TY - JOUR A1 - Üçeyler, Nurcan A1 - Kahn, Ann-Kathrin A1 - Kramer, Daniela A1 - Zeller, Daniel A1 - Casanova-Molla, Jordi A1 - Wanner, Christoph A1 - Weidemann, Frank A1 - Katsarava, Zaza A1 - Sommer, Claudia T1 - Impaired small fiber conduction in patients with Fabry disease: a neurophysiological case–control study JF - BMC Neurology N2 - Background Fabry disease is an inborn lysosomal storage disorder which is associated with small fiber neuropathy. We set out to investigate small fiber conduction in Fabry patients using pain-related evoked potentials (PREP). Methods In this case–control study we prospectively studied 76 consecutive Fabry patients for electrical small fiber conduction in correlation with small fiber function and morphology. Data were compared with healthy controls using non-parametric statistical tests. All patients underwent neurological examination and were investigated with pain and depression questionnaires. Small fiber function (quantitative sensory testing, QST), morphology (skin punch biopsy), and electrical conduction (PREP) were assessed and correlated. Patients were stratified for gender and disease severity as reflected by renal function. Results All Fabry patients (31 men, 45 women) had small fiber neuropathy. Men with Fabry disease showed impaired cold (p < 0.01) and warm perception (p < 0.05), while women did not differ from controls. Intraepidermal nerve fiber density (IENFD) was reduced at the lower leg (p < 0.001) and the back (p < 0.05) mainly of men with impaired renal function. When investigating A-delta fiber conduction with PREP, men but not women with Fabry disease had lower amplitudes upon stimulation at face (p < 0.01), hands (p < 0.05), and feet (p < 0.01) compared to controls. PREP amplitudes further decreased with advance in disease severity. PREP amplitudes and warm (p < 0.05) and cold detection thresholds (p < 0.01) at the feet correlated positively in male patients. Conclusion Small fiber conduction is impaired in men with Fabry disease and worsens with advanced disease severity. PREP are well-suited to measure A-delta fiber conduction. KW - Fabry disease KW - Pain-related evoked potentials KW - Small fiber neuropathy KW - A-delta fibers Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-96527 UR - http://www.biomedcentral.com/1471-2377/13/47 ER - TY - JOUR A1 - Zhao, Bo A1 - Zhang, Keya A1 - Bhuripanyo, Karan A1 - Choi, Chan Hee J. A1 - Villhauer, Eric B. A1 - Li, Heng A1 - Zheng, Ning A1 - Kiyokawa, Hiroaki A1 - Schindelin, Hermann A1 - Yin, Jun T1 - Profiling the Cross Reactivity of Ubiquitin with the Nedd8 Activating Enzyme by Phage Display JF - PLoS ONE N2 - The C-terminal peptides of ubiquitin (UB) and UB-like proteins (UBLs) play a key role in their recognition by the specific activating enzymes (E1s) to launch their transfer through the respective enzymatic cascades thus modifying cellular proteins. UB and Nedd8, a UBL regulating the activity of cullin-RING UB ligases, only differ by one residue at their C-termini; yet each has its specific E1 for the activation reaction. It has been reported recently that UAE can cross react with Nedd8 to enable its passage through the UB transfer cascade for protein neddylation. To elucidate differences in UB recognition by UAE and NAE, we carried out phage selection of a UB library with randomized C-terminal sequences based on the catalytic formation of UB similar to NAE thioester conjugates. Our results confirmed the previous finding that residue 72 of UB plays a "gate-keeping" role in E1 selectivity. We also found that diverse sequences flanking residue 72 at the UB C-terminus can be accommodated by NAE for activation. Furthermore heptameric peptides derived from the C-terminal sequences of UB variants selected for NAE activation can function as mimics of Nedd8 to form thioester conjugates with NAE and the downstream E2 enzyme Ubc12 in the Nedd8 transfer cascade. Once the peptides are charged onto the cascade enzymes, the full-length Nedd8 protein is effectively blocked from passing through the cascade for the critical modification of cullin. We have thus identified a new class of inhibitors of protein neddylation based on the profiles of the UB C-terminal sequences recognized by NAE. KW - protein NEDD8 KW - E1 KW - system KW - conjugation KW - pathway KW - complex KW - ligases KW - purification KW - neddylation KW - expression Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-128479 SN - 1932-6203 VL - 8 IS - e70312 ER - TY - JOUR A1 - Zeller, Mario A1 - Müller, Alexander A1 - Gutberlet, Marcel A1 - Nichols, Thomas A1 - Hahn, Dietbert A1 - Köstler, Herbert A1 - Bartsch, Andreas J. T1 - Boosting BOLD fMRI by K-Space Density Weighted Echo Planar Imaging JF - PLoS ONE N2 - Functional magnetic resonance imaging (fMRI) has become a powerful and influential method to non-invasively study neuronal brain activity. For this purpose, the blood oxygenation level-dependent (BOLD) effect is most widely used. T2* weighted echo planar imaging (EPI) is BOLD sensitive and the prevailing fMRI acquisition technique. Here, we present an alternative to its standard Cartesian recordings, i.e. k-space density weighted EPI, which is expected to increase the signal-to-noise ratio in fMRI data. Based on in vitro and in vivo pilot measurements, we show that fMRI by k-space density weighted EPI is feasible and that this new acquisition technique in fact boosted spatial and temporal SNR as well as the detection of local fMRI activations. Spatial resolution, spatial response function and echo time were identical for density weighted and conventional Cartesian EPI. The signal-to-noise ratio gain of density weighting can improve activation detection and has the potential to further increase the sensitivity of fMRI investigations. KW - data acquisition KW - density KW - echo planar imaging KW - functional magnetic resonance imaging KW - imaging techniques KW - matched filters KW - signal filtering KW - statistical data Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-97233 ER - TY - THES A1 - Zeeb, Steffen T1 - Chaos Synchronization in Time-Delayed Coupled Networks T1 - Chaos Synchronisation in zeitverzögert gekoppelten Netzwerken N2 - Die vorliegende Arbeit befasst sich mit der Untersuchung verschiedener Aspekte der Chaos Synchronisation von Netzwerken mit zeitverzögerten Kopplungen. Ein Netzwerk aus identischen chaotischen Einheiten kann vollständig und isochron synchronisieren, auch wenn der Signalaustausch einer starken Zeitverzögerung unterliegt. Im ersten Teil der Arbeit werden Systeme mit mehreren Zeitverzögerungen betrachtet. Dabei erstrecken sich die verschiedenen Zeitverzögerungen jeweils über einen weiten Bereich an Größenordnungen. Es wird gezeigt, dass diese Zeitverzögerungen im Lyapunov Spektrum des Systems auftreten; verschiedene Teile des Spektrums skalieren jeweils mit einer der Zeitverzögerungen. Anhand des Skalierungsverhaltens des maximalen Lyapunov Exponenten können verschiedene Arten von Chaos definiert werden. Diese bestimmen die Synchronisationseigenschaften eines Netzwerkes und werden insbesondere wichtig bei hierarchischen Netzwerken, d.h. bei Netzwerken bestehend aus Unternetzwerken, bei welchen Signale innerhalb des Unternetzwerkes auf einer anderen Zeitskala ausgetauscht werden als zwischen verschiedenen Unternetzwerken. Für ein solches System kann sowohl vollständige als auch Unternetzwerksynchronisation auftreten. Skaliert der maximale Lyapunov Exponent mit der kürzeren Zeitverzögerung des Unternetzwerkes dann können nur die Elemente des Unternetzwerkes synchronisieren. Skaliert der maximale Lyapunov Exponent allerdings mit der längeren Zeitverzögerung kann das komplette Netzwerk vollständig synchronisieren. Dies wird analytisch für die Bernoulli Abbildung und numerisch für die Zelt Abbildung gezeigt. Der zweite Teil befasst sich mit der Attraktordimension und ihrer Änderung am Übergang zur vollständiger Chaos Synchronisation. Aus dem Lyapunov Spektrum des Systems wird die Kaplan-Yorke Dimension berechnet und es wird gezeigt, dass diese am Synchronisationsübergang aus physikalischen Gründen einen Sprung haben muss. Aus der Zeitreihe der Dynamik des Systems wird die Korrelationsdimension bestimmt und anschließend mit der Kaplan-Yorke Dimension verglichen. Für Bernoulli Systeme finden wir in der Tat eine Diskontinuität in der Korrelationsdimension. Die Stärke des Sprungs der Kaplan-Yorke Dimension wird für ein Netzwerk aus Bernoulli Einheiten als Funktion der Netzwerkgröße berechnet. Desweiteren wird das Skalierungsverhalten der Kaplan-Yorke Dimension sowie der Kolmogoroventropie in Abhängigkeit der Systemgröße und der Zeitverzögerung untersucht. Zu guter Letzt wird eine Verstimmung der Einheiten, d.h., ein "parameter mismatch", eingeführt und analysiert wie diese das Verhalten der Attraktordimension ändert. Im dritten und letzten Teil wird die lineare Antwort eines synchronisierten chaotischen Systems auf eine kleine externe Störung untersucht. Diese Störung bewirkt eine Abweichung der Einheiten vom perfekt synchronisierten Zustand. Die Verteilung der Abstände zwischen zwei Einheiten dient als Maß für die lineare Antwort des Systems. Diese Verteilung sowie ihre Momente werden numerisch und für Spezialfälle auch analytisch berechnet. Wir finden, dass im synchronisierten Zustand, in Abhängigkeit der Parameter des Systems, Verteilungen auftreten können die einem Potenzgesetz gehorchen und dessen Momente divergieren. Als weiteres Maß für die lineare Antwort wird die Bit Error Rate einer übermittelten binären Nachricht verwendet. The Bit Error Rate ist durch ein Integral über die Verteilung der Abstände gegeben. In dieser Arbeit wird sie vorwiegend numerisch untersucht und wir finden ein komplexes, nicht monotones Verhalten als Funktion der Kopplungsstärke. Für Spezialfälle weist die Bit Error Rate eine "devil's staircase" auf, welche mit einer fraktalen Struktur in der Verteilung der Abstände verknüpft ist. Die lineare Antwort des Systems auf eine harmonische Störung wird ebenfalls untersucht. Es treten Resonanzen auf, welche in Abhängigkeit von der Zeitverzögerung unterdrückt oder verstärkt werden. Eine bi-direktional gekoppelte Kette aus drei Einheiten kann eine Störung vollständig heraus filtern, so dass die Bit Error Rate und auch das zweite Moment verschwinden. N2 - In this thesis we study various aspects of chaos synchronization of time-delayed coupled chaotic maps. A network of identical nonlinear units interacting by time-delayed couplings can synchronize to a common chaotic trajectory. Even for large delay times the system can completely synchronize without any time shift. In the first part we study chaotic systems with multiple time delays that range over several orders of magnitude. We show that these time scales emerge in the Lyapunov spectrum: Different parts of the spectrum scale with the different delays. We define various types of chaos depending on the scaling of the maximum exponent. The type of chaos determines the synchronization ability of coupled networks. This is, in particular, relevant for the synchronization properties of networks of networks where time delays within a subnetwork are shorter than the corresponding time delays between the different subnetworks. If the maximum Lyapunov exponent scales with the short intra-network delay, only the elements within a subnetwork can synchronize. If, however, the maximum Lyapunov exponent scales with the long inter-network connection, complete synchronization of all elements is possible. The results are illustrated analytically for Bernoulli maps and numerically for tent maps. In the second part the attractor dimension at the transition to complete chaos synchronization is investigated. In particular, we determine the Kaplan-Yorke dimension from the spectrum of Lyapunov exponents for iterated maps. We argue that the Kaplan-Yorke dimension must be discontinuous at the transition and compare it to the correlation dimension. For a system of Bernoulli maps we indeed find a jump in the correlation dimension. The magnitude of the discontinuity in the Kaplan-Yorke dimension is calculated for networks of Bernoulli units as a function of the network size. Furthermore the scaling of the Kaplan-Yorke dimension as well as of the Kolmogorov entropy with system size and time delay is investigated. Finally, we study the change in the attractor dimension for systems with parameter mismatch. In the third and last part the linear response of synchronized chaotic systems to small external perturbations is studied. The distribution of the distances from the synchronization manifold, i.e., the deviations between two synchronized chaotic units due to external perturbations on the transmitted signal, is used as a measure of the linear response. It is calculated numerically and, for some special cases, analytically. Depending on the model parameters this distribution has power law tails in the region of synchronization leading to diverging moments. The linear response is also quantified by means of the bit error rate of a transmitted binary message which perturbs the synchronized system. The bit error rate is given by an integral over the distribution of distances and is studied numerically for Bernoulli, tent and logistic maps. It displays a complex nonmonotonic behavior in the region of synchronization. For special cases the distribution of distances has a fractal structure leading to a devil's staircase for the bit error rate as a function of coupling strength. The response to small harmonic perturbations shows resonances related to coupling and feedback delay times. A bi-directionally coupled chain of three units can completely filter out the perturbation. Thus the second moment and the bit error rate become zero. KW - Chaostheorie KW - Synchronisierung KW - Netzwerk KW - Nonlinear Dynamics KW - Chaos KW - Synchronization KW - Networks KW - Chaotisches System KW - Attraktor KW - Dynamisches System KW - Nichtlineares System Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-78966 ER - TY - THES A1 - Zancolli, Giulia T1 - Amphibian diversity along the slope of Mount Kilimanjaro: from species to genes T1 - Diversität von Amphibien im Höhengradienten des Mount Kilimanjaro: von Arten zu Genen N2 - 1. Since the early nineteenth century describing (and understanding) patterns of distribution of biodiversity across the Earth has represented one of the most significant intellectual challenges to ecologists and biogeographers. Among the most striking patterns of species richness are: the latitudinal and elevational gradients, with peaks in number of species at low latitudes and somewhere at mid altitudes, although other patterns, e.g. declines with increasing elevation, are often observed. Even in highly diverse tropical regions, species richness is not evenly distributed but there are “hotspots” of biodiversity where an exceptional number of species, especially endemics, are concentrated. Unfortunately, such areas are also experiencing dramatic loss of habitat. Among vertebrate taxa, amphibians are facing the most alarming number of extinctions. Habitat destruction, pollution and emergence of infectious diseases such as chytridiomycosis, are causing worldwide population declines. Responses to these drivers can be multidirectional and subtle, i.e. they may not be captured at the species but at the genetic level. Moreover, present patterns of diversity can result from the influence of past geological, climatic and environmental changes. In this study, I used a multidisciplinary and multilevel approach to understand how and to which extent the landscape influences amphibian diversity. Mount Kilimanjaro is an exceptional tropical region where the landscape is rapidly evolving due to land use changes; additionally, there is a broad lack of knowledge of its amphibian fauna. During two rainy seasons in 2011, I recorded anurans from the foothills to 3500 m altitude; in addition, I focused on two river frog species and collected tissue samples for genetic analysis and swabs for detection of chytridiomycosis, the deadly disease caused by Batrachochytrium dendrobatidis (Bd). 2. I analyzed how species richness and composition change with increasing elevation and anthropogenic disturbance. In order to disentangle the observed patterns of species diversity and distribution, I incorporated inferences from historical biogeography and compared the assemblage of Mt. Kilimanjaro and Mt. Meru (both recent volcanoes) with those of the older Eastern Arc Mountains. Species richness decreased with elevation and locally increased in presence of water bodies, but I did not detect effects of either anthropogenic disturbance or vegetation structure on species richness and composition. Moreover, I found a surprisingly low number of forest species. Historical events seem to underlie the current pattern of species distribution; the young age of Mt. Kilimanjaro and the complex biogeographic processes which occurred in East Africa during the last 20 million years prevented montane forest frogs from colonizing the volcano. 3. I focused on the genetic level of biodiversity and investigated how the landscape, i.e. elevation, topographic relief and land cover, influence genetic variation, population structure and gene flow of two ecologically similar and closely related river frog species, namely Amietia angolensis and Amietia wittei. I detected greater genetic differentiation among populations in the highland species (A. wittei) and higher genetic variation in the lowland species (A. angolensis), although genetic diversity was not significantly correlated with elevation. Importantly, human settlements seemed to restrict gene flow in A. angolensis, whereas steep slopes were positively correlated with gene flow in A. wittei. This results show that even ecologically similar species can respond differently to landscape processes and that the spatial configuration of topographic features combined with species-specific biological attributes can affect dispersal and gene flow in disparate ways. 4. River frogs of the genus Amietia seem to be particularly susceptible to chytridiomycosis, showing the highest pathogen load in Kenya and other African countries. In the last study, I collected swab samples from larvae of A. angolensis and A. wittei for Bd detection. Both species resulted Bd-positive. The presence of Bd on Mt. Kilimanjaro has serious implication. For instance, Bd can be transported by footwear of hikers from contaminated water and soil. Tourists visiting Mt. Kilimanjaro may translocate Bd zoospores to other areas such as the nearby Eastern Arc Mts. where endemic and vulnerable species may still be naïve to the fungus and thus suffer of population declines. 5. My study significantly contributed to the knowledge of the amphibian fauna of Mt. Kilimanjaro and of East Africa in general, and it represents a valuable tool for future conservation actions and measures. Finally, it highlights the importance of using a multidisciplinary (i.e. community ecology, historical biogeography, landscape genetics, disease ecology) and multilevel (i.e. community, species, population, gene) approach to disentangle patterns of biodiversity. N2 - Seit Ende des 19. Jahrhunderts ist es eine der größten intellektuellen Herausforderungen für Ökologen und Biogeographen, die Verteilungsmuster der Biodiversität auf der Erde zu beschreiben und letztlich zu verstehen. Zu den auffälligsten Mustern des Artenreichtums gehören die Gradienten, die sich in Abhängigkeit von der geographischer Breite und der Höhe über dem Meeresspiegel ergeben. Dabei treten Maxima der Artenzahl in den niederen Breiten und stellenweise in mittleren Höhenregionen auf; es lassen sich aber auch andere Muster beobachten, z.B. eine Abnahme der Artenzahl mit zunehmender Höhe. Selbst in den hochdiversen Tropen sind Arten nicht gleichmäßig verteilt. So gibt es sog. „hotspots“ der Biodiversität mit einer außergewöhnlich großen Zahl von Arten (meist Endemiten). Gerade diese Regionen sind es, die heute dramatische 1. Seit Ende des 19. Jahrhunderts ist es eine der größten intellektuellen Herausforderungen für Ökologen und Biogeographen, die Verteilungsmuster der Biodiversität auf der Erde zu beschreiben und letztlich zu verstehen. Zu den auffälligsten Mustern des Artenreichtums gehören die Gradienten, die sich in Abhängigkeit von der geographischer Breite und der Höhe über dem Meeresspiegel ergeben. Dabei treten Maxima der Artenzahl in den niederen Breiten und stellenweise in mittleren Höhenregionen auf; es lassen sich aber auch andere Muster beobachten, z.B. eine Abnahme der Artenzahl mit zunehmender Höhe. Selbst in den hochdiversen Tropen sind Arten nicht gleichmäßig verteilt. So gibt es sog. „hotspots“ der Biodiversität mit einer außergewöhnlich großen Zahl von Arten (meist Endemiten). Gerade diese Regionen sind es, die heute dramatische Habitatverluste verzeichnen. Unter den Wirbeltieren sind es die Amphibien, die dabei die höchsten Aussterberaten aufweisen. Ihre Populationen gehen weltweit zurück, wofür neben Lebensraumzerstörung auch Umweltverschmutzung und die Ausbreitung von Infektionskrankheiten, z.B. Chytridiomykose, verantwortlich sind. Reaktionen auf solche Faktoren können vielschichtig sein und fast unmerklich bleiben, was bedeutet, dass sie nicht auf Artniveau, sondern nur auf genetischer Ebene erfasst werden können. Hinzu kommt, dass die aktuellen Muster der Biodiversität auf den Einfluss vergangener Veränderungen hinsichtlich Geologie, Klima und Umwelt zurückgeführt werden können ... KW - Kilimandscharo KW - biodiversity KW - Amphibien KW - Lurche KW - Biodiversität KW - Vielfalt Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-91792 ER - TY - JOUR A1 - Zahnleiter, Diana A1 - Uebe, Steffen A1 - Ekici, Arif B. A1 - Hoyer, Juliane A1 - Wiesener, Antje A1 - Wieczorek, Dagmar A1 - Kunstmann, Erdmute A1 - Reis, André A1 - Doerr, Helmuth-Guenther A1 - Rauch, Anita A1 - Thiel, Christian T. T1 - Rare Copy Number Variants Are a Common Cause of Short Stature JF - PLoS Genetics N2 - Human growth has an estimated heritability of about 80%-90%. Nevertheless, the underlying cause of shortness of stature remains unknown in the majority of individuals. Genome-wide association studies (GWAS) showed that both common single nucleotide polymorphisms and copy number variants (CNVs) contribute to height variation under a polygenic model, although explaining only a small fraction of overall genetic variability in the general population. Under the hypothesis that severe forms of growth retardation might also be caused by major gene effects, we searched for rare CNVs in 200 families, 92 sporadic and 108 familial, with idiopathic short stature compared to 820 control individuals. Although similar in number, patients had overall significantly larger CNVs \((p-value <1 x 10^{-7})\). In a gene-based analysis of all non-polymorphic CNVs >50 kb for gene function, tissue expression, and murine knock-out phenotypes, we identified 10 duplications and 10 deletions ranging in size from 109 kb to 14 Mb, of which 7 were de novo (p < 0.03) and 13 inherited from the likewise affected parent but absent in controls. Patients with these likely disease causing 20 CNVs were smaller than the remaining group (p < 0.01). Eleven (55%) of these CNVs either overlapped with known microaberration syndromes associated with short stature or contained GWAS loci for height. Haploinsufficiency (HI) score and further expression profiling suggested dosage sensitivity of major growth-related genes at these loci. Overall 10% of patients carried a disease-causing CNV indicating that, like in neurodevelopmental disorders, rare CNVs are a frequent cause of severe growth retardation. KW - genetic skeletal disorders KW - microdeletion syndrome KW - mental retardation KW - growth failure KW - deletion KW - classification KW - association KW - mutations KW - genome KW - abnormalities Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-127645 SN - 1553-7404 VL - 9 IS - 3 ER - TY - JOUR A1 - Zadeh-Khorasani, Maryam A1 - Nolte, Thomas A1 - Mueller, Thomas D. A1 - Pechlivanis, Markos A1 - Rueff, Franziska A1 - Wollenberg, Andreas A1 - Fricker, Gert A1 - Wolf, Eckhard A1 - Siebeck, Matthias A1 - Gropp, Roswitha T1 - NOD-scid IL2R \(\gamma^{null}\) mice engrafted with human peripheral blood mononuclear cells as a model to test therapeutics targeting human signaling pathways JF - Journal of Translational Medicine N2 - Background: Animal models of human inflammatory diseases have limited predictive quality for human clinical trials for various reasons including species specific activation mechanisms and the immunological background of the animals which markedly differs from the genetically heterogeneous and often aged patient population. Objective: Development of an animal model allowing for testing therapeutics targeting pathways involved in the development of Atopic Dermatitis (AD) with better translatability to the patient. Methods: NOD-scid IL2R \(\gamma^{null}\) mice engrafted with human peripheral blood mononuclear cells (hPBMC) derived from patients suffering from AD and healthy volunteers were treated with IL-4 and the antagonistic IL-4 variant R121/Y124D (Pitrakinra). Levels of human (h) IgE, amount of B-, T- and plasma-cells and ratio of CD4 : CD8 positive cells served as read out for induction and inhibition of cell proliferation and hIgE secretion. Results were compared to in vitro analysis. Results: hIgE secretion was induced by IL-4 and inhibited by the IL-4 antagonist Pitrakinra in vivo when formulated with methylcellulose. B-cells proliferated in response to IL-4 in vivo; the effect was abrogated by Pitrakinra. IL-4 shifted CD4 : CD8 ratios in vitro and in vivo when hPBMC derived from healthy volunteers were used. Pitrakinra reversed the effect. Human PBMC derived from patients with AD remained inert and engrafted mice reflected the individual responses observed in vitro. Conclusion: NOD-scid IL2R \(\gamma^{null}\) mice engrafted with human PBMC reflect the immunological history of the donors and provide a complementary tool to in vitro studies. Thus, studies in this model might provide data with better translatability from bench to bedside. KW - atopic dermatitis KW - T-cells KW - rheumatoid arthritis KW - human interleukin-4 KW - TGN1412 KW - oxazolone colitis KW - cytokine release KW - expression KW - antagonists KW - responses Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-122960 SN - 1479-5876 VL - 11 IS - 4 ER - TY - THES A1 - Ye, Yuxiang T1 - Molecular and Cellular Magnetic Resonance Imaging of Myocardial Infarct Healing T1 - Molekulare und zelluläre Magnetresonanztomographie der Wundheilung nach Myokardinfarkt N2 - Myokardinfarkte (MI) sind eine der häufigsten Todesursachen weltweit. Eine rechtzeitige Wiederherstellung des koronaren Blutflusses im ischämischen Myokard reduziert signifikant die Sterblichkeitsrate akuter Infarkte und vermindert das ventrikuläre Remodeling. Überlebende MI-Patienten entwickeln jedoch häufig eine Herzinsuffizienz, die mit einer reduzierten Lebensqualität, hohen Sterblichkeitsrate (10% jährlich), sowie hohen Kosten für das Gesundheitssystem einhergeht. Die Entwicklung der Herzinsuffizienz nach einem MI ist auf den hohen Verlust kontraktiler Kardiomyozyten, während der Ischämie-Reperfusion zurückzuführen. Anschließende komplexe strukturelle und funktionelle Veränderungen resultieren aus Modifikationen des infarzierten und nicht infarzierten Myokards auf molekularer und zellulärer Ebene. Die verbesserte Überlebensrate von Patienten mit akutem MI und das Fehlen effizienter Therapien, die die Entwicklung und das Fortschreiten des ventrikulären Remodelings verhindern, führen zu einer hohen Prävalenz der Herzinsuffizienz. Die kardiale Magnetresonanztomographie (MRT) ist eine wichtige Methode zur Diagnose und Beurteilung des Myokardinfarktes. Mit dem technologischen Fortschritt wurden die Grenzen der MRT erweitert, so dass es heute möglich ist, auch molekulare und zelluläre Ereignisse in vivo und nicht-invasiv zu untersuchen. In Kombination mit kardialer Morphologie und Funktion könnte die Visualisierung essentieller molekularer und zellulärer Marker in vivo weitreichende Einblicke in den Heilungsprozess infarzierter Herzen liefern, was zu neuen Erkenntnissen für ein besseres Verständnis und bessere Therapien des akuten MI führen könnte. In dieser Arbeit wurden Methoden für die molekulare und zelluläre kardiale MRT-Bildgebung der Inflammation und des Kalziumstroms im Heilungsprozess des akuten Myokardinfarktes in vivo in einem Rattenmodel mit klinischer Relevanz etabliert. N2 - Myocardial infarction (MI) is a leading cause of death worldwide. Timely restoration of coronary blood flow to ischemic myocardium significantly reduces acute infarct mortality and attenuates ventricular remodeling. However, surviving MI patients frequently develop heart failure, which is associated with reduced quality of life, high mortality rate (10% annually), as well as high healthcare expenditures. The main processes involved in the evolution of heart failure post-MI are the great loss of contractile cardiomyocytes during ischemia-reperfusion and the subsequent complex structural and functional alterations, which are rooted in modifications at molecular and cellular levels in both the infarcted and non-infarcted myocardium. However, we still lack efficient treatments to prevent the development and progression of left ventricular remodeling. The improved survival rate of acute MI patients combined with the lack of effective therapy for post-MI remodeling contributes to the high prevalence of heart failure. Cardiac Magnetic Resonance Imaging (MRI) is an important tool for diagnosis and assessment of MI. With the advancement of this technology, the frontier of MRI has been extended to probing molecular and cellular events in vivo and non-invasively. In combination with assessment of morphology and function, the visualization of essential molecular and cellular markers in vivo could provide comprehensive, multifaceted views of the healing process in infarcted hearts, which might give new insight for the treatment of acute MI. In this thesis, molecular and cellular cardiac MRI methods were established to visualize and investigate inflammation and calcium flux in the healing process of acute MI in vivo, in a clinically relevant rat model. KW - Kernspintomografie KW - Herzinfarkt KW - magnetic resonance imaging KW - myocardial infarction KW - Wundheilung KW - NMR-Tomographie Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-72514 ER - TY - JOUR A1 - Yan, Yan A1 - Hong, Ni A1 - Chen, Tiansheng A1 - Li, Mingyou A1 - Wang, Tiansu A1 - Guan, Guijun A1 - Qiao, Yongkang A1 - Chen, Songlin A1 - Schartl, Manfred A1 - Li, Chang-Ming A1 - Hong, Yunhan T1 - p53 Gene Targeting by Homologous Recombination in Fish ES Cells JF - PLoS One N2 - Background: Gene targeting (GT) provides a powerful tool for the generation of precise genetic alterations in embryonic stem (ES) cells to elucidate gene function and create animal models for human diseases. This technology has, however, been limited to mouse and rat. We have previously established ES cell lines and procedures for gene transfer and selection for homologous recombination (HR) events in the fish medaka (Oryzias latipes). Methodology and Principal Findings: Here we report HR-mediated GT in this organism. We designed a GT vector to disrupt the tumor suppressor gene p53 (also known as tp53). We show that all the three medaka ES cell lines, MES1 similar to MES3, are highly proficient for HR, as they produced detectable HR without drug selection. Furthermore, the positive-negative selection (PNS) procedure enhanced HR by similar to 12 folds. Out of 39 PNS-resistant colonies analyzed, 19 (48.7%) were positive for GT by PCR genotyping. When 11 of the PCR-positive colonies were further analyzed, 6 (54.5%) were found to be bona fide homologous recombinants by Southern blot analysis, sequencing and fluorescent in situ hybridization. This produces a high efficiency of up to 26.6% for p53 GT under PNS conditions. We show that p53 disruption and long-term propagation under drug selection conditions do not compromise the pluripotency, as p53-targeted ES cells retained stable growth, undifferentiated phenotype, pluripotency gene expression profile and differentiation potential in vitro and in vivo. Conclusions: Our results demonstrate that medaka ES cells are proficient for HR-mediated GT, offering a first model organism of lower vertebrates towards the development of full ES cell-based GT technology. KW - mouse KW - in-vitro KW - drug selection KW - chimera formation KW - medakafish oryzias latipes KW - embryonic stem-cells KW - zebrafish KW - differentiation KW - cultures KW - pluripotency Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-133416 VL - 8 IS - 3 ER - TY - THES A1 - Wu, Lingdan T1 - Emotion Regulation in Addicted Smokers T1 - Emotionsregulation bei abhängigen Rauchern N2 - 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. N2 - Hintergrund: Nikotinsucht ist die am weitesten verbreitete Form von Drogenabhängigkeit und wird beschrieben als eine immer stärker werdende Dysregulation des Belohnungssystems im Gehirn. Bildgebende Studien zeigten, dass Nikotinabhängige eine abnormale Funktion der präfrontalen Gehirnregionen aufweisen, die für die kognitive Emotionsregulation von entscheidender Bedeutung sind. Es wurde angenommen, dass Süchtige bei kognitiven Aufgaben zur Emotionsregulation schlechter abschneiden als gesunde Nichtraucher. Vorrangige Ziele dieser Thesis waren die Untersuchung emotionaler Reaktionen auf natürliche, Raucher-irrelevante Stimuli bei Rauchern und Nichtrauchern. Außerdem sollte herausgefunden werden, ob sich Raucher von Nichtrauchern bezüglich ihrer kognitiven Regulation von positiven und negativen Emotionen unterscheiden. Um diese Veränderungen in der emotionalen Reaktion in Abhängigkeit der Interpretationsstrategie vergleichen zu können, wurden zwei Paradigmen zur Einschätzung emotionaler Stimuli eingesetzt: Eine prospektive Interpretationsstrategie des kommenden Stimulus (appraisal frame) und eine retrospektive Interpretationsstrategie nach der Stimuluspräsentation (reappraisal). Experiment 1: Ziel des ersten Experiments war die Evaluierung ob und wie Interpretationen vor positiven oder negativen Stimulusbildern die emotionale Erfahrung und den Gesichtsausdruck von Personen beeinflussen. 20 Versuchspersonen wurden 125 Paare auditiver Beschreibungen (entweder neutral oder emotional) präsentiert, gefolgt von Stimulusbildern, die zusammen fünf Stimulus-Kategorien bildeten: unangenehm – negativ, unangenehm – neutral, angenehm – positiv, angenehm – neutral und neutral – neutral. Valenz- und Arousal-Ratings wurden abgefragt und die EMG-Aktivität der Gesichtsmuskeln corrugator supercilii und zygomaticus 10 major wurden zeitgleich aufgenommen. Die Ergebnisse zeigten, dass appraisal frames sowohl emotionale Reaktionen einschließlich subjektiver emotionaler Erfahrungen beeinflussen als auch den Gesichtsausdruck verändern können, unabhängig von der Valenz des Bildstimulus. Dies zeigt und beweist die Effizienz des appraisal frame Paradigmas bei der Regulation von emotionalen Reaktionen auf mehreren Verarbeitungsebenen. Experiment 2: Das zweite Experiment bezog sich auf das appraisal frame Paradigma und sollte untersuchen wie sich Raucher von Nichtrauchern in ihrer kognitiven Emotionsregulation unterscheiden. 60 Probanden (22 Nichtraucher, 19 Raucher ohne Entzug und 19 Raucher mit 12 Stunden Zigarettenentzug) führten Emotionsregulationsaufgaben wie in Experiment 1 beschrieben aus, während ihre emotionalen Reaktionen ständig über Selbsteinschätzungen und psychophysiologische Messungen aufgenommen wurden (faziales EMG und EEG). Die Ergebnisse zeigten keine Gruppenunterschieden bei den emotionalen Reaktionen auf natürliche Stimuli, ohne Bezug zum Rauchen; Außerdem schnitten Raucher mit und ohne Zigarettenentzug in der Emotionsregulationsaufgabe genauso gut ab wie Nichtraucher. Die gleichen Ergebnisse in allen Gruppen hinsichtlich emotionaler Reaktionen (Selbsteinschätzung, faziale EMG Aktivität und EEG Aktivität) machten deutlich, dass Nikotinabhängige keine Einschränkungen in der kognitiven Emotionsregulation auf natürliche Stimuli mittels Vorbeurteilungen haben. Experiment 3: Der dritte Versuch wurde durchgeführt, um die Fähigkeiten von Rauchern bei der Emotionsregulation zu untersuchen, indem die Erfolge von Rauchern und Nichtrauchern in einer schwierigeren kognitiven Aufgabe (reappraisal task) verglichen wurden. 65 Versuchspersonen (23 Nichtraucher, 22 Raucher ohne Entzug und 20 Raucher mit 12 Stunden Zigarettenentzug) wurden instruiert ihre Emotionen zu regulieren, indem sie emotionale Bilder 11 mit neutralem Gefühl interpretieren. Die Probanden sollten sich vorstellen, dass die negativen oder positiven Syenarios immer weniger negativ oder weniger positiv werden. Die Ergebnisse stellen heraus, dass Raucher mit und ohne Zigarettenentzug ähnlich auf emotionale Bilder reagierten und ihre positiven und negativen Emotionen mit der reappraisal Strategie genauso gut herunterregulierten wie Nichtraucher. Zusammenfassend machen die drei Studien deutlich, dass Nikotinabhängige mittels Interpretationsstrategien ihre Emotionen regulieren können. Diese Thesis bilden das Fundament für den therapeutischen Nutzen von Interpretationsstrategien, damit Nikotinabhängige mit potenziellen Selbstregulationsstörungen umgehen können. KW - Gefühl KW - Regulation KW - Rauch KW - Elektroencephalogramm KW - Elektromyographie KW - Emotion KW - Regulation KW - Smoke KW - Electroencephalography KW - Electromyography Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-85471 ER - TY - JOUR A1 - Wolfahrt, Sonja A1 - Herman, Sandra A1 - Scholz, Claus-Jürgen A1 - Sauer, Georg A1 - Deissler, Helmut T1 - Identification of alternative transcripts of rat CD9 expressed by tumorigenic neural cell lines and in normal tissues JF - Genetics and Molecular Biology N2 - CD9 is the best-studied member of the tetraspanin family of transmembrane proteins. It is involved in various fundamental cellular processes and its altered expression is a characteristic of malignant cells of different origins. Despite numerous investigations confirming its fundamental role, the heterogeneity of CD9 or other tetraspanin proteins was considered only to be caused by posttranslational modification, rather than alternative splicing. Here we describe the first identification of CD9 transcript variants expressed by cell lines derived from fetal rat brain cells. Variant mRNA-B lacks a potential translation initiation codon in the alternative exon 1 and seems to be characteristic of the tumorigenic BT cell lines. In contrast, variant mRNA-C can be translated from a functional initiation codon located in its extended exon 2, and substantial amounts of this form detected in various tissues suggest a contribution to CD9 functions. From the alternative sequence of variant C, a different membrane topology ( 5 transmembrane domains) and a deviating spectrum of functions can be expected. KW - tetraspanin KW - CD9 KW - antigen KW - cancer KW - noncoding RNAs KW - nervous system KW - poor prognosis KW - tetraspanin protein KW - transcript KW - splice variant KW - membrane topology Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-131801 VL - 36 IS - 2 ER - TY - JOUR A1 - Wolf, Matthias A1 - Chen, Shilin A1 - Song, Jingyuan A1 - Ankenbrand, Markus A1 - Müller, Tobias T1 - Compensatory Base Changes in ITS2 Secondary Structures Correlate with the Biological Species Concept Despite Intragenomic Variability in ITS2 Sequences – A Proof of Concept JF - PLoS ONE N2 - Compensatory base changes (CBCs) in internal transcribed spacer 2 (ITS2) rDNA secondary structures correlate with Ernst Mayr’s biological species concept. This hypothesis also referred to as the CBC species concept recently was subjected to large-scale testing, indicating two distinct probabilities. (1) If there is a CBC then there are two different species with a probability of ~0.93. (2) If there is no CBC then there is the same species with a probability of ~0.76. In ITS2 research, however, the main problem is the multicopy nature of ITS2 sequences. Most recently, 454 pyrosequencing data have been used to characterize more than 5000 intragenomic variations of ITS2 regions from 178 plant species, demonstrating that mutation of ITS2 is frequent, with a mean of 35 variants per species, respectively per individual organism. In this study, using those 454 data, the CBC criterion is reconsidered in the light of intragenomic variability, a proof of concept, a necessary criterion, expecting no intragenomic CBCs in variant ITS2 copies. In accordance with the CBC species concept, we could demonstrate that the probability that there is no intragenomic CBC is ~0.99. KW - citrus KW - concerted evolution KW - DNA sequences KW - Genome evolution KW - Phylogenetics KW - plant evolution KW - sequence alignment KW - sequence databases Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-96450 ER - TY - JOUR A1 - Wolf, Annette A1 - Akrap, Nina A1 - Marg, Berenice A1 - Galliardt, Helena A1 - Heiligentag, Martyna A1 - Humpert, Fabian A1 - Sauer, Markus A1 - Kaltschmidt, Barbara A1 - Kaltschmidt, Christian A1 - Seidel, Thorsten T1 - Elements of Transcriptional Machinery Are Compatible among Plants and Mammals JF - PLoS ONE N2 - In the present work, the objective has been to analyse the compatibility of plant and human transcriptional machinery. The experiments revealed that nuclear import and export are conserved among plants and mammals. Further it has been shown that transactivation of a human promoter occurs by human transcription factor NF-\(\kappa\) B in plant cells, demonstrating that the transcriptional machinery is highly conserved in both kingdoms. Functionality was also seen for regulatory elements of NF-\(\kappa\) B such as its inhibitor I\(\kappa\)B isoform \(\alpha\) that negatively regulated the transactivation activity of the p50/RelA heterodimer by interaction with NF-\(\kappa\)B in plant cells. Nuclear export of RelA could be demonstrated by FRAP-measurements so that RelA shows nucleo-cytoplasmic shuttling as reported for RelA in mammalian cells. The data reveals the high level of compatibility of human transcriptional elements with the plant transcriptional machinery. Thus, Arabidopsis thaliana mesophyll protoplasts might provide a new heterologous expression system for the investigation of the human NF-\(\kappa\)B signaling pathways. The system successfully enabled the controlled manipulation of NF-\(\kappa\)B activity. We suggest the plant protoplast system as a tool for reconstitution and analyses of mammalian pathways and for direct observation of responses to e. g. pharmaceuticals. The major advantage of the system is the absence of interference with endogenous factors that affect and crosstalk with the pathway. KW - complexes KW - in vivo KW - DNA-binding KW - nuclear proe KW - gene expression KW - NF-KAPPA-B KW - RNA-binding protein KW - alpha KW - inflammation KW - homodimers Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-131203 VL - 8 IS - 1 ER - TY - JOUR A1 - Wobser, Marion A1 - Siedel, Claudia A1 - Kneitz, Hermann A1 - Bröcker, Eva-Bettina A1 - Goebeler, Mathias A1 - Houben, Roland A1 - Geissinger, Eva T1 - Microvessel Density and Expression of Vascular Endothelial Growth Factor and its Receptors in Different Subtypes of Primary Cutaneous B-cell Lymphoma JF - Acta Dermato-Venereologica N2 - A proangiogenic micromilieu is associated with a worse prognosis in systemic lymphoma. Hence, targeting the tumour microenvironment and its vasculature has evolved as a promising novel treatment strategy. The role of tumour neoangiogenesis in cutaneous B-cell lymphoma, however, has not yet been elucidated. Therefore, we examined the expression of vascular endothelial growth factor (VEGF) and its receptors VEGFR-1 and VEGFR-2, as well as microvessel density by immunohistochemistry in paraffin-embedded specimens of different subtypes of primary cutaneous B-cell lymphomas, systemic diffuse large B-cell lymphoma, and cutaneous B-cell pseudolymphoma. Primary cutaneous large B-cell lymphoma (PCLBCL) were characterized by significantly higher intratumoral expression levels of VEGF and its receptors in comparison with the indolent lymphoma subtypes. Moreover, PCLBCL exhibited significantly higher intratumoral microvessel counts. Our study provides evidence that the most aggressive subtype of cutaneous B-cell lymphoma, PCLBCL, is characterized by a proangiogenic micromilieu. KW - microvessel density KW - vascular endothelial growth KW - B-cell lymphoma KW - subtypes Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-128608 VL - 93 IS - 6 ER - TY - THES A1 - Wismer, Sebastian T1 - Essays in Industrial Organization: Intermediation, Marketing, and Strategic Pricing T1 - Aufsätze in Industrieökonomik: Intermediation, Marketing und Strategische Preissetzung N2 - This dissertation deals with certain business strategies that have become particularly relevant with the spread and development of new information technologies. The introduction explains the motivation, discusses different ways of defining the term "two-sided market", and briefly summarizes the subsequent essays. The first essay examines the effects of product information on the pricing and advertising decision of a seller who offers an experience good whose quality is unknown to consumers prior to purchase. It comprises of two theoretical models which differ with respect to their view on advertising. The analysis addresses the question how the availability of additional, potentially misleading information affects the seller's quality-dependent pricing and advertising decision. In the first model, in which both advertising and product reviews make consumers aware about product existence, the seller's optimal price turns out to be increasing in product quality. However, under certain circumstances, also the seller of a low-quality product prefers setting a high price. Within the given framework, the relationship between product quality and advertising depends on the particular parameter constellation. In the second model, some consumers are assumed to interpret price as a signal of quality, while others rely on information provided by product reviews. Consequently, and differently from the first part, pricing may indirectly inform consumers about product quality. On the one hand, in spite of asymmetric information on product quality, equilibria exist that feature full information pricing, which is in line with previous results presented by the signaling literature. On the other hand, potentially misleading product reviews may rationalize further pricing patterns. Moreover, assuming that firms can manipulate product reviews by investing in concealed marketing, equilibria can arise in which a high price signals low product quality. However, in these extreme cases, only a few (credulous) consumers consider buying the product. The second essay deals with trade platforms whose operators not only allow sellers to offer their products to consumers, but also offer products themselves. In this context, the platform operator faces a hold-up problem if he sets classical two-part tariffs (on which previous literature on two-sided markets focussed) as potential competition between the platform operator and sellers reduces platform attractiveness. Since some sellers refuse to join the platform, products whose existence is not known to the platform operator in the first place and which can only be established by better informed sellers may not be offered at all. However, revenue-based fees lower the platform operator's incentives to compete with sellers, increasing platform attractiveness. Therefore, charging such proportional fees can be profitable, what may explain why several trade platforms indeed do charge proportional fees. The third essay examines settings in which sellers can be active both on an intermediary's trade platform and in other sales channels. It explores the sellers' incentives to set different prices across sales channels within the given setup. Afterwards, it analyzes the intermediary's tariff decision, taking into account the implications on consumers' choice between different sales channels. The analysis particularly focusses on the effects of a no-discrimination rule which several intermediaries impose, but which appears to be controversial from a competition policy view. It identifies under which circumstances the intermediary prefers restricting sellers' pricing decisions by imposing a no-discrimination rule, attaining direct control over the split-up of customers on sales channels. Moreover, it illustrates that such rules can have both positive and negative effects on welfare within the given framework. N2 - Die vorliegende Dissertation beschäftigt sich mit ausgewählten Unternehmensstrategien, die insbesondere mit der Entwicklung neuer Informationstechnologien verbreitet Anwendung finden. In der Einleitung wird die Motivation dargelegt und kurz auf Definitionsmöglichkeiten des Begriffs "zweiseitiger Markt" eingegangen sowie eine knappe Zusammenfassung der nachfolgenden Essays gegeben. Der erste Essay beschäftigt sich mit dem Einfluss von Produktinformationen auf die Preis- und Werbeentscheidung des Anbieters eines Erfahrungsgutes dessen Qualität potenzielle Käufer vor dem Kauf nicht kennen. In zwei Modellen, welche sich insbesondere in der vorherrschenden Rolle von Werbung unterscheiden, wird analysiert, wie sich die Verfügbarkeit von zusätzlichen Informationen, welche allerdings möglicherweise irreführend sein können, auf die von der tatsächlichen Produktqualität abhängige Preissetzung und Werbeinvestition auswirkt. Im ersten Modell, in welchem unterstellt wird, dass sowohl Werbung als auch andere Produktinformationen auf die Existenz von Produkten aufmerksam machen, stellt sich heraus, dass der vom Anbieter gewählte Preis positiv mit der tatsächlichen Qualität zusammenhängt, allerdings unter gewissen Umständen ein Anbieter eines Produkts niedriger Qualität profitabel einen hohen Preis setzen kann. Der Zusammenhang zwischen Produktqualität und Werbung hängt von der vorliegenden Parameterkonstellation ab. Im zweiten Modell wird - anders als zuvor - angenommen, dass die Preissetzungsentscheidung indirekt Informationen bzgl. der Produktqualität vermitteln kann, d.h. einige Konsumenten den Preis als Signal interpretieren, während andere Konsumenten ihre Einschätzung über Produktqualität direkt aus evtl. verfügbaren anderen Informationen beziehen. Einerseits ergibt sich unter bestimmten Umständen das aus der Signalisierungsliteratur bekannte Ergebnis, dass sich trotz asymmetrischer Information dieselben Preise wie unter vollständiger Information einstellen können. Andererseits zeigt sich, dass sich bei möglicherweise irreführender Produktinformation weitere Preissetzungsmuster ergeben können. Darüber hinaus wird unterstellt, dass Unternehmen durch unbeobachtbare Marketinginvestitionen Einfluss auf Produktinformationen nehmen können, was im Extremfall dazu führen kann, dass ein hoher Preis niedrige Produktqualität signalisiert, wobei bei diesem Preis nur ein Teil der Konsumenten einen Kauf in Betracht zieht. Im zweiten Essay werden Handelsplattformen untersucht, welche die spezielle Eigenschaft haben, dass deren Betreiber nicht nur Verkäufern die Möglichkeit einräumen, Käufern über die Plattform Produkte anzubieten, sondern auch selbst Produkte als Händler vertreiben können. Es wird zunächst aufgezeigt, dass im unterstellten Rahmen unter den bisher von der Literatur schwerpunktmäßig behandelten klassischen zweistufigen Tarifen das Problem besteht, dass der drohende Wettbewerb zwischen Plattformbetreiber und Verkäufern die Plattform unattraktiv macht. Produkte, auf die der Plattformbetreiber erst durch Beitritt von anderen Verkäufern aufmerksam wird, werden somit möglicherweise nicht angeboten, da sich zu wenige Verkäufer der Plattform anschließen. Es wird jedoch aufgezeigt, dass umsatzabhängige Gebühren dazu führen, dass der Plattformbetreiber seltener in Wettbewerb mit Händlern tritt, und deren Einsatz daher profitabel sein kann. Dies liefert eine neue Erklärung dafür, warum insbesondere Handelsplattformen tatsächlich umsatzabhängige Gebühren verlangen. Der dritte Essay beschäftigt sich wiederum mit Handelsplattformen, betont aber, dass Verkäufer parallel auch weitere Vertriebskanäle nutzen können. Nachdem im gegebenen Rahmen mögliche Ursachen dafür aufgezeigt wurden, dass Verkäufer in verschiedenen Vertriebskanälen unterschiedliche Preise setzen, wird die Tarifentscheidung des Plattformbetreibers und deren Einfluss auf die Nutzung der verschiedenen Vertriebswege untersucht. Insbesondere wird die Wirkung von sog. Nichtdiskriminierungsregeln analysiert, welche in der Realität zu beobachten, aber wettbewerbspolitisch umstritten sind. Es wird identifiziert, unter welchen Umständen der Plattformbetreiber die Preissetzung von Verkäufern mit einer solchen Regel einschränkt, welche ihm insbesondere erlaubt, die Nutzung der verschiedenen Vertriebswege direkt zu kontrollieren. Darüber hinaus wird gezeigt, dass diese Regeln im gegebenen Rahmen sowohl positive als auch negative Folgen haben können. KW - Industrieökonomie KW - Aufsatzsammlung KW - Intermediation KW - Platform Tariff KW - Price Parity Clause KW - Product Quality KW - Advertising KW - Intermediation KW - Plattformtarif KW - Produktqualität KW - Preisparitätsklausel KW - Werbung KW - Asymmetrische Information KW - Marktplatz KW - Mikroökonomie Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-99102 ER - TY - JOUR A1 - Wippel, Carolin A1 - Maurer, Jana A1 - Fortsch, Christina A1 - Hupp, Sabrina A1 - Bohl, Alexandra A1 - Ma, Jiangtao A1 - Mitchell, Timothy J. A1 - Bunkowski, Stephanie A1 - Brück, Wolfgang A1 - Nau, Roland A1 - Iliev, Asparouh I. T1 - Bacterial Cytolysin during Meningitis Disrupts the Regulation of Glutamate in the Brain, Leading to Synaptic Damage JF - PLoS Pathogens N2 - Abstract Streptococcus pneumoniae (pneumococcal) meningitis is a common bacterial infection of the brain. The cholesterol-dependent cytolysin pneumolysin represents a key factor, determining the neuropathogenic potential of the pneumococci. Here, we demonstrate selective synaptic loss within the superficial layers of the frontal neocortex of post-mortem brain samples from individuals with pneumococcal meningitis. A similar effect was observed in mice with pneumococcal meningitis only when the bacteria expressed the pore-forming cholesterol-dependent cytolysin pneumolysin. Exposure of acute mouse brain slices to only pore-competent pneumolysin at disease-relevant, non-lytic concentrations caused permanent dendritic swelling, dendritic spine elimination and synaptic loss. The NMDA glutamate receptor antagonists MK801 and D-AP5 reduced this pathology. Pneumolysin increased glutamate levels within the mouse brain slices. In mouse astrocytes, pneumolysin initiated the release of glutamate in a calcium-dependent manner. We propose that pneumolysin plays a significant synapto- and dendritotoxic role in pneumococcal meningitis by initiating glutamate release from astrocytes, leading to subsequent glutamate-dependent synaptic damage. We outline for the first time the occurrence of synaptic pathology in pneumococcal meningitis and demonstrate that a bacterial cytolysin can dysregulate the control of glutamate in the brain, inducing excitotoxic damage. Author Summary Bacterial meningitis is one of the most devastating brain diseases. Among the bacteria that cause meningitis, Streptococcus pneumoniae is the most common. Meningitis predominantly affects children, especially in the Third World, and most of them do not survive. Those that do survive often suffer permanent brain damage and hearing problems. The exact morphological substrates of brain damage in Streptococcus pneumoniae meningitis remain largely unknown. In our experiments, we found that the brain cortex of patients with meningitis demonstrated a loss of synapses (the contact points among neurons, responsible for the processes of learning and memory), and we identified the major pneumococcal neurotoxin pneumolysin as a sufficient cause of this loss. The effect was not direct but was mediated by the brain neurotransmitter glutamate, which was released upon toxin binding by one of the non-neuronal cell types of the brain – the astrocytes. Pneumolysin initiated calcium influx in astrocytes and subsequent glutamate release. Glutamate damaged the synapses via NMDA-receptors – a mechanism similar to the damage occurring in brain ischemia. Thus, we show that synaptic loss is present in pneumococcal meningitis, and we identify the toxic bacterial protein pneumolysin as the major factor in this process. These findings alter our understanding of bacterial meningitis and establish new therapeutic strategies for this fatal disease. KW - synapses KW - brain damage KW - astrocytes KW - neuronal dendrites KW - meningitis KW - glutamate KW - bacterial meningitis KW - neocortex Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-130462 VL - 9 IS - 6 ER - TY - JOUR A1 - Winter, Walter T1 - Long-baseline sensitivity studies and comparison (discussion session) JF - Journal of Physics: Conference Series N2 - In this discussion session, the sensitivity and optimization of future long-baseline experiments is addressed, with a special emphasis on feasible projects and the description in terms of the error on the parameters. In addition, a statement on the precision interesting for \(ν_e → ν_τ\) and \(ν_μ → ν_τ\)oscillation measurements is obtained. A special topic is the impact of the recent T2K hint for non-zero \(θ_{13}\). KW - physics Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-129440 N1 - Published under licence by IOP Publishing Ltd VL - 408 IS - 012020 ER - TY - JOUR A1 - Winter, Patrick A1 - Kampf, Thomas A1 - Helluy, Xavier A1 - Gutjahr, Fabian T. A1 - Meyer, Cord B. A1 - Rommel, Eberhard A1 - Bauer, Wolfgang R. A1 - Jakob, Peter M. A1 - Herold, Volker T1 - Fast retrospectively triggered local pulse-wave velocity measurements in mice with CMR-microscopy using a radial trajectory JF - Journal of Cardiovascular Magnetic Resonance N2 - Background The aortic pulse-wave velocity (PWV) is an important indicator of cardiovascular risk. In recent studies MRI methods have been developed to measure this parameter noninvasively in mice. Present techniques require additional hardware for cardiac and respiratory gating. In this work a robust self-gated measurement of the local PWV in mice without the need of triggering probes is proposed. Methods The local PWV of 6-months-old wild-type C57BL/6J mice (n=6) was measured in the abdominal aorta with a retrospectively triggered radial Phase Contrast (PC) MR sequence using the flow-area (QA) method. A navigator signal was extracted from the CMR data of highly asymmetric radial projections with short repetition time (TR=3 ms) and post-processed with high-pass and low-pass filters for retrospective cardiac and respiratory gating. The self-gating signal was used for a reconstruction of high-resolution Cine frames of the aortic motion. To assess the local PWV the volume flow Q and the cross-sectional area A of the aorta were determined. The results were compared with the values measured with a triggered Cartesian and an undersampled triggered radial PC-Cine sequence. Results In all examined animals a self-gating signal could be extracted and used for retrospective breath-gating and PC-Cine reconstruction. With the non-triggered measurement PWV values of 2.3±0.2 m/s were determined. These values are in agreement with those measured with the triggered Cartesian (2.4±0.2 m/s) and the triggered radial (2.3±0.2 m/s) measurement. Due to the strong robustness of the radial trajectory against undersampling an acceleration of more than two relative to the prospectively triggered Cartesian sampling could be achieved with the retrospective method. Conclusion With the radial flow-encoding sequence the extraction of a self-gating signal is feasible. The retrospective method enables a robust and fast measurement of the local PWV without the need of additional trigger hardware. KW - pulse-wave velocity KW - mouse KW - self-gating KW - phase-contrast CMR KW - non-triggered KW - retrospective KW - radial KW - aorta Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-96602 UR - http://jcmr-online.com/content/15/1/88 ER - TY - JOUR A1 - Wimmer, Matthias D. A1 - Randau, Thomas M. A1 - Deml, Moritz C. A1 - Ascherl, Rudolf A1 - Forst, Raimund A1 - Gravius, Nadine A1 - Wirtz, Dieter A1 - Gravius, Sascha T1 - Impaction grafting in the femur in cementless modular revision total hip arthroplasty: a descriptive outcome analysis of 243 cases with the MRP-TITAN revision implant JF - BMC Musculoskeletal Disorders N2 - Background: We present a descriptive and retrospective analysis of revision total hip arthroplasties (THA) using the MRP-TITAN stem (Peter Brehm, Weisendorf, GER) with distal diaphyseal fixation and metaphyseal defect augmentation. Our hypothesis was that the metaphyseal defect augmentation (Impaction Bone Grafting) improves the stem survival. Methods: We retrospectively analyzed the aggregated and anonymized data of 243 femoral stem revisions. 68 patients with 70 implants (28.8%) received an allograft augmentation for metaphyseal defects; 165 patients with 173 implants (71.2%) did not, and served as controls. The mean follow-up was 4.4 +/- 1.8 years (range, 2.1-9.6 years). There were no significant differences (p > 0.05) between the study and control group regarding age, body mass index (BMI), femoral defects (types I-III as described by Paprosky), and preoperative Harris Hip Score (HHS). Postoperative clinical function was evaluated using the HHS. Postoperative radiologic examination evaluated implant stability, axial implant migration, signs of implant loosening, periprosthetic radiolucencies, as well as bone regeneration and resorption. Results: There were comparable rates of intraoperative and postoperative complications in the study and control groups (p > 0.05). Clinical function, expressed as the increase in the postoperative HHS over the preoperative score, showed significantly greater improvement in the group with Impaction Bone Grafting (35.6 +/- 14.3 vs. 30.8 +/- 15.8; p <= 0.05). The study group showed better outcome especially for larger defects (types II C and III as described by Paprosky) and stem diameters >= 17 mm. The two groups did not show significant differences in the rate of aseptic loosening (1.4% vs. 2.9%) and the rate of revisions (8.6% vs. 11%). The Kaplan-Meier survival for the MRP-TITAN stem in both groups together was 93.8% after 8.8 years. [Study group 95.7% after 8.54 years; control group 93.1% after 8.7 years]. Radiologic evaluation showed no significant change in axial implant migration (4.3% vs. 9.3%; p = 0.19) but a significant reduction in proximal stress shielding (5.7% vs. 17.9%; p < 0.05) in the study group. Periprosthetic radiolucencies were detected in 5.7% of the study group and in 9.8% of the control group (p = 0.30). Radiolucencies in the proximal zones 1 and 7 according to Gruen occurred significantly more often in the control group without allograft augmentation (p = 0.05). Conclusion: We present the largest analysis of the impaction grafting technique in combination with cementless distal diaphyseal stem fixation published so far. Our data provides initial evidence of improved bone regeneration after graft augmentation of metaphyseal bone defects. The data suggests that proximal metaphyseal graft augmentation is beneficial for large metaphyseal bone defects (Paprosky types IIC and III) and stem diameters of 17 mm and above. Due to the limitations of a retrospective and descriptive study the level of evidence remains low and prospective trials should be conducted. KW - prosthesis KW - replacement KW - collarless KW - surgery KW - allografts KW - porous-coated stems KW - femoral revision KW - roentgenographic assessment KW - tapered stem KW - follow-up KW - modular KW - revision KW - hip KW - arthroplasty KW - impaction bone grafting Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-122061 SN - 1471-2474 VL - 14 IS - 19 ER - TY - JOUR A1 - Wiegering, Verena A1 - Andres, Oliver A1 - Schlegel, Paul G. A1 - Deinlein, Frank A1 - Eyrich, Matthias A1 - Sturm, Alexander T1 - Hyperfibrinolysis and acquired factor XIII deficiency in newly diagnosed pediatric malignancies JF - Haematologica N2 - No abstract available KW - factor XIII deficiency KW - leukemia KW - tumor KW - perioperative bleeding KW - coagulopathy KW - hyperfibrinolysis Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-130569 VL - 98 IS - 8 ER - TY - JOUR A1 - Wiegering, Armin A1 - Pfann, Christina A1 - Uthe, Friedrich Wilhelm A1 - Otto, Christoph A1 - Rycak, Lukas A1 - Mäder, Uwe A1 - Gasser, Martin A1 - Waaga-Gasser, Anna-Maria A1 - Eilers, Martin A1 - Germer, Christoph-Thomas T1 - CIP2A Influences Survival in Colon Cancer and Is Critical for Maintaining Myc Expression JF - PLoS ONE N2 - The cancerous inhibitor of protein phosphatase 2A (CIP2A) is an oncogenic factor that stabilises the c-Myc protein. CIP2A is overexpressed in several tumours, and expression levels are an independent marker for long-term outcome. To determine whether CIP2A expression is elevated in colon cancer and whether it might serve as a prognostic marker for survival, we analysed CIP2A mRNA expression by real-time PCR in 104 colon cancer samples. CIP2A mRNA was overexpressed in colon cancer samples and CIP2A expression levels correlated significantly with tumour stage. We found that CIP2A serves as an independent prognostic marker for disease-free and overall survival. Further, we investigated CIP2A-dependent effects on levels of c-Myc, Akt and on cell proliferation in three colon cancer cell lines by silencing CIP2A using small interfering (si) and short hairpin (sh) RNAs. Depletion of CIP2A substantially inhibited growth of colon cell lines and reduced c-Myc levels without affecting expression or function of the upstream regulatory kinase, Akt. Expression of CIP2A was found to be dependent on MAPK activity, linking elevated c-Myc expression to deregulated signal transduction in colon cancer. KW - caco-2 cells KW - carcinomas KW - colon KW - colorectal cancer KW - MAPK signaling cascades KW - metastasis KW - protein expression KW - small interferring RNA Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-97252 ER - TY - JOUR A1 - Wichmann, Dominic A1 - Poppert, Sven A1 - Von Thien, Heidrun A1 - Clerinx, Johannes A1 - Dieckmann, Sebastian A1 - Jensenius, Mogens A1 - Parola, Philippe A1 - Richter, Joachim A1 - Schunk, Mirjam A1 - Stich, August A1 - Zanger, Philipp A1 - Buchard, Gerd D. A1 - Tannich, Egbert T1 - Prospective European-wide multicentre study on a blood based real-time PCR for the diagnosis of acute schistosomiasis JF - BMC Infectious Diseases N2 - Background: Acute schistosomiasis constitutes a rare but serious condition in individuals experiencing their first prepatent Schistosoma infection. To circumvent costly and time-consuming diagnostics, an early and rapid diagnosis is required. So far, classic diagnostic tools such as parasite microscopy or serology lack considerable sensitivity at this early stage of Schistosoma infection. To validate the use of a blood based real-time polymerase chain reaction (PCR) test for the detection of Schistosoma DNA in patients with acute schistosomiasis who acquired their infection in various endemic regions we conducted a European-wide prospective study in 11 centres specialized in travel medicine and tropical medicine. Methods: Patients with a history of recent travelling to schistosomiasis endemic regions and freshwater contacts, an episode of fever (body temperature >= 38.5 degrees C) and an absolute or relative eosinophil count of >= 700/mu l or 10%, were eligible for participation. PCR testing with DNA extracted from serum was compared with results from serology and microscopy. Results: Of the 38 patients with acute schistosomiasis included into the study, PCR detected Schistosoma DNA in 35 patients at initial presentation (sensitivity 92%). In contrast, sensitivity of serology (enzyme immunoassay and/or immunofluorescence assay) or parasite microscopy was only 70% and 24%, respectively. Conclusion: For the early diagnosis of acute schistosomiasis, real-time PCR for the detection of schistosoma DNA in serum is more sensitive than classic diagnostic tools such as serology or microscopy, irrespective of the region of infection. Generalization of the results to all Schistosoma species may be difficult as in the study presented here only eggs of S. mansoni were detected by microscopy. A minimum amount of two millilitre of serum is required for sufficient diagnostic accuracy. KW - travelers KW - Mansoni infection KW - Katayama fever KW - DNA fragments KW - immunodiagnosis KW - tool KW - urine samples KW - haematobium Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-121952 SN - 1471-2334 VL - 13 IS - 55 ER - TY - JOUR A1 - Wetzel, Andrea A1 - Jablonka, Sibylle A1 - Blum, Robert T1 - Cell-autonomous axon growth of young motoneurons is triggered by a voltage-gated sodium channel JF - Channels (Austin) N2 - Spontaneous electrical activity preceding synapse formation contributes to the precise regulation of neuronal development. Examining the origins of spontaneous activity revealed roles for neurotransmitters that depolarize neurons and activate ion channels. Recently, we identified a new molecular mechanism underlying fluctuations in spontaneous neuronal excitability. We found that embryonic motoneurons with a genetic loss of the low-threshold sodium channel Na\(_V\)1.9 show fewer fluctuations in intracellular calcium in axonal compartments and growth cones than wild-type littermates. As a consequence, axon growth of Na\(_V\)1.9-deficient motoneurons in cell culture is drastically reduced while dendritic growth and cell survival are not affected. Interestingly, Na\(_V\)1.9 function is observed under conditions that would hardly allow a ligand- or neurotransmitter-dependent depolarization. Thus, Na\(_V\)1.9 may serve as a cell-autonomous trigger for neuronal excitation. In this addendum, we discuss a model for the interplay between cell-autonomous local neuronal activity and local cytoskeleton dynamics in growth cone function. KW - spontaneous excitation KW - spinal muscular atrophy KW - axon growth KW - sodium channel KW - motoneurons KW - local protein synthesis KW - NaV1.9 Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-132586 VL - 7 IS - 1 ER - TY - THES A1 - Wetzel, Andrea T1 - The role of TrkB and NaV1.9 in activity-dependent axon growth in motoneurons T1 - Die Rolle von TrkB und NaV1.9 in aktivitätsabhängigem Axonwachstum von Motoneuronen N2 - Während der Entwicklung des Nervensystems lassen sich bei Motoneuronen aktivitätsabhängige Kalziumströme eobachten, die das Axonwachstum regulieren. Diese Form der neuronalen Spontanaktivität sowie das Auswachsen von Axonen sind bei Motoneuronen, die aus Tiermodellen der Spinalen Muskelatrophie isoliert werden, gestört. Experimente aus unserer Arbeitsgruppe haben gezeigt, dass spontane Erregbarkeit und aktivitätsabhängiges Axonwachstum von kultivierten Motoneuronen auch unter Verwendung von Toxinen beeinträchtigt sind, welche die Aktivität von spannungsabhängigen Natriumkanälen blockieren. In diesen Versuchen war die Wirkung von Saxitoxin effizienter als die Wirkung von Tetrodotoxin. Wir identifizierten den Saxitoxin-sensitiven/Tetrodotoxin-insensitiven spannungsabhängigen Natriumkanal NaV1.9 als Trigger für das Öffnen spannungsabhängiger Kalziumkanäle. Die Expression von NaV1.9 in Motoneuronen konnte über quantitative RT-PCR nachgewiesen werden und antikörperfärbungen offenbarten eine Anreicherung des Kanals im axonalen Wachstumskegel sowie an Ranvier'schen Schnürringen von isolierten Nervenfasern wildtypischer Mäuse. Motoneurone von NaV1.9 knock-out Mäusen zeigen reduzierte Spontanaktivität und eine Reduktion des Axonwachstums, welche durch NaV1.9 Überexpression normalisiert werden kann. In Motoneuronen von Smn-defizienten Mäusen konnte keine Abweichung der NaV1.9 Proteinverteilung nachgewiesen werden. Kürzlich wurden Patienten identifiziert, die eine missense-Mutation im NaV1.9 kodierenden SCN11A Gen tragen. Diese Patienten können keinerlei Schmerz empfinden und leiden zudem an Muskelschwäche in Kombination mit einer verzögerten motorischen Entwicklung. Im Rahmen dieser Doktorarbeit konnten molekularbiologische Untersuchungen an Mäusen, welche die Mutation im orthologen Scn11a Gen tragen, zur Aufklärung des Krankheitsmechanismus beitragen. Die Kooperationsstudie zeigte, dass eine gesteigerte Funktion von NaV1.9 diese spezifische Kanalerkrankung auslöst, was die Wichtigkeit von NaV1.9 in menschlichen Motoneuronen unterstreicht. Eine frühere Studie beschrieb an hippocampalen Neuronen, dass die Rezeptortyrosinkinase tropomyosin receptor kinase B (TrkB) den NaV1.9 Kanal öffnen kann. Im Wachstumskegel von Motoneuronen ist TrkB nachweisbar und folglich in räumlicher Nähe zu NaV1.9 zu finden. Um zu prüfen, ob TrkB in die spontane Erregbarkeit von Motoneuronen involviert ist, wurden TrkB knock-out Mäuse untersucht. Isolierte Motoneurone von TrkB knock-out Mäusen weisen eine Reduktion der Spontanaktivität und eine Verringerung des Axonwachstums auf. Ob TrkB und NaV1.9 hierbei funktionell gekoppelt sind, ist Gegenstand künftiger Forschung. N2 - During development of the nervous system, spontaneous Ca2+ transients are observed that regulate the axon growth of motoneurons. This form of spontaneous neuronal activity is reduced in motoneurons from a mouse model of spinal muscular atrophy and this defect correlates with reduced axon elongation. Experiments from our group demonstrated that voltage-gated sodium channel pore blockers decrease spontaneous neuronal activity and axon growth in cultured motoneurons, too. In these experiments, saxitoxin was more potent than tetrodotoxin. We identified the saxitoxin-sensitive/tetrodotoxin-insensitive voltage-gated sodium channel NaV1.9 as trigger for the opening of voltage-gated calcium channels. In motoneurons, expression of NaV1.9 was verified via quantitative RT-PCR. Immuno labelling experiments revealed enrichment of the channel in axonal growth cones and at the nodes of Ranvier of isolated nerve fibres from wild type mice. Motoneurons from NaV1.9 knock-out mice show decreased spontaneous activity and reduced axonal elongation. This growth defect can be rescued by NaV1.9 overexpression. In motoneurons from Smn-deficient mice, NaV1.9 distribution appeared to be normal. Recently, patients carrying a missense mutation in the NaV1.9-encoding gene SCN11A were identified. These patients are not able to feel pain and suffer from muscular weakness and a delayed motor development. Molecular biological work during this dissertation supported the analysis of this mutation in a mouse model carrying the orthologous alteration in the Scn11a locus. The cooperation study confirmed that a gain-of-function mechanism underlies the NaV1.9-mediated channelopathy, thus suggesting a functional role of NaV1.9 in human motoneurons. An earlier study showed in hippocampal neurons that the receptor tyrosine kinase tropomyosin receptor kinase B (TrkB) can open the NaV1.9 channel. TrkB is localized in growth cones of motoneurons and subsequently found in close proximity to NaV1.9. In order to proof whether TrkB is involved in spontaneous excitability in motoneurons, TrkB knock-out mice were analysed. Isolated motoneurons from TrkB knock-out mice show a reduced spontaneous activity and axon elongation. It remains to be studied whether TrkB and NaV1.9 are functionally connected. KW - Motoneuron KW - Neurotrophic factors KW - NaV1.9 KW - motoneuron KW - spontaneous neuronal activity KW - Axon KW - Wachstum KW - Natriumkanal KW - TrkB Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-92877 ER - TY - JOUR A1 - Westermaier, Thomas A1 - Stetter, Christian A1 - Kunze, Ekkehard A1 - Willner, Nadine A1 - Raslan, Furat A1 - Vince, Giles H. A1 - Ernestus, Ralf-Ingo T1 - Magnesium treatment for neuroprotection in ischemic diseases of the brain JF - Experimental and Translational Stroke Medicine N2 - This article reviews experimental and clinical data on the use of magnesium as a neuroprotective agent in various conditions of cerebral ischemia. Whereas magnesium has shown neuroprotective properties in animal models of global and focal cerebral ischemia, this effect could not be reproduced in a large human stroke trial. These conflicting results may be explained by the timing of treatment. While treatment can be started before or early after ischemia in experimental studies, there is an inevitable delay of treatment in human stroke. Magnesium administration to women at risk for preterm birth has been investigated in several randomized controlled trials and was found to reduce the risk of neurological deficits for the premature infant. Postnatal administration of magnesium to babies after perinatal asphyxia has been studied in a number of controlled clinical trials. The results are promising but the trials have, so far, been underpowered. In aneurysmal subarachnoid hemorrhage (SAH), cerebral ischemia arises with the onset of delayed cerebral vasospasm several days after aneurysm rupture. Similar to perinatal asphyxia in impending preterm delivery, treatment can be started prior to ischemia. The results of clinical trials are conflicting. Several clinical trials did not show an additive effect of magnesium with nimodipine, another calcium antagonist which is routinely administered to SAH patients in many centers. Other trials found a protective effect after magnesium therapy. Thus, it may still be a promising substance in the treatment of secondary cerebral ischemia after aneurysmal SAH. Future prospects of magnesium therapy are discussed. KW - Medizin Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-96729 UR - http://www.etsmjournal.com/content/5/1/6 ER - TY - JOUR A1 - Westermaier, Thomas T1 - Neuroprotective Treatment Strategies for Delayed Cerebral Ischemia after Subarachnoid Hemorrhage – Review of Literature and Future Prospects N2 - This article reviews experimental and clinical data on the use of various neuroprotective agents and therapeutic measures after aneurysmal subarachnoid hemorrhage (SAH). While calcium antagonists have been used in the past and are still part of the standard treatment regimen in most departments involved in the treatment of SAH, other classes of drugs and various other methods have been tested for their potential to inhibit delayed ischemia after SAH. This article reviews the literature about clinical studies about the efficacy of various neuroprotective agents and methods including statins, steroids and Endothelin-antagonists and other - alternative - methods like cisternal lavage, intrathecal drug delivery and hypercapnia, offering future perspectives for the treatment of this hazardous disease. KW - Cerebral Ischemia KW - Subarachnoid hemorrhage KW - Neuroprotection KW - Delayed cerebral infarction KW - Delayed ischemic neurological deficit Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-112631 ER - TY - JOUR A1 - Werner, Birgit S. A1 - Boehm, Dorota A1 - Gohlke, Frank T1 - Revision to reverse shoulder arthroplasty with retention of the humeral component Good outcome in 14 patients followed for a mean of 2.5 years JF - Acta Orthopaedica N2 - Background: Revision in failed shoulder arthroplasty often requires removal of the humeral component with a significant risk of fracture and bone loss. Newer modular systems allow conversion from anatomic to reverse shoulder arthroplasty with retention of a well-fixed humeral stem. We report on a prospectively evaluated series of conversions from hemiarthroplasty to reverse shoulder arthroplasty. Methods: In 14 cases of failed hemiarthroplasty due to rotator cuff deficiency and painful pseudoparalysis (in 13 women), revision to reverse shoulder arthroplasty was performed between October 2006 and 2010, with retention of the humeral component using modular systems. Mean age at the time of operation was 70 (56-80) years. Pre- and postoperative evaluation followed a standardized protocol including Constant score, range of motion, and radiographic analysis. Mean follow-up time was 2.5 (2-5.5) years. Results: Mean Constant score improved from 9 (2-16) to 41 (17-74) points. Mean lengthening of the arm was 2.6 (0.9-4.7) cm without any neurological complications. One patient required revision due to infection. Interpretation Modular systems allow retainment of a well-fixed humeral stem with good outcome. There is a risk of excessive humeral lengthening. KW - cultures KW - etiology KW - fractures KW - prothesis KW - proximal humerus KW - failed hemiarthroplasty Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-131621 VL - 84 IS - 5 ER - TY - INPR A1 - Weithmann, Sabrina A1 - Klug, Stefan T1 - Integrative Sustainable Concepts for Individual Mobility in Asia - A Qualitative Analysis of Carsharing and Taxi Services in Singapore N2 - Singapore has a unique and proactive approach towards managing the national transport system. This article explores the integrative approach of carsharing into the overall transport system from an individual sustainable mobility perspective. The authors argue that for Singapore, taxi services are the strongest competitor for the establishment of free-floating carsharing systems. Low taxi fares and a high distribution rate provide easy access for consumers and show great advantages in correspondence with the prevalent transport measures. Furthermore, the Singaporean government considers taxi services as part of public transport that helps bridging public transportation gaps in door-to-door travel. The article draws on literature review and expert interviews to evaluate the current market conditions and analyse the pros and cons of carsharing systems and taxi services as integrated part of the public transport system. The authors conclude by stating that from a sustainable perspective, the goal is to replace private car ownership. Provision of multi modal choices and therefore co-existence of different individual transport opportunities is indispensable. KW - transport KW - mobility KW - Singapore KW - taxi KW - carsharing KW - sustainability Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-145982 ER - TY - JOUR A1 - Weidemann, Frank A1 - Sanchez-Nino, Maria D. A1 - Politei, Juan A1 - Oliveira, João-Paulo A1 - Wanner, Christoph A1 - Warnock, David G. A1 - Oritz, Alberto T1 - Fibrosis: a key feature of Fabry disease with potential therapeutic implications JF - Orphanet Journal of Rare Diseases N2 - Fabry disease is a rare X-linked hereditary disease caused by mutations in the AGAL gene encoding the lysosomal enzyme alpha-galactosidase A. Enzyme replacement therapy (ERT) is the current cornerstone of Fabry disease management. Involvement of kidney, heart and the central nervous system shortens life span, and fibrosis of these organs is a hallmark of the disease. Fibrosis was initially thought to result from tissue ischemia secondary to endothelial accumulation of glycosphingolipids in the microvasculature. However, despite ready clearance of endothelial deposits, ERT is less effective in patients who have already developed fibrosis. Several potential explanations of this clinical observation may impact on the future management of Fabry disease. Alternative molecular pathways linking glycosphingolipids and fibrosis may be operative; tissue injury may recruit secondary molecular mediators of fibrosis that are unresponsive to ERT, or fibrosis may represent irreversible tissue injury that limits the therapeutic response to ERT. We provide an overview of Fabry disease, with a focus on the assessment of fibrosis, the clinical consequences of fibrosis, and recent advances in understanding the cellular and molecular mechanisms of fibrosis that may suggest novel therapeutic approaches to Fabry disease. KW - Fabry KW - fibrosis KW - podocyte KW - Lyso-Gb3 KW - kidney KW - enzyme replacement therapy KW - alpha-galactosidase-A KW - focal semental glomerulosclerosis KW - cardiovascular magnetic-resonance KW - left-ventricular hypertrophy KW - biopsy findings KW - agalsidase-beta KW - natural-history data KW - cardiac energy metabolism KW - randomized controlled trial Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-124773 SN - 1750-1172 VL - 8 IS - 116 ER - TY - JOUR A1 - Weidemann, F. A1 - Niemann, M. A1 - Stork, S. A1 - Breunig, F. A1 - Beer, M. A1 - Sommer, C. A1 - Herrmann, S. A1 - Ertl, G. A1 - Wanner, C. T1 - Long-term outcome of enzyme-replacement therapy in advanced Fabry disease: evidence for disease progression towards serious complications JF - Journal of Internal Medicine N2 - The long-term effects of enzyme-replacement therapy (ERT) in Fabry disease are unknown. Thus, the aim of this study was to determine whether ERT in patients with advanced Fabry disease affects progression towards 'hard' clinical end-points in comparison with the natural course of the disease. METHODS: A total of 40 patients with genetically proven Fabry disease (mean age 40 ± 9 years; n = 9 women) were treated prospectively with ERT for 6 years. In addition, 40 subjects from the Fabry Registry, matched for age, sex, chronic kidney disease stage and previous transient ischaemic attack (TIA), served as a comparison group. The main outcome was a composite of stroke, end-stage renal disease (ESRD) and death. Secondary outcomes included changes in myocardial left ventricular (LV) wall thickness and replacement fibrosis, change in glomerular filtration rate (GFR), new TIA and change in neuropathic pain. RESULTS: During a median follow-up of 6.0 years (bottom and top quartiles: 5.1, 7.2), 15 events occurred in 13 patients (n = 7 deaths, n = 4 cases of ESRD and n = 4 strokes). Sudden death occurred (n = 6) only in patients with documented ventricular tachycardia and myocardial replacement fibrosis. The annual progression of myocardial LV fibrosis in the entire cohort was 0.6 ± 0.7%. As a result, posterior end-diastolic wall thinning was observed (baseline, 13.2 ± 2.0 mm; follow-up, 11.4 ± 2.1 mm; P < 0.01). GFR decreased by 2.3 ± 4.6 mL min(-1) per year. Three patients experienced a TIA. The major clinical symptom was neuropathic pain (n = 37), and this symptom improved in 25 patients. The event rate was not different between the ERT group and the untreated (natural history) group of the Fabry Registry. CONCLUSION: Despite ERT, clinically meaningful events including sudden cardiac death continue to develop in patients with advanced Fabry disease. KW - Fabry disease KW - α-galactosidase A KW - dialysis KW - prognosis KW - stroke KW - sudden cardiac death Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-132075 VL - 247 IS - 4 ER - TY - JOUR A1 - Weibel, Stephanie A1 - Basse-Luesebrink, Thomas Christian A1 - Hess, Michael A1 - Hofmann, Elisabeth A1 - Seubert, Carolin A1 - Langbein-Laugwitz, Johanna A1 - Gentschev, Ivaylo A1 - Sturm, Volker Jörg Friedrich A1 - Ye, Yuxiang A1 - Kampf, Thomas A1 - Jakob, Peter Michael A1 - Szalay, Aladar A. T1 - Imaging of Intratumoral Inflammation during Oncolytic Virotherapy of Tumors by \(^{19}\)F-Magnetic Resonance Imaging (MRI) JF - PLoS ONE N2 - Background Oncolytic virotherapy of tumors is an up-coming, promising therapeutic modality of cancer therapy. Unfortunately, non-invasive techniques to evaluate the inflammatory host response to treatment are rare. Here, we evaluate \(^{19}\)F magnetic resonance imaging (MRI) which enables the non-invasive visualization of inflammatory processes in pathological conditions by the use of perfluorocarbon nanoemulsions (PFC) for monitoring of oncolytic virotherapy. Methodology/Principal Findings The Vaccinia virus strain GLV-1h68 was used as an oncolytic agent for the treatment of different tumor models. Systemic application of PFC emulsions followed by \(^1H\)/\(^{19}\)F MRI of mock-infected and GLV-1h68-infected tumor-bearing mice revealed a significant accumulation of the \(^{19}\)F signal in the tumor rim of virus-treated mice. Histological examination of tumors confirmed a similar spatial distribution of the \(^{19}\)F signal hot spots and \(CD68^+\)-macrophages. Thereby, the \(CD68^+\)-macrophages encapsulate the GFP-positive viral infection foci. In multiple tumor models, we specifically visualized early inflammatory cell recruitment in Vaccinia virus colonized tumors. Furthermore, we documented that the \(^{19}\)F signal correlated with the extent of viral spreading within tumors. Conclusions/Significance These results suggest \(^{19}\)F MRI as a non-invasive methodology to document the tumor-associated host immune response as well as the extent of intratumoral viral replication. Thus, \(^{19}\)F MRI represents a new platform to non-invasively investigate the role of the host immune response for therapeutic outcome of oncolytic virotherapy and individual patient response. KW - inflammation KW - fluorescence microscopy KW - oncolytic viruses KW - fluorescence imaging KW - macrophages KW - magnetic resonance imaging KW - histology KW - in vivo imaging Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-130311 VL - 8 IS - 3 ER - TY - JOUR A1 - Wegener, Christian A1 - Karsai, Gergely A1 - Pollák, Edit A1 - Wacker, Matthias A1 - Vömel, Matthias A1 - Selcho, Mareike A1 - Berta, Gergely A1 - Nachman, Ronald J. A1 - Isaac, R. Elwyn A1 - Molnár, László T1 - Diverse in- and output polarities and high complexity of local synaptic and non-synaptic signaling within a chemically defined class of peptidergic Drosophila neurons JF - Frontiers in Neural Circuits N2 - Peptidergic neurons are not easily integrated into current connectomics concepts, since their peptide messages can be distributed via non-synaptic paracrine signaling or volume transmission. Moreover, the polarity of peptidergic interneurons in terms of in- and out-put sites can be hard to predict and is very little explored. We describe in detail the morphology and the subcellular distribution of fluorescent vesicle/dendrite markers in CCAP neurons (NCCAP), a well defined set of peptidergic neurons in the Drosophila larva. NCCAP can be divided into five morphologically distinct subsets. In contrast to other subsets, serial homologous interneurons in the ventral ganglion show a mixed localization of in- and output markers along ventral neurites that defy a classification as dendritic or axonal compartments. Ultrastructurally, these neurites contain both pre- and postsynaptic sites preferably at varicosities. A significant portion of the synaptic events are due to reciprocal synapses. Peptides are mostly non-synaptically or parasynaptically released, and dense-core vesicles and synaptic vesicle pools are typically well separated. The responsiveness of the NCCAP to ecdysis-triggering hormone may be at least partly dependent on a tonic synaptic inhibition, and is independent of ecdysteroids. Our results reveal a remarkable variety and complexity of local synaptic circuitry within a chemically defined set of peptidergic neurons. Synaptic transmitter signaling as well as peptidergic paracrine signaling and volume transmission from varicosities can be main signaling modes of peptidergic interneurons depending on the subcellular region. The possibility of region-specific variable signaling modes should be taken into account in connectomic studies that aim to dissect the circuitry underlying insect behavior and physiology, in which peptidergic neurons act as important regulators. KW - synaptic signaling KW - volume transmission KW - paracrine release KW - neuromodulation KW - ecdysis KW - bursicon KW - CCAP KW - myoinhibitory peptide Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-96914 ER - TY - JOUR A1 - Weber, Christoph A1 - Gräf, Stephan T1 - Eine halb so schlimme Täuschung JF - JURA - Juristische Ausbildung N2 - Kein Abstract verfügbar. KW - Examensklausur Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-195484 SN - 1612-7021 SN - 0170-1452 N1 - Dieser Beitrag ist mit Zustimmung des Rechteinhabers aufgrund einer (DFG-geförderten) Allianz- bzw. Nationallizenz frei zugänglich. VL - 36 IS - 1 ER - TY - THES A1 - Wangorsch, Gaby T1 - Mathematical modeling of cellular signal transduction T1 - Mathematische Modellierung der zellulären Signaltransduktion N2 - A subtly regulated and controlled course of cellular processes is essential for the healthy functioning not only of single cells, but also of organs being constituted thereof. In return, this entails the proper functioning of the whole organism. This implies a complex intra- and inter-cellular communication and signal processing that require equally multi-faceted methods to describe and investigate the underlying processes. Within the scope of this thesis, mathematical modeling of cellular signaling finds its application in the analysis of cellular processes and signaling cascades in different organisms. ... N2 - Das fein regulierte und kontrollierte Ablaufen zellulärer Prozesse ist essentiell für das gesunde Funktionieren einzelner Zellen, sowie der aus ihnen bestehenden Organe. Diese wiederum bedingen das Funktionieren des gesamten Organismus. Genauso vielschichtig wie die Kommunikation und Signalverarbeitung innerhalb und zwischen den Zellen, sind die Methoden um diese Vorgänge zu beschreiben und zu untersuchen. Die mathematische Modellierung zellulärer Signalverarbeitung findet im Rahmen dieser Arbeit Anwendung in der Analyse zellulärer Prozesse und Signalkaskaden in verschiedenen Organismen.... KW - Mathematische Modellierung KW - Thrombozyt KW - Systembiologie KW - Mathematische Modellierung KW - Mathematical modeling KW - platelets KW - signaling pathway KW - systems biology KW - Signaltransduktion Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-87746 ER - TY - JOUR A1 - Wang, Huiqiang A1 - Chen, Nanhai G. A1 - Minev, Boris R. A1 - Zimmermann, Martina A1 - Aguilar, Richard J. A1 - Zhang, Qian A1 - Sturm, Julia B. A1 - Fend, Falko A1 - Yu, Yong A. A1 - Cappello, Joseph A1 - Lauer, Ulrich M. A1 - Szalay, Aladar A. T1 - Optical Detection and Virotherapy of Live Metastatic Tumor Cells in Body Fluids with Vaccinia Strains JF - PLoS ONE N2 - Metastatic tumor cells in body fluids are important targets for treatment, and critical surrogate markers for evaluating cancer prognosis and therapeutic response. Here we report, for the first time, that live metastatic tumor cells in blood samples from mice bearing human tumor xenografts and in blood and cerebrospinal fluid samples from patients with cancer were successfully detected using a tumor cell-specific recombinant vaccinia virus (VACV). In contrast to the FDA-approved CellSearch system, VACV detects circulating tumor cells (CTCs) in a cancer biomarker-independent manner, thus, free of any bias related to the use of antibodies, and can be potentially a universal system for detection of live CTCs of any tumor type, not limited to CTCs of epithelial origin. Furthermore, we demonstrate for the first time that VACV was effective in preventing and reducing circulating tumor cells in mice bearing human tumor xenografts. Importantly, a single intra-peritoneal delivery of VACV resulted in a dramatic decline in the number of tumor cells in the ascitic fluid from a patient with gastric cancer. Taken together, these results suggest VACV to be a useful tool for quantitative detection of live tumor cells in liquid biopsies as well as a potentially effective treatment for reducing or eliminating live tumor cells in body fluids of patients with metastatic disease. KW - lymph nodes KW - cancer treatment KW - metastatic tumors KW - breast cancer KW - blood KW - prostate cancer KW - ascites KW - mouse models Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-130059 VL - 8 IS - 9 ER - TY - JOUR A1 - Walter, Maggie C. A1 - Reilich, Peter A1 - Thiele, Simone A1 - Schessl, Joachim A1 - Schreiber, Herbert A1 - Reiners, Karlheinz A1 - Kress, Wolfram A1 - Müller-Reible, Clemens A1 - Vorgerd, Matthias A1 - Urban, Peter A1 - Schrank, Bertold A1 - Deschauer, Marcus A1 - Schlotter-Weigel, Beate A1 - Kohnen, Ralf A1 - Lochmüller, Hans T1 - Treatment of dysferlinopathy with deflazacort: a double-blind, placebo-controlled clinical trial JF - Orphanet Journal of Rare Diseases N2 - Background: Dysferlinopathies are autosomal recessive disorders caused by mutations in the dysferlin (DYSF) gene encoding the dysferlin protein. DYSF mutations lead to a wide range of muscular phenotypes, with the most prominent being Miyoshi myopathy (MM) and limb girdle muscular dystrophy type 2B (LGMD2B). Methods: We assessed the one-year-natural course of dysferlinopathy, and the safety and efficacy of deflazacort treatment in a double-blind, placebo-controlled cross-over trial. After one year of natural course without intervention, 25 patients with genetically defined dysferlinopathy were randomized to receive deflazacort and placebo for six months each (1 mg/kg/day in month one, 1 mg/kg every 2nd day during months two to six) in one of two treatment sequences. Results: During one year of natural course, muscle strength declined about 2% as measured by CIDD (Clinical Investigation of Duchenne Dystrophy) score, and 76 Newton as measured by hand-held dynamometry. Deflazacort did not improve muscle strength. In contrast, there is a trend of worsening muscle strength under deflazacort treatment, which recovers after discontinuation of the study drug. During deflazacort treatment, patients showed a broad spectrum of steroid side effects. Conclusion: Deflazacort is not an effective therapy for dysferlinopathies, and off-label use is not warranted. This is an important finding, since steroid treatment should not be administered in patients with dysferlinopathy, who may be often misdiagnosed as polymyositis. KW - Deflazacort KW - muscle strength KW - gridle muscular-dystrophy KW - Duchenne dystrphy KW - Miyoshi myopathy KW - mutation KW - prednisone KW - gene KW - 2B KW - children KW - design KW - steroids KW - therapy KW - dysferlinopathy KW - Limb girdle muscular dystrophy (LGMD) Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-125663 SN - 1750-1172 VL - 8 IS - 26 ER - TY - JOUR A1 - Waller, Frank A1 - Mueller, Martin J. A1 - Pedrotti, Lorenzo T1 - Piriformospora indica Root Colonization Triggers Local and Systemic Root Responses and Inhibits Secondary Colonization of Distal Roots JF - PLoS ONE N2 - Piriformospora indica is a basidiomycete fungus colonizing roots of a wide range of higher plants, including crop plants and the model plant Arabidopsis thaliana. Previous studies have shown that P. indica improves growth, and enhances systemic pathogen resistance in leaves of host plants. To investigate systemic effects within the root system, we established a hydroponic split-root cultivation system for Arabidopsis. Using quantitative real-time PCR, we show that initial P. indica colonization triggers a local, transient response of several defense-related transcripts, of which some were also induced in shoots and in distal, non-colonized roots of the same plant. Systemic effects on distal roots included the inhibition of secondary P. indica colonization. Faster and stronger induction of defense-related transcripts during secondary inoculation revealed that a P. indica pretreatment triggers root-wide priming of defense responses, which could cause the observed reduction of secondary colonization levels. Secondary P. indica colonization also induced defense responses in distant, already colonized parts of the root. Endophytic fungi therefore trigger a spatially specific response in directly colonized and in systemic root tissues of host plants. KW - Arabidopsis thaliana KW - flowering plants KW - fungal spores KW - fungi KW - gene expression KW - marker genes KW - plant defenses KW - plant signaling Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-96493 ER - TY - THES A1 - Wagenpfahl, Alexander Johannes T1 - Numerical simulations on limitations and optimization strategies of organic solar cells T1 - Numerische Simulationen von Limitierungen und Optimierungsstrategien organischer Solarzellen N2 - Continuously increasing energy prices have considerably influenced the cost of living over the last decades. At the same time increasingly extreme weather conditions, drought-filled summers as well as autumns and winters with heavier rainfall and worsening storms have been reported. These are possibly the harbingers of the expected approaching global climate change. Considering the depletability of fossil energy sources and a rising distrust in nuclear power, investigations into new and innovative renewable energy sources are necessary to prepare for the coming future. In addition to wind, hydro and biomass technologies, electricity generated by the direct conversion of incident sunlight is one of the most promising approaches. Since the syntheses and detailed studies of organic semiconducting polymers and fullerenes were intensified, a new kind of solar cell fabrication became conceivable. In addition to classical vacuum deposition techniques, organic cells were now also able to be processed from a solution, even on flexible substrates like plastic, fabric or paper. An organic solar cell represents a complex electrical device influenced for instance by light interference for charge carrier generation. Also charge carrier recombination and transport mechanisms are important to its performance. In accordance to Coulomb interaction, this results in a specific distribution of the charge carriers and the electric field, which finally yield the measured current-voltage characteristics. Changes of certain parameters result in a complex response in the investigated device due to interactions between the physical processes. Consequently, it is necessary to find a way to generally predict the response of such a device to temperature changes for example. In this work, a numerical, one-dimensional simulation has been developed based on the drift-diffusion equations for electrons, holes and excitons. The generation and recombination rates of the single species are defined according to a detailed balance approach. The Coulomb interaction between the single charge carriers is considered through the Poisson equation. An analytically non-solvable differential equation system is consequently set-up. With numerical approaches, valid solutions describing the macroscopic processes in organic solar cells can be found. An additional optical simulation is used to determine the spatially resolved charge carrier generation rates due to interference. Concepts regarding organic semiconductors and solar cells are introduced in the first part of this work. All chapters are based on previous ones and logically outline the basic physics, device architectures, models of charge carrier generation and recombination as well as the mathematic and numerical approaches to obtain valid simulation results. In the second part, the simulation is used to elaborate issues of current interest in organic solar cell research. This includes a basic understanding of how the open circuit voltage is generated and which processes limit its value. S-shaped current-voltage characteristics are explained assigning finite surface recombination velocities at metal electrodes piling-up local space charges. The power conversion efficiency is identified as a trade-off between charge carrier accumulation and charge extraction. This leads to an optimum of the power conversion efficiency at moderate to high charge carrier mobilities. Differences between recombination rates determined by different interpretations of identical experimental results are assigned to a spatially inhomogeneous recombination, relevant for almost all low mobility semiconductor devices. N2 - Stetig steigende Preise für Energie haben die Lebenshaltungskosten in Deutschland über die letzten Jahrzehnte maßgeblich beeinflusst. Gleichzeitig werden scheinbar extremere Wetterbedingungen, dürrere Sommer, ebenso wie regen und sturmreichere Winter aufgezeichnet. Dies könnten bereits heute die Vorboten eines kommenden, globalen Klimawandels sein. Berücksichtigt man die Endlichkeit fossiler Energieträger und die wachsende Ablehnung gegenüber nuklearer Energieerzeugung, führt kein Weg an einer genaueren Erforschung innovativer, erneuerbarer Energiequellen vorbei. Neben Wind- und Wasserkraft stellt die direkte Umwandlung von Sonnenlicht in elektrischen Strom einen der erfolgversprechendsten Ansätze dar. Seit Beginn der Synthese und der genaueren Untersuchungen organischer, halbleitender Polymere und Fullerene innerhalb der letzten Jahre, wurde eine neue Arte der Solarzellenherstellung, neben den bereits etablierten Technologien, denkbar. Zusätzlich zu klassischen Aufdampfverfahren können Solarzellen aus organischen Materialien in Lösung hergestellt und auf verschiedenartigste Materialien wie Plastik, Stoff oder Papier aufgebracht werden. Aufgrund der Unordnung in den aktiven Schichten verhalten sich solche Solarzellen jedoch anders als solche aus anorganischen Materialien. Eine organische Solarzelle ist ein komplexes elektrisches Bauteil, welches durch eine Anzahl physikalischer Effekte maßgeblich beeinflusst wird. So ist, beispielsweise, die Verteilung erzeugter Ladungsträger durch optische Interferenzeffekte bestimmt. Ladungstransport und Ladungsträgerrekombination stellen weitere Einflussfaktoren dar. Die experimentell gemessenen Strom-Spannungs-Kennlinien sind somit stets makroskopische Kombination mehrerer Effekte. Änderungen einzelner Parameter führen zu einer komplexen Änderung des elektrischen Verhaltens des Bauteils. Folgerichtig ist es notwendig, ein Modell zu entwickeln, welches das Verhalten organischer Solarzellen bei sich ändernden Umgebungsbedingungen, allgemeingültig vorhersagen kann. Im Rahmen dieser Arbeit wurde, zu diesem Zweck, eine eindimensionale, numerische Simulation entwickelt. Basierend auf Drift- und Diffusionsgleichungen für Elektronen, Löcher und Exzitonen kann der Ladungstransport in organischen Halbleitern beschrieben werden. Benötigte Generations- und Rekombinationsraten werden durch entsprechende Ratengleichungen bestimmt. Über die Poisson-Gleichung wird zudem das auftretende elektrische Feld innerhalb der Solarzelle berücksichtigt. Das resultierende differentielle Gleichungssystem ist jedoch nicht analytisch lösbar. Nur mit Hilfe spezieller numerischer Methoden, können gültige Lösungen gefunden werden. Hiermit kann das Verhalten organischer Solarzellen sehr gut beschrieben. Eine zusätzliche optische Simulation kann dazu benutzt werden, optische Interferenzeffekte zu berücksichtigen. Im des ersten Teiles dieser Arbeit werden Methoden und Modellvorstellungen für Prozesse in organischer Solarzellen vorgestellt. Die Kapitel bauen aufeinander auf und gehen nacheinander auf die grundlegende Physik, die Bauteilarchitektur, die Modelle der Ladungsträgergeneration und -rekombination, ebenso wie auf die benötigten mathematischen und numerischen Methoden ein. Beiträge zur aktuellen Forschung werden im zweiten Abschnitt vorgestellt. Diese Umfassen ein grundlegendes Verständnis der offenen Klemmspannung organischer Solarzellen. Diese wird entweder durch Oberflächenrekombination an den Elektroden oder durch Injektionsbarrieren limitiert. S-förmige Verformungen von gemessenen und simulierten Strom-Spannungs-Kennlinien konnten durch endliche Oberflächenrekombinationsgeschwindigkeiten erklärt werden. Aufgrund verminderter Extraktions- und Injektionseigenschaften entsteht eine spannungsabhängige Raumladungszone, welche diese oft beobachtete Verformung verursacht. Der Wirkungsgrad organischer Solarzellen konnte als Kompromiss zwischen Ladungsträgeranhäufung und -extraktion im Bauteil identifiziert werden. Dies führt letztendlich zu einem Optimum der Solarzelleneffizienz bei moderaten bis hohen Ladungsträgerbeweglichkeiten. Abweichungen experimentell unterschiedlich bestimmter Rekombinationsraten konnten auf eine räumlich inhomogene Verteilung der Ladungsträgerrekombination zurückgeführt werden. Diese wird durch selektive Kontakte erzeugt und ist für alle halbleitenden Bauelemente mit niedriger Mobilität relevant. KW - Organische Solarzelle KW - Fotovoltaik KW - Organischer Halbleiter KW - s-shape KW - Doppeldiode KW - Simulation KW - Solarzelle KW - Rekombination KW - Strom-Spannungs-Kennlinie Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-90119 N1 - zu ergänzende PACS-Nummern wären: 88.40.jr und 81.05.Fb (Quelle: http://www.aip.org/publishing/pacs/pacs-alphabetical-index) ER - TY - JOUR A1 - von Rüden, Christian A1 - Woltmann, Alexander A1 - Röse, Marc A1 - Wurm, Simone A1 - Rüger, Matthias A1 - Hierholzer, Christian A1 - Bühren, Volker T1 - Outcome after severe multiple trauma: a retrospective analysis JF - Journal of Trauma Management & Outcomes N2 - Background Aim of this study was to evaluate prognosis of severely injured patients. Methods All severely injured patients with an Injury Severity Score (ISS) ≥ 50 were identified in a 6-year-period between 2000 and 2005 in German Level 1 Trauma Center Murnau. Data was evaluated from German Trauma Registry and Polytrauma Outcome Chart of the German Society for Trauma Surgery and a personal interview to assess working ability and disability and are presented as average. Results 88 out of 1435 evaluated patients after severe polytrauma demonstrated an ISS ≥ 50 (6.5%), among them 23% women and 77% men. 66 patients (75%) had an ISS of 50-60, 14 (16%) 61-70, and 8 (9%) ≥ 70. In 27% of patients trauma was caused by motor bike accidents. 3.6 body regions were involved. Patients had to be operated 5.3 times and were treated 23 days in the ICU and stayed 73 days in hospital. Mortality rate was 36% and rate of multi-organ failure 28%. 15% of patients demonstrated severe senso-motoric dysfunction as well as residues of severe head injury. 25% recovered well or at least moderately. 29 out of 56 survivors answered the POLO-chart. A personal interview was performed with 13 patients. The state of health was at least moderate in 72% of patients. In 48% interpersonal problems and in 41% severe pain was observed. In 57% of patients problems with working ability regarding duration, as well as quantitative and qualitative performance were observed. Symptoms of post-traumatic stress disorder were found in 41%. The more distal the lesions were located (foot/ankle) the more functional disability affected daily life. In only 15%, working ability was not impaired. 8 out of 13 interviewed patients demonstrated complete work disability. Conclusions Even severely injured patients after multiple trauma have a good prognosis. The ISS is an established tool to assess severity and prognosis of trauma, whereas prediction of clinical outcome cannot be deducted from this score. KW - post-traumatic stress disorder KW - severe multiple trauma KW - ISS KW - POLO-chart Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-132249 VL - 7 IS - 4 ER - TY - JOUR A1 - Volkmann, Jens A1 - Albanese, Alberto A1 - Antonini, Angelo A1 - Chaudhuri, K. Ray A1 - Clarke, Karl E. A1 - de Bie, Rob M. A. A1 - Deuschl, Günther A1 - Eggert, Karla A1 - Houeto, Jean-Luc A1 - Kulisevsky, Jaime A1 - Nyholm, Dag A1 - Odin, Per A1 - Ostergaard, Karen A1 - Poewe, Werner A1 - Pollak, Pierre A1 - Rabey, Jose Martin A1 - Rascol, Olivier A1 - Ruzicka, Evzen A1 - Samuel, Michael A1 - Speelman, Hans A1 - Sydow, Olof A1 - Valldeoriola, Francesc A1 - van der Linden, Chris A1 - Oertel, Wolfgang T1 - Selecting deep brain stimulation or infusion therapies in advanced Parkinson’s disease: an evidence-based review JF - Journal of Neurology N2 - Motor complications in Parkinson’s disease (PD) result from the short half-life and irregular plasma fluctuations of oral levodopa. When strategies of providing more continuous dopaminergic stimulation by adjusting oral medication fail, patients may be candidates for one of three device-aided therapies: deep brain stimulation (DBS), continuous subcutaneous apomorphine infusion, or continuous duodenal/jejunal levodopa/carbidopa pump infusion (DLI). These therapies differ in their invasiveness, side-effect profile, and the need for nursing care. So far, very few comparative studies have evaluated the efficacy of the three device-aided therapies for specific motor problems in advanced PD. As a result, neurologists currently lack guidance as to which therapy could be most appropriate for a particular PD patient. A group of experts knowledgeable in all three therapies reviewed the currently available literature for each treatment and identified variables of clinical relevance for choosing one of the three options such as type of motor problems, age, and cognitive and psychiatric status. For each scenario, pragmatic and (if available) evidence-based recommendations are provided as to which patients could be candidates for either DBS, DLI, or subcutaneous apomorphine. KW - Parkinson’s disease KW - apomorphine KW - deep brain stimulation KW - duodenal levodopa infusion Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-132373 VL - 260 ER - TY - THES A1 - Vidal, Marie T1 - b-adrenergic receptors and Erk1/2-mediated cardiac hypertrophy T1 - b-adrenerge Rezeptoren und Erk1/2-vermittelte Herzhypertrophie N2 - Chronische Aktivierung von b-Adrenorezeptoren (b-ARs) durch Katecholamine ist ein Stimulus für kardiale Hypertrophie und Herzinsuffizienz. Ebenso führt die Expression von b1-ARs oder Gas-Proteinen in genetisch modifizierten Mäusen zu Hypertrophie und Herzinsuffizienz. Allerdings führt die direkte Aktivierung dem Gas nachgeschalteten Komponenten des b-adrenergen Signalwegs wie z.B. die Aktivierung der Adenylylcyclase (AC) oder der Proteinkinase A (PKA) nicht im signifikanten Ausmaß zur Herzhypertrophie. Diese Ergebnisse deuten darauf hin, dass zusätzlich zu dem klassischen Signalweg, auch weitere durch Gas-Proteine aktivierte Komponenten in die b-adrenerg vermittelte Hypertrophieentwicklung involviert sind. Interessanterweise wurde vor kurzem ein hypertropher Signalweg beschrieben, der eine direkte Involvierung von Gbg-Untereinheiten bei der Induktion von Herzhypertrophie durch die extrazellulär-regulierten Kinasen 1 und 2 (ERK1/2) zeigt: Nach Aktivierung Gaq-gekoppelter Rezeptoren binden Gbg-Untereinheiten an die aktivierte Raf/Mek/Erk Kaskade. Die Bindung der freigesetzten Gbg-Untereinheiten an Erk1/2 führt zu einer Autophosphorylierung von Erk1/2 an Threonin 188 (bzw. Thr208 in Erk1; im folgenden ErkThr188-Phosphorylierung genannt), welche für die Vermittlung kardialer Hypertrophie verantwortlich ist. In dieser Arbeit konnte nun gezeigt werden, dass auch die Aktivierung von b-ARs in Mäusen sowie von isolierten Kardiomyozyten zur Induktion von ErkThr188-Phosphorylierung führt. Darüberhinaus führte die Überexpression von Erk2 Mutanten (Erk2T188S und Erk2T188A), die nicht an Threonin 188 phosphoryliert werden können, zu einer deutlich reduzierten Hypertrophieantwort von Kardiomyozyten auf Isoproterenol. Auch die kardiale Expression der Erk2T188S Mutante im Mäusen verminderte die Hypertrophieantwort auf eine 2-wöchige Isoproterenol-Behandlung deutlich: Die linksventrikuläre Wanddicke, aber auch interstitielle Fibrose und Herzinsuffizienzmarker wie z.B. BNP waren signifikant reduziert. Weiterhin konnte in dieser Arbeit gezeigt werden, dass tatsächlich ein Zusammenspiel von Ga und Gbg-vermittelten Signalen zur Induktion von ErkThr188-Phosphorylierung und damit zur Induktion von b-adrenerg vermittelter Hypertrophie notwendig ist. Während die Hemmung von Gbg-Signalen mit dem C-Terminus der GRK2 oder die Hemmung von Adenylylzyklase eine ErkThr188-Phosphorylierung und eine Hypertrophieantwort nach Isoprenalingabe effektiv reduzierten, führt die alleinige Aktivierung von Adenylylzyklase nicht zu einer Hypertrophieantwort. Diese Ergebnisse könnten bei der Entwicklung neuer möglicher therapeutischen Strategien zur Therapie b-adrenerg induzierter Herzhypertrophie und Herzinsuffizienz helfen. N2 - b-adrenergic receptors (b-ARs) participate strongly in the development of cardiac hypertrophy and human heart failure. Stimulation of b-adrenergic receptors with catecholamines as well as cardiac overexpression of b1-ARs or of Gas-proteins in transgenic mice induces cardiac hypertrophy. However, direct activation of their downstream targets, such as adenylyl cyclase (AC) or protein kinase A do not promote a significant degree of cardiac hypertrophy. These findings suggest that additional events may occur and that these events require Gas-protein activation. A hypertrophic pathway involving Gaq-protein coupled receptors has recently been described. Upon activation of Gaq-coupled receptors Gbg-subunits are released from Gaq and bind directly to the activated Raf/Mek/Erk cascade. Direct interaction between bg-subunits and activated Erk1/2 leads to an additional autophosphorylation of Erk2 at threonine 188, which mediates cardiac hypertrophy. Murine hearts, as well as isolated cardiomyocytes present an increase in Erk2Thr188-phosphorylation upon b-AR activation. Similarly overexpression of phosphorylation deficient Erk2 mutants (Erk2T188S and Erk2T188A) reduces b-AR mediated cardiomyocyte hypertrophy. Increase in left ventricular wall thickness, fibrosis and up-regulation of natriuretic peptide synthesis, which are physiological features for cardiac hypertrophy, are strongly inhibited in transgenic mice with a cardiac expression of Erk2T188S after two weeks of sustained isoproterenol treatment. It could further be shown in this work that b-AR mediated cardiac hypertrophy requires two distinct pathways initiated by Gs-protein activation: the canonical phosphorylation of Erk1/2 via adenylyl cyclase and the direct interaction of released bg-subunits with activated Erk1/2. Coincidence of both events leads to Erk2Thr188-phosphorylation, which activates then different transcription factors responsible for cardiac hypertrophy. Sequestration of bg-subunits by overexpression of the C-terminus of GRK2 bark-ct and inhibition of adenylyl cyclase efficiently reduced the hypertrophic response to isoproterenol, whereas direct activation of AC by forskolin failed to induce Erk2Thr188-phosphorylation and cardiomyocyte hypertrophy. These findings may help to develop new therapeutic strategies for the prevention of cardiac hypertrophy and maladaptive remodeling of the heart. KW - Adrenerger Rezeptor KW - Herzhypertrophie KW - MAP-Kinase KW - adrenerge Rezeptoren KW - Herzhypertrophie KW - Erk1/2 KW - adrenergic receptors KW - cardiac hypertrophy KW - Erk1/2 Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-83671 ER - TY - JOUR A1 - Verner, Martin A1 - Herrmann, Martin J. A1 - Troche, Stefan J. A1 - Roebers, Claudia M. A1 - Rammsayer, Thomas H. T1 - Cortical oxygen consumption in mental arithmetic as a function of task difficulty: a near-infrared spectroscopy approach JF - Frontiers in Human Neuroscience N2 - The present study investigated changes in cortical oxygenation during mental arithmetic using near-infrared spectroscopy (NIRS). Twenty-nine male volunteers were examined using a 52-channel continuous wave system for analyzing activity in prefrontal areas. With the help of a probabilistic mapping method, three regions of interest (ROIs) on each hemisphere were defined: The inferior frontal gyri (IFG), the middle frontal gyri (MFG), and the superior frontal gyri (SFG). Oxygenation as an indicator of functional brain activation was compared over the three ROI and two levels of arithmetic task difficulty (simple and complex additions). In contrast to most previous studies using fMRI or NIRS, in the present study arithmetic tasks were presented verbally in analogue to many daily life situations. With respect to task difficulty, more complex addition tasks led to higher oxygenation in all defined ROI except in the left IFG compared to simple addition tasks. When compared to the channel positions covering different gyri of the temporal lobe, the observed sensitivity to task complexity was found to be restricted to the specified ROIs. As to the comparison of ROIs, the highest oxygenation was found in the IFG, while MFG and SFG showed significantly less activation compared to IFG. The present cognitive-neuroscience approach demonstrated that NIRS is a suitable and highly feasible research tool for investigating and quantifying neural effects of increasing arithmetic task difficulty. KW - cortical activation KW - working memory KW - individual differences KW - prefrontal cortex KW - FMRI KW - brain-regions KW - subsctraction KW - activation KW - bold KW - intelligibility KW - NIRS KW - oxygen consumption KW - task difficulty KW - mental arithmetic KW - near-infrared spectroscopy Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-122449 SN - 1662-5161 VL - 7 IS - 217 ER - TY - JOUR A1 - van Oorschot, Birgitt A1 - Rades, Dirk A1 - Lordick, Florian T1 - Connections Are Clearly More Complex JF - Deutsches Ärzteblatt international N2 - No abstract available. KW - palliative medicine Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-128837 VL - 110 IS - 44 ER - TY - JOUR A1 - van Dinther, Maarten A1 - Zhang, Juan A1 - Weidauer, Stella E. A1 - Boschert, Verena A1 - Muth, Eva-Maria A1 - Knappik, Achim A1 - de Gorter, David J. J. A1 - van Kasteren, Puck B. A1 - Frisch, Christian A1 - Müller, Thomas D. A1 - ten Dijke, Peter T1 - Anti-Sclerostin Antibody Inhibits Internalization of Sclerostin and Sclerostin-Mediated Antagonism of Wnt/LRP6 Signaling JF - PLoS ONE N2 - Sclerosteosis is a rare high bone mass disease that is caused by inactivating mutations in the SOST gene. Its gene product, Sclerostin, is a key negative regulator of bone formation and might therefore serve as a target for the anabolic treatment of osteoporosis. The exact molecular mechanism by which Sclerostin exerts its antagonistic effects on Wnt signaling in bone forming osteoblasts remains unclear. Here we show that Wnt3a-induced transcriptional responses and induction of alkaline phosphatase activity, an early marker of osteoblast differentiation, require the Wnt co-receptors LRP5 and LRP6. Unlike Dickkopf1 (DKK1), Sclerostin does not inhibit Wnt-3a-induced phosphorylation of LRP5 at serine 1503 or LRP6 at serine 1490. Affinity labeling of cell surface proteins with \([^{125} I]\) Sclerostin identified LRP6 as the main specific Sclerostin receptor in multiple mesenchymal cell lines. When cells were challenged with Sclerostin fused to recombinant green fluorescent protein (GFP) this was internalized, likely via a Clathrin-dependent process, and subsequently degraded in a temperature and proteasome-dependent manner. Ectopic expression of LRP6 greatly enhanced binding and cellular uptake of Sclerostin-GFP, which was reduced by the addition of an excess of non-GFP-fused Sclerostin. Finally, an anti-Sclerostin antibody inhibited the internalization of Sclerostin-GFP and binding of Sclerostin to LRP6. Moreover, this antibody attenuated the antagonistic activity of Sclerostin on canonical Wnt-induced responses. KW - gene KW - rat model KW - Dickkopf proteins KW - postmenopausal osteoporosis KW - increases bone-formation KW - WNT KW - LRP6 KW - density KW - receptor KW - ligand Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-130981 VL - 8 IS - 4 ER - TY - JOUR A1 - Vainio, Rami A1 - Valtonen, Eino A1 - Heber, Bernd A1 - Malandraki, Olga E. A1 - Papaioannou, Athanasios A1 - Klein, Karl-Ludwig A1 - Afanasiev, Alexander A1 - Agueda, Neus A1 - Aurass, Henry A1 - Battarbee, Markus A1 - Braune, Stephan A1 - Dröge, Wolfgang A1 - Ganse, Urs A1 - Hamadache, Clarisse A1 - Heynderickx, Daniel A1 - Huttunen-Heikinmaa, Kalle A1 - Kiener, Jürgen A1 - Kilian, Patrick A1 - Kopp, Andreas A1 - Kouloumvakos, Athanasios A1 - Maisala, Sami A1 - Mishev, Alexander A1 - Miteva, Rosita A1 - Nindos, Alexander A1 - Oittinen, Tero A1 - Raukunen, Osku A1 - Riihonen, Esa A1 - Rodriguez-Gasen, Rosa A1 - Saloniemi, Oskari A1 - Sanahuja, Blai A1 - Scherer, Renate A1 - Spanier, Felix A1 - Tatischeff, Vincent A1 - Tziotziou, Kostas A1 - Usoskin, Ilya G. A1 - Vilmer, Nicole T1 - The first SEPServer event catalogue similar to ~68-MeV solar proton events observed at 1 AU in 1996-2010 JF - Journal of Space Weather and Space Climate N2 - SEPServer is a three-year collaborative project funded by the seventh framework programme (FP7-SPACE) of the European Union. The objective of the project is to provide access to state-of-the-art observations and analysis tools for the scientific community on solar energetic particle (SEP) events and related electromagnetic (EM) emissions. The project will eventually lead to better understanding of the particle acceleration and transport processes at the Sun and in the inner heliosphere. These processes lead to SEP events that form one of the key elements of space weather. In this paper we present the first results from the systematic analysis work performed on the following datasets: SOHO/ERNE, SOHO/EPHIN, ACE/EPAM, Wind/WAVES and GOES X-rays. A catalogue of SEP events at 1 AU, with complete coverage over solar cycle 23, based on high-energy (similar to 68-MeV) protons from SOHO/ERNE and electron recordings of the events by SOHO/EPHIN and ACE/EPAM are presented. A total of 115 energetic particle events have been identified and analysed using velocity dispersion analysis (VDA) for protons and time-shifting analysis (TSA) for electrons and protons in order to infer the SEP release times at the Sun. EM observations during the times of the SEP event onset have been gathered and compared to the release time estimates of particles. Data from those events that occurred during the European day-time, i.e., those that also have observations from ground-based observatories included in SEPServer, are listed and a preliminary analysis of their associations is presented. We find that VDA results for protons can be a useful tool for the analysis of proton release times, but if the derived proton path length is out of a range of 1 AU < s less than or similar to 3 AU, the result of the analysis may be compromised, as indicated by the anti-correlation of the derived path length and release time delay from the associated X-ray flare. The average path length derived from VDA is about 1.9 times the nominal length of the spiral magnetic field line. This implies that the path length of first-arriving MeV to deka-MeV protons is affected by interplanetary scattering. TSA of near-relativistic electrons results in a release time that shows significant scatter with respect to the EM emissions but with a trend of being delayed more with increasing distance between the flare and the nominal footpoint of the Earth-connected field line. KW - radio emissions (dynamic) KW - projects KW - advanced composition explorer KW - wind spacecraft KW - stereo mission KW - alpha monitor KW - electron KW - plasma KW - radio KW - spectrometer KW - heliosphere KW - instrument KW - radiation KW - flares Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-122847 SN - 2115-7251 VL - 3 IS - A12 ER - TY - JOUR A1 - Ute, Hentschel A1 - Reisberg, Eva E. A1 - Hildebrandt, Ulrich A1 - Riederer, Markus T1 - Distinct Phyllosphere Bacterial Communities on Arabidopsis Wax Mutant Leaves JF - PLoS ONE N2 - The phyllosphere of plants is inhabited by diverse microorganisms, however, the factors shaping their community composition are not fully elucidated. The plant cuticle represents the initial contact surface between microorganisms and the plant. We thus aimed to investigate whether mutations in the cuticular wax biosynthesis would affect the diversity of the phyllosphere microbiota. A set of four Arabidopsis thaliana eceriferum mutants (cer1, cer6, cer9, cer16) and their respective wild type (Landsberg erecta) were subjected to an outdoor growth period and analysed towards this purpose. The chemical distinctness of the mutant wax phenotypes was confirmed by gas chromatographic measurements. Next generation amplicon pyrosequencing of the bacterial communities showed distinct community patterns. This observation was supported by denaturing gradient gel electrophoresis experiments. Microbial community analyses revealed bacterial phylotypes that were ubiquitously present on all plant lines (termed “core” community) while others were positively or negatively affected by the wax mutant phenotype (termed “plant line-specific“ community). We conclude from this study that plant cuticular wax composition can affect the community composition of phyllosphere bacteria. KW - arabidopsis thaliana KW - bacteria KW - community structure KW - denaturing gradient gel electrophoresis KW - fatty acids KW - leaves KW - plant communities KW - waxes Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-96699 ER - TY - THES A1 - Tupak, Sara T1 - Modulators of Prefrontal Fear Network Function: An Integrative View T1 - Modulatoren präfrontaler Furchtnetzwerkfunktion: Ein integrativer Ansatz N2 - Regulating our immediate feelings, needs, and urges is a task that we are faced with every day in our lives. The effective regulation of our emotions enables us to adapt to society, to deal with our environment, and to achieve long‐term goals. Deficient emotion regulation, in contrast, is a common characteristic of many psychiatric and neurological conditions. Particularly anxiety disorders and subclinical states of increased anxiety are characterized by a range of behavioral, autonomic, and neural alterations impeding the efficient down‐regulation of acute fear. Established fear network models propose a downstream prefrontal‐amygdala circuit for the control of fear reactions but recent research has shown that there are a range of factors acting on this network. The specific prefrontal cortical networks involved in effective regulation and potential mediators and modulators are still a subject of ongoing research in both the animal and human model. The present research focused on the particular role of different prefrontal cortical regions during the processing of fear‐relevant stimuli in healthy subjects. It is based on four studies, three of them investigating a different potential modulator of prefrontal top‐down function and one directly challenging prefrontal regulatory processes. Summarizing the results of all four studies, it was shown that prefrontal functioning is linked to individual differences in state anxiety, autonomic flexibility, and genetic predisposition. The T risk allele of the neuropeptide S receptor gene, a recently suggested candidate gene for pathologically elevated anxiety, for instance, was associated with decreased prefrontal cortex activation to particularly fear‐relevant stimuli. Furthermore, the way of processing has been found to crucially determine if regulatory processes are engaged at all and it was shown that anxious individuals display generally reduced prefrontal activation but may engage in regulatory processes earlier than non‐anxious subjects. However, active manipulation of prefrontal functioning in healthy subjects did not lead to the typical behavioral and neural patterns observed in anxiety disorder patients suggesting that other subcortical or prefrontal structures can compensate for an activation loss in one specific region. Taken together, the current studies support prevailing theories of the central role of the prefrontal cortex for regulatory processes in response to fear‐eliciting stimuli but point out that there are a range of both individual differences and peculiarities in experimental design that impact on or may even mask potential effects in neuroimaging research on fear regulation. N2 - Tagtäglich sind wir gefordert, die Kontrolle über unsere unmittelbaren Gefühle und Bedürfnisse zu bewahren und diese zu regulieren. Die effektive Kontrolle unserer Emotionen ermöglicht es uns, uns unserer Umgebung und Gesellschaft anzupassen und langfristige Ziele zu erreichen. Defizitäre Emotionsregulation, im Gegensatz, charakterisiert eine Reihe von psychiatrischen und neurologischen Erkrankungen. Vor allem Angststörungen und subklinisch erhöhte Ängstlichkeit zeichnen sich durch eine Reihe von behavioralen, vegetativen und neuronalen Abweichungen aus, welche sich störend auf die effiziente Furchtregulation auswirken. Gängige Modelle des Furchtnetzwerks gehen davon aus, dass Furchtreaktionen durch eine top‐down Verschaltung von Präfrontalkortex und Amygdala reguliert werden. Neure Studien jedoch haben gezeigt, dass dieses Netzwerk durch eine Reihe von Faktoren beeinflusst wird. Die spezifischen präfrontalen kortikalen Netzwerke, die an einer effektiven Regulation beteiligt sind und deren potentielle Mediatoren und Modulatoren sind jedoch noch immer Gegenstand heutiger Forschung, sowohl im Tier‐, als auch im Menschenmodell. Der Fokus der vorliegenden Arbeit richtete sich speziell auf die Rolle verschiedener Regionen des Präfrontalkortex während der Verarbeitung furchtrelevanter Reize bei gesunden Probanden. Die Arbeit basiert auf vier Studien, von denen drei jeweils einen potentiellen Modulator präfrontaler top-down Funktion näher untersuchten, während jene regulatorischen Prozesse in einer weiteren Studie gezielt manipuliert wurden. Zusammenfassend konnte gezeigt werden, dass die Präfrontalfunktion mit individuellen Unterschieden in Ängstlichkeit, vegetativer Flexibilität und genetischer Prädisposition assoziiert ist. So wurde beispielsweise das T Risikoallel des Neuropeptid S Rezeptor Gens, ein erst kürzlich entdecktes Kandidatengen für pathologisch erhöhte Ängstlichkeit, speziell während der Darbietung furchtrelevanter Reize mit geringerer Präfrontalkortex Aktivierung in Verbindung gebracht. Des Weiteren konnte gezeigt werden, dass die Art der Verarbeitung im Wesentlichen bestimmt, ob überhaupt regulatorische Vorgänge in Gang gesetzt werden und dass insbesondere ängstliche Probanden eine allgemein verminderte präfrontale Aktivierung zeigen. Die Ergebnisse deuten jedoch auch darauf hin, dass diese regulatorischen Prozesse bei Ängstlichen möglicherweise früher aktiviert werden als bei weniger Ängstlichen. Das aktive Eingreifen in die Präfrontalfunktion bei Gesunden führte jedoch nicht zu den typischen neuronalen und Verhaltensmustern, wie sie bei Patienten mit Angststörungen beobachtet werden, was wiederum die Annahme nahe legt, dass andere subkortikale oder präfrontale Strukturen für eine Aktivitätsverringerung in einer bestimmten Region kompensieren können. Zusammenfassend kann gesagt werden, dass die vorliegenden Ergebnisse aktuelle Theorien einer zentralen Rolle des Präfrontalkortex in Bezug auf regulatorische Prozesse während der Konfrontation mit furchtrelevanten Reizen untermauern, jedoch auch zeigen, dass es eine Reihe an individuellen Charakteristika und Feinheiten im jeweiligen experimentellen Design gibt, die potentielle Effekte in Bildgebungsstudien zur Furchtregulation beeinflussen oder sogar maskieren können. KW - Neurogenetik KW - NIR-Spektroskopie KW - Furcht KW - Herzfrequenzvariabilität KW - ranskranielle magnetische Stimulation KW - Emotionsregulation KW - Präfrontaler Cortex KW - Theta Burst Stimulation KW - Neuropeptid S Rezeptor Gen KW - emotionale Interferenz KW - emotion regulation KW - prefrontal cortex KW - theta burst stimulation KW - neuropeptide S receptor gene KW - emotional interference KW - Angst KW - Neurowissenschaften Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-85673 ER - TY - JOUR A1 - Truswell, Arthur Stewart T1 - Medical history of obesity N2 - This paper contains the following sections, in approximate chronological order: Early years, Scientific research on energy metabolism, Clinical teaching, Evidence on health risks, Slow recognition of obesity in diabetes, Depression and war, some Obesity research continued in the 1950s and 1960s, New approaches to management, a Universal standard weight for height, Luxuskonsumption, Calories (incompletely) replaced by Joules, Food intakes of obese people, Genetics, unexpected Surge of obesity from 1980, Diabetes, Scarcity of effective, safe drugs for obesity, Leptin and Ghrelin stimulate basic research, Why has the obesity epidemic happened? What is the best weight-reducing diet? Bariatric surgery KW - Fettsucht KW - Ernährung KW - Diät KW - Stoffwechsel KW - Geschichte KW - obesity KW - nutrition KW - dieting KW - energy metabolism KW - Medical history KW - Obesity history KW - Diabetes history Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-78910 ER - TY - JOUR A1 - Timofeev, Oleg A1 - Schlereth, Katharina A1 - Wanzel, Michael A1 - Braun, Attila A1 - Nieswandt, Bernhard A1 - Pagenstecher, Axel A1 - Rosenwald, Andreas A1 - Elsässer, Hans-Peter A1 - Stiewe, Thorsten T1 - p53 DNA Binding Cooperativity Is Essential for Apoptosis and Tumor Suppression In Vivo JF - Cell Reports N2 - Four molecules of the tumor suppressor p53 assemble to cooperatively bind proapoptotic target genes. The structural basis for cooperativity consists of interactions between adjacent DNA binding domains. Mutations at the interaction interface that compromise cooperativity were identified in cancer patients, suggesting a requirement of cooperativity for tumor suppression. We report on an analysis of cooperativity mutant p53(E177R) mice. Apoptotic functions of p53 triggered by DNA damage and oncogenes were abolished in these mice, whereas functions in cell-cycle control, senescence, metabolism, and antioxidant defense were retained and were sufficient to suppress development of spontaneous T cell lymphoma. Cooperativity mutant mice are nevertheless highly cancer prone and susceptible to different oncogene-induced tumors. Our data underscore the relevance of DNA binding cooperativity for p53-dependent apoptosis and tumor suppression and highlight cooperativity mutations as a class of p53 mutations that result in a selective loss of apoptotic functions due to an altered quaternary structure of the p53 tetramer. KW - mutant p53 KW - senescence KW - mice KW - tumorigenesis KW - restoration KW - damage responses KW - antioxidant function KW - p53-inducible regulator KW - p53-dependent apoptosis KW - cell-cycle arrest Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-122168 VL - 3 ER - TY - JOUR A1 - Thierschmann, H. A1 - Henke, M. A1 - Knorr, J. A1 - Maier, L. A1 - Heyn, C. A1 - Hansen, W. A1 - Buhmann, H. A1 - Molenkamp, L. W. T1 - Diffusion thermopower of a serial double quantum dot JF - New Journal of Physics N2 - We have experimentally studied the diffusion thermopower of a serial double quantum dot, defined electrostatically in a GaAs/AlGaAs heterostructure. We present the thermopower stability diagram for a temperature difference 1T = (20±10)mK across the device and find a maximum thermovoltage signal of several μV in the vicinity of the triple points. Along a constant energy axis in this regime, the data show a characteristic pattern which is in agreement with Mott’s relation and can be well understood within a model of sequential transport. KW - quantum dot Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-129714 VL - 15 IS - 123010 ER - TY - THES A1 - Thangaraj Selvaraj, Bhuvaneish T1 - Role of CNTF-STAT3 signaling for microtubule dynamics inaxon growth and maintenance: Implications in motoneuron diseases T1 - Die Funktion des CNTF-STAT3 Signalweges für die Microtubuli Dynamik in Axonalem Wachstum und Axon Erhalt: Implikationen für Motoneuronenerkrankungen N2 - Neurotrophic factor signaling modulates differentiation, axon growth and maintenance, synaptic plasticity and regeneration of neurons after injury. Ciliary neurotrophic factor (CNTF), a Schwann cell derived neurotrophic factor, has an exclusive role in axon maintenance, sprouting and synaptic preservation. CNTF, but not GDNF, has been shown to alleviate motoneuron degeneration in pmn mutant mice carrying a missense mutation in Tbce gene, a model for Amyotrophic Lateral Sclerosis (ALS). This current study elucidates the distinct signaling mechanism by which CNTF rescues the axonal degeneration in pmn mutant mice. ... N2 - Neurotrophe Faktoren beeinflussendie die neuronale Differenzierung, das Wachstum und die Stabilisierung von Axonen sowie Synaptische Plastizität und die Regeneration von Neuronen nach Verletzung. Der von Schwannzellen synthetisierte neurotrophe Faktor Ciliary neurotrophic factor (CNTF) spielt eine wichtige Rolle bei der axonalen Erhaltung sowie bei der Induktion und Reduktion von axonalen Verzweigungen. Die Behandlung der pmn Mausmutante mit CNTF, aber nicht mit GDNF führt zu einem späteren Krankheitsbeginn und verminderten Fortschreiten der Motoneuronendegeneration. Diese Mausmutante, die eine Punktmutation im Tbce Gen trägt, dient als Modell für die Amyotrophe Lateralsklerose. Ziel der vorliegenden Arbeit war es, die zugrunde liegenden Signalkaskaden aufzudecken, die den CNTF-vermittelten Effekt auf den Krnakheitsverlauf bei der pmn Maus verursachen. ... KW - Ciliary neurotrophic factor KW - STAT KW - CNTF KW - STAT3 KW - Stathmin KW - Microtubules KW - Signaltransduktion KW - Motoneuron KW - Krankheit Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-76889 ER - TY - JOUR A1 - Tessmer, Ingrid A1 - Kaur, Parminder A1 - Lin, Jiangguo A1 - Wang, Hong T1 - Investigating bioconjugation by atomic force microscopy JF - Journal of Nanobiotechnology N2 - Nanotechnological applications increasingly exploit the selectivity and processivity of biological molecules. Integration of biomolecules such as proteins or DNA into nano-systems typically requires their conjugation to surfaces, for example of carbon-nanotubes or fluorescent quantum dots. The bioconjugated nanostructures exploit the unique strengths of both their biological and nanoparticle components and are used in diverse, future oriented research areas ranging from nanoelectronics to biosensing and nanomedicine. Atomic force microscopy imaging provides valuable, direct insight for the evaluation of different conjugation approaches at the level of the individual molecules. Recent technical advances have enabled high speed imaging by AFM supporting time resolutions sufficient to follow conformational changes of intricately assembled nanostructures in solution. In addition, integration of AFM with different spectroscopic and imaging approaches provides an enhanced level of information on the investigated sample. Furthermore, the AFM itself can serve as an active tool for the assembly of nanostructures based on bioconjugation. AFM is hence a major workhorse in nanotechnology; it is a powerful tool for the structural investigation of bioconjugation and bioconjugation-induced effects as well as the simultaneous active assembly and analysis of bioconjugation-based nanostructures. KW - nanorobot KW - biosensors KW - nanomedicine KW - nanolithography KW - nanoelectronics KW - bioconjugation KW - nanotechnology KW - atomic force microscopy (AFM) KW - DNA origami KW - single molecule Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-129477 VL - 11 IS - 25 ER - TY - JOUR A1 - Tappe, Dennis A1 - Haeupler, Alexandra A1 - Schäfer, Hansjörg A1 - Racz, Paul A1 - Cramer, Jakob P. A1 - Poppert, Sven T1 - Armillifer armillatus Pentastomiasis in African Immigrant, Germany JF - Emerging Infectious Diseases N2 - No abstract available. Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-129054 N1 - Public Domain (Source: http://wwwnc.cdc.gov/eid/page/copyright-and-disclaimers) VL - 19 IS - 3 ER - TY - JOUR A1 - Szalay, Aladar A A1 - Weibel, Stephanie A1 - Hofmann, Elisabeth A1 - Basse-Luesebrink, Thomas Christian A1 - Donat, Ulrike A1 - Seubert, Carolin A1 - Adelfinger, Marion A1 - Gnamlin, Prisca A1 - Kober, Christina A1 - Frentzen, Alexa A1 - Gentschev, Ivaylo A1 - Jakob, Peter Michael T1 - Treatment of malignant effusion by oncolytic virotherapy in an experimental subcutaneous xenograft model of lung cancer JF - Journal of Translational Medicine N2 - Background Malignant pleural effusion (MPE) is associated with advanced stages of lung cancer and is mainly dependent on invasion of the pleura and expression of vascular endothelial growth factor (VEGF) by cancer cells. As MPE indicates an incurable disease with limited palliative treatment options and poor outcome, there is an urgent need for new and efficient treatment options. Methods In this study, we used subcutaneously generated PC14PE6 lung adenocarcinoma xenografts in athymic mice that developed subcutaneous malignant effusions (ME) which mimic pleural effusions of the orthotopic model. Using this approach monitoring of therapeutic intervention was facilitated by direct observation of subcutaneous ME formation without the need of sacrificing mice or special imaging equipment as in case of MPE. Further, we tested oncolytic virotherapy using Vaccinia virus as a novel treatment modality against ME in this subcutaneous PC14PE6 xenograft model of advanced lung adenocarcinoma. Results We demonstrated significant therapeutic efficacy of Vaccinia virus treatment of both advanced lung adenocarcinoma and tumor-associated ME. We attribute the efficacy to the virus-mediated reduction of tumor cell-derived VEGF levels in tumors, decreased invasion of tumor cells into the peritumoral tissue, and to viral infection of the blood vessel-invading tumor cells. Moreover, we showed that the use of oncolytic Vaccinia virus encoding for a single-chain antibody (scAb) against VEGF (GLAF-1) significantly enhanced mono-therapy of oncolytic treatment. Conclusions Here, we demonstrate for the first time that oncolytic virotherapy using tumor-specific Vaccinia virus represents a novel and promising treatment modality for therapy of ME associated with advanced lung cancer. KW - Oncolytic virotherapy KW - Malignant effusion KW - Lung cancer KW - VEGF KW - Lungenkrebs KW - Vascular endothelial Growth Factor Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-96016 UR - http://www.translational-medicine.com/content/11/1/106 ER - TY - JOUR A1 - Szabó, Áron A1 - Papin, Christian A1 - Zorn, Daniela A1 - Ponien, Prishila A1 - Weber, Frank A1 - Raabe, Thomas A1 - Rouyer, François T1 - The CK2 Kinase Stabilizes CLOCK and Represses Its Activity in the Drosophila Circadian Oscillator JF - PLoS Biology N2 - Phosphorylation is a pivotal regulatory mechanism for protein stability and activity in circadian clocks regardless of their evolutionary origin. It determines the speed and strength of molecular oscillations by acting on transcriptional activators and their repressors, which form negative feedback loops. In Drosophila, the CK2 kinase phosphorylates and destabilizes the PERIOD (PER) and TIMELESS (TIM) proteins, which inhibit CLOCK (CLK) transcriptional activity. Here we show that CK2 also targets the CLK activator directly. Downregulating the activity of the catalytic alpha subunit of CK2 induces CLK degradation, even in the absence of PER and TIM. Unexpectedly, the regulatory beta subunit of the CK2 holoenzyme is not required for the regulation of CLK stability. In addition, downregulation of \(CK2\alpha\) activity decreases CLK phosphorylation and increases per and tim transcription. These results indicate that CK2 inhibits CLK degradation while reducing its activity. Since the CK1 kinase promotes CLK degradation, we suggest that CLK stability and transcriptional activity result from counteracting effects of CK1 and CK2. KW - negative feedback loop KW - PER-TIM complex KW - posttranslational regulation KW - transcription factor KW - in-vivo KW - behavioral rhythms KW - proteins period KW - beta-subunit KW - phosphorylation KW - gene KW - CT, circadian time KW - LD, light:dark KW - DD, constant darkness Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-127234 SN - 1545-7885 VL - 11 IS - 8 ER - TY - JOUR A1 - Streng, Andrea A1 - Grote, Veit A1 - Carr, David A1 - Hagemann, Christine A1 - Liese, Johannes G. T1 - Varicella routine vaccination and the effects on varicella epidemiology – results from the Bavarian Varicella Surveillance Project (BaVariPro), 2006-2011 JF - BMC Infectious Diseases N2 - Background In 2004, routine varicella vaccination was recommended in Germany for children 11-14 months of age with one dose, and since 2009, with a second dose at 15-23 months of age. The effects on varicella epidemiology were investigated. Methods Data on varicella vaccinations, cases and complications were collected from annual parent surveys (2006-2011), monthly paediatric practice surveillance (Oct 2006 - Sep 2011; five varicella seasons) and paediatric hospital databases (2005-2009) in the area of Munich (about 238,000 paediatric inhabitants); annual incidences of cases and hospitalisations were estimated. Results Varicella vaccination coverage (1st dose) in children 18-36 months of age increased in two steps (38%, 51%, 53%, 53%, 66% and 68%); second-dose coverage reached 59% in the 2011 survey. A monthly mean of 82 (62%) practices participated; they applied a total of 50,059 first-dose and 40,541 second-dose varicella vaccinations, with preferential use of combined MMR-varicella vaccine after recommendation of two doses, and reported a total of 16,054 varicella cases <17 years of age. The mean number of cases decreased by 67% in two steps, from 6.6 (95%CI 6.1-7.0) per 1,000 patient contacts in season 2006/07 to 4.2 (95%CI 3.9-4.6) in 2007/08 and 4.0 (95%CI 3.6-4.3) in 2008/09, and further to 2.3 (95%CI 2.0-2.6) in 2009/10 and 2.2 (95%CI 1.9-2.5) in 2010/11. The decrease occurred in all paediatric age groups, indicating herd protection effects. Incidence of varicella was estimated as 78/1,000 children <17 years of age in 2006/07, and 19/1,000 in 2010/11. Vaccinated cases increased from 0.3 (95%0.2-0.3) per 1,000 patient contacts in 2006/07 to 0.4 (95%CI 0.3-0.5) until 2008/09 and decreased to 0.2 (95%CI 0.2-0.3) until 2010/11. The practices treated a total of 134 complicated cases, mainly with skin complications. The paediatric hospitals recorded a total of 178 varicella patients, including 40 (22.5%) with neurological complications and one (0.6%) fatality due to varicella pneumonia. Incidence of hospitalisations decreased from 7.6 per 100,000 children <17 years of age in 2005 to 4.3 in 2009, and from 21.0 to 4.7 in children <5 years of age. Conclusions Overall, the results show increasing acceptance and a strong impact of the varicella vaccination program, even with still suboptimal vaccination coverage. KW - Varicella KW - Surveillance KW - Coverage KW - Vaccination KW - Hospitalisation KW - Paediatric KW - Incidence Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-96297 UR - http://www.biomedcentral.com/1471-2334/13/303 ER - TY - JOUR A1 - Streinzer, Martin A1 - Brockmann, Axel A1 - Nagaraja, Narayanappa A1 - Spaethe, Johannes T1 - Sex and Caste-Specific Variation in Compound Eye Morphology of Five Honeybee Species JF - PLoS ONE N2 - Ranging from dwarfs to giants, the species of honeybees show remarkable differences in body size that have placed evolutionary constrains on the size of sensory organs and the brain. Colonies comprise three adult phenotypes, drones and two female castes, the reproductive queen and sterile workers. The phenotypes differ with respect to tasks and thus selection pressures which additionally constrain the shape of sensory systems. In a first step to explore the variability and interaction between species size-limitations and sex and caste-specific selection pressures in sensory and neural structures in honeybees, we compared eye size, ommatidia number and distribution of facet lens diameters in drones, queens and workers of five species (Apis andreniformis, A. florea, A. dorsata, A. mellifera, A. cerana). In these species, male and female eyes show a consistent sex-specific organization with respect to eye size and regional specialization of facet diameters. Drones possess distinctly enlarged eyes with large dorsal facets. Aside from these general patterns, we found signs of unique adaptations in eyes of A. florea and A. dorsata drones. In both species, drone eyes are disproportionately enlarged. In A. dorsata the increased eye size results from enlarged facets, a likely adaptation to crepuscular mating flights. In contrast, the relative enlargement of A. florea drone eyes results from an increase in ommatidia number, suggesting strong selection for high spatial resolution. Comparison of eye morphology and published mating flight times indicates a correlation between overall light sensitivity and species-specific mating flight times. The correlation suggests an important role of ambient light intensities in the regulation of species-specific mating flight times and the evolution of the visual system. Our study further deepens insights into visual adaptations within the genus Apis and opens up future perspectives for research to better understand the timing mechanisms and sensory physiology of mating related signals. KW - eyes KW - foraging KW - honey bees KW - insect flight KW - physiological parameters KW - sensory systems KW - vision KW - visual system Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-96412 ER - TY - THES A1 - Streinzer, Martin T1 - Sexual dimorphism of the sensory systems in bees (Hymenoptera, Apoidea) and the evolution of sex-specific adaptations in the context of mating behavior T1 - Sensorischer Geschlechtsdimorphismus bei Bienen (Hymenoptera, Apoidea) und die Evolution geschlechtsspezifischer Anpassungen im Kontext des Paarungsverhaltens N2 - Bees have had an intimate relationship with humans for millennia, as pollinators of fruit, vegetable and other crops and suppliers of honey, wax and other products. This relationship has led to an extensive understanding of their ecology and behavior. One of the most comprehensively understood species is the Western honeybee, Apis mellifera. Our understanding of sex-specific investment in other bees, however, has remained superficial. Signals and cues employed in bee foraging and mating behavior are reasonably well understood in only a handful of species and functional adaptations are described in some species. I explored the variety of sensory adaptations in three model systems within the bees. Females share a similar ecology and similar functional morphologies are to be expected. Males, engage mainly in mating behavior. A variety of male mating strategies has been described which differ in their spatiotemporal features and in the signals and cues involved, and thus selection pressures. As a consequence, males’ sensory systems are more diverse than those of females. In the first part I studied adaptations of the visual system in honeybees. I compared sex and caste-specific eye morphology among 5 species (Apis andreniformis, A. cerana, A. dorsata, A. florea, A. mellifera). I found a strong correlation between body size and eye size in both female castes. Queens have a relatively reduced visual system which is in line with the reduced role of visual perception in their life history. Workers differed in eye size and functional morphology, which corresponds to known foraging differences among species. In males, the eyes are conspicuously enlarged in all species, but a disproportionate enlargement was found in two species (A. dorsata, A. florea). I further demonstrate a correlation between male visual parameters and mating flight time, and propose that light intensities play an important role in the species-specific timing of mating flights. In the second study I investigated eye morphology differences among two phenotypes of drones in the Western honeybee. Besides normal-sized drones, smaller drones are reared in the colony, and suffer from reduced reproductive success. My results suggest that the smaller phenotype does not differ in spatial resolution of its visual system, but suffers from reduced light and contrast sensitivity which may exacerbate the reduction in reproductive success caused by other factors. In the third study I investigated the morphology of the visual system in bumblebees. I explored the association between male eye size and mating behavior and investigated the diversity of compound eye morphology among workers, queens and males in 11 species. I identified adaptations of workers that correlate with distinct foraging differences among species. Bumblebee queens must, in contrast to honeybees, fulfill similar tasks as workers in the first part of their life, and correspondingly visual parameters are similar among both female castes. Enlarged male eyes are found in several subgenera and have evolved several times independently within the genus, which I demonstrate using phylogenetic informed statistics. Males of these species engage in visually guided mating behavior. I find similarities in the functional eye morphology among large-eyed males in four subgenera, suggesting convergent evolution as adaptation to similar visual tasks. In the remaining species, males do not differ significantly from workers in their eye morphology. In the fourth study I investigated the sexual dimorphism of the visual system in a solitary bee species. Males of Eucera berlandi patrol nesting sites and compete for first access to virgin females. Males have enlarged eyes and better spatial resolution in their frontal eye region. In a behavioral study, I tested the effect of target size and speed on male mate catching success. 3-D reconstructions of the chasing flights revealed that angular target size is an important parameter in male chasing behavior. I discuss similarities to other insects that face similar problems in visual target detection. In the fifth study I examined the olfactory system of E. berlandi. Males have extremely long antennae. To investigate the anatomical grounds of this elongation I studied antennal morphology in detail in the periphery and follow the sexual dimorphism into the brain. Functional adaptations were found in males (e.g. longer antennae, a multiplication of olfactory sensilla and receptor neurons, hypertrophied macroglomeruli, a numerical reduction of glomeruli in males and sexually dimorphic investment in higher order processing regions in the brain), which were similar to those observed in honeybee drones. The similarities and differences are discussed in the context of solitary vs. eusocial lifestyle and the corresponding consequences for selection acting on males. N2 - Bienen und Menschen verbindet eine lange andauernde und enge Beziehung. Diese enge Beziehung hat zu einem ausgeprägten Wissen über die Ökologie und das Verhalten geführt. Die am besten untersuchte Bienenart ist die westliche Honigbiene, Apis mellifera. Der ausgeprägte Kasten- und Sexualdimorphismus hat das Studium der Geschlechterunterschiede vereinfacht und vorangetrieben. Unser Wissen über geschlechtsspezifische Investitionen bei Bienen ist jedoch in vielerlei Hinsicht lückenhaft geblieben. Die Signale und Achtungssignale die im Paarungsverhalten eine Rolle spielen sind nur bei einer Handvoll Arten hinreichend bekannt und funktionelle Anpassungen an diese sind in wenigen Arten beschrieben. In dieser Arbeit habe ich sensorische Anpassungen an geschlechtsspezifische Verhaltensweisen in drei Bienengruppen genauer untersucht. Weibchen und Arbeiterinnen haben generell eine ähnliche Lebensweise. Männchen beschäftigen sich fast ausschließlich mit der Partnersuche. Infolgedessen, zeigt die Sensorik der Männchen eine größere Vielfalt an morphologischen und funktionellen Anpassungen als die der Weibchen. Im ersten Abschnitt dieser Arbeit habe ich Anpassungen des visuellen Systems von 5 Honigbienenarten (Apis andreniformis, A. cerana, A. dorsata, A. florea, A. mellifera) untersucht. Ich finde eine deutliche Korrelation zwischen Körper- und Augengröße bei beiden weiblichen Kasten. Königinnen haben relativ kleinere Augen als Arbeiterinnen, was der verringerten Rolle visueller Wahrnehmung im Lebenszyklus dieser Kaste entspricht. Die Arbeiterinnen unterschieden sich sowohl in ihrer Augengröße als auch in der funktionellen Morphologie. Die Unterschiede passen jeweils zu der artspezifischen Ökologie. Drohnen aller Arten haben auffällig vergrößerte Augen, jedoch sind sie in zwei Arten (A. dorsata, A. florea) überproportional vergrößert. Zusätzlich zeige ich, dass bestimmte Augenparameter mit dem artspezifischen Paarungszeitpunkt korrelieren, und schlage vor, dass die Lichtintensität eine Rolle bei der Feststellung des richtigen Paarungszeitpunktes spielen könnte. In der zweiten Untersuchung habe ich die Augen von zwei Drohnenphänotypen von A. mellifera untersucht. Neben normalen Drohen werden in der Kolonie auch kleinere Drohnen aufgezogen, die unter einem geringeren Fortpflanzungserfolg leiden. Meine Ergebnisse zeigen, dass sich die Phänotypen vermutlich nicht in der räumlichen Auflösungsfähigkeit, jedoch in der Lichtempfindlichkeit der Augen von normalen Drohnen unterscheiden. In der dritten Untersuchung habe ich die Augenmorphologie bei 11 Hummelarten untersucht. Ich beschreibe in dieser Studie Anpassungen der Arbeiterinnen, die vermutlich mit der Habitatwahl im Zusammenhang stehen. Hummelköniginnen sind, im Gegensatz zu Königinnen der Honigbiene, in der ersten Zeit nach der Koloniegründung auf sich allein gestellt und müssen alle Aufgaben, die später von den Arbeiterinnen übernommen werden, selbst ausführen. Dementsprechend sind die Augen beider Weibchenkasten ähnlich in ihrer relativen Größe und funktionellen Morphologie. Vergrößerte Augen der Männchen können in Arten verschiedener Untergattungen gefunden werden und der Phänotyp ist im Laufe der Evolution mehrfach unabhängig entstanden, was ich mit phylogenetisch vergleichenden Methoden zeige. Die Augenmorphologie der vier untersuchten großäugigen Arten ist sehr ähnlich, was auf konvergente Evolution hinweist. Die Augenmorphologie der restlichen Arten unterscheidet sich hingegen nicht deutlich von jener der Weibchen. In der vierten Untersuchung habe ich mich dem Sexualdimorphismus der Solitärbienenart Eucera berlandi gewidmet. Männchen haben größere Augen und sowohl größere Facetten als auch eine höhere räumliche Auflösung im frontalen Gesichtsfeld als Weibchen. In einem Verhaltensversuch habe ich die Auswirkungen der Größe von Weibchendummies auf die Detektion getestet. In 3-D Rekonstruktionen der Weibchenverfolgung zeigte sich dass die Winkelgröße des Objektes, eine von der Distanz unabhängige Größe, eine wichtige Rolle spielt. Im Zusammenhang mit den gefundenen Daten diskutiere ich die Parallelen zu anderen Insektenarten. In der fünften Studie untersuche ich das olfaktorische System von E. berlandi. Männchen haben extreme lange Antennen. Um die anatomischen Grundlagen der geschlechtsspezifischen Antennenmorphologie zu untersuchen habe ich die Antennen beider Geschlechter im Detail studiert. Zusätzlich bin ich dem Dimorphismus entlang der olfaktorischen Bahn bis ins Gehirn gefolgt. Männchen zeige funktionelle Anpassungen (z.B. längere Antennen, eine höhere Anzahl an olfaktorischen Sensillen und Rezeptorneuronen, stark vergrößerte Glomeruli im Antennallobus, eine zahlenmäßige Reduktion der Glomeruli und geschlecherspezifische Investition in höhere Integrationszentren im Gehirn) an die Weibchendetektion. KW - Biene KW - Sinne KW - Verhalten KW - Neurobiologie KW - Geschlechtsunterschied KW - Biene KW - Hummel KW - Sinnesphysiologie KW - Evolution KW - bees KW - sensory ecology KW - evolution KW - visual system Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-78689 ER - TY - JOUR A1 - Stotz, Henrik U. A1 - Mueller, Stefan A1 - Zoeller, Maria A1 - Mueller, Martin J. A1 - Berger, Susanne T1 - TGA transcription factors and jasmonate-independent COI1 signalling regulate specific plant responses to reactive oxylipins JF - Journal of Experimental Botany N2 - Jasmonates and phytoprostanes are oxylipins that regulate stress responses and diverse physiological and developmental processes. 12-Oxo-phytodienoic acid (OPDA) and phytoprostanes are structurally related electrophilic cyclopentenones, which activate similar gene expression profiles that are for the most part different from the action of the cyclopentanone jasmonic acid (JA) and its biologically active amino acid conjugates. Whereas JA–isoleucine signals through binding to COI1, the bZIP transcription factors TGA2, TGA5, and TGA6 are involved in regulation of gene expression in response to phytoprostanes. Here root growth inhibition and target gene expression were compared after treatment with JA, OPDA, or phytoprostanes in mutants of the COI1/MYC2 pathway and in different TGA factor mutants. Inhibition of root growth by phytoprostanes was dependent on COI1 but independent of jasmonate biosynthesis. In contrast, phytoprostane-responsive gene expression was strongly dependent on TGA2, TGA5, and TGA6, but not dependent on COI1, MYC2, TGA1, and TGA4. Different mutant and overexpressing lines were used to determine individual contributions of TGA factors to cyclopentenone-responsive gene expression. Whereas OPDA-induced expression of the cytochrome P450 gene CYP81D11 was primarily regulated by TGA2 and TGA5, the glutathione S-transferase gene GST25 and the OPDA reductase gene OPR1 were regulated by TGA5 and TGA6, but less so by TGA2. These results support the model that phytoprostanes and OPDA regulate differently (i) growth responses, which are COI1 dependent but jasmonate independent; and (ii) lipid stress responses, which are strongly dependent on TGA2, TGA5, and TGA6. Identification of molecular components in cyclopentenone signalling provides an insight into novel oxylipin signal transduction pathways. KW - lipid signaling KW - reactive electrophile oxylipins KW - detoxification KW - class II TGA factors KW - biotic and abiotic stress KW - arabidopsis thaliana Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-132318 VL - 64 IS - 4 ER - TY - JOUR A1 - Stoevesandt, Johanna A1 - Hofmann, Bernd A1 - Hain, Johannes A1 - Kerstan, Andreas A1 - Trautmann, Axel T1 - Single venom-based immunotherapy effectively protects patients with double positive tests to honey bee and Vespula venom JF - Allergy, Asthma & Clinical Immunology N2 - Background Referring to individuals with reactivity to honey bee and Vespula venom in diagnostic tests, the umbrella terms “double sensitization” or “double positivity” cover patients with true clinical double allergy and those allergic to a single venom with asymptomatic sensitization to the other. There is no international consensus on whether immunotherapy regimens should generally include both venoms in double sensitized patients. Objective We investigated the long-term outcome of single venom-based immunotherapy with regard to potential risk factors for treatment failure and specifically compared the risk of relapse in mono sensitized and double sensitized patients. Methods Re-sting data were obtained from 635 patients who had completed at least 3 years of immunotherapy between 1988 and 2008. The adequate venom for immunotherapy was selected using an algorithm based on clinical details and the results of diagnostic tests. Results Of 635 patients, 351 (55.3%) were double sensitized to both venoms. The overall re-exposure rate to Hymenoptera stings during and after immunotherapy was 62.4%; the relapse rate was 7.1% (6.0% in mono sensitized, 7.8% in double sensitized patients). Recurring anaphylaxis was statistically less severe than the index sting reaction (P = 0.004). Double sensitization was not significantly related to relapsing anaphylaxis (P = 0.56), but there was a tendency towards an increased risk of relapse in a subgroup of patients with equal reactivity to both venoms in diagnostic tests (P = 0.15). Conclusions Single venom-based immunotherapy over 3 to 5 years effectively and long-lastingly protects the vast majority of both mono sensitized and double sensitized Hymenoptera venom allergic patients. Double venom immunotherapy is indicated in clinically double allergic patients reporting systemic reactions to stings of both Hymenoptera and in those with equal reactivity to both venoms in diagnostic tests who have not reliably identified the culprit stinging insect. KW - Anaphylaxis KW - Double sensitization KW - Field sting KW - Honey bee KW - Hymenoptera venom KW - Immunotherapy KW - Relapse KW - Risk factor KW - Treatment failure KW - Vespula Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-96808 UR - http://www.aacijournal.com/content/9/1/33 ER - TY - JOUR A1 - Steppuhn, Henriette A1 - Langen, Ute A1 - Scheidt-Nave, Christa A1 - Keil, Thomas T1 - Major comorbid conditions in asthma and association with asthma-related hospitalizations and emergency department admissions in adults: results from the German national health telephone interview survey (GEDA) 2010 JF - BMC Pulmonary Medicine N2 - Background: It remains unclear to what extent asthma in adults is linked to allergic rhinitis (AR), gastroesophageal reflux disease (GERD), and acetylsalicylic acid exacerbated respiratory disease (AERD), and how these comorbidities may affect asthma outcomes in the general population. We therefore aimed to assess the prevalence of these major comorbidities among adults with asthma and examine their impact on asthma exacerbations requiring hospital care. Methods: A total of 22,050 adults 18 years and older were surveyed in the German National Health Telephone Interview Survey (GEDA) 2010 using a highly standardized computer-assisted interview technique. The study population comprised participants with self-reported physician-diagnosed asthma, among which the current (last 12 months) prevalence of AR and GERD-like symptoms (GERS), and life-time prevalence of AERD was estimated. Weighted bivariate analyses and logistic regression models were applied to assess the association of each comorbid condition with the asthma outcome (any self-reported asthma-related hospitalization and/or emergency department (ED) admission in the past year). Results: Out of 1,136 adults with asthma, 49.6% had GERS and 42.3% had AR within the past 12 months; 14.0% met the criteria of AERD, and 75.7% had at least one out of the three conditions. Overall, the prevalence of at least one exacerbation requiring emergency room or hospital admission within the past year was 9.0%. Exacerbation prevalence was higher among participants with comorbidities than among those without (9.8% vs. 8.2% for GERS; 11.2% vs. 7.6% for AR, and 22.2% vs. 7.0% for AERD), but only differences in association with AERD were statistically significant. A strong association between asthma exacerbation and AERD persisted in multivariable logistic regression analyses adjusting for sex, age group, level of body mass index, smoking status, educational attainment, and duration of asthma: odds ratio (OR) = 4.5, 95% confidence interval (CI) = 2.5-8.2. Conclusions: Data from this large nation-wide study provide evidence that GERS, AR and AERD are all common comorbidities among adults with asthma. Our data underline the public health and clinical impact of asthma with complicating AERD, contributing considerably to disease-specific hospitalization and/or ED admission in a defined asthma population, and emphasize the importance of its recognition in asthma care. KW - management KW - update KW - impact KW - risk KW - severity KW - prevalence KW - clinical-practice KW - aspirin sensitivity KW - allergic rhinitis KW - exacebrated respiratory-disease KW - gastroesophageal reflux disease KW - gastroesophageal reflux KW - hospitalization KW - national health survey KW - acetylsalicylic acid exacerbated respiratory disease KW - adult KW - aspirin-induced asthma KW - asthma Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-122121 VL - 13 IS - 46 ER - TY - JOUR A1 - Steinke, Sabine I. B. A1 - Peitsch, Wiebke K. A1 - Ludwig, Alexander A1 - Goebeler, Matthias T1 - Cost-of-Illness in Psoriasis: Comparing Inpatient and Outpatient Therapy JF - PLOS ONE N2 - Treatment modalities of chronic plaque psoriasis have dramatically changed over the past ten years with a still continuing shift from inpatient to outpatient treatment. This development is mainly caused by outpatient availability of highly efficient and relatively well-tolerated systemic treatments, in particular BioLogicals. In addition, inpatient treatment is time-and cost-intense, conflicting with the actual burst of health expenses and with patient preferences. Nevertheless, inpatient treatment with dithranol and UV light still is a major mainstay of psoriasis treatment in Germany. The current study aims at comparing the total costs of inpatient treatment and outpatient follow-up to mere outpatient therapy with different modalities (topical treatment, phototherapy, classic systemic therapy or BioLogicals) over a period of 12 months. To this end, a retrospective cost-of-illness study was conducted on 120 patients treated at the University Medical Centre Mannheim between 2005 and 2006. Inpatient therapy caused significantly higher direct medical, indirect and total annual costs than outpatient treatment (13,042 (sic) versus 2,984 (sic)). Its strong influence on cost levels was confirmed by regression analysis, with total costs rising by 104.3% in case of inpatient treatment. Patients receiving BioLogicals produced the overall highest costs, whereas outpatient treatment with classic systemic antipsoriatic medications was less cost-intense than other alternatives. KW - plaque-type psoriasis KW - health-care costs KW - patient preferences KW - disease severity KW - United States KW - moderate KW - life KW - multicenter KW - biologics KW - Germany Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-128235 SN - 1932-6203 VL - 8 IS - 10 ER - TY - JOUR A1 - Steinbacher, A. A1 - Buback, J. A1 - Nuernberger, P. A1 - Brixner, T. T1 - Precise and rapid detection of optical activity for accumulative femtosecond spectroscopy JF - EPJ Web of Conferences N2 - We present a fast and sensitive polarimeter combining common-path optical heterodyne interferometry and accumulative spectroscopy to detect rotatory power. The sensitivity of rotatory detection is determined to be 0.10 milli-degrees for a measurement time of only one second and an interaction length of 250 µm. Its suitability for femtosecond studies is demonstrated in a non-resonant two-photon photodissociation experiment. KW - Optical Activity KW - Accumulative Femtosecond Spectroscopy Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-129124 VL - 41 ER - TY - THES A1 - Stegmann, Martin T1 - Identification of PUB22 Targets and Functional Characterization in PAMP-Triggered Immunity T1 - Identifizierung von PUB22 Zielproteinen und deren funktionelle Charakterisierung in der PAMP-vermittelten Immunantwort N2 - The three closely related PUB proteins PUB22, PUB23 and PUB24 were described as important regulators for PTI signaling and plant immunity. To find cellular targets regulated by the action of the PUB triplet we performed a yeast two-hybrid screen to identify candidate target proteins of PUB22. We could identify Exo70B2 as a target protein of PUB22, which is ubiquitinated by the E3-ubiquitin ligase and consequently degraded in response to flg22 perception. The importance of Exo70B2 for immunity was shown by reverse genetics, demonstrating that exo70B2 mutants are impaired in PTI signaling and plant immunity. Exo70B2 is one of 23 homologs of the yeast Exo70p in Arabidopsis thaliana, which is a subunit of an octameric protein complex, termed the exocyst. The exocyst complex is required for the tethering of post-Golgi vesicles to specific target membranes and thus an important component of intracellular vesicle trafficking. The elucidated function of Exo70B2 and its requirement for PTI signaling is a novel finding and similar functions had not yet been described for the exocyst complex or subunits thereof in plants. Additional target proteins of PUB22 are also predicted to be involved in vesicle trafficking processes, suggesting that PUB22 has specialized to regulate trafficking protein complexes required for PTI signaling. Furthermore, the presented work suggests a mechanism for the regulation of Exo70B2 ubiquitination by PUB22. PUB22 was shown to be intrinsically instable due to its autocatalytic ubiquitination activity. Flg22 treatment induced the rapid post-translational stabilization of PUB22. This potentially enables the ligase to efficiently interact with Exo70B2, resulting in its polyubiquitination and 26S-proteasome-dependent turnover. N2 - Die drei E3-Ubiquitin-Ligasen vom Pflanzen U-box Typ (PUB), PUB22, PUB23 und PUB24, wurden als wichtige Regulatoren der Pathogen-assozierten Molekülmuster (PAMP)-vermittelten Signaltransduktion und der damit verbundenen pflanzlichen Immunantwort beschrieben. Es wurde ein Hefe Zwei-Hybridscreen mit PUB22 durchgeführt, um die zellulären Vorgänge besser zu verstehen, welche durch die drei PUB Proteine reguliert werden. Mit Hilfe des Screens konnte Exo70B2 als ein Zielprotein von PUB22 identifiziert werden. Exo70B2 wird von PUB22 ubiquitiniert und nach Erkennung von flg22 durch das 26S-Proteasom abgebaut. In weiterführenden Experimenten konnte die Bedeutung von Exo70B2 für die pflanzliche Abwehrreaktion gezeigt werden. Mutanten von exo70B2 zeigten verminderte PAMP-vermittelte Signaltransduktion und eine beeinträchtigte Immunreaktion. Exo70B2 ist eines von 23 Arabidopsis Homologen des Exo70p Proteins aus Hefe. Exo70p ist eine Untereinheit des oktameren Exozystkomplexes, welcher für das Andocken von post-Golgi Vesikeln an spezifischen Zielmembranen benötigt wird. Der Exozystkomplex stellt demnach eine wichtige Komponente des intrazellulären Vesikeltransports dar. Die aufgeklärte Funktion von Exo70B2 und seine Bedeutung für die PAMP-vermittelte Signaltransduktion wurde bisher noch nicht für den Exozystkomplex oder einzelner seiner Untereinheiten im pflanzlichen System beschrieben. Demnach tragen die Ergebnisse dieser Arbeit zur Erkenntnis neuer Funktionen des Exozystkomplexes der Pflanze bei. Zusätzliche Zielproteine von PUB22 werden ebenfalls mit der Beteiligung an intrazellulären Vesikeltransportprozessen in Verbindung gebracht. Dies legt die Vermutung nahe, dass sich PUB22 auf die Regulation von Vesikeltransportprozessen spezialisiert hat, die für die PAMP-vermittelte Signalübertragung benötigt werden. Des Weiteren schlagen die Ergebnisse der vorliegenden Arbeit einen Regulationsmechanismus für die PUB22-vermittelte Exo70B2-Ubiquitinierung vor. Es konnte gezeigt werden, dass PUB22 intrinsisch instabil ist, was auf seine autokatalytische Ubiquitinierungsaktivität zurückzuführen ist. Nach Behandlung mit flg22 konnte eine rapide posttranslationale Stabilisierung von PUB22 beobachtet werden. Dies erlaubt möglicherweise die Interaktion mit Exo70B2, was zur Polyubiquitinierung und zum 26S-Proteasom-vermittelten Abbau des Zielproteins führt. KW - Ubiquitinligase KW - Exozytose KW - PTI signalling KW - vesicle trafficking KW - plant immunity Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-92061 ER - TY - THES A1 - Steckel, Juliane T1 - Effects of landscape heterogeneity and land use on interacting groups of solitary bees, wasps and their flying and ground-dwelling antagonists T1 - Effekte von Landschaftsheterogenität und Landnutzung auf interagierende Gruppen solitärer Bienen, Wespen und ihrer fliegenden und bodenlebenden Gegenspieler N2 - Die Heterogenität unserer heutigen Landschaften und Habitate ist geprägt und von jahrzehntelanger Landnutzungsintensivierung. Die daraus hervorgegangene Verarmung von weiträumigen Arealen führte zu einer zeitlich und räumlich stark eingeschränkten Verfügbarkeit von Nistmöglichkeiten und Nahrungsressourcen für Wildbienen und Wespen. Die Folgen sich verändernder Ressourcenverfügbarkeit für Wildbienen und Wespen war und ist eine Gefährdung der Artenvielfalt und der Ökosystemprozesse, die diese Arten in Gang halten. Konsequenzen für diese wichtigen Bestäuber und Prädatoren sind kaum erforscht, genauso wenig wie für ihre Gegenspieler als natürliche Top-Down-Regulatoren. Nisthilfen für Wildbienen, Wespen und ihre natürlichen Gegenspieler eignen sich hervorragend um diese Wissenslücken zu füllen, da sie wertvolle Einblicke gewähren in ansonsten verborgene trophische Interaktionen, wie Parasitierung und Prädation, aber auch in Ökosystemprozesse wie Bestäubung und Reproduktion. Somit stellten wir uns in Kapitel II zunächst die Frage, wie die Abundanz von stängelnistenden Bienen und Wespen im Grünland von dessen Bewirtschaftung abhängt. Außerdem untersuchten wir, wie Landnutzung die Effektivität der Top-Down-Regulation von Wildbienen und Wespen durch zwei verschiedene Gruppen von Gegenspielern beeinflusst. Dazu haben wir einer der beiden Gruppen, den bodenlebenden Gegenspielern, den Zugang zu den Nisthilfen vorenthalten. In einer großangelegten Feldstudie, die sich über drei verschiedene Regionen Deutschlands erstreckte, installierten wir 760 Nisthilfen auf 95 Grünlandflächen. Der Versuchsplan beinhaltete gemähte und nicht gemähte Versuchsplots, sowie Plots mit und ohne Ausschluss von Bodenprädatoren. Wildbienen und Wespen besiedelten die Nisthilfen unabhängig davon, ob Bodenprädatoren nun Zugang zu den Nisthilfen hatten oder nicht. Allerdings erhöhte sich die Rate der von fliegenden Gegenspielern gefressenen und parasitierten Brutzellen (Fressrate) sobald bodenlebende Gegenspieler ausgeschlossen wurden. Diese Fressrate war vom experimentellen Mähen unabhängig. Jedoch wiesen ungemähte Versuchsplots marginal signifikant mehr Brutzellen von Wespen auf. Beide Manipulationen, das Mähen und der Prädatorausschluss, interagierten signifikant. So wurden auf gemähten Plots, auf denen Bodenprädatoren ausgeschlossen waren, höhere Fressraten der fliegenden Gegenspieler beobachtet, während dieser Effekt auf der ungemähten Plots ausblieb. Das Thema in Kapitel III ist der relative Einfluss lokaler Grünlandnutzung, Landschaftsdiversität und Landschaftsstruktur auf Artenvielfalt und –abundanz von Wildbienen, Wespen und ihrer fliegenden Gegenspieler. Dazu kartierten wir Landnutzungstypen innerhalb konzentrischer Kreise um die Versuchsplots. Mithilfe der digitalisierten Landschaftsdaten berechneten wir Indices als Maße für Landschaftsdiversität und –struktur für acht Radien bis 2000 m. Der negative Effekt lokaler Landnutzung auf die Wirtsabundanz war nur marginal signifikant. Jedoch stellten wir einen positiven Effekt der Landschaftsdiversität innerhalb kleiner Radien auf die Artenvielfalt und –abundanz der Wirte fest. Die fliegenden Gegenspieler allerdings profitierten von einer komplexen Landschaftsstruktur innerhalb großer Radien. Die letzte Studie, vorgestellt in Kapitel IV, behandelt die Bedeutung von Ressourcenverfügbarkeit für die Dauer von Fouragierflügen und die sich daraus ergebenen Konsequenzen für den Reproduktionserfolg der Roten Mauerbiene. Dazu beobachteten wir nistenden Bienen auf 18 Grünlandflächen in zwei der Untersuchungsregionen in Deuschland. Wir ermittelten die lokale Landnutzungsintensität, lokale Blütendeckung sowie Landschaftsdiversität und –struktur als wichtige potentielle Einflussfaktoren. Jede Grünlandfläche wurde mit acht Nisthilfen und 50 weiblichen Bienen ausgestattet. Verschiedene Nestbau-Aktivitäten, wie Fouragierflüge für Pollen und Nektar, wurden aufgenommen. Wir stellten fest, dass Fouragierflüge für Pollen und Nektar in komplexen, strukturreichen Landschaften signifikant kürzer waren, dass jedoch weder lokale Faktoren, noch Landschaftsdiversität eine Rolle spielten. Wir konnten keinen Zusammenhang zwischen der Dauer von Fouragierflügen und Reproduktionserfolg feststellen. Um eine räumlich und zeitlich konstante Versorgung von Nahrungs- und Nistressourcen zu gewährleisten und damit biotische Interaktionen, Diversität und Besiedlungserfolg von Wildbienen, Wespen und ihrer Gegenspieler zu unterstützen, empfehlen wir Maßnahmen, die sowohl die lokale Landnutzung als auch unterschiedliche Landschaftsfaktoren berücksichtigen. N2 - Within the last decades, land use intensification reduced the heterogeneity of habitats and landscapes. The resulting pauperization led to habitats and landscapes that are spatially or temporally limited in food and nesting resources for solitary bees and wasps. Hence, biodiversity and ecosystem processes are seriously threatened. The impacts of changing resource conditions for valuable pollinators and (pest) predators remain poorly studied as well as their top-down regulation by natural enemies. Further, the reproductive success of solitary bees as response to changed resource distribution within foraging ranges is rarely examined. We considered trap-nesting bees, wasps and their antagonists as suitable model organisms to fill these gaps of knowledge, since trap nests provide insight into otherwise hidden trophic interactions, like parasitism and predation, as well as ecological processes, like pollination and reproduction. Moreover, trap-nesting species are established as essential biodiversity indicator taxa. Thus, we first asked in Chapter II how the reproduction of cavity-nesting bees and wasps in grasslands depends on local management Moreover, we tested land use effects on the effectiveness of two groups of antagonists in regulating bee and wasp populations by excluding ground-dwelling antagonists. We characterized nest closure type to determine their protective function against antagonist attacks. In a highly replicated, large-scaled study, we provided 95 grassland sites in three geographic regions in Germany with 760 trap-nests. The full factorial design comprised mown and unmown plots as well as plots with and without access of ground-dwelling predators to the trap nests. The colonization of bees and wasps was unaffected by ground-dwelling antagonists. However, excluding ground-dwellers enhanced the attack rate of flying antagonists. Experimental mowing marginally affected the colonization of wasps but not attack rates. Nevertheless, both treatments – mowing and predator exclusion – significantly interacted. The exclusion of ground-dwellers on mown plots resulted in higher attack rates of flying antagonists, whereas on unmown plots this effect of ground-dweller-exclusion on the attack rate of flying antagonists was not visible. Further, attack rates were determined by nest closure material, local abundance of different nest closure types as well as closure-associated antagonist species. In Chapter III, we studied the relative impact of local land use intensity, landscape composition and configuration on the species richness and abundance of bees, wasps and their antagonists. We analysed abundances and species numbers of hosts and their antagonists as well as parasitism rate and conducted a comprehensive landscape mapping. The digitized landscape data were the basis for further calculations of landscape metrics, like landscape composition and configuration within eight spatial scales ranging from 250 to 2,000 m radii. We used a compound, additive index of local land use intensity. Host abundance was only marginally negatively affected by local land use intensity. However, landscape composition at small spatial scales enhanced the species richness and abundance of hosts, while species richness and abundance of antagonists was positively related to landscape configuration at larger spatial scales. In the last study, presented in Chapter IV, we observed nesting bees on a selection of 18 grassland sites in two of the three research regions. We estimated the importance of resource distribution for pollen-nectar trips and consequences for the reproductive success of the solitary Red Mason Bee (Osmia bicornis). Local land use intensity, local flower cover as well as landscape composition and configuration were considered as critical factors of influence. We equipped each grassland site with eight trap nests and 50 female bees. Different nest building activities, like foraging trips for pollen and nectar, were measured. After the nesting season, we calculated measures of reproductive success. Foraging trips for pollen and nectar were significantly shorter in spatially complex landscapes but were neither affected by local metrics nor landscape composition. We found no evidence that the duration of pollen-nectar trips determines the reproductive success. Thus, to maintain trophic interactions and biodiversity, local land use as well as landscape diversity and spatial complexity should be accounted for to create spatial and temporal stability of food and nesting resources within small spatial scales. Concrete steps to support pollinator populations include hedges, sown field margins or other linear elements. These measures that enhance the connectivity of landscapes can also support flying antagonists. KW - Wildbienen KW - Landnutzung KW - Prädation KW - Parasitismus KW - Nisthilfe KW - Wespen KW - Trophische Interaktionen KW - Landschaftskonfiguration KW - Landschaftskomposition KW - Pollensammelzeiten KW - Reproduktionserfolg KW - Trophic interactions KW - Landscape configuration KW - Landscape composition KW - foraging trip durations KW - reproduction success Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-87900 ER - TY - THES A1 - Srinivasan, Aruna T1 - RS1 protein dependent and independent short and long term regulation of sodium dependent glucose transporter -1 T1 - RS1 Protein abhängige und unabhängige Kurz- und Langzeitregulation des Natrium-abhängigen Glukosetransporter -1 N2 - The Na+-D-glucose cotransporter in small intestine is regulated in response to food composition. Short term regulation of SGLT1 occurs post-transcriptionally in response to changes in luminal glucose. Adaptation to dietary carbohydrate involves long term regulation at the transcriptional level. The intracellular protein RS1 (gene RSC1A1) is involved in transcriptional and post-transcriptional regulation of SGLT1. RS1 contains an N-terminal domain with many putative phosphorylation sites. By Expressing SGLT1 in oocytes of Xenopus laevis it was previously demonstrated that the post-transcriptional down-regulation of SGLT1 by RS1 was dependent on the intracellular glucose concentration and activated by protein kinase C (PKC). The role of RS1 for short term regulation of SGLT1 in mouse small intestine in response to glucose and PKC was investigated comparing effects in RS1-/- mice and wildtype mice. Effects on SGLT1 activity were determined by measuring phlorizin inhibited uptake of α-methylglucoside (AMG). The involvement of RS1 in glucose dependent short term regulation could not be elucidated for technical reasons. However, evidence for RS1 independent short-term downregulation of SGLT1 after stimulation of PKC could be provided. It was shown that this downregulation includes decrease in the amount and/or in turnover of SGLT1 in the brush-border membrane as well as an increase of substrate affinity for AMG transport. Trying to elucidate the role of RS1 in long term regulation of SGLT1 in small intestine in response to glucose and fat content of the diet, wildtype and RS1-/- mice were kept for 2 months on a normo-caloric standard diet with high glucose and low fat content (ND), on a hyper-caloric glucose-galactose reduced diet with high fat content (GGRD) or on a hyper-caloric diet with a high fat and high glucose content (HFHGD). Thereafter the animals were starved overnight and SGLT1 mediated AMG uptake was measured. Independent of diet AMG uptake in ileum was smaller compared to duodenum and jejunum. In jejunum of wildtype and RS1-/- mice kept on the fat rich diets (GGRD and HFHGH) transport activity of SGLT1 was lower compared to mice kept on ND with low fat content. This result suggests an RS1 independent downregulation due to fat content of diet. Different to RS1-/- mice, the duodenum of wildtype mice showed transport activity of SGLT1 smaller in mice kept on glucose galactose reduced diet (GGRD) compared to the glucose galactose rich diets (ND and HFHGG). These data indicate that RS1 is involved in glucose dependent long term regulation in duodenum. N2 - Der Na+-Glukose-Cotransporter SGLT1 im Dünndarm wird in Abhängigkeit zur Nahrungszusammensetzung reguliert. Kurzzeitregulation von SGLT1 tritt posttranskritionell als Antwort zu sich ändernden Glukosekonzentrationen im Darmlumen auf. Anpassung an Nahrungskohlenhydrate beinhaltet die Langzeitregulation auf transkripionellem Level. Das intrazelluläre Protein RS1 (Gen RSC1A1) ist an der transkriptionellen und post-transkriptionellen Regulation von SGLT1 beteiligt. Es enthält eine N-terminale Domäne mit vielen putativen Phosphorylierungsstellen. Bei der Expression von SGLT1 im Xenopus leavis Oocytensystem wurde gezeigt, dass die posttranskriptionelle Herunterregulation von SGLT1 durch RS1 von der intrazelluläre Glukosekonzentration abhängt und durch Proteinkinase C (PKC) aktiviert wird. Die Rolle von RS1 in der Kurzzeitregulation von SGLT1 im Dünndarm der Maus als Antwort auf Glukose und PKC wurde durch vergleichende Studien zwischen RS1- knockout (RS1-/-)- Mäusen und Wildtyp-Mäusen untersucht. Effekte auf die SGLT1-Aktivität wurden durch Messung der durch Phlorizin inhibierbaren Aufnahme des SGLT1-spezifischen Substrats α-Methyl-Glycopyranosid (AMG) bestimmt. Der Einfluss von RS1 in der Glukose-abhängigen Kurzzeitregulation konnte aus technischen Gründen nicht untersucht werden, jedoch gab es Anzeichen für eine von RS1 unabhängige Kurzzeitregulation von SGLT1 durch PKC. Es wurde gezeigt, dass diese Herunterregulation sowohl eine Abnahme der Menge und/oder der Umsatzrate von SGLT1 in der Bürstensaummembran wie auch eine Zunahme der Substrat-Affinität für den AMG-Transport beinhaltet. Um die Rolle von RS1 auf die Langzeitregulation von SGLT1 in Dünndarm als Antwort auf den Glukose- und Fettgehalt der Nahrung zu untersuchen, wurden Wildtyp- und RS1-/- Mäuse für 2 Monate entweder auf einer normalenergetischen Standarddiät mit hohem Glukose- und niedrigem Fettgehalt (ND), auf einer hochenergetischen Diät mit reduziertem Glukose und Galaktose-Gehalt (GGRD) oder auf einer hochenergetischen Diät mit hohem Fett- und Glukosegehalt (HFHGD) gehalten. Danach wurden die Tiere über Nacht gefastet und die durch SGLT1 vermittelte AMG –Aufnahme gemessen. Unabhängig der Diät war die AMG-Aufnahme im Ileum geringer als in Duodenum und Jejunum. Im Jejunum von Wildtyp- und RS1-/- Mäusen die auf einer fettreichen Diät (GGRD und HFHGD) gehalten wurden war die Transportaktivität von SGLT1 geringer verglichen mit der Aktivität von Mäusen auf ND. Dieses Ergebnis lässt eine RS1-unabhängige Herunterregulation die durch den Fettgehalt hervorgerufen wird vermuten. Anders als in RS1-/- Mäusen war die Transportaktivität von SGLT1 im Duodenum von Wildtypmäusen bei der Glukose-Galaktose- reduzierten Diät niedriger verglichen mit den Glukose-Galaktose-reichen Diäten (ND und HFHGD). Diese Daten legend die Vermutung nahen, das RS1 an der Glukose-abhängigen Langzeitregulation im Duodenum beteiligt ist. KW - Glucosetransportproteine KW - Regulation KW - Natrium-abhängigen Glukosetransporter-1 KW - Sodium dependent glucose transporter-1 KW - Dünndarm KW - Glukose KW - Glukosetransporter -1 Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-85665 ER - TY - JOUR A1 - Sporbert, Anje A1 - Cseresnyes, Zoltan A1 - Heidbreder, Meike A1 - Domaing, Petra A1 - Hauser, Stefan A1 - Kaltschmidt, Barbara A1 - Kaltschmidt, Christian A1 - Heilemann, Mike A1 - Widera, Darius T1 - Simple Method for Sub-Diffraction Resolution Imaging of Cellular Structures on Standard Confocal Microscopes by Three-Photon Absorption of Quantum Dots JF - PLoS ONE N2 - This study describes a simple technique that improves a recently developed 3D sub-diffraction imaging method based on three-photon absorption of commercially available quantum dots. The method combines imaging of biological samples via tri-exciton generation in quantum dots with deconvolution and spectral multiplexing, resulting in a novel approach for multi-color imaging of even thick biological samples at a 1.4 to 1.9-fold better spatial resolution. This approach is realized on a conventional confocal microscope equipped with standard continuous-wave lasers. We demonstrate the potential of multi-color tri-exciton imaging of quantum dots combined with deconvolution on viral vesicles in lentivirally transduced cells as well as intermediate filaments in three-dimensional clusters of mouse-derived neural stem cells (neurospheres) and dense microtubuli arrays in myotubes formed by stacks of differentiated C2C12 myoblasts. KW - HIV KW - stem-cell KW - infection Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-130963 VL - 8 IS - 5 ER - TY - JOUR A1 - Spitznagel, N. A1 - Durig, T. A1 - Zimanowski, B. T1 - Trigger - and heat-transfer times measured during experimental molten-fuel-interactions JF - AIP Advances N2 - A modified setup featuring high speed high resolution data and video recording was developed to obtain detailed information on trigger and heat transfer times during explosive molten fuel-coolant-interaction (MFCI). MFCI occurs predominantly in configurations where water is entrapped by hot melt. The setup was modified to allow direct observation of the trigger and explosion onset. In addition the influences of experimental control and data acquisition can now be more clearly distinguished from the pure phenomena. More precise experimental studies will facilitate the description of MFCI thermodynamics. KW - temperature measurement KW - data acquisition KW - heat transfer KW - expolsions KW - shock waves Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-128625 VL - 3 IS - 102126 ER - TY - JOUR A1 - Spinelli, Simona A1 - Müller, Tanja A1 - Friedel, Miriam A1 - Sigrist, Hannes A1 - Lesch, Klaus-Peter A1 - Henkelman, Mark A1 - Rudin, Markus A1 - Seifritz, Erich A1 - Pryce, Christopher R. T1 - Effects of repeated adolescent stress and serotonin transporter gene partial knockout in mice on behaviors and brain structures relevant to major depression JF - Frontiers in Behavioral Neuroscience N2 - In humans, exposure to stress during development is associated with structural and functional alterations of the prefrontal cortex (PFC), amygdala (AMY), and hippocampus (HC) and their circuits of connectivity, and with an increased risk for developing major depressive disorder particularly in carriers of the short (s) variant of the serotonin transporter (5-HTT) gene-linked polymorphic region (5-HTTLPR). Although changes in these regions are found in carriers of the s allele and/or in depressed patients, evidence for a specific genotype x developmental stress effect on brain structure and function is limited. Here, we investigated the effect of repeated stress exposure during adolescence in mice with partial knockout of the 5-HIT gene (HET) vs. wildtype (WT) on early-adulthood behavioral measures and brain structure [using magnetic resonance imaging (MRI)] relevant to human major depression. Behaviorally, adolescent stress (AS) increased anxiety and decreased activity and did so to a similar degree in HET and WT. In a probabilistic reversal learning task, HET-AS mice achieved fewer reversals than did HET-No-AS mice. 5-HIT genotype and AS were without effect on corticosterone stress response. In terms of structural brain differences, AS reduced the volume of two long-range white matter tracts, the optic tract (OT) and the cerebral peduncle (CP), in WT mice specifically. In a region-of-interest analysis, AS was associated with increased HC volume and HET genotype with a decreased frontal lobe volume. In conclusion, we found that 5-HIT and AS genotype exerted long-term effects on behavior and development of brain regions relevant to human depression. KW - mouse-brain KW - white-matter integrity KW - linked polymorphic region KW - C57BL/6 mice KW - lerned helplessness KW - 5-HTTLPR polymorphism KW - childhood maltreatment KW - rhesus macaques KW - 3-dimensional MRI KW - life stress Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-122240 VL - 7 ER - TY - THES A1 - Sperlich, Andreas T1 - Electron Paramagnetic Resonance Spectroscopy of Conjugated Polymers and Fullerenes for Organic Photovoltaics T1 - Elektron-Paramagnetische Resonanz-Spektroskopie von konjugierten Polymeren und Fullerenen für die organische Photovoltaik N2 - In the presented thesis, the various excited states encountered in conjugated organic semiconductors are investigated with respect to their utilization in organic thin-film solar cells. Most of these states are spin-baring and can therefore be addressed by means of magnetic resonance spectroscopy. The primary singlet excitation (spin 0), as well as positive and negative polaronic charge carriers (spin 1/2) are discussed. Additionally, triplet excitons (spin 1) and charge transfer complexes are examined, focussing on their differing spin-spin interaction strength. For the investigation of these spin-baring states especially methods of electron paramagnetic resonance (EPR) are best suited. Therefore according experimental methods were implemented in the course of this work to study conjugated polymers, fullerenes and their blends with continuous wave as well as time-resolved EPR and optically detected magnetic resonance. N2 - Die vorliegende Arbeit beschäftigt sich mit den vielfältigen Anregungszuständen in konjugierten organischen Halbleitern mit Hinblick auf deren Verwendung in organischen Dünnschicht-Solarzellen. Diese verschiedenen Zustände sind zumeist Spin-behaftet und daher mit Methoden der Magnetresonanz adressierbar. Es wird unterschieden zwischen Singulett-Exzitonen (Spin 0) als primärer Photoanregung, sowie positiven und negativen polaronischen Ladungsträgern (Spin 1/2). Des Weiteren werden Triplet-Exzitonen (Spin 1) und Ladungstransferkomplexe behandelt, die sich durch unterschiedlich starke Spin-Spin Wechselwirkung auszeichnen. Zur Untersuchung dieser Spin-behafteten Zustände bieten sich insbesondere Methoden der Elektron-Paramagnetischen Resonanz-Spektroskopie (EPR) an. Im Zuge dieser Arbeit wurden dafür entsprechede Messmethoden der Dauerstrich (cw) EPR, zeitaufgelösten, transienten EPR und der optisch detektierten Magnetresonanz (ODMR) implementiert und zur Erforschung von konjugierten Polymeren, Fullerenen und deren Mischungen eingesetzt. KW - Organische Solarzelle KW - Fotovoltaik KW - Organischer Halbleiter KW - organische Photovoltaik KW - organische Halbleiter KW - organic photovoltaic KW - organic solar cells KW - Elektronenspinresonanz KW - Fullerene KW - Konjugierte Polymere KW - Photovoltaik KW - Spektroskopie Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-81244 ER - TY - THES A1 - Solanki, Narendra T1 - Novelty choice in Drosophila melanogaster T1 - Neuigkeitseffekt im Mustersehen von Drosophila melanogaster N2 - This study explores novelty choice, a behavioral paradigm for the investigation of visual pattern recognition and learning of the fly Drosophila melanogaster in the flight simulator. Pattern recognition in novelty choice differs significantly from pattern recognition studied by heat conditioning, although both paradigms use the same test. Out of the four pattern parameters that the flies can learn in heat conditioning, novelty choice can be shown for height (horizontal bars differing in height), size and vertical compactness but not for oblique bars oriented at +/- 45°. Upright and inverted Ts [differing in their centers of gravity (CsOG) by 13°] that have been extensively used for heat conditioning experiments, do not elicit novelty choice. In contrast, horizontal bars differing in their CsOG by 13° do elicit novelty choice; so do the Ts after increasing their CsOG difference from 13° to 23°. This indicates that in the Ts the heights of the CsOG are not the only pattern parameters that matter for the novelty choice behavior. The novelty choice and heat conditioning paradigms are further differentiated using the gene rutabaga (rut) coding for a type 1 adenylyl cyclase. This protein had been shown to be involved in memory formation in the heat conditioning paradigm. Novelty choice is not affected by mutations in the rut gene. This is in line with the finding that dopamine, which in olfactory learning is known to regulate Rutabaga via the dopamine receptor Dumb in the mushroom bodies, is dispensable for novelty choice. It is concluded that in novelty choice the Rut cAMP pathway is not involved. Novelty choice requires short term working memory, as has been described in spatial orientation during locomotion. The protein S6KII that has been shown to be involved in visual orientation memory in walking flies is found here to be also required for novelty choice. As in heat conditioning the central complex plays a major role in novelty choice. The S6KII mutant phenotype for height can be rescued in some subsets of the ring neurons of the ellipsoid body. In addition the finding that the ellipsoid body mutants ebo678 and eboKS263 also show a mutant phenotype for height confirm the importance of ellipsoid body for height novelty choice. Interestingly some neurons in the F1 layer of the fan-shaped body are necessary for height novelty choice. Furthermore, different novelty choice phenotypes for different pattern parameters are found with and without mushroom bodies. Mushroom bodies are required in novelty choice for size but they are dispensable for height and vertical compactness. This special circuit requirement for the size parameter in novelty choice is found using various means of interference with mushroom body function during development or adulthood. N2 - Diese Studie untersucht Novelty Choice, ein Verhaltens-Paradigma für die Untersuchung der visuellen Mustererkennung und des Lernens der Fliege Drosophila melanogaster im Flugsimulator. Mustererkennung in Novelty Choice unterscheidet sich deutlich von Mustererkennung durch heat conditioning, obwohl beide Paradigmen den gleichen Test verwenden. Von den vier Muster-Parametern, die die Fliegen im heat conditioning für die Musterunterscheidung lernen kann, lernt sie in Novelty Choice nur die Höhe (horizontale Balken in unterschiedlicher Höhe), Größe und vertikale Kompaktheit, nicht dagegen die schrägen Balken im Winkel von +/- 45°. Aufrechte und umgekehrte Ts [hinsichtlich ihrer Schwerpunkte (CsOG) um 13° voneinander verschieden], die bisher weitgehend für heat conditioning Experimente verwendet werden, lösen kein Novelty Choice aus. Im Gegensatz dazu reagiert die Fliege auf horizontale Balken, die sich in ihren CsOG um 13° unterscheiden, mit Novelty Choice. Auch die Ts lösen Novelty Choice aus, wenn ihre CsOG-Differenzen von 13° auf 23° erhöht wird. Dies deutet darauf hin, dass in den Ts die Höhen der CsOG nicht die einzigen relevanten Musterparameter für Novelty Choice Verhalten sind. Die Novelty Choice und heat conditioning Paradigmen unterscheiden sich darüber hinaus in der Rolle des Gens rutabaga (rut), das eine Typ-1-Adenylylcyclase codiert. Für dieses Protein wurde gezeigt, dass es bei der Gedächtnisbildung in der heat conditioning beteiligt ist. Novelty Choice wird nicht durch Mutationen im Gen rut beeinflusst. Dies steht im Einklang mit der Erkenntnis, dass Dopamin, das bei olfaktorischem Lernen bekanntermaßen Rutabaga über den Dopamin-Rezeptor Dumb in den Pilzkörpern reguliert, entbehrlich für die Novelty Choice ist. Die Schlussfolgerung ist, dass der Rut cAMP Signalweg bei der Novelty Choice nicht beteiligt ist. Novelty choice erfordert kurzfristigen Arbeitsgedächtnisspeicher, wie in der räumlichen Orientierung während der Fortbewegung beschrieben wurde. Das Protein S6KII, für welches gezeigt wurde, dass es am visuellen Orientierungsgedächtnis laufender Fliegen beteiligt ist, wird hier als ebenso notwendig für Novelty Choice entdeckt. Wie in heat conditioning spielt der Zentralkomplex eine wichtige Rolle in Novelty Choice. Der S6KII Mutantenphänotyp für Höhe kann in einigen Untergruppen der Ring-Neuronen des Ellipsoidkörpers gerettet werden. Weiterhin kann festgestellt werden, dass die Ellipsoidkörper-Mutanten ebo678 und eboKS263, welche ebenfalls einen Mutantenphänotyp für Höhe zeigen, die Bedeutung des Ellipsoidkörpers für die Novelty Choice hinsichtlich des Höheparameters bestätigen. Interessanterweise sind einige Neuronen in der F1-Schicht des Fächerförmigen Körpers notwendig für Novelty Choice (für Höhe). Darüber hinaus werden mit und ohne Pilzkörper unterschiedliche Phänotypen für verschiedene Musterparameter bei Novelty Choice gefunden. Die Pilzkörper sind in der Novelty Choice für Größe erforderlich, aber für Höhe und vertikale Kompaktheit sind sie entbehrlich. Diese spezielle Schaltungsvoraussetzung für den Größenparameter in Novelty Choice wird unter Verwendung verschiedener Mittel der Interferenz mit Pilzkörperfunktionen während der Entwicklung oder im Erwachsenenalter gefunden. KW - Taufliege KW - Drosophila melanogaster KW - Mustererkennung KW - Sehen KW - Lernen Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-103219 N1 - Dieses Dokument wurde aus Datenschutzgründen - ohne inhaltliche Änderungen - erneut veröffentlicht. Die ursprüngliche Veröffentlichung war am: 06.08.2013 ER - TY - THES A1 - Solanki, Narendra T1 - Novelty choice in Drosophila melanogaster T1 - Neuigkeitseffekt im Mustersehen von Drosophila melanogaster N2 - This study explores novelty choice, a behavioral paradigm for the investigation of visual pattern recognition and learning of the fly Drosophila melanogaster in the flight simulator. Pattern recognition in novelty choice differs significantly from pattern recognition studied by heat conditioning, although both paradigms use the same test. Out of the four pattern parameters that the flies can learn in heat conditioning, novelty choice can be shown for height (horizontal bars differing in height), size and vertical compactness but not for oblique bars oriented at +/- 45°. Upright and inverted Ts [differing in their centers of gravity (CsOG) by 13°] that have been extensively used for heat conditioning experiments, do not elicit novelty choice. In contrast, horizontal bars differing in their CsOG by 13° do elicit novelty choice; so do the Ts after increasing their CsOG difference from 13° to 23°. This indicates that in the Ts the heights of the CsOG are not the only pattern parameters that matter for the novelty choice behavior. The novelty choice and heat conditioning paradigms are further differentiated using the gene rutabaga (rut) coding for a type 1 adenylyl cyclase. This protein had been shown to be involved in memory formation in the heat conditioning paradigm. Novelty choice is not affected by mutations in the rut gene. This is in line with the finding that dopamine, which in olfactory learning is known to regulate Rutabaga via the dopamine receptor Dumb in the mushroom bodies, is dispensable for novelty choice. It is concluded that in novelty choice the Rut cAMP pathway is not involved. Novelty choice requires short term working memory, as has been described in spatial orientation during locomotion. The protein S6KII that has been shown to be involved in visual orientation memory in walking flies is found here to be also required for novelty choice. As in heat conditioning the central complex plays a major role in novelty choice. The S6KII mutant phenotype for height can be rescued in some subsets of the ring neurons of the ellipsoid body. In addition the finding that the ellipsoid body mutants ebo678 and eboKS263 also show a mutant phenotype for height confirm the importance of ellipsoid body for height novelty choice. Interestingly some neurons in the F1 layer of the fan-shaped body are necessary for height novelty choice. Furthermore, different novelty choice phenotypes for different pattern parameters are found with and without mushroom bodies. Mushroom bodies are required in novelty choice for size but they are dispensable for height and vertical compactness. This special circuit requirement for the size parameter in novelty choice is found using various means of interference with mushroom body function during development or adulthood. N2 - Diese Studie untersucht Novelty Choice, ein Verhaltens-Paradigma für die Untersuchung der visuellen Mustererkennung und des Lernens der Fliege Drosophila melanogaster im Flugsimulator. Mustererkennung in Novelty Choice unterscheidet sich deutlich von Mustererkennung durch heat conditioning, obwohl beide Paradigmen den gleichen Test verwenden. Von den vier Muster-Parametern, die die Fliegen im heat conditioning für die Musterunterscheidung lernen kann, lernt sie in Novelty Choice nur die Höhe (horizontale Balken in unterschiedlicher Höhe), Größe und vertikale Kompaktheit, nicht dagegen die schrägen Balken im Winkel von +/- 45°. Aufrechte und umgekehrte Ts [hinsichtlich ihrer Schwerpunkte (CsOG) um 13° voneinander verschieden], die bisher weitgehend für heat conditioning Experimente verwendet werden, lösen kein Novelty Choice aus. Im Gegensatz dazu reagiert die Fliege auf horizontale Balken, die sich in ihren CsOG um 13° unterscheiden, mit Novelty Choice. Auch die Ts lösen Novelty Choice aus, wenn ihre CsOG-Differenzen von 13° auf 23° erhöht wird. Dies deutet darauf hin, dass in den Ts die Höhen der CsOG nicht die einzigen relevanten Musterparameter für Novelty Choice Verhalten sind. Die Novelty Choice und heat conditioning Paradigmen unterscheiden sich darüber hinaus in der Rolle des Gens rutabaga (rut), das eine Typ-1-Adenylylcyclase codiert. Für dieses Protein wurde gezeigt, dass es bei der Gedächtnisbildung in der heat conditioning beteiligt ist. Novelty Choice wird nicht durch Mutationen im Gen rut beeinflusst. Dies steht im Einklang mit der Erkenntnis, dass Dopamin, das bei olfaktorischem Lernen bekanntermaßen Rutabaga über den Dopamin-Rezeptor Dumb in den Pilzkörpern reguliert, entbehrlich für die Novelty Choice ist. Die Schlussfolgerung ist, dass der Rut cAMP Signalweg bei der Novelty Choice nicht beteiligt ist. Novelty choice erfordert kurzfristigen Arbeitsgedächtnisspeicher, wie in der räumlichen Orientierung während der Fortbewegung beschrieben wurde. Das Protein S6KII, für welches gezeigt wurde, dass es am visuellen Orientierungsgedächtnis laufender Fliegen beteiligt ist, wird hier als ebenso notwendig für Novelty Choice entdeckt. Wie in heat conditioning spielt der Zentralkomplex eine wichtige Rolle in Novelty Choice. Der S6KII Mutantenphänotyp für Höhe kann in einigen Untergruppen der Ring-Neuronen des Ellipsoidkörpers gerettet werden. Weiterhin kann festgestellt werden, dass die Ellipsoidkörper-Mutanten ebo678 und eboKS263, welche ebenfalls einen Mutantenphänotyp für Höhe zeigen, die Bedeutung des Ellipsoidkörpers für die Novelty Choice hinsichtlich des Höheparameters bestätigen. Interessanterweise sind einige Neuronen in der F1-Schicht des Fächerförmigen Körpers notwendig für Novelty Choice (für Höhe). Darüber hinaus werden mit und ohne Pilzkörper unterschiedliche Phänotypen für verschiedene Musterparameter bei Novelty Choice gefunden. Die Pilzkörper sind in der Novelty Choice für Größe erforderlich, aber für Höhe und vertikale Kompaktheit sind sie entbehrlich. Diese spezielle Schaltungsvoraussetzung für den Größenparameter in Novelty Choice wird unter Verwendung verschiedener Mittel der Interferenz mit Pilzkörperfunktionen während der Entwicklung oder im Erwachsenenalter gefunden. KW - Drosophila melanogaster KW - Drosophila melanogaster Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-78377 N1 - Aus datenschutzrechtlichen Gründen wurde der Zugriff auf den Volltext zu diesem Dokument gesperrt. Eine inhaltlich identische neue Version ist erhältlich unter: http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-103219 ER - TY - JOUR A1 - Soehnlein, Oliver A1 - Drechsler, Maik A1 - Döring, Yvonne A1 - Lievens, Dirk A1 - Hartwig, Helene A1 - Kemmerich, Klaus A1 - Ortega-Gómez, Almudena A1 - Mandl, Manuela A1 - Vijayan, Santosh A1 - Projahn, Delia A1 - Garlichs, Christoph D. A1 - Koenen, Rory R. A1 - Hristov, Mihail A1 - Lutgens, Esther A1 - Zernecke, Alma A1 - Weber, Christian T1 - Distinct functions of chemokine receptor axes in the atherogenic mobilization and recruitment of classical monocytes JF - EMBO Molecular Medicine N2 - We used a novel approach of cytostatically induced leucocyte depletion and subsequent reconstitution with leucocytes deprived of classical \((inflammatory/Gr1^{hi})\) or non-classical \((resident/Gr1^{lo})\) monocytes to dissect their differential role in atheroprogression under high-fat diet (HFD). Apolipoprotein E-deficient \((Apoe^{-/-})\) mice lacking classical but not non-classical monocytes displayed reduced lesion size and macrophage and apoptotic cell content. Conversely, HFD induced a selective expansion of classical monocytes in blood and bone marrow. Increased CXCL1 levels accompanied by higher expression of its receptor CXCR2 on classical monocytes and inhibition of monocytosis by CXCL1-neutralization indicated a preferential role for the CXCL1/CXCR2 axis in mobilizing classical monocytes during hypercholesterolemia. Studies correlating circulating and lesional classical monocytes in gene-deficient \(Apoe^{-/-}\) mice, adoptive transfer of gene-deficient cells and pharmacological modulation during intravital microscopy of the carotid artery revealed a crucial function of CCR1 and CCR5 but not CCR2 or \(CX_3CR1\) in classical monocyte recruitment to atherosclerotic vessels. Collectively, these data establish the impact of classical monocytes on atheroprogression, identify a sequential role of CXCL1 in their mobilization and CCR1/CCR5 in their recruitment. KW - hypercholeterolemia KW - CCR2 KW - atherosclerosis KW - chemokine KW - accumulation KW - subsets KW - inflammatory sites KW - fractalkine KW - marcophages KW - mobilization KW - monocyte KW - recruitment KW - bone-marrow KW - atheriosclerotic lesions KW - hyperlipedemic mice Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-122204 SN - 1757-4676 VL - 5 ER - TY - THES A1 - Skiera, Christina T1 - 1H NMR spectroscopic determination of deterioration marker compounds in fats and oils T1 - 1H-NMR spektroskopische Bestimmung von Fettverderbsmarkern in Fetten und Ölen N2 - In food and pharmaceutical analysis, the classical indices peroxide value (PV), acid value (AV) and p-anisidine value (ANV) still play an important role as quality and authenticity control parameters of fats and oils. These indices are sum parameters for certain deterioration products (PV for hydroperoxides, AV for free fatty acids, ANV for aldehydes) and are obtained using volumetric or UV/VIS spectroscopic analytical approaches. 1H NMR spectroscopy provides a fast and simple alternative to these classical approaches. In the present work, novel 1H NMR methods to determine hydroperoxides, free fatty acids and aldehydes in fats and oils were developed. Hydroperoxides: The influence of solvent, water, free fatty acids and sample weight on the hydroperoxide group proton (OOH) signal was investigated. On the basis of the obtained results, the sample preparation procedure of the new 1H NMR method was established. A rough assignment of the hydroperoxide group signals in edible fats and oils to methyl oleate, methyl linoleate and methyl linolenate was conducted. Furthermore, to gain information on how many different hydroperoxide species originate from trioleate autoxidation, a kinetic study on trioleate monohydroperoxides was performed. The evaluation of the data strongly indicates that all of the conceivable 18 trioleate monohydroperoxides were formed during trioleate autoxidation. The analytical performance of the NMR method was compared to that of the classical PV approach by means of the so-called “relative sensitivity” according to Mandel. It was shown that both methods exhibit a similar analytical performance. A total of 444 edible oil samples were analysed using both methods. For some oil varieties considerable discrepancies were found between the results. In the case of black seed oil and olive oil two substances were identified that influence the classical PV determination and thus cause positive (black seed oil) and negative (olive oil) deviations from the theoretical PV expected from the NMR values. Free fatty acids: In order to find the optimal solvent mixture to measure the carboxyl group protons (COOH) of free fatty acids in fats and oils, the effect of solvent on the COOH signal was investigated for different mixtures of CDCl3 and DMSO-d6. The comparison of the NMR method with the classical AV method by means of the relative sensitivity revealed that both methods exhibit a similar analytical performance. 420 edible oil samples were analysed by both approaches. Except for pumpkin seed oil, where slight deviations were observed, there was a good compliance between the results obtained from the two methods. Furthermore, the applicability of the 1H NMR assay to further lipids with relevance in pharmacy was tested. For hard fat, castor oil, waxes and oleyl oleate modifications of the original sample preparation procedure of the NMR method were necessary to achieve comparable results for both methods. Aldehydes: The new 1H NMR method enables the determination of the molar amounts of n-alkanals, (E)-2-alkenals and (E,E)-2,4-alkadienals. It was illustrated that the ANV can be modelled as a linear combination of the NMR integrals of these aldehyde species. A functional relationship was derived on the basis In conclusion, the new 1H NMR methods provide an excellent alternative to of calibration experiments. The suitability of the model was shown by comparing the NMR-determined ANVs with the measured classical ANVs of 79 commercially available edible oils of different oil types. In conclusion, the new 1H NMR methods provide an excellent alternative to the determination of the classical indices PV, AV and ANV. They have several advantages over the classical methods including the consumption of small solvent amounts, the ability to automatize measurement and to acquire several different parameters out of the same NMR spectrum. Especially concerning their selectivity, the 1H NMR methods are highly superior to the classical methods. N2 - Im Bereich der Lebensmittel- und pharmazeutischen Analytik besitzen die klassischen Fettkennzahlen Peroxidzahl (POZ), Säurezahl (SZ) und p-Anisidinzahl (AnZ) bis heute eine große Bedeutung in der Qualitäts- und Authentizitätskontrolle von Fetten und Ölen. Diese Kennzahlen sind Summenparameter für bestimmte Verderbsprodukte (POZ für Hydroperoxide, SZ für freie Fettsäuren, AnZ für Aldehyde) und werden mittels volumetrischer oder UV/VIS-spektroskopischer Verfahren ermittelt. 1H-NMR Spektroskopie bietet eine einfache und schnelle Alternative zu den klassischen Fettkennzahlen. In der vorliegenden Arbeit wurden neue 1H-NMR Methoden zur Bestimmung von Hydroperoxiden, freien Fettsäuren und Aldehyden in Fetten und Ölen entwickelt. Hydroperoxide: Der Einfluss des Lösungsmittels, von Wasser, freien Fettsäuren und der Probeneinwaage auf das Hydroperoxidgruppensignal wurde untersucht. Anhand der Ergebnisse wurde die Probenaufarbeitungsprozedur für die neue 1H-NMR Methode erarbeitet. Es wurde eine grobe Zuordnung der Hydroperoxidgruppensignale in Fetten und Ölen zu Methyloleat, Methyllinoleat und Methylinolenat vorgenommen. Weiterhin wurde eine kinetische Studie für Trioleat-Monohydroperoxide durchgeführt, um Informationen darüber zu erhalten, wieviel verschiedene Hydroperoxidspezies bei der Autoxidation von Trioleat gebildet werden. Das Ergebnis weist stark darauf hin, dass alle 18 möglichen Monohydroperoxide entstehen. Die analytische Leistungsfähigkeit der NMR-Methode und der klassischen POZ-Methode wurde mit Hilfe der sog. „relative sensitivity“ nach Mandel verglichen. Es wurde gezeigt, dass beide Methoden eine vergleichbare analytische Leistungsfähigkeit besitzen. Insgesamt wurden 444 Speiseölproben mit beiden Methoden untersucht. Für einige Ölarten wurden beträchtliche Diskrepanzen zwischen der POZ und den NMR-Ergebnissen beobachtet. Im Fall von Schwarzkümmelöl und Olivenöl wurden zwei Substanzen identifiziert, die bei der klassischen POZ-Bestimmung miterfasst werden und dadurch für die positiven (Schwarzkümmelöl) und negativen (Olivenöl) Abweichungen von den aufgrund der NMR-Ergebnisse theoretisch zu erwartenden POZ-Werten verantwortlich sind. Freie Fettsäuren: Zur Optimierung der Messbedingungen wurde der Einfluss des Lösungsmittels auf das Carboxylgruppensignal von freien Fettsäuren für verschiedene Mischungen von CDCl3 und DMSO-d6 untersucht. Die NMR-Methode wurde mit der klassischen SZ-Methode mit Hilfe der „relative sensitivity“ verglichen. Dabei wurde eine vergleichbare analytische Leistungsfähigkeit für beide Methoden festgestellt. 420 Speiseöle wurden mit beiden Methoden analysiert. Mit Ausnahme der Analysenergebnisse von Kürbiskernölen, die geringe Abweichungen zeigten, wurde eine gute Übereinstimmung der Ergebnisse beider Methoden beobachtet. Weiterhin wurde die Anwendbarkeit der 1H-NMR-Methode für weitere Lipide mit Bedeutung in der Pharmazie getestet. Durch Modifikation der ursprünglichen Analysenvorschrift der NMR-Methode wurden für Hartfett, Rizinusöl, Wachse und Oleyloleat mit beiden Methoden vergleichbare Ergebnisse erhalten. Aldehyde: Mit der neuen 1H-NMR Methode können die molaren Gehalte von n-Alkanalen, (E)-2-Alkenalen und (E,E)-2,4-Alkadienalen bestimmt werden. Die vorliegende Arbeit zeigt, dass die AnZ als eine Linearkombination der normalisierten NMR-Integrale der Aldehyde modelliert werden kann. Ein funktionaler Zusammenhang wurde auf Grundlage von Kalibrationsexperimenten abgeleitet. Die Eignung des Modells wurde durch den Vergleich der mittels NMR bestimmten AnZ mit der klassischen AnZ von 79 kommerziell erhältlichen Speiseölen verschiedener Ölarten gezeigt. Abschließend lässt sich sagen, dass die neuen 1H-NMR-Methoden eine sehr gute Alternative zu der Bestimmung der klassischen Fettkennzahlen POZ, SZ and AnZ darstellen. Sie besitzen mehrer Vorteile gegenüber den klassischen Methoden wie beispielsweise der geringe Lösungsmittelverbrauch, die Automatisierbarkeit der Messung und die Möglichkeit mehrere unterschiedliche Parameter aus demselben NMR-Spektrum bestimmen zu können. Es hat sich gezeigt, dass die 1H-NMR-Methoden den klassischen Methoden insbesondere hinsichtlich ihrer Selektivität weit überlegen sind und damit fehlerhafte Befunde, wie sie z. B. bei der POZ-Bestimmung auftreten können, vermieden werden. KW - Fett KW - Öl KW - Verderb KW - NMR-Spektroskopie KW - Fettkennzahlen KW - lipid deterioration markers KW - hydroperoxides KW - free fatty acids KW - aldehydes KW - lipid deterioration KW - Protonen-NMR-Spektroskopie KW - Lipide KW - Hydroperoxide KW - Aldehyde Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-95756 ER - TY - JOUR A1 - Sirén, Anna-Leena A1 - Stetter, Christian A1 - Hirschberg, Markus A1 - Nieswandt, Bernhard A1 - Ernestus, Ralf-Ingo A1 - Heckmann, Manfred T1 - An experimental protocol for in vivo imaging of neuronal structural plasticity with 2-photon microscopy in mice JF - Experimental & Translational Stroke Medicine N2 - Introduction Structural plasticity with synapse formation and elimination is a key component of memory capacity and may be critical for functional recovery after brain injury. Here we describe in detail two surgical techniques to create a cranial window in mice and show crucial points in the procedure for long-term repeated in vivo imaging of synaptic structural plasticity in the mouse neocortex. Methods Transgenic Thy1-YFP(H) mice expressing yellow-fluorescent protein (YFP) in layer-5 pyramidal neurons were prepared under anesthesia for in vivo imaging of dendritic spines in the parietal cortex either with an open-skull glass or thinned skull window. After a recovery period of 14 days, imaging sessions of 45–60 min in duration were started under fluothane anesthesia. To reduce respiration-induced movement artifacts, the skull was glued to a stainless steel plate fixed to metal base. The animals were set under a two-photon microscope with multifocal scanhead splitter (TriMScope, LaVision BioTec) and the Ti-sapphire laser was tuned to the optimal excitation wavelength for YFP (890 nm). Images were acquired by using a 20×, 0.95 NA, water-immersion objective (Olympus) in imaging depth of 100–200 μm from the pial surface. Two-dimensional projections of three-dimensional image stacks containing dendritic segments of interest were saved for further analysis. At the end of the last imaging session, the mice were decapitated and the brains removed for histological analysis. Results Repeated in vivo imaging of dendritic spines of the layer-5 pyramidal neurons was successful using both open-skull glass and thinned skull windows. Both window techniques were associated with low phototoxicity after repeated sessions of imaging. Conclusions Repeated imaging of dendritic spines in vivo allows monitoring of long-term structural dynamics of synapses. When carefully controlled for influence of repeated anesthesia and phototoxicity, the method will be suitable to study changes in synaptic structural plasticity after brain injury. KW - 2-photon microscopy KW - Fluorescence KW - In vivo imaging KW - Neurons KW - Cranial window KW - Mouse model Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-96908 UR - http://www.etsmjournal.com/content/5/1/9 ER - TY - THES A1 - Sieber, Christian T1 - Holistic Evaluation of Novel Adaptation Logics for DASH and SVC T1 - Leistungsbewertung neuartiger Adaptionslogiken für DASH mit SVC N2 - Streaming of videos has become the major traffic generator in today's Internet and the video traffic share is still increasing. According to Cisco's annual Visual Networking Index report, in 2012, 60% of the global Internet IP traffic was generated by video streaming services. Furthermore, the study predicts further increase to 73% by 2017. At the same time, advances in the fields of mobile communications and embedded devices lead to a widespread adoption of Internet video enabled mobile and wireless devices (e.g. Smartphones). The report predicts that by 2017, the traffic originating from mobile and wireless devices will exceed the traffic from wired devices and states that mobile video traffic was the source of roughly half of the mobile IP traffic at the end of 2012. With the increasing importance of Internet video streaming in today's world, video content provider find themselves in a highly competitive market where user expectations are high and customer loyalty depends strongly on the user's satisfaction with the provided service. In particular paying customers expect their viewing experience to be the same across all their viewing devices and independently of their currently utilized Internet access technology. However, providing video streaming services is costly in terms of storage space, required bandwidth and generated traffic. Therefore, content providers face a trade-off between the user perceived Quality of Experience (QoE) and the costs for providing the service. Today, a variety of transport and application protocols exist for providing video streaming services, but the one utilized depends on the scenario in mind. Video streaming services can be divided up in three categories: Video conferencing, IPTV and Video-on-Demand services. IPTV and video-conferencing have severe real-time constraints and thus utilize mostly datagram-based protocols like the RTP/UDP protocol for the video transmission. Video-on-Demand services in contrast can profit from pre-encoded content, buffers at the end user's device, and mostly utilize TCP-based protocols in combination with progressive streaming for the media delivery. In recent years, the HTTP protocol on top of the TCP protocol gained widespread popularity as a cost-efficient way to distribute pre-encoded video content to customers via progressive streaming. This is due to the fact that HTTP-based video streaming profits from a well-established infrastructure which was originally implemented to efficiently satisfy the increasing demand for web browsing and file downloads. Large Content Delivery Networks (CDN) are the key components of that distribution infrastructure. CDNs prevent expensive long-haul data traffic and delays by distributing HTTP content to world-wide locations close to the customers. As of 2012, already 53% of the global video traffic in the Internet originates from Content Delivery Networks and that percentage is expected to increase to 65% by the year 2017. Furthermore, HTTP media streaming profits from existing HTTP caching infrastructure, ease of NAT and proxy traversal and firewall friendliness. Video delivery through heterogeneous wired and wireless communications networks is prone to distortions due to insufficient network resources. This is especially true in wireless scenarios, where user mobility and insufficient signal strength can result in a very poor transport service performance (e.g. high packet loss, delays and low and varying bandwidth). A poor performance of the transport in turn may degrade the Quality of Experience as perceived by the user, either due to buffer underruns (i.e. playback interruptions) for TCP-based delivery or image distortions for datagram-based real-time video delivery. In order to overcome QoE degradations due to insufficient network resources, content provider have to consider adaptive video streaming. One possibility to implement this for HTTP/TCP streaming is by partitioning the content into small segments, encode the segments into different quality levels and provide access to the segments and the quality level details (e.g. resolution, average bitrate). During the streaming session, a client-centric adaptation algorithm can use the supplied details to adapt the playback to the current environment. However, a lack of a common HTTP adaptive streaming standard led to multiple proprietary solutions developed by major Internet companies like Microsoft (Smooth Streaming), Apple (HTTP Live Streaming) and Adobe (HTTP Dynamic Streaming) loosely based on the aforementioned principle. In 2012, the ISO/IEC published the Dynamic Adaptive Streaming over HTTP (MPEG-DASH) standard. As of today, DASH is becoming widely accepted with major companies announcing their support or having already implemented the standard into their products. MPEG-DASH is typically used with single layer codecs like H.264/AVC, but recent publications show that scalable video coding can use the existing HTTP infrastructure more efficiently. Furthermore, the layered approach of scalable video coding extends the adaptation options for the client, since already downloaded segments can be enhanced at a later time. The influence of distortions on the perceived QoE for non-adaptive video streaming are well reviewed and published. For HTTP streaming, the QoE of the user is influenced by the initial delay (i.e. the time the client pre-buffers video data) and the length and frequency of playback interruptions due to a depleted video playback buffer. Studies highlight that even low stalling times and frequencies have a negative impact on the QoE of the user and should therefore be avoided. The first contribution of this thesis is the identification of QoE influence factors of adaptive video streaming by the means of crowd-sourcing and a laboratory study. MPEG-DASH does not specify how to adapt the playback to the available bandwidth and therefore the design of a download/adaptation algorithm is left to the developer of the client logic. The second contribution of this thesis is the design of a novel user-centric adaption logic for DASH with SVC. Other download algorithms for segmented HTTP streaming with single layer and scalable video coding have been published lately. However, there is little information about the behavior of these algorithms regarding the identified QoE-influence factors. The third contribution is a user-centric performance evaluation of three existing adaptation algorithms and a comparison to the proposed algorithm. In the performance evaluation we also evaluate the fairness of the algorithms. In one fairness scenario, two clients deploy the same adaptation algorithm and share one Internet connection. For a fair adaptation algorithm, we expect the behavior of the two clients to be identical. In a second fairness scenario, one client shares the Internet connection with a large HTTP file download and we expect an even bandwidth distribution between the video streaming and the file download. The forth contribution of this thesis is an evaluation of the behavior of the algorithms in a two-client and HTTP cross traffic scenario. The remainder of this thesis is structured as follows. Chapter II gives a brief introduction to video coding with H.264, the HTTP adaptive streaming standard MPEG-DASH, the investigated adaptation algorithms and metrics of Quality of Experience (QoE) for video streaming. Chapter III presents the methodology and results of the subjective studies conducted in the course of this thesis to identify the QoE influence factors of adaptive video streaming. In Chapter IV, we introduce the proposed adaptation algorithm and the methodology of the performance evaluation. Chapter V highlights the results of the performance evaluation and compares the investigated adaptation algorithms. Section VI summarizes the main findings and gives an outlook towards QoE-centric management of DASH with SVC. KW - DASH KW - DASH KW - SVC KW - crowdsourcing KW - quality of experience KW - qoe KW - progressive download KW - dynamic adaptive streaming over http Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-92362 ER - TY - JOUR A1 - Shityakov, Sergey A1 - Förster, Carola T1 - Pharmacokinetic Delivery and Metabolizing Rate of Nicardipine Incorporated in Hydrophilic and Hydrophobic Cyclodextrins Using Two-Compartment Mathematical Model JF - The Scientific World Journal N2 - The dispersion routes of cyclodextrin complexes with nicardipine (NC), such as hydrophilic hydroxypropyl-\(\beta\)-cyclodextrin (NC/HP\(\beta\)CD) and hydrophobic triacetyl-\(\beta\)-cyclodextrin (NC/TA\(\beta\)CD), through the body for controlled drug delivery and sustained release have been examined. The two-compartment pharmacokinetic model described the mechanisms of how the human body handles with ingestion of NC-cyclodextrin complexes in gastrointestinal tract (GI), distribution in plasma, and their metabolism in the liver. The model showed that drug bioavailability was significantly improved after oral administration of cyclodextrin complexes. The mathematical significance of this study to predict nicardipine delivery using pharmacokinetic two-compartment mathematical model with linear ordinary differential equations (ODE) approach represents a valuable tool to emphasize its effectiveness and metabolizing rate and diminish the side effects. KW - pharmacokinetic delivery KW - metabolizing rate KW - Nicardipine Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-130519 VL - 2013 IS - 131358 ER - TY - JOUR A1 - Shityakov, Sergey A1 - Broscheit, Jens A1 - Förster, Carola T1 - Multidrug resistance protein P-gp interaction with nanoparticles (fullerenes and carbon nanotube) to assess their drug delivery potential: a theoretical molecular docking study. JF - International journal of computational biology and drug design N2 - P-glycoprotein (P-gp)-mediated efflux system plays an important role to maintain chemical balance in mammalian cells for endogenous and exogenous chemical compounds. However, despite the extensive characterisation of P-gp potential interaction with drug-like molecules, the interaction of carbon nanoparticles with this type of protein molecule is poorly understood. Thus, carbon nanoparticles were analysed, such as buckminsterfullerenes (C20, C60, C70), capped armchair single-walled carbon nanotube (SWCNT or C168), and P-gp interactions using different molecular docking techniques, such as gradient optimisation algorithm (ADVina), Lamarckian genetic algorithm (FastDock), and shape-based approach (PatchDock) to estimate the binding affinities between these structures. The theoretical results represented in this work show that fullerenes might be P-gp binders because of low levels of Gibbs free energy of binding (ΔG) and potential of mean force (PMF) values. Furthermore, the SWCNT binding is energetically unfavourable, leading to a total decrease in binding affinity by elevation of the residual area (Ares), which also affects the π-π stacking mechanisms. Further, the obtained data could potentially call experimental studies using carbon nanostructures, such as SWCNT for development of drug delivery vehicles, to administer and assess drug-like chemical compounds to the target cells since organisms probably did not develop molecular sensing elements to detect these types of carbon molecules. KW - SWCNT CNTs KW - pi-pi stacking KW - mean force potential KW - Gibbs free energy of binding KW - molecular docking KW - shape-based approach KW - Lamarckian genetic algorithms KW - gradient optimisation KW - drug delivery KW - multidrug resistance KW - P-glycoprotein KW - carbon nanoparticles KW - fullerenes KW - single-walled carbon nanotubes Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-132089 VL - 6 IS - 4 ER - TY - THES A1 - Shiban, Youssef T1 - Attenuating Renewal following Exposure Therapy : Mechanisms of Exposure in Multiple Contexts and its Influence on the Renewal of Fear: Studies in Virtual Reality T1 - Abmilderung von Renewal Effekten nach Expositionstherapie N2 - „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 Angstrückkehr durch einen Kontextwechsel darauf hin, dass die Angst nicht gelöscht wurde. Stattdessen wurde während der Expositionssitzung eine neue Assoziation gelernt, die das gefürchtete 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 kontextabhängig ist, wodurch Effekte wie Angst-Renewal erklärt werden können. Da in einem neuen Kontext die CS-no US-Assoziation nicht aktiviert wird, wird die Angst auch nicht gehemmt. Die Kontextabhängigkeit 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 Angststörungen auf die Frage, wie Angst reduziert und gleichzeitig ein Rückfall 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) verlängerte Exposition (prolonged exposure, PE), um die hemmende Assoziation während des Extinktionslernes zu stärken (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 prüfen, 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 durchgeführt. 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 durchgeführt. 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 für 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 durchgeführt. Hierbei war das Ziel, eine ähnliche Verminderung von Renewal wie in Studie 1 nachzuweisen. Der Extinktion folgten zwei Tests, mit dem Ziel mögliche hemmende Effekte des Kontexts, die während der Extinktionsphase erworben wurden, aufzudecken. Bezüglich des Effektes von MCE wurden drei Hypothesen aufgestellt: (1) Der Extinktionskontext wird mit der Exposition assoziiert, fungiert folglich während der Extinktion als Sicherheitssignal und konkurriert daher mit dem Sicherheitslernen des CS. Dies führt zu einem verminderten Extinktionseffekt auf den CS, wenn die Extinktion nur in einem Kontext durchgeführt wird. (2) Die Elemente im Extinktionskontext (z.B. Raumfarbe, Möbel) stehen im Zusammenhang mit der CS-no US-Assoziation und erinnern daher an die Extinktion, was zu einer größeren Angsthemmung führt, wenn sie während eines Tests gezeigt werden. (3) Nach der emotionalen Prozesstheorie (emotional process theory; Bouton, 1994; Foa et al., 1996) bestimmen die Therapieprozessfaktoren die Stärke des Renewals. Beispielsweise korrelieren initiale Angstaktivierung, Aktivierung in und zwischen den Sitzungen mit der Stärke 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 Kontextähnlichkeit 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 mögliche Erklärung 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. N2 - Renewal of fear is one form of relapse that occurs after successful therapy, resulting from an encounter with a feared object in a context different from the context of the exposure therapy. According to Bouton (1994), the return of fear, provoked by context change, indicates that the fear was not erased in the first place. More importantly, the return of fear indicates that during the exposure session a new association was learned that connected the feared object with “no fear”; yet, as Bouton further argues, this association is context dependent. Such dependence could explain effects like renewal. In a new context, the therapeutic association will not be expressed and thus will no longer inhibit the fear. The assumption that an association is context dependent has been tested and showed robust results (Balooch & Neumann, 2011; Siavash Bandarian Balooch, Neumann, & Boschen, 2012; Culver, Stoyanova, & Craske, 2011; Kim & Richardson, 2009; Neumann & Kitlertsirivatana, 2010). Research for the treatment of anxiety disorders, aiming to reduce fear and, more importantly, prevent relapse, is flourishing. There are several exposure protocols currently under investigation: multiple contexts exposure (MCE), which aims at reducing the return of fear due to renewal (e.g., Balooch & Neumann, 2011); prolonged exposure (PE), which aims at strengthening the inhibitory association during the extinction learning (e.g., Thomas, Vurbic, & Novak, 2009); and reconsolidation update (RU), which aims at “updating” the reconsolidation process by briefly exposing the CS+ before the actual extinction takes place (Schiller et al., 2010). So far, however, few clinical studies conducted on humans have investigated these novel treatment protocols, and as far as I know none has investigated the mechanisms of action behind these protocols with a human clinical sample. The present thesis has three main goals. The first is to demonstrate that exposure therapy in multiple contexts reduces the likelihood of renewal. The second is to examine the mechanisms contributing to the effect of MCE and the third is to shed light on the concept of context in the framework of the conditioning and extinction paradigm. To this end, three studies were conducted. The first study investigated the effect of MCE on renewal, the second and third studies examined working mechanisms of MCE. In the first study thirty spider-phobic participants were exposed four times to a virtual spider. The exposure trials were conducted either in one single context or in four different contexts. Finally, all participants completed both a virtual renewal test, with the virtual spider presented in a novel virtual context, and an in vivo behavioral avoidance test with a real spider. This study successfully demonstrated the efficacy of MCE on reducing renewal. Study 2 investigated the working mechanisms behind MCE by utilizing a differential conditioning paradigm and conducting the extinction in multiple contexts, targeting similar renewal attenuation as achieved in study 1. This was followed by two tests that attempted to reveal extinction-relevant associations like ones causing context inhibitory effects. This study had three main hypotheses: (1) The extinction context is associated with the exposure, and thus operates as a safety signal at some point during the extinction; it will therefore compete with the safety learning of the CS, leading to a decreased extinction effect on the CS if the extinction is conducted in only one context. (2) The elements (e.g., room color, furniture) of the extinction context are connected to the therapeutic association and therefore should serve as reminders of the extinction, causing a stronger fear inhibition when presented during a test. (3) Therapy process factors, according to emotional processing theory, determine the renewal effect (e.g., initial fear activation, and within-session and between-session activation are correlated with the strength of renewal). In this study, however, no differences between the groups at the renewal phase were observed, presumably because the extinction was too strong to enable a renewal of fear at the test phase conducted immediately following the extinction. This hence rendered the two inhibitory tests useless. Study 3 aimed at defining the concept of context in the conditioning and exposure framework. Study 3 utilized the phenomenon known as generalization decrement, whereby a conditioned response is reduced due to change in the environment. This allowed context similarity to be quantified. After an acquisition phase in one context, participants were tested in one of three contexts, two of which differed in only one dimension (configuration of objects vs. features). The third group was tested in the same context and served as control group. The goal was to show that both configuration and features play an important role in the definition of context. There was, however, no significant statistical difference between the groups at the test phases, likely because of context novelty effects (participants exposed to a new context following extinction in another context expected a second extinction phase, and thus demonstrated greater fear than expected in all three groups). KW - Angst KW - Konditionierung KW - Virtuelle Realität KW - multiple context exposure therapy Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-76673 ER - TY - JOUR A1 - Sharma, Cynthia M. A1 - Dugar, Gaurav A1 - Herbig, Alexander A1 - Förstner, Konrad U. A1 - Heidrich, Nadja A1 - Reinhardt, Richard A1 - Nieselt, Kay T1 - High-Resolution Transcriptome Maps Reveal Strain-Specific Regulatory Features of Multiple Campylobacter jejuni Isolates JF - PLoS Genetics N2 - Campylobacter jejuni is currently the leading cause of bacterial gastroenteritis in humans. Comparison of multiple Campylobacter strains revealed a high genetic and phenotypic diversity. However, little is known about differences in transcriptome organization, gene expression, and small RNA (sRNA) repertoires. Here we present the first comparative primary transcriptome analysis based on the differential RNA–seq (dRNA–seq) of four C. jejuni isolates. Our approach includes a novel, generic method for the automated annotation of transcriptional start sites (TSS), which allowed us to provide genome-wide promoter maps in the analyzed strains. These global TSS maps are refined through the integration of a SuperGenome approach that allows for a comparative TSS annotation by mapping RNA–seq data of multiple strains into a common coordinate system derived from a whole-genome alignment. Considering the steadily increasing amount of RNA–seq studies, our automated TSS annotation will not only facilitate transcriptome annotation for a wider range of pro- and eukaryotes but can also be adapted for the analysis among different growth or stress conditions. Our comparative dRNA–seq analysis revealed conservation of most TSS, but also single-nucleotide-polymorphisms (SNP) in promoter regions, which lead to strain-specific transcriptional output. Furthermore, we identified strain-specific sRNA repertoires that could contribute to differential gene regulation among strains. In addition, we identified a novel minimal CRISPR-system in Campylobacter of the type-II CRISPR subtype, which relies on the host factor RNase III and a trans-encoded sRNA for maturation of crRNAs. This minimal system of Campylobacter, which seems active in only some strains, employs a unique maturation pathway, since the crRNAs are transcribed from individual promoters in the upstream repeats and thereby minimize the requirements for the maturation machinery. Overall, our study provides new insights into strain-specific transcriptome organization and sRNAs, and reveals genes that could modulate phenotypic variation among strains despite high conservation at the DNA level. KW - bacterial genomics KW - CRISPRs KW - genome annotation KW - campylobacter KW - genomic libraries KW - genomic library construction KW - sequence motif analysis KW - transcriptome analysis Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-96610 ER - TY - JOUR A1 - Shannon, Graver A1 - Hein, Melanie T1 - Tumor cell response to bevacizumab single agent therapy in vitro JF - Cancer Cell International N2 - Background Angiogenesis represents a highly multi-factorial and multi-cellular complex (patho-) physiologic event involving endothelial cells, tumor cells in malignant conditions, as well as bone marrow derived cells and stromal cells. One main driver is vascular endothelial growth factor (VEGFA), which is known to interact with endothelial cells as a survival and mitogenic signal. The role of VEGFA on tumor cells and /or tumor stromal cell interaction is less clear. Condition specific (e.g. hypoxia) or tumor specific expression of VEGFA, VEGF receptors and co-receptors on tumor cells has been reported, in addition to the expression on the endothelium. This suggests a potential paracrine/autocrine loop that could affect changes specific to tumor cells. Methods We used the monoclonal antibody against VEGFA, bevacizumab, in various in vitro experiments using cell lines derived from different tumor entities (non small cell lung cancer (NSCLC), colorectal cancer (CRC), breast cancer (BC) and renal cell carcinoma (RCC)) in order to determine if potential VEGFA signaling could be blocked in tumor cells. The experiments were done under hypoxia, a major inducer of VEGFA and angiogenesis, in an attempt to mimic the physiological tumor condition. Known VEGFA induced endothelial biological responses such as proliferation, migration, survival and gene expression changes were evaluated. Results Our study was able to demonstrate expression of VEGF receptors on tumor cells as well as hypoxia regulated angiogenic gene expression. In addition, there was a cell line specific effect in tumor cells by VEGFA blockade with bevacizumab in terms of proliferation; however overall, there was a limited measurable consequence of bevacizumab therapy detected by migration and survival. Conclusion The present study showed in a variety of in vitro experiments with several tumor cell lines from different tumor origins, that by blocking VEGFA with bevacizumab, there was a limited autocrine or cell-autonomous function of VEGFA signaling in tumor cells, when evaluating VEGFA induced downstream outputs known in endothelial cells. KW - Bevacizumab KW - NCI-60 KW - Tumor angiogenesis KW - VEGFA KW - Hypoxia KW - In vitro Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-97185 UR - http://www.cancerci.com/content/13/1/94 ER - TY - JOUR A1 - Shahabfar, Alireza A1 - Eitzinger, Josef T1 - Spatio-Temporal Analysis of Droughts in Semi-Arid Regions by Using Meteorological Drought Indices JF - Atmosphere N2 - Six meteorological drought indices including percent of normal (PN), standardized precipitation index (SPI), China-Z index (CZI), modified CZI (MCZI), Z-Score (Z), the aridity index of E. de Martonne (I) are compared and evaluated for assessing spatio-temporal dynamics of droughts in six climatic regions in Iran. Results indicated that by consideration of the advantages and disadvantages of the mentioned drought predictors in Iran, the Z-Score, CZI and MCZI could be used as a good meteorological drought predictor. Depending on the month, the length of drought and climatic conditions of the region, they are an alternative to the SPI that has limitations both because of only a few available long term data series in Iran and its complex structure. KW - semi-arid region KW - standardized precipitation index KW - drought index KW - drought monitoring KW - Iran Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-128644 VL - 4 IS - 2 ER - TY - THES A1 - Sen, Surath T1 - Character Analysis and Numerical Computations of Standard M.I. Probability Distributions T1 - Charakteranalyse und Numerische Berechnungen der Standard M.I. Wahrscheinlichkeitsverteilungen N2 - Development and character analysis of software programs, which compute minimum information probability distributions. N2 - Entwicklung und Charakteranalyse von Softwareprogrammen, welche Minimuminformations Wahrscheinlichkeitsverteilungen berechnen. KW - Newton-Verfahren KW - Charakteranalyse KW - Softwareentwicklung KW - Minimum Information Wahrscheinlichkeitsverteilung KW - Newton-Raphson Verfahren KW - Minimum Information Probability Distribution KW - Newton-Raphson Method Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-78623 ER - TY - JOUR A1 - Schönberger, Katharina A1 - Ludwig, Maria-Sabine A1 - Wildner, Manfred A1 - Weissbrich, Benedikt T1 - Epidemiology of Subacute Sclerosing Panencephalitis (SSPE) in Germany from 2003 to 2009: A Risk Estimation JF - PLoS ONE N2 - Subacute sclerosing panencephalitis (SSPE) is a fatal long-term complication of measles infection. We performed an estimation of the total number of SSPE cases in Germany for the period 2003 to 2009 and calculated the risk of SSPE after an acute measles infection. SSPE cases were collected from the Surveillance Unit for Rare Paediatric Diseases in Germany and the Institute of Virology and Immunobiology at the University of Würzburg. The total number of SSPE cases was estimated by capture-recapture analysis. For the period 2003 to 2009, 31 children with SSPE who were treated at German hospitals were identified. The capture-recapture estimate was 39 cases (95% confidence interval: 29.2–48.0). The risk of developing SSPE for children contracting measles infection below 5 years of age was calculated as 1∶1700 to 1∶3300. This risk is in the same order of magnitude as the risk of a fatal acute measles infection. KW - Germany KW - pediatric infections KW - age groups KW - measels virus KW - German people KW - measles KW - pediatrics KW - vaccination and immunization Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-130089 VL - 8 IS - 7 ER - TY - JOUR A1 - Schöch, Christof T1 - Big? Smart? Clean? Messy? Data in the Humanities? JF - Journal of the Digital Humanities N2 - No abstract available. KW - digital humanities Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-129492 VL - 2 IS - 3 ER - TY - THES A1 - Schwindt, Daniel T1 - Permafrost in ventilated talus slopes below the timberline - A multi-methodological study on the ground thermal regime and its impact on the temporal variability and spatial heterogeneity of permafrost at three sites in the Swiss Alps T1 - Permafrost in ventilierten Hangschutthalden unterhalb der Waldgrenze – eine multi-methodische Studie zum thermalen Regime des Untergrundes und dessen Einfluss auf die zeitliche Variabilität und räumliche Heterogenität von Permafrost an drei Standorten in den Schweizer Alpen N2 - In the central Alps permafrost can be expected above 2300 m a.s.l., at altitudes where mean annual air temperatures are below -1 °C. Isolated permafrost occurrences can be detected in north-exposed talus slopes, far below the timberline, where mean annual air temperatures are positive. Driving factors are assumed to be a low income of solar radiation, a thick organic layer with high insulation capacities as well as the thermally induced chimney effect. Aim of this study is to achieve a deeper understanding of the factors determining the site-specific thermal regime, as well as the spatially limited and temporally highly variable permafrost occurrences in vegetated talus slopes. Three supercooled talus slopes in the Swiss Alps were chosen for investigation. Substantially different characteristics were a central criterion in the selection of study sites. Located in the Upper Engadin, climatic conditions, altitude as well as dimensions of the talus slopes are comparable for the study sites Val Bever and Val Susauna; major differences are rooted in the nature of talus substrate and in humus- and vegetation distribution. Characteristics of the Brüeltobel site, located in the Appenzeller Alps, diverge with regard to climatic conditions, altitude and dimensions of the talus slope; humus- and vegetation compositions are comparable to the Val Susauna site. Confirmation and characterisation of ground ice is accomplished by the application of electrical resistivity and seismic refraction tomography. The estimation of the spatial permafrost distribution is based on quasi-3D resistivity imaging. For the confirmation of permafrost and the analysis of its temporal variability electrical resistivity monitoring arrays were constructed and installed at all study sites, to allow year-round measurements. In addition to resistivity monitoring, the – up to now – first seismic refraction tomography winter monitoring was conducted at the Val Susauna to analyse the permafrost evolution during the winter half-year. Investigations of the ground thermal regime were based on the analysis of temperature logger data. Besides recording air- and ground surface temperatures, focus was set on the temperature evolution in vents and in the organic layer. To analyse the relationship between permafrost distribution on the one hand and humus- and vegetation distribution on the other hand, an extensive mapping of humus characteristics and vegetation composition was conducted at Val Susauna. The existence of permafrost could be proven at all study sites. Spatially, permafrost bodies show a narrow transition to neighbouring, unfrozen areas. As observed at Val Susauna, the permafrost distribution strongly correlates with areas with exceptionally thick organic layer, high percentages of mosses and lichens in the undergrowth and dwarf grown trees. The temporal variability of permafrost has proven to be exceptionally high, with the magnitude of seasonal variations distinctly exceeding intra-annual changes. Thereby, the winter season is characterised by a significant supercooling. During snowmelt a growth in volumetric ice content is induced by refreezing of percolating meltwater on the supercooled talus. The results confirmed the fundamental influence of the chimney effect on the existence and temporal variability of permafrost in talus slopes. Divergences in the effectiveness of the thermal regime were detected between the study sites. These are based on differences in the nature of talus material, humus characteristics and vegetation composition. During summer, the organic material is usually dry at the daytime, inducing a high insulation capability and a protection of the subsurface against high atmospheric temperatures. Bouldery talus slopes typically show an organic layer that is fragmented by large boulders, which induces a strongly reduced insulation capability and allows an efficient heat exchange by convective airflow and percolating precipitation water. In the winter half-year, the thermal conductivity of the organic layer increases massively under moist or frozen conditions, allowing an efficient, conductive cooling of the talus material. The convective cooling in bouldery talus slopes affects an earlier onset and a higher magnitude of supercooling than under consistent humus conditions. Here, conductive heat flow is dominant and the cooling in autumn is buffered by a prolonged zero curtain. The snow cover has proven to be incapable of prohibiting an efficient supercooling of the talus slope in winter, almost independent from thickness. N2 - In den zentralen Alpen kann oberhalb einer Höhe von 2300 m ü NN, bei mittleren Jährlichen Lufttemperaturen von weniger als -1 °C mit Permafrost gerechnet werden. Isolierte Permafrostvorkommen können jedoch in nordexponierten Hangschutthalden bei positiven Jahresmitteltemperaturen bis weit unterhalb der Waldgrenze gefunden werden. Ziel dieser Arbeit ist es ein tieferes Verständnis des Faktorenkomplexes zu erreichen, der das standortspezifische, kleinräumige thermale Regime bedingt und damit die räumlich begrenzten, zeitlich hochvariablen Permafrostvorkommen in Hangschutthalden unterhalb der Waldgrenze steuert und ermöglicht. Drei unterkühlte Hangschutthalden in den Schweizer Alpen wurden zur Untersuchung ausgewählt. Bei der Auswahl wurde im Speziellen auf fundamentale Unterschiede der Standortfaktoren Wert gelegt. Im Unterengadin gelegen sind die klimatischen Bedingungen, Höhenlage sowie die Dimensionen der Hangschutthalden an den Standorten Val Bever und Val Susauna vergleichbar; Eigenschaften des Hangschuttes, Charakteristik der organischen Auflage sowie der Vegetation unterscheiden sich. Der in den Appenzeller Alpen gelegenen Standort Brüeltobel unterscheidet sich in Bezug auf die klimatischen Bedingungen, der Höhenlage und der Ausmaße der Hangschutthalde deutlich, zeigt jedoch eine zum Val Susauna ähnliche Humus- und Vegetationscharakteristik. Der Nachweis und die Charakterisierung von Untergrundeis basiert auf der Kombination von elektrischer Widerstandstomographie und seismischer Refraktionstomographie. Zur Detektion der räumlichen Verbreitung von Untergrundeis wurden diese Methoden durch quasi-3D Widerstandstomographie ergänzt. Zum Nachweis von Permafrost und zur Analyse seiner zeitlichen Variabilität wurden Monitoringauslagen konstruiert und an den Standorten fest installiert. Widerstandsmessungen wurden ganzjährig durchgeführt. In Ergänzung zu dem Widerstandsmonitoring wurde im Val Susauna erstmalig seismische Refraktionstomographie zum Monitoring der Permafrostentwicklung im Winter durchgeführt. Die Analyse des thermalen Regimes basiert auf der Analyse von Temperaturlogger Daten. Dabei wurden neben Luft- und Bodentemperaturen vor allem die Temperaturentwicklung in den Schloten sowie in der Humusauflage berücksichtigt. Zur Untersuchung des Zusammenhangs der Permafrostverbreitung mit der Humus- und Vegetationscharakteristik wurde im Val Susauna eine Kartierung der Humuseigenschaften sowie der Vegetationszusammensetzung durchgeführt. An allen untersuchten Standorten konnte Permafrost nachgewiesen werden. Räumlich sind die Permafrostkörper sehr scharf von benachbarten Hangbereichen abgegrenzt. Am Standort Val Susauna konnte ein hoher räumlicher Zusammenhang zwischen der Permafrostverbreitung und Bereichen mit besonders mächtiger Humusauflage, einem hohen Anteil an Moosen und Flechten im Unterwuchs sowie einem ausgeprägtem Zwergwuchs nachgewiesen werden. Die zeitliche Variabilität des Permafrost hat sich an allen Standorten als außergewöhnlich hoch herausgestellt. Dabei übersteigt die Magnitude der saisonalen Variabilität die mehrjährigen Veränderungen deutlich. Das Winterhalbjahr zeigt sich durch eine effiziente Unterkühlung geprägt. Die Schneeschmelze im Frühling steht in Verbindung mit einem deutlichen Eiszuwachs, der durch ein wiedergefrieren des versickernden Schmelzwassers an dem unterkühlten Hangschutt verursacht wird. Die Ergebnisse haben den fundamentalen Einfluss des Chimney Effekt auf die Existenz und zeitliche Variabilität von Permafrost in Hangschutthalden bestätigt. Unterschiede in der Wirkungsweise des thermalen Regimes konnten herausgestellt werden, die in erster Linie auf die unterschiedliche Ausprägung der Humusauflage, Charakteristik des Hangschutts, und die Vegetationszusammensetzung zurückzuführen sind. Während des Sommers ermöglicht die sehr geringe thermische Leitfähigkeit der im oberflächennahen Bereich meist recht trockenen organischen Auflage eine ausgeprägte Isolation des Untergrundes gegenüber hohen Außentemperaturen. Die in grobblockigen Hangschutthalden zu findende ungleichmäßige, von Blockmaterial fragmentierte organische Auflage zeigt eine deutlich geringere Isolationsfähigkeit und ermöglicht einen effektiven, Wärmeaustausch durch Konvektion und perkolierendes Niederschlagswasser. Im Winterhalbjahr steigt die thermische Leitfähigkeit des organischen Materials unter durchfeuchteten sowie gefrorenen Bedingungen massiv an und ermöglicht eine effiziente Auskühlung der Hangschutts. Die Unterkühlung in grobblockigen Hangschutthalden zeigt aufgrund des auch im Winter ausgeprägten konvektiven Wärmeflusses eine höhere Magnitude und ein früheres Einsetzen als bei homogenen Humusauflagen, wo konduktiver Wärmefluss dominiert und eine Auskühlung im Herbst durch eine ausgeprägte zero-curtain Periode gepuffert wird. Der Einfluss der Schneedecke auf das thermale Regime ist insgesamt gering; ihre Isolationsfähigkeit ist, annähernd unabhängig von der Schneemächtigkeit, stark reduziert. KW - Engadin KW - Schutthalde KW - geophysical monitoring KW - Val Bever Val Susauna Brüeltobel KW - 3D-ERT electrical resistivity tomography KW - SRT seismic refraction tomography KW - ERT electrical resistivity tomography KW - chimney effect KW - humus cover organic material KW - ground thermal regime KW - scree slope KW - sporadic alpine permafrost KW - Dauerfrostboden KW - Monitorüberwachung KW - Permafrost KW - Geophysics Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-90099 ER - TY - JOUR A1 - Schwarz, Tobias A1 - Remer, Katharina A. A1 - Nahrendorf, Wiebke A1 - Masic, Anita A1 - Siewe, Lisa A1 - Müller, Werner A1 - Roers, Axel A1 - Moll, Heidrun T1 - T Cell-Derived IL-10 Determines Leishmaniasis Disease Outcome and Is Suppressed by a Dendritic Cell Based Vaccine JF - PLoS Pathogens N2 - Abstract In the murine model of Leishmania major infection, resistance or susceptibility to the parasite has been associated with the development of a Th1 or Th2 type of immune response. Recently, however, the immunosuppressive effects of IL-10 have been ascribed a crucial role in the development of the different clinical correlates of Leishmania infection in humans. Since T cells and professional APC are important cellular sources of IL-10, we compared leishmaniasis disease progression in T cell-specific, macrophage/neutrophil-specific and complete IL-10-deficient C57BL/6 as well as T cell-specific and complete IL-10-deficient BALB/c mice. As early as two weeks after infection of these mice with L. major, T cell-specific and complete IL-10-deficient animals showed significantly increased lesion development accompanied by a markedly elevated secretion of IFN-γ or IFN-γ and IL-4 in the lymph nodes draining the lesions of the C57BL/6 or BALB/c mutants, respectively. In contrast, macrophage/neutrophil-specific IL-10-deficient C57BL/6 mice did not show any altered phenotype. During the further course of disease, the T cell-specific as well as the complete IL-10-deficient BALB/c mice were able to control the infection. Furthermore, a dendritic cell-based vaccination against leishmaniasis efficiently suppresses the early secretion of IL-10, thus contributing to the control of parasite spread. Taken together, IL-10 secretion by T cells has an influence on immune activation early after infection and is sufficient to render BALB/c mice susceptible to an uncontrolled Leishmania major infection. Author Summary The clinical symptoms caused by infections with Leishmania parasites range from self-healing cutaneous to uncontrolled visceral disease and depend not only on the parasite species but also on the type of the host's immune response. It is estimated that 350 million people worldwide are at risk, with a global incidence of 1–1.5 million cases of cutaneous and 500,000 cases of visceral leishmaniasis. Murine leishmaniasis is the best-characterized model to elucidate the mechanisms underlying resistance or susceptibility to Leishmania major parasites in vivo. Using T cell-specific and macrophage-specific mutant mice, we demonstrate that abrogating the secretion of the immunosuppressive cytokine IL-10 by T cells is sufficient to render otherwise susceptible mice resistant to an infection with the pathogen. The healing phenotype is accompanied by an elevated specific inflammatory immune response very early after infection. We further show that dendritic cell-based vaccination against leishmaniasis suppresses the early secretion of IL-10 following challenge infection. Thus, our study unravels a molecular mechanism critical for host immune defense, aiding in the development of an effective vaccine against leishmaniasis. KW - cytokines KW - mouse models KW - T cells KW - lymph nodes KW - leishmania major KW - secretion KW - parasitic diseases KW - immune response Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-130385 VL - 9 IS - 6 ER - TY - JOUR A1 - Schwarz, Katharina A. A1 - Wieser, Matthias J. A1 - Gerdes, Antje B. M. A1 - Mühlberger, Andreas A1 - Pauli, Paul T1 - Why are you looking like that? How the context influences evaluation and processing of human faces JF - Social Cognitive and Affective Neuroscience N2 - 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. KW - social anxiety KW - facial expression KW - context KW - self-reference Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-132126 VL - 8 IS - 4 ER - TY - JOUR A1 - Schuster, Frank A1 - Johannsen, Stephan A1 - Schneiderbanger, Daniel A1 - Roewer, Norbert T1 - Evaluation of suspected malignant hyperthermia events during anesthesia JF - BMC Anesthesiology N2 - Background Malignant hyperthermia (MH), a metabolic myopathy triggered by volatile anesthetics and depolarizing muscle relaxants, is a potentially lethal complication of general anesthesia in susceptible patients. The implementation of modern inhalation anesthetics that research indicates as less potent trigger substances and the recommended limitations of succinylcholine use, suggests there may be considerable decline of fulminant MH cases. In the presented study, the authors analyzed suspected MH episodes during general anesthesia of patients that were referred to the Wuerzburg MH unit between 2007 and 2011, assuming that MH is still a relevant anesthetic problem in our days. Methods With approval of the local ethics committee data of patients that underwent muscle biopsy and in vitro contracture test (IVCT) between 2007 and 2011 were analyzed. Only patients with a history of suspected MH crisis were included in the study. The incidents were evaluated retrospectively using anesthetic documentation and medical records. Results Between 2007 and 2011 a total of 124 patients were tested. 19 of them were referred because of suspected MH events; 7 patients were diagnosed MH-susceptible, 4 MH-equivocal and 8 MH-non-susceptible by IVCT. In a majority of cases masseter spasm after succinylcholine had been the primary symptom. Cardiac arrhythmias and hypercapnia frequently occurred early in the course of events. Interestingly, dantrolene treatment was initiated in a few cases only. Conclusions MH is still an important anesthetic complication. Every anesthetist must be aware of this life-threatening syndrome at any time. The rapid onset of adequate therapy is crucial to avoid major harm and possibly lethal outcome. Dantrolene must be readily available wherever MH triggering agents are used for anesthesia. KW - Malignant hyperthermia KW - In vitro contracture test KW - Succinylcholine KW - Volatile anesthetics Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-96231 UR - http://www.biomedcentral.com/1471-2253/13/24 ER - TY - JOUR A1 - Schuster, Frank A1 - Johannsen, Stephan A1 - Roewer, Norbert T1 - A Minimal-Invasive Metabolic Test Detects Malignant Hyperthermia Susceptibility in a Patient after Sevoflurane-Induced Metabolic Crisis JF - Case Reports in Anesthesiology N2 - Malignant hyperthermia is a rare but life-threatening complication of general anesthesia in predisposed patients usually triggered by potent inhalation anesthetics and/or the depolarizing muscle relaxant succinylcholine. The authors present a case of delayed sevoflurane-induced malignant hyperthermia in a 21-year-old male patient that was sufficiently treated by discontinuation of trigger agent application and dantrolene infusion. After surviving an MH episode diagnostic procedures are indicated to increase patient safety. In the presented case, the use of a novel minimal-invasive metabolic test with intramuscular injection of halothane and caffeine successfully confirmed MH susceptibility and hence might be an alternative for invasive in vitro contracture testing in selected cases. KW - Medizin Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-97080 ER - TY - JOUR A1 - Schupp, Nicole A1 - Ali, Badreldin H. A1 - Beegam, Sumyia A1 - Al-Husseni, Isehaq A1 - Al-Shukaili, Ahmed A1 - Nemmar, Abderrahim A1 - Schierling, Simone A1 - Queisser, Nina T1 - Effect of gum arabic on oxidative stress and inflammation in adenine-induced chronic renal failure in rats JF - PLoS One N2 - Inflammation and oxidative stress are known to be involved in the pathogenesis of chronic kidney disease in humans, and in chronic renal failure (CRF) in rats. The aim of this work was to study the role of inflammation and oxidative stress in adenine-induced CRF and the effect thereon of the purported nephroprotective agent gum arabic (GA). Rats were divided into four groups and treated for 4 weeks as follows: control, adenine in feed (0.75%, w/w), GA in drinking water (15%, w/v) and adenine+GA, as before. Urine, blood and kidneys were collected from the rats at the end of the treatment for analysis of conventional renal function tests (plasma creatinine and urea concentration). In addition, the concentrations of the pro-inflammatory cytokine TNF-a and the oxidative stress markers glutathione and superoxide dismutase, renal apoptosis, superoxide formation and DNA double strand break frequency, detected by immunohistochemistry for c-H2AX, were measured. Adenine significantly increased the concentrations of urea and creatinine in plasma, significantly decreased the creatinine clearance and induced significant increases in the concentration of the measured inflammatory mediators. Further, it caused oxidative stress and DNA damage. Treatment with GA significantly ameliorated these actions. The mechanism of the reported salutary effect of GA in adenine-induced CRF is associated with mitigation of the adenine-induced inflammation and generation of free radicals. KW - adenine KW - blood plasma KW - creatinine KW - inflammation KW - inflammatory diseases KW - Kidneys KW - Oxidative stress KW - Water resources Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-95787 ER - TY - JOUR A1 - Schulze, Katja A1 - Tillich, Ulrich M. A1 - Dandekar, Thomas A1 - Frohme, Marcus T1 - PlanktoVision – an automated analysis system for the identification of phytoplankton JF - BMC Bioinformatics N2 - Background Phytoplankton communities are often used as a marker for the determination of fresh water quality. The routine analysis, however, is very time consuming and expensive as it is carried out manually by trained personnel. The goal of this work is to develop a system for an automated analysis. Results A novel open source system for the automated recognition of phytoplankton by the use of microscopy and image analysis was developed. It integrates the segmentation of the organisms from the background, the calculation of a large range of features, and a neural network for the classification of imaged organisms into different groups of plankton taxa. The analysis of samples containing 10 different taxa showed an average recognition rate of 94.7% and an average error rate of 5.5%. The presented system has a flexible framework which easily allows expanding it to include additional taxa in the future. Conclusions The implemented automated microscopy and the new open source image analysis system - PlanktoVision - showed classification results that were comparable or better than existing systems and the exclusion of non-plankton particles could be greatly improved. The software package is published as free software and is available to anyone to help make the analysis of water quality more reproducible and cost effective. KW - Bioinformatik Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-96395 UR - http://www.biomedcentral.com/1471-2105/14/115 ER - TY - JOUR A1 - Schultz, Jörg A1 - Terhoeven, Niklas T1 - The bilaterian roots of cordon-bleu JF - BMC Research Notes N2 - Background The actin cytoskeleton is essential for many physiological processes of eukaryotic cells. The emergence of new actin fibers is initiated by actin nucleators. Whereas most of them are evolutionary old, the cordon-bleu actin nucleator is classified as vertebrate specific. Findings Using sensitive methods for sequence similarity detection, we identified homologs of cordon-bleu not only in non-vertebrate chordates but also in arthropods, molluscs, annelids and platyhelminthes. These genes contain only a single WH2 domain and therefore resemble more the vertebrate cordon-bleu related 1 protein than the three WH2 domain containing cordon-bleu. Furthermore, we identified a homolog of the N-terminal, ubiquitin like, cobl domain of cordon-bleu in the cnidarian Nematostella vectensis. Conclusion Our results suggest that the ur-form of the cordon-bleu protein family evolved already with the emergence of the bilateria by the combination of existing cobl and WH2 domains. Following a vertebrate specific gene-duplication, one copy gained two additional WH2 domains leading to the actin nucleating cordon-bleu. The function of the ur-form of the cordon-bleu protein family is so far unknown. The identification of a homolog in the model organism Drosophila melanogaster could facilitate its experimental characterization. KW - Actin nucleation KW - WH2 domain KW - Cobl domain KW - Gene duplication Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-97161 UR - http://www.biomedcentral.com/1756-0500/6/393 ER - TY - JOUR A1 - Schultz, Jörg A1 - Keller, Daniela Barbara T1 - Connectivity, Not Frequency, Determines the Fate of a Morpheme JF - PLoS ONE N2 - Morphemes are the smallest meaningful parts of words and therefore represent a natural unit to study the evolution of words. To analyze the influence of language change on morphemes, we performed a large scale analysis of German and English vocabulary covering the last 200 years. Using a network approach from bioinformatics, we examined the historical dynamics of morphemes, the fixation of new morphemes and the emergence of words containing existing morphemes. We found that these processes are driven mainly by the number of different direct neighbors of a morpheme in words (connectivity, an equivalent to family size or type frequency) and not its frequency of usage (equivalent to token frequency). This contrasts words, whose survival is determined by their frequency of usage. We therefore identified features of morphemes which are not dictated by the statistical properties of words. As morphemes are also relevant for the mental representation of words, this result might enable establishing a link between an individual’s perception of language and historical language change. KW - confidence intervals KW - evolutionary biology KW - culture KW - language KW - lexicography KW - linguistic morphology KW - network analysis KW - psycholinguistics Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-97039 ER - TY - JOUR A1 - Schulte, Leon N. A1 - Westermann, Alexander J. A1 - Vogel, Jörg T1 - Differential activation and functional specialization of miR-146 and miR-155 in innate immune sensing JF - Nucleic Acids Research N2 - Many microRNAs (miRNAs) are co-regulated during the same physiological process but the underlying cellular logic is often little understood. The conserved, immunomodulatory miRNAs miR-146 and miR-155, for instance, are co-induced in many cell types in response to microbial lipopolysaccharide (LPS) to feedback-repress LPS signalling through Toll-like receptor TLR4. Here, we report that these seemingly co-induced regulatory RNAs dramatically differ in their induction behaviour under various stimuli strengths and act non-redundantly through functional specialization; although miR-146 expression saturates at sub-inflammatory doses of LPS that do not trigger the messengers of inflammation markers, miR-155 remains tightly associated with the pro-inflammatory transcriptional programmes. Consequently, we found that both miRNAs control distinct mRNA target profiles; although miR-146 targets the messengers of LPS signal transduction components and thus downregulates cellular LPS sensitivity, miR-155 targets the mRNAs of genes pervasively involved in pro-inflammatory transcriptional programmes. Thus, miR-155 acts as a broad limiter of pro-inflammatory gene expression once the miR-146 dependent barrier to LPS triggered inflammation has been breached. Importantly, we also report alternative miR-155 activation by the sensing of bacterial peptidoglycan through cytoplasmic NOD-like receptor, NOD2. We predict that dosedependent responses to environmental stimuli may involve functional specialization of seemingly coinduced miRNAs in other cellular circuitries as well. KW - Molekulare Infektionsbiologie Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-129765 VL - 41 IS - 1 ER - TY - JOUR A1 - Schul, Daniela A1 - Schmitt, Alexandra A1 - Regneri, Janine A1 - Schartl, Manfred A1 - Wagner, Toni Ulrich T1 - Bursted BMP Triggered Receptor Kinase Activity Drives Smad1 Mediated Long-Term Target Gene Oscillation in c2c12 Cells JF - PLoS ONE N2 - Bone Morphogenetic Proteins (BMPs) are important growth factors that regulate many cellular processes. During embryogenesis they act as morphogens and play a critical role during organ development. They influence cell fates via concentration-gradients in the embryos where cells transduce this extracellular information into gene expression profiles and cell fate decisions. How receiving cells decode and quantify BMP2/4 signals is hardly understood. There is little data on the quantitative relationships between signal input, transducing molecules, their states and location, and ultimately their ability to integrate graded systemic inputs and generate qualitative responses. Understanding this signaling network on a quantitative level should be considered a prerequisite for efficient pathway modulation, as the BMP pathway is a prime target for therapeutic invention. Hence, we quantified the spatial distribution of the main signal transducer of the BMP2/4 pathway in response to different types and levels of stimuli in c2c12 cells. We found that the subcellular localization of Smad1 is independent of ligand concentration. In contrast, Smad1 phosphorylation levels relate proportionally to BMP2 ligand concentrations and they are entirely located in the nucleus. Interestingly, we found that BMP2 stimulates target gene expression in non-linear, wave-like forms. Amplitudes showed a clear concentration-dependency, for sustained and transient stimulation. We found that even burst-stimulation triggers gene-expression wave-like modulations that are detectable for at least 30 h. Finally, we show here that target gene expression oscillations depend on receptor kinase activity, as the kinase drives further expression pulses without receptor reactivation and the target gene expression breaks off after inhibitor treatment in c2c12 cells. KW - gene expression KW - BMP signaling KW - SMAD signaling KW - genetic oscillators KW - cell fusion KW - DNA-binding proteins KW - luciferase KW - kinase inhibitors Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-130131 VL - 8 IS - 4 ER - TY - THES A1 - Schul, Daniela T1 - Spatio-temporal investigation and quantitative analysis of the BMP signaling pathway T1 - Raum-Zeitliche Untersuchung und quantitative Analyse des BMP-Signaltransduktionsweges N2 - Bone Morphogenetic Proteins (BMPs) are key regulators for a lot of diverse cellular processes. During embryonic development these proteins act as morphogens and play a crucial role particularly in organogenesis. BMPs have a direct impact on distinct cellular fates by means of concentration-gradients in the developing embryos. Using the diverse signaling input information within the embryo due to the gradient, the cells transduce the varying extracellular information into distinct gene expression profiles and cell fate decisions. Furthermore, BMP proteins bear important functions in adult organisms like tissue homeostasis or regeneration. In contrast to TGF-ß signaling, currently only little is known about how cells decode and quantify incoming BMP signals. There is poor knowledge about the quantitative relationships between signal input, transducing molecules, their states and location, and finally their ability to incorporate graded systemic inputs and produce qualitative responses. A key requirement for efficient pathway modulation is the complete comprehension of this signaling network on a quantitative level as the BMP signaling pathway, just like many other signaling pathways, is a major target for medicative interference. I therefore at first studied the subcellular distribution of Smad1, which is the main signal transducing protein of the BMP signaling pathway, in a quantitative manner and in response to various types and levels of stimuli in murine c2c12 cells. Results indicate that the subcellular localization of Smad1 is not dependent on the initial BMP input. Surprisingly, only the phospho-Smad1 level is proportionally associated to ligand concentration. Furthermore, the activated transducer proteins were entirely located in the nucleus. Besides the subcellular localization of Smad1, I have analyzed the gene expression profile induced by BMP signaling. Therefore, I examined two endogenous immediate early BMP targets as well as the expression of the stably transgenic Gaussia Luciferase. Interestingly, the results of these independent experimental setups and read-outs suggest oscillating target gene expression. The amplitudes of the oscillations showed a precise concentration-dependence for continuous and transient stimulation. Additionally, even short-time stimulation of 15’ activates oscillating gene-expression pulses that are detectable for at least 30h post-stimulation. Only treatment with a BMP type I receptor kinase inhibitor leads to the complete abolishment of the target gene expression. This indicated that target gene expression oscillations depend directly on BMP type I receptor kinase activity. N2 - Bone Morphogenetic Proteins (BMPs) stellen wichtige Regulatoren für eine Vielzahl von verschiedenen zellulären Prozessen dar. Während der Embryonalentwicklung agieren diese Proteine als Morphogene und spielen daher eine entscheidende Rolle für diesen Prozess, vor allem in der Organogenese. Durch Konzentrationsgradienten üben BMPs einen direkten Einfluss auf verschiedene zelluläre Schicksale im entwickelnden Embryo aus. Aufgrund dieser Gradienten gelangen vielfältige Signalinformationen zu den verschiedenen Zellen, welche die extrazelluläre Information in verschiedene Genexpressionsprofile und Zellschicksalsentscheidungen umwandeln. Darüber hinaus tragen BMPs wichtige Funktionen im erwachsenen Organismus, wie z.B. Gewebshomöostase oder -regeneration. Im Gegensatz zu dem verwandten TGF-ß Signaltransduktionsweg ist derzeit nur wenig über die zelluläre Übersetzung und Quantifizierung eingehender BMP-Signale bekannt. Es gibt wenige Kenntnisse über die quantitative Beziehung zwischen Signaleingang, Überträgerproteinen, ihren Zuständen sowie intrazellulären Positionen, und schließlich ihre Fähigkeit Signaleingänge systemisch zu integrieren und qualitative Antworten der Zelle zu produzieren. Eine wesentliche Voraussetzung für die effiziente Signaltransduktions-modulierung ist das vollständige Verständnis des Signalnetzwerkes auf einer quantitativen Ebene, da der BMP-Signalweg, wie auch viele andere Signalwege, ein wichtiges Ziel für medizinische Anwendungen und Medikamentenentwicklung ist. Daher untersuchte ich zunächst die subzelluläre Verteilung der wichtigsten Signalweiterleitungsproteine des BMP-Signalweges, der Smad1-Proteine, auf quantitativer Ebene und deren Reaktion auf verschiedene Stimulierungsarten und BMP-Konzentrationsstufen in murinen c2c12-Zellen. Die Ergebnisse zeigen, dass die subzelluläre Lokalisation von Smad1 unabhängig von der BMP-Konzentration ist und nur das phospho-Smad1 Level proportional zur Konzentration des Liganden steigt. Darüber hinaus befanden sich die aktiven Überträgerproteine nach Stimulierungvollständig im Zellkern. Neben der subzellulären Lokalisation von Smad1, habe ich das Genexpressionsprofil von BMP-Zielgenen analysiert. Ich untersuchte zwei endogene und frühe BMP-Zielgene sowie die Expression der stabil transgenen Gaussia Luciferase. Interessanterweise deuten die Ergebnisse dieser zwei unabhängigen Versuchsaufbauten und Detektionsmethoden auf eine oszillierende Expression der Zielgene hin. Die Amplituden der Schwingungen zeigten eine deutliche Konzentrationsabhängigkeit bei kontinuierlicher und transienter Stimulation. Außerdem aktiviert eine Kurzzeitstimulierung von 15 Minuten ebenfalls ein oszillierendes Genexpressionsprofil, welches für mindestens 30 Stunden nach der Stimulierung nachweisbar ist. Nur die Behandlung mit einem BMP Typ-I-Rezeptorkinaseinhibitor führt zur vollständigen Aufhebung der Zielgenexpression. Infolgedessen sind die Oszillationen der Zielgenexpression direkt von der Aktivität der BMP Typ-I-Rezeptorkinase abhängig. KW - Knochen-Morphogenese-Proteine KW - Signaltransduktion KW - BMP-Signaltransduktionsweg KW - Analyse KW - BMP signaling pathway KW - analysis Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-84224 ER - TY - JOUR A1 - Schubert, Maria A1 - Spahn, Martin A1 - Kneitz, Susanne A1 - Scholz, Claus Jürgen A1 - Joniau, Steven A1 - Stroebel, Philipp A1 - Riedmiller, Hubertus A1 - Kneitz, Burkhard T1 - Distinct microRNA Expression Profile in Prostate Cancer Patients with Early Clinical Failure and the Impact of let-7 as Prognostic Marker in High-Risk Prostate Cancer JF - PLoS ONE N2 - Background The identification of additional prognostic markers to improve risk stratification and to avoid overtreatment is one of the most urgent clinical needs in prostate cancer (PCa). MicroRNAs, being important regulators of gene expression, are promising biomarkers in various cancer entities, though the impact as prognostic predictors in PCa is poorly understood. The aim of this study was to identify specific miRNAs as potential prognostic markers in high-risk PCa and to validate their clinical impact. Methodology and Principal Findings We performed miRNA-microarray analysis in a high-risk PCa study group selected by their clinical outcome (clinical progression free survival (CPFS) vs. clinical failure (CF)). We identified seven candidate miRNAs (let-7a/b/c, miR-515-3p/5p, -181b, -146b, and -361) that showed differential expression between both groups. Further qRT-PCR analysis revealed down-regulation of members of the let-7 family in the majority of a large, well-characterized high-risk PCa cohort (n = 98). Expression of let-7a/b/and -c was correlated to clinical outcome parameters of this group. While let-7a showed no association or correlation with clinical relevant data, let-7b and let-7c were associated with CF in PCa patients and functioned partially as independent prognostic marker. Validation of the data using an independent high-risk study cohort revealed that let-7b, but not let-7c, has impact as an independent prognostic marker for BCR and CF. Furthermore, we identified HMGA1, a non-histone protein, as a new target of let-7b and found correlation of let-7b down-regulation with HMGA1 over-expression in primary PCa samples. Conclusion Our findings define a distinct miRNA expression profile in PCa cases with early CF and identified let-7b as prognostic biomarker in high-risk PCa. This study highlights the importance of let-7b as tumor suppressor miRNA in high-risk PCa and presents a basis to improve individual therapy for high-risk PCa patients. KW - biomarkers KW - gene expression KW - gene targeting KW - luciferase KW - MircoRNA KW - microarrays KW - oncogenes KW - prostate cancer Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-96825 ER - TY - JOUR A1 - Schreier, Peter A1 - Binns, Colin A1 - Högger, Petra A1 - Wu, Dayong T1 - It began with citrus N2 - First Editorial of Open Access Journal "Nutrition and Medicine (NUME)" published by Würzburg University Press: http://nume.de KW - Ernährung KW - Medizin KW - Citrus KW - Geschichte KW - nutrition KW - medicine KW - citrus KW - history Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-74918 ER - TY - JOUR A1 - Schreiber, Olivia A1 - Schneiderat, Peter A1 - Kress, Wolfram A1 - Rautenstrauss, Bernd A1 - Senderek, Jan A1 - Schoser, Bendikt A1 - Walter, Maggie C. T1 - Facioscapulohumeral muscular dystrophy and Charcot-Marie-Tooth neuropathy 1A-evidence for "double trouble" overlapping syndromes JF - BMC Medical Genetics N2 - Background: We report on a patient with genetically confirmed overlapping diagnoses of CMT1A and FSHD. This case adds to the increasing number of unique patients presenting with atypical phenotypes, particularly in FSHD. Even if a mutation in one disease gene has been found, further genetic testing might be warranted in cases with unusual clinical presentation. Case presentation: The reported 53 years old male patient suffered from walking difficulties and foot deformities first noticed at age 20. Later on, he developed scapuloperoneal and truncal muscle weakness, along with atrophy of the intrinsic hand and foot muscles, pes cavus, claw toes and a distal symmetric hypoesthesia. Motor nerve conduction velocities were reduced to 20 m/s in the upper extremities, and not educible in the lower extremities, sensory nerve conduction velocities were not attainable. Electromyography showed both, myopathic and neurogenic changes. A muscle biopsy taken from the tibialis anterior muscle showed a mild myopathy with some neurogenic findings and hypertrophic type 1 fibers. Whole-body muscle MRI revealed severe changes in the lower leg muscles, tibialis anterior and gastrocnemius muscles were highly replaced by fatty tissue. Additionally, fatty degeneration of shoulder girdle and straight back muscles, and atrophy of dorsal upper leg muscles were seen. Taken together, the presenting features suggested both, a neuropathy and a myopathy. Patient's family history suggested an autosomal dominant inheritance. Molecular testing revealed both, a hereditary motor and sensory neuropathy type 1A (HMSN1A, also called Charcot-Marie-Tooth neuropathy 1A, CMT1A) due to a PMP22 gene duplication and facioscapulohumeral muscular dystrophy (FSHD) due to a partial deletion of the D4Z4 locus (19 kb). Conclusion: Molecular testing in hereditary neuromuscular disorders has led to the identification of an increasing number of atypical phenotypes. Nevertheless, finding the right diagnosis is crucial for the patient in order to obtain adequate medical care and appropriate genetic counseling, especially in the background of arising curative therapies. KW - D4Z4 partial deletion KW - sensory neuropathy KW - hereditary motor KW - disease KW - phenotype KW - FSHD KW - myopathy KW - patient KW - duplication KW - diagnosis KW - facioscapulohumeral muscular dystrophy KW - Charcot-Marie-Tooth neuropathy 1A KW - hereditary motor and sensory neuropathy KW - double trouble KW - overlapping syndrome Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-121963 SN - 1471-2350 VL - 14 IS - 92 ER -