulated VASP phosphorylation at Ser-157 positioning PKC upstream of PKA in this signalling pathway. We hypothesise that PKC receives an external stimulatory signal upon serum stimulation of MCFB cells which is passed either directly or indirectly to PKA which finally phosphorylates VASP at Ser-157. A new EVH1 domain has been described recently in the Spred proteins (Sprouty related proteins containing an EVH1 domain) which are inhibitors of the Ras/Raf/MAP kinase pathway. Our laboratory has been involved in the elucidation of the atomic structure of the human Spred2 EVH1 domain by protein NMR spectroscopy (PDB 2JP2; 2007). A positively charged binding interface of this EVH1 domain suggests an interaction with negatively charged ligands; however no interaction partners of this domain have been described so far. In the second part of this study, we used different genetic and biochemical screening methods to search for ligands of the Spred2 EVH1 domain. A bacterial two-hybrid system was established using a physically well characterized interaction of the VASP EVH1 domain with a panel of its ActA binding peptides as positive controls to screen a human brain cDNA expression library at different stringencies for candidate Spred2 EVH1 interaction partners. However none of the clones isolated could be genetically and physically validated to support Spred2 EVH1 specific interactions. An in-vitro screening of a 9-mer phage display peptide library using purified GST-Spred2 EVH1 fusion protein was performed together with a Fyn-SH3 fusion protein as a positive control. In contrast to the Fyn-SH3 domain the majority of phages isolated with the Spred2 EVH1 domain either carried no inserts or inserts with stop codons suggesting a highly non-specific interaction of the phage coat protein with the latter domain but neither the Fyn-SH3 domain nor the GST moiety. Isolation of a 13-mer proline-rich sequence was particularly surprising in this context. In order to address possible interactions of the Spred2 EVH1 domain with non-peptidergic ligands protein-lipid interaction assays were performed. Quantitative binding studies to purified Spred2 EVH1 using a liposome sedimentation assay however excluded any interaction of candidate phospholipids of the phosphatidyl inositol phosphate class with the Spred2 EVH1 domain. A natively folded and thus binding-competent conformation of the purified proteins used was assessed independently by 1H protein NMR spectroscopy. In summary the cumulative evidence of our genetic and biochemical screening experiments suggests that the still elusive Spred2 EVH1 ligand(s) may be formed of hydrophobic peptide epitopes larger than nine amino acids in size and carrying negative charge(s). A phosphorylation of Spred2 EVH1 binding epitopes by a post-translational modification should be seriously considered in future experiments.}, subject = {VASP}, language = {en} } @phdthesis{Stepanenko2008, author = {Stepanenko, Vladimir}, title = {Self-Assembly of Bay-Substituted Perylene Bisimide by Ligand-Metal Ion Coordination}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-32063}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {The subject of this thesis is the synthesis and characterization of PBI-based fluorescent metallosupramolecular polymers and cyclic arrays. Terpyridine receptor functionalized PBIs of predesigned geometry have been used as building blocks to construct desired macromolecular structures through metal-ion-directed self-assembly. These metallosupramolecular architectures have been investigated by NMR, UV/Vis and fluorescence spectroscopy, mass spectrometry, and atomic force microscopy.}, subject = {Supramolekulare Chemie}, language = {en} } @phdthesis{Stepanenko2008, author = {Stepanenko, Svetlana}, title = {Global Optimization Methods based on Tabu Search}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-30605}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {This work encompasses three parts. The first part provides a concise review of the most prominent metaheuristic concepts currently available and gives essential preliminaries together with definition of the combinatorial optimization problems. It substantiates the choice of the investigation direction and basis idea of the developed methods. In the second part the new nonlinear global optimization routines based on the TS strategy are described. The new approaches are the Gradient Tabu Search (GTS), the Gradient Only Tabu Search (GOTS), and the Tabu Search with Powell's Algorithm (TSPA). In the last part of the work the GOTS is applied for such chemical optimization problems. The chapter provides a systematic approach how the variables are chosen and the adjustable parameters are set. As test cases the global minimum energy conformation of some amino acids, of two angiotensin converting enzyme (ACE) inhibitors, of 2-acetoxy-N,N,N-trimethylethanaminium, and of a HIV-1 protease inhibitor is determined.}, subject = {Tabusuche}, language = {en} } @phdthesis{Shishkova2008, author = {Shishkova, Yoana}, title = {Investigations of Measles virus regulation on activation and function of antigen presenting cells}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-28283}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Interaction with dendritic cells (DCs) is considered as central to immunosuppression induced by viruses, including measles virus (MV). Commonly, viral infection of DCs abrogates their ability to promote T cell expansion, yet underlying mechanisms at a cellular level are undefined. It appears that MV-WTF infection modulate DCs morphology and dynamic adhesion on extra cellular matrix proteins such as FN or ICAM-1. By morphological criteria, WTF-DCs resembled LPS-DCs, associated with their mature phenotype also adhered less efficiently to the FN or ICAM-1 support. Reduced adhesion could not be explained by a lack of \&\#61538;1-integrin expression or activation. Similarly, MV-DCs strongly resembled LPS-DCs in that levels of focal adhesion kinase phosphorylated at Y397 were high and not further enhanced upon FN ligation. Fascin, a downstream effector of integrin signaling was highly upregulated in LPS-DCs and moderately in WTF-DCs, and differences in its subcellular distribution were not observed between both cell cultures. Apparently, however, fascin associated less efficiently with PKC\&\#61537; in WTF-DCs then in LPS-DCs. In line with findings for murine DCs, high motility of mature human DCs was found to require expression of Rac-GTPases. Human LPS-DCs and more so, DC transfected to express constitutively active Rac1 were the most motile DC-species analysed, confirming that migration of human DC also involved Rac activity. The velocity of WTF-DCs on FN is below that of LPS-DCs, indicating that maturation induced by WTF may be insufficient to completely promote integrin signaling which leads to Rac activation. The organisation of MV-DC/T cell interfaces was consistent with that of functional immune synapses with regard to CD3 clustering, MHC class II surface recruitment and MTOC location. These analyses are based in the selection of stable conjugates. Subsequently, however, neither contacts nor calcium flux can be stabilised and sustained in the majority of MV-DC/T cell conjugates and only promoted abortive T cell activation. Formation of spatially organised IS in T cells requites, prolonged contact durations. Therefore, aberrant distribution patterns of CD3 in these structures, if occurring, are not likely to contribute to the type of contacts predominating for WTF-DC/T cell interactions. It is also likely that transient interactions of less than 2 minutes may if at all, not efficiently support viral transmission to T cells. Transient interactions are typically observed with immature DCs in the absence of antigen, but this is not likely to be relevant in our allogenic system, which includes SA-loaded WTF-DCs. Thus, MV-infected DCs retain activities required for initiating, but not sustaining T cell conjugation and activation. This is partially rescued if surface expression of the MV glycoproteins on DCs is abolished by infection with a recombinant MV encoding VSV G protein instead, indicating that these contribute directly to synapse destabilisation and thereby act as effectors of T cell inhibition.}, subject = {Masern}, language = {en} } @phdthesis{Seiberlich2008, author = {Seiberlich, Nicole}, title = {Advances in Non-Cartesian Parallel Magnetic Resonance Imaging using the GRAPPA Operator}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-28321}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Magnetic Resonance Imaging (MRI) is an imaging modality which provides anatomical or functional images of the human body with variable contrasts in an arbitrarily positioned slice without the need for ionizing radiation. In MRI, data are not acquired directly, but in the reciprocal image space (otherwise known as k-space) through the application of spatially variable magnetic field gradients. The k-space is made up of a grid of data points which are generally acquired in a line-by-line fashion (Cartesian imaging). After the acquisition, the k-space data are transformed into the image domain using the Fast Fourier Transformation (FFT). However, the acquisition of data is not limited to the rectilinear Cartesian sampling scheme described above. Non-Cartesian acquisitions, where the data are collected along exotic trajectories, such as radial and spiral, have been shown to be beneficial in a number of applications. However, despite their additional properties and potential advantages, working with non-Cartesian data can be complicated. The primary difficulty is that non-Cartesian trajectories are made up of points which do not fall on a Cartesian grid, and a simple and fast FFT algorithm cannot be employed to reconstruct images from non-Cartesian data. In order to create an image, the non-Cartesian data are generally resampled on a Cartesian grid, an operation known as gridding, before the FFT is performed. Another challenge for non-Cartesian imaging is the combination of unusual trajectories with parallel imaging. This thesis has presented several new non-Cartesian parallel imaging methods which simplify both gridding and the reconstruction of images from undersampled data. In Chapter 4, a novel approach which uses the concepts of parallel imaging to grid data sampled along a non-Cartesian trajectory called GRAPPA Operator Gridding (GROG) is described. GROG shifts any acquired k-space data point to its nearest Cartesian location, thereby converting non-Cartesian to Cartesian data. The only requirements for GROG are a multi-channel acquisition and a calibration dataset for the determination of the GROG weights. Chapter 5 discusses an extension of GRAPPA Operator Gridding, namely Self-Calibrating GRAPPA Operator Gridding (SC-GROG). SC-GROG is a method by which non-Cartesian data can be gridded using spatial information from a multi-channel coil array without the need for an additional calibration dataset, as required in standard GROG. Although GROG can be used to grid undersampled datasets, it is important to note that this method uses parallel imaging only for gridding, and not to reconstruct artifact-free images from undersampled data. Chapter 6 introduces a simple, novel method for performing modified Cartesian GRAPPA reconstructions on undersampled non-Cartesian k-space data gridded using GROG to arrive at a non-aliased image. Because the undersampled non-Cartesian data cannot be reconstructed using a single GRAPPA kernel, several Cartesian patterns are selected for the reconstruction. Finally, Chapter 7 discusses a novel method of using GROG to mimic the bunched phase encoding acquisition (BPE) scheme. In MRI, it is generally assumed that an artifact-free image can be reconstructed only from sampled points which fulfill the Nyquist criterion. However, the BPE reconstruction is based on the Generalized Sampling Theorem of Papoulis, which states that a continuous signal can be reconstructed from sampled points as long as the points are on average sampled at the Nyquist frequency. A novel method of generating the "bunched" data using GRAPPA Operator Gridding (GROG), which shifts datapoints by small distances in k-space using the GRAPPA Operator instead of employing zig-zag shaped gradients, is presented in this chapter. With the conjugate gradient reconstruction method, these additional "bunched" points can then be used to reconstruct an artifact-free image from undersampled data. This method is referred to as GROG-facilitated Bunched Phase Encoding, or GROG-BPE.}, subject = {NMR-Tomographie}, language = {en} } @phdthesis{Schumm2008, author = {Schumm, Marcel}, title = {ZnO-based semiconductors studied by Raman spectroscopy: semimagnetic alloying, doping, and nanostructures}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-37045}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {ZnO-based semiconductors were studied by Raman spectroscopy and complementary methods (e.g. XRD, EPS) with focus on semimagnetic alloying with transition metal ions, doping (especially p-type doping with nitrogen as acceptor), and nanostructures (especially wet-chemically synthesized nanoparticles).}, subject = {Wide-gap-Halbleiter}, language = {en} } @phdthesis{Schmit2008, author = {Schmit, Fabienne}, title = {LINC, a novel protein complex involved in the regulation of G2/M genes}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-29336}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Regulated progression through the cell cycle is essential for ordered cell proliferation. One of the best characterized tumor suppressors is the retinoblastoma protein pRB, which together with the E2F transcription factors regulates cell cycle progression. In the model organisms Drosophila melanogaster and Caenorhabditis elegans, RB/E2F containing multiprotein complexes have been described as transcriptional regulators of gene expression. This work first describes a homologous complex in human cells named LINC (for LIN complex). It consists of a stable core complex containing LIN-9, LIN-37, LIN-52, LIN-54 and RbAp48. This core complex interacts cell cycle-dependently with different pocket proteins and transcription factors. In quiescent cells, LINC associates with p130 and E2F4. In S-phase cells these interactions are lost and LINC binds to B-MYB and p107. The transient knock-down of LIN-54 in primary fibroblasts, as the depletion of LIN-9, leads to cell cycle defects. The cells are delayed before the entry into mitosis. This effect is due to the fact that the knock-down of LINC components leads to the downregulation of cell cycle genes responsible for the entry into and exit from mitosis as well as for checkpoints during mitosis. These LINC target genes are known E2F G2/M target genes, which are expressed later than the classical G1/S E2F target genes. The transcriptional regulation by LINC is a direct effect as LINC binds to the promoters of its target genes throughout the cell cycle. LINC contains three DNA-binding proteins. E2F4 and B-MYB, which cell cycle-dependently bind to LINC, are known DNA-binding transcription factors. Additionally, it is show here that the LINC core complex member LIN-54 also directly binds to the promoter of a LINC target gene. Although the exact molecular mechanism of LINC function needs to be analyzed further, data in this work provide a model for the delayed activation of G2/M target genes. B-MYB, a G1/S E2F target gene, binds to LINC upon its expression in S-phase. Then only LINC is a transcriptional activator that induces the expression of the G2/M genes. This provides an explanation for the delayed expression of these E2F G2/M target genes.}, subject = {Zellzyklus}, language = {en} } @phdthesis{Schmidt2008, author = {Schmidt, R{\"u}diger}, title = {Perylene Bisimide and Acene Derivatives as Organic Semiconductors in OTFTs}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-29314}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {This thesis deals with the synthesis of improved organic semiconductors, the detailed investigation of the molecular properties and the solid state arrangements revealed by single crystal X-ray diffraction and finally the development of structureperformance dependencies by measuring of the charge carrier mobilities of the derivatives in thin film transistors. The two main-goals of this thesis were achieved. Well soluble acene derivatives for spin-coated TFTs were obtained, showing charge carrier mobilities in the range of polymer p-type materials. Novel core-fluorinated perylene bisimide dyes were synthesized particularly and the use of electron deficient substituents lead to PBIs with outstanding air-stable mobilities in thin film transistors prepared by vacuum deposition techniques. The relationship between performance, air stability and solid state packing was elucidated in detail by single crystal X-ray diffraction analysis.}, subject = {D{\"u}nnschichttransistor}, language = {en} } @phdthesis{Schmidt2008, author = {Schmidt, Manuel J.}, title = {Replica Symmetry Breaking at Low Temperatures}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-30660}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {In this thesis, the low-temperature regime of replica symmetry breaking in the SK-model has been thoroughly investigated. In order to access this regime and to perform self-consistence calculations with high accuracy at high orders of replica symmetry breaking, a formalism has been developed which reduces the numerical effort to the absolute minimum. The central idea of its derivation is the identification of asymptotic regions in which the recursion relations can be solved analytically. The new object in the numerical treatment is then the correction to this asymptotic regime, represented by a sequence of so-called kernel correction functions. This method increased the effciency of the numerics considerably so that up to 200 orders of RSB could be calculated at zero temperature and zero external field, and up to 60 (65) orders of RSB for finite temperature (external field). The remarkable high precision of these calculations allowed the extraction of several quantities with accuracy exceeding the literature values by several orders of magnitude. The results of the numerical calculations have been analyzed in great detail. Especially the convergence behavior of various observables and of the order function with respect to the RSB order has been investigated since the high but finite RSB regime has been addressed in the present work for the first time. Several unexpected features of finite order replica symmetry breaking have been observed.}, subject = {Spin-Spin-Wechselwirkung}, language = {en} } @phdthesis{Schmid2008, author = {Schmid, Ursula}, title = {Protection against oxidative DNA damage by antioxidants, hormone-receptor blockers and HMG-CoA-reductase inhibitors}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-28379}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {In the course of this study, several endogenous compounds and model substances were used to mimic the conditions in patients suffering from hypertension. As endogenous compounds, angiotensin II and aldosterone were chosen. As model substances, 4-nitroquinoline-1-oxide (NQO), hydrogen peroxide and phorbol 12-myristate 13-acetate (PMA) were selected. Benfotiamine as well as \&\#945;-tocopherol proved in the course of the experiments to be able to prevent angiotensin II-induced formation of oxidative DNA strand breaks and micronuclei. This could be due to a prior inhibition of the release of reactive oxygen species and is in contrast to results which were achieved using thiamine. Furthermore, experiments in which cells were pre-incubated with benfotiamine followed by incubation with NQO showed that benfotiamine was not able to prevent the induction of oxidative stress. The hypothesis that benfotiamine has, like \&\#945;-tocopherol, direct antioxidative capacity was fortified by measurements in cell free systems. In brief, a new working mechanism for benfotiamine in addition to the ones already known could be provided. In the second part of the study, angiotensin II was shown to be dose-dependently genotoxic. This effect is mediated via the angiotensin II type 1 receptor (AT1R) which. Further experiments were extended from in vitro settings to the isolated perfused kidney. Here it could be shown that angiotensin II caused vasoconstriction and DNA strand breaks. Co-perfusion of kidneys with angiotensin II and candesartan prevented vasoconstriction and formation of strand breaks. DNA strand break formation due to mechanical stress or hypoxia could be ruled out after additional experiments with the thromboxane mimetic U 46619. Detailed investigation of the DNA damage in vitro revealed that angiotensin II induces single strand breaks, double strand breaks and 8-hydroxydeoxyguanosine (8-oxodG)-adducts as well as abasic sites. Investigations of the effects of aldosterone-treatment in kidney cells showed an increase of oxidative stress, DNA strand breaks and micronuclei which could be prevented by the steroidal mineralocorticoid receptor antagonist eplerenone. Additional experiments with the non-steroidal mineralocorticoid receptor antagonist (S)-BR-4628 revealed that this substance was also able to prevent oxidative stress and genomic damage and proved to be more potent than eplerenone. In vivo, hyperaldosteronism was imitated in rats by aid of the deoxycorticosteroneacetate (DOCA) salt model. After this treatment, levels of DNA strand breaks and chromosomal aberrations in the kidney could be observed. Furthermore, an increase in the release of ROS could be measured. Treatment of these animals with spironolactone , BR-4628 and enalaprile revealed that all antagonists were effective BR-4628 was the most potent drug. Finally, rosuvastatin was investigated. In HL-60 cells phorbol 12-myristate 13-acetate caused oxidative stress. Rosuvastatin was able to prevent the release of ROS and subsequent oxidative DNA damage when co-incubated with PMA. Furthermore, not only an inhibition of PMA-induced oxidative stress but also inhibition of the unspecific release of ROS induced by hydrogen peroxide was observable. Addition of farnesyl pyrophosphate (FPP), geranylgeranyl pyrophosphate (GGPP), and mevalonate, intermediates of the cholesterol pathway, caused only a marginal increase of oxidative stress in cells treated simultaneously with PMA and rosuvastatin, thus indicating the effect of rosuvastatin to be HMG-CoA-reductase-independent. Investigation of the gene expression of subunits of NAD(P)H oxidase revealed a down-regulation of p67phox following rosuvastatin-treatment. Furthermore, it could be shown that rosuvastatin treatment alone or in combination with PMA increased total glutathione levels probably due to an induction of the gene expression and enzyme activity of \&\#947;-glutamylcysteine synthetase (\&\#947;-GCS).}, subject = {Oxidativer Stress}, language = {en} } @misc{RostasRufZabkaetal.2008, author = {Rost{\´a}s, Michael and Ruf, Daniel and Zabka, Vanessa and Hildebrandt, Ulrich}, title = {Plant surface wax affects parasitoid's response to host footprints}, organization = {Michael Rost{\´a}s}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-29201}, year = {2008}, abstract = {The plant surface is the substrate upon which herbivorous insects and natural enemies meet and thus represents the stage for interactions between the three trophic levels. Plant surfaces are covered by an epicuticular wax layer which is highly variable depending on species, cultivar or plant part. Differences in wax chemistry may modulate ecological interactions. We explored whether caterpillars of Spodoptera frugiperda, when walking over a plant surface, leave a chemical trail (kairomones) that can be detected by the parasitoid Cotesia marginiventris. Chemistry and micromorphology of cuticular waxes of two barley eceriferum wax mutants (cer-za.126, cer-yp.949) and wild type cv. Bonus (wt) were assessed. The plants were then used to investigate potential surface effects on the detectability of caterpillar kairomones. Here we provide evidence that C. marginiventris responds to chemical footprints of its host. Parasitoids were able to detect the kairomone on wild type plants and on both cer mutants but the response to cer-yp.949 (reduced wax, high aldehyde fraction) was less pronounced. Experiments with caterpillar-treated wt and mutant leaves offered simultaneously, confirmed this observation: no difference in wasp response was found when wt was tested against cer-za.126 (reduced wax, wt-like chemical composition) but wt was significantly more attractive than cer-yp.949. This demonstrates for the first time that the wax layer can modulate the detectability of host kairomones.}, subject = {Brackwespen}, language = {en} } @article{RostasEggert2008, author = {Rost{\´a}s, Michael and Eggert, Katharina}, title = {Ontogenetic and spatio-temporal patterns of induced volatiles in Glycine max in the light of the optimal defence hypothesis}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-26991}, year = {2008}, abstract = {Plants attacked by herbivorous insects emit a blend of volatile compounds that serve as important host location cues for parasitoid wasps. Variability in the released blend may exist on the whole-plant and within-plant level and can affect the foraging efficiency of parasitoids. We comprehensively assessed the kinetics of herbivore-induced volatiles in soybean in the context of growth stage, plant organ, leaf age, and direction of signal transport. The observed patterns were used to test the predictions of the optimal defence hypothesis (OD). We found that plants in the vegetative stage emitted 10-fold more volatiles per biomass than reproductive plants and young leaves emitted >2.6 times more volatiles than old leaves. Systemic induction in single leaves was stronger and faster by one day in acropetal than in basipetal direction while no systemic induction was found in pods. Herbivore-damaged leaves had a 200-fold higher release rate than pods. To some extent these findings support the OD: i) indirect defence levels were increased in response to herbivory and ii) young leaves, which are more valuable, emitted more volatiles. However, the fact that reproductive structures emitted no constitutive or very few inducible volatiles is in seeming contrast to the OD predictions. We argue that in case of volatile emission the OD can only partially explain the patterns of defence allocation due to the peculiarity that volatiles act as signals not as toxins or repellents.}, subject = {Chemische {\"O}kologie}, language = {en} } @phdthesis{Rister2008, author = {Rister, Jens}, title = {Genetic dissection of peripheral pathways in the visual system of Drosophila}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-25980}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Die visuellen Systeme von Vertebraten und Invertebraten weisen {\"A}hnlichkeiten in den ersten Schritten visueller Informationsverarbeitung auf. Im menschlichen Gehirn werden zum Beispiel die Modalit{\"a}ten Farbe, Form und Bewegung separat in parallelen neuronalen Pfaden verarbeitet. Dieses grundlegende Merkmal findet sich auch bei der Fliege Drosophila melanogaster, welche eine {\"a}hnliche Trennung in farbsensitive und (farbenblinde) bewegungssensitive Pfade aufweist, die durch zwei verschiedene Gruppen von Photorezeptoren (dem R1-6 und dem R7/8 System) determiniert werden. Fliegen haben ein hoch organisiertes visuelles System, welches durch die repetitive, retinotope Organisation von vier Neuropilen charakterisiert ist: Dies sind die Lamina, die Medulla, die Lobula und die Lobulaplatte. Jedes einzelne besteht aus Kolumnen, die denselben Satz von Nervenzellen enthalten. In der Lamina formen Axonb{\"u}ndel von sechs Photorezeptoren R1-6, die auf denselben Bildpunkt blicken, S{\"a}ulen, die als Cartridges bezeichnet werden. Diese sind die funktionellen visuellen „sampling units" und sind mit vier Typen von Interneuronen erster Ordnung assoziiert, die von R1-6 den gleichen Input erhalten: L1, L2, L3 und die Amakrinzellen (amc, mit ihrem postsynaptischen Partner T1). Diese stellen parallele Pfade dar, die auf anatomischer Ebene im Detail untersucht wurden; jedoch ist wenig {\"u}ber ihre funktionelle Rolle bei der Verarbeitung f{\"u}r das Verhalten relevanter Information bekannt, z.B. hinsichtlich der Blickstabilisierung, der visuellen Kurskontrolle oder der Fixation von Objekten. Die Verf{\"u}gbarkeit einer Vielfalt von neurogenetischen Werkzeugen f{\"u}r die Struktur-Funktionsanalyse bei Drosophila erm{\"o}glicht es, erste Schritte in Richtung einer genetischen Zerlegung des visuellen Netzwerks zu unternehmen, das Bewegungs- und Positionssehen vermittelt. In diesem Zusammenhang erwies sich die Wahl des Effektors als entscheidend. {\"U}berraschenderweise wurde festgestellt, dass das clostridiale Tetanus-Neurotoxin die Photorezeptorsynapsen adulter Drosophila Fliegen nicht blockiert, hingegen irreversible Sch{\"a}den bei Expression w{\"a}hrend deren Entwicklung verursacht. Aus diesem Grund wurde das dominant-negative shibire Allel shits1, welches sich als geeigneter erwies, zur Blockierung der Lamina Interneurone verwendet, um die Notwendigkeit der jeweiligen Pfade zu analysieren. Um festzustellen, ob letztere auch hinreichend f{\"u}r das gleiche Verhalten waren, wurde f{\"u}r die umgekehrte Strategie die Tatsache ausgenutzt, daß die Lamina Interneurone Histaminrezeptoren exprimieren, die vom ort Gen kodiert werden. Die spezifische Rettung der ort Funktion in definierten Pfaden im mutanten Hintergrund erm{\"o}glichte festzustellen, ob sie f{\"u}r eine bestimmte Funktion hinreichend waren. Diese neurogenetischen Methoden wurden mit der optomotorischen Reaktion und dem objektinduzierten Orientierungsverhalten als Verhaltensmaß kombiniert, um folgende Fragen innerhalb dieser Doktorarbeit zu beantworten: (a) Welche Pfade stellen einen Eingang in elementare Bewegungsdetektoren dar und sind notwendig und/oder hinreichend f{\"u}r die Detektion gerichteter Bewegung? (b) Gibt es Pfade, die spezifisch Reaktionen auf unidirektionale Bewegung vermitteln? (c) Welche Pfade sind notwendig und/oder hinreichend f{\"u}r das objektinduzierte Orientierungsverhalten? Einige grundlegende Eigenschaften des visuellen Netzwerks konnten dabei aufgedeckt werden: Die zwei zentralen Cartridge Pfade, die von den großen Monopolarzellen L1 und L2 repr{\"a}sentiert werden, haben eine Schl{\"u}sselfunktion bei der Bewegungsdetektion. {\"U}ber ein breites Spektrum von Reizbedingungen hinweg sind die beiden Subsysteme redundant und k{\"o}nnen Bewegung unabh{\"a}ngig voneinander verarbeiten. Um eine Beeintr{\"a}chtigung des Systems festzustellen, wenn nur einer der beiden Pfade intakt ist, muß dieses an die Grenzen seiner Leistungsf{\"a}higkeit gebracht werden. Bei niedrigem Signal/Rauschverh{\"a}ltnis, d.h. bei geringem Musterkontrast oder geringer Hintergrundbeleuchtung, hat der L2 Pfad eine h{\"o}here Sensitivit{\"a}t. Bei mittlerem Musterkontrast sind beide Pfade auf die Verarbeitung unidirektionaler Bewegung in entgegengesetzten Reizrichtungen spezialisiert. Im Gegensatz dazu sind weder der L3, noch der amc/T1 Pfad notwendig oder hinreichend f{\"u}r die Detektion von Bewegungen. W{\"a}hrend der erstere Positionsinformation f{\"u}r Orientierungsverhalten zu verarbeiten scheint, nimmt der letztere eine modulatorische Rolle bei mittlerem Kontrast ein. Es stellte sich heraus, daß das Orientierungsverhalten noch robuster als das Bewegungssehen ist und m{\"o}glicherweise auf einem weniger komplizierten Mechanismus beruht, da dieser keinen nichtlinearen Vergleich der Signale benachbarter visueller „sampling units" ben{\"o}tigt. Die Fixation von Objekten setzt nicht grunds{\"a}tzlich das Bewegungssehen voraus, allerdings verbessert die Detektion von Bewegung die Fixation von Landmarken, im besonderen, wenn diese schmal sind oder einen geringen Kontrast aufweisen.}, subject = {Genetik}, language = {en} } @masterthesis{Rieger2008, type = {Bachelor Thesis}, author = {Rieger, Vanessa}, title = {The Challenge of Managerial Staff Shortage on the Chinese Labor Market - The Development of HRM in China}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-34437}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {One of the major challenges today is the global shortage of managerial staff. Globalization and opening up of new markets lead to a steadily rising demand, but the supply of Western talent is decreasing. Now enterprises tend to seek skilled personnel in rapidly developing economies such as China. China as a fast growing economy is usually assumed to have a vast number of low-cost workers and a bountiful supply of talent. This perception is likely to turn out to be a miscalculation endangering efficiency, growth or even the existence of enterprises that are willing to enter the Chinese market. However, not only foreign enterprises located in China suffer from talent shortage. State enterprises are also affected by competition for managerial staff. The remains of the socialist era are not yet completely overcome, especially with respect to human resource management (HRM renli ziyuan guanli). Combined with the demographic shift towards an ageing society caused by the Cultural Revolution, the One-Child Policy and a higher life expectancy, the upcoming shortage could impede economic growth. It is the cause of an increase in wages and competition, as well as rapidly changing enterprise and HRM strategies. This thesis basically concentrates on the development of the HRM sector with regard to recruitment, retention, motivation and performance appraisal of managerial staff. The current situation of staff shortage also requires a closer look on the recruitment strategies for the future generation of leaders, which are today's young graduates. The thesis will not deal with the shortage of chief executive officers (CEO) as their turnover is closely related to shareholders and enterprise performance. Explaining this aspect would go beyond the scope of this thesis. Consequently, this thesis focuses on the central aspects of HRM under three main angles. First, HRM practice in China originated in the Mao era and in the shift from state control to reform and market liberalization. The Party planned every aspect of HRM and created a soft budget constraint. These factors prevented the development of efficient and profitable HRM strategies. Market liberalization and the state's retreat from labor market control led to the initiation of competition. In order to adapt to these changing conditions, enterprises had to rationalize production, financing and human resources. The responsibility was gradually handed over to the enterprises, which now have to cope with market mechanisms and emerging challenges. Then, the current challenge to HRM is subject to the second part of this thesis. Managerial staff shortage is influenced by policies adopted a long time ago, but also by long distances immobility of staff. This narrows down the number of suitable personnel despite the national supply and leads to a high competition between enterprises. Competition related problems are increasing wages, which trigger a high turnover rate. Companies in China need to find a solution to all these problems as to not endanger their economic achievements. Finally, the third part analyzes the development and new approaches of the HRM sector towards recruitment, retention, motivation and assessment. The future developments are uncertain and depend on the pace of adaptation to new challenges. In spite of that, the fourth part not only summarizes the main aspects of this thesis, but also tries to give an outlook. Concerning actuality and reliability of sources it has to be stressed, that the Chinese labor market has not been subject to studies on HRM for many years. Therefore, most of the references used in this thesis are newspaper articles and internet sources. They are most suitable to represent the current conditions on the labor market. In this respect the Hudson Reports and the study by Diana Farrell were important, as they are reliable sources for numerical data. The interview with Madelaine Pfau was essential for this thesis, since her experiences with the Chinese market offered insight into the subject. Several of her ideas and opinions were the basis for further research, such as the suggestion to take a look at the HRM of Haier. The minutes of this interview are attached to my thesis. The Chinese sources consist of two research studies, an internet newspaper article and a publication from BriTay. One of the research studies deals with the adaptation of the Behavioral Event Interview to the Chinese HRM. The other gives an introduction to the HRM strategies of Haier. The newspaper article covers the use of competency models in China and tries to give further suggestions to the topic in form of an interview. The last suitable Chinese source is also an internet source from BriTay. BriTay is a consulting and management service company that was acquired by the international consultancy MRI worldwide in 2002. Therefore, BriTay was considered to be another reliable source for this thesis.}, subject = {China}, language = {en} } @phdthesis{Reichert2008, author = {Reichert, Nina}, title = {The Role of LIN9 in Mouse Development}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-30889}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {LINC, the human homologue of an evolutionary conserved complex, regulates the transcription of a set of genes essential during the G2/M transition (Osterloh et al., 2007; Schmit et al., 2007). One component of the LINC core module is LIN-9. LIN-9 is essential for the transcriptional activation of LINC target genes and also promotes differentiation in association with pRB (Gagrica et al., 2004). However, nothing is known about its function in vivo. Histological and molecular analysis revealed that Lin9 is ubiquitously expressed throughout embryonic development and in all examined adult organs. Additionally, Lin9 mRNA is expressed in ES cells and blastocysts. Moreover the analogous distribution of the other LINC components suggested that they all function in the same cells and most likely in the same pathway. To deeper investigate the role of LIN9 in cell cycle and differentiation in vivo, a Lin9 gene trap mouse model (GT) was successfully generated and examined. Heterozygouse Lin9GT/+ mice were inconspicuous and develop normally. However, homozygouse knockout embryos were never obtained. The Lin9GT/GT embryos die at peri-implantation, probably due to a defect in the development of the epiblast, which could be shown with in situ hybridization with specific lineage markers. In vitro, the ICM of Lin9-deficient blastocysts did not develop properly. These data suggest that the loss of Lin9 leads to embryonic lethality at peri-implantation, and indicates that LIN9 is required for proper formation of the epiblast. In parallel, the first conditional Lin9 mouse model based on the Cre-loxP technology was generated. The Lin9fl/fl allele can be deleted by Cre-recombinase, in vivo and in vitro. Therefore an inducible system with Lin9fl/fl mice harboring Cre-ERT2 was established. The MEFs generated from these transgenic mice carried a nearly complete knockout upon induction with tamoxifen. Deletion of LIN9 in MEFs had a major impact upon the cell cycle and growth rates. Specifically, they arrested in G2/M phase and stopped to proliferate. Taken together, I was able to generate a lin9 gene trap and a lin9 conditional knockout mouse model. All results obtained so far demonstrate, that Lin9 is an essential gene for embryonic development and cell cycle control. It will be of great interest to further investigate Lin9-deficiency to gain insights into the mechanism of cell cycle control in early embryonic development and cell differentiation.}, subject = {Zellzyklus}, language = {en} } @phdthesis{Rehm2008, author = {Rehm, Thomas Helge}, title = {A Guide to Supramolecular Assemblies in Polar Solutions - From Nanometre-Sized Cyclic Dimers to Large Vesicular Structures}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-28359}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {This PhD thesis introduced several concepts for the construction of new supramolecular assem-blies in polar solvents. Although the building blocks differ in their binding mode and association strength they follow the same principle: one main driving force for the self-assembly in polar solutions in combination with one texturing force. The main self-assembly process is based on the mutual interaction of hydrogen-bond enforced ion pairs which deliver the association energy needed for stable, supramolecular structures even in polar solvents. The texturing force itself is represented by the linkers between the zwitterionic building blocks or parts of them. The different length and functionalization of the linkers have a tremendous influence on the mode of self-assembly leading to cyclic dimers, vesicles, layers or solid spheres. Hence, this principle is suitable for the construction of programmable monomers. Since the derivatisation of the main binding motive is rather simple it offers a great number of new and undoubtedly fascinating structures with potential applications in material and biomimetic science.}, subject = {Supramolekulare Chemie}, language = {en} } @phdthesis{Qiu2008, author = {Qiu, Liyan}, title = {Structural and functional analysis of crossveinless 2 / BMP-2 /Chordin interaction}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-29249}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {No abstract available}, language = {en} } @phdthesis{Purea2008, author = {Purea, Edmund Armin}, title = {New Methods and Applications in Nuclear Magnetic Resonance Microscopy using small RF Coils}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-31066}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Nuclear magnetic resonance (NMR) imaging is a well-established imaging technique. If the achieved spatial resolution is below 100 um, it is usually denoted as magnetic resonance microscopy (MRM). The spatial resolution limit is on the order of a few um. As a downside, high resolution imaging is usually time-consuming and technological requirements are very sumptuous. Furthermore, miniaturization of the radiofrequency (RF) coil leading to a so-called microcoil is necessary; it also brings along detrimental effects. Therefore, there is a high potential for optimizing present MRM methods. Hence it is the aim of this work to improve and further develop present methods in MRM with focus on the RF coil and to apply those methods on new biological applications. All experiments were conducted on a Bruker 17.6 T system with a maximum gradient strength of 1 T/m and four RF receiver channels. Minimizing the RF coil dimensions, leads to increased artefacts due to differences in magnetic susceptibility of the coil wire and surrounding air. Susceptibility matching by immersing the coil in FC-43 is the most common approach that fulfills the requirements of most applications. However, hardly any alternatives are known for cases where usage of FC-43 is not feasible due to its specific disadvantages. Two alternative substances (bromotricholoromethane and Fomblin Y25) were presented and their usability was checked by susceptibility determination and demonstration experiments after shimming under practical conditions. In a typical MRM microcoil experiment, the sample volume is significantly smaller than the maximum volume usable for imaging. This mismatch has been optimized in order to increase the experiment efficiency by increasing the number of probe coils and samples used. A four-channel probehead consisting of four individual solenoid coils suited for cellular imaging of Xenopus laevis oocytes was designed, allowing simultaneous acquisition from four samples. All coils were well isolated and allowed quantitative image acquisition with the same spatial resolution as in single coil operation. This method has also been applied in other studies for increased efficiency: using X. laevis oocytes as a single cell model, the effect of chemical fixation on intracellular NMR relaxation times T1 and T2 and on diffusion was studied for the first time. Significant reduction of relaxation times was found in all cell compartments; after reimmersion in buffer, values return close to the initial values, but there were small but statistically significant differences due to residual formaldehyde. Embryos of the same species have been studied morphologically in different developmental stages. Wild type embryos were compared to embryos that had experienced variations in protein levels of chromosomal proteins HMGN and H1A. Significant differences were found between wild type and HMGN-modified embryos, while no difference was observed between wild type and H1-modified embryos. These results were concordant with results obtained from light microscopy and histology. The technique of molecular imaging was also performed on X. laevis embryos. Commercially available antibodies coupled to ultrasmall superparamagnetic iron oxide (USPIO) dextrane coated particles (MACS) served as a specific probe detectable by MRM, the aim being the detection of tissue specific contrast variations. Initially, the relaxivity of MACS was studied and compared to Resovist and VSOP particles. The iron concentration was determined quantitatively by using a general theoretical approach and results were compared to values obtained from mass spectroscopy. After incubation with MACS antibodies, intraembryonal relaxation times were determined in different regions of the embryo. These values allowed determination of local iron oxide particle concentrations, and specific binding could be distinguished from unspecific binding. Although applications in this work were focused on X. laevis oocytes and embryos, 3D-imaging on a beewolf head was also carried out in order to visualize the postpharyngeal gland. Additionally, an isolated beewolf antenna was imaged with a spatial resolution of (8 um)^3 for depiction of the antennal glands by using a microcoil that was specially designed for this sample. The experiments carried out in this work show that commercially available MRM systems can be significantly optimized by using small sample-adapted RF coils and by parallel operation of multiple coils, by which the sample throughput and thus time-efficiency is increased. With this optimized setup, practical use was demonstrated in a number of new biological applications.}, subject = {Magnetische Resonanz}, language = {en} } @phdthesis{Preston2008, author = {Preston, Christina}, title = {Multi-element Stable Isotope Analysis of Alkylpyrazines and Pyridine from Roast Coffee}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-33360}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Gas chromatography - isotope ratio mass spectrometry (HRGC-IRMS) is an established technology for the authenticity assessment of achiral aroma compounds. For this technique, authentic reference data for both 'natural' and 'synthetic' origins of the aroma compounds is needed to define the limits and possibilities of authenticity assessments. For different fruit aroma compounds databases have been accumulated and have been used successfully. But this simplicity in the procedure of accumulating samples and filling the database fails, when the generation of aroma compounds are dependant on, not only the fruit itself, but also on a technological process as in the case of roasting coffee beans. In such a case, it is not enough simply to analyse samples from different origins for the database, but an examination of the influence of the technological process of roasting on the aroma is also needed. Furthermore, the generation process of the aroma compounds from their precursors during roasting should be analysed and determined. The aim of this study was, therefore, to build up a database for alkylpyrazines (and pyridine) from roasted coffee, and to elucidate the questions determining the alkylpyrazine and pyridine generation in coffee beans in all aspects. For this purpose arabica and robusta green coffees from different regions of the world were roasted, and the stable isotope ratios, 15N/14N and 2H/1H, of the produced alkylpyrazines and pyridine were compared to those of references, commercially available roast coffees, unspecified roast coffees, coffee products and coffee aromas. Additionally, the \&\#948;2HV-SMOW isotopic stability of alkylpyrazines in different solvents was determined to exclude isotopic effects in coffee products and coffee aromas. To elucidate the question as to how the stable isotope values, 15N/14N, 2H/1H and 13C/12C, of alkylpyrazine references were obtained and if these could be influenced somehow, different alkylpyrazines were synthesised. The generation process of alkylpyrazines during the roasting of coffee was analysed, by both roasting experiments and the fractionation of green coffee beans, into compound classes with subsequent roastings.}, subject = {R{\"o}stkaffee}, language = {en} } @phdthesis{Pollinger2008, author = {Pollinger, Florian}, title = {Surface stress and large-scale self-organization at organic-metal interfaces}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-33310}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Anhand von Modellsystemen wurde in dieser Arbeit die Bedeutung elastischer Wechselwirkungen an Organik-Metall Grenzfl{\"a}chen, insbesondere f{\"u}r die Selbstorganisierte Ausbildung periodisch facettierter Strukturen, untersucht. Die {\"A}nderung der Oberfl{\"a}chenspannung w{\"a}hrend der Ausbildung der Grenzfl{\"a}che zwischen 3,4,9,10-Perylentetracarbons{\"a}uredianhydrid (PTCDA) und Ag(111) wurde mit der Biegekristalltechnik gemessen. Es ist bekannt, dass dieses System durch eine chemisorptive Bindung bestimmt wird. In der Tat stimmen Vorzeichen und Bedeckungsabh{\"a}ngigkeit mit Vorhersagen und Experimenten aus der Literatur zu chemisorptiv bestimmten Grenzfl{\"a}chen {\"u}berein. W{\"a}hrend der Einbau von Molek{\"u}len in große Dom{\"a}nen die Oberfl{\"a}chenspannung verringert, f{\"u}hrt das Auftreten von fehlerhaften Dom{\"a}nengrenzen zu einer Erh{\"o}hung der Oberfl{\"a}chenspannung. Die absolute {\"A}nderung der Oberfl{\"a}chenspannung in der H{\"o}he von (0.30 +- 0.10) N/m ist in der relativ schwachen Wechselwirkung des PTCDA Molek{\"u}ls mit einem einzelnen Silberatom begr{\"u}ndet. Es soll jedoch betont werden, dass dieser Wert einer Oberfl{\"a}chenspannungs{\"a}nderung von (2.2 +- 0.2) eV pro Molek{\"u}l entspricht, die damit in derselben Gr{\"o}ßenordnung wie die vermutete Bindungsenergie des Systems liegt. Daher zeigen diese Experimente, dass elastische Wechselwirkungen eine nicht zu vernachl{\"a}ssigende Rolle in dieser ganzen Materialklasse spielen k{\"o}nnen. Dadurch tragen die Experimente eine neue Sichtweise zum Verst{\"a}ndnis dieser Grenzfl{\"a}chen bei. Ferner etablieren sie die Biegekristalltechnik auf dem ganzen Feld der Organik-Metall Grenzfl{\"a}chen, da die Ergebnisse in Einklang mit den wohlbekannten Eigenschaften des Systems liegen. Schon der Nachweis einer Durchbiegung der Probe ist speziell f{\"u}r die Grenzfl{\"a}che PTCDA/Ag(111) von Bedeutung. Dieser Effekt ist der erste experimentelle Nachweis einer strukturellen {\"A}nderung in den obersten Substratatomlagen w{\"a}hrend der Adsorption von PTCDA auf Ag(111). Da eine solche Modifikation nicht zu vernachl{\"a}ssigende Konsequenzen f{\"u}r die Interpretation anderer experimenteller Ergebnisse hat, erscheinen weitere Studien mit anderen, quantitativeren strukturellen Methoden notwendig. Der Schwerpunkt dieser Arbeit lag jedoch auf der Untersuchung der Ausbildung der langreichweitigen, selbstorganisierten Ordnung der facettierten PTCDA/Ag(10 8 7) Grenzfl{\"a}che. Der reziproke Raum dieser Grenzfl{\"a}che wurde sowohl mit mittelnder hochaufl{\"o}sender Elektronenbeugung (SPA-LEED) als auch mit lokaler Elektronenbeugung in der Mikroskopie niederenergetischer Elektronen (LEEM) kartiert. Außerdem wurden diese reziproken Daten durch mikroskopische LEEM Realraumdaten komplement{\"a}r erg{\"a}nzt um die Morphologie der Grenzfl{\"a}che zu charakterisieren. F{\"u}r die gew{\"a}hlte Pr{\"a}parationsart, Adsorption der Molek{\"u}le auf das 550 K warme Substrat, wurden sechs verschiedene Facettentypen ((111), (532), (743),(954), (13 9 5) und (542)) beobachtet. Diese Facettentypen treten in homogenen, mikrometergroßen Gebieten auf der Oberfl{\"a}che auf, wie Dunkelfeld-LEEM Aufnahmen zeigen. Wenn jedoch die urspr{\"u}ngliche mesoskopische Orientierung der Oberfl{\"a}che lokal von der Durchschnittsorientierung z.B. in Bezug auf die urspr{\"u}ngliche Stufendichte abweicht, werden an dieser Stelle andere Facettentypen gebildet und damit das ansonsten regelm{\"a}ßige Muster gest{\"o}rt. Sowohl der Grad der erreichten Ordnung der facettierten Grenzfl{\"a}che als auch die gebildeten Facettentypen h{\"a}ngen somit stark von der urspr{\"u}nglichen mesoskopischen Morphologie des sauberen Substrates ab. Um das Verst{\"a}ndnis der kinetischen Prozesse zu verbessern wurde die Temperaturabh{\"a}ngigkeit der Ausbildung der Grenzfl{\"a}che in einem Temperaturbereich zwischen 418 K und 612 K untersucht. Bei niedrigen Wachstumstemperaturen traten zus{\"a}tzliche, steilere Facetten mit einem Neigungswinkel von 27° gegen{\"u}ber der (111) Fl{\"a}che auf. Weiterhin wurde mit facetten-sensitivem Dunkelfeld-LEEM die Gr{\"o}ßen- sowie die r{\"a}umliche Verteilung ausgew{\"a}hlter Facettentypen bei den verschiedenen Temperaturen untersucht. Die Nukleationsdichte der Facetten zeigte dabei keine Temperaturabh{\"a}ngigkeit. Eine Diffusionslimitierung der Nukleation kann daher ausgeschlossen werden. Dar{\"u}ber hinaus wurden die Ausmaße der Facetten statistisch ausgewertet. Die absolute Facettengr{\"o}ße folgt einer exponentiellen Verteilung, was auf ein zufallsgetriebenes Wachstum und das Fehlen einer Wechselwirkung der Facetten untereinander hinweist. W{\"a}hrend die Facettenl{\"a}ngen ebenso einer exponentiellen Verteilung unterliegen, ist die Breitenverteilung durch ein Maximum ausgezeichnet. Letztere Verteilung spiegelt den hohen Grad an lateraler Ordnung in dem System wieder. Diese Anisotropie h{\"a}ngt von der Temperatur ab und kann bei Substrattemperaturen {\"u}ber 478 K w{\"a}hrend des Wachstums beobachtet werden. Die Existenz eines Maximums in einer solchen Gr{\"o}ßenverteilung weist auf eine langreichweitige Wechselwirkung hin, die die strukturelle Ordnung induziert. Die Natur dieser langreichweitigen Wechselwirkung wurde mit drei komplement{\"a}ren in-situ Methoden untersucht, wobei jeweils neue Einblicke in die Ausbildung von facettierten Organik-Metall-Grenzfl{\"a}chen gewonnen werden konnten: Die Biegekristalltechnik, hochaufl{\"o}sende Beugung niederenergetischer Elektronen (SPALEED), sowie deren Mikroskopie (LEEM). Die Biegekristalltechnik wurde das erste Mal {\"u}berhaupt auf ein facettierendes System angewendet. Unterhalb der kritischen Temperatur des Facettierungs{\"u}berganges {\"a}hnelt die Oberfl{\"a}chenspannungs{\"a}nderung w{\"a}hrend der Bildung der PTCDA/Ag(10 8 7)-Grenzfl{\"a}chenbildung sowohl in funktionaler Abh{\"a}ngigkeit als auch in der Gr{\"o}ßenordnung der f{\"u}r die Referenzgrenzfl{\"a}che PTCDA/Ag(111) beobachteten. Oberhalb der {\"U}bergangstemperatur beobachtet man jedoch f{\"u}r die ausfacettierte PTCDA/Ag(10 8 7) Grenzfl{\"a}che mit (0.67 +- 0.10) N/m eine bedeutend gr{\"o}ßere Oberfl{\"a}chenspannungs{\"a}nderung als in den vorherigen F{\"a}llen. Zudem {\"a}ndert sich die Oberfl{\"a}chenspannung in klar unterscheidbaren Schritten mit einer eindeutig aufl{\"o}sbaren Feinstruktur aus positiven und negativen Spannungs{\"a}nderungen. Diese einzelnen Phasen in der {\"A}nderung der Oberfl{\"a}chenspannung k{\"o}nnen Stufen in der Entwicklung der Struktur{\"u}berganges dieses Systems zugeordnet werden, die mit den strukturellen Charakterisierungsmethoden beobachtet wurden. Durch diese Identifikation werden morphologischen Objekten, also den Facetten, ein eigener besonderer Spannungscharakter zugeordnet. Somit werden aber auch Spannungsdom{\"a}nen auf der Oberfl{\"a}che identifiziert. Die Existenz dieser Spannungsdom{\"a}nen ist nun aber die Vorraussetzung f{\"u}r die Anwendung von elastizit{\"a}tsbasierten Kontinuumsbeschreibungen des Selbstordnungseffektes. Daher stellen diese Ergebnisse den ersten experimentellen Nachweis dar, dass diese Kontinuumsbeschreibungen der Selbstorganisation tats{\"a}chlich auch auf die gesamte Materialklasse der facettierenden Organik-Metall-Grenzfl{\"a}chen angewendet werden k{\"o}nnen. Zusammengefasst sind diese Ergebnisse starke Beweise daf{\"u}r, dass elastische Wechselwirkungen der physikalische Ursprung der langreichweitigen Ordnung dieses Systems sind. Weiterhin legt die eindeutige Korrelation zwischen strukturellem Phasen{\"u}bergang und Oberfl{\"a}chenspannungs{\"a}nderung auch nahe, dass letzterer ebenso eine wichtige Rolle in der Kinetik des Systems spielt. Tats{\"a}chlich scheint das System zu versuchen die Gesamt{\"a}nderung der Oberfl{\"a}chenspannung w{\"a}hrend der Grenzfl{\"a}chenbildung durch die Bildung von Facettentypen positiven und negativen Charakters zu begrenzen. Daher k{\"o}nnte die Art ihres Beitrags zur Oberfl{\"a}chenspannungs{\"a}nderung dar{\"u}ber entscheiden, ob eine bestimmte Facettenorientierung gebildet wird oder nicht. Auch scheint das System sich bei hohen Bedeckungen unter anderem deshalb erneut umzufacettieren um der Bildung von fehlerhaften Dom{\"a}nengrenzen entgegenzuwirken, die mit einem Anstieg der Oberfl{\"a}chenspannung verbunden w{\"a}ren. Schließlich wurde im Rahmen dieser Arbeit noch das templatunterst{\"u}tzte Wachstum lateraler, heteroorganischer Nanostrukturen untersucht. Dabei wurde ein zweites, typisches molekulares Modellsystem, sogenannte "Selbstassemblierte Monolagen", auf der teilbedeckten PTCDA/Ag(10 8 7) Grenzfl{\"a}che aufgewachsen. Mit Standardmethoden der Oberfl{\"a}chencharakterisierung konnte nachgewiesen werden, dass die grundlegenden Eigenschaften dieses Wachstumsprinzips im Experiment in der Tat erreicht werden.}, subject = {Selbstorganisation}, language = {en} } @article{PoethkeLiebig2008, author = {Poethke, Hans J. ; and Liebig, J{\"u}rgen}, title = {Risk-sensitive foraging and the evolution of cooperative breeding and reproductive skew}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-48214}, year = {2008}, abstract = {Abstract: Background Group formation and food sharing in animals may reduce variance in resource supply to breeding individuals. For some species it has thus been interpreted as a mechanism of risk avoidance. However, in many groups reproduction is extremely skewed. In such groups resources are not shared equally among the members and inter-individual variance in resource supply may be extreme. The potential consequences of this aspect of group living have not attained much attention in the context of risk sensitive foraging. Results We develop a model of individually foraging animals that share resources for reproduction. The model allows analyzing how mean foraging success, inter-individual variance of foraging success, and the cost of reproduction and offspring raising influence the benefit of group formation and resource sharing. Our model shows that the effects are diametrically opposed in egalitarian groups versus groups with high reproductive skew. For individuals in egalitarian groups the relative benefit of group formation increases under conditions of increasing variance in foraging success and decreasing cost of reproduction. On the other hand individuals in groups with high skew will profit from group formation under conditions of decreasing variance in individual foraging success and increasing cost of reproduction. Conclusion The model clearly demonstrates that reproductive skew qualitatively changes the influence of food sharing on the reproductive output of groups. It shows that the individual benefits of variance reduction in egalitarian groups and variance enhancement in groups with reproductive skew depend critically on ecological and life-history parameters. Our model of risk-sensitive foraging thus allows comparing animal societies as different as spiders and birds in a single framework.}, language = {en} } @phdthesis{Pinkert2008, author = {Pinkert, Stefan}, title = {The human proteome is shaped by evolution and interactions}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-35566}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Das menschliche Genom ist seit 2001 komplett sequenziert. Ein Großteil der Proteine wurde mittlerweile beschrieben und t{\"a}glich werden bioinformatische Vorhersagen praktisch best{\"a}tigt. Als weiteres Großprojekt wurde k{\"u}rzlich die Sequenzierung des Genoms von 1000 Menschen gestartet. Trotzdem ist immer noch wenig {\"u}ber die Evolution des gesamten menschlichen Proteoms bekannt. Proteindom{\"a}nen und ihre Kombinationen sind teilweise sehr detailliert erforscht, aber es wurden noch nicht alle Dom{\"a}nenarchitekturen des Menschen in ihrer Gesamtheit miteinander verglichen. Der verwendete große hochqualitative Datensatz von Protein-Protein-Interaktionen und Komplexen stammt aus dem Jahr 2006 und erm{\"o}glicht es erstmals das menschliche Proteom mit einer vorher nicht m{\"o}glichen Genauigkeit analysieren zu k{\"o}nnen. Hochentwickelte Cluster Algorithmen und die Verf{\"u}gbarkeit von großer Rechenkapazit{\"a}t bef{\"a}higen uns neue Information {\"u}ber Proteinnetzwerke ohne weitere Laborarbeit zu gewinnen. Die vorliegende Arbeit analysiert das menschliche Proteom auf drei verschiedenen Ebenen. Zuerst wurde der Ursprung von Proteinen basierend auf ihrer Dom{\"a}nenarchitektur analysiert, danach wurden Protein-Protein-Interaktionen untersucht und schließlich erfolgte Einteilung der Proteine nach ihren vorhandenen und fehlenden Interaktionen. Die meisten bekannten Proteine enthalten mindestens eine Dom{\"a}ne und die Proteinfunktion ergibt sich aus der Summe der Funktionen der einzelnen enthaltenen Dom{\"a}nen. Proteine, die auf der gleichen Dom{\"a}nenarchitektur basieren, das heißt die die gleichen Dom{\"a}nen in derselben Reihenfolge besitzen, sind homolog und daher aus einem gemeinsamen urspr{\"u}nglichen Protein entstanden. Die Dom{\"a}nenarchitekturen der urspr{\"u}nglichen Proteine wurden f{\"u}r 750000 Proteine aus 1313 Spezies bestimmt. Die Gruppierung von Spezies und ihrer Proteine ergibt sich aus taxonomischen Daten von NCBI-Taxonomy, welche mit zus{\"a}tzlichen Informationen basierend auf molekularen Markern erg{\"a}nzt wurden. Der resultierende Datensatz, bestehend aus 5817 Dom{\"a}nen und 32868 Dom{\"a}nenarchitekturen, war die Grundlage f{\"u}r die Bestimmung des Ursprungs der Proteine aufgrund ihrer Dom{\"a}nenarchitekturen. Es wurde festgestellt, dass nur ein kleiner Teil der neu evolvierten Dom{\"a}nenarchitekturen eines Taxons gleichzeitig auch im selben Taxon neu entstandene Proteindom{\"a}nen enth{\"a}lt. Ein weiteres Ergebnis war, dass Dom{\"a}nenarchitekturen im Verlauf der Evolution l{\"a}nger und komplexer werden, und dass so verschiedene Organismen wie der Fadenwurm, die Fruchtfliege und der Mensch die gleiche Menge an unterschiedlichen Proteinen haben, aber deutliche Unterschiede in der Anzahl ihrer Dom{\"a}nenarchitekturen aufweisen. Der zweite Teil besch{\"a}ftigt sich mit der Frage wie neu entstandene Proteine Bindungen mit dem schon bestehenden Proteinnetzwerk eingehen. In fr{\"u}heren Arbeiten wurde gezeigt, dass das Protein-Interaktions-Netzwerk ein skalenfreies Netz ist. Skalenfreie Netze, wie zum Beispiel das Internet, bestehen aus wenigen Knoten mit vielen Interaktionen, genannt Hubs, und andererseits aus vielen Knoten mit wenigen Interaktionen. Man vermutet, dass zwei Mechanismen zur Entstehung solcher Netzwerke f{\"u}hren. Erstens m{\"u}ssen neue Proteine um auch Teil des Proteinnetzwerkes zu werden mit Proteinen interagieren, die bereits Teil des Netzwerkes sind. Zweitens interagieren die neuen Proteine, gem{\"a}ß der Theorie der bevorzugten Bindung, mit h{\"o}herer Wahrscheinlichkeit mit solchen Proteinen im Netzwerk, die schon an zahlreichen weiteren Protein-Interaktionen beteiligt sind. Die Human Protein Reference Database stellt ein auf Informationen aus in-vivo Experimenten beruhendes Proteinnetzwerk f{\"u}r menschliche Proteine zur Verf{\"u}gung. Basierend auf den in Kapitel I gewonnenen Informationen wurden die Proteine mit dem Ursprungstaxon ihrer Dom{\"a}nenarchitekturen versehen. Dadurch wurde gezeigt, dass ein Protein h{\"a}ufiger mit Proteinen, die im selben Taxon entstanden sind, interagiert, als mit Proteinen, die in anderen Taxa neu aufgetreten sind. Es stellte sich heraus, dass diese Interaktionsraten f{\"u}r alle Taxa deutlich h{\"o}her waren, als durch das Zufallsmodel vorhergesagt wurden. Alle Taxa enthalten den gleichen Anteil an Proteinen mit vielen Interaktionen. Diese zwei Ergebnisse sprechen dagegen, dass die bevorzugte Bindung der alleinige Mechanismus ist, der zum heutigen Aufbau des menschlichen Proteininteraktion-Netzwerks beigetragen hat. Im dritten Teil wurden Proteine basierend auf dem Vorhandensein und der Abwesenheit von Interaktionen in Gruppen eingeteilt. Proteinnetzwerke k{\"o}nnen in kleine hoch vernetzte Teile zerlegt werden, die eine spezifische Funktion aus{\"u}ben. Diese Gruppen k{\"o}nnen mit hoher statistischer Signifikanz berechnet werden, haben meistens jedoch keine biologische Relevanz. Mit einem neuen Algorithmus, welcher zus{\"a}tzlich zu Interaktionen auch Nicht-Interaktionen ber{\"u}cksichtigt, wurde ein Datensatz bestehend aus 8,756 Proteinen und 32,331 Interaktionen neu unterteilt. Eine Einteilung in elf Gruppen zeigte hohe auf Gene Ontology basierte Werte und die Gruppen konnten signifikant einzelnen Zellteilen zugeordnet werden. Eine Gruppe besteht aus Proteinen, welche wenige Interaktionen miteinander aber viele Interaktionen zu zwei benachbarten Gruppen besitzen. Diese Gruppe enth{\"a}lt eine signifikant erh{\"o}hte Anzahl an Transportproteinen und die zwei benachbarten Gruppen haben eine erh{\"o}hte Anzahl an einerseits extrazellul{\"a}ren und andererseits im Zytoplasma und an der Membran lokalisierten Proteinen. Der Algorithmus hat damit unter Beweis gestellt das die Ergebnisse nicht bloß statistisch sondern auch biologisch relevant sind. Wenn wir auch noch weit vom Verst{\"a}ndnis des Ursprungs der Spezies entfernt sind, so hat diese Arbeit doch einen Beitrag zum besseren Verst{\"a}ndnis der Evolution auf dem Level der Proteine geleistet. Im Speziellen wurden neue Erkenntnisse {\"u}ber die Beziehung von Proteindom{\"a}nen und Dom{\"a}nenarchitekturen, sowie ihre Pr{\"a}ferenzen f{\"u}r Interaktionspartner im Interaktionsnetzwerk gewonnen.}, subject = {Evolution}, language = {en} } @phdthesis{PimentelElardo2008, author = {Pimentel Elardo, Sheila Marie}, title = {Novel anti-infective secondary metabolites and biosynthetic gene clusters from actinomycetes associated with marine sponges}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-40463}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Marine sponges (Porifera) harbor diverse microbial communities within their mesohyl, among them representatives of the phylum Actinobacteria, commonly known as actinomycetes. Actinomycetes are prolific producers of pharmacologically important compounds and are responsible for producing the majority of antibiotics. The main aim of this Ph.D. study was to investigate the metabolic potential of the sponge-associated actinomycetes to produce novel anti-infective agents. The first aim was to cultivate actinomycetes derived from different marine sponges. 16S rDNA sequencing revealed that the strains belonged to diverse actinomycete genera such as Gordonia, Isoptericola, Micromonospora, Nocardiopsis, Saccharopolyspora and Streptomyces. Phylogenetic analyses and polyphasic characterization further revealed that two of these strains represent new species, namely Saccharopolyspora cebuensis strain SPE 10-1T (Pimentel-Elardo et al. 2008a) and Streptomyces axinellae strain Pol001T (Pimentel-Elardo et al. 2008b). Furthermore, secondary metabolite production of the actinomycete strains was investigated. The metabolites were isolated using a bioassay-guided purification scheme followed by structure elucidation using spectroscopic methods and subjected to an elaborate anti-infective screening panel. Several interesting compounds were isolated namely, the novel polyketides cebulactam A1 and A2 (Pimentel-Elardo et al. 2008c), a family of tetromycin compounds including novel derivatives, cyclodepsipeptide valinomycin, indolocarbazole staurosporine, diketopiperazine cycloisoleucylprolyl and butenolide. These compounds exhibited significant anti-parasitic as well as protease inhibitory activities. The third aim of this Ph.D. study was to identify biosynthetic gene clusters encoding for nonribosomal peptide synthetases (NRPS) and polyketide synthases (PKS) present in the actinomycete strains. Genomic library construction and sequencing revealed insights into the metabolic potential and biosynthetic pathways of selected strains. An interesting NRPS system detected in Streptomyces sp. strain Aer003 was found to be widely distributed in several sponge species, in an ascidian and in seawater and is postulated to encode for a large peptide molecule. Sequencing of the PKS gene cluster of Saccharopolyspora cebuensis strain SPE 10-1T allowed the prediction of the cebulactam biosynthetic pathway which utilizes 3-amino-5-hydroxybenzoic acid as the starter unit followed by successive condensation steps involving methylmalonyl extender units and auxiliary domains responsible for the polyketide assembly. In conclusion, this Ph.D. study has shown that diverse actinomycete genera are associated with marine sponges. The strains, two of them novel species, produced diverse chemical structures with interesting anti-infective properties. Lastly, the presence of biosynthetic gene clusters identified in this study substantiates the biosynthetic potential of actinomycetes to produce exploitable natural products and hopefully provides a sustainable supply of anti-infective compounds.}, subject = {Meeresschw{\"a}mme}, language = {en} } @phdthesis{Pfenning2008, author = {Pfenning, Brenda}, title = {Seasonal life-history adaptation in the water strider GERRIS LACUSTRIS}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-27900}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Insects living in temperate latitudes need to adjust their life-history to a seasonally variable environment. Reproduction, growth, and development have to be completed within the limited period where environmental conditions are favourable while climatically adverse conditions have to be spent in a state of diapause. Consequently, questions how individuals adapt their life-history to seasonality and which mechanisms underlie the responses to seasonal cues, like photoperiod, are important issues in the study of life-history strategies. This thesis focuses on the life-history adaptation to seasonality in the wing-dimorphic common pond skater Gerris lacustris L. (Heteroptera: Gerridae). Using a combination of field and laboratory studies as well as mathematical modelling, it is adressed how variation in the availability of thermal energy impacts on various aspects of larval development such as accumulated thermal energy (i.e. physiological development time), developmental pathway (direct reproduction vs. diapause) and wing dimorphism.}, subject = {Wanzen}, language = {en} } @phdthesis{Peterson2008, author = {Peterson, Lisa}, title = {CEACAM3-mediated phagocytosis of human-specific bacterial pathogens involves the adaptor molecule Nck}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-46378}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Carcinoembryonic antigen-related cell adhesion molecules (CEACAMs) are exploited by human-specific pathogens to anchor themselves to or invade host cells. Interestingly, human granulocytes express a specific isoform, CEACAM3, that can direct efficient, opsonin-independent phagocytosis of CEACAM-binding Neisseria, Moraxella and Haemophilus species. As opsonin-independent phagocytosis of CEACAM-binding Neisseria depends on Src-family protein tyrosine kinase (PTK) phosphorylation of the CEACAM3 cytoplasmic domain, we hypothesized that an SH2-containing protein might be involved in CEACAM3-initiated, phagocytosis-promoting signals. Accordingly, we screened glutathione-S-transferase (GST) fusion proteins containing SH2 domains derived from a panel of signaling and adapter molecules for their ability to associate with CEACAM3. In vitro pull-down assays demonstrated that the SH2 domain of the adapter molecule Nck (GST-Nck SH2), but not other SH2 domains such as the Grb2 SH2 domain, interact with CEACAM3 in a phosphotyrosine-dependent manner. Either deletion of the cytoplasmic tail of CEACAM3, or point-mutation of a critical arginine residue in the SH2 domain of Nck (GST-NckSH2R308K) that disrupts phosphotyrosine binding, both abolished CEACAM3-Nck-SH2 interaction. Upon infection of human cells with CEACAM-binding Neisseria, full-length Nck comprising an SH2 and three SH3 domains co-localized with tyrosine phosphorylated CEACAM3 and associated bacteria as analyzed by immunofluorescence staining and confocal microscopy. In addition, Nck could be detected in CEACAM3 immunoprecipitates confirming the interaction in vivo. Importantly, overexpression of a GFP-fusion protein of the isolated Nck SH2 domain (GFP-Nck-SH2), but not GFP or GFP-Nck SH2 R308K reduced CEACAM3-mediated phagocytosis of CEACAM-binding Neisseria suggesting that the adaptor molecule Nck plays an important role in CEACAM3-initiated signaling leading to internalization and elimination of human-specific pathogens.}, subject = {Adaptorproteine}, language = {en} } @phdthesis{Padmapriya2008, author = {Padmapriya, Ponnuswamy}, title = {Insight into oxidative stress mediated by nitric oxide synthase (NOS) isoforms in atherosclerosis}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-30659}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {The principle product of each NOS is nitric oxide. However, under conditions of substrate and cofactor deficiency the enzymes directly catalyze superoxide formation. Considering this alternative chemistry of each NOS, the effects of each single enzyme on key events of atherosclerosis are difficult to predict. Here, we evaluate nitric oxide and superoxide production by all three NOS isoforms in atherosclerosis. ESR measurements of circulating and vascular wall nitric oxide production showed significantly reduced nitric oxide levels in apoE/eNOS double knockout (dko) and apoE/iNOS dko animals but not in apoE/nNOS dko animals suggesting that eNOS and iNOS majorly contribute to vascular nitric oxide production in atherosclerosis. Pharmacological inhibition and genetic deletion of eNOS and iNOS reduced vascular superoxide production suggesting that eNOS and iNOS are uncoupled in atherosclerotic vessels. Though genetic deletion of nNOS did not alter superoxide production, acute inhibition of nNOS showed that nNOS contributes significantly to superoxide production. In conclusion, uncoupling of eNOS occurs in apoE ko atherosclerosis but eNOS mediated superoxide production does not outweigh the protective effects of eNOS mediated nitric oxide production. We show that although nNOS is not a major contributor of the vascular nitric oxide formation, it prevents atherosclerosis development. Acute inhibition of nNOS showed a significant reduction of superoxide formation suggesting that nNOS is uncoupled. The exact mechanism of action of nNOS in atheroprotection is yet to be elucidated. Genetic deletion of iNOS reduced NADPH oxidase activity. Thus, iNOS has both direct and indirect proatherosclerotic effects, as it directly generates both nitric oxide and superoxide simultaneously resulting in peroxynitrite formation and indirectly modulates NADPH oxidase activity. We hypothesize that eNOS is coupled in the disease free regions of the vessel and contributes to nitric oxide generation whereas in the diseased region of the vessel it is uncoupled to produce superoxide (Figure 16). nNOS expressed in the smooth muscle cells of the plaque contributes to the local superoxide generation. iNOS expressed in smooth muscle cells and leukocytes of the plaque generates superoxide and nitric oxide simultaneously to produce the strong oxidant peroxynitrite.}, subject = {atherosclerosis}, language = {en} } @phdthesis{Osmanovic2008, author = {Osmanovic, Jelena}, title = {Changes in gene expression of brain insulin system in STZ icv - damaged rats - relevance to Alzheimer disease}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-29603}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Ratten, die intrazerebroventricular (icv) mit Streptozotocin (STZ) behandelt werden, eignen sich gut als Tiermodelle f{\"u}r die sporadische Alzheimererkrankung (sAD). In der hier vorgelegten Arbeit wurden Ver{\"a}nderungen bez{\"u}glich der Insulinkonzentration sowie einiger Bestandteile der Insulinrezeptor (IR) - Signalkaskade in Rattengehirnen, welche icv mit STZ behandelt wurden, zu verschiedenen Zeitpunkten untersucht. Die Auswirkungen von STZ auf die zerebrale IR-Signalkaskade wurden dann mit denen von chronisch erh{\"o}hten Corticosteronkonzentrationen verglichen. In dieser Studie wurde im Hippocampus eine verminderte mRNA-Expression von Insulin, der IR sowie des insulinabbauenden Enzyms (IDE) nachgewiesen; bez{\"u}glich der tau-mRNA-Expression konnten jedoch in diesem Gehirnareal der mit STZ behandelten Ratten keine Ver{\"a}nderungen beobachtet werden. Die Resultate der Insulin-, IR- und IDE-mRNA-Expression fielen bei den mit Corticosteron behandelten Ratten {\"a}hnlich aus Im Gegensatz hierzu nahm die tau-mRNA-Expression bei Ratten, die mit Corticosterone behandelt wurden, zu, was auch f{\"u}r eine sAD kennzeichnend ist. Sowohl bei den mit STZ als auch bei den mit Corticosteronen behandelten Ratten konnten Verhaltensanomalien beobachtet werden. Die in dieser Arbeit erzielten Resultate deuten darauf hin, dass viele Merkmale einer sAD experimentell durch eine Beeintr{\"a}chtigung des Insulin/IR-Signalwegs sowie eine chronische Erh{\"o}hung der Corticosteronkonzentration hervorgerufen werden k{\"o}nnen. Dies untermauert wiederum unsere Hypothese, dass es sich bei sAD um eine neuroendokrine St{\"o}rung handelt, die mit gehirnspezifischen Fehlfunktionen in der Insulin/IR-Signalkaskade einhergeht, welche zum Teil durch erh{\"o}hte Corticosteronkonzentrationen ausgel{\"o}st werden k{\"o}nnen. Auf Grund der in dieser Arbeit erzielten Resultate stellt sich die Frage, ob \&\#61538;-Amyloid (A\&\#61538;) ein Ausl{\"o}ser oder eine Konsequenz einer sAD darstellt. Die hier vorgelegte Arbeit last den Schlus zu, dass bei sAD-Tiermodellen ein Zusammenhang zwischen prim{\"a}ren Fehlfunktionen im zerebralen Insulinsystem und dadwol sekund{\"a}r ausgeloster A\&\#61538;-Pathologie besteht. Weiterf{\"u}bende Untersuchungen wird aber notwendig um diese Aussagen zu best{\"a}tigen.}, subject = {Insulin}, language = {en} } @phdthesis{Oeffner2008, author = {Oeffner, Marc}, title = {AGENT-BASED KEYNESIAN MACROECONOMICS - An Evolutionary Model Embedded in an Agent-Based Computer Simulation}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-39277}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Subject of the present study is the agent-based computer simulation of Agent Island. Agent Island is a macroeconomic model, which belongs to the field of monetary theory. Agent-based modeling is an innovative tool that made much progress in other scientific fields like medicine or logistics. In economics this tool is quite new, and in monetary theory to this date virtual no agent-based simulation model has been developed. It is therefore the topic of this study to close this gap to some extend. Hence, the model integrates in a straightforward way next to the common private sectors (i.e. households, consumer goods firms and capital goods firms) and as an innovation a banking system, a central bank and a monetary circuit. Thereby, the central bank controls the business cycle via an interest rate policy; the according mechanism builds on the seminal idea of Knut Wicksell (natural rate of interest vs. money rate of interest). In addition, the model contains also many Keynesian features and a flow-of-funds accounting system in the tradition of Wolfgang St{\"u}tzel. Importantly, one objective of the study is the validation of Agent Island, which means that the individual agents (i.e. their rules, variables and parameters) are adjusted in such a way that on the aggregate level certain phenomena emerge. The crucial aspect of the modeling and the validation is therefore the relation between the micro and macro level: Every phenomenon on the aggregate level (e.g. some stylized facts of the business cycle, the monetary transmission mechanism, the Phillips curve relationship, the Keynesian paradox of thrift or the course of the business cycle) emerges out of individual actions and interactions of the many thousand agents on Agent Island. In contrast to models comprising a representative agent, we do not apply a modeling on the aggregate level; and in contrast to orthodox GE models, true interaction between heterogeneous agents takes place (e.g. by face-to-face-trading).}, subject = {Mehragentensystem}, language = {en} } @phdthesis{Neuberger2008, author = {Neuberger, Thomas}, title = {Magnetic Resonance Imaging and Spectroscopy at ultra high fields}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-36670}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {The goal of the work presented in this thesis was to explore the possibilities and limitations of MRI / MRS using an ultra high field of 17.6 tesla. A broad range of specific applications and MR methods, from MRI to MRSI and MRS were investigated. The main foci were on sodium magnetic resonance spectroscopic imaging of rodents, magnetic resonance spectroscopy of the mouse brain, and the detection of small amounts of iron labeled stem cells in the rat brain using MRI Sodium spectroscopic imaging was explored since it benefits tremendously from the high magnetic field. Due to the intrinsically low signal in vivo, originating from the low concentrations and short transverse relaxation times, only limited results have been achieved by other researchers until now. Results in the literature include studies conducted on large animals such as dogs to animals as small as rats. No studies performed on mice have been reported, despite the fact that the mouse is the most important laboratory animal due to the ready availability of transgenic strains. Hence, this study concentrated on sodium MRSI of small rodents, mostly mice (brain, heart, and kidney), and in the case of the brain on young rats. The second part of this work concentrated on proton magnetic resonance spectroscopy of the rodent brain. Due to the high magnetic field strength not only the increasing signal but also the extended spectral resolution was advantageous for such kind of studies. The difficulties/limitations of ultra high field MRS were also investigated. In the last part of the presented work detection limits of iron labeled stem cells in vivo using magnetic resonance imaging were explored. The studies provided very useful benchmarks for future researchers in terms of the number of labeled stem cells that are required for high-field MRI studies. Overall this work has shown many of the benefits and the areas that need special attention of ultra high fields in MR. Three topics in MRI, MRS and MRSI were presented in detail. Although there are significant additional difficulties that have to be overcome compared to lower frequencies, none of the work presented here would have been possible at lower field strengths.}, subject = {NMR-Tomographie}, language = {en} } @phdthesis{Maeder2008, author = {M{\"a}der, Andreas}, title = {Performance Models for UMTS 3.5G Mobile Wireless Systems}, doi = {10.25972/OPUS-2766}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-32525}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Mobile telecommunication systems of the 3.5th generation (3.5G) constitute a first step towards the requirements of an all-IP world. As the denotation suggests, 3.5G systems are not completely new designed from scratch. Instead, they are evolved from existing 3G systems like UMTS or cdma2000. 3.5G systems are primarily designed and optimized for packet-switched best-effort traffic, but they are also intended to increase system capacity by exploiting available radio resources more efficiently. Systems based on cdma2000 are enhanced with 1xEV-DO (EV-DO: evolution, data-optimized). In the UMTS domain, the 3G partnership project (3GPP) specified the High Speed Packet Access (HSPA) family, consisting of High Speed Downlink Packet Access (HSDPA) and its counterpart High Speed Uplink Packet Access (HSUPA) or Enhanced Uplink. The focus of this monograph is on HSPA systems, although the operation principles of other 3.5G systems are similar. One of the main contributions of our work are performance models which allow a holistic view on the system. The models consider user traffic on flow-level, such that only on significant changes of the system state a recalculation of parameters like bandwidth is necessary. The impact of lower layers is captured by stochastic models. This approach combines accurate modeling and the ability to cope with computational complexity. Adopting this approach to HSDPA, we develop a new physical layer abstraction model that takes radio resources, scheduling discipline, radio propagation and mobile device capabilities into account. Together with models for the calculation of network-wide interference and transmit powers, a discrete-event simulation and an analytical model based on a queuing-theoretical approach are proposed. For the Enhanced Uplink, we develop analytical models considering independent and correlated other-cell interference.}, subject = {Mobilfunk}, language = {en} } @phdthesis{Mladenovic2008, author = {Mladenovic, Milena}, title = {Theoretical Investigation into the Inhibition of Cystein Proteases}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-25763}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Although known about and investigated since the late 1970's, the picture of the basic principles governing inhibitor strengths and the structure-activity relationships of the cysteine protease inhibition mechanism is still very incomplete. Computational approaches can be a very useful tool for investigating such questions, as they allow the inspection of single, specific effects in isolation from all others, in a manner very difficult to achieve experimentally. The ab initio treatments of such large systems like proteins are still not feasible. However, there is a vast number of computational approaches capable of dealing with protein structures with reasonable accuracy. This work presents a summary of theoretical investigations into cysteine protease cathepsin B using a range of methods. We have concentrated on the investigation of cysteine protease inhibition by epoxide- and aziridine-based inhibitors in order to obtain better insight into these important topics. Various model systems are simulated by means of pure quantum mechanical methods and by hybrid (QM/MM) methods. Both approaches provide a static picture. Dynamical effects are then accounted for by additional molecular dynamics (MD) simulations, using both classical and QM/MM MD approaches. The quantum mechanical approach was used to study very small model systems consisting only of the electrophilic warhead of the inhibitor (both substitituted and not) and molecular moieties simulating a very simplified protein active site (methylthiolate instead of Cys29 and methylimidazolium instead of His199 residue) and solvent surroundings (two waters or two ammonium ions, in combination with a continuum solvent model). Although simple, such a system provides a good description of the most important interactions involved in the inhibition reaction. It also allows investigation of the influence of the properties of the electrophilic warhead on the reaction rate. Beside the properties of the electrophilic warhead, the protein and solvent environment is also an important factor in the irreversible deactivation of the enzyme active site by the inhibitor. The non-covalent interactions of the inhibitor with the oxyanion hole and other subsites of the enzyme, as well as its interaction with the solvent molecules, need to be explicitly taken into account in the calculations, because of their possible impact on the reaction profile. As molecular modeling methods allow the treatment of such large systems, but lack the possibility of describing covalent interactions, our method of choice was the combined quantum mechanics/molecular modeling approach. By splitting the system into a smaller part that undergoes the bond cleavage/formation process and must be treated quantum mechanically, and a larger part, comprised of the rest of the protein, which could be treated using force fields, we managed to simulate the system at the desired precision. Our investigations concentrated on the role of His199 in the inhibition mechanism as well as on the structure-reactivity relationships between cysteine protease and various inhibitors, yielding new insight into the kinetics, regio- and stereospecificity of the inhibition. In particular, our calculations provide the following insights: i.) an explanation for the regioselectivity of the reaction, and original insight into which interactions affect the stereoselectivity; ii.) a clear model which explains the known structure-activity relationships and connects these effects with the pH-dependency of the inhibition; iii.) our computations question the generally accepted two-step model by showing that substituent effects accelerate the irreversible step to such an extent that the achievement of an equilibrium in the first step is doubtful; iv.) by way of theoretical characterizations of aziridine models, the reasons for similarities and differences in the mode of action of epoxide- and aziridine-based inhibitors are elucidated; and finally, v.) combining our results with experimental knowledge will allow rational design of new inhibitors. To account for dynamical effects as well, molecular dynamics (MD) computations were also performed. In these calculations the potential energy was computed at the force field level. The results not only supported and clarified the QM/MM results, but comparison with previous X-ray structures helped correct existing errors in the available geometrical models and resolved inconsistencies in the weighting of various factors governing the inhibition. In the work the first QM/MM MD calculations on the active site of the cysteine proteases are presented. In contrast to the MD simulations, these calculations used potential energies computed at the QM/MM-level. With the help of these computations we sought to address strongly disputed questions about the reasons for the existence of the active site ion pair and its role in the high activity of the enzyme.}, subject = {Quantenchemie}, language = {en} } @phdthesis{Michels2008, author = {Michels, Birgit}, title = {Towards localizing the Synapsin-dependent olfactory memory trace in the brain of larval Drosophila}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-36338}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Animals need to adapt and modify their behaviour according to a changing environment. In particular, the ability to learn about rewarding or punishing events is crucial for survival. One key process that underlies such learning are modifications of the synaptic connection between nerve cells. This Thesis is concerned with the genetic determinants of such plasticity, and with the site of these modifications along the sensory-to-motor loops in Drosophila olfactory learning. I contributed to the development and detailed parametric description of an olfactory associative learning paradigm in larval fruit flies (Chapter I.1.). The robustness of this learning assay, together with a set of transgenic Drosophila strains established during this Thesis, enabled me to study the role for Synapsin, a presynaptic phosphoprotein likely involved in synaptic plasticity, in this form of learning (Chapter I.2.), and to investigate the cellular site of the corresponding Synapsin-dependent memory trace (Chapter I.3.). These data provide the first comprehensive account to-date of the neurogenetic bases of learning in larval Drosophila. The role for Synapsin was also analyzed with regard to pain-relief learning in adult fruit flies (Chapter II.1.); that is, if an odour precedes an electric shock during training, flies subsequently avoid that odour ('punishment learning'), whereas presentation of the odour upon the cessation of shock subsequently leads to approach towards the odour ('relief larning'). Such pain-relief learning was also the central topic of a study concerning the white gene (Chapter II.2.), which as we report does affect pain-relief as well as punishment learning in adult flies, but leaves larval odour-food learning unaffected. These studies regarding pain-relief learning provide the very first hints, in any experimental system, concerning the genetic determinants of this form of learning.}, subject = {Taufliege}, language = {en} } @phdthesis{Meyer2008, author = {Meyer, Markus}, title = {Observations of a systematically selected sample of high frequency peaked BL Lac objects with the MAGIC telescope}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-28115}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {At the beginning of regular observations with the MAGIC telescope in December 2004, all but one extragalactic sources detected at very high energy (VHE) gamma-rays belonged to the class of high frequency peaked BL Lac (HBL) objects. This motivated a systematic scan of candidate sources to increase the number of known sources and to study systematically their spectral properties. As candidate sources for VHE emission, X-ray bright HBLs were selected from a compilation of active galactic nuclei. The MAGIC observations took place from December 2004 to March 2006. The declination of the objects was restricted to values between -1.2° and +58.8° corresponding to a maximum zenith distance lower than 30° at culmination. Since gamma-rays are absorbed by photo-pair production in low energy background radiation fields, the redshift of the investigated objects was limitetd to z < 0.3. Under the assumption that HBLs generally emit the same energy flux at 1keV as at 200GeV, only the brightest X-ray sources were observed, leading to a cut in the X-ray flux of F(1keV) > 2µJy}. Of the fourteen sources observed, four have been detected: 1ES 1218+304 (for the first time at very high energies), 1ES 2344+514 (strong detection in a state of low activity), Mrk 421 and Mrk 501. A hint of a signal on a 3-sigma-level from the direction of 1ES 1011+496 has been observed. In the meantime the object has been confirmed as a source of VHE gamma-rays by a second MAGIC observation campaign triggered by an optical outburst. For ten sources, upper limits on their integral fluxes above 200GeV have been calculated on a 99\% confidence level. To cross calibrate the different data samples, collected during 14 months, bright muon ring images have been used, recorded as background events by the MAGIC telescope. Based on the development by Meyer (2003), the method has been improved and implemented into the automatic data analysis as a continuous monitor of the calibration and the point spread function of the optical system. While the ring images are generated by muons with small impact parameters, it could be shown that the image parameter distributions for muons with large impact parameters and gamma showers completely overlap, revealing these muons as the dominant background for gamma-ray observations below energies of 150GeV. The sample of HBLs (including all HBLs detected at VHE so far) has been investigated for correlations between broad-band spectral indices as determined from simultaneous optical, archival X-ray and radio luminosities, finding that the VHE emitting HBLs do not differ from the non-detected ones. In general the absorption corrected HBL gamma-ray luminosities at 200GeV are not higher than their X-ray luminosities at 1keV. Based on a complete X-ray BL Lac sample, the Hamburg/ROSAT X-ray BL Lac sample, the number of expected VHE sources has been estimated for the performed scan, finding a consistent number under the assumption of a 37\% completeness of the investigated sample and a 1keV-to-200GeV luminosity ratio of 1.4. An upper limit on the omnidirectional flux at 200GeV has been calculated by interpolating the sum over the observed fluxes and upper limits. Within the uncertainties, the result is in agreement with the expectations derived from the X-ray luminosity function of BL Lacs. For 1ES 1218+304 and 1ES 2344+514 the lightcurves have been derived, showing evidence for flux variability on a time scale of 17 days and 24h, respectively. In the case of 1ES 1218+304 variability has been reported for the first time at VHEs. For both sources the energy spectra have been reconstructed and discussed in the context of their broad band spectral energy distribution (SED), using a single zone synchrotron self Compton model. The SEDs are well fitted by the simulation even though the very high peak frequencies at gamma-rays push the model to its limits. The parameters derived from the simulation are in good agreement with the parameters found for similar HBLs.}, subject = {Aktiver galaktischer Kern}, language = {en} } @phdthesis{Martin2008, author = {Martin, R{\"u}diger}, title = {Resilience, Provisioning, and Control for the Network of the Future}, doi = {10.25972/OPUS-2504}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-28497}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {The Internet sees an ongoing transformation process from a single best-effort service network into a multi-service network. In addition to traditional applications like e-mail,WWW-traffic, or file transfer, future generation networks (FGNs) will carry services with real-time constraints and stringent availability and reliability requirements like Voice over IP (VoIP), video conferencing, virtual private networks (VPNs) for finance, other real-time business applications, tele-medicine, or tele-robotics. Hence, quality of service (QoS) guarantees and resilience to failures are crucial characteristics of an FGN architecture. At the same time, network operations must be efficient. This necessitates sophisticated mechanisms for the provisioning and the control of future communication infrastructures. In this work we investigate such echanisms for resilient FGNs. There are many aspects of the provisioning and control of resilient FGNs such as traffic matrix estimation, traffic characterization, traffic forecasting, mechanisms for QoS enforcement also during failure cases, resilient routing, or calability concerns for future routing and addressing mechanisms. In this work we focus on three important aspects for which performance analysis can deliver substantial insights: load balancing for multipath Internet routing, fast resilience concepts, and advanced dimensioning techniques for resilient networks. Routing in modern communication networks is often based on multipath structures, e.g., equal-cost multipath routing (ECMP) in IP networks, to facilitate traffic engineering and resiliency. When multipath routing is applied, load balancing algorithms distribute the traffic over available paths towards the destination according to pre-configured distribution values. State-of-the-art load balancing algorithms operate either on the packet or the flow level. Packet level mechanisms achieve highly accurate traffic distributions, but are known to have negative effects on the performance of transport protocols and should not be applied. Flow level mechanisms avoid performance degradations, but at the expense of reduced accuracy. These inaccuracies may have unpredictable effects on link capacity requirements and complicate resource management. Thus, it is important to exactly understand the accuracy and dynamics of load balancing algorithms in order to be able to exercise better network control. Knowing about their weaknesses, it is also important to look for alternatives and to assess their applicability in different networking scenarios. This is the first aspect of this work. Component failures are inevitable during the operation of communication networks and lead to routing disruptions if no special precautions are taken. In case of a failure, the robust shortest-path routing of the Internet reconverges after some time to a state where all nodes are again reachable - provided physical connectivity still exists. But stringent availability and reliability criteria of new services make a fast reaction to failures obligatory for resilient FGNs. This led to the development of fast reroute (FRR) concepts for MPLS and IP routing. The operations of MPLS-FRR have already been standardized. Still, the standards leave some degrees of freedom for the resilient path layout and it is important to understand the tradeoffs between different options for the path layout to efficiently provision resilient FGNs. In contrast, the standardization for IP-FRR is an ongoing process. The applicability and possible combinations of different concepts still are open issues. IP-FRR also facilitates a comprehensive resilience framework for IP routing covering all steps of the failure recovery cycle. These points constitute another aspect of this work. Finally, communication networks are usually over-provisioned, i.e., they have much more capacity installed than actually required during normal operation. This is a precaution for various challenges such as network element failures. An alternative to this capacity overprovisioning (CO) approach is admission control (AC). AC blocks new flows in case of imminent overload due to unanticipated events to protect the QoS for already admitted flows. On the one hand, CO is generally viewed as a simple mechanism, AC as a more complex mechanism that complicates the network control plane and raises interoperability issues. On the other hand, AC appears more cost-efficient than CO. To obtain advanced provisioning methods for resilient FGNs, it is important to find suitable models for irregular events, such as failures and different sources of overload, and to incorporate them into capacity dimensioning methods. This allows for a fair comparison between CO and AC in various situations and yields a better understanding of the strengths and weaknesses of both concepts. Such an advanced capacity dimensioning method for resilient FGNs represents the third aspect of this work.}, subject = {Backbone-Netz}, language = {en} } @phdthesis{Maier2008, author = {Maier, Andreas}, title = {Adaptively Refined Large-Eddy Simulations of Galaxy Clusters}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-32274}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {It is aim of this work to develop, implement, and apply a new numerical scheme for modeling turbulent, multiphase astrophysical flows such as galaxy cluster cores and star forming regions. The method combines the capabilities of adaptive mesh refinement (AMR) and large-eddy simulations (LES) to capture localized features and to represent unresolved turbulence, respectively; it will be referred to as Fluid mEchanics with Adaptively Refined Large-Eddy SimulationS or FEARLESS.}, subject = {Turbulenz}, language = {en} } @phdthesis{Lohr2008, author = {Lohr, Andreas}, title = {Self-Assembly of Merocyanines : Thermodynamic and Kinetic Insights into the Formation of Well-Defined Dye Aggregates}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-28964}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {The present thesis demonstrates the potential of dipolar aggregation of merocyanine dyes as novel directional and specific supramolecular binding motif for the creation of more elaborate supramolecular architectures beyond simple dimers. Furthermore, the self-assembly studies into bis(merocyanine) nanorods gave new insights into the kinetics of morphogenesis in supramolecular aggregates.}, subject = {Supramolekulare Chemie}, language = {en} } @phdthesis{Lohbreier2008, author = {Lohbreier, Jan}, title = {Characterization and Optimization of High-order Harmonics after Adaptive Pulse Shaping}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-30474}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Die Arbeit besch{\"a}ftigt sich mit der Umwandlung von ultrakurzen Laserpulsen in weiche R{\"o}ntgenpulse. Dabei geht es haupts{\"a}chlich um die adaptive Pulsformung des Laserpulses und dessen Einfluss auf die generierte harmonische Strahlung}, subject = {Titan-Saphir-Laser}, language = {en} } @techreport{Lenhard2008, author = {Lenhard, Wolfgang}, title = {Bridging the Gap to Natural Language: A Review on Intelligent Tutoring Systems based on Latent Semantic Analysis}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-27980}, year = {2008}, abstract = {One of the major drawbacks in the implementation of intelligent tutoring systems is the limited capacity to process natural language and to automatically deal with unexpected or unknown vocabulary. Latent Semantic Analysis (LSA) is a statistical technique of automatic language processing, which can attenuate the "language barrier" between humans and tutoring systems. LSA-based intelligent tutoring systems address the goals of modelling human tutoring dialogues (AutoTutor), enhancing text comprehension and summarisation skills (State-The-Essence, Summary Street®, conText, Apex), training of comprehension strategies (iStart, a French system in development) and improving story and essay writing (Write To Learn, Select-a-Kibitzer, StoryStation). The systems are reviewed concerning their efficacy in modelling skilled human tutors and regarding their effects on the learner.}, subject = {Intelligentes Tutorsystem}, language = {en} } @phdthesis{Leide2008, author = {Leide, Jana}, title = {Cuticular Wax Biosynthesis of Lycopersicon esculentum and Its Impact on Transpiration Barrier Properties during Fruit Development}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-34526}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Cuticular waxes cover all above-ground growing parts of plants. They provide the outermost contact zone between plants and their environment and play a pivotal role in limiting transpirational water loss across the plant surface. The complex mechanisms in cuticular wax biosynthesis conferring proper barrier function still remain to be elucidated. The present study focuses on biosynthetic pathways in wax formation, cuticular wax accumulation and composition and its impact on the epidermal barrier property of the intact system of the astomatous tomato fruit (Lycopersicon esculentum Mill.). Fruits of all developmental stages of the wild type cultivar MicroTom and its lecer6 mutant defective in a \&\#946;-ketoacyl-CoA synthase involved in very-long-chain fatty acid elongation were analyzed. This 'reverse genetic' approach clarified the importance of the \&\#946;-ketoacyl-CoA synthase LeCER6 for epidermal barrier property in vivo on the biochemical-analytical level, on the transcriptional level and, furthermore, on the physiological level comparatively between MicroTom wild type and MicroTom lecer6. Surfaces of MicroTom wild type and MicroTom lecer6 fruits showed similar patterns of quantitative wax accumulation, but differed considerably in the permeance for water. Qualitative analyses of the chemical composition of fruit cuticular waxes in the course of fruit development revealed the meaning of the \&\#946;-ketoacyl-CoA synthase deficiency in the lecer6 mutant. Fruits of this mutant exhibited a distinct decrease in the proportion of n-alkanes of chain lengths > C28. Moreover, a concomitant increase in pentacyclic triterpenoids became discernible in the mature green fruit stage of the mutant. Since quantitative changes of the cutin matrix were not sufficient to affect transpiration barrier properties of the lecer6 mutant presumably the shift in cuticular wax biosynthesis of the lecer6 mutant is responsible for the observed increase of water permeance. In order to investigate the molecular basis of wax formation, a microarray experiment was established that allows the simultaneous and comprehensive analysis of the timing and abundance of transcriptional changes in MicroTom wild type and MicroTom lecer6. This microarray consists of 167 oligonucleotides corresponding to EST and gene sequences of tomato potentially participating in wax biosynthesis, wax modification, transport processes and stress responsiveness. These parameters were correlated with the course of fruit development. This comparison of gene expression patterns showed a variety of differential expressed transcripts encoding for example lipid transfer proteins and the dehydrin TAS14. On the basis of these findings, it can be proposed that diverse regulatory mechanisms like lipid transfer processes or osmotic stress response are affected by the LeCER6 deficiency, which is primarily accompanied by an impaired water barrier property of the fruit cuticle. This present study correlates the continuous increase of LeCer6 gene expression and the accumulation of very-long-chain n-alkanes within the cuticular waxes during the transition from the immature green to the early breaker fruit phase displaying a developmental regulation of the cuticular wax biosynthesis. Organ-specific wax biosynthesis resulted in different cuticular wax pattern in tomato fruits and leaves. Moreover, in contrast to the fruits, LeCER6-deficient leaves showed a significantly reduced wax accumulation, mainly due to a decrease of n-alkanes with chain lengths > C30, while the proportion of pentacyclic triterpenoids were not affected. Deduced from these biochemical-analytical data on tomato fruits and leaves LeCER6 was characterized as a key enzyme in VLCFA biosynthetic pathway responsible for cuticular wax accumulation. In silico analysis of the LeCER6 sequence revealed the presence of two putative transmembrane domains in the N-terminal position. In addition, highly conserved configurations of catalytic residues in the active site of the enzyme were observed, which are probably essential to its overall structure and function in the fatty acid elongation process. High sequence homology of LeCER6 to the very-long-chain condensing enzymes GhCER6 of Gossypium hirsutum L. and AtCER6 of Arabidopsis thaliana (L.) Heynh. was found, which might be a good evidence for similar biochemical functions. Apart from developmental regulation of the cuticular wax biosynthesis, environmental factors influenced the cuticular wax coverage of tomato fruits. Mechanical removal of epicuticular fruit wax evoked large-scale modifications of the quantitative and qualitative wax composition, such as a reduction of aliphatic wax components, and therewith affected the cuticular water permeability. A subsequent regeneration event was included in the regular wax biosynthesis process and led to the compensation of the detached wax amounts and increased the water barrier properties of the cuticular membrane again. In contrast, water-limited conditions had only minor impact on alterations in cuticular wax biosynthesis and, consequently, on the permeance for water of tomato fruits. Floral organ fusion and conditional sterility, as observed in this study, are caused as pleiotropic effects in cell-cell signaling by the loss-of-function mutation in LeCER6. These findings corroborated the functional impact of LeCER6 on the epidermal integrity and are consistent with the current knowledge on eceriferum mutants of Arabidopsis. Investigations of phenotypic and biochemical characteristics of tomato fruits allowed a broader system-orientated perspective of the fruit development of MicroTom wild type and its lecer6 mutant. These analyses highlight more precisely alterations in the fruit surface area, fresh and dry weight, epidermal cell density, photosynthetic activity or glucose content in the course of fruit development. The differences between MicroTom wild type and MicroTom lecer6 characterize very well the large-scale consequences of the LeCER6 deficiency on the physiological status of tomato fruits. Moreover, the results clearly show a part of the genetic controlled network that governs tomato fruit metabolism and mediates extensive changes of the tomato fruit life cycle. The analyses of the stem scar tissue of the tomato fruit revealed a complex set of responses caused by the harvesting process in detail. Throughout storage of the tomato fruits barrier properties were attributed to the suberized stem scar tissue in regard to water loss limitation and reduction of the fungal infection rate. Thereby the endogenous level of abscisic acid was found to be involved in the molecular signaling pathway that regulates the de novo formation of this tissue. For the first time, the chemical composition and physiological importance could be correlated with molecular changes at the transcriptional level during suberization of the stem scar of tomato fruits. In conclusion, this work indicates a novel intact model system for an integrative functional approach for plant barrier properties that was successfully established and carefully studied. The results highlight correlations between wax biosynthesis, distribution of cuticular waxes, and its relevance on the transpirational water loss across the plant surface and, thus, promote the global understanding of plant cuticle biology.}, subject = {Wachs}, language = {en} } @phdthesis{Le2008, author = {Le, Thu Ha}, title = {Protein dynamics in responder and non-responder solid tumor xenografts during oncolytic viral therapy}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-32016}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {VACV GLV-1h68 was reported as a diagnostic/therapeutic vector which enters, replicates in, and reveals the locations of tumors in mice. Furthermore, the effect on tumor colonization, on tumor growth, regression and eradication by VACV GLV-1h68 without the need of any known genes with anti-tumoral activities was determined. To investigate differential protein expression between infected tumor cells and corresponding tumors, as well as between infected tumor cells, between infected tumors, proteomics is particularly used, possibly contributing to the understanding oncolytic ability on the protein level of VACV GLV-1h68. The given effects of VACV GLV-1h68 infection on cellular protein expression support tumor cell killing. In this study, differential protein expression was analyzed at different time points with two-dimensional gel electrophoresis (2DE) followed by MALDI-TOF/TOF identification. Comparative analysis of multiple 2-DE gels revealed that the majority of protein expression changes appeared at 48 hours post infection in cell cultivation and at 42 days post infection in tumors. Mass spectrometry identified 68, 75, 159 altered cellular proteins in the GI-101A, HT-29, PC-3 infected cells, respectively, including 30, 23, 49 up-regulated proteins and 38, 52, 110 down-regulated proteins 12 to 48 hours after infection. For xenografts, mass spectrometry identified 270, 101, 91 altered cellular proteins in the infected GI-101A, HT-29, PC-3 tumors, respectively, including 89, 70, 40 up-regulated proteins and 181, 31, 51 down-regulated proteins 7 to 42 days after infection. In general, in the cell lines, the proteins found to be differentially regulated are most often associated with metabolic processes, in particular with primary energy metabolism (glucose catabolism, TCA and lactate production). VAVC GLV 1h68 infection results in hijacking of the host translation apparatus, alteration of cytoskeleton networks, induce ubiqitin proteasome pathway (UPP) disorders. Particularly in tumors, the responses cover a much broader panel of cellular processes, including signalling (e.g., cell death), transport (in particular of iron ions) and migration. A common pathway to be up-regulated in both tumors and cell lines is the "unfolded protein response". Notably, VACV GLV-1h68 affected the anti-apoptosis pathways in GI-101A and PC-3 cancer cells but not in HT-29 xenografts. For example, GI-101A xenografts in mice appear 12 proteins associated with anti-apoptosis function. They were found down-regulated, including tumor protein-translationally-controlled (H-TPT1), rho-GDP-dissociation inhibitor alpha (H-GDIa), ywhaq protein (M-1433T), H-PRDX4, serine/threonine-protein phosphatase-2A-catalytic subunit beta isoform PP2A (M-Ppp2cb), eukaryotic translation initiation factor 2-subunit 1 alpha-35kDa (H-eIF2), H-actinin-\&\#945;1 (ACTN1 ), Annexin A1 (H-A1), annexin A5 (H-A5), Mouse albumin 1 (M-Alb1), dimethylarginine dimethylaminohydrolase 2 (H-DDAH2). In PC-3 xenografts, anti-apoptosis expression is lesser than those in GI-101A cells, however 3 anti-apoptosis associated proteins were down-regulated such as ARP3 actin-related protein-3-homolog (H-ARP3), Human FLNA protein, Rho GDP dissociation inhibitor (GDI) alpha (H-GDIa). In contrast, in HT-29 xenografts, there are several anti-apoptosis-associated proteins that show even to be up-regulated; they mostly belong to peroxiredoxin proteins. Lesson from HT-29 had been given what various means the HT-29 cells use to escape their apoptosis fate. This suggests that VAVC GLV1h68 infection may induce unbalance of unfolded protein response (UPR) but tending to anti-apoptosis-mediated proteins and promote the destructive elements of UPR, including caspase-12 cleavage and apoptosis. Taken together in this thesis research I have tried to compare protein profiles obtained from responder cell line and from regressing solid tumors colonized by VAVC GLV-1h68 with that of non-responding tumors. I also compared these data with PC-3 prostate cell line and tumor data on intermediate responder which alter mouse protein profiling in tumors similarly to the highly efficacious GI-101A breast tumor cell line. From these comparisons I have deduced exciting protein pattern signature characteristic for a responder or distinctly different from non-responder system. Combining these few crucial genes involved with the transcriptional test data obtained by fellow graduate student at NIH a novel national designed VACV GLV-1h68 strains with enhanced efficacy in many today non-responder cancer cell lines will be available to be tested into ongoing clinical trials.}, language = {en} } @article{LambeetsVandegehuchteMaelfaitetal.2008, author = {Lambeets, Kevin and Vandegehuchte, Martijn L. and Maelfait, Jean-Pierre and Bonte, Dries}, title = {Understanding the impact of flooding on trait-displacements and shifts in assemblage structure of predatory arthropods on river banks}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-49580}, year = {2008}, abstract = {1. Species assemblages of naturally disturbed habitats are governed by the prevailing disturbance regime. Consequently, stochastic flood events affect river banks and the inhabiting biota. Predatory arthropods occupy predominantly river banks in relation to specific habitat conditions. Therefore, species sorting and stochastic processes as induced by flooding are supposed to play important roles in structuring riparian arthropod assemblages in relation to their habitat preference and dispersal ability. 2. To ascertain whether assemblages of spiders and carabid beetles from disturbed river banks are structured by stochastic or sorting mechanisms, diversity patterns and assemblage-wide trait-displacements were assessed based on pitfall sampling data. We tested if flooding disturbance within a lowland river reach affects diversity patterns and trait distribution in both groups. 3. Whereas the number of riparian spider species decreased considerably with increased flooding, carabid beetle diversity benefited from intermediate degrees of flooding. Moreover, regression analyses revealed trait-displacements, reflecting sorting mechanisms particularly for spiders. Increased flooding disturbance was associated with assemblage-wide increases of niche breadth, shading and hygrophilic preference and ballooning propensity for spider (sub)families. Trait patterns were comparable for Bembidiini carabids, but were less univocal for Pterostichini species. Body size decreased for lycosid spiders and Bembidiini carabids with increased flooding, but increased in linyphiid spiders and Pterostichini carabids. 4. Our results indicate that mainly riparian species are disfavoured by either too high or too low degrees of disturbance, whereas eurytopic species benefit from increased flooding. Anthropogenic alterations of flooding disturbance constrain the distribution of common hygrophilous species and/or species with high dispersal ability, inducing shifts towards less specialized arthropod assemblages. River banks with divergent degrees of flooding impact should be maintained throughout dynamic lowland river reaches in order to preserve typical riparian arthropod assemblages.}, subject = {Flussufer}, language = {en} } @phdthesis{Kunz2008, author = {Kunz, Britta K.}, title = {Frugivory and Seed Dispersal: Ecological Interactions between Baboons, Plants, and Dung Beetles in the Savanna-Forest Mosaic of West Africa}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-37519}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Das Guinea-Savanne-Wald-Mosaik Westafrikas weist einen hohen Reichtum an Pflanzenarten auf, deren Samen durch Frugivore ausgebreitet werden. Afrikanische Savannen beherbergen zudem die artenreichste Dungk{\"a}ferfauna weltweit. Dennoch wurden Interaktionen zwischen Fruchtpflanzen, Primaten und Dungk{\"a}fern in Savannen{\"o}kosysteme bisher kaum erforscht. Meine Untersuchungen am Anubispavian (Papio anubis Lesson 1827, Cercopithecinae) im Como{\´e} Nationalpark (CNP), im NO der Elfenbeink{\"u}ste, zeigten, dass sich westafrikanische Pavianpopulationen in verschiedener Hinsicht von Populationen in Ostafrika unterscheiden. Paviane werden zumeist vornehmlich als Pr{\"a}datoren der Samen ihrer Nahrungspflanzen angesehen. Im Savannen-Wald-Mosaik Westafrikas ern{\"a}hren sie sich jedoch {\"u}berwiegend frugivor und sind bedeutende Samenausbreiter einer Vielzahl von Geh{\"o}lzpflanzenarten mit unterschiedlichen Fruchttypen und Samengr{\"o}ßen. Sie breiten intakte Samen von mind. 22\% der regionalen Geh{\"o}lzpflanzenarten aus. Ihr "Ausbreitungspotential" bzgl. Samenzahl und Samengr{\"o}ße ist mit dem der großen Menschenaffen vergleichbar. Der Anteil der Baumarten im Nahrungsspektrum der Paviane ist signifikant h{\"o}her als es aufgrund des Anteils im regionalen Artenpool der Geh{\"o}lzpflanzen zu erwarten w{\"a}re. Fruchtarten, die von Pavianen gefressen wurden, waren signifikant gr{\"o}ßer als nicht konsumierte Arten. Von verschiedenen morphologischen Fruchtmerkmalen eignen sich Fruchttyp und Farbe am besten, um vorherzusagen, ob die Fr{\"u}chte einer Art Nahrungsbestandteil der Paviane im CNP sind. Fruchttyp und Samengr{\"o}ße wiederum sind am besten geeignet, um auf die Art der Nutzung (Samenausbreitung bzw. -pr{\"a}dation) zu schließen. Die Samengr{\"o}ße einer Pflanze ist ein wichtiges Fitnessmerkmal, das verschiedene Abschnitte von der Fruchtentwicklung bis zur Etablierung des Keimlings beeinflussen kann. Sie weist bei vielen Pflanzenarten erhebliche intraspezifische Schwankungen auf. Primaten k{\"o}nnten aus unterschiedlichen Gr{\"u}nden Fr{\"u}chte mit bestimmter Samengr{\"o}ße ausw{\"a}hlen, zum Beispiel um unverdaulichen Ballast zu reduzieren oder um den Fruchtfleischgewinn pro Frucht zu optimieren. Bei acht von zehn untersuchten Pflanzenarten, die sich in Fruchttyp, Samenzahl und Samengr{\"o}ße unterscheiden, erwiesen sich die Paviane als selektiv in Bezug auf die Samengr{\"o}ße. F{\"u}r die intraspezifische Fruchtauswahl der Paviane scheint unter anderem das je nach Frucht- und Samenform unterschiedlich variierende Verh{\"a}ltnis von Fruchtfleisch zu Samen eine Rolle zu spielen. Als Habitatgeneralisten (mit einer Pr{\"a}ferenz f{\"u}r Waldhabitate), die relativ große Gebiete durchstreifen, scheinen Paviane besonders wichtig f{\"u}r den genetischen Austausch der Pflanzen zwischen entfernten Waldinseln. Da die meisten Geh{\"o}lzpflanzenarten im Savannen-Wald-Mosaik des CNP mittelgroße bis große Fr{\"u}chte und Samen haben, kommt den Pavianen eine herausragende Rolle bei der Samenausbreitung und nat{\"u}rlichen Regeneration dieses {\"O}kosystems zu. Die Bedeutung der Paviane f{\"u}r die Samenausbreitung von Pflanzenarten mit kleinen Fr{\"u}chten sollte jedoch nicht untersch{\"a}tzt werden. Meine Untersuchungen an typischen "vogelausgebreiteten" Baumarten, von denen V{\"o}gel fast ausschließlich unreife Fr{\"u}chte fraßen, weisen darauf hin, dass eine qualitative und quantitative Beurteilung verschiedener Frugivorengruppen allein aufgrund der Fruchtsyndrome nicht immer zuverl{\"a}ssig ist. Anubispaviane breiten in der Regel mehrere Pflanzensamen in einzelnen F{\"a}zes aus was {\"u}blicherweise als ung{\"u}nstig f{\"u}r die Pflanze angesehen wird. Die Samen aller Pflanzenarten, die in Pavianf{\"a}zes im CNP w{\"a}hrend Zeiten saisonal hoher Dungk{\"a}feraktivit{\"a}t zu finden waren, k{\"o}nnen jedoch potentiell von Dungk{\"a}fern ausgebreitet werden. Die Dungk{\"a}fer-Aktivit{\"a}t im Untersuchungsgebiet an Pavianf{\"a}zes war hoch, es wurden 99 Arten aus 26 Gattungen nachgewiesen. Sowohl die Wahrscheinlichkeit sekund{\"a}rer Samenausbreitung durch Dungk{\"a}fer als auch das sekund{\"a}re r{\"a}umliche Ausbreitungsmuster h{\"a}ngen von der Struktur und Zusammensetzung der Dungk{\"a}fergemeinschaft am Ort der prim{\"a}ren Ausbreitung ab. Die Dungk{\"a}fergemeinschaft wiederum scheint stark von der Vegetation beeinflusst zu sein. Im Savannen-Wald-Mosaik Westafrikas erwartete ich daher deutliche Unterschiede in der sekund{\"a}ren Ausbreitung zwischen Samen, die von Pavianen in die Savanne bzw. in den Wald ausgebreitet werden. Experimente ergaben, dass Samen, die von Pavianen in die Savanne ausgebreitet werden, eine h{\"o}here Wahrscheinlichkeit haben (a) {\"u}berhaupt sekund{\"a}r durch Dungk{\"a}fer ausgebreitet zu werden, (b) horizontal von Telekopriden vom Ort der prim{\"a}ren Ausbreitung wegbewegt zu werden, (c) relativ schnell aus den F{\"a}zes entfernt zu werden und (d) {\"u}ber relativ gr{\"o}ßere Distanzen ausgebreitet zu werden als Samen im Wald. Generell sollten Savannenpflanzen und Habitatgeneralisten unter den Pflanzenarten, deren Samen von Pavianen in die Savanne ausgebreitet werden, am ehesten von sekund{\"a}rer Ausbreitung durch Dungk{\"a}fer profitieren.}, subject = {Anubispavian}, language = {en} } @phdthesis{KronerMilsch2008, author = {Kroner-Milsch, Antje}, title = {Role of immune cells in hereditary myelinopathies}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-28976}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Myelin mutations in the central and peripheral nervous system lead to severely disabling, currently untreatable diseases. In this study, we used transgenic PLP overexpressing mice (PLPtg) as a model for central inherited myelinopathies, such as leukodystrophies, and heterozygously P0 deficient (P0+/-) mice as models for peripheral hereditary polyneuropathies. Both models are characterized by low grade nervous tissue inflammation. Macrophages and CD8+ T- lymphocytes contribute to the myelin pathology as shown by crossbreeding experiments with immunodeficient mice. Having shown the relevance of CD8+ T- lymphocytes in PLPtg mice, we investigated the influence of one major cytotoxic molecule (granzyme B) on neural damage. By generation of granzyme B deficient PLPtg bone marrow chimeras, we could demonstrate a reduction of myelin pathology and oligodendrocyte death. Taken together, granzyme B is at least partly responsible for the cytotoxicity induced neural damage in PLPtg mice. To further explore the role of immune modulation, we focussed on the influence of the coinhibitory molecule PD-1, a CD28-related receptor expressed on activated T- and B-lymphocytes. By investigating myelin mutants of the CNS and PNS (PLPtg and P0+/-) with an additional PD-1 deficiency, induced by crossbreeding or bone marrow chimerization, we found a significant increase of CD8+ T- lymphocytes and massive increase of the myelin pathology in both the CNS and PNS model. In PLPtg mice, absence of PD-1 increased oligodendrocyte apoptosis, clonal expansions and a higher propensity of CNS but not peripheral CD8+ T- cells to secrete proinflammatory cytokines. In P0+/- mice, absence of PD-1 lead to moderate motor and sensory disturbances, confirming the important role of PD-1 in immune homeostasis. Taken together, we identified granzyme B as an important effector agent of cytotoxic T-lymphocytes in PLPtg mice and PD-1 as a crucial player in regulating the effector cells in our models of central and peripheral myelinopathy. Alterations of this regulatory pathway lead to overt neuroinflammation of high pathogenetic impact. These results might help to understand mechanisms responsible for high clinical variability of polygenic or even monogenic disorders of the nervous system.}, subject = {Myelinopathie}, language = {en} } @phdthesis{Koslowski2008, author = {Koslowski, Tim Andreas}, title = {Cosmological Sectors in Loop Quantum Gravity}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-28244}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {This thesis is concerned with the description of macroscopic geometries through Loop Quantum Gravity, and there particularly with the description of cosmology within full Loop Quantum Gravity. For this purpose we depart from two distinct (classically virtually equivalent) ans{\"a}tze: One is phase space reduction and the other is the restriction to particular states. It turns out that the quantum analogue of these two approaches are fundamentally different: The quantum analogue of phase space reduction needs the reformulation in terms of the observable Poisson algebra, so it can be applied to the noncommutative quantum phase space: It rests on the observation that the observable Poisson algebra of classical canonical cosmology is induced by the embedding of the reduced cosmological phase space into the phase space of full General Relativity. Using techniques related to Rieffel-induction, we develop a construction for a noncommutative embedding that has a classical limit that is described by a Poisson embedding. To be able to use this class of noncommutative embeddings for Loop Quantum Gravity, one needs a complete group of diffeomorphisms for the quantum theory, which is constructed. These two results are applied to construct a quantum embedding of a cosmological sector into full Loop Quantum Gravity. The embedded cosmological sector turns out to be discrete, like standard Loop Quantum Cosmology and can be interpreted as a super-selection sector thereof; however due to pathologies of the dynamics of full Loop Quantum Gravity, one can not induce a meaningful dynamics for this cosmological sector. The quantum analogue of restricting the space of states is achieved by explicitly constructing states for Loop Quantum Gravity with smooth geometry. These states do not exist within the Hilbert space of Loop Quantum Gravity, but as states on the observable algebra of Loop Quantum Gravity. This observable algebra is built from spin network functions, area operators and a restricted set of fluxes. For this algebra to be physically complete, we needed to construct a version of Loop Quantum Geometry based on a fundamental area operator. This version of Loop Quantum Geometry is constructed. Since the smooth geometry states are not in the Hilbert space of standard Loop Quantum Gravity, we needed to calculate the Hilbert space representation that contains them using the GNS construction. This representation of the observable algebra can be illustrated as a classical condensate of geometry with quantum fluctuations thereon. Using these representations we construct a quantum-minisuperspace, which allows for an interpretation of standard Loop Quantum Cosmology in terms of these states and led us to conjecture a new approach for the implementation of dynamics for Loop Quantum Gravity.}, subject = {Gravitation}, language = {en} } @phdthesis{Kleer2008, author = {Kleer, Robin}, title = {Three Essays on Competition Policy and Innovation Incentives}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-34763}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Diese Dissertation befasst sich mit dem Thema Innovations{\"o}konomik. In einer allgemeinen Einf{\"u}hrung werden wettbewerbspolitische Gesichtspunkte, die Innovationsanreize von Firmen beeinflussen, dargestellt. In drei einzelnen Arbeiten werden dann spezielle Fragestellungen intensiver analysiert. Die erste Arbeit behandelt die Wechselwirkungen von Firmenzusammenschl{\"u}ssen und Innovationen, zwei zentrale Elemente der Wettbewerbsstrategie von Unternehmen. Der Schwerpunkt der Arbeit liegt dabei auf dem Einfluss von Firmenzusammenschl{\"u}ssen auf die Innovationsaktivit{\"a}ten und den Wettbewerb im Produktmarkt. Dabei werden auch m{\"o}gliche Ineffizienzen, die sich durch Probleme bei der Integration der Firmen nach dem Zusammenschluss ergeben, untersucht. Es wird gezeigt, dass die optimale Investitionsaktivit{\"a}t sehr stark von der sich ergebenden Marktstruktur abh{\"a}ngt und es signifikante Unterschiede zwischen Insider und Outsider des Firmenzusammenschlusses gibt. In dem Modell mit linearer Nachfragefunktion und konstanten Grenzkosten steigern Zusammenschl{\"u}sse die soziale Wohlfahrt. Die zweite Arbeit betrachtet die unterschiedlichen Vorteile von kleinen und großen Firmen im Innovationswettbewerb. W{\"a}hrend große Firmen typischerweise {\"u}ber einen besseren Zugang zu Produktm{\"a}rkten verf{\"u}gen, weisen kleine Firmen h{\"a}ufig eine bessere Forschungseffizienz auf. Diese verschiedenen Vorteile werfen unmittelbar die Frage nach Kooperationen auf. Im dargestellten Modell mit vier Unternehmen haben große Firmen die M{\"o}glichkeit kleine Firmen zu kaufen. Innovationen werden mittels Patentwettbewerb modelliert. Sequentielles Bieten erm{\"o}glicht es der ersten großen Firma strategisch zu handeln um eine Reaktion der zweiten großen Firma hervorzurufen. Ergeben sich hohe Effizienzen durch den Firmenzusammenschluss, so bevorzugen die großen Firmen eine unmittelbare Akquisition und es entsteht eine symmetrische Marktstruktur. Bei geringen Effizienzen wartet die erste Firma dagegen ab und zwingt die zweite Firma dadurch zum Kauf. Somit entsteht trotz symmetrischer Ausgangssituation eine asymmetrische Marktstruktur. Weiterhin wird gezeigt, dass Akquisitionen die Chancen f{\"u}r eine erfolgreiche Innovation erh{\"o}hen. Die dritte Arbeit befasst sich mit Forschungssubventionen. Dabei wird neben dem eigentlichen Ziel der Subvention -- der F{\"o}rderung sozial erw{\"u}nschter Projekte, die nicht gen{\"u}gend private Anreize zur Durchf{\"u}hrung bieten -- die Signalwirkung einer Subvention betrachtet. Eine Staatsbeh{\"o}rde untersucht dabei die Projekte auf Risiken und Wohlfahrtswirkungen und entscheidet daraufhin {\"u}ber eine F{\"o}rderung. Dies wird in einem einfachen Signalisierungsspiel mit zwei Risikoklassen von Forschungsprojekten modelliert. Die Staatsbeh{\"o}rde bevorzugt dabei riskante Projekte, die hohe erwartete soziale Gewinne versprechen, w{\"a}hrend Banken wenig riskante Projekte mit hohen privaten Gewinnen bevorzugen. Erm{\"o}glicht die Subvention lediglich die Unterscheidung von riskanten und weniger riskanten Projekten, so ist das Signal der Beh{\"o}rde wenig hilfreich f{\"u}r die Investitionsenscheidung der Banken. Bietet das Signal jedoch zus{\"a}tzlich einen Hinweis auf die Qualit{\"a}t der Projekte, so k{\"o}nnen sich erh{\"o}hte, bzw. effizienter ausgew{\"a}hlte, private Investitionen ergeben. Im letzten Kapitel werden die wichtigsten Aussagen zusammengefasst sowie in abschließenden Bemerkungen der Zusammenhang der Ergebnisse erl{\"a}utert.}, subject = {Wettbewerbspolitik}, language = {en} } @phdthesis{Jordan2008, author = {Jordan, Jens}, title = {Reachable sets of numerical iteration schemes : a system semigroup approach}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-28416}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {We investigate iterative numerical algorithms with shifts as nonlinear discrete-time control systems. Our approach is based on the interpretation of reachable sets as orbits of the system semigroup. In the first part we develop tools for the systematic analysis of the structure of reachable sets of general invertible discrete-time control systems. Therefore we merge classical concepts, such as geometric control theory, semigroup actions and semialgebraic geometry. Moreover, we introduce new concepts such as right divisible systems and the repelling phenomenon. In the second part we apply the semigroup approach to the investigation of concrete numerical iteration schemes. We extend the known results about the reachable sets of classical inverse iteration. Moreover, we investigate the structure of reachable sets and systemgroup orbits of inverse iteration on flag manifolds and Hessenberg varieties, rational iteration schemes, Richardson's method and linear control schemes. In particular we obtain necessary and sufficient conditions for controllability and the appearance of repelling phenomena. Furthermore, a new algorithm for solving linear equations (LQRES) is derived.}, subject = {Nichtlineare Kontrolltheorie}, language = {en} } @phdthesis{Hoefling2008, author = {H{\"o}fling, Atilla}, title = {Beggars cannot be choosers - The influence of food deprivation on food related disgust}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-34609}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {The main goals of the present thesis were to investigate how food deprivation influences food related disgust and to identify mental mechanisms that might underlie alterations in food related disgust. For this purpose, 9 studies were conducted that employed direct and indirect measures of attitudes, biological measures of affect as well as measures of real eating behavior and food choice, and compared responses of deprived and non deprived subjects on each of these measures. Spontaneous facial reactions were assessed via EMG and revealed that food deprived subjects showed weaker disgust reactions than satiated participants when being confronted with photographs of disgusting foods. Interestingly, deprived and non deprived subjects evaluated disgusting foods equally negative on a conscious level of information processing, indicating that food deprivation has the potential to attenuate food related disgust irrespective of conscious evaluations. Furthermore, it was found that food deprived participants readily consumed disgust related foods ("genetically modified foods"), while satiated participants rejected those foods. Again, no difference emerged between deprived and non deprived subjects in respect to their conscious evaluations of genetically modified foods (that were negative in both experimental groups). The dissociation between conscious evaluations and actual eating behavior that was observed amongst food deprived participants resembles the dissociation between conscious evaluations and facial reactions, thereby corroborating the assumption that alterations in food related disgust might directly influence eating behavior without changing conscious evaluations of foods. The assumption that a shift in automatic attitudes towards disgusting foods might be responsible for these effects received only partial support. That is, there was only a non significant tendency for food deprived subjects to evaluate disgusting foods more positive than satiated subjects on an automatic level of information processing. Instead, the results of the present thesis suggest that food deprived subjects exhibit a stronger motivation than satiated subjects to approach disgusting foods immediately. More precisely, food deprived participants exhibited strong approach motivational tendencies towards both, palatable and disgusting foods in an "Approach- Avoidance Task" whereas satiated participants only approached palatable (but not disgusting) foods on an automatic level of information processing. Moreover, food deprivation seems to change the subjective weighting of hedonic and functional food attributes in the context of more elaborated decisions about which foods to pick for consumption and which foods to reject. It was found that individual taste preferences were of minor importance for food deprived subjects but very important for satiated subjects when actually choosing between several food alternatives. In contrast, functional food attributes (e.g., immediate availability of a given food, large portion size) were more important selection criteria for food deprived subjects than for satiated subjects. Thus, food deprived participants were less picky than satiated participants, but showed a clear preference for those food alternatives that were functional in ending a state of food deprivation quickly - even if this meant choosing a food that was not considered tasty. Taken together, the present thesis shows that physiological need states (e.g., food deprivation) are tightly linked to the affective and motivational processing of need relevant cues. This link is so strong that food deprivation even modulates affective and motivational reactions as well as eating behavior and choice behavior towards disgusting (but need relevant) foods.}, subject = {Ekel}, language = {en} } @phdthesis{Hupp2008, author = {Hupp, Markus}, title = {Simulating Star Formation and Turbulence in Models of Isolated Disk Galaxies}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-34510}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {We model Milky Way like isolated disk galaxies in high resolution three-dimensional hydrodynamical simulations with the adaptive mesh refinement code Enzo. The model galaxies include a dark matter halo and a disk of gas and stars. We use a simple implementation of sink particles to measure and follow collapsing gas, and simulate star formation as well as stellar feedback in some cases. We investigate two largely different realizations of star formation. Firstly, we follow the classical approach to transform cold, dense gas into stars with an fixed efficiency. These kind of simulations are known to suffer from an overestimation of star formation and we observe this behavior as well. Secondly, we use our newly developed FEARLESS approach to combine hydrodynamical simulations with a semi-analytic modeling of unresolved turbulence and use this technique to dynamically determine the star formation rate. The subgrid-scale turbulence regulated star formation simulations point towards largely smaller star formation efficiencies and henceforth more realistic overall star formation rates. More work is necessary to extend this method to account for the observed highly supersonic turbulence in molecular clouds and ultimately use the turbulence regulated algorithm to simulate observed star formation relations.}, subject = {Astrophysik}, language = {en} } @phdthesis{Huang2008, author = {Huang, Yi}, title = {Structural and Functional Analysis of Chordin-like 2/BMP-2 Interaction}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-29120}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {We have established the novel interaction between mCHL2, Tsg and BMP-2 for the first time. Tsg binds to VWC1 and VWC3 of mCHL2 in a cooperative waz and plazs a role in strengthening the binding affinity. Furthermore, Tsg/mCHL2/BMP-2 termary complex and Tsg/mCHL2 binary complex have been isolated by gel-filtration chromatography. Therefore mCHL2 can form a ternary complex with Tsg and BMP-2 and this complex makes mCHL2 a better BMP-2 antagnonist.}, language = {en} } @phdthesis{Hotz2008, author = {Hotz, Christian}, title = {Improvement of Salmonella vaccine strains for cancer immune therapy based on secretion or surface display of antigens}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-29548}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Cancer immune therapy represents a promising alternative to conventional anti tumour therapy like radiation, surgical excision of the tumour or classical chemotherapy. The biggest advantage of cancer immune therapy is specificity, achieved by targeting tumour-associated antigens with the effector arms of the host immune system. This is believed to result in less adverse effects than standard therapy and reaches presumably also metastatic lesions at distant sites from the primary tumour. However, cancer immune therapy by vaccination against tumour antigens failed to translate into clinical success, yet. Furthermore, despite tremendous clinical efforts malignant disease still results in high mortalities giving rise to the need for novel vaccination-based therapies against cancer. An interesting approach in this respect is the use of bacteria like attenuated salmonellae as carriers for heterologous cancer antigens. In numerous preclinical studies Salmonella-based vaccines could elicit cell mediated immune responses of the CD4+ and CD8+ type against own and heterologous antigens which make them ideally suited for anti tumour therapy. Special delivery systems in Salmonella carriers like surface display or secretion of antigens were shown to be advantageous for the immunological outcome. This work focussed on developing novel Salmonella carriers for immune therapy against cancer. In a first project, TolC, a multifunctional outer membrane protein of E. coli was utilized as membrane anchor for 3 heterologous antigens. Respective TolC fusion proteins encoded on plasmids were analysed for expression, functionality and plasmid stability in different engineered Salmonella strains. The amount of membrane localized recombinant TolC was enhanced in tolC-deficient strains. Furthermore, fusion proteins were functional and plasmid stability was very high in vitro and in vivo. Disappointingly, neither specific CD4+/CD8+ T-cell responses against the model antigen ovalbumin nor CD8+ responses against the cancer antigen BRAFV600E were detectable in murine model systems. However, mice immunized with Salmonella strains displaying an immunodominant epitope of the cancer related prostate specific antigen (PSA) were partially protected from subsequent tumour challenge with a PSA expressing melanoma cell line. Tumour growth in mice immunized with the respective strain was significantly decelerated compared to controls, thus indicating that this surface display system confers protective immunity against tumours. In a second study, the approved typhoid vaccine strain Salmonella enterica serovar Typhi Ty21a (Ty21a) was improved for the hemolysin type I secretion system of E. coli. This secretion system is widely used for heterologous antigen delivery in live bacterial vaccines. It was demonstrated throughout this work that a mutation of rpoS in Ty21a correlated with decreased ability for hemolysin secretion compared to other Salmonella strains. Complementation with rpoS or the presumed downstream target of rpoS, rfaH resulted in enhanced expression and secretion of heterologous hemolysin in Ty21a. Presumably by raising the amount of free antigen, rfaHcomplemented Ty21a elicited higher antibody titres against heterologous hemolysin in immunized mice than controls and even rpoS-positive Ty21a. Therefore, rfaHcomplemented Ty21a could form the basis of a novel generation of vaccines for human use based on (cancer) antigen secretion.}, subject = {Impfstoff}, language = {en} } @phdthesis{Hopfner2008, author = {Hopfner, Marbod}, title = {Source Code Analysis, Management, and Visualization for PROLOG}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-36300}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {This thesis deals with the management and analysis of source code, which is represented in XML. Using the elementary methods of the XML repository, the XML source code representation is accessed, changed, updated, and saved. We reason about the source code, refactor source code and we visualize dependency graphs for call analysis. The visualized dependencies between files, modules, or packages are used to structure the source code in order to get a system, which is easily to comprehend, to modify and to complete. Sophisticated methods have been developed to slice the source code in order to obtain a working package of a large system, containing only a specific functionality. The basic methods, on which the visualizations and analyses are built on can be changed like changing a plug-in. The visualization methods can be reused in order to handle arbitrary source code representations, e.g., JAML, PHPML, PROLOGML. Dependencies of other context can be visualized, too, e.g., ER diagrams, or website references. The tool SCAV supports source code visualization and analyzing methods.}, subject = {Refactoring}, language = {en} } @phdthesis{Hofmann2008, author = {Hofmann, Lars}, title = {Role and regulation of the p53-homolog p73 in the transformation of normal human fibroblasts}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-26877}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {The prototyical tumor suppressor p53 is able to arrest cells after DNA damage or as a response to oncogene expression. The transactivation-competent (TA) isoforms of the more recently discovered p53 family member p73 also prevent tumors, but the underlying mechanisms are less well understood. The work presented here addressed this issue by using a cell culture model of tumorigenesis in which normal human diploid fibroblasts are stepwise transduced with oncogenes. Cells in pretransformed stages were shown to harbour high levels of TAp73 mRNA and protein. This positive regulation was probably a result of pRB inactivation and derepression of E2F1, a key activator of TAp73. Consequences for such cells included an increased sensitivity to the cytostatic drug adriamycin, slower proliferation and reduced survival at high cell density, as demonstrated by rescue experiments using siRNA-mediated knockdown of TAp73. In order to identify potential effector pathways, the gene expression profile of siRNA treated, matched fibroblast cell lines with high and low TAp73 levels were compared in DNA microarrays. These findings support the notion of TAp73 up-regulation as an anti-proliferative defense mechanism, blocking the progress towards full transformation. This barrier could be overcome by the introduction of a constitutively active form of Ras which caused a switch from TAp73 to oncogenic DeltaNp73 expression, presumably through the phosphatidylinositol 3-kinase (PI3K) pathway. In summary, the results presented emphasize the tumor-suppressive function of TAp73 and indicate that its downregulation is a decisive event during the transformation of human cells by oncogenic Ras mutants.}, subject = {Maligne Transformation}, language = {en} } @phdthesis{Hochkeppel2008, author = {Hochkeppel, Stephan}, title = {One- and Two-Particle Correlation Functions in the Dynamical Quantum Cluster Approach}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-28705}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {This thesis is dedicated to a theoretical study of the 1-band Hubbard model in the strong coupling limit. The investigation is based on the Dynamical Cluster Approximation (DCA) which systematically restores non-local corrections to the Dynamical Mean Field approximation (DMFA). The DCA is formulated in momentum space and is characterised by a patching of the Brillouin zone where momentum conservation is only recovered between two patches. The approximation works well if k-space correlation functions show a weak momentum dependence. In order to study the temperature and doping dependence of the spin- and charge excitation spectra, we explicitly extend the Dynamical Cluster Approximation to two-particle response functions. The full irreducible two-particle vertex with three momenta and frequencies is approximated by an effective vertex dependent on the momentum and frequency of the spin and/or charge excitations. The effective vertex is calculated by using the Quantum Monte Carlo method on the finite cluster whereas the analytical continuation of dynamical quantities is performed by a stochastic version of the maximum entropy method. A comparison with high temperature auxiliary field quantum Monte Carlo data serves as a benchmark for our approach to two-particle correlation functions. Our method can reproduce basic characteristics of the spin- and charge excitation spectrum. Near and beyond optimal doping, our results provide a consistent overall picture of the interplay between charge, spin and single-particle excitations: a collective spin mode emerges at optimal doping and sufficiently low temperatures in the spin response spectrum and exhibits the energy scale of the magnetic exchange interaction J. Simultaneously, the low energy single-particle excitations are characterised by a coherent quasiparticle with bandwidth J. The origin of the quasiparticle can be quite well understood in a picture of a more or less antiferromagnetic ordered background in which holes are dressed by spin-excitations to allow for a coherent motion. By increasing doping, all features which are linked to the spin-polaron vanish in the single-particle as well as two-particle spin response spectrum. In the second part of the thesis an analysis of superconductivity in the Hubbard model is presented. The superconducting instability is implemented within the Dynamical Cluster Approximation by essentially allowing U(1) symmetry breaking baths in the QMC calculations for the cluster. The superconducting transition temperature T_c is derived from the d-wave order parameter which is directly estimated on the Monte Carlo cluster. The critical temperature T_c is in astonishing agreement with the temperature scale estimated by the divergence of the pair-field susceptibility in the paramagnetic phase. A detailed study of the pseudo and superconducting gap is continued by the investigation of the local and angle-resolved spectral function.}, subject = {Festk{\"o}rpertheorie}, language = {en} } @phdthesis{Heymer2008, author = {Heymer, Andrea}, title = {Chondrogenic differentiation of human mesenchymal stem cells and articular cartilage reconstruction}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-29448}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Articular cartilage defects are still one of the major challenges in orthopedic and trauma surgery. Today, autologous chondrocyte transplantation (ACT), as a cell-based therapy, is an established procedure. However, one major limitation of this technique is the loss of the chondrogenic phenotype during expansion. Human mesenchymal stem cells (hMSCs) have an extensive proliferation potential and the capacity to differentiate into chondrocytes when maintained under specific conditions. They are therefore considered as candidate cells for tissue engineering approaches of functional cartilage tissue substitutes. First in this study, hMSCs were embedded in a collagen type I hydrogel to evaluate the cartilaginous construct in vitro. HMSC collagen hydrogels cultivated in different culture media showed always a marked contraction, most pronounced in chondrogenic differentiation medium supplemented with TGF-ß1. After stimulation with chondrogenic factors (dexamethasone and TGF-ß1) hMSCs were able to undergo chondrogenesis when embedded in the collagen type I hydrogel, as evaluated by the temporal induction of cartilage-specific gene expression. Furthermore, the cells showed a chondrocyte-like appearance and were homogeneously distributed within a proteoglycan- and collagen type II-rich extracellular matrix, except a small area in the center of the constructs. In this study, chondrogenic differentiation could not be realized with every hMSC preparation. With the improvement of the culture conditions, e.g. the use of a different FBS lot in the gel fabrication process, a higher amount of cartilage-specific matrix deposition could be achieved. Nevertheless, the large variations in the differentiation capacity display the high donor-to-donor variability influencing the development of a cartilaginous construct. Taken together, the results demonstrate that the collagen type I hydrogel is a suitable carrier matrix for hMSC-based cartilage regeneration therapies which present a promising future alternative to ACT. Second, to further improve the quality of tissue-engineered cartilaginous constructs, mechanical stimulation in specific bioreactor systems are often employed. In this study, the effects of mechanical loading on hMSC differentiation have been examined. HMSC collagen hydrogels were cultured in a defined chondrogenic differentiation medium without TGF-ß1 and subjected to a combined mechanical stimulation protocol, consisting of perfusion and cyclic uniaxial compression. Bioreactor cultivation neither affected overall cell viability nor the cell number in collagen hydrogels. Compared with non-loaded controls, mechanical loading promoted the gene expression of COMP and biglycan and induced an up-regulation of matrix metalloproteinase 3. These results circumstantiate that hMSCs are sensitive to mechanical forces, but their differentiation to chondrocytes could not be induced. Further studies are needed to identify the specific metabolic pathways which are altered by mechanical stimulation. Third, for the development of new cell-based therapies for articular cartilage repair, a reliable cell monitoring technique is required to track the cells in vivo non-invasively and repeatedly. This study aimed at analyzing systematically the performance and biological impact of a simple and efficient labeling protocol for hMSCs. Very small superparamagnetic iron oxide particles (VSOPs) were used as magnetic resonance (MR) contrast agent. Iron uptake was confirmed histologically with prussian blue staining and quantified by mass spectrometry. Compared with unlabeled cells, VSOP-labeling did neither influence significantly the viability nor the proliferation potential of hMSCs. Furthermore, iron incorporation did not affect the differentiation capacity of hMSCs. The efficiency of the labeling protocol was assessed with high resolution MR imaging at 11.7 Tesla. VSOP-labeled hMSCs were visualized in a collagen type I hydrogel indicated by distinct hypointense spots in the MR images, resulting from an iron specific loss of signal intensity. This was confirmed by prussian blue staining. In summary, this labeling technique has great potential to visualize hMSCs and track their migration after transplantation for articular cartilage repair with MR imaging.}, subject = {Gelenkknorpel}, language = {en} } @phdthesis{Herbort2008, author = {Herbort, Oliver}, title = {Encoding Redundancy for Task-dependent Optimal Control : A Neural Network Model of Human Reaching}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-26032}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {The human motor system is adaptive in two senses. It adapts to the properties of the body to enable effective control. It also adapts to different situational requirements and constraints. This thesis proposes a new neural network model of both kinds of adaptivity for the motor cortical control of human reaching movements, called SURE_REACH (sensorimotor unsupervised learning redundancy resolving control architecture). In this neural network approach, the kinematic and sensorimotor redundancy of a three-joint planar arm is encoded in task-independent internal models by an unsupervised learning scheme. Before a movement is executed, the neural networks prepare a movement plan from the task-independent internal models, which flexibly incorporates external, task-specific constraints. The movement plan is then implemented by proprioceptive or visual closed-loop control. This structure enables SURE_REACH to reach hand targets while incorporating task-specific contraints, for example adhering to kinematic constraints, anticipating the demands of subsequent movements, avoiding obstacles, or reducing the motion of impaired joints. Besides this functionality, the model accounts for temporal aspects of human reaching movements or for data from priming experiments. Additionally, the neural network structure reflects properties of motor cortical networks like interdependent population encoded body space representations, recurrent connectivity, or associative learning schemes. This thesis introduces and describes the new model, relates it to current computational models, evaluates its functionality, relates it to human behavior and neurophysiology, and finally discusses potential extensions as well as the validity of the model. In conclusion, the proposed model grounds highly flexible task-dependent behavior in a neural network framework and unsupervised sensorimotor learning.}, subject = {Bewegungssteuerung}, language = {en} } @phdthesis{Heidemann2008, author = {Heidemann, Robin}, title = {Non-Cartesian Parallel Magnetic Resonance Imaging}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-26893}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Besides image contrast, imaging speed is probably the most important consideration in clinical magnetic resonance imaging (MRI). MR scanners currently operate at the limits of potential imaging speed, due to technical and physiological problems associated with rapidly switched gradient systems. Parallel imaging (parallel MRI or pMRI) is a method which allows one to significantly shorten the acquisition time of MR images without changing the contrast behavior of the underlying MR sequence. The accelerated image acquisition in pMRI is accomplished without relying on more powerful technical equipment or exceeding physiological boundaries. Because of these properties, pMRI is currently employed in many clinical routines, and the number of applications where pMRI can be used to accelerate imaging is increasing. However, there is also growing criticism of parallel imaging in certain applications. The primary reason for this is the intrinsic loss in the SNR due to the accelerated acquisition. In addition, other effects can also lead to a reduced image quality. Due to unavoidable inaccuracies in the pMRI reconstruction process, local and global errors may appear in the final reconstructed image. The local errors are visible as noise enhancement, while the global errors result in the so-called fold-over artifacts. The appearance and strength of these negative effects, and thus the image quality, depend upon different factors, such as the parallel imaging method chosen, specific parameters in the method, the sequence chosen, as well as specific sequence parameters. In general, it is not possible to optimize all of these parameters simultaneously for all applications. The application of parallel imaging in can lead to very pronounced image artifacts, i.e. parallel imaging can amplify errors. On the other hand, there are applications such as abdominal MR or MR angiography, in which parallel imaging does not reconstruct images robustly. Thus, the application of parallel imaging leads to errors. In general, the original euphoria surrounding parallel imaging in the clinic has been dampened by these problems. The reliability of the pMRI methods currently implemented is the main criticism. Furthermore, it has not been possible to significantly increase the maximum achievable acceleration with parallel imaging despite major technical advances. An acceleration factor of two is still standard in clinical routine, although the number of independent receiver channels available on most MR systems (which are a basic requirement for the application of pMRI) has increased by a factor of 3-6 in recent years. In this work, a novel and elegant method to address this problem has been demonstrated. The idea behind the work is to combine two methods in a synergistic way, namely non-Cartesian acquisition schemes and parallel imaging. The so-called non-Cartesian acquisition schemes have several advantages over standard Cartesian acquisitions, in that they are often faster and less sensitive to physiological noise. In addition, such acquisition schemes are very robust against fold-over artifacts even in the case of vast undersampling of k-space. Despite the advantages described above, non-Cartesian acquisition schemes are not commonly employed in clinical routines. A reason for that is the complicated reconstruction techniques which are required to convert the non-Cartesian data to a Cartesian grid before the fast Fourier transformation can be employed to arrive at the final MR image. Another reason is that Cartesian acquisitions are routinely accelerated with parallel imaging, which is not applicable for non-Cartesian MR acquisitions due to the long reconstruction times. This negates the speed advantage of non-Cartesian acquisition methods. Through the development of the methods presented in this thesis, reconstruction times for accelerated non-Cartesian acquisitions using parallel imaging now approach those of Cartesian images. In this work, the reliability of such methods has been demonstrated. In addition, it has been shown that higher acceleration factors can be achieved with such techniques than possible with Cartesian imaging. These properties of the techniques presented here lead the way for an implementation of such methods on MR scanners, and thus also offer the possibility for their use in clinical routine. This will lead to shorter examination times for patients as well as more reliable diagnoses.}, subject = {NMR-Bildgebung}, language = {en} } @article{GrosHovestadtPoethke2008, author = {Gros, Andreas and Hovestadt, Thomas and Poethke, Hans Joachim}, title = {Evolution of sex-biased dispersal : the role of sex-specific dispersal costs, demographic stochasticity, and inbreeding}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-48705}, year = {2008}, abstract = {Abstract: Inbreeding avoidance and asymmetric competition over resources have both been identified as factors favoring the evolution of sex-biased dispersal. It has also been recognized that sex-specific costs of dispersal would select for sex-biased dispersal, but there is little quantitative information on this aspect. In this paper we explore (i) the quantitative relationship between cost-asymmetry and a bias in dispersal, (ii) the influence of demographic stochasticity on this effect, and (iii) how inbreeding and cost-asymmetry interact in their effect on sex-specific dispersal. We adjust an existing analytical model to account for sex-specific costs of dispersal. Based on numerical calculations we predict a severe bias in dispersal already for small differences in dispersal costs. We corroborate these predictions in individual-based simulations, but show that demographic stochasticity generally leads to more balanced dispersal. In combination with inbreeding, cost asymmetries will usually determine which of the two sexes becomes the more dispersive.}, language = {en} } @phdthesis{Gros2008, author = {Gros, Andreas}, title = {Interactions in the evolution of dispersal distance and emigration probability}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-29226}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Chapter 1 - Evolution of local adaptations in dispersal strategies The optimal probability and distance of dispersal largely depend on the risk to end up in unsuitable habitat. This risk is highest close to the habitat's edge and consequently, optimal dispersal probability and distance should decline towards the habitat's border. This selection should lead to the emergence of spatial gradients in dispersal strategies. However, gene flow caused by dispersal itself is counteracting local adaptation. Using an individual based model I investigate the evolution of local adaptations of dispersal probability and distance within a single, circular, habitat patch. I compare evolved dispersal probabilities and distances for six different dispersal kernels (two negative exponential kernels, two skewed kernels, nearest neighbour dispersal and global dispersal) in patches of different size. For all kernels a positive correlation between patch size and dispersal probability emerges. However, a minimum patch size is necessary to allow for local adaptation of dispersal strategies within patches. Beyond this minimum patch area the difference in mean dispersal distance between center and edge increases linearly with patch radius, but the intensity of local adaptation depends on the dispersal kernel. Except for global and nearest neighbour dispersal, the evolved spatial pattern are qualitatively similar for both, mean dispersal probability and distance. I conclude, that inspite of the gene-flow originating from dispersal local adaptation of dispersal strategies is possible if a habitat is of sufficient size. This presumably holds for any realistic type of dispersal kernel. Chapter 2 - How dispersal propensity and distance depend on the capability to assess population density We analyze the simultaneous evolution of emigration probability and dispersal distance for species with different abilities to assess habitat quality (population density) and which suffer from distance dependent dispersal costs. Using an individual-based model I simulate dispersal as a multistep (patch to patch) process in a world consisting of habitat patches surrounded by lethal matrix. Our simulations show that natal dispersal is strongly driven by kin-competition but that consecutive dispersal steps are mostly determined by the chance to immigrate into patches with lower population density. Consequently, individuals following an informed strategy where emigration probability depends on local population density disperse over larger distances than individuals performing density-independent emigration; this especially holds when variation in environmental conditions is spatially correlated. However, already moderate distance-dependent dispersal costs prevent the evolution of long-distance dispersal irrespectively of the chosen dispersal strategy. Chapter 3 - Evolution of sex-biased dispersal: the role of sex-specific dispersal costs, demographic stochasticity, and inbreeding Inbreeding avoidance and asymmetric competition over resources have both been identified as factors favouring the evolution of sex- biased dispersal. It has also been recognized that sex-specific costs of dispersal would promote selection for sexspecific dispersal, but there is little quantitative information on this aspect. In this paper I explore (i) the quantitative relationship between cost-asymmetry and a bias in dispersal, (ii) the influence of demographic stochasticity on this effect, and (iii) how inbreeding and cost-asymmetry interact in their effect on sex-specific dispersal. I adjust an existing analytical model to account for sex-specific costs of dispersal. Based on numerical calculations I predict a severe bias in dispersal already for small differences in dispersal costs. I corroborate these predictions in individualbased simulations, but show that demographic stochasticity generally leads to more balanced dispersal. In combination with inbreeding, cost asymmetries will usually determine which of the two sexes becomes the more dispersive. Chapter 4 - Evolution of sex-biased dispersal: the role of sex-specific dispersal costs, demographic stochasticity, and inbreeding Inbreeding depression, asymmetries in costs or benefits, and the mating system have been identified as potential factors underlying the evolution of sex-biased dispersal. We use individual-based simulations to explore how the mating system and demographic stochasticity influence the evolution of sex-specific dispersal in a metapopulation with females competing over breeding sites, and males over mating opportunities. Comparison of simulation results for random mating with those for a harem system (locally, a single male sires all offspring) reveal that even extreme variance in local male reproductive success (extreme male competition) does not induce a male bias in dispersal. The latter evolves if between-patch variance in reproductive success is larger for males than females. This can emerge due to demographic stochasticity if habitat patches are small. More generally, members of a group of individuals experiencing higher spatio-temporal variance in fitness expectations may evolve to disperse with greater probability than others.}, subject = {Theoretische {\"O}kologie}, language = {en} } @phdthesis{Gregor2008, author = {Gregor, Thomas}, title = {{0,1}-Matrices with Rectangular Rule}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-28389}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {The incidence matrices of many combinatorial structures satisfy the so called rectangular rule, i.e., the scalar product of any two lines of the matrix is at most 1. We study a class of matrices with rectangular rule, the regular block matrices. Some regular block matrices are submatrices of incidence matrices of finite projective planes. Necessary and sufficient conditions are given for regular block matrices, to be submatrices of projective planes. Moreover, regular block matrices are related to another combinatorial structure, the symmetric configurations. In particular, it turns out, that we may conclude the existence of several symmetric configurations from the existence of a projective plane, using this relationship.}, subject = {Projektive Ebene}, language = {en} } @phdthesis{Gorbunov2008, author = {Gorbunov, Dmitry}, title = {Rat organic cation transporter 1 (rOCT1): investigation of conformational changes and ligand binding}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-32645}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Polyspecific organic cation transporters (OCTs) of the SLC22 family mediate downhill transport of organic cations and play an essential role in excretion and distribution of endogenous organic cations and for the uptake, elimination and distribution of cationic drugs and toxins. Although physiological and pharmacological significance of OCTs is widely accepted, many questions concerning structure and transport mechanism still remain open. To investigate conformational changes of the rat OCT1 during transport cycle, voltage-clamp fluorometry was performed with a cysteine-deprived mutant in which phenylalanine 483 in transmembrane helix (TMH) 11 close to the extracellular surface was replaced by cysteine and covalently labeled with tetramethylrhodamine-6-maleimide. Potential-dependent fluorescence changes were observed that were sensitive to the presence of substrates choline, tetraethylammonium (TEA), 1-methyl-4-phenylpyridinium (MPP), and of the contransported inhibitor tetrabutylammonium (TBuA). The data suggest that the transporter undergoes conformational changes in voltage- and substrate-dependent manner which are compatible with alternating access mechanism. Using potential-dependent fluorescence changes as readout, one high-affinity binding site per substrate and two highaffinity binding sites for TBuA were identified in addition to the previously described single interaction sites. Coexisting high-affinity cation binding sites in organic cation transporters may collect xenobiotics and drugs; however, translocation of organic cations across the membrane may only be induced when a low-affinity cation binding site is loaded. Whereas high-affinity binding of TBuA has no effect on cation uptake by wildtype rat OCT1, replacement by cysteine or serine of amino acids W147, F483, and F486 located in a modeled contact region between TMH2 and TMH11 outside the binding pocket leads to inhibition of MPP or TEA uptake. Thus, mutations of amino acids in transport relevant key positions, which can be distinct from the cation binding region, may transform noninhibitory highaffinity binding sites of high-affinity inhibition sites and thereby cause adverse drug reactions in patients.}, subject = {Kationentransporter 1 der Ratte}, language = {en} } @phdthesis{Gerdes2008, author = {Gerdes, Antje B. M.}, title = {Preferential Processing of Phobic Cues : Attention and Perception in Spider Phobic Patients}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-28684}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Cognitive views of the psychopathology of anxiety propose that attentional biases toward threatening information play a substantial role in the disorders' etiology and maintenance. For healthy subjects, converging evidence show that threatening stimuli attract attention and lead to enhanced activation in visual processing areas. It is assumed that this preferential processing of threat occurs at a preattentive level and is followed by fast attentional engagement. High-anxious individuals show augmented tendencies to selectively attend toward fear-relevant cues (Mathews, 1990) and exhibit elevated neural processing of threatening cues compared to non-anxious individuals (Dilger et al., 2003). Regarding attentional biases in high-anxious subjects, it remains unanswered up to now whether initial engagement of attention toward threat or difficulties to disengage from threat is an underlying mechanism. Furthermore, little is known whether the preferential (attentive) processing of threatening cues does influence perceptional outcomes of anxious subjects. In order to directly study separate components of attentional bias the first study of this dissertation was a combined reaction time and eye-tracking experiment. Twenty one spider phobic patients and 21 control participants were instructed to search for a neutral target while ignoring task-irrelevant abrupt-onset distractor circles which contained either a small picture of a spider (phobic), a flower (non-phobic, but similar to spiders in shape), a mushroom (non-phobic, and not similar to spiders in shape), or small circles with no picture. As expected, patients' reaction times to targets were longer on trials with spider distractors. However, analyses of eye movements revealed that this was not due to attentional capture by spider distractors; patients more often fixated on all distractors with pictures. Instead, reaction times were delayed by longer fixation durations on spider distractors. This result does not support automatic capture of attention by phobic cues but suggests that phobic patients fail to disengage attention from spiders. To assess whether preferential processing of phobic cues differentially affects visual perception in phobic patients compared to healthy controls, the second study of this dissertation used a binocular rivalry paradigm, where two incompatible pictures were presented to each eye. These pictures cannot be merged to a meaningful percept and temporarily, one picture predominates in conscious perception whereas the other is suppressed. 23 spider phobic patients and 20 non-anxious control participants were shown standardized pictures of spiders or flowers, each paired with a neutral pattern under conditions of binocular rivalry. Their task was to continuously indicate the predominant percept by key presses. Analyses show that spider phobic patients perceived the spider picture more often and longer as dominant compared to non-anxious control participants. Thus, predominance of phobic cues in binocular rivalry provides evidence that preferential processing of fear-relevant cues in the visual system actually leads to superior perception. In combination both studies support the notion that phobic patients process phobic cues preferentially within the visual system resulting in enhanced attention and perception. At early stages of visual processing, this is mainly reflected by delayed attentional disengagement and across time, preferential processing leads to improved perception of threat cues.}, subject = {Phobie}, language = {en} } @phdthesis{Gelmedin2008, author = {Gelmedin, Verena Magdalena}, title = {Targeting flatworm signaling cascades for the development of novel anthelminthic drugs}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-33334}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Echinococcus multilocularis verursacht die Alveol{\"a}re Echinokokkose (AE), eine lebendsbedrohliche Krankheit mit limitierten chemotherapeutischen M{\"o}glichkeiten. Die jetzige Anti-AE Chemotherapie basiert auf einer einzigen Wirkstoffklasse, den Benzimidazolen. Obwohl Benzimidazole in vitro parasitozid wirken, wirken sie in vivo bei AE-Behandlung lediglich parasitostatisch und rufen schwere Nebenwirkungen hervor. In F{\"a}llen operabler L{\"a}sionen erfordert die Resektion des Parasitengewebes {\"u}ber einen l{\"a}ngeren Zeitraum eine chemotherapeutische Unterst{\"u}tzung. Damit sind die jetzigen Behandlungsm{\"o}glichkeiten inad{\"a}quat und ben{\"o}tigen Alternativen. In der vorliegenden Arbeit wurden die Signalwege von Plattw{\"u}rmern analysiert, um potentielle Targets f{\"u}r neue therapeutische Ans{\"a}tze zu identifizieren. Dabei konzentrierte ich mich unter Anwendung von molekularbiologischer, biochemischer und zellbiologischer Methoden auf Faktoren, die an Entwicklung und Proliferation von E. multilocularis beteiligt sind. Darunter waren die drei MAP kinases des Parasiten EmMPK1, ein Erk1/2-Ortholog, EmMPK2, ein p38-Ortholog und EmMPK3, ein Erk7/8-Ortholog. Des Weiteren identifizierte und charakterisierte ich EmMKK2, ein MEK1/2-Ortholog des Parasiten, welches zusammen mit den bekannten Kinasen EmRaf und EmMPK1 ein Erk1/2-{\"a}hnliches MAPK Modul bildet. Ich konnte zudem verschiedene Einfl{\"u}sse von Wirtswachstumsfaktoren wie EGF (epidermal growth factor) und Insulin auf die Signalmechanismen des Parasiten und das Larvenwachstum zeigen, darunter die Phosphorylierung von Elp, ein Ezrin-Radixin-Moesin {\"a}hnliches Protein, die Aktivierung von EmMPK1 und EmMPK3 und eine gesteigerte mitotische Aktivit{\"a}t der Echinokokkenzellen. Zus{\"a}tzlich wurden verschiedene Substanzen auf ihre letale Wirkung auf den Parasiten untersucht, darunter befanden sich (1.) generelle Inhibitoren von Tyrosinkinasen (PP2, Leflunamid), (2.) gegen die Aktivit{\"a}t von Rezeptor-Tyrosin-Kinasen gerichtete Pr{\"a}parate, (3.) urspr{\"u}nglich anti-neoplastische Wirkstoffe wie Miltefosin und Perifosin, (4.) Inhibitoren von Serin/ Threonin-Kinasen, die die Erk1/2 MAPK Kaskade blockieren und (5.) Inhibitoren der p38 MAPK. In diesen Untersuchungen hat sich EmMPK2 aus den folgenden Gr{\"u}nden als vielversprechendes Target erwiesen. Aminos{\"a}uresequenz-Analysen offenbarten einige Unterschiede zu menschlichen p38 MAP Kinasen, welche sehr wahrscheinlich die beobachtete gesteigerte basale Aktivit{\"a}t des rekombinanten EmMPK2 verursachen, verglichen mit der Aktivit{\"a}t humaner p38 MAPK-\&\#945;. Zus{\"a}tzlich suggerieren die prominente Autophosphorylierungsaktivit{\"a}t von rekombinantem EmMPK2 und das Ausbleiben einer Interaktion mit den Echinococcus MKKs einen unterschiedlichen Regulierungsmechanismus im Vergleich zu den humanen Proteinen. Die Aktivit{\"a}t von EmMPK2 konnte sowohl in vitro als auch in kultivierten Metazestodenvesikeln durch die Behandlung mit SB202190 und ML3403, zwei ATP kompetitiven Pyridinylimidazolinhibitoren der p38 MAPK, in Konzentrations-abh{\"a}ngiger Weise inhibiert werden. Zudem verursachten beide Substanzen, insbesondere ML3403 die Inaktivierung von Parasitenvesikeln bei Konzentrationen, die kultivierte S{\"a}ugerzellen nicht beeintr{\"a}chtigten. Ebenso verhinderte die Anwesenheit von ML3403 die Generation von neuen Vesikeln w{\"a}hrend der Kultivierung von Echinococcus Prim{\"a}rzellen. Das Targeting von Mitgliedern des EGF-Signalwegs, insbesondere der Erk1/2-{\"a}hnlichen MAPK Kaskade mit Raf- und MEK- Inhibitoren verhinderte die Phosphorylierung von EmMPK1 in in vitro kultivierten Metazestoden. Obwohl das Parasitenwachstum unter diesen Konditionen verhindert wurde, blieb die strukturelle Integrit{\"a}t der Metazestodenvesikeln w{\"a}hrend der Langzeitkultivierung in Anwesenheit der MAPK Kaskade-Inhibitoren erhalten. {\"A}hnliche Effekte wurden beobachtet nach Behandlung mit den anderen zuvor aufgef{\"u}hrten Inhibitoren. Zusammenfassend l{\"a}sst sich festhalten, dass verschiedene Targets identifiziert werden konnten, die hoch sensibel auf die Anwesenheit der inhibitorischen Substanzen reagierten, aber nicht zum Absterben des Parasiten f{\"u}hrten, mit Ausnahme der Pyridinylimidazolen. Die vorliegenden Daten zeigen, dass EmMPK2 ein {\"U}berlebendsignal vermittelnden Faktor darstellt und dessen Inhibierung zur Behandlung der AE benutzt werden k{\"o}nnte. Dabei erwiesen sich p38 MAPK Inhibitoren der Pyridinylimidazolklasse als potentielle neue Substanzklasse gegen Echinokokken.}, subject = {Fuchsbandwurm}, language = {en} } @phdthesis{Ganz2008, author = {Ganz, Verena}, title = {A comprehensive approach for currency crises theories stressing the role of the anchor country}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-26853}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {The approach is based on the finding that new generations of currency crises theories always had developed ex post after popular currency crises. Discussing the main theories of currency crises shows their disparity: The First Generation of currency crises models argues based on the assumption of a chronic budget deficit that is being monetized by the domestic central bank. The result is a trade-off between an expansionary monetary policy that is focused on the internal economic balance and a fixed exchange rate which is depending on the rules of interest parity and purchasing power parity. This imbalance inevitably results in a currency crisis. Altogether, this theory argues with a disrupted external balance on the foreign exchange market. Second Generation currency crises models on the other side focus on the internal macroeconomic balance. The stability of a fixed exchange rate is depending on the economic benefit of the exchange rate system in relation to the social costs of maintaining it. As soon as social costs are increasing and showing up in deteriorating fundamentals, this leads to a speculative attack on the fixed exchange rate system. The term Third Generation of currency crises finally summarizes a variety of currency crises theories. These are also arguing psychologically to explain phenomena as contagion and spill-over effects to rationalize crises detached from the fundamental situation. Apart from the apparent inconsistency of the main theories of currency crises, a further observation is that these explanations focus on the crisis country only while international monetary transmission effects are left out of consideration. These however are a central parameter for the stability of fixed exchange rate systems, in exchange rate theory as well as in empirical observations. Altogether, these findings provide the motivation for developing a theoretical approach which integrates the main elements of the different generations of currency crises theories and which integrates international monetary transmission. Therefore a macroeconomic approach is chosen applying the concept of the Monetary Conditions Index (MCI), a linear combination of the real interest rate and the real exchange rate. This index firstly is extended for international monetary influences and called MCIfix. MCIfix illustrates the monetary conditions required for the stability of a fixed exchange rate system. The central assumption of this concept is that the uncovered interest parity is maintained. The main conclusion is that the MCIfix only depends on exogenous parameters. In a second step, the analysis integrates the monetary policy requirements for achieving an internal macroeconomic stability. By minimizing a loss function of social welfare, a MCI is derived which pictures the economically optimal monetary policy MCIopt. Instability in a fixed exchange rate system occurs as soon as the monetary conditions for an internal and external balance are deviating. For discussing macroeconomic imbalances, the central parameters determining the MCIfix (and therefore the relation of MCIfix to MCIopt) are discussed: the real interest rate of the anchor country, the real effective exchange rate and a risk premium. Applying this theory framework, four constellations are discussed where MCIfix and MCIopt fall apart in order to show the central bank's possibilities for reacting and the consequences of that behaviour. The discussion shows that the integrative approach manages to incorporate the central elements of traditional currency crises theories and that it includes international monetary transmission instead of reducing the discussion on an inconsistent domestic monetary policy. The theory framework for fixed exchange rates is finally applied in four case studies: the currency crises in Argentina, the crisis in the Czech Republic, the Asian currency crisis and the crisis of the European Monetary System. The case studies show that the developed monetary framework achieves integration of different generations of crises theories and that the monetary policy of the anchor country plays a decisive role in destabilising fixed exchange rate systems.}, subject = {Devisenmarkt}, language = {en} } @phdthesis{Galmbacher2008, author = {Galmbacher, Katharina Monika}, title = {Caspase-1 as a target of bacterial tumor therapy}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-33506}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Tumorstroma und Tumor-assoziierte Makrophagen (TAMs) spielen in neoplastischen Erkrankungen eine wichtige Rolle im Bezug auf Tumorwachstum und Progression. In einigen Krebsarten besteht zwischen den Tumor-assoziierten Makrophagen und den Krebszellen eine intensive Interaktion, welche zu vermehrter Angiogenese und zur Unterdr{\"u}ckung lokaler Immunantworten f{\"u}hrt. Aus diesem Grund stellen TAMs einen vielversprechenden Angriffspunkt f{\"u}r eine Krebstherapie da. In dieser Arbeit wird gezeigt, dass intrazellul{\"a}re Bakterien wie Salmonella und Shigella haupts{\"a}chlich TAMs im Tumorgewebe infizierten. Um dieses Verhalten n{\"a}her zu untersuchen, konstruierten wir einen im Wachstum abgeschw{\"a}chten Shigella Stamm, welcher jedoch noch die F{\"a}higkeit hat, Apoptose in Makrophagen zu induzieren. Shigellen sind invasive Bakterien, die in das Darmgewebe einwandern und dort eine massive Inflammation induzieren. Intrazellul{\"a}re Shigellen aktivieren Caspase-1 und induzieren dadurch Apoptose in Makrophagen durch den sekretierten Virulenzfaktor IpaB. Durch eine Deletion des genomischen aroA-Gens, wurde ein Shigella Stamm konstruiert, der Defekte im intrazellul{\"a}ren Wachstum aufweist. Dennoch war dieser Stamm noch f{\"a}hig eukaryotische Zellen zu infizieren, sich interzellul{\"a}r fortzubewegen, Caspase-1 zu aktivieren und Apoptose in Makrophagen zu induzieren. Es wurde gezeigt, dass dieser Shigellen Stamm nach i.v. Injektion haupts{\"a}chlich die TAMs im 4T1-induzierten und transgenen MMTV-HER2/neu Brustkrebsmodel infizieren. Diese attenuierten Shigellen wurden im Tumorgewebe haupts{\"a}chlich intrazellul{\"a}r detektiert, im Gegensatz dazu wurden attenuierte Salmonellen zu sp{\"a}ten Zeitpunkten (7 d p.i.) auch extrazellul{\"a}r im Tumorgewebe aufgefunden. Der metabolisch aber nicht in der Virulenz attenuierte Shigella Stamm konnte in beiden Brustkrebsmodellen zu allen Zeitpunkten (4 h, 6h and 7 d p.i.) Caspase-1 in TAMs aktivieren und Apoptose induzieren. Diese Apoptose f{\"u}hrte in beiden Brustkrebsmodellen zu einer langandauernden und hoch signifikanten Reduktion der TAMs-Anzahl (bis zu 70 \%). Im Gegensatz dazu konnten Salmonellen nur zu fr{\"u}hen Zeitpunkten (6 h p.i.) Apoptose in TAMs induzieren und dies f{\"u}hrte in beiden Modellen zu keiner Reduzierung der TAMs-Anzahl. In dem 4T1-induzierten Tumormodel wurden die M{\"a}use mit dem attenuierten Shigella Stamm behandelt, was zu einer kompletten Blockierung des Tumorwachstums f{\"u}hrte, dies traf aber nicht f{\"u}r den avirulenten Stamm zu. Dar{\"u}berhinaus infizierte Shigella haupts{\"a}chlich die Makrophagen Fraktion eines Ovarkarzinoms ex vivo und induzierte in diesen Zellen Caspase- 1 Aktivierung und Apoptose. Zusammenfassend zeigen diese Daten, dass im Wachstum attenuierte intrazellul{\"a}re Bakterien dazu f{\"a}hig sind Apoptose in TAMs zu induzieren. Dadurch werden sie zu einem vielversprechenden Therapeutikum zur Behandlung von betimmten Krebserkrankungen, bei denen TAMs eine erwiesene Rolle im Tumorwachstum und der Tumorprogression spielen.}, subject = {Shigella flexneri}, language = {en} } @phdthesis{Fueller2008, author = {F{\"u}ller, Jochen}, title = {Analysis of the binding properties of the kinase C-RAF to mitochondria and characterization of its effects on the cellular and molecular level}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-35096}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {The proteins of the RAF family (A-RAF, B-RAF, and C-RAF) are serine/threonine-kinases that play important roles in development, mature cell regulation and cancer. Although it is widely held that their localization on membranes is an important aspect of their function, there are few data addressing this aspect of their mode of action. Here, we report that each member of the RAF family exhibits a specific distribution at the level of cellular membranes, and that C-RAF is the only isoform that directly targets mitochondria. We find that the RAF kinases exhibit intrinsic differences in terms of mitochondrial affinity, and that C-RAF is the only isoform that binds this organelle efficiently. This affinity is conferred by the C-RAF amino-terminal domain, and does not depend on the presence of RAS GTPases on the surface of mitochondria. Furthermore, we analyze the consequences of C-RAF activation on the cellular and molecular level. C-RAF activation on mitochondria dramatically changes their morphology and their subcellular distribution. On the molecular level, we examine the role of C-RAF in the regulation of the pro-apoptotic Bcl-2 family member BAD. This protein exhibits the original mode of regulation by phosphorylation. Although several reports addressed the regulation of BAD by C-RAF, the exact mode of action as well as the consequences of C-RAF activation on BAD are still not completely understood. We show that the inducible activation of C-RAF promotes the rapid phosphorylation of BAD on Serine-112 (Ser-75 in the human protein), through a cascade involving the kinases MEK and RSK. Our findings reveal a new aspect of the regulation of BAD protein and its control by the RAF pathway: we find that C-RAF activation promotes BAD poly-ubiquitylation in a phosphorylation-dependent fashion, and increases the turn-over of this protein through proteasomal degradation.}, subject = {Apoptosis}, language = {en} } @phdthesis{Foerstner2008, author = {F{\"o}rstner, Konrad Ulrich}, title = {Computational analysis of metagenomic data: delineation of compositional features and screens for desirable enzymes}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-33577}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {The topic of my doctorial research was the computational analysis of metagenomic data. A metagenome comprises the genomic information from all the microorganisms within a certain environment. The currently available metagenomic data sets cover only parts of these usually huge metagenomes due to the high technical and financial effort of such sequencing endeavors. During my thesis I developed bioinformatic tools and applied them to analyse genomic features of different metagenomic data sets and to search for enzymes of importance for biotechnology or pharmaceutical applications in those sequence collections. In these studies nine metagenomic projects (with up to 41 subsamples) were analysed. These samples originated from diverse environments like farm soil, acid mine drainage, microbial mats on whale bones, marine water, fresh water, water treatment sludges and the human gut flora. Additionally, data sets of conventionally retrieved sequence data were taken into account and compared with each other}, subject = {Bioinformatik}, language = {en} } @phdthesis{Froese2008, author = {Froese, Alexander}, title = {The Popeye domain containing gene 2 (Popdc2): Generation and functional characterization of a null mutant in mice and promoter analysis}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-26473}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {In the present study a knockout mouse model of the Popeye domain containing gene 2 (Popdc2) was generated and functionally characterized. The Popdc2 null mutants were viable with an apparent normal life span. ß-galactosidase staining to visualize the expression of the Popdc2-LacZ transgene revealed the presence of the Popdc2 in heart, bladder, smooth and skeletal muscles. In the heart LacZ was found to be present in cardiac myocytes with elevated levels in the myocytes of the cardiac conduction system. Holter ECGs records of the heart function of the 8 months (but not in 3 and 6 months) old mutant and WT littermates revealed a pronounced sinus bradycardia in the mutant mice in response to three different stress regimens: isoproterenol infusion, mental stress and a physical exercise. Histological examination of the Popdc2 null mutants SAN revealed structural alterations as was detected by HCN4 staining. Moreover, volume measurements using 3-D reconstructions of serial sections stained with HCN4 antibody revealed a volume reduction of about 30\% in the mutant SAN. Taken together data presented in this study suggest that the Popdc2 KO mouse line may serve as an animal model of human sick sinus syndrome. In the second part of this thesis the Popdc2 gene promoter was analyzed. Three transcription factors binding sites were predicted in the promoter region and characterized.}, subject = {Herz}, language = {en} } @phdthesis{Fouquet2008, author = {Fouquet, Wernher}, title = {Analysis of synapse assembly in Drosophila melanogaster}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-38173}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {The majority of rapid cell-to-cell communication mechanisms and information processing within the nervous system makes use of chemical synapses. Fast neurotransmission on these sites not only requires very close apposition of pre- and postsynaptic partners, but also depends on an effective structural arrangement of cellular components on both sides of the synaptic cleft. Synaptic vesicles fuse at active zones (AZs), characterized by an electron-dense protein mesh of insufficiently characterized composition and function. EM analysis of synapses identified electron dense structures thought (but not proven) to play an important role for vesicle release efficacy. The molecular organization of presynaptic AZs during Ca2+ influx-triggered neurotransmitter release is currently a focus of intense investigation. Due to its appearance in electron micrographs, dense bodies at Drosophila synapses were named T-bars. Together with the lab of Erich Buchner, we recently showed that Bruchpilot (BRP) of the Drosophila melanogaster, homologous to the mammalian CAST/ERC family in its N-terminal half, is essential for the T-bar assembly at AZs and efficient neurotransmitter release respectively. The question, in which way BRP contributes to functional and structural organization of the AZ, was a major focus of this thesis. First, stimulated emission depletion microscopy (STED), featuring significantly increased optical resolution, was used to achieve first insights into 'cytoarchitecture' of the AZ compartment. In addition, in vivo live imaging experiments following identified populations of synapses over extended periods were preformed to address the trafficking of protein at forming synapses and thereby providing a temporal sequence for the AZ assembly process. Apart from BRP, two additional AZ proteins, DLiprin-\&\#945; and DSyd-1, were included into the analysis, which were both shown to contribute to efficient AZ assembly. Drosophila Syd-1 (DSyd-1) and Drosophila Liprin-\&\#945; (DLiprin-\&\#945;) clusters initiated AZ assembly, finally forming discrete 'quanta' at the AZ edge. ELKS-related Bruchpilot, in contrast, accumulated late from diffuse pools in the AZ center, where it contributed to the electron dense specialization by adopting an extended conformation vertical to the AZ membrane. We show that DSyd-1 and DLiprin-\&\#945; are important for efficient AZ formation. The results of this thesis describe AZ assembly as a sequential protracted process, with matured AZs characterized by sub-compartments and likely quantal building blocks. This step-wise, in parts reversible path leading to mature AZ structure and function offers new control possibilities in the development and plasticity of synaptic circuits.}, subject = {Synapse}, language = {en} } @phdthesis{Fischer2008, author = {Fischer, Stefan Martin}, title = {Regulation and functional consequences of MCP-1 expression in a model of Charcot-Marie-Tooth 1B disease}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-29189}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Charcot-Marie-Tooth 1B (CMT1B) is a progressive inherited demyelinating disease of human peripheral nervous system leading to sensory and/or motor function disability and is caused by mutations in the P0 gene. Mice heterozygously deficient for P0 (P0+/-) are an adequate model of this human disorder showing myelin degeneration, formation of onion bulbs, remyelination and a reduced motor conduction velocity of around 30m/s similar to patients. Previously, it had been shown that T-lymphocytes and macrophages play a crucial role during pathogenesis in peripheral nerves of P0+/- mice. Both, T-lymphocytes and macrophages increase in number in the endoneurium and deletion of T-lymphocytes or deletion of a macrophage-directed cytokine ameliorates the disease. In this study the monocyte chemoattractant protein-1 (MCP-1) was identified as an early regulated cytokine before onset of disease is visible at the age of six months. MCP-1 mRNA and protein expression could be detected in femoral quadriceps and sciatic nerves of P0+/- mice already at the age of one month but not in cutaneous saphenous nerves which are never affected by the disease. MCP-1 was shown to be expressed by Schwann cells and to mediate the immigration of immune cells into peripheral nerves. Deletion of MCP-1 in P0+/- mice accomplished by crossbreeding P0 and MCP-1 deficient mice revealed a substantial reduction of immune cells in peripheral nerves of P0+/-/MCP-1+/- and P0+/-/MCP-1-/- mice at the age of six months. In twelve months old mice reduction of immune cells in peripheral nerves is accompanied by amelioration of demyelinating disease in P0+/-/MCP-1+/- and aggravation of demyelinating disease in lumbar ventral roots of P0+/ /MCP-1-/- mice in comparison to P0+/ /MCP 1+/+ mice. Furthermore, activation of the MEK1/2-ERK1/2 signalling cascade could be demonstrated to take place in Schwann cells of affected peripheral nerves of P0+/- mice overlapping temporarily and spatially with MCP-1 expression. An animal experiment using a MEK1/2-inhibitor in vivo, CI-1040, revealed that upon reduction of ERK1/2 phosphorylation MCP-1 mRNA expression is diminished suggesting that the activation of the MEK1/2-ERK1/2 signalling cascade is necessary for MCP-1 expression. Additionally, peripheral nerves of P0+/- mice showing reduced ERK1/2 phosphorylation and MCP-1 mRNA expression also show reduced numbers of macrophages in the endoneurium. This study shows a molecular link between a Schwann cell based mutation and immune cell function. Inhibition of the identified signalling cascade might be a putative target for therapeutic approaches.}, subject = {Schwann-Zelle}, language = {en} } @phdthesis{Fink2008, author = {Fink, Kristin}, title = {Toxins in Renal Disease and Dialysis Therapy : Genotoxic Potential and Mechanisms}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-31082}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {In patients suffering from end-stage renal disease who are treated by hemodialysis genomic damage as well as cancer incidence is elevated. One possible cause for the increased genomic damage could be the accumulation of genotoxic substances in the blood of patients. Two possible sources for those toxins have to be considered. The first possibility is that substances from dialysers, the blood tubing system or even contaminated dialysis solutions may leach into the blood of the patients during dialysis. Secondly, the loss of renal filtration leads to an accumulation of substances which are normally excreted by the kidney. If those substances possess toxic potential, they are called uremic toxins. Several of these uremic toxins are potentially genotoxic. Within this thesis several exemplary uremic toxins have been tested for genotoxic effects (homocysteine, homocysteine-thiolactone,leptine, advanced glycated end-products). Additionally, it was analysed whether substances are leaching from dialysers or blood tubing and whether they cause effects in in vitrotoxicity testing. The focus of chemical analytisis was on bisphenol A (BPA), the main component of plastics used in dialysers and dialyser membranes.}, subject = {Bisphenol A}, language = {en} } @phdthesis{Engelmann2008, author = {Engelmann, Julia Cath{\´e}rine}, title = {DNA microarrays: applications and novel approaches for analysis and interpretation}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-29747}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {In der vorliegenden Dissertation wird die Entwicklung eines phylogenetischen DNA Microarrays, die Analyse von mehreren Microarray-Genexpressionsdatens{\"a}tzen und neue Ans{\"a}tze f{\"u}r die Datenanalyse und Interpretation der Ergebnisse vorgestellt. Die Entwicklung und Analyse der Daten eines phylogenetischen DNA Microarrays wird in der ersten Publikation dargestellt. Ich konnte zeigen, dass die Spezies-Detektion mit phylogenetischen Microarrays durch die Datenanalyse mit einem linearen Regressionsansatz signifikant verbessert werden kann. Standard-Methoden haben bislang nur Signalintensit{\"a}ten betrachtet und eine Spezies als an- oder abwesend bezeichnet, wenn die Signalintensit{\"a}t ihres Messpunktes oberhalb eines willk{\"u}rlich gesetzten Schwellenwertes lag. Dieses Verfahren ist allerdings aufgrund von Kreuz-Hybridisierungen nicht auf sehr nah verwandte Spezies mit hoher Sequenzidentit{\"a}t anwendbar. Durch die Modellierung des Hybridisierungs und Kreuz-Hybridisierungsverhaltens mit einem linearen Regressionsmodell konnte ich zeigen, dass Spezies mit einer Sequenz{\"a}hnlichkeit von 97\% im Markergen immer noch unterschieden werden k{\"o}nnen. Ein weiterer Vorteil der Modellierung ist, dass auch Mischungen verschiedener Spezies zuverl{\"a}ssig vorhergesagt werden k{\"o}nnen. Theoretisch sind auch quantitative Vorhersagen mit diesem Modell m{\"o}glich. Um die großen Datenmengen, die in {\"o}ffentlichen Microarray-Datenbanken abgelegt sind besser nutzen zu k{\"o}nnen, bieten sich Meta-Analysen an. In der zweiten Publikation wird eine explorative Meta-Analyse auf Arabidopsis thaliana-Datens{\"a}tzen vorgestellt. Mit der Analyse verschiedener Datens{\"a}tze, die den Einfluss von Pflanzenhormonen, Pathogenen oder verschiedenen Mutationen auf die Genexpression untersucht haben, konnten die Datens{\"a}tze anhand ihrer Genexpressionsprofile in drei große Gruppen eingeordnet werden: Experimente mit Indol-3-Essigs{\"a}ure (IAA), mit Pathogenen und andere Experimente. Gene, die charakteristisch f{\"u}r die Gruppe der IAA-Datens{\"a}tze beziehungsweise f{\"u}r die Gruppe der Pathogen-Datens{\"a}tze sind, wurden n{\"a}her betrachtet. Diese Gene hatten Funktionen, die bereits mit Pathogenbefall bzw. dem Einfluss von IAA in Verbindung gebracht wurden. Außerdem wurden Hypothesen {\"u}ber die Funktionen von bislang nicht annotierten Genen aufgestellt. In dieser Arbeit werden auch Prim{\"a}ranalysen von einzelnen Arabidopsis thaliana Genexpressions-Datens{\"a}tzen vorgestellt. In der dritten Publikation wird ein Experiment beschrieben, das durchgef{\"u}hrt wurde um herauszufinden ob Mikrowellen-Strahlung einen Einfluss auf die Genexpression einer Zellkultur hat. Dazu wurden explorative Analysemethoden angewendet. Es wurden geringe aber signifikante Ver{\"a}nderungen in einer sehr kleinen Anzahl von Genen beobachtet, die experimentell best{\"a}tigt werden konnten. Die Funktionen der regulierten Gene und eine Meta-Analyse mit {\"o}ffentlich zug{\"a}nglichen Datens{\"a}tzen einer Datenbank deuten darauf hin, dass die pflanzliche Zellkultur die Strahlung als eine Art Energiequelle {\"a}hnlich dem Licht wahrnimmt. Des weiteren wird in der vierten Publikation die funktionelle Analyse eines Arabidopsis thaliana Genexpressionsdatensatzes beschrieben. Die Analyse der Genexpressions eines pflanzlichen Tumores zeigte, dass er seinen Stoffwechsel von aerob und auxotroph auf anaerob und heterotroph umstellt. Gene der Photosynthese werden im Tumorgewebe reprimiert, Gene des Aminos{\"a}ure- und Fettstoffwechsels, der Zellwand und Transportkan{\"a}le werden so reguliert, dass Wachstum und Entwicklung des Tumors gef{\"o}rdert werden. In der f{\"u}nften Publikation in dieser Arbeit wird GEPAT (Genome Expression Pathway Analysis Tool) beschrieben. Es besteht aus einer Internet- Anwendung und einer Datenbank, die das einfache Hochladen von Datens{\"a}tzen in die Datenbank und viele M{\"o}glichkeiten der Datenanalyse und die Integration anderer Datentypen erlaubt. In den folgenden zwei Publikationen (Publikation 6 und Publikation 7) wird GEPAT auf humane Microarray-Datens{\"a}tze angewendet um Genexpressionsdaten mit weiteren Datentypen zu verkn{\"u}pfen. Genexpressionsdaten und Daten aus vergleichender Genom-Hybridisierung (CGH) von prim{\"a}ren Tumoren von 71 Mantel-Zell-Lymphom (MCL) Patienten erm{\"o}glichte die Ermittlung eines Pr{\"a}diktors, der die Vorhersage der {\"U}berlebensdauer von Patienten gegen{\"u}ber herk{\"o}mmlichen Methoden verbessert. Die Analyse der CGH Daten zeigte, dass auch diese f{\"u}r die Vorhersage der {\"U}berlebensdauer geeignet sind. F{\"u}r den Datensatz von Patienten mit großzellig diffusem B-Zell-Lymphom DLBCL konnte aus den Genexpressionsdaten ebenfalls ein neuer Pr{\"a}diktor vorgeschlagen werden. Mit den zwischen lang und kurz {\"u}berlebenden Patienten differentiell exprimierten Genen der MCL Patienten und mit den Genen, die zwischen den beiden Untergruppen von DLBCL reguliert sind, wurden Interaktionsnetzwerke gebildet. Diese zeigen, dass bei beiden Krebstypen Gene des Zellzyklus und der Proliferation zwischen Patienten mit kurzer und langer {\"U}berlebensdauer unterschiedlich reguliert sind.}, subject = {Microarray}, language = {en} } @phdthesis{Eisenbarth2008, author = {Eisenbarth, Hedwig}, title = {Assessment of emotional detachment in psychopathy via self-report and an emotion detection task}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-27817}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {The personality construct of psychopathy is subject of growing research, but data on psychopathy in female incarcerated and in non-institutionalized samples are rare. In this thesis emotional detachment as one factor of psychopathy is investigated in general population, in patients and in incarcerated samples. After verifying the validity of the Psychopathy Personality Inventory Revised (PPI-R) measuring emotional detachment, the sensitivity of the questionnaire concerning emotional detachment has been proven. Additionally it has been shown that symptoms of attention deficit and hyperactivity disorder can be distinguished from psychopathic traits by emotional detachment. In addition, these results confirm the core role of the feature emotional detachment for psychopathy. Furthermore, two emotion recognition tasks have been conducted in a criminal female inpatients sample. Compared to the low psychopathic patients, the high psychopathic patients showed deficits in categorization only in shortly presented sad facial expressions, but rated emotional facial expressions as less arousing. These results point to emotional detachment as a core characteristic of psychopathy, and is specific even in non-incarcerated and female incarcerated samples. It can be measured with the PPI-R as well as with emotion detection tasks.}, subject = {Psychopathie}, language = {en} } @phdthesis{Driewer2008, author = {Driewer, Frauke}, title = {Teleoperation Interfaces in Human-Robot Teams}, isbn = {978-3-923959-57-0}, doi = {10.25972/OPUS-2955}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-36351}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Diese Arbeit besch{\"a}ftigt sich mit der Verbesserung von Mensch-Roboter Interaktion in Mensch-Roboter Teams f{\"u}r Teleoperation Szenarien, wie z.B. robotergest{\"u}tzte Feuerwehreins{\"a}tze. Hierbei wird ein Konzept und eine Architektur f{\"u}r ein System zur Unterst{\"u}tzung von Teleoperation von Mensch-Roboter Teams vorgestellt. Die Anforderungen an Informationsaustausch und -verarbeitung, insbesondere f{\"u}r die Anwendung Rettungseinsatz, werden ausgearbeitet. Weiterhin wird das Design der Benutzerschnittstellen f{\"u}r Mensch-Roboter Teams dargestellt und Prinzipien f{\"u}r Teleoperation-Systeme und Benutzerschnittstellen erarbeitet. Alle Studien und Ans{\"a}tze werden in einem Prototypen-System implementiert und in verschiedenen Benutzertests abgesichert. Erweiterungsm{\"o}glichkeiten zum Einbinden von 3D Sensordaten und die Darstellung auf Stereovisualisierungssystemen werden gezeigt.}, subject = {Robotik}, language = {en} } @phdthesis{Drechsler2008, author = {Drechsler, Patrick Hans}, title = {Mechanics of adhesion and friction in stick insects and tree frogs}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-26836}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Many arthropods and vertebrates can cling to surfaces using adhesive pads on their legs. These pads are either smooth and characterised by a specialised, soft cuticle or they are hairy, i.e. densely covered with flexible adhesive setae. Animals climbing with adhesive organs are able to control attachment and detachment dynamically while running. The detailed mechanisms of how tarsal pads generate adhesive and frictional forces and how forces are controlled during locomotion are still largely unclear. The aim of this study was to clarify the attachment mechanism of smooth adhesive pads as present in many insects and tree frogs. To understand the function of these fluid-based adhesive systems, I characterized their performance under standardized conditions. To this end, experiments were conducted by simultaneously measuring adhesion, friction, and contact area in single adhesive pads. The first result of this study showed that friction in stick insect attachment pads is anisotropic: Attachment pads regularly detached when slid away from the body. Further analyses of "immobilized" arolia revealed that this anisotropy is not caused by an increased shear stress in the proximal direction, but by the instability of the tarsus when pushed distally. In the second part of this study, I analysed the role of the pad secretion present in insects and tree frogs. In stick insects, shear stress was largely independent of normal force and increased with velocity, seemingly consistent with the viscosity effect of a continuous fluid film. However, measurements of the remaining force two minutes after a sliding movement showed that adhesive pads could sustain considerable static friction in insects and tree frogs. Repeated sliding movements and multiple consecutive pull-offs of stick insect single legs to deplete adhesive secretion showed that on a smooth surface, friction and adhesion strongly increased with decreasing amount of fluid in insects. In contrast, stick insect pull-off forces significantly decreased on a rough substrate. Thus, the secretion does not generally increase attachment but does so only on rough substrates, where it helps to maximize contact area. When slides with stick insect arolia were repeated at one position so that secretion could accumulate, sliding shear stress decreased but static friction remained clearly present. This suggests that static friction in stick insects, which is biologically important to prevent sliding, is based on non-Newtonian properties of the adhesive emulsion rather than on a direct contact between the cuticle and the substrate. \% Analogous measurements in toe pads of tree frogs showed that they are also able to generate static friction, even though their pads are wetted by mucus. In contrast to the mechanism proposed for insects, static friction in tree frogs apparently results from the very close contact of toe pads to the substrate and boundary lubrication. In the last section of this study, I investigated adhesive forces and the mode of detachment by performing pull-off measurements at different velocities and preloads. These experiments showed that preload has only an increasing effect on adhesion for faster pull-offs. This can be explained by the viscoelastic material properties of the stick insect arolium, which introduce a strong rate-dependence of detachment. During fast pull-offs, forces can spread over the complete area of contact, leading to forces scaling with area. In contrast, the pad material has sufficient time to withdraw elastically and peel during slow detachments. Under these conditions the adhesive force will concentrate on the circumference of the contact area, therefore scaling with a length, supporting models such as the peeling theory. The scaling of single-pad forces supported these conclusions, but large variation between pads of different stick insects did not allow statistically significant conclusions. In contrast, when detachment forces were quantified for whole insects using a centrifuge, forces scaled with pad contact area and not with length.}, subject = {Biomechanik}, language = {en} } @phdthesis{Dorner2008, author = {Dorner, Daniela}, title = {Observations of PG 1553+113 with the MAGIC telescope}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-28196}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Blazars are among the most luminous sources in the universe. Their extreme short-time variability indicates emission processes powered by a supermassive black hole. With the current generation of Imaging Air Cherenkov Telescopes, these sources are explored at very high energies. Lowering the threshold below 100 GeV and improving the sensitivity of the telescopes, more and more blazars are discovered in this energy regime. For the MAGIC telescope, a low energy analysis has been developed allowing to reach energies of 50 GeV for the first time. The method is presented in this thesis at the example of PG 1553+113 measuring a spectrum between 50 GeV and 900 GeV. In the energy regime observed by MAGIC, strong attenuation of the gamma-rays is expected from pair production due to interactions of gamma-rays with low-energy photons from the extragalactic background light. For PG 1553+113, this provides the possibility to constrain the redshift of the source, which is still unknown. Well studied from radio to x-ray energies, PG 1553+113 was discovered in 2005 in the very high energy regime. In total, it was observed with the MAGIC telescope for 80~hours between April 2005 and April 2007. From more than three years of data taking, the MAGIC telescope provides huge amounts of data and a large number of files from various sources. To handle this data volume and to provide monitoring of the data quality, an automatic procedure is essential. Therefore, a concept for automatic data processing and management has been developed. Thanks to its flexibility, the concept is easily applicable to future projects. The implementation of an automatic analysis is running stable since three years in the data center in W{\"u}rzburg and provides consistent results of all MAGIC data, i.e. equal processing ensures comparability. In addition, this database controlled system allows for easy tests of new analysis methods and re-processing of all data with a new software version at the push of a button. At any stage, not only the availability of the data and its processing status is known, but also a large set of quality parameters and results can be queried from the database, facilitating quality checks, data selection and continuous monitoring of the telescope performance. By using the automatic analysis, the whole data sample can be analyzed in a reasonable amount of time, and the analyzers can concentrate on interpreting the results instead. For PG 1553+113, the tools and results of the automatic analysis were used. Compared to the previously published results, the software includes improvements as absolute pointing correction, absolute light calibration and improved quality and background-suppression cuts. In addition, newly developed analysis methods taking into account timing information were used. Based on the automatically produced results, the presented analysis was enhanced using a special low energy analysis. Part of the data were affected by absorption due to the Saharan Air Layer, i.e. sanddust in the atmosphere. Therefore, a new method has been developed, correcting for the effect of this meteorological phenomenon. Applying the method, the affected data could be corrected for apparent flux variations and effects of absorption on the spectrum, allowing to use the result for further studies. This is especially interesting, as these data were taken during a multi-wavelength campaign. For the whole data sample of 54 hours after quality checks, a signal from the position of PG 1553+113 was found with a significance of 15 standard deviations. Fitting a power law to the combined spectrum between 75 GeV and 900 GeV, yields a spectral slope of 4.1 +/- 0.2. Due to the low energy analysis, the spectrum could be extended to below 50 GeV. Fitting down to 48 GeV, the flux remains the same, but the slope changes to 3.7 +/- 0.1. The determined daily light curve shows that the integral flux above 150 GeV is consistent with a constant flux. Also for the spectral shape no significant variability was found in three years of observations. In July 2006, a multi-wavelength campaign was performed. Simultaneous data from the x-ray satellite Suzaku, the optical telescope KVA and the two Cherenkov experiments MAGIC and H.E.S.S. are available. Suzaku measured for the first time a spectrum up to 30 keV. The source was found to be at an intermediate flux level compared to previous x-ray measurements, and no short time variability was found in the continuous data sample of 41.1 ksec. Also in the gamma regime, no variability was found during the campaign. Assuming a maximum slope of 1.5 for the intrinsic spectrum, an upper limit of z < 0.74 was determined by deabsorbing the measured spectrum for the attenuation of photons by the extragalactic background light. For further studies, a redshift of z = 0.3 was assumed. Collecting various data from radio, infrared, optical, ultraviolet, x-ray and gama-ray energies, a spectral energy distribution was determined, including the simultaneous data of the multi-wavelength campaign. Fitting the simultaneous data with different synchrotron-self-compton models shows that the observed spectral shape can be explained with synchrotron-self-compton processes. The best result was obtained with a model assuming a log-parabolic electron distribution.}, subject = {Aktiver galaktischer Kern}, language = {en} } @phdthesis{Diwischek2008, author = {Diwischek, Florian}, title = {Development of synthesis pathways and characterization of cerulenin analogues as inhibitors of the fatty acid biosynthesis of Mycobacterium tuberculosis and of efflux pump resistant Candida albicans}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-27532}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {The work deals with the synthesis and characterization of cerulenin analogues as inhibitors of efflux pump mediated resistance of Candida albicans isolates and as inhibitors of the fatty acid synthesis enzyme KasA of Mycobacterium tuberculosis. Cerulenin was chosen as the lead structure, being a substrate of the efflux pumps in Candida albicans on one hand and therefore variations on the structure could lead to a blocking of the efflux pumps as in the case of tetracycline and inhibitor 13-CPTC of the TetB efflux pump. On the other hand, cerulenin is a known inhibitor of the FAS system but inhibition is unselective in type I and II FAS. Therefore, analogues could result in increased selectivity towards the type II FAS system in M. tuberculosis. The first cerulenin derivatives were prepared by coupling 2,3-dihydrofuran to the before synthesized 1-octaniodide, followed by ring opening and oxidation in one step by chromic acid and transfer of the resulting 4-keto acid to amides to give analogues 4a-d, 4e was prepared in analogy. To include the epoxide function especially with regard to the mechanism of action of cerulenin in the FAS system (considering known crystal structures of cerulenin and the KasA analogue of E. coli) tetrahydro- and dihydrocerulenin analogues were synthesized. Starting from the corresponding aldehyde, lactone 5 (tetrahydrocerulenin analogues) was obtained via two different routes A and B. Route A included the coupling of the aldehyde 1-nonanal to propiolic acid via a Grignard reaction with subsequent hydrogenation with the Lindlar catalyst under hydrogen pressure to give 5. Via Route B 1-nonanal was coupled to methyl propiolate by n-BuLi with subsequent hydrogenation under reflux with the catalytic system Lindlar cat./NH4HCO2 to yield 5. These hydrogenations were also executed in a microwave oven resulting in better yields and/or reaction times. The lactone 5 was then epoxidized, the ring opened by amidation and the remaining alcohol was oxidized via Collins oxidation to result in tetrahydrocerulenin analogues 8a-e. The same procedure was used for dihydrocerulenin analogues 10a-c except that to obtain the corresponding lactone 9a only route A was used and a further step had to be executed for ring closure. To obtain analogues with all structural features of cerulenin including two double bonds and the epoxide function, a third pathway was chosen. To obtain the future side chain, aldehyde 12 was synthesized by coupling protected 4-pentyn-1-ol to either crotyl bromide or crotyl chloride, which then was deprotected, hydrogenated with Lindlar catalyst under hydrogen pressure and oxidized via a Swern oxidation. The following synthesis sequence starting from 12 was executed similar to that of dihydrocerulenins via the corresponding lactone (51) with the major exception of the oxidation procedure in the last step via TPAP/NMO to result in (4Z,7E)-cerulenin analogues 15a-b. A fourth class of cerulenin analogues was synthesized with the aromatic analogues 17a-e. This synthesis pathway started with the formation of the benzoyl acrylamides 16a-e from benzoylacrylic acid via a mixed anhydride which was prepared with isobutylchloroformate followed by the addition of the corresponding amine. Subsequent epoxidation with H2O2 in basic EtOH gave the aromatic cerulenin analogues 17a-e. Pharmacological testings for the synthesized substances were executed on efflux pump-resistant and -sensitive Candida albicans isolates, on the fatty acid synthesis enzyme KasA of Mycobacterium tuberculosis and on other organisms such as Leishmania major, Trypanosoma brucei brucei, Staphylococcus aureus, Staphylococcus epidermidis, Escherichia coli and Pseudomonas aeruginosa within the Sonderforschungsbereich 630.}, subject = {Organische Synthese}, language = {en} } @phdthesis{Dinger2008, author = {Dinger, Timo Christoph}, title = {Neural Differentiation Potential of Murine Androgenetic Embryonic Stem Cells}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-36215}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Uniparental zygotes with two genomes from the same sex can be established from fertilised oocytes after pronuclear exchange. They contain two maternal (gynogenetic; GG) or paternal (androgenetic; AG) pronuclei and are not competent to develop into viable offspring but they can form blastocysts from which embryonic stem cells (ES cells) can be derived. The developmental potential of uniparental ES cells is not fully investigated. The restricted developmental potential of uniparental cells is cell-intrinsic and probably reflects the different roles maternal and paternal genomes play during development. Following blastocyst injection, both GG and AG ES cells show biased and parent-of-origin-specific chimaera formation. While the in vitro and in vivo neural differentiation potential of GG ES cells is well characterised the neural developmental potential of AG ES cells is less clear. In an earlier study the group of K. John McLaughlin reported that AG and GG ES cell-derived hematopoietic stem cells conveyed long-term, multi-lineage hematopoietic engraftment with no associated pathologies (Eckardt et al., 2007). The aim of this study was to investigate the potential of AG uniparental murine ES cells to differentiate in vitro and in vivo into neural progenitor / stem cells and further into neurons, astro- and oligodendroglia in comparison to GG and biparental (normal fertilised; N) ES cells. Uniparental and biparental ES cells were obtained from K. John McLaughlin's group and a cell culture system was established to expand uniparental (AG, GG) and biparental N ES cells on murine embryonic fibroblasts (MEF). A multistep-protocol was used to differentiate ES cells towards pan-neural progenitor cells and neuronal and glial cell types (Br{\"u}stle et al., 1997). The ability of terminal neural differentiation in vitro was analysed by fluorescence microscopy using neuronal and glial lineage markers. In parallel, eGFP+ AG or N ES cells were injected into blastocysts prior to their transfer into foster mothers. At E12.5 and E14.5, embryos were isolated, forebrains were dissected and by means of fluorescence activated cell sorting (FACS) eGFP+ donor cells were isolated from chimeric brains. Both eGFP+ donor and corresponding eGFP- blastocyst-derived brain cells were expanded and analyses of differentiation potential and self-renewal capacity were performed. Also, cryosections of E12.5 chimeric brains were analysed for donor contribution to the neuronal lineage by immunofluorescence microscopy. Here it is described that following in vitro differentiation, AG pan-neural progenitor cells have similar abilities to differentiate into neuronal and glial lineages as GG and N pan-neural progenitor cells. In cryosections of E12.5 chimeric brains no differences in brain engraftment and formation of immature neuronal cells between uniparental AG and N donor cells were detected. AG and N ES cell-derived cells isolated from chimeric foetal brains by FACS exhibited similar neurosphere initiating cell frequencies and neural multi-lineage differentiation potential. Therefore, the data of this study suggest that the previously described differences in the in vivo engraftment pattern of uniparental inner cell mass (ICM) cells in foetal brains (Keverne et al., 1996) are not primarily due to limitations in the proliferation or differentiation properties of uniparental neural progenitor cells. The results presented here indicate that AG ES cell-derived neural progenitor / stem cells did not differ from N neural progenitor / stem cells in their self-renewal and their neural multi-lineage differentiation potential. Also AG ES cell-derived cells contributed to developing brains at early foetal developmental stages showing a widespread and balanced distribution in chimeric brains. AG brain cells form neurospheres with self-renewal and neural differentiation capacity similar to N ES cell-derived brain cells. Thus, the data of this study together indicate that the neural developmental potential in vivo and in vitro of AG and N ES cells does not differ.}, subject = {Stammzelle}, language = {en} } @unpublished{Dandekar2008, author = {Dandekar, Thomas}, title = {Why are nature´s constants so fine-tuned? The case for an escalating complex universe}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-34488}, year = {2008}, abstract = {Why is our universe so fine-tuned? In this preprint we discuss that this is not a strange accident but that fine-tuned universes can be considered to be exceedingly large if one counts the number of observable different states (i.e. one aspect of the more general preprint http://www.opus-bayern.de/uni-wuerzburg/volltexte/2009/3353/). Looking at parameter variation for the same set of physical laws simple and complex processes (including life) and worlds in a multiverse are compared in simple examples. Next the anthropocentric principle is extended as many conditions which are generally interpreted anthropocentric only ensure a large space of different system states. In particular, the observed over-tuning beyond the level for our existence is explainable by these system considerations. More formally, the state space for different systems becomes measurable and comparable looking at their output behaviour. We show that highly interacting processes are more complex then Chaitin complexity, the latter denotes processes not compressible by shorter descriptions (Kolomogorov complexity). The complexity considerations help to better study and compare different processes (programs, living cells, environments and worlds) including dynamic behaviour and can be used for model selection in theoretical physics. Moreover, the large size (in terms of different states) of a world allowing complex processes including life can in a model calculation be determined applying discrete histories from quantum spin-loop theory. Nevertheless there remains a lot to be done - hopefully the preprint stimulates further efforts in this area.}, subject = {Natur}, language = {en} } @phdthesis{Dabas2008, author = {Dabas, Neelam}, title = {Control of Nitrogen Regulated Virulence Traits of the Human Fungal Pathogen Candida albicans}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-29769}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Der Hefepilz Candida albicans ist ein harmloser Kommensale auf den Schleimh{\"a}uten des Gastrointestinal- und Urogenitaltrakts der meisten gesunden Menschen. Bei einer St{\"o}rung der nat{\"u}rlichen Mikroflora oder des Wirtsimmunsystems kann der Pilz jedoch auch oberfl{\"a}chliche und sogar systemische Infektionen verursachen. C. albicans weist eine Reihe von Eigenschaften auf, die zur Virulenz des Erregers beitragen. Dazu geh{\"o}ren die Adh{\"a}renz an unterschiedliche Wirtsoberfl{\"a}chen, die morphologische Variabilit{\"a}t des Pilzes und die Sekretion von Aspartatproteasen. Die Expression vieler dieser Virulenzfaktoren wird unter anderem durch die Verf{\"u}gbarkeit von Stickstoff reguliert. Unter Stickstoffmangelbedingungen wechselt C. albicans vom Wachstum als sprossende Hefe zum filament{\"o}sen Wachstum, und dieser Wechsel wird durch die Ammoniumpermease Mep2p reguliert. Wie die Induktion des filament{\"o}sen Wachstums durch Mep2p kontrolliert wird, ist jedoch weitgehend unbekannt. In der vorliegenden Arbeit wurde eine Mutationsanalyse von Mep2p durchgef{\"u}hrt, um Aminos{\"a}uren zu identifizieren, die an der Signalfunktion dieser Permease beteiligt sind. Die C-terminale cytoplasmatische Dom{\"a}ne von Mep2p wird f{\"u}r den Ammoniumtransport nicht ben{\"o}tigt, ist jedoch essentiell f{\"u}r die Signaltransduktion. Progressive C-terminale Verk{\"u}rzungen von Mep2p zeigten, dass ein MEP2DC433-Allel immer noch in der Lage war, das filament{\"o}se Wachstum zu induzieren, wohingegen die Deletion einer weiteren Aminos{\"a}ure die Morphogenese blockierte. Das Tyrosin an Position 433 (Y433) ist deshalb die letzte Aminos{\"a}ure, die f{\"u}r die Signalfunktion von Mep2p essentiell ist. Um besser zu verstehen, wie die Signalaktivit{\"a}t von Mep2p durch die Verf{\"u}gbarkeit und den Transport von Ammonium reguliert wird, wurden verschiedene hochkonservierte Aminos{\"a}uren mutiert, die vermutlich an der Bindung oder dem Transport von Ammonium in die Zelle beteiligt sind. Die Mutation von D180, von dem postuliert wurde, dass es den initialen Kontakt mit extrazellul{\"a}rem Ammonium erm{\"o}glicht, oder der im Transportkanal lokalisierten Histidine H188 und H342 hatte zur Folge, dass Mep2p nicht mehr exprimiert wurde, so dass diese Aminos{\"a}uren vermutlich f{\"u}r die Proteinstabilit{\"a}t wichtig sind. Die Mutation von F239, das zusammen mit F126 eine extracytosolische Pforte zur Transportpore bildet, verhinderte trotz korrekter Membranlokalisation sowohl den Ammoniumtransport als auch das filament{\"o}se Wachstum. Allerdings f{\"u}hrte auch die Mutation von W167, das vermutlich zusammen mit Y122, F126 und S243 an der Rekrutierung des Ammoniumions an der extrazellul{\"a}ren Seite der Membran beteiligt ist, zur Blockierung des filament{\"o}sen Wachstums, obwohl der Ammoniumtransport kaum beeinflusst war. Dies zeigte, dass die intrazellu{\"a}re Signaltransduktion durch extrazellul{\"a}re Ver{\"a}nderungen in Mep2p beeinflusst werden kann. Die Mutation von Y122 reduzierte die Ammoniumaufnahme weitaus starker als die Mutation von W167, erlaubte jedoch immer noch ein effizientes filament{\"o}ses Wachstum. Die Signalaktivit{\"a}t von Mep2p ist deshalb offensichtlich nicht direkt mit der Transportaktivit{\"a}t des Proteins korreliert. Ein wichtiger Aspekt in der F{\"a}higkeit von Mep2p, die Morphogenese zu stimulieren, ist die vergleichsweise starke Expression des Proteins. Um die Regulation der MEP2-Expression aufzukl{\"a}ren, wurden die cis-regulatorischen Sequenzen und die trans-aktivierenden Faktoren, die die MEP2-Induktion unter Stickstoffmangel vermitteln, identifiziert. Eine Promotoranalyse zeigte, dass zwei mutmaßliche Bindungsstellen f{\"u}r GATA-Transkriptionsfaktoren eine zentrale Rolle in der MEP2-Expression haben, da die Deletion oder Mutation dieser GATAA-Sequenzen die Expression von MEP2 stark reduzierte. Um die Rolle der GATA-Transkriptionsfaktoren Gln3p und Gat1p bei der Regulation der MEP2-Expression zu untersuchen, wurden Mutanten hergestellt, in denen die entsprechenden Gene deletiert waren. Die Expression von Mep2p war in gln3D und gat1D Einzelmutanten stark verringert und in gln3D gat1D Doppelmutanten nicht mehr nachweisbar. Die Deletion von GLN3 hatte auch eine starke Reduktion des filament{\"o}sen Wachstums zur Folge, die durch die konstitutive Expression von MEP2 unter Kontrolle des ADH1-Promotors aufgehoben wurde. Dagegen hatte die Deletion von GAT1 keinen Einfluss auf das filament{\"o}se Wachstum. {\"U}berraschenderweise war das filament{\"o}se Wachstum in den gat1D Mutanten teilweise unabh{\"a}ngig von Mep2p, was darauf hinwies, dass in Abwesenheit von GAT1 andere Signalwege aktiviert werden, die die Morphogenese stimulieren. Diese Ergebnisse zeigten, dass die GATA-Transkriptionsfaktoren Gln3p und Gat1p die Expression der Ammoniumpermease MEP2 kontrollieren und dass Gln3p auch ein wichtiger Regulator des durch Stickstoffmangel induzierten filament{\"o}sen Wachstums von C. albicans ist. Mutanten, in denen die beiden GATA-Transkriptionsfaktoren Gln3p und Gat1p fehlten, waren nicht mehr in der Lage, in einem Medium zu wachsen, das bovines Serumalbumin (BSA) als einzige Stickstoffquelle enth{\"a}lt. Die F{\"a}higkeit von C. albicans, Proteine als einzige Stickstoffquelle zum Wachstum zu verwenden, wird durch die sekretierte Aspartatprotease Sap2p, die die Proteine zu Peptiden abbaut, und durch Oligopeptidtransporter, die diese Peptide in die Zelle aufnehmen, vermittelt. Der Wachstumsdefekt der gln3D gat1D Doppelmutanten war haupts{\"a}chlich durch einen Defekt in der SAP2-Expression verursacht, da die Expression von SAP2 unter Kontrolle des konstitutiven ADH1-Promotors die F{\"a}higkeit zum Wachstum auf BSA wieder herstellte. Es zeigte sich, dass Gln3p und Gat1p die Expression des Transkriptionsfaktors STP1, der f{\"u}r die Induktion von SAP2 in Gegenwart von Proteinen notwendig ist, regulieren. Bei einer Expression von STP1 unter Kontrolle des induzierbaren Tet-Promotors waren Gln3p und Gat1p nicht mehr notwendig f{\"u}r das Wachstum auf Proteinen. Wenn bevorzugte Stickstoffquellen verf{\"u}gbar sind, wird SAP2 auch in Gegenwart von Proteinen reprimiert, und diese Stickstoff-Katabolitrepression korrelierte mit einer reduzierten STP1-Expression. Die Expression von STP1 unter Kontrolle des Tet-Promotors hob diese Repression auf, was zeigte, dass die Regulation der STP1-Expression durch die GATA-Transkriptionsfaktoren eine Schl{\"u}sselrolle sowohl bei der positiven als auch bei der negativen Kontrolle der SAP2-Expression spielt. Eine regulatorische Kaskade, in der die Expression des spezifischen Transkriptionsfaktors Stp1p durch die allgemeinen Regulatoren Gln3p und Gat1p kontrolliert wird, stellt die Expression von SAP2 in C. albicans deshalb unter Stickstoffkontrolle und gew{\"a}hrleistet eine angepasste Expression dieses Virulenzfaktors. Die Ergebnisse dieser Arbeit illustrieren, dass die GATA-Faktoren Gln3p und Gat1p zum Teil {\"u}berlappende aber auch spezifische Funktionen in der Anpassung von C. albicans an die Verf{\"u}gbarkeit verschiedener Stickstoffquellen haben. Diese Anpassungsmechanismen spielen auch eine Rolle in der Pathogenit{\"a}t des Pilzes, wobei die relative Bedeutung von Gln3p und Gat1p vom Zielgen und der Stickstoffquelle abh{\"a}ngt. Diese Erkenntnisse geben einen vertieften Eiblick in die molekularen Grundlagen der Anpassung von C. albicans an unterschiedliche Umweltbedingungen.}, subject = {Transkriptionsfaktor}, language = {en} } @phdthesis{Ceteci2008, author = {Ceteci, Fatih}, title = {Analysis of the role of the E-(Epithelial) Cadherin in murine lung tumorigenesis}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-29396}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {Beim humanen nichtkleinzelligen Bronchialkarzinom ist die schrittweise Progression vom gutartigen Tumor zur malignen Metastasierung weitestgehend ungekl{\"a}rt. In einem transgenen Mausmodell f{\"u}r das humane nichtkleinzellige Bronchialkarzinom, in dem in Lungenepithelzellen eine onkogene Mutante der Proteinkinase C-RAF exprimiert wird, k{\"o}nnen einzelne Schritte im Prozess der malignen Progression entschl{\"u}sselt werden. Die durch C-RAF induzierten Adenome zeichnen sich durch eine hohe genomische Stabilit{\"a}t in den Tumorzellen, durch starke interzellul{\"a}re Adh{\"a}sionskontakte zwischen den Tumorzellen und das Fehlen einer malignen Progression aus. Hier wurde demzufolge untersucht, ob die Aufl{\"o}sung der E-Cadherin-vermittelten Zellkontakte zwischen den einzelnen Tumorzellen eine Metastasierung ausl{\"o}sen k{\"o}nnte. Es wurden zwei genetische Ans{\"a}tze verfolgt, um die Rolle der Tumorzelladh{\"a}sion im C-RAF Modell zu bewerten, die konditionelle Eliminierung des E-Cadheringens Cdh1 sowie die regulierbare transgene Expression von dominant-negativem E-Cadherin. Die Aufl{\"o}sung der E-Cadherin-vermittelten Zelladh{\"a}sion f{\"u}hrte zur Neubildung von Tumorgef{\"a}ßen, welche in der fr{\"u}hen Phase der Gef{\"a}ßbildung durch Wiederherstellung des Zellkontakts reversibel war. Die vaskularisierten Tumore wuchsen schneller, bildeten invasive Fronten aus und f{\"u}hrten zur Ausbildung von Mikrometastasen. Es konnte gezeigt werden, dass Beta-Catenin f{\"u}r die Induktion der Angiogenesefaktoren VEGF-A und VEGF-C in Lungentumorzellinien des Menschen und der Maus essentiell war. Lungentumorzellen aus den in situ Tumoren mit aufgel{\"o}sten E-Cadherin-vermittelten Zellkontakten exprimierten Gene endodermaler und anderer Zellabstammung, was epigenetische Reprogrammierung in Tumorzellen als den Mechanismus bei der malignen Progression vermuten l{\"a}sst.}, subject = {E-cadherin}, language = {en} } @phdthesis{Bucher2008, author = {Bucher, Daniel}, title = {An Electrophysiological Analysis of Synaptic Transmission at the Drosophila Larval Neuromuscular Junction}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-27784}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2008}, abstract = {In this thesis, synaptic transmission was studied electrophysiologically at an invertebrate model synapse, the neuromuscular junction of the Drosophila 3rd instar wandering larvae. In the first part, synaptic function is characterized at the neuromuscular junction in fly lines which are null mutants for the synaptic proteins "the synapse associated protein of 47 kDa" (Sap-47156), Synapsin (Syn97), the corresponding double mutant (Sap-47156, Syn97), a null mutant for an as yet uncharacterized Drosophila SR protein kinase, the Serine-Arginine protein kinase 3 (SRPK3), and the L{\"o}chrig (Loe) mutant which shows a strong neurodegenerative phenotype. Intracellular voltage recordings from larval body wall muscles 6 and 7 were performed to measure amplitude and frequency of spontaneous single vesicle fusion events (miniature excitatory junction potentials or mEJPs). Evoked excitatory junction potentials (eEJPs) at different frequencies and calcium concentrations were also measured to see if synaptic transmission was altered in mutants which lacked these synaptic proteins. In addition, structure and morphology of presynaptic boutons at the larval neuromuscular junction were examined immunohistochemically using monoclonal antibodies against different synaptic vesicle proteins (SAP-47, CSP, and Synapsin) as well as the active zone protein Bruchpilot. Synaptic physiology and morphology was found to be similar in all null mutant lines. However, L{\"o}chrig mutants displayed an elongated bouton morphology, a significant shift towards larger events in mEJP amplitude frequency histograms, and increased synaptic facilitation during a 10 Hz tetanus. These deficits suggest that Loe mutants may have a defect in some aspect of synaptic vesicle recycling. The second part of this thesis involved the electrophysiological characterization of heterologously expressed light activated proteins at the Drosophila neuromuscular junction. Channelrhodopsin-2 (ChR2), a light gated ion channel, and a photoactivated adenylate cyclase (PAC) were expressed in larval motor neurons using the UAS-Gal4 system. Single EJPs could be recorded from muscles 15, 16, and 17 when larva expressing ChR2 were illuminated with short (100 ms) light pulses, whereas long light pulses (10 seconds) resulted in trains of EJPs with a frequency of around 25 Hz. Larva expressing PAC in preparations where motor neurons were cut from the ventral ganglion displayed a significant increase in mEJP frequency after a 1 minute exposure to blue light. Evoked responses in low (.2 mM) calcium were also significantly increased when PAC was stimulated with blue light. When motor nerves were left intact, PAC stimulation resulted in light evoked EJPs in muscles 6 and 7 in a manner consistent with RP3 motor neuron activity. ChR2 and PAC are therefore useful and reliable tools for manipulating neuronal activity in vivo.}, subject = {Drosophila}, language = {en} } @article{BonteTravisDeClercqetal.2008, author = {Bonte, Dries and Travis, Justin M. J. and De Clercq, Nele and Zwertvaegher, Ingrid and Lens, Luc}, title = {Thermal conditions during juvenile development affect adult dispersal in a spider}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-48691}, year = {2008}, abstract = {Abstract: Understanding the causes and consequences of dispersal is a prerequisite for the effective management of natural populations. Rather than treating dispersal as a fixed trait, it should be considered a plastic process that responds to both genetic and environmental conditions. Here, we consider how the ambient temperature experienced by juvenile Erigone atra, a spider inhabiting crop habitat, influences adult dispersal. This species exhibits 2 distinct forms of dispersal, ballooning (long distance) and rappelling (short distance). Using a half-sib design we raised individuals under 4 different temperature regimes and quantified the spiders' propensity to balloon and to rappel. Additionally, as an indicator of investment in settlement, we determined the size of the webs build by the spiders following dispersal. The optimal temperature regimes for reproduction and overall dispersal investment were 20 °C and 25 °C. Propensity to perform short-distance movements was lowest at 15 °C, whereas for long-distance dispersal it was lowest at 30 °C. Plasticity in dispersal was in the direction predicted on the basis of the risks associated with seasonal changes in habitat availability; long-distance ballooning occurred more frequently under cooler, spring-like conditions and short-distance rappelling under warmer, summer-like conditions. Based on these findings, we conclude that thermal conditions during development provide juvenile spiders with information about the environmental conditions they are likely to encounter as adults and that this information influences the spider's dispersal strategy. Climate change may result in suboptimal adult dispersal behavior, with potentially deleterious population level consequences.}, language = {en} } @article{BonteMaes2008, author = {Bonte, Dries and Maes, Dirk}, title = {Trampling affects the distribution of specialised coastal dune arthropods}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-48274}, year = {2008}, abstract = {Abstract: From a conservation point of view, species- tolerances towards disturbance are often generalised and lack reference to spatial scales and underlying processes. In order to investigate how average typical species react to habitat fragmentation and disturbance, we adopted a multi-species approach to address occupancy patterns of five specialised dune arthropods (butterflies Hipparchia semele, Issoria lathonia; grasshopper Oedipoda caerulescens; spiders Alopecosa fabrilis, Xysticus sabulosus) in recently fragmented coastal dune habitats which are subjected to varying levels and modes of local disturbance, i.e. trampling by cattle or people. Occupancy patterns were assessed during two successive years in 133 grey dune fragments of the Flemish coastal dunes (Belgium, France). By treating species as a random factor in our models, emphasis was placed on generalisations rather than documenting species-specific patterns. Our study demonstrates that deteriorating effects of local disturbance on arthropod incidence cannot be interpreted independent of its landscape context, and appear to be more severe when patch area and connectivity decrease. When controlled for patch area and trampling intensity, the probability of species occupancy in poorly connected patches is higher under cattle trampling than under recreation. Incidences additionally decrease with increasing intensity of cattle trampling, but increases with trampling by tourists. This study provides evidence of mode- and landscape-dependent effects of local disturbance on species occupancy patterns. Most importantly, it demonstrates that trampling of sensitive dune fragments will lead to local and metapopulation extinction in landscapes where trampling occurs in a spatially autocorrelated way, but that the outcome (spatial patterns) varies in relation to disturbance mode, indicating that effects of disturbance cannot be generalised.}, language = {en} } @article{BonteLanckackerWiersmaetal.2008, author = {Bonte, Dries and Lanckacker, Kjell and Wiersma, Elisabeth and Lens, Luc}, title = {Web building flexibility of an orb-web spider in a heterogeneous agricultural landscape}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-48262}, year = {2008}, abstract = {Abstract: Intensification of land-use in agricultural landscapes is responsible for a decline of biodiversity which provide important ecosystem services like pest-control. Changes in landscape composition may also induce behavioural changes of predators in response to variation in the biotic or abiotic environment. By controlling for environmentally confounding factors, we here demonstrate that the orb web spider Araneus diadematus alters its web building behaviour in response to changes in the composition of agricultural landscapes. Thereby, the species increases its foraging efficiency (i.e. investments in silk and web asymmetry) with an increase of agricultural land-use at intermediate spatial scales. This intensification is also related to a decrease in the abundance of larger prey. A negative effect of landscape properties at similar spatial scales on spider fitness was recorded when controlling for relative investments in capture thread length. This study consequently documents the web building flexibility in response to changes in landscape composition, possibly due to changes in prey availability.}, language = {en} } @article{BonteHovestadtPoethke2008, author = {Bonte, Dries and Hovestadt, Thomas and Poethke, Hans-Joachim}, title = {Male-killing endosymbionts: influence of environmental conditions on persistance of host metapopulation}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-45344}, year = {2008}, abstract = {Background: Male killing endosymbionts manipulate their arthropod host reproduction by only allowing female embryos to develop into infected females and killing all male offspring. Because of the reproductive manipulation, we expect them to have an effect on the evolution of host dispersal rates. In addition, male killing endosymbionts are expected to approach fixation when fitness of infected individuals is larger than that of uninfected ones and when transmission from mother to offspring is nearly perfect. They then vanish as the host population crashes. High observed infection rates and among-population variation in natural systems can consequently not be explained if defense mechanisms are absent and when transmission efficiency is perfect. Results: By simulating the host-endosymbiont dynamics in an individual-based metapopulation model we show that male killing endosymbionts increase host dispersal rates. No fitness compensations were built into the model for male killing endosymbionts, but they spread as a group beneficial trait. Host and parasite populations face extinction under panmictic conditions, i.e. conditions that favor the evolution of high dispersal in hosts. On the other hand, deterministic 'curing' (only parasite goes extinct) can occur under conditions of low dispersal, e.g. under low environmental stochasticity and high dispersal mortality. However, high and stable infection rates can be maintained in metapopulations over a considerable spectrum of conditions favoring intermediate levels of dispersal in the host. Conclusion: Male killing endosymbionts without explicit fitness compensation spread as a group selected trait into a metapopulation. Emergent feedbacks through increased evolutionary stable dispersal rates provide an alternative explanation for both, the high male-killing endosymbiont infection rates and the high among-population variation in local infection rates reported for some natural systems.}, subject = {Metapopulation}, language = {en} }