TY - JOUR A1 - Mitschke, Vanessa A1 - Eder, Andreas B. T1 - Facing the enemy: Spontaneous facial reactions towards suffering opponents JF - Psychophysiology N2 - The suffering of an opponent is an important social affective cue that modulates how aggressive interactions progress. To investigate the affective consequences of opponent suffering on a revenge seeking individual, two experiments (total N = 82) recorded facial muscle activity while participants observed the reaction of a provoking opponent to a (retaliatory) sound punishment in a laboratory aggression task. Opponents reacted via prerecorded videos either with facial displays of pain, sadness, or neutrality. Results indicate that participants enjoyed seeing the provocateur suffer: indexed by a coordinated muscle response featuring an increase in zygomaticus major (and orbicularis oculi muscle) activation accompanied by a decrease in corrugator supercilii activation. This positive facial reaction was only shown while a provoking opponent expressed pain. Expressions of sadness, and administration of sound blasts to nonprovoking opponents, did not modulate facial activity. Overall, the results suggest that revenge-seeking individuals enjoy observing the offender suffer, which could represent schadenfreude or satisfaction of having succeeded in the retaliation goal. KW - suffering KW - facial electromyography KW - facial expression KW - reactive aggression KW - revenge Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-259672 VL - 58 IS - 8 ER - TY - THES A1 - Menne, Isabelle M. T1 - Facing Social Robots – Emotional Reactions towards Social Robots N2 - Ein Army Colonel empfindet Mitleid mit einem Roboter, der versuchsweise Landminen entschärft und deklariert den Test als inhuman (Garreau, 2007). Roboter bekommen militärische Beförderungen, Beerdigungen und Ehrenmedaillen (Garreau, 2007; Carpenter, 2013). Ein Schildkrötenroboter wird entwickelt, um Kindern beizubringen, Roboter gut zu behandeln (Ackermann, 2018). Der humanoide Roboter Sophia wurde erst kürzlich Saudi-Arabischer Staatsbürger und es gibt bereits Debatten, ob Roboter Rechte bekommen sollen (Delcker, 2018). Diese und ähnliche Entwicklungen zeigen schon jetzt die Bedeutsamkeit von Robotern und die emotionale Wirkung die diese auslösen. Dennoch scheinen sich diese emotionalen Reaktionen auf einer anderen Ebene abzuspielen, gemessen an Kommentaren in Internetforen. Dort ist oftmals die Rede davon, wieso jemand überhaupt emotional auf einen Roboter reagieren kann. Tatsächlich ist es, rein rational gesehen, schwierig zu erklären, warum Menschen mit einer leblosen (‚mindless‘) Maschine mitfühlen sollten. Und dennoch zeugen nicht nur oben genannte Berichte, sondern auch erste wissenschaftliche Studien (z.B. Rosenthal- von der Pütten et al., 2013) von dem emotionalen Einfluss den Roboter auf Menschen haben können. Trotz der Bedeutsamkeit der Erforschung emotionaler Reaktionen auf Roboter existieren bislang wenige wissenschaftliche Studien hierzu. Tatsächlich identifizierten Kappas, Krumhuber und Küster (2013) die systematische Analyse und Evaluation sozialer Reaktionen auf Roboter als eine der größten Herausforderungen der affektiven Mensch-Roboter Interaktion. Nach Scherer (2001; 2005) bestehen Emotionen aus der Koordination und Synchronisation verschiedener Komponenten, die miteinander verknüpft sind. Motorischer Ausdruck (Mimik), subjektives Erleben, Handlungstendenzen, physiologische und kognitive Komponenten gehören hierzu. Um eine Emotion vollständig zu erfassen, müssten all diese Komponenten gemessen werden, jedoch wurde eine solch umfassende Analyse bisher noch nie durchgeführt (Scherer, 2005). Hauptsächlich werden Fragebögen eingesetzt (vgl. Bethel & Murphy, 2010), die allerdings meist nur das subjektive Erleben abfragen. Bakeman und Gottman (1997) geben sogar an, dass nur etwa 8% der psychologischen Forschung auf Verhaltensdaten basiert, obwohl die Psychologie traditionell als das ‚Studium von Psyche und Verhalten‘ (American Psychological Association, 2018) definiert wird. Die Messung anderer Emotionskomponenten ist selten. Zudem sind Fragebögen mit einer Reihe von Nachteilen behaftet (Austin, Deary, Gibson, McGregor, Dent, 1998; Fan et al., 2006; Wilcox, 2011). Bethel und Murphy (2010) als auch Arkin und Moshkina (2015) plädieren für einen Multi-Methodenansatz um ein umfassenderes Verständnis von affektiven Prozessen in der Mensch-Roboter Interaktion zu erlangen. Das Hauptziel der vorliegenden Dissertation ist es daher, mithilfe eines Multi-Methodenansatzes verschiedene Komponenten von Emotionen (motorischer Ausdruck, subjektive Gefühlskomponente, Handlungstendenzen) zu erfassen und so zu einem vollständigeren und tiefgreifenderem Bild emotionaler Prozesse auf Roboter beizutragen. Um dieses Ziel zu erreichen, wurden drei experimentelle Studien mit insgesamt 491 Teilnehmern durchgeführt. Mit unterschiedlichen Ebenen der „apparent reality“ (Frijda, 2007) sowie Macht / Kontrolle über die Situation (vgl. Scherer & Ellgring, 2007) wurde untersucht, inwiefern sich Intensität und Qualität emotionaler Reaktionen auf Roboter ändern und welche weiteren Faktoren (Aussehen des Roboters, emotionale Expressivität des Roboters, Behandlung des Roboters, Autoritätsstatus des Roboters) Einfluss ausüben. Experiment 1 basierte auf Videos, die verschiedene Arten von Robotern (tierähnlich, anthropomorph, maschinenartig), die entweder emotional expressiv waren oder nicht (an / aus) in verschiedenen Situationen (freundliche Behandlung des Roboters vs. Misshandlung) zeigten. Fragebögen über selbstberichtete Gefühle und die motorisch-expressive Komponente von Emotionen: Mimik (vgl. Scherer, 2005) wurden analysiert. Das Facial Action Coding System (Ekman, Friesen, & Hager, 2002), die umfassendste und am weitesten verbreitete Methode zur objektiven Untersuchung von Mimik, wurde hierfür verwendet. Die Ergebnisse zeigten, dass die Probanden Gesichtsausdrücke (Action Unit [AU] 12 und AUs, die mit positiven Emotionen assoziiert sind, sowie AU 4 und AUs, die mit negativen Emotionen assoziiert sind) sowie selbstberichtete Gefühle in Übereinstimmung mit der Valenz der in den Videos gezeigten Behandlung zeigten. Bei emotional expressiven Robotern konnten stärkere emotionale Reaktionen beobachtet werden als bei nicht-expressiven Robotern. Der tierähnliche Roboter Pleo erfuhr in der Misshandlungs-Bedingung am meisten Mitleid, Empathie, negative Gefühle und Traurigkeit, gefolgt vom anthropomorphen Roboter Reeti und am wenigsten für den maschinenartigen Roboter Roomba. Roomba wurde am meisten Antipathie zugeschrieben. Die Ergebnisse knüpfen an frühere Forschungen an (z.B. Krach et al., 2008; Menne & Schwab, 2018; Riek et al., 2009; Rosenthal-von der Pütten et al., 2013) und zeigen das Potenzial der Mimik für eine natürliche Mensch-Roboter Interaktion. Experiment 2 und Experiment 3 übertrugen die klassischen Experimente von Milgram (1963; 1974) zum Thema Gehorsam in den Kontext der Mensch-Roboter Interaktion. Die Gehorsamkeitsstudien von Milgram wurden als sehr geeignet erachtet, um das Ausmaß der Empathie gegenüber einem Roboter im Verhältnis zum Gehorsam gegenüber einem Roboter zu untersuchen. Experiment 2 unterschied sich von Experiment 3 in der Ebene der „apparent reality“ (Frijda, 2007): in Anlehnung an Milgram (1963) wurde eine rein text-basierte Studie (Experiment 2) einer live Mensch-Roboter Interaktion (Experiment 3) gegenübergestellt. Während die abhängigen Variablen von Experiment 2 aus den Selbstberichten emotionaler Gefühle sowie Einschätzungen des hypothetischen Verhaltens bestand, erfasste Experiment 3 subjektive Gefühle sowie reales Verhalten (Reaktionszeit: Dauer des Zögerns; Gehorsamkeitsrate; Anzahl der Proteste; Mimik) der Teilnehmer. Beide Experimente untersuchten den Einfluss der Faktoren „Autoritätsstatus“ (hoch / niedrig) des Roboters, der die Befehle erteilt (Nao) und die emotionale Expressivität (an / aus) des Roboters, der die Strafen erhält (Pleo). Die subjektiven Gefühle der Teilnehmer aus Experiment 2 unterschieden sich zwischen den Gruppen nicht. Darüber hinaus gaben nur wenige Teilnehmer (20.2%) an, dass sie den „Opfer“-Roboter definitiv bestrafen würden. Ein ähnliches Ergebnis fand auch Milgram (1963). Das reale Verhalten von Versuchsteilnehmern in Milgrams‘ Labor-Experiment unterschied sich jedoch von Einschätzungen hypothetischen Verhaltens von Teilnehmern, denen Milgram das Experiment nur beschrieben hatte. Ebenso lassen Kommentare von Teilnehmern aus Experiment 2 darauf schließen, dass das beschriebene Szenario möglicherweise als fiktiv eingestuft wurde und Einschätzungen von hypothetischem Verhalten daher kein realistisches Bild realen Verhaltens gegenüber Roboter in einer live Interaktion zeichnen können. Daher wurde ein weiteres Experiment (Experiment 3) mit einer Live Interaktion mit einem Roboter als Autoritätsfigur (hoher Autoritätsstatus vs. niedriger) und einem weiteren Roboter als „Opfer“ (emotional expressiv vs. nicht expressiv) durchgeführt. Es wurden Gruppenunterschiede in Fragebögen über emotionale Reaktionen gefunden. Dem emotional expressiven Roboter wurde mehr Empathie entgegengebracht und es wurde mehr Freude und weniger Antipathie berichtet als gegenüber einem nicht-expressiven Roboter. Außerdem konnten Gesichtsausdrücke beobachtet werden, die mit negativen Emotionen assoziiert sind während Probanden Nao’s Befehl ausführten und Pleo bestraften. Obwohl Probanden tendenziell länger zögerten, wenn sie einen emotional expressiven Roboter bestrafen sollten und der Befehl von einem Roboter mit niedrigem Autoritätsstatus kam, wurde dieser Unterschied nicht signifikant. Zudem waren alle bis auf einen Probanden gehorsam und bestraften Pleo, wie vom Nao Roboter befohlen. Dieses Ergebnis steht in starkem Gegensatz zu dem selbstberichteten hypothetischen Verhalten der Teilnehmer aus Experiment 2 und unterstützt die Annahme, dass die Einschätzungen von hypothetischem Verhalten in einem Mensch-Roboter-Gehorsamkeitsszenario nicht zuverlässig sind für echtes Verhalten in einer live Mensch-Roboter Interaktion. Situative Variablen, wie z.B. der Gehorsam gegenüber Autoritäten, sogar gegenüber einem Roboter, scheinen stärker zu sein als Empathie für einen Roboter. Dieser Befund knüpft an andere Studien an (z.B. Bartneck & Hu, 2008; Geiskkovitch et al., 2016; Menne, 2017; Slater et al., 2006), eröffnet neue Erkenntnisse zum Einfluss von Robotern, zeigt aber auch auf, dass die Wahl einer Methode um Empathie für einen Roboter zu evozieren eine nicht triviale Angelegenheit ist (vgl. Geiskkovitch et al., 2016; vgl. Milgram, 1965). Insgesamt stützen die Ergebnisse die Annahme, dass die emotionalen Reaktionen auf Roboter tiefgreifend sind und sich sowohl auf der subjektiven Ebene als auch in der motorischen Komponente zeigen. Menschen reagieren emotional auf einen Roboter, der emotional expressiv ist und eher weniger wie eine Maschine aussieht. Sie empfinden Empathie und negative Gefühle, wenn ein Roboter misshandelt wird und diese emotionalen Reaktionen spiegeln sich in der Mimik. Darüber hinaus unterscheiden sich die Einschätzungen von Menschen über ihr eigenes hypothetisches Verhalten von ihrem tatsächlichen Verhalten, weshalb videobasierte oder live Interaktionen zur Analyse realer Verhaltensreaktionen empfohlen wird. Die Ankunft sozialer Roboter in der Gesellschaft führt zu nie dagewesenen Fragen und diese Dissertation liefert einen ersten Schritt zum Verständnis dieser neuen Herausforderungen. N2 - An Army Colonel feels sorry for a robot that defuses landmines on a trial basis and declares the test inhumane (Garreau, 2007). Robots receive military promotions, funerals and medals of honor (Garreau, 2007; Carpenter, 2013). A turtle robot is being developed to teach children to treat robots well (Ackermann, 2018). The humanoid robot Sophia recently became a Saudi Arabian citizen and there are now debates whether robots should have rights (Delcker, 2018). These and similar developments already show the importance of robots and the emotional impact they have. Nevertheless, these emotional reactions seem to take place on a different level, judging by comments in internet forums alone: Most often, emotional reactions towards robots are questioned if not denied at all. In fact, from a purely rational point of view, it is difficult to explain why people should empathize with a mindless machine. However, not only the reports mentioned above but also first scientific studies (e.g. Rosenthal- von der Pütten et al., 2013) bear witness to the emotional influence of robots on humans. Despite the importance of researching emotional reactions towards robots, there are few scientific studies on this subject. In fact, Kappas, Krumhuber and Küster (2013) identified effective testing and evaluation of social reactions towards robots as one of the major challenges of affective Human-Robot Interaction (HRI). According to Scherer (2001; 2005), emotions consist of the coordination and synchronization of different components that are linked to each other. These include motor expression (facial expressions), subjective experience, action tendencies, physiological and cognitive components. To fully capture an emotion, all these components would have to be measured, but such a comprehensive analysis has never been performed (Scherer, 2005). Primarily, questionnaires are used (cf. Bethel & Murphy, 2010) but most of them only capture subjective experiences. Bakeman and Gottman (1997) even state that only about 8% of psychological research is based on behavioral data, although psychology is traditionally defined as the 'study of the mind and behavior' (American Psychological Association, 2018). The measurement of other emotional components is rare. In addition, questionnaires have a number of disadvantages (Austin, Deary, Gibson, McGregor, Dent, 1998; Fan et al., 2006; Wilcox, 2011). Bethel and Murphy (2010) as well as Arkin and Moshkina (2015) argue for a multi-method approach to achieve a more comprehensive understanding of affective processes in HRI. The main goal of this dissertation is therefore to use a multi-method approach to capture different components of emotions (motor expression, subjective feeling component, action tendencies) and thus contribute to a more complete and profound picture of emotional processes towards robots. To achieve this goal, three experimental studies were conducted with a total of 491 participants. With different levels of ‘apparent reality’ (Frijda, 2007) and power/control over the situation (cf. Scherer & Ellgring, 2007), the extent to which the intensity and quality of emotional responses to robots change were investigated as well as the influence of other factors (appearance of the robot, emotional expressivity of the robot, treatment of the robot, authority status of the robot). Experiment 1 was based on videos showing different types of robots (animal-like, anthropomorphic, machine-like) in different situations (friendly treatment of the robot vs. torture treatment) while being either emotionally expressive or not. Self-reports of feelings as well as the motoric-expressive component of emotion: facial expressions (cf. Scherer, 2005) were analyzed. The Facial Action Coding System (Ekman, Friesen, & Hager, 2002), the most comprehensive and most widely used method for objectively assessing facial expressions, was utilized for this purpose. Results showed that participants displayed facial expressions (Action Unit [AU] 12 and AUs associated with positive emotions as well as AU 4 and AUs associated with negative emotions) as well as self-reported feelings in line with the valence of the treatment shown in the videos. Stronger emotional reactions could be observed for emotionally expressive robots than non-expressive robots. Most pity, empathy, negative feelings and sadness were reported for the animal-like robot Pleo while watching it being tortured, followed by the anthropomorphic robot Reeti and least for the machine-like robot Roomba. Most antipathy was attributed to Roomba. The findings are in line with previous research (e.g., Krach et al., 2008; Menne & Schwab, 2018; Riek et al., 2009; Rosenthal-von der Pütten et al., 2013) and show facial expressions’ potential for a natural HRI. Experiment 2 and Experiment 3 transferred Milgram’s classic experiments (1963; 1974) on obedience into the context of HRI. Milgram’s obedience studies were deemed highly suitable to study the extent of empathy towards a robot in relation to obedience to a robot. Experiment 2 differed from Experiment 3 in the level of ‘apparent reality’ (Frijda, 2007): based on Milgram (1963), a purely text-based study (Experiment 2) was compared with a live HRI (Experiment 3). While the dependent variables of Experiment 2 consisted of self-reports of emotional feelings and assessments of hypothetical behavior, Experiment 3 measured subjective feelings and real behavior (reaction time: duration of hesitation; obedience rate; number of protests; facial expressions) of the participants. Both experiments examined the influence of the factors "authority status" (high / low) of the robot giving the orders (Nao) and the emotional expressivity (on / off) of the robot receiving the punishments (Pleo). The subjective feelings of the participants from Experiment 2 did not differ between the groups. In addition, only few participants (20.2%) stated that they would definitely punish the "victim" robot. Milgram (1963) found a similar result. However, the real behavior of participants in Milgram's laboratory experiment differed from the estimates of hypothetical behavior of participants to whom Milgram had only described the experiment. Similarly, comments from participants in Experiment 2 suggest that the scenario described may have been considered fictitious and that assessments of hypothetical behavior may not provide a realistic picture of real behavior towards robots in a live interaction. Therefore, another experiment (Experiment 3) was performed with a live interaction with a robot as authority figure (high authority status vs. low) and another robot as "victim" (emotional expressive vs. non-expressive). Group differences were found in questionnaires on emotional responses. More empathy was shown for the emotionally expressive robot and more joy and less antipathy was reported than for a non-expressive robot. In addition, facial expressions associated with negative emotions could be observed while subjects executed Nao's command and punished Pleo. Although subjects tended to hesitate longer when punishing an emotionally expressive robot and the order came from a robot with low authority status, this difference did not reach significance. Furthermore, all but one subject were obedient and punished Pleo as commanded by the Nao robot. This result stands in stark contrast to the self-reported hypothetical behavior of the participants from Experiment 2 and supports the assumption that the assessments of hypothetical behavior in a Human-Robot obedience scenario are not reliable for real behavior in a live HRI. Situational variables, such as obedience to authorities, even to a robot, seem to be stronger than empathy for a robot. This finding is in line with previous studies (e.g. Bartneck & Hu, 2008; Geiskkovitch et al., 2016; Menne, 2017; Slater et al., 2006), opens up new insights into the influence of robots, but also shows that the choice of a method to evoke empathy for a robot is not a trivial matter (cf. Geiskkovitch et al., 2016; cf. Milgram, 1965). Overall, the results support the assumption that emotional reactions to robots are profound and manifest both at the subjective level and in the motor component. Humans react emotionally to a robot that is emotionally expressive and looks less like a machine. They feel empathy and negative feelings when a robot is abused and these emotional reactions are reflected in facial expressions. In addition, people's assessments of their own hypothetical behavior differ from their actual behavior, which is why video-based or live interactions are recommended for analyzing real behavioral responses. The arrival of social robots in society leads to unprecedented questions and this dissertation provides a first step towards understanding these new challenges. N2 - Are there emotional reactions towards social robots? Could you love a robot? Or, put the other way round: Could you mistreat a robot, tear it apart and sell it? Media reports people honoring military robots with funerals, mourning the “death” of a robotic dog, and granting the humanoid robot Sophia citizenship. But how profound are these reactions? Three experiments take a closer look on emotional reactions towards social robots by investigating the subjective experience of people as well as the motor expressive level. Contexts of varying degrees of Human-Robot Interaction (HRI) sketch a nuanced picture of emotions towards social robots that encompass conscious as well as unconscious reactions. The findings advance the understanding of affective experiences in HRI. It also turns the initial question into: Can emotional reactions towards social robots even be avoided? T2 - Im Angesicht sozialer Roboter - Emotionale Reaktionen angesichts sozialer Roboter KW - Roboter KW - social robot KW - emotion KW - FACS KW - Facial Action Coding System KW - facial expressions KW - emotional reaction KW - Human-Robot Interaction KW - HRI KW - obedience KW - empathy KW - Gefühl KW - Mimik KW - Mensch-Maschine-Kommunikation Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-187131 SN - 978-3-95826-120-4 SN - 978-3-95826-121-1 N1 - Parallel erschienen als Druckausgabe in Würzburg University Press, 978-3-95826-120-4, 27,80 EUR. PB - Würzburg University Press CY - Würzburg ET - 1. Auflage ER - TY - THES A1 - Mitschke, Vanessa T1 - Facing Enemies. Modulation of Revenge Interactions based on Opponent State Indicators of Suffering T1 - Im Angesicht des Feindes. Die Modulation von Racheinteraktionen basierend auf der Wahrnehmung von Leid Indikatoren innerhalb des Gegners N2 - Research on revenge often treats vengeful acts as singular one-way experiences, an approach which fails to account for the social nature and functions of revenge. This dissertation aims to integrate emotional punishment reactions into dynamic revenge sequences to investigate the affective and cognitive consequences of revenge within a social interaction. Exacting revenge can evoke intense affective consequences, from feelings of guilt to the genuine enjoyment of the suffering of others. In Chapter 2, affective responses towards suffering opponents and the regulation of aggression based on the appraisal of distinct suffering indicators were investigated. Results indicate that the observation of opponent pain evokes positive affect (measured via facial muscle contractions during the observation), which is followed by a downregulation of subsequent punishment. Both, positive affective reactions and the downregulation of punishment, were only observed following pain and not sadness expressions. Empathic distress, indexed by negative affective reactions, was only present following the observation of pain in non-provoking opponents. Showcasing the modulation of empathy related processes due to provocation and competition. In Chapter 3, a significant escalation of punishment, when being confronted with Schadenfreude, was observed. Results are interpreted as supporting the assumption that opponent monitoring processes inform subsequent action selection. The observation of opponent smiles led to imitation behavior (facial mimicry), which was partially attenuated due to previous provocation. The different functions of smile mimicry in the context of the aggressive competitive setting are discussed as containing simulation aspects (to aid in opponent understanding) and as a potential mirroring of dominance gestures, to avoid submission. In an additional series of studies, which are presented in Chapter 4, changes in memory of opponent faces following vengeful encounters were measured. Based on provocation, and punishment outcomes (pain & anger), face memory was distorted, resulting in more positive representations of opponents that expressed pain. These results are discussed as evidence of the impact of outcome appraisals in the formation of opponent representations and are theorized to aid empathy avoidance in future interactions. The comparison of desired and observed opponent states, is theorized to result in appraisals of the punishment outcomes, which evoke affective states, inform the action selection of subsequent punishments, and are integrated into the representation of the opponent in memory. Overall, the results indicate that suffering cues that are congruent with the chosen punishment action are appraised as positive, evoking an increase in positive affect. The emergence of positive affect during the observation of successful aggressive actions supports recent theories about the chronification of aggressive behavior based on reinforcement learning. To allow positive affect to emerge, affective empathic responses, such as distress, are theorized to be suppressed to facilitate the goal attainment process. The suffering of the opponent constitutes the proximate goal during revenge taking, which highlights the importance of a theoretical differentiation of proximate and ultimate goals in revenge to allow for a deeper understanding of the underlying motives of complex revenge behavior. N2 - Die bisherige Forschung zu den Mechanismen von Racheverhalten behandelt die Ausübung von Rache häufig als eine singuläre und unilaterale Erfahrung. Diese Herangehensweise berücksichtigt den sozialen Kontext und die Funktion von Rache nur unzureichend. Die vorliegende Dissertation zielt darauf ab, mittels empirischer Befunde emotionale Reaktionen in dynamische Rachesequenzen zu integrieren. Die Ausübung von Rache kann intensive affektive Zustände wie Schuldgefühle bis hin zu dem Empfinden von Freude über das Leid Anderer (Schadenfreude) auslösen. In Kapitel 2 werden Ergebnisse geschildert, welche die unterschiedlichen affektiven Reaktionen des Aggressors in Abhängigkeit zu Indikatoren des Leides des Gegners untersuchen. Im Rahmen der durchgeführten Studien wurde eine positive Reaktion (gemessen anhand von fazialen Muskelaktivierungen) während der Beobachtung von Schmerzausdrücken des Gegners beobachtet. Die positive affektive Reaktion geht mit einer Reduktion der darauffolgenden Strafe einher. Sowohl der positive Affekt als auch die Reduktion von Strafe wurden nur in Folge von Schmerzindikatoren und nicht nach Ausdrücken von Trauer beobachtet. Empathischer Stress nach ausgeführten Rachehandlungen, indiziert durch negative affektive Reaktionen, wurde nur gezeigt, nachdem nicht-provokative Gegner Schmerzreaktionen zeigten. Dies zeigt die Modulation von empathischen Prozessen in Abhängigkeit von Provokation und Konkurrenz. Kapitel 3 beschreibt die signifikante Eskalation von aggressiven Interaktionen durch eine Konfrontation mit Schadenfreude des Gegners während der Bestrafung. Dies lässt darauf schließen, dass die Beobachtung des Gegnerzustandes während der gesamten Interaktion die Wahl von Handlungen beeinflusst. Die Beobachtung des Lächelns beim Gegenüber führt zu Nachahmungsverhalten (faziale Mimikry), welches durch vorherige Provokation graduell abgeschwächt wird. Die verschiedenen Funktionen der Mimikry des Lächelns im Kontext einer aggressiv kompetitiven Situation enthalten Elemente von Simulation, zum besseren Verständnis der Gegnerreaktion, und dienen dazu als potenzielle Reaktion auf Dominanzverhalten Submission zu vermeiden. In einer weiteren Experimentalreihe, beschrieben in Kapitel 4, wird die Integration von erlebter Provokation und daraus resultierenden empfundenen Ärger in die Erinnerung an den Gegner demonstriert. Ergebnisse dieser Studienreine legen nahe, dass die Repräsentation des Gesichtes des Gegners in der Erinnerung basierend auf vorheriger Provokation und distinkten emotionalen gegnerischen Reaktionen auf Strafe (Schmerz & Ärger) systematisch variiert. Gegner, welche Schmerzreaktionen zeigten, wurden mit positiveren Gesichtskonfigurationen repräsentiert, im Gegensatz zu Gegnern, welche Ärger zeigten. Diese Ergebnisse werden als Belege für den Einfluss von Ergebnisbewertungen auf die Formation von Gegnerrepräsentationen und ihren potenziellen Nutzen für die Vermeidung von Empathie in zukünftigen Auseinandersetzungen diskutiert. Aus dem Abgleich zwischen dem gewünschten und beobachteten gegnerischen Reaktionen resultiert eine Bewertung des Erfolgs der Strafe. Dieser Bewertungsvorgang kann positive Affekte auslösen, die als Information in die Wahl der nächsten Handlung einfließen und die Repräsentation des Gegners in der Erinnerung verändern. Die Ergebnisse der hier dargestellten Studien deuten darauf hin, dass Signale des Leidens, die unmittelbar kongruent zu den zuvor gewählten Strafhandlungen sind, als positiv bewertet werden und somit zu einem unmittelbar erlebten positiven Affekt führen. Das Vorhandensein von positivem Affekt während der Beobachtung des leidenden Gegners nach erfolgreicher Bestrafung stimmt mit neueren Forschungsansätzen überein, die Verstärkungslernen als zentralen Prozess bei der Chronifizierung von aggressivem Verhalten postulieren. Das Auftreten von positivem Affekt wird durch die Herabsetzung von affektiv empathischen Prozessen gegenüber dem Gegner ermöglicht. Die Unterdrückung von affektiver Empathie erleichtert hierbei den Prozess der Zielerreichung. Das Leid des Gegners wird als proximales Ziel der Rachehandlung diskutiert. Eine Unterscheidung zwischen proximalen und distalen Zielen bei der Ausübung von Rache ermöglicht ein tieferes Verständnis für die zugrundeliegende Motive komplexen Racheverhaltens. KW - Aggression KW - Revenge KW - Emotion KW - punishment KW - suffering Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-299389 ER - TY - THES A1 - Weiland, Romy T1 - Facial reactions in response to gustatory and olfactory stimuli in healthy adults, patients with eating disorders, and patients with attention-deficit hyperactivity disorder T1 - Mimische Reaktionen auf Geschmacks- und Geruchsreize bei gesunden Erwachsenen, Patientinnen mit Essstörungen und Patientinnen mit Aufmerksamkeitsdefizit/Hyperaktivitätsstörung N2 - The aim of this project was to investigate whether reflex-like innate facial reactions to tastes and odors are altered in patients with eating disorders. Qualitatively different tastes and odors have been found to elicit specific facial expressions in newborns. This specificity in newborns is characterized by positive facial reactions in response to pleasant stimuli and by negative facial reactions in response to unpleasant stimuli. It is, however, unclear, whether these specific facial displays remain stable during ontogeny (1). Despite the fact that several studies had shown that taste-and odor-elicited facial reactions remain quite stable across a human’s life-span, the specificity of research questions, as well as different research methods, allow only limited comparisons between studies. Moreover, the gustofacial response patterns might be altered in pathological eating behavior (2). To date, however, the question of whether dysfunctional eating behavior might alter facial activity in response to tastes and odors has not been addressed. Furthermore, changes in facial activity might be linked to deficient inhibitory facial control (3). To investigate these three research questions, facial reactions in response to tastes and odors were assessed. Facial reactions were analyzed using the Facial Action Coding System (FACS, Ekman & Friesen, 1978; Ekman, Friesen, & Hager, 2002) and electromyography. N2 - Ziel dieses Projektes war es zu untersuchen, ob spezifische, mimische Reaktionen auf Geschmacks- und Geruchsreize bei Patientinnen mit Essstörungen verändert sind. Bei Neugeborenen rufen qualitativ verschiedene Geschmacksreize und Geruchsreize spezifische mimische Reaktionsmuster hervor. Diese Spezifität zeichnet sich infolge angenehmer Reize durch positive mimische Reaktionen und infolge unangenemher Reize durch negative mimische Reaktionen aus. Es ist jedoch unklar, ob diese spezifischen Reaktionsmuster während der ontogentischen Entwicklung stabil bleibe (1). Trotz der Befunde, dass geschmacks- und geruchsinduzierte mimische Reaktionen bei Erwachsenen relativ stabil bleiben, erlauben spezifische Forschungsfragen und verschiedene Methoden nur einen begrenzten Vergleich zwischen den Studien. Darüber hinaus könnten die gustofazialen Reaktionsmuster bei Patientinnen mit Essstörungen verändert sein (2). Diese Frage wurde jedoch bisher nicht untersucht. Weiterhin könnten Veränderungen in den mimischen Reaktionen bei essgestörten Patientinnen durch eine defizitäre Hemmungskontrolle bedingt sein (3). Zur Klärung dieser drei Fragestellungen wurden mimische Reaktionen auf Geschmacks- und Geruchsreize erfasst. Die Mimikanalyse erfolgte mit Hilfe des Facial Action Coding Systems (FACS, Ekman & Friesen, 1978; Ekman, Friesen, & Hager, 2002) und des Elektromyogramms. KW - Mimik KW - Geschmack KW - Geruch KW - Essstörung KW - Aufmerksamkeits-Defizit-Syndrom KW - facial expressions KW - gustation KW - olfaction KW - eating disorders KW - ADHD Y1 - 2010 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-51759 ER - TY - THES A1 - Likowski, Katja U. T1 - Facial mimicry, valence evaluation or emotional reaction? Mechanisms underlying the modulation of congruent and incongruent facial reactions to emotional facial expressions T1 - Faziale Mimikry, Valenzevaluation oder Emotionale Reaktion? Mechanismen der Modulation kongruenter und inkongruenter fazialer Reaktionen auf emotionale Gesichtsausdrücke N2 - Humans have the tendency to react with congruent facial expressions when looking at an emotional face. Interestingly, recent studies revealed that several situational moderators can modulate strength and direction of these reactions. In current literature, congruent facial reactions to emotional facial expressions are usually described in terms of “facial mimicry” and interpreted as imitative behavior. Thereby, facial mimicry is understood as a process of pure motor resonance resulting from overlapping representations for the perception and the execution of a certain behavior. Motor mimicry, however, is not the only mechanism by which congruent facial reactions can occur. Numerous studies have shown that facial muscles also indicate valence evaluations. Furthermore, facial reactions are also determined by our current emotional state. These thoughts suggest that the modulation of congruent facial reactions to emotional expressions can be based on both motor and affective processes. However, a separation of motor and affective processes in facial reactions is hard to make. None of the published studies that tried that could show a clear involvement of one or the other process so far. Therefore, the aim of the present line of experiments is to shed light on the involvement of motor and affective processes in the modulation of congruent and incongruent facial reactions. Specifically, the experiments are designed to test the assumptions of a working model on mechanisms underlying the modulation of facial reactions and to examine the neuronal correlates involved in such modulations with a broad range of methods. Experiments 1 and 2 experimentally manipulate motor and affective mechanisms by using specific contexts. In the chose settings, motor process models and affective models of valence evaluations make competing predictions about resulting facial reactions. The results of Experiment 1 did not support the involvement of valence evaluations in the modulation of congruent and incongruent facial reactions to facial expressions. The results of Experiments 2a and 2b suggest that emotional reactions are the predominant determinant of facial reactions. Experiment 3 aimed at identifying the psychological mediators that indicate motor and affective mechanisms. Motor mechanisms are assessed via the psychological mediator empathy. Additionally, as a psychological mediator for clarifying the role of affective mechanisms subjective measures of the participants’ current emotional state in response to the presented facial expressions were taken. Mediational analyses show that the modulation of congruent facial reactions can be explained by a decrease of state cognitive empathy. This suggests that motor processes mediate the effects of the context on congruent facial reactions. However, such a mechanism could not be observed for incongruent reactions. Instead, it was found that affective processes in terms of emotional reactions are involved in incongruent facial reactions. Additionally, the involvement of a third class of processes, namely strategic processes, was observed. Experiment 4 aimed at investigating whether a change in the strength of perception can explain the contextual modulation of facial reactions to facial expressions. According to motor process models the strength of perception is directly related to the strength of the spread of activation from perception to the execution of an action and thereby to the strength of the resulting mimicry behavior. The results suggest that motor mechanisms were involved in the modulation of congruent facial reactions by attitudes. Such an involvement of motor mechanisms could, however, not be observed for the modulation of incongruent reactions. In Experiment 5 the investigation of neuronal correlates shall be extended to the observation of involved brain areas via fMRI. The proposed brain areas depicting motor areas were prominent parts of the mirror neuron system. The regions of interest depicting areas involved in the affective processing were amygdala, insula, striatum. Furthermore, it could be shown that changes in the activity of parts of the MNS are related to the modulation of congruent facial reactions. Further on, results revealed the involvement of affective processes in the modulation of incongruent facial reactions. In sum, these results lead to a revised working model on the mechanisms underlying the modulation of facial reactions to emotional facial expressions. The results of the five experiments provide strong support for the involvement of motor mechanisms in congruent facial reactions. No evidence was found for the involvement of motor mechanisms in the occurrence or modulation of incongruent facial reactions. Furthermore, no evidence was found for the involvement of valence evaluations in the modulation of facial reactions. Instead, emotional reactions were found to be involved in the modulation of mainly incongruent facial reactions. N2 - Menschen haben die automatische Tendenz, auf emotionale Gesichtsausdrücke anderer kongruente muskuläre Reaktionen zu zeigen. Solche Reaktionen werden allerdings durch eine Vielzahl situativer Faktoren moduliert. Die dieser Modulation zugrunde liegenden Prozesse sind bisher jedoch kaum erforscht. Die Modulation kongruenter und inkongruenter fazialer Reaktionen wird in der Literatur zu fazialer Mimikry bisher nahezu ausschließlich mit motorischen Resonanzprozessen erklärt. Faziale Reaktionen haben jedoch noch weitere Determinanten. So belegen Studien, dass faziale muskuläre Reaktionen Valenzindikatoren bei der Beurteilung positiver und negativer Stimuli sind. Weiterhin zeigt der Gesichtsausdruck den momentanen emotionalen Zustand an. Dies legt nahe, dass die in der Literatur zu fazialer Mimikry beobachteten Modulationen fazialer Reaktionen auf Gesichtsausdrücke eventuell nicht nur auf rein motorischen Prozessen beruht haben. Vielmehr könnten affektive Prozesse diese Reaktionen beeinflusst haben. Tatsächlich gibt es bisher keine Studie, die das Zusammenspiel motorischer und affektiver Mechanismen bei der Modulation fazialer Reaktionen auf Gesichtsausdrücke näher aufklären konnte. Dies sollte in dieser Arbeit geleistet werden. Genauer gesagt wurde folgende zentrale Fragestellung untersucht: Welche spezifischen psychologischen Mediatoren und neuronalen Korrelate liegen der sozialen Modulation kongruenter und inkongruenter fazialer Reaktionen auf emotionale Gesichtsausdrücke zugrunde? Zur Beantwortung dieser Frage wurde ein Arbeitsmodell aufgestellt und mit einer systematischen Reihe an Experimenten auf Gültigkeit getestet. In Experiment 1 und 2 wurden mittels spezifischer sozialer Kontextinformationen motorische und affektive Mechanismen experimentell manipuliert, um Aussagen über deren Beteiligung an der Modulation kongruenter und inkongruenter fazialer Reaktionen auf emotionale Gesichtsausdrücke machen zu können. Motorische und affektive Prozessmodelle sagten hier jeweils unterschiedliche faziale Reaktionen vorher. Die Ergebnisse von Experiment 1 lieferten keinen Beleg für die Beteiligung affektiver Mechanismen der Valenzevaluation an der Modulation kongruenter und inkongruenter fazialer Reaktionen. Das Ergebnismuster der Experimente 2a und 2b lässt sich einzig mit emotionalen Reaktionen in Form von Mitleid und Mitgefühl erklären. In Experiment 3 wurden motorische und affektive Mechanismen mittels psychischer Variablen gemessen und deren Beteiligung an der Modulation fazialer Reaktionen durch Mediatorenanalysen festgestellt. Die Stärke motorischer Prozesse wurde mittels zweier Empathie-Maße indiziert. Affektive Prozesse wurden mittels subjektiver Angaben über die eigene emotionale Reaktion erfasst. Die Ergebnisse von Experiment 3 zeigen eine Beteiligung motorischer Prozesse an der Modulation kongruenter Reaktionen. Es zeigte sich zudem, dass affektive Prozesse in der Modulation und dem Zustandekommen inkongruenter Reaktionen involviert sind. Hingegen zeigte sich keine Beteiligung affektiver Prozesse an der Modulation kongruenter Reaktionen. Zusätzlich wurde die Beteiligung von strategischen Prozessen gefunden. In Experiment 4 wurden motorische Prozesse mittels EEG direkt auf neuronaler Ebene erfasst. Aus motorischen Prozessmodellen ließ sich die Annahme ableiten, dass die Aufmerksamkeitsstärke, mit der Stärke der Aktivierung der zugehörigen Repräsentationen einhergeht und folglich eine verringerte oder erhöhte Mimikry zur Folge haben sollte. Die Ergebnisse unterstützen die Annahme, dass motorische Mechanismen an der Modulation kongruenter fazialer Reaktionen beteiligt sind. Solch eine Beteiligung konnte jedoch wiederum nicht für die Modulation inkongruenter Reaktionen gezeigt werden. In Experiment 5 erfolgte mittels fMRT die Untersuchung der neuronalen Korrelate der Modulation fazialer Reaktionen. Zur Aufklärung der Beteiligung motorischer Mechanismen sollte der Zusammenhang des Spiegelneuronensystems sowie von Zentren der emotionalen Verarbeitung mit der Modulation fazialer Reaktionen betrachtet werden. Es konnte gezeigt werden, dass Modulationen des Spiegelneuronensytems mit Modulationen kongruenter, aber inkongruenter Reaktionen in Zusammenhang stehen. Dies spricht dafür, dass motorische Prozesse bei der Modulation kongruenter Reaktionen involviert sind. Weiterhin unterstützen die Ergebnisse die Annahme der Beteiligung affektiver Prozesse an der Modulation inkongruenter Reaktionen. Zusammengefasst führen die Ergebnisse zu einer revidierten Form des Arbeitsmodells. Die Experimente unterstützen die Annahme, dass bei der Modulation kongruenter fazialer Reaktionen vorwiegend motorische Prozesse involviert sind. Weiterhin zeigte sich kein Beleg für eine Beteiligung von Prozessen der Valenzevaluation an der Modulation fazialer Reaktionen. Stattdessen wurden zahlreiche Belege dafür gefunden, dass emotionale Reaktionen für das Zustandekommen und die Modulation inkongruenter Reaktionen verantwortlich sind. KW - Gefühl KW - Mimik KW - Nichtverbale Kommunikation KW - Emotionsausdruck KW - nonverbale Kommunikation KW - Valenz KW - Emotion KW - mimicry KW - valence KW - emotion KW - facial expressions KW - nonverbal communication Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-65013 ER - TY - JOUR A1 - Seibt, Beate A1 - Mühlberger, Andreas A1 - Likowski, Katja U. A1 - Weyers, Peter T1 - Facial mimicry in its social setting JF - Frontiers in Psychology N2 - In interpersonal encounters, individuals often exhibit changes in their own facial expressions in response to emotional expressions of another person. Such changes are often called facial mimicry. While this tendency first appeared to be an automatic tendency of the perceiver to show the same emotional expression as the sender, evidence is now accumulating that situation, person, and relationship jointly determine whether and for which emotions such congruent facial behavior is shown. We review the evidence regarding the moderating influence of such factors on facial mimicry with a focus on understanding the meaning of facial responses to emotional expressions in a particular constellation. From this, we derive recommendations for a research agenda with a stronger focus on the most common forms of encounters, actual interactions with known others, and on assessing potential mediators of facial mimicry. We conclude that facial mimicry is modulated by many factors: attention deployment and sensitivity, detection of valence, emotional feelings, and social motivations. We posit that these are the more proximal causes of changes in facial mimicry due to changes in its social setting. KW - cultural differences KW - political leaders KW - mimicry KW - cooperation KW - self-focused attention KW - emotional empathy KW - nonconscious mimicry KW - expressive displays KW - gender differences KW - speech anxiety KW - behavior KW - responses KW - facial expression KW - EMG KW - competition KW - mood Y1 - 2015 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-151415 VL - 6 IS - 1122 ER - TY - JOUR A1 - Likowski, Katja U. A1 - Mühlberger, Andreas A1 - Gerdes, Antje B. M. A1 - Wieser, Mattias J. A1 - Pauli, Paul A1 - Weyers, Peter T1 - Facial mimicry and the mirror neuron system: simultaneous acquisition of facial electromyography and functional magnetic resonance imaging N2 - Numerous studies have shown that humans automatically react with congruent facial reactions, i.e., facial mimicry, when seeing a vis-á-vis’ facial expressions. The current experiment is the first investigating the neuronal structures responsible for differences in the occurrence of such facial mimicry reactions by simultaneously measuring BOLD and facial EMG in an MRI scanner. Therefore, 20 female students viewed emotional facial expressions (happy, sad, and angry) of male and female avatar characters. During picture presentation, the BOLD signal as well as M. zygomaticus major and M. corrugator supercilii activity were recorded simultaneously. Results show prototypical patterns of facial mimicry after correction for MR-related artifacts: enhanced M. zygomaticus major activity in response to happy and enhanced M. corrugator supercilii activity in response to sad and angry expressions. Regression analyses show that these congruent facial reactions correlate significantly with activations in the IFG, SMA, and cerebellum. Stronger zygomaticus reactions to happy faces were further associated to increased activities in the caudate, MTG, and PCC. Corrugator reactions to angry expressions were further correlated with the hippocampus, insula, and STS. Results are discussed in relation to core and extended models of the mirror neuron system (MNS). KW - Psychologie KW - mimicry KW - EMG KW - fMRI KW - mirrorneuronsystem Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-75813 ER - TY - JOUR A1 - Ellgring, Johann Heinrich T1 - Facial expression as a behavioral indicator of emotional states N2 - This article gives an overview of possibilities for the assessment offacial behavior. With regard to validity, results from a longitudinal study of 36 depressed patients and nine controls as weil as often schizophrenic patients and their relatives will be referred to. These results are used to illustrate the following principles which have to be taken into account when studying facial behavior: a) communication strongly facilitates facial expression, b) activation of facial behavior follows the "principle of least effort", and c) the principle of individual specificity applies to the association of nonverbal behavior and mood states. Making allowance for these principles has, among others, consequences a) for situations or conditions under which to asses behavior (specifically conditions of communication), b) for data analysis (e.g., dealing with frequent and rare events), and c) for empirical or experimental strategies (e.g., aggregation of single-case longitudinal comparisons). From the results on facial behavior during depression it can be concluded that the nonverbal reaction tendencies of endogenous and neurotic depressed patients differ. Moreover, the differential behavioral pattems observed cast doubt on the assumption of a homogeneity of affects in depression. Taking into account the conditions which govern it, facial behavior has proved to be a valid and, especially, a differential indicator for pathoIogic affective states and their changes. Given the fact that a psychiatric illness generally incorporates emotional problems it is more than surprising that little attention has been paid to the systematic study of emotional behavior. Some of the reasons for this will be clarified in the following. N2 - Dieser Beitrag gibt eine Übersicht über die Möglichkeiten zur Erfassung mimischen Verhaltens. Zur Bewertung der Validität werden Ergebnisse aus einer Verlaufsuntersuchung an 36 depressiven Patienten und neun Kontrollpersonen sowie von zehn schizophrenen Patienten und ihren Angehörigen herangezogen. Diese Ergebnisse sollen die folgenden Prinzipien, die bei der Untersuchung mimischen Verhaltens zu berücksichtigen sind, illustrieren: a) Kommunikation erleichtert in hohem Maße das Auftreten mimischen Ausdrucks, b) die Aktivierung mimischen Verhaltens folgt dem "Prinzip des geringsten Aufwandes", und c) auf die Beziehung zwischen nonverbalem Verhalten und Stimmungszuständen trifft das Prinzip der Individuenzpezifität zu. Aus diesen Prinzipien ergeben sich Konsequenzen a)für die Situationen oder Bedingungen, unter denen Verhalten zu erfassen ist (speziell Bedingungen der Kommunikation), b) für die Datenanalyse (z. B. die statistische Behandlung häufiger und seltener Ereignisse) und c) für empirische oder experimentelle Strategien (z. B. die Aggregation von Einzelfall-Verlaufsbeobachtungen). Aus den Ergebnissen zum mimischen Verhalten in der Depression kann geschlossen werden, daß sich endogen und neurotisch depressive Patienten hinsichtlich ihrer nonverbalen Reaktionstendenzen unterscheiden. Darüber hinaus stellen die differentiellen Verhaltensmuster die Annahme einer Affekthomogenität in der Depression in Frage. Berücksichtigt man die Bedingungen, die das mimische Verhalten steuern, so erweist es sich als valider und insbesondere differentieller Indikator für pathologische affektive Zustände und deren Veränderungen. Angesichts der Tatsache, daß eine psychiatrische Erkrankung im allgemeinen emotionale Probleme beinhaltet, so ist es mehr als erstaunlich, daß bisher dem Studium des unmittelbaren emotionalen Ausdrucksverhaltens so wenig Aufmerksamkeit geschenkt wurde. Einigen Gründen hierfür wollen wir im folgenden nachgehen. KW - Psychologie Y1 - 1989 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-58753 ER - TY - JOUR A1 - Wieser, Mattias J. A1 - Brosch, Tobias T1 - Faces in context: A review and systematization of contextual influences on affective face processing N2 - Facial expressions are of eminent importance for social interaction as they convey information about other individuals’ emotions and social intentions. According to the predominant “basic emotion” approach, the perception of emotion in faces is based on the rapid, auto- matic categorization of prototypical, universal expressions. Consequently, the perception of facial expressions has typically been investigated using isolated, de-contextualized, static pictures of facial expressions that maximize the distinction between categories. However, in everyday life, an individual’s face is not perceived in isolation, but almost always appears within a situational context, which may arise from other people, the physical environment surrounding the face, as well as multichannel information from the sender. Furthermore, situational context may be provided by the perceiver, including already present social infor- mation gained from affective learning and implicit processing biases such as race bias.Thus, the perception of facial expressions is presumably always influenced by contextual vari- ables. In this comprehensive review, we aim at (1) systematizing the contextual variables that may influence the perception of facial expressions and (2) summarizing experimental paradigms and findings that have been used to investigate these influences. The studies reviewed here demonstrate that perception and neural processing of facial expressions are substantially modified by contextual information, including verbal, visual, and auditory information presented together with the face as well as knowledge or processing biases already present in the observer. These findings further challenge the assumption of auto- matic, hardwired categorical emotion extraction mechanisms predicted by basic emotion theories. Taking into account a recent model on face processing, we discuss where and when these different contextual influences may take place, thus outlining potential avenues in future research. KW - Psychologie KW - facial expression KW - face perception KW - emotion KW - context KW - “basic emotion” Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-76351 ER - TY - JOUR A1 - Gruss, L. Forest A1 - Wieser, Matthias J. A1 - Schweinberger, Stefan R. A1 - Keil, Andreas T1 - Face-evoked steady-state visual potentials: effects of presentation rate and face inversion JF - Frontiers in Human Neuroscience N2 - Face processing can be explored using electrophysiological methods. Research with event-related potentials has demonstrated the so-called face inversion effect, in which the N170 component is enhanced in amplitude and latency to inverted, compared to upright, faces. The present study explored the extent to which repetitive lower-level visual cortical engagement, reflected in flicker steady-state visual evoked potentials (ssVEPs), shows similar amplitude enhancement to face inversion. We also asked if inversion-related ssVEP modulation would be dependent on the stimulation rate at which upright and inverted faces were flickered. To this end, multiple tagging frequencies were used (5, 10, 15, and 20 Hz) across two studies (n=21, n=18). Results showed that amplitude enhancement of the ssVEP for inverted faces was found solely at higher stimulation frequencies (15 and 20 Hz). By contrast, lower frequency ssVEPs did not show this inversion effect. These findings suggest that stimulation frequency affects the sensitivity of ssVEPs to face inversion. KW - N170 KW - upside-down faces KW - selective attention KW - spatial attention KW - cortex KW - perception KW - recognition KW - brain KW - FMRI KW - area Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-134399 VL - 6 IS - 316 ER - TY - JOUR A1 - Gutzeit, Julian A1 - Weller, Lisa A1 - Muth, Felicitas A1 - Kürten, Jens A1 - Huestegge, Lynn T1 - Eye did this! Sense of agency in eye movements JF - Acta Psychologica N2 - This study investigates the sense of agency (SoA) for saccades with implicit and explicit agency measures. In two eye tracking experiments, participants moved their eyes towards on-screen stimuli that subsequently changed color. Participants then either reproduced the temporal interval between saccade and color-change (Experiment 1) or reported the time points of these events with an auditory Libet clock (Experiment 2) to measure temporal binding effects as implicit indices of SoA. Participants were either made to believe to exert control over the color change or not (agency manipulation). Explicit ratings indicated that the manipulation of causal beliefs and hence agency was successful. However, temporal binding was only evident for caused effects, and only when a sufficiently sensitive procedure was used (auditory Libet clock). This suggests a feebler connection between temporal binding and SoA than previously proposed. The results also provide evidence for a relatively fast acquisition of sense of agency for previously never experienced types of action-effect associations. This indicates that the underlying processes of action control may be rooted in more intricate and adaptable cognitive models than previously thought. Oculomotor SoA as addressed in the present study presumably represents an important cognitive foundation of gaze-based social interaction (social sense of agency) or gaze-based human-machine interaction scenarios. Public significance statement: In this study, sense of agency for eye movements in the non-social domain is investigated in detail, using both explicit and implicit measures. Therefore, it offers novel and specific insights into comprehending sense of agency concerning effects induced by eye movements, as well as broader insights into agency pertaining to entirely newly acquired types of action-effect associations. Oculomotor sense of agency presumably represents an important cognitive foundation of gaze-based social interaction (social agency) or gaze-based human-machine interaction scenarios. Due to peculiarities of the oculomotor domain such as the varying degree of volitional control, eye movements could provide new information regarding more general theories of sense of agency in future research. KW - perception and action KW - sense of agency KW - temporal binding KW - saccades KW - oculomotor control Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-349819 VL - 243 ER - TY - JOUR A1 - Schneider, Wolfgang A1 - Bjorklund, David F. T1 - Expertise, aptitude, and strategic remembering N2 - Second- and fourth-grade children were classified according to their knowledge of soccer (experts vs. novices) and IQ (high vs. low), and given 2 sort-recall tasks. One task included items related to the game of soccer and the other included items from familiar natural language categories. Previous research has shown that expertise in a snbject can compensate for low levels of performance on text comprehension tasks. Our results, the flrst examing the effects of both expertise and intelligence on a strategic memory task, were that soccer expert children recalled more items on the soccer list bnt not on the nonsoccer list than soccer novice children. However, soccer expertise did not modify a significant effect of IQ level, with high-IQ children recalling more than low-IQ children for all contrasts. Interest in soccer was found to be related to expertise but did not contribute to differences in memory performance. The results demonstrate that the knowledge base plays an important role in children's memory, but that domain knowledge cannot fully eliminate the effects of IQ on sort-recall tasks using domain-related materials. That is, although rich domain knowledge seemed to compensate for low aptitude, in that low-aptitude experts performed at the level of high-aptitude novices, its effects were not strong enough to eliminate performance differences between highand low-aptitude soccer experts. KW - Psychologie Y1 - 1992 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-62175 ER - TY - THES A1 - Klinke, Christopher Matthias T1 - Experimental investigation of the effect of distal stress induction on threat conditioning in humans T1 - Experimentelle Untersuchung des Effektes von distaler Stressinduktion auf Threat-Konditionierung beim Menschen N2 - Stress constitutes a major risk factor for the development of psychiatric disorders, such as PTSD and anxiety disorders, by shifting the brain into a state of sensitization and makes it more vulnerable when being exposed to further aversive events. This was experimentally in-vestigated in rodents by examining the effect of a distal stress induction on threat conditioning, where stress impaired extinction learning and caused spontaneous recovery. However, this effect has never been experimentally investigated in humans, so far. Thus, the aim of this dissertation was to investigate the effect of distal stress on threat conditioning in humans. Therefore, two subsequent studies were conducted. For both studies, the threat conditioning paradigm comprised threat acquisition, extinction learning, and re-extinction. In the threat acquisition phase, two geometrical shapes were used as conditioned stimulus (CS), from which one (CS+) was paired with a painful electric stimulus (unconditioned stimulus, US), but not the other one (CS-). During extinction learning 24 h later and re-extinction seventeen days later, CSs were again presented but without any US delivery. In Study 1, 69 participants underwent either a stress (socially evaluated cold pressor test; SECPT) or sham protocol 10 days prior to threat conditioning. Furthermore, context effects were examined by placing the stress protocol in the same context (context-A stress, and sham group) or a different context (context-B stress group) than conditioning. Results revealed that the context-A, but not context-B, stress group displayed impaired safety learning (i.e. potenti-ation towards CS-) for startle response during threat acquisition. Moreover, the same stress group showed impaired threat extinction, evident in sustained CS discrimination in valence and arousal ratings during extinction learning, and memory recall. In sum, distal stress on the one hand impaired safety learning during threat conditioning on a level of startle response. On the other hand, stress impaired threat extinction on a level of ratings. Noteworthy, the effect of distal stress was only found when the stressor was placed in the same context as later threat learning. Hence, suggesting that the combination of stressor and stressor-associated context exerted the effect on threat extinction. In Study 2, it was examined if distal stress induction could also have an impact on threat and extinction processes without the necessity of context association. Therefore, the same stress (n = 45) or sham protocol (n = 44) as in Study 1 was conducted in a different context than and 24 h prior to a threat conditioning paradigm. Similar to Study 1, weakened extinction learning was found in fear ratings for the stress (vs. sham) group, which was indicated by persistent CS+/CS- differentiation after the first block of extinction trials. Alterations in safety learning towards the CS- during threat acquisition were only supported by significant correlations between stress measures on the stress day and conditioned startle response of the CS- during acquisition. Taken together, in two subsequent studies this dissertation provided first evidence of impaired threat extinction after distal stress induction in humans. Furthermore, impairments in safety learning, as can be observed in PTSD, were additionally demonstrated. Interestingly, the effects were boosted and more profound when associating the stressor to the later learning context. These results have clinical implications as they can be translated to the notion that prior stress exposure makes an individual more vulnerable for later aversive events. N2 - Stress stellt einen Hauptrisikofaktor für die Entstehung einer psychiatrischen Erkrankung, insbesondere PTSD und Angststörungen, dar. Dieser Prozess wird vermittelt über einen Wechsel des Gehirns in einen Zustand der Sensibilisierung, welcher das Individuum vulnerabler bei der Exposition eines weiteren aversiven Ereignisses macht. Experimentell ließ sich dies in Tierstudien durch Untersuchungen des Effektes von distalem Stress auf Threat-Konditionierung nachweisen. Die Ergebnisse der Studien weisen auf ein verschlechtertes Extinktionslernen und dessen Abruf aufgrund der Stressinduktion hin. Experimentelle Untersuchungen dieses Effektes beim Menschen fehlen jedoch bislang. Daher hat sich diese Dissertation das Ziel gesetzt, eben diesen Effekt von distalem Stress auf Threat-Konditionierung im Menschen zu untersuchen. Hierzu wurden zwei aufeinander aufbauende Studien durchgeführt. In beiden Studien wurden differenzielle Threat-Konditionierungsparadigmen verwendet, welche aus den Phasen der Threat-Akquisition, des Extinktionslernens und der Re-Extinktion bestanden. In der Threat-Akquisitionsphase wurden zwei geometrische Figuren als konditionierte Stimuli (CS) verwendet. Eine dieser Figuren (CS+) wurde mit einem leicht schmerzhaften elektrischen Stromreiz (unkonditionierter Stimulus, US) gekoppelt, wohingegen solch eine Paarung mit der anderen Figur (CS-) ausblieb. Während des Extinktionslernens und der Re-Extinktion, welche jeweils 24 h und 17 Tage nach der Akquisition stattfanden, wurden beide CSs ohne US-Paarung wiederholt präsentiert. In der ersten Studie durchliefen 69 Probanden entweder ein Stress- (Sozial-evaluativer Cold Pressor Test, SECPT) oder ein Sham-Kontrollprotokoll, welches zehn Tage vor dem Threat-Konditionierungsparadigma stattfand. Darüber hinaus wurden Kontexteffekte untersucht. Dieses wurde durch die Platzierung des Stressprotokolls, entweder im gleichen (Kontext-A Stress & Shamgruppe) oder in einem anderen Kontext (Kontext-B Stressgruppe) als das Lernparadigma, realisiert. Die Ergebnisse demonstrieren für die Kontext-A Stressgruppe im Gegensatz zur Kontext-B Stressgruppe während der Akquisitionsphase ein verschlechtertes Sicherheitslernen (d.h. eine Potenzierung der konditionierten Reaktionen des CS-) in der Startle-Reaktion. Darüber hinaus demonstrierte dieselbe Stressgruppe verschlechterte Extinktion, was sich in persistierender CS-Diskrimination in Valenz- und Arousalratings während des Extinktionslernens und des Gedächtnisabrufes äußerte. Zusammenfassend lässt sich sagen, dass distaler Stress einerseits das Sicherheitslernen während der Akquisitionsphase auf der Ebene der Startle-Reaktion verschlechterte. Andererseits verschlechterte Stress die Extinktion und verstärkte die Furchtrückkehr auf der Ebene der subjektiven Ratings. Allerdings ist wichtig zu erwähnen, dass diese Effekte des distalen Stresses nur gefunden wurden, wenn der Stressor im gleichen Kontext wie das Konditionierungsparadigma appliziert wurde. Dieses lässt vermuten, dass die Kombination aus Stressor und stressor-assoziiertem Kontext den verschlechternden Effekt auf die Extinktion ausübten. In der zweiten Studie wurde darauf aufbauend untersucht, ob distale Stressinduktion einen Einfluss auf Threat- und Extinktionsprozesse, auch ohne die Notwendigkeit der Kontextassoziation, haben kann. Hierfür wurden das gleiche Stress- (n = 45) und Sham-Kontrollprotokoll (n = 44) wie in Studie 1 durchlaufen. In diesem Fall jedoch in einem anderen Kontext und 24 h vor dem Konditionierungsparadigma. Vergleichbar mit Studie 1 konnte abgeschwächtes Extinktionslernen für die Stress- im Vergleich zur Shamgruppe festgestellt werden. Es zeigte sich nur für die Stressgruppe eine anhaltende CS+/CS- Differenzierung in den Furchtratings nach dem ersten Block des Extinktionslernens. Unterschiede im Sicherheitslernen bezüglich des CS- während der Akquisitionsphase ließen sich nicht finden. Jedoch deuten signifikante Korrelation zwischen Stressmaßen am Stresstag und der konditionierten Startle-Reaktion auf den CS- während der Akquisition auf einen Einfluss von Stress auf das Sicherheitslernen hin. Zusammengefasst liefern die Studien dieser Dissertation erste Evidenzen für verschlechterte Extinktionsprozesse nach distaler Stressinduktion beim Menschen. Darüber hinaus konnten Einbußen im Sicherheitslernen aufgrund des Stressors verzeichnet werden. Hervorzuheben ist, dass der Stresseffekt durch die Assoziation zwischen Stressor und Konditionierungskontext verstärkt wurde. Die Ergebnisse dieser Dissertation haben klinische Relevanz, da sie erste experimentelle Evidenzen am Menschen für die Annahme liefern, dass vorherige Stresserfahrungen ein Individuum vulnerabler für späteres aversives Lernen machen. KW - Stress KW - Stress KW - Lernen KW - threat conditioning KW - learning and memory KW - Furcht KW - Assoziatives Lernen Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-225562 ER - TY - JOUR A1 - Eder, Andreas B. A1 - Dignath, David T1 - Expected value of control and the motivational control of habitual action JF - Frontiers in Psychology N2 - A hallmark of habitual actions is that, once they are established, they become insensitive to changes in the values of action outcomes. In this article, we review empirical research that examined effects of posttraining changes in outcome values in outcome-selective Pavlovian-to-instrumental transfer (PIT) tasks. This review suggests that cue-instigated action tendencies in these tasks are not affected by weak and/or incomplete revaluation procedures (e.g., selective satiety) and substantially disrupted by a strong and complete devaluation of reinforcers. In a second part, we discuss two alternative models of a motivational control of habitual action: a default-interventionist framework and expected value of control theory. It is argued that the default-interventionist framework cannot solve the problem of an infinite regress (i.e., what controls the controller?). In contrast, expected value of control can explain control of habitual actions with local computations and feedback loops without (implicit) references to control homunculi. It is argued that insensitivity to changes in action outcomes is not an intrinsic design feature of habits but, rather, a function of the cognitive system that controls habitual action tendencies. KW - habit KW - outcome devaluation KW - Pavlovian-to-instrumental transfer KW - default-interventionist framework KW - expected value of control KW - cognitive control Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-195703 SN - 1664-1078 VL - 10 IS - 1812 ER - TY - JOUR A1 - Greving, Sven A1 - Richter, Tobias T1 - Examining the testing effect in university teaching: retrievability and question format matter JF - Frontiers in Psychology N2 - Review of learned material is crucial for the learning process. One approach that promises to increase the effectiveness of reviewing during learning is to answer questions about the learning content rather than restudying the material (testing effect). This effect is well established in lab experiments. However, existing research in educational contexts has often combined testing with additional didactical measures that hampers the interpretation of testing effects. We aimed to examine the testing effect in its pure form by implementing a minimal intervention design in a university lecture (N = 92). The last 10 min of each lecture session were used for reviewing the lecture content by either answering short-answer questions, multiple-choice questions, or reading summarizing statements about core lecture content. Three unannounced criterial tests measured the retention of learning content at different times (1, 12, and 23 weeks after the last lecture). A positive testing effect emerged for short-answer questions that targeted information that participants could retrieve from memory. This effect was independent of the time of test. The results indicated no testing effect for multiple-choice testing. These results suggest that short-answer testing but not multiple-choice testing may benefit learning in higher education contexts. KW - testing effect KW - university teaching KW - retrieval practice KW - question format KW - educational psychology KW - net testing effect KW - desirable difficulties Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-190802 SN - 1664-1078 VL - 9 ER - TY - JOUR A1 - Wittkowski, Joachim A1 - Scheuchenpflug, Rainer T1 - Evidence on the Conceptual Distinctness of Normal Grief From Depression BT - A Multi-Faceted Analysis of Differential Validity JF - European Journal of Health Psychology N2 - Background: The distinctness of grief from depression has been the subject of a long scholarly debate, even influencing definitions of diagnostic criteria. Aims: This study aims at clarifying the issue by a multifaceted analysis of data from a large German sample. Method: A community sample of 406 bereaved persons answered the Wuerzburg Grief Inventory (WGI), a multidimensional grief questionnaire designed to measure normal grief in the German language, and the General Depression Scale – Short Version (GDS-S), a self-report depression scale. Data were analyzed by factor analysis to identify structural (dis-)similarities of the constructs, and analysis of variance (ANOVA) to identify the influence of the factors relationship to the deceased, type of death, and time since loss on grief measures and depression scores. Results: Factor analysis clustered items referring to grief-related impairments and depression into one factor, items referring to other dimensions of grief on separate factors, however. Relationship to the deceased influenced the grief measures impairments and nearness to the deceased, but not depression scores if controlled for impairments. Type of death showed specific effects on grief scores, but not on depression scores. Time since loss influenced grief scores, but not depression scores. Limitations: The analysis is based on a self-selected community sample of grieving persons, self-report measures, and in part, on cross-sectional data. Conclusion: Factor analysis and objective data show a clear distinction of dimensions of grief and depression. The human experience of grief contains a sense of nearness to the lost person, feelings of guilt, and positive aspects of the loss experience in addition to components resembling depression. KW - depression KW - grief KW - time since loss KW - type of death KW - Wuerzburg Grief Inventory (WGI) Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-236531 SN - 2512-8442 SN - 2512-8450 VL - 28 IS - 3 SP - 101-110 ER - TY - JOUR A1 - Lulé, Dorothée A1 - Kübler, Andrea A1 - Ludolph, Albert C. T1 - Ethical principles in patient-centered medical care to support quality of life in amyotrophic lateral sclerosis JF - Frontiers in Neurology N2 - It is one of the primary goals of medical care to secure good quality of life (QoL) while prolonging survival. This is a major challenge in severe medical conditions with a prognosis such as amyotrophic lateral sclerosis (ALS). Further, the definition of QoL and the question whether survival in this severe condition is compatible with a good QoL is a matter of subjective and culture-specific debate. Some people without neurodegenerative conditions believe that physical decline is incompatible with satisfactory QoL. Current data provide extensive evidence that psychosocial adaptation in ALS is possible, indicated by a satisfactory QoL. Thus, there is no fatalistic link of loss of QoL when physical health declines. There are intrinsic and extrinsic factors that have been shown to successfully facilitate and secure QoL in ALS which will be reviewed in the following article following the four ethical principles (1) Beneficence, (2) Non-maleficence, (3) Autonomy and (4) Justice, which are regarded as key elements of patient centered medical care according to Beauchamp and Childress. This is a JPND-funded work to summarize findings of the project NEEDSinALS (www.NEEDSinALS.com) which highlights subjective perspectives and preferences in medical decision making in ALS. KW - ethics KW - quality of life (QoL) KW - care KW - amyotrophic lateral sclerosis (ALS) KW - well-being KW - depression KW - coping KW - psychosocial adaptation Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-196239 SN - 1664-2295 VL - 10 ER - TY - JOUR A1 - Rodrigues, Johannes A1 - Weiß, Martin A1 - Hewig, Johannes A1 - Allen, John J. B. T1 - EPOS: EEG Processing Open-Source Scripts JF - Frontiers in Neuroscience N2 - Background: Since the replication crisis, standardization has become even more important in psychological science and neuroscience. As a result, many methods are being reconsidered, and researchers’ degrees of freedom in these methods are being discussed as a potential source of inconsistencies across studies. New Method: With the aim of addressing these subjectivity issues, we have been working on a tutorial-like EEG (pre-)processing pipeline to achieve an automated method based on the semi-automated analysis proposed by Delorme and Makeig. Results: Two scripts are presented and explained step-by-step to perform basic, informed ERP and frequency-domain analyses, including data export to statistical programs and visual representations of the data. The open-source software EEGlab in MATLAB is used as the data handling platform, but scripts based on code provided by Mike Cohen (2014) are also included. Comparison with existing methods: This accompanying tutorial-like article explains and shows how the processing of our automated pipeline affects the data and addresses, especially beginners in EEG-analysis, as other (pre)-processing chains are mostly targeting rather informed users in specialized areas or only parts of a complete procedure. In this context, we compared our pipeline with a selection of existing approaches. Conclusion: The need for standardization and replication is evident, yet it is equally important to control the plausibility of the suggested solution by data exploration. Here, we provide the community with a tool to enhance the understanding and capability of EEG-analysis. We aim to contribute to comprehensive and reliable analyses for neuro-scientific research. KW - EEG KW - electroencephalography KW - event-related potentials-ERP KW - EEG processing KW - EEG preprocessing KW - EEG frequency band analysis Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-240221 SN - 1662-453X VL - 15 ER - TY - JOUR A1 - Martens, Suzanne A1 - Bensch, Michael A1 - Halder, Sebastian A1 - Hill, Jeremy A1 - Nijboer, Femke A1 - Ramos-Murguialday, Ander A1 - Schoelkopf, Bernhard A1 - Birbaumer, Niels A1 - Gharabaghi, Alireza T1 - Epidural electrocorticography for monitoring of arousal in locked-in state JF - Frontiers in Human Neuroscience N2 - Electroencephalography (EEG) often fails to assess both the level (i.e., arousal) and the content (i.e., awareness) of pathologically altered consciousness in patients without motor responsiveness. This might be related to a decline of awareness, to episodes of low arousal and disturbed sleep patterns, and/or to distorting and attenuating effects of the skull and intermediate tissue on the recorded brain signals. Novel approaches are required to overcome these limitations. We introduced epidural electrocorticography (ECoG) for monitoring of cortical physiology in a late-stage amytrophic lateral sclerosis patient in completely locked-in state (CLIS) Despite long-term application for a period of six months, no implant related complications occurred. Recordings from the left frontal cortex were sufficient to identify three arousal states. Spectral analysis of the intrinsic oscillatory activity enabled us to extract state-dependent dominant frequencies at <4, similar to 7 and similar to 20 Hz, representing sleep-like periods, and phases of low and elevated arousal, respectively. In the absence of other biomarkers, ECoG proved to be a reliable tool for monitoring circadian rhythmicity, i.e., avoiding interference with the patient when he was sleeping and exploiting time windows of responsiveness. Moreover, the effects of interventions addressing the patient's arousal, e.g., amantadine medication, could be evaluated objectively on the basis of physiological markers, even in the absence of behavioral parameters. Epidural ECoG constitutes a feasible trade-off between surgical risk and quality of recorded brain signals to gain information on the patient's present level of arousal. This approach enables us to optimize the timing of interactions and medical interventions, all of which should take place when the patient is in a phase of high arousal. Furthermore, avoiding low responsiveness periods will facilitate measures to implement alternative communication pathways involving brain-computer interfaces (BCI). KW - temporal-lobe epilepsy KW - neuroprosthetic devices KW - brain computer interface KW - event-related potentials KW - intraoperative electrocoicography KW - electrocorticography KW - epidural recording KW - locked-in state KW - coma KW - consciousness KW - paralyzed patients KW - EEG KW - sleep KW - communication KW - frequencies KW - amyotrophic-lateral-sclerosis Y1 - 2014 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-114863 VL - 8 ER - TY - JOUR A1 - Liesner, Marvin A1 - Kunde, Wilfried T1 - Environment-Related and Body-Related Components of the Minimal Self JF - Frontiers in Psychology N2 - Perceptual changes that an agent produces by efferent activity can become part of the agent’s minimal self. Yet, in human agents, efferent activities produce perceptual changes in various sensory modalities and in various temporal and spatial proximities. Some of these changes occur at the “biological” body, and they are to some extent conveyed by “private” sensory signals, whereas other changes occur in the environment of that biological body and are conveyed by “public” sensory signals. We discuss commonalties and differences of these signals for generating selfhood. We argue that despite considerable functional overlap of these sensory signals in generating self-experience, there are reasons to tell them apart in theorizing and empirical research about development of the self. KW - active self KW - exteroception KW - ideomotor theory KW - interoception KW - minimal self KW - self-construction KW - sense of agency KW - sense of ownership Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-250007 SN - 1664-1078 VL - 12 ER - TY - JOUR A1 - Wölk, Julian A1 - Sütterlin, Stefan A1 - Koch, Stefan A1 - Vögele, Claus A1 - Schulz, Stefan M. T1 - Enhanced cardiac perception predicts impaired performance in the Iowa Gambling Task in patients with panic disorder JF - Brain and Behavior N2 - OBJECTIVE: Somatic marker theory predicts that somatic cues serve intuitive decision making; however, cardiovascular symptoms are threat cues for patients with panic disorder (PD). Therefore, enhanced cardiac perception may aid intuitive decision making only in healthy individuals, but impair intuitive decision making in PD patients. METHODS: PD patients and age-and sex-matched volunteers without a psychiatric diagnosis (n=17, respectively) completed the Iowa Gambling Task (IGT) as a measure of intuitive decision making. Interindividual differences in cardiac perception were assessed with a common mental-tracking task. RESULTS: In line with our hypothesis, we found a pattern of opposing associations (Fisher's Z=1.78, P=0.04) of high cardiac perception with improved IGT-performance in matched control-participants (r=0.36, n=14) but impaired IGT-performance in PD patients (r=-0.38, n=13). CONCLUSION: Interoceptive skills, typically assumed to aid intuitive decision making, can have the opposite effect in PD patients who experience interoceptive cues as threatening, and tend to avoid them. This may explain why PD patients frequently have problems with decision making in everyday life. Screening of cardiac perception may help identifying patients who benefit from specifically tailored interventions. KW - panic disorder KW - somatic marker hypothesis KW - cardiac perception KW - Iowa Gambling Task KW - decision making KW - interoception Y1 - 2014 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-119865 SN - 2162-3279 VL - 4 IS - 2 ER - TY - JOUR A1 - Holtfrerich, Sarah K. C. A1 - Schwarz, Katharina A. A1 - Sprenger, Christian A1 - Reimers, Luise A1 - Diekhof, Esther K. T1 - Endogenous Testosterone and Exogenous Oxytocin Modulate Attentional Processing of Infant Faces JF - PLoS ONE N2 - Evidence indicates that hormones modulate the intensity of maternal care. Oxytocin is known for its positive influence on maternal behavior and its important role for childbirth. In contrast, testosterone promotes egocentric choices and reduces empathy. Further, testosterone decreases during parenthood which could be an adaptation to increased parental investment. The present study investigated the interaction between testosterone and oxytocin in attentional control and their influence on attention to baby schema in women. Higher endogenous testosterone was expected to decrease selective attention to child portraits in a face-in-the-crowd-paradigm, while oxytocin was expected to counteract this effect. As predicted, women with higher salivary testosterone were slower in orienting attention to infant targets in the context of adult distractors. Interestingly, reaction times to infant and adult stimuli decreased after oxytocin administration, but only in women with high endogenous testosterone. These results suggest that oxytocin may counteract the adverse effects of testosterone on a central aspect of social behavior and maternal caretaking. KW - maternal behavior KW - oxytocin KW - testosterone KW - attention KW - infant faces Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-166783 VL - 11 IS - 11 ER - TY - JOUR A1 - Holtfrerich, Sarah K. C. A1 - Pfister, Roland A1 - El Gammal, Alexander T. A1 - Bellon, Eugen A1 - Diekhof, Esther K. T1 - Endogenous testosterone and exogenous oxytocin influence the response to baby schema in the female brain JF - Scientific Reports N2 - Nurturing behavior may be critically influenced by the interplay of different hormones. The neuropeptide oxytocin is known to promote maternal behavior and its reduction has been associated with postpartum depression risk and child neglect. Contrariwise, the observed decrease in testosterone level during early parenthood may benefit caretaking behavior, whereas increased testosterone may reduce attention to infants. Here we used functional magnetic resonance imaging to investigate the interactive influence of testosterone and oxytocin on selective attention to and neural processing of the baby schema (BS). 57 nulliparous women performed a target detection task with human faces with varying degree of BS following double-blinded placebo-controlled oxytocin administration in a between-subjects design. Our results support the idea that oxytocin enhances attention to the BS. Oxytocin had a positive effect on activation of the inferior frontal junction during identification of infant targets with a high degree of BS that were presented among adult distractors. Further, activation of the putamen was positively correlated with selective attention to the BS, but only in women with high endogenous testosterone who received oxytocin. These findings provide initial evidence for the neural mechanism by which oxytocin may counteract the negative effects of testosterone in the modulation of nurturing behavior. KW - attention KW - reward Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-322285 VL - 8 ER - TY - THES A1 - Herbort, Oliver T1 - Encoding Redundancy for Task-dependent Optimal Control : A Neural Network Model of Human Reaching T1 - Redundante Repräsentationen als Grundlage aufgabenbezogener optimaler Steuerung:Ein neuronales Netzwerk Modell menschlicher Zeigebewegungen N2 - The human motor system is adaptive in two senses. It adapts to the properties of the body to enable effective control. It also adapts to different situational requirements and constraints. This thesis proposes a new neural network model of both kinds of adaptivity for the motor cortical control of human reaching movements, called SURE_REACH (sensorimotor unsupervised learning redundancy resolving control architecture). In this neural network approach, the kinematic and sensorimotor redundancy of a three-joint planar arm is encoded in task-independent internal models by an unsupervised learning scheme. Before a movement is executed, the neural networks prepare a movement plan from the task-independent internal models, which flexibly incorporates external, task-specific constraints. The movement plan is then implemented by proprioceptive or visual closed-loop control. This structure enables SURE_REACH to reach hand targets while incorporating task-specific contraints, for example adhering to kinematic constraints, anticipating the demands of subsequent movements, avoiding obstacles, or reducing the motion of impaired joints. Besides this functionality, the model accounts for temporal aspects of human reaching movements or for data from priming experiments. Additionally, the neural network structure reflects properties of motor cortical networks like interdependent population encoded body space representations, recurrent connectivity, or associative learning schemes. This thesis introduces and describes the new model, relates it to current computational models, evaluates its functionality, relates it to human behavior and neurophysiology, and finally discusses potential extensions as well as the validity of the model. In conclusion, the proposed model grounds highly flexible task-dependent behavior in a neural network framework and unsupervised sensorimotor learning. N2 - Das motorische System des Menschen ist in zweierlei Hinsicht anpassungsfähig. Es passt sich den Eigenschaften des Körpers an, um diesen effektiv zu kontrollieren. Es passt sich aber auch unterschiedlichen situationsabhängigen Erfordernissen und Beschränkungen an. Diese Dissertation stellt ein neues neuronales Netzwerk Modell der motor-kortikalen Steuerung von menschlichen Zeigebewegungen vor, das beide Arten von Anpassungsfähigkeit integriert (SURE_REACH, Sensumotorische, unüberwacht lernende, redundanzauflösende Kontrollarchitektur). Das neuronale Netzwerk speichert kinematische und sensumotorische Redundanz eines planaren, dreigelenkigen Armes in aufgabenunabhängigen internen Modellen mittels unüberwachter Lernverfahrenen. Vor der Ausführung einer Bewegung bereitet das neuronale Netzwerk einen Bewegungsplan vor. Dieser basiert auf den aufgabenunabhängigen internen Modells und passt sich flexibel äu"seren, aufgabenabhängigen Erfordernissen an. Der Bewegungsplan wird dann durch propriozeptive oder visuelle Regelung umgesetzt. Auf diese Weise erklärt SURE_REACH Bewegungen zu Handzielen die aufgabenabhängige Erfordernisse berücksichtigen, zum Beispiel werden kinematische Beschränkungen miteinbezogen, Erfordernisse nachfolgender Aufgaben antizipiert, Hindernisse vermieden oder Bewegungen verletzter Gelenke reduziert. Desweiteren werden zeitliche Eigenschaften menschlicher Bewegungen oder die Ergebnisse von Primingexperimenten erklärt. Die neuronalen Netzwerke bilden zudem Eigenschaften motor-kortikaler Netzwerke ab, zum Beispiel wechselseitig abhängige Raumrepräsentationen, rekurrente Verbindungen oder assoziative Lernverfahren. Diese Dissertation beschreibt das neue Modell, vergleicht es mit anderen Modellen, untersucht seine Funktionalität, stellt Verbindungen zu menschlichem Verhalten und menschlicher Neurophysiologie her und erörtert schlie"slich mögliche Erweiterungen und die Validität des Models. Zusammenfassend stellt das vorgeschlagene Model eine Erklärung für flexibles aufgabenbezogenes Verhalten auf ein Fundament aus neuronalen Netzwerken und unüberwachten sensumotorischen Lernen. KW - Bewegungssteuerung KW - Motorisches Lernen KW - Redundanz KW - Neuronales Netz KW - Optimale Kontrolle KW - Computersimulation KW - Populationscodes KW - dynamisches Programmieren KW - flexibles Verhalten KW - population codes KW - dynamic programming KW - flexible behavior Y1 - 2008 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-26032 ER - TY - JOUR A1 - Kleih, Sonja C. A1 - Kübler, Andrea T1 - Empathy, motivation, and P300-BCI performance JF - Frontiers in Human Neuroscience N2 - Motivation moderately influences brain–computer interface (BCI) performance in healthy subjects when monetary reward is used to manipulate extrinsic motivation. However, the motivation of severely paralyzed patients, who are potentially in need for BCI, could mainly be internal and thus, an intrinsic motivator may be more powerful. Also healthy subjects who participate in BCI studies could be internally motivated as they may wish to contribute to research and thus extrinsic motivation by monetary reward would be less important than the content of the study. In this respect, motivation could be defined as “motivation-to-help.” The aim of this study was to investigate, whether subjects with high motivation for helping and who are highly empathic would perform better with a BCI controlled by event-related potentials (P300-BCI). We included N = 20 healthy young participants naïve to BCI and grouped them according to their motivation for participating in a BCI study in a low and highly motivated group. Motivation was further manipulated with interesting or boring presentations about BCI and the possibility to help patients. Motivation for helping did neither influence BCI performance nor the P300 amplitude. Post hoc, subjects were re-grouped according to their ability for perspective taking. We found significantly higher P300 amplitudes on parietal electrodes in participants with a low ability for perspective taking and therefore, lower empathy, as compared to participants with higher empathy. The lack of an effect of motivation on BCI performance contradicts previous findings and thus, requires further investigation. We speculate that subjects with higher empathy who are good perspective takers with regards to patients in potential need of BCI, may be more emotionally involved and therefore, less able to allocate attention on the BCI task at hand. KW - psychological variables KW - empathy KW - motivation KW - brain–computer interface KW - ERP KW - P300 Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-130559 VL - 7 IS - 642 ER - TY - THES A1 - Andreatta, Marta T1 - Emotional reactions after event learning : a Rift between Implicit and Explicit Conditioned Valence in Humans Pain Relief Lerning T1 - Emotionale Reaktionen nach dem Event-Learning N2 - Organismen vermeiden Gefahren und streben nach Belohnungen, um zu überleben. Klassische Konditionierung ist ein einfaches Model, das erklärt, wie Tiere und Menschen Ereignisse in Verbindung bringen. Dieses Lernen ermöglicht Lebewesen Gefahr oder Belohnung direkt vorherzusehen. Normalerweise besteht das Konditionierungsparadigma aus der Präsentation eines neutralen Stimulus zusammen mit einem biologisch bedeutsamen Event (der unkonditionierte Stimulus – US). Aufgrund dieser Assoziation erwirbt der neutrale Stimulus affektive Eigenschaften und wird dann konditionierter Stimulus (CS+) genannt. Wenn der CS+ mit Schmerz während der Trainingsphase assoziiert wird, leitet er eine defensive Reaktion, wie z.B. Vermeidung ein. Wenn der CS+ mit einer Belohnung assoziiert wird, leitet er eine appetitive Reaktion, wie z.B. Annäherungsreaktionen ein. Interessanterweise haben Tierstudien gezeigt, dass ein konditionierter Stimulus vermieden wurde, wenn er einem aversiven US in der Trainingsphase vorausgegangen war (CS+US; Vorwärtskonditionierung). Das deutet darauf hin, dass der CS+ aversive Eigenschaften erlangt hat. Jedoch führte ein konditionierter Stimulus zu einer Annäherung, wenn er in der Trainingsphase auf einen aversiven US folgt (US CS+; Rückwärtskonditionierung). Das deutet darauf hin, dass der CS+ appetitive Eigenschaften erlangt hat. Kann das Event Timing sowohl aversive als auch appetitive konditionierten Reaktionen auch bei Menschen auslösen, die zu Kognitionen bezüglich der Assoziationen fähig sind? Um diese Fragestellung zu beantworten, wurden vier Studien durchgeführt. Die Studien hatten den gleichen Ablauf, variiert wurde nur die Zeit zwischen CS+ und US (das Interstimulusintervall – ISI – ist als das Zeitintervall zwischen dem Onset des CS+ und dem Onset des US definiert). Während der Akquisitionsphase (Konditionierung) wurden, zwei einfache geometrische Figuren als konditionierte Stimuli dargeboten. Eine geometrische Figur (der CS+) war immer mit einem leichten schmerzhaften elektrischen Reiz (der aversive US) assoziiert; die andere Figur (der CS-) war nie mit dem elektrischen Reiz assoziiert. In einem between-subjects Design wurde entweder eine Vorwärtskonditionierung oder eine Rückwärtskonditionierung durchgeführt. Während der Testsphase (Extinktion) wurden CS+ und CS- präsentiert sowie zusätzlich eine neue neutrale geometrische Figur präsentiert, die als Kontrollstimulus fungierte; der US wurde in dieser Phase nie dargeboten. Vor und nach der Konditionierung wurden die Probanden sowohl bezüglich der Valenz (bzw. Unangenehmheit und Angenehmheit) als auch der Erregung (bzw. Ruhe und Aufregung) hinsichtlich der geometrischen Figuren befragt. In der ersten Studie wurde der Schreckreflex (Startle Reflex) als Maß für die implizite Valenz der Stimuli gemessen. Der Schreckreflex ist eine defensive Urreaktion, die aus einem Muskelzucken des Gesichts und des Körpers besteht. Dieser Reflex ist durch plötzliche und intensive visuelle, taktile oder akustische Reize evoziert. Einerseits war die Amplitude des Startles bei der Anwesenheit des vorwärts CS+ potenziert und das deutet daraufhin, dass der CS+ eine implizite negative Valenz nach der Vorwärtskonditionierung erworben hat. Anderseits war die Amplitude des Startles bei der Anwesenheit des rückwärts CS+ abgeschwächt, was darauf hin deutet, dass der CS+ nach der Rückwärtskonditionierung eine implizite positive Valenz erworben hat. In der zweiten Studie wurde die oxygenierte Bloodsresponse (BOLD) mit funktioneller Magnetresonanztomographie (fMRI) erhoben, um neuronale Korrelate des Event-Timings zu erfassen. Eine stärkere Aktivierung wurde in der Amygdala in Erwiderung auf den vorwärts CS+ und im Striatum in Erwiderung auf den rückwärts CS+ gefunden. Zum Einen entspricht dies einer Aktivierung des Defensive Motivational Systems, da die Amygdala eine wichtige Rolle beim Angstexpression und Angstakquisition hat. Deshalb wurde der vorwärts CS+ als aversiv betrachtet. Zum Anderen entspricht dies einer Aktivierung des Appetitive Motivational System, da das Striatum eine wichtige Rolle bei Belohnung hat. Deshalb wurde der rückwärts CS+ als appetitiv betrachtet. In der dritten Studie wurden Aufmerksamkeitsprozesse beim Event-Timing näher beleuchtet, indem steady-state visuelle evozierte Potentiale (ssVEP) gemessen wurden. Sowohl der vorwärts CS+ als auch der rückwärts CS+ zog Aufmerksamkeit auf sich. Dennoch war die Amplitude der ssVEP großer während der letzen Sekunden des vorwärts CS+, d.h. direkt vor dem aversiven US. Die Amplitude der ssVEP war aber größer während der ersten Sekunden des rückwärts CS+, d.h. kurz nach dem aversiven US. Vermutlich wird die Aufmerksamkeit auf den hinsichtlich des aversiven US informativsten Teil des CS+. Alle Probanden der drei Studien haben den vorwärts CS+ und den rückwärts CS+ negativer und erregender als den Kontrollstimulus beurteilt. Daher werden die expliziten Ratings vom Event-Timing nicht beeinflusst. Bemerkenswert ist die Dissoziation zwischen den subjektiven Ratings und den physiologischen Reaktionen. Nach der Dual-Prozess Theorie werden die Verhaltensreaktionen des Menschen von zwei Systemen determiniert: einem impulsiv impliziten System, das auf assoziativen Prinzipien beruht, und einem reflektiv expliziten System, das auf der Kenntnis über Fakten und Werte basiert. Wichtig ist, dass die zwei Systeme auf synergetische oder antagonistische Weise agieren können. Folglich könnte es sein, dass das impulsive und das reflektive System nach der Rückwärtskonditionierung antagonistisch arbeiten. Zusammen deuten die vorliegenden Studien daraufhin, dass Event-Timing eine Bestrafung in eine Belohnung umwandeln kann, aber die Probanden erleben den Stimulus assoziiert mit einem aversiven Event als negativ. Diese Dissoziation könnte zum Verständnis der psychiatrischen Störungen wie z.B. Angststörungen oder Drogenabhängigkeit beitragen. N2 - In order to survive, organisms avoid threats and seek rewards. Classical conditioning is a simple model to explain how animals and humans learn associations between events that allow them to predict threats and rewards efficiently. In the classical conditioning paradigm, a neutral stimulus is paired with a biologically significant event (the unconditioned stimulus – US). In virtue of this association, the neutral stimulus acquires affective motivational properties, and becomes a conditioned stimulus (CS+). Defensive responses emerge for pairings with an aversive US (e.g., pain), and appetitive responses emerge for pairing with an appetitive event (e.g., reward). It has been observed that animals avoid a CS+ when it precedes an aversive US during a training phase (CS+  US; forward conditioning); whereas they approach a CS+ when it follows an aversive US during the training phase (US  CS+; backward conditioning). These findings indicate that the CS+ acquires aversive properties after a forward conditioning, whereas acquires appetitive properties after a backward conditioning. It is thus of interest whether event timing also modulates conditioned responses in such an opponent fashion in humans, who are capable of explicit cognition about the associations. For this purpose, four experiments were conducted in which a discriminative conditioning was applied in groups of participants that only differed in the temporal sequence between CS+ onset and US onset (i.e., the interstimulus interval – ISI). During the acquisition phase (conditioning), two simple geometrical shapes were presented as conditioned stimuli. One shape (CS+) was always associated with a mild painful electric shock (i.e., the aversive US) and the other one (CS-) was never associated with the shock. In a between-subjects design, participants underwent either forward or backward conditioning. During the test phase (extinction), emotional responses to CS+ and CS- were tested and the US was never presented. Additionally, a novel neutral shape (NEW) was presented as control stimulus. To assess cognitive components, participants had to rate both the valence (the degree of unpleasantness or pleasantness) and the arousal (the degree of calmness or excitation) associated with the shapes before and after conditioning. In the first study, startle responses, an ancestral defensive reflex consisting of a fast twitch of facial and body muscles evoked by sudden and intense stimuli, was measured as an index of stimulus implicit valence. Startle amplitude was potentiated in the presence of the forward CS+ whilst attenuated in the presence of the backward CS+. Respectively, the former response indicates an implicit negative valence of the CS+ and an activation of the defensive system; the latter indicated an implicit positive valence of the CS+ and an activation of the appetitive system. In the second study, the blood-oxygen level dependent (BOLD) response was measured by means of functional magnetic resonance imaging (fMRI) to investigate neural responses after event learning. Stronger amygdala activation in response to forward CS+ and stronger striatum activation in response to backward CS+ were found in comparison to CS-. These results support the notion that the defensive motivational system is activated after forward conditioning since the amygdala plays a crucial role in fear acquisition and expression. Whilst the appetitive motivational system is activated after backward conditioning since the striatum plays a crucial role in reward processing. In the third study, attentional processes underlying event learning were observed by means of steady-state visual evoked potentials (ssVEPs). This study showed that both forward and backward CS+ caught attentional resources. More specifically, ssVEP amplitude was higher during the last seconds of forward CS+ that is just before the US, but during the first seconds of backward CS+ that is just after the US. Supposedly, attentional processes were located at the most informative part of CS+ in respect to the US. Participants of all three studies rated both forward and backward CS+ more negative and arousing compared to the CS-. This indicated that event timing did not influence verbal reports similarly as the neural and behavioral responses indicating a dissociation between the explicit and implicit responses. Accordingly, dual process theories propose that human behavior is determined by the output of two systems: (1) an impulsive implicit system that works on associative principles, and (2) a reflective explicit system that functions on the basis of knowledge about facts and values. Most importantly, these two systems can operate in a synergic or antagonistic fashion. Hence, the three studies of this thesis congruently suggest that the impulsive and the reflective systems act after backward association in an antagonistic fashion. In sum, event timing may turn punishment into reward in humans even though they subjectively rate the stimulus associated with aversive events as being aversive. This dissociation might contribute to understand psychiatric disorders, like anxiety disorders or drug addiction. KW - Gefühl KW - Lernen KW - Konditionierung KW - Emotionen KW - Event Timing KW - Conditioning KW - Emotion KW - Event Timing Y1 - 2010 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-55715 ER - TY - JOUR A1 - Gerdes, Antje B. M. A1 - Wieser, Matthias J. A1 - Alpers, Georg W. T1 - Emotional pictures and sounds: a review of multimodal interactions of emotion cues in multiple domains JF - Frontiers in Psychology N2 - In everyday life, multiple sensory channels jointly trigger emotional experiences and one channel may alter processing in another channel. For example, seeing an emotional facial expression and hearing the voice's emotional tone will jointly create the emotional experience. This example, where auditory and visual input is related to social communication, has gained considerable attention by researchers. However, interactions of visual and auditory emotional information are not limited to social communication but can extend to much broader contexts including human, animal, and environmental cues. In this article, we review current research on audiovisual emotion processing beyond face-voice stimuli to develop a broader perspective on multimodal interactions in emotion processing. We argue that current concepts of multimodality should be extended in considering an ecologically valid variety of stimuli in audiovisual emotion processing. Therefore, we provide an overview of studies in which emotional sounds and interactions with complex pictures of scenes were investigated. In addition to behavioral studies, we focus on neuroimaging, electro- and peripher-physiological findings. Furthermore, we integrate these findings and identify similarities or differences. We conclude with suggestions for future research. KW - emotional sounds KW - auditory stimuli KW - facial expressions KW - human brain KW - multisensory integration KW - multimodal emotion processing KW - emotional pictures KW - audiovisual interactions KW - emotional scene stimuli KW - visual stimuli KW - social anxiety KW - human amygdala KW - attention capture KW - relevance detection KW - audiovisual integration Y1 - 2014 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-114548 SN - 1664-1078 VL - 5 ER - TY - JOUR A1 - Mavratzakis, Aimee A1 - Herbert, Cornelia A1 - Walla, Peter T1 - Emotional facial expressions evoke faster orienting responses, but weaker emotional responses at neural and behavioural levels compared to scenes: a simultaneous EEG and facial EMG study JF - NeuroImage N2 - In the current study, electroencephalography (EEG) was recorded simultaneously with facial electromyography (fEMG) to determine whether emotional faces and emotional scenes are processed differently at the neural level. In addition, it was investigated whether these differences can be observed at the behavioural level via spontaneous facial muscle activity. Emotional content of the stimuli did not affect early P1 activity. Emotional faces elicited enhanced amplitudes of the face-sensitive N170 component, while its counterpart, the scene-related N100, was not sensitive to emotional content of scenes. At 220-280 ms, the early posterior negativity (EPN) was enhanced only slightly for fearful as compared to neutral or happy faces. However, its amplitudes were significantly enhanced during processing of scenes with positive content, particularly over the right hemisphere. Scenes of positive content also elicited enhanced spontaneous zygomatic activity from 500-750 ms onwards, while happy faces elicited no such changes. Contrastingly, both fearful faces and negative scenes elicited enhanced spontaneous corrugator activity at 500-750 ms after stimulus onset. However, relative to baseline EMG changes occurred earlier for faces (250 ms) than for scenes (500 ms) whereas for scenes activity changes were more pronounced over the whole viewing period. Taking into account all effects, the data suggests that emotional facial expressions evoke faster attentional orienting, but weaker affective neural activity and emotional behavioural responses compared to emotional scenes. KW - Emotion KW - Affective processing KW - Faces and scenes KW - Electroencephalography KW - Spontaneous facial EMG KW - N170 KW - N100 KW - Early posterior negativity Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-191535 VL - 124 IS - Part A ER - TY - JOUR A1 - Wu, Lingdan A1 - Winkler, Markus H. A1 - Wieser, Matthias J. A1 - Andreatta, Marta A1 - Li, Yonghui A1 - Pauli, Paul T1 - Emotion regulation in heavy smokers: experiential, expressive and physiological consequences of cognitive reappraisal JF - Frontiers in Psychology N2 - Emotion regulation dysfunctions are assumed to contribute to the development of tobacco addiction and relapses among smokers attempting to quit. To further examine this hypothesis, the present study compared heavy smokers with non-smokers (NS) in a reappraisal task. Specifically, we investigated whether non-deprived smokers (NDS) and deprived smokers (DS) differ from non-smokers in cognitive emotion regulation and whether there is an association between the outcome of emotion regulation and the cigarette craving. Sixty-five participants (23 non-smokers, 22 NDS, and 20 DS) were instructed to down-regulate emotions by reappraising negative or positive pictorial scenarios. Self-ratings of valence, arousal, and cigarette craving as well as facial electromyography and electroencephalograph activities were measured. Ratings, facial electromyography, and electroencephalograph data indicated that both NDS and DS performed comparably to nonsmokers in regulating emotional responses via reappraisal, irrespective of the valence of pictorial stimuli. Interestingly, changes in cigarette craving were positively associated with regulation of emotional arousal irrespective of emotional valence. These results suggest that heavy smokers are capable to regulate emotion via deliberate reappraisal and smokers' cigarette craving is associated with emotional arousal rather than emotional valence. This study provides preliminary support for the therapeutic use of reappraisal to replace maladaptive emotion-regulation strategies in nicotine addicts. KW - negative affect KW - regulation strategies KW - positive emotions KW - craving KW - late positive potential KW - nicotine addiction KW - smoking KW - emotion regulation KW - reappraisal KW - facial electromyography KW - brain reactivity KW - down regulation KW - unpleasant pictures KW - anxiety sensitivity KW - facial expressions KW - cigarette smokers KW - smoking motives Y1 - 2015 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-145225 VL - 6 IS - 1555 ER - TY - THES A1 - Wu, Lingdan T1 - Emotion Regulation in Addicted Smokers T1 - Emotionsregulation bei abhängigen Rauchern N2 - Background: Nicotine addiction is the most prevalent type of drug addiction that has been described as a cycle of spiraling dysregulation of the brain reward systems. Imaging studies have shown that nicotine addiction is associated with abnormal function in prefrontal brain regions that are important for cognitive emotion regulation. It was assumed that addicts may perform less well than healthy nonsmokers in cognitive emotion regulation tasks. The primary aims of this thesis were to investigate emotional responses to natural rewards among smokers and nonsmokers and to determine whether smokers differ from nonsmokers in cognitive regulation of positive and negative emotions. To address these aims, two forms of appraisal paradigms (i.e., appraisal frame and reappraisal) were applied to compare changes in emotional responses of smokers with that of nonsmokers as a function of appraisal strategies. Experiment 1: The aim of the first experiment was to evaluate whether and how appraisal frames preceding positive and negative picture stimuli affect emotional experience and facial expression of individuals. Twenty participants were exposed to 125 pairs of auditory appraisal frames (either neutral or emotional) followed by picture stimuli reflecting five conditions: unpleasant-negative, unpleasant-neutral, pleasant-positive, pleasant-neutral and neutral-neutral. Ratings of valence and arousal as well as facial EMG activity over the corrugator supercilii and the zygomaticus major were measured simultaneously. The results indicated that appraisal frames could alter both subjective emotional experience and facial expressions, irrespective of the valence of the pictorial stimuli. These results suggest and support that appraisal frame is an efficient paradigm in regulation of multi-level emotional responses. 8 Experiment 2: The second experiment applied the appraisal frame paradigm to investigate how smokers differ from nonsmokers on cognitive emotion regulation. Sixty participants (22 nonsmokers, 19 nondeprived smokers and 19 12-h deprived smokers) completed emotion regulation tasks as described in Experiment 1 while emotional responses were concurrently recorded as reflected by self-ratings and psychophysiological measures (i.e., facial EMG and EEG). The results indicated that there was no group difference on emotional responses to natural rewards. Moreover, nondeprived smokers and deprived smokers performed as well as nonsmokers on the emotion regulation task. The lack of group differences in multiple emotional responses (i.e., self-reports, facial EMG activity and brain EEG activity) suggests that nicotine addicts have no deficit in cognitive emotion regulation of natural rewards via appraisal frames. Experiment 3: The third experiment aimed to further evaluate smokers’ emotion regulation ability by comparing performances of smokers and nonsmokers in a more challenging cognitive task (i.e., reappraisal task). Sixty-five participants (23 nonsmokers, 22 nondeprived smokers and 20 12-h deprived smokers) were instructed to regulate emotions by imagining that the depicted negative or positive scenario would become less negative or less positive over time, respectively. The results showed that nondeprived smokers and deprived smokers responded similarly to emotional pictures and performed as well as nonsmokers in down-regulating positive and negative emotions via the reappraisal strategy. These results indicated that nicotine addicts do not have deficit in emotion regulation using cognitive appraisal strategies. In sum, the three studies consistently revealed that addicted smokers were capable to regulate emotions via appraisal strategies. This thesis establishes the groundwork for therapeutic use of appraisal instructions to cope with potential self-regulation failures in nicotine addicts. N2 - Hintergrund: Nikotinsucht ist die am weitesten verbreitete Form von Drogenabhängigkeit und wird beschrieben als eine immer stärker werdende Dysregulation des Belohnungssystems im Gehirn. Bildgebende Studien zeigten, dass Nikotinabhängige eine abnormale Funktion der präfrontalen Gehirnregionen aufweisen, die für die kognitive Emotionsregulation von entscheidender Bedeutung sind. Es wurde angenommen, dass Süchtige bei kognitiven Aufgaben zur Emotionsregulation schlechter abschneiden als gesunde Nichtraucher. Vorrangige Ziele dieser Thesis waren die Untersuchung emotionaler Reaktionen auf natürliche, Raucher-irrelevante Stimuli bei Rauchern und Nichtrauchern. Außerdem sollte herausgefunden werden, ob sich Raucher von Nichtrauchern bezüglich ihrer kognitiven Regulation von positiven und negativen Emotionen unterscheiden. Um diese Veränderungen in der emotionalen Reaktion in Abhängigkeit der Interpretationsstrategie vergleichen zu können, wurden zwei Paradigmen zur Einschätzung emotionaler Stimuli eingesetzt: Eine prospektive Interpretationsstrategie des kommenden Stimulus (appraisal frame) und eine retrospektive Interpretationsstrategie nach der Stimuluspräsentation (reappraisal). Experiment 1: Ziel des ersten Experiments war die Evaluierung ob und wie Interpretationen vor positiven oder negativen Stimulusbildern die emotionale Erfahrung und den Gesichtsausdruck von Personen beeinflussen. 20 Versuchspersonen wurden 125 Paare auditiver Beschreibungen (entweder neutral oder emotional) präsentiert, gefolgt von Stimulusbildern, die zusammen fünf Stimulus-Kategorien bildeten: unangenehm – negativ, unangenehm – neutral, angenehm – positiv, angenehm – neutral und neutral – neutral. Valenz- und Arousal-Ratings wurden abgefragt und die EMG-Aktivität der Gesichtsmuskeln corrugator supercilii und zygomaticus 10 major wurden zeitgleich aufgenommen. Die Ergebnisse zeigten, dass appraisal frames sowohl emotionale Reaktionen einschließlich subjektiver emotionaler Erfahrungen beeinflussen als auch den Gesichtsausdruck verändern können, unabhängig von der Valenz des Bildstimulus. Dies zeigt und beweist die Effizienz des appraisal frame Paradigmas bei der Regulation von emotionalen Reaktionen auf mehreren Verarbeitungsebenen. Experiment 2: Das zweite Experiment bezog sich auf das appraisal frame Paradigma und sollte untersuchen wie sich Raucher von Nichtrauchern in ihrer kognitiven Emotionsregulation unterscheiden. 60 Probanden (22 Nichtraucher, 19 Raucher ohne Entzug und 19 Raucher mit 12 Stunden Zigarettenentzug) führten Emotionsregulationsaufgaben wie in Experiment 1 beschrieben aus, während ihre emotionalen Reaktionen ständig über Selbsteinschätzungen und psychophysiologische Messungen aufgenommen wurden (faziales EMG und EEG). Die Ergebnisse zeigten keine Gruppenunterschieden bei den emotionalen Reaktionen auf natürliche Stimuli, ohne Bezug zum Rauchen; Außerdem schnitten Raucher mit und ohne Zigarettenentzug in der Emotionsregulationsaufgabe genauso gut ab wie Nichtraucher. Die gleichen Ergebnisse in allen Gruppen hinsichtlich emotionaler Reaktionen (Selbsteinschätzung, faziale EMG Aktivität und EEG Aktivität) machten deutlich, dass Nikotinabhängige keine Einschränkungen in der kognitiven Emotionsregulation auf natürliche Stimuli mittels Vorbeurteilungen haben. Experiment 3: Der dritte Versuch wurde durchgeführt, um die Fähigkeiten von Rauchern bei der Emotionsregulation zu untersuchen, indem die Erfolge von Rauchern und Nichtrauchern in einer schwierigeren kognitiven Aufgabe (reappraisal task) verglichen wurden. 65 Versuchspersonen (23 Nichtraucher, 22 Raucher ohne Entzug und 20 Raucher mit 12 Stunden Zigarettenentzug) wurden instruiert ihre Emotionen zu regulieren, indem sie emotionale Bilder 11 mit neutralem Gefühl interpretieren. Die Probanden sollten sich vorstellen, dass die negativen oder positiven Syenarios immer weniger negativ oder weniger positiv werden. Die Ergebnisse stellen heraus, dass Raucher mit und ohne Zigarettenentzug ähnlich auf emotionale Bilder reagierten und ihre positiven und negativen Emotionen mit der reappraisal Strategie genauso gut herunterregulierten wie Nichtraucher. Zusammenfassend machen die drei Studien deutlich, dass Nikotinabhängige mittels Interpretationsstrategien ihre Emotionen regulieren können. Diese Thesis bilden das Fundament für den therapeutischen Nutzen von Interpretationsstrategien, damit Nikotinabhängige mit potenziellen Selbstregulationsstörungen umgehen können. KW - Gefühl KW - Regulation KW - Rauch KW - Elektroencephalogramm KW - Elektromyographie KW - Emotion KW - Regulation KW - Smoke KW - Electroencephalography KW - Electromyography Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-85471 ER - TY - THES A1 - Stegmann, Yannik T1 - Electrocortical mechanisms of sustained attention during the acquisition and interaction of conditioned fear and anxiety T1 - Elektrokortikale Mechanismen der Aufmerksamkeit während der Akquisition und Interaktion konditionierter Furcht und Angst N2 - Adapting defensive behavior to the characteristics of a threatening situation is a fundamental function of the brain. Particularly, threat imminence plays a major role for the organization of defensive responses. Acute threat prompts phasic physiological responses, which are usually associated with an intense feeling of fear. In contrast, diffuse and potentially threatening situations elicit a sustained state of anxious apprehension. Detection of the threatening stimulus defines the key event in this framework, initiating the transition from potential to acute threat. Consequently, attention to threat is crucial for supporting defensive behavior. The functions of attention are finely tuned to the characteristics of a threatening situation. Potential threat is associated with hypervigilance, in order to facilitate threat detection. Once a threatening stimulus has been identified, attention is selectively focused on the source of danger. Even though the concepts of selective attention and hypervigilance to threat are well established, evidence for their neural correlates remain scarce. Therefore, a major goal of this thesis is to elucidate the neural correlates of selective attention to acute threat and hypervigilance during potential threat. A second aim of this thesis is to provide a mechanistic account for the interaction of fear and anxiety. While contemporary models view fear and anxiety as mutually exclusive, recent findings for the neural networks of fear and anxiety suggest potential interactions. In four studies, aversive cue conditioning was used to induce acute threat, while context conditioning served as a laboratory model of potential threat. To quantify neural correlates of selective attention and hypervigilance, steady-state visual evoked potentials (ssVEPs) were measured as an index of visuocortical responding. Study 1 compared visuocortical responses to acute and potential threat for high versus low trait-anxious individuals. All individuals demonstrated enhanced electrocortical responses to the central cue in the acute threat condition, suggesting evidence for the neural correlate of selective attention. However, only low anxious individuals revealed facilitated processing of the contexts in the potential threat condition, reflecting a neural correlate of hypervigilance. High anxious individuals did not discriminate among contexts. These findings contribute to the notion of aberrational processing of potential threat for high anxious individuals. Study 2 and 3 realized orthogonal combinations of cue and context conditioning to investigate potential interactions of fear and anxiety. In contrast to Study 1 and 2, Study 3 used verbal instructions to induce potentially threatening contexts. Besides ssVEPs, threat ratings and skin conductance responses (SCRs) were recorded as efferent indices of defensive responding. None of these studies found further evidence for the neural correlates of hypervigilance and selective attention. However, results for ratings and SCRs revealed additive effects of fear and anxiety, suggesting that fear and anxiety are not mutually exclusive, but interact linearly to organize and facilitate defensive behavior. Study 4 tested ssVEPs to more ecologically valid forms of context conditioning, using flickering video stimuli of virtual offices to establish context representations. Contrary to expectations, results revealed decreased visuocortical responses during sustained presentations of anxiety compared to neutral contexts. A disruption of ssVEP signals eventually suggests interferences by continuously changing video streams which are enhanced as a function of motivational relevance. In summary, this thesis provided evidence for the neural correlates of attention only for isolated forms of fear and anxiety, but not for their interaction. In contrast, an additive interaction model of fear and anxiety for measures of defensive responding offers a new perspective on the topography of defensive behavior. N2 - ZusammenfassungDie Anpassung defensiver Verhaltensweisen an die Anforderungen bedrohlicher Sit-uationen ist eine fundamentale Funktion des Gehirns. Akute Bedrohung führt in der Regel zu kurz-anhaltenden, physiologischen Reaktionen, die mit einem Gefühlintensiver Furcht einhergehen, während Situationen potenzieller Bedrohung zu einem anhaltenden Zustand erhöhter Angst führen. Dabei spielt das Erkennen der Gefahr eine besondere Rolle, da sie den Übergang von potenzieller zu akuter Bedrohung initiiert. Demnach kommt der Aufmerksamkeit eine wichtige Funktion bei der Unterstützung defensiver Verhaltensweisen zu. Mechanismen der Aufmerksamkeit sind dabei präzise auf die jeweilige Situation abgestimmt. Potenzielle Bedrohung führt zu Hypervigilanz, um bedrohliche Reize schneller zu entdecken ... KW - Furcht KW - Angst KW - Aufmerksamkeit KW - ssVEP KW - EEG KW - Conditioning KW - Visuelle Aufmerksamkeit Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-237700 ER - TY - JOUR A1 - Woloshyn, Vera E. A1 - Pressley, Michael A1 - Schneider, Wolfgang T1 - Elaborative interrogation as a function of prior knowledge N2 - No abstract available KW - Psychologie Y1 - 1992 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-62187 ER - TY - JOUR A1 - Pittig, Andre A1 - Heinig, Ingmar A1 - Goerigk, Stephan A1 - Thiel, Freya A1 - Hummel, Katrin A1 - Scholl, Lucie A1 - Deckert, Jürgen A1 - Pauli, Paul A1 - Domschke, Katharina A1 - Lueken, Ulrike A1 - Fydrich, Thomas A1 - Fehm, Lydia A1 - Plag, Jens A1 - Ströhle, Andreas A1 - Kircher, Tilo A1 - Straube, Benjamin A1 - Rief, Winfried A1 - Koelkebeck, Katja A1 - Arolt, Volker A1 - Dannlowski, Udo A1 - Margraf, Jürgen A1 - Totzeck, Christina A1 - Schneider, Silvia A1 - Neudeck, Peter A1 - Craske, Michelle G. A1 - Hollandt, Maike A1 - Richter, Jan A1 - Hamm, Alfons A1 - Wittchen, Hans-Ulrich T1 - Efficacy of temporally intensified exposure for anxiety disorders: A multicenter randomized clinical trial JF - Depression and Anxiety N2 - Background The need to optimize exposure treatments for anxiety disorders may be addressed by temporally intensified exposure sessions. Effects on symptom reduction and public health benefits should be examined across different anxiety disorders with comorbid conditions. Methods This multicenter randomized controlled trial compared two variants of prediction error-based exposure therapy (PeEx) in various anxiety disorders (both 12 sessions + 2 booster sessions, 100 min/session): temporally intensified exposure (PeEx-I) with exposure sessions condensed to 2 weeks (n = 358) and standard nonintensified exposure (PeEx-S) with weekly exposure sessions (n = 368). Primary outcomes were anxiety symptoms (pre, post, and 6-months follow-up). Secondary outcomes were global severity (across sessions), quality of life, disability days, and comorbid depression. Results Both treatments resulted in substantial improvements at post (PeEx-I: d\(_{within}\) = 1.50, PeEx-S: d\(_{within}\) = 1.78) and follow-up (PeEx-I: d\(_{within}\) = 2.34; PeEx-S: d\(_{within}\) = 2.03). Both groups showed formally equivalent symptom reduction at post and follow-up. However, time until response during treatment was 32% shorter in PeEx-I (median = 68 days) than PeEx-S (108 days; TR\(_{PeEx-I}\)-I = 0.68). Interestingly, drop-out rates were lower during intensified exposure. PeEx-I was also superior in reducing disability days and improving quality of life at follow-up without increasing relapse. Conclusions Both treatment variants focusing on the transdiagnostic exposure-based violation of threat beliefs were effective in reducing symptom severity and disability in severe anxiety disorders. Temporally intensified exposure resulted in faster treatment response with substantial public health benefits and lower drop-out during the exposure phase, without higher relapse. Clinicians can expect better or at least comparable outcomes when delivering exposure in a temporally intensified manner. KW - randomized controlled trial KW - anxiety disorders KW - exposure therapy KW - intensified treatment KW - public health Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-257331 VL - 38 IS - 11 ER - TY - JOUR A1 - Leopold, Karolina A1 - Bauer, Michael A1 - Bechdolf, Andreas A1 - Correll, Christoph U. A1 - Holtmann, Martin A1 - Juckel, Georg A1 - Lambert, Martin A1 - Meyer, Thomas D. A1 - Pfeiffer, Steffi A1 - Kittel‐Schneider, Sarah A1 - Reif, Andreas A1 - Stamm, Thomas J. A1 - Rottmann‐Wolf, Maren A1 - Mathiebe, Josephine A1 - Kellmann, Eva L. A1 - Ritter, Philipp A1 - Krüger‐Özgürdal, Seza A1 - Karow, Anne A1 - Sondergeld, Lene‐Marie A1 - Roessner, Veit A1 - Sauer, Cathrin A1 - Pfennig, Andrea T1 - Efficacy of cognitive‐behavioral group therapy in patients at risk for serious mental illness presenting with subthreshold bipolar symptoms: Results from a prespecified interim analysis of a multicenter, randomized, controlled study JF - Bipolar Disorders N2 - Objective Most patients with bipolar disorders (BD) exhibit prodromal symptoms before a first (hypo)manic episode. Patients with clinically significant symptoms fulfilling at‐risk criteria for serious mental illness (SMI) require effective and safe treatment. Cognitive‐behavioral psychotherapy (CBT) has shown promising results in early stages of BD and in patients at high risk for psychosis. We aimed to investigate whether group CBT can improve symptoms and functional deficits in young patients at risk for SMI presenting with subthreshold bipolar symptoms. Method In a multicenter, randomized, controlled trial, patients at clinical risk for SMI presenting with subthreshold bipolar symptoms aged 15‐30 years were randomized to 14 weeks of at‐risk for BD‐specific group CBT or unstructured group meetings. Primary efficacy endpoints were differences in affective symptomatology and psychosocial functioning at 14 weeks. At‐risk status was defined as a combination of subthreshold bipolar symptomatology, reduction of psychosocial functioning and a family history for (schizo)affective disorders. A prespecified interim analysis was conducted at 75% of the targeted sample. Results Of 128 screened participants, 75 were randomized to group CBT (n = 38, completers = 65.8%) vs unstructured group meetings (n = 37, completers = 78.4%). Affective symptomatology and psychosocial functioning improved significantly at week 14 (P < .001) and during 6 months (P < .001) in both groups, without significant between‐group differences. Findings are limited by the interim character of the analysis, the use of not fully validated early detection interviews, a newly adapted intervention manual, and the substantial drop‐outs. Conclusions Results suggest that young patients at‐risk for SMI presenting with subthreshold bipolar symptoms benefit from early group sessions. The degree of specificity and psychotherapeutic interaction needed requires clarification. KW - at‐risk KW - bipolar disorder KW - CBT KW - early intervention KW - group treatment KW - prodromal KW - serious mental illness KW - subthreshold bipolar Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-215469 VL - 22 IS - 5 SP - 517 EP - 529 ER - TY - JOUR A1 - Brych, Mareike A1 - Händel, Barbara F. A1 - Riechelmann, Eva A1 - Pieczykolan, Aleksandra A1 - Huestegge, Lynn T1 - Effects of vocal demands on pupil dilation JF - Psychophysiology N2 - Pupil dilation is known to be affected by a variety of factors, including physical (e.g., light) and cognitive sources of influence (e.g., mental load due to working memory demands, stimulus/response competition etc.). In the present experiment, we tested the extent to which vocal demands (speaking) can affect pupil dilation. Based on corresponding preliminary evidence found in a reanalysis of an existing data set from our lab, we setup a new experiment that systematically investigated vocal response‐related effects compared to mere jaw/lip movement and button press responses. Conditions changed on a trial‐by‐trial basis while participants were instructed to keep fixating a central cross on a screen throughout. In line with our prediction (and previous observation), speaking caused the pupils to dilate strongest, followed by nonvocal movements and finally a baseline condition without any vocal or muscular demands. An additional analysis of blink rates showed no difference in blink frequency between vocal and baseline conditions, but different blink dynamics. Finally, simultaneously recorded electromyographic activity showed that muscle activity may contribute to some (but not all) aspects of the observed effects on pupil size. The results are discussed in the context of other recent research indicating effects of perceived (instead of executed) vocal action on pupil dynamics. KW - blink rate KW - eye movements KW - movement interaction KW - pupil dilation KW - vocal responses Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-224425 VL - 58 IS - 2 ER - TY - JOUR A1 - Ventura-Bort, Carlos A1 - Wirkner, Janine A1 - Genheimer, Hannah A1 - Wendt, Julia A1 - Hamm, Alfons O. A1 - Weymar, Mathias T1 - Effects of Transcutaneous Vagus Nerve Stimulation (tVNS) on the P300 and Alpha-Amylase Level: A Pilot Study JF - Frontiers in Human Neuroscience N2 - Recent research suggests that the P3b may be closely related to the activation of the locus coeruleus-norepinephrine (LC-NE) system. To further study the potential association, we applied a novel technique, the non-invasive transcutaneous vagus nerve stimulation (tVNS), which is speculated to increase noradrenaline levels. Using a within-subject cross-over design, 20 healthy participants received continuous tVNS and sham stimulation on two consecutive days (stimulation counterbalanced across participants) while performing a visual oddball task. During stimulation, oval non-targets (standard), normal-head (easy) and rotated-head (difficult) targets, as well as novel stimuli (scenes) were presented. As an indirect marker of noradrenergic activation we also collected salivary alpha-amylase (sAA) before and after stimulation. Results showed larger P3b amplitudes for target, relative to standard stimuli, irrespective of stimulation condition. Exploratory post hoc analyses, however, revealed that, in comparison to standard stimuli, easy (but not difficult) targets produced larger P3b (but not P3a) amplitudes during active tVNS, compared to sham stimulation. For sAA levels, although main analyses did not show differential effects of stimulation, direct testing revealed that tVNS (but not sham stimulation) increased sAA levels after stimulation. Additionally, larger differences between tVNS and sham stimulation in P3b magnitudes for easy targets were associated with larger increase in sAA levels after tVNS, but not after sham stimulation. Despite preliminary evidence for a modulatory influence of tVNS on the P3b, which may be partly mediated by activation of the noradrenergic system, additional research in this field is clearly warranted. Future studies need to clarify whether tVNS also facilitates other processes, such as learning and memory, and whether tVNS can be used as therapeutic tool. KW - EEG KW - P300 KW - tVNS KW - norepinephrine KW - locus coeruleus KW - salivary alpha-amylase Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-196129 SN - 1662-5161 VL - 12 IS - 202 ER - TY - JOUR A1 - Macht, Michael A1 - Janke, Wilhelm T1 - Effects of short-term energy deprivation on stress reactions in humans N2 - No abstract available. KW - Stressreaktion Y1 - 1993 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-87093 ER - TY - JOUR A1 - Zhou, Sijie A1 - Allison, Brendan Z. A1 - Kübler, Andrea A1 - Cichocki, Andrzej A1 - Wang, Xingyu A1 - Jin, Jing T1 - Effects of Background Music on Objective and Subjective Performance Measures in an Auditory BCI JF - Frontiers in Computational Neuroscience N2 - Several studies have explored brain computer interface (BCI) systems based on auditory stimuli, which could help patients with visual impairments. Usability and user satisfaction are important considerations in any BCI. Although background music can influence emotion and performance in other task environments, and many users may wish to listen to music while using a BCI, auditory, and other BCIs are typically studied without background music. Some work has explored the possibility of using polyphonic music in auditory BCI systems. However, this approach requires users with good musical skills, and has not been explored in online experiments. Our hypothesis was that an auditory BCI with background music would be preferred by subjects over a similar BCI without background music, without any difference in BCI performance. We introduce a simple paradigm (which does not require musical skill) using percussion instrument sound stimuli and background music, and evaluated it in both offline and online experiments. The result showed that subjects preferred the auditory BCI with background music. Different performance measures did not reveal any significant performance effect when comparing background music vs. no background. Since the addition of background music does not impair BCI performance but is preferred by users, auditory (and perhaps other) BCIs should consider including it. Our study also indicates that auditory BCIs can be effective even if the auditory channel is simultaneously otherwise engaged. KW - brain computer interface KW - event-related potentials KW - auditory KW - music background KW - audio stimulus Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-165101 VL - 10 IS - 105 ER - TY - JOUR A1 - Madeira, Octavia A1 - Gromer, Daniel A1 - Latoschik, Marc Erich A1 - Pauli, Paul T1 - Effects of Acrophobic Fear and Trait Anxiety on Human Behavior in a Virtual Elevated Plus-Maze JF - Frontiers in Virtual Reality N2 - The Elevated Plus-Maze (EPM) is a well-established apparatus to measure anxiety in rodents, i.e., animals exhibiting an increased relative time spent in the closed vs. the open arms are considered anxious. To examine whether such anxiety-modulated behaviors are conserved in humans, we re-translated this paradigm to a human setting using virtual reality in a Cave Automatic Virtual Environment (CAVE) system. In two studies, we examined whether the EPM exploration behavior of humans is modulated by their trait anxiety and also assessed the individuals’ levels of acrophobia (fear of height), claustrophobia (fear of confined spaces), sensation seeking, and the reported anxiety when on the maze. First, we constructed an exact virtual copy of the animal EPM adjusted to human proportions. In analogy to animal EPM studies, participants (N = 30) freely explored the EPM for 5 min. In the second study (N = 61), we redesigned the EPM to make it more human-adapted and to differentiate influences of trait anxiety and acrophobia by introducing various floor textures and lower walls of closed arms to the height of standard handrails. In the first experiment, hierarchical regression analyses of exploration behavior revealed the expected association between open arm avoidance and Trait Anxiety, an even stronger association with acrophobic fear. In the second study, results revealed that acrophobia was associated with avoidance of open arms with mesh-floor texture, whereas for trait anxiety, claustrophobia, and sensation seeking, no effect was detected. Also, subjects’ fear rating was moderated by all psychometrics but trait anxiety. In sum, both studies consistently indicate that humans show no general open arm avoidance analogous to rodents and that human EPM behavior is modulated strongest by acrophobic fear, whereas trait anxiety plays a subordinate role. Thus, we conclude that the criteria for cross-species validity are met insufficiently in this case. Despite the exploratory nature, our studies provide in-depth insights into human exploration behavior on the virtual EPM. KW - elevated plus-maze KW - EPM KW - anxiety KW - virtual reality KW - translational neuroscience KW - acrophobia KW - trait anxiety Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-258709 VL - 2 ER - TY - JOUR A1 - Müller, Bettina A1 - Richter, Tobias A1 - Karageorgos, Panagiotis A1 - Krawietz, Sabine A1 - Ennemoser, Marco T1 - Effects of a syllable-based reading intervention in poor-reading fourth graders JF - Frontiers in Psychology N2 - In transparent orthographies, persistent reading fluency difficulties are a major cause of poor reading skills in primary school. The purpose of the present study was to investigate effects of a syllable-based reading intervention on word reading fluency and reading comprehension among German-speaking poor readers in Grade 4. The 16-session intervention was based on analyzing the syllabic structure of words to strengthen the mental representations of syllables and words that consist of these syllables. The training materials were designed using the 500 most frequent syllables typically read by fourth graders. The 75 poor readers were randomly allocated to the treatment or the control group. Results indicate a significant and strong effect on the fluency of recognizing single words, whereas text-level reading comprehension was not significantly improved by the training. The specific treatment effect provides evidence that a short syllable-based approach works even in older poor readers at the end of primary school. KW - word reading fluency KW - syllable-based intervention KW - older poor readers KW - primary school KW - reading comprehension Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-158841 VL - 8 IS - 1635 ER - TY - THES A1 - Hoffmann, Mareike T1 - Effector System Prioritization in Multitasking T1 - Effektorsystempriorisierung im Multitasking N2 - Multitasking, defined as performing more than one task at a time, typically yields performance decrements, for instance, in processing speed and accuracy. These performance costs are often distributed asymmetrically among the involved tasks. Under suitable conditions, this can be interpreted as a marker for prioritization of one task – the one that suffers less – over the other. One source of such task prioritization is based on the use of different effector systems (e.g., oculomotor system, vocal tract, limbs) and their characteristics. The present work explores such effector system-based task prioritization by examining to which extent associated effector systems determine which task is processed with higher priority in multitasking situations. Thus, three different paradigms are used, namely the simultaneous (stimulus) onset paradigm, the psychological refractory period (PRP) paradigm, and the task switching paradigm. These paradigms invoke situations in which two (in the present studies basic spatial decision) tasks are a) initiated at exactly the same time, b) initiated with a short varying temporal distance (but still temporally overlapping), or c) in which tasks alternate randomly (without temporal overlap). The results allow for three major conclusions: 1. The assumption of effector system-based task prioritization according to an ordinal pattern (oculomotor > pedal > vocal > manual, indicating decreasing prioritization) is supported by the observed data in the simultaneous onset paradigm. This data pattern cannot be explained by a rigid “first come, first served” task scheduling principle. 2. The data from the PRP paradigm confirmed the assumption of vocal-over-manual prioritization and showed that classic PRP effects (as a marker for task order-based prioritization) can be modulated by effector system characteristics. 3. The mere cognitive representation of task sets (that must be held active to switch between them) differing in effector systems without an actual temporal overlap in task processing, however, is not sufficient to elicit the same effector system prioritization phenomena observed for overlapping tasks. In summary, the insights obtained by the present work support the assumptions of parallel central task processing and resource sharing among tasks, as opposed to exclusively serial processing of central processing stages. Moreover, they indicate that effector systems are a crucial factor in multitasking and suggest an integration of corresponding weighting parameters in existing dual-task control frameworks. N2 - Das gleichzeitige Bearbeiten von mehreren Aufgaben (Multitasking) führt in der Regel zu schlechterer Performanz, zum Beispiel bezüglich Geschwindigkeit und Genauigkeit der Aufgabenausführung. Diese sogenannten Doppelaufgaben- (oder Multitasking-) Kosten sind oft asymmetrisch auf die involvierten Aufgaben verteilt. Dies kann unter bestimmten Gegebenheiten als Priorisierung von jenen Aufgaben, die mit geringeren Kosten assoziiert sind über jene, die stärker durch die Doppelaufgabensituation leiden, interpretiert werden. Eine Quelle für solch eine Aufgabenpriorisierung sind unterschiedliche Effektorsysteme (z.B. Blickbewegungsapparat, Extremitäten, Vokaltrakt), mit denen die Aufgaben jeweils ausgeführt werden sollen. Die vorliegende Arbeit untersucht solche effektorsystembasierte Priorisierung, das heißt, inwiefern assoziierte Effektorsysteme determinieren, ob Aufgaben in Multitasking-Situationen priorisiert verarbeitet werden. Dazu wurden drei verschiedene experimentelle Paradigmen genutzt: a) das „Simultane Stimulus-Darbietungs-Paradigma“, b) das „Psychologische Refraktärperioden-Paradigma“ und c) das „Aufgabenwechsel-Paradigma“. Innerhalb dieser Paradigmen werden Reaktionen (Reaktionszeiten und Fehlerraten) gemessen und zwischen verschiedenen Effektorsystemen verglichen, die a) zum genau gleichen Zeitpunkt gestartet werden, b) mit einem kurzen, variierten zeitlichen Versatz gestartet werden, aber in ihrer Ausführung überlappen, oder c) zwischen denen in unvorhersehbarer Reihenfolge hin und her gewechselt werden soll. Entsprechend dieser drei Ansätze erlauben die Ergebnisse drei wichtige Schlussfolgerungen: 1. Unter simultanem Einsetzen der Aufgabenverarbeitung (und damit ohne extern suggerierte Reihenfolge) folgen Doppelaufgabenkontrollprozesse einem ordinalen Priorisierungsmuster auf Basis der mit den Aufgaben assoziierten Effektorsysteme in der Reihenfolge: okulomotorisch > pedal > vokal > manuell (im Sinne einer absteigenden Priorisierung). Dieses Muster ist nicht durch Bearbeitungsgeschwindigkeit im Sinne eines „wer zuerst kommt, mahlt zuerst“-Prinzips erklärbar. 2. Eine Aufgabenpriorisierung, die auf einer externen Aufgabenreihenfolge basiert (gemessen im PRP-Effekt), kann durch die mit den Aufgaben assoziierten Effektorsysteme moduliert werden. 3. Systematische effektorsystembasierte Aufgabenpriorisierung ist nur dann konsistent zu beobachten, wenn Teile der Aufgabenverarbeitung zeitlich überlappen. Eine rein mentale Repräsentation einer Aufgabe, die in einem anderen Effektorsystem ausgeführt werden soll, reicht nicht dazu aus, um das oben beschriebene Priorisierungsmuster vollständig zu instanziieren. Alles in allem sprechen die Ergebnisse der vorliegenden Arbeit für parallele (und gegen ausschließlich serielle) Reaktionsauswahlprozesse und dafür, dass limitierte kognitive Ressourcen zwischen Aufgaben aufgeteilt werden. Außerdem zeigen die vorliegenden Ergebnisse den substantiellen Einfluss von Effektorsystemen auf Ressourcenzuweisungsprozesse in Mehrfachaufgabensituationen und legen nahe, entsprechende Gewichtungsparameter in bestehende Modelle zu Doppelaufgabenkontrolle zu integrieren. KW - Mehrfachtätigkeit KW - task prioritization KW - response modalities KW - cognitive control KW - Multitasking KW - Effektorsysteme Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-201084 ER - TY - JOUR A1 - Strack, Fritz A1 - Pauli, Paul A1 - Weyers, Peter T1 - Editorial: Emotion and Behavior JF - Frontiers in Psychology N2 - No abstract available. KW - emotions KW - behavior KW - approach KW - avoidance KW - impulsive behavior Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-190177 SN - 1664-1078 VL - 7 IS - 313 ER - TY - JOUR A1 - Scherer, Klaus R. A1 - Ellgring, Heiner A1 - Dieckmann, Anja A1 - Unfried, Matthias A1 - Mortillaro, Marcello T1 - Dynamic Facial Expression of Emotion and Observer Inference JF - Frontiers in Psychology N2 - Research on facial emotion expression has mostly focused on emotion recognition, assuming that a small number of discrete emotions is elicited and expressed via prototypical facial muscle configurations as captured in still photographs. These are expected to be recognized by observers, presumably via template matching. In contrast, appraisal theories of emotion propose a more dynamic approach, suggesting that specific elements of facial expressions are directly produced by the result of certain appraisals and predicting the facial patterns to be expected for certain appraisal configurations. This approach has recently been extended to emotion perception, claiming that observers first infer individual appraisals and only then make categorical emotion judgments based on the estimated appraisal patterns, using inference rules. Here, we report two related studies to empirically investigate the facial action unit configurations that are used by actors to convey specific emotions in short affect bursts and to examine to what extent observers can infer a person's emotions from the predicted facial expression configurations. The results show that (1) professional actors use many of the predicted facial action unit patterns to enact systematically specified appraisal outcomes in a realistic scenario setting, and (2) naïve observers infer the respective emotions based on highly similar facial movement configurations with a degree of accuracy comparable to earlier research findings. Based on estimates of underlying appraisal criteria for the different emotions we conclude that the patterns of facial action units identified in this research correspond largely to prior predictions and encourage further research on appraisal-driven expression and inference. KW - dynamic facial emotion expression KW - emotion recognition KW - emotion enactment KW - affect bursts KW - appraisal theory of emotion expression Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-195853 SN - 1664-1078 VL - 10 IS - 508 ER - TY - JOUR A1 - Kürten, Jens A1 - Raettig, Tim A1 - Gutzeit, Julian A1 - Huestegge, Lynn T1 - Dual-action benefits: global (action-inherent) and local (transient) sources of action prepotency underlying inhibition failures in multiple action control JF - Psychological Research N2 - Previous research has shown that the simultaneous execution of two actions (instead of only one) is not necessarily more difficult but can actually be easier (less error-prone), in particular when executing one action requires the simultaneous inhibition of another action. Corresponding inhibitory demands are particularly challenging when the to-be-inhibited action is highly prepotent (i.e., characterized by a strong urge to be executed). Here, we study a range of important potential sources of such prepotency. Building on a previously established paradigm to elicit dual-action benefits, participants responded to stimuli with single actions (either manual button press or saccade) or dual actions (button press and saccade). Crucially, we compared blocks in which these response demands were randomly intermixed (mixed blocks) with pure blocks involving only one type of response demand. The results highlight the impact of global (action-inherent) sources of action prepotency, as reflected in more pronounced inhibitory failures in saccade vs. manual control, but also more local (transient) sources of influence, as reflected in a greater probability of inhibition failures following trials that required the to-be-inhibited type of action. In addition, sequential analyses revealed that inhibitory control (including its failure) is exerted at the level of response modality representations, not at the level of fully specified response representations. In sum, the study highlights important preconditions and mechanisms underlying the observation of dual-action benefits. KW - dual action benefits KW - action prepotency KW - inhibition failures KW - multiple action control KW - global (action-inherent) KW - local (transient) Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-324893 VL - 87 IS - 2 ER - TY - JOUR A1 - Kohnen, Ralf A1 - Krüger, Hans-Peter T1 - Drug Effects on Human Social Behavior: Chances in Talking Activities Induced by CGP 361/A, a Beta-blocking Agent N2 - No abstract available Y1 - 1986 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-41228 ER - TY - THES A1 - Rittger, Lena T1 - Driving Behaviour and Driver Assistance at Traffic Light Intersections T1 - Fahrverhalten und Fahrerassistenz an Ampelkreuzungen N2 - The increasing importance of environmental friendly and efficient transportation guides the interest of researchers and car manufacturers towards the development of technologies that support an efficient driving style. This thesis presents the development of a traffic light assistance system with the focus on human factors. The system aims on supporting drivers in approaching traffic light intersections efficiently. In three driving simulator studies, the content related research covered the investigation of the unassisted driving task, the influence of the system on the driver’s perception of the interaction with other road users and the information strategy of the human machine interface. When the traffic light phase changes or when visibility is limited, drivers prepare driving behaviour that is not appropriate for the traffic light phase at arrival at the intersection. These situations offer the greatest potential for the assistance system. The traffic light assistant is able to change driving behaviour. However, the expectation of other road user’s emotional reactions influences driver compliance. In situations in which drivers expected to bother others with their driving behaviour, compliance to the traffic light assistant was low. Further, the deviations of driver behaviour from the target strategy of the traffic light assistant are lowest when the HMI includes the two information units target speed and action recommendations. Traffic light phase information in the HMI is a subjectively important information for drivers. The results point towards the presentation of all three information units. The method related research covered the development of a method for measuring drivers’ information demand for dynamic stimuli. While driving, specific stimuli are action relevant for drivers, i.e. they need to be processed in order to decide on the appropriate driving behaviour. Eye tracking has been the standard method for measuring information demand while driving. The novel MARS (Masking Action Relevant Stimuli) method measures information demand by masking the dynamic action relevant stimulus in the driving environment or in the vehicle. To unmask the stimulus for a fixed interval, drivers press a button at the steering wheel. In the present thesis, two driving simulator studies evaluated the MARS method. They included measuring information demand for the traffic light phasing and the in-vehicle display of the traffic light assistant. The analyses demonstrate that variations in the experimental conditions influence the information demand measured with the MARS method qualitatively similar to the influences on fixations measured by eye tracking. Due to its simple application, the MARS method represents a promising tool for transportation research. N2 - Die wachsende Bedeutung umweltfreundlicher und effizienter Mobilität hat zur zunehmenden Entwicklung von Technologien geführt, die Fahrer bei der Umsetzung eines effizienten Fahrstils unterstützen. Die vorliegende Arbeit beinhaltet die Entwicklung eines Ampelassistenten aus verkehrspsychologischer Sicht. Das System unterstützt Fahrer bei der effizienten Annäherung an Ampelkreuzungen. Drei Fahrsimulatorstudien betrachten die inhaltlichen Forschungsfragen zur Analyse von nicht-assistiertem Fahrverhalten, der Wahrnehmung der Interaktion zwischen verschiedenen Verkehrsteilnehmern mit und ohne Assistenzsystem und der Informationsstrategie in der Mensch-Maschine Schnittstelle des Systems. In Fahrsituationen mit wechselnden Ampelphasen oder Sichtverdeckung initiieren Fahrer Verhalten, das im Hinblick auf die Ampelphase bei Ankunft an der Kreuzung unangemessen ist. Diese Situationen bieten das größte Potential für eine Unterstützung durch das Assistenzsystem. Die weiteren Studien zeigen, dass der Ampelassistent das Fahrverhalten beeinflusst. Hierbei spielt die Erwartung, die Fahrer an die emotionalen Reaktionen nachfolgender Fahrer in der Kolonne haben, eine Rolle. In Situationen, in denen Fahrer erwarten andere zu behindern, sinkt die Bereitschaft sich an die Empfehlungen des Systems zu halten. Die Abweichungen des Fahrverhaltens vom Zielverhalten der Funktion sind am geringsten, wenn Handlungs- und Geschwindigkeitsempfehlungen gegeben werden. Information zur Ampelphase stellt für die Fahrer subjektiv eine wichtige Informationseinheit dar. Die Ergebnisse legen nahe, alle drei Informationen zur Kommunikation des Zielverhaltens zu präsentieren. Der methodische Teil der Arbeit beschäftigt sich mit der Messung des Informationsbedarfs für dynamische Reize. Um Entscheidungen für das angemessene Fahrverhalten zu treffen, müssen Fahrer bestimmte handlungsrelevante Informationen erfassen. Eye Tracking ist eine Standardmethode um den Informationsbedarf für fahrrelevante Reize zu messen. Die im Zuge der Arbeit entwickelte MARS (Masking Action Relevant Stimuli) Methode misst den Informationsbedarf durch Verdeckung. Der Fahrer kann die Verdeckung des Reizes durch Tastendruck für einen limitierten Zeitraum lösen. In zwei Fahrsimulatorstudien wurde die MARS Methode auf die Ampelschaltung und die Darstellung im Display des Ampelassistenten angewendet. Die Ergebnisse zeigen, dass die MARS Methode die experimentellen Variationen des Informationsbedarfs abbilden kann. Die Ergebnisse sind vergleichbar mit der Variation in Fixationen gemessen durch Eye Tracking. Aufgrund ihrer einfachen Umsetzung ist die MARS Methode als Forschungsinstrument vielversprechend. KW - Fahrerassistenzsystem KW - Verkehrsteilnehmer KW - Driver assistance KW - Traffic psychology KW - Driving simulation KW - Traffic Lights KW - Human Factors KW - Advanced Driver Assistance Systems Y1 - 2015 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-117646 ER - TY - CHAP A1 - Körkel, Joachim A1 - Schneider, Wolfgang T1 - Domain-specific versus metacognitive knowledge effects on text recall and comprehension N2 - No abstract available. KW - Unterricht KW - Lerntheorie KW - Unterrichtspsychologie KW - Lernpsychologie KW - Pädagogische Psychologie Y1 - 1992 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-86647 ER - TY - JOUR A1 - Schneider, Wolfgang A1 - Körkel, Joachim A1 - Weinert, Franz E. T1 - Domain-Specific Knowledge and Memory Performance: A Comparison of High- and Low-Aptitude Children N2 - Two studies compared memory performance and text comprehension of groups that were equivalent on domain-specific knowledge but differed in overall aptitude, to investigate whether prior knowledge about a particular domain or overall aptitude level was more important when the task was to acquire and use new information in the domain of interest. Both studies dealt with third-, fifth-, and seventh-grade soccer experts' and novices' memory and comprehension of a story dealing with a soccer game. Several measures of memory performance, memory monitoring, and text comprehension were used. Levels of soccer knowledge and of overall aptitude were varied in a factorial design. Neither study detected significant differences between high-aptitude and low-aptitude experts, regardless of their ages. Low aptitude experts outperformed high-aptitude novices on all memory and comprehension measures. The results indicate that domain-specific knowledge can compensate for low overall aptitude on domain-related cognitive tasks. KW - Psychologie Y1 - 1989 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-62107 ER - TY - JOUR A1 - Herbert, Cornelia A1 - Kübler, Andrea T1 - Dogs Cannot Bark: Event-Related Brain Responses to True and False Negated Statements as Indicators of Higher-Order Conscious Processing N2 - The present study investigated event-related brain potentials elicited by true and false negated statements to evaluate if discrimination of the truth value of negated information relies on conscious processing and requires higher-order cognitive processing in healthy subjects across different levels of stimulus complexity. The stimulus material consisted of true and false negated sentences (sentence level) and prime-target expressions (word level). Stimuli were presented acoustically and no overt behavioral response of the participants was required. Event-related brain potentials to target words preceded by true and false negated expressions were analyzed both within group and at the single subject level. Across the different processing conditions (word pairs and sentences), target words elicited a frontal negativity and a late positivity in the time window from 600–1000 msec post target word onset. Amplitudes of both brain potentials varied as a function of the truth value of the negated expressions. Results were confirmed at the single-subject level. In sum, our results support recent suggestions according to which evaluation of the truth value of a negated expression is a time- and cognitively demanding process that cannot be solved automatically, and thus requires conscious processing. Our paradigm provides insight into higher-order processing related to language comprehension and reasoning in healthy subjects. Future studies are needed to evaluate if our paradigm also proves sensitive for the detection of consciousness in non-responsive patients. KW - Psychologie Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-74907 ER - TY - JOUR A1 - Herbert, Cornelia A1 - Kübler, Andrea T1 - Dogs Cannot Bark: Event-Related Brain Responses to True and False Negated Statements as Indicators of Higher-Order Conscious Processing JF - PLoS ONE N2 - The present study investigated event-related brain potentials elicited by true and false negated statements to evaluate if discrimination of the truth value of negated information relies on conscious processing and requires higher-order cognitive processing in healthy subjects across different levels of stimulus complexity. The stimulus material consisted of true and false negated sentences (sentence level) and prime-target expressions (word level). Stimuli were presented acoustically and no overt behavioral response of the participants was required. Event-related brain potentials to target words preceded by true and false negated expressions were analyzed both within group and at the single subject level. Across the different processing conditions (word pairs and sentences), target words elicited a frontal negativity and a late positivity in the time window from 600-1000 msec post target word onset. Amplitudes of both brain potentials varied as a function of the truth value of the negated expressions. Results were confirmed at the single-subject level. In sum, our results support recent suggestions according to which evaluation of the truth value of a negated expression is a time-and cognitively demanding process that cannot be solved automatically, and thus requires conscious processing. Our paradigm provides insight into higher-order processing related to language comprehension and reasoning in healthy subjects. Future studies are needed to evaluate if our paradigm also proves sensitive for the detection of consciousness in non-responsive patients. KW - Locked-in syndrome KW - Vegetative state KW - Own-name KW - Language comprehension KW - Sentence comprehension KW - Text information KW - Time-course KW - Verification KW - Potentials KW - Activation Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-135165 VL - 6 IS - 10 ER - TY - JOUR A1 - Crutzen, Rik A1 - Göritz, Anja S. T1 - Does social desirability compromise self-reports of physical activity in web-based research? JF - International Journal of Behavioral Nutrition and Physical Activity N2 - Background: This study investigated the relation between social desirability and self-reported physical activity in web-based research. Findings: A longitudinal study (N = 5,495, 54% women) was conducted on a representative sample of the Dutch population using the Marlowe-Crowne Scale as social desirability measure and the short form of the International Physical Activity Questionnaire. Social desirability was not associated with self-reported physical activity (in MET-minutes/week), nor with its sub-behaviors (i.e., walking, moderate-intensity activity, vigorous-intensity activity, and sedentary behavior). Socio-demographics (i.e., age, sex, income, and education) did not moderate the effect of social desirability on self-reported physical activity and its sub-behaviors. Conclusions: This study does not throw doubt on the usefulness of the Internet as a medium to collect self-reports on physical activity. KW - Question format KW - Internet KW - Physical Activity KW - Sedentary Behavior KW - Social Desirability KW - International Physical Activity Questionnaire KW - Total Physical Activity Y1 - 2011 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-135156 VL - 8 IS - 31 ER - TY - JOUR A1 - Schindler, Julia A1 - Richter, Tobias A1 - Mar, Raymond T1 - Does generation benefit learning for narrative and expository texts? A direct replication attempt JF - Applied Cognitive Psychology N2 - Generated information is better recognized and recalled than information that is read. This so‐called generation effect has been replicated several times for different types of material, including texts. Perhaps the most influential demonstration was by McDaniel et al. (1986, Journal of Memory and Language, 25, 645–656; henceforth MEDC). This group tested whether the generation effect occurs only if the generation task stimulates cognitive processes not already stimulated by the text. Numerous studies, however, report difficulties replicating this text by generation‐task interaction, which suggests that the effect might only be found under conditions closer to the original method of MEDC. To test this assumption, we will closely replicate MEDC's Experiment 2 in German and English‐speaking samples. Replicating the effect would suggest that it can be reproduced, at least under limited conditions, which will provide the necessary foundation for future investigations into the boundary conditions of this effect, with an eye towards its utility in applied contexts. KW - expository texts KW - generation effect KW - learning KW - narrative texts KW - replication Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-224496 VL - 35 IS - 2 SP - 559 EP - 564 ER - TY - JOUR A1 - Herbert, Cornelia A1 - Sütterlin, Stefan T1 - Do not respond! Doing the think/no-think and go/no-go tasks concurrently leads to memory impairment of unpleasant items during later recall N2 - Previous research using neuroimaging methods proposed a link between mechanisms controlling motor response inhibition and suppression of unwanted memories.The present study investigated this hypothesis behaviorally by combining the think/no-think paradigm (TNT) with a go/no-go motor inhibition task. Participants first learned unpleasant cue-target pairs. Cue words were then presented as go or no-go items in the TNT. Participants’ task was to respond to the cues and think of the target word aloud or to inhibit their response to the cue and the target word from coming to mind. Cued recall assessed immediately after the TNT revealed reduced recall performance for no-go targets compared to go targets or baseline cues not presented in the TNT. The results demonstrate that doing the no-think and no-go task concurrently leads to memory suppression of unpleasant items during later recall. Results are discussed in line with recent empirical research and theoretical positions. KW - Psychologie KW - memory suppression KW - emotion KW - response inhibition KW - go/no-go task KW - think/no-think paradigm Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-76028 ER - TY - JOUR A1 - Lischke, Alexander A1 - Herpertz, Sabine C. A1 - Berger, Christoph A1 - Domes, Gregor A1 - Gamer, Matthias T1 - Divergent effects of oxytocin on (para-)limbic reactivity to emotional and neutral scenes in females with and without borderline personality disorder JF - Social Cognitive and Affective Neuroscience N2 - Borderline personality disorder (BPD) patients’ hypersensitivity for emotionally relevant stimuli has been suggested be due to abnormal activity and connectivity in (para-)limbic and prefrontal brain regions during stimulus processing. The neuropeptide oxytocin has been shown to modulate activity and functional connectivity in these brain regions, thereby optimizing the processing of emotional and neutral stimuli. To investigate whether oxytocin would be capable of attenuating BPD patients’ hypersensitivity for such stimuli, we recorded brain activity and gaze behavior during the processing of complex scenes in 51 females with and 48 without BPD after intranasal application of either oxytocin or placebo. We found divergent effects of oxytocin on BPD and healthy control (HC) participants’ (para-)limbic reactivity to emotional and neutral scenes: Oxytocin decreased amygdala and insula reactivity in BPD participants but increased it in HC participants, indicating an oxytocin-induced normalization of amygdala and insula activity during scene processing. In addition, oxytocin normalized the abnormal coupling between amygdala activity and gaze behavior across all scenes in BPD participants. Overall, these findings suggest that oxytocin may be capable of attenuating BPD patients’ hypersensitivity for complex scenes, irrespective of their valence. KW - psychology KW - oxytocin KW - amygdala KW - insula KW - borderline personality disorder KW - functional magnetic resonance imaging KW - eye tracking Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-173309 VL - 12 IS - 11 ER - TY - JOUR A1 - Greving, Carla E. A1 - Richter, Tobias T1 - Distributed Learning in the Classroom: Effects of Rereading Schedules Depend on Time of Test JF - Frontiers in Psychology N2 - Research with adults in laboratory settings has shown that distributed rereading is a beneficial learning strategy but its effects depend on time of test. When learning outcomes are measured immediately after rereading, distributed rereading yields no benefits or even detrimental effects on learning, but the beneficial effects emerge two days later. In a preregistered experiment, the effects of distributed rereading were investigated in a classroom setting with school students. Seventh-graders (N = 191) reread a text either immediately or after 1 week. Learning outcomes were measured after 4 min or 1 week. Participants in the distributed rereading condition reread the text more slowly, predicted their learning success to be lower, and reported a lower on-task focus. At the shorter retention interval, massed rereading outperformed distributed rereading in terms of learning outcomes. Contrary to students in the massed condition, students in the distributed condition showed no forgetting from the short to the long retention interval. As a result, they performed equally well as the students in the massed condition at the longer retention interval. Our results indicate that distributed rereading makes learning more demanding and difficult and leads to higher effort during rereading. Its effects on learning depend on time of test, but no beneficial effects were found, not even at the delayed test. KW - distributed learning KW - spacing effect KW - lag effect KW - retention interval KW - rereading Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-190783 SN - 1664-1078 VL - 9 IS - 2517 ER - TY - JOUR A1 - Schwarz, Katharina A. A1 - Weller, Lisa T1 - Distracted to a fault: attention, actions, and time perception JF - Attention, Perception, & Psychophysics N2 - In the last years, it has become general consensus that actions change our time perception. Performing an action to elicit a specific event seems to lead to a systematic underestimation of the interval between action and effect, a phenomenon termed temporal (or previously intentional) binding. Temporal binding has been closely associated with sense of agency, our perceived control over our actions and our environment, and because of its robust behavioral effects has indeed been widely utilized as an implicit correlate of sense of agency. The most robust and clear temporal binding effects are typically found via Libet clock paradigms. In the present study, we investigate a crucial methodological confound in these paradigms that provides an alternative explanation for temporal binding effects: a redirection of attentional resources in two-event sequences (as in classical operant conditions) versus singular events (as in classical baseline conditions). Our results indicate that binding effects in Libet clock paradigms may be based to a large degree on such attentional processes, irrespective of intention or action-effect sequences. Thus, these findings challenge many of the previously drawn conclusions and interpretations with regard to actions and time perception. KW - attention KW - perception and action KW - temporal processing KW - temporal binding Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-324936 VL - 85 IS - 2 ER - TY - INPR A1 - Brych, Mareike A1 - Händel, Barbara T1 - Disentangling top-down and bottom-up influences on blinks in the visual and auditory domain T2 - International Journal of Psychophysiology N2 - Sensory input as well as cognitive factors can drive the modulation of blinking. Our aim was to dissociate sensory driven bottom-up from cognitive top-down influences on blinking behavior and compare these influences between the auditory and the visual domain. Using an oddball paradigm, we found a significant pre-stimulus decrease in blink probability for visual input compared to auditory input. Sensory input further led to an early post-stimulus blink increase in both modalities if a task demanded attention to the input. Only visual input caused a pronounced early increase without a task. In case of a target or the omission of a stimulus (as compared to standard input), an additional late increase in blink rate was found in the auditory and visual domain. This suggests that blink modulation must be based on the interpretation of the input, but does not need any sensory input at all to occur. Our results show a complex modulation of blinking based on top-down factors such as prediction and attention in addition to sensory-based influences. The magnitude of the modulation is mainly influenced by general attentional demands, while the latency of this modulation allows to dissociate general from specific top-down influences that are independent of the sensory domain. KW - eye blinks KW - attention KW - auditory KW - visual KW - visual domain KW - auditory domain KW - oddball Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-246590 SN - 1872-7697 SN - 0167-8760 N1 - accepted version ER - TY - JOUR A1 - Shiban, Youssef A1 - Diemer, Julia A1 - Müller, Jana A1 - Brütting-Schick, Johanna A1 - Pauli, Paul A1 - Mühlberger, Andreas T1 - Diaphragmatic breathing during virtual reality exposure therapy for aviophobia: functional coping strategy or avoidance behavior? A pilot study JF - BMC Psychiatry N2 - Background: Although there is solid evidence for the efficacy of in vivo and virtual reality (VR) exposure therapy for a specific phobia, there is a significant debate over whether techniques promoting distraction or relaxation have impairing or enhancing effects on treatment outcome. In the present pilot study, we investigated the effect of diaphragmatic breathing (DB) as a relaxation technique during VR exposure treatment. Method: Twenty-nine patients with aviophobia were randomly assigned to VR exposure treatment either with or without diaphragmatic breathing (six cycles per minute). Subjective fear ratings, heart rate and skin conductance were assessed as indicators of fear during both the exposure and the test session one week later. Results: The group that experienced VR exposure combined with diaphragmatic breathing showed a higher tendency to effectively overcome the fear of flying. Psychophysiological measures of fear decreased and self-efficacy increased in both groups with no significant difference between the groups. Conclusions: Our findings indicate that diaphragmatic breathing during VR exposure does not interfere with the treatment outcome and may even enhance treatment effects of VR exposure therapy for aviophobic patients. KW - Virtual reality KW - Exposure therapy KW - Diaphragmatic breathing KW - Aviophobia KW - Experimental study Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-181007 VL - 17 ER - TY - JOUR A1 - Huestegge, Lynn A1 - Rohrßen, Julia A1 - van Ermingen-Marbach, Muna A1 - Pape-Neumann, Julia A1 - Heim, Stefan T1 - Devil in the details ? Developmental dyslexia and visual long-term memory for details JF - Frontiers in Psychology N2 - Cognitive theories on causes of developmental dyslexia can be divided into language-specific and general accounts. While the former assume that words are special in that associated processing problems are rooted in language-related cognition (e.g., phonology) deficits, the latter propose that dyslexia is rather rooted in a general impairment of cognitive (e.g., visual and/or auditory) processing streams. In the present study, we examined to what extent dyslexia (typically characterized by poor orthographic representations) may be associated with a general deficit in visual long-term memory (LTM) for details. We compared object- and detail-related visual LTM performance (and phonological skills) between dyslexic primary school children and IQ-, age-, and gender-matched controls. The results revealed that while the overall amount of LTM errors was comparable between groups, dyslexic children exhibited a greater portion of detail-related errors. The results suggest that not only phonological, but also general visual resolution deficits in LTM may play an important role in developmental dyslexia. KW - anguage and word processing KW - picture processing KW - memory errors KW - orthographic representations KW - visual resolution deficit KW - phonology and reading KW - word form area KW - reading disability KW - spatial attention KW - ventral stream Y1 - 2014 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-115887 SN - 1664-1078 VL - 5 IS - 686 ER - TY - JOUR A1 - Schiele, Miriam A. A1 - Reinhard, Julia A1 - Reif, Andreas A1 - Domschke, Katharina A1 - Romanos, Marcel A1 - Deckert, Jürgen A1 - Pauli, Paul T1 - Developmental aspects of fear: Comparing the acquisition and generalization of conditioned fear in children and adults JF - Developmental Psychobiology N2 - Most research on human fear conditioning and its generalization has focused on adults whereas only little is known about these processes in children. Direct comparisons between child and adult populations are needed to determine developmental risk markers of fear and anxiety. We compared 267 children and 285 adults in a differential fear conditioning paradigm and generalization test. Skin conductance responses (SCR) and ratings of valence and arousal were obtained to indicate fear learning. Both groups displayed robust and similar differential conditioning on subjective and physiological levels. However, children showed heightened fear generalization compared to adults as indexed by higher arousal ratings and SCR to the generalization stimuli. Results indicate overgeneralization of conditioned fear as a developmental correlate of fear learning. The developmental change from a shallow to a steeper generalization gradient is likely related to the maturation of brain structures that modulate efficient discrimination between danger and (ambiguous) safety cues. KW - fear conditioning KW - fear generalization KW - development KW - skin conductance KW - maturation Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-189488 VL - 58 IS - 4 ER - TY - THES A1 - Schulz, Daniel T1 - Development of Inhibitory Control in Kindergarten Children T1 - Entwicklung von Inhibitionskontrolle bei Kindern im Kindergartenalter N2 - This dissertation explores the development and assessment of inhibitory control – a crucial component of executive functions – in young children. Inhibitory control, defined as the ability to suppress inappropriate responses (Verbruggen & Logan, 2008), is essential for adaptable and goal-oriented behavior. The rapid and non-linear development of this cognitive function in early childhood presents unique challenges for accurate assessment. As children age, they often exhibit a ceiling effect in terms of response accuracy (Petersen et al., 2016), underscoring the need to consider response latency as well. Ideally, combining response latency with accuracy could yield a more precise measure of inhibitory control (e.g., Magnus et al., 2019), facilitating a detailed tracking of developmental changes in inhibitory control across a wider age spectrum. The three studies of this dissertation collectively aim to clarify the relationship between response accuracy, response latency, and inhibitory control across different stages of child development. Each study utilizes a computerized Pointing Stroop Task (Berger et al., 2000) to measure inhibitory control, examining the task's validity and the integration of dual metrics for a more comprehensive evaluation. The first study focuses on establishing the validity of using both response accuracy and latency as indicators of inhibitory control. Utilizing the framework of explanatory item-response modeling (De Boeck & Wilson, 2004), the study revealed how the task characteristics congruency and item position influence both the difficulty level and timing aspects in young children’s responses in the computerized Pointing Stroop task. Further, this study found that integrating response accuracy with latency, even in a basic manner, provides additional insights. Building upon these findings, the second study investigates the nuances of integrating response accuracy and latency, examining whether this approach can account for age-related differences in inhibitory control. It also explores whether response latencies may contain different information depending on the age and proficiency of the children. The study leverages novel and established methodological perspectives to integrate response accuracy and latency into a single metric, showing the potential applicability of different approaches for assessing inhibitory control development. The third study extends the investigation to a longitudinal perspective, exploring the dynamic relationship between response accuracy, latency, and inhibitory control over time. It assesses whether children who achieve high accuracy at an earlier age show faster improvement in response latency, suggesting a non-linear maturation pathway of inhibitory control. The study also examines if the predictive value of early response latency for later fluid intelligence is dependent on the response accuracy level. Together, these empirical studies contribute to a more robust understanding of the complex interaction between inhibitory control, response accuracy, and response latency, facilitating valid evaluations of cognitive capabilities in children. Moreover, the findings may have practical implications for designing educational strategies and clinical interventions that address the developmental trajectory of inhibitory control. The nuanced approach advocated in this dissertation suggests prioritizing accuracy in assessment and interventions during the early stages of children's cognitive development, gradually shifting the focus to response latency as children mature and secure their inhibitory control abilities. N2 - Die vorliegende Dissertation erforscht die Erfassung und Entwicklung von Inhibitionskontrolle bei jungen Kindern – einer zentralen Komponente der Exekutiven Funktionen. Inhibitionskontrolle, also die Fähigkeit, automatisierte aber unangemessene Reaktionen zu unterdrücken (Verbruggen & Logan, 2008), ist wesentlich für adaptives und zielgerichtetes Verhalten. Die schnelle und nichtlineare Entwicklung dieser kognitiven Funktion im frühen Kindesalter gestaltet eine präzise Messung herausfordernd. Mit zunehmendem Alter der Kinder zeigt sich häufig ein Deckeneffekt hinsichtlich der Antwortgenauigkeit (Petersen et al., 2016), was die Notwendigkeit hervorhebt, auch die Reaktionszeit in Betracht zu ziehen. Idealerweise könnte durch die Integration von Reaktionszeit und Antwortgenauigkeit ein Messwert berechnet werden (z.B. Magnus et al., 2019), welcher eine detaillierte Erfassung von Entwicklungsveränderungen der Inhibitionskontrolle über ein breiteres Altersspektrum hinweg ermöglicht. Die drei Studien dieser Dissertation zielen darauf ab, die Beziehung zwischen Antwortgenauigkeit, Reaktionszeit und Inhibitionskontrolle in verschiedenen Stadien der kindlichen Entwicklung zu untersuchen. Jede Studie nutzt eine computergestützte Inhibitionsaufgabe, den computerized Pointing-Stroop Task (cPST; Berger et al., 2000), um die Inhibitionskontrolle zu messen, wobei die Validität dieses Tests und die Integration von Antwortgenauigkeit und Reaktionszeit für eine umfassendere Bewertung untersucht werden. In der ersten Studie wird untersucht, ob sowohl Antwortgenauigkeit als auch Reaktionszeit valide Indikatoren für Inhibitionskontrolle in jungen Kindern darstellen. Unter Verwendung von explanatorischen Item-Response-Modellen zeigte die Studie, wie die Aufgabenmerkmale Kongruenz und Item-Position die Aufgabenschwierigkeit sowohl in Bezug auf Antwortgenauigkeit als auch Reaktionszeit im cPST beeinflussen. Darüber hinaus zeigten sich erste Hinweise, dass bereits eine rudimentäre Integration von Antwortgenauigkeit und Reaktionszeit zusätzliche Einsichten liefert. Aufbauend auf diesen Erkenntnissen untersucht die zweite Studie die Feinheiten der Integration von Antwortgenauigkeit und Reaktionszeit und prüft, ob moderne Methoden der Integration dieser beiden Metriken altersbedingte Unterschiede in der Inhibitionskontrolle berücksichtigen können. Sie erforscht auch, ob sich aus den Reaktionszeiten in Inhibitionsaufgaben, abhängig vom Alter und Können der Kinder, unterschiedliche Schlussfolgerungen ziehen lassen. Die Studie nutzt neue und etablierte methodische Ansätze, um Antwortgenauigkeit und Reaktionszeit zu einer Metrik zu integrieren und zeigt die potenzielle Anwendbarkeit verschiedener Ansätze zur Bewertung der Entwicklung der Inhibitionskontrolle. Die dritte Studie erweitert die Untersuchung auf eine Längsschnittperspektive und erforscht die dynamische Beziehung zwischen Antwortgenauigkeit, Reaktionszeit und Inhibitionskontrolle im Laufe der Entwicklung. Sie betrachtet, ob Kinder, die in jüngerem Alter eine hohe Genauigkeit erreichen, eine schnellere Verbesserung in der Reaktionszeit zeigen. Die Studie untersucht weiter, ob der prädiktive Wert von Reaktionszeit für zukünftige fluide Intelligenz in Abhängigkeit zu der Antwortgenauigkeit steht. Zusammen tragen diese empirischen Arbeiten zu einem tieferen Verständnis der komplexen Interaktion zwischen Inhibitionskontrolle, Antwortgenauigkeit und Reaktionszeit bei und erleichtern valide Bewertungen dieser kognitiven Fähigkeiten bei Kindern. Darüber hinaus könnten die Ergebnisse praktische Implikationen für die Gestaltung von Interventionen haben, die sich mit dem Entwicklungsverlauf der Inhibitionskontrolle befassen. Der in dieser Dissertation vertretene Ansatz legt nahe, Antwortgenauigkeit bei der Bewertung und Interventionen während der frühen Phasen der kognitiven Entwicklung von Kindern zu priorisieren und den Fokus allmählich auf die Reaktionszeit zu verlagern, sobald Kinder ihre Inhibitionskontrolle festigen und ausbauen. KW - Kognitive Entwicklung KW - Kognition KW - Psychologie KW - Executive Functions KW - Inhibitory Control KW - Inhibitionskontrolle KW - Linear-Mixed Models KW - Linear Gemischte Modelle KW - Cognition KW - Child Development KW - Kindliche Entwicklung KW - Exekutive Funktionen KW - Kinderentwicklung Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-357152 ER - TY - THES A1 - Will, Sebastian T1 - Development of a presence model for driving simulators based on speed perception in a motorcycle riding simulator T1 - Entwicklung eines Präsenzmodells für Fahrsimulatoren basierend auf der Geschwindigkeitswahrnehmung in einem Motorradfahrsimulator N2 - Driving simulators are powerful research tools. Countless simulator studies have contributed to traffic safety over the last decades. Constant improvements in simulator technology call for a measureable scale to assess driving simulators with regard to their utility in human factors research. A promising psychological construct to do so is presence. It is commonly defined as the feeling of being located in a remote or virtual environment that seems to be real. Another aspect of presence describes the ability to act there successfully. The main aim of this thesis is to develop a presence model dedicated to the application in driving simulators. Established models have been combined and extended in order to gain a comprehensive model of presence that allows understanding its emergence and deriving recommendations on how to design or improve driving simulators. The five studies presented in this thesis investigate specific postulated model components and their interactions. All studies deal with motorcycling or a motorcycle riding simulator as exemplary field of application. The first study used a speed estimation task to investigate the contribution of different sensory cues to presence. While visualization plays a particularly important role, further improvements could be achieved by adding more consistent sensory stimuli to the virtual environment. Auditory, proprioceptive and vestibular cues have been subject to investigation. In the second study, the speed production method was applied. It confirmed the positive contribution of action to presence as predicted by psychocybernetic models. The third study dealt with the effect of training on presence. Hence, no positive effect was observed. The fourth study aimed at replicating previous findings on sensory fidelity and diversity in a more complex riding situation than only longitudinal vehicle control. The riders had to cross an unexpectedly appearing deep pit with the virtual motorcycle. The contribution of more consistent sensory stimulation on presence was successfully shown in this scenario, too. The final study was a real riding experiment that delivered reference values for the speed estimation capabilities of motorcycle riders. Besides higher variations in the simulator data, the general speed estimation performance was on a comparable level. Different measures, such as subjective ratings, behavioral responses, performance, and physiological reactions, have been applied as presence indicators. These studies’ findings deliver evidence for the meaningful application of the proposed presence model in driving simulator settings. The results suggest that presence can be interpreted as a quality measure for perception in virtual environments. In line with psychocybernetic models, taking action, which is seen as controlling perception, enhances this quality even further. Describing the psychological construct of presence in a theoretical framework that takes the diversity of perception and action in driving simulator settings into account closes a gap in traffic psychological research. N2 - Fahrsimulatoren sind leistungsfähige Forschungsinstrumente. Seit einigen Jahrzehnten konnte mit unzähligen Simulatorstudien zur Verkehrssicherheit beigetragen werden. Stetige Weiterentwicklungen der Simulatortechnologie machen einen Maßstab erforderlich, der es erlaubt, Fahrsimulatoren hinsichtlich ihrer Nützlichkeit für verkehrspsychologische Fragestellungen zu bewerten. Ein vielversprechendes in der Psychologie verwendetes Konstrukt ist Präsenz. Für gewöhnlich wird Präsenz als das Gefühl definiert, sich in einer entfernten bzw. virtuellen Umwelt zu befinden, die als real wahrgenommen wird. Ein weiterer Aspekt von Präsenz beschreibt die Fähigkeit in dieser Welt erfolgreich zu handeln. Das Ziel der vorliegenden Arbeit ist es, ein Präsenzmodell für die Anwendung im Fahrsimulatorbereich zu entwickeln. Dafür werden bereits etablierte Präsenzmodelle aufgegriffen, kombiniert und um bestimmte Komponenten erweitert. Dies zielt darauf ab ein umfassendes Präsenzmodell zu etablieren, welches einerseits einen Erklärungsansatz zur Entstehung von Präsenz liefert und andererseits erlaubt, Gestaltungsempfehlungen für Fahrsimulatoren abzuleiten. Die fünf Experimente dieser Arbeit untersuchen spezifische Modellkomponenten und deren Zusammenspiel. Alle Studien befassen sich mit dem Motorradfahren bzw. einem Motorradfahrsimulator als exemplarisches Anwendungsfeld. Die erste Studie verwendete ein Schätzverfahren für Geschwindigkeiten, um den Beitrag verschiedener Sinnesreize zu Präsenz zu untersuchen. Während der Visualisierung eine besondere Rolle zukommt, konnte die Präsenz durch die Hinzunahme weiterer sensorischer Stimuli in der virtuellen Welt noch gesteigert werden. Dabei wurden auditive, propriozeptive und vestibuläre Reize betrachtet. In der zweiten Studie wurde die Geschwindigkeitswahrnehmung mit Hilfe des Herstellungsverfahrens untersucht. Wie durch psychokybernetische Modelle vorhergesagt, hat sich die positive Auswirkung aktiven Handelns in der virtuellen Welt auf Präsenz bestätigt. Die dritte Studie befasste sich mit den Auswirkungen von Training auf Präsenz. Hier konnte jedoch kein positiver Zusammenhang festgestellt werden. Die vierte Studie zielte darauf ab, im Vorfeld gewonnene Erkenntnisse zur Vielfalt sensorischer Reize zu replizieren. Anstelle reiner Fahrzeuglängsregulation galt es, eine komplexere Fahrsituation zu bewältigen. Die Probanden mussten dabei mit ihrem virtuellen Motorrad einen unerwartet auftretenden tiefen Graben durchqueren. Der Beitrag vielfältiger sensorischer Stimulation auf Präsenz konnte auch in diesem Szenario erfolgreich gezeigt werden. Bei der letzten Studie handelte es sich um eine Realfahruntersuchung, die Referenzwerte zur Einordnung der Geschwindigkeitswahrnehmung im Motorradfahrsimulator lieferte. Außer höheren Schwankungen der Schätzwerte im Fahrsimulator bewegte sich die Güte der Schätzungen im Mittel auf einem vergleichbaren Niveau. Zur Messung von Präsenz wurden Befragungsdaten, Verhaltensmaße, Leistung und physiologische Reaktionen als Indikatoren herangezogen. Die Ergebnisse der Studien belegen die sinnvolle Anwendbarkeit des vorgeschlagenen Präsenzmodells in der Fahrsimulation. Darüber hinaus zeigt sich, dass Präsenz als ein Gütemaß für Wahrnehmung in virtuellen Welten interpretiert werden kann. Psychokybernetischen Modellen folgend kann diese Qualität durch Handeln, welches als Kontrolle der Wahrnehmung gesehen wird, noch weiter gesteigert werden. Durch die Integration des psychologischen Präsenzkonstrukts in ein Rahmenmodell, welches der Vielfalt von Wahrnehmung und Handlung in Fahrsimulatoren Rechnung trägt, konnte eine Lücke in der verkehrspsychologischen Forschung geschlossen werden. KW - Fahrsimulator KW - Geschwindigkeitswahrnehmung KW - presence KW - motorcycle simulator KW - driving simulator KW - speed perception KW - Präsenzerleben KW - Immersion KW - Telepräsenz Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-149748 ER - TY - JOUR A1 - Zyberaj, Jetmir A1 - Seibel, Sebastian A1 - Schowalter, Annika F. A1 - Pötz, Lennart A1 - Richter-Killenberg, Stefanie A1 - Volmer, Judith T1 - Developing sustainable careers during a pandemic: the role of psychological capital and career adaptability JF - Sustainability N2 - The Coronavirus disease 2019 (COVID-19) has not only had negative effects on employees' health, but also on their prospects to gain and maintain employment. Using a longitudinal research design with two measurement points, we investigated the ramifications of various psychological and organizational resources on employees' careers during the COVID-19 pandemic. Specifically, in a sample of German employees (N = 305), we investigated the role of psychological capital (PsyCap) for four career-related outcomes: career satisfaction, career engagement, coping with changes in career due to COVID-19, and career-related COVID-19 worries. We also employed leader–member exchange (LMX) as a moderator and career adaptability as a mediating variable in these relationships. Results from path analyses revealed a positive association between PsyCap and career satisfaction and career coping. Furthermore, PsyCap was indirectly related to career engagement through career adaptability. However, moderation analysis showed no moderating role of LMX on the link between PsyCap and career adaptability. Our study contributes to the systematic research concerning the role of psychological and organizational resources for employees' careers and well-being, especially for crisis contexts. KW - psychological capital KW - career adaptability KW - LMX KW - career engagement KW - career satisfaction KW - career coping KW - COVID-19 Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-267286 SN - 2071-1050 VL - 14 IS - 5 ER - TY - THES A1 - Greving, Sven T1 - Desirable Difficulties in Applied Learning Settings: Mechanisms and Effects T1 - Wünschenswerte Erschwernisse in angewandten Lernumgebungen: Mechanismen und Effekte N2 - Improving retention of learned content by means of a practice test is a learning strategy that has been researched since a century and has been consistently found to be more effective than comparable learning strategies such as restudy (i.e., the testing effect). Most importantly, practicing test questions has been found to outperform restudy even when no additional information about the correct answers was provided to practice test takers, rendering practice tests effective and efficient in fostering retention of learning content. Since 15 years, additional scientific attention is devoted to this memory phenomenon and additional research investigated to what extend practicing test questions is relevant in real-world educational settings. This dissertation first presents the evidence for testing effects in applied educational settings by presenting key publications and presenting findings from a methodological review conducted for this purpose. Within this dissertation, theories are presented why practicing test questions should benefit learning in real-world educational settings even without the provision of additional information and key variables for the effectiveness of practicing test questions are presented. Four studies presented in this dissertation aimed at exploring these assumptions in actual university classrooms while also trying to implement new methods of practicing learning content and thus augment course procedures. Findings from these studies—although not often consistent—will be incorporated and interpreted in the light of the theoretical accounts on the testing effect. The main conclusion that can be drawn from this dissertation is that, given the right circumstances, practicing test questions can elicit beneficial effects on the retention of learning content that are independent of additional information and thus taking a practice test per se, can foster retention of real-world learning content. N2 - Seit einem Jahrhundert wird die positive Wirkung von Abrufübungen auf das Behalten gelernter Inhalte untersucht. Diese Untersuchungen belegen durchgängig, dass Abrufübungen für das Behalten förderlicher sind als vergleichbare Lernaktivitäten wie beispielsweise nochmaliges Lesen (Der Testungseffekt). Der Testungseffekt ist besonders bedeutsam wenn er in Settings untersucht wird in denen keine Informationen über die Richtigkeit des abgelegten Tests an die Lernenden gegeben werden und somit belegen, dass Abrufübungen nicht nur effektive sondern auch effiziente Methoden der Behaltensförderung darstellen. Seit 15 Jahren intensiviert sich das wissenschaftliche Interesse am Testungseffekt und immer mehr Forschung untersucht auch das Ausmaß der Übertragbarkeit auf reale Lernumgebungen. Diese Dissertation stellt zuerst Befunde aus Untersuchungen des Testungseffekts in angewandten Lernsettings dar, wobei zentrale Studien besprochen werden und hier ein eigens zu diesem Zweck angestelltes methodisches Review vorgestellt wird. Innerhalb der Dissertationen werden Theorien erläutert, warum Abrufübungen in realen Lernsettings das Behalten auch ohne zusätzliche Darbietung der korrekten Antwort fördern sollten und welche Variablen dafür essentiell sind. In dieser Dissertation warden zudem vier Studien präsentiert, die diese Variablen in universitären Lernumgebungen untersuchten, teilweise mit dem Ziel, Abrufübungen noch effektiver zu machen. Die gewonnenen Erkenntnisse aus diesen vier Studien—obwohl sie nicht immer konsistent sind—werden abschließend diskutiert und in Bezug zu den vorgestellten Theorien gesetzt. Eine zetrale Schlussfolgerung aus den vorgestellten Studien ist die Erkenntnis, dass unter den richtigen Bedingungen Abrufübungen den Testungseffekt hervorrufen können, die unabhängig von zusätlicher Information sind und dass es demnach die Abrufübung per se ist, die zum Behalten gelernter Information beiträgt. KW - Unterrichtspsychologie KW - Testing Effect KW - Feedback KW - University Teaching Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-288848 ER - TY - JOUR A1 - Wirth, Robert A1 - Foerster, Anna A1 - Kunde, Wilfried A1 - Pfister, Roland T1 - Design choices: Empirical recommendations for designing two-dimensional finger-tracking experiments JF - Behavior Research Methods N2 - The continuous tracking of mouse or finger movements has become an increasingly popular research method for investigating cognitive and motivational processes such as decision-making, action-planning, and executive functions. In the present paper, we evaluate and discuss how apparently trivial design choices of researchers may impact participants’ behavior and, consequently, a study’s results. We first provide a thorough comparison of mouse- and finger-tracking setups on the basis of a Simon task. We then vary a comprehensive set of design factors, including spatial layout, movement extent, time of stimulus onset, size of the target areas, and hit detection in a finger-tracking variant of this task. We explore the impact of these variations on a broad spectrum of movement parameters that are typically used to describe movement trajectories. Based on our findings, we suggest several recommendations for best practice that avoid some of the pitfalls of the methodology. Keeping these recommendations in mind will allow for informed decisions when planning and conducting future tracking experiments. KW - movement tracking KW - experimental design KW - Simon task KW - measures Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-235569 VL - 52 ER - TY - JOUR A1 - Cao, Liyu A1 - Steinborn, Michael B. A1 - Haendel, Barbara F. T1 - Delusional thinking and action binding in healthy individuals JF - Scientific Reports N2 - Action binding is the effect that the perceived time of an action is shifted towards the action related feedback. A much larger action binding effect in schizophrenia compared to normal controls has been shown, which might be due to positive symptoms like delusions. Here we investigated the relationship between delusional thinking and action binding in healthy individuals, predicting a positive correlation between them. The action binding effect was evaluated by comparing the perceived time of a keypress between an operant (keypress triggering a sound) and a baseline condition (keypress alone), with a novel testing method that massively improved the precision of the subjective timing measurement. A positive correlation was found between the tendency of delusional thinking (measured by the 21-item Peters et al. delusions inventory) and action binding across participants after controlling for the effect of testing order between operant and baseline conditions. The results indicate that delusional thinking in particular influences action time perception and support the notion of a continuous distribution of schizotypal traits with normal controls at one end and clinical patients at the other end. KW - cognitive neuroscience KW - psychology Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-264707 VL - 11 IS - 1 ER - TY - JOUR A1 - Hausman, Hannah A1 - Kubik, Veit T1 - Delayed metacomprehension judgments do not directly improve learning from texts JF - Journal of Intelligence N2 - Making judgments of learning (JOLs) after studying can directly improve learning. This JOL reactivity has been shown for simple materials but has scarcely been investigated with educationally relevant materials such as expository texts. The few existing studies have not yet reported any consistent gains in text comprehension due to providing JOLs. In the present study, we hypothesized that increasing the chances of covert retrieval attempts when making JOLs after each of five to-be-studied text passages would produce comprehension benefits at 1 week compared to restudy. In a between-subjects design, we manipulated both whether participants (N = 210) were instructed to covertly retrieve the texts, and whether they made delayed target-absent JOLs. The results indicated that delayed, target-absent JOLs did not improve text comprehension after 1 week, regardless of whether prior instructions to engage in covert retrieval were provided. Based on the two-stage model of JOLs, we reasoned that participants’ retrieval attempts during metacomprehension judgments were either insufficient (i.e., due to a quick familiarity assessment) or were ineffective (e.g., due to low retrieval success). KW - JOL reactivity KW - judgments of learning KW - metacomprehension KW - covert retrieval Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-323361 SN - 2079-3200 VL - 11 IS - 7 ER - TY - JOUR A1 - Ewald, Heike A1 - Glotzbach-Schoon, Evelyn A1 - Gerdes, Antje B. M. A1 - Andreatta, Marta A1 - Müller, Mathias A1 - Mühlberger, Andreas A1 - Pauli, Paul T1 - Delay and trace fear conditioning in a complex virtual learning environment - neural substrates of extinction JF - Frontiers in Human Neuroscience N2 - Extinction is an important mechanism to inhibit initially acquired fear responses. There is growing evidence that the ventromedial prefrontal cortex (vmPFC) inhibits the amygdala and therefore plays an important role in the extinction of delay fear conditioning. To our knowledge, there is no evidence on the role of the prefrontal cortex in the extinction of trace conditioning up to now. Thus, we compared brain structures involved in the extinction of human delay and trace fear conditioning in a between-subjects-design in an fMRI study. Participants were passively guided through a virtual environment during learning and extinction of conditioned fear. Two different lights served as conditioned stimuli (CS); as unconditioned stimulus (US) a mildly painful electric stimulus was delivered. In the delay conditioning group (DCG) the US was administered with offset of one light (CS+), whereas in the trace conditioning group (TCG) the US was presented 4s after CS+ offset. Both groups showed insular and striatal activation during early extinction, but differed in their prefrontal activation. The vmPFC was mainly activated in the DCG, whereas the TCG showed activation of the dorsolateral prefrontal cortex (dlPFC) during extinction. These results point to different extinction processes in delay and trace conditioning. VmPFC activation during extinction of delay conditioning might reflect the inhibition of the fear response. In contrast, dlPFC activation during extinction of trace conditioning may reflect modulation of working memory processes which are involved in bridging the trace interval and hold information in short term memory. KW - prefrontal cortex KW - delay conditioning KW - trace conditioning KW - extinction KW - virtual reality KW - fMRI KW - medial prefrontal cortex KW - event-related FMRI KW - orbifrontal cortex KW - contextual fear Y1 - 2014 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-116230 SN - 1662-5161 VL - 8 IS - 323 ER - TY - JOUR A1 - Rinn, Robin A1 - Ludwig, Jonas A1 - Fassler, Pauline A1 - Deutsch, Roland T1 - Cues of wealth and the subjective perception of rich people JF - Current Psychology N2 - These pre-registered studies shed light on the cues that individuals use to identify rich people. In two studies (N = 598), we first developed a factor-analytical model that describes the content and the mental structure of 24 wealth cues. A third within-subject study (N = 89) then assessed the perception of rich subgroups based on this model of wealth cues. Participants evaluated the extent to which the wealth cues applied to two distinct subgroups of rich people. The results show: German and US-American participants think that one can identify rich people based on the same set of cues which can be grouped along the following dimensions: luxury consumption, expensive hobbies, spontaneous spending, greedy behavior, charismatic behavior, self-presentation, and specific possessions. However, Germans and US-Americans relied on these cues to different degrees to diagnose wealth in others. Moreover, we found evidence for subgroup-specific wealth cue profiles insofar as target individuals who acquired their wealth via internal (e.g., hard work) compared to external means (e.g., lottery winners) were evaluated differently on these wealth cues, presumably because of their perceived differences in valence and competence. Together, this research provides new insights in the cognitive representation of the latent construct of wealth. Practical implications for research on the perception of affluence, and implications for political decision makers, are discussed in the last section. KW - impression formation KW - the rich KW - subjective wealth cues KW - judgement KW - implications of wealth Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-324922 SN - 1046-1310 VL - 42 IS - 31 ER - TY - THES A1 - Pieczykolan, Aleksandra T1 - Cross-Modal Action Control T1 - Crossmodale Handlungskontrolle N2 - Multitasking als allgegenwärtiges Phänomen wird heutzutage in verschiedenen wissenschaftlichen Disziplinen diskutiert. In der vorliegenden Arbeit wird Multitasking aus der Perspektive der kognitiven Verhaltenswissenschaften beleuchtet mit dem Fokus auf der Rolle von Konfliktlösungs- prozessen bei der Verarbeitung von Mehrfachtätigkeiten. Insbesondere liegt der Fokus auf kognitiven Mechanismen der crossmodalen Handlungskontrolle, d.h. der Kontrolle von zwei Handlungen in verschiedenen Effektorsystemen. Mit dem Ziel, den bisherigen Umfang derjenigen Handlungsmodalitäten zu erweitern, die üblicherweise in Studien eingesetzt wurden, wurden okulomotorische Reaktionen (d.h. Sakkaden), die bisher als Handlungsmodalität in der Forschung vernachlässigt wurden, in Kombination mit Reaktionen in anderen Efffektorsystemen untersucht (d.h. mit manuellen und vokalen Reaktionen). Weiterhin wurde beabsichtigt, Mechanismen von Crosstalk zu spezifizieren, welches ein Erklärungskonzept darstellt, das sich auf den Aufgabeninhalt bezieht. Crosstalk erscheint besonders relevant für crossmodale Handlungen, da sich Handlungsmodalitäten vor allem bezüglich ihrer Reaktionsmerkmale unterscheiden. In der vorliegenden Arbeit werden vier Studien berichtet, die auf jeweils zwei oder drei Experimenten beruhen. In Studie A wurden crossmodale Doppelreaktionen auf einen einzelnen Stimulus untersucht mit der Fragestellung, wie sich das Zusammenspiel des Vorhandenseins von Reaktionsalternativen und der Kompatibilität zwischen Reaktionen (also dem Crosstalkpotential) auswirkt. In drei Experimenten zeigte sich, dass Crosstalk in mehrere Komponenten dissoziiert werden kann, nämlich eine Komponente, die auf der aktuellen Konfliktstärke (Online-Crosstalk) basiert, und eine gedächtnisbasierte Komponente, die entweder durch Restaktivität vergangener Handlungsanforderungen bestimmt wird (retrospektiver Crosstalk), oder durch Vorbereitung auf zukünftige Handlungsanforderungen (prospektiver Crosstalk). Studie B lieferte Evidenz dafür, dass okulomotorische Reaktionen sowohl struktureller als auch inhaltsbasierte Interferenz unterliegen. In drei Experimenten wurde das Paradigma zeitlich überlappender Aufgaben verwendet, bei dem zwei Stimuli mit zeitlichem Versatz präsentiert wurden, auf die jeweils mit einer okulomotorischen und einer manuellen Handlung reagiert werden musste. Dabei wurden sowohl Hinweise auf einen seriellen als auch auf einen parallelen Verarbeitungsmodus gefunden. Weiterhin deuteten die Ergebnisse darauf hin, dass abhängig von der Aufgabenkompatibilität zwischen diesen Verarbeitungsmodi gewechselt wurde, d.h. zu eher paralleler Verarbeitung bei kompatiblen Aufgabenanforderungen und zu eher serieller Verarbeitung bei inkompatiblen Aufgabenanforderungen. In Studie C wurden Verarbeitungsprioritäten zwischen Effektorsystemen untersucht. In zwei Experimenten zeigte sich, dass das zuvor berichtete Verarbeitungsdominanzmuster repliziert werden konnte, bei der okulomotorische Reaktionen vokale Reaktionen dominieren und diese wiederum manuelle Reaktionen dominieren. Die relative Stärke der Dominanz konnte allerdings bei vorhandenem Reaktionskonflikt angepasst werden. Die Verarbeitungsprioritäten wurden hierbei zum Teil in Richtung derjenigen Reaktion verschoben, in der bereits ein Konflikt im Bezug auf die Kompatibilität zwischen Stimulus und Reaktion gelöst werden musste. Dieses Ergebnis zeigt, dass Verarbeitungsprioritäten flexibel an die spezifischen Handlungsanforderungen angepasst werden können. Studie D beschäftigte sich mit einem bisher weitgehend vernachlässigten Bereich innerhalb der Doppelaufgabenforschung, nämlich der Kontrolle der zeitlichen Reaktionsreihenfolge. In einer drei Experimente umfassenden Untersuchung wurden mehrere Faktoren variiert, die sich in früheren Studien bereits als relevant für Mechanismen der Doppelaufgabeninterferenz gezeigt haben. In der vorliegenden Studie wurde gezeigt, dass die finale Reaktionsreihenfolge in einem Handlungsdurchgang das Ergebnis eines kontinuierlichen Anpassungsprozesses ist, welcher auf dem Zusammenspiel mehrerer top-down-Faktoren, z.B. der Antizipation von Reaktionsmerkmalen, und mehrerer bottom-up-Faktoren, wie z.B. der Stimulusreihenfolge oder der Aufgabenkompatibilität, basiert. Die vorliegende Arbeit liefert somit einen wichtigen Beitrag zum Fortschritt des Verständnisses der Verarbeitung komplexer Handlungsanforderungen aus der Perspektive crossmodaler Handlungen. Insbesondere wurden Spezifikationen für Mechanismen der Effektorpriorisierung und der Kontrolle der Reaktionsreihenfolge als auch eine neuartige Taxonomie von Crosstalk vorgestellt, welche als umfassende Rahmenvorstellung zur Erklärung von Interferenzmechanismen bei Kontrollprozessen von Mehrfachanforderungen dienlich sein kann. N2 - Nowadays, multitasking is ubiquitously discussed within many different scientific disciplines. The present work addressed multitasking from the perspective of cognitive behavioural sciences by investigating the role of conflict resolution processes that arise during the requirements of multiple-action control. More specifically, the present work focuses on cognitive mechanisms in the case of cross-modal action control, which involves the performance of two actions in different effector systems. One aim was to broaden the scope of action modalities typically considered in the literature by studying oculomotor responses (i.e. saccades) – an action modality that has been largely neglected in previous research – in combination with responses in other effector systems (i.e. manual and vocal responses). A further aim was to specify the mechanisms of crosstalk as an explanatory concept referring to the action content, which is particularly relevant since cross-modal actions usually differ regarding their response characteristics. The present work comprises four studies (each involving two or three experiments). In Study A, cross-modal response compounds based on a single stimulus were studied with respect to the interplay of the presence of response alternatives and between-response compatibility (i.e. crosstalk potential). In three experiments, this study showed that crosstalk can be dissociated into a component that determines the amount of current conflict (i.e. online crosstalk) and a memory-based component that originates either from residual activation of previous action demands (retrospective crosstalk) or from preparation for future demands (prospective crosstalk). Study B provided first evidence that oculomotor responses are subject to interference based on both structural and content-based origins. In three experiments, an overlapping tasks paradigm was employed in which the onsets between two stimuli that triggered oculomotor and manual responses were varied. Evidence for both serial and parallel processing of the two tasks was found. The results further indicated that based on the between-task compatibility participants shifted between these processing modes, i.e. to more parallel processing during compatible task demands and to more serial processing during incompatible task demands. Study C examined processing priorities among effector systems and demonstrated in two experiments that the previously reported prioritisation scheme, in which the oculomotor system is prioritised over the vocal and manual effector system, can be replicated, but is also adjusted in its strength by the presence of response conflict. Specifically, processing priorities were shifted towards the response that already is involved in conflict resolution (in terms of stimulus-response compatibility), suggesting that processing priorities can be flexibly adapted to particular task demands. Study D addressed response order control in dual tasks, an issue that has been widely neglected in previous research. In a comprehensive study of three experiments including several factors that are known to be relevant for dual-task interference mechanisms, it was shown that the final response order in a given trial is the result of a continuous adjustment process based on the interplay of several top-down factors, such as the anticipation of response characteristics, and bottom-up factors, such as stimulus order and between-task compatibility. In summary, the present work advances the theoretical understanding of complex action control by providing a cross-modal action perspective, by proposing mechanisms for effector-system prioritisation and response order control, and by proposing a novel taxonomy of crosstalk as an overarching framework for interference mechanisms in multiple-response control. KW - Kognition KW - Mehrfachtätigkeit KW - Dual task KW - cross-modal action KW - Task interference KW - Saccades KW - Vocal responses KW - Manual responses KW - Multitasking KW - Doppelaufgabe KW - Blickbewegung KW - Reaktionszeit Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-142356 ER - TY - JOUR A1 - Pieczykolan, Aleks A1 - Huestegge, Lynn T1 - Cross-modal Action Complexity: Action- and Rule-related Memory Retrieval in Dual-response Control JF - Frontiers in Psychology N2 - Normally, we do not act within a single effector system only, but rather coordinate actions across several output modules (cross-modal action). Such cross-modal action demands can vary substantially with respect to their complexity in terms of the number of task-relevant response combinations and to-be-retrieved stimulus-response (S-R) mapping rules. In the present study, we study the impact of these two types of cross-modal action complexity on dual-response costs (i.e., performance differences between single- and dual-action demands). In Experiment 1, we combined a manual and an oculomotor task, each involving four response alternatives. Crucially, one (unconstrained) condition involved all 16 possible combinations of response alternatives, whereas a constrained condition involved only a subset of possible response combinations. The results revealed that preparing for a larger number of response combinations yielded a significant, but moderate increase in dual-response costs. In Experiment 2, we utilized one common lateralized auditory (e.g., left) stimulus to trigger incompatible response compounds (e.g., left saccade and right key press or vice versa). While one condition only involved one set of task-relevant S-R rules, another condition involved two sets of task-relevant rules (coded by stimulus type: noise/tone), while the number of task-relevant response combinations was the same in both conditions. Here, an increase in the number of to-be-retrieved S-R rules was associated with a substantial increase in dual-response costs that were also modulated on a trial-by-trial basis when switching between rules. Taken together, the results shed further light on the dependency of cross-modal action control on both action- and rule-related memory retrieval processes. KW - task rules KW - cross-modal action KW - dual tasks KW - dual-response costs KW - oculomotor control Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-157794 VL - 8 IS - 529 ER - TY - JOUR A1 - Reis, Moritz A1 - Pfister, Roland A1 - Kunde, Wilfried A1 - Foerster, Anna T1 - Creative thinking does not promote dishonesty JF - Royal Society Open Science N2 - We assessed the relation of creativity and unethical behaviour by manipulating the thinking style of participants (N = 450 adults) and measuring the impact of this manipulation on the prevalence of dishonest behaviour. Participants performed one of three inducer tasks: the alternative uses task to promote divergent thinking, the remote associates task to promote convergent thinking, or a simple classification task for rule-based thinking. Before and after this manipulation, participants conducted the mind game as a straightforward measure of dishonesty. Dishonest behaviour increased from before to after the intervention, but we found no credible evidence that this increase differed between induced mindsets. Exploratory analyses did not support any relation of trait creativity and dishonesty either. We conclude that the influence of creative thinking on unethical behaviour seems to be more ambiguous than assumed in earlier research or might be restricted to specific populations or contexts. KW - dishonesty KW - creativity KW - thinking style KW - unethical behaviour KW - morality Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-349859 SN - 2054-5703 VL - 10 IS - 12 ER - TY - JOUR A1 - Boschet, Juliane M. A1 - Scherbaum, Stefan A1 - Pittig, Andre T1 - Costly avoidance of Pavlovian fear stimuli and the temporal dynamics of its decision process JF - Scientific Reports N2 - Conflicts between avoiding feared stimuli versus approaching them for competing rewards are essential for functional behavior and anxious psychopathology. Yet, little is known about the underlying decision process. We examined approach-avoidance decisions and their temporal dynamics when avoiding Pavlovian fear stimuli conflicted with gaining rewards. First, a formerly neutral stimulus (CS+) was repeatedly paired with an aversive stimulus (US) to establish Pavlovian fear. Another stimulus (CS−) was never paired with the US. A control group received neutral tones instead of aversive USs. Next, in each of 324 trials, participants chose between a CS−/low reward and a CS+/high reward option. For the latter, probability of CS+ presentation (Pavlovian fear information) and reward magnitude (reward information) varied. Computer mouse movements were tracked to capture the decision dynamics. Although no more USs occurred, pronounced and persistent costly avoidance of the Pavlovian fear CS+ was found. Time-continuous multiple regression of movement trajectories revealed a stronger and faster impact of Pavlovian fear compared to reward information during decision-making. The impact of fear information, but not reward information, modestly decreased across trials. These findings suggest a persistently stronger weighting of fear compared to reward information during approach-avoidance decisions, which may facilitate the development of pathological avoidance. KW - decision process KW - fear stimuli KW - approach-avoidance decisions Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-301041 VL - 12 IS - 1 ER - TY - THES A1 - Stojanovic, Jelena T1 - Cortical functional activations in musical talents and nontalents in visuomotor and auditory tasks: implications of the effect of practice on neuroplasticity T1 - Funktionelle kortikale Aktivierungen bei Musiktalenten und musikalischen Laien in visuomotorischen und auditorischen Aufgaben: Implikationen von Übungseffekten für Neuroplastizität N2 - Neuroplasticity is a term indicating structural and functional changes in the brain through the lifespan. In the present study, differences in the functional cortical activations between the musical talents and non-talents were investigated after a short-term practice of the visuomotor and auditory tasks. Visuomotor task consisted of the finger tapping sequences, while auditory task consisted of passive listening to the classical music excerpts. Non-talents were divided in two groups: trained non-talents who practiced the task prior to scanning and untrained non-talents who did not practice the task. Functional activations were obtained by the functional magnetic resonance imaging (fMRI) in a 1.5T Scanner. It was hypothesized that talents would exhibit different functional activations from non-talents in both tasks as a result of the long-term music practice, which would account for the brain plasticity. Decreased activation of the same areas in talents in respect to the non-talents as well as the activation of different areas between the talents and non-talents was hypothesized. In addition due to a plethora of previous studies showing increased activations in the primary motor cortex (M1) in musicians, as well as left inferior frontal gyrus (lIFG), increased activation of the M1 and lIFG in talents were hypothesized. Behavioral results did not reveal differences in performance among the three groups of subjects (talents, non-talents who practiced the task, and non-talents who did not practice the task). The main findings from imaging results of the visuomotor task confirmed the hypothesis of the increased activation in the M1 in talents. Region of interest analyses of the lIFG revealed the highest activation in the untrained non-talents, lower activation in talents, and least activation in the trained non-talents. Posthoc imaging analyses revealed higher activations in the cerebella of subjects who practiced the visuomotor task. For the auditory task, the effect of auditory practice was observed in the right inferior frontal gyrus (rIFG). These results should be interpreted with caution due to the absence of behavioral differences among the groups. N2 - Die Erforschung von Neuroplastizität hat Implikationen sowohl für klinische Fragestellungen als auch den Bereich der Lernpsychologie. Plastizität erweitert die Perspektive vom Gehirn als einer festen Struktur hin zu einem veränderbaren, flexiblen Organ. Neuroplastizität wird in verschiedenen Bereichen sichtbar: Sowohl nach Schädel-Hirn-Trauma oder Schlaganfall, als Kompensation von beschädigten Arealen durch angrenzende Bereiche, als auch im gesunden Hirn bei der Verbesserung einer Fähigkeit durch wiederholte Übung. Die vorliegende Arbeit soll einen Beitrag zur Erforschung von Neuroplastizität leisten durch Übertragung der Konzepte von kurz- und langfristigen Übungseffekten auf den Bereich der Musikalität. Vorhergehende Studien konnten sowohl strukturelle als auch funktionelle kortikale Unterschiede zwischen Musiktalenten und musikalischen Laien nachweisen. In anderen Bereichen (z.B. Sprache, motorisches Lernen, abstraktes Material) konnten zumindest temporäre funktionale kortikale Veränderungen durch Übung bei gesunden Probanden gezeigt werden. In der vorliegenden Arbeit werden die Unterschiede zwischen diesen möglichen “temporären” Veränderungen und langanhaltenden Veränderungen untersucht. Die Studie beinhaltete zwei verschiedenen Aufgaben: eine visuomotorische Aufgabe mit visueller Präsentation von Tapping-Sequenzen und eine auditorische Aufgabe bestehend aus der auditorischen Präsentation klassischer Musikstücke aus dem 19. Jahrhundert. Die musikalischen Laien wurden randomisiert einer von zwei Gruppen zugeteilt: Musikalische Laien, die die visuomotorische Aufgabe übten (untrainiert in der auditorischen Aufgabe) und Laien, die die auditorische Aufgabe übten (untrainiert in der visuomotorischen Aufgabe). Die dritte Gruppe bildeten Musiktalente, definiert als Probanden mit einer durchschnittlichen Übungszeit von 130 Minuten am Tag seit mindestens 2 Jahren vor Beginn der Studie. Die Laien hatten 5 Jahre vor Beginn der Studie kein Instrument mehr gespielt. Die Untersuchungsmethode dieser Arbeit ist funktionelle Magnetresonanztomographie (fMRT). Sie basiert auf dem Prinzip der Beobachtung von Veränderungen im Sauerstoffgehalt des Blutes in den Hirngefäßen. Diese Veränderungen werden in Zusammenhang gebracht mit neuronaler Aktivität; daher erlaubt die Beobachtung des Blutsauerstoffgehalts einen Rückschluss auf gesteigerte Aktivität in den beobachteten Arealen. Eine univariate Varianzanalyse fand keine signifikante Interaktion des Gruppenfaktors (untrainierte Laien, trainierte Laien, Musiktalente) mit IQ und akademischer Laufbahn. Ein zusätzlicher Ein-Stichproben-t-Test zeigte keine Leistungsunterschiede zwischen Laien und Talenten. Für die visuomotorische Aufgabe zeigte die Bildgebungsanalyse die folgenden Ergebnisse: Gruppenunterschiede in der Aktivierung (Talente vs. Laien) des bilateralen Precuneus, rechten mittleren temporalen Gyrus und linken mittleren frontalen Gyrus. Eine Region-of-Interest (ROI)- Analyse für den Haupteffekt der Aufgabe zeigte signifikante Aktivierungen im linken primärmotorischen Kortex (M1). Zusätzliche Aktivierungen fanden sich im linken inferior frontalen Gyrus (lIFG) bezüglich des Kontrasts „trainierte Laien vs. untrainierte Laien plus Talente“ bzw. „kurzzeitiger Übungseffekt vs. keine Übung plus langfristiger Übungseffekt“. Für die auditorische Aufgabe zeigten sich signifikante Aktivierungen im rechten inferior frontalen Gyrus (rIFG) für den „Talente plus trainierte Laien vs. Untrainierte Laien“- Kontrast. Die vorliegende Arbeit zeigt, dass die Übung beider Aufgaben zur Verwendung unterschiedlicher kortikaler Areale und damit vermutlich verbundener Strategien führt, es gab jedoch keinen Effekt auf der Verhaltensebene. Aufgrund der fehlenden Verhaltensunterschiede müssen die Ergebnisse der Bildgebung mit Vorsicht interpretiert werden. Zukünftige Studien sollten Talente mit längerer durchschnittlicher Übungszeit berücksichtigen, längere Übungszeit der Aufgaben beinhalten, um Bodeneffekte zu verhindern, und eventuell eine komplexere auditorische Aufgabe zur Vermeidung von Deckeneffekten. KW - Neuronale Plastizität KW - Musikalität KW - plasticity KW - talent KW - music KW - imaging Y1 - 2010 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-51898 ER - TY - JOUR A1 - Topolinski, Sascha A1 - Strack, Fritz T1 - Corrugator activity confirms immediate negative affect in surprise JF - Frontiers in Psychology N2 - The emotion of surprise entails a complex of immediate responses, such as cognitive interruption, attention allocation to, and more systematic processing of the surprising stimulus. All these processes serve the ultimate function to increase processing depth and thus cognitively master the surprising stimulus. The present account introduces phasic negative affect as the underlying mechanism responsible for this switch in operating mode. Surprising stimuli are schema discrepant and thus entail cognitive disfluency, which elicits immediate negative affect. This affect in turn works like a phasic cognitive tuning switching the current processing mode from more automatic and heuristic to more systematic and reflective processing. Directly testing the initial elicitation of negative affect by surprising events, the present experiment presented high and low surprising neutral trivia statements to N = 28 participants while assessing their spontaneous facial expressions via facial electromyography. High compared to low surprising trivia elicited higher corrugator activity, indicative of negative affect and mental effort, while leaving zygomaticus (positive affect) and frontalis (cultural surprise expression) activity unaffected. Future research shall investigate the mediating role of negative affect in eliciting surprise-related outcomes. KW - phasic affective modulation KW - processing fluency KW - intuition KW - surprise KW - EMG KW - elevator EMG activity KW - facial expressions KW - semantic coherence KW - emotion KW - judgments KW - attention KW - memory KW - affect KW - expectancy Y1 - 2015 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-144068 VL - 6 IS - 134 ER - TY - GEN A1 - Hauf, Juliane E. K. A1 - Nieding, Gerhild A1 - Seger, Benedikt T. T1 - Correction to: The development of dynamic perceptual simulations during sentence comprehension T2 - Cognitive Processing N2 - No abstract available. KW - Erratum Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-352611 N1 - The original article can be found online at https://doi.org/10.1007/s10339-020-00959-7 VL - 22 IS - 4 ER - TY - THES A1 - Ghafoor, Hina T1 - Coping with Psychosocial Stress: Examining the Roles of Emotional Intelligence and Coping Strategies in Germany and Pakistan T1 - Coping mit Psychosozialem Stress: Eine Untersuchung zur Rolle Emotionaler Intelligenz und Bewältigungsstrategien in Deutschland und Pakistan N2 - Maladaptive coping mechanisms influence health-related quality of life (HRQoL) of individuals facing acute and chronic stress. Trait emotional intelligence (EI) may provide a protective shield against the debilitating effects of maladaptive coping thus contributing to maintained HRQoL. Low trait EI, on the other hand, may predispose individuals to apply maladaptive coping, consequently resulting in lower HRQoL. The current research is comprised of two studies. Study 1 was designed to investigate the protective effects of trait EI and its utility for efficient coping in dealing with the stress caused by chronic heart failure (CHF) in a cross-cultural setting (Pakistan vs Germany). N = 200 CHF patients were recruited at cardiology institutes of Multan, Pakistan and Würzburg as well as Brandenburg, Germany. Path analysis confirmed the expected relation between low trait EI and low HRQoL and revealed that this association was mediated by maladaptive metacognitions and negative coping strategies in Pakistani but not German CHF patients. Interestingly, also the specific coping strategies were culture-specific. The Pakistani sample considered religious coping to be highly important, whereas the German sample was focused on adopting a healthy lifestyle such as doing exercise. These findings are in line with cultural characteristics suggesting that German CHF patients have an internal locus of control as compared to an external locus of control in Pakistani CHF patients. Finally, the findings from study 1 corroborate the culture-independent validity of the metacognitive model of generalized anxiety disorder. In addition to low trait EI, high interoception accuracy (IA) may predispose individuals to interpret cardiac symptoms as threatening, thus leading to anxiety. To examine this proposition, Study 2 compared individuals with high vs low IA in dealing with a psychosocial stressor (public speaking) in an experimental lab study. In addition, a novel physiological intervention named transcutaneous vagus nerve stimulation (t-VNS) and cognitive reappraisal (CR) were applied during and after the anticipation of the speech in order to facilitate coping with stress. N= 99 healthy volunteers participated in the study. Results showed interesting descriptive results that only reached trend level. They suggested a tendency of high IA individuals to perceive the situation as more threatening as indicated by increased heart rate and reduced heart rate variability in the high-frequency spectrum as well as high subjective anxiety during anticipation of and actual performance of the speech. This suggests a potential vulnerability of high IA individuals for developing anxiety disorders, specifically social anxiety disorder, in case negative self-focused attention and negative evaluation is applied to the (more prominently perceived) increased cardiac responding during anticipation of and the actual presentation of the public speech. The study did not reveal any significant protective effects of t-VNS and CR. In summary, the current research suggested that low trait EI and high IA predicted worse psychological adjustment to chronic and acute distress. Low trait EI facilitated maladaptive metacognitive processes resulting in the use of negative coping strategies in Study 1; however, increased IA regarding cardioceptions predicted high physiological arousal in study 2. Finally, the German vs. the Pakistani culture greatly affected the preference for specific coping strategies. These findings have implications for caregivers to provide culture-specific treatments on the one hand. On the other hand, they highlight high IA as a possible vulnerability to be targeted for the prevention of (social) anxiety. N2 - Maladaptive Copingmechanismen beeinflussen die auf die Gesundheit bezogene Lebensqualität (HRQoL) von Individuen, die akutem oder chronischem Stress ausgesetzt sind. Emotionale Intelligenz (EI) im Sinne eines Persönlichkeitsmerkmals (Trait) könnte gegen schwächende Einflüsse maladaptiven Copings schützen und so zur Aufrechterhaltung einer hohen HRQoL beitragen. Andererseits könnte niedrige EI Personen dazu prädisponieren, dass sie maladaptives Coping anwenden, was wiederum eine niedrige HRQoL zur Folge hätte. Die vorliegende Forschungsarbeit umfasst zwei Studien. Studie 1 ist konzipiert, um schützende Einflüsse von Trait EI und deren Nutzen für wirkungsvolles Coping im Umgang mit Stress zu untersuchen, welcher durch chronische Herzinsuffizienz (CHF) verursacht wurde. Für diese kulturvergleichende Stude (Pakistan vs. Deutschland) wurden 200 Patienten mit CHF an kardiologischen Kliniken in Multan (Pakistan), sowie in Würzburg und Brandenburg (Deutschland) rekrutiert. Eine Pfadanalyse bestätigte den erwarteten Zusammenhang zwischen niedriger Trait EI und niedriger HRQoL. Bei Patienten aus Pakistan, nicht aber bei deutschen CHF Patienten, wurde diese Assoziation durch maladaptive Metakognitionen und schlechte Coping Strategien mediiert. Interessanterweise waren auch die spezifischen Coping Strategien stark kulturspezifisch. Die pakistanischen Probanden bewerteten religiöses Coping als sehr wichtig, wohingegen die deutschen Teilnehmer darauf bedacht waren, einen gesunden Lebensstil zu entwickeln, wie z.B. Sport zu treiben. Diese Befunde entsprechen kulturellen Charakteristika: Während deutsche CHF Patienten eher einen internen „Locus of Control“ haben (d.h. Patienten such die Ursache für Probleme eher bei sich selbst), ist für die pakistanische Kluter ein externer „Locus of Control“ typisch (d.h. Patienten schreiben eher den Umständen die Verantwortung für Probleme zu). Die Ergebnisse von Studie 1 untermauern auperdem kulturunabhängig die Validität des metakognitiven Models der generalisierten Angststörung. Neben zu niedriger Trait EI könnte eine hohe Genauigkeit der Wahrnehmung von Körpersignalen, d.h. Interozzeption (IA), Personen dafür prädisponieren, kardiale Symptome als bedrohlich zu interpretieren, was wiederum zu Angstzuständen führen kann. Um diese Hypothese zu prüfen, wurde in Studie 2 der Umgang von Personen mit hoher vs. niedriger IA mit einer psychosozialen Stresssituation (öffentliches Sprechen) in einem Laborexeriment verglichen. Zusätzlich wurde eine innovative, physiologische Intervention, die transkutane Vagus Nerv Stimulation (t-VNS), sowie kognitives Reappraisal (CR) während der Antizipation und der Durchführung der öffentlichen Rede durchgeführt, um den Umgang mit Stress zu verbessern. N=99 Freiwillige nahmen an der Studie teil. Einige Ergebnisse waren erreichten Trend Nivea, waren deskriptiv aber sehr interessant und wiesen konsistent in eine Richtung, die im Einklang mit einschlägigen Theorien steht. Demnach tendierten Personen mit hoher IA dazu, die Situation als bedrohlicher wahrzunehmen. Dies schlug sich in einem erhöhten Puls, reduzierter Herzfrequenzvariabilität im Hochfrequenzspektrum sowie hoher subjektive Angst während Erwartung und tatsächlichen Darbietung der Rede nieder. Dies deutet auf eine mögliche Vulnerabilität von Personen mit hoher IA hin, Angststörungen zu entwickeln, besonders eine soziale Angststörung. Falls Personen mit hoher IA und dementsprechend einer stärkeren Wahrnehmung der stärker auftretenden physiologischen Symptome während der Antizipation von sozialem Stress diese aufgrund von selbstfokussierter Aufmerksamkeit hypervigilant beobachten und negativ bewerten, könnte dies zu Vermeidung führen, die durch operante Verstärkung in soziale Angst münden könnte. Die Studie fand keine signifikanten protektiven Effekte von t-VNS und CR. Zusammenfassend legen die vorliegenden Studien nahe, dass niedrige Trait EI und hohe IA eine schlechte psychologische Anpassung an chronischen und akuten Stress voraussagen. Low Trait EI begünstigte maladaptive metakognitive Prozesse, die sich in Studie 1 in dem Gebrauch ungünstiger Coping Strategien zeigten. Weiterhin prädizierte in Studie 2 eine erhöhte IA in Bezug auf die Wahrnehmung der eigenen Herztätigkeit eine hohe physiologische Erregung. Schließlich beeinflusste die deutsche bzw. pakistanische Kultur stark die Wahl der spezifischen Bewältigungsstrategien. Diese Befunde unterstreichen die Notwendigkeit kulturspezifischer Anapssungen von Psychotherapie und Prävention. Weiterhin betonen sie die Rolle hoher IA als mögliche Vulnerabilität für (soziale) Ängstlichkeit, so dass hohe IA als Indikator für präventive Maßnahmen genutzt werden könnte um ein eventuelles Aufkeimen (soziale) Ängstlichkeit zu verhindern. KW - Psychosocial stress KW - Psychosozialer Stress KW - coping KW - trait emotional intelligence KW - cross-cultural differences KW - interoception KW - emotionale intelligenz KW - interkulturelle Unterschiede KW - stress reactivity KW - Deutschland KW - Pakistan KW - Stress KW - Bewältigung Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-193519 ER - TY - JOUR A1 - Kozlik, Julia A1 - Neumann, Roland A1 - Lozo, Ljubica T1 - Contrasting motivational orientation and evaluative coding accounts: on the need to differentiate the effectors of approach/avoidance responses JF - Frontiers in Psychology N2 - Several emotion theorists suggest that valenced stimuli automatically trigger motivational orientations and thereby facilitate corresponding behavior. Positive stimuli were thought to activate approach motivational circuits which in turn primed approach-related behavioral tendencies whereas negative stimuli were supposed to activate avoidance motivational circuits so that avoidance-related behavioral tendencies were primed (motivational orientation account). However, recent research suggests that typically observed affective stimulus response compatibility phenomena might be entirely explained in terms of theories accounting for mechanisms of general action control instead of assuming motivational orientations to mediate the effects (evaluative coding account). In what follows, we explore to what extent this notion is applicable. We present literature suggesting that evaluative coding mechanisms indeed influence a wide variety of affective stimulus response compatibility phenomena. However, the evaluative coding account does not seem to be sufficient to explain affective S-R compatibility effects. Instead, several studies provide clear evidence in favor of the motivational orientation account that seems to operate independently of evaluative coding mechanisms. Implications for theoretical developments and future research designs are discussed. KW - emotional facial expressions KW - cerebral asymmetry KW - compatibility KW - perception KW - affective S-R compatibility KW - approach-avoidance behavior KW - automatic evaluation KW - arm flexion KW - stimuli KW - determinants KW - information KW - emotional responses KW - approach and avoidance KW - facial muscle contractions KW - theory of event coding Y1 - 2015 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-143192 VL - 6 IS - 563 ER - TY - JOUR A1 - Lenhard, Alexandra A1 - Lenhard, Wolfgang A1 - Gary, Sebastian T1 - Continuous norming of psychometric tests: A simulation study of parametric and semi-parametric approaches JF - PLoS ONE N2 - Continuous norming methods have seldom been subjected to scientific review. In this simulation study, we compared parametric with semi-parametric continuous norming methods in psychometric tests by constructing a fictitious population model within which a latent ability increases with age across seven age groups. We drew samples of different sizes (n = 50, 75, 100, 150, 250, 500 and 1,000 per age group) and simulated the results of an easy, medium, and difficult test scale based on Item Response Theory (IRT). We subjected the resulting data to different continuous norming methods and compared the data fit under the different test conditions with a representative cross-validation dataset of n = 10,000 per age group. The most significant differences were found in suboptimal (i.e., too easy or too difficult) test scales and in ability levels that were far from the population mean. We discuss the results with regard to the selection of the appropriate modeling techniques in psychometric test construction, the required sample sizes, and the requirement to report appropriate quantitative and qualitative test quality criteria for continuous norming methods in test manuals. KW - statistical models KW - simulation and modeling KW - psychometrics KW - age groups KW - skewness KW - normal distribution KW - polynomials KW - statistical distributions Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-200480 VL - 14 IS - 9 ER - TY - JOUR A1 - Pauli, Paul A1 - Glotzbach-Schoon, Evelyn A1 - Andreatta, Marta A1 - Reif, Andreas A1 - Ewald, Heike A1 - Tröger, Christian A1 - Baumann, Christian A1 - Deckert, Jürgen A1 - Mühlberger, Andreas T1 - Contextual fear conditioning in virtual reality is affected by 5HTTLPR and NPSR1 polymorphisms: effects on fear-potentiated startle JF - Frontiers in Behavioral Neuroscience N2 - The serotonin (5-HT) and neuropeptide S (NPS) systems are discussed as important genetic modulators of fear and sustained anxiety contributing to the etiology of anxiety disorders. Sustained anxiety is a crucial characteristic of most anxiety disorders which likely develops through contextual fear conditioning. This study investigated if and how genetic alterations of the 5-HT and the NPS systems as well as their interaction modulate contextual fear conditioning; specifically, function polymorphic variants in the genes coding for the 5-HT transporter (5HTT) and the NPS receptor (NPSR1) were studied. A large group of healthy volunteers was therefore stratified for 5HTTLPR (S+ vs. LL carriers) and NPSR1 rs324981 (T+ vs. AA carriers) polymorphisms resulting in four genotype groups (S+/T+, S+/AA, LL/T+, LL/AA) of 20 participants each. All participants underwent contextual fear conditioning and extinction using a virtual reality (VR) paradigm. During acquisition, one virtual office room (anxiety context, CXT+) was paired with an unpredictable electric stimulus (unconditioned stimulus, US), whereas another virtual office room was not paired with any US (safety context, CXT−). During extinction no US was administered. Anxiety responses were quantified by fear-potentiated startle and ratings. Most importantly, we found a gene × gene interaction on fear-potentiated startle. Only carriers of both risk alleles (S+/T+) exhibited higher startle responses in CXT+ compared to CXT−. In contrast, anxiety ratings were only influenced by the NPSR1 polymorphism with AA carriers showing higher anxiety ratings in CXT+ as compared to CXT−. Our results speak in favor of a two level account of fear conditioning with diverging effects on implicit vs. explicit fear responses. Enhanced contextual fear conditioning as reflected in potentiated startle responses may be an endophenotype for anxiety disorders. KW - 5HTTLPR KW - NPSR1 KW - gene × gene interaction KW - contextual fear conditioning KW - fear-potentiated startle Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-96516 ER - TY - JOUR A1 - Neueder, Dorothea A1 - Andreatta, Marta A1 - Pauli, Paul T1 - Contextual fear conditioning and fear generalization in individuals with panic attacks JF - Frontiers in Behavioral Neuroscience N2 - Context conditioning is characterized by unpredictable threat and its generalization may constitute risk factors for panic disorder (PD). Therefore, we examined differences between individuals with panic attacks (PA; N = 21) and healthy controls (HC, N = 22) in contextual learning and context generalization using a virtual reality (VR) paradigm. Successful context conditioning was indicated in both groups by higher arousal, anxiety and contingency ratings, and increased startle responses and skin conductance levels (SCLs) in an anxiety context (CTX+) where an aversive unconditioned stimulus (US) occurred unpredictably vs. a safety context (CTX−). PA compared to HC exhibited increased differential responding to CTX+ vs. CTX− and overgeneralization of contextual anxiety on an evaluative verbal level, but not on a physiological level. We conclude that increased contextual conditioning and contextual generalization may constitute risk factors for PD or agoraphobia contributing to the characteristic avoidance of anxiety contexts and withdrawal to safety contexts and that evaluative cognitive process may play a major role. KW - contextual fear conditioning KW - anxiety generalization KW - startle response KW - panic disorder KW - virtual reality Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-201318 VL - 13 ER - TY - JOUR A1 - Gründahl, Marthe A1 - Weiß, Martin A1 - Maier, Lisa A1 - Hewig, Johannes A1 - Deckert, Jürgen A1 - Hein, Grit T1 - Construction and validation of a scale to measure loneliness and isolation during social distancing and its effect on mental health JF - Frontiers in Psychiatry N2 - A variety of factors contribute to the degree to which a person feels lonely and socially isolated. These factors may be particularly relevant in contexts requiring social distancing, e.g., during the COVID-19 pandemic or in states of immunodeficiency. We present the Loneliness and Isolation during Social Distancing (LISD) Scale. Extending existing measures, the LISD scale measures both state and trait aspects of loneliness and isolation, including indicators of social connectedness and support. In addition, it reliably predicts individual differences in anxiety and depression. Data were collected online from two independent samples in a social distancing context (the COVID-19 pandemic). Factorial validation was based on exploratory factor analysis (EFA; Sample 1, N = 244) and confirmatory factor analysis (CFA; Sample 2, N = 304). Multiple regression analyses were used to assess how the LISD scale predicts state anxiety and depression. The LISD scale showed satisfactory fit in both samples. Its two state factors indicate being lonely and isolated as well as connected and supported, while its three trait factors reflect general loneliness and isolation, sociability and sense of belonging, and social closeness and support. Our results imply strong predictive power of the LISD scale for state anxiety and depression, explaining 33 and 51% of variance, respectively. Anxiety and depression scores were particularly predicted by low dispositional sociability and sense of belonging and by currently being more lonely and isolated. In turn, being lonely and isolated was related to being less connected and supported (state) as well as having lower social closeness and support in general (trait). We provide a novel scale which distinguishes between acute and general dimensions of loneliness and social isolation while also predicting mental health. The LISD scale could be a valuable and economic addition to the assessment of mental health factors impacted by social distancing. KW - loneliness KW - social isolation KW - social distancing KW - depression KW - anxiety Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-269446 SN - 1664-0640 VL - 13 ER - TY - THES A1 - Wirth, Robert T1 - Consequences of bending and breaking the rules T1 - Konsequenzen von Regelbrüchen N2 - Social life is organized around rules and norms. The present experiments investigate the cognitive architecture of rule violations. To do so, a setting with arbitrary rules that had to be followed or broken was developed, and breaking these rules did not have any negative consequences. Removed from any social influences that might further encourage or hinder the rule breaker, results suggest that simply labeling a behavior as a rule violation comes with specific costs: They are more difficult to plan and come with specific behavioral markers during execution. In essence, rule violations resemble rule negations, but they also trigger additional processes. The question of what makes rule violations more difficult than rule inversions is the major focus of the remaining experiments. These experiments revealed negative affective consequences of rule violation and rule inversions alike, while rule violations additionally prime authority-related concepts, thus sensitizing towards authority related stimuli. Next, the question how these burdens of non-conformity can be mitigated was investigated, and the influence of having executed the behavior in question frequently and recently was tested in both negations and rule violations. The burdens of non-conformity can best be reduced by a combination of having violated/negated a rule very frequently and very recently. Transfer from another task, however, could not be identified. To conclude, a model that accounts for the data that is currently presented is proposed. As a variant of a task switching model, it describes the cognitive processes that were investigated and highlights unique processing steps that rule violations seem to require. N2 - Soziales Miteinander ist durch Regeln und Normen organisiert. Die hier beschriebenen Experimente untersuchen die kognitive Architektur von absichtsvollen Regelverstößen. Dazu wurde ein Setting entwickelt, in dem Regeln befolgt oder gebrochen werden mussten, und das Brechen dieser Regeln keine negativen Konsequenzen nach sich zog. Selbst ohne soziale Unterstützung, die das Brechen von Regeln leichter oder schwerer machen könnte, fanden wir, dass allein das Bezeichnen eines Verhaltens als Regelverletzung spezifische Kosten erzeugte: Die Planung dieses Verhaltens ist deutlich erschwert, und die Ausführung zeigt spezifische Verhaltensmuster. Regelverletzungen ähneln hierbei im weitesten Sinne Negationen, aber beinhalten zusätzliche Komponenten. Die Frage wie genau sich die kognitive Kontrolle regelwidriger Verhaltensweisen von der Verarbeitung von Negationen unterscheidet, steht im Zentrum der vorliegenden Arbeit. Die folgenden Experimente zeigen darüber hinaus neben negativen affektiven Konsequenzen, die sowohl Regelbrüche als auch Negationen vorweisen, insbesondere eine direkte Bahnung autoritätsbezogener Konzepte, die eine spezifische Begleiterscheinung absichtsvoller Regelverstöße darstellt. Als nächstes wurde getestet, wie die kognitiven Kosten von Regelverletzungen durch kürzliche oder häufige Ausführung gemindert werden können. Hier zeigte sich, dass die Kombination aus beiden Faktoren die größte Reduktion kognitiver Kosten des Regelverstoßes erbrachte. Ein Transfer von kognitiver Kontrolle von einer anderen Aufgabe konnte jedoch nicht beobachtet werden. Ein Modell, das die hier dargestellten empirischen Ergebnisse vereint, wird abschließend diskutiert. Als Variation eines Modells zum Aufgabenwechsel erklärt es die kognitiven Prozesse, die einer Regelverletzung unterliegen und zeigt Verarbeitungsschritte auf, die für Regelverletzungen spezifisch sind KW - rule violations KW - Soziale Norm KW - Regelverstoß Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-155075 ER - TY - THES A1 - Dignath, David T1 - Conflict Management T1 - Konfliktmanagement N2 - Menschen haben die beeindruckende Fähigkeit zu planen, sich Ziele zu setzen und entsprechend zu handeln. Dies ist aber nicht immer der Fall. Jeder kennt Situationen, in denen Impulse, wie zum Beispiel der Drang noch ein weiteres Bier zu trinken oder stark überlernte Verhaltensgewohnheiten, wie zum Beispiel automatisch auf der rechten Straßenseite zu fahren unseren eigentlichen Zielen im Weg stehen. Dieser ´Wettstreit´ zwischen impulsiven oder habituellen Verhaltenstendenzen und zielgerichteten Handlungen wird auch als Konflikt bezeichnet. Solch ein Konflikt tritt ständig in Erscheinung und kann viele Formen annehmen. Daher überrascht es nicht weiter, dass die Art und Weise wie Konflikt kontrolliert wird, auch sehr unterschiedlich sein kann. Es scheint offensichtlich, dass Menschen Konflikte ganz verschieden handhaben können: Wenn wir eine Konfliktsituation erwarten, können wir bereits vorausschauend zusätzliche Anstrengungen unternehmen um den Konflikt dann in der Situation adäquat zu lösen. Alternativ können wir solche Situationen auch bereits im Vorfeld vermeiden und umgehen damit die Gefahr, unseren Impulsen nachzugeben. Auch wenn wir mit einer Konfliktsituation bereits konfrontiert sind, können wir versuchen durch besondere Anstrengungen diesen Konflikt aufzulösen. Schließlich haben wir auch die Möglichkeit, uns aus der Situation zurückziehen wodurch wir das Risiko minimieren, entgegen unserer eigentlichen Ziele zu handeln. Um diese Variabilität von Konfliktbewältigung besser zu verstehen, versucht die vorliegende Arbeit eine genauere Beschreibung dieser Kontrollprozesse zu geben. Zwei Dimensionen von Kontrollfunktionen werden identifiziert. Diese ergeben sich aus teilweise antagonistischen Erfordernissen an erfolgreiche Handlungskontrolle und beschreiben zum einen die Abwägung zwischen Flexibilität und Stabilität, zum Anderen die Abwägung zwischen antizipativer Selektion und reaktiver Korrektur. Um zu erklären, wie diese beiden Dimensionen von Kontrollfunktionen interagieren und wie daraus ein adäquater Umgang mit Konflikten entstehen kann, wird das „Conflict Management Framework“ eingeführt. Eine Hypothese, die aus diesem Rahmenmodel hervorgeht, beschreibt eine spezifische Strategie mit Konflikt umzugehen, die in dieser Art noch nicht untersucht wurde: Wenn Konflikt erlebt wird, ziehen sich Personen aus dieser Situation zurück und versuchen dadurch dem Konflikt zu entgehen. Der empirische Teil der Arbeit untersucht diese Verhaltensstrategie in Bezug auf Konflikterleben und testet, ob Personen unter bestimmten Bedingungen sich aus Konfliktsituationen zurückziehen. Im Rahmen dieser Untersuchung werden drei Reihen an Experimenten vorgestellt die sowohl Freie-Wahl Paradigmen, Klassifikationsaufgaben unter Zeitdruck, als auch die Aufzeichnung kontinuierlicher Bewegungen umfassen. Es zeigte sich, dass Konflikt motivationale Vermeidungstendenzen hervorruft (Experimente 1 und 2), Entscheidungsverhalten verzerrt, so dass kurzfristig mit Konflikt assoziierte Aufgaben vermieden werden (Experimente 3 und 5), und die Ausführung von komplexen Handlungen beeinflusst (Experimente 6 und 7). Diese Ergebnisse unterstützen das vorgeschlagene Rahmenmodell und ermöglichen eine vertiefte Auseinandersetzung mit der Frage, wie unterschiedliche Konfliktbewältigungsstrategien integriert werden können. Dazu wird ein konnektionistisches Modell vorgestellt, dass die parallele Anwendung von zwei unterschiedlichen Strategien zur Konfliktbewältigung ermöglicht und damit die empirischen Befunde der Experimente 3, 4 und 5 erklären kann. Im verbleibenden Teil der vorliegenden Arbeit werden Fehler einer solchen Integration von Konfliktbewältigungsstrategien analysiert. Es wird diskutiert, in wie fern das vorgeschlagene Rahmenmodell mit spezifischen klinischen Störungen vereinbar ist. Außerdem wird darauf eingegangen, wie interindividuelle Unterschiede hinsichtlich der Art und Weise Konflikte zu meistern, mit Hilfe eines solches Modells besser erklärt werden könnten. Schließlich wird ein Versuch unternommen, so genannte Selbstkontroll-Fehler durch eine mangelhafte Dynamik unterschiedlicher Konfliktbewältigungsstrategien zu erklären. N2 - Humans have a remarkable ability to plan ahead, set goals for the future and then to act accordingly. Unfortunately, this is not always the case. Everybody has experienced situations in which motivational urges like a tendency to drink another beer, or over-learned behavioral routines like driving on the right side of the road collide with ones´ goals. This tug of war between impulsive or habitual action tendencies and goal-directed actions is called a conflict. Conflict is ubiquitous and comes in many different ways. Not surprisingly, the means to control conflict are diverse, too. Clearly, people can manage conflict in multiple ways: When expecting a conflict situation to occur in the future, one can recruit more effort to resolve the conflict, for instance by inhibiting unwanted urges or habits. Alternatively one can avoid the conflict situation and thereby circumvent possible failures to control habits and impulses. Furthermore, when currently facing a conflict, people can mobilize more effort to overcome the conflict. Alternatively they can withdraw from the conflict situation to minimize the risk of indulging in their impulses and habits. To account for these different ways to master a conflict, the present thesis takes an initial step towards a characterization of the variability of control. To this aim, two dimensions of control will be identified that result from partially incompatible constraints on action control. These dimensions depict a trade-off between flexibility and stability and between anticipatory early selection and reactive late correction of control parameters. To describe how these control trade-offs interact and to explain how conflict is handled to ensure adaptation behavior, the conflict management framework is proposed. A corollary of this framework suggests that one strategy to control conflict comprises of a tendency to withdraw from a conflict situation. The empirical part probed this behavioral response to conflict and tested whether participants withdraw from conflict situations. To approach this hypothesis, three series of experiments are presented that employ free choice paradigms, speeded response classification tasks and continuous movement tracking tasks to reveal withdrawal from conflict. Results show that conflict caused motivational avoidance tendencies (Experiment 1 &2), biased decision making away from conflict tasks (Experiment 3 & 5) and affected the execution of more complex courses of action (Experiment 6 & 7). The results lend support for the proposed conflict management framework and provide the ground for a more thorough treatment of how the different conflict strategies can be integrated. As a first step, a connectionist model is presented that accounts for the simultaneous implementation of two conflict strategies observed in Experiments 3 – 5. The remainder of the present thesis analyses failures to integrate different conflict strategies. It is discussed how the conflict management framework can shed light on selected psychopathologies, inter-individual differences in control and break-downs of self-control. KW - Konflikt KW - Kognitive Kontrolle KW - Aufgabenwechsel KW - Cognitive control KW - task switching KW - Konfliktbewältigung KW - Reaktion KW - Verhaltenskontrolle KW - Exekutive Funktionen Y1 - 2014 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-103586 ER - TY - JOUR A1 - Kaufmann, Tobias A1 - Holz, Elisa M. A1 - Kübler, Andrea T1 - Comparison of tactile, auditory, and visual modality for brain-computer interface use: a case study with a patient in the locked-in state JF - Frontiers in Human Neuroscience N2 - This paper describes a case study with a patient in the classic locked-in state, who currently has no means of independent communication. Following a user-centered approach, we investigated event-related potentials (ERP) elicited in different modalities for use in brain-computer interface (BCI) systems. Such systems could provide her with an alternative communication channel. To investigate the most viable modality for achieving BCI based communication, classic oddball paradigms (1 rare and 1 frequent stimulus, ratio 1:5) in the visual, auditory and tactile modality were conducted (2 runs per modality). Classifiers were built on one run and tested offline on another run (and vice versa). In these paradigms, the tactile modality was clearly superior to other modalities, displaying high offline accuracy even when classification was performed on single trials only. Consequently, we tested the tactile paradigm online and the patient successfully selected targets without any error. Furthermore, we investigated use of the visual or tactile modality for different BCI systems with more than two selection options. In the visual modality, several BCI paradigms were tested offline. Neither matrix-based nor so-called gaze-independent paradigms constituted a means of control. These results may thus question the gaze-independence of current gaze-independent approaches to BCI. A tactile four-choice BCI resulted in high offline classification accuracies. Yet, online use raised various issues. Although performance was clearly above chance, practical daily life use appeared unlikely when compared to other communication approaches (e.g., partner scanning). Our results emphasize the need for user-centered design in BCI development including identification of the best stimulus modality for a particular user. Finally, the paper discusses feasibility of EEG-based BCI systems for patients in classic locked-in state and compares BCI to other AT solutions that we also tested during the study. KW - brain-computer interface KW - tactile auditory and visual modality KW - locked-in syndrome KW - user-centered design KW - end-user testing KW - assistive technology Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-97079 ER - TY - JOUR A1 - Käthner, Ivo A1 - Kübler, Andrea A1 - Halder, Sebastian T1 - Comparison of eye tracking, electrooculography and an auditory brain-computer interface for binary communication: a case study with a participant in the locked-in state JF - Journal of NeuroEngineering and Rehabilitation N2 - Background In this study, we evaluated electrooculography (EOG), an eye tracker and an auditory brain-computer interface (BCI) as access methods to augmentative and alternative communication (AAC). The participant of the study has been in the locked-in state (LIS) for 6 years due to amyotrophic lateral sclerosis. He was able to communicate with slow residual eye movements, but had no means of partner independent communication. We discuss the usability of all tested access methods and the prospects of using BCIs as an assistive technology. Methods Within four days, we tested whether EOG, eye tracking and a BCI would allow the participant in LIS to make simple selections. We optimized the parameters in an iterative procedure for all systems. Results The participant was able to gain control over all three systems. Nonetheless, due to the level of proficiency previously achieved with his low-tech AAC method, he did not consider using any of the tested systems as an additional communication channel. However, he would consider using the BCI once control over his eye muscles would no longer be possible. He rated the ease of use of the BCI as the highest among the tested systems, because no precise eye movements were required; but also as the most tiring, due to the high level of attention needed to operate the BCI. Conclusions In this case study, the partner based communication was possible due to the good care provided and the proficiency achieved by the interlocutors. To ease the transition from a low-tech AAC method to a BCI once control over all muscles is lost, it must be simple to operate. For persons, who rely on AAC and are affected by a progressive neuromuscular disease, we argue that a complementary approach, combining BCIs and standard assistive technology, can prove valuable to achieve partner independent communication and ease the transition to a purely BCI based approach. Finally, we provide further evidence for the importance of a user-centered approach in the design of new assistive devices. KW - eye tracking KW - electrooculography KW - auditory brain-computer interface Y1 - 2015 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-145305 VL - 12 IS - 76 ER - TY - JOUR A1 - Foerster, Anna A1 - Pfister, Roland A1 - Reuss, Heiko A1 - Kunde, Wilfried T1 - Commentary: Feeling the Conflict: The Crucial Role of Conflict Experience in Adaptation JF - Frontiers in Psychology N2 - A commentary on: Feeling the Conflict: The Crucial Role of Conflict Experience in Adaptationby Desender, K., Van Opstal, F., and Van den Bussche, E. (2014). Psychol. Sci. 25, 675–683. doi:10.1177/0956797613511468 Conflict adaptation in masked priming has recently been proposed to rely not on successful conflictresolution but rather on conflict experience (Desender et al., 2014). We re-assessed this proposal ina direct replication and also tested a potential confound due toconflict strength. The data supported this alternative view, but also failed to replicate basic conflict adaptation effects of the original studydespite considerable power. KW - conflict adaptation KW - conflict experience KW - conflict strength KW - cognitive conflict KW - cognitive control Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-190032 SN - 1664-1078 VL - 8 IS - 1405 ER - TY - JOUR A1 - Eder, Andreas B. A1 - Rothermund, Klaus A1 - Hommel, Bernhard T1 - Commentary: Contrasting motivational orientation and evaluative coding accounts: on the need to differentiate the effectors of approach/avoidance responses JF - Frontiers in Psychology N2 - A commentary on "Contrasting motivational orientation and evaluative coding accounts: on the need to differentiate the effectors of approach/avoidance responses" by Kozlik, J., Neumann, R., and Lozo, L. (2015). Front. Psychol. 6:563. doi: 10.3389/fpsyg.2015.00563 KW - evaluative coding account KW - motivational systems KW - approach-avoidance KW - stimulus-response compatibility KW - Theory of Event Coding (TEC) Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-190141 SN - 1664-1078 VL - 7 IS - 163 ER - TY - JOUR A1 - Wannagat, Wienke A1 - Waizenegger, Gesine A1 - Niedling, Gerhild T1 - Coherence formation during narrative text processing: a comparison between auditory and audiovisual text presentation in 9- to 12-year-old children JF - Cognitive Processing N2 - In an experiment with 114 children aged 9–12 years, we compared the ability to establish local and global coherence of narrative texts between auditory and audiovisual (auditory text and pictures) presentation. The participants listened to a series of short narrative texts, in each of which a protagonist pursued a goal. Following each text, we collected the response time to a query word that was either associated with a near or a distant causal antecedent of the final sentence. Analysis of these response times indicated that audiovisual presentation has advantages over auditory presentation for accessing information relevant for establishing both local and global coherence, but there are indications that this effect may be slightly more pronounced for global coherence. KW - text comprehension KW - multimodal narratives KW - coherence KW - children Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-235744 SN - 1612-4782 VL - 22 ER - TY - JOUR A1 - Lugo, Zulay R. A1 - Quitadamo, Lucia R. A1 - Bianchi, Luigi A1 - Pellas, Fréderic A1 - Veser, Sandra A1 - Lesenfants, Damien A1 - Real, Ruben G. L. A1 - Herbert, Cornelia A1 - Guger, Christoph A1 - Kotchoubey, Boris A1 - Mattia, Donatella A1 - Kübler, Andrea A1 - Laureys, Steven A1 - Noirhomme, Quentin T1 - Cognitive Processing in Non-Communicative Patients: What Can Event-Related Potentials Tell Us? JF - Frontiers in Human Neuroscience N2 - Event-related potentials (ERP) have been proposed to improve the differential diagnosis of non-responsive patients. We investigated the potential of the P300 as a reliable marker of conscious processing in patients with locked-in syndrome (LIS). Eleven chronic LIS patients and 10 healthy subjects (HS) listened to a complex-tone auditory oddball paradigm, first in a passive condition (listen to the sounds) and then in an active condition (counting the deviant tones). Seven out of nine HS displayed a P300 waveform in the passive condition and all in the active condition. HS showed statistically significant changes in peak and area amplitude between conditions. Three out of seven LIS patients showed the P3 waveform in the passive condition and five of seven in the active condition. No changes in peak amplitude and only a significant difference at one electrode in area amplitude were observed in this group between conditions. We conclude that, in spite of keeping full consciousness and intact or nearly intact cortical functions, compared to HS, LIS patients present less reliable results when testing with ERP, specifically in the passive condition. We thus strongly recommend applying ERP paradigms in an active condition when evaluating consciousness in non-responsive patients. KW - P300 KW - event-related potentials KW - locked-in syndrome KW - vegetative state KW - unresponsive wakefulness syndrome KW - minimally conscious state Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-165165 VL - 10 IS - 569 ER - TY - THES A1 - Wannagat, Wienke Charlotte T1 - Cognitive Processes of Discourse Comprehension in Children and Adults - Comparisons between Written, Auditory, and Audiovisual Modes of Presentation - T1 - Kognitive Prozesse beim Textverstehen bei Kindern und Erwachsenen - Vergleiche zwischen schriftlicher, auditiver und audiovisueller Darbietung - N2 - In drei Studien wurde untersucht, wie sich unterschiedliche Darbietungsformate (schriftlich, auditiv, audiovisuell (auditiv + Bilder) auf das Verständnis semantisch identischer Inhalte auswirken. Dabei interessierte insbesondere der Entwicklungsverlauf von der ersten Klasse bis zum Erwachsenenalter. Dass sich Bilder förderlich auf die Verständnisleistung auswirken können, gilt als gut untersucht (z.B. Carney & Levin, 2002). Anders als viele bisherige Studien erfassen wir Textverstehen mit impliziten Maßen, die differenziertere Rückschlüsse auf die, gängigen Theorien zufolge, zugrundeliegenden Prozesse zulassen: Textverstehen geht mit der Konstruktion von drei Ebenen mentaler Repräsentationen einher (vgl. Kintsch, 1998). Weiterhin bedeutet erfolgreiches Textverstehen, eine auf lokaler und globaler Ebene kohärente mentale Repräsentation zu konstruieren (z.B. Schnotz & Dutke, 2004). Mit einem Satz-Rekognitionstest (vgl. Schmalhofer & Glavanov, 1986) untersuchten wir, ob sich das Gedächtnis für die Textoberfläche, die Textbasis und das Situationsmodell bei 103 8- und 10-Jährigen zwischen schriftlicher, auditiver und audiovisueller (Studie 1) und bei 106 7-, 9- und 11-Jährigen zwischen auditiver und audiovisueller Darbietung narrativer Texte (Studie 2) unterscheidet. Weiterhin (Studie 3) untersuchten wir mit 155 9- und 11-Jährigen, inwieweit sich die Fähigkeit der Inferenzbildung zur Herstellung lokaler und globaler Kohärenz zwischen schriftlicher, auditiver und audiovisueller Darbietung unterscheidet. Als Indikator dienten die Reaktionszeiten auf Wörter, die mit einem über (global)- oder untergeordneten (lokal) Protagonistenziel assoziiert sind. Insgesamt zeigte sich, dass Schüler bis zu einem Alter von 11 Jahren nicht nur die Textoberfläche besser erinnern, sondern auch besser in der Lage sind ein Situationsmodell zu konstruieren, wenn einem Text Bilder beigefügt sind. Dies zeigte sich sowohl im Vergleich mit auditiver als auch mit schriftlicher Darbietung. Bei Erwachsenen zeigte sich kein Effekt der Darbietungsform. Sowohl 9- als auch 11-Jährigen gelingt außerdem die Herstellung globaler Kohärenz bei audiovisueller Darbietung besser als bei auditiver. Die schriftliche Darbietung zeigte sich im Vergleich zur auditiven sowohl im Hinblick auf lokale als auch auf globale Kohärenz überlegen. N2 - In three studies, we investigated, if and how different modes of presentation - written, auditory, audiovisual (auditory combined with pictures) - affect comprehension of semantically identical materials. Children, beginning from the age of 7, and adults were included into the studies. A vast amount of studies have shown that pictures can facilitate text comprehension (e.g. Carney & Levin, 2002). Other than the majority of these previous studies, we assessed text comprehension with methods that we assume to allow more differentiated insights into the cognitive processes that - according to current theories - underlie text comprehension. Text comprehension involves at least three levels of mental representations (see Kintsch, 1998). Moreover, text comprehension means constructing a locally and globally coherent mental representation of the text content. Using a sentence recognition task (see Schmalhofer & Glavanov, 1986), we examined whether the memory of the text surface, the text base, and the situation model differs between written, auditory, and audiovisual text presentation in a sample of 103 8- and 10-year-olds and adults (Study I), and between auditory and audiovisual text presentation in a sample of 106 7-, 9-, and 11-year-olds (Study II). Furthermore, we examined with 155 9- and 11-year-olds, whether the ability to draw inferences to establish local and global coherence differs between written, auditory, and audiovisual text presentation. These inferences were indicated by reaction times to words associated with a protagonist's super- (global) or subordinate (local) goal. Overall, the results of these three studies taken together, indicate that children up to age 11 do not only have better memory of not only the text surface, but also of the situation model when pictures are added to an auditory text. This effect became apparent in comparison with both auditory and written texts. For the adults, in contrast, we did not find an effect of the presentation mode. Furthermore, both 9- and 11-year-olds were better at establishing global coherence at audiovisual compared to auditory text presentation. Written presentation turned out to be superior to auditory presentation in terms of both local and global coherence. KW - Textverstehen KW - text comprehension KW - picture comprehension KW - mental representation KW - coherence KW - children Y1 - 2018 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-162515 ER - TY - THES A1 - Huestegge, Sujata Maya T1 - Cognitive mechanisms of voice processing T1 - Kognitive Verarbeitung von Stimminformation N2 - The present thesis addresses cognitive processing of voice information. Based on general theoretical concepts regarding mental processes it will differentiate between modular, abstract information processing approaches to cognition and interactive, embodied ideas of mental processing. These general concepts will then be transferred to the context of processing voice-related information in the context of parallel face-related processing streams. One central issue here is whether and to what extent cognitive voice processing can occur independently, that is, encapsulated from the simultaneous processing of visual person-related information (and vice versa). In Study 1 (Huestegge & Raettig, in press), participants are presented with audio-visual stimuli displaying faces uttering digits. Audiovisual gender congruency was manipulated: There were male and female faces, each uttering digits with either a male or female voice (all stimuli were AV- synchronized). Participants were asked to categorize the gender of either the face or the voice by pressing one of two keys in each trial. A central result was that audio-visual gender congruency affected performance: Incongruent stimuli were categorized slower and more error-prone, suggesting a strong cross-modal interaction of the underlying visual and auditory processing routes. Additionally, the effect of incongruent visual information on auditory classification was stronger than the effect of incongruent auditory information on visual categorization, suggesting visual dominance over auditory processing in the context of gender classification. A gender congruency effect was also present under high cognitive load. Study 2 (Huestegge, Raettig, & Huestegge, in press) utilized the same (gender-congruent and -incongruent) stimuli, but different tasks for the participants, namely categorizing the spoken digits (into odd/even or smaller/larger than 5). This should effectively direct attention away from gender information, which was no longer task-relevant. Nevertheless, congruency effects were still observed in this study. This suggests a relatively automatic processing of cross-modal gender information, which eventually affects basic speech-based information processing. Study 3 (Huestegge, subm.) focused on the ability of participants to match unfamiliar voices to (either static or dynamic) faces. One result was that participants were indeed able to match voices to faces. Moreover, there was no evidence for any performance increase when dynamic (vs. mere static) faces had to be matched to concurrent voices. The results support the idea that common person-related source information affects both vocal and facial features, and implicit corresponding knowledge appears to be used by participants to successfully complete face-voice matching. Taken together, the three studies (Huestegge, subm.; Huestegge & Raettig, in press; Huestegge et al., in press) provided information to further develop current theories of voice processing (in the context of face processing). On a general level, the results of all three studies are not in line with an abstract, modular view of cognition, but rather lend further support to interactive, embodied accounts of mental processing. N2 - Die vorliegende Dissertation thematisiert die kognitive Verarbeitung von Stimminformation. Basierend auf allgemeinen theoretischen Vorstellungen zu mentalen Prozessen wird zunächst unterschieden in modulare, abstrakte Informationsverarbeitungsansätze und interaktive, verkörperte Vorstellungen kognitiver Prozesse. Diese allgemeinen Vorstellungen werden dann am Beispiel der Verarbeitung von Stimminformation im Kontext der parallel dazu ablaufenden Gesichterverarbeitung konkretisiert. Es geht also u.a. darum, inwiefern kognitive Stimmverarbeitung unbeeinflusst von der gleichzeitigen Verarbeitung von visueller Personeninformation ablaufen kann (und umgekehrt). In Studie 1 (Huestegge & Raettig, in press) werden Probanden audiovisuelle Stimuli dargeboten, bei denen Gesichter Ziffern aussprechen. Manipuliert wird die Geschlechtskongruenz der Stimuli: Es gibt männliche und weibliche Gesichter, die je entweder mit einer männlichen oder weiblichen Stimme synchronisiert wurden. Probanden sollen entweder nur auf die Stimme oder nur auf das visuelle Gesicht achten und jeweils das Geschlecht per Tastendruck kategorisieren. Dabei stellte sich heraus, dass es für die Kategorisierungsleistung eine Rolle spielt, ob es sich um geschlechts-kongruente oder –inkongruente Stimuli handelt: Letztere wurden langsamer bzw. mit höherer Fehleranfälligkeit kategorisiert, was für eine starke cross-modale Interaktion der zugrundeliegenden visuellen und akustischen Verarbeitungsrouten spricht. Dabei wirkte sich inkongruente visuelle Information stärker auf die Stimmbeurteilung aus als inkongruente Stimminformation auf die visuelle Beurteilung, was auf eine Dominanz visueller gegenüber akustischer Informationsverarbeitung hindeutet. Unter starker kognitiver Belastung konnte ebenfalls ein Kongruenzeffekt nachgewiesen werden. In Studie 2 (Huestegge, Raettig, & Huestegge, in press) wurde dasselbe Stimulusmaterial verwendet, aber kategorisiert werden sollten nun die gesprochenen Ziffern (z.B. in gerade/ungerade oder größer/kleiner 5). Damit ist in der Instruktion die Aufmerksamkeit von der Geschlechtsdimension weggelenkt. Dennoch fanden sich auch hier Geschlechtskongruenzeffekte auf die Ziffernkategorisierung, was für eine relativ automatische Verarbeitung von cross-modaler Geschlechtsinformation spricht, die sich dann auch auf die Sprachverarbeitung auswirken kann. In Studie 3 (Huestegge, subm.) wurde die Fähigkeit von Probanden untersucht, von einer Stimme auf das zugehörige (statisch oder dynamisch) dargebotene Gesicht zu schließen. Dies gelang den Probanden in überzufälliger Weise. Weiterhin konnte keine Evidenz dafür gefunden werden, dass bewegte (dynamische) Gesichter besser den Stimmen zugeordnet werden konnten als statische Gesichter. Die Ergebnisse sprechen dafür, dass gemeinsame Quellinformation sich sowohl auf Stimme wie Gesichtsmerkmale auswirkt, und dass implizites Wissen hierüber von den Probanden genutzt wird, um Stimmen Gesichtern zuzuordnen. Insgesamt konnten die Ergebnisse der drei Studien (Huestegge, subm.; Huestegge & Raettig, in press; Huestegge et al., in press) dazu beitragen, bestehende Theorien der Stimm- und Gesichterverarbeitung entscheidend weiterzuentwickeln. Die Ergebnisse sind allgemein eher im Einklang mit einer stark interaktiven, verkörperten Sicht auf kognitive Prozesse, weniger mit einer modular-abstrakten Informationsverarbeitungsperspektive. KW - Stimme KW - Gesicht KW - Voice Processing KW - Stimmverarbeitung KW - Face Voice Matching KW - Informationsverarbeitung KW - Kognition Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-186086 ER - TY - JOUR A1 - Reis, Moritz A1 - Pfister, Roland A1 - Foerster, Anna T1 - Cognitive load promotes honesty JF - Psychological Research N2 - In three experiments, we examined the cognitive underpinnings of self-serving dishonesty by manipulating cognitive load under different incentive structures. Participants could increase a financial bonus by misreporting outcomes of private die rolls without any risk of detection. At the same time, they had to remember letter strings of varying length. If honesty is the automatic response tendency and dishonesty is cognitively demanding, lying behavior should be less evident under high cognitive load. This hypothesis was supported by the outcome of two out of three experiments. We further manipulated whether all trials or only one random trial determined payoff to modulate reward adaptation over time (Experiment 2) and whether payoff was framed as a financial gain or loss (Experiment 3). The payoff scheme of one random or all trials did not affect lying behavior and, discordant to earlier research, facing losses instead of gains did not increase lying behavior. Finally, cognitive load and incentive frame interacted significantly, but contrary to our assumption gains increased lying under low cognitive load. While the impact of cognitive load on dishonesty appears to be comparably robust, motivational influences seem to be more elusive than commonly assumed in current theorizing. KW - cognitive load KW - self-serving dishonesty KW - lying behavior Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-324913 VL - 87 IS - 3 ER - TY - BOOK A1 - Smith Pasqualini, Marcia A1 - Macht, Michael A1 - Ellgring, Heiner T1 - Cognitive Behavioral Therapy for People with Parkinson’s Disease and Caregivers : A Guide for Mental Health Professionals N2 - The need for mental health support within the Parkinson’s disease (PD) community has never been greater, yet many practitioners lack the knowledge or experience to address the unique challenges associated with PD. This book serves as a practical guide for mental health professionals to assist individuals with PD and caregivers through the use of cognitive-behavioral therapy techniques, with the goal of enhancing their well-being and quality of life. The book includes a review of information about PD and mental health, and four structured group programs designed to address issues that are common in people with PD and caregivers: • Coping with stress and illness • Communicating about PD • Emotional expression in PD • Interventions for caregivers The programs presented in this book can be utilized as they are, personalized for individual use, or adapted for research protocols. Additionally, the information can serve as a valuable resource for people with PD and their family members, who can learn about PD and be introduced to evidence-based strategies that can be used conjointly with professionals to improve their experience of living with PD. KW - Parkinson-Krankheit KW - Psychotherapie KW - Kognitive Verhaltenstherapie KW - Kommunikationstraining KW - Stressbewältigung KW - Parkinson-Erkrankung KW - Parkinson’s Disease KW - Training von Patienten und Angehörigen KW - psychotherapy KW - cognitive-behavioral therapy KW - patient and caregiver education KW - psychological interventions KW - communication training KW - stress management Y1 - 2024 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-345196 SN - 978-3-95826-226-3 SN - 978-3-95826-227-0 N1 - Parallel erschienen als Druckausgabe bei Würzburg University Press, ISBN 978-3-95826-226-3, 34,90 Euro. PB - Würzburg University Press CY - Würzburg ER - TY - THES A1 - Reicherts, Philipp T1 - Cognitive and Emotional Influences on Placebo Analgesia and Nocebo Hyperalgesia T1 - Kognititve und emotionale Einflussfaktoren auf Placeboanalgesie und Nocebohyperalgesie N2 - The perception of pain can be modulated by a variety of factors such as biological/pharmacological treatments as well as potent cognitive and emotional manipulations. Placebo and nocebo effects are among the most prominent examples for such manipulations. Placebo and nocebo manipulations cause reliable psychological and physiological changes, although the administered agent or treatment is inert. The present dissertation aimed at investigating the role of cognitive and emotional influences in the generation of placebo and nocebo effects on pain perception. In addition, the feasibility of solely psychological placebo manipulations to alter the perception of pain was tested. Two commonly discussed preconditions for the generation of placebo and nocebo effects are prior experiences (i.e., past encounter of drug effects) and expectations (i.e., positive or negative attitudes towards an intervention). So far, research on placebo and nocebo effects relied on the administration of sham interventions, which resembled medical treatments like inert pills, creams or injections. However, such experimental procedures deal with confounds due to earlier experiences and expectations resulting from the individual’s history with medical interventions. Accordingly, the implementation of a placebo manipulation that is completely new to an individual, seems necessary to disentangle the contribution of experience and expectation for the induction of placebo and nocebo effects. To this end, in Experiment 1 the level of experience and expectation regarding a placebo-nocebo treatment was stepwise manipulated across three different experimental groups. To avoid any resemblances to earlier experiences and individual expectations, a mere psychological placebo-nocebo treatment was chosen that was new to all participants. They were instructed that visual black and white stripe patterns had been found to reliably alter the perception of pain. One group of participants received only the placebo-nocebo instruction (expectation), a second group experienced a placebo-nocebo treatment within a conditioning phase (experience) but no instruction, and a third group received the combination of both that is a placebo-nocebo instruction and a placebo-nocebo conditioning (experience + expectation). It was shown that only the experience + expectation group revealed significantly higher pain ratings and physiological responses during nocebo, compared to placebo trials of the succeeding test phase. These findings demonstrate that the induction of a mere psychological placebo-nocebo effect on pain is in principle possible. Most important, results indicate that such effects most likely rely on both, a positive treatment experience, due to the encounter of an effective intervention (placebo conditioning), and a positive expectation about the intervention (placebo instruction).Besides experience and expectation, the current mood state has been shown to modulate pain and to impact the induction of placebo and nocebo effects. In this vein it has been demonstrated that placebo effects come along with positive affect, while nocebo effects often occur together with elevated feelings of anxiety. To clarify the interaction of emotions and placebo-nocebo manipulations on pain perception, in Experiment 2 the paradigm of Experiment 1 was modified. Instead of black and white stripe patterns, positive and negative emotional pictures were presented, which either cued pain increase (nocebo) or pain decrease (placebo). Two experimental groups were compared, which differed with regard to the instructed contingency of positive pictures serving as placebo and negative pictures serving as nocebo cues or vice versa (congruent vs. incongruent). Results indicate that the differentiation of placebo and nocebo trials (behaviorally and physiologically) was more pronounced for the congruent compared to the incongruent group. However, in the incongruent group, affective pain ratings were also significantly higher for nocebo (positive pictures) than placebo (negative pictures) trials, similar to the congruent group. These findings demonstrate that a placebo-nocebo manipulation is capable to dampen and even reverse the originally pain augmenting effect of negative emotions. The results of Experiment 2 were further corroborated in Experiment 3, when the design was adapted to the fMRI scanner, and again a congruent and an incongruent experimental group were compared. Behavioral, physiological and neurophysiological markers of pain processing revealed a differentiation between nocebo and placebo conditions that was present irrespective of the experimental group. In addition, the fMRI analysis revealed an increased engagement of prefrontal areas for the incongruent group only, supposedly reflecting the reinterpretation or appraisal process when positive pictures were cueing negative outcomes. Taken together, the results of the present studies showed (a) that it is possible to induce a placebo-nocebo effect on pain solely by a psychological manipulation, (b) that both, prior experiences and positive expectation, are necessary preconditions for this placebo-nocebo effect, (c) that the impact of negative emotion on pain can be dampened and even reversed by placebo-nocebo manipulations, and (d) that most likely a cognitive top-down process is crucial for the induction of (psychological) placebo-nocebo effects. These results significantly enhance our understanding of psychological mechanisms involved in the induction of placebo-nocebo effects. Further, a fruitful foundation for future studies is provided, which will need to determine the contributions of primarily nocebo or placebo responses mediating the effects as demonstrated in the present studies. In a long-term perspective, the present findings may also help to exploit placebo effects and prevent from nocebo effect in clinical contexts by further elucidating crucial psychological factors that contribute to the placebo and nocebo response. N2 - Die Wahrnehmung von Schmerz kann durch eine Vielzahl von Faktoren beeinflusst werden, darunter biologische und pharmakologische Interventionen sowie potente kognitive und emotionale Manipulationen. Placebo- und Nocebo-effekte gehören mit zu den eindrucksvollsten Beispielen für die Wirksamkeit derartiger Manipulationen. Placebo- und Nocebo-Behandlungen können zu manifesten psychologischen und physiologischen Veränderungen führen, obwohl die verabreichten Substanzen frei von Wirkstoffen bzw. den angewandten Scheinbehandlungen keine Wirkung zugeschrieben wird. In der vorliegenden Dissertation wurden kognitive und emotionale Einflussfaktoren auf die Induktion von Placebo- und Nocebo-Effekten bei der Wahrnehmung von Schmerz untersucht. Darüber hinaus sollte die Möglichkeit zur Verwendung rein psychologischer Placebo-Nocebo Manipulationen für die Modulation von Schmerz getestet werden. Zwei zentrale Voraussetzungen für die Erzeugung von Placebo und Nocebo-Effekten sind vorherige Erfahrung (z.B. auf Grund früherer Erfahrungen mit einem Medikament) und Erwartung (z.B. eine positive oder negative persönliche Einstellung gegenüber einer Therapie). Bisher basierte die Forschung zu Placebo- und Nocebo-Effekten vornehmlich auf Ergebnissen von Untersuchungen die Schein-Behandlungen oder Leerpräparate einsetzten wie z.B. Tabletten, Cremes oder Injektionen, die herkömmlichen medizinischen Interventionen sehr ähnlich sind. Jedoch ergibt sich bei einem derartigen experimentellen Vorgehen stets das Problem einer Konfundierung der Ergebnisse durch den Einfluss früherer Erfahrungen oder der individuellen Erwartungshaltung an die Behandlung, die aus einer Vorgeschichte medizinischer Therapieerlebnissen herrührt. Daraus leitet sich die Notwendigkeit von anderweitigen, dem Probanden völlig unbekannten Placebo-Interventionen ab, um die jeweilige Beteiligung von Erwartungs- und Erfahrungsprozessen für die Induktion von Placebo- und Nocebo-Effekten bestimmen zu können. Zu diesem Zweck wurden in Experiment 1 Erwartung und Erfahrung in drei Experimentalgruppen stufenweise und unabhängig voneinander manipuliert. Um einer Ähnlichkeit zu früheren Behandlungs-Erfahrungen und dadurch abgeleiteten Erwartungen vorzubeugen, wurde ein rein psychologisches Placebo-Nocebo Verfahren herangezogen, das mit Sicherheit allen Teilnehmern unbekannt war. Sie wurden darüber informiert, dass die Betrachtung von schwarz-weißen Streifenmustern eine wissenschaftlich bestätigte Wirkung auf die Schmerzwahrnehmung hätte. Eine Gruppe der Teilnehmer erhielt lediglich eine Placebo-Nocebo Instruktion (Erwartung), eine zweite Gruppe erlebte tatsächlich die Kopplung von zwei verschiedenen Streifenmustern mit unterschiedlich starken Schmerzreizen während einer Konditionierungs-Phase (Erfahrung) bekam aber keine Instruktion und eine dritte Gruppe erhielt sowohl die Placebo-Nocebo Instruktion als auch die Placebo-Nocebo Konditionierung (Erfahrung + Erwartung). Es konnte gezeigt werden, dass während der anschließenden Testphase lediglich die kombinierte Erfahrung + Erwartung Gruppe signifikant unterschiedliche Schmerzratings und physiologische Reaktionen auf die Schmerzreize während der Placebo- im Vergleich zu den Nocebo-Durchgängen aufwies. Diese Ergebnisse belegen, dass die Induktion eines rein psychologischen Placebo-Nocebo Effektes auf die Schmerzwahrnehmung prinzipiell möglich ist. Besonders hervorzuheben ist dabei die Notwendigkeit beider Prozesse, nämlich einer tatsächlichen Erfahrung der Wirksamkeit der Therapie (Placebo-Nocebo Konditionierung) und einer positiven Erwartung hinsichtlich der Intervention (Placebo-Nocebo Instruktion). Neben Erfahrung und Erwartung, hat die momentane Stimmung entscheidenden Einfluss auf die die Induktion von Placebo- und Nocebo-Effekten einerseits, sowie generell auf die Wahrnehmung von Schmerz andererseits. In diesem Zusammenhang konnte gezeigt werden, dass Placebo-Effekte mit einer Verbesserung der Stimmung einhergehen, Nocebo-Effekte hingegen häufig von gesteigerter Angst begleitet sind. Um die Interaktion von Emotionen und Placebo-Nocebo Manipulationen zu eruieren, wurde das in Experiment 1 etablierte Paradigma angewendet und modifiziert. Anstelle von Streifenmustern, wurden positive und negative emotionale Bilder präsentiert, die entweder eine Schmerz-Verstärkung (Nocebo) oder eine Schmerz-Linderung (Placebo) anzeigten. Zwei Experimentalgruppen wurden miteinander verglichen, die sich hinsichtlich der Kontingenz von positiven Bildern als Placebo- und negativen Bildern als Nocebo-Indikator, bzw. umgekehrt, positiven Bildern als Nocebo- und negativen Bildern als Placebo-Indikator, unterschieden (kongruent vs. inkongruent). Es zeigte, dass die Unterscheidung (Schmerzratings und physiologische Reaktionen auf den Schmerzreiz) zwischen Placebo- und Nocebo-Durchgängen in der kongruenten Gruppe stärker ausgeprägt war als in der inkongruenten Gruppe. Allerdings waren die affektiven Schmerzratings der inkongruenten Gruppe ebenfalls in Nocebo-Durchgängen (positive Bilder) signifikant höher als in Placebo-Durchgängen (negative Bilder), ähnlich zur kongruenten Gruppe. Die Daten zeigen damit, dass eine Placebo-Nocebo Manipulation in der Lage ist, die genuin Schmerz verstärkende Wirkung negativer Emotionen abzuschwächen und sogar umzukehren. Die Befunde aus Experiment 2 konnten zusätzlich in Experiment 3 gestützt werden, welches das zuvor getestete Design ins fMRT überführte und gleichermaßen eine kongruente und eine inkongruente Experimentalgruppe miteinander verglich. Verhaltensmaße sowie physiologische und neurophysiologische Korrelate der Schmerzwahrnehmung ergaben eine eindeutige Differenzierung zwischen Placebo- und Nocebo-Durchgängen, unabhängig von der Experimentalgruppe. Darüber hinaus zeigte sich in der inkongruenten Bedingung eine verstärkte präfrontale Aktivierung für den Vergleich von Nocebo- und Placebo-Durchgängen, was potenziell auf einen zusätzlichen Re- Interpretations- oder Appraisal-Prozess zurückzuführen ist, der sich einstellt, wenn ein positives Bild eine negative Konsequenz vorhersagt. Zusammengefasst zeigen die vorliegenden Studien, dass es (a) möglich ist einen Placebo-Nocebo Effekt mit einer rein psychologischen Manipulation hervorzurufen, dass (b) im Fall rein psychologischer Placebo-Nocebo Manipulationen sowohl Erfahrung als auch positive Erwartung notwendig sind, dass (c) der Einfluss negativer Emotionen auf Schmerz mittels einer Placebo-Nocebo Manipulation reduziert und sogar umgekehrt werden kann und (d) höchstwahrscheinlich ein kognitiver (Neu-) Bewertungsprozess für die Induktion (psychologischer) Placebo-Nocebo Effekte essentiell ist. Die Ergebnisse tragen zum Verständnis der beteiligten psychologischen Prozesse bei der Induktion von Placebo-Nocebo Effekten erheblich bei. Darüber hinaus stellen die verwendeten Paradigmen eine vielseitige Ausgangsposition für zukünftige Studien dar, die klären müssen, ob für die gefunden Ergebnisse vornehmlich Placebo- oder Nocebo-Effekte verantwortlich sind. Perspektivisch könnten die vorliegenden Befunden helfen, die psychologischen Grundlagen der Placebo-Nocebo Antwort näher zu beleuchten und damit sogar im klinischen Kontext zum Ausschöpfen von Placebo- sowie zur Vorbeugung von Nocebo-Effekten beizutragen. KW - Placebo KW - Nocebo-Effekt KW - Psychologie KW - Placebo Hypolagesia KW - Nocebo hyperoalgesia KW - Emotional Pain Modulation Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-106455 ER - TY - CHAP A1 - Krüger, Hans-Peter A1 - Gold, Rainer A1 - Hüppe, A. T1 - Coergisms between drugs and alcohol - a psychopharmacological review N2 - No abstract available. KW - Rauschgift KW - Alkohol Y1 - 1993 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-69850 ER - TY - JOUR A1 - Schneider, Wolfgang A1 - Treiber, Bernhard T1 - Classroom differences in the determination of achievement changes N2 - This study addresses three themes that recur in the research on student achievement: (a) developmental modeling ofintraindividual changes in achievement over time; (b) examination of the differences among subgroups within a classroom in the determinants of achievement; (c) description of the interactions among instructional variables in determining achievement differences. Eight classrooms were preselected on the basis of their widely differing slopes obtained in a regression analysis of pre- and posttest achievement scores. Mathematics achievement differences among sixth graders were analyzed in a four-wave design and explained by aptitude and instructional variables in a structural equation framework provided by LISREL. The results demonstrate the local nature of achievement models in that neither their measurement nor structural components proved generalizable across both groups of classrooms. Mention is also made, however, of technical problems and analytical ambiguities in the interpretation of these results. KW - Psychologie Y1 - 1984 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-61991 ER - TY - JOUR A1 - Erlbeck, Helena A1 - Mochty, Ursula A1 - Kübler, Andrea A1 - Real, Ruben G. L. T1 - Circadian course of the P300 ERP in patients with amyotrophic lateral sclerosis - implications for brain-computer interfaces (BCI) JF - BMC Neurology N2 - Background: Accidents or neurodegenerative diseases like amyotrophic lateral sclerosis (ALS) can lead to progressing, extensive, and complete paralysis leaving patients aware but unable to communicate (locked-in state). Brain-computer interfaces (BCI) based on electroencephalography represent an important approach to establish communication with these patients. The most common BCI for communication rely on the P300, a positive deflection arising in response to rare events. To foster broader application of BCIs for restoring lost function, also for end-users with impaired vision, we explored whether there were specific time windows during the day in which a P300 driven BCI should be preferably applied. Methods: The present study investigated the influence of time of the day and modality (visual vs. auditory) on P300 amplitude and latency. A sample of 14 patients (end-users) with ALS and 14 healthy age matched volunteers participated in the study and P300 event-related potentials (ERP) were recorded at four different times (10, 12 am, 2, & 4 pm) during the day. Results: Results indicated no differences in P300 amplitudes or latencies between groups (ALS patients v. healthy participants) or time of measurement. In the auditory condition, latencies were shorter and amplitudes smaller as compared to the visual condition. Conclusion: Our findings suggest applicability of EEG/BCI sessions in patients with ALS throughout normal waking hours. Future studies using actual BCI systems are needed to generalize these findings with regard to BCI effectiveness/efficiency and other times of day. KW - brain computer interface KW - amyotrophic lateral sclerosis KW - ALS KW - P300 KW - auditory KW - visual KW - BCI Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-157423 VL - 17 IS - 3 ER - TY - JOUR A1 - Seger, Benedikt T. A1 - Wannagat, Wienke A1 - Nieding, Gerhild T1 - Children’s surface, textbase, and situation model representations of written and illustrated written narrative text JF - Reading and Writing N2 - According to the tripartite model of text representation (van Dijk & Kintsch, 1983), readers form representations of the text surface and textbase, and construct a situation model. In this study, an experiment was conducted to investigate whether these levels of representation would be affected by adding illustrations to narrative text and whether the order of text and illustrations would make a difference. Students aged between 7 and 13 years (N = 146) read 12 narrative texts, 4 of them with illustrations presented before their corresponding sentences, 4 with illustrations presented after, and 4 without any illustration. A sentence recognition task was used to assess the accuracy for text surface, textbase, and situation model. For the text surface and situation model, neither the presence of illustrations nor the order of text and illustrations influenced accuracy. However, the textbase was negatively affected by illustrations when they followed their corresponding sentences. We suggest that illustrations can initiate model inspection after situation model construction (Schnotz, 2014), a process that can make substantial changes to the textbase representation. KW - piicture comprehension KW - text comprehension KW - narrative text KW - children Y1 - 2021 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-269813 SN - 1573-0905 VL - 34 IS - 6 ER - TY - JOUR A1 - Schwerdtle, Barbara A1 - Kanis, Julia A1 - Kahl, Lena A1 - Kübler, Andrea A1 - Schlarb, Angelika A. T1 - Children’s Sleep Comic: development of a new diagnostic tool for children with sleep disorders [original research] N2 - Background: A solid diagnosis of sleep disorders in children should include both self-ratings and parent ratings. However, there are few standardized self-assessment instruments to meet this need. The Children’s Sleep Comic is an adapted version of the unpublished German questionnaire “Freiburger Kinderschlafcomic” and provides pictures for items and responses. Because the drawings were outdated and allowed only for qualitative analysis, we revised the comic, tested its applicability in a target sample, and suggest a procedure for quantitative analysis. Methods: All items were updated and pictures were newly drawn. We used a sample of 201 children aged 5–10 years to test the applicability of the Children’s Sleep Comic in young children and to run a preliminary analysis. Results: The Children’s Sleep Comic comprises 37 items covering relevant aspects of sleep disorders in children. Application took on average 30 minutes. The procedure was well accepted by the children, as reflected by the absence of any dropouts. First comparisons with established questionnaires indicated moderate correlations. Conclusion: The Children’s Sleep Comic is appropriate for screening sleep behavior and sleep problems in children. The interactive procedure can foster a good relationship between the investigator and the child, and thus establish the basis for successful intervention if necessary. KW - Psychologie KW - children KW - sleep KW - sleep disorders KW - diagnostic KW - assessment KW - self-rating Y1 - 2012 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-75722 ER -