@article{PfisterSchwarzJanczyketal.2013, author = {Pfister, Roland and Schwarz, Katharina A. and Janczyk, Markus and Dale, Rick and Freeman, Jonathan B.}, title = {Good things peak in pairs: a note on the bimodality coefficient}, series = {Frontiers in Psychology}, volume = {4}, journal = {Frontiers in Psychology}, issn = {1664-1078}, doi = {10.3389/fpsyg.2013.00700}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-190413}, year = {2013}, abstract = {A commentary on Assessing bimodality to detect the presence of a dual cognitive process by Freeman, J. B., and Dale, R. (2013). Behav. Res. Methods 45, 83-97. doi: 10.3758/s13428-012-0225-x}, language = {en} } @article{FoersterPfisterSchmidtsetal.2013, author = {Foerster, Anna and Pfister, Roland and Schmidts, Constantin and Dignath, David and Kunde, Wilfried}, title = {Honesty saves time (and justifications)}, series = {Frontiers in Psychology}, volume = {4}, journal = {Frontiers in Psychology}, issn = {1664-1078}, doi = {10.3389/fpsyg.2013.00473}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-190451}, year = {2013}, abstract = {A commentary on Honesty requires time (and lack of justifications) by Shalvi, S., Eldar, O., and Bereby-Meyer, Y. (2012). Psychol. Sci. 23, 1264-1270. doi: 10.1177/0956797612443835}, language = {en} } @article{MeuleVoegele2013, author = {Meule, Adrian and V{\"o}gele, Claus}, title = {The psychology of eating}, series = {Frontiers in Psychology}, volume = {4}, journal = {Frontiers in Psychology}, issn = {1664-1078}, doi = {10.3389/fpsyg.2013.00215}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-190460}, year = {2013}, abstract = {No abstract available.}, language = {en} } @article{Meule2013, author = {Meule, Adrian}, title = {Impulsivity and overeating: a closer look at the subscales of the Barratt Impulsiveness Scale}, series = {Frontiers in Psychology}, volume = {4}, journal = {Frontiers in Psychology}, issn = {1664-1078}, doi = {10.3389/fpsyg.2013.00177}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-190497}, year = {2013}, abstract = {No abstract available.}, language = {en} } @phdthesis{Shiban2013, author = {Shiban, Youssef}, title = {Attenuating Renewal following Exposure Therapy : Mechanisms of Exposure in Multiple Contexts and its Influence on the Renewal of Fear: Studies in Virtual Reality}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-76673}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2013}, abstract = {„Renewal" bezeichnet das Wiederauftreten von Angst nach erfolgreicher Expositionstherapie in Folge einer erneuten Konfrontation mit dem phobischen Stimulus in einem neuen, sich vom Expositionskontext unterscheidenden Kontext. Bouton (1994) zufolge deutet diese Angstr{\"u}ckkehr durch einen Kontextwechsel darauf hin, dass die Angst nicht gel{\"o}scht wurde. Stattdessen wurde w{\"a}hrend der Expositionssitzung eine neue Assoziation gelernt, die das gef{\"u}rchtete Objekt mit „keiner Angst", also den konditionierten Reiz (conditioned stimulus, CS) mit „keinem unkonditionierten Reiz" (no unconditioned stimulus, no US), verbindet. Bouton argumentiert weiter, dass diese Assoziation kontextabh{\"a}ngig ist, wodurch Effekte wie Angst-Renewal erkl{\"a}rt werden k{\"o}nnen. Da in einem neuen Kontext die CS-no US-Assoziation nicht aktiviert wird, wird die Angst auch nicht gehemmt. Die Kontextabh{\"a}ngigkeit der CS-no US-Assoziation wurde in mehreren Studien belegt (Balooch \& Neumann, 2011; Siavash Bandarian Balooch, Neumann, \& Boschen, 2012; Culver, Stoyanova, \& Craske, 2011; Kim \& Richardson, 2009; Neumann \& Kitlertsirivatana, 2010). Aktuell konzentriert sich die Forschung zur Therapie von Angstst{\"o}rungen auf die Frage, wie Angst reduziert und gleichzeitig ein R{\"u}ckfall verhindert werden kann. Hierzu werden verschiedene Expositionsprotokolle untersucht, wie zum Beispiel (1) Exposition in mehreren Kontexten (multiple contexts exposure, MCE), um Renewal zu reduzieren (z.B. Balooch \& Neumann, 2011); (2) verl{\"a}ngerte Exposition (prolonged exposure, PE), um die hemmende Assoziation w{\"a}hrend des Extinktionslernes zu st{\"a}rken (z.B. Thomas, Vurbic, \& Novak, 2009) und (3) Rekonsolidierungs-Updates (reconsolidation update, RU), die den Rekonsolidierungsprozess durch eine kurze Exposition des CS+ vor der eigentlichen Exposition aktualisieren sollen (Schiller et al., 2010). Bisher liegen jedoch nur sehr wenige Studien vor, die diese neuen Expositionsprotokolle an klinischen Stichproben untersucht haben, und - soweit bekannt - keine Studie, welche die Wirkmechanismen dieser Protokolle an einer klinischen Stichprobe erforscht. Die vorliegende Dissertation hat drei Ziele. Das erste Ziel besteht darin zu pr{\"u}fen, ob Expositionstherapie in multiplen Kontexten die Wahrscheinlichkeit von Renewal reduziert. Das zweite Ziel ist die Untersuchung der Mechanismen, die dem Effekt der Exposition in multiplen Kontexten zugrunde liegen und das dritte ist den Kontext im Zusammenhang mit Konditionierung und Extinktion zu konzeptualisieren. Insgesamt wurden drei Studien durchgef{\"u}hrt. Die erste Studie untersuchte den Effekt von Exposition in multiplen Kontexten auf Renewal, die zweite und dritte Studie die Wirkmechanismen von MCE. In der ersten Studie wurden spinnenphobische Probanden (N = 30) viermal mit einer virtuellen Spinne konfrontiert. Die Expositionstrials wurden entweder in einem gleichbleibenden Kontext oder in vier verschiedenen Kontexten durchgef{\"u}hrt. Am Ende der Sitzung absolvierten alle Teilnehmer einen virtuellen Renewaltest, bei dem die virtuelle Spinne in einem neuen Kontext gezeigt wurde, und einen in vivo Verhaltensvermeidungstest (behavioral avoidance test, BAT) mit einer echten Spinne. Die Ergebnisse zeigten, dass Probanden, welche die vier Expositionstrials in unterschiedlichen Kontexten erfuhren, weniger Angst, sowohl im virtuellen Renewaltest als auch im BAT, erlebten. In dieser Studie konnte die Wirksamkeit von MCE f{\"u}r die Reduktion von Renewal erfolgreich nachgewiesen werden. Studie 2 (N = 35) untersuchte die Wirkmechanismen von MCE in einem differentiellen Konditionierungsparadigma. Die Extinktion wurde in multiplen Kontexten durchgef{\"u}hrt. Hierbei war das Ziel, eine {\"a}hnliche Verminderung von Renewal wie in Studie 1 nachzuweisen. Der Extinktion folgten zwei Tests, mit dem Ziel m{\"o}gliche hemmende Effekte des Kontexts, die w{\"a}hrend der Extinktionsphase erworben wurden, aufzudecken. Bez{\"u}glich des Effektes von MCE wurden drei Hypothesen aufgestellt: (1) Der Extinktionskontext wird mit der Exposition assoziiert, fungiert folglich w{\"a}hrend der Extinktion als Sicherheitssignal und konkurriert daher mit dem Sicherheitslernen des CS. Dies f{\"u}hrt zu einem verminderten Extinktionseffekt auf den CS, wenn die Extinktion nur in einem Kontext durchgef{\"u}hrt wird. (2) Die Elemente im Extinktionskontext (z.B. Raumfarbe, M{\"o}bel) stehen im Zusammenhang mit der CS-no US-Assoziation und erinnern daher an die Extinktion, was zu einer gr{\"o}ßeren Angsthemmung f{\"u}hrt, wenn sie w{\"a}hrend eines Tests gezeigt werden. (3) Nach der emotionalen Prozesstheorie (emotional process theory; Bouton, 1994; Foa et al., 1996) bestimmen die Therapieprozessfaktoren die St{\"a}rke des Renewals. Beispielsweise korrelieren initiale Angstaktivierung, Aktivierung in und zwischen den Sitzungen mit der St{\"a}rke des Renewals. Jedoch waren in dieser Studie keine Unterschiede zwischen den Gruppen im Renewaltest zu beobachten, weswegen die Ergebnisse der zwei Nachtests nicht zu interpretieren sind. Das Ziel von Studie 3 (N = 61) war es, das Konzept des Kontexts im Rahmen von Konditionierung und Exposition zu definieren. In Studie 3 wurde das Auftreten der Generalisierungsabnahme (generalization decrement) genutzt, bei der eine konditionierte Reaktion infolge eines Kontextwechsels nur reduziert auftritt. Auf diesem Weg kann Kontext{\"a}hnlichkeit quantifiziert werden. Nach einer Akquisitonsphase in einem Kontext wurden die Teilnehmer in einem von drei verschiedenen Kontexten getestet. Zwei dieser Kontexte unterschieden sich nur in einer Dimension (Anordnung der Objekte vs. Objekteigenschaften). Die dritte Gruppe wurde im Akquisitonskontext getestet und diente als Kontrollgruppe. Es fanden sich jedoch keine Unteschiede zwischen den Gruppen in den Testphasen. Eine m{\"o}gliche Erkl{\"a}rung ist die Neuartigkeit des Testkontextes. Teilnehmer, die nach der Extinktion einem neuen Kontext ausgesetzt waren, erwarteten in einem anderen Kontext eine zweite Extinktionsphase und zeigten daher mehr statt weniger Angst als erwartet.}, subject = {Angst}, language = {en} } @phdthesis{Reuss2013, author = {Reuß, Heiko}, title = {The interplay of unconscious processing and cognitive control}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-76950}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2013}, abstract = {The aim of this study was both to investigate the influence of cognitive control on unconscious processing, and to investigate the influence of unconscious processing on cognitive control. At first, different mechanisms and accounts to explain unconscious priming are presented. Here, perceptual and motor processes, as well as stimulus-response learning, semantic categorization, and the action trigger account as theories to explain motor priming are discussed. Then, the issue of the potential limits of unconscious processing is presented. Findings that indicate that active current intentions and expertise modulate unconscious processing are illustrated. Subsequently, results that imply an influence of unconsciously presented stimuli that goes beyond motor processes are discussed, with a special focus on inhibition processes, orienting of attention, task set activation, and conflict adaptation. Then I present the results of my own empirical work. Experiment 1 shows that the effective processing of unconsciously presented stimuli depends on expertise, even when potentially confounding difference between the expert and novice groups are controlled. The results of Experiments 2 and 3 indicate that the intention to use particular stimuli is a crucial factor for the effectiveness of these stimuli when they are presented unconsciously. Additionally, these findings show that shifts of attention can be triggered by centrally presented masked arrow cues. Experiments 4 and 5 broaden these results to cue stimuli that are not inherently associated with a spatial meaning. The finding corroborate that typically endogenously controlled shifts of attention can also be induced by unconscious stimuli. Experiments 6 and 7 demonstrate that even a central cognitive control process like task set activation is not contingent on conscious awareness, but can in contrast be triggered through unconscious stimulation. Finally, these results are integrated and I discuss how the concept of cognitive control and the limits of unconscious processing may have to be reconsidered. Furthermore, potential future research possibilities in this field are presented.}, subject = {Bewusstsein}, language = {en} } @article{MeuleKueblerBlechert2013, author = {Meule, Adrian and K{\"u}bler, Andrea and Blechert, Jens}, title = {Time course of electrocortical food-cue responses during cognitive regulation of craving}, series = {Frontiers in Psychology}, volume = {4}, journal = {Frontiers in Psychology}, number = {669}, issn = {1664-1078}, doi = {10.3389/fpsyg.2013.00669}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-122566}, year = {2013}, abstract = {In our current obesogenic environment, exposure to visual food-cues can easily lead to craving and overeating because short-term, pleasurable effects of food intake dominate over the anticipated long-term adverse effects such as weight gain and associated health problems. Here we contrasted these two conditions during food-cue presentation while acquiring event-related potentials (ERPs) and subjective craving ratings. Female participants (n = 25) were presented with either high-calorie (HC) or low-calorie (LC) food images under instructions to imagine either immediate (NOW) or long-term effects (LATER) of consumption. On subjective ratings for HC foods, the LATER perspective reduced cravings as compared to the NOW perspective. For LC foods, by contrast, craving increased under the LATER perspective. Early ERPs (occipital N1, 150-200 ms) were sensitive to food type but not to perspective. Late ERPs (late positive potential, LPP, 350-550 ms) were larger in the HC-LATER condition than in all other conditions, possibly indicating that a cognitive focus on negative long-term consequences induced negative arousal. This enhancement for HC-LATER attenuated to the level of the LC conditions during the later slow wave (550-3000 ms), but amplitude in the HC-NOW condition was larger than in all other conditions, possibly due to a delayed appetitive response. Across all conditions, LPP amplitudes were positively correlated with self-reported emotional eating. In sum, results reveal that regulation effects are secondary to an early attentional analysis of food type and dynamically evolve over time. Adopting a long-term perspective on eating might promote a healthier food choice across a range of food types.}, language = {en} } @article{FischerPlessowKiesel2013, author = {Fischer, Rico and Plessow, Franziska and Kiesel, Andrea}, title = {The effects of alerting signals in masked priming}, series = {Frontiers in Psychology}, volume = {4}, journal = {Frontiers in Psychology}, number = {448}, issn = {1664-1078}, doi = {10.3389/fpsyg.2013.00448}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-122581}, year = {2013}, abstract = {Alerting signals often serve to reduce temporal uncertainty by predicting the time of stimulus onset. The resulting response time benefits have often been explained by facilitated translation of stimulus codes into response codes on the basis of established stimulus-response (S-R) links. In paradigms of masked S-R priming alerting signals also modulate response activation processes triggered by subliminally presented prime stimuli. In the present study we tested whether facilitation of visuo-motor translation processes due to alerting signals critically depends on established S-R links. Alerting signals resulted in significantly enhanced masked priming effects for masked prime stimuli that included and that did not include established S-R links fi.e., target vs. novel primes). Yet, the alerting-priming interaction was more pronounced for target than for novel primes. These results suggest that effects of alerting signals on masked priming are especially evident when S-R links between prime and target exist. At the same time, an alerting-priming interaction also for novel primes suggests that alerting signals also facilitate stimulus-response translation processes when masked prime stimuli provide action-trigger conditions in terms of programmed S-R links.}, language = {en} } @article{EhrenfeldHerbortButz2013, author = {Ehrenfeld, Stephan and Herbort, Oliver and Butz, Martin V.}, title = {Modular neuron-based body estimation: maintaining consistency over different limbs, modalities, and frames of reference}, series = {Frontiers in Computational Neuroscience}, volume = {7}, journal = {Frontiers in Computational Neuroscience}, number = {148}, doi = {10.3389/fncom.2013.00148}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-122253}, year = {2013}, abstract = {This paper addresses the question of how the brain maintains a probabilistic body state estimate over time from a modeling perspective. The neural Modular Modality Frame (nMMF) model simulates such a body state estimation process by continuously integrating redundant, multimodal body state information sources. The body state estimate itself is distributed over separate, but bidirectionally interacting modules. nMMF compares the incoming sensory and present body state information across the interacting modules and fuses the information sources accordingly. At the same time, nMMF enforces body state estimation consistency across the modules. nMMF is able to detect conflicting sensory information and to consequently decrease the influence of implausible sensor sources on the fly. In contrast to the previously published Modular Modality Frame (MMF) model, nMMF offers a biologically plausible neural implementation based on distributed, probabilistic population codes. Besides its neural plausibility, the neural encoding has the advantage of enabling (a) additional probabilistic information flow across the separate body state estimation modules and (b) the representation of arbitrary probability distributions of a body state. The results show that the neural estimates can detect and decrease the impact of false sensory information, can propagate conflicting information across modules, and can improve overall estimation accuracy due to additional module interactions. Even bodily illusions, such as the rubber hand illusion, can be simulated with nMMF. We conclude with an outlook on the potential of modeling human data and of invoking goal-directed behavioral control.}, language = {en} } @article{SchwarzWieserGerdesetal.2013, author = {Schwarz, Katharina A. and Wieser, Matthias J. and Gerdes, Antje B. M. and M{\"u}hlberger, Andreas and Pauli, Paul}, title = {Why are you looking like that? How the context influences evaluation and processing of human faces}, series = {Social Cognitive and Affective Neuroscience}, volume = {8}, journal = {Social Cognitive and Affective Neuroscience}, number = {4}, doi = {10.1093/scan/nss013}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-132126}, pages = {438-445}, year = {2013}, abstract = {Perception and evaluation of facial expressions are known to be heavily modulated by emotional features of contextual information. Such contextual effects, however, might also be driven by non-emotional aspects of contextual information, an interaction of emotional and non-emotional factors, and by the observers' inherent traits. Therefore, we sought to assess whether contextual information about self-reference in addition to information about valence influences the evaluation and neural processing of neutral faces. Furthermore, we investigated whether social anxiety moderates these effects. In the present functional magnetic resonance imaging (fMRI) study, participants viewed neutral facial expressions preceded by a contextual sentence conveying either positive or negative evaluations about the participant or about somebody else. Contextual influences were reflected in rating and fMRI measures, with strong effects of self-reference on brain activity in the medial prefrontal cortex and right fusiform gyrus. Additionally, social anxiety strongly affected the response to faces conveying negative, self-related evaluations as revealed by the participants' rating patterns and brain activity in cortical midline structures and regions of interest in the left and right middle frontal gyrus. These results suggest that face perception and processing are highly individual processes influenced by emotional and non-emotional aspects of contextual information and further modulated by individual personality traits.}, language = {en} } @article{HalderHammerKleihetal.2013, author = {Halder, Sebastian and Hammer, Eva Maria and Kleih, Sonja Claudia and Bogdan, Martin and Rosenstiel, Wolfgang and Birbaumer, Niels and K{\"u}bler, Andrea}, title = {Prediction of Auditory and Visual P300 Brain-Computer Interface Aptitude}, series = {PLoS ONE}, volume = {8}, journal = {PLoS ONE}, number = {2}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-130327}, pages = {e53513}, year = {2013}, abstract = {Objective Brain-computer interfaces (BCIs) provide a non-muscular communication channel for patients with late-stage motoneuron disease (e.g., amyotrophic lateral sclerosis (ALS)) or otherwise motor impaired people and are also used for motor rehabilitation in chronic stroke. Differences in the ability to use a BCI vary from person to person and from session to session. A reliable predictor of aptitude would allow for the selection of suitable BCI paradigms. For this reason, we investigated whether P300 BCI aptitude could be predicted from a short experiment with a standard auditory oddball. Methods Forty healthy participants performed an electroencephalography (EEG) based visual and auditory P300-BCI spelling task in a single session. In addition, prior to each session an auditory oddball was presented. Features extracted from the auditory oddball were analyzed with respect to predictive power for BCI aptitude. Results Correlation between auditory oddball response and P300 BCI accuracy revealed a strong relationship between accuracy and N2 amplitude and the amplitude of a late ERP component between 400 and 600 ms. Interestingly, the P3 amplitude of the auditory oddball response was not correlated with accuracy. Conclusions Event-related potentials recorded during a standard auditory oddball session moderately predict aptitude in an audiory and highly in a visual P300 BCI. The predictor will allow for faster paradigm selection. Significance Our method will reduce strain on patients because unsuccessful training may be avoided, provided the results can be generalized to the patient population.}, language = {en} } @article{KleihKuebler2013, author = {Kleih, Sonja C. and K{\"u}bler, Andrea}, title = {Empathy, motivation, and P300-BCI performance}, series = {Frontiers in Human Neuroscience}, volume = {7}, journal = {Frontiers in Human Neuroscience}, number = {642}, doi = {10.3389/fnhum.2013.00642}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-130559}, year = {2013}, abstract = {Motivation moderately influences brain-computer interface (BCI) performance in healthy subjects when monetary reward is used to manipulate extrinsic motivation. However, the motivation of severely paralyzed patients, who are potentially in need for BCI, could mainly be internal and thus, an intrinsic motivator may be more powerful. Also healthy subjects who participate in BCI studies could be internally motivated as they may wish to contribute to research and thus extrinsic motivation by monetary reward would be less important than the content of the study. In this respect, motivation could be defined as "motivation-to-help." The aim of this study was to investigate, whether subjects with high motivation for helping and who are highly empathic would perform better with a BCI controlled by event-related potentials (P300-BCI). We included N = 20 healthy young participants na{\"i}ve to BCI and grouped them according to their motivation for participating in a BCI study in a low and highly motivated group. Motivation was further manipulated with interesting or boring presentations about BCI and the possibility to help patients. Motivation for helping did neither influence BCI performance nor the P300 amplitude. Post hoc, subjects were re-grouped according to their ability for perspective taking. We found significantly higher P300 amplitudes on parietal electrodes in participants with a low ability for perspective taking and therefore, lower empathy, as compared to participants with higher empathy. The lack of an effect of motivation on BCI performance contradicts previous findings and thus, requires further investigation. We speculate that subjects with higher empathy who are good perspective takers with regards to patients in potential need of BCI, may be more emotionally involved and therefore, less able to allocate attention on the BCI task at hand.}, language = {en} } @article{MusselGoeritzHewig2013, author = {Mussel, Patrick and G{\"o}ritz, Anja S. and Hewig, Johannes}, title = {The value of a smile: Facial expression affects ultimatum-game responses}, series = {Judgment and Decision Making}, volume = {8}, journal = {Judgment and Decision Making}, number = {3}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-129639}, pages = {381-385}, year = {2013}, abstract = {In social interaction, the facial expression of an opponent contains information that may influence the interaction. We asked whether facial expression affects decision-making in the ultimatum game. In this two-person game, the proposer divides a sum of money into two parts, one for each player, and then the responder decides whether to accept the offer or reject it. Rejection means that neither player gets any money. Results of a large-sample study support our hypothesis that offers from proposers with a smiling facial expression are more often accepted, compared to a neutral facial expression. Moreover, we found lower acceptance rates for offers from proposers with an angry facial expression.}, language = {en} } @article{EderRothermundDeHouwer2013, author = {Eder, Andreas B. and Rothermund, Klaus and De Houwer, Jan}, title = {Affective Compatibility between Stimuli and Response Goals: A Primer for a New Implicit Measure of Attitudes}, series = {PLoS ONE}, volume = {8}, journal = {PLoS ONE}, number = {11}, doi = {10.1371/journal.pone.0079210}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-129872}, pages = {e79210}, year = {2013}, abstract = {We examined whether a voluntary response becomes associated with the (affective) meaning of intended response effects. Four experiments revealed that coupling a keypress with positive or negative consequences produces affective compatibility effects when the keypress has to be executed in response to positively or negatively evaluated stimulus categories. In Experiment 1, positive words were evaluated faster with a keypress that turned the words ON (versus OFF), whereas negative words were evaluated faster with a keypress that turned the words OFF (versus ON). Experiment 2 showed that this compatibility effect is reversed if an aversive tone is turned ON and OFF with keypresses. Experiment 3 revealed that keypresses acquire an affective meaning even when the association between the responses and their effects is variable and intentionally reconfigured before each trial. Experiment 4 used affective response effects to assess implicit ingroup favoritism, showing that the measure is sensitive to the valence of categories and not to the valence of exemplars. Results support the hypothesis that behavioral reactions become associated with the affective meaning of the intended response goal, which has important implications for the understanding and construction of implicit attitude measures.}, language = {en} } @article{AndreattaMuehlbergerGlotzbachSchoonetal.2013, author = {Andreatta, Marta and M{\"u}hlberger, Andreas and Glotzbach-Schoon, Evelyn and Pauli, Paul}, title = {Pain predictability reverses valence ratings of a relief-associated stimulus}, series = {Front in Systems Neuroscience}, volume = {7}, journal = {Front in Systems Neuroscience}, number = {53}, doi = {10.3389/fnsys.2013.00053}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-129275}, year = {2013}, abstract = {Relief from pain is positively valenced and entails reward-like properties. Notably, stimuli that became associated with pain relief elicit reward-like implicit responses too, but are explicitly evaluated by humans as aversive. Since the unpredictability of pain makes pain more aversive, this study examined the hypotheses that the predictability of pain also modulates the valence of relief-associated stimuli. In two studies, we presented one conditioned stimulus \((_{FORWARD}CS+)\) before a painful unconditioned stimulus (US), another stimulus \((_{BACKWARD}CS+)\) after the painful US, and a third stimulus (CS-) was never associated with the US. In Study 1, \(_{FORWARD}CS+\) predicted half of the USs while the other half was delivered unwarned and followed by \(_{BACKWARD}CS+\). In Study 2, all USs were predicted by \(_{FORWARD}CS+\) and followed by \(_{BACKWARD}CS+\). In Study 1 both \(_{FORWARD}CS+\) and \(_{BACKWARD}CS+\) were rated as negatively valenced and high arousing after conditioning, while \(_{BACKWARD}CS+\) in Study 2 acquired positive valence and low arousal. Startle amplitude was significantly attenuated to \(_{BACKWARD}CS+\) compared to \(_{FORWARD}CS+\) in Study 2, but did not differ among CSs in Study 1. In summary, predictability of aversive events reverses the explicit valence of a relief-associated stimulus.}, language = {en} } @article{KopfDreslerReichertsetal.2013, author = {Kopf, Juliane and Dresler, Thomas and Reicherts, Philipp and Herrmann, Martin J. and Reif, Andreas}, title = {The Effect of Emotional Content on Brain Activation and the Late Positive Potential in a Word n-back Task}, series = {PLoS ONE}, journal = {PLoS ONE}, doi = {10.1371/journal.pone.0075598}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-96687}, year = {2013}, abstract = {Introduction There is mounting evidence for the influence of emotional content on working memory performance. This is particularly important in light of the emotion processing that needs to take place when emotional content interferes with executive functions. In this study, we used emotional words of different valence but with similar arousal levels in an n-back task. Methods We examined the effects on activation in the prefrontal cortex by means of functional near-infrared spectroscopy (fNIRS) and on the late positive potential (LPP). FNIRS and LPP data were examined in 30 healthy subjects. Results Behavioral results show an influence of valence on the error rate depending on the difficulty of the task: more errors were made when the valence was negative and the task difficult. Brain activation was dependent both on the difficulty of the task and on the valence: negative valence of a word diminished the increase in activation, whereas positive valence did not influence the increase in activation, while difficulty levels increased. The LPP also differentiated between the different valences, and in addition was influenced by the task difficulty, the more difficult the task, the less differentiation could be observed. Conclusions Summarized, this study shows the influence of valence on a verbal working memory task. When a word contained a negative valence, the emotional content seemed to take precedence in contrast to words containing a positive valence. Working memory and emotion processing sites seemed to overlap and compete for resources even when words are carriers of the emotional content.}, language = {en} } @article{PlatteHerbertPaulietal.2013, author = {Platte, Petra and Herbert, Cornelia and Pauli, Paul and Breslin, Paul A. S.}, title = {Oral Perceptions of Fat and Taste Stimuli Are Modulated by Affect and Mood Induction}, series = {PLoS ONE}, journal = {PLoS ONE}, doi = {10.1371/journal.pone.0065006}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-96421}, year = {2013}, abstract = {This study examined the impact of three clinical psychological variables (non-pathological levels of depression and anxiety, as well as experimentally manipulated mood) on fat and taste perception in healthy subjects. After a baseline orosensory evaluation, 'sad', 'happy' and 'neutral' video clips were presented to induce corresponding moods in eighty participants. Following mood manipulation, subjects rated five different oral stimuli, appearing sweet, umami, sour, bitter, fatty, which were delivered at five different concentrations each. Depression levels were assessed with Beck's Depression Inventory (BDI) and anxiety levels were assessed via the Spielberger's STAI-trait and state questionnaire. Overall, subjects were able to track the concentrations of the stimuli correctly, yet depression level affected taste ratings. First, depression scores were positively correlated with sucrose ratings. Second, subjects with depression scores above the sample median rated sucrose and quinine as more intense after mood induction (positive, negative and neutral). Third and most important, the group with enhanced depression scores did not rate low and high fat stimuli differently after positive or negative mood induction, whereas, during baseline or during the non-emotional neutral condition they rated the fat intensity as increasing with concentration. Consistent with others' prior observations we also found that sweet and bitter stimuli at baseline were rated as more intense by participants with higher anxiety scores and that after positive and negative mood induction, citric acid was rated as stronger tasting compared to baseline. The observation that subjects with mild subclinical depression rated low and high fat stimuli similarly when in positive or negative mood is novel and likely has potential implications for unhealthy eating patterns. This deficit may foster unconscious eating of fatty foods in sub-clinical mildly depressed populations.}, language = {en} } @article{PauliGlotzbachSchoonAndreattaetal.2013, author = {Pauli, Paul and Glotzbach-Schoon, Evelyn and Andreatta, Marta and Reif, Andreas and Ewald, Heike and Tr{\"o}ger, Christian and Baumann, Christian and Deckert, J{\"u}rgen and M{\"u}hlberger, Andreas}, title = {Contextual fear conditioning in virtual reality is affected by 5HTTLPR and NPSR1 polymorphisms: effects on fear-potentiated startle}, series = {Frontiers in Behavioral Neuroscience}, journal = {Frontiers in Behavioral Neuroscience}, doi = {10.3389/fnbeh.2013.00031}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-96516}, year = {2013}, abstract = {The serotonin (5-HT) and neuropeptide S (NPS) systems are discussed as important genetic modulators of fear and sustained anxiety contributing to the etiology of anxiety disorders. Sustained anxiety is a crucial characteristic of most anxiety disorders which likely develops through contextual fear conditioning. This study investigated if and how genetic alterations of the 5-HT and the NPS systems as well as their interaction modulate contextual fear conditioning; specifically, function polymorphic variants in the genes coding for the 5-HT transporter (5HTT) and the NPS receptor (NPSR1) were studied. A large group of healthy volunteers was therefore stratified for 5HTTLPR (S+ vs. LL carriers) and NPSR1 rs324981 (T+ vs. AA carriers) polymorphisms resulting in four genotype groups (S+/T+, S+/AA, LL/T+, LL/AA) of 20 participants each. All participants underwent contextual fear conditioning and extinction using a virtual reality (VR) paradigm. During acquisition, one virtual office room (anxiety context, CXT+) was paired with an unpredictable electric stimulus (unconditioned stimulus, US), whereas another virtual office room was not paired with any US (safety context, CXT-). During extinction no US was administered. Anxiety responses were quantified by fear-potentiated startle and ratings. Most importantly, we found a gene × gene interaction on fear-potentiated startle. Only carriers of both risk alleles (S+/T+) exhibited higher startle responses in CXT+ compared to CXT-. In contrast, anxiety ratings were only influenced by the NPSR1 polymorphism with AA carriers showing higher anxiety ratings in CXT+ as compared to CXT-. Our results speak in favor of a two level account of fear conditioning with diverging effects on implicit vs. explicit fear responses. Enhanced contextual fear conditioning as reflected in potentiated startle responses may be an endophenotype for anxiety disorders.}, language = {en} } @article{HerbertSfaerleaBlumenthal2013, author = {Herbert, Cornelia and Sf{\"a}rlea, Anca and Blumenthal, Terry}, title = {Your emotion or mine: labeling feelings alters emotional face perception—an ERP study on automatic and intentional affect labeling}, series = {Frontiers in Human Neuroscience}, journal = {Frontiers in Human Neuroscience}, doi = {10.3389/fnhum.2013.00378}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-97065}, year = {2013}, abstract = {Empirical evidence suggests that words are powerful regulators of emotion processing. Although a number of studies have used words as contextual cues for emotion processing, the role of what is being labeled by the words (i.e., one's own emotion as compared to the emotion expressed by the sender) is poorly understood. The present study reports results from two experiments which used ERP methodology to evaluate the impact of emotional faces and self- vs. sender-related emotional pronoun-noun pairs (e.g., my fear vs. his fear) as cues for emotional face processing. The influence of self- and sender-related cues on the processing of fearful, angry and happy faces was investigated in two contexts: an automatic (experiment 1) and intentional affect labeling task (experiment 2), along with control conditions of passive face processing. ERP patterns varied as a function of the label's reference (self vs. sender) and the intentionality of the labeling task (experiment 1 vs. experiment 2). In experiment 1, self-related labels increased the motivational relevance of the emotional faces in the time-window of the EPN component. Processing of sender-related labels improved emotion recognition specifically for fearful faces in the N170 time-window. Spontaneous processing of affective labels modulated later stages of face processing as well. Amplitudes of the late positive potential (LPP) were reduced for fearful, happy, and angry faces relative to the control condition of passive viewing. During intentional regulation (experiment 2) amplitudes of the LPP were enhanced for emotional faces when subjects used the self-related emotion labels to label their own emotion during face processing, and they rated the faces as higher in arousal than the emotional faces that had been presented in the "label sender's emotion" condition or the passive viewing condition. The present results argue in favor of a differentiated view of language-as-context for emotion processing.}, language = {en} } @article{KaufmannHolzKuebler2013, author = {Kaufmann, Tobias and Holz, Elisa M. and K{\"u}bler, Andrea}, title = {Comparison of tactile, auditory, and visual modality for brain-computer interface use: a case study with a patient in the locked-in state}, series = {Frontiers in Human Neuroscience}, journal = {Frontiers in Human Neuroscience}, doi = {10.3389/fnins.2013.00129}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-97079}, year = {2013}, abstract = {This paper describes a case study with a patient in the classic locked-in state, who currently has no means of independent communication. Following a user-centered approach, we investigated event-related potentials (ERP) elicited in different modalities for use in brain-computer interface (BCI) systems. Such systems could provide her with an alternative communication channel. To investigate the most viable modality for achieving BCI based communication, classic oddball paradigms (1 rare and 1 frequent stimulus, ratio 1:5) in the visual, auditory and tactile modality were conducted (2 runs per modality). Classifiers were built on one run and tested offline on another run (and vice versa). In these paradigms, the tactile modality was clearly superior to other modalities, displaying high offline accuracy even when classification was performed on single trials only. Consequently, we tested the tactile paradigm online and the patient successfully selected targets without any error. Furthermore, we investigated use of the visual or tactile modality for different BCI systems with more than two selection options. In the visual modality, several BCI paradigms were tested offline. Neither matrix-based nor so-called gaze-independent paradigms constituted a means of control. These results may thus question the gaze-independence of current gaze-independent approaches to BCI. A tactile four-choice BCI resulted in high offline classification accuracies. Yet, online use raised various issues. Although performance was clearly above chance, practical daily life use appeared unlikely when compared to other communication approaches (e.g., partner scanning). Our results emphasize the need for user-centered design in BCI development including identification of the best stimulus modality for a particular user. Finally, the paper discusses feasibility of EEG-based BCI systems for patients in classic locked-in state and compares BCI to other AT solutions that we also tested during the study.}, language = {en} } @article{HalderRufFurdeaetal.2013, author = {Halder, Sebastian and Ruf, Carolin Anne and Furdea, Adrian and Pasqualotto, Emanuele and De Massari, Daniele and van der Heiden, Linda and Bogdan, Martin and Rosenstiel, Wolfgang and Birbaumer, Niels and K{\"u}bler, Andrea and Matuz, Tamara}, title = {Prediction of P300 BCI Aptitude in Severe Motor Impairment}, series = {PLoS ONE}, journal = {PLoS ONE}, doi = {10.1371/journal.pone.0076148}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-97268}, year = {2013}, abstract = {Brain-computer interfaces (BCIs) provide a non-muscular communication channel for persons with severe motor impairments. Previous studies have shown that the aptitude with which a BCI can be controlled varies from person to person. A reliable predictor of performance could facilitate selection of a suitable BCI paradigm. Eleven severely motor impaired participants performed three sessions of a P300 BCI web browsing task. Before each session auditory oddball data were collected to predict the BCI aptitude of the participants exhibited in the current session. We found a strong relationship of early positive and negative potentials around 200 ms (elicited with the auditory oddball task) with performance. The amplitude of the P2 (r = -0.77) and of the N2 (r = -0.86) had the strongest correlations. Aptitude prediction using an auditory oddball was successful. The finding that the N2 amplitude is a stronger predictor of performance than P3 amplitude was reproduced after initially showing this effect with a healthy sample of BCI users. This will reduce strain on the end-users by minimizing the time needed to find suitable paradigms and inspire new approaches to improve performance.}, language = {en} } @article{BiehlEhlisMuelleretal.2013, author = {Biehl, Stefanie C. and Ehlis, Ann-Christine and M{\"u}ller, Laura D. and Niklaus, Andrea and Pauli, Paul and Herrmann, Martin J.}, title = {The impact of task relevance and degree of distraction on stimulus processing}, series = {BMC Neuroscience}, journal = {BMC Neuroscience}, doi = {10.1186/1471-2202-14-107}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-97271}, year = {2013}, abstract = {Background The impact of task relevance on event-related potential amplitudes of early visual processing was previously demonstrated. Study designs, however, differ greatly, not allowing simultaneous investigation of how both degree of distraction and task relevance influence processing variations. In our study, we combined different features of previous tasks. We used a modified 1-back task in which task relevant and task irrelevant stimuli were alternately presented. The task irrelevant stimuli could be from the same or from a different category as the task relevant stimuli, thereby producing high and low distracting task irrelevant stimuli. In addition, the paradigm comprised a passive viewing condition. Thus, our paradigm enabled us to compare the processing of task relevant stimuli, task irrelevant stimuli with differing degrees of distraction, and passively viewed stimuli. EEG data from twenty participants was collected and mean P100 and N170 amplitudes were analyzed. Furthermore, a potential connection of stimulus processing and symptoms of attention deficit hyperactivity disorder (ADHD) was investigated. Results Our results show a modulation of peak N170 amplitudes by task relevance. N170 amplitudes to task relevant stimuli were significantly higher than to high distracting task irrelevant or passively viewed stimuli. In addition, amplitudes to low distracting task irrelevant stimuli were significantly higher than to high distracting stimuli. N170 amplitudes to passively viewed stimuli were not significantly different from either kind of task irrelevant stimuli. Participants with more symptoms of hyperactivity and impulsivity showed decreased N170 amplitudes across all task conditions. On a behavioral level, lower N170 enhancement efficiency was significantly correlated with false alarm responses. Conclusions Our results point to a processing enhancement of task relevant stimuli. Unlike P100 amplitudes, N170 amplitudes were strongly influenced by enhancement and enhancement efficiency seemed to have direct behavioral consequences. These findings have potential implications for models of clinical disorders affecting selective attention, especially ADHD.}, language = {en} } @article{HalderVarkutiBogdanetal.2013, author = {Halder, Sebastian and Varkuti, Balint and Bogdan, Martin and K{\"u}bler, Andrea and Rosenstiel, Wolfgang and Sitaram, Ranganatha and Birbaumer, Niels}, title = {Prediction of brain-computer interface aptitude from individual brain structure}, series = {Frontiers in Human Neuroscience}, journal = {Frontiers in Human Neuroscience}, doi = {10.3389/fnhum.2013.00105}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-96558}, year = {2013}, abstract = {Objective: Brain-computer interface (BCI) provide a non-muscular communication channel for patients with impairments of the motor system. A significant number of BCI users is unable to obtain voluntary control of a BCI-system in proper time. This makes methods that can be used to determine the aptitude of a user necessary. Methods: We hypothesized that integrity and connectivity of involved white matter connections may serve as a predictor of individual BCI-performance. Therefore, we analyzed structural data from anatomical scans and DTI of motor imagery BCI-users differentiated into high and low BCI-aptitude groups based on their overall performance. Results: Using a machine learning classification method we identified discriminating structural brain trait features and correlated the best features with a continuous measure of individual BCI-performance. Prediction of the aptitude group of each participant was possible with near perfect accuracy (one error). Conclusions: Tissue volumetric analysis yielded only poor classification results. In contrast, the structural integrity and myelination quality of deep white matter structures such as the Corpus Callosum, Cingulum, and Superior Fronto-Occipital Fascicle were positively correlated with individual BCI-performance. Significance: This confirms that structural brain traits contribute to individual performance in BCI use.}, language = {en} } @article{HalderHammerKleihetal.2013, author = {Halder, Sebastian and Hammer, Eva Maria and Kleih, Sonja Claudia and Bogdan, Martin and Rosenstiel, Wolfgang and Birbaumer, Nils and K{\"u}bler, Andrea}, title = {Prediction of Auditory and Visual P300 Brain-Computer Interface Aptitude}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-77992}, year = {2013}, abstract = {Objective: Brain-computer interfaces (BCIs) provide a non-muscular communication channel for patients with late-stage motoneuron disease (e.g., amyotrophic lateral sclerosis (ALS)) or otherwise motor impaired people and are also used for motor rehabilitation in chronic stroke. Differences in the ability to use a BCI vary from person to person and from session to session. A reliable predictor of aptitude would allow for the selection of suitable BCI paradigms. For this reason, we investigated whether P300 BCI aptitude could be predicted from a short experiment with a standard auditory oddball. Methods: Forty healthy participants performed an electroencephalography (EEG) based visual and auditory P300-BCI spelling task in a single session. In addition, prior to each session an auditory oddball was presented. Features extracted from the auditory oddball were analyzed with respect to predictive power for BCI aptitude. Results: Correlation between auditory oddball response and P300 BCI accuracy revealed a strong relationship between accuracy and N2 amplitude and the amplitude of a late ERP component between 400 and 600 ms. Interestingly, the P3 amplitude of the auditory oddball response was not correlated with accuracy. Conclusions: Event-related potentials recorded during a standard auditory oddball session moderately predict aptitude in an audiory and highly in a visual P300 BCI. The predictor will allow for faster paradigm selection. Significance: Our method will reduce strain on patients because unsuccessful training may be avoided, provided the results can be generalized to the patient population.}, subject = {Psychologie}, language = {en} } @article{HerbertKueblerVoegele2013, author = {Herbert, Cornelia and K{\"u}bler, Andrea and V{\"o}gele, Klaus}, title = {Risk for Eating Disorders Modulates Startle-Responses to Body Words}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-78140}, year = {2013}, abstract = {Body image disturbances are core symptoms of eating disorders (EDs). Recent evidence suggests that changes in body image may occur prior to ED onset and are not restricted to in-vivo exposure (e.g. mirror image), but also evident during presentation of abstract cues such as body shape and weight-related words. In the present study startle modulation, heart rate and subjective evaluations were examined during reading of body words and neutral words in 41 student female volunteers screened for risk of EDs. The aim was to determine if responses to body words are attributable to a general negativity bias regardless of ED risk or if activated, ED relevant negative body schemas facilitate priming of defensive responses. Heart rate and word ratings differed between body words and neutral words in the whole female sample, supporting a general processing bias for body weight and shape-related concepts in young women regardless of ED risk. Startle modulation was specifically related to eating disorder symptoms, as was indicated by significant positive correlations with self-reported body dissatisfaction. These results emphasize the relevance of examining body schema representations as a function of ED risk across different levels of responding. Peripheral-physiological measures such as the startle reflex could possibly be used as predictors of females' risk for developing EDs in the future.}, subject = {Psychologie}, language = {en} } @phdthesis{Wu2013, author = {Wu, Lingdan}, title = {Emotion Regulation in Addicted Smokers}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-85471}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2013}, abstract = {Background: Nicotine addiction is the most prevalent type of drug addiction that has been described as a cycle of spiraling dysregulation of the brain reward systems. Imaging studies have shown that nicotine addiction is associated with abnormal function in prefrontal brain regions that are important for cognitive emotion regulation. It was assumed that addicts may perform less well than healthy nonsmokers in cognitive emotion regulation tasks. The primary aims of this thesis were to investigate emotional responses to natural rewards among smokers and nonsmokers and to determine whether smokers differ from nonsmokers in cognitive regulation of positive and negative emotions. To address these aims, two forms of appraisal paradigms (i.e., appraisal frame and reappraisal) were applied to compare changes in emotional responses of smokers with that of nonsmokers as a function of appraisal strategies. Experiment 1: The aim of the first experiment was to evaluate whether and how appraisal frames preceding positive and negative picture stimuli affect emotional experience and facial expression of individuals. Twenty participants were exposed to 125 pairs of auditory appraisal frames (either neutral or emotional) followed by picture stimuli reflecting five conditions: unpleasant-negative, unpleasant-neutral, pleasant-positive, pleasant-neutral and neutral-neutral. Ratings of valence and arousal as well as facial EMG activity over the corrugator supercilii and the zygomaticus major were measured simultaneously. The results indicated that appraisal frames could alter both subjective emotional experience and facial expressions, irrespective of the valence of the pictorial stimuli. These results suggest and support that appraisal frame is an efficient paradigm in regulation of multi-level emotional responses. 8 Experiment 2: The second experiment applied the appraisal frame paradigm to investigate how smokers differ from nonsmokers on cognitive emotion regulation. Sixty participants (22 nonsmokers, 19 nondeprived smokers and 19 12-h deprived smokers) completed emotion regulation tasks as described in Experiment 1 while emotional responses were concurrently recorded as reflected by self-ratings and psychophysiological measures (i.e., facial EMG and EEG). The results indicated that there was no group difference on emotional responses to natural rewards. Moreover, nondeprived smokers and deprived smokers performed as well as nonsmokers on the emotion regulation task. The lack of group differences in multiple emotional responses (i.e., self-reports, facial EMG activity and brain EEG activity) suggests that nicotine addicts have no deficit in cognitive emotion regulation of natural rewards via appraisal frames. Experiment 3: The third experiment aimed to further evaluate smokers' emotion regulation ability by comparing performances of smokers and nonsmokers in a more challenging cognitive task (i.e., reappraisal task). Sixty-five participants (23 nonsmokers, 22 nondeprived smokers and 20 12-h deprived smokers) were instructed to regulate emotions by imagining that the depicted negative or positive scenario would become less negative or less positive over time, respectively. The results showed that nondeprived smokers and deprived smokers responded similarly to emotional pictures and performed as well as nonsmokers in down-regulating positive and negative emotions via the reappraisal strategy. These results indicated that nicotine addicts do not have deficit in emotion regulation using cognitive appraisal strategies. In sum, the three studies consistently revealed that addicted smokers were capable to regulate emotions via appraisal strategies. This thesis establishes the groundwork for therapeutic use of appraisal instructions to cope with potential self-regulation failures in nicotine addicts.}, subject = {Gef{\"u}hl}, language = {en} } @phdthesis{Reicherts2013, author = {Reicherts, Philipp}, title = {Cognitive and Emotional Influences on Placebo Analgesia and Nocebo Hyperalgesia}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-106455}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2013}, abstract = {The perception of pain can be modulated by a variety of factors such as biological/pharmacological treatments as well as potent cognitive and emotional manipulations. Placebo and nocebo effects are among the most prominent examples for such manipulations. Placebo and nocebo manipulations cause reliable psychological and physiological changes, although the administered agent or treatment is inert. The present dissertation aimed at investigating the role of cognitive and emotional influences in the generation of placebo and nocebo effects on pain perception. In addition, the feasibility of solely psychological placebo manipulations to alter the perception of pain was tested. Two commonly discussed preconditions for the generation of placebo and nocebo effects are prior experiences (i.e., past encounter of drug effects) and expectations (i.e., positive or negative attitudes towards an intervention). So far, research on placebo and nocebo effects relied on the administration of sham interventions, which resembled medical treatments like inert pills, creams or injections. However, such experimental procedures deal with confounds due to earlier experiences and expectations resulting from the individual's history with medical interventions. Accordingly, the implementation of a placebo manipulation that is completely new to an individual, seems necessary to disentangle the contribution of experience and expectation for the induction of placebo and nocebo effects. To this end, in Experiment 1 the level of experience and expectation regarding a placebo-nocebo treatment was stepwise manipulated across three different experimental groups. To avoid any resemblances to earlier experiences and individual expectations, a mere psychological placebo-nocebo treatment was chosen that was new to all participants. They were instructed that visual black and white stripe patterns had been found to reliably alter the perception of pain. One group of participants received only the placebo-nocebo instruction (expectation), a second group experienced a placebo-nocebo treatment within a conditioning phase (experience) but no instruction, and a third group received the combination of both that is a placebo-nocebo instruction and a placebo-nocebo conditioning (experience + expectation). It was shown that only the experience + expectation group revealed significantly higher pain ratings and physiological responses during nocebo, compared to placebo trials of the succeeding test phase. These findings demonstrate that the induction of a mere psychological placebo-nocebo effect on pain is in principle possible. Most important, results indicate that such effects most likely rely on both, a positive treatment experience, due to the encounter of an effective intervention (placebo conditioning), and a positive expectation about the intervention (placebo instruction).Besides experience and expectation, the current mood state has been shown to modulate pain and to impact the induction of placebo and nocebo effects. In this vein it has been demonstrated that placebo effects come along with positive affect, while nocebo effects often occur together with elevated feelings of anxiety. To clarify the interaction of emotions and placebo-nocebo manipulations on pain perception, in Experiment 2 the paradigm of Experiment 1 was modified. Instead of black and white stripe patterns, positive and negative emotional pictures were presented, which either cued pain increase (nocebo) or pain decrease (placebo). Two experimental groups were compared, which differed with regard to the instructed contingency of positive pictures serving as placebo and negative pictures serving as nocebo cues or vice versa (congruent vs. incongruent). Results indicate that the differentiation of placebo and nocebo trials (behaviorally and physiologically) was more pronounced for the congruent compared to the incongruent group. However, in the incongruent group, affective pain ratings were also significantly higher for nocebo (positive pictures) than placebo (negative pictures) trials, similar to the congruent group. These findings demonstrate that a placebo-nocebo manipulation is capable to dampen and even reverse the originally pain augmenting effect of negative emotions. The results of Experiment 2 were further corroborated in Experiment 3, when the design was adapted to the fMRI scanner, and again a congruent and an incongruent experimental group were compared. Behavioral, physiological and neurophysiological markers of pain processing revealed a differentiation between nocebo and placebo conditions that was present irrespective of the experimental group. In addition, the fMRI analysis revealed an increased engagement of prefrontal areas for the incongruent group only, supposedly reflecting the reinterpretation or appraisal process when positive pictures were cueing negative outcomes. Taken together, the results of the present studies showed (a) that it is possible to induce a placebo-nocebo effect on pain solely by a psychological manipulation, (b) that both, prior experiences and positive expectation, are necessary preconditions for this placebo-nocebo effect, (c) that the impact of negative emotion on pain can be dampened and even reversed by placebo-nocebo manipulations, and (d) that most likely a cognitive top-down process is crucial for the induction of (psychological) placebo-nocebo effects. These results significantly enhance our understanding of psychological mechanisms involved in the induction of placebo-nocebo effects. Further, a fruitful foundation for future studies is provided, which will need to determine the contributions of primarily nocebo or placebo responses mediating the effects as demonstrated in the present studies. In a long-term perspective, the present findings may also help to exploit placebo effects and prevent from nocebo effect in clinical contexts by further elucidating crucial psychological factors that contribute to the placebo and nocebo response.}, subject = {Placebo}, language = {en} } @phdthesis{Walz2013, author = {Walz, Nora}, title = {Der Mensch im Open-Field-Test: Agoraphobie als pathologische Form extraterritorialer Angst}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-81402}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2013}, abstract = {Angstverhalten bei der Panikst{\"o}rung mit Agoraphobie wird haupts{\"a}chlich unter dem Aspekt des „safety seekings" betrachtet. Kontrovers diskutiert wird, ob diese Verhaltensweisen f{\"u}r eine erfolgreiche Behandlung abgebaut werden sollen. Es wurde bisher kaum nach der ethologischen Bedeutung bestimmter Verhaltensweisen unter Angst gefragt. Dies ist erstaunlich, weil die Panikst{\"o}rung mit Agoraphobie h{\"a}ufig als gesteigerte Form extraterritorialer Angst gesehen wird. Extraterritoriale Angst tritt typischerweise bei Tieren auf, wenn sie ihr vertrautes Gebiet verlassen. Im Tiermodell liegen zahlreiche ethoexperimentelle Paradigmen vor, mit denen man das nat{\"u}rliche Angstverhalten von Tieren untersucht. Letztlich kl{\"a}rt man am Tiermodell aber Fragestellungen, die am Menschen nicht umsetzbar sind. Die experimentelle Untersuchung menschlichen Angstverhaltens unter ethologischer Perspektive erfordert eine Situation, die solches Verhalten ethisch unbedenklich ausl{\"o}st und geeignete messbare Parameter liefert. Der Open-Field Test als bekanntes Paradigma aus der Tierforschung erf{\"u}llt diese Voraussetzungen. Es war Ziel des Promotionsvorhabens, in einem realen Open-Field Test bei Agoraphobiepatien-ten und hoch{\"a}ngstlichen Probanden Thigmotaxis als ethologisches Angstverhalten nachzuweisen und mit dem Verhalten einer Kontrollgruppe bzw. niedrig{\"a}ngstlichen Personen zu vergleichen (Studie I). Thigmotaxis ist eine Bewegungstendenz entlang des Randes und wird im Tiermodell als Index f{\"u}r Angst benutzt. Es sollte die Frage gekl{\"a}rt werden, ob agoraphobes Verhalten evolution{\"a}r verankert werden kann. Ziel von Studie II war die Untersuchung der Wege in einer typischen Alltagstopographie. Dazu wurden Unterschiede im Raum-Zeit-Verhalten von Agora-phobiepatienten vs. Kontrollgruppe, sowie hoch- vs. niedrig{\"a}ngstlichen Probanden beim Gehen durch die Stadt verglichen. Die Aufzeichnung des Raum-Zeit-Verhaltens erfolgte in beiden Studien per GPS-Tracking. Studie I zeigte an insgesamt 69 Studienteilnehmern, dass Angstverhalten mit ethologischer Bedeutung bei Menschen im Open-Field Test eindeutig messbar ist. Agoraphobiepatienten zeigten w{\"a}hrend der Exploration eines ungef{\"a}hrlichen freien Fußballfeldes deutlich mehr Thigmotaxis und Vermeidung der Mitte als die Kontrollgruppe. Hoch{\"a}ngstliche im Vergleich zu niedrig{\"a}ngstlichen gesunden Probanden zeigten dies ebenfalls. So konnte die Vermutung unterst{\"u}tzt werden, dass die Agoraphobie m{\"o}glicherweise eine evolution{\"a}re Entsprechung in der tierischen Extraterritorialangst hat. Die Befunde sprechen auch f{\"u}r eine gemeinsame Pr{\"a}disposition zu Sicherheitsverhalten bei pathologischer Angst und hoher {\"A}ngstlichkeit. Die Bedeutung gemeinsamer Verhaltensdispositionen bei klinischen und nicht-klinischen Gruppen kann im Hinblick auf gemeinsame Endoph{\"a}notypen f{\"u}r die neuronale Angstverarbeitung diskutiert werden. Zuletzt konnte mit dem Open-Field Test ein aus der Tierforschung bekanntes ethoexperimentelles Paradigma auf den Menschen {\"u}bertragen werden, was die G{\"u}ltigkeit des Tiermodells unterst{\"u}tzt. Studie II lieferte Unterschiede in den Wegen der Agoraphobiepatienten vs. Kontrollpersonen bei der Passage des Marktplatzes. Die Patienten {\"u}berquerten den Marktplatz seltener als die Kon-trollgruppe, und tangierten ihn h{\"a}ufiger am Rand. Die Daten konnten in korrelativen Zusammenhang mit der Vermeidung der Mitte im Open-Field Test gebracht werden. Dies deutet auf eine starke Auswirkung der agoraphoben Symptomatik auf das Raum-Zeit-Verhalten in unterschiedlichen Situationen hin. Im Weiteren zeigte Studie II, dass sich GPS Tracking als Assessment-Methode in der klinischen Psychologie eignet. Bei den hoch-und niedrig{\"a}ngstlichen Probanden fand sich bei der Passage des Marktplatzes kein Unterschied, aber der weitere Streckenverlauf lieferte Hinweise darauf, dass bei hoher {\"A}ngstlichkeit die Navigation entlang h{\"a}ufig zur{\"u}ckgelegter Strecken bevorzugt werden k{\"o}nnte. Schlussfolgerung des explorativen Vorgehens bei Studie II ist, dass es sich lohnt, den Zusammenhang zwischen Emotion und Navigation in komplexer Umgebung weiter zu untersuchen}, subject = {Agoraphobie}, language = {de} } @phdthesis{Kaufmann2013, author = {Kaufmann, Tobias}, title = {Brain-computer interfaces based on event-related potentials: toward fast, reliable and easy-to-use communication systems for people with neurodegenerative disease}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-83441}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2013}, abstract = {Objective: Brain Computer Interfaces (BCI) provide a muscle independent interaction channel making them particularly valuable for individuals with severe motor impairment. Thus, different BCI systems and applications have been proposed as assistive technology (AT) solutions for such patients. The most prominent system for communication utilizes event-related potentials (ERP) obtained from the electroencephalogram (EEG) to allow for communication on a character-by-character basis. Yet in their current state of technology, daily life use cases of such systems are rare. In addition to the high EEG preparation effort, one of the main reasons is the low information throughput compared to other existing AT solutions. Furthermore, when testing BCI systems in patients, a performance drop is usually observed compared to healthy users. Patients often display a low signal-to-noise ratio of the recorded EEG and detection of brain responses may be aggravated due to internally (e.g. spasm) or externally induced artifacts (e.g. from ventilation devices). Consequently, practical BCI systems need to cope with mani-fold inter-individual differences. Whilst these high demands lead to increasing complexity of the technology, daily life use of BCI systems requires straightforward setup including an easy-to-use graphical user interface that nonprofessionals can handle without expert support. Research questions of this thesis: This dissertation project aimed at bringing forward BCI technology toward a possible integration into end-users' daily life. Four basic research questions were addressed: (1) Can we identify performance predictors so that we can provide users with individual BCI solutions without the need of multiple, demanding testing sessions? (2) Can we provide complex BCI technology in an automated, user-friendly and easy-to-use manner, so that BCIs can be used without expert support at end-users' homes? (3) How can we account for and improve the low information transfer rates as compared to other existing assistive technology solutions? (4) How can we prevent the performance drop often seen when bringing BCI technology that was tested in healthy users to those with severe motor impairment? Results and discussion: (1) Heart rate variability (HRV) as an index of inhibitory control (i.e. the ability to allocate attention resources and inhibit distracting stimuli) was significantly related to ERP-BCI performance and accounted for almost 26\% of variance. HRV is easy to assess from short heartbeat recordings and may thus serve as a performance predictor for ERP-BCIs. Due to missing software solutions for appropriate processing of artifacts in heartbeat data (electrocardiogram and inter-beat interval data), our own tool was developed that is available free of charge. To date, more than 100 researchers worldwide have requested the tool. Recently, a new version was developed and released together with a website (www.artiifact.de). (2) Furthermore, a study of this thesis demonstrated that BCI technology can be incorporated into easy-to-use software, including auto-calibration and predictive text entry. Na{\"i}ve, healthy nonprofessionals were able to control the software without expert support and successfully spelled words using the auto-calibrated BCI. They reported that software handling was straightforward and that they would be able to explain the system to others. However, future research is required to study transfer of the results to patient samples. (3) The commonly used ERP-BCI paradigm was significantly improved. Instead of simply highlighting visually displayed characters as is usually done, pictures of famous faces were used as stimulus material. As a result, specific brain potentials involved in face recognition and face processing were elicited. The event-related EEG thus displayed an increased signal-to-noise ratio, which facilitated the detection of ERPs extremely well. Consequently, BCI performance was significantly increased. (4) The good results of this new face-flashing paradigm achieved with healthy participants transferred well to users with neurodegenerative disease. Using a face paradigm boosted information throughput. Importantly, two users who were highly inefficient with the commonly used paradigm displayed high accuracy when exposed to the face paradigm. The increased signal-to-noise ratio of the recorded EEG thus helped them to overcome their BCI inefficiency. Significance: The presented work at hand (1) successfully identified a physiological predictor of ERP-BCI performance, (2) proved the technology ready to be operated by na{\"i}ve nonprofessionals without expert support, (3) significantly improved the commonly used spelling paradigm and (4) thereby displayed a way to effectively prevent BCI inefficiency in patients with neurodegenerative disease. Additionally, missing software solutions for appropriate handling of artifacts in heartbeat data encouraged development of our own software tool that is available to the research community free of charge. In sum, this thesis significantly improved current BCI technology and enhanced our understanding of physiological correlates of BCI performance.}, subject = {Gehirn-Computer-Schnittstelle}, language = {en} } @phdthesis{Bruetting2013, author = {Br{\"u}tting, Johanna}, title = {Psychotherapie spezifischer Phobien: Die Bedeutung der Angstaktivierung f{\"u}r Therapieprozess und Therapieerfolg}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-80578}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2013}, abstract = {In der vorliegenden Arbeit wurde untersucht, inwiefern die Angstaktivierung Einfluss auf den Therapieprozess und den Therapieerfolg bei der Behandlung spezifischer Phobien hat. Obwohl expositionsbasierte Therapieverfahren nachweislich effektiv sind und vor allem bei der Behandlung spezifischer Phobien als die Methode der Wahl gelten, sind deren genauen Wirkmechanismen doch noch nicht v{\"o}llig gekl{\"a}rt. In zwei empirischen Studien wurde hier die von Foa und Kozak (1986, 1991) in der „Emotional Processing Theory" als notwendig postulierte Rolle der Angstaktivierung w{\"a}hrend der Exposition untersucht. In der ersten Studie wurde auf Grundlage tier- und humanexperimenteller Befunde untersucht, ob durch eine Reaktivierung der Angst und darauffolgende Exposition innerhalb eines bestimmten Zeitfensters (= Rekonsolidierungsfenster) die R{\"u}ckkehr der Angst verhindert werden kann. Ziel dieser Untersuchung war die {\"U}bertragung bisheriger Ergebnisse aus Konditionierungsstudien auf eine klinische Stichprobe. Die spinnenphobischen Untersuchungsteilnehmer (N = 36) wurden randomisiert entweder der Reaktivierungsgruppe (RG) oder einer Standardexpositionsgruppe (SEG) zugewiesen. Die RG bekam vor der Exposition in virtueller Realit{\"a}t (VRET) f{\"u}nf Sekunden lang einen Reaktivierungsstimulus - eine virtuelle Spinne - dargeboten, woraufhin zehn Minuten standardisierte Wartezeit folgte. In der SEG wurde die Angst vor der Exposition nicht reaktiviert. 24 Stunden nach der VRET wurde in einem Test die spontane R{\"u}ckkehr der Angst erfasst. Entgegen der Annahmen f{\"u}hrte die Reaktivierung vor der VRET nicht zu einer geringeren R{\"u}ckkehr der Angst in der Testsitzung 24 Stunden sp{\"a}ter. Die Angst kehrte in keiner der beiden Versuchsgruppen zur{\"u}ck, was sich bez{\"u}glich subjektiver Angstratings, f{\"u}r Verhaltensdaten und auch f{\"u}r physiologische Maße zeigte. Auch zeigte sich ein grunds{\"a}tzlich positiver Effekt der Behandlung, bei der im Anschluss noch eine Exposition in vivo stattfand. Ein Follow-Up nach sechs Monaten ergab eine weitere Reduktion der Spinnenangst. Die Ergebnisse legen nahe, dass sich die experimentellen Befunde zu Rekonsolidierungsprozessen aus Konditionierungsstudien nicht einfach auf ein Therapiesetting und die Behandlung spezifischer Phobien {\"u}bertragen lassen. Die zweite Studie befasste sich mit der Frage, ob Koffein die initiale Angstaktivierung erh{\"o}hen kann und ob sich dies positiv auf den Therapieerfolg auswirkt. Die spinnenphobischen Studienteilnehmer (N = 35) wurden in einem doppelblinden Versuchsdesign entweder der Koffeingruppe (KOFG) oder der Placebogruppe (PG) zugeordnet. Die KOFG erhielt eine Stunde vor Beginn der VRET eine Koffeintablette mit 200 mg Koffein, die PG erhielt als {\"A}quivalent zur gleichen Zeit eine Placebotablette. Eine Analyse der Speichelproben der Probanden ergab, dass sich die Koffeinkonzentration durch die Koffeintablette signifikant erh{\"o}hte. Dies f{\"u}hrte jedoch nicht, wie erwartet, zu einer h{\"o}heren Angstaktivierung w{\"a}hrend der VRET, weshalb unter anderem diskutiert wird, ob evtl. die Koffeinkonzentration zu niedrig war, um anxiogen zu wirken. Dennoch profitierten die Teilnehmer beider Versuchsgruppen von unserem Behandlungsangebot. Die Spinnenangst reduzierte sich signifikant {\"u}ber vier Sitzungen hinweg. Diese Reduktion blieb stabil bis zum Follow-Up drei Monate nach Studienende. Zusammengefasst l{\"a}sst sich zur optimalen H{\"o}he der Angstaktivierung aufgrund der hier durchgef{\"u}hrten beiden Studien keine exakte Aussage machen, da sich die Versuchsgruppen in beiden Studien hinsichtlich der H{\"o}he der Angstaktivierung zu Beginn (und auch w{\"a}hrend) der Exposition nicht unterschieden. Es l{\"a}sst sich aber festhalten, dass die VRET und auch die in vivo Exposition in beiden Studien effektiv Angst ausl{\"o}sten und dass sich die Angst in beiden Gruppen signifikant bis zu den Follow-Ups (sechs bzw. drei Monate nach Studienende) signifikant reduzierte. Die Behandlung kann also als erfolgreich angesehen werden. M{\"o}gliche andere Wirkfaktoren der Expositionstherapie, wie z.B. die Rolle der wahrgenommenen Kontrolle werden neben der H{\"o}he der Angstaktivierung diskutiert.}, subject = {Psychotherapie}, language = {de} } @phdthesis{Schmitz2013, author = {Schmitz, Marcus}, title = {Simulationsgest{\"u}tzte Kompetenzfeststellung von Triebfahrzeugf{\"u}hrern - Entwicklung und Anwendung eines Verhaltensmarkersystems}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-82272}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2013}, abstract = {Diese Arbeit beschreibt die Entwicklung und Anwendung einer simulationsgest{\"u}tzten Methode zur Kompetenzfeststellung von Triebfahrzeugf{\"u}hrern (Tf) der Deutschen Bahn AG unter Anwendung eines Verhaltensmarkersystems. Diese Methode wurde als ein erweitertes Konzept zur Bewertung eines Tf im Rahmen einer j{\"a}hrlich stattfindenden {\"U}berwachungsfahrt entwickelt. Diese {\"U}berwachungsfahrt besteht aus einer etwa 45-min{\"u}tigen Pr{\"u}fungsfahrt, mit deren Hilfe die Handlungssicherheit eines Tf erh{\"o}ht sowie dessen Leistung und Leistungsf{\"a}higkeit beschrieben und bewertet wird. Die {\"U}berwachungsfahrt wird von geschulten Instruktoren durchgef{\"u}hrt. W{\"a}hrend der Simulatorfahrt werden unregelm{\"a}ßige Ereignisse eingespielt, die der Tf unter Anwendung der vorgeschriebenen Sollverhaltensweisen bew{\"a}ltigen muss. Ziel ist es, keinen sicherheitsrelevanten Mangel zu verursachen. Grundlage des eingef{\"u}hrten Verhaltensmarkersystems ist ein Datenkonzept, das auf den in den Regelwerken beschriebenen Fahrtereignissen und den entsprechenden Sollverhaltensweisen beruht. Die {\"U}berwachungsfahrt wird aus diesen Einzelereignissen zusammengestellt und somit entspricht auch das w{\"a}hrend der {\"U}berwachung zu zeigende Verhalten dem in den Regelwerken beschriebenen Sollverhalten. Um Abweichungen vom vorgeschriebenen Verhalten besser erkennen und bewerten zu k{\"o}nnen, werden sog. Verhaltensmarker eingef{\"u}hrt. Hierbei handelt es sich um objektive und nachpr{\"u}fbare Indikatoren, die etwas {\"u}ber den Grad der Erf{\"u}llung des Sollverhaltens Auskunft geben. Zentral f{\"u}r die Bewertung sind somit die Erfassung m{\"o}glicher Sollverhaltensabweichungen und die Frage nach der Festlegung der Schwere dieser Abweichung im Sinne eines Fehlers. Um Art und St{\"a}rke der Abweichungen vom Sollverhalten wurden objektive Fahrdaten aus dem Simulator herangezogen. Zus{\"a}tzlich wurde ein standardisiertes Beobachtungsverfahren f{\"u}r die Instruktoren entwickelt. In einem zweiten Schritt wurden die {\"u}ber beide Verfahren erfassten Abweichungen vom Sollverhalten auf der Basis von Expertenurteilen entsprechend der potentiellen Auswirkungen gewichtet. Diese Gewichtung reicht in drei Stufen von leichten Fehlern bis hin zu sicherheitsrelevanten M{\"a}ngeln. F{\"u}r alle in den {\"U}berwachungsfahrten vorkommenden Sollverhaltensweisen wurden m{\"o}gliche Abweichungen erhoben und in einer Fehlertabelle den Fehlerkategorien „gering", „mittelschwer" und „sicherheitsrelevant" zugeordnet. Die so gewichtete Fehlerbetrachtung f{\"u}hrt zu einer Gesamtbewertung des Tf und zu einer detaillierten Analyse seiner St{\"a}rken und Schw{\"a}chen. Insgesamt wurden 1033 {\"U}berwachungsfahrten von den Instruktoren auf einem projektspezifischen Bogen protokolliert. {\"U}ber die an den Simulatoren vorhandenen Datenschnittstellen wurden 1314 {\"U}berwachungsfahrten aufgezeichnet. Diese Datenquellen wurden integriert und ausgewertet. Als {\"u}bergeordnetes Ergebnis l{\"a}sst sich festhalten, dass die Anwendung der in dieser Arbeit entwickelten Methode nachweislich die Qualit{\"a}t und Genauigkeit der Bewertung verbessern konnte. Die Verhaltensmarker erm{\"o}glichen eine differenziertere Bewertung des Leistungsstands eines Tf. So ist es nicht nur m{\"o}glich, sicherheitskritisches Verhalten („roter Bereich") und ein optimales, fehlerfreies Verhalten („gr{\"u}ner Bereich") festzustellen, sondern auch Aussagen {\"u}ber den „gelben Bereich" dazwischen zu treffen (z.B. M{\"a}ngel, die in anderen Situationen sicherheitskritisch sein k{\"o}nnen).}, subject = {Lokomotivf{\"u}hrer}, language = {de} } @phdthesis{Lingel2013, author = {Lingel, Klaus}, title = {Metakognitives Wissen Mathematik - Entwicklung und Zusammenhang mit der Mathematikleistung in der Sekundarstufe I}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-85655}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2013}, abstract = {Das Wissen {\"u}ber Kognition oder metakognitives Wissen ist seit den 1970er Jahren Gegenstand der entwicklungspsychologischen Forschung. Besonders umfangreich wurde Entwicklung und Bedeutung des metakognitiven Wissens im Kontext der Ged{\"a}chtnisentwicklung vom Vorschul- bis ins Grundschulalter untersucht. Das metakognitive Wissen im Inhaltsbereich der mathematischen Informationsverarbeitung ist - trotz elaborierter theoretischer Modelle {\"u}ber Struktur und Inhalt - empirisch weitgehend unerschlossen. Die vorliegende Studie wurde durchgef{\"u}hrt, um systematisch zu untersuchen, wie sich das mathematische metakognitive Wissen in der Sekundarstufe entwickelt, welche Faktoren f{\"u}r individuelle Unterschiede in der Entwicklung verantwortlich sind und in welchem Zusammenhang die metakognitive Wissensentwicklung mit der parallel verlaufenden Entwicklung mathematischer Kompetenzen steht. Zur Kl{\"a}rung der Fragestellungen wurden vier Messzeitpunkte einer breiter angelegten L{\"a}ngsschnittuntersuchung ausgewertet. Der dabei beobachtete Zeitraum umfasste die f{\"u}nfte und sechste Jahrgangsstufe. Die Stichprobe bestand aus 928 Sch{\"u}lern der Schularten Gymnasium, Realschule und Hauptschule. Die Messinstrumente zur Erfassung der Entwicklungsver{\"a}nderungen im mathematischen metakognitiven Wissen und der Mathematikleistung wurden auf Grundlage der item response theory konstruiert und mittels vertikalem linking fortlaufend an den Entwicklungsstand der Stichprobe angepasst. Zus{\"a}tzlich wurden kognitive (Intelligenz und Arbeitsged{\"a}chtniskapazit{\"a}t), motivationale (mathematisches Interesse und Selbstkonzept) und sozio{\"o}konomische Merkmale (sozio{\"o}konomischer Status der Herkunftsfamilie) der Sch{\"u}ler erhoben. Die Lesekompetenz wurde als Methodenfaktor kontrolliert. Entwicklungsunterschiede und -ver{\"a}nderungen im metakognitiven Wissen wurde mit Hilfe von latenten Wachstumskurvenmodellen untersucht. Im beobachteten Zeitraum zeigte sich eine stetige Zunahme des metakognitiven Wissens. Allerdings verlief die Entwicklungsver{\"a}nderung nicht linear, sondern verlangsamte sich im Verlauf der sechsten Jahrgangsstufe. Individuelle Unterschiede in Auspr{\"a}gung und Ver{\"a}nderung des metakognitiven Wissens wurden durch kognitive und sozio{\"o}konomische Sch{\"u}lermerkmale vorhergesagt. Die motivationalen Merkmale wirkten sich demgegen{\"u}ber nicht auf den Entwicklungsprozess aus. Geschlechtsunterschiede zeigten sich im Entwicklungsverlauf als Schereneffekt zugunsten der M{\"a}dchen. Unterschiede zwischen den Sch{\"u}lern der drei Schularten erreichten bereits zum Eintritt in die Sekundarstufe Signifikanz. Zudem gewannen Gymnasiasten und Hauptsch{\"u}ler im Entwicklungsverlauf st{\"a}rker an metakognitivem Wissen hinzu als Realsch{\"u}ler. Explorative Mischverteilungsanalysen in der Stichprobe ergaben drei latente Entwicklungsklassen mit jeweils charakteristischem Ver{\"a}nderungsverlauf. Die Klassenzuweisung wurde von der besuchten Schulart sowie kognitiven und sozio{\"o}konomischen Sch{\"u}lermerkmalen vorhergesagt. Die Entwicklungsprozesse im mathematischen metakognitiven Wissen und der mathematischen Leistung standen in einem substanziellen, wechselseitigen Zusammenhang. Geschlechts- und Schulartunterschiede blieben ebenso wie die korrelativen Zusammenh{\"a}nge zwischen den Entwicklungsprozessen auch nach Kontrolle der individuellen Unterschiede in kognitiven, motivationalen und sozio{\"o}konomischen Merkmalen erhalten. Die Befunde best{\"a}tigen die konstruktivistischen Entwicklungsannahmen der ged{\"a}chtnispsychologisch gepr{\"a}gten Grundlagenforschung zum metakognitiven Wissen. Zudem wird mit der Untersuchung des mathematischen metakognitiven Wissens in der Sekundarstufe der traditionelle Forschungsfokus inhaltlich erweitert. Das im Rahmen der Studie konstruierte Instrument zur Erfassung des mathematischen metakognitiven Wissens erm{\"o}glicht die Untersuchung weiterer, bislang offener Fragen auf dem Gebiet der metakognitiven Entwicklung.}, subject = {Kognition}, language = {de} } @phdthesis{Muehlbacher2013, author = {M{\"u}hlbacher, Dominik}, title = {Die Pulksimulation als Methode zur Untersuchung verkehrspsychologischer Fragestellungen}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-90051}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2013}, abstract = {Fahr- und Verkehrssimulation sind neben Studien mit realen Fahrzeugen die g{\"a}ngigen Methoden der empirischen Verkehrswissenschaft. W{\"a}hrend sich die Fahrsimulation mit dem Erleben und Verhalten von Fahrern besch{\"a}ftigt, untersucht die Verkehrssimulation das gesamte Verkehrssystem. Der Bereich zwischen diesen Polen „Fahrer" und „Verkehr", in dem Fahrer aufeinander treffen und miteinander interagieren, ist angesichts der Bedeutung sozialer Prozesse f{\"u}r das Erleben und Verhalten ein wichtiger Aspekt. Allerdings wurde dieser Bereich in der Verkehrswissenschaft bisher nur unzureichend abgebildet. Auch in der Fahr- und Verkehrssimulation wurde dieser Aspekt bislang weitgehend vernachl{\"a}ssigt. Um diese L{\"u}cke zu schließen, wurde mit der Pulksimulation eine neue Versuchsumgebung entwickelt. Sie besteht aus miteinander vernetzten Fahrsimulatoren und erm{\"o}glicht es, Interaktionsfragestellungen zu untersuchen. Jedoch bringt die Anwendung der Pulksimulation neue Anforderungen an den Untersucher mit sich, die bei der Fahr- bzw. Verkehrssimulation nicht notwendig sind und f{\"u}r die Pulksimulation neu entwickelt werden m{\"u}ssen. Das Ziel der vorliegenden Arbeit ist, diese Methode zur Untersuchung verkehrspsychologischer Fragestellungen weiterzuentwickeln, zu pr{\"u}fen und zu etablieren. In ersten Untersuchungsans{\"a}tzen werden in acht Teilstudien die grundlegenden methodischen Besonderheiten der Pulksimulation am Beispiel des Folgefahrens und des Kreuzens betrachtet. Hierbei wird auch stets der Vergleich zu den bisher genutzten Versuchsumgebungen Einzelfahrsimulation und Verkehrssimulation gezogen. Folgende Fragstellungen wurden im Rahmen dessen beantwortet: (1) Wie unterscheidet sich eine Pulkfahrt von einer Einzelfahrt? (2) Welchen Einfluss haben nachfolgende Fahrzeuge im Pulk? (3) Welche Effekte haben Positionierungen im Pulk? (4) Wie unterscheiden sich reale Fahrer und Modelle im Pulk? (5) Wie wirkt sich die Einf{\"u}hrung einer Nebenaufgabe auf den Pulk aus? (6) Wie wirken sich verschiedene Abstandsinstruktionen aus? (7) Mit welchen Parametern kann der Pulk beschrieben werden? (8) Wie kann das Verhalten des Pulks an Kreuzungen untersucht werden? Schließlich werden zwei Anwendungsbeispiele der Pulksimulation zu aktuell relevanten Themen aufgezeigt. In der ersten Untersuchung wird ein Gefahrenwarner evaluiert, der vor Bremsungen vorausfahrender Fahrzeuge warnt. W{\"a}hrend Fahrer direkt hinter dem bremsenden Fahrzeug vom System nicht profitieren, steigt der Nutzen des Systems mit zunehmender Positionierung im Pulk an. In einer zweiten Studie wird ein Ampelphasenassistent untersucht. Dieser informiert den Fahrer w{\"a}hrend der Ann{\"a}herung an eine Ampel {\"u}ber die optimale Geschwindigkeit, mit der diese Ampel ohne Halt bei Gr{\"u}n durchfahren werden kann. Um die Auswirkungen des Systems auf den nicht-assistierten Umgebungsverkehr bestimmen zu k{\"o}nnen, werden verschiedene Ausstattungsraten innerhalb des Pulks eingef{\"u}hrt. Mit diesem Untersuchungsansatz k{\"o}nnen gleichzeitig Effekte des Systems auf die assistierten Fahrer (z. B. Befolgungsverhalten), die nicht-assistierten Fahrer (z. B. {\"A}rger) sowie das Verkehrssystem (z. B. Verkehrsfluss) bestimmt werden. Der Ampelphasenassistent resultiert in einem {\"o}konomischeren Fahrverhalten der assistierten Fahrer, erh{\"o}ht aber gleichzeitig in gemischten Ausstattungsraten den {\"A}rger der nicht-assistierten Fahrer im Verkehrssystem. Erst bei Vollausstattung entwickelt sich dieser negative Effekt zur{\"u}ck. Die in den Anwendungsbeispielen berichteten Ph{\"a}nomene sind durch Untersuchungen in einer Einzelfahrsimulation oder Verkehrssimulation nicht beobachtbar. Insbesondere f{\"u}r die Untersuchung von Fragen, in denen soziale Interaktionen mit anderen Fahrern eine Rolle spielen, zeichnet sich die Pulksimulation in besonderer Weise aus. Hierf{\"u}r liefert die Anwendung in der Pulksimulation zus{\"a}tzliche Informationen und zeigt somit, dass die Pulksimulation das Methodeninventar in der Verkehrswissenschaft effektiv erg{\"a}nzt. Sie stellt zum einen eine Erweiterung der Fahrsimulation um den Faktor „Verkehr" und zum anderen eine Erweiterung der Verkehrssimulation um den Faktor „Mensch" dar und wird so zu einem zentralen Bindeglied beider Versuchsumgebungen. Dar{\"u}ber hinaus erlaubt die Pulksimulation die Modellierung von Interaktionsverhalten im Straßenverkehr, was bisher nicht bzw. nur unter gr{\"o}ßtem Aufwand realisierbar war. Hierdurch k{\"o}nnen die Modelle der Fahr- und Verkehrssimulation weiterentwickelt werden. Mit den in dieser Arbeit neu entworfenen Parametern werden Kenngr{\"o}ßen zur Verf{\"u}gung gestellt, die Variationen bez{\"u}glich Quer- und L{\"a}ngsf{\"u}hrung auch auf Ebene des Pulks abbilden k{\"o}nnen. Weitere neu entwickelte Parameter sind in der Lage, Interaktionen {\"u}ber den Zeitverlauf zu beschreiben. Diese Parameter sind notwendig f{\"u}r den Einsatz der Pulksimulation in zuk{\"u}nftigen Untersuchungen. Zusammenfassend wurde in der vorliegenden Arbeit die Methodik der Pulksimulation f{\"u}r den gesamten Anwendungsprozess von der Fragestellung bis hin zur Interpretation der Ergebnisse weiterentwickelt. Der Mehrwert dieser Methode wurde an aktuellen und bisher nicht untersuchbaren Fragestellungen belegt und somit die Validit{\"a}t der Pulksimulation gest{\"a}rkt. Die vorgestellten Untersuchungen zeigen das große Potenzial der Pulksimulation zur Bearbeitung von Fragen, die auf der Interaktion verschiedener Verkehrsteilnehmer basieren. Hierdurch wird erstmals die M{\"o}glichkeit geschaffen, soziale Interaktionen {\"u}ber den Zeitverlauf in die Fahrermodelle der Verkehrssimulation zu integrieren. Damit ist der Br{\"u}ckenschlag von der Fahr- zur Verkehrssimulation gelungen.}, subject = {Verkehrspsychologie}, language = {de} } @phdthesis{Braun2013, author = {Braun, Barbara}, title = {Versorgung pathologischer Gl{\"u}cksspieler: Differentielle Aspekte der Inanspruchnahme von Hilfsangeboten}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-95703}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2013}, abstract = {Ziele. Die Zielsetzung der vorliegenden Arbeit war eine Bewertung der Versorgungslage von Personen mit gl{\"u}cksspielbezogenen Problemen in Deutschland. Dabei wurden 1) der Zugang zum Versorgungssystem, n{\"a}mlich 1.1) Problembewusstsein bzgl. gl{\"u}cksspielbezogener Probleme und Erreichbarkeit von Gl{\"u}cksspielern {\"u}ber das Internet und 1.2) Faktoren der Inanspruchnahme von Hilfsangeboten untersucht sowie 1.3) eine Charakterisierung der Klientel in ambulanten Suchthilfeeinrichtungen und deren Zugang zum Hilfesystem vorgenommen. Zudem wurden in ambulanten Suchthilfeeinrichtungen 2) die erbrachten Leistungen f{\"u}r Personen mit gl{\"u}cksspielbezogenen Problemen und Einflussfaktoren auf die Versorgungsnutzung bzw. den Behandlungsverlauf sowie 3) das Behandlungsergebnis einer Analyse unterzogen. Methodik. Die Arbeit basiert auf drei Studien: einer Onlinestudie (OS), einer Versorgungsstudie (VS) und einer Bev{\"o}lkerungsstudie (BS). In der OS wurde eine Gelegenheitsstichprobe von Personen, die einen im Internet bereitgestellten Selbsttest zu pathologischem Gl{\"u}cksspielen (PG) vollst{\"a}ndig ausf{\"u}llten (n=277) und bei Erf{\"u}llen der Einschlusskriterien anschließend an einer vertiefenden Studie teilnahmen (n=52), hinsichtlich soziodemographischer Charakteristika, Spielverhalten und spielbezogener Motive, PG inklusive Folgen, Beratungserfahrungen sowie psychopathologischen Variablen untersucht. In den anderen Studien wurden weitestgehend dieselben Instrumente verwendet. Die VS war eine Verlaufsstudie (Messzeitpunkte: Behandlungsbeginn und -ende), bei der konsekutiv Klienten aus n=36 ambulanten Suchthilfeeinrichtungen in Bayern aufgenommen wurden, die sich zwischen April 2009 und August 2010 vorstellten (n=461). F{\"u}r die BS wurden Daten aus dem Epidemiologi-schen Suchtsurvey 2006 und 2009 herangezogen, einer Deutschland weiten repr{\"a}sentativen Querschnittbefragung 18- bis 64-J{\"a}hriger Erwachsener (2006: n=7.810; 2009: n=8.002). Ergebnisse. Zum Zugang zur Versorgung sind 1.1) {\"u}ber das Internet erreichbare Gl{\"u}cksspieler haupts{\"a}chlich junge, ledige M{\"a}nner, von denen ungef{\"a}hr die H{\"a}lfte die Diagnose PG erf{\"u}llen. Anhand der Spielmotive lassen sich drei Spielerklassen abbilden, die sich hinsichtlich ihres Schweregrads von PG unterschieden. Die Bereitschaft zur Teilnahme an einem Online-Pr{\"a}ventionsprogramm h{\"a}ngt haupts{\"a}chlich mit der Anzahl erf{\"u}llter DSM-IV-Kriterien f{\"u}r PG zusammen. Im Gegensatz zur VS sind die online erreichten Gl{\"u}cksspieler j{\"u}nger und zu einem h{\"o}heren Anteil subklinisch pathologische Gl{\"u}cksspieler (SPG, ein bis vier erf{\"u}llte DSM-IV-Kriterien f{\"u}r PG). 1.2) Hinsichtlich der Faktoren der Inanspruchnahme best{\"a}tigen sich systematische Unterschiede zwischen Gl{\"u}cksspielern in Behandlung und nicht in Behandlung. Ebenso zeigen sich Unterschiede zwischen SPGr und pathologischen Gl{\"u}cksspielern (PGr). Dabei ist die Anzahl erf{\"u}llter DSM-IV-Kriterien f{\"u}r PG der wichtigste Pr{\"a}diktor f{\"u}r einen positiven Behandlungsstatus. Auch soziodemographische Merkmale, insbesondere Alter und Staatsangeh{\"o}rigkeit, spielen eine Rolle. 1.3) Die Mehrheit der Klienten in ambulanten Suchthilfeeinrichtungen ist m{\"a}nnlich, durchschnittlich 37 Jahre alt, ledig und kinderlos und hat h{\"a}ufig eine ausl{\"a}ndische Staatsb{\"u}rgerschaft. Die am h{\"a}ufigsten gespielte und bevorzugte Spielform ist das Spielen an Geldspielautomaten. Viele der Klienten haben bereits im Vorfeld Hilfe in Anspruch genommen und Gr{\"u}nde f{\"u}r die Vorstellung in der Beratungsstelle waren in ungef{\"a}hr drei Viertel der F{\"a}llen finanzielle Probleme und bei ungef{\"a}hr der H{\"a}lfte Probleme in der Partnerschaft. In der ambulanten Suchthilfe sind 2) Pr{\"a}diktoren f{\"u}r eine l{\"a}ngere Kontaktdauer u.a. der Einbezug der Familie und Gruppengespr{\"a}che. Behandlungsabbr{\"u}che werden u.a. durch eine nicht-deutsche Staatsb{\"u}rgerschaft und h{\"o}here Spielfrequenz vorhergesagt. 3) Regul{\"a}re Beendigung und h{\"o}here Kontaktzahl sind u.a. Pr{\"a}diktoren f{\"u}r eine Verbesserung der Gl{\"u}cksspielsymptomatik. Schlussfolgerungen. Vor dem Hintergrund der Ergebnisse werden Implikationen f{\"u}r die Weiterentwicklung des Versorgungssystems zum einen im Sinne einer Erweiterung und Anpassung der Versorgungsstrukturen abgeleitet, wobei auf Information und Aufkl{\"a}rung, Fr{\"u}herkennung und Fr{\"u}hintervention mit einem Fokus auf Online-Angeboten sowie zielgruppen-spezifische Angebote unter anderem f{\"u}r Angeh{\"o}rige eingegangen wird. Auch die Wichtigkeit der Vernetzung verschiedener an der Beratung/Behandlung von PGr beteiligten Einrichtungen wird herausgestellt. Zum anderen beziehen sich die diskutierten m{\"o}glichen Weiterentwicklungen auf das Versorgungsangebot und Behandlungsmerkmale, was Therapieumfeld/-voraussetzungen, Therapieplanung sowie therapeutische Maßnahmen beinhaltet.}, subject = {Gl{\"u}cksspieler}, language = {de} } @article{MeuleFathRealetal.2013, author = {Meule, Adrian and Fath, Katharina and Real, Ruben G. L. and S{\"u}tterlin, Stefan and V{\"o}gele, Claus and K{\"u}bler, Andrea}, title = {Quality of life, emotion regulation, and heart rate variability in individuals with intellectual disabilities and concomitant impaired vision}, series = {Psychology of Well-Being: Theory, Research and Practice}, journal = {Psychology of Well-Being: Theory, Research and Practice}, doi = {10.1186/2211-1522-3-1}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-96247}, year = {2013}, abstract = {Background Positive associations have been found between quality of life, emotion regulation strategies, and heart rate variability (HRV) in people without intellectual disabilities. However, emotion regulation and HRV have rarely been investigated in people with intellectual disabilities. Assessment of subjectively reported quality of life and emotion regulation strategies in this population is even more difficult when participants are also visually impaired. Methods Subjective and objective quality of life, emotion regulation strategies, and HRV at rest were measured in a sample of people with intellectual disabilities and concomitant impaired vision (N = 35). Heart rate was recorded during a 10 min resting period. For the assessment of quality of life and emotion regulation, custom made tactile versions of questionnaire-based instruments were used that enabled participants to grasp response categories. Results The combined use of reappraisal and suppression as emotion regulation strategies was associated with higher HRV and quality of life. HRV was associated with objective quality of life only. Emotion regulation strategies partially mediated the relationship between HRV and quality of life. Conclusions Results replicate findings about associations between quality of life, emotion regulation, and HRV and extend them to individuals with intellectual disabilities. Furthermore, this study demonstrated that quality of life and emotion regulation could be assessed in such populations even with concomitant impaired vision with modified tactile versions of established questionnaires. HRV may be used as a physiological index to evaluate physical and affective conditions in this population.}, language = {en} }