TY - JOUR A1 - Suchotzki, Kristina A1 - May, Heidi A1 - Gamer, Matthias T1 - No effect of moderate alcohol intake on the detection of concealed identity information in the laboratory JF - Scientific Reports N2 - The Concealed Information Test (CIT) enables the detection of certain (e.g., crime-relevant or personal) information, even if participants aim to conceal their knowledge. The current preregistered study investigated whether previously observed impairing effects of alcohol intoxication on participants' performance in a reaction time CIT (RT CIT) field study also translate to a laboratory environment. In contrast to the previous study of Suchotzki and Gamer (Sci Rep 8:7825, 2018) in which alcohol consumption was voluntary and self-administered, the current study used a randomized assignment of participants to either an alcohol group (n=88; receiving a drink with 3 cl alcohol) or a sober control group (n=89; receiving a drink with just some alcohol drops to hide group assignment). After drink administration, participants completed an RT CIT, in which they were instructed to hide knowledge of their own identity. Blood alcohol concentration (BAC) was estimated via breath alcohol ratio. In contrast to the previous field study, results revealed no differences in CIT-performance between intoxicated and sober participants. Aside from questioning the robustness of the result of the previous field study, our results also point to a number of interesting theoretical explanations for the discrepancy between both results, which are elaborated in the discussion. KW - Concealed Information Test KW - concealed identity information KW - CIT Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-231208 VL - 10 ER - TY - JOUR A1 - Kleih-Dahms, Sonja C. A1 - Botrel, Loic T1 - Neurofeedback therapy to improve cognitive function in patients with chronic post-stroke attention deficits: a within-subjects comparison JF - Frontiers in Human Neuroscience N2 - Introduction We investigated a slow-cortical potential (SCP) neurofeedback therapy approach for rehabilitating chronic attention deficits after stroke. This study is the first attempt to train patients who survived stroke with SCP neurofeedback therapy. Methods We included N = 5 participants in a within-subjects follow-up design. We assessed neuropsychological and psychological performance at baseline (4 weeks before study onset), before study onset, after neurofeedback training, and at 3 months follow-up. Participants underwent 20 sessions of SCP neurofeedback training. Results Participants learned to regulate SCPs toward negativity, and we found indications for improved attention after the SCP neurofeedback therapy in some participants. Quality of life improved throughout the study according to engagement in activities of daily living. The self-reported motivation was related to mean SCP activation in two participants. Discussion We would like to bring attention to the potential of SCP neurofeedback therapy as a new rehabilitation method for treating post-stroke cognitive deficits. Studies with larger samples are warranted to corroborate the results. KW - stroke KW - slow cortical potentials (SCP) KW - attention deficit KW - neurofeedback training KW - self-efficacy KW - brain-computer interfaces (BCI) Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-322454 VL - 17 ER - TY - JOUR A1 - Stippekohl, Bastian A1 - Winkler, Markus H. A1 - Walter, Bertram A1 - Kagerer, Sabine A1 - Mucha, Ronald F. A1 - Pauli, Paul A1 - Vaitl, Dieter A1 - Stark, Rudolf T1 - Neural Responses to Smoking Stimuli Are Influenced by Smokers' Attitudes towards Their Own Smoking Behaviour JF - PLoS One N2 - An important feature of addiction is the high drug craving that may promote the continuation of consumption. Environmental stimuli classically conditioned to drug-intake have a strong motivational power for addicts and can elicit craving. However, addicts differ in the attitudes towards their own consumption behavior: some are content with drug taking (consonant users) whereas others are discontent (dissonant users). Such differences may be important for clinical practice because the experience of dissonance might enhance the likelihood to consider treatment. This fMRI study investigated in smokers whether these different attitudes influence subjective and neural responses to smoking stimuli. Based on self-characterization, smokers were divided into consonant and dissonant smokers. These two groups were presented smoking stimuli and neutral stimuli. Former studies have suggested differences in the impact of smoking stimuli depending on the temporal stage of the smoking ritual they are associated with. Therefore, we used stimuli associated with the beginning (BEGIN-smoking-stimuli) and stimuli associated with the terminal stage (END-smoking-stimuli) of the smoking ritual as distinct stimulus categories. Stimulus ratings did not differ between both groups. Brain data showed that BEGIN-smoking-stimuli led to enhanced mesolimbic responses (amygdala, hippocampus, insula) in dissonant compared to consonant smokers. In response to END-smoking-stimuli, dissonant smokers showed reduced mesocortical responses (orbitofrontal cortex, subcallosal cortex) compared to consonant smokers. These results suggest that smoking stimuli with a high incentive value (BEGIN-smoking-stimuli) are more appetitive for dissonant than consonant smokers at least on the neural level. To the contrary, smoking stimuli with low incentive value (END-smoking-stimuli) seem to be less appetitive for dissonant smokers than consonant smokers. These differences might be one reason why dissonant smokers experience difficulties in translating their attitudes into an actual behavior change. KW - smoking habits KW - addiction KW - amygdala KW - behavioral addiction KW - addicts KW - nicotine addiction KW - drug research and development KW - drug addiction Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-124393 VL - 7 IS - 11 ER - TY - THES A1 - Plichta, Michael M. T1 - Neural correlates of delay discounting: Effects of dopamine bioavailability and implications for attention-deficit/hyperactivity disorder (ADHD) T1 - Neuronale Korrelate des Delay Discounting: Effekte der Dopamin-Bioverfügbarkeit und Implikationen für das Aufmerksamkeitsdefizit-/Hyperaktivitätssyndrom (ADHS) N2 - Humans and other animals share choice preference for smaller-but-sooner over later-but-larger rewards, indicating that the subjective value of a reward is discounted as a function of time. This phenomenon referred to as delay discounting (DD), represents one facet of impulsivity which is inherently connected with reward processing and, within a certain range, adaptive. Maladaptive levels, however, can lead to suboptimal decision-making and represent important characteristics of psychopathologies such as attention-deficit/hyperactivity disorder (ADHD). In line with a proposed influence of dysregulated dopamine (DA) levels on impulsivity, neural structures involved in DD (the ventral-striatum [VS]; orbitofrontal cortex [OFC]) are highly innervated by dopaminergic neurons. However, studies explicitly testing the triadic interplay of dopaminergic neurotransmission, impulsivity and brain activation during intertemporal choice are missing. Therefore, the first study of the thesis examined the effect of different DA-bioavailability levels, indicated by a genetic polymorphism (Val158Met) in the gene of the catechol-O-methyltransferase, on the association of delay discounting and OFC activation. OFC response to monetary rewards that varied by delay-to-delivery was recorded with functional near-infrared spectroscopy (fNIRS) in a sample of 49 healthy human subjects. The results suggest a DA-related enhancement in OFC function from low (low DA level) to partial (intermediate DA level) and full (high DA level) reward delay sensitivity. Furthermore, DA-bioavailability was shown to moderate the association of neural reward delay sensitivity and impulsivity: OFC reward delay sensitivity was strongly correlated with impulsivity at intermediate DA-levels, but not at low or high DA-levels where impulsivity was related to delay-independent OFC amplitudes. It is concluded that DA-level should be considered as a crucial factor whenever impulsivity-related brain activation, in particular to reward delay, is examined in healthy subjects. Dysfunctional reward processing, accompanied by a limited ability to tolerate reward delays (delay aversion), has been proposed as an important feature in ADHD putatively caused by striatal hypo-dopaminergia. Therefore, the aim of the second study of this thesis was to examine subcortical processing of reward delays and to test for neural indicators of a negative emotional response to delay periods. Using functional magnetic resonance imaging (fMRI), brain activation in adult patients with ADHD (n=14) and healthy control subjects (n=12) was recorded during the processing of immediate and delayed rewards. Compared with healthy control subjects, hyporesponsiveness of the VS reward system was evident in patients with ADHD for both immediate and delayed rewards. In contrast, delayed rewards evoked hyperactivation in the dorsal caudate nucleus and the amygdala of ADHD patients, corroborating the central predictions of the delay aversion hypothesis. In combination both studies support the conception of a close link between delay discounting, brain activation and dopaminergic neurotransmission. The results implicate that studies on neural correlates of DD have to account for the DA-bioavailability level and for a negative emotional response to reward delays. N2 - Menschen und andere Spezies zeigen eine Präferenz für sofortige Belohnung mit geringerem Wert gegenüber zeitlich verzögerter Belohnung mit höherem Wert. Dies weist darauf hin, dass der subjektiv empfundene Wert einer Belohnung in Abhängigkeit der Verzögerung bis zur Aushändigung abnimmt. Dieses Phänomen wird als Delay Discounting (DD) bezeichnet und stellt eine Facette von Impulsivität dar, die direkt mit Belohnungsverarbeitung verknüpft und innerhalb eines bestimmten Rahmens adaptiv ist. Ein maladaptives Ausmaß an DD hingegen kann zu suboptimaler Entscheidungsfindung führen und repräsentiert eine wichtige Eigenschaft psychischer Erkrankungen wie der Aufmerksamkeitsdefizit-/Hyperaktivitäts-störung (ADHS). In Einklang mit der Annahme eines Zusammenhangs von dysreguliertem Dopaminhaushalt und Impulsivität sind neuronale Strukturen, die während DD aktiv sind (Ventrales Striatum [VS]; Orbitofrontaler Cortex [OFC]) stark durch dopaminerge Neurone innerviert. Bislang fehlen allerdings Studien, die explizit Interaktionen von dopaminerger Neurotransmission, Impulsivität und Hirnaktivierung während intertemporaler Entscheidungsaufgaben untersuchen. Studie I der vorliegenden Promotionsschrift untersucht daher den Einfluss unterschiedlicher Dopamin (DA)-Bioverfügbarkeit (anhand eines genetischen Polymorphismus (Val158Met) im Gen der Catechol-O-Methyltransferase) auf den Zusammenhang von DD und OFC Aktivierung. Mittels funktioneller Nah-Infrarot Spektroskopie (fNIRS) wurde in einer Gruppe von 49 gesunden Versuchspersonen die OFC Aktivität bei sofortiger und verzögerter Belohnung aufgezeichnet. Die Ergebnisse zeigen eine DA-abhängige Erweiterung der Funktion des OFC von schwacher (niedrige DA Verfügbarkeit), über eine partielle (mittlere DA Verfügbarkeit) bis hin zu starker (hohe DA Verfügbarkeit) Sensitivität für Belohnungsverzögerungen. Des Weiteren konnte gezeigt werden, dass die DA-Verfügbarkeit den Zusammenhang von neuronaler Sensitivität für Belohnungsverzögerungen und Impulsivität moderiert: ein starker Zusammenhang konnte bei mittlerer DA-Verfügbarkeit gezeigt werden, nicht aber bei niedriger oder hoher DA-Verfügbarkeit. Bei letzteren korrelierte Impulsivität mit der Höhe der OFC-Aktivität unabhängig von Belohnungsverzögerungen. Die DA-Verfügbarkeit sollte demnach als ein wichtiger Faktor berücksichtigt werden, wenn impulsivitätsabhängige Hirnaktivierung, insbesondere die Verarbeitung von Belohnungsverzögerungen betreffend, untersucht wird. Eine dysfunktionale Belohnungsverarbeitung, verbunden mit einer eingeschränkten Toleranz von Belohnungsverzögerungen, wird als ein wichtiges Merkmal von ADHS angenommen, dessen Ursache möglicherweise eine verminderte DA-Konzentration im Striatum ist. Das Ziel von Studie II der vorliegenden Promotionsschrift ist daher, subkortikale Verarbeitung von Belohnungsverzögerung zu untersuchen und Hinweise für eine negative emotionale Reaktion auf Verzögerung zu prüfen. Mittels funktioneller Magnetresonanztomographie (fMRT) wurde die Hirnaktivierung adulter Patienten mit ADHS (n=14) und gesunder Kontrollpersonen (n=12) während der Verarbeitung von sofortiger und verzögerter Belohnung aufgezeichnet. Im Vergleich zu gesunden Kontrollpersonen zeigte sich bei Patienten mit ADHS eine Minderaktivierung auf sofortige und verzögerte Belohnung im ventral-striatalen Belohnungssystem. Im Gegensatz dazu führte verzögerte Belohnung bei Patienten mit ADHS zu einer Überaktivierung im dorsalen Nucleus Caudatum sowie in der Amygdala. Diese Ergebnisse stützen die zentrale Annahme der Verzögerungsaversions-Hypothese bei ADHS. Gemeinsam weisen beide Studien auf eine enge Verbindung von DD, Hirnaktivierung und dopaminerger Neurotransmission hin. Die Ergebnisse implizieren, dass Untersuchungen der neuronalen Korrelate von DD sowohl die DA-Bioverfügbarkeit, als auch negative emotionale Reaktionen auf Belohnungsverzögerung berücksichtigen sollten. KW - Impulsivität KW - Dopamin KW - Aufmerksamkeits-Defizit-Syndrom KW - Hirnforschung KW - Funktionelle NMR-Tomographie KW - Verstärkung KW - NIR-Spektroskopie KW - Delay Discounting KW - Orbitofrontaler Kortex (OFC) KW - Catechol-O-Methyltransferase (COMT) KW - Delay Discounting KW - orbitofrontal cortex (OFC) KW - Catechol-O-Methyltransferase (COMT) Y1 - 2009 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-35953 ER - TY - JOUR A1 - Pfister, Roland A1 - Schwarz, Katharina A. A1 - Wirth, Robert A1 - Lindner, Isabel T1 - My Command, My Act: Observation Inflation in Face-To-Face Interactions JF - Advances in Cognitive Psychology N2 - When observing another agent performing simple actions, these actions are systematically remembered as one’s own after a brief period of time. Such observation inflation has been documented as a robust phenomenon in studies in which participants passively observed videotaped actions. Whether observation inflation also holds for direct, face-to-face interactions is an open question that we addressed in two experiments. In Experiment 1, participants commanded the experimenter to carry out certain actions, and they indeed reported false memories of self-performance in a later memory test. The effect size of this inflation effect was similar to passive observation as confirmed by Experiment 2. These findings suggest that observation inflation might affect action memory in a broad range of real-world interactions. KW - observation inflation KW - memory bias KW - action observation KW - motor simulation Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170739 VL - 13 IS - 2 ER - TY - JOUR A1 - Wieser, Matthias J. A1 - Gerdes, Antje B. M. A1 - Reicherts, Philipp A1 - Pauli, Paul T1 - Mutual influences of pain and emotional face processing JF - Frontiers in Psychology N2 - The perception of unpleasant stimuli enhances whereas the perception of pleasant stimuli decreases pain perception. In contrast, the effects of pain on the processing of emotional stimuli are much less known. Especially given the recent interest in facial expressions of pain as a special category of emotional stimuli, a main topic in this research line is the mutual influence of pain and facial expression processing. Therefore, in this mini-review we selectively summarize research on the effects of emotional stimuli on pain, but more extensively turn to the opposite direction namely how pain influences concurrent processing of affective stimuli such as facial expressions. Based on the motivational priming theory one may hypothesize that the perception of pain enhances the processing of unpleasant stimuli and decreases the processing of pleasant stimuli. This review reveals that the literature is only partly consistent with this assumption: pain reduces the processing of pleasant pictures and happy facial expressions, but does not – or only partly – affect processing of unpleasant pictures. However, it was demonstrated that pain selectively enhances the processing of facial expressions if these are pain-related (i.e., facial expressions of pain). Extending a mere affective modulation theory, the latter results suggest pain-specific effects which may be explained by the perception-action model of empathy. Together, these results underscore the important mutual influence of pain and emotional face processing. KW - emotion KW - facial expression KW - ERPs KW - perception-action KW - pain Y1 - 2014 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-118446 SN - 1664-1078 VL - 5 ER - TY - JOUR A1 - Thiele, Jonas A. A1 - Richter, Aylin A1 - Hilger, Kirsten T1 - Multimodal brain signal complexity predicts human intelligence JF - eNeuro N2 - Spontaneous brain activity builds the foundation for human cognitive processing during external demands. Neuroimaging studies based on functional magnetic resonance imaging (fMRI) identified specific characteristics of spontaneous (intrinsic) brain dynamics to be associated with individual differences in general cognitive ability, i.e., intelligence. However, fMRI research is inherently limited by low temporal resolution, thus, preventing conclusions about neural fluctuations within the range of milliseconds. Here, we used resting-state electroencephalographical (EEG) recordings from 144 healthy adults to test whether individual differences in intelligence (Raven’s Advanced Progressive Matrices scores) can be predicted from the complexity of temporally highly resolved intrinsic brain signals. We compared different operationalizations of brain signal complexity (multiscale entropy, Shannon entropy, Fuzzy entropy, and specific characteristics of microstates) regarding their relation to intelligence. The results indicate that associations between brain signal complexity measures and intelligence are of small effect sizes (r ∼ 0.20) and vary across different spatial and temporal scales. Specifically, higher intelligence scores were associated with lower complexity in local aspects of neural processing, and less activity in task-negative brain regions belonging to the default-mode network. Finally, we combined multiple measures of brain signal complexity to show that individual intelligence scores can be significantly predicted with a multimodal model within the sample (10-fold cross-validation) as well as in an independent sample (external replication, N = 57). In sum, our results highlight the temporal and spatial dependency of associations between intelligence and intrinsic brain dynamics, proposing multimodal approaches as promising means for future neuroscientific research on complex human traits. KW - brain signal complexity KW - cognitive ability KW - EEG KW - intelligence KW - microstates KW - resting-state Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-312949 VL - 10 IS - 2 ER - TY - JOUR A1 - Wallmann-Sperlich, Birgit A1 - Hoffmann, Sophie A1 - Salditt, Anne A1 - Bipp, Tanja A1 - Froboese, Ingo T1 - Moving to an “active” biophilic designed office workplace: a pilot study about the effects on sitting time and sitting habits of office-based workers JF - International Journal of Environmental Research and Public Health N2 - Promising initial insights show that offices designed to permit physical activity (PA) may reduce workplace sitting time. Biophilic approaches are intended to introduce natural surroundings into the workplace, and preliminary data show positive effects on stress reduction and elevated productivity within the workplace. The primary aim of this pilot study was to analyze changes in workplace sitting time and self-reported habit strength concerning uninterrupted sitting and PA during work, when relocating from a traditional office setting to “active” biophilic-designed surroundings. The secondary aim was to assess possible changes in work-associated factors such as satisfaction with the office environment, work engagement, and work performance, among office staff. In a pre-post designed field study, we collected data through an online survey on health behavior at work. Twelve participants completed the survey before (one-month pre-relocation, T1) and twice after the office relocation (three months (T2) and seven months post-relocation (T3)). Standing time per day during office hours increased from T1 to T3 by about 40 min per day (p < 0.01). Other outcomes remained unaltered. The results suggest that changing office surroundings to an active-permissive biophilic design increased standing time during working hours. Future larger-scale controlled studies are warranted to investigate the influence of office design on sitting time and work-associated factors during working hours in depth. KW - desk-based KW - office-workers KW - standing KW - online survey KW - walking KW - work engagement KW - habit strength KW - work performance KW - office environment Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-197371 SN - 1660-4601 VL - 16 IS - 9 ER - TY - JOUR A1 - Murali, Supriya A1 - Händel, Barbara T1 - Motor restrictions impair divergent thinking during walking and during sitting JF - Psychological Research N2 - Creativity, specifically divergent thinking, has been shown to benefit from unrestrained walking. Despite these findings, it is not clear if it is the lack of restriction that leads to the improvement. Our goal was to explore the effects of motor restrictions on divergent thinking for different movement states. In addition, we assessed whether spontaneous eye blinks, which are linked to motor execution, also predict performance. In experiment 1, we compared the performance in Guilford's alternate uses task (AUT) during walking vs. sitting, and analysed eye blink rates during both conditions. We found that AUT scores were higher during walking than sitting. Albeit eye blinks differed significantly between movement conditions (walking vs. sitting) and task phase (baseline vs. thinking vs. responding), they did not correlate with task performance. In experiment 2 and 3, participants either walked freely or in a restricted path, or sat freely or fixated on a screen. When the factor restriction was explicitly modulated, the effect of walking was reduced, while restriction showed a significant influence on the fluency scores. Importantly, we found a significant correlation between the rate of eye blinks and creativity scores between subjects, depending on the restriction condition. Our study shows a movement state-independent effect of restriction on divergent thinking. In other words, similar to unrestrained walking, unrestrained sitting also improves divergent thinking. Importantly, we discuss a mechanistic explanation of the effect of restriction on divergent thinking based on the increased size of the focus of attention and the consequent bias towards flexibility. KW - creativity KW - humans KW - sitting KW - walking KW - thinking Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-267722 SN - 1430-2772 VL - 86 IS - 7 ER - TY - JOUR A1 - Höhne, Johannes A1 - Holz, Elisa A1 - Staiger-Sälzer, Pit A1 - Müller, Klaus-Robert A1 - Kübler, Andrea A1 - Tangermann, Michael T1 - Motor Imagery for Severely Motor-Impaired Patients: Evidence for Brain-Computer Interfacing as Superior Control Solution JF - PLoS ONE N2 - Brain-Computer Interfaces (BCIs) strive to decode brain signals into control commands for severely handicapped people with no means of muscular control. These potential users of noninvasive BCIs display a large range of physical and mental conditions. Prior studies have shown the general applicability of BCI with patients, with the conflict of either using many training sessions or studying only moderately restricted patients. We present a BCI system designed to establish external control for severely motor-impaired patients within a very short time. Within only six experimental sessions, three out of four patients were able to gain significant control over the BCI, which was based on motor imagery or attempted execution. For the most affected patient, we found evidence that the BCI could outperform the best assistive technology (AT) of the patient in terms of control accuracy, reaction time and information transfer rate. We credit this success to the applied user-centered design approach and to a highly flexible technical setup. State-of-the art machine learning methods allowed the exploitation and combination of multiple relevant features contained in the EEG, which rapidly enabled the patients to gain substantial BCI control. Thus, we could show the feasibility of a flexible and tailorable BCI application in severely disabled users. This can be considered a significant success for two reasons: Firstly, the results were obtained within a short period of time, matching the tight clinical requirements. Secondly, the participating patients showed, compared to most other studies, very severe communication deficits. They were dependent on everyday use of AT and two patients were in a locked-in state. For the most affected patient a reliable communication was rarely possible with existing AT. KW - eyes KW - signal filtering KW - social communication KW - hands KW - machine learning KW - man-computer interface KW - games KW - electroencephalography Y1 - 2014 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-119331 VL - 9 IS - 8 ER - TY - JOUR A1 - Eder, Andreas B. A1 - Maas, Franzisca A1 - Schubmann, Alexander A1 - Krishna, Anand A1 - Erle, Thorsten M. T1 - Motivations underlying self-infliction of pain during thinking for pleasure JF - Scientific Reports N2 - Previous research suggested that people prefer to administer unpleasant electric shocks to themselves rather than being left alone with their thoughts because engagement in thinking is an unpleasant activity. The present research examined this negative reinforcement hypothesis by giving participants a choice of distracting themselves with the generation of electric shock causing no to intense pain. Four experiments (N = 254) replicated the result that a large proportion of participants opted to administer painful shocks to themselves during the thinking period. However, they administered strong electric shocks to themselves even when an innocuous response option generating no or a mild shock was available. Furthermore, participants inflicted pain to themselves when they were assisted in the generation of pleasant thoughts during the waiting period, with no difference between pleasant versus unpleasant thought conditions. Overall, these results question that the primary motivation for the self-administration of painful shocks is avoidance of thinking. Instead, it seems that the self-infliction of pain was attractive for many participants, because they were curious about the shocks, their intensities, and the effects they would have on them. KW - pain KW - self-infliction KW - thinking Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-301059 VL - 12 IS - 1 ER - TY - THES A1 - Winkler, Markus Heinrich T1 - Motivational properties of reward associated stimuli - Conditioning studies with smoke and monetary reinforcement T1 - Motivationale Wirkung belohnungsassoziierter Reize – Konditionierungsstudien mit Rauchen und Geldgewinn als Verstärker N2 - Abstract Tobacco addiction is considered as a chronic relapsing disorder, characterized by compul-sive drug seeking and intake. Learning processes are stressed to account for the situational-specific expression of core features of the disorder, e.g., craving for drug, tolerance and ex-cessive consumption. According to incentive theories, smoke conditioned stimuli are hy-pothesized to be appetitive in nature, promoting craving, approach and consummatory be-havior. Commonly, smoking cues are treated as simple excitatory conditioned stimuli formed by a close and reliable overlap with the drug effect. However, the smoking ritual comprises a multitude of stimuli which may give rise to different forms of learning and con-ditioned responses partially opposing each other. Previous research suggests the predictive content and the temporal proximity of smoking stimuli to the drug effect as important de-terminants of cue reactivity. In contrast to stimuli related to the preparatory stage of smok-ing and the start of consumption (BEGIN stimuli), stimuli from the terminal stage of smok-ing (END stimuli) apparently lack high cue reactivity. Several lines of evidence suggest the poor cue properties of terminal stimuli to be related to their signaling of poor smoke availa-bility. Indeed, cue reactivity is commonly decreased when smoking appears to be unavaila-ble. Moreover, the learning literature suggests that stimuli predictive for the non-availability of reward may acquire the capacity to modulate or oppose the responses of ex-citatory conditioned stimuli. Therefore, the aim of the present thesis was to enhance our knowledge of stimulus control in human drug addiction and incentive motivation by running a series of conditioning studies with smoke intake and monetary reward as reinforcer. Sub-jective report and physiological measures of motivational valence and consummatory re-sponse tendencies were used as dependent variables. The first experiment of this thesis used a differential conditioning paradigm to reveal evi-dence for the conditioning of preparatory and consummatory responses to a CS+ for smok-ing. Neutral pictograms served as CSs and single puffs on a cigarette as US. In line with the predictions of incentive theories, the excitatory CS+ for smoking acquired the ability to evoke an appetitive conditioned response, as indicated by enhanced activity of the M. zy-gomaticus major. Moreover, anticipation of puffing on the cigarette increased the activity of the M. orbicularis oris (lip muscle), indicating the activation of consummatory response tendencies. Finally, the CS+ evoked stronger skin conductance responses, indicative of in-creased autonomic arousal and orienting in preparation for action. In contrast, the rating data were apparently unaffected by the experimental contingency. In sum, the physiological data provide support for the notion that excitatory smoke conditioning gives rise to appeti-tive and consummatory conditioned responses, which may at least partially contribute to the maintenance of tobacco addiction. The second experiment of this thesis adapted the conditioning protocol of the first study to probe the functional significance of terminal stimuli in the control of addictive behavior. This study manipulated the predictive relationship of BEGIN and END stimuli to smoke rein-forcement to provide further support for the differential reactivity to both stimuli and the retarded (i.e., delayed) conditioning of END stimuli. Overall, the results of the first study of this thesis were conceptually replicated as the association of a BEGIN stimulus with smoke intake resulted in the acquisition of appetitive and consummatory physiological responses. Importantly, the results revealed evidence for a retarded excitatory conditioning of END stimuli. Thus, pairing of an END stimulus with smoke intake failed to produce a conditioned discrimination in terms of motivational valence and autonomic arousal, as indicated by the activity of the M. corrugator supercilii and the skin conductance data. These results provide further support for the notion that END stimuli may be weak cues for smoking. Moreover, in light of the results of the first study of this thesis, the retarded excitatory conditioning of terminal stimuli may be suggestive of an inhibitory response component, which may be re-lated to their signaling of poor smoke availability. In sum, these results add to a growing body of data, which suggest that the expression of cue reactivity may be modulated by the temporal proximity and the availability of the drug effect. The aim of the third study of this thesis was to provide “proof of concept” for an inhibi-tory conditioning notion of terminal stimuli. In this analog study BEGIN and END stimuli were emulated as discriminative SD and S for monetary reward. During an acquisition phase conditioned inhibition was established to the S predictive of the non-availability of re-ward. Subsequently a retardation test was used to substantiate conditioned inhibition. In this test, excitatory conditioning of the previous S was compared to the excitatory condi-tioning of a novel control stimulus. Importantly, the results revealed evidence for reward conditioned inhibition as indicated by the retarded acquisition of subjective (pleasure and reward expectancy) and physiological (skin conductance and activity of the M. orbicularis oculi) responses. In sum, these results provide support for the notion that stimuli predictive for the non-availability of reward may acquire the capacity to oppose the responses of ex-citatory conditioned stimuli. Thus, future research may benefit from the consideration of inhibitory conditioning processes in drug addiction, which may be of theoretical, methodo-logical and clinical importance. In sum, the present thesis revealed evidence for 1) an appetitive nature of excitatory condi-tioned smoking cues, 2) the dependency of this learning process on the temporal position of the conditioned stimuli in the intake ritual and 3) the acquisition of conditioned inhibition by a stimulus predictive for the non-availability of reward, as evident in retarded excitatory conditioning. Overall, these studies made a novel contribution to the field of human drug addiction and incentive motivation and provided valuable suggestions for further research. N2 - Zusammenfassung Tabakabhängigkeit wird als eine chronische Störung betrachtet, die durch exzessives dro-gensuchendes und -konsumierendes Verhalten gekennzeichnet ist. Lernprozesse werden zur Erklärung der Situationsspezifität zentraler Merkmale einer Abhängigkeit (z.B. Craving, Tole-ranz und übermäßiger Konsum) herangezogen. Anreiztheorien postulieren, dass konditio-nierte Rauchreize appetitiv sind, ein Verlangen zu konsumieren hervorrufen sowie Annähe-rungs- und konsummatorische Reaktionen induzieren. Gewöhnlich werden Rauch-Cues als einfache, exzitatorisch konditionierte Reize aufgefasst, die durch eine enge und reliable Überlappung mit der Drogenwirkung entstehen. Das Rauchritual beinhaltet allerdings eine Vielzahl von Reizen, die vermutlich unterschiedliche Lernformen begünstigen und dadurch teils einander entgegengesetzte konditionierte Reaktionen hervorrufen können. Die bisheri-ge Forschung legt nahe, dass die zeitliche Nähe und der prädiktive Wert von Reizen hinsicht-lich der Drogenwirkung die Cue-Reaktivität entscheidend beeinflussen. Im Gegensatz zu Reizen aus der präparatorischen Phase des Rauchrituals und solchen vom Konsumbeginn (Anfangsreize) lösen Reize aus der Endphase des Konsums (Endreize) nur geringe Cue-Reaktivität aus. Verschiedene Befunde legen nahe, dass die schwache Cue-Wirkung von End-reizen mit der wahrgenommenen Verfügbarkeit der Droge(nwirkung) zusammenhängt. So ist die Cue-Reaktivität gewöhnlich reduziert, wenn keine Möglichkeit zum Konsum besteht. Zudem legt die Lernliteratur nahe, dass Reize, die die Nicht-Verfügbarkeit einer Belohnung vorhersagen die Fähigkeit erwerben, exzitatorisch konditionierten Reaktionen entgegenzu-wirken. Das Ziel der vorliegenden Arbeit war es somit, unser Verständnis der Reizabhängig-keit süchtigen Verhaltens und der zugrundeliegenden motivationalen Prozesse zu erweitern. Dazu wurde eine Reihe von Konditionierungsstudien mit Rauchaufnahme und Geldgewinn als Verstärker durchgeführt. Als abhängige Variablen wurde der Selbstbericht der Proban-den sowie physiologische Maße motivationaler Valenz und konsummatorischer Reaktions-tendenzen erfasst. Im ersten Experiment dieser Arbeit wurde ein differentielles Konditionierungsparadigma ver-wendet, um den Nachweis zu erbringen, dass ein CS+ für Rauchen präparatorische und kon-summatorische Reaktionen hervorruft. Dabei wurden neutrale Symbole als konditionierte Reize verwendet und einzelne Züge an einer Zigarette als US. In Übereinstimmung mit den Vorhersagen von Anreiztheorien löste der exzitatorische CS+ eine appetitive konditionierte Reaktion aus, die sich in einer erhöhten Aktivität des M. zygomaticus major zeigte. Zudem war die Aktivität des M. orbicularis oris (Lippenmuskel) erhöht, was für die Aktivierung kon-summatorischer Reaktionstendenzen spricht. Schließlich rief der CS+ eine erhöhte Haut-leitfähigkeitsreaktion hervor, die eine Orientierungsreaktion und erhöhte autonome Reak-tivität im Rahmen der Handlungsvorbereitung anzeigt. Die experimentelle Kontingenz spie-gelte sich jedoch nicht in den Reizbewertungen wieder. Insgesamt stützen die physiologi-schen Befunde die Auffassung, dass exzitatorisch konditionierte Rauchreize appetitive und konsummatorische Reaktionen auslösen, die zur Aufrechterhaltung einer Tabakabhängig-keit beitragen können. Im zweiten Experiment wurde das Konditionierungsparadigma der ersten Studie adaptiert. Ziel des Experiments war es, die funktionellen Auswirkungen von Endreizen auf verschiedene Parameter abhängigen Verhaltens zu untersuchen. In der Studie wurde der prädiktive Gehalt von Anfangs- und Endreizen experimentell manipuliert, indem die Reize entweder als CS+ oder als CS- (und umgekehrt) mit Rauchen gepaart wurden. Zum einen sollten dadurch bis-herige Befunde erweitert werden, die zeigen, dass beide Reize unterschiedliche Reaktionen auslösen. Zum anderen sollte der Nachweis einer verlangsamten exzitatorischen Konditio-nierung von Endreizen erbracht werden. Insgesamt konnten die Ergebnisse der ersten Studie der vorliegenden Arbeit konzeptuell repliziert werden. So lösten Anfangsreize appetitive und konsummatorische physiologische Reaktionen aus, wenn sie mit Rauchen gepaart wurden. Wichtiger jedoch war der Befund einer verlangsamten exzitatorischen Konditionierung von Endreizen, wie er sich in Maßen motivationaler Valenz (M. corrugator supercilii) und auto-nomer Erregung (Hautleitfähigkeitsreaktionen) zeigte. Diese Befunde stützen die Auffas-sung, dass Endreize nur eine schwache Cue-Wirkung besitzen. In der Zusammenschau mit den Befunden der ersten Studie sprechen die Ergebnisse andeutungsweise dafür, dass End-reize eine inhibitorische Reaktionskomponente besitzen. Diese könnte damit in Zusam-menhang stehen, dass die wahrgenommene Verfügbarkeit der Droge(nwirkung) im Falle von Endreizen reduziert ist. Insgesamt gliedern sich die Befunde gut in eine Reihe von Studien ein, die nahelegen, dass Cue-Reaktivität durch die zeitliche Nähe und die Verfügbarkeit der Drogenwirkung moduliert wird. Das Ziel der dritten Studie war es einen inhibitorischen Konditionierungsansatz zur Entste-hung von Endreizen konzeptuell zu überprüfen. In einer Analogstudie wurden Anfangs- und Endreize als diskriminative Hinweisreize SD bzw. S für einen Geldgewinn modelliert. In einer Akquisitionsphase wurde der S, der die Nicht-Verfügbarkeit eines Gewinns signalisierte, als konditionierter Hemmreiz etabliert. Anschließend wurde ein Retardationstest zum Nach-weis konditionierter Hemmung durchgeführt. In diesem Test wurde die exzitatorische Kon-ditionierung des ehemaligen S mit der exzitatorischen Konditionierung eines neuen Kon-trollreizes verglichen. Dabei konnte konditionierte Hemmung in Form einer verlangsamten exzitatorischen Konditionierung subjektiver (positiver Affekt und Belohnungserwartung) und physiologischer (Hautleitfähigkeitsreaktionen und Aktivität des M. orbicularis oculi) Reaktionen nachgewiesen werden. Insgesamt stützen diese Befunde die Auffassung, dass Reize, die die Nicht-Verfügbarkeit einer Belohnung vorhersagen die Fähigkeit erwerben, exzitatorisch konditionierten Reaktionen entgegenzuwirken. Die weitere Suchtforschung könnte somit von einer stärkeren Berücksichtigung konditionierte Hemmprozesse sowohl hinsichtlich der Theorienbildung als auch in methodischer und klinischer Hinsicht profitie-ren. Insgesamt hat die vorliegende Arbeit gezeigt, dass 1) exzitatorisch konditionierte Rauchrei-ze eine appetitive Wirkung entfalten, 2) dieser Lernprozess von der zeitlichen Stellung der konditionierten Reize im Konsumritual abhängig ist und 3) Reize, die prädiktiv für die Nicht-Verfügbarkeit einer Belohnung sind als konditionierte Hemmreize fungieren können, was sich in einer verlangsamten exzitatorischen Konditionierung wiederspiegelt. Die vorliegende Arbeit erbrachte einen neuen Beitrag im Bereich der Sucht- und Motivationsforschung sowie mehrere Anknüpfungspunkte für zukünftige Forschungsvorhaben. KW - BEGIN stimuli KW - END stimuli KW - Incentive motivation KW - Conditioned inhibition KW - Facial EMG KW - Smoking KW - Addiction KW - Conditioning KW - Nicotine KW - Reward KW - Cue KW - Rauchen KW - Konditionierung Y1 - 2014 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-121794 ER - TY - JOUR A1 - Franz, David J. T1 - Moral responsibility for self-deluding beings JF - Philosophia N2 - In this article, I argue for four theses. First, libertarian and compatibilist accounts of moral responsibility agree that the capability of practical reason is the central feature of moral responsibility. Second, this viewpoint leads to a reasons-focused account of human behavior. Examples of human action discussed in debates about moral responsibility suggest that typical human actions are driven primarily by the agent’s subjective reasons and are sufficiently transparent for the agent. Third, this conception of self-transparent action is a questionable idealization. As shown by psychological research on self-assessment, motivated reasoning, and terror management theory, humans oftentimes have only a limited understanding of their conduct. Self-deception is rather the rule than the exception. Fourth, taking the limited self-transparency of practical reason seriously leads to a socially contextualized conception of moral responsibility. KW - moral responsibility KW - self-deception KW - reasoning biases KW - practical reasoning KW - rationalization KW - motivated reasoning Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-324871 SN - 0048-3893 VL - 50 IS - 4 ER - TY - CHAP A1 - Hommers, Wilfried A1 - Anderson, Norman H. T1 - Moral algebra of harm and recompense N2 - No abstract available KW - Informationsverarbeitung / Kognition Y1 - 1991 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-44046 ER - TY - JOUR A1 - Schindler, Julia A1 - Richter, Tobias A1 - Eyßer, Carolin T1 - Mood moderates the effect of self-generation during learning JF - Frontline Learning Research N2 - Generating information, compared to reading, improves learning and enhances long-term retention of the learned content. This so-called generation effect has been demonstrated repeatedly for recall and recognition of single words. However, before adopting generating as a learning strategy in educational contexts, conditions moderating the effect need to be identified. This study investigated the impact of positive and negative mood states on the generation effect with short expository texts. According to the dual-force framework (Fiedler, Nickel, Asbeck, & Pagel, 2003), positive mood should facilitate generation by enhancing creative knowledge-based top-down processing (assimilation). Negative mood, however, should facilitate learning in the read-condition by enhancing critical stimulus-driven bottom-up processing (accommodation). In contrast to our expectations, we found no general generation effect but an overall learning advantage of read compared to generated texts. However, a significant interaction of learning condition and mood indicates that learners in a better mood recall generated texts better than learners in a more negative mood, whereas no mood effect was found when the texts were read. The results of the present study partially support the predictions of the dual-force framework and are discussed in the context of recent theoretical approaches to the generation effect. KW - mood states KW - generation effect KW - learning with expository texts Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-159282 VL - 5 IS - 4 ER - TY - JOUR A1 - Scheibler, Dieter A1 - Schneider, Wolfgang T1 - Monte Carlo Tests of the accuracy of Cluster analysis algorithms: A comparison of hierarchical and nonhierarchical methods N2 - Nine hierarchical and four nonhierarchical clustering algorithms were compared on their ability to resolve 200 multivariate normal mixtures. The effects of coverage, similarity measures, and cluster overlap were studied by including different levels of coverage for the hierarchical algorithms, Euclidean distances and Pearson correlation coefficients, and truncated multivariate normal mixtures in the analysis. The results confirmed the findings of previous Monte Carlo studies on clustering procedures in that accuracy was inversely related to coverage, and that algorithms using correlation as the similarity measure were significantly more accurate than those using Euclidean distances. No evidence was found for the assumption that the positive effects of the use of correlation coefficients are confined to unconstrained mixture models. KW - Psychologie Y1 - 1985 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-62000 ER - TY - JOUR A1 - Ehrenfeld, Stephan A1 - Herbort, Oliver A1 - Butz, Martin V. T1 - Modular neuron-based body estimation: maintaining consistency over different limbs, modalities, and frames of reference JF - Frontiers in Computational Neuroscience N2 - This paper addresses the question of how the brain maintains a probabilistic body state estimate over time from a modeling perspective. The neural Modular Modality Frame (nMMF) model simulates such a body state estimation process by continuously integrating redundant, multimodal body state information sources. The body state estimate itself is distributed over separate, but bidirectionally interacting modules. nMMF compares the incoming sensory and present body state information across the interacting modules and fuses the information sources accordingly. At the same time, nMMF enforces body state estimation consistency across the modules. nMMF is able to detect conflicting sensory information and to consequently decrease the influence of implausible sensor sources on the fly. In contrast to the previously published Modular Modality Frame (MMF) model, nMMF offers a biologically plausible neural implementation based on distributed, probabilistic population codes. Besides its neural plausibility, the neural encoding has the advantage of enabling (a) additional probabilistic information flow across the separate body state estimation modules and (b) the representation of arbitrary probability distributions of a body state. The results show that the neural estimates can detect and decrease the impact of false sensory information, can propagate conflicting information across modules, and can improve overall estimation accuracy due to additional module interactions. Even bodily illusions, such as the rubber hand illusion, can be simulated with nMMF. We conclude with an outlook on the potential of modeling human data and of invoking goal-directed behavioral control. KW - information KW - posterior parietal cortex KW - hand KW - population code KW - conflicting information KW - multimodal interaction KW - probabilistic inference KW - modular body schema KW - sensor fusion KW - multisensory perception KW - fusion KW - representation KW - multisensory processing KW - see KW - implementation KW - perspective KW - multisensory integration KW - population codes Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-122253 VL - 7 IS - 148 ER - TY - JOUR A1 - Gary, Sebastian A1 - Lenhard, Wolfgang A1 - Lenhard, Alexandra T1 - Modelling norm scores with the cNORM package in R JF - Psych N2 - In this article, we explain and demonstrate how to model norm scores with the cNORM package in R. This package is designed specifically to determine norm scores when the latent ability to be measured covaries with age or other explanatory variables such as grade level. The mathematical method used in this package draws on polynomial regression to model a three-dimensional hyperplane that smoothly and continuously captures the relation between raw scores, norm scores and the explanatory variable. By doing so, it overcomes the typical problems of classical norming methods, such as overly large age intervals, missing norm scores, large amounts of sampling error in the subsamples or huge requirements with regard to the sample size. After a brief introduction to the mathematics of the model, we describe the individual methods of the package. We close the article with a practical example using data from a real reading comprehension test. KW - regression-based norming KW - continuous norming KW - inferential norming KW - data smoothing KW - curve fitting KW - percentile estimation Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-284143 SN - 2624-8611 VL - 3 IS - 3 SP - 501 EP - 521 ER - TY - JOUR A1 - Kuhn, Manuel A1 - Scharfenort, Robert A1 - Schümann, Dirk A1 - Schiele, Miriam A. A1 - Münsterkötter, Anna L. A1 - Deckert, Jürgen A1 - Domschke, Katharina A1 - Haaker, Jan A1 - Kalisch, Raffael A1 - Pauli, Paul A1 - Reif, Andreas A1 - Romanos, Marcel A1 - Zwanzger, Peter A1 - Lonsdorf, Tina B. T1 - Mismatch or allostatic load? Timing of life adversity differentially shapes gray matter volume and anxious temperament JF - Social Cognitive and Affective Neuroscience N2 - Traditionally, adversity was defined as the accumulation of environmental events (allostatic load). Recently however, a mismatch between the early and the later (adult) environment (mismatch) has been hypothesized to be critical for disease development, a hypothesis that has not yet been tested explicitly in humans. We explored the impact of timing of life adversity (childhood and past year) on anxiety and depression levels (N = 833) and brain morphology (N = 129). Both remote (childhood) and proximal (recent) adversities were differentially mirrored in morphometric changes in areas critically involved in emotional processing (i.e. amygdala/hippocampus, dorsal anterior cingulate cortex, respectively). The effect of adversity on affect acted in an additive way with no evidence for interactions (mismatch). Structural equation modeling demonstrated a direct effect of adversity on morphometric estimates and anxiety/depression without evidence of brain morphology functioning as a mediator. Our results highlight that adversity manifests as pronounced changes in brain morphometric and affective temperament even though these seem to represent distinct mechanistic pathways. A major goal of future studies should be to define critical time periods for the impact of adversity and strategies for intervening to prevent or reverse the effects of adverse childhood life experiences. KW - VBM KW - childhood maltreatment KW - adversity KW - stressful life events KW - mismatch KW - allostatic load Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-189645 VL - 11 IS - 4 ER - TY - JOUR A1 - Haering, Carola A1 - Kiesel, Andrea T1 - Mine is earlier than yours: Causal beliefs influence the perceived time of action effects N2 - When a key press causes a stimulus, the key press is perceived later and the stimulus earlier than key presses and stimuli presented independently. This bias in time perception has been linked to the intention to produce the effect and thus been called intentional binding (IB). In recent studies it has been shown that the IB effect is stronger when participants believed that they caused the effect stimulus compared to when they believed that another person caused the effect (Desantis et al., 2011). In this experiment we ask whether causal beliefs influence the perceived time of an effect when the putative effect occurs temporally close to another stimulus that is also an effect. In our study two participants performed the same task on connected computers with separate screens. Each trial started synchro- nously on both computers. When a participant pressed a key, a red and a yellow stimulus appeared as action effects simultaneously or with a slight delay of up to 50 ms. The partic- ipants’ task was to judge the temporal order of these two effect stimuli. Participants were either told that one participant caused one of the two stimuli while the other participant seated at the other computer caused the other stimulus, or each participant was told that he/she caused both stimuli. The different causal beliefs changed the perceived time of the effects’ appearance relative to each other. When participants believed they each caused one effect, their “own” effect was perceived earlier than the other participant’s effect. When the participants believed each caused both effects, no difference in the perceived temporal order of the red and yellow effect was found. These results confirm that higher order causal beliefs change the perceived time of an action effect even in a setting in which the occurrence of the putative effect can be directly compared to a reference stimulus. KW - Psychologie KW - intentional binding KW - causal belief KW - causality KW - temporal order judgments KW - TOJ KW - agency Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-76229 ER - TY - JOUR A1 - Gesell, Nathalie A1 - Niklas, Frank A1 - Schmiedeler, Sandra A1 - Segerer, Robin T1 - Mindfulness and romantic relationship outcomes: the mediating role of conflict resolution styles and closeness JF - Mindfulness N2 - Objectives The association of mindfulness and romantic relationship outcomes such as partnership quality and satisfaction is well-established; however, the mechanisms of action are not yet clear. The current study tested conflict resolution styles and closeness as possible mediating factors. We hypothesized that trait mindfulness would increase the use of constructive conflict resolution styles (positive problem solving), decrease the use of destructive styles (conflict engagement, withdrawal, and compliance), and promote feelings of closeness between partners, which in turn would predict positive relationship outcomes (namely partnership quality, partnership satisfaction, and sexual satisfaction). Methods A total of 209 individuals (86% German, 76% female, mean age = 32 years) living in a relationship (31% married) participated in an online questionnaire. Results Mediation analyses revealed that positive problem solving mediated the association between mindfulness and partnership quality with b = .09 (95% CI = .03–.17), mindfulness and partnership satisfaction with b = .07 (95% CI = .02–.13), and mindfulness and sexual satisfaction with b = .04 (95% CI = .00–.10). Furthermore, a mediating role of withdrawal and closeness was shown for individual relationship outcomes. Conclusions Findings suggest that more positive problem solving, less withdrawal, and more closeness are mechanisms by which mindfulness is associated with positive relationship outcomes. The results of our study thus broaden our understanding of the processes that underlie fulfilling romantic relationships and, in turn, underline the positive effects of mindfulness. KW - mindfulness KW - trait mindfulness KW - romantic relationship KW - relationship satisfaction KW - closeness KW - conflict resolution Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-235080 SN - 1868-8527 VL - 11 ER - TY - JOUR A1 - Schneider, Wolfgang A1 - Sodian, Beate T1 - Metamemory-memory behavior relationships in young children: Evidence from a memory-for-location task N2 - No abstract available KW - Psychologie Y1 - 1988 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-62062 ER - TY - JOUR A1 - Schneider, Wolfgang A1 - Borkowski, John G. A1 - Kurtz, Beth E. A1 - Kerwin, Kathleen T1 - Metamemory and motivation: a comparison of strategy use and Performance in German and American children N2 - No abstract available KW - Psychologie Y1 - 1986 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-62031 ER - TY - BOOK A1 - Schneider, Wolfgang A1 - Pressley, Michael T1 - Memory development between 2 and 20 N2 - No abstract available. KW - Kind KW - Gedächtnisleistung KW - Entwicklung KW - Jugend KW - Gedächtnisbildung Y1 - 1989 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-69977 ER - TY - THES A1 - Schulz, Stefan M. T1 - Mediators of Social Anxiety - External Social Threat-Cues vs. Self-Related Negative Cognitions T1 - Mediatoren Sozialer Angst - Bedrohliche Soziale Umweltreize vs. Selbstbezogene Negative Gedanken N2 - Sozial ängstliche Menschen richten ihre Aufmerksamkeit in sozial bedrohlichen Situationen nach innen auf selbstbezogene negative Gedanken (z.B. „Ich schaffe das nicht!“). Außerdem richten sie ihre Aufmerksamkeit unwillkürlich bevorzugt auf potenziell bedrohliche soziale Umweltreize und beurteilen diese im Vergleich zu niedrig sozial ängstlichen Kontrollpersonen besonders negativ. Einschlägige Modelle und die Fachliteratur lassen den Schluss zu, dass selbstbezogene negative Gedanken und die systematisch verzerrte Verarbeitung bedrohlicher sozialer Umweltreize Mediatoren für Zusammenhänge zwischen sozialer Ängstlichkeit und akuter Angst in sozial bedrohlichen Situationen sind. Zudem finden sich Hinweise auf Wechselwirkungen zwischen den angenommenen Mediatoren. Auf dieser Grundlage wurde ein Arbeitsmodell zu Mediatoren sozialer Angst erstellt. In drei Experimenten wurden von diesem Modell abgeleitete Hypothesen überprüft. Die Ergebnisse der drei Experimente zeigten eindrucksvoll in subjektiven und physiologischen Daten (Herzratenvariabilität bzw. parasympathische Aktivierung), dass selbstbezogene negative Gedanken tatsächlich ein Mediator sozialer Angst sind. Im Vergleich dazu spielt die verzerrte automatische Verarbeitung bedrohlicher sozialer Umweltreize zumindest in ökologisch validen, sozial bedrohlichen Situationen eine vernachlässigbare Rolle. N2 - Based on a review of models and empirical findings a working model is proposed, suggesting that self-related negative cognitions and biased processing of external social threat-cues are mediators of social anxiety. Hypotheses derived from this model were tested in three experiments. The first experiment examined whether levels of trait social anxiousness predicted fearful responding to external social threat-cues (angry vs. neutral and happy facial expressions) during social evaluation. Higher trait social anxiousness predisposes to an inward focus on one’s fear reaction to social threat. Using this strategy was expected to enhance fearful responding to angry facial expressions. A strategy of identifying with angry faces was expected to counteract fearful responding, but was expected to fail more often with increasing levels of trait social anxiousness. To examine these hypotheses, affective modulation of the startle eye-blink was assessed in forty-four undergraduate students. This measure served as a probe into the activation of brain structures involved in the automatic evaluation of environmental threat-cues. Trait and state anxiety as well as explicit emotional responding to the stimuli were assessed with questionnaires and ratings. Processing angry faces potentiated startle amplitudes as expected. Low arousal induced by the stimuli was a probable reason, why startle potentiation to happy faces emerged instead of attenuation. Trait social anxiousness and the cognitive strategies did not influence these effects. Yet, increased trait social anxiousness predicted decreased startle latency, indicating motor hyper-responsivity, which is part of the clinical representation of social anxiety disorder (SAD). Processing facial expressions and identifying with them disrupted this association. Previous studies support that similar strategies may enhance treatment of SAD. Individuals with SAD were expected to respond with increased arousal to external social threat-cues. Therefore, the second experiment examined whether nine individuals with SAD showed attentional (prepulse inhibition, PPI) or affective startle modulation to angry as compared to neutral and happy facial expressions. Corrugator supercilii activity was assessed as a behavioral indicator for effects of facial expressions. The remaining setup resembled the first experiment. Facial expressions did not modulate the startle reflex, but corrugator supercilii activity was sensitive to facial valence. However, the effects were not related to trait social anxiousness. Apparently, angry facial expressions do not act as phobic stimuli for individuals with SAD. The third experiment examined whether focusing on self-related negative cognitions or biased processing of external social threat-cues mediates relationships between trait social anxiety and anxious responding in a socially challenging situation. Inducing self-related negative cognitions vs. relaxation was expected to reveal a functional dependency on the supposed mediation in a multivariate assessment of criteria of the working model. Within this design, the impact of external social threat-cues (facial expressions and emotional words) was compared to control stimuli and context effects, using the startle paradigm. The findings provide first evidence for full statistical mediation of the associations between trait social anxiety and self-reported anxiety as well as parasympathetic withdrawal by self-related negative cognitions, when thirty-six undergraduate students anticipated public speaking. Apprehensive arousal, as indicated by increased skin conductance levels and heart rate, was present in all participants. Observer ratings of behavior during public speaking matched the self-rated quality of the performance. None of these measures were correlated with trait social anxiousness. Startle amplitude correlated with state and trait social anxiety, but was no mediator. Finally, there was no affective modulation of the startle amplitude by external social threat-cues. These studies advance both our current understanding of the factors that mediate social anxiety responses to situations and our knowledge of the physiological and anatomical mechanisms involved in social anxiety. Based on these findings a revised version of the working model on mediators of social anxiety is proposed in the hope it may aid further research for the ultimate goal of developing an empirically validated functional anatomical model of social anxiety. KW - Sozialangst KW - Mediator KW - Kognition KW - Physiologie KW - Mimik KW - Herzratenvariabilität KW - Affektive Schreckreflexmodulation KW - Emotionaler Gesichtsausdruck KW - Social Anxiety KW - Cognitive Model KW - Heart Rate Variability KW - Emotional Facial Expressions KW - Affective Startle Modulation Y1 - 2009 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-44684 ER - TY - JOUR A1 - Guhn, Anne A1 - Dresler, Thomas A1 - Andreatta, Marta A1 - Müller, Laura D. A1 - Hahn, Tim A1 - Tupak, Sara V. A1 - Polak, Thomas A1 - Deckert, Jürgen A1 - Herrmann, Martin J. T1 - Medial prefrontal cortex stimulation modulates the processing of conditioned fear N2 - The extinction of conditioned fear depends on an efficient interplay between the amygdala and the medial prefrontal cortex (mPFC). In rats, high-frequency electrical mPFC stimulation has been shown to improve extinction by means of a reduction of amygdala activity. However, so far it is unclear whether stimulation of homologues regions in humans might have similar beneficial effects. Healthy volunteers received one session of either active or sham repetitive transcranial magnetic stimulation (rTMS) covering the mPFC while undergoing a 2-day fear conditioning and extinction paradigm. Repetitive TMS was applied offline after fear acquisition in which one of two faces (CS+ but not CS−) was associated with an aversive scream (UCS). Immediate extinction learning (day 1) and extinction recall (day 2) were conducted without UCS delivery. Conditioned responses (CR) were assessed in a multimodal approach using fear-potentiated startle (FPS), skin conductance responses (SCR), functional near-infrared spectroscopy (fNIRS), and self-report scales. Consistent with the hypothesis of a modulated processing of conditioned fear after high-frequency rTMS, the active group showed a reduced CS+/CS− discrimination during extinction learning as evident in FPS as well as in SCR and arousal ratings. FPS responses to CS+ further showed a linear decrement throughout both extinction sessions. This study describes the first experimental approach of influencing conditioned fear by using rTMS and can thus be a basis for future studies investigating a complementation of mPFC stimulation to cognitive behavioral therapy (CBT). KW - fear conditioning KW - memory consolidation and extinction KW - learning KW - transcranial magnetic stimulation (TMS) KW - medial prefrontal cortex (mPFC) Y1 - 2014 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-111309 ER - TY - THES A1 - Gromer, Daniel T1 - Mechanisms Underlying Virtual Reality Exposure Therapy for Specific Phobias T1 - Wirkmechanismen der Expositionstherapie in virtueller Realität bei spezifischen Phobien N2 - Virtual reality exposure therapy (VRET) is an effective cognitive-behavioral treatment for anxiety disorders that comprises systematic confrontations to virtual representations of feared stimuli and situations. However, not all patients respond to VRET, and some patients relapse after successful treatment. One explanation for this limitation of VRET is that its underlying mechanisms are not yet fully understood, leaving room for further improvement. On these grounds, the present thesis aimed to investigate two major research questions: first, it explored how virtual stimuli induce fear responses in height-fearful participants, and second, it tested if VRET outcome could be improved by incorporating techniques derived from two different theories of exposure therapy. To this end, five studies in virtual reality (VR) were conducted. Study 1 (N = 99) established a virtual environment for height exposure using a Computer Automatic Virtual Environment (CAVE) and investigated the effects of tactile wind simulation in VR. Height-fearful and non-fearful participants climbed a virtual outlook, and half of the participants received wind simulation. Results revealed that height-fearful participants showed stronger fear responses, on both a subjective and behavioral level, and that wind simulation increased subjective fear. However, adding tactile wind simulation in VR did not affect presence, the user's sense of 'being there' in the virtual environment. Replicating previous studies, fear and presence in VR were correlated, and the correlation was higher in height-fearful compared to non-fearful participants. Study 2 (N = 43) sought to corroborate the findings of the first study, using a different VR system for exposure (a head-mounted display) and measuring physiological fear responses. In addition, the effects of a visual cognitive distractor on fear in VR were investigated. Participants' fear responses were evident on both a subjective and physiological level---although much more pronounced on skin conductance than on heart rate---but the virtual distractor did not affect the strength of fear responses. In Study 3 (N = 50), the effects of trait height-fearfulness and height level on fear responses were investigated in more detail. Self-rated level of acrophobia and five different height levels in VR (1 m--20 m) were used as linear predictors of subjective and physiological indices of fear. Results showed that subjective fear and skin conductance responses were a function of both trait height-fearfulness and height level, whereas no clear effects were visible for heart rate. Study 4 (N = 64 + N = 49) aimed to advance the understanding of the relationship between presence and fear in VR. Previous research indicates a positive correlation between both measures, but possible causal mechanisms have not yet been identified. The study was the first to experimentally manipulate both presence (via the visual and auditive realism of the virtual environment) and fear (by presenting both height and control situations). Results indicated a causal effect of fear on presence, i.e., experiencing fear in a virtual environment led to a stronger sense of `being there' in the virtual environment. However, conversely, presence increased by higher scene realism did not affect fear responses. Nonetheless, presence seemed to have some effects on fear responding via another pathway, as participants whose presence levels were highest in the first safe context were also those who had the strongest fear responses in a later height situation. This finding indicated the importance of immersive user characteristics in the emergence of presence and fear in VR. The findings of the first four studies were integrated into a model of fear in VR, extending previous models and highlighting factors that lead to the emergence of both fear and presence in VR. Results of the studies showed that fear responses towards virtual heights were affected by trait height-fearfulness, phobic elements in the virtual environment, and, at least to some degree, on presence. Presence, on the other hand, was affected by experiencing fear in VR, immersion---the characteristics of the VR system---and immersive user characteristics. Of note, the manipulations of immersion used in the present thesis, visual and auditory realism of the virtual environment and tactile wind simulation, were not particularly effective in manipulating presence. Finally, Study 5 (N = 34) compared two different implementations of VRET for acrophobia to investigate mechanisms underlying its efficacy. The first implementation followed the Emotional Processing Theory, assuming that fear reduction during exposure is crucial for positive treatment outcome. In this condition, patients were asked to focus on their fear responses and on the decline of fear (habituation) during exposures. The second implementation was based on the inhibitory learning model, assuming that expectancy violation is the primary mechanism underlying exposure therapy efficacy. In this condition, patients were asked to focus on the non-occurrence of feared outcomes (e.g., 'I could fall off') during exposure. Based on predictions of the inhibitory learning model, the hypothesis for the study was that expectancy-violation-based exposure would outperform habituation-based exposure. After two treatment sessions in VR, both treatment conditions effectively reduced the patients' fear of heights, but the two conditions did not differ in their efficacy. The study replicated previous studies by showing that VRET is an effective treatment for acrophobia; however, contrary to the assumption, explicitly targeting the violation of threat expectancies did not improve outcome. This finding adds to other studies failing to provide clear evidence for expectancy violation as the primary mechanism underlying exposure therapy. Possible explanations for this finding and clinical implications are discussed, along with suggestions for further research. N2 - Die Expositionstherapie in virtueller Realität (VRET) ist ein wirksames kognitiv-verhaltenstherapeutisches Verfahren zur Behandlung von Angststörungen. Bei einer VRET werden Patienten nach psychoedukativer Vorbereitung mit virtuellen Repräsentationen der von ihnen gefürchteten Objekte oder Situationen konfrontiert. Die VRET zeigt allerdings nicht bei allen Patienten die gewünschte Wirksamkeit, und einige Patienten erleben selbst nach erfolgreicher Therapie eine Rückkehr der Angst. Da die zugrunde liegenden Wirkfaktoren der VRET noch nicht ausreichend aufgeklärt sind, lässt sich ihre Effektivtät möglicherweise noch weiter verbessern. Ziel der vorliegenden Arbeit war es daher zwei Fragen zu untersuchen. Zum einen, wie genau virtuelle Reize Furchtreaktionen bei höhenängstlichen Personen auslösen, und zum anderen, ob sich VRET durch den Einsatz spezifischer Techniken, welche aus Theorien zur Expositionstherapie abgeleitet wurden, verbessern lässt. Um die Fragen zu beantworten, wurden im Rahmen der Dissertation fünf Studien durchgeführt. In Studie 1 (N = 99) wurde eine virtuelle Umgebung für Höhenexposition etabliert und Effekte von taktiler Windsimulation in virtueller Realität (VR) untersucht. In der Studie hatten höhenängstliche und nicht-ängstliche Probanden die Aufgabe einen virtuellen Turm zu besteigen, wobei die Hälfte der Probanden währenddessen eine Windsimulation dargeboten bekam. Die Ergebnisse zeigten, dass höhenängstliche Probanden stärkere Furchtreaktionen zeigten, was sich sowohl im Bericht als auch im Verhalten äußerte. Zusätzlich erhöhte die Windsimulation die subjektiv Furcht der Probanden. Die Windsimulation hatte allerdings keinen Einfluss auf das Präsenzerleben, d. h. wie sehr sich Probanden so gefühlt hatten als seien sie tatsächlich in der virtuellen Umgebung gewesen. In der Studie konnten darüber hinaus zwei Befunde vorheriger Studien zum Präsenzerleben repliziert werden. Furcht und Präsenz korrelierten positiv, und dieser Zusammenhang war bei höhenängstlichen Probanden stärker als bei nicht-ängstlichen Probanden. Die Studie konnte zeigen, dass sich VR eignet um Furcht auf verschiedenen Reaktionsebenen zu untersuchen und es darüber hinaus möglich ist, Furcht in VR experimentell zu manipulieren. In Studie 2 (N = 43) sollten die Ergebnisse der ersten Studie bestätigt werden. Hierfür wurden ein anderes VR-System für die Exposition eingesetzt sowie die Erfassung von Furchtreaktionen um physiologische Maße ergänzt. Zusätzlich wurde der Einfluss einer visuell-kognitiven Distraktionsaufgabe in VR auf Furchtreaktionen untersucht. Die Furchtreaktionen der Probanden zeigten sich sowohl auf subjektiver als auch physiologischer Ebene, wobei Reaktionen der Hautleitfähigkeit stärker ausgeprägt waren als Veränderungen der Herzrate. Ein Einfluss der ablenkenden visuell-kognitiven Aufgabe auf Furchtreaktionen konnte nicht gezeigt werden. Die Studie konnte insgesamt verdeutlichen, dass die Eigenschaft von VR, Furcht zu erzeugen, nicht an einen bestimmten Versuchsaufbau gebunden ist und sich Furcht in VR auf allen Reaktionsebenen zeigt. Studie 3 (N = 50) hatte das Ziel, den Einfluss von Höhenängstlichkeit und Höhe auf Furchreaktionen genauer zu untersuchen. Hierfür wurde per Fragebogen erfasste Höhenängstlichkeit sowie fünf verschiedene Höhen (1 m--20 m) als lineare Prädiktoren für subjektive und physiologische Furchtindizes verwendet. Die Ergebnisse zeigten, dass subjektive Furcht und Hautleitfähigkeitsreaktionen in Abhängigkeit von sowohl Höhenängstlichkeit als auch Höhe zunahmen. Für die Herzrate zeigten sich hingegen keine eindeutigen Effekte. Die Studie konnte zusammenfassend zeigen, dass sich die Furchtreaktionen in VR spezifisch auf Höhe zeigten. In Studie 4 (N = 64 + N = 49) sollte der Zusammenhang zwischen Furcht und Präsenzerleben in VR genauer untersucht werden. Vorangegangene Studien zeigten eine positive Korrelation zwischen beiden Maßen, konnten jedoch keine Aussagen über einen möglichen Kausalzusammenhang machen. Die vorliegende Studie war daher die erste, welche sowohl Präsenz als auch Furcht experimentell manipulierte. Präsenz wurde über die Darbietung unterschiedlich realistischer virtueller Umgebungen, Furcht über die Darbietung von Höhen und Kontrollumgebungen manipuliert. Die Ergebnisse der Studie zeigten, dass es einen kausalen Effekt von Furcht auf Präsenzerleben gab, d. h. das Erleben von Furcht in einer Höhensituation in VR führte zu erhöhtem Präsenzerleben. Umgekehrt gab es jedoch keinen Effekt von experimentell manipuliertem Präsenzerleben auf die Stärke der Furchtreaktion. Es zeigte sich allerdings, dass Personen, welche in der ersten sicheren Situation das stärkste Präsenzerleben berichteten, später auch die stärksten Furchtreaktionen zeigten, was darauf schließen lässt, dass es möglicherwiese dennoch Effekte von Präsenzerleben auf Furcht gibt. Dieses Ergebnis weist auf die Bedeutung von möglichen Persönlichkeitsunterschieden hin, welche für das Erleben von Präsenz und Furcht in VR von Bedeutung sind. Die Studie verdeutlichte damit zum einen die Komplexität des Zusammenhangs zwischen Furcht und Präsenzerleben und erlaubte zum anderen erstmals Kausalschlüsse zwischen beiden Maßen. Die Ergebnisse der ersten vier Studien wurden in einem Modell zur Furcht in VR zusammengefasst. Basierend auf bestehenden Modellen zeigt das neue Modell Faktoren auf, welche für die Entstehung von Furcht und Präsenz bedeutsam sind. So konnten die Studien zeigen, dass Furchtreaktionen in Abhängigkeit von habitueller Höhenangst, der furchtbezogenen Relevanz der virtuellen Umgebung (z. B. Höhe), sowie zum Teil vom Präsenzerleben, auftreten. Bezüglich des Präsenzerlebens betont das Modell die Relevanz von aktuellem Furchterleben, Immersion (den Charakteristika des VR-Systems) und immersiven Nutzercharakteristika (z. B. Absorption). Zu erwähnen ist, dass die in der vorliegenden Dissertation untersuchten Manipulationen von Immersion (visueller und auditiver Realismus der virtuellen Umgebung und taktile Windsimulation) jedoch keine sonderlich starken Effekte auf Präsenz hatten. In Studie 5 (N = 34) wurden abschließend im Rahmen einer Therapiestudie zwei verschiedene VRET-Ansätze miteinander verglichen. Die erste Gruppe von Patienten erhielt hierbei eine Therapie auf Basis der Emotional Processing Theory. In dieser Bedingung wurden die Patienten während der Exposition gebeten, sich auf ihr Furchterleben und dessen Rückgang über die Zeit (Habituation) zu konzentrieren. Die zweite Gruppe von Patienten erhielt eine Therapie auf Basis des Inhibitory Learning Models. In dieser Bedingung wurden die Patienten gebeten, gezielt ihre Befürchtungen (z. B. "Ich könnte herunterfallen") zu überprüfen und zu widerlegen. Es wurde auf Basis der Vorhersage des Inhibitory Learning Models, dass Erwartungswiderlegung der zentrale Wirkfaktor der Expositionstherapie ist, angenommen, dass eine Therapie auf Basis der Widerlegung von Befürchtungen effektiver ist als eine Therapie auf Basis von Habituation. Nach zwei Therapiesitzungen berichteten die Patienten in beiden Gruppen einen signifikaten Rückgang ihrer Höhenangst, es zeigten sich jedoch keine Wirksamkeitsunterschiede zwischen den Gruppen. Die Studie konnte damit zwar vorherige Befunde replizieren, die zeigten, dass VRET eine effektive Behandlung für Höhenangst ist, die spezifische Fokussierung auf Erwartungswiderlegung zeigte jedoch keinen Vorteil. Dieser Befund reiht sich damit in eine Reihe von Studien ein, die Erwartungswiderlegung als zentralen Wirkfaktor der Expositionstherapie nicht nachweisen konnten. Mögliche Gründe für diesen Befund sowie daraus folgende klinische Implikationen und Vorschläge für weitere Forschung werden diskutiert. KW - Virtuelle Realität KW - Höhenangst KW - Expositionstherapie Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-207334 ER - TY - JOUR A1 - Rodrigues, Johannes A1 - Ulrich, Natalie A1 - Mussel, Patrick A1 - Carlo, Gustavo A1 - Hewig, Johannes T1 - Measuring prosocial tendencies in Germany: sources of validity and reliablity of the revised prosocial tendency measure JF - Frontiers in Psychology N2 - The prosocial tendencies measure (PTM; Carlo and Randall, 2002) is a widely used measurement for prosocial tendencies in English speaking participants. This instrument distinguishes between six different types of prosocial tendencies that partly share some common basis, but also can be opposed to each other. To examine these constructs in Germany, a study with 1067 participants was conducted. The study investigated the structure of this German version of the PTM-R via exploratory factor analysis, confirmatory factor analysis, correlations with similar constructs in subsamples as well as via measurement invariance test concerning the original English version. The German translation showed a similar factor structure to the English version in exploratory factor analysis and in confirmatory factor analysis. Measurement invariance was found between the English and German language versions of the PTM and support for the proposed six-factor structure (altruistic, anonymous, compliant, dire, emotional and public prosocial behavior) was also found in confirmatory factor analysis. Furthermore, the expected interrelations of these factors of prosocial behavior tendencies were obtained. Finally, correlations of the prosocial behavior tendencies with validating constructs and behaviors were found. Thus, the findings stress the importance of seeing prosocial behavior not as a single dimension construct, but as a factored construct which now can also be assessed in German speaking participants. KW - measurement invariance KW - prosocial tendency measure KW - prosocial behavior KW - altruism KW - validation KW - German translation Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-159351 VL - 8 ER - TY - JOUR A1 - Haberstumpf, Sophia A1 - Forster, André A1 - Leinweber, Jonas A1 - Rauskolb, Stefanie A1 - Hewig, Johannes A1 - Sendtner, Michael A1 - Lauer, Martin A1 - Polak, Thomas A1 - Deckert, Jürgen A1 - Herrmann, Martin J. T1 - Measurement invariance testing of longitudinal neuropsychiatric test scores distinguishes pathological from normative cognitive decline and highlights its potential in early detection research JF - Journal of Neuropsychology N2 - Objective Alzheimer’s disease (AD) is a growing challenge worldwide, which is why the search for early-onset predictors must be focused as soon as possible. Longitudinal studies that investigate courses of neuropsychological and other variables screen for such predictors correlated to mild cognitive impairment (MCI). However, one often neglected issue in analyses of such studies is measurement invariance (MI), which is often assumed but not tested for. This study uses the absence of MI (non-MI) and latent factor scores instead of composite variables to assess properties of cognitive domains, compensation mechanisms, and their predictability to establish a method for a more comprehensive understanding of pathological cognitive decline. Methods An exploratory factor analysis (EFA) and a set of increasingly restricted confirmatory factor analyses (CFAs) were conducted to find latent factors, compared them with the composite approach, and to test for longitudinal (partial-)MI in a neuropsychiatric test battery, consisting of 14 test variables. A total of 330 elderly (mean age: 73.78 ± 1.52 years at baseline) were analyzed two times (3 years apart). Results EFA revealed a four-factor model representing declarative memory, attention, working memory, and visual–spatial processing. Based on CFA, an accurate model was estimated across both measurement timepoints. Partial non-MI was found for parameters such as loadings, test- and latent factor intercepts as well as latent factor variances. The latent factor approach was preferable to the composite approach. Conclusion The overall assessment of non-MI latent factors may pose a possible target for this field of research. Hence, the non-MI of variances indicated variables that are especially suited for the prediction of pathological cognitive decline, while non-MI of intercepts indicated general aging-related decline. As a result, the sole assessment of MI may help distinguish pathological from normative aging processes and additionally may reveal compensatory neuropsychological mechanisms. KW - Alzheimer’s disease KW - early-onset predictors KW - mild cognitive impairment Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-318932 VL - 16 IS - 2 SP - 324 EP - 352 ER - TY - JOUR A1 - Ziegler, C. A1 - Richter, J. A1 - Mahr, M. A1 - Gajewska, A. A1 - Schiele, M.A. A1 - Gehrmann, A. A1 - Schmidt, B. A1 - Lesch, K.-P. A1 - Lang, T. A1 - Helbig-Lang, S. A1 - Pauli, P. A1 - Kircher, T. A1 - Reif, A. A1 - Rief, W. A1 - Vossbeck-Elsebusch, A.N. A1 - Arolt, V. A1 - Wittchen, H.-U. A1 - Hamm, A.O. A1 - Deckert, J. A1 - Domschke, K. T1 - MAOA gene hypomethylation in panic disorder-reversibility of an epigenetic risk pattern by psychotherapy JF - Translational Psychiatry N2 - Epigenetic signatures such as methylation of the monoamine oxidase A (MAOA) gene have been found to be altered in panic disorder (PD). Hypothesizing temporal plasticity of epigenetic processes as a mechanism of successful fear extinction, the present psychotherapy-epigenetic study for we believe the first time investigated MAOA methylation changes during the course of exposure-based cognitive behavioral therapy (CBT) in PD. MAOA methylation was compared between N=28 female Caucasian PD patients (discovery sample) and N=28 age- and sex-matched healthy controls via direct sequencing of sodium bisulfite-treated DNA extracted from blood cells. MAOA methylation was furthermore analyzed at baseline (T0) and after a 6-week CBT (T1) in the discovery sample parallelized by a waiting time in healthy controls, as well as in an independent sample of female PD patients (N=20). Patients exhibited lower MAOA methylation than healthy controls (P<0.001), and baseline PD severity correlated negatively with MAOA methylation (P=0.01). In the discovery sample, MAOA methylation increased up to the level of healthy controls along with CBT response (number of panic attacks; T0-T1: +3.37±2.17%), while non-responders further decreased in methylation (-2.00±1.28%; P=0.001). In the replication sample, increases in MAOA methylation correlated with agoraphobic symptom reduction after CBT (P=0.02-0.03). The present results support previous evidence for MAOA hypomethylation as a PD risk marker and suggest reversibility of MAOA hypomethylation as a potential epigenetic correlate of response to CBT. The emerging notion of epigenetic signatures as a mechanism of action of psychotherapeutic interventions may promote epigenetic patterns as biomarkers of lasting extinction effects. KW - Adult KW - Case-Control Studies KW - Cognitive Therapy KW - DNA Methylation KW - Epigenesis KW - Genetic KW - Female KW - Humans KW - Monoamine Oxidase/genetics KW - Panic Disorder/genetics KW - Panic Disorder/therapy KW - Sequence Analysis KW - DNA Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-164422 IS - 6 ER - TY - JOUR A1 - Trafimow, David A1 - Amrhein, Valentin A1 - Areshenkoff, Corson N. A1 - Barrera-Causil, Carlos J. A1 - Beh, Eric J. A1 - Bilgiç, Yusuf K. A1 - Bono, Roser A1 - Bradley, Michael T. A1 - Briggs, William M. A1 - Cepeda-Freyre, Héctor A. A1 - Chaigneau, Sergio E. A1 - Ciocca, Daniel R. A1 - Correa, Juan C. A1 - Cousineau, Denis A1 - de Boer, Michiel R. A1 - Dhar, Subhra S. A1 - Dolgov, Igor A1 - Gómez-Benito, Juana A1 - Grendar, Marian A1 - Grice, James W. A1 - Guerrero-Gimenez, Martin E. A1 - Gutiérrez, Andrés A1 - Huedo-Medina, Tania B. A1 - Jaffe, Klaus A1 - Janyan, Armina A1 - Karimnezhad, Ali A1 - Korner-Nievergelt, Fränzi A1 - Kosugi, Koji A1 - Lachmair, Martin A1 - Ledesma, Rubén D. A1 - Limongi, Roberto A1 - Liuzza, Marco T. A1 - Lombardo, Rosaria A1 - Marks, Michael J. A1 - Meinlschmidt, Gunther A1 - Nalborczyk, Ladislas A1 - Nguyen, Hung T. A1 - Ospina, Raydonal A1 - Perezgonzalez, Jose D. A1 - Pfister, Roland A1 - Rahona, Juan J. A1 - Rodríguez-Medina, David A. A1 - Romão, Xavier A1 - Ruiz-Fernández, Susana A1 - Suarez, Isabel A1 - Tegethoff, Marion A1 - Tejo, Mauricio A1 - van de Schoot, Rens A1 - Vankov, Ivan I. A1 - Velasco-Forero, Santiago A1 - Wang, Tonghui A1 - Yamada, Yuki A1 - Zoppino, Felipe C. M. A1 - Marmolejo-Ramos, Fernando T1 - Manipulating the Alpha Level Cannot Cure Significance Testing JF - Frontiers in Psychology N2 - We argue that making accept/reject decisions on scientific hypotheses, including a recent call for changing the canonical alpha level from p = 0.05 to p = 0.005, is deleterious for the finding of new discoveries and the progress of science. Given that blanket and variable alpha levels both are problematic, it is sensible to dispense with significance testing altogether. There are alternatives that address study design and sample size much more directly than significance testing does; but none of the statistical tools should be taken as the new magic method giving clear-cut mechanical answers. Inference should not be based on single studies at all, but on cumulative evidence from multiple independent studies. When evaluating the strength of the evidence, we should consider, for example, auxiliary assumptions, the strength of the experimental design, and implications for applications. To boil all this down to a binary decision based on a p-value threshold of 0.05, 0.01, 0.005, or anything else, is not acceptable. KW - statistical significance KW - null hypothesis testing KW - p-value KW - significance testing KW - decision making Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-189973 SN - 1664-1078 VL - 9 IS - 699 ER - TY - THES A1 - Wiemer, Julian T1 - Maintaining factors of fear-relevant illusory correlations T1 - Aufrechterhaltende Faktoren von angstbezogenen Zusammenhangsverschätzungen N2 - Biased cognitive processes are very likely involved in the maintenance of fears and anxiety. One of such cognitive processes is the perceived relationship between fear-relevant stimuli and aversive consequences. If this relationship is perceived although objective contingencies have been random, it is called an (a posteriori) illusory correlation. If this relationship is overestimated before objective contingencies are experienced, it is called an (a priori) expectancy bias. Previous investigations showed that fear-relevant illusory correlations exist, but very few is known about how and why this cognitive bias develops. In the present dissertation thesis, a model is proposed based on a review of the literature on fear-relevant illusory correlations. This model describes how psychological factors might have an influence on fear and illusory correlations. Several critical implications of the model were tested in four experiments. Experiment 1 tested the hypothesis that people do not only overestimate the proportion of aversive consequences (startle sounds) following emotionally negative stimuli (pictures of mutilations) relative to neutral stimuli (pictures of household objects), but also following highly arousing positive stimuli (pictures of erotic scenes), because arousal might be an important determinant of illusory correlations. The result was a significant expectancy bias for negative stimuli and a much smaller expectancy bias for positive stimuli. Unexpectedly, expectancy bias was restricted to women. An a posteriori illusory correlation was not found overall, but only in those participants who perceived the aversive consequences following negative stimuli as particularly aversive. Experiment 2 tested the same hypothesis as experiment 1 using a paradigm that evoked distinct basic emotions (pictures inducing fear, anger, disgust or happiness). Only negative emotions resulted in illusory correlations with aversive outcomes (startle sounds), especially the emotions of fear and disgust. As in experiment 1, the extent of these illusory correlations was correlated with the perceived aversiveness of aversive outcomes. Moreover, only women overestimated the proportion of aversive outcomes during pictures that evoked fear, anger or disgust. Experiment 3 used functional Magnetic Resonance Imaging (fMRI) to measure biased brain activity in female spider phobics during an illusory correlation paradigm. Both spider phobics and healthy controls expected more aversive outcomes (painful electrical shocks) following pictures of spiders than following neutral control stimuli (pictures of mushrooms). Spider phobics but not healthy controls overestimated the proportion of aversive outcomes following pictures of spiders in a trial-by-trial memory task. This a posteriori illusory correlation was correlated with enhanced shock aversiveness and activity in primary sensory-motor cortex in phobic participants. Moreover, spider phobics’ brain activity in the left dorsolateral prefrontal cortex was elevated in response to spider images. This activity also predicted the extent of the illusory correlation, which supports the theory that executive and attentional resources play an important role in the maintenance of illusory correlations. Experiment 4 tested the hypothesis that the enhanced aversiveness of some outcomes would be sufficient to causally induce an illusory correlation. Neutral images (colored geometric figures) were paired with differently aversive outcomes (three startle sounds varying in intensity). Participants developed an illusory correlation between those images, which predicted the most aversive sound and this sound, which means that this association was overestimated relative to the other associations. The extent of the illusory correlation was positively correlated with participants’ self-reported anxiety. The results imply that the previously found relationship between illusory correlations and outcome aversiveness might reflect a causal impact of outcome aversiveness or salience on illusory correlations. In sum, the conducted experiments indicate that illusory correlations between fear-relevant stimuli and aversive consequences might persist – among other factors - because of an enhanced aversiveness or salience of aversive consequences following feared stimuli. This assumption is based on correlational findings, a neural measure of outcome perception and a causal influence of outcome aversiveness on illusory correlations. Implications of these findings were integrated into a model of fear-relevant illusory correlations and potential implications are discussed. Future investigations should further elucidate the role of executive functions and gender effects. Moreover, the trial-by-trial assessment of illusory correlations is recommended to increase reliability of the concept. From a clinical perspective, the down-regulation of aversive experiences and the allocation of attention to non-aversive experiences might help to cure anxiety and cognitive bias. N2 - Verzerrte kognitive Prozesse sind sehr wahrscheinlich an der Aufrechterhaltung von Furcht und Angst beteiligt. Ein solcher kognitiver Prozess ist der wahrgenommene Zusammenhang zwischen Reizen, vor denen bereits Angst besteht und unangenehmen Konsequenzen. Wenn so ein Zusammenhang wahrgenommen wird, obwohl die objektiven Kontingenzen zufällig sind, spricht man von einer illusorischen Korrelation (a posteriori). Wenn so ein Zusammenhang überschätzt wird, bevor objektive Kontingenzen erlebt werden, spricht man von einer Erwartungsverzerrung (a priori). Frühere Untersuchungen zeigten, dass angstrelevante illusorische Korrelationen existieren, aber bisher ist nur wenig darüber bekannt, wie und warum diese entstehen. In der vorliegenden Dissertation wird ein Modell vorgeschlagen, dass auf bisherigen Erkenntnissen zu angstrelevanten illusorischen Korrelationen beruht. Das Modell beschreibt, welche psychologischen Faktoren die Entstehung von Angst und illusorischen Korrelationen begünstigen könnten. Mehrere Implikationen dieses Modells wurden in vier Experimenten getestet. Experiment 1 überprüfte die Hypothese, dass Menschen nicht nur die Häufigkeit unangenehmer Konsequenzen (Schreckgeräusche) nach emotional negativen Reizen (Bilder von Verletzungen) überschätzen, verglichen mit neutralen Reizen (Bilder von Haushaltsgegenständen), sondern auch nach sehr aufregenden positiven Reizen (Bilder von erotischen Szenen), weil die allgemeine Erregung einen Einfluss auf illusorische Korrelationen haben sollte. Das Ergebnis war eine signifikante Erwartungsverzerrung bei negativen Reizen und eine sehr viel kleinere Erwartungsverzerrung bei positiven Reizen. Unerwarteter Weise waren Erwartungsverzerrungen auf Frauen beschränkt. Eine illusorische Korrelation (a posteriori) konnte im Allgemeinen nicht festgestellt werden, sondern lediglich bei solchen Probanden, die die unangenehmen Konsequenzen nach negativen Reizen als besonders unangenehm empfanden. Experiment 2 überprüfte die gleiche Hypothese wie Experiment 1 anhand einer Versuchsanordnung, die verschiedene Basisemotionen hervorrufen sollte (durch Bilder, die Angst, Ärger, Ekel oder Freude induzierten). Nur negative Emotionen führten zu illusorischen Korrelationen (a posteriori) mit unangenehmen Ereignissen (Schreckgeräusche), insbesondere die Emotionen Angst und Ekel. Wie auch in Experiment 1 korrelierte das Ausmaß der illusorischen Korrelation mit der wahrgenommenen Unangenehmheit der unangenehmen Ereignisse bei der entsprechenden Bildkategorie. Darüber hinaus überschätzten nur Frauen den Anteil negativer Ereignisse bei Bildern, die Angst, Ekel, oder Ärger hervorriefen. Experiment 3 verwendete funktionelle Magnetresonanztomografie (fMRT), um verzerrte Gehirnaktivität bei Spinnenphobikerinnen während eines Versuchs zu illusorischen Korrelationen zu messen. Sowohl Spinnenphobikerinnen als auch gesunde Kontrollprobandinnen erwarteten mehr unangenehme Konsequenzen (schmerzhafte elektrische Reize) bei Bildern von Spinnen als bei neutralen Kontrollreizen (Bilder von Pilzen). Spinnenphobikerinnen, aber nicht gesunde Kontrollprobandinnen überschätzten jedoch im Nachhinein den Anteil unangenehmer Konsequenzen bei Bildern von Spinnen in einer Trial-by-Trial Gedächtnisaufgabe. Diese illusorische Korrelation (a posteriori) korrelierte mit der erhöhten Unangenehmheit der elektrischen Reize und mit Aktivierung im primären senso-motorischen Kortex der phobischen Teilnehmerinnen. Darüber hinaus wiesen Spinnenphobikerinnen in Reaktion auf die Bilder von Spinnen eine erhöhte Aktivierung im linken dorsolateralen präfrontalen Kortex auf. Diese Aktivität sagte auch das Ausmaß der illusorischen Korrelation vorher, was die These unterstützt, dass exekutive und Aufmerksamkeitsressourcen eine wichtige Rolle in der Aufrechterhaltung illusorischer Korrelationen spielen. Experiment 4 überprüfte die Hypothese, dass die erhöhte Unangenehmheit mancher Konsequenzen hinreichend sein würde, um kausal eine illusorische Korrelation hervorzurufen. Neutrale Bilder (geometrische Figuren in drei verschiedenen Farben) wurden mit unterschiedlich unangenehmen Konsequenzen gepaart (Schreckgeräusche in drei verschiedenen Intensitäten). Bei den Probanden entwickelte sich eine illusorische Korrelation mit der Farbe, die das unangenehmste Geräusch voraussagte und diesem Geräusch, das heißt, der Zusammenhang wurde im Vergleich zu den anderen Zusammenhängen überschätzt. Das Ausmaß der illusorischen Korrelation korrelierte positiv mit der Ängstlichkeit der Teilnehmer. Die Ergebnisse legen nahe, dass der bisher gefundene Zusammenhang zwischen illusorischen Korrelationen und der Unangenehmheit der unangenehmen Konsequenzen auf einen kausalen Einfluss der Unangenehmheit oder Salienz der Konsequenzen auf illusorische Korrelationen zurückgehen könnte. Zusammengefasst zeigten die durchgeführten Experimente, dass illusorische Korrelationen zwischen angstrelevanten Reizen und unangenehmen Konsequenzen – neben anderen Einflussfaktoren – aufgrund einer erhöhten Unangenehmheit oder Salienz unangenehmer Konsequenzen bei gefürchteten Reizen bestehen könnten. Diese Annahme basiert auf korrelativen Ergebnissen, einem neuralen Maß der Konsequenzverarbeitung und dem gefundenen kausalen Einfluss der Unangenehmheit unangenehmer Konsequenzen auf illusorische Korrelationen. Implikationen dieser Befunde werden in ein Modell zu angstrelevanten illusorischen Korrelationen integriert und diskutiert. Zukünftige Studien sollten die Rolle exekutiver Funktionen und Geschlechtsunterschiede genauer untersuchen. Es empfiehlt sich dabei, illusorische Korrelationen Trial-by-Trial zu erfassen, um die Reliabilität des Konzepts zu erhöhen. Aus klinischer Sicht könnten die Beruhigung unangenehmer Erfahrungen und die Aufmerksamkeitsallokation auf nicht-unangenehme Erfahrungen helfen, Ängste und kognitive Verzerrungen zu vermindern. KW - Verzerrte Kognition KW - Angststörung KW - Verzerrte Kognition KW - Illusorische Korrelation KW - Gefahrenlernen KW - Funktionelle Kernspintomografie KW - cognitive bias KW - illusory correlation KW - threat learning KW - functional magnetic resonance imaging KW - Assoziatives Gedächtnis Y1 - 2015 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-116960 ER - TY - JOUR A1 - Grossheinrich, Nicola A1 - Firk, Christine A1 - Schulte-Rüther, Martin A1 - von Leupoldt, Andreas A1 - Konrad, Kerstin A1 - Huestegge, Lynn T1 - Looking while unhappy: a mood-congruent attention bias toward sad adult faces in children JF - Frontiers in Psychology N2 - A negative mood-congruent attention bias has been consistently observed, for example, in clinical studies on major depression. This bias is assumed to be dysfunctional in that it supports maintaining a sad mood, whereas a potentially adaptive role has largely been neglected. Previous experiments involving sad mood induction techniques found a negative mood-congruent attention bias specifically for young individuals, explained by an adaptive need for information transfer in the service of mood regulation. In the present study we investigated the attentional bias in typically developing children (aged 6–12 years) when happy and sad moods were induced. Crucially, we manipulated the age (adult vs. child) of the displayed pairs of facial expressions depicting sadness, anger, fear and happiness. The results indicate that sad children indeed exhibited a mood specific attention bias toward sad facial expressions. Additionally, this bias was more pronounced for adult faces. Results are discussed in the context of an information gain which should be stronger when looking at adult faces due to their more expansive life experience. These findings bear implications for both research methods and future interventions. KW - eye tracking KW - emotion regulation KW - mood induction KW - attention bias KW - major depression KW - adaptive role Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-177688 VL - 9 IS - 2577 ER - TY - THES A1 - Breil, Christina T1 - Look at me and I will feel you: eye contact and social understandig T1 - Schau mich an und ich sehe dich: Blickkontakt und Sozialverstehen N2 - One of the features that defines humans as extraordinarily social beings is their striking susceptibility to the gaze of others. The research reported in this dissertation was undertaken to advance our understanding of the role of gaze cues in low-level attentional and higher-order cognitive processes. In particular, effects of gaze were examined with regard to three aspects of human cognition: (1) social attention, (2) social interaction and (3) social understanding. Chapter 1 consists of three manuscripts that investigate the boundary conditions of attention capture by direct gaze and how gaze direction is integrated with facial context information. Manuscript 1 and 2 suggest two necessary requirements for attention capture by direct gaze: a meaningful holistic facial context and sharp foveal vision, respectively. Manuscript 3 shows approach/avoidance-congruency effects between gaze direction and emotion expression on attention. Chapter 2 of this dissertation explores the role of gaze in more naturalistic social scenarios. Manuscript 4 demonstrates that gaze behavior during a conversation shapes our perception of another person. Manuscript 5 builds on these findings by showing that these perceptions define our willingness to act in a prosocial way towards our interaction partner. Finally, chapter 3 adopts a broader perspective on social cognition research with a special focus on methodological aspects. Manuscript 6 is a review highlighting the significance of methodological aspects in social cognition research and stressing the importance of sophisticated decisions on task and stimulus materials. Manuscript 7 introduces a new instrument for the assessment of social understanding in adolescents. Initial application in a young sample group indicates that an understanding of another person’s mental states is a capacity that is still developing throughout adolescence. Both manuscripts of this final chapter include eye tracking data that suggest a relationship between gaze behavior and social understanding, a finding that further emphasizes the complex and multifaceted nature of social cognition. I conclude from the findings of this dissertation that research can benefit from adopting a broad view in terms of methodological as well as temporal aspects in order to capture human social cognition in its entirety. N2 - Die herausragend soziale Natur des Menschen zeigt sich insbesondere in der sensiblen Reaktion auf die Blicke anderer. Ziel der in dieser Dissertation berichteten Forschung ist ein umfassendes Verständnis der Rolle von Blickreizen auf kognitive Prozesse niederer und höherer Verarbeitungsstufen. Im Einzelnen wurden Blickeffekte im Hinblick auf drei Aspekte menschlicher Kognition untersucht: (1) Soziale Aufmerksamkeit, (2) soziale Interaktion und (3) Sozialverstehen. In Kapitel 1 werden drei Studien beschrieben, die sich mit den Grenzbedingungen von Aufmerksamkeitsanziehung durch direkten Blickkontakt beschäftigen und die untersuchen, wie Effekte der Blickrichtung mit anderen Reizen interagieren. Manuskript 1 und 2 deuten auf zwei notwendige Voraussetzungen für den direkten Blickeffekt hin: ein holistisch bedeutsamer Gesichtskontext sowie scharfe, foveale Wahrnehmung. Manuskript 3 findet aufmerksamkeitsbezogene Annäherungs-/Vermeidungskongruenzeffekte zwischen Blickrichtung und emotionalem Gesichtsausdruck. Kapitel 2 dieser Dissertation untersucht die Rolle von Blicken in naturalistischeren sozialen Situationen. Manuskript 4 demonstriert, dass Blickverhalten in Gesprächen unsere Wahrnehmung anderer Personen beeinflusst. Manuskript 5 erweitert diesen Befund, indem es verdeutlicht, dass diese Eindrücke unsere Bereitschaft zu prosozialem Verhalten gegenüber unseren Interaktionspartner*innen bestimmen. Schließlich wird im 3. Kapitel eine breitere Sicht auf sozialkognitive Forschung eingenommen. Ein besonderer Fokus liegt dabei auf methodischen Aspekten. Manuskript 6 ist ein Review, das die Tragweite methodischer Aspekte in sozialkognitiven Untersuchungen herausarbeitet und auf die Bedeutung gut informierter und durchdachter Entscheidungen bezüglich der verwendeten Versuchsmaterialien hinweist. In Manuskript 7 wird ein neues Instrument zur Erfassung sozialen Verstehens in jugendlichen Stichproben beschrieben. Eine erste Anwendung dieser neuen Methode deutet darauf hin, dass sich das Verständnis der mentalen Zustände anderer Menschen im Jugendalter noch in der Entwicklung befindet. Beide Manuskripte dieses letzten Kapitels enthalten Eye-Trackingdaten, die auf einen Zusammenhang zwischen Blickbewegungen und Sozialverstehen hindeuten. Dieser Befund verdeutlicht, dass soziale Kognition ein komplexes und breitgefächertes Konstrukt ist. Ich schließe aus den Ergebnissen dieser Dissertation, dass die Wissenschaft sowohl im Hinblick auf methodische als auch auf zeitliche Aspekte von einer umfassenden Sichtweise auf soziale Kognition profitieren könnte, da nur diese es ermöglicht, das Konstrukt in Gänze zu erfassen. KW - eye contact KW - social understanding KW - Blick KW - Kognition KW - Einfühlung KW - Theory of Mind KW - Aufmerksamkeit KW - Interaktion Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-278021 ER - TY - JOUR A1 - Carr, Martha A1 - Schneider, Wolfgang T1 - Long-term maintenance of organizational strategies in kindergarten children N2 - The goal of the present study was to determine whether 4- and 5-year-old kindergarten children could be trained to maintain an organizational strategy over 2- and 8 week periods through an elaborate training program. A second goal was to assess the effects of the training program on strategy awareness. Twenty-eight kindergarten children were pretested on two sort-recall tasks and their awareness of the use of the clustering strategy was assessed through a protocol type procedure. Half the children received seven half-hour sessions of individual training in the clustering strategy and half the children participated in a control group. Both groups were post-tested on two sort-recall tasks 2 weeks following training and again 8 weeks following training. Strategy awareness, as measured by verbal protocol, was assessed at both post-test points. The elaborate strategy training program was successful in inducing short- and long-term strategy maintenance of the clustering strategy. Trained children’s clustering during sorting and clustering during recall was consistently related to the amount of items correctly recalled. No differences in strategy awareness were found. These findings demonstrate that the elaborate training procedure used in this study can be a very effective memory technique for young kindergarten children. KW - Psychologie Y1 - 1991 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-62157 ER - TY - JOUR A1 - Muth, Felicitas V. A1 - Heilig, Michael A1 - Marquardt, Dorothea A1 - Mittelberg, Linda A1 - Sebald, Albrecht A1 - Kunde, Wilfried T1 - Lightness perception of structured surfaces JF - Color Research and Application N2 - Visual perception of surfaces is of utmost importance in everyday life. Therefore, it comes naturally, that different surface structures evoke different visual impressions in the viewer even if the material underlying these surface structures is the same. This topic is especially virulent for manufacturing processes in which more than one stakeholder is involved, but where the final product needs to meet certain criteria. A common practice to address such slight but perceivable differences in the visual appearance of structured surfaces is that trained evaluators assess the samples and assign a pass or fail. However, this process is both time consuming and cost intensive. Thus, we conducted two studies to analyze the relationship between physical surface structure parameters and participants visual assessment of the samples. With the first experiment, we aimed at uncovering a relationship between physical roughness parameters and visual lightness perception while the second experiment was designed to test participants' discrimination sensitivity across the range of stimuli. Perceived lightness and the measured surface roughness were nonlinearly related to the surface structure. Additionally, we found a linear relationship between the engraving parameter and physical brightness. Surface structure was an ideal predictor for perceived lightness and participants discriminated equally well across the entire range of surface structures. KW - surface structure KW - appearance KW - color perception KW - maximum likelihood difference scaling KW - psychophysics Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-257314 VL - 47 IS - 2 ER - TY - THES A1 - Rodrigues, Johannes T1 - Let me change your mind… Frontal brain activity in a virtual T-maze T1 - Let me change your mind… Frontale Hirnaktivierung in einem virtuellen T-Labyrinth N2 - Frontal asymmetry, a construct invented by Richard Davidson, linking positive and negative valence as well as approach and withdrawal motivation to lateralized frontal brain activation has been investigated for over thirty years. The frontal activation patterns described as relevant were measured via alpha-band frequency activity (8-13 Hz) as a measurement of deactivation in electroencephalography (EEG) for homologous electrode pairs, especially for the electrode position F4/ F3 to account for the frontal relative lateralized brain activation. Three different theories about frontal activation patterns linked to motivational states were investigated in two studies. The valence theory of Davidson (1984; 1998a; 1998b) and its extension to the motivational direction theory by Harmon-Jones and Allen (1998) refers to the approach motivation with relative left frontal brain activity (indicated by relative right frontal alpha activity) and to withdrawal motivation with relative right frontal brain activation (indicated by relative left frontal alpha activity). The second theory proposed by Hewig and colleagues (2004; 2005; 2006) integrates the findings of Davidson and Harmon – Jones and Allen with the reinforcement sensitivity theory of Jeffrey A. Gray (1982, 1991). Hewig sees the lateralized frontal approach system and withdrawal system proposed by Davidson as subsystems of the behavioral activation system proposed by Gray and bilateral frontal activation as a biological marker for the behavioral activation system. The third theory investigated in the present studies is the theory from Wacker and colleagues (2003; 2008; 2010) where the frontal asymmetrical brain activation patterns are linked to the revised reinforcement sensitivity theory of Gray and McNaughton (2000). Here, right frontal brain activity (indicated by lower relative right frontal alpha activity) accounts for conflict, behavioral inhibition and activity of the revised behavioral inhibition system, while left frontal brain activation (indicated by lower relative left frontal alpha activity) stands for active behavior and the activity of the revised behavioral activation system as well as the activation of the revised flight fight freezing system. In order to investigate these three theories, a virtual reality T-maze paradigm was introduced to evoke motivational states in the participants, offering the opportunity to measure frontal brain activation patterns via EEG and behavior simultaneously in the first study. In the second study the virtual reality paradigm was additionally compared to mental imagery and a movie paradigm, two well-known state inducing paradigms in the research field of frontal asymmetry. In the two studies, there was confirming evidence for the theory of Hewig and colleages (2004; 2005; 2006), showing higher bilateral frontal activation for active behavior and lateralized frontal activation patterns for approach (left frontal brain activation) and avoidance (right frontal brain activation) behavior. Additionally a limitation for the capability model of anterior brain asymmetry proposed by Coan and colleagues (2006), where the frontal asymmetry should be dependent on the relevant traits driving the frontal asymmetry pattern if a relevant situation occurs, could be found. As the very intense virtual reality paradigm did not lead to a difference of frontal brain activation patterns compared to the mental imagery paradigm or the movie paradigm for the traits of the participants, the trait dependency of the frontal asymmetry in a relevant situation might not be given, if the intensity of the situation exceeds a certain level. Nevertheless there was an influence of the traits in the virtual reality T-maze paradigm, because the shown behavior in the maze was trait-dependent. The implications of the findings are multifarious, leading from possible objective personality testing via diversification of the virtual reality paradigm to even clinical implications for depression treatments based on changes in the lateralized frontal brain activation patterns for changes in the motivational aspects, but also for changes in bilateral frontal brain activation when it comes to the drive and preparedness for action in patients. Finally, with the limitation of the capability model, additional variance in the different findings about frontal asymmetry can be explained by taking the intensity of a state manipulation into account. N2 - Frontal Asymmetrie, ein Konstrukt, erfunden von Richard Davidson, das positive und negative Valenz sowie Annäherungsmotivation und Vermeidungsmotivation mit lateralisierter Frontalhirnaktivierung verbindet, wird seit mehr als dreißig Jahren untersucht. Die frontalen Aktivierungsmuster, die als relevant beschrieben wurden, wurden über Alpha-Frequenzband Aktivität (8-13 Hz) im Elektroenzephalogramm (EEG) als Maß für die Deaktivierung für die homologe Elektrodenpaare, insbesondere an der Elektrodenposition F4 / F3 gemessen, um die relative frontale lateralisierte Hirnaktivierung zu messen. In der vorliegenden Arbeit wurden drei verschiedene Theorien über frontale Aktivierungsmuster, die mit motivationalen Zuständen verbunden sind, in zwei Studien untersucht. Die „valence theory“ von Davidson (1984; 1998a; 1998b) und ihre Erweiterung zur „motivational direction theory“ von Harmon Jones und Allen (1998) verbindet Annäherungsmotivation mit relativer linksseitiger frontalen Hirnaktivität (durch relative rechtsfrontale Alpha-Aktivität angezeigt) und Rückzugsmotivation mit relativer rechtsfrontaler Hirnaktivierung (durch relative linksfrontale Alpha-Aktivität angezeigt). Die zweite Theorie von Hewig und Kollegen (2004; 2005; 2006) integriert die Ergebnisse von Davidson und Harmon - Jones und Allen mit der „reinforcement sensitvity theory“ von Jeffrey A. Gray (1982, 1991). Hewig sieht das lateralisierte frontale „approach system“ (Annäherungsverhalten, links frontal), und das „withdrawal system“ (Rückzugsverhalten, rechts frontal) von Davidson als Subsysteme des „behavioral activation system“ von Gray und bilaterale frontale Aktivierung als biologische Marker für das „behavioral activation system“ und aktives Verhalten. Die dritte Theorie, die in den vorliegenden Studien untersucht wird, ist die Theorie von Wacker und Kollegen (2003; 2008; 2010), bei der die frontalen asymmetrischen Gehirnaktivierungsmuster der „revidierten reinforcement sensitvity theory“ von Gray und McNaughton (2000) zugeordnet werden. Hier steht die rechte frontale Hirnaktivität (ermittelt durch geringere relative rechten frontalen Alpha-Aktivität) für Konflikte, Verhaltenshemmung und die Aktivität des „revised behavioral inhibition system“, während links frontale Hirnaktivierung (ermittelt durch niedrigere relative links frontal Alpha-Aktivität) für aktives Verhalten und die Aktivität des „revised behavioral activation system“ sowie die Aktivierung des „revised fight flight freezing system“ steht. Um diese drei Theorien zu untersuchen, wurde eine virtuelles T-Labyrinth Paradigma in der ersten Studie eingeführt, um motivationale Zustände bei den Teilnehmern zu induzieren und die Möglichkeit zu erhalten, frontale Hirnaktivierungsmuster im EEG und Verhalten gleichzeitig zu messen. In der zweiten Studie wurde das virtuelle Realität Paradigma zusätzlich im Vergleich zu einem mentalen Vorstellungsparadigma und einem Film-Paradigma, zwei bekannten Paradigmen für die Induktion von motivationalen Zuständen im Bereich der Forschung der frontalen Asymmetrie, eingesetzt. In den beiden Studien konnte die Theorie von Hewig und colleages (2004; 2005; 2006) belegt werden, da höhere bilaterale frontale Aktivierung für aktives Verhalten und lateralisierte frontale Aktivierungsmuster für Annäherung (linksfrontale Hirnaktivierung) und Vermeidung (rechtsfrontale Hirnaktivierung) gefunden wurde. Zusätzlich wurde eine Limitation des „capability models of anterior frontal asymmetry“ von Coan und Kollegen (2006), nach der die frontale Asymmetrie von relevanten Persönlichkeitsmerkmalen in den entsprechend der Eigenschaft relevanten Situationen beeinflusst werden sollte, gefunden. Da das sehr intensive virtuelle Realität Paradigma im Gegensatz zu den mentalen Vorstellungen und dem Film Paradigma keine Abhängigkeit der frontalen Gehirnaktivierungsmustern in den entsprechenden Situationen von den Persönlichkeitseigenschaften zeigte, kann diese Abhängigkeit der frontalen Asymmetrie von der Persönlichkeit nicht gefunden werden, wenn die Intensität der Situation einen bestimmten Wert überschreitet. Dennoch gab es einen Einfluss der Persönlichkeitseigenschaften in dem virtuellen T-Labyrinth, denn das beobachtbare Verhalten im Labyrinth war persönlichkeitsabhängig. Die praktische Bedeutung dieser Erkenntnisse sind vielfältig und reichen von möglichen objektiven Persönlichkeitstests durch eine Erweiterung des virtuellen Realität Paradigmas bis hin zu klinischen Implikationen für die Behandlung depressiver Patienten, basierend auf der Veränderungen der lateralisierten Frontalhirnaktivierungsmustern um motivationale Aspekte zu verändern, oder aber der für Änderungen bilateraler frontale Gehirnaktivierung, um den Antrieb und die Handlungsbereitschaft bei Patienten zu verändern. Schließlich kann mittels der Limitierung des „capability models“ zusätzliche Variation in den verschiedenen Befunden zur frontalen Asymmetrie erklärt werden, indem man die Intensität der Zustandsmanipulation berücksichtigt. KW - Electroencephalographie KW - Motivation KW - Frontal asymmetry KW - virtual reality T-maze KW - reinforcement sensitivity theory KW - bilateral BAS model KW - EEG KW - virtuelle Realität KW - Alpha-Aktivität Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-143280 ER - TY - THES A1 - Lenhart, Jan Niklas Peter T1 - Learning Words from Stories: How Method of Story Delivery and Questioning Styles Influence Children’s Vocabulary Learning T1 - Worterwerb aus Geschichten: Wie die Methode der Geschichtendarbietung und Fragestile das kindliche Wortlernen beeinflussen N2 - Sharing stories has become increasingly popular as a means to foster young children’s vocabulary development and to target early vocabulary gaps between disadvantaged children and their better-equipped peers. Although, in general, the beneficial effects of story interventions have been demonstrated (Marulis & Neuman, 2010, 2013), many factors possibly moderating those effects – including method of story delivery as well as questioning style – merit further examination (R. L. Walsh & Hodge, 2018). The aim of the present doctoral thesis was to test predictions from different theories on methods of story delivery and questioning styles regarding their influence on children’s vocabulary learning from listening to stories. Method of story delivery refers to the general way of how stories can be conveyed, with reading aloud and free-telling of stories (i.e., the narrator telling stories without reading from text) representing different approaches that are assumed to differ regarding narrator behavior and linguistic complexity. Questioning styles refer to different combinations of questions’ cognitive demand level (low vs. high vs. scaffolding-like increasing from low to high) and/or placement (within the story vs. after the story) during story sessions. In the present doctoral thesis, the first two studies (Studies 1 and 2) compared reading aloud and free-telling of stories as different methods of story delivery. Study 1 consisted of two experiments utilizing a within-subjects design with 3- to 6-year-old preschool children (Nexperiment1 = 83; Nexperiment2 = 48) listening to stories once either presented read aloud or freely told. Study 2 extended the first study by examining effects on story comprehension and additionally including audiotape versions of both story-delivery methods as experimental conditions, which allowed separating narrator behavior and linguistic complexity. With the second study being conducted as a between-subjects design, 4- to 6-year-old preschool children (N = 60) heard each of the stories twice, but listened only to one type of story delivery. The results of Study 1 indicated that no differences between methods of story delivery regarding word learning and child engagement were observable when narrator behavior in terms of eye contact and gesticulation was similar. However in Study 2, when free-telling was operationalized in a more naturalistic way, marked by higher rates of eye contact and gesticulation, it resulted in better child engagement, greater vocabulary learning, and better story comprehension than reading aloud. In contrast, as indicated by both studies, differences in linguistic complexity had no short-term impact on learning and comprehension. The studies, however, could not isolate the influence of eye contact versus gesture usage and could not distinguish between different types of gestures. The second set of studies (Studies 3 and 4) contrasted the effects of different types of question demand level (low vs. high vs. scaffolding-like increasing from low to high) and placement (within the story vs. after the story) and examined potential interactions with children’s cognitive skills. In one-to-one reading sessions (Study 3; N = 86) or small-group reading sessions (Study 4; N = 91) 4- to 6-year-old preschool children heard stories three times marked by different types of question demand level and placement or simply read-aloud without questions. The adult narrators encouraged the children to reflect on and answer questions (Study 1) and to give feedback on other children’s comments (Study 2), but in both studies, to ensure fidelity of the experimental conditions, the adult narrators did not provide corrective feedback or elaborate on the children’s answers. Results on measures of different facets of word learning indicated that asking questions resulted in better vocabulary learning than simply reading the stories aloud. However, in contrast to proposed hypotheses and across both studies, different types of question demand level and placement did not exert differential effects and they did not interact with children’s general vocabulary knowledge or memory skills. Thus, both studies suggest that those two types of questions features have no impact on children’s vocabulary learning, if questions are not followed up by narrator feedback and elaborations. However, whether different types of question placement and demand level produce differential learning gains through adult-child discussion following different questioning styles has still to be determined. Taken together, the four studies of the present doctoral thesis underline the central role that adults play for successful story sessions with young children not only for engaging children in the story but also for extending and for correcting their utterances. Although the presented studies extend existing knowledge about methods of story delivery and questioning styles during story sessions, further research needs to examine the impact of questioning styles on word learning through subsequent adult-child discussion and to gain a better understanding of the role of nonverbal narrator behavior during story delivery. N2 - Die Verwendung von Geschichten zur Sprachförderung ist weitverbreitet. Einerseits zielen sie auf eine allgemeine Förderung der Wortschatzentwicklung von Kindern, andererseits sollen mit ihrer Hilfe auch Rückstände in der Wortschatzentwicklung von Risikokindern aufgeholt werden. Während der förderliche Effekt von geschichtenbasierten Interventionen bereits gut dokumentiert ist (Marulis & Neuman, 2010, 2013), besteht eine Forschungslücke zum Einfluss einzelner Faktoren, wie zum Beispiel der allgemeinen Darbietungsart der Geschichten oder dem Einsatz von Fragen (R. L. Walsh & Hodge, 2018). Das Ziel der vorliegenden Dissertation war es, verschiedene Hypothesen in Bezug auf die Effekte unterschiedlicher Darbietungsarten und Fragestile auf den kindlichen Worterwerb durch Geschichten zu untersuchen. Die Darbietungsart bezieht sich in der vorliegenden Arbeit auf die Frage, ob Geschichten vorgelesen oder frei erzählt vorgetragen werden. Es wird davon ausgegangen, dass sich Vorlesen und freies Erzählen hinsichtlich des Erzählerverhaltens und der sprachlichen Komplexität unterscheiden. Bei den Fragestilen handelt es sich um Unterschiede im kognitiven Anspruchsniveau (niedrig vs. hoch vs. „scaffolding“-artig aufsteigend von niedrig zu hoch) und bei der Platzierung der Fragen (innerhalb der Geschichte vs. nach der Geschichte). In den ersten beiden Studien der vorliegenden Dissertation (Studien 1 und 2) wurden Vorlesen und freies Erzählen hinsichtlich ihrer Effekte untersucht und verglichen. Studie 1 bestand aus zwei Experimenten und war als Messwiederholungsdesign konzipiert. Drei- bis sechsjährige Kindergartenkinder (NExperiment1 = 83; NExperiment2 = 48) bekamen Geschichten je einmal vorgelesen oder frei erzählt präsentiert. In Studie 2 wurde das Design der ersten Studie durch ein Between-Subjects-Format ersetzt und durch den Einbezug eines Geschichtenverständnismaßes sowie durch zwei weitere Experimentalbedingungen, die aus Audioaufnahmen beider Geschichtendarbietungsarten bestanden, erweitert. Letzteres erlaubte es, Unterschiede in der sprachlichen Komplexität zwischen den Darbietungsarten vom Erzählerverhalten experimentell zu trennen. Den vier- bis sechsjährigen Kindergartenkindern (N = 60) wurden die Geschichten jeweils zweimal gemäß der jeweiligen Experimentalbedingung präsentiert. Studie 1 ergab, dass keine Unterschiede zwischen freiem Erzählen und Vorlesen hinsichtlich der kindlichen Aufmerksamkeit und des Wortlernens bestanden, wenn sich die Erzähler beider Bedingungen nicht hinsichtlich des Erzählerverhaltens im Sinne von Augenkontakt und Gestikulation unterschieden. Studie 2 zeigte hingegen, dass eine naturalistischere Operationalisierung des freien Erzählens mit mehr Augenkontakt und Gestikulation zu höherer Aufmerksamkeit, höherem Wortlernen und besserem Geschichtenverständnis führte. Die Ergebnisse aus beiden Studien legen zudem nahe, dass Unterschiede in der sprachlichen Komplexität keinen Einfluss auf die kurzfristigen Lerneffekte hatten. Eine Aussage über die Bedeutung des Augenkontaktes verglichen mit der Gestikulation im Allgemeinen oder mit verschiedenen Arten von Gesten zu treffen, erlauben die beiden Studien aufgrund ihres Designs jedoch nicht. Die letzten beiden Studien der vorliegenden Dissertation (Studien 3 und 4) untersuchten den Einfluss des kognitiven Anspruchsniveaus (niedrig vs. hoch vs. „scaffolding“-artig aufsteigend von niedrig zu hoch) und der Platzierung von Fragen (innerhalb der Geschichte vs. nach der Geschichte) sowie mögliche Interaktionen mit den kognitiven Fähigkeiten der Kinder. Den vier- bis sechsjährigen Kindergartenkindern wurden Geschichten im Einzel- (Studie 3; N = 86) oder Kleingruppensetting (Studie 4; N = 91) jeweils dreimal auf die gleiche Weise dargeboten. Je nach Versuchsbedingung wurden den Kindern die Geschichten mit den unterschiedlichen Fragetypen oder ohne Fragen vorgelesen. In beiden Studien ermunterte der Erzähler die Kinder, über die Fragen nachzudenken und sie zu beantworten. In Studie 2 sollten die Kinder zudem die Beiträge der anderen Kinder aufgreifen und diskutieren. Zur Sicherstellung der internen Validität der Experimentalbedingungen durfte der Erzähler hingegen nur unterstützend tätig werden und sich nicht inhaltlich an der Diskussion beteiligen. Beide Studien ergaben, dass der Einbezug von Fragen hinsichtlich verschiedener Aspekte des Wortlernens einen positiven Einfluss hatte. Im Widerspruch zu unterschiedlichen Hypothesen zeigten sich jedoch weder Lernunterschiede in Abhängigkeit vom kognitiven Anspruchsniveau oder der Platzierung von Fragen, noch ergab sich eine Interaktion mit dem Wortschatz oder der Gedächtnisleistung der Kinder. Die Ergebnisse beider Studien legen daher nahe, dass Unterschiede im kognitiven Anspruchsniveau und bei der Platzierung von Fragen keinen Einfluss auf das kindliche Wortlernen haben – zumindest, wenn den Fragen und den Antworten der Kinder keine weiterführenden Erklärungen und Verbesserungen durch den Erzähler folgen. Es ist jedoch noch nicht geklärt, ob eine durch verschiedene Fragetypen ausgelöste differenzielle Interaktion zwischen Kind und Erzähler zu unterschiedlichen Lernzuwächsen führen könnte. Zusammengefasst betonen die vier Studien der vorliegenden Dissertation die zentrale Rolle des Erzählers für den Erfolg von geschichtenbasierten Interventionen. Der Erzähler muss nicht nur die Kinder in die Geschichte involvieren, sondern sollte auch die kindlichen Äußerungen korrigieren und weiterentwickeln, um Geschichten als besonders förderliche Lernumwelt zu gestalten. Die vorliegenden Studien erweitern somit das Wissen hinsichtlich der Gestaltung von Geschichten durch Fragen und durch unterschiedliche Darbietungsarten. Es bleibt jedoch zukünftiger Forschung vorbehalten, insbesondere die Bedeutung verschiedener Fragetypen für differenzielle Erzähler-Kind-Diskussionen sowie die Rolle des nonverbalen Erzählerverhaltens weiter zu untersuchen. KW - Sprachförderung KW - Erzählen KW - Vorschulkind KW - book reading KW - reading aloud KW - storytelling KW - vocabulary development KW - Vorlesen KW - Wortschatzerwerb Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-185919 ER - TY - JOUR A1 - Acqualagna, Laura A1 - Botrel, Loic A1 - Vidaurre, Carmen A1 - Kübler, Andrea A1 - Blankertz, Benjamin T1 - Large-Scale Assessment of a Fully Automatic Co-Adaptive Motor Imagery-Based Brain Computer Interface JF - PLoS ONE N2 - In the last years Brain Computer Interface (BCI) technology has benefited from the development of sophisticated machine leaning methods that let the user operate the BCI after a few trials of calibration. One remarkable example is the recent development of co-adaptive techniques that proved to extend the use of BCIs also to people not able to achieve successful control with the standard BCI procedure. Especially for BCIs based on the modulation of the Sensorimotor Rhythm (SMR) these improvements are essential, since a not negligible percentage of users is unable to operate SMR-BCIs efficiently. In this study we evaluated for the first time a fully automatic co-adaptive BCI system on a large scale. A pool of 168 participants naive to BCIs operated the co-adaptive SMR-BCI in one single session. Different psychological interventions were performed prior the BCI session in order to investigate how motor coordination training and relaxation could influence BCI performance. A neurophysiological indicator based on the Power Spectral Density (PSD) was extracted by the recording of few minutes of resting state brain activity and tested as predictor of BCI performances. Results show that high accuracies in operating the BCI could be reached by the majority of the participants before the end of the session. BCI performances could be significantly predicted by the neurophysiological indicator, consolidating the validity of the model previously developed. Anyway, we still found about 22% of users with performance significantly lower than the threshold of efficient BCI control at the end of the session. Being the inter-subject variability still the major problem of BCI technology, we pointed out crucial issues for those who did not achieve sufficient control. Finally, we propose valid developments to move a step forward to the applicability of the promising co-adaptive methods. KW - large-scale assessment KW - Brain Computer Interface KW - machine leaning KW - fully automatic KW - co-adaptive Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-167230 VL - 11 IS - 2 ER - TY - JOUR A1 - Krause, Lisa-Marie A1 - Herbort, Oliver T1 - Just visual context or part of the gesture? The role of arm orientation in bent pointing interpretation JF - Acta Psychologica N2 - Pointing gestures can take on different shapes. For example, people often point with a bent wrist at a referent that is occluded by another object. We hypothesized that while the extrapolation of the index finger is the most important visual cue in such bent pointing gestures, arm orientation is affecting interpretations as well. We tested two competing hypotheses. First, the arm could be processed as a less reliable but additional direction cue also indicating the referent. Consequently, the index finger extrapolation would be biased towards the arm direction (assimilation effect). Second, the arm could be perceived as visual context of the index finger, leading to an interpretation that is repulsed from the arm direction (contrast effect). To differentiate between both, we conducted two experiments in which arm and finger orientation of a virtual pointer were independently manipulated. Participants were asked to determine the pointed-at location. As expected, participants based their interpretations on the extrapolation of the index finger. In line with the second hypothesis, the more the arm was oriented upwards, the lower the point was interpreted and vice versa. Thus, interpretation pattern indicated a contrast effect. Unexpectedly, gestures with aligned arm and index finger deviated from the general contrast effect and were interpreted linearly compared to bent gestures. In sum, the experiments show that interpretations of bent pointing gestures are not only based on the direction of the index finger but also depend on the arm orientation and its relationship to the index finger orientation. KW - pointing interpretation KW - non-verbal communication KW - bent pointing KW - contrast effect Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-349839 VL - 241 ER - TY - THES A1 - Stemmler, Thomas T1 - Just do it! Guilt as a moral intuition to cooperate - A parallel constraint satisfaction approach T1 - Schuld als moralische Intuition zu Kooperation - ein parallel constraint satisfaction Ansatz N2 - Nach langer Dominanz rationaler Urteils- und Entscheidungsmodelle in der Moralpsychologie (z.B. Kohlberg, 1969) besteht seit einiger Zeit verstärktes Interesse an intuitiven, emotionalen Einflüssen auf moralische Urteile und Entscheidungen (z.B. Greene, 2007; Haidt, 2001; Monin, Pizarro, & Beer, 2007). Der Einfluss von Emotionen auf moralische Entscheidungen wird in der Literatur u.a. mittels heuristischer, non-kompensatorischer Informationsverarbeitung erklärt (z.B. Sinnott-Armstrong, Young, & Cushman, 2010; Sunstein, 2005; Tobler, Kalis, & Kalenscher, 2008). Hierbei wird jedoch der Prozess der Emotionsentstehung ignoriert. Appraisaltheorien postulieren, dass Emotionen durch die Inkohärenz (oder Diskrepanz) von Verhaltensrepräsentationen wie Zielen und Aktionen entstehen (Moors, 2009). Emotionsentstehung und (intuitives) Entscheiden kann in einem Modell vereint werden sobald man bei beiden Prozessen eine konnektionistische Struktur (z.B. Barnes & Thagard, 1996) zugrunde legt. Die vorliegende Arbeit kontrastiert beide Perspektiven intuitiv-emotionalen Entscheidens im Hinblick auf Schuld und Kooperation. N2 - After a long dominance of rational models of judgment and decision-making in moral psychology (e.g. Kohlberg, 1969) there is now a strong interest in how intuitions and emotions influence moral judgments and decisions (e.g. Greene, 2007; Haidt, 2001; Monin, Pizarro, & Beer, 2007). In the literature, the influence of emotions on moral decisions is explained by heuristic or non-compensatory information processing (e.g. Sinnott-Armstrong, Young, & Cushman, 2010; Sunstein, 2005; Tobler, Kalis, & Kalenscher, 2008). However, the process of emotion elicitation is ignored. Appraisal theories postulate that emotion elicitation is due to the incoherence (or discrepancy) of behavioral representations like goals and actions (Moors, 2009). Emotion elicitation and intuitive decision-making can be combined if both processes apply a connectionist information processing structure (e.g. Barnes & Thagard, 1996). The current work contrasts both perspectives of intuitive-emotional decision-making with respect to guilt and cooperation. KW - Kooperation KW - Schuldgefühl KW - Moralisches Handeln KW - parallel constraint satisfaction KW - Intuition KW - Entscheidung KW - Gefühl KW - Informationsverarbeitung KW - morality KW - guilt KW - cooperation KW - emotion KW - intuition KW - decision-making KW - parallel constraint satisfaction Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-74873 ER - TY - JOUR A1 - Rodrigues, Johannes A1 - Liesner, Marvin A1 - Reutter, Mario A1 - Mussel, Patrick A1 - Hewig, Johannes T1 - It's costly punishment, not altruistic: Low midfrontal theta and state anger predict punishment JF - Psychophysiology N2 - Punishment in economic games has been interpreted as “altruistic.” However, it was shown that punishment is related to trait anger instead of trait altruism in a third‐party dictator game if compensation is also available. Here, we investigated the influence of state anger on punishment and compensation in the third‐party dictator game. Therefore, we used movie sequences for emotional priming, including the target states anger, happy, and neutral. We measured the Feedback‐Related Negativity (FRN) and midfrontal theta band activation, to investigate an electro‐cortical correlate of the processing of fair and unfair offers. Also, we assessed single‐trial FRN and midfrontal theta band activation as a predictor for punishment and compensation. We found that punishment was linked to state anger. Midfrontal theta band activation, which has previously been linked to altruistic acts and cognitive control, predicted less punishment. Additionally, trait anger led to enhanced FRN for unfair offers. This led to the interpretation that the FRN depicts the evaluation of fairness, while midfrontal theta band activation captures an aspect of cognitive control and altruistic motivation. We conclude that we need to redefine “altruistic punishment” into “costly punishment,” as no direct link of altruism and punishment is given. Additionally, midfrontal theta band activation complements the FRN and offers additional insights into complex responses and decision processes, especially as a single trial predictor.  KW - altruistic compensation KW - costly punishment KW - FRN KW - midfrontal theta activation KW - third party dictator game Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-214696 VL - 57 IS - 8 ER - TY - JOUR A1 - Bilalic, Merim A1 - Kiesel, Andrea A1 - Pohl, Carsten A1 - Erb, Michael A1 - Grodd, Wolfgang T1 - It Takes Two–Skilled Recognition of Objects Engages Lateral Areas in Both Hemispheres JF - PLoS ONE N2 - Our object recognition abilities, a direct product of our experience with objects, are fine-tuned to perfection. Left temporal and lateral areas along the dorsal, action related stream, as well as left infero-temporal areas along the ventral, object related stream are engaged in object recognition. Here we show that expertise modulates the activity of dorsal areas in the recognition of man-made objects with clearly specified functions. Expert chess players were faster than chess novices in identifying chess objects and their functional relations. Experts’ advantage was domain-specific as there were no differences between groups in a control task featuring geometrical shapes. The pattern of eye movements supported the notion that experts’ extensive knowledge about domain objects and their functions enabled superior recognition even when experts were not directly fixating the objects of interest. Functional magnetic resonance imaging (fMRI) related exclusively the areas along the dorsal stream to chess specific object recognition. Besides the commonly involved left temporal and parietal lateral brain areas, we found that only in experts homologous areas on the right hemisphere were also engaged in chess specific object recognition. Based on these results, we discuss whether skilled object recognition does not only involve a more efficient version of the processes found in non-skilled recognition, but also qualitatively different cognitive processes which engage additional brain areas KW - Expert chess players KW - Anterior inferotemporal cortex KW - Deliberate practice KW - Neural basis KW - Function knowledge KW - Parietal cortex KW - Macaque monkey KW - Temporal areas KW - Memory KW - Task Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-176935 VL - 6 IS - 1 ER - TY - JOUR A1 - Franz, David J. T1 - Is Applied Ethics Morally Problematic? JF - Journal of Academic Ethics N2 - This paper argues that applied ethics can itself be morally problematic. As illustrated by the case of Peter Singer’s criticism of social practice, morally loaded communication by applied ethicists can lead to protests, backlashes, and aggression. By reviewing the psychological literature on self-image, collective identity, and motivated reasoning three categories of morally problematic consequences of ethical criticism by applied ethicists are identified: serious psychological discomfort, moral backfiring, and hostile conflict. The most worrisome is moral backfiring: psychological research suggests that ethical criticism of people’s central moral convictions can reinforce exactly those attitudes. Therefore, applied ethicists unintentionally can contribute to a consolidation of precisely those social circumstances that they condemn to be unethical. Furthermore, I argue that the normative concerns raised in this paper are not dependent on the commitment to one specific paradigm in moral philosophy. Utilitarianism, Aristotelian virtue ethics, and Rawlsian contractarianism all provide sound reasons to take morally problematic consequences of ethical criticism seriously. Only the case of deontological ethics is less clear-cut. Finally, I point out that the issues raised in this paper provide an excellent opportunity for further interdisciplinary collaboration between applied ethics and social sciences. I also propose strategies for communicating ethics effectively. KW - consequences of ethical criticism KW - applied ethics KW - motivated reasoning KW - Peter Singer KW - interdisciplinary moral philosophy KW - moral reasoning Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-269095 SN - 1572-8544 VL - 20 ER - TY - THES A1 - Lange [né Söhnchen], Bastian T1 - Influence of social anxiety on social attention and corresponding changes in action patterns T1 - Einfluss der sozialen Angst auf die soziale Aufmerksamkeit und korrespondierende Veränderungen im Bewegungsverhalten N2 - People who suffer Social Anxiety Disorder (SAD) are under substantial personal distress and endure impaired normal functioning in at least some parts of everyday life. Next, to the personal suffering, there are also the immense public health costs to consider, as SAD is the most common anxiety disorder and thereby one of the major psychiatric disorders in general. Over the last years, fundamental research found cognitive factors as essential components in the development and maintenance of social fears. Following leading cognitive models, avoidance behaviors are thought to be an important factor in maintaining the developed social anxieties. Therefore, this thesis aims to deepen the knowledge of avoidance behaviors exhibited in social anxiety, which allows to get a better understanding of how SAD is maintained. To reach this goal three studies were conducted, each using a different research approach. In the first study cutting-edge Virtual Reality (VR) equipment was used to immerse participants in a virtual environment. In this virtual setting, High Socially Anxious (HSA) individuals and matched controls had to execute a social Approach-Avoidance Task (AAT). In the task, participants had to pass a virtual person displaying neutral or angry facial expressions. By using a highly immersive VR apparatus, the first described study took the initial step in establishing a new VR task for the implicit research on social approach-avoidance behaviors. By moving freely through a VR environment, participants experienced near real-life social situations. By tracking body and head movements, physical and attentional approach-avoidance processes were studied. The second study looked at differences in attention shifts initiated by gaze-cues of neutral or emotional faces. Comparing HSA and controls, enabled a closer look at attention re-allocation with special focus on social stimuli. Further, context conditioning was used to compare task performance in a safe and in a threatening environment. Next to behavioral performance, the study also investigated neural activity using Electroencephalography (EEG) primarily looking at the N2pc component. In the third study, eye movements of HSA and Low Socially Anxious (LSA) were analyzed using an eye-tracking apparatus while participants executed a computer task. The participants’ tasks consisted of the detection of either social or non-social stimuli in complex visual settings. The study intended to compare attention shifts towards social components between these two tasks and how high levels of social anxiety influence them. In other words, the measurements of eye movements enabled the investigation to what extent social attention is task-dependent and how it is influenced by social anxiety. With the three described studies, three different approaches were used to get an in-depth understanding of what avoidance behaviors in SAD are and to which extent they are exhibited. Overall, the results showed that HSA individuals exhibited exaggerated physical and attentional avoidance behavior. Furthermore, the results highlighted that the task profoundly influences attention allocation. Finally, all evidence indicates that avoidance behaviors in SAD are exceedingly complex. They are not merely based on the fear of a particular stimulus, but rather involve highly compound cognitive processes, which surpass the simple avoidance of threatening stimuli. To conclude, it is essential that further research is conducted with special focus on SAD, its maintaining factors, and the influence of the chosen research task and method. N2 - Menschen, die unter einer sozialen Angststörung leiden, stehen unter erheblicher persönlicher Belastung und leiden teilweise unter Beeinträchtigung der normalen Funktionsfähigkeit. Neben den persönlichen Belastungen sind auch die immensen Kosten für das Gesundheitswesen zu berücksichtigen, da die soziale Angststörung eine der häufigsten psychiatrischen Störungen ist. Die Grundlagenforschung hat kognitive Faktoren als wesentliche Komponenten bei der Entwicklung und Aufrechterhaltung sozialer Ängste identifiziert. Nach führenden kognitiven Modellen wird angenommen, dass Vermeidungsverhalten ein wichtiger Faktor für die Aufrechterhaltung der entwickelten sozialen Ängste ist. Die vorliegende Arbeit hatte als Ziel, einen tieferen Einblick in das Vermeidungs- verhalten von sozial Ängstlichen zu bekommen, um ein umfangreicheres Verständnis für die Aufrechterhaltung von sozialen Angststörungen zu bekommen. Um dieses Ziel zu erreichen, wurden drei Studien durchgeführt. In der ersten Studie wurde modernstes Virtual Reality (VR) Equipment eingesetzt, um die Versuchsteilnehmer in eine virtuelle Umgebung eintauchen zu lassen. In dieser virtuellen Realität mussten Hoch-Sozialängstliche (HSÄ) und Kontrollprobanden einen sozialen Approach-Avoidance Task (AAT) durchführen. In dieser Aufgabe mussten die Teilnehmer eine virtuelle Person passieren, welche einen neutralen oder wüten- den Gesichtsausdruck zeigte. Mit der Verwendung eines hochgradig immersiven VR Systems, unternahm die Studie den ersten Schritt zur Etablierung einer neuartigen VR Aufgabe für die implizite Erforschung des Verhaltens bei sozialer Vermeidung. Mithilfe von nahezu unbeschränkter Bewegung, durch eine virtuelle Umgebung, er- lebten die Teilnehmer realitätsnahe soziale Situationen. Die zweite Studie untersuchte Unterschiede in der Aufmerksamkeitsverschiebung, die durch die Beobachtung von neutralen oder emotionalen Gesichtern aus- gelöst wurde. Hierbei wurde das Verhalten von HSÄ und Niedrig-Sozialängstliche (NSÄ) verglichen, um den Einfluss von sozialer Ängstlichkeit bei Neuzuweisung von Aufmerksamkeit in Bezug auf soziale Reize zu messen. Zusätzlich wurde Kontextkonditionierung verwendet, um die Aufmerksamkeitsverschiebung in einer sicheren und einer bedrohlichen Umgebung zu vergleichen. Neben dem Aufmerksamkeitsverhalten untersuchte die Studie auch die neuronale Aktivität mittels Electroencephalography (EEG), wobei vor allem die N2pc-Komponente untersucht wurde. In der dritten Studie wurden die Augenbewegungen von HSÄ und NSÄ ana- lysiert, während die Teilnehmer eine Computeraufgabe durchführten. Zu den Auf- gaben, gehörte das Erkennen von sozialen oder nicht-sozialen Reizen in komplexen visuellen Darstellungen. Ziel der Studie war es, Aufmerksamkeitsverschiebungen in Richtung sozialer Komponenten zwischen den beiden Aufgaben zu vergleichen. Darüber hinaus wurde untersucht, welchen Einfluss die soziale Angst auf diesen Prozess hat. Mit anderen Worten, die Messungen der Augenbewegungen ermöglichte zu untersuchen, inwieweit die soziale Aufmerksamkeit aufgabenabhängig ist und wie diese Abhängigkeit von sozialer Angst beeinflusst wird. Mit den drei Studien wurden drei unterschiedliche Ansätze verwendet, um besser zu verstehen, welches Vermeidungsverhalten Individuen mit sozialer Angststörung ausführen und wie ausgeprägt dieses ist. Insgesamt zeigen die Ergebnisse, dass HSÄ eine verstärkte Vermeidung im Verhalten und Aufmerksamkeit aufweisen. Darüber hinaus zeigen die Resultate, dass die instruierte Aufgabe einen wesentlichen Einfluss auf die Aufmerksamkeitsverteilung hat. Zusammenfassend deuten alle Ergebnisse darauf hin, dass das Vermeidungsverhalten in der sozialen Angststörung sehr komplex ist. Dieses basiert hierbei nicht einfach nur auf der Angst vor einem bestimmten Reiz, sondern beinhaltet hochkomplexe kognitive Prozesse, die über eine einfache Flucht-Reaktionen hinausgehen. Abschließend ist es unerlässlich, dass weitere Forschungen über die soziale Angststörung, ihre Erhaltungsfaktoren und den Einfluss der gewählten Forschungsaufgabe und -methode durchgeführt werden. KW - Sozialangst KW - Virtuelle Realität KW - Elektroencephalographie KW - Augenbewegung KW - Vermeidungsreaktion KW - Kontextkonditionierung KW - Virtuelle Realität KW - Elektroencephalographie KW - Augenbewegung KW - Vermeidungsverhalten Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-189001 ER - TY - JOUR A1 - Stegmann, Yannik A1 - Andreatta, Marta A1 - Pauli, Paul A1 - Keil, Andreas A1 - Wieser, Matthias J. T1 - Investigating sustained attention in contextual threat using steady‐state VEPs evoked by flickering video stimuli JF - Psychophysiology N2 - Anxiety is characterized by anxious anticipation and heightened vigilance to uncertain threat. However, if threat is not reliably indicated by a specific cue, the context in which threat was previously experienced becomes its best predictor, leading to anxiety. A suitable means to induce anxiety experimentally is context conditioning: In one context (CTX+), an unpredictable aversive stimulus (US) is repeatedly presented, in contrast to a second context (CTX−), in which no US is ever presented. In this EEG study, we investigated attentional mechanisms during acquisition and extinction learning in 38 participants, who underwent a context conditioning protocol. Flickering video stimuli (32 s clips depicting virtual offices representing CTX+/−) were used to evoke steady‐state visual evoked potentials (ssVEPs) as an index of visuocortical engagement with the contexts. Analyses of the electrocortical responses suggest a successful induction of the ssVEP signal by video presentation in flicker mode. Furthermore, we found clear indices of context conditioning and extinction learning on a subjective level, while cortical processing of the CTX+ was unexpectedly reduced during video presentation. The differences between CTX+ and CTX− diminished during extinction learning. Together, these results indicate that the dynamic sensory input of the video presentation leads to disruptions in the ssVEP signal, which is greater for motivationally significant, threatening contexts. KW - anxiety KW - EEG KW - oscillation KW - threat KW - time frequency analyses KW - visual processes Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-312430 VL - 60 IS - 5 ER - TY - THES A1 - Karageorgos, Panagiotis T1 - Investigating Reading Fluency in German Primary School Children: Interplay of Word Reading Accuracy, Speed, and Prosody T1 - Untersuchung der Leseflüssigkeit bei deutschen Grundschulkindern: Zusammenspiel von Wortlesegenauigkeit, -geschwindigkeit und Prosodie N2 - Reading skills are among the most important basic skills in society. However, not all readers are able to adequately understand texts or decode individual words. Findings from the Progress in International Reading Literacy Study (PIRLS; German: IGLU) show that about one fifth of fourth graders can only establish coherence at the local level, and in some cases they only have a rudimentary understanding of the text they read (Bremerich-Vos et al., 2017). In addition, these reading deficits persist and have a negative impact on academic and professional success (Jimerson, 1999). Therefore, identifying the causes of these deficits and creating opportunities for interventions at an early stage is an important research objective. The aim of this dissertation was to examine the relationship between the aspects of reading fluency and their influence on reading comprehension. Despite the increasing scientific interest in reading fluency in recent years, a research gap still exists in the relationship between word recognition accuracy and both speed and the relevance of prosodic patterns for reading comprehension. Study 1 investigated whether German fourth graders (N = 826) were required to reach a certain word-recognition accuracy threshold before their word-recognition speed improved. In addition, a sub-sample (n = 170) with a pre-/posttest design was examined to assess the extent that the existing word-recognition accuracy can influence the effects of a syllable-based reading intervention on word-recognition accuracy and word-recognition speed. Results showed that word-recognition speed improved after children achieved a word-recognition accuracy of 71%. A positive intervention effect was also found on word-recognition accuracy for children who were below the 71% threshold before the intervention, whereas the intervention effect on word-recognition speed was positive for all children. However, a positive effect on reading comprehension was only found for children who were above the 71% threshold before the intervention. Study 2 investigated the relationship between word-recognition accuracy threshold and word-recognition speed shown in the first study in a longitudinal design with German students (N = 1,095). Word-recognition accuracy and speed were assessed from the end of Grade 1 to 4, whereas reading comprehension was assessed from the end of Grade 2 to 4. The results showed that the developmental trajectories of word recognition speed and reading comprehension were steeper in children who reached the word-recognition accuracy threshold by the end of the first grade than in children who later reached or had not reached this threshold. In Study 3, recurrence analysis (RQA) was used to extract prosodic patterns from reading recordings of struggling and skilled readers in the second (n = 67) and fourth grade (n = 69) and was used for the classification into struggling and skilled readers. In addition, the classification based on the prosodic patterns from the recurrence quantification analysis was compared with the classification of prosodic features from the manual transcription of the reading recordings. The results showed that second-grade struggling readers have lengthier pauses within or between words and take more time between pauses on average, whereas fourth-grade struggling readers spend more time between recurring stresses and have multiple diverse patterns in pitch and more recurring accents. Although the recurrence analysis had a good goodness of fit and provided additional information about the relationship of prosody with reading comprehension, the model using prosodic features from transcription had a better fit. In summary, the three studies in this dissertation provide four important insights into reading fluency in German. First, a threshold in word-recognition accuracy must be achieved before word-recognition speed improves. Second, the earlier this accuracy level is reached, the greater the gain in word-recognition speed and reading comprehension. Third, the intervention effects of a primary school reading intervention are influenced by the accuracy level. Fourth, although incorrect pauses within or between words play an important role in identifying and describing struggling readers in second grade, the importance of prosodic patterns increases in fourth grade. N2 - Lesefähigkeiten zählen zu den wichtigsten Grundfertigkeiten in der heutigen Gesellschaft. Jedoch gelingt es nicht allen Lesern und Leserinnen Texte angemessen zu verstehen oder einzelne Wörter zu dekodieren. Erkenntnisse der Internationale Grundschul-Lese-Untersuchung (PIRLS; Deutsch: IGLU) belegen, dass etwa ein Fünftel der Viertklässler und Viertklässlerinnen Kohärenz nur auf lokaler Ebene herstellen können und in manchen Fällen nur über ein rudimentäres Verständnis des gelesenen Textes verfügen (Bremerich-Vos et al., 2017). Außerdem bleiben diese Lesedefizite bestehen und haben einen negativen Einfluss auf den schulischen und beruflichen Erfolg (Jimerson, 1999). Deshalb ist es wichtig die Ursachen dieser Defizite zu identifizieren und frühzeitig Möglichkeiten für Interventionen zu schaffen. Ziel der vorliegenden Dissertation war es, den Zusammenhang zwischen den Teilaspekten der Leseflüssigkeit und deren Einfluss auf das Leseverständnis näher zu untersuchen. Trotz der zunehmenden wissenschaftlichen Beschäftigung mit der Leseflüssigkeit in den letzten Jahren, besteht hier eine Forschungslücke sowohl bezüglich des Zusammenhangs zwischen Worterkennungsgenauigkeit und -geschwindigkeit als auch bezüglich der Relevanz prosodischer Muster für das Leseverständnis. In Studie 1 wurde untersucht, ob deutsche Viertklässler und Viertklässlerinnen (N = 826) eine bestimmte Worterkennungsgenauigkeitsschwelle erreichen müssen, bevor sich ihre Worterkennungsgeschwindigkeit verbessert. Darüber hinaus wurde in einer Teilstichprobe (n = 170) mit einem Prä-/Posttest Design untersucht, inwiefern die bestehende Worterkennungsgenauigkeit die Effekte einer silbenbasierten Leseintervention auf die Worterkennungsgenauigkeit und Worterkennungsgeschwindigkeit beeinflussen kann. Die Ergebnisse zeigten, dass die Worterkennungsgeschwindigkeit sich verbesserte, nachdem die Kinder eine Worterkennungsgenauigkeit von 71% erreichten. Zudem zeigten sich ein positiver Interventionseffekt auf die Worterkennungsgenauigkeit für die Kinder, die vor der Intervention unter der 71% Schwelle lagen. Auf die Worterkennungsgeschwindigkeit ergab sich für alle Kinder ein positiver Interventionseffekt. Auf das Leseverständnis hingegen zeigte sich nur für die Kinder, die vor der Intervention über der 71% Schwelle lagen, ein positiver Effekt. Studie 2 untersuchte den in der ersten Studie aufgezeigten Zusammenhang zwischen Worterkennungsgenauigkeitsschwelle und Worterkennungsgeschwindigkeit in einem längsschnittlichen Design mit deutschen Schülerinnen und Schüler (N = 1,095). Die Worterkennungsgenauigkeit und -geschwindigkeit wurden von Ende der Jahrgangsstufe 1 bis Jahrgangsstufe 4 erfasst, während das Leseverständnis von Ende der Jahrgangsstufe 2 bis Jahrgangsstufe 4 erfasst wurde. Die Ergebnisse zeigten, dass die Entwicklungsverläufe der Worterkennungsgeschwindigkeit und des Leseverständnisses bei Kindern, die die Worterkennungsgenauigkeitsschwelle bis Ende der Jahrgangsstufe 1 erreichten, steiler waren als bei Kindern, die diese Schwelle erst später oder gar nicht erreichten. In Studie 3 wurden mit Hilfe der Rekurrenzanalyse (RQA) prosodische Muster aus der Leseaufnahmen leseschwacher und -starker Kinder der Jahrgangsstufe 2 (n = 67) und der Jahrgangsstufe 4 (n = 69) extrahiert und für die Klassifikation in leseschwach und lesestark verwendet. Darüber hinaus wurde die Klassifikation anhand der prosodischen Muster aus der Rekurrenzanalyse mit der Klassifikation prosodischer Merkmale aus der manuellen Transkription der Leseaufnahmen verglichen. Die Ergebnisse zeigten, dass leseschwache Kinder der Jahrgangsstufe 2 längere Pausen innerhalb oder zwischen einzelnen Wörtern machen und im Durchschnitt mehr Zeit zwischen Pausen verstreichen lassen, während leseschwache Kinder der Jahrgangsstufe 4 mehr Zeit zwischen wiederkehrende Betonungen verstreichen lassen, viele Muster bei der Tonhöhe aufweisen und häufiger wiederkehrende Betonungen zeigen. Obwohl die Rekurrenzanalyse eine gute Anpassungsgüte hatte und zusätzliche Informationen zu dem Zusammenhang der Prosodie mit dem Leseverständnis lieferte, ergab sich für das Model mit den prosodischen Merkmalen aus der Transkription eine bessere Anpassungsgüte. Zusammenfassend liefern die drei Studien der vorliegenden Dissertation vier bedeutsame Erkenntnisse bezüglich der Leseflüssigkeit im Deutschen. Erstens: Es gibt eine gewisse Schwelle bei der Worterkennungsgenauigkeit, die erreicht werden muss, bevor sich die Worterkennungsgeschwindigkeit verbessert. Zweitens: Je früher diese Genauigkeitsschwelle erreicht wird, desto stärker ist der Zuwachs in der Worterkennungsgeschwindigkeit und im Leseverständnis. Drittens: Die Interventionseffekte einer Leseintervention in die Grundschule werden von der Genauigkeitsschwelle beeinflusst. Viertens: Während inkorrekte Pausen innerhalb oder zwischen einzelnen Wörtern eine wichtige Rolle für die Identifikation und Beschreibung von leseschwachen Kindern in die Jahrgangsstufe 2 spielen, nimmt die Bedeutung der prosodischen Muster in der Jahrgangsstufe 4 zu. KW - Worterkennung KW - Textverstehen KW - Prosodie KW - word-reading accuracy KW - word-reading speed KW - prosody KW - primary school children Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-292612 ER - TY - CHAP A1 - Ellgring, Johann Heinrich T1 - Introduction. The use of Video for behavior description and intervention N2 - No abstract available Y1 - 1991 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-42019 ER - TY - JOUR A1 - Herbert, Beate M. A1 - Muth, Eric R. A1 - Pollatos, Olga A1 - Herbert, Cornelia T1 - Interoception across Modalities: On the Relationship between Cardiac Awareness and the Sensitivity for Gastric Functions JF - PLoS One N2 - The individual sensitivity for ones internal bodily signals ("interoceptive awareness") has been shown to be of relevance for a broad range of cognitive and affective functions. Interoceptive awareness has been primarily assessed via measuring the sensitivity for ones cardiac signals ("cardiac awareness") which can be non-invasively measured by heartbeat perception tasks. It is an open question whether cardiac awareness is related to the sensitivity for other bodily, visceral functions. This study investigated the relationship between cardiac awareness and the sensitivity for gastric functions in healthy female persons by using non-invasive methods. Heartbeat perception as a measure for cardiac awareness was assessed by a heartbeat tracking task and gastric sensitivity was assessed by a water load test. Gastric myoelectrical activity was measured by electrogastrography (EGG) and subjective feelings of fullness, valence, arousal and nausea were assessed. The results show that cardiac awareness was inversely correlated with ingested water volume and with normogastric activity after water load. However, persons with good and poor cardiac awareness did not differ in their subjective ratings of fullness, nausea and affective feelings after drinking. This suggests that good heartbeat perceivers ingested less water because they subjectively felt more intense signals of fullness during this lower amount of water intake compared to poor heartbeat perceivers who ingested more water until feeling the same signs of fullness. These findings demonstrate that cardiac awareness is related to greater sensitivity for gastric functions, suggesting that there is a general sensitivity for interoceptive processes across the gastric and cardiac modality. KW - anterior insula KW - water load test KW - cephalic-vagal influences KW - emotional experience KW - heartbeat perception KW - myoelectric activity KW - cardiovascular arousal KW - dyspeptic symptoms KW - balloon distension KW - eating disorders Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-130733 VL - 7 IS - 5 ER - TY - JOUR A1 - Farmer, Adam D. A1 - Strzelczyk, Adam A1 - Finisguerra, Alessandra A1 - Gourine, Alexander V. A1 - Gharabaghi, Alireza A1 - Hasan, Alkomiet A1 - Burger, Andreas M. A1 - Jaramillo, Andrés M. A1 - Mertens, Ann A1 - Majid, Arshad A1 - Verkuil, Bart A1 - Badran, Bashar W. A1 - Ventura-Bort, Carlos A1 - Gaul, Charly A1 - Beste, Christian A1 - Warren, Christopher M. A1 - Quintana, Daniel S. A1 - Hämmerer, Dorothea A1 - Freri, Elena A1 - Frangos, Eleni A1 - Tobaldini, Eleonora A1 - Kaniusas, Eugenijus A1 - Rosenow, Felix A1 - Capone, Fioravante A1 - Panetsos, Fivos A1 - Ackland, Gareth L. A1 - Kaithwas, Gaurav A1 - O'Leary, Georgia H. A1 - Genheimer, Hannah A1 - Jacobs, Heidi I. L. A1 - Van Diest, Ilse A1 - Schoenen, Jean A1 - Redgrave, Jessica A1 - Fang, Jiliang A1 - Deuchars, Jim A1 - Széles, Jozsef C. A1 - Thayer, Julian F. A1 - More, Kaushik A1 - Vonck, Kristl A1 - Steenbergen, Laura A1 - Vianna, Lauro C. A1 - McTeague, Lisa M. A1 - Ludwig, Mareike A1 - Veldhuizen, Maria G. A1 - De Couck, Marijke A1 - Casazza, Marina A1 - Keute, Marius A1 - Bikson, Marom A1 - Andreatta, Marta A1 - D'Agostini, Martina A1 - Weymar, Mathias A1 - Betts, Matthew A1 - Prigge, Matthias A1 - Kaess, Michael A1 - Roden, Michael A1 - Thai, Michelle A1 - Schuster, Nathaniel M. A1 - Montano, Nicola A1 - Hansen, Niels A1 - Kroemer, Nils B. A1 - Rong, Peijing A1 - Fischer, Rico A1 - Howland, Robert H. A1 - Sclocco, Roberta A1 - Sellaro, Roberta A1 - Garcia, Ronald G. A1 - Bauer, Sebastian A1 - Gancheva, Sofiya A1 - Stavrakis, Stavros A1 - Kampusch, Stefan A1 - Deuchars, Susan A. A1 - Wehner, Sven A1 - Laborde, Sylvain A1 - Usichenko, Taras A1 - Polak, Thomas A1 - Zaehle, Tino A1 - Borges, Uirassu A1 - Teckentrup, Vanessa A1 - Jandackova, Vera K. A1 - Napadow, Vitaly A1 - Koenig, Julian T1 - International Consensus Based Review and Recommendations for Minimum Reporting Standards in Research on Transcutaneous Vagus Nerve Stimulation (Version 2020) JF - Frontiers in Human Neuroscience N2 - Given its non-invasive nature, there is increasing interest in the use of transcutaneous vagus nerve stimulation (tVNS) across basic, translational and clinical research. Contemporaneously, tVNS can be achieved by stimulating either the auricular branch or the cervical bundle of the vagus nerve, referred to as transcutaneous auricular vagus nerve stimulation(VNS) and transcutaneous cervical VNS, respectively. In order to advance the field in a systematic manner, studies using these technologies need to adequately report sufficient methodological detail to enable comparison of results between studies, replication of studies, as well as enhancing study participant safety. We systematically reviewed the existing tVNS literature to evaluate current reporting practices. Based on this review, and consensus among participating authors, we propose a set of minimal reporting items to guide future tVNS studies. The suggested items address specific technical aspects of the device and stimulation parameters. We also cover general recommendations including inclusion and exclusion criteria for participants, outcome parameters and the detailed reporting of side effects. Furthermore, we review strategies used to identify the optimal stimulation parameters for a given research setting and summarize ongoing developments in animal research with potential implications for the application of tVNS in humans. Finally, we discuss the potential of tVNS in future research as well as the associated challenges across several disciplines in research and clinical practice. KW - transcutaneous vagus nerve stimulation KW - minimum reporting standards KW - guidelines & recommendations KW - transcutaneous auricular vagus nerve stimulation KW - transcutaneous cervical vagus nerve stimulation Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-234346 SN - 1662-5161 VL - 14 ER - TY - JOUR A1 - Vaahtoranta, Enni A1 - Lenhart, Jan A1 - Suggate, Sebastian A1 - Lenhard, Wolfgang T1 - Interactive Elaborative Storytelling: Engaging Children as Storytellers to Foster Vocabulary JF - Frontiers in Psychology N2 - Positive effects of shared reading for children’s language development are boosted by including instruction of word meanings and by increasing interactivity. The effects of engaging children as storytellers on vocabulary development have been less well studied. We developed an approach termed Interactive Elaborative Storytelling (IES), which employs both word-learning techniques and children’s storytelling in a shared-reading setting. To systematically investigate potential benefits of children as storytellers, we contrasted this approach to two experimental groups, an Elaborative Storytelling group employing word-learning techniques but no storytelling by children and a Read-Aloud group, excluding any additional techniques. The study was a 3 × 2 pre-posttest randomized design with 126 preschoolers spanning 1 week. Measured outcomes were receptive and expressive target vocabulary, story memory, and children’s behavior during story sessions. All three experimental groups made comparable gains on target words from pre- to posttest and there was no difference between groups in story memory. However, in the Elaborative Storytelling group, children were the least restless. Findings are discussed in terms of their contribution to optimizing shared reading as a method of fostering language. KW - storytelling KW - shared reading KW - language intervention KW - preschool KW - language development Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-232136 VL - 10 ER - TY - JOUR A1 - Schneider, Norbert A1 - Huestegge, Lynn T1 - Interaction of oculomotor and manual behavior: evidence from simulated driving in an approach–avoidance steering task JF - Cognitive Research: Principles and Implications N2 - Background While the coordination of oculomotor and manual behavior is essential for driving a car, surprisingly little is known about this interaction, especially in situations requiring a quick steering reaction. In the present study, we analyzed oculomotor gaze and manual steering behavior in approach and avoidance tasks. Three task blocks were implemented within a dynamic simulated driving environment requiring the driver either to steer away from/toward a visual stimulus or to switch between both tasks. Results Task blocks requiring task switches were associated with higher manual response times and increased error rates. Manual response times did not significantly differ depending on whether drivers had to steer away from vs toward a stimulus, whereas oculomotor response times and gaze pattern variability were increased when drivers had to steer away from a stimulus compared to steering toward a stimulus. Conclusion The increased manual response times and error rates in mixed tasks indicate performance costs associated with cognitive flexibility, while the increased oculomotor response times and gaze pattern variability indicate a parsimonious cross-modal action control strategy (avoiding stimulus fixation prior to steering away from it) for the avoidance scenario. Several discrepancies between these results and typical eye–hand interaction patterns in basic laboratory research suggest that the specific goals and complex perceptual affordances associated with driving a vehicle strongly shape cross-modal control of behavior. KW - steering KW - driving simulation KW - gaze control KW - visual orientation Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-200419 VL - 4 ER - TY - JOUR A1 - Schneider, Wolfgang A1 - Niklas, Frank T1 - Intelligence and verbal short-term memory/working memory: their interrelationships from childhood to young adulthood and their impact on academic achievement JF - Journal of Intelligence N2 - Although recent developmental studies exploring the predictive power of intelligence and working memory (WM) for educational achievement in children have provided evidence for the importance of both variables, findings concerning the relative impact of IQ and WM on achievement have been inconsistent. Whereas IQ has been identified as the major predictor variable in a few studies, results from several other developmental investigations suggest that WM may be the stronger predictor of academic achievement. In the present study, data from the Munich Longitudinal Study on the Genesis of Individual Competencies (LOGIC) were used to explore this issue further. The secondary data analysis included data from about 200 participants whose IQ and WM was first assessed at the age of six and repeatedly measured until the ages of 18 and 23. Measures of reading, spelling, and math were also repeatedly assessed for this age range. Both regression analyses based on observed variables and latent variable structural equation modeling (SEM) were carried out to explore whether the predictive power of IQ and WM would differ as a function of time point of measurement (i.e., early vs. late assessment). As a main result of various regression analyses, IQ and WM turned out to be reliable predictors of academic achievement, both in early and later developmental stages, when previous domain knowledge was not included as additional predictor. The latter variable accounted for most of the variance in more comprehensive regression models, reducing the impact of both IQ and WM considerably. Findings from SEM analyses basically confirmed this outcome, indicating IQ impacts on educational achievement in the early phase, and illustrating the strong additional impact of previous domain knowledge on achievement at later stages of development. KW - intelligence KW - short-term memory KW - working memory KW - academic achievement KW - domain knowledge KW - LOGIC study Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-198004 SN - 2079-3200 VL - 5 IS - 2 ER - TY - JOUR A1 - Reuss, Heiko A1 - Pohl, Carsten A1 - Kiesel, Andrea A1 - Kunde, Wilfried T1 - Instructed illiteracy reveals expertise-effects on unconscious processing JF - Frontiers in Psychology N2 - We used a new methodological approach to investigate whether top-down influences like expertise determine the extent of unconscious processing. This approach does not rely on preexisting differences between experts and novices, but instructs essentially the same task in a way that either addresses a domain of expertise or not. Participants either were instructed to perform a lexical decision task (expert task) or to respond to a combination of single features of word and non-word stimuli (novel task). The stimuli and importantly also the mapping of responses to those stimuli, however, were exactly the same in both groups. We analyzed congruency effects of masked primes depending on the instructed task. Participants performing the expert task responded faster and less error prone when the prime was response congruent rather than incongruent. This effect was significantly reduced in the novel task, and even reversed when excluding identical prime-target pairs. This indicates that the primes in the novel task had an effect on a perceptual level, but were not able to impact on response activation. Overall, these results demonstrate an expertise-based top-down modulation of unconscious processing that cannot be explained by confounds that are otherwise inherent in comparisons between novices and experts. KW - top-down control KW - expertise KW - masked priming KW - unconscious processing KW - lexical decision task Y1 - 2015 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-125332 VL - 6 IS - 239 ER - TY - JOUR A1 - Eck, Julia A1 - Dignath, David A1 - Kalckert, Andreas A1 - Pfister, Roland T1 - Instant disembodiment of virtual body parts JF - Attention, Perception, & Psychophysics N2 - Evidence from multisensory body illusions suggests that body representations may be malleable, for instance, by embodying external objects. However, adjusting body representations to current task demands also implies that external objects become disembodied from the body representation if they are no longer required. In the current web-based study, we induced the embodiment of a two-dimensional (2D) virtual hand that could be controlled by active movements of a computer mouse or on a touchpad. Following initial embodiment, we probed for disembodiment by comparing two conditions: Participants either continued moving the virtual hand or they stopped moving and kept the hand still. Based on theoretical accounts that conceptualize body representations as a set of multisensory bindings, we expected gradual disembodiment of the virtual hand if the body representations are no longer updated through correlated visuomotor signals. In contrast to our prediction, the virtual hand was instantly disembodied as soon as participants stopped moving it. This result was replicated in two follow-up experiments. The observed instantaneous disembodiment might suggest that humans are sensitive to the rapid changes that characterize action and body in virtual environments, and hence adjust corresponding body representations particularly swiftly. KW - body representation KW - embodiment KW - disembodiment KW - moving rubber hand illusion KW - virtual hand illusion Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-324844 VL - 84 IS - 8 ER - TY - JOUR A1 - Janczyk, Markus A1 - Heinemann, Alexander A1 - Pfister, Roland T1 - Instant attraction: Immediate action-effect bindings occur for both, stimulus- and goal-driven actions N2 - Flexible behavior is only possible if contingencies between own actions and following environmental effects are acquired as quickly as possible; and recent findings indeed point toward an immediate formation of action-effect bindings already after a single coupling of an action and its effect. The present study explored whether these short-term bindings occur for both, stimulus- and goal-driven actions (“forced-choice actions” vs. “free-choice actions”). Two experiments confirmed that immediate action-effect bindings are formed for both types of actions and affect upcoming behavior. These findings support the view that action-effect binding is a ubiquitous phenomenon which occurs for any type of action. KW - Psychologie KW - ideomotor theory KW - action planning KW - free-choice KW - forced-choice KW - action-effects KW - binding Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-76203 ER - TY - JOUR A1 - Ziebell, Philipp A1 - Rodrigues, Johannes A1 - Forster, André A1 - Sanguinetti, Joseph L. A1 - Allen, John JB. A1 - Hewig, Johannes T1 - Inhibition of midfrontal theta with transcranial ultrasound explains greater approach versus withdrawal behavior in humans JF - Brain Stimulation N2 - Highlights • Transcranial ultrasound neuromodulation/stimulation (TUS) is a growing field. • We conducted a double-blind sham-controlled within-subjects large sample TUS study. • Right prefrontal cortex TUS inhibits midfrontal theta electroencephalography (MFT). • TUS MFT inhibition explains greater approach versus withdrawal in a virtual T-maze. • This distinct TUS-MFT-behavior link merits future basic and applied research. Abstract Recent reviews highlighted low-intensity transcranial focused ultrasound (TUS) as a promising new tool for non-invasive neuromodulation in basic and applied sciences. Our preregistered double-blind within-subjects study (N = 152) utilized TUS targeting the right prefrontal cortex, which, in earlier work, was found to positively enhance self-reported global mood, decrease negative states of self-reported emotional conflict (anxiety/worrying), and modulate related midfrontal functional magnetic resonance imaging activity in affect regulation brain networks. To further explore TUS effects on objective physiological and behavioral variables, we used a virtual T-maze task that has been established in prior studies to measure motivational conflicts regarding whether participants execute approach versus withdrawal behavior (with free-choice responses via continuous joystick movements) while allowing to record related electroencephalographic data such as midfrontal theta activity (MFT). MFT, a reliable marker of conflict representation on a neuronal level, was of particular interest to us since it has repeatedly been shown to explain related behavior, with relatively low MFT typically preceding approach-like risky behavior and relatively high MFT typically preceding withdrawal-like risk aversion. Our central hypothesis is that TUS decreases MFT in T-maze conflict situations and thereby increases approach and reduces withdrawal. Results indicate that TUS led to significant MFT decreases, which significantly explained increases in approach behavior and decreases in withdrawal behavior. This study expands TUS evidence on a physiological and behavioral level with a large sample size of human subjects, suggesting the promise of further research based on this distinct TUS-MFT-behavior link to influence conflict monitoring and its behavioral consequences. Ultimately, this can serve as a foundation for future clinical work to establish TUS interventions for emotional and motivational mental health. KW - approach versus withdrawal KW - electroencephalography (EEG) KW - midfrontal theta (MFT) KW - right prefrontal cortex (PFC) KW - transcranial ultrasound neuromodulation/stimulation (TUS) KW - virtual reality Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-349890 VL - 16 IS - 5 ER - TY - JOUR A1 - Ingerslev, Line Ryberg T1 - Inhibited Intentionality: On Possible Self-Understanding in Cases of Weak Agency JF - Frontiers in Psychology N2 - The paper addresses the question of how to approach consciousness in unreflective actions. Unreflective actions differ from reflective, conscious actions in that the intentional description under which the agent knows what she is doing is not available or present to the agent at the moment of acting. Yet, unreflective actions belong to the field in which an agent experiences herself as capable of acting. Some unreflective actions, however, narrow this field and can be characterized by intentionality being inhibited. By studying inhibited intentionality in unreflective actions, the aim of the paper is to show how weaker forms of action urge us to expand our overall understanding of action. If we expand the field of actions such that it encompasses also some of the involuntary aspects of action, we are able to understand how unreflective actions can remain actions and do not fall under the scope of automatic behavior. With the notion of weak agency, the paper thus addresses one aspect of unreflective action, namely, “inhibited intentionality” in which an agent feels a diminished sense of authorship in relation to her possibility for self-understanding. The notion of weak agency clarifies how agency itself remains intact but can involve a process of appropriation of one’s actions as one’s own. With a diachronic account of consciousness in unreflective action, the paper accounts for possible self-understanding in cases where none seems available at the moment of action. KW - unreflective actions KW - habits KW - consciousness KW - action KW - responsibility KW - diachronicity Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-212950 SN - 1664-1078 VL - 11 ER - TY - CHAP A1 - Hommers, Wilfried T1 - Information processing in children's choices among bets N2 - Children's information processing of risky choice alternatives was investigated in two studies without using verbal reports. In Study 1, the ability to integrate the probabilities and the payoffs of simple bets was examined using the rating scale methodology. Children's choices among three of those simple bets were recorded also. By cross-classifying the children's choice and rating behavior it was shown that a three-stage developmental hypothesis of decision making is not sufficient. A four-stage hypothesis is proposed. In Study 2, the influence of enlarging the presented number of alternatives from two to three and the influence of the similarity of the alternatives on children's choice probabilities was examined with those bets. Children's choice behavior was probabilistic and was influenced only by enlarging the presented number of alternatives. These results suggest that a Bayesian approach, based on two probabilistic choice models, should not be applied in order to analyze children's choice behavior. The functional measurement approach is, as was demonstrated in Study 1, a powerful implement to further the understanding of the development of decision making. KW - Kognitive Entwicklung / Informationsverarbeitung / Kind / Informationsintegration Y1 - 1980 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-44169 ER - TY - JOUR A1 - Hommers, Wilfried A1 - Görs, Marijke T1 - Information integration of Kohlbergian thoughts about consensual sex JF - Universitas Psychologica N2 - The unification of two major approaches to moral judgment is the purpose of the present approach. Kohlberg's well-known stage theory assumes a sequence of discrete stages that underlie all moral judgment. Stage theory recognizes the problem of integrating considerations but gives no way to solve such integration, even with information from any one stage. And, of course, the stage concept denies any significant integration from different stages. Thus, research on moral judgment needs to study the integration problem which can be tested within Anderson's theory of information integration. The main purpose of the present study was to extend this unificationist approach to the issue of sexual morality. A novel task presents information from two very different stages. The results showed that in contrast to discreteness the stage informers were positively correlated in punishment judgments of both genders about consensual sex of juveniles. Furthermore, the subjects integrated considerations from those very different stages also in contrast to the hypothesis that only a single stage was operative at any time. KW - Information Integration Theory KW - Kohlberg KW - moral judgment KW - cognition development Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-168487 VL - 15 IS - 3 ER - TY - JOUR A1 - Riepl, Korbinian A1 - Mussel, Patrick A1 - Osinsky, Roman A1 - Hewig, Johannes T1 - Influences of State and Trait Affect on Behavior, Feedback-Related Negativity, and P3b in the Ultimatum Game JF - PLoS One N2 - The present study investigates how different emotions can alter social bargaining behavior. An important paradigm to study social bargaining is the Ultimatum Game. There, a proposer gets a pot of money and has to offer part of it to a responder. If the responder accepts, both players get the money as proposed by the proposer. If he rejects, none of the players gets anything. Rational choice models would predict that responders accept all offers above 0. However, evidence shows that responders typically reject a large proportion of all unfair offers. We analyzed participants’ behavior when they played the Ultimatum Game as responders and simultaneously collected electroencephalogram data in order to quantify the feedback-related negativity and P3b components. We induced state affect (momentarily emotions unrelated to the task) via short movie clips and measured trait affect (longer-lasting emotional dispositions) via questionnaires. State happiness led to increased acceptance rates of very unfair offers. Regarding neurophysiology, we found that unfair offers elicited larger feedback-related negativity amplitudes than fair offers. Additionally, an interaction of state and trait affect occurred: high trait negative affect (subsuming a variety of aversive mood states) led to increased feedback-related negativity amplitudes when participants were in an angry mood, but not if they currently experienced fear or happiness. We discuss that increased rumination might be responsible for this result, which might not occur, however, when people experience happiness or fear. Apart from that, we found that fair offers elicited larger P3b components than unfair offers, which might reflect increased pleasure in response to fair offers. Moreover, high trait negative affect was associated with decreased P3b amplitudes, potentially reflecting decreased motivation to engage in activities. We discuss implications of our results in the light of theories and research on depression and anxiety. KW - emotions KW - ultimatum game KW - fear KW - happiness KW - behavior KW - decision making KW - electroencephalography KW - event-related potentials Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-147386 VL - 7 IS - 11 ER - TY - JOUR A1 - Kirschmann, Nicole A1 - Lenhard, Wolfgang A1 - Suggate, Sebastian T1 - Influences from working memory, word and sentence reading on passage comprehension and teacher ratings JF - Journal of Research in Reading N2 - Reading fluency is a major determinant of reading comprehension but depends on moderating factors such as auditory working memory (AWM), word recognition and sentence reading skills. We investigated how word and sentence reading skills relate to reading comprehension differentially across the first 6 years of schooling and tested which reading variable best predicted teacher judgements. We conducted our research in a rather transparent language, namely, German, drawing on two different data sets. The first was derived from the normative sample of a reading comprehension test (ELFE-II), including 2056 first to sixth graders with readings tests at the word, sentence and text level. The second sample included 114 students from second to fourth grade. The latter completed a series of tests that measured word and sentence reading fluency, pseudoword reading, AWM, reading comprehension, self-concept and teacher ratings. We analysed the data via hierarchical regression analyses to predict reading comprehension and teacher judgements. The impact of reading fluency was strongest in second and third grade, afterwards superseded by sentence comprehension. AWM significantly contributed to reading comprehension independently of reading fluency, whereas basic decoding skills disappeared after considering fluency. Students' AWM and reading comprehension predicted teacher judgements on reading fluency. Reading comprehension judgements depended both on the students' self-concept and reading comprehension. Our results underline that the role of word reading accuracy for reading comprehension quickly diminishes during elementary school and that teachers base their assessments mainly on the current reading comprehension skill. KW - word recognition KW - reading skills KW - reading comprehension KW - teacher assessments KW - passage comprehension Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-258043 VL - 44 IS - 4 ER - TY - JOUR A1 - Kirsch, Wladimir A1 - Herbort, Oliver A1 - Butz, Martin V. A1 - Kunde, Wilfried T1 - Influence of Motor Planning on Distance Perception within the Peripersonal Space N2 - We examined whether movement costs as defined by movement magnitude have an impact on distance perception in near space. In Experiment 1, participants were given a numerical cue regarding the amplitude of a hand movement to be carried out. Before the movement execution, the length of a visual distance had to be judged. These visual distances were judged to be larger, the larger the amplitude of the concurrently prepared hand movement was. In Experiment 2, in which numerical cues were merely memorized without concurrent movement planning, this general increase of distance with cue size was not observed. The results of these experiments indicate that visual perception of near space is specifically affected by the costs of planned hand movements. KW - Psychologie Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-75332 ER - TY - THES A1 - Ewald, Heike T1 - Influence of context and contingency awareness on fear conditioning – an investigation in virtual reality T1 - Der Einfluss von Kontext und Kontingenzbewusstsein auf Furchtkonditionierung – eine Untersuchung in virtueller Realität N2 - Fear conditioning is an efficient model of associative learning, which has greatly improved our knowledge of processes underlying the development and maintenance of pathological fear and anxiety. In a differential fear conditioning paradigm, one initially neutral stimulus (NS) is paired with an aversive event (unconditioned stimulus, US), whereas another stimulus does not have any consequences. After a few pairings the NS is associated with the US and consequently becomes a conditioned stimulus (CS+), which elicits a conditioned response (CR). The formation of explicit knowledge of the CS/US association during conditioning is referred to as contingency awareness. Findings about its role in fear conditioning are ambiguous. The development of a CR without contingency awareness has been shown in delay fear conditioning studies. One speaks of delay conditioning, when the US coterminates with or follows directly on the CS+. In trace conditioning, a temporal gap or “trace interval” lies between CS+ and US. According to existing evidence, trace conditioning is not possible on an implicit level and requires more cognitive resources than delay conditioning. The associations formed during fear conditioning are not exclusively associations between specific cues and aversive events. Contextual cues form the background milieu of the learning process and play an important role in both acquisition and the extinction of conditioned fear and anxiety. A common limitation in human fear conditioning studies is the lack of ecological validity, especially regarding contextual information. The use of Virtual Reality (VR) is a promising approach for creating a more complex environment which is close to a real life situation. I conducted three studies to examine cue and contextual fear conditioning with regard to the role of contingency awareness. For this purpose a VR paradigm was created, which allowed for exact manipulation of cues and contexts as well as timing of events. In all three experiments, participants were guided through one or more virtual rooms serving as contexts, in which two different lights served as CS and an electric stimulus as US. Fear potentiated startle (FPS) responses were measured as an indicator of implicit fear conditioning. To test whether participants had developed explicit awareness of the CS-US contingencies, subjective ratings were collected. The first study was designed as a pilot study to test the VR paradigm as well as the conditioning protocol. Additionally, I was interested in the effect of contingency awareness. Results provided evidence, that eye blink conditioning is possible in the virtual environment and that it does not depend on contingency awareness. Evaluative conditioning, as measured by subjective ratings, was only present in the group of participants who explicitly learned the association between CS and US. To examine acquisition and extinction of both fear associated cues and contexts, a novel cue-context generalization paradigm was applied in the second study. Besides the interplay of cues and contexts I was again interested in the effect of contingency awareness. Two different virtual offices served as fear and safety context, respectively. During acquisition, the CS+ was always followed by the US in the fear context. In the safety context, none of the lights had any consequences. During extinction, a additional (novel) context was introduced, no US was delivered in any of the contexts. Participants showed enhanced startle responses to the CS+ compared to the CS- in the fear context. Thus, discriminative learning took place regarding both cues and contexts during acquisition. This was confirmed by subjective ratings, although only for participants with explicit contingency awareness. Generalization of fear to the novel context after conditioning did not depend on awareness and was observable only on trend level. In a third experiment I looked at neuronal correlates involved in extinction of fear memory by means of functional magnetic resonance imaging (fMRI). Of particular interest were differences between extinction of delay and trace fear conditioning. I applied the paradigm tested in the pilot study and additionally manipulated timing of the stimuli: In the delay conditioning group (DCG) the US was administered with offset of one light (CS+), in the trace conditioning group (TCG) the US was presented 4s after CS+ offset. Most importantly, prefrontal activation differed between the two groups. In line with existing evidence, the ventromedial prefrontal cortex (vmPFC) was activated in the DCG. In the TCG I found activation of the dorsolateral prefrontal cortex (dlPFC), which might be associated with modulation of working memory processes necessary for bridging the trace interval and holding information in short term memory. Taken together, virtual reality proved to be an elegant tool for examining human fear conditioning in complex environments, and especially for manipulating contextual information. Results indicate that explicit knowledge of contingencies is necessary for attitude formation in fear conditioning, but not for a CR on an implicit level as measured by FPS responses. They provide evidence for a two level account of fear conditioning. Discriminative learning was successful regarding both cues and contexts. Imaging results speak for different extinction processes in delay and trace conditioning, hinting that higher working memory contribution is required for trace than for delay conditioning. N2 - Furchtkonditionierung ist ein effizientes Modell für assoziatives Lernen und hat unser Wissen über Prozesse, die der Entstehung und Aufrechterhaltung von pathologischer Furcht und Angst zugrunde liegen, entscheidend vergrößert. In einem differentiellen Furchtkonditionierungparadigma wird ein zunächst neutraler Reiz (NS) gemeinsam mit einem aversiven Ereignis (unbedingter Reiz, US) dargeboten, während ein zweiter Stimulus nicht mit dem Ereignis gepaart wird. Nach mehrmaliger gemeinsamer Darbietung wird der NS mit dem US assoziiert. Dadurch wird er zu einem bedingten Reiz (CS+) und löst eine konditionierte Furchtreaktion (CR) aus. Die Bildung expliziten Wissens über die CS/US-Assoziation während der Konditionierung bezeichnet man als Kontingenzbewusstsein. Befunde über die Rolle dieses Bewusstseins in der Furchtkonditionieung sind uneinheitlich. In Delay-Furchtkonditionierungsstudien konnte die Entwicklung einer CR unabhängig von Kontingenzbewusstsein gezeigt werden. Man spricht von Delay-Konditionierung, wenn der US direkt auf den CS+ folgt. Bei der Trace-Konditionierung liegt zwischen dem CS und dem US ein kurzer zeitlicher Abstand (Trace-Interval). Für Trace-Konditionierung werden mehr kognitive Ressourcen benötigt als für Delay-Konditionierung. Auf einer impliziten Ebene ist Trace-Konditionierung nicht möglich. Die Assoziationen, die während der Furchtkonditionierung gebildet werden, beschränken sich nicht auf Assoziationen zwischen spezifischen Reizen und aversiven Ereignissen. Kontextuelle Reize bilden den Hintergrund des Lernprozesses und spielen sowohl bei der Akquisition als auch bei der Extinktion von Furcht und Angst eine wichtige Rolle. Eine häufige Einschränkung in Furchtkonditionierungsstudien beim Menschen ist der Mangel an ökologischer Validität, besonders hinsichtlich der Kontextinformationen. Der Einsatz von virtuellen Realtitäten (VR) stellt einen vielversprechenden Ansatz dar um komplexe Umgebungen nachzubilden, die nahe an Alltagssituationen sind. Um Hinweisreiz- und Kontextkonditionierung unter Berücksichtigung des Kontingenzbewusstseins zu untersuchen habe ich drei Experimente durchgeführt. Dafür wurde ein Paradigma in virtueller Realität entwickelt, das es ermöglicht, Reize, Kontexte sowie zusätzlich das Timing der Ereignisse exakt zu manipulieren. In allen drei Studien wurden Versuchspersonen durch einen oder mehrere virtuelle Räume geführt, in denen zwei verschiedene Lichter als bedingte Reize und ein elektrischer Reiz als unbedingter Reiz dienten. Furchtpotenzierte Startlereaktionen wurden gemessen als Indikator für implizite Furchtkonditionierung. Um zu überprüfen, ob die Versuchspersonen auch explizites Kontingenzbewusstsein erwoben hatten, wurden subjektive Ratings erfasst. Die erste Studie wurde als Pilotstudie konstruiert, um sowohl das VR Paradigma als auch das Konditionierungsprotokoll zu testen. Zusätzlich hat mich der Effekt des Kontingenzbewusstseins interessiert. Die Ergebnisse zeigten, dass Lidschlag-konditionierung im VR Paradigma möglich ist und dass sie nicht vom Kontingenz-bewusstsein abhängt. Allerdings war evaluative Konditionierung, gemessen durch subjektive Ratings, nur erkennbar bei Personen, die die Assoziation von CS und US explizit gelernt hatten. Um Akquisition und Extinktion sowohl furchtassoziierter Reize als auch furchtassoziierter Kontexte zu untersuchen, wurde in der zweiten Studie ein neues Reiz-Kontext-Generalisierungsparadigma eingesetzt. Neben dem Zusammenspiel von Reizen und Kontexten war ich auch hier an der Rolle des Kontingenzbewusstseins interessiert. Zwei verschiedene virtuelle Büros dienten als Furcht- bzw. Sicherheitskontext. Während der Akquisition folgte auf den CS+ im Furchtkontext immer ein US. Im Sicherheitskontext hatte keines der Lichter Konsequenzen. In der Extinktionsphase wurde zusätzlich ein neuer Kontext eingeführt. In keinem der Kontexte wurde ein US appliziert. Die Versuchspersonen reagierten nur im Furchtkontext mit erhöhter Startlereaktion auf den CS+ im Vergleich zum CS-. Diskriminatives Lernen hat sowohl hinsichtlich der Reize als auch hinsichtlich der Kontexte stattgefunden. Dies wurde bestätigt durch die subjektiven Ratings, allerdings nur bei Probanden mit Kontingenzbewusstsein. Eine Generalisierung der Angst vom Furchtkontext auf den neuen Kontext war nicht abhängig vom Kontingenzbewusstsein, konnte allerdings in der Gesamtgruppe nur tendenziell beobachtet werden. In der dritten Studie betrachtete ich neuronale Korrelate der Extinktion von Furchtgedächtnis mit Hilfe von funktioneller Magnetresonanztomographie (fMRI). Von besonderem Interesse waren dabei die Unterschiede zwischen der Extinktion von Delay- und Trace-Konditionierung. Ich habe das Paradigma aus der Pilotstudie angewendet und zusätzlich das Timing der Reize manipuliert. In der Delay-Konditionierungsgruppe (DCG) wurde der US zeitgleich mit dem Ende des CS+ appliziert, in der Trace-Konditionierungsgruppe (TCG) vier Sekunden nach Ende des CS+. Interessanterweise unterschieden sich die beiden Gruppen in ihrer präfrontalen Aktivierung. In Übereinstimmung mit der Literatur war der ventromediale Präfrontalkortex (vmPFC) in der DCG aktiviert. In der TCG konnte man Aktivierung des dorsolateralen Präfrontalkortex (dlPFC) beobachten. Dies könnte mit erhöhter Beteiligung des Arbeitsgedächtnisses zusammenhängen, die notwendig ist, um das Trace-Interval zu überbrücken und die Informationen im Kurzzeitgedächtnis zu halten. Zusammengefasst hat sich virtuelle Realität als ein elegantes Instrument zur Fuchtkonditionierung beim Menschen herausgestellt, besonders zur Manipulation von Kontextinformation. Die Ergebnisse deuten darauf hin, dass explizites Kontingenzwissen notwendig ist für evaluative Furchtkonditionierung, nicht jedoch für eine implizite CR gemessen an FPS Reaktionen. Außerdem liefern sie Evidenz für den “two level account of fear conditioning”. Die Ergebnisse der Bildgebung sprechen für zwei unterschiedliche Extinktionsprozesse bei Delay- und Trace-Konditionierung und weisen darauf hin, dass für Trace-Konditionierung eine höhere Beteiligung des Arbeitsgedächtnisses notwendig ist als für Delay-Konditionierung. KW - Klassische Konditionierung KW - Angst KW - Virtuelle Realität KW - Schreckreaktion KW - Funktionelle Kernspintomographie KW - Fear conditioning KW - virtual reality KW - contingency awareness KW - contextual conditioning KW - fMRI KW - fear potentiated startle response KW - Assoziation KW - Lernen KW - Kontingenz Y1 - 2014 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-111226 ER - TY - JOUR A1 - Scherer, Reinhold A1 - Faller, Josef A1 - Friedrich, Elisabeth V. C. A1 - Opisso, Eloy A1 - Costa, Ursula A1 - Kübler, Andrea A1 - Müller-Putz, Gernot R. T1 - Individually Adapted Imagery Improves Brain-Computer Interface Performance in End-Users with Disability JF - PLoS ONE N2 - Brain-computer interfaces (BCIs) translate oscillatory electroencephalogram (EEG) patterns into action. Different mental activities modulate spontaneous EEG rhythms in various ways. Non-stationarity and inherent variability of EEG signals, however, make reliable recognition of modulated EEG patterns challenging. Able-bodied individuals who use a BCI for the first time achieve - on average - binary classification performance of about 75%. Performance in users with central nervous system (CNS) tissue damage is typically lower. User training generally enhances reliability of EEG pattern generation and thus also robustness of pattern recognition. In this study, we investigated the impact of mental tasks on binary classification performance in BCI users with central nervous system (CNS) tissue damage such as persons with stroke or spinal cord injury (SCI). Motor imagery (MI), that is the kinesthetic imagination of movement (e.g. squeezing a rubber ball with the right hand), is the "gold standard" and mainly used to modulate EEG patterns. Based on our recent results in able-bodied users, we hypothesized that pair- wise combination of "brain-teaser" (e.g. mental subtraction and mental word association) and "dynamic imagery" (e. g. hand and feet MI) tasks significantly increases classification performance of induced EEG patterns in the selected end-user group. Within- day (How stable is the classification within a day?) and between-day (How well does a model trained on day one perform on unseen data of day two?) analysis of variability of mental task pair classification in nine individuals confirmed the hypothesis. We found that the use of the classical MI task pair hand vs. feed leads to significantly lower classification accuracy - in average up to 15% less - in most users with stroke or SCI. User-specific selection of task pairs was again essential to enhance performance. We expect that the gained evidence will significantly contribute to make imagery-based BCI technology become accessible to a larger population of users including individuals with special needs due to CNS damage. KW - single-trial EEG classification KW - motor imagery technology KW - spatial filters movement KW - communication systems KW - BCI Y1 - 2015 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-143021 VL - 10 IS - 5 ER - TY - JOUR A1 - Weiß, Martin A1 - Paelecke, Marko A1 - Hewig, Johannes T1 - In Your Face(t) — Personality Traits Interact With Prototypical Personality Faces in Economic Decision Making JF - Frontiers in Psychology N2 - In everyday life, assumptions about our peers' as well as our own personality shape social interactions. We investigated whether self-rated personality and inferences drawn from partners' faces influence economic decisions. Participants (N = 285) played the trust game in the role of the trustor as well as the ultimatum game in the role of the proposer and interacted with trustees and receivers represented by prototypical personality faces. Participants also evaluated both their own traits and the personality of the faces. In the trust game, trustees represented by faces rated higher on agreeableness yielded higher transferred amounts. This effect was more pronounced for trustors low on dispositional trust, whereas trustors high on dispositional trust did not relate their decisions to the faces. Trustees represented by faces rated higher on conscientiousness yielded higher transferred amounts only for trustors high on dispositional anxiety. In the ultimatum game, receivers represented by faces rated higher on conscientiousness yielded lower offers only for proposers high on dispositional assertiveness. These results extend previous findings on the inferences drawn from facial features and the influence of personality on decision making. They highlight the importance of considering the personality of both interaction partner, as well as potential interactions of players' traits. KW - big five KW - personality KW - trust game KW - personality faceaurus KW - ultimatum game Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-237051 SN - 1664-1078 VL - 12 ER - TY - JOUR A1 - Meule, Adrian T1 - Impulsivity and overeating: a closer look at the subscales of the Barratt Impulsiveness Scale JF - Frontiers in Psychology N2 - No abstract available. KW - Impulsivity KW - Overeating Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-190497 SN - 1664-1078 VL - 4 ER - TY - THES A1 - Greving, Carla Elisabeth T1 - Improving Learning from Texts: Distributed Practice and Distributed Learning as Desirable Difficulty in Reading Single and Multiple Texts T1 - Verbesserung des Lernens mit Texten: Verteiltes Üben und Verteiltes Lernen als wünschenswerte Erschwernis beim Lesen von einzelnen und multiplen Texten N2 - Distributed practice is a well-known learning strategy whose beneficial effects on long-term learning are well proven by various experiments. In learning from texts, the benefits of distribution might even go beyond distributed practice, i.e. distribution of repeated materials. In realistic learning scenarios as for example school or university learning, the reader might read multiple texts that not repeat but complement each other. Therefore, distribution might also be implemented between multiple texts and benefit long-term learning in analogy to distributed practice. The assumption of beneficial effects of this distributed learning can be deduced from theories about text comprehension as the landscape model of reading (van den Broek et al., 1996) in combination with theories of desirable difficulties in general (R. A. Bjork & Bjork, 1992) and distributed practice in particular (Benjamin & Tullis, 2010). This dissertation aims to investigate (1) whether distributed learning benefits learning; (2) whether the amount of domain-specific prior knowledge moderates the effects of distribution, (3) whether distributed learning affects the learner’s meta-cognitive judgments in analogy to distributed practice and (4) whether distributed practice is beneficial for seventh graders in learning from single text. In Experiment 1, seventh graders read two complementary texts either massed or distributed by a lag of one week between the texts. Learning outcomes were measured immediately after reading the second text and one week later. Judgements of learning were assessed immediately after each text. Experiment 2 replicated the paradigm of Experiment 1 while shortening the lag between the texts in the distributed condition to 15 min. In both experiments, an interaction effect between learning condition (distributed vs. massed) and retention interval (immediate vs. delayed) was found. In the distributed condition, the participants showed no decrease in performance between the two tests, whereas participants in the massed condition did. However, no beneficial effects were found in the delayed test for the distributed condition but even detrimental effects for the distributed condition in the immediate test. In Experiment 1, participants in the distributed condition perceived learning as less difficult but predicted lower success than the participants in the massed condition. Experiment 3 replicated the paradigm of Experiment 1 with university students in the laboratory. In the preregistered Experiment 4, an additional retention interval of two weeks was realized. In both experiments, the same interaction between learning condition and retention interval was found. In Experiment 3, the participants in the distributed condition again showed no decrease in performance between the two tests, whereas participants in the massed condition did. However, even at the longer retention interval in Experiment 4, no beneficial effects were found for the distributed condition. Domain-specific prior knowledge was positively associated with test performance in both experiments. In Experiment 4, the participants with low prior knowledge seemed to be impaired by distributed learning, whereas no difference was found for participants with medium or high prior knowledge. In the preregistered Experiment 5, seventh graders read a single text twice. The rereading took place either massed or distributed with one week. Immediately after rereading, judgements of learning were assessed. Learning outcomes were assessed four min after second reading or one week later. Participants in the distributed condition predicted lower learning success than participants in the massed condition. An interaction effect between learning condition and retention interval was found, but no advantage for the distributed condition. Participants with low domain-specific prior knowledge showed lower performance in short-answer questions in the distributed condition than in the massed condition. Overall, the results seem less encouraging regarding the effectiveness of distribution on learning from single and multiple texts. However, the experiments reported here can be perceived as first step in the realistic investigation of distribution in learning from texts. N2 - Verteiltes Üben ist eine bekannte Lernstrategie, deren positiver Effekt auf die langfristigen Behaltensleistung in vielen Experimenten gezeigt wurde. Beim Lernen mit Texten können die Vorteile der Verteilung von Lerninhalten sogar über verteiltes Üben, also die Verteilung von sich wiederholenden Materialien, hinausgehen. In realistischen Lernszenarien, wie zum Beispiel Lernen in der Schule oder Universität, werden multiple Texte gelesen, die einander nicht wiederholen, sondern ergänzen. Verteilung im Sinne des verteilten Übens könnte demensprechend auch zwischen diesen multiplen Texten eingesetzt werden und analog zum verteilten Üben langfristiges Behalten fördern. Annahmen über eine Wirksamkeit dieses sogenannten verteilten Lernens können von Theorien zum Textverständnis wie zum Beispiel dem Landscape Model of Reading (van den Broek et al., 1996) in Kombination mit Theorien zu wünschenswerten Erschwernissen im Allgemeinen (R. A. Bjork & Bjork, 1992) und verteiltem Üben im Besonderen (Benjamin & Tullis, 2010) abgeleitet werden. In dieser Dissertation soll untersucht werden, (1) ob verteiltes Lernen Behalten fördert, (2) ob die Ausprägung des domänenspezifischen Vorwissens die Effekte des verteilten Lernens moderiert, (3) ob verteiltes Lernen die meta-kognitive Beurteilung des Lernprozesses des Lernenden beeinflusst und (4) ob verteiltes Üben für 7. Klässler*innen beim Lernen mit einzelnen Texten vorteilhaft ist. Im ersten Experiment lasen 7. Klässler*innen zwei komplementäre Texte entweder massiert oder verteilt mit einem Abstand (lag) von einer Woche. Die Behaltensleistung wurde unmittelbar nach dem Lesen des zweiten Textes und eine Woche später erfasst. Die Beurteilung des Lernprozesses wurde direkt nach dem Lesen eines Textes erhoben. Experiment 2 replizierte das Paradigma von Experiment 1, wobei der Abstand zwischen den Texten in der verteilten Bedingung auf 15 Min reduziert wurde. In beiden Experimenten wurde eine Interaktion zwischen der Lernbedingung (massiert vs. verteilt) und dem Behaltensintervall (unmittelbar vs. später) gefunden. In der verteilten Bedingung zeigten die Teilnehmenden keine Verringerung in der Leistung zwischen den beiden Tests, die Teilnehmenden in der massierten Bedingung jedoch schon. Trotzdem wurden keine Vorteile des verteilten Lernens beim späteren Test gefunden. Stattdessen zeigten sich unmittelbar nach dem Lernen Nachteile des verteilten Lernens. In Experiment 1 nahmen die Teilnehmenden der verteilten Bedingung das Lernen als weniger schwierig wahr, erwarteten jedoch geringeren Lernerfolg als Teilnehmende der massierten Bedingung. Experiment 3 replizierte das Paradigma von Experiment 1 mit Studierenden in einem Laborsetting. In dem präregistrierten Experiment 4 wurde ein Behaltensintervall von zwei Wochen ergänzt. In beiden Experimenten fand sich eine ähnliche Interaktion zwischen Lernbedingung und Behaltensintervall. In Experiment 3 zeigten die Teilnehmenden in der verteilten Bedingung erneut keine Verringerung in der Leistung zwischen den zwei Tests, in der massierten Bedingung jedoch schon. Es fanden sich jedoch keine Vorteile des verteilten Lernens, auch nicht nach dem längeren Behaltensintervall in Experiment 4. Domänenspezifisches Vorwissen stand in beiden Experimenten in einem positiven Zusammenhang mit der Behaltensleistung. In Experiment 4 zeigten die Teilnehmenden mit geringem Vorwissen geringere Behaltensleistungen, wenn sie verteilt lernten, während keine derartigen Unterschiede für Teilnehmende mit mittlerem oder hohem Vorwissen gefunden wurden. Im präregistrierten Experiment 5 lasen 7. Klässler*innen einen einzelnen Text zweimal. Das zweite Lesen erfolgte hier entweder unmittelbar (massiert) oder nach einer Woche (verteilt). Unmittelbar nach dem zweiten Lesen wurden die Beurteilung des Lernprozesses erhoben. Die Behaltensleistung wurde 4 Minuten oder eine Woche nach dem zweiten Lesen erfasst. Teilnehmende in der verteilten Bedingung erwarteten geringeren Lernerfolg als Teilnehmende in der massierten Bedingung. Es wurde ein Interaktionseffekt zwischen der Lernbedingung und dem Behaltensintervall gefunden, aber kein Vorteil für die verteilte Bedingung. In der verteilten Bedingung zeigten Teilnehmende mit geringem Vorwissen geringere Leistung bei Fragen im Kurzantwortformat als vergleichbare Teilnehmende in der massierten Bedingung. Zusammenfassend wirken diese Ergebnisse wenig vielversprechend bezüglich der Wirksamkeit des verteilten Lernens und Übens mit einzelnen und multiplen Texten. Trotzdem sind die hier berichteten Experimente als ein erster Schritt zur Untersuchung des Verteilungseffektes beim Lernen mit Texten in realistischen Lernszenarien zu betrachten. KW - Textverstehen KW - Distributed Learning KW - Distributed Practice KW - Spacing Effect KW - Distributed Reading KW - Text Comprehension Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-296859 ER - TY - THES A1 - Haspert, Valentina T1 - Improving acute pain management with emotion regulation strategies: A comparison of acceptance, distraction, and reappraisal T1 - Besserer Umgang mit akutem Schmerz mithilfe von Emotionsregulationsstrategien: Ein Vergleich von Akzeptanz, Ablenkung und Reappraisal N2 - Pain conditions and chronic pain disorders are among the leading reasons for seeking medical help and immensely burden patients and the healthcare system. Therefore, research on the underlying mechanisms of pain processing and modulation is necessary and warranted. One crucial part of this pain research includes identifying resilience factors that protect from chronic pain development and enhance its treatment. The ability to use emotion regulation strategies has been suggested to serve as a resilience factor, facilitating pain regulation and management. Acceptance has been discussed as a promising pain regulation strategy, but results in this domain have been mixed so far. Moreover, the allocation of acceptance in Gross’s (1998) process model of emotion regulation has been under debate. Thus, comparing acceptance with the already established strategies of distraction and reappraisal could provide insights into underlying mechanisms. This dissertation project consisted of three successive experimental studies which aimed to investigate these strategies by applying different modalities of individually adjusted pain stimuli of varying durations. In the first study (N = 29), we introduced a within-subjects design where participants were asked to either accept (acceptance condition) or react to the short heat pain stimuli (10 s) without using any pain regulation strategies (control condition). In the second study (N = 36), we extended the design of study 1 by additionally applying brief, electrical pain stimuli (20 ms) and including the new experimental condition distraction, where participants should distract themselves from the pain experience by imagining a neutral situation. In the third study (N = 121), all three strategies, acceptance, distraction, and reappraisal were compared with each other and additionally with a neutral control condition in a mixed design. Participants were randomly assigned to one of three strategy groups, including a control condition and a strategy condition. All participants received short heat pain stimuli of 10 s, alternating with tonic heat pain stimuli of 3 minutes. In the reappraisal condition, participants were instructed to imagine the pain having a positive outcome or valence. The self-reported pain intensity, unpleasantness, and regulation ratings were measured in all studies. We further recorded the autonomic measures heart rate and skin conductance continuously and assessed the habitual emotion regulation styles and pain-related trait factors via questionnaires. Results revealed that the strategies acceptance, distraction, and reappraisal significantly reduced the self-reported electrical and heat pain stimulation with both durations compared to a neutral control condition. Additionally, regulatory efforts with acceptance in study 2 and with all strategies in study 3 were reflected by a decreased skin conductance level compared to the control condition. However, there were no significant differences between the strategies for any of the assessed variables. These findings implicate similar mechanisms underlying all three strategies, which led to the proposition of an extended process model of emotion regulation. We identified another sequence in the emotion-generative process and suggest that acceptance can flexibly affect at least four sequences in the process. Correlation analyses further indicated that the emotion regulation style did not affect regulatory success, suggesting that pain regulation strategies can be learned effectively irrespective of habitual tendencies. Moreover, we found indications that trait factors such as optimism and resilience facilitated pain regulation, especially with acceptance. Conclusively, we propose that acceptance could be flexibly used by adapting to different circumstances. The habitual use of acceptance could therefore be considered a resilience factor. Thus, acceptance appears to be a promising and versatile strategy to prevent the development of and improve the treatment of various chronic pain disorders. Future studies should further examine factors and circumstances that support effective pain regulation with acceptance. N2 - Schmerzen und chronische Schmerzstörungen, welche eine enorme Belastung für Betroffene und das Gesundheitssystem darstellen, zählen zu den häufigsten Gründen für eine medizinische Behandlung. Die Erforschung von Mechanismen der Schmerzverarbeitung und -modulation ist daher hochgradig relevant. Ein Teil dieser Schmerzforschung befasst sich mit der Ermittlung von Resilienzfaktoren, die der Chronifizierung von Schmerzen vorbeugen und deren Behandlungen erleichtern sollen. Emotionsregulationsstrategien können als solche Resilienzfaktoren fungieren und die Behandlung von Schmerzen unterstützen. Studien zur Strategie Akzeptanz zeigten bereits Hinweise auf eine effektive Schmerzregulation, jedoch ist die Befundlage hinsichtlich der Effektivität noch uneindeutig. Eine weitere Unklarheit besteht bei der Einordnung von Akzeptanz als eine antezedent- oder reaktionsfokussierte Strategie in Gross Prozessmodel der Emotionsregulation (1998). Ein direkter Vergleich zwischen Akzeptanz und den bereits intensiv beforschten Strategien Ablenkung und Neubewertung könnte dabei Klarheit über die zugrunde liegenden Mechanismen und deren Einordnung schaffen. Das Ziel des aktuellen Dissertationsprojekts bestand daher darin, diese drei Strategien einander experimentell in einem akuten Schmerzkontext gegenüberzustellen. Zu diesem Zweck wurden drei aufeinanderfolgende Studien mit gesunden Probanden durchgeführt, die jeweils individuell eingestellte Schmerzreize erhielten. In der ersten Studie (N = 29) im Within-Design wurden den Probanden kurze Hitzeschmerzreize von 10 s verabreicht, welche sie akzeptieren (Akzeptanzbedingung) oder auf welche sie reagieren sollten, ohne eine Strategie anzuwenden (Kontrollbedingung). In der zweiten Studie (N = 36) wurde Studie 1 um zwei Bedingungen erweitert, indem phasische, elektrische Schmerzreize von 20 ms zum Within-Design hinzugefügt wurden. Darüber hinaus sollten sich die Versuchspersonen zusätzlich mithilfe neutraler Vorstellungen von den Schmerzreizen ablenken (Ablenkungsbedingung). In der dritten Studie (N = 121) wurden alle drei Strategien – Akzeptanz, Ablenkung und Neubewertung – einander sowie einer neutralen Kontrollbedingung in einem gemischten Within-Between-Design gegenübergestellt. Die Teilnehmenden wurden zufällig einer der drei Strategiegruppen zugewiesen, welche jeweils die Kontrollbedingung und eine der drei Strategiebedingungen enthielt. Die Probanden erhielten in allen Gruppen sowohl kurze, 10-sekündige als auch lange, 3-minütige Hitzeschmerzreize. Bei der Strategie Neubewertung sollten sich die Probanden vorstellen, dass der Hitzereiz eine positive Wirkung hätte. In allen Studien gaben die Probanden nach jedem Durchgang an, wie schmerzhaft und unangenehm sie die Schmerzreize erlebt hatten und wie gut es ihnen gelungen war, mit der jeweiligen Strategie zu regulieren. Außerdem wurden die peripherphysiologischen Messverfahren Herzrate und Hautleitfähigkeit als Schmerzkorrelate kontinuierlich aufgezeichnet. Zuletzt wurden die Emotionsregulationsstile und schmerzrelevante Persönlichkeitsfaktoren anhand von Fragebögen erfasst. Über alle Studien zeigte sich, dass die drei Strategien Akzeptanz, Ablenkung und Neubewertung die selbstberichtete Wahrnehmung der kurzen und langen Hitzeschmerzreize sowie der phasischen elektrischen Reize im Vergleich zur Kontrollbedingung signifikant verringerten. Des Weiteren deutete eine signifikant verminderte Hautleitfähigkeit in der Akzeptanzbedingung in Studie 2 und in allen Strategiebedingungen in Studie 3 – verglichen mit der Kontrollbedingung – auf peripherphysiologisch erkennbare Regulationsprozesse hin. Zwischen den Strategien ließen sich jedoch bei keiner der Messvariablen signifikante Unterschiede finden. Dieses Ergebnis könnte auf ähnliche, den Strategien zugrunde liegende Mechanismen hindeuten, sodass im Rahmen des Dissertationsprojekts ein erweitertes Prozessmodell der Emotionsregulation aufgestellt wurde. Dabei wurde der emotionsgenerierende Prozess um einen Schritt erweitert und es wurden mindestens vier Positionen vorgeschlagen, an welchen Akzeptanz flexibel ansetzen könnte. Korrelationsanalysen ergaben außerdem, dass der Emotionsregulationsstil keinen Einfluss auf den Regulationserfolg hatte, was darauf hindeutet, dass Schmerzregulationsstrategien unabhängig von gewohnheitsmäßigen Tendenzen effektiv erlernt werden können. Darüber hinaus gab es Hinweise darauf, dass höhere Ausprägungen von Persönlichkeitsfaktoren wie Optimismus und Resilienz zu einer effektiveren Schmerzregulation insbesondere mit Akzeptanz führen können. Insgesamt scheint Akzeptanz flexibel einsetzbar und anpassungsfähig zu sein, was sie zu einem Resilienzfaktor im alltäglichen Gebrauch sowie zu einer vielversprechenden Strategie in der Prävention und Behandlung chronischer Schmerzerkrankungen macht. Zukünftige Forschung sollte daher die Faktoren und Umstände untersuchen, die zu einer wirksamen Schmerzregulation mit Akzeptanz beitragen können. KW - Schmerzforschung KW - Akzeptanz KW - Akzeptanz- und Commitment Therapie KW - Emotionsregulation KW - pain regulation KW - acceptance-based strategies Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-298666 ER - TY - JOUR A1 - Hommers, Wilfried T1 - Implicit psychological theories in legal thought on sentencing and liability N2 - No abstract available KW - Haftung KW - Urteil KW - Verkündung Y1 - 1988 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-47093 ER - TY - JOUR A1 - Wolff, Hans-Georg A1 - Weikamp, Julia G. A1 - Batinic, Bernad T1 - Implicit Motives as Determinants of Networking Behaviors JF - Frontiers in Psychology N2 - In today’s world of work, networking behaviors are an important and viable strategy to enhance success in work and career domains. Concerning personality as an antecedent of networking behaviors, prior studies have exclusively relied on trait perspectives that focus on how people feel, think, and act. Adopting a motivational perspective on personality, we enlarge this focus and argue that beyond traits predominantly tapping social content, motives shed further light on instrumental aspects of networking – or why people network. We use McClelland’s implicit motives framework of need for power (nPow), need for achievement (nAch), and need for affiliation (nAff) to examine instrumental determinants of networking. Using a facet theoretical approach to networking behaviors, we predict differential relations of these three motives with facets of (1) internal vs. external networking and (2) building, maintaining, and using contacts. We conducted an online study, in which we temporally separate measures (N = 539 employed individuals) to examine our hypotheses. Using multivariate latent regression, we show that nAch is related to networking in general. In line with theoretical differences between networking facets, we find that nAff is positively related to building contacts, whereas nPow is positively related to using internal contacts. In sum, this study shows that networking is not only driven by social factors (i.e., nAff), but instead the achievement motive is the most important driver of networking behaviors. KW - networking KW - social capital KW - implicit motives KW - work behavior KW - social interaction KW - career self-management Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-189954 SN - 1664-1078 VL - 9 IS - 411 ER - TY - JOUR A1 - Kirsch, Wladimir A1 - Kunde, Wilfried A1 - Herbort, Oliver T1 - Impact of proprioception on the perceived size and distance of external objects in a virtual action task JF - Psychonomic Bulletin & Review N2 - Previous research has revealed changes in the perception of objects due to changes of object-oriented actions. In present study, we varied the arm and finger postures in the context of a virtual reaching and grasping task and tested whether this manipulation can simultaneously affect the perceived size and distance of external objects. Participants manually controlled visual cursors, aiming at reaching and enclosing a distant target object, and judged the size and distance of this object. We observed that a visual-proprioceptive discrepancy introduced during the reaching part of the action simultaneously affected the judgments of target distance and of target size (Experiment 1). A related variation applied to the grasping part of the action affected the judgments of size, but not of distance of the target (Experiment 2). These results indicate that perceptual effects observed in the context of actions can directly arise through sensory integration of multimodal redundant signals and indirectly through perceptual constancy mechanisms. KW - visual perception KW - motor control KW - object-oriented actions Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-273235 SN - 1531-5320 VL - 28 IS - 4 ER - TY - JOUR A1 - Winter, Carla A1 - Kern, Florian A1 - Gall, Dominik A1 - Latoschik, Marc Erich A1 - Pauli, Paul A1 - Käthner, Ivo T1 - Immersive virtual reality during gait rehabilitation increases walking speed and motivation: a usability evaluation with healthy participants and individuals with multiple sclerosis and stroke JF - Journal of Neuroengineering and Rehabilitation N2 - Background: The rehabilitation of gait disorders in patients with multiple sclerosis (MS) and stroke is often based on conventional treadmill training. Virtual reality (VR)-based treadmill training can increase motivation and improve therapy outcomes. The present study evaluated an immersive virtual reality application (using a head-mounted display, HMD) for gait rehabilitation with patients to (1) demonstrate its feasibility and acceptance and to (2) compare its short-term effects to a semi-immersive presentation (using a monitor) and a conventional treadmill training without VR to assess the usability of both systems and estimate the effects on walking speed and motivation. Methods: In a within-subjects study design, 36 healthy participants and 14 persons with MS or stroke participated in each of the three experimental conditions (VR via HMD, VR via monitor, treadmill training without VR). Results: For both groups, the walking speed in the HMD condition was higher than in treadmill training without VR and in the monitor condition. Healthy participants reported a higher motivation after the HMD condition as compared with the other conditions. Importantly, no side effects in the sense of simulator sickness occurred and usability ratings were high. No increases in heart rate were observed following the VR conditions. Presence ratings were higher for the HMD condition compared with the monitor condition for both user groups. Most of the healthy study participants (89%) and patients (71%) preferred the HMD-based training among the three conditions and most patients could imagine using it more frequently. Conclusions For the first time, the present study evaluated the usability of an immersive VR system for gait rehabilitation in a direct comparison with a semi-immersive system and a conventional training without VR with healthy participants and patients. The study demonstrated the feasibility of combining a treadmill training with immersive VR. Due to its high usability and low side effects, it might be particularly suited for patients to improve training motivation and training outcome e. g. the walking speed compared with treadmill training using no or only semi-immersive VR. Immersive VR systems still require specific technical setup procedures. This should be taken into account for specific clinical use-cases during a cost-benefit assessment. KW - rehabilitation KW - gait disorder KW - virtual reality KW - multiple sclerosis KW - stroke KW - head-mounted display KW - motivation Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-258698 SN - 1743-0003 VL - 18 IS - 1 ER - TY - THES A1 - Markel, Petra T1 - If It’s to Be, It Starts With Me! The Bidirectional Relation between Goals and the Self T1 - If It’s to Be, It Starts With Me! Die bidirektionale Beziehung zwischen Zielen und dem Selbst N2 - In der vorliegenden Arbeit wurde der Zusammenhang zwischen Selbst und persönlichen Zielen genauer untersucht. Hierzu wurde zunächst ein reaktionszeitbasiertes Maß zur impliziten Messung von Selbstaktivierung entwickelt (Studien 1 und 2). Im nächsten Schritt wurde untersucht, ob ein direkter Zusammenhang zwischen Selbst undpersönlichen Zielen besteht. Hierfür wurde mit Hilfe des neu entwickelten Maßes getestet, ob Probanden, die über persönliche Ziele nachdenken eine erhöhte Selbstaktivierung zeigen (Studien 3 und 4). Schließlich wurde analysiert, ob eine bidirektionale Beziehung zwischen Selbst und persönlichen Zielen besteht. Dazu wurde geprüft, ob positive Bewertungen mit höherer Wahrscheinlichkeit als Ziele konstruiert werden, wenn das Selbst vor Abgabe der Bewertungen aktiviert worden ist (Studien 5 und 6). Die vorliegende Arbeit zeigt, dass das neu entwickelte Bildermaß zur impliziten Messung von Selbstaktivierung geeignet ist. Weiterhin konnte gezeigt werden, dass eine direkte Verknüpfung zwischen Selbst und persönlichen Zielen besteht. Die Ergebnisse der vorliegenden Arbeit liefern erste Evidenz für Selbstaktivierung als Folge einer Aktivierung persönlicher Ziele und zeigen darüber hinaus, dass diese Beziehung bidirektional zu sein scheint. Probanden konstruieren Bewertungen unter SA mit größerer Wahrscheinlichkeit als Ziele, was sich in stärkerer direkter Verhaltensbereitschaft (motivationale Tendenzen), mehr zielrelevantem Verhalten und auch mehr Motivation in instrumentellen Aufgaben zur Zielerreichung zeigt. N2 - The aim of the current work was to enhance the understanding of the relationship between goals and the self. More specifically, I wanted to achieve three things. First, I developed an implicit measure of self-activation (SA) based on response latencies to avoid the problems of traditional measures of self-activation (i.e., demand effects, self-presentation concerns). Therefore, two studies were conducted in which increased self-activation, induced by classic self-manipulations, was measured with a newly developed picture task. Thereby it was assumed that individuals would react faster to photographs of themselves when the self was activated than when it was not. Second, I aimed to demonstrate that there exists a close connection between personal goals and the self. Despite being inherent in several theories, this assumption has never been tested directly before. It was hypothesized that thinking about personal goals should activate the self, resulting in faster reactions in the newly developed measure of SA, i.e., quicker responses to the self-pictures. Third, it was investigated whether goals and the self are linked in a bidirectional fashion; according to the reported findings, it seems to be functional for individuals’ self-regulation and goal pursuit to develop such a link. To provide evidence for the bidirectionality of the relationship, it was hypothesized that in conditions of high SA, it should be more likely personal evaluations to be construed as goals; this goal activation should result in higher accessibility of goal-related knowledge, stronger approach motivational tendencies towards goal-related targets, and more goal-directed behavior. The obtained results endorse the applicability of the picture task as implicit method to measure increased SA and also corroborate the core hypothesis, namely that personal goals and the self are inherently connected and that they are linked in a bidirectional fashion. KW - Ziel KW - Selbst KW - Selbstaktivierung KW - goals KW - self KW - self-activation Y1 - 2009 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-42972 ER - TY - THES A1 - Anderson, Christina T1 - Idiosyncratic Facial Movement in Face Perception and Recognition T1 - Idiosynkratische Gesichtsbewegung in Gesichterwahrnehmung und -erkennung N2 - It has been proposed that different features of a face provide a source of information for separate perceptual and cognitive processes. Properties of a face that remain rather stable over time, so called invariant facial features, yield information about a face’s identity, and changeable aspects of faces transmit information underlying social communication such as emotional expressions and speech movements. While processing of these different face properties was initially claimed to be independent, a growing body of evidence suggests that these sources of information can interact when people recognize faces with whom they are familiar. This is the case because the way a face moves can contain patterns that are characteristic for that specific person, so called idiosyncratic movements. As a face becomes familiar these idiosyncratic movements are learned and hence also provide information serving face identification. While an abundance of experiments has addressed the independence of invariant and variable facial features in face recognition, little is known about the exact nature of the impact idiosyncratic facial movements have on face recognition. Gaining knowledge about the way facial motion contributes to face recognition is, however, important for a deeper understanding of the way the brain processes and recognizes faces. In the following dissertation three experiments are reported that investigate the impact familiarity of changeable facial features has on processes of face recognition. Temporal aspects of the processing of familiar idiosyncratic facial motion were addressed in the first experiment via EEG by investigating the influence familiar facial movement exerts on event-related potentials associated to face processing and face recognition. After being familiarized with a face and its idiosyncratic movement, participants viewed familiar or unfamiliar faces with familiar or unfamiliar facial movement while their brain potentials were recorded. Results showed that familiarity of facial motion influenced later event-related potentials linked to memory processes involved in face recognition. The second experiment used fMRI to investigate the brain areas involved in processing familiar facial movement. Participants’ BOLD-signal was registered while they viewed familiar and unfamiliar faces with familiar or unfamiliar idiosyncratic movement. It was found that activity of brain regions, such as the fusiform gyrus, that underlie the processing of face identity, was modulated by familiar facial movement. Together these two experiments provide valuable information about the nature of the involvement of idiosyncratic facial movement in face recognition and have important implications for cognitive and neural models of face perception and recognition. The third experiment addressed the question whether idiosyncratic facial movement could increase individuation in perceiving faces from a different ethnic group and hence reduce impaired recognition of these other-race faces compared to own-race faces, a phenomenon named the own-race bias. European participants viewed European and African faces that were each animated with an idiosyncratic smile while their attention was either directed to the form or the motion of the face. Subsequently recognition memory for these faces was tested. Results showed that the own-race bias was equally present in both attention conditions indicating that idiosyncratic facial movement was not able to reduce or diminish the own-race bias. In combination the here presented experiments provide further insight into the involvement of idiosyncratic facial motion in face recognition. It is necessary to consider the dynamic component of faces when investigating face recognition because static facial images are not able to provide the full range of information that leads to recognition of a face. In order to reflect the full process of face recognition, cognitive and neural models of face perception and recognition need to integrate dynamic facial features as a source of information which contributes to the recognition of a face. N2 - Klassische Gesichtsverarbeitungsmodelle postulieren die Unabhängigkeit der Wahrnehmung von unveränderlichen Gesichtsmerkmalen und zeitlich veränderlichen, dynamischen Aspekten eines Gesichts. Während zeitlich stabile Charakteristika die Basis für die Identifikation eines Gesichts bilden, wird Information über dynamische Gesichtsveränderungen im Rahmen sozialer Kommunikation herangezogen z.B. um emotionale Ausdrücke und Intentionen zu erkennen. Während diese Modelle allgemein starke empirische Fundierung aufweisen, mehren sich im Falle von bekannten Gesichtern die Hinweise, dass idiosynkratische Gesichtsbewegungen zur Identifikation einer Person beitragen können. Im Folgenden werden drei Experimente vorgestellt, die sich mit dem Einfluss bekannter Gesichtsbewegung auf die Gesichtsidentifikation befassen. Im ersten Experiment wurde mittels EEG der Einfluss bekannter Bewegung auf evozierte Potentiale der Gesichtsverarbeitung und –erkennung untersucht. Es zeigt sich, dass die Bekanntheit der Gesichtsbewegung Potentiale der Gesichtserkennung beeinflusst. Im zweiten Experiment wurden durch fMRI die Gehirnareale untersucht, die an der Wahrnehmung bekannter Gesichtsbewegung beteiligt sind. Aktivität in Gehirnarealen, die der Verarbeitung von Gesichtsidentität zu Grunde liegen, wie z.B. der fusiforme Gyrus, wurde durch die Bekanntheit der Bewegung des Gesichts moduliert. Zusammen liefern diese beiden Experimente wertvolle Information über die Beteiligung idiosynkratischer Gesichtsdynamik bei der Gesichtsidentifikation. Das dritte Experiment beschäftigte sich mit der Fragestellung, ob eine idiosynkratische Gesichtsbewegung die Individualisierung eines Gesichts im interkulturellen Kontext erhöhen kann und somit den own-race bias, d.h. eine schwächere Wiedererkennensleistung für Gesichter einer anderen ethnischen Herkunft, verglichen mit Gesichtern der eigenen Ethnie, verringern kann. Die Ergebnisse dieses Experiments zeigen zwar eine geringere Wiedererkennensleistung europäischer Versuchspersonen gegenüber Afrikanischen Gesichtern, verglichen mit der Wiedererkennensleistung für Europäische Gesichter, die Salienz der idiosynkratischen Gesichtsbewegung zeigte jedoch keinen Einfluss auf die Wiedererkennensleistung. Die Ergebnisse werden im Kontext der Ergebnisse der EEG Studie diskutiert. Zusammenfassend bieten die hier vorgestellten Daten weiteres Verständnis über das Zusammenspiel von stabilen und veränderlichen Gesichtscharakteristika bei der Gesichtsidentifikation. Es ist wichtig, die dynamische Komponente von Gesichtern zu berücksichtigen, wenn man ein ganzheitliches Bild über die Prozesse, die der Gesichtswahrnehmung und –erkennung zu Grunde liegen, gestalten will. KW - Gesicht KW - Wahrnehmung KW - Gesichtererkennung KW - Gesichtsdynamik KW - fMRT KW - Sehrinde KW - Avatar KW - face recognition KW - dynamic faces KW - face processing Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-70355 ER - TY - JOUR A1 - Eidel, M. A1 - Kübler, A. T1 - Identifying potential training factors in a vibrotactile P300-BCI JF - Scientific Reports N2 - Brain–computer interfaces (BCI) often rely on visual stimulation and feedback. Potential end-users with impaired vision, however, cannot use these BCIs efficiently and require a non-visual alternative. Both auditory and tactile paradigms have been developed but are often not sufficiently fast or accurate. Thus, it is particularly relevant to investigate if and how users can train and improve performance. We report data from 29 healthy participants who trained with a 4-choice tactile P300-BCI during five sessions. To identify potential training factors, we pre-post assessed the robustness of the BCI performance against increased workload in a dual task condition and determined the participants’ somatosensory sensitivity thresholds with a forced-choice intensity discrimination task. Accuracy (M = 79.2% to 92.0%) and tactually evoked P300 amplitudes increased significantly, confirming successful training. Pre-post somatosensory sensitivity increased, and workload decreased significantly, but results of the dual task condition remained inconclusive. The present study confirmed the previously reported feasibility and trainability of our tactile BCI paradigm within a multi-session design. Importantly, we provide first evidence of improvement in the somatosensory system as a potential mediator for the observed training effects. KW - Brain–computer interfaces (BCI) KW - training KW - non-visual Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-301064 VL - 12 IS - 1 ER - TY - THES A1 - Münchow, Hannes T1 - I feel, therefore I learn – Effectiveness of affect induction interventions and possible covariates on learning outcomes T1 - I feel, therefore I learn – Effektivität von Affektinduktionsinterventionen und mögliche Kovariaten auf den Lernerfolg N2 - Affective states in the context of learning and achievement can influence the learning process essentially. The impact of affective states can be both directly on the learning performance and indirectly mediated via, for example, motivational processes. Positive activating affect is often associated with increased memory skills as well as advantages in creative problem solving. Negative activating affect on the other hand is regarded to impair learning outcomes because of promoting task-irrelevant thinking. While these relationships were found to be relatively stable in correlation studies, causal relationships have been examined rarely so far. This dissertation aims to investigate the effects of positive and negative affective states in multimedia learning settings and to identify potential moderating factors. Therefore, three experimental empirical studies on university students were conducted. In Experiment 1, N = 57 university students were randomly allocated to either a positive or negative affect induction group. Affects were elicited using short film clips. After a 20-minute learning phase in a hypertext-based multimedia learning environment on “functional neuroanatomy” the learners’ knowledge as well as transfer performance were measured. It was assumed that inducing positive activating affect should enhance learning performance. Eliciting negative activating affect on the other hand should impair learning performance. However, it was found that the induction of negative activating affect prior to the learning phase resulted in slight deteriorations in knowledge. Contrary to the assumptions, inducing positive activating affect before the learning phase did not improve learning performance. Experiment 2 induced positive activating affect directly during learning. To induce affective states during the entire duration of the learning phase, Experiment 2 used an emotional design paradigm. Therefore, N = 111 university students were randomly assigned to learn either in an affect inducing multimedia learning environment (use of warm colours and round shapes) or an affectively neutral counterpart (using shades of grey and angular shapes) on the same topic as in Experiment 1. Again, knowledge as well as transfer performance were measured after learning for 20 minutes. In addition, positive and negative affective states were measured before and after learning. Complex interaction patterns between the treatment and initial affective states were found. Specifically, learners with high levels of positive affect before learning showed better transfer performance when they learned in the affect inducing learning environment. Regarding knowledge, those participants who reported high levels of negative activating affect prior to the learning period performed worse. However, the effect on knowledge did not occur for those students learning in the affect inducing learning environment. For knowledge, the treatment therefore protected against poorer performance due to high levels of negative affective states. Results of Experiment 2 showed that the induction of positive activating affect influenced learning performance positively when taking into account affective states prior to the learning phase. In order to confirm these interaction effects, a conceptual replication of the previous experiment was conducted in Experiment 3. Experiment 3 largely retained the former study design, but changed the learning materials and tests used. Analogous to Experiment 2, N = 145 university students learning for 20 minutes in either an affect inducing or an affectively neutral multimedia learning environment on “eukaryotic cell”. To strengthen the treatment, Experiment 3 also used anthropomorphic design elements to induce affective states next to warm colours and round shapes. Moreover, in order to assess the change in affective states more exactly, an additional measurement of positive and negative affective states after half of the learning time was inserted. Knowledge and transfer were assessed again to measure learning performance. The learners’ memory skills were used as an additional learning outcome. To control the influence of potential confounding variables, the participants’ general and current achievement motivation as well as interest, and emotion regulation skills were measured. Contrary to the assumptions, Experiment 3 could not confirm the interaction effects of Experiment 2. Instead, there was a significant impact of positive activating affect prior to the learning phase on transfer, irrespective of the learners’ group affiliation. This effect was further independent of the control variables that were measured. Nevertheless, the results of Experiment 3 fit into the picture of findings regarding “emotional design” in hypermedia learning settings. To date, the few publications that have used this approach propose heterogeneous results, even when using identical materials and procedures. N2 - Affektiven Zuständen im Lern- und Leistungskontext wird ein wesentlicher Einfluss auf den Lernprozess zugesprochen. Dabei wirken diese sowohl direkt auf die Lernleistung als auch indirekt vermittelt über beispielsweise motivationale Prozesse. Positive aktivierende Affekte stehen dabei oft im Zusammenhang mit erhöhter Gedächtnisleistung und kreativer Problemlösefähigkeit. Negative aktivierende Affekte anderseits werden eher als lernhinderlich angesehen, da sie aufgabenirrelevantes Denken fördern. Während sich diese Zusammenhänge im Rahmen korrelativer Studien als relativ stabil erwiesen haben, sind kausale Beziehungen bislang noch eher selten untersucht. Diese Arbeit hat daher zum Ziel, die Auswirkungen von positiven und negativen aktivierenden affektiven Zuständen beim Lernen mit Hypermedien genauer zu betrachten und mögliche moderierende Einflussfaktoren zu erkennen. Dabei wurden drei experimentelle empirische Studien mit Universitätsstudierenden durchgeführt. In Experiment 1 wurde Studierenden (N = 57) zufällig positiver oder negativer aktivierender Affekt mithilfe von kurzen Filmsequenzen induziert. Nach einer 20-minütigen Lernphase in einer hypertextbasierten multimedialen Lernumgebung zum Thema „Funktionelle Neuroanatomie“ wurden die Verständnis - und Transferleistungen der Studierenden gemessen. Es wurde dabei angenommen, dass sich positiver aktivierender Affekt vor dem Lernen positiv auf die Lernleistung auswirkt, während vor dem Lernen induzierter negativer aktivierender Affekt die entgegengesetzte Wirkung haben sollte. Es zeigte sich, dass die Induktion von negativem aktivierenden Affekt vor dem Lernen zu einer leichten Verschlechterung der Verständnisleistung führte. Entgegen der Vermutungen zeigten Probanden, bei denen positiver aktivierender Affekt vor dem Lernen erzeugt wurde, jedoch keine Verbesserung der Lernleistung. Als mögliche Erklärungsursache hierfür wurde unter anderem angenommen, dass die Affektinduktion vor dem Lernen zwar erfolgreich war, diese Affekte jedoch nicht für die gesamte Dauer der Lernzeit anhielten. In Experiment 2 wurde positiv aktivierender Affekt während der gesamten Lernphase induziert. Dazu wurden N = 111 Universitätsstudierende zufällig einer affektinduzierenden multimedialen Lernumgebung (Verwendung von warmen Farben und runden Formen) oder einem affektneutralen Gegenstück (Verwendung von Grautönen und eckigen Formen) zum Thema „Funktionelle Neuroanatomie“ zugeordnet. Nach einer Lernzeit von 20 Minuten wurden Verständnis- und Transferleistungen gemessen. Es zeigten sich komplexe Interaktionsmuster zwischen dem Treatment und positivem und negativem Affekt vor dem Lernen gefunden: Lernende, die vor dem Lernen stark positiv gestimmt waren, zeigten eine bessere Transferleistung, wenn sie in der affekt-erzeugenden Lernumgebung lernten. Berichteten die Lernenden dagegen hohe Ausprägungen von negativem Affekt vor dem Lernen, so sank ihre Verständnisleistung. Dieser Effekt trat nicht auf, wenn in der affekterzeugenden Lernumgebung gelernt wurde. Für Verständnislernen schützte das Treatment daher vor schlechterer Performanz durch stark ausgeprägten negativen aktivierenden Affekt vor dem Lernen. Die Ergebnisse von Experiment 2 weisen darauf hin, dass die Induktion von positivem aktivierenden Affekt das Lernen positiv beeinflusst, wenn man die Affektausprägungen vor dem Lernen berücksichtigt. In Experiment 3 wurde eine konzeptuelle Replikation des vorangegangenen Experiments durchgeführt. Dazu wurde das Studiendesign größtenteils beibehalten, jedoch die verwendeten Lernmaterialien und Lerntests verändert. Analog zu Experiment 2 lernten N = 145 Studierende für 20 Minuten entweder in einer affekterzeugenden oder einer affektneutralen Lernumgebung zum Thema „Eukaryotische Zellen“. Zu Stärkung des Treatments wurden in Experiment 3 neben warmen Farben und runden Formen auch anthropomorphe Designelemente zur Induktion von positivem aktivierenden Affekt verwendet. Zudem wurde eine zusätzliche Messung des positiven und negativen Affektes nach der Hälfte der Lernzeit eingefügt, um die Veränderung des affektiven Erlebens während des Lernens differenzierter zu erfassen. Als Maße für die Lernleistung wurden erneut Verständnis und Transfer sowie die Gedächtnisleistung erhoben. Um den Einfluss potentieller konfundierender Variablen zu kontrollieren wurden zudem die generelle und aktuelle Leistungsmotivation, das Interesse sowie die Emotionsregulation gemessen. Entgegen der Erwartungen, konnte Experiment 3 die Interaktionseffekte aus Experiment 2 nicht bestätigen. Stattdessen zeigte sich ein signifikanter Einfluss des positiven aktivierenden Affektes vor dem Lernen auf die Transferleistung, unabhängig von der Gruppenzugehörigkeit des Lernenden. Dieser Effekt war unabhängig von den erhobenen Kontrollvariablen. Dennoch passen die Ergebnisse in das heterogene Befundmuster, welches sich durch die wenigen experimentellen Studien zu „emotional design“ beim Lernen abzeichnet. KW - Affekt KW - Leistungsmotivation KW - Lernerfolg KW - emotional design KW - positive and negative affect KW - learning outcomes KW - achievement motivation Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-148432 ER - TY - THES A1 - Liesner, Marvin Paul T1 - I control it, but does it mean it is part of me? How the relationship between body movements and controlled object movements influences the sense of agency and the sense of ownership T1 - Ich kontrolliere es, aber ist es deshalb ein Teil von mir? Wie die Umsetzung von Körperbewegungen in Bewegungen von kontrollierten Objekten Sense of agency und Sense of ownership beeinflusst N2 - The “active self” approach suggests that any object we manipulate voluntarily and foreseeably becomes part of our “self” in the sense that we feel control over this object (sense of agency) and experience it as belonging to our own body (sense of ownership). While there is considerable evidence that we can indeed experience both a sense of agency and a sense of ownership over a broad variety of objects when we control these through our actions, the approach has also been criticized for exaggerating the flexibility of the human self. In this thesis, I investigate the influence that the relationship between the body movements controlling an object and the movements of the object itself has on the process of integrating an object into the self. I demonstrate that fully controlling an object is not sufficient for it to be integrated into the self since both explicit and implicit measures of the sense of agency and the sense of ownership indicate less or no integration when body movements are transformed into inverted object movements. Furthermore, I show that such inversions lead to the downregulation of sensory signals either from the body or from the controlled object in order to deal with the conflicting multisensory information when performing such actions. I argue that this downregulation is the underlying factor behind the diminished or eliminated integration of inverted body and object movements and I discuss further pathways for possible future studies building up on these findings. N2 - Der “Active Self”-Ansatz sagt aus, dass jedes Objekt, welches wir willentlich und vorhersehbar manipulieren, Teil unseres „Selbst“ wird in dem Sinne, dass wir Kontrolle über dieses Objekt empfinden (Sense of agency) und es als zu unserem eigenen Körper zugehörig erleben (Sense of ownership). Während es eine beträchtliche Menge an Evidenz dafür gibt, dass wir tatsächlich sowohl Sense of agency als auch Sense of ownership für eine breite Vielfalt an Objekten empfinden können, wenn wir diese durch unsere Handlungen kontrollieren, wurde der Ansatz auch dafür kritisiert die Flexibilität des menschlichen Selbst über zu strapazieren. In dieser Arbeit untersuche ich den Einfluss, den die Beziehung zwischen den Körperbewegungen, welche ein Objekt kontrollieren, und den Bewegungen des Objekts selbst auf den Integrationsprozess eines Objekts in das Selbst hat. Ich demonstriere, dass ein Objekt vollständig zu kontrollieren nicht ausreichend ist, damit es in das Selbst integriert wird, da sowohl explizite als auch implizite Maße für Sense of agency und Sense of ownership weniger oder keine Integration zeigen, wenn Körperbewegungen in invertierte Objektbewegungen transformiert werden. Darüber hinaus zeige ich, dass solche Invertierungen zur Herunterregulierung sensorischer Signale entweder vom Körper oder vom kontrollierten Objekt führen, um mit der konfligierenden multisensorischen Information umzugehen, wenn solche Handlungen ausgeführt werden. Ich argumentiere, dass diese Herunterregulierung der zugrundeliegende Faktor ist für die verringerte oder eliminierte Integration invertierter Körper- und Objektbewegungen und ich diskutiere weitere Richtungen für mögliche zukünftige Studien, die auf diesen Befunden aufbauen. KW - Experimentelle Psychologie KW - Kognitive Psychologie KW - Ideomotorik KW - Sense of agency KW - Sense of ownership KW - Ideomotor KW - Active self KW - Multisensory integration KW - Tactile suppression KW - Tactile gating Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-287030 ER - TY - JOUR A1 - Kirsch, Wladimir A1 - Kunde, Wilfried T1 - Human perception of spatial frequency varies with stimulus orientation and location in the visual field JF - Scientific Reports N2 - Neuroanatomical variations across the visual field of human observers go along with corresponding variations of the perceived coarseness of visual stimuli. Here we show that horizontal gratings are perceived as having lower spatial frequency than vertical gratings when occurring along the horizontal meridian of the visual field, whereas gratings occurring along the vertical meridian show the exact opposite effect. This finding indicates a new peculiarity of processes operating along the cardinal axes of the visual field. KW - neuroscience KW - psychology Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-357888 VL - 13 ER - TY - JOUR A1 - Riechelmann, Eva A1 - Gamer, Matthias A1 - Böckler, Anna A1 - Huestegge, Lynn T1 - How ubiquitous is the direct-gaze advantage? Evidence for an averted-gaze advantage in a gaze-discrimination task JF - Attention, Perception, & Psychophysics N2 - Human eye gaze conveys an enormous amount of socially relevant information, and the rapid assessment of gaze direction is of particular relevance in order to adapt behavior accordingly. Specifically, previous research demonstrated evidence for an advantage of processing direct (vs. averted) gaze. The present study examined discrimination performance for gaze direction (direct vs. averted) under controlled presentation conditions: Using a backward-masking gaze-discrimination task, photographs of faces with direct and averted gaze were briefly presented, followed by a mask stimulus. Additionally, effects of facial context on gaze discrimination were assessed by either presenting gaze direction in isolation (i.e., by only showing the eye region) or in the context of an upright or inverted face. Across three experiments, we consistently observed a facial context effect with highest discrimination performance for faces presented in upright position, lower performance for inverted faces, and lowest performance for eyes presented in isolation. Additionally, averted gaze was generally responded to faster and with higher accuracy than direct gaze, indicating an averted-gaze advantage. Overall, the results suggest that direct gaze is not generally associated with processing advantages, thereby highlighting the important role of presentation conditions and task demands in gaze perception. KW - social cognition KW - gaze processing KW - averted gaze KW - direct gaze KW - gaze discrimination Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-235268 SN - 1943-3921 VL - 83 ER - TY - THES A1 - Krieglmeyer, Regina T1 - How to Overcome Frustration? The Influence of Frustration on Motivational Orientation and Motivational Intensity T1 - Wie überwindet man Frustration? Der Einfluss von Frustration auf motivationale Orientierung und motivationale Intensität N2 - Frustration has been investigated since the early beginnings of psychological research. Yet, it is still unclear how frustration influences the two main parameters of motivation, i.e., orientation (approach-avoidance) and intensity. Some theories propose that controllable frustration increases approach motivation, thereby maintaining motivational intensity. In contrast, other theories propose that the perception of obstacles immediately elicits an avoidance orientation because of the negative valence of the perceptual input. Yet, the latter theories can not explain how motivational intensity is maintained upon encountering obstacles. The aim of the present thesis is to integrate previous contradicting assumptions by describing the influence of frustration on motivational orientation and motivational intensity on the basis of a two-system model of behavior. The definition of frustration as an unexpected obstacle blocking the attainment of an anticipated gratification implies that the obstacle is immediately perceived, whereas the goal is only represented in working memory. According to two-system models, these two types of representations influence different levels of behavior regulation. Whereas spontaneous approach-avoidance tendencies are mainly determined by the valence of the perceptual input, decisions to engage effort to reach the goal are based on knowledge about goals and appraisals of controllability of obstacles. Supporting this theorizing, six experiments demonstrated that frustration immediately activates avoidance tendencies. This was true for frustration of approach goals as well as for frustration of avoidance goals. Furthermore, this effect did not depend on the type of frustration feedback, and was found when approach-avoidance tendencies were measured after completion of goal pursuit as well as while overcoming frustration. In addition, approaching obstacles impaired performance in a subsequent task, suggesting that approaching obstacles consumed cognitive resources. This further supports the assumption that obstacles immediately activate avoidance tendencies. Furthermore, dispositional action-state orientation, which has been previously shown to moderate automatic affective reactions, influenced approach-avoidance tendencies, indicating that affect mediates the impact of frustration on behavioral tendencies. Finally, manipulations of controllability of frustration did not influence spontaneous approach-avoidance tendencies, but measures of motivational intensity such as decisions to engage more effort as well as activation of goal-relevant behavioral schemata. In sum, these findings support the assumptions that immediately elicited motivational orientations are mainly a function of the valence of perceptual input, whereas behavior to reach the goal (i.e. motivational intensity) is regulated by working memory representations such as appraisals of goal expectancy. Motivational orientations may serve to prepare organisms for quick reactions to sudden, unexpected occurrences, whereas behavior regulation based on goal appraisals may provide stability and flexibility in long-term goal pursuit. N2 - Frustration wird seit den Anfängen psychologischer Forschung untersucht. Jedoch ist es noch unklar, wie Frustration die beiden Hauptparameter von Motivation, nämlich Orientierung (Annäherung-Vermeidung) und Intensität, beeinflusst. Manche Theorien nehmen an, dass kontrollierbare Frustration zu einer Zunahme von Annäherungsmotivation führt, und dass dadurch motivationale Intensität aufrechterhalten wird. Im Gegensatz dazu folgt aus anderen Theorien, dass die Wahrnehmung von Hindernissen unmittelbar eine Vermeidungsorientierung auslöst, da Hindernisse eine negative Valenz haben. Allerdings können diese Theorien nicht erklären, wie motivationale Intensität bei der Konfrontation mit Hindernissen aufrechterhalten wird. Das Ziel der vorliegenden Dissertation ist bisherige widersprechende Annahmen zu integrieren, indem der Einfluss von Frustration auf motivationale Orientierung und motivationale Intensität auf der Grundlage von Zwei-System-Modellen beschrieben wird. Die Definition von Frustration als ein unerwartetes Hindernis, welches das Erreichen einer antizipierten Belohnung blockiert, impliziert, dass das Hindernis unmittelbar wahrgenommen wird, während das Ziel nur im Arbeitsgedächtnis repräsentiert wird. Nach Zwei-System-Modellen beeinflussen diese beiden Arten von Repräsentationen unterschiedliche Ebenen der Verhaltensregulation. Während spontane Verhaltenstendenzen hauptsächlich von der Valenz des perzeptuellen Inputs determiniert werden, basieren Entscheidungen bzgl. der weiteren Zielverfolgung auf Wissen über Ziele und Einschätzungen der Kontrollierbarkeit von Hindernissen. Als Beleg für diese Annahmen wurde in sechs Experimenten gezeigt, dass Frustration unmittelbar Vermeidungstendenzen aktiviert. Dieser Zusammenhang wurde sowohl bei Frustration von Annäherungszielen, als auch bei Frustration von Vermeidungszielen gefunden. Weiterhin war dieser Effekt unabhängig von der Art des Frustrationsfeedbacks und wurde beobachtet, wenn Verhaltenstendenzen nach der Zielverfolgung erfasst wurden als auch wenn Verhaltenstendenzen während des Überwindens von Hindernissen erfasst wurden. Ferner führte Annäherung an Hindernisse zu einer Verschlechterung der Leistung in einer nachfolgenden Aufgabe. Dies deutet darauf hin, dass Annäherungsreaktionen kognitive Ressourcen verbrauchen, was ein weiterer Beleg ist für die Annahme, dass Hindernisse unmittelbar Vermeidung aktivieren. Außerdem moderierte dispositionelle Handlungs-Lageorientierung spontane Annäherungs-Vermeidungstendenzen. Da frühere Forschung gezeigt hat, dass Handlungs-Lageorientierung automatische affektive Reaktion moderiert, ist dieser Befund ein Hinweis darauf, dass der Einfluss von Frustration auf spontane Annäherungs-Vermeidungstendenzen durch Affekt mediiert wird. Schließlich beeinflussten Manipulationen der Kontrollierbarkeit von Frustration nicht spontane Annäherungs-Vermeidungstendenzen, wohl aber Maße der motivationalen Intensität wie Entscheidungen bzgl. der Zielverfolgung und Aktivierung zielrelevanter Verhaltensschemata. Zusammengefasst belegen diese Befunde die Annahmen, dass unmittelbar ausgelöste motivationale Orientierungen hauptsächlich eine Funktion der Valenz des perzeptuellen Inputs sind, während Verhalten zur Zielerreichung (motivationale Intensität) von Repräsentationen des Arbeitsgedächtnisses wie Einschätzungen der Zielerreichbarkeit reguliert wird. Motivationale Orientierungen haben vermutlich die Funktion, Organismen auf schnelle Reaktionen auf plötzliche, unerwartete Ereignisse vorzubereiten, während Verhaltensregulation basierend auf Zieleinschätzungen Stabilität und Flexibilität in der Zielverfolgung ermöglicht. KW - Sozialpsychologie KW - Motivation KW - Frustration KW - Ärger KW - Social Cognition KW - Motivation KW - Frustration KW - Anger Y1 - 2007 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-27841 ER - TY - THES A1 - Weller, Lisa T1 - How to not act? Cognitive foundations of intentional nonactions T1 - Wie handelt man nicht? - Kognitive Grundlagen von intentionalen Nichthandlungen N2 - Human actions are generally not determined by external stimuli, but by internal goals and by the urge to evoke desired effects in the environment. To reach these effects, humans typically have to act. But at times, deciding not to act can be better suited or even the only way to reach a desired effect. What mental processes are involved when people decide not to act to reach certain effects? From the outside it may seem that nothing remarkable is happening, because no action can be observed. However, I present three studies which disclose the cognitive processes that control nonactions. The present experiments address situations where people intentionally decide to omit certain actions in order to produce a predictable effect in the environment. These experiments are based on the ideomotor hypothesis, which suggests that bidirectional associations can be formed between actions and the resulting effects. Because of these associations, anticipating the effects can in turn activate the respective action. The results of the present experiments show that associations can be formed between nonactions (i.e., the intentional decision not to act) and the resulting effects. Due to these associations, perceiving the nonaction effects encourages not acting (Exp. 1–3). What is more, planning a nonaction seems to come with an activation of the effects that inevitably follow the nonaction (Exp. 4–5). These results suggest that the ideomotor hypothesis can be expanded to nonactions and that nonactions are cognitively represented in terms of their sensory effects. Furthermore, nonaction effects can elicit a sense of agency (Exp. 6–8). That is, even though people refrain from acting, the resulting nonaction effects are perceived as self-produced effects. In a nutshell, these findings demonstrate that intentional nonactions include specific mechanisms and processes, which are involved, for instance, in effect anticipation and the sense of agency. This means that, while it may seem that nothing remarkable is happening when people decide not to act, complex processes run on the inside, which are also involved in intentional actions. N2 - Menschliches Verhalten ist im Allgemeinen nicht reizbestimmt, sondern zielgerichtet und hat die Absicht gewünschte Effekte in der Umwelt hervorzurufen. Häufig müssen Menschen eine Handlung ausführen, um diese Effekte zu erreichen. Manche Effekte können allerdings besser oder sogar nur dann erreicht werden, wenn man sich entscheidet nicht zu handeln. Welche mentalen Prozesse finden aber statt, wenn Menschen sich entscheiden nicht zu handeln? Oberflächlich betrachtet scheint es als würde nichts weiter Bemerkenswertes ablaufen, da keine Handlung zu beobachten ist. In drei Experimentalreihen zeige ich aber die kognitiven Prozesse auf, die das Nichthandeln kontrollieren. In den vorliegenden Experimenten werden Situationen untersucht, in denen sich Menschen entscheiden nicht zu handeln, um vorhersehbare Effekte zu erzeugen. Die Experimente basieren auf der ideomotorischen Hypothese, die annimmt, dass bidirektionale Assoziationen zwischen Handlungen und den resultierenden Effekten gebildet werden können. Dadurch kann eine Vorstellung der Effekte wiederum die verbundene Handlung hervorrufen. Die Ergebnisse zeigen, dass Assoziationen auch zwischen Nichthandlungen und den daraus resultierenden Effekten gebildet werden können. Diese Assoziationen führen dazu, dass die Wahrnehmung der Effekte selbst die Nichthandlung hervorrufen kann (Exp. 1–3). Außerdem scheint die Planung einer Nichthandlung automatisch eine Vorstellung der assoziierten Effekte zu aktivieren (Exp. 4–5). Diese Befunde legen nahe, dass die ideomotorische Hypothese auch auf Nichthandlungen übertragen werden kann und dass Nichthandlungen kognitiv durch die Effekte, die sie hervorrufen, repräsentiert sind. Darüber hinaus scheinen Menschen ein Verursachungsgefühl (“Sense of Agency”) für die Effekte ihrer Nichthandlungen zu haben (Exp. 6–8). Das bedeutet, dass die resultierenden Effekte (obwohl nicht gehandelt wurde) wie selbsterzeugte Effekte wahrgenommen werden können. Zusammenfassend zeigen die Experimente, dass intentionale Nichthandlungen von spezifischen Mechanismen und Prozessen begleitet werden, die z.B. bei der Effektantizipation und dem Sense of Agency involviert sind. Obwohl es also von außen so scheint, als würde nichts Bemerkenswertes passieren, wenn Menschen intentional nicht handeln, laufen im Inneren komplexe Prozesse ab wie beim intentionalen Handeln. KW - Intention KW - Kognition KW - Ideomotor Theory KW - Sense of Agency KW - Intentional Nonaction KW - Ideomotorik KW - Intentionale Nichthandlung KW - Aktionsforschung KW - Experimentelle Psychologie Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-176678 ER - TY - JOUR A1 - Pfister, Roland A1 - Foerster, Anna T1 - How to measure post-error slowing: The case of pre-error speeding JF - Behavior Research Methods N2 - Post-error slowing is one of the most widely employed measures to study cognitive and behavioral consequences of error commission. Several methods have been proposed to quantify the post-error slowing effect, and we discuss two main methods: The traditional method of comparing response times in correct post-error trials to response times of correct trials that follow another correct trial, and a more recent proposal of comparing response times in correct post-error trials to the corresponding correct pre-error trials. Based on thorough re-analyses of two datasets, we argue that the latter method provides an inflated estimate by also capturing the (partially) independent effect of pre-error speeding. We propose two solutions for improving the assessment of human error processing, both of which highlight the importance of distinguishing between initial pre-error speeding and later post-error slowing. KW - response-time analysis KW - post-error slowing KW - pre-error speeding KW - performance monitoring Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-273244 SN - 1554-3528 VL - 54 IS - 1 ER - TY - JOUR A1 - Pfister, Robert A1 - Klaffehn, Annika L. A1 - Kalckert, Andreas A1 - Kunde, Winfried A1 - Dignath, David T1 - How to lose a hand: Sensory updating drives disembodiment JF - Psychonomic Bulletin & Review N2 - Body representations are readily expanded based on sensorimotor experience. A dynamic view of body representations, however, holds that these representations cannot only be expanded but that they can also be narrowed down by disembodying elements of the body representation that are no longer warranted. Here we induced illusory ownership in terms of a moving rubber hand illusion and studied the maintenance of this illusion across different conditions. We observed ownership experience to decrease gradually unless participants continued to receive confirmatory multisensory input. Moreover, a single instance of multisensory mismatch – a hammer striking the rubber hand but not the real hand – triggered substantial and immediate disembodiment. Together, these findings support and extend previous theoretical efforts to model body representations through basic mechanisms of multisensory integration. They further support an updating model suggesting that embodied entities fade from the body representation if they are not refreshed continuously. KW - body representation KW - embodiment KW - disembodiment KW - moving rubber-hand illusion Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-235195 SN - 1069-9384 VL - 28 ER - TY - THES A1 - Chen, Xinyu T1 - How natural walking changes occipital alpha oscillations and concurrently modulates cognitive processes T1 - Die Auswirkungen natürlichen Gehens auf okzipitale Alpha-Oszillationen bei gleichzeitiger Modulation kognitiver Prozesse N2 - Humans actively interact with the world through a wide range of body movements. To understand human cognition in its natural state, we need to incorporate ecologically relevant body movement into our account. One fundamental body movement during daily life is natural walking. Despite its ubiquity, the impact of natural walking on brain activity and cognition has remained a realm underexplored. In electrophysiology, previous studies have shown a robust reduction of ongoing alpha power in the parieto-occipital cortex during body movements. However, what causes the reduction of ongoing alpha, namely whether this is due to body movement or prevalent sensory input changes, was unknown. To clarify this, study 1 was performed to test if the alpha reduction is dependent on visual input. I compared the resting state alpha power during natural walking and standing, in both light and darkness. The results showed that natural walking led to decreased alpha activity over the occipital cortex compared to standing, regardless of the lighting condition. This suggests that the movement-induced modulation of occipital alpha activity is not driven by visual input changes during walking. I argue that the observed alpha power reduction reflects a change in the state of the subject based on disinhibition induced by walking. Accordingly, natural walking might enhance visual processing and other cognitive processes that involve occipital cortical activity. I first tested this hypothesis in vision. Study 2 was performed to examine the possible effects of natural walking across visual processing stages by assessing various neural markers during different movement states. The findings revealed an amplified early visual response, while a later visual response remain unaffected. A follow-up study 3 replicated the walking-induced enhancement of the early visual evoked potential and showed that the enhancement was dependent on specific stimulus-related parameters (eccentricity, laterality, distractor presence). Importantly, the results provided evidence that the enhanced early visual responses are indeed linked to the modulation of ongoing occipital alpha power. Walking also modulated the stimulus-induced alpha power. Specifically, it showed that when the target appeared in the fovea area without a distractor, walking exhibited a significantly reduced modulation of alpha power, and showed the largest difference to standing condition. This effect of eccentricity indicates that during later visual processing stages, the visual input in the fovea area is less processed than in peripheral areas while walking. The two visual studies showed that walking leads to an enhancement in temporally early visual processes which can be predicted by the walking-induced change in ongoing alpha oscillation likely marking disinhibition. However, while walking affects neural markers of early sensory processes, it does not necessarily lead to a change in the behavioural outcome of a sensory task. The two visual studies suggested that the behavioural outcome seems to be mainly based on later processing stages. To test the effects of walking outside the visual domain, I turned to audition in study 4. I investigated the influence of walking in a particular path vs. simply stepping on auditory processing. Specifically, the study tested whether enhanced processing due to natural walking can be found in primary auditory brain activity and whether the processing preferences are dependent on the walking path. In addition, I tested whether the changed spatial processing that was reported in previous visual studies can be seen in the auditory domain. The results showed enhanced sensory processing due to walking in the auditory domain, which was again linked to the modulation of occipital alpha oscillation. The auditory processing was further dependent on the walking path. Additionally, enhanced peripheral sensory processing, as found in vision, was also present in audition. The findings outside vision supported the idea of natural walking affecting cognition in a rather general way. Therefore in my study 5, I examined the effect of natural walking on higher cognitive processing, namely divergent thinking, and its correlation with the modulation of ongoing alpha oscillation. I analyzed alpha oscillations and behavioural performance during restricted and unrestricted movement conditions while subjects completed a Guilford's alternate uses test. The results showed that natural walking, as well as missing body restriction, reduces the occipital alpha ongoing power independent of the task phase which goes along with higher test scores. The occipital alpha power reduction can therefore be an indicator of a changed state that allows improved higher cognitive processes. In summary, the research presented in this thesis highlights that natural walking can change different processes in the visual and auditory domain as well as higher cognitive processes. The effect can be attributed to the movement of natural walking itself rather than to changes in sensory input during walking. The results further indicate that the walking-induced modulation of ongoing occipital alpha oscillations drives the cognitive effects. We therefore suggest that walking changes the inhibitory state which can influence awareness and attention. Such a mechanism could facilitate an adaptive enhancement in cognitive processes and thereby optimize movement-related behaviour such as navigation. N2 - Menschen interagieren aktiv mit der Welt durch eine breite Palette von Körperbewegungen. Um die menschliche Kognition in ihrem natürlichen Zustand zu verstehen, müssen wir ökologisch relevante Körperbewegungen in unsere Betrachtung einbeziehen. Eine grundlegende Körperbewegung im täglichen Leben ist das natürliche Gehen. Trotz seiner Allgegenwärtigkeit ist die Auswirkung des natürlichen Gehens auf die Gehirnaktivität und die Kognition weitgehend unerforscht geblieben. In der Elektrophysiologie haben frühere Studien eine robuste Reduktion der laufenden Alpha-Leistung im parieto-okzipitalen Cortex während Körperbewegungen gezeigt. Es war jedoch unbekannt, was die Reduktion des laufenden Alpha verursacht, nämlich ob dies auf Körperbewegung oder vorherrschende sensorische Eingangsänderungen zurückzuführen ist. Um dies zu klären, wurde Studie 1 durchgeführt, um zu testen, ob die Alpha-Reduktion von visuellem Input abhängig ist. Ich verglich die Alpha-Leistung im Ruhezustand beim natürlichen Gehen und Stehen, sowohl bei Licht als auch im Dunkeln. Die Ergebnisse zeigten, dass natürliches Gehen zu einer verminderten Alpha-Aktivität über dem okzipitalen Cortex im Vergleich zum Stehen führte, unabhängig von den Lichtverhältnissen. Dies legt nahe, dass die bewegungsinduzierte Modulation der okzipitalen Alpha-Aktivität nicht durch visuelle Veränderungen während des Gehens verursacht wird. Ich argumentiere, dass die beobachtete Reduktion der Alpha-Leistung eine Veränderung des Zustands der Versuchsperson aufgrund der durch das Gehen induzierten Hemmung widerspiegelt. Natürliches Gehen könnte daher die visuelle Verarbeitung und andere kognitive Prozesse, die die Aktivität des okzipitalen Cortex umfassen, verstärken. Ich habe diese Hypothese zuerst im Bereich der Vision getestet. Studie 2 wurde durchgeführt, um die möglichen Auswirkungen des natürlichen Gehens auf verschiedene neurale Marker in verschiedenen Bewegungszuständen zu untersuchen. Die Ergebnisse zeigten eine verstärkte frühe visuelle Reaktion, während eine spätere visuelle Reaktion unverändert blieb. Eine Nachfolgestudie 3 replizierte die durch das Gehen induzierte Verstärkung des frühen visuellen ereigniskorrelierten Potenzials und zeigte, dass die Verstärkung von spezifischen stimuliabhängigen Parametern abhängig war (Exzentrizität, Lateralität, Vorhandensein von Störreizen). Die Ergebnisse lieferten wichtige Hinweise darauf,dass die verstärkten frühen visuellen Reaktionen tatsächlich mit der Modulation der laufenden Alpha-Leistung im okzipitalen Cortex zusammenhängen. Das Gehen modulierte auch die stimuliinduzierte Alpha-Leistung. Insbesondere zeigte sich, dass bei Erscheinen des Ziels im fovealen Bereich ohne Störreiz das Gehen eine signifikant reduzierte Modulation der Alpha-Leistung aufwies und den größten Unterschied zum Stehzustand zeigte. Dieser Exzentrizitätseffekt deutet darauf hin, dass während späterer visueller Verarbeitungsstadien die visuelle Eingabe im Fovealbereich weniger verarbeitet wird als in peripheren Bereichen während des Gehens. Die beiden visuellen Studien zeigten, dass Gehen zu einer Verstärkung früher visueller Prozesse führt, die durch die durch das Gehen verursachte Veränderung der laufenden Alpha-Oszillation wahrscheinlich markiert werden. Allerdings beeinflusst Gehen zwar neuronale Marker früher sensorischer Prozesse, führt aber nicht zwangsläufig zu einer Veränderung des Verhaltensergebnisses einer sensorischen Aufgabe. Die beiden visuellen Studien legen nahe, dass das Verhaltensergebnis hauptsächlich auf späteren Verarbeitungsstadien beruht. Um die Auswirkungen des Gehens außerhalb des visuellen Bereichs zu testen, wandte ich mich in Studie 4 der Auditierung zu. Ich untersuchte den Einfluss des Gehens auf einen bestimmten Pfad im Vergleich zum einfachen Schritt auf die auditive Verarbeitung. Die Studie testete speziell, ob eine verbesserte Verarbeitung aufgrund des natürlichen Gehens in der primären auditorischen Hirnaktivität gefunden werden kann und ob die Verarbeitungspräferenzen vom Gehpfad abhängen. Darüber hinaus habe ich getestet, ob die in früheren visuellen Studien berichtete veränderte räumliche Verarbeitung auch im auditiven Bereich beobachtet werden kann. Die Ergebnisse zeigten eine verbesserte sensorische Verarbeitung aufgrund des Gehens im auditiven Bereich, die erneut mit der Modulation der okzipitalen Alpha-Oszillation in Verbindung stand. Die auditive Verarbeitung war auch vom Gehpfad abhängig. Darüber hinaus wurde eine verbesserte periphere sensorische Verarbeitung, wie sie in der Vision gefunden wurde, auch in der Auditierung beobachtet. Die außerhalb des visuellen Bereichs gefundenen Ergebnisse unterstützen die Idee, dass natürliches Gehen die Kognition auf eher allgemeine Weise beeinflusst. Daher habe ich in meiner Studie 5 die Wirkung des natürlichen Gehens auf höhere kognitive Prozesse untersucht, nämlich das divergente Denken, und seine Korrelation mit der Modulation der laufenden Alpha-Oszillation. Ich analysierte Alpha-Oszillationen und Verhaltensleistungen während eingeschränkter und uneingeschränkter Bewegungsbedingungen, während Versuchspersonen einen Guilford-Test für alternative Verwendungsmöglichkeiten absolvierten. Die Ergebnisse zeigten, dass natürliches Gehen sowie das Fehlen von Körperbeschränkungen die laufende Alpha-Leistung im okzipitalen Bereich unabhängig von der Aufgabenphase reduziert, was mit höheren Testergebnissen einhergeht. Die Reduktion der okzipitalen Alpha-Leistung kann daher ein Indikator für einen veränderten Zustand sein, der eine Verbesserung der höheren kognitiven Prozesse ermöglicht. Zusammenfassend hebt die in dieser Arbeit präsentierte Forschung hervor, dass natürliches Gehen verschiedene Prozesse im visuellen und auditiven Bereich sowie höhere kognitive Prozesse verändern kann. Die Wirkung kann auf die Bewegung des natürlichen Gehens selbst zurückgeführt werden, und nicht auf Veränderungen im sensorischen Input während des Gehens. Die Ergebnisse deuten weiterhin darauf hin, dass die durch das Gehen verursachte Modulation laufender Alpha-Oszillationen im okzipitalen Bereich die kognitiven Effekte antreibt. Daher schlagen wir vor, dass Gehen den hemmenden Zustand verändert, der das Bewusstsein und die Aufmerksamkeit beeinflussen kann. Ein solcher Mechanismus könnte eine adaptive Verbesserung in kognitiven Prozessen fördern und somit verhaltensbezogene Bewegungen wie die Navigation optimieren. KW - Walking KW - Alpha power KW - Mobie EEG KW - Body movement KW - Cognitive processing KW - Natural walking KW - Kognition KW - Cognition KW - Alpha Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-352958 ER - TY - THES A1 - Brych, Mareike Kimberly T1 - How movements and cognition interact: An investigation of spontaneous blinks T1 - Wie Bewegung und Kognition interagieren: Eine Untersuchung spontaner Lidschläge N2 - During natural behavior, cognitive processes constantly coincide with body movements such as head or eye movements or blinks. However, during experimental investigations of cognitive processes, movements are often highly restricted which is rather unnatural. In order to improve our understanding of natural behavior, this thesis investigates the interaction between cognition and movements by focusing on spontaneous blinks, which naturally interact with other body movements. Spontaneous blinks are inevitably connected to vision as they shut out incoming visual information. Both sensory-based and cognitive factors, for example, stimulus occurrence and evaluation, were reported to influence blink behavior. Our first study investigated if such influences are comparable for visual and non-visual input. The chosen experimental design allowed dissociating sensory-driven and cognitive influences, which then could be compared between the visual and auditory domain. Our results show that blinks are more strongly modulated during passive observation of visual input compared to auditory input. This modulation is however enhanced for both input modalities by an increased attentional demand. In addition, the cognitively defined meaning of a stimulus changes blink latency independent of the sensory domain. Overall, our findings show that spontaneous blinks and cognitive processes are linked beyond vision. Moreover, the underlying cognitive processes that influence blinks are largely the same across different sensory input indicating that blinks are profoundly integrated into our system. When investigating natural behavior, it is important to consider that movements rarely occur in isolation, but are executed side by side. As these movements interact and have a link to cognitive processes, the complexity of our system increases. In order to take this complexity into account, the second part of the experimental research focused on movement interactions, more specifically on the interactions between blinks, pupil size and speaking. Our results reveal that speech-related motor activity increases blink rate and pupil size as well as modulates blink timing. This is in line with previous research that described a relation between different body and eye movements. Importantly, each bodily-induced change in eye movements affects visual information intake. Therefore, different movements can be tightly linked to perceptual processes through complex interactions. Altogether, the work of this thesis provides rich evidence that movements and cognitive processes are deeply intertwined. Therefore, movements should be seen as an integral part of our system. Taking the relevance of movements and their interactions into account during experimental investigations is necessary in order to reveal a more realistic and complete picture of human natural behavior. N2 - Während unseres natürlichen Verhaltens werden kognitive Prozesse und Körperbewegungen wie Kopf- oder Augenbewegungen oder Lidschläge parallel ausgeführt. Allerdings werden Bewegungen in experimentellen Untersuchungen zu kognitiven Prozessen meist stark eingeschränkt, was unnatürlich ist. Um natürliches Verhalten besser zu verstehen, wird in dieser Dissertation die Interaktion zwischen Kognition und Bewegung untersucht. Der Fokus liegt auf spontanen Lidschlägen, die auch mit anderen Körperbewegungen auf natürliche Weise interagieren. Das Blinzeln ist unweigerlich mit dem Sehen verbunden, da bei jedem Lidschluss die Informationsaufnahme unterbrochen wird. Frühere Forschungsergebnisse zeigten, dass sowohl sensorische als auch kognitive Faktoren, wie beispielsweise Reizpräsentation und -evaluation, das Blinzeln beeinflussen können. Die erste Studie dieser Dissertation untersuchte, ob dieselben Einflüsse auf das Blinzeln wirken, wenn auch nicht-visuelle Informationen präsentiert werden. Das gewählte Versuchsdesign erlaubte rein sensorische von kognitiven Einflüssen auf das Blinzeln zu trennen. Diese Einflüsse konnten wiederum zwischen visuellem und auditivem Input verglichen werden. Unsere Ergebnisse zeigen, dass das Blinzeln stärker bei visuellem als bei auditivem Input angepasst wird, wenn dieser nur passiv verfolgt wird. Sobald allerdings Aufmerksamkeit auf den Input gerichtet wird, wird diese Anpassung an den sensorischen Input in beiden Modalitäten auf ähnliche Weise verstärkt. Zusätzlich wird der Zeitpunkt des Blinzelns durch die kognitive Bewertung der Reize verzögert - unabhängig davon, ob ein Reiz visuell oder auditiv präsentiert wird. Insgesamt legen unsere Experimente dar, dass das spontane Blinzeln und kognitive Prozesse über das Sehen hinaus miteinander verknüpft sind. Die zu Grunde liegenden kognitiven Prozesse, die das Blinzeln beeinflussen, sind sogar weitgehend dieselben bei unterschiedlichem sensorischen Input. Das Blinzeln scheint demnach tiefgreifend in unser System integriert zu sein. Ein weiterer wichtiger Aspekt natürlichen Verhaltens ist die gleichzeitige Ausübung mehrerer Bewegungen. Da diese Bewegungen miteinander interagieren und eine Verbindung zu kognitiven Prozessen besteht, erhöht sich die Komplexität unseres Systems. Im zweiten Teil der experimentellen Untersuchungen wurden daher Bewegungsinteraktionen in den Vordergrund gestellt. Die präsentierten Studien haben insbesondere den Einfluss verschiedener Bewegungsaspekte des Sprechens auf unser spontanes Blinzeln bzw. auf die Pupillengröße untersucht. Unsere Ergebnisse zeigen, dass sprechbezogene Bewegungen sowohl die Anzahl der Lidschlüsse als auch die Pupillengröße erhöhen, sowie den Zeitpunkt der Lidschlüsse beeinflussen. Auch andere Forscher fanden solche Zusammenhänge zwischen verschiedenen Körper- und Augenbewegungen. Da jede vom Körper verursachte Veränderung der Augenbewegung zudem unsere visuelle Reizaufnahme verändert, kann man schlussfolgern, dass verschiedene Bewegungen und deren komplexe Interaktionen eng mit unserer Wahrnehmung verbunden sind. Alles in allem liefert diese Arbeit weitreichende Beweise, wie stark Bewegungen und kognitive Prozesse miteinander verwoben sind. Daher sollten Bewegungen als wesentlicher Teil unseres Systems angesehen werden. Wir müssen daher die Bedeutung von Bewegungen und deren Interaktionen in experimentelle Forschung einbeziehen, um ein realistischeres und kompletteres Bild unseres natürlichen Verhaltens zu enthüllen. KW - Kognition KW - Lidschlag KW - Augenbewegung KW - spontaneous blinks KW - movement interaction KW - Wahrnehmung KW - Aufmerksamkeit Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-267376 ER - TY - JOUR A1 - Liesner, Marvin A1 - Hinz, Nina-Alisa A1 - Kunde, Wilfried T1 - How Action Shapes Body Ownership Momentarily and Throughout the Lifespan JF - Frontiers in Human Neuroscience N2 - Objects which a human agent controls by efferent activities (such as real or virtual tools) can be perceived by the agent as belonging to his or her body. This suggests that what an agent counts as “body” is plastic, depending on what she or he controls. Yet there are possible limitations for such momentary plasticity. One of these limitations is that sensations stemming from the body (e.g., proprioception) and sensations stemming from objects outside the body (e.g., vision) are not integrated if they do not sufficiently “match”. What “matches” and what does not is conceivably determined by long–term experience with the perceptual changes that body movements typically produce. Children have accumulated less sensorimotor experience than adults have. Consequently, they express higher flexibility to integrate body-internal and body-external signals, independent of their “match” as suggested by rubber hand illusion studies. However, children’s motor performance in tool use is more affected by mismatching body-internal and body-external action effects than that of adults, possibly because of less developed means to overcome such mismatches. We review research on perception-action interactions, multisensory integration, and developmental psychology to build bridges between these research fields. By doing so, we account for the flexibility of the sense of body ownership for actively controlled events and its development through ontogeny. This gives us the opportunity to validate the suggested mechanisms for generating ownership by investigating their effects in still developing and incomplete stages in children. We suggest testable predictions for future studies investigating both body ownership and motor skills throughout the lifespan. KW - body ownership KW - attentional reweighting KW - children KW - haptic neglect KW - ideomotor theory KW - ontogeny KW - perception and action Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-241869 SN - 1662-5161 VL - 15 ER - TY - JOUR A1 - Foerster, Anna A1 - Pfister, Roland A1 - Schmidts, Constantin A1 - Dignath, David A1 - Kunde, Wilfried T1 - Honesty saves time (and justifications) JF - Frontiers in Psychology N2 - A commentary on Honesty requires time (and lack of justifications) by Shalvi, S., Eldar, O., and Bereby-Meyer, Y. (2012). Psychol. Sci. 23, 1264–1270. doi: 10.1177/0956797612443835 KW - honesty Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-190451 SN - 1664-1078 VL - 4 ER - TY - JOUR A1 - Gromer, Daniel A1 - Madeira, Octávia A1 - Gast, Philipp A1 - Nehfischer, Markus A1 - Jost, Michael A1 - Müller, Mathias A1 - Mühlberger, Andreas A1 - Pauli, Paul T1 - Height Simulation in a Virtual Reality CAVE System: Validity of Fear Responses and Effects of an Immersion Manipulation JF - Frontiers in Human Neuroscience N2 - Acrophobia is characterized by intense fear in height situations. Virtual reality (VR) can be used to trigger such phobic fear, and VR exposure therapy (VRET) has proven effective for treatment of phobias, although it remains important to further elucidate factors that modulate and mediate the fear responses triggered in VR. The present study assessed verbal and behavioral fear responses triggered by a height simulation in a 5-sided cave automatic virtual environment (CAVE) with visual and acoustic simulation and further investigated how fear responses are modulated by immersion, i.e., an additional wind simulation, and presence, i.e., the feeling to be present in the VE. Results revealed a high validity for the CAVE and VE in provoking height related self-reported fear and avoidance behavior in accordance with a trait measure of acrophobic fear. Increasing immersion significantly increased fear responses in high height anxious (HHA) participants, but did not affect presence. Nevertheless, presence was found to be an important predictor of fear responses. We conclude that a CAVE system can be used to elicit valid fear responses, which might be further enhanced by immersion manipulations independent from presence. These results may help to improve VRET efficacy and its transfer to real situations. KW - anxiety KW - fear behavior KW - virtual reality KW - presence KW - immersion KW - acrophobia Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-196113 SN - 1662-5161 VL - 12 IS - 372 ER - TY - JOUR A1 - Käthner, Ivo A1 - Bader, Thomas A1 - Pauli, Paul T1 - Heat pain modulation with virtual water during a virtual hand illusion JF - Scientific Reports N2 - Immersive virtual reality is a powerful method to modify the environment and thereby influence experience. The present study used a virtual hand illusion and context manipulation in immersive virtual reality to examine top-down modulation of pain. Participants received painful heat stimuli on their forearm and placed an embodied virtual hand (co-located with their real one) under a virtual water tap, which dispensed virtual water under different experimental conditions. We aimed to induce a temperature illusion by a red, blue or white light suggesting warm, cold or no virtual water. In addition, the sense of agency was manipulated by allowing participants to have high or low control over the virtual hand’s movements. Most participants experienced a thermal sensation in response to the virtual water and associated the blue and red light with cool/cold or warm/hot temperatures, respectively. Importantly, the blue light condition reduced and the red light condition increased pain intensity and unpleasantness, both compared to the control condition. The control manipulation influenced the sense of agency, but did not influence pain ratings. The large effects revealed in our study suggest that context effects within an embodied setting in an immersive virtual environment should be considered within VR based pain therapy. KW - Cognitive neuroscience KW - Neuroscience KW - Psychology Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-202221 VL - 9 ER - TY - JOUR A1 - Ju, Qianqian A1 - Gan, Yiqun A1 - Rinn, Robin A1 - Duan, Yanping A1 - Lippke, Sonia T1 - Health Status Stability of Patients in a Medical Rehabilitation Program: What Are the Roles of Time, Physical Fitness Level, and Self-efficacy? JF - International Journal of Behavioral Medicine N2 - Background Individuals’ physical and mental health, as well as their chances of returning to work after their ability to work is damaged, can be addressed by medical rehabilitation. Aim This study investigated the developmental trends of mental and physical health among patients in medical rehabilitation and the roles of self-efficacy and physical fitness in the development of mental and physical health. Design A longitudinal design that included four time-point measurements across 15 months. Setting A medical rehabilitation center in Germany. Population Participants included 201 patients who were recruited from a medical rehabilitation center. Methods To objectively measure physical fitness (lung functioning), oxygen reabsorption at anaerobic threshold (VO2AT) was used, along with several self-report scales. Results We found a nonlinear change in mental health among medical rehabilitation patients. The results underscored the importance of medical rehabilitation for patients’ mental health over time. In addition, patients’ physical health was stable over time. The initial level of physical fitness (VO2AT) positively predicted their mental health and kept the trend more stable. Self-efficacy appeared to have a positive relationship with mental health after rehabilitation treatment. Conclusions This study revealed a nonlinear change in mental health among medical rehabilitation patients. Self-efficacy was positively related to mental health, and the initial level of physical fitness positively predicted the level of mental health after rehabilitation treatment. Clinical Rehabilitation More attention could be given to physical capacity and self-efficacy for improving and maintaining rehabilitants’ mental health. KW - latent growth curve model KW - mental health KW - physical fitness KW - self-efficacy KW - physical health Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-308445 SN - 1070-5503 SN - 1532-7558 VL - 29 IS - 5 ER - TY - JOUR A1 - Pfister, Roland A1 - Schwarz, Katharina A. A1 - Holzmann, Patricia A1 - Reis, Moritz A1 - Yogeeswaran, Kumar A1 - Kunde, Wilfried T1 - Headlines win elections: mere exposure to fictitious news media alters voting behavior JF - PloS One N2 - Repeatedly encountering a stimulus biases the observer’s affective response and evaluation of the stimuli. Here we provide evidence for a causal link between mere exposure to fictitious news reports and subsequent voting behavior. In four pre-registered online experiments, participants browsed through newspaper webpages and were tacitly exposed to names of fictitious politicians. Exposure predicted voting behavior in a subsequent mock election, with a consistent preference for frequent over infrequent names, except when news items were decidedly negative. Follow-up analyses indicated that mere media presence fuels implicit personality theories regarding a candidate’s vigor in political contexts. News outlets should therefore be mindful to cover political candidates as evenly as possible. KW - elections KW - Twitter KW - behavior KW - United States KW - India KW - metaanalysis KW - personality KW - political theory Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-349845 VL - 18 IS - 8 ER - TY - JOUR A1 - Roth, Jenny A1 - Steffens, Melanie C. A1 - Vignoles, Vivian L. T1 - Group membership, group change, and intergroup attitudes: a recategorization model based on cognitive consistency principles JF - Frontiers in Psychology N2 - The present article introduces a model based on cognitive consistency principles to predict how new identities become integrated into the self-concept, with consequences for intergroup attitudes. The model specifies four concepts (self-concept, stereotypes, identification, and group compatibility) as associative connections. The model builds on two cognitive principles, balance-congruity and imbalance-dissonance, to predict identification with social groups that people currently belong to, belonged to in the past, or newly belong to. More precisely, the model suggests that the relative strength of self-group associations (i.e., identification) depends in part on the (in)compatibility of the different social groups. Combining insights into cognitive representation of knowledge, intergroup bias, and explicit/implicit attitude change, we further derive predictions for intergroup attitudes. We suggest that intergroup attitudes alter depending on the relative associative strength between the social groups and the self, which in turn is determined by the (in)compatibility between social groups. This model unifies existing models on the integration of social identities into the self-concept by suggesting that basic cognitive mechanisms play an important role in facilitating or hindering identity integration and thus contribute to reducing or increasing intergroup bias. KW - cognitive balance KW - cognitive dissonance KW - group change KW - identity integration KW - intergroup bias KW - social identification KW - recategorization KW - prejudice Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-175569 VL - 9 IS - 479 ER - TY - JOUR A1 - Pfister, Roland A1 - Schwarz, Katharina A. A1 - Janczyk, Markus A1 - Dale, Rick A1 - Freeman, Jonathan B. T1 - Good things peak in pairs: a note on the bimodality coefficient JF - Frontiers in Psychology N2 - A commentary on Assessing bimodality to detect the presence of a dual cognitive process by Freeman, J. B., and Dale, R. (2013). Behav. Res. Methods 45, 83–97. doi: 10.3758/s13428-012-0225-x KW - distribution analysis KW - bimodality Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-190413 SN - 1664-1078 VL - 4 ER - TY - JOUR A1 - Pressley, Michael A1 - Borkowski, John G. A1 - Schneider, Wolfgang T1 - Good information processing: What it is and how education can promote it N2 - The nature of good information processing is outlined as determined by intact neurology, information stored in long-term memory, and general cognitive tendencies, attitudes, and styles. Educators can promote the development of good information processing by promoting what is in long-term memory. This can be accomplished by teaching important literary, scientific, and cultural knowledge; teaching strategies; motivating the acquisition and use of important conceptual knowledge and strategies; and encouraging the general tendencies supporting good information processing. Good information processing can be produced by years of appropriate educational input. Good information processors cannot be produced by short-term interventions. KW - Psychologie Y1 - 1990 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-62127 ER - TY - THES A1 - Riechelmann [verh. Steinbacher], Eva Katharina T1 - Gaze interaction: Cognitive mechanisms of oculomotor action control T1 - Blickinteraktion: Kognitive Mechanismen der okulomotorischen Handlungskontrolle N2 - Humans use their eyes not only as visual input devices to perceive the environment, but also as an action tool in order to generate intended effects in their environment. For instance, glances are used to direct someone else's attention to a place of interest, indicating that gaze control is an important part of social communication. Previous research on gaze control in a social context mainly focused on the gaze recipient by asking how humans respond to perceived gaze (gaze cueing). So far, this perspective has hardly considered the actor’s point of view by neglecting to investigate what mental processes are involved when actors decide to perform an eye movement to trigger a gaze response in another person. Furthermore, eye movements are also used to affect the non-social environment, for instance when unlocking the smartphone with the help of the eyes. This and other observations demonstrate the necessity to consider gaze control in contexts other than social communication whilst at the same time focusing on commonalities and differences inherent to the nature of a social (vs. non-social) action context. Thus, the present work explores the cognitive mechanisms that control such goal-oriented eye movements in both social and non-social contexts. The experiments presented throughout this work are built on pre-established paradigms from both the oculomotor research domain and from basic cognitive psychology. These paradigms are based on the principle of ideomotor action control, which provides an explanatory framework for understanding how goal-oriented, intentional actions come into being. The ideomotor idea suggests that humans acquire associations between their actions and the resulting effects, which can be accessed in a bi-directional manner: Actions can trigger anticipations of their effects, but the anticipated resulting effects can also trigger the associated actions. According to ideomotor theory, action generation involves the mental anticipation of the intended effect (i.e., the action goal) to activate the associated motor pattern. The present experiments involve situations where participants control the gaze of a virtual face via their eye movements. The triggered gaze responses of the virtual face are consistent to the participant’s eye movements, representing visual action effects. Experimental situations are varied with respect to determinants of action-effect learning (e.g., contingency, contiguity, action mode during acquisition) in order to unravel the underlying dynamics of oculomotor control in these situations. In addition to faces, conditions involving changes in non-social objects were included to address the question of whether mechanisms underlying gaze control differ for social versus non-social context situations. The results of the present work can be summarized into three major findings. 1. My data suggest that humans indeed acquire bi-directional associations between their eye movements and the subsequently perceived gaze response of another person, which in turn affect oculomotor action control via the anticipation of the intended effects. The observed results show for the first time that eye movements in a gaze-interaction scenario are represented in terms of their gaze response in others. This observation is in line with the ideomotor theory of action control. 2. The present series of experiments confirms and extends pioneering results of Huestegge and Kreutzfeldt (2012) with respect to the significant influence of action effects in gaze control. I have shown that the results of Huestegge and Kreutzfeldt (2012) can be replicated across different contexts with different stimulus material given that the perceived action effects were sufficiently salient. 3. Furthermore, I could show that mechanisms of gaze control in a social gaze-interaction context do not appear to be qualitatively different from those in a non-social context. All in all, the results support recent theoretical claims emphasizing the role of anticipation-based action control in social interaction. Moreover, my results suggest that anticipation-based gaze control in a social context is based on the same general psychological mechanisms as ideomotor gaze control, and thus should be considered as an integral part rather than as a special form of ideomotor gaze control. N2 - Der Mensch nutzt die Augen nicht nur zur Wahrnehmung seiner Umwelt, sondern auch als Handlungsinstrument, um intendierte Effekte in seiner Umwelt zu erzeugen. So werden Blicke beispielsweise dazu verwendet, die Aufmerksamkeit eines anderen auf einen bestimmten Ort zu lenken. Dies weist darauf hin, dass Blickkontrolle einen wichtigen Bestandteil in der sozialen Kommunikation darstellt. Die Forschung zu Blickkontrolle im sozialen Kontext hat sich bisher hauptsächlich auf den Blick-Empfänger konzentriert, um die Frage zu beantworten, wie Menschen auf wahrgenommene Blicke reagieren (Gaze Cueing). Dieser Ansatz hat dementsprechend bisher kaum den Standpunkt des Blick-Senders berücksichtigt. So wurde beispielsweise noch nicht untersucht, welche mentalen Prozesse der Ausübung einer Augenbewegung zugrunde liegen, die zum Ziel hat, bei einer anderen Person eine bestimmte Blickreaktion auszulösen. Darüber hinaus werden zielgerichtete Augenbewegungen auch im nicht-sozialen Kontext eingesetzt, beispielsweise beim Entsperren des Smartphones mithilfe der Augen. Diese und andere Beobachtungen zeigen allerdings klar die Notwendigkeit, Blickkontrolle sowohl in der sozialen Kommunikation als auch in anderen, nicht-sozialen Kontexten zu berücksichtigen und dabei gleichzeitig auf Gemeinsamkeiten und Unterschiede zu achten, die der Natur eines sozialen (vs. nicht-sozialen) Handlungskontextes innewohnen. Die vorliegende Arbeit untersucht daher die kognitiven Mechanismen, die solchen zielgerichteten Blickbewegungen in sozialen wie in nicht-sozialen Kontexten zugrunde liegen. Die in der vorliegenden Arbeit vorgestellten Experimente bauen auf bereits etablierten Paradigmen aus der Forschung zu Okulomotorik und zu basalen kognitiven Prozessen auf. Diese Paradigmen basieren auf dem Prinzip der ideomotorischen Handlungskontrolle, das eine Erklärung für die Entstehung zielgerichteter und beabsichtigter Handlungen liefert. Der ideomotorische Gedanke legt nahe, dass Menschen Assoziationen zwischen ihren Handlungen und den daraus resultierenden Effekten erwerben, die in zwei Richtungen wirken können: Eine Handlung kann die Antizipation ihrer Effekte auslösen, aber die aktive Antizipation eines Handlungseffektes kann auch die damit verbundene Handlung auslösen. Nach der ideomotorischen Theorie beinhaltet Handlungsgenerierung die mentale Antizipation des beabsichtigten Handlungseffektes, um das zugehörige motorische Muster zu aktivieren. Die vorliegenden Experimente beinhalten Situationen, in denen die Probanden den Blick eines virtuellen Gesichts mithilfe ihre eigenen Augenbewegungen steuern. Die im virtuellen Gesicht ausgelösten Blickreaktionen repräsentieren die visuellen Handlungseffekte. Die Situationen werden in Bezug auf die Determinanten von Handlungs-Effekt-Lernen (Kontingenz, Kontiguität, Handlungsmodus während des Lernens) variiert, um die zugrundeliegende Dynamik der okulomotorischen Handlungskontrolle in diesen Situationen zu verstehen. Zusätzlich zu den Gesichtern wurden Handlungseffekte in nicht-sozialen Objekten untersucht, um die Frage zu klären, ob sich die der Blickkontrolle zugrundeliegenden Mechanismen für soziale und nicht-soziale Kontextsituationen unterscheiden. Die Ergebnisse der vorliegenden Arbeit lassen sich in drei Hauptergebnisse zusammenfassen. 1. Meine Resultate legen nahe, dass Menschen bi-direktionale Assoziationen zwischen ihren Augenbewegungen und der darauf folgenden Blickreaktion einer anderen Person erwerben, was über die Antizipation der beabsichtigten Effekte die okulomotorische Handlungssteuerung beeinflusst. Die beobachteten Ergebnisse zeigen zum ersten Mal, dass Augenbewegungen in einem Blickinteraktionsszenario in Form einer bei der anderen Person ausgelösten Blickreaktion repräsentiert werden. Diese Beobachtung steht im Einklang mit dem ideomotorischen Prinzip der Handlungskontrolle. 2. Die vorliegende Versuchsreihe belegt und erweitert die wegweisenden Ergebnisse von Huestegge und Kreutzfeldt (2012) in Bezug auf den bedeutenden Einfluss von Handlungseffekten in der okulomotorischen Handlungskontrolle. Ich konnte zeigen, dass sich die Ergebnisse von Huestegge und Kreutzfeldt (2012) über verschiedene Kontexte mit unterschiedlichem Stimulus-Material replizieren lassen unter der Bedingung, dass die wahrgenommenen Handlungseffekte ausreichend stark ausgeprägt waren. 3. Zudem konnte ich zeigen, dass sich Mechanismen der Blickkontrolle in einem sozialen Blickinteraktionskontext vermutlich nicht qualitativ von denen in einem nicht-sozialen Kontext unterscheiden. Zusammenfassend unterstützen die Ergebnisse die jüngsten theoretischen Überlegungen, die die Rolle von antizipativen Prozessen in der Handlungssteuerung in sozialen Interaktionskontexten betonen. Darüber hinaus legen meine Ergebnisse nahe, dass antizipationsbasierte Blickkontrolle im sozialen Kontext auf den gleichen allgemeinen psychologischen Mechanismen wie ideomotorische Blickkontrolle basiert und somit als integraler Bestandteil, und nicht als eine spezielle Form der ideomotorischen Blickkontrolle, betrachtet werden sollte. KW - Verhaltenskontrolle KW - Blickbewegung KW - Kognition KW - Ideomotorische Blickkontrolle KW - Soziomotorische Blickkontrolle KW - Blickinteraktion KW - Soziale Handlungseffekte KW - Effektantizipation KW - Ideomotor gaze control KW - Sociomotor gaze control KW - Gaze interaction KW - Social action effects KW - Effect anticipation KW - Ideomotorik Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-215279 ER - TY - JOUR A1 - Pohl, Carsten A1 - Kunde, Wilfried A1 - Ganz, Thomas A1 - Conzelmann, Annette A1 - Pauli, Paul A1 - Kiesel, Andrea T1 - Gaming to see: action video gaming is associated with enhanced processing of masked stimuli N2 - Recent research revealed that action video game players outperform non-players in a wide range of attentional, perceptual and cognitive tasks. Here we tested if expertise in action video games is related to differences regarding the potential of shortly presented stimuli to bias behavior. In a response priming paradigm, participants classified four animal pictures functioning as targets as being smaller or larger than a reference frame. Before each target, one of the same four animal pictures was presented as a masked prime to influence participants' responses in a congruent or incongruent way. Masked primes induced congruence effects, that is, faster responses for congruent compared to incongruent conditions, indicating processing of hardly visible primes. Results also suggested that action video game players showed a larger congruence effect than non-players for 20 ms primes, whereas there was no group difference for 60 ms primes. In addition, there was a tendency for action video game players to detect masked primes for some prime durations better than non-players. Thus, action video game expertise may be accompanied by faster and more efficient processing of shortly presented visual stimuli. KW - video gaming masked stimuli KW - masked priming KW - action videogaming KW - unconscious processing KW - prime visibility KW - expertise Y1 - 2014 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-112681 ER - TY - JOUR A1 - Breil, Christina A1 - Huestegge, Lynn A1 - Böckler, Anne T1 - From eye to arrow: Attention capture by direct gaze requires more than just the eyes JF - Attention, Perception & Psychophysics N2 - Human attention is strongly attracted by direct gaze and sudden onset motion. The sudden direct-gaze effect refers to the processing advantage for targets appearing on peripheral faces that suddenly establish eye contact. Here, we investigate the necessity of social information for attention capture by (sudden onset) ostensive cues. Six experiments involving 204 participants applied (1) naturalistic faces, (2) arrows, (3) schematic eyes, (4) naturalistic eyes, or schematic facial configurations (5) without or (6) with head turn to an attention-capture paradigm. Trials started with two stimuli oriented towards the observer and two stimuli pointing into the periphery. Simultaneous to target presentation, one direct stimulus changed to averted and one averted stimulus changed to direct, yielding a 2 × 2 factorial design with direction and motion cues being absent or present. We replicated the (sudden) direct-gaze effect for photographic faces, but found no corresponding effects in Experiments 2-6. Hence, a holistic and socially meaningful facial context seems vital for attention capture by direct gaze. STATEMENT OF SIGNIFICANCE: The present study highlights the significance of context information for social attention. Our findings demonstrate that the direct-gaze effect, that is, the prioritization of direct gaze over averted gaze, critically relies on the presentation of a meaningful holistic and naturalistic facial context. This pattern of results is evidence in favor of early effects of surrounding social information on attention capture by direct gaze. KW - social interaction KW - social cognition KW - attention capture KW - direct gaze KW - social cues KW - face perception Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-273206 SN - 1943-393X VL - 84 IS - 1 ER - TY - JOUR A1 - Huestegge, Lynn A1 - Herbort, Oliver A1 - Gosch, Nora A1 - Kunde, Wilfried A1 - Pieczykolan, Aleks T1 - Free-choice saccades and their underlying determinants: explorations of high-level voluntary oculomotor control JF - Journal of Vision N2 - Models of eye-movement control distinguish between different control levels, ranging from automatic (bottom-up, stimulus-driven selection) and automatized (based on well-learned routines) to voluntary (top-down, goal-driven selection, e.g., based on instructions). However, one type of voluntary control has yet only been examined in the manual and not in the oculomotor domain, namely free-choice selection among arbitrary targets, that is, targets that are of equal interest from both a bottom-up and top-down processing perspective. Here, we ask which features of targets (identity- or location-related) are used to determine such oculomotor free-choice behavior. In two experiments, participants executed a saccade to one of four peripheral targets in three different choice conditions: unconstrained free choice, constrained free choice based on target identity (color), and constrained free choice based on target location. The analysis of choice frequencies revealed that unconstrained free-choice selection closely resembled constrained choice based on target location. The results suggest that free-choice oculomotor control is mainly guided by spatial (location-based) target characteristics. We explain these results by assuming that participants tend to avoid less parsimonious recoding of target-identity representations into spatial codes, the latter being a necessary prerequisite to configure oculomotor commands. KW - Adolescent KW - Stimulation KW - Adult KW - Eye Movements/physiology KW - Female KW - Humans KW - Learning/physiology KW - Male KW - Oculomotor Muscles/physiology KW - Photic KW - Choice Behavior/physiology KW - Psychomotor Performance/physiology KW - Saccades/physiology KW - Young Adult KW - eye movement KW - saccades KW - free choice KW - top-down processing KW - bottom-up processing KW - control levels Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-201493 VL - 19 IS - 3 ER - TY - THES A1 - von der Mühlen, Sarah T1 - Fostering Students’ Epistemic Competences when Dealing with Scientific Literature T1 - Die Förderung epistemischer Kompetenzen von Studierenden im Umgang mit wissenschaftlicher Literatur N2 - The abilities to comprehend and critically evaluate scientific texts and the various arguments stated in these texts are an important aspect of scientific literacy, but these competences are usually not formally taught to students. Previous research indicates that, although undergraduate students evaluate the claims and evidence they find in scientific documents to some extent, these evaluations usually fail to meet normative standards. In addition, students’ use of source information for evaluation is often insufficient. The rise of the internet and the increased accessibility of information have yielded some additional challenges that highlight the importance of adequate training and instruction.The aim of the present work was to further examine introductory students’ competences to systematically and heuristically evaluate scientific information, to identify relevant strategies that are involved in a successful evaluation, and to use this knowledge to design appropriate interventions for fostering epistemic competences in university students.To this end, a number of computer-based studies, including both quantitative and qualitative data as well as experimental designs, were developed. The first two studies were designed to specify educational needs and to reveal helpful processing strategies that are required in different tasks and situations. Two expert-novice comparisons were developed, whereby the performance of German students of psychology (novices) was compared to the performance of scientists from the domain of psychology (experts) in a number of different tasks, such as systematic plausibility evaluations of informal arguments (Study 1) or heuristic evaluations of the credibility of multiple scientific documents (Study 2). A think-aloud procedure was used to identify specific strategies that were applied in both groups during task completion, and that possibly mediated performance differences between students and scientists. In addition, relationships between different strategies and between strategy use and relevant conceptual knowledge was examined. Based on the results of the expert-novice comparisons, an intervention study, consisting of two training experiments, was constructed to foster some competences that proved to be particularly deficient in the comparisons (Study 3). Study 1 examined introductory students’ abilities to accurately judge the plausibility of informal arguments according to normative standards, to recognise common argumentation fallacies, and to identify different structural components of arguments. The results from Study 1 indicate that many students, compared to scientists, lack relevant knowledge about the structure of arguments, and that normatively accurate evaluations of their plausibility seem to be challenging in this group. Often, common argumentation fallacies were not identified correctly. Importantly, these deficits were partly mediated by differences in strategy use: It was especially difficult for students to pay sufficient attention to the relationship between argument components when forming their judgements. Moreover, they frequently relied on their intuition or opinion as a criterion for evaluation, whereas scientists predominantly determined quality of arguments based on their internal consistency. In addition to students’ evaluation of the plausibility of informal arguments, Study 2 examined introductory students’ competences to evaluate the credibility of multiple scientific texts, and to use source characteristics for evaluation. The results show that students struggled not only to judge the plausibility of arguments correctly, but also to heuristically judge the credibility of science texts, and these deficits were fully mediated by their insufficient use of source information. In contrast, scientists were able to apply different strategies in a flexible manner. When the conditions for evaluation did not allow systematic processing (i.e. time limit), they primarily used source characteristics for their evaluations. However, when systematic evaluations were possible (i.e. no time limit), they used more sophisticated normative criteria for their evaluations, such as paying attention to the internal consistency of arguments (cf. Study 1). Results also showed that students, in contrast to experts, lacked relevant knowledge about different publication types, and this was related to their ability to correctly determine document credibility. The results from the expert-novice comparisons also suggest that the competences assessed in both tasks might develop as a result of a more fundamental form of scientific literacy and discipline expertise. Performances in all tasks were positively related. On the basis of these results, two training experiments were developed that aimed at fostering university students’ competences to understand and evaluate informal arguments (Study 3). Experiment 1 describes an intervention approach in which students were familiarised with the formal structure of arguments based on Toulmin’s (1958) argumentation model. The performance of the experimental group to identify the structural components of this model was compared to the performance of a control group in which speed reading skills were practiced, using a pre-post-follow-up design. Results show that the training was successful for improving the comprehension of more complex arguments and relational aspects between key components in the posttest, compared to the control group. Moreover, an interaction effect was found with study performance. High achieving students with above average grades profited the most from the training intervention. Experiment 2 showed that training in plausibility, normative criteria of argument evaluation, and argumentation fallacies improved students’ abilities to evaluate the plausibility of arguments and, in addition, their competences to recognise structural components of arguments, compared to a speed-reading control group. These results have important implications for education and practice, which will be discussed in detail in this dissertation. N2 - Die Fähigkeit, wissenschaftliche Texte und die darin enthaltenen Argumente zu verstehen und kritisch zu beurteilen, ist ein zentraler Aspekt wissenschaftlicher Grundbildung, wird jedoch in der Schule kaum vermittelt. Obwohl Studierende die Behauptungen und Befunde, denen sie in der wissenschaftlichen Literatur begegnen, zu einem gewissen Grad kritisch bewerten, zeigen verschiedene Forschungsergebnisse, dass sie dies nicht in ausreichendem Maße tun und diese Evaluationen oft nicht den normativen Standards entsprechen. Darüber hinaus nutzen Studierende Quellenmerkmale nur unzureichend zur Beurteilung. Die Entstehung des Internets und die damit verbundene zunehmende Verfügbarkeit von Informationen stellen uns zudem vor einige wichtige Herausforderungen im Umgang mit diversen Informationsquellen und unterstreichen die Relevanz entsprechender Trainings und Förderungsprogramme. Ziel der vorliegenden Arbeit war es, die Kompetenzen beginnender Studierender, wissenschaftliche Informationen heuristisch und systematisch zu bewerten sowie wesentliche Strategien, die für eine erfolgreiche Beurteilung wissenschaftlicher Informationen benötigt werden, weiter zu erforschen und auf dieser Grundlage Interventionen zu entwickeln, um diese Kompetenzen bei Universitätsstudierenden gezielt zu fördern. Dazu wurden mehrere computergestützte Studien entwickelt, die sowohl qualitative, als auch quantitative Daten, sowie experimentelle Untersuchungsdesigns beinhalten. Die ersten beiden Studien wurden konzipiert, um Förderbedarf gezielt zu ermitteln und Verarbeitungsstrategien zu identifizieren, die in verschiedenen Aufgaben und unter verschiedenen Bedingungen hilfreich sind. Dazu wurden zunächst zwei Experten-Novizen-Vergleiche entwickelt, in denen die Leistungen von deutschen Psychologiestudierenden (Noviz(inn)en) in einer Reihe unterschiedlicher Aufgaben, z.B. bei der systematischen Bewertung der Plausibilität informeller Argumente (Studie 1) oder der heuristischen Bewertung der Glaubwürdigkeit multipler wissenschaftlicher Texte (Studie 2), mit den Leistungen von Wissenschaftler(inn)en aus dem Bereich der Psychologie (Expert(inn)en) verglichen wurden. Die Verwendung von Protokollen lauten Denkens diente dazu, die während der Aufgabenbearbeitung verwendeten Strategien, die die Leistungsunterschiede zwischen Studierenden und Wissenschaftler(inn)en möglicherweise mediieren, in beiden Gruppen genau zu erfassen. Darüber hinaus wurde untersucht, inwiefern unterschiedliche Strategien und die Nutzung bestimmter Strategien sowie relevantes konzeptuelles Wissen zusammenhängen. Basierend auf den Ergebnissen der Experten-Novizen-Vergleiche wurde anschließend eine Interventionsstudie, bestehend aus zwei Trainingsexperimenten, entwickelt, um einige Kompetenzen, die sich in den Vergleichen als besonders defizitär erwiesen hatten, gezielt zu fördern (Studie 3). In Studie 1 wurde untersucht, inwiefern beginnende Studierende in der Lage sind, die Plausibilität informeller Argumente normativ angemessen zu beurteilen und gängige Argumentationsfehler zu erkennen, sowie verschiedene strukturelle Bestandteile von Argumenten zu identifizieren. Die Ergebnisse der Studie 1 legen nahe, dass es vielen Studierenden im Vergleich zu Wissenschaftler(inne)n an relevantem Wissen über die Struktur von Argumenten fehlt und die angemessene Bewertung ihrer Plausibilität für viele von ihnen eine große Herausforderung darstellt. Gängige Argumentationsfehler wurden häufig nicht richtig erkannt. Diese Leistungsunterschiede wurden teilweise durch eine unterschiedliche Strategienutzung mediiert: Studierende zeigten große Schwierigkeit darin, Beziehungen zwischen Argumentbestandteilen ausreichend Beachtung zu schenken. Darüber hinaus verließen sie sich bei der Beurteilung häufig auf ihre Intuition oder Meinung zum Textinhalt, während Wissenschaftler(innen) die Qualität der Argumente in erster Linie auf der Grundlage ihrer internen Konsistenz beurteilten. Neben Plausibilitätsbeurteilungen informeller Argumente untersuchte Studie 2 die Kompetenz beginnender Studierender, die Glaubwürdigkeit multipler wissenschaftlicher Texte angemessen zu beurteilen und dabei auch Quellenmerkmale zur Beurteilung heranzuziehen. Die Ergebnisse zeigen, dass es Studierenden nicht nur schwerfiel, die Plausibilität von Argumenten angemessen zu beurteilen, sondern auch die Glaubwürdigkeit wissenschaftlicher Texte heuristisch zu bewerten. Die Defizite auf Studierendenseite wurden dabei vollständig durch eine unzureichende Nutzung von Quellenmerkmalen mediiert. Wissenschaftler(innen) waren dagegen in der Lage, Strategien zur Beurteilung flexibel zu nutzen. Wenn eine systematische Verarbeitung nicht möglich war (Zeitlimit), griffen sie vor allem auf Quellenmerkmale zurück. Wenn eine systematische Verarbeitung jedoch möglich war (kein Zeitlimit), nutzten sie komplexere normative Kriterien zur Beurteilung, wie etwa die Bewertung der internen Konsistenz der Argumente (Vgl. Studie 1). Die Ergebnisse zeigen außerdem, dass es Studierenden an relevantem Wissen über verschiedene Publikationsarten fehlte und diese Schwierigkeiten waren korreliert mit der Fähigkeit, die Glaubwürdigkeit von Texten angemessen zu beurteilen. Die Befunde der Experten-Novizen-Vergleiche liefern zudem Hinweise darauf, dass sich die in den unterschiedlichen Aufgaben erfassten Kompetenzen auf der Basis einer allgemeineren Form der wissenschaftlichen Grundbildung und disziplinären Expertise entwickeln könnten. Die Leistungen in unterschiedlichen Aufgaben waren positiv korreliert. Auf der Grundlage dieser Ergebnisse wurden zwei Trainingsexperimente entwickelt, um die Kompetenzen Studierender in Bezug auf das Verständnis und die kompetente Bewertung informeller Argumente, gezielt zu fördern (Studie 3). Experiment 1 beschreibt einen möglichen Interventionsansatz, um Studierende, basierend auf Toulmins (1958) Argumentationsmodell, besser mit der Struktur von Argumenten vertraut zu machen. Die Leistungen der Versuchsgruppe, verschiedene Argumentbestandteile dieses Modells korrekt zu identifizieren, wurden dabei in einem Prä-Post-Follow-up Design mit den Leistungen einer Kontrollgruppe verglichen, in der die Fähigkeit des schnellen Lesens trainiert wurde. Die Ergebnisse zeigen, dass das Training vor allem für das Verständnis komplexer und weniger typischer Argumente hilfreich war und Elemente, die die Beziehung zwischen verschiedenen Bestandteilen deutlich machten, im Posttest besser verstanden wurden als in einer Kontrollgruppe. Darüber hinaus konnte ein Interaktionseffekt mit der Studienleistung gezeigt werden. Besonders „gute“ Studierende mit hohen Durchschnittsnoten konnten am meisten von diesem Training profitieren. Die Ergebnisse von Experiment 2 zeigten, dass ein Training, in dem das Konzept der Plausibilität, normative Kriterien der Argumentbewertung, sowie Argumentationsfehler vermittelt wurden, die Kompetenzen Studierender, die Plausibilität informeller Argumente normativ angemessen zu beurteilen, im Vergleich mit einer Kontrollgruppe, deutlich verbessern konnte. Die Ergebnisse der genannten Studien liefern wichtige Implikationen für die wissenschaftliche Praxis an den Hochschulen, welche in dieser Arbeit ausführlich diskutiert werden. KW - Textverstehen KW - Wissenschaftliche Literatur KW - Epistemic Competences KW - Higher Education KW - Student KW - Förderung KW - Epistemische Kompetenzen KW - Kompetenzen im Hochschulsektor Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-167343 N1 - Prof. Dr. Tobias Richter supervised this dissertation. Two of the studies reported have been published in international journals, the third study was submitted (see references below). References: von der Mühlen, S., Richter, T., Schmid, S. & Berthold, K. (2017). How to Improve Argumentation Comprehension in University Students: Experimental Tests of Two Training Approaches. Manuskript zur Publikation eingereicht. von der Mühlen, S., Richter, T., Schmid, S., Berthold, K. & Schmidt, E. M. (2016). The use of source-related strategies in evaluating multiple psychology texts: A student-scientist comparison. Reading and Writing, 8, 1677–1698. von der Mühlen, S., Richter, T., Schmid, S., Schmidt, E. M. & Berthold, K. (2016). Judging the plausibility of arguments in scientific texts: A student-scientist comparison. Thinking & Reasoning, 22, 221–246. ER -