TY - CHAP A1 - Schmitz, Barbara T1 - Aspects of Worship in the Letter of Aristeas T2 - Various Aspects of Worship in Deuterocanonical and Cognate Literature N2 - Although the Letter of Aristeas mentions the translation of the Jewish nomos into Greek, it is striking that worship is not a fundamental theme of this writing. Nevertheless, six passages present acts of worship, which recount worship from different perspectives: Aristeas prays to God and explains his “Greek” idea of worship (Let. Aris. 17), whereas in Let. Aris. 132-140 the high priest explains the Jewish concept of worship. Sacrifices and prayers at the temple in Jerusalem for the Ptolemaic royal house are told in Let. Aris. 45, while at the Ptolemaic court in Alexandria one of the Jewish scholars prays at the beginning of the symposium (Let. Aris. 184-186). Then the daily prayer of the Jewish scholars are recounted in Let. Aris. 305-306 and finally the Ptolemaic king performs a proskynesis before the law at the end of the letter and thereby accepts the translation (Let. Aris. 317). KW - Aristeas KW - Letter of Aristeas KW - worship KW - proskynesis Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-205150 VL - 2016/2017 ER - TY - JOUR A1 - Kaluza, Benjamin F. A1 - Wallace, Helen A1 - Keller, Alexander A1 - Heard, Tim A. A1 - Jeffers, Bradley A1 - Drescher, Nora A1 - Blüthgen, Nico A1 - Leonhardt, Sara D. T1 - Generalist social bees maximize diversity intake in plant species-rich and resource-abundant environments JF - Ecosphere N2 - Numerous studies revealed a positive relationship between biodiversity and ecosystem functioning, suggesting that biodiverse environments may not only enhance ecosystem processes, but also benefit individual ecosystem members by, for example, providing a higher diversity of resources. Whether and how the number of available resources affects resource collection and subsequently consumers (e.g., through impacting functions associated with resources) have, however, been little investigated, although a better understanding of this relationship may help explain why the abundance and richness of many animal species typically decline with decreasing plant (resource) diversity. Using a social bee species as model (Tetragonula carbonaria), we investigated how plant species richness—recorded for study sites located in different habitats—and associated resource abundance affected the diversity and functionality (here defined as nutritional content and antimicrobial activity) of resources (i.e., pollen, nectar, and resin) collected by a generalist herbivorous consumer. The diversity of both pollen and resin collected strongly increased with increasing plant/tree species richness, while resource abundance was only positively correlated with resin diversity. These findings suggest that bees maximize resource diversity intake in (resource) diverse habitats. Collecting more diverse resources did, however, not increase their functionality, which appeared to be primarily driven by the surrounding (plant) source community in our study. In generalist herbivores, maximizing resource diversity intake may therefore primarily secure collection of sufficient amounts of resources across the entire foraging season, but it also ensures that the allocated resources meet all functional needs. Decreasing available resource diversity may thus impact consumers primarily by reduced resource abundance, but also by reduced resource functionality, particularly when resources of high functionality (e.g., from specific plant species) become scarce. KW - functional complementarity KW - functional redundancy KW - Meliponini KW - nutritional ecology KW - plant–insect interactions KW - pollinator decline Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-171155 VL - 8 IS - 3 ER - TY - JOUR A1 - Giampaolo, Sabrina A1 - Wójcik, Gabriela A1 - Serfling, Edgar A1 - Patra, Amiya K. T1 - Interleukin-2-regulatory T cell axis critically regulates maintenance of hematopoietic stem cells JF - Oncotarget N2 - The role of IL-2 in HSC maintenance is unknown. Here we show that Il2\(^{−/-}\) mice develop severe anomalies in HSC maintenance leading to defective hematopoiesis. Whereas, lack of IL-2 signaling was detrimental for lympho- and erythropoiesis, myelopoiesis was enhanced in Il2\(^{−/-}\) mice. Investigation of the underlying mechanisms of dysregulated hematopoiesis in Il2\(^{−/-}\) mice shows that the IL-2-T\(_{reg}\) cell axis is indispensable for HSC maintenance and normal hematopoiesis. Lack of T\(_{reg}\) activity resulted in increased IFN-γ production by activated T cells and an expansion of the HSCs in the bone marrow (BM). Though, restoring T\(_{reg}\) population successfully rescued HSC maintenance in Il2\(^{-/-}\) mice, preventing IFN-γ activity could do the same even in the absence of T\(_{reg}\) cells. Our study suggests that equilibrium in IL-2 and IFN-γ activity is critical for steady state hematopoiesis, and in clinical conditions of BM failure, IL-2 or anti-IFN-γ treatment might help to restore hematopoiesis. KW - immunity KW - hematopoietic stem cells KW - IL-2 KW - treg cells KW - IL-10 KW - IFN-γ KW - immunology and microbiology section KW - immune response Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170947 VL - 8 IS - 18 ER - TY - JOUR A1 - Degen, Tobias A1 - Hovestadt, Thomas A1 - Mitesser, Oliver A1 - Hölker, Franz T1 - Altered sex-specific mortality and female mating success: ecological effects and evolutionary responses JF - Ecosphere N2 - Theory predicts that males and females should often join the mating pool at different times (sexual dimorphism in timing of emergence [SDT]) as the degree of SDT affects female mating success. We utilize an analytical model to explore (1) how important SDT is for female mating success, (2) how mating success might change if either sex's mortality (abruptly) increases, and (3) to what degree evolutionary responses in SDT may be able to mitigate the consequences of such mortality increase. Increasing male pre‐mating mortality has a non‐linear effect on the fraction of females mated: The effect is initially weak, but at some critical level a further increase in male mortality has a stronger effect than a similar increase in female mortality. Such a change is expected to impose selection for reduced SDT. Increasing mortality during the mating season has always a stronger effect on female mating success if the mortality affects the sex that emerges first. This bias results from the fact that enhancing mortality of the earlier emerging sex reduces female–male encounter rates. However, an evolutionary response in SDT may effectively mitigate such consequences. Further, if considered independently for females and males, the predicted evolutionary response in SDT could be quite dissimilar. The difference between female and male evolutionary response in SDT leads to marked differences in the fraction of fertilized females under certain conditions. Our model may provide general guidelines for improving harvesting of populations, conservation management of rare species under altered environmental conditions, or maintaining long‐term efficiency of pest‐control measures. KW - evolutionary response KW - sexual dimorphism in timing KW - sex-specific mortality KW - reproductive asynchrony KW - mating success Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170953 VL - 8 IS - 5 ER - TY - JOUR A1 - Ziegler, Sabrina A1 - Weiss, Esther A1 - Schmitt, Anna-Lena A1 - Schlegel, Jan A1 - Burgert, Anne A1 - Terpitz, Ulrich A1 - Sauer, Markus A1 - Moretta, Lorenzo A1 - Sivori, Simona A1 - Leonhardt, Ines A1 - Kurzai, Oliver A1 - Einsele, Hermann A1 - Loeffler, Juergen T1 - CD56 Is a Pathogen Recognition Receptor on Human Natural Killer Cells JF - Scientific Reports N2 - Aspergillus (A.) fumigatus is an opportunistic fungal mold inducing invasive aspergillosis (IA) in immunocompromised patients. Although antifungal activity of human natural killer (NK) cells was shown in previous studies, the underlying cellular mechanisms and pathogen recognition receptors (PRRs) are still unknown. Using flow cytometry we were able to show that the fluorescence positivity of the surface receptor CD56 significantly decreased upon fungal contact. To visualize the interaction site of NK cells and A. fumigatus we used SEM, CLSM and dSTORM techniques, which clearly demonstrated that NK cells directly interact with A. fumigatus via CD56 and that CD56 is re-organized and accumulated at this interaction site time-dependently. The inhibition of the cytoskeleton showed that the receptor re-organization was an active process dependent on actin re-arrangements. Furthermore, we could show that CD56 plays a role in the fungus mediated NK cell activation, since blocking of CD56 surface receptor reduced fungal mediated NK cell activation and reduced cytokine secretion. These results confirmed the direct interaction of NK cells and A. fumigatus, leading to the conclusion that CD56 is a pathogen recognition receptor. These findings give new insights into the functional role of CD56 in the pathogen recognition during the innate immune response. KW - pattern recognition receptors KW - fungal infection KW - Aspergillus fumigatus KW - natural killer cells Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170637 VL - 7 IS - 6138 ER - TY - JOUR A1 - Kollmannsberger, Philip A1 - Kerschnitzki, Michael A1 - Repp, Felix A1 - Wagermaier, Wolfgang A1 - Weinkamer, Richard A1 - Fratzl, Peter T1 - The small world of osteocytes: connectomics of the lacuno-canalicular network in bone JF - New Journal of Physics N2 - Osteocytes and their cell processes reside in a large, interconnected network of voids pervading the mineralized bone matrix of most vertebrates. This osteocyte lacuno-canalicular network (OLCN) is believed to play important roles in mechanosensing, mineral homeostasis, and for the mechanical properties of bone. While the extracellular matrix structure of bone is extensively studied on ultrastructural and macroscopic scales, there is a lack of quantitative knowledge on how the cellular network is organized. Using a recently introduced imaging and quantification approach, we analyze the OLCN in different bone types from mouse and sheep that exhibit different degrees of structural organization not only of the cell network but also of the fibrous matrix deposited by the cells. We define a number of robust, quantitative measures that are derived from the theory of complex networks. These measures enable us to gain insights into how efficient the network is organized with regard to intercellular transport and communication. Our analysis shows that the cell network in regularly organized, slow-growing bone tissue from sheep is less connected, but more efficiently organized compared to irregular and fast-growing bone tissue from mice. On the level of statistical topological properties (edges per node, edge length and degree distribution), both network types are indistinguishable, highlighting that despite pronounced differences at the tissue level, the topological architecture of the osteocyte canalicular network at the subcellular level may be independent of species and bone type. Our results suggest a universal mechanism underlying the self-organization of individual cells into a large, interconnected network during bone formation and mineralization. KW - bone KW - osteocytes KW - networks KW - biomaterials KW - mechanobiology KW - image analysis Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170662 VL - 19 IS - 073019 ER - TY - JOUR A1 - Memmel, Simon A1 - Sisario, Dmitri A1 - Zöller, Caren A1 - Fiedler, Vanessa A1 - Katzer, Astrid A1 - Heiden, Robin A1 - Becker, Nicholas A1 - Eing, Lorenz A1 - Ferreira, Fábio L.R. A1 - Zimmermann, Heiko A1 - Sauer, Markus A1 - Flentje, Michael A1 - Sukhorukov, Vladimir L. A1 - Djuzenova, Cholpon S. T1 - Migration pattern, actin cytoskeleton organization and response to PI3K-, mTOR-, and Hsp90-inhibition of glioblastoma cells with different invasive capacities JF - Oncotarget N2 - High invasiveness and resistance to chemo- and radiotherapy of glioblastoma multiforme (GBM) make it the most lethal brain tumor. Therefore, new treatment strategies for preventing migration and invasion of GBM cells are needed. Using two different migration assays, Western blotting, conventional and super-resolution (dSTORM) fluorescence microscopy we examine the effects of the dual PI3K/mTOR-inhibitor PI-103 alone and in combination with the Hsp90 inhibitor NVP-AUY922 and/or irradiation on the migration, expression of marker proteins, focal adhesions and F-actin cytoskeleton in two GBM cell lines (DK-MG and SNB19) markedly differing in their invasive capacity. Both lines were found to be strikingly different in morphology and migration behavior. The less invasive DK-MG cells maintained a polarized morphology and migrated in a directionally persistent manner, whereas the highly invasive SNB19 cells showed a multipolar morphology and migrated randomly. Interestingly, a single dose of 2 Gy accelerated wound closure in both cell lines without affecting their migration measured by single-cell tracking. PI-103 inhibited migration of DK-MG (p53 wt, PTEN wt) but not of SNB19 (p53 mut, PTEN mut) cells probably due to aberrant reactivation of the PI3K pathway in SNB19 cells treated with PI-103. In contrast, NVP-AUY922 exerted strong anti-migratory effects in both cell lines. Inhibition of cell migration was associated with massive morphological changes and reorganization of the actin cytoskeleton. Our results showed a cell line-specific response to PI3K/mTOR inhibition in terms of GBM cell motility. We conclude that anti-migratory agents warrant further preclinical investigation as potential therapeutics for treatment of GBM. KW - chemotherapy KW - glioblastoma multiforme KW - migration KW - treatment Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170719 VL - 8 IS - 28 ER - TY - JOUR A1 - Effenberger, Madlen A1 - Bommert, Kathryn S. A1 - Kunz, Viktoria A1 - Kruk, Jessica A1 - Leich, Ellen A1 - Rudelius, Martina A1 - Bargou, Ralf A1 - Bommert, Kurt T1 - Glutaminase inhibition in multiple myeloma induces apoptosis via MYC degradation JF - Oncotarget N2 - Multiple Myeloma (MM) is an incurable hematological malignancy affecting millions of people worldwide. As in all tumor cells both glucose and more recently glutamine have been identified as important for MM cellular metabolism, however there is some dispute as to the role of glutamine in MM cell survival. Here we show that the small molecule inhibitor compound 968 effectively inhibits glutaminase and that this inhibition induces apoptosis in both human multiple myeloma cell lines (HMCLs) and primary patient material. The HMCL U266 which does not express MYC was insensitive to both glutamine removal and compound 968, but ectopic expression of MYC imparted sensitivity. Finally, we show that glutamine depletion is reflected by rapid loss of MYC protein which is independent of MYC transcription and post translational modifications. However, MYC loss is dependent on proteasomal activity, and this loss was paralleled by an equally rapid induction of apoptosis. These findings are in contrast to those of glucose depletion which largely affected rates of proliferation in HMCLs, but had no effects on either MYC expression or viability. Therefore, inhibition of glutaminolysis is effective at inducing apoptosis and thus serves as a possible therapeutic target in MM. KW - Multiple Myeloma KW - glutaminase inhibition KW - apoptosis KW - MYC Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170168 VL - 8 IS - 49 ER - TY - JOUR A1 - Auerhammer, Dominic A1 - Arrowsmith, Merle A1 - Braunschweig, Holger A1 - Dewhurst, Rian D. A1 - Jiménez-Halla, J. Oscar C. A1 - Kupfer, Thomas T1 - Nucleophilic addition and substitution at coordinatively saturated boron by facile 1,2-hydrogen shuttling onto a carbene donor JF - Chemical Science N2 - The reaction of [(cAAC\(^{Me}\))BH\(_{3}\)] (cAAC\(^{Me}\) = 1-(2,6-iPr\(_{2}\)C\(_{6}\)H\(_{3}\))-3,3,5,5-tetramethylpyrrolidin-2-ylidene) with a range of organolithium compounds led to the exclusive formation of the corresponding (dihydro)organoborates, Li\(^{+}\)[(cAAC\(^{Me}\)H)BH\(_{2}\)R]− (R = sp\(^{3}\)-, sp\(^{2}\)-, or sp-hybridised organic substituent), by migration of one boron-bound hydrogen atom to the adjacent carbene carbon of the cAAC ligand. A subsequent deprotonation/salt metathesis reaction with Me3SiCl or spontaneous LiH elimination yielded the neutral cAAC-supported mono(organo)boranes, [(cAAC\(^{Me}\)H)BH\(_{2}\)R]− (R]. Similarly the reaction of [cAAC\(^{Me}\))BH\(_{3}\)] with a neutral donor base L resulted in adduct formation by shuttling one boron-bound hydrogen to the cAAC ligand, to generate [(cAAC\(^{Me}\)H)BH\(_{2}\)L], either irreversibly (L = cAAC\(^{Me}\)) or reversibly (L = pyridine). Variable-temperature NMR data and DFT calculations on [(cAAC\(^{Me}\)H)BH\(_{2}\)(cAAC\(^{Me}\))] show that the hydrogen on the former carbene carbon atom exchanges rapidly with the boron-bound hydrides. KW - nucleophilic addition KW - nucleophilic substitution KW - boron-bound hydrogen KW - carbene donor Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170255 VL - 8 IS - 10 ER - TY - JOUR A1 - Brumberg, Joachim A1 - Küsters, Sebastian A1 - Al-Momani, Ehab A1 - Marotta, Giorgio A1 - Cosgrove, Kelly P. A1 - van Dyck, Christopher H. A1 - Herrmann, Ken A1 - Homola, György A. A1 - Pezzoli, Gianni A1 - Buck, Andreas K. A1 - Volkmann, Jens A1 - Samnick, Samuel A1 - Isaias, Ioannis U. T1 - Cholinergic activity and levodopa-induced dyskinesia: a multitracer molecular imaging study JF - Annals of Clinical and Translational Neurology N2 - Objective: To investigate the association between levodopa‐induced dyskinesias and striatal cholinergic activity in patients with Parkinson's disease. Methods: This study included 13 Parkinson's disease patients with peak‐of‐dose levodopa‐induced dyskinesias, 12 nondyskinetic patients, and 12 healthy controls. Participants underwent 5‐[\(^{123}\)I]iodo‐3‐[2(S)‐2‐azetidinylmethoxy]pyridine single‐photon emission computed tomography, a marker of nicotinic acetylcholine receptors, [\(^{123}\)I]N‐ω‐fluoropropyl‐2β‐carbomethoxy‐3β‐(4‐iodophenyl)nortropane single‐photon emission computed tomography, to measure dopamine reuptake transporter density and 2‐[\(^{18}\)F]fluoro‐2‐deoxyglucose positron emission tomography to assess regional cerebral metabolic activity. Striatal binding potentials, uptake values at basal ganglia structures, and correlations with clinical variables were analyzed. Results: Density of nicotinic acetylcholine receptors in the caudate nucleus of dyskinetic subjects was similar to that of healthy controls and significantly higher to that of nondyskinetic patients, in particular, contralaterally to the clinically most affected side. Interpretation: Our findings support the hypothesis that the expression of dyskinesia may be related to cholinergic neuronal excitability in a dopaminergic‐depleted striatum. Cholinergic signaling would play a role in maintaining striatal dopaminergic responsiveness, possibly defining disease phenotype and progression. KW - levodopa-induced dyskinesia KW - cholinergic activity KW - Parkinson’s disease Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170406 VL - 4 IS - 9 ER - TY - JOUR A1 - Landmann, Johannes A1 - Hennig, Philipp T. A1 - Ignat'ev, Nikolai V. A1 - Finze, Maik T1 - Borylation of fluorinated arenes using the boron centred nucleophile B(CN)\(_{3}\)\(^{2-}\) - a unique entry to aryltricyanoborates JF - Chemical Science N2 - The potassium salt of the boron-centred nucleophile B(CN)\(_{3}\)\(^{2-}\)(1) readily reacts with perfluorinated arenes, such as hexafluorobenzene, decafluorobiphenyl, octafluoronaphthalene and pentafluoropyridine, which results in KF and the K\(^{+}\) salts of the respective borate anions with one {B(CN)\(_{3}\)} unit bonded to the (hetero)arene. An excess of K\(_{2}\)1 leads to the successive reaction of two or, in the case of perfluoropyridine, even three C–F moieties and the formation of di- and trianions, respectively. Moreover, all of the 11 partially fluorinated benzene derivatives, C\(_{6}\)F\(_{6-n}\)H\(_{n}\) (n = 1–5), generally react with K\(_{2}\)1 to give new tricyano(phenyl)borate anions with high chemo- and regioselectivity. A decreasing number of fluorine substituents on benzene results in a decrease in the reaction rate. In the cases of partially fluorinated benzenes, the addition of LiCl is advantageous or even necessary to facilitate the reaction. Also, pentafluorobenzenes R–C\(_{6}\)F\(_{5}\) (R = –CN, –OMe, –Me, or –CF\(_{3}\)) react via C–F/C–B exchange that mostly occurs in the para position and to a lesser extent in the meta or ortho positions. Most of the reactions proceed via an S\(_{N}\)Ar mechanism. The reaction of 1,4-F\(_{2}\)C\(_{6}\)H\(_{4}\) with K\(_{2}\)1 shows that an aryne mechanism has to be considered in some cases as well. In summary, a wealth of new stable tricyano(aryl)borates have been synthesised and fully characterized using multi-NMR spectroscopy and most of them were characterised using single-crystal X-ray diffraction. KW - borylation KW - boron-centred nucleophile KW - aryltricyanoborates Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170417 VL - 8 IS - 9 ER - TY - THES A1 - Carinci, Flavio T1 - Quantitative Characterization of Lung Tissue Using Proton MRI T1 - Quantitative Charakterisierung des Lungengewebes mithilfe von Proton-MRT N2 - The focus of the work concerned the development of a series of MRI techniques that were specifically designed and optimized to obtain quantitative and spatially resolved information about characteristic parameters of the lung. Three image acquisition techniques were developed. Each of them allows to quantify a different parameter of relevant diagnostic interest for the lung, as further described below: 1) The blood volume fraction, which represents the amount of lung water in the intravascular compartment expressed as a fraction of the total lung water. This parameter is related to lung perfusion. 2) The magnetization relaxation time T\(_2\) und T� *\(_2\) , which represents the component of T\(_2\) associated with the diffusion of water molecules through the internal magnetic field gradients of the lung. Because the amplitude of these internal gradients is related to the alveolar size, T\(_2\) und T� *\(_2\) can be used to obtain information about the microstructure of the lung. 3) The broadening of the NMR spectral line of the lung. This parameter depends on lung inflation and on the concentration of oxygen in the alveoli. For this reason, the spectral line broadening can be regarded as a fingerprint for lung inflation; furthermore, in combination with oxygen enhancement, it provides a measure for lung ventilation. N2 - Die Magnetresonanztomographie (MRT) stellt ein einzigartiges Verfahren im Bereich der diagnostischen Bildgebung dar, da sie es ermöglicht, eine Vielzahl an diagnostischen Informationen ohne die Verwendung von ionisierenden Strahlen zu erhalten. Die Anwendung von MRT in der Lunge erlaubt es, räumlich aufgelöste Bildinformationen über Morphologie, Funktionalität sowie über die Mikrostruktur des Lungengewebes zu erhalten und diese miteinander zu kombinieren. Für die Diagnose und Charakterisierung von Lungenkrankheiten sind diese Informationen von höchstem Interesse. Die Lungenbildgebung stellt jedoch einen herausfordernden Bereich der MRT dar. Dies liegt in der niedrigen Protondichte des Lungenparenchyms begründet sowie in den relativ kurzen Transversal- Relaxationszeiten T\(_2\) und T� *\(_2\) , die sowohl die Bildau� ösung als auch das Signal-zu-Rausch Verhältnis beeinträchtigen. Des Weiteren benötigen die vielfältigen Ursachen von physiologischer Bewegung, welche die Atmung, den Herzschlag und den Blut� uss in den Lungengefasen umfassen, die Anwendung von schnellen sowie relativ bewegungsunemp� ndlichen Aufnahmeverfahren, um Risiken von Bildartefakten zu verringern. Aus diesen Gründen werden Computertomographie (CT) und Nuklearmedizin nach wie vor als Goldstandardverfahren gehandhabt, um räumlich aufgelöste Bildinformationen sowohl über die Morphologie als auch die Funktionalität der Lunge zu erhalten. Dennoch stellt die Lungen- MRT aufgrund ihrer Flexibilität sowohl eine vielversprechende Alternative zu den anderen Bildgebungsverfahren als auch eine mögliche Quelle zusätzlicher diagnostischer Informationen dar. ... KW - Lung KW - MRI KW - Kernspintomografie KW - Lunge Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-151189 ER - TY - THES A1 - Müller, Stephanie T1 - Plant thermotolerance: The role of heat stress-induced triacylglycerols in \(Arabidopsis\) \(thaliana\) T1 - Thermotoleranz in Pflanzen: Die Rolle von Hitzestress induzierten Triacylglycerolen in \(Arabidopsis\) \(thaliana\) N2 - Plants are exposed to high temperature, especially during hot summer days. Temperatures are typically lowest in the morning and reach a maximum in the afternoon. Plants can tolerate and survive short-term heat stress even on hot summer days. A. thaliana seedlings have been reported to tolerate higher temperatures for different time periods, a phenomenon that has been termed basal thermotolerance. In addition, plants have the inherent capacity to acclimate to otherwise lethal temperatures. Arabidopsis thaliana seedlings acclimate at moderately elevated temperatures between 32–38° C. During heat acclimation, a genetically programmed heat shock response (HSR) is triggered that is characterized by a rapid activation of heat shock transcription factors (HSFs), which trigger a massive accumulation of heat shock proteins that are chiefly involved in protein folding and protection. Although the HSF-triggered heat-shock response is well characterized, little is known about the metabolic adjustments during heat stress. The aim of this work was to get more insight into heat-responsive metabolism and its importance for thermotolerance. In order to identify the response of metabolites to elevated temperatures, global metabolite profiles of heat-acclimated and control seedlings were compared. Untargeted metabolite analyses revealed that levels of polyunsaturated triacylglycerols (TG) rapidly increase during heat acclimation. TG accumulation was found to be temperature-dependent in a temperature range from 32–50° C (optimum at 42° C). Heat-induced TG accumulation was localized in extra-chloroplastic compartments by chloroplast isolation as well as by fluorescence microscopy of A. thaliana cell cultures. Analysis of mutants deficient in all four HSFA1 master regulator genes or the HSFA2 gene revealed that TG accumulation occurred independently to HSF. Moreover, the TG response was not limited to heat stress since drought and salt stress (but not short-term osmotic, cold and high light stress) also triggered an accumulation of TGs. In order to reveal the origin of TG synthesis, lipid analysis was carried out. Heat-induced accumulation of TGs does not derive from massive de novo fatty acid (FA) synthesis. On the other hand, lipidomic analyses of A. thaliana seedlings indicated that polyunsaturated FA from thylakoid galactolipids are incorporated into cytosolic TGs during heat stress. This was verified by lipidomic analyses of A. thaliana fad7/8 transgenic seedlings, which displayed altered FA compositions of plastidic lipids. In addition, wild type A. thaliana seedlings displayed a rapid conversion of plastidic monogalactosyldiacylglycerols (MGDGs) into oligogalactolipids, acylated MGDGs and diacylglycerols (DGs). For TG synthesis, DG requires a FA from the acyl CoA pool or phosphatidylcholine (PC). Seedlings deficient in phospholipid:diacylglycerol acyltransferase1 (PDAT1) were unable to accumulate TGs following heat stress; thus PC appears to be the major FA donor for TGs during heat treatment. These results suggest that TG and oligogalactolipid accumulation during heat stress is driven by post-translationally regulated plastid lipid metabolism. TG accumulation following heat stress was found to increase basal thermotolerance. Pdat1 mutant seedlings were more sensitive to severe heat stress without prior acclimatization, as revealed by a more dramatic decline of the maximum efficiency of PSII and lower survival rate compared to wild type seedlings. In contrast, tgd1 mutants over-accumulating TGs and oligogalactolipids displayed a higher basal thermotolerance compared to wild type seedlings. These results therefore suggest that accumulation of TGs increases thermotolerance in addition to the genetically encoded heat shock response. N2 - Pflanzen sind besonders während der Sommerzeit hohen Temperaturschwankungen ausgesetzt. Temperaturen sind am Morgen meist niedrig und erreichen ihr Maximum während des Nachmittags. Pflanzen können Hitzestress im Sommer jedoch für eine kurze Zeit tolerieren. Arabidopsis thaliana Keimlinge können höhere Temperaturen für verschiedene Zeitspannen tolerieren, was als Basale Thermotoleranz beschrieben wird. Zusätzlich können Pflanzen durch Akklimatisierung eine Toleranz zu andernfalls letalen Temperaturen erwerben. A. thaliana Keimlinge beginnen sich bereits bei moderat erhöhten Temperaturen zwischen 32–38° C zu akklimatisieren. Während der Hitzeakklimatisierung wird eine genetisch programmierte Hitzeschockantwort (HSR) ausgelöst, welche durch eine rasche Aktivierung von Hitzeschock-Transkriptionsfaktoren (HSF) eingeleitet wird. Dies führt wiederum zu einem enormen Anstieg von einer Reihe von Hitzeschockproteinen (HSP), welche an der Faltung und dem Schutz der Proteine beteiligt sind. Obwohl die HSF-induzierte Hitzeschockantwort bereits gut charakterisiert ist, ist über die metabolomische Anpassung während des Hitzestress nur wenig bekannt. Das Ziel dieser Arbeit war es mehr Kenntnisse von hitze-respondierenden Metaboliten zu erhalten sowie deren Bedeutung für die Thermotoleranz. Zur Identifizierung von thermosensitiven Metaboliten, wurden die Metabolitprofile von Hitze akklimatisierten und Kontrollkeimlingen miteinander verglichen. Mittels ungerichteter Metabolit Analyse wurde ein rascher Anstieg von vielfach ungesättigten Triacylglycerolen (TG) während der Hitzeakklimatisierung nachgewiesen. Der TG Anstieg ist temperaturabhängig in einem Bereich von 32–50° C (Optimum bei 42° C). Der hitzeinduzierte TG Anstieg konnte mittels Chloroplastenisolierung sowie der separaten Analyse von Wurzel und Spross in den extrachloroplastidären Kompartimenten lokalisiert werden. Dies konnte durch Fluoreszenz Mikroskopie in Zellkulturen von A. thaliana bestätigt werden. Die Analyse von Mutanten, die einen Defekt in allen vier HSFA1 Masterregulatoren oder in dem HSFA2 Gen besitzen, zeigte, dass der Anstieg der TGs keine Abhängigkeit von den HSFs aufweist. Zudem ist der TG Anstieg nicht nur auf die Hitzestressantwort begrenzt, sondern auch durch Trockenheit und Salzstress induzierbar, jedoch nicht durch kurzzeitigen osmotischen-, Kälte- und Hochlichtstress. Zur Aufklärung des Ursprungs der TG Synthese wurde eine Lipidanalyse durchgeführt. Die hitzeinduzierte TG Akkumulation durch eine massive De Novo Fettsäuresynthese konnte ausgeschlossen werden. Die Untersuchung des Lipidoms von A. thaliana Keimlingen nach Hitze bot jedoch Hinweise auf einen Einbau von vielfach ungesättigten Fettsäuren aus thylakoiden Galaktolipiden in zytosolische TGs. Dies konnte durch die Untersuchung des Lipidoms von fad7/8 transgenen A. thaliana Keimlingen mit veränderter Fettsäure Komposition der plastidären Lipide bestätigt werden. Der Wildtyp von A. thaliana wies zudem eine rasche Umwandlung von plastidärem Monogalactosyldiacylglycerolen (MGDGs) zu Oligogalaktolipiden, acylierten MGDGs und Diacylglycerolen (DGs) auf. Für die TG Biosynthese wird eine Fettsäure aus dem Acyl-CoA Pool oder von Phosphatidylcholin (PC) auf ein DG übertragen. Keimlinge, die einen Defekt in der Phosolipid:Diacylglycerol Acyltransferase (PDAT1) aufweisen, waren nicht in der Lage TGs nach Hitzestress zu akkumulieren, auf PC als der wesentliche Fettsäure-Donor für TGs nach Hitzestress hinweist. Die Ergebnisse deuten auf einen TG und Oligogalaktolipid Anstieg durch einen posttranskriptionell regulierten Lipidumbau während des Hitzestress hin. Es konnte gezeigt werden, dass der TG Anstieg nach Hitzestress zu einer erhöhten Thermotoleranz führt. Keimlinge der pdat1 Mutanten waren ohne Akklimatisierung empfindlicher gegenüber massiven Hitzestress, da sowohl ein dramatischer Abfall der maximalen Effizienz des Photosystems II und eine niedrigere Überlebensrate im Vergleich zu Keimlingen des Wildtyps nachgewiesen wurden. Im Gegensatz dazu zeigten tgd1 Mutanten, welche eine Überakkumulation von TGs und Oligogalaktolipiden aufweisen, eine höhere Thermotoleranz auf als Keimlinge des Wildtyps. Diese Ergebnisse weisen darauf hin, dass die TG Akkumulation die Thermotoleranz zusätzlich zu der genetisch kodierten Hitzeschockantwort erhöht. KW - Triglyceride KW - Ackerschmalwand KW - Hitzestress KW - thermotolerance KW - Thermotoleranz KW - lipid remodeling KW - Lipidumbau Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-152829 ER - TY - THES A1 - Schwab, Andrea T1 - Development of an osteochondral cartilage defect model T1 - Entwicklung eines osteochondralen Knorpeldefektmodells N2 - The limited intrinsic self-healing capability of articular cartilage requires treatment of cartilage defects. Material assisted and cell based therapies are in clinical practice but tend to result in formation of mechanical inferior fibro-cartilage in long term follow up. If a lesion has not been properly restored degenerative diseases are diagnosed as late sequela causing pain and loss in morbidity. Complex three dimensional tissue models mimicking physiological situation allow investigation of cartilage metabolism and mechanisms involved in repair. A standardized and reproducible model cultured under controllable conditions ex vivo to maintain tissue properties is of relevance for comparable studies. Topic of this thesis was the establishment of an cartilage defect model that allows for testing novel biomaterials and investigate the effect of defined defect depths on formation of repair tissue. In part I an ex vivo osteochondral defect model was established based on isolation of porcine osteochondral explants (OCE) from medial condyles, 8 mm in diameter and 5 mm in height. Full thickness cartilage defects with 1 mm to 4 mm in diameter were created to define ex vivo cartilage critical size after 28 days culture with custom developed static culture device. In part II of this thesis hydrogel materials, namely collagen I isolated from rat tail, commercially available fibrin glue, matrix-metalloproteinase clevable poly(ethylene glycol) polymerized with heparin (starPEGh), methacrylated poly(N-(2-hydroxypropyl) methacrylamide mono-dilactate-poly(ethylene glycol) triblock copolymer/methacrylated hyaluronic acid (MP/HA), thiol functionalized HA/allyl functionalized poly(glycidol) (P(AGE/G)-HA-SH), were tested cell free and chondrocyte loaded (20 mio/ml) as implant in 4 mm cartilage defects to investigate cartilage regeneration. Reproducible chondral defects, 8 mm in diameter and 1 mm in height, were generated with an artificial tissue cutter (ARTcut®) to investigate effect of defect depth on defect regeneration in part III. In all approaches OCE were analyzed by Safranin-O staining to visualize proteoglycans in cartilage and/or hydrogels. Immuno-histological and -fluorescent stainings (aggrecan, collagen II, VI and X, proCollagen I, SOX9, RUNX2), gene expression analysis (aggrecan, collagen II and X, SOX9, RUNX2) of chondrocyte loaded hydrogels (part II) and proteoglycan and DNA content (Part I & II) were performed for detailed analysis of cartilage regeneration. Part I: The development of custom made static culture device, consisting of inserts in which OCE is fixed and deep well plate, allowed tissue specific media supply without supplementation of TGF � . Critical size diameter was defined to be 4 mm. Part II: Biomaterials revealed differences in cartilage regeneration. Collagen I and fibrin glue showed presence of cells migrated from OCE into cell free hydrogels with indication of fibrous tissue formation by presence of proCollagen I. In chondrocyte loaded study cartilage matrix proteins aggrecan, collagen II and VI and transcription factor SOX9 were detected after ex vivo culture throughout the two natural hydrogels collagen I and fibrin glue whereas markers were localized in pericellular matrix in starPEGh. Weak stainings resulted for MP/HA and P(AGE/G)-HA-SH in some cell clusters. Gene expression data and proteoglycan quantification supported histological findings with tendency of hypertrophy indicated by upregulation of collagen X and RunX2 in MP/HA and P(AGE/G)-HA-SH. Part III: In life-dead stainings recruitment of cells from OCE into empty or cell free collagen I treated chondral defects was seen. Separated and tissue specific media supply is critical to maintain ECM composition in cartilage. Presence of OCE stimulates cartilage matrix synthesis in chondrocyte loaded collagen I hydrogel and reduces hypertrophy compared to free swelling conditions and pellet cultures. Differences in cartilage repair tissue formation resulted in preference of natural derived polymers compared to synthetic based materials. The ex vivo cartilage defect model represents a platform for testing novel hydrogels as cartilage materials, but also to investigate the effect of cell seeding densities, cell gradients, cell co-cultures on defect regeneration dependent on defect depth. The separated media compartments allow for systematic analysis of pharmaceutics, media components or inflammatory cytokines on bone and cartilage metabolism and matrix stability. N2 - Aufgrund der geringen Selbsheilungsfähigkeit von artikulären Knorpel erfordern Knorpeldefekte eine orthopädische Behandlung. Bislang konnte mit material- oder zellbasierenden Behandlungsstrategien keine funktionelle Regeneration von Knorpeldefekten erreicht werden. In Langzeitstudien zeigt sich vermehrt die Bildung von mechanisch instabilem fibrosen Knorpel. Als Spätfolge nicht vollständig verheilter Knorpeldefekte wird die degenerative Erkrankung Osteoarthrose diagnostiziert. 3-dimensionale Gewebemodelle, die die physiologischen Gegebenheiten nachahmen erlauben einen Einblick in die Mechanismen während der Defektheilung. Dem subchondralen Knochen kommt eine kritische Rolle in der Regeneration nach Mikrofrakturierung zu, weshalb ein Knorpelmodell auf osteochondralen Gewebe basieren sollte. Thema der Arbeit war es ein standardisiertes Knorpeldefektmodell zu etablieren, das die Testung neuer Hydrogelformulierungen sowohl zellfrei als auch zellbeladen hinsichtlich deren Regenerationspotential ermöglicht und den Einfluss der Knorpeldefekttiefe auf die Regeneration zu analysieren. Teil I der Arbeit umfasste die Etablierung des ex vivo osteochondralen Defektmodells, basierend auf der Isolation von porcinen osteochondralen Explantaten (OCE) mit eine Durchmesser von 8 mm und einer Höhe von 5 mm aus der medialen Kondyle. Full thickness Knorpeldefekte mit einem Durchmesser zwischen 1 mm und 4 mm wurden induziert, um den kritischen Defektdurchmesser nach 28 Tagen Kultur in einer neuartigen statischen Kulturplatte zu definieren. In Teil II stand die Testung von Hydrogelen aus Kollagen I isoliert aus Rattenschwänzen, kommerziell erhältlicher Firbrinkleber, Matrix- Metalloproteinase clevable poly(Ethylen Glycol) polymerisiert mit Heparin (starPEGh), methacrylates poly(N-(2-hydroxypropyl) methacrylamid mono-dilactate-poly(Ethylene Glycol) triblock copolymer/methacrylated Hyaluronsäure (MP/HA), thiol functionalisiertes HA/allyl functionalisiertes poly(Glycidol) (P(AGE/G)-HA-SH) als zellfreies oder mit 20 Mio/ml Chondrozyten beladenes Implantat im Knorpeldefekt mit einem Durchmesser von 4 mm im Fokus. Ein automatisiertes Verfahren zur Wundsetzung (ARTcut®) erlaubte in Teil III der Thesis das Kreieren von reproduzierbaren chondralen Defekten mit 4 mm Durchmesser und 1 mm Tiefe in das OCE Modell , um den Einfluss der Defekttiefe auf die Knorpelregeneration zu analysieren. Das Knorpelgewebe des OCE und/oder Hydrogele wurde in allen Experimenten mittels Safranin-O auf Proteoglykangehalt untersucht. Immunhistologische und -fluoreszenzfärbung knorpelspezifischer Marker, Genexpressionsanalysen der Chondrozyten beladenen Hydrogele (Teil II) und Quantifizierung der Proteoglykane und des DNA Gehalts (Teil I & II) folgten nach ex vivo Kultur. Teil I: Die neu entwickelten statischen Kulturkammern setzen sich aus Inserts, in denen das OCE fixiert ist, und einer 6 Well–Platte zusammen. Dadurch wird eine Gewebespezifische Medienversorung mit Knorpelmedium ohne TGF � in den Inserts und Knochenmedium in der Vertiefung der Wellplatte ermöglicht. Die kritische Defektgröße im ex vivo Modell wurde mit 4 mm festgesetzt. Teil II: Biomaterialien als Implantate im Knorpeldefekt zeigten ein materialabhängiges Regenerationspotential. Die Einwanderung von Zellen aus dem OCE in zellfreie Hydrogele resultierte in der Lebend-Tot Färbung bei Kollagen I und Fibrinkleber mit der Tendenz der Synthese von fibrösem Knorpel. Die Chondorzyten beladenen Hydrogele aus Kollagen I und Fibrinkleber zeigten eine homogene Positivfärbung für die hyalinen Proteine Aggrekan, Collagen II und X und des Knorpeltranskriptionsfaktors SOX9, wohingegen die Färbung bei starPEGh lokal in der perizellulären Region lokalisiert war. Die weiteren Materialien MP/HA und P(AGE/G)-HA-SH wiesen eine schwache Positivfärbung an einzelnen Zellclustern auf. Die Genexpressionsanalyse und die Quantifizeirung der Proteoglykane bestätigten die histologischen Ergebnisse mit der Tendenz der Hypertrophie, belegt durch Hochregulierung von Kollagen X und RunX2, bei Chondrozyten eingebettet in MP/HA und P(AGE/G)-HA-SH. Teil III: In der Lebend-Tot Färbung konnte die Einwanderung von Zellen aus dem Knorpel des OCE in den Leerdefekt und zellfreies Kollagen I Hydrogel nachgewisen werden. Separierte und Gewebe spezifische Medienversorgung erwieß sich als kritischer Faktor zur Aufrechterhaltung der Knorpel ECM. Die Anwesenheit des OCE stimuliert Knorpelmatrixsynthese, die für das in vitro kultivierte Chondrozyten beladene Kollagen I nachweislich geringer vorhanden war. Außerdem war die Produktion des hypertrophen Markers Kollagen X im Implantat im OCE weniger stark ausgeprägt als in der in vitro Kultur. Die Unterschiede der Knorpelregeneration deutet auf die Bevorzugung von natürlichen Polymeren gegenüber den synthetisch basierten Hydrogelen hin. Das ex vivo Knorpeldefektmodell stellt eine Platform zur Testung neuer Hydrogelmaterialien als Knorpelimplantate dar. Weiterhin kann das Modell zur Analyse von Zellbesiedelungsstrategien als auch für Zell-Ko-Kulturen im Hinblick auf die Defektregeneration herangezogen werden. Die getrennten Medienreservoire ermöglichen weiterhin die systematische Analyse von Medienkomponenten oder entzündlichen Zytokinen auf die Vitalität und Stabilität von Knochen und Knorpelgewebe. KW - Hyaliner Knorpel KW - hyaline cartilage KW - Test system KW - cartilage regeneration Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-155617 ER - TY - THES A1 - Pieger, Elisabeth T1 - Metacognition and Disfluency – The Effects of Disfluency on Monitoring and Performance T1 - Metakognition und Disfluency - Der Einfluss von Disfluency auf die Überwachung des Lernprozesses und auf die Leistung N2 - In this thesis, metacognition research is connected with fluency research. Thereby, the focus lies on how disfluency can be used to improve metacognitive monitoring (i.e., students` judgments during the learning process). Improving metacognitive monitoring is important in educational contexts in order to foster performance. Theories about metacognition and self-regulated learning suppose that monitoring affects control and performance. Accurate monitoring is necessary to initiate adequate control and better performance. However, previous research shows that students are often not able to accurately monitor their learning with meaningful text material. Inaccurate monitoring can result in inadequate control and low performance. One reason for inaccurate monitoring is that students use cues for their judgments that are not valid predictors of their performance. Because fluency might be such a cue, the first aim of this thesis is to investigate under which conditions fluency is used as a cue for judgments during the learning process. A fluent text is easy to process and, hence, it should be judged as easy to learn and as easy to remember. Inversely, a disfluent text is difficult to process, for example because of a disfluent font type (e.g., Mistral) or because of deleted letters (e.g., l_tt_rs). Hence, a disfluent text should be judged as difficult to learn and as difficult to remember. This assumption is confirmed when students learn with both fluent and disfluent material. When fluency is manipulated between persons, fluency seems to be less obvious as a cue for judgments. However, there are only a few studies that investigated the effects of fluency on judgments when fluency is manipulated between persons. Results from Experiment 1 (using deleted letters for disfluent text) and from Experiment 4 (using Mistral for disfluent text) in this thesis support the assumption that fluency is used as a cue for judgments in between-person designs. Thereby, however, the interplay with the type of judgment and the learning stage seems to matter. Another condition when fluency affects judgments was investigated in Experiment 2 and 3. The aim of these experiments was to investigate if disfluency leads to analytic monitoring and if analytic monitoring sustains for succeeding fluent material. If disfluency activates analytic monitoring that remains for succeeding fluent material, fluency should no longer be used as a cue for judgments. Results widely support this assumption for deleted letters (Experiment 2) as well as for the font type Mistral (Experiment 3). Thereby, again the interplay between the type of judgment and the learning stage matters. Besides the investigation of conditions when fluency is used as a cue for different types of judgments during the learning process, another aim of this thesis is to investigate if disfluency leads to accurate monitoring. Results from Experiment 3 and 4 support the assumption that Mistral can reduce overconfidence. This is the case when fluency is manipulated between persons or when students first learn with a fluent and then with a disfluent text. Dependent from the type of judgment and the learning stage, disfluency can lead even to underconfidence or to improved relative monitoring accuracy (Experiment 4). Improving monitoring accuracy is only useful when monitoring is implemented into better control and better performance. The effect of monitoring accuracy on control and performance was in the focus of Experiment 4. Results show that accurate monitoring does not result in improved control and performance. Thus, further research is required to develop interventions that do not only improve monitoring accuracy but that also help students to implement accurate monitoring into better control and performance. Summing up, the aim of this thesis is to investigate under which conditions fluency is used as a cue for judgments during the learning process, how disfluency can be used to improve monitoring accuracy, and if improved monitoring accuracy leads to improved performance. By connecting metacognition research and fluency research, further theories about metacognition and theories about fluency are specified. Results show that not only the type of fluency and the design, but also the type of judgment, the type of monitoring accuracy, and the learning stage should be taken into account. Understanding conditions that affect the interplay between metacognitive processes and performance as well as understanding the underlying mechanisms is necessary to enable systematic research and to apply findings into educational settings. N2 - Ziel dieser Dissertation ist es, den Einfluss von Disfluency auf metakognitive Einschätzungen sowie deren Genauigkeit und deren Einfluss auf die Leistung zu untersuchen. Dabei wird die Metakognitions- mit der Fluency-Forschung verbunden. Theorien der Metakognition und des Selbstregulierten Lernens postulieren, dass metakognitive Einschätzungen den Lernprozess sowie die Leistung beeinflussen. Genaue Einschätzungen der eigenen Leistung sind notwendig, um adäquate Lernprozesse zu initiieren und die Leistung zu verbessern. In der bisherigen Forschung zeigte sich allerdings, dass Personen ihre eigene Leistung häufig falsch einschätzen, v. a. beim Lernen mit Texten. Als Folge ungenauer Einschätzungen können dysfunktionale Lernprozesse sowie schlechtere Leistung resultieren. Ein möglicher Grund für ungenaue Einschätzungen ist die Verwendung von Cues (Hinweisreizen), die keine validen Prädiktoren für die Leistung sind. Ein solcher Cue könnte Fluency sein. Fluente Texte sind leicht zu verarbeiten und sollten deshalb auch als leicht zu lernen und als leicht zu erinnern eingeschätzt werden. Umgekehrt sollten Texte, deren Verarbeitungsflüssigkeit beispielsweise durch eine disfluente Schriftart (z. B. Mistral) oder durch Löschung von Buchstaben (z. B. B_chst_b_n) herabgesetzt ist, als schwerer zu lernen und zu erinnern eingeschätzt werden. Diese Annahme wurde bisher v. a. dann bestätigt, wenn Personen sowohl mit fluentem als auch disfluentem Material lernen. Wird Fluency zwischen Personen manipuliert, scheint Fluency ein weniger offensichtlicher Cue zu sein. Allerdings ist die Anzahl an Studien, die Fluency zwischen Personen manipuliert haben, begrenzt. In dieser Dissertation wurde sowohl in Experiment 1 für die Löschung von Buchstaben, als auch in Experiment 4 für die Schriftart Mistral bestätigt, dass auch eine Manipulation zwischen Personen Einschätzungen beeinflussen kann, wobei jeweils die Interaktion mit der Art der Einschätzung und dem Zeitpunkt im Lernprozess berücksichtigt werden müssen. Eine weitere Bedingung, unter der Fluency die Einschätzungen beeinflusst, wurde in Experiment 2 und 3 untersucht. Ziel dieser Experimente war es u. a. herauszufinden, ob Disfluency zu einer analytischeren Überwachung des eigenen Lernprozesses führt und ob diese auch für nachfolgendes fluentes Material anhält. Als Folge analytischer Überwachungsprozesse für disfluentes und fluentes Material sollte Fluency nicht länger als Cue für Einschätzungen verwendet werden. Die Ergebnisse bestätigen dies weitgehend sowohl für die Löschung von Buchstaben (Experiment 2) als auch für die Verwendung der Schriftart Mistral (Experiment 3). Auch hier gibt es allerdings Interaktionen mit der Art der Einschätzung und dem Zeitpunkt im Lernprozess. Neben der Untersuchung, unter welchen der genannten Bedingungen Fluency Effekte auf verschiedene Arten von Einschätzungen im Lernprozess gefunden werden, ist es ein weiteres Ziel dieser Dissertation zu untersuchen, ob Disfluency durch die Initiierung analytischer Überwachungsprozesse auch zu genaueren Einschätzungen führt. Die Befunde aus Experiment 3 und 4 zeigen, dass Mistral die oft gefundene Überschätzung reduziert, wenn die Fluency zwischen Personen manipuliert wird oder zuerst mit fluentem und anschließend mit disfluentem Text gelernt wird. Abhängig von der Art der Einschätzung und des Zeitpunkts im Lernprozess kann Mistral sogar zu Unterschätzung führen und auch die relative Genauigkeit verbessern (Experiment 4). Eine Verbesserung der Genauigkeit von Einschätzungen ist v. a. dann sinnvoll, wenn genauere Einschätzungen auch zu besseren Lernprozessen und zu besserer Leistung führen. Dies wurde in Experiment 4 untersucht. Hier zeigte sich allerdings, dass genauere Einschätzungen nicht zu einer besseren Leistung führen. Deshalb sollten in der weiteren Forschung Interventionen entwickelt werden, die nicht nur die Genauigkeit von Einschätzungen, sondern auch deren Transfer in bessere Lernprozesse und in bessere Leistung fördern. Insgesamt ist es also das Ziel dieser Dissertation zu untersuchen, wann Disfluency verschiedene Einschätzungen im Lernprozess beeinflusst, ob Disfluency zu analytischeren und genaueren Einschätzungen führt, und ob genauere Einschätzungen letztendlich in besserer Leistung resultieren. Die Verbindung der Metakognitions- mit der Fluency-Forschung ermöglicht dabei, nicht nur Theorien zur Metakognition sondern auch zur Fluency zu spezifizieren. Wie die Befunde zeigen, müssen nicht nur verschiedene Arten der Fluency und des Designs, sondern auch verschiedene Arten von Einschätzungen und deren Genauigkeit, sowie der Zeitpunkt der Einschätzung im Lernprozess berücksichtigt werden. Die Kenntnis von Zusammenhängen und Bedingungen sowie von zugrundeliegenden Mechanismen ist wichtig, um bisherige inkonsistente Befunde systematisieren zu können und schließlich lernförderliche Interventionen ableiten zu können. KW - Metakognition KW - Selbstgesteuertes Lernen KW - Textverstehen KW - Lernen KW - Verarbeitungsflüssigkeit KW - metacognition KW - metacomprehension KW - judgments KW - overconfidence KW - monitoring KW - control KW - fluency KW - disfluency KW - learning Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-155362 ER - TY - INPR A1 - Auerhammer, Dominic A1 - Arrowsmith, Merle A1 - Bissinger, Philipp A1 - Braunschweig, Holger A1 - Dellermann, Theresa A1 - Kupfer, Thomas A1 - Lenczyk, Carsten A1 - Roy, Dipak A1 - Schäfer, Marius A1 - Schneider, Christoph T1 - Increasing the Reactivity of Diborenes: Derivatization of NHC- Supported Dithienyldiborenes with Electron-Donor Groups T2 - Chemistry, A European Journal N2 - A series of NHC-supported 1,2-dithienyldiborenes was synthesized from the corresponding (dihalo)thienylborane NHC precursors. NMR and UV-vis spectroscopic data, as well as X-ray crystallographic analyses, were used to assess the electronic and steric influences on the B=B double bond of various NHCs and electron-donating substituents on the thienyl ligands. Crystallographic data showed that the degree of coplanarity of the diborene core and thienyl groups is highly dependent on the sterics of the substituents. Furthermore, any increase in the electron- donating ability of the substituents resulted in the destabilization of the HOMO and greater instability of the resulting diborenes. KW - diborenes KW - N-heterocyclic carbenes KW - electron donors KW - structural analysis KW - spectroscopy Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-155419 N1 - This is the pre-peer reviewed version of the following article: Auerhammer, D., Arrowsmith, M., Bissinger, P., Braunschweig, H., Dellermann, T., Kupfer, T., Lenczyk, C., Roy, D. K., Schäfer, M. and Schneider, C. (2017), Increasing the Reactivity of Diborenes: Derivatization of NHC-Supported Dithienyldiborenes with Electron-Donor Groups. Chem. Eur. J.. doi:10.1002/chem.201704669, which has been published in final form at doi:10.1002/chem.201704669. This article may be used for non-commercial purposes in accordance with Wiley Terms and Conditions for Self-Archiving. ER - TY - THES A1 - Geißler, Florian T1 - Transport properties of helical Luttinger liquids T1 - Transporteigenschaften von helikalen Luttinger Flüssigkeiten N2 - The prediction and the experimental discovery of topological insulators has set the stage for a novel type of electronic devices. In contrast to conventional metals or semiconductors, this new class of materials exhibits peculiar transport properties at the sample surface, as conduction channels emerge at the topological boundaries of the system. In specific materials with strong spin-orbit coupling, a particular form of a two-dimensional topological insulator, the quantum spin Hall state, can be observed. Here, the respective one-dimensional edge channels are helical in nature, meaning that there is a locking of the spin orientation of an electron and its direction of motion. Due to the symmetry of time-reversal, elastic backscattering off interspersed impurities is suppressed in such a helical system, and transport is approximately ballistic. This allows in principle for the realization of novel energy-efficient devices, ``spintronic`` applications, or the formation of exotic bound states with non-Abelian statistics, which could be used for quantum computing. The present work is concerned with the general transport properties of one-dimensional helical states. Beyond the topological protection mentioned above, inelastic backscattering can arise from various microscopic sources, of which the most prominent ones will be discussed in this Thesis. As it is characteristic for one-dimensional systems, the role of electron-electron interactions can be of major importance in this context. First, we review well-established techniques of many-body physics in one dimension such as perturbative renormalization group analysis, (Abelian) bosonization, and Luttinger liquid theory. The latter allow us to treat electron interactions in an exact way. Those methods then are employed to derive the corrections to the conductance in a helical transport channel, that arise from various types of perturbations. Particularly, we focus on the interplay of Rashba spin-orbit coupling and electron interactions as a source of inelastic single-particle and two-particle backscattering. It is demonstrated, that microscopic details of the system, such as the existence of a momentum cutoff, that restricts the energy spectrum, or the presence of non-interacting leads attached to the system, can fundamentally alter the transport signature. By comparison of the predicted corrections to the conductance to a transport experiment, one can gain insight about the microscopic processes and the structure of a quantum spin Hall sample. Another important mechanism we analyze is backscattering induced by magnetic moments. Those findings provide an alternative interpretation of recent transport measurements in InAs/GaSb quantum wells. N2 - Mit der Vorhersage und der experimentellen Entdeckung von topologischen Isolatoren wurde die Grundlage für eine vollkommen neue Art von elektronischen Bauelementen geschaffen. Diese neue Klasse von Materialien zeichnet sich gegenüber herkömmlichen Metallen und Halbleitern durch besondere Transporteigenschaften der Probenoberfläche aus, wobei elektrische Leitung in Randkanälen an den topologischen Grenzflächen des Systems stattfindet. Eine spezielle Form des zweidimensionalen topologischen Isolators stellt der Quanten-Spin-Hall-Zustand dar, welcher in bestimmten Materialien mit starker Spin-Bahn-Kopplung beobachtet werden kann. Die hier auftretenden eindimensionalen Leitungskanäle sind von helikaler Natur, was bedeutet, dass die Orientierung des Spins eines Elektrons und seine Bewegungsrichtung fest miteinander gekoppelt sind. Aufgrund von Symmetrien wie Zeitumkehr ist elastische Rückstreuung an eventuell vorhandenen Störstellen in solchen helikalen Kanälen verboten, sodass elektrische Leitung als nahezu ballistisch betrachtet werden kann. Prinzipiell bieten sich dadurch neue Möglichkeiten zur Konstruktion von energieeffizienten Transistoren, “Spintronik“-Bauelementen, oder zur Erzeugung von speziellen Zuständen, die für den Betrieb eines Quantencomputers benutzt werden könnten. Die vorliegende Arbeit beschäftigt sich mit den allgemeinen Transporteigenschaften von eindimensionalen, helikalen Randzuständen. Neben dem oben erwähnten topologischen Schutz gibt es zahlreiche Störquellen, die inelastische Rückstreuprozesse induzieren. Die wichtigsten davon werden im Rahmen dieser Dissertation beleuchtet. Entscheidend wirkt hierbei oft die Rolle von Elektron-Elektron-Wechselwirkungen, welche in eindimensionalen Systemen generell von großer Bedeutung ist. Zunächst werden bewährte Techniken der Festkörperphysik wie etwa Abelsche Bosonisierung (mithilfe derer Wechselwirkungen in einer Raumdimension exakt berücksichtigt werden können), die Theorie von Luttinger Flüssigkeiten, oder die störungstheoretische Renormierungsgruppenanalyse rekapituliert. Diese Methoden werden im Weiteren benutzt, um die Korrekturen zum Leitwert eines helikalen Transportkanals zu berechnen, welche aufgrund von ausgewählten Störungen auftreten können. Ein Fokus liegt hierbei auf dem Zusammenspiel vonWechselwirkungen und Rashba Spin-Bahn-Kopplung als Quelle inelastischer Ein-Teilchen- oder Zwei-Teilchen-Rückstreuung. Mikroskopische Details wie etwa die Existenz einer Impulsobergrenze, welche das Energiespektrum beschränkt, oder die Anwesenheit von wechselwirkungsfreien Spannungskontakten, sind dabei von grundsätzlicher Bedeutung. Die charakteristische Form der vorhergesagten Korrekturen kann dazu dienen, die Struktur und die mikroskopischen Vorgänge im Inneren einer Quanten-Spin- Hall-Probe besser zu verstehen. Ein weiterer grundlegender Mechanismus ist Rückstreuung verursacht durch magnetische Momente. Aus der entsprechenden Analyse der Korrekturen zur Leitfähigkeit ergeben sich interessante Übereinstimmungen mit aktuellen Experimenten in InAs/GaSb Quantentrögen. KW - Topologischer Isolator KW - Luttinger-Flüssigkeit KW - 1D transport KW - Backscattering KW - Correlated electron effects KW - Transporteigenschaft KW - Elektronischer Transport KW - Dimension 1 Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-153450 ER - TY - THES A1 - Reeg, Johannes T1 - Empirical Studies of Contemporaneous Banking Research T1 - Empirische Studien aktueller Bankenforschung N2 - Banks perform important functions for the economy. Besides financial intermediation, banks provide information, liquidity, maturity- and risk-transformation (Fama, 1985). Banks ensure the transfer of liquidity from depositors to the most profitable investment projects. In addition, they perform important screening and monitoring services over investments hence contributing steadily to the efficient allocation of resources across the economy (Pathan and Faff, 2013). Since banks provide financial services all across the economy, this exposes banks (as opposed to non-banks) to systemic risk: the recent financial crisis revealed that banks can push economies into severe recessions. However, the crisis also revealed that certain bank types appear far more stable than others. For instance, cooperative banks performed better during the crisis than commercial banks. Different business models may reason these performance-differences: cooperative banks focus on relationship lending across their region, hence these banks suffered less from the collapse of the US housing market. Since cooperative banks performed better during the crisis than commercial banks, it is quite surprising that research concerning cooperative banks is highly underrepresented in the literature. For this reason, the following three studies aim to contribute to current literature by examining three independent contemporaneous research questions in the context of cooperative banks. Chapter 2 examines whether cooperative banks benefit from revenue diversification: Current banking literature reveals the recent trend in the overall banking industry that banks may opt for diversification by shifting their revenues to non-interest income. However, existing literature also shows that not every bank benefits from revenue diversification (Mercieca et al., 2007; Stiroh and Rumble, 2006; Goddard et al., 2008). Stiroh and Rumble (2006) find that large commercial banks (US Financial Holding Companies) perceive decreasing performance by shifting revenues towards non-interest income. Revenues from cooperative banks differ from those of commercial banks: commercial banks trade securities and derivatives, sell investment certificates and other trading assets. Concerning the lending business, commercial banks focus on providing loans for medium-sized and large companies rather than for small (private) customers. Cooperative banks rely on commission income (fees) from monetary transactions and selling insurances as a source of non-interest income. They generate most of their interest income by providing loans to small and medium-sized companies as well as to private customers in the region. These differences in revenues raise the question whether findings from Stiroh and Rumble (2006) apply to cooperative banks. For this reason, Chapter 2 evaluates a sample of German cooperative banks over the period 2005 to 2010 and aims to investigate the following research question: which cooperative banks benefit from revenue diversification? Results show that findings from Stiroh and Rumble (2006) do not apply to cooperative banks. Revenue concentration is positive related to risk-adjusted returns (indirect effect) for cooperative banks. At the same time, non-interest income is more profitable than interest income (direct effect). The evaluation of the underlying non-interest income share shows that banks who heavily focus on non-interest income benefit by shifting towards non-interest income. This finding arises due to the fact, that the positive direct effect dominates the negative indirect effect, leading in a positive (and significant) net effect. Furthermore, results reveal a negative net effect for banks who are heavily exposed to interest generating activities. This indicates that shifting to non-interest income decreases risk-adjusted returns for these banks. Consequently, these banks do better by focusing on the interest business. Overall, results show evidence that banks need time to build capabilities, expertise and experience before trading off return and risk efficiently with regard on revenue diversification. Chapter 3 deals with the relation between credit risk, liquidity risk, capital risk and bank efficiency: There has been rising competition in the European banking market due to technological development, deregulation and the introduction of the Euro as a common currency in recent decades. In order to remain competitive banks were forced to improve efficiency. That is, banks try to operate closer to a “best practice” production function in the sense that banks improve the input – output relation. The key question in this context is if banks improve efficiency at a cost of higher risk to compensate decreasing earnings. When it comes to bank risk, a large strand of literature discusses the issue of problem loans. Several studies identify that banks hold large shares of non-performing loans in their portfolio before becoming bankrupt (Barr and Siems, 1994; Demirgüc-Kunt, 1989). According to efficiency, studies show that the average bank generates low profits and incorporates high costs compared to the “best practice” production frontier (Fiordelisi et al., 2011; Williams, 2004). At first glance, these two issues do not seem related. However, Berger and DeYoung (1997) show that banks with poor management are less able to handle their costs (low cost-efficiency) as well as to monitor their debtors in an appropriate manner to ensure loan quality. The negative relationship between cost efficiency and non-performing loans leads to declining capital. Existing studies (e.g. Williams, 2004; Berger and DeYoung, 1997) show that banks with a low level of capital tend to engage in moral hazard behavior, which in turn can push these banks into bankruptcy. However, the business model of cooperative banks is based on the interests of its commonly local customers (the cooperative act: § 1 GenG). This may imply that the common perception of banks engaging in moral hazard behavior may not apply to cooperative banks. Since short-term shareholder interests (as a potential factor for moral hazard behavior) play no role for cooperative banks this may support this notion. Furthermore, liquidity has been widely neglected in the existing literature, since the common perception has been that access to additional liquid funds is not an issue. However, the recent financial crisis revealed that liquidity dried up for many banks due to increased mistrust in the banking sector. Besides investigating moral hazard behavior, using data from 2005 to 2010 this study moves beyond current literature by employing a measure for liquidity risk in order to evaluate how liquidity risk relates to efficiency and capital. Results mostly apply to current literature in this field since the empirical evaluation reveals that lower cost and profit-efficiency Granger-cause increases in credit risk. At the same time, results indicate that credit risk negatively Granger-causes cost and profit-efficiency, hence revealing a bi-directional relationship between these measures. However, most importantly, results also show a positive relationship between capital and credit risk, thus displaying that moral hazard behavior does not apply to cooperative banks. Especially the business model of cooperative banks, which is based on the interests of its commonly local customers (the cooperative act: § 1 GenG) may reason this finding. Contrary to Fiordelisi et al. (2011), results also show a negative relationship between capital and cost-efficiency, indicating that struggling cooperative banks focus on managing their cost-exposure in following periods. Concerning the employed liquidity risk measure, the authors find that banks who hold a high level of liquidity are less active in market related investments and hold high shares of equity capital. This outcome clearly reflects risk-preferences from the management of a bank. Chapter 4 examines governance structures of cooperative banks: The financial crisis of 2007/08 led to huge distortions in the banking market. The failure of Lehman Brothers was the beginning of government interventions in various countries all over the world in order to prevent domestic economies from even further disruptions. In the aftermath of the crisis, politicians and regulators identified governance deficiencies as one major factor that contributed to the crisis. Besides existing studies in the banking literature (e.g. Beltratti and Stulz, 2012; Diamond and Rajan, 2009; Erkens et al., 2012) an OECD study from 2009 supports this notion (Kirkpatrick, 2009). Public debates increased awareness for the need of appropriate governance mechanisms at that time. Consequently, politicians and regulators called for more financial expertise on bank boards. Accordingly, the Basel Committee on Banking Supervision states in principle 2 that “board members should remain qualified, individually and collectively, for their positions. They should understand their oversight and corporate governance role and be able to exercise sound, objective judgement about the affairs of the bank.” (BCBS, 2015). Taking these perceptions into consideration the prevailing question is whether financial experts on bank boards do really foster bank stability? This chapter aims to investigate this question by referring to the study from Minton et al. (2014). In their study, the authors investigate US commercial bank holding companies between the period 2003 and 2008. The authors find that financial experts on the board of US commercial bank holding companies promote pro-cyclical bank performance. Accordingly, the authors question regulators view of more financial experts on the board leading to more banking stability. However, Minton et al. (2014) do not examine whether their findings accrue due to financial experts who act in the interests of shareholders or due to the issue that financial experts may have a more risk-taking attitude (due to a better understanding of financial instruments) than other board members. Supposed that their findings accrue due to financial experts who act in the interests of shareholders. Then financial experts on the board of banks where short-term shareholder interests play no role (cooperative banks) may prove beneficial with regard on bank performance during the crisis as well as in normal times. This would mean that they use their skills and expertise to contribute sustainable growth to the bank. Contrary, if this study reveals pro-cyclical bank performance related to financial experts on the board of cooperative banks, this finding may be addressed solely to the risk-taking attitude of financial experts (since short-term shareholder interests play no role). For this reason, this chapter aims to identify the channel for the relation of financial experts and bank performance by examining the following research question: Do financial experts on the board promote pro-cyclical bank performance in a setting where short-term shareholder interests play no role? Results show that financial experts on the board of cooperative banks (data from 2006 to 2011) do not promote pro-cyclical bank performance. Contrary, results show evidence that financial experts on the board of cooperative banks appear to foster long-term bank stability. This suggests that regulators should consider ownership structure (and hence business model of banks) when imposing new regulatory constraints for financial experts on the bank board. N2 - Banken nehmen wichtige Funktionen innerhalb einer Volkswirtschaft wahr. Innerhalb ihrer Rolle als Finanzintermediär stellen sie Liquidität bereit und übernehmen elementare Aufgaben der Fristen- und Risikotransformation (Fama ,1985). Sie stellen sicher, dass die Liquidität der Depotinhaber den profitabelsten Investitionsprojekten zukommt. Darüber hinaus übernehmen Banken wichtige Prüfungs- und Überwachungsfunktionen über ihre Investitionsprojekte und sorgen damit für eine stetig effiziente Ressourcenallokation innerhalb einer Volkswirtschaft (Pathan and Faff, 2013). Da jedoch Banken ihre Finanzdienstleistungen der gesamten Volkswirtschaft zur Verfügung stellen, erzeugen sie damit auch (im Gegensatz zu Firmen) ein gewisses Systemrisiko: die Finanzkrise 2007 – 2008 hat gezeigt, dass Banken ganze Staaten in eine Rezession ziehen können. Gleichzeitig hat die Krise allerdings auch gezeigt, dass bestimmte Banktypen deutlich stabiler sind als andere. So sind beispielsweise die genossenschaftlichen Volks- und Raiffeisenbanken deutlich besser durch die Krise gekommen als nahezu alle Universalbanken. Genossenschaftsbanken existieren in allen größeren westlichen Volkswirtschaften und nehmen innerhalb dieser oft eine bedeutende Rolle ein. Aufgrund der einerseits hohen Bedeutung von Genossenschaftsbanken in den genannten Volkswirtschaften und der andererseits vergleichsweise geringen Beachtung in der Literatur, ist es das Ziel dieser Dissertation mit den folgenden drei empirischen Studien die bestehende Forschung der Genossenschaftsbanken voranzutreiben. Die drei empirischen Studien beschäftigen sich mit jeweils unabhängigen Forschungsfragen, die für den Bankensektor in jüngster Zeit von hoher Relevanz sind. Kapitel 2 beschäftigt sich mit der Frage, welche Genossenschaftsbanken von einer Einnahmendiversifikation profitieren können: bestehende Literatur offenbart den Trend innerhalb des Bankensektors, wonach Banken nach Diversifikation streben, indem sie ihre Einnahmen immer stärker im zinsunabhängigen Geschäft generieren. Jedoch zeigt sich in der Literatur ebenfalls, dass längst nicht alle Banken durch die Einnahmendiversifikation profitieren (Mercieca et al., 2007; Stiroh and Rumble, 2006; Goddard et al., 2008). Bei der Untersuchung von Genossenschaftsbanken ergibt sich folgendes Bild: es profitieren diejenigen Banken von einer weiteren Einnahmendiversifikation, welche bereits einen hohen Anteil ihrer Einnahmen durch das zinsunabhängige Geschäft generieren. Des Weiteren zeigt die Untersuchung einen negativen Nettoeffekt für diejenigen Banken, welche den Großteil ihrer Einnahmen durch das Zinsgeschäft generieren. Insgesamt deuten die Hinweise der empirischen Untersuchung darauf hin, dass Banken eine gewisse Zeit benötigen um entsprechende Expertise und Erfahrung aufzubauen damit eine Einnahmendiversifikation eine konkurrenzfähige risikoadjustierte Rendite erzeugt. Kapitel 3 beschäftigt sich mit der Beziehung zwischen dem Risiko, der Kapitalausstattung und der Effizienz einer Bank. Das Geschäftsmodell von Genossenschaftsbanken beruht auf der Förderung der Interessen der Mitglieder (§ 1 GenG). Das legt die Vermutung nahe, dass die in der Literatur weit verbreitete Ansicht des moralischen Risikoverhaltens nicht auf Genossenschaftsbanken zutrifft. Darüber hinaus könnten die besonderen Governance-Strukturen von Genossenschaftsbanken diese These stützen: kurzfristige Eigentümerinteressen als mögliche Ursache für moralisches Risikoverhalten spielen bei Genossenschaftsbanken keine Rolle. Die Ergebnisse der empirischen Untersuchung von Genossenschaftsbanken zeigen, dass eine niedrigere Kosten- und Gewinneffizienz zu einem höheren Kreditrisiko führt. Gleichzeitig bestätigen die Ergebnisse, dass ein negativer Zusammenhang zwischen dem Kreditrisiko von Banken und deren Kosten- und Gewinneffizienz besteht. Als zentraler Unterschied zu bestehenden Studien zeigt sich jedoch, dass ein positiver Zusammenhang zwischen der Eigenkapitalposition und dem Kreditrisiko besteht. Das bedeutet, dass moralisches Risikoverhalten („moral hazard“) bei Genossenschaftsbanken, wie bereits vermutet, nicht stattfindet. Insbesondere der Zweck der Genossenschaftsbanken (§ 1 GenG) und die damit einhergehenden besonderen Governance-Strukturen sind nach Ansicht der Autoren die wesentliche Begründung für diese Erkenntnis. Kapitel 4 widmet sich den Governance-Strukturen von Genossenschaftsbanken. Speziell wird in diesem Kapitel die Forschungsfrage behandelt, ob Finanzexperten im Aufsichtsrat von Genossenschaftsbanken zu einer prozyklischen Bankperformance führen. Dieser Zusammenhang wurde in der Studie von Minton, Taillard und Williamson (2014) bei kapitalmarktorientierten Banken aufgezeigt. Die Ergebnisse der Genossenschaftsbanken hingegen zeigen, dass Finanzexperten in den Aufsichtsräten von Genossenschaftsbanken im Zeitraum von 2006 bis 2011 keine prozyklische Bankperformance erzeugen. Im Gegenteil, die Ergebnisse weisen darauf hin, dass Finanzexperten in den Aufsichtsräten von Genossenschaftsbanken eine langfristige Stabilität der Banken gewährleisten. In der Konsequenz bedeutet das, dass Regulatoren die Eigentümerstrukturen (und damit das Geschäftsmodell) von Banken berücksichtigen sollten, wenn sie neue regulatorische Anforderungen hinsichtlich Finanzexperten in den Aufsichtsräten von Banken einführen. KW - cooperative diversification KW - Genossenschaftsbanken KW - performance KW - banksrevenue KW - risk KW - profitability KW - efficiency KW - Aufsichtsrat KW - Diversifikation KW - Risiko Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-153581 ER - TY - THES A1 - Karl, Franziska T1 - The role of miR-21 in the pathophysiology of neuropathic pain using the model of B7-H1 knockout mice T1 - Die Rolle von miR-21 in der Pathophysiologie von neuropathischem Schmerz am Model der B7-H1 defizienten Maus N2 - The impact of microRNA (miRNA) as key players in the regulation of immune and neuronal gene expression and their role as master switches in the pathophysiology of neuropathic pain is increasingly recognized. miR-21 is a promising candidate that could be linked to the immune and the nociceptive system. To further investigate the pathophysiological role of miR-21 in neuropathic pain, we assesed mice deficient of B7 homolog 1 (B7-H1 ko), a protein with suppressive effect on inflammatory responses. B7-H1 ko mice and wildtype littermates (WT) of three different age-groups, young (8 weeks), middle-aged (6 months), and old (12 months) received a spared nerve injury (SNI). Thermal withdrawal latencies and mechanical withdrawal thresholds were determined. Further, we investigated anxiety-, depression-like and cognitive behavior. Quantitative real time PCR was used to determine miR-21 relative expression in peripheral nerves, dorsal root ganglia and white blood cells (WBC) at distinct time points after SNI. Naïve B7-H1 ko mice showed mechanical hyposensitivity with increasing age. Young and middle-aged B7-H1 ko mice displayed lower mechanical withdrawal thresholds compared to WT mice. From day three after SNI both genotypes developed mechanical and heat hypersensitivity, without intergroup differences. As supported by the results of three behavioral tests, no relevant differences were found for anxiety-like behavior after SNI in B7-H1 ko and WT mice. Also, there was no indication of depression-like behavior after SNI or any effect of SNI on cognition in both genotypes. The injured nerves of B7-H1 ko and WT mice showed higher miR-21 expression and invasion of macrophages and T cells 7 days after SNI without intergroup differences. Perineurial miR-21 inhibitor injection reversed SNI-induced mechanical and heat hypersensitivity in old B7-H1 ko and WT mice. This study reveals that reduced mechanical thresholds and heat withdrawal latencies are associated with miR-21 induction in the tibial and common peroneal nerve after SNI, which can be reversed by perineurial injection of a miR-21 inhibitor. Contrary to expectations, miR-21 expression levels were not higher in B7-H1 ko compared to WT mice. Thus, the B7-H1 ko mouse may be of minor importance for the study of miR-21 related pain. However, these results spot the contribution of miR-21 in the pathophysiology of neuropathic pain and emphasize the crucial role of miRNA in the regulation of neuronal and immune circuits that contribute to neuropathic pain. N2 - Die Beteiligung von microRNA (miRNA) an der Genregulation immunologischer und neuronaler Prozesse und deren Rolle als Schlüsselelement in der Pathophysiologie von neuropathischem Schmerz gewinnt zunehmend an Bedeutung. miR-21 ist ein vielversprechender Kandidat, der sowohl das Immunsystem, als auch das nozizeptive System beeinflusst. Um die pathophysiologische Rolle von miR-21 bei neuropathischem Schmerz besser zu verstehen wurden Mäuse mit B7 homolog 1 Defizienz (B7-H1 ko), einem immunsupprimierendem Protein, untersucht. Eine frühere Studie zeigte eine Hochregulierung von miR-21 in murinen Lymphozyten. Junge (8 Wochen), mittelalte (6 Monate) und alte (12 Monate) B7-H1 ko Mäuse und Wildtypwurfgeschwister (WT) erhielten eine spared nerve injury (SNI) als neuropathischem Schmerzmodell. Es wurden thermische Rückzugslatenzen und mechanische Rückzugsschwellen bestimmt. Des weiteren wurde sowohl das Angstverhalten, das depressive Verhalten, als auch das kognitive Verhalten untersucht. Um die relative Expression von miR-21 in den peripheren Nerven, den Spinalganglien und in den weißen Blutzellen zu verschiedenen Zeitpunkten zu bestimmen, wurde die quantitative real time PCR angewandt. Naive B7-H1 ko Mäuse zeigten mit zunehmendem Alter eine mechanische Hyposensitivität. Bereits 3 Tage nach SNI entwickelten beide Genotypen eine Überempfindlichkeit gegenüber Hitze und mechanischer Stimulation. In drei durchgeführten Verhaltenstests konnten keine relevanten Unterschiede im Angstverhalten nach SNI von B7-H1 ko und WT Mäusen festgestellt werden. Bei beiden Genotypen gab es weder Hinweise auf depressives Verhalten nach SNI, noch wurde das kognitive Verhalten durch SNI beeinträchtigt. Die verletzen Nerven der B7-H1 ko und WT Mäuse zeigten 7 Tage nach SNI eine höhere miR-21 Expression und eine Invasion durch Makrophagen und T-Zellen ohne Gruppenunterschiede. Die perineurale Injektion eines miR-21 Inhibitors konnte die durch SNI induzierte mechanische und thermische Hypersensitivität lindern. Diese Studie zeigt, dass der Anstieg von miR-21 im N. tibialis und N. peroneus communis mit reduzierten Rückzugsschwellen gegen mechanische Reize und verkürzten Wegzugslatenzen bei Hitzestimulation einhergeht, welche durch perineurale Injektion eines miR-21 Inhibitors verringert werden können. Entgegen der Erwartungen zeigten B7-H1 ko Mäuse im Vergleich zu WT Mäusen keine erhöhte miR-21 Expression und sind daher möglicherweise von geringer Bedeutung für die Untersuchung von miR-21 assoziiertem Schmerz. Jedoch bekräftigen diese Ergebnisse eine Beteiligung von miR-21 an der Pathophysiologie von neuropathischem Schmerz und bestätigen die wichtige Rolle von miRNA bei der Regulation von neuronalen und immunologischen Prozessen, die zu neuropathischem Schmerz beitragen. KW - neuropathic pain KW - inflammation KW - B7-H1 KW - immune system KW - neuropathic pain KW - miRNA KW - miR-21 Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-156004 ER - TY - JOUR A1 - Drenckhahn, Detlev A1 - Baumgartner, Werner A1 - Zonneveld, Ben T1 - Different genome sizes of Western and Eastern Ficaria verna lineages shed light on steps of Ficaria evolution JF - Forum Geobotanicum N2 - The genus Ficaria is now considered to comprize eight Eurasian species. The most widespread European species is the tetraploid F. verna Huds. The present study provides evidence for the existence of two main lineages of F. verna that differ considerably in their genomic size by about 3 pg. A Western F. verna lineage west of river Rhine displays a mean genome size (2C-value) of 34.2 pg and is almost precisely codistributed with the diploid F. ambigua Boreau (20 pg) north of the Mediterranean. The remaining part of Europe appears to be occupied by the Eastern F. verna lineage solely (mean genome size of 31.3 pg) which codistributes in South-Eastern Europe with the diploid F. calthifolia Rchb. (15 pg). There is little overlap at the boundary of Western and Eastern F. verna lineages with the occurrence of a separate intermediate group in the Netherlands (mean genomic size of 33.2 pg) that appears to result from hybridization of both lineages. On the basis of these observations and further considerations we propose development of F. ambigua and F. calthifolia south of the Alps with subsequent divergence to populate their current Western and Eastern European ranges, respectively. The Western F. verna lineage is proposed to originate from autotetraploidization of F. ambigua (precursor) with moderate genomic downsizing and the Eastern F. verna lineage from auto¬tetraploidization of F. calthifolia (precursor). KW - Ficaria verna KW - Ficaria calthifolia KW - Ficaria ambigua KW - Durchflusscytometrie KW - Evolution KW - Genom Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-155061 UR - http://www.forum-geobotanicum.net/articles/vol_7-2016/drenckhahn-baumgartner-zonnefeld_ficaria_verna/drenckhahn-baumgartner-zonnefeld_ficaria_verna.pdf SN - 1867-9315 VL - 7 ER -