@phdthesis{Ostner2002, author = {Ostner, Julia}, title = {Sex-specific reproductive strategies in redfronted lemurs (Eulemur fulvus rufus, Primates, Lemuridae)}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-5011}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {The number of males in animal groups is an essential determinant of male and female reproductive strategies. Females may benefit from living with several males, whereas males generally strive to monopolize a group of females. Due to male intrasexual competition, the sex ratio of groups of anthropoid primates is generally female-biased. Gregarious Malagasy lemurs deviate from theoretical expectations derived from sexual selection theory and from patterns found among anthropoids because they live in relatively small groups with an even or male-biased adult sex ratio and lack sexual dimorphism. The aim of this thesis was to investigate sex-specific reproductive strategies relating to the unusual group composition of redfronted lemurs (Eulemur fulvus rufus) by combining behavioral, demographic and endocrinological data. In the first of a set of four studies I investigated the applicability of non-invasive endocrine measurements for monitoring ovarian function in wild redfronted lemur females in order to evaluate the degree of estrus synchrony. Further, I tested the prediction that males living in multi-male groups rely on indirect mechanisms of intrasexual competition, such as physiological suppression of testicular function. Several possible benefits gained from living with many males have been proposed and the hypothesis that additional males improve social thermoregulation was tested in the third study. Finally, I examined the proximate determinants of the unusual sex ratio within groups, the variation in the adult sex ratio as well as possible social benefits of the high number of males for both sexes. The study was conducted in Kirindy Forest, Madagascar, between April 1999 and July 2000. I recorded >3000 hours of focal animal data on social and sexual behavior of all adult members of five groups. Additionally, >2200 fecal samples of males and females were collected for subsequent hormone analysis using enzymeimmunoassay (EIA). Further, I analyzed demographic data from seven Eulemur fulvus rufus groups collected between 1996 and 2002. The analyses of fecal estrogen and progestogen excretion in wild and captive females revealed that monitoring ovarian function is principally possible in redfronted lemurs, as demonstrated by the analysis of samples from captive females. Characterization of ovarian cycles in wild females, however, was not possible, because of a high day-to-day variability in excreted hormones. Nevertheless, the study provided reliable information on gestation and cycle length as well as endocrine changes associated with gestation. Additionally, I established a method for prenatal sex determination using maternal fecal samples collected during late gestation. The excretion pattern of androgens in samples of males revealed no differences between dominant and subordinate males, indicating that dominant males did not suppress the endocrine function of subordinate rivals. High frequencies of matings in combination with large testes size suggest that male reproductive competition relies at least partly on sperm competition. Females did not benefit from the high number of males in their groups in terms of improved thermoregulation because surplus males did not participate frequently in huddling groups with females. Analysis of the demographic data revealed that birth and mortality rates were not sex-biased and that males migrated considerably more frequently than females, providing no proximate explanation for the unusual sex ratio. Females in this study may proximately regulate group composition by synchronizing their fertile periods, which were inferred indirectly from the temporal distribution of births within groups. Both males and females benefit from the high number of co-resident males because reduced male group size seemed to be the main predictor of take-over rate, and thus, infanticide risk. The results of these studies suggest that certain life history traits (fast maturation, short inter-birth intervals) may ultimately determine the high number of males and the lack of single-male groups seen in redfronted lemurs. An accelerated male life history may facilitate joint group transfers and take-overs of male coalitions without a transitional time outside bisexual groups. Because males and females both benefit from a high number of males the conflict of interests between the sexes is considerably defused.}, subject = {Rotstirnmaki}, language = {en} } @phdthesis{Trumpf2002, author = {Trumpf, Jochen}, title = {On the geometry and parametrization of almost invariant subspaces and observer theory}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-5034}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {In my Ph.D. thesis "On the geometry and parametrization of almost invariant subspaces and observer theory" I consider the set of almost conditioned invariant subspaces of fixed dimension for a given fixed linear finite-dimensional time-invariant observable control system in state space form. Almost conditioned invariant subspaces were introduced by Willems. They generalize the concept of a conditioned invariant subspace requiring the invariance condition to hold only up to an arbitrarily small deviation in the metric of the state space. One of the goals of the theory of almost conditioned invariant subspaces was to identify the subspaces appearing as limits of sequences of conditioned invariant subspaces. An example due to {\"O}zveren, Verghese and Willsky, however, shows that the set of almost conditioned invariant subspaces is not big enough. I address this question in a joint paper with Helmke and Fuhrmann (Towards a compactification of the set of conditioned invariant subspaces, Systems and Control Letters, 48(2):101-111, 2003). Antoulas derived a description of conditioned invariant subspaces as kernels of permuted and truncated reachability matrices of controllable pairs of the appropriate size. This description was used by Helmke and Fuhrmann to construct a diffeomorphism from the set of similarity classes of certain controllable pairs onto the set of tight conditioned invariant subspaces. In my thesis I generalize this result to almost conditioned invariant subspaces describing them in terms of restricted system equivalence classes of controllable triples. Furthermore, I identify the controllable pairs appearing in the kernel representations of conditioned invariant subspaces as being induced by corestrictions of the original system to the subspace. Conditioned invariant subspaces are known to be closely related to partial observers. In fact, a tracking observer for a linear function of the state of the observed system exists if and only if the kernel of that function is conditioned invariant. In my thesis I show that the system matrices of the observers are in fact the corestrictions of the observed system to the kernels of the observed functions. They in turn are closely related to partial realizations. Exploring this connection further, I prove that the set of tracking observer parameters of fixed size, i.e. tracking observers of fixed order together with the functions they are tracking, is a smooth manifold. Furthermore, I construct a vector bundle structure for the set of conditioned invariant subspaces of fixed dimension together with their friends, i.e. the output injections making the subspaces invariant, over that manifold. Willems and Trentelman generalized the concept of a tracking observer by including derivatives of the output of the observed system in the observer equations (PID-observers). They showed that a PID-observer for a linear function of the state of the observed system exists if and only if the kernel of that function is almost conditioned invariant. In my thesis I replace PID-observers by singular systems, which has the advantage that the system matrices of the observers coincide with the matrices appearing in the kernel representations of the subspaces. In a second approach to the parametrization of conditioned invariant subspaces Hinrichsen, M{\"u}nzner and Pr{\"a}tzel-Wolters, Fuhrmann and Helmke and Ferrer, F. Puerta, X. Puerta and Zaballa derived a description of conditioned invariant subspaces in terms of images of block Toeplitz type matrices. They used this description to construct a stratification of the set of conditioned invariant subspaces of fixed dimension into smooth manifolds. These so called Brunovsky strata consist of all the subspaces with fixed restriction indices. They constructed a cell decomposition of the Brunovsky strata into so called Kronecker cells. In my thesis I show that in the tight case this cell decomposition is induced by a Bruhat decomposition of a generalized flag manifold. I identify the adherence order of the cell decomposition as being induced by the reverse Bruhat order.}, subject = {Invarianter Unterraum}, language = {en} } @phdthesis{Hassouneh2003, author = {Hassouneh, Mohammed H.}, title = {Interpretation of Potential Fields by Modern Data Processing and 3-dimensional gravity Modeling of the Dead Sea Pull-Apart Basin / Jordan Rift Valley (JRV)}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-4834}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2003}, abstract = {This work presents the analysis, 3D modeling and interpretation of gravity and aeromagnetic data of Jordan and Middle East. The potential field data delineate the location of the major faults, basins, swells, anticlines, synclines and domes in Jordan. The surface geology of Jordan and the immediate area east of the Rift is dominated by two large basins, the Al-Jafr basin in the south and the Al-Azraq-Wadi as Sirhan basin to the northeast. These two basins strike southeast-northwest and are separated by an anticlinal axis, the Kilwah-Bayir swell. The Karak Wadi El Fayha fault system occurs along the western flank of the swell. The Swaqa fault occurs on the southwest hinge of Al-Azraq basin and the Fuluq fault occurs on its northeast hinge. In the south west of Jordan, Wadi Utm-Quwaira and Disi-Mudawara fault zones are shown clearly in the aeromagnetic and gravity maps. The previous major faults are well correlated with the structural map of Jordan published by Bender (1968). 3D modeling of gravity data in the Dead Sea basin (DSB) was used together with existing geological and geophysical information to give a complete structural picture of the basin. The 3D models of the DSB show that the internal structure of the Dead Sea basin (DSB) is controlled by longitudinal faults and the basin is developed as a full graben bounded by sub-vertical faults along its long sides. In the northern planes of the 3D model, the accumulation of Quaternary (salt and marl) and Mesozoic (pre-rift) sediments are thinner than in the central and southern planes of the model. In the northern planes, the thickness of the Quaternary sediments is about 4 km, 5 km in the southern planes and it exceeds 8 km in the central planes of the DSR. The thickness of the pre-rift sediments reaches 10-12 km in the northern and southern planes and exceeds 15 km in the central planes of the DSR. The planes of the 3D models show that the depth to the crystalline basement under the eastern shoulders of the DSR is shallower than those beneath the western shoulders. It is about 3-5 km beneath the eastern shoulders and 7-9 km under the western shoulder of the DSR. The gravity anomaly maps of residual and first derivative gravity delineate the subsurface basins of widely varying size, shape, and depth along the Rift Valley. The basins are created by the combination of the lateral motion along a right-tending step over and normal faulting along the opposite sides. Al Bakura basin occupies the upper Jordanian River valley and extends into the southern Tiberias Lake. Bet Shean basin to the south of Al Bakura basin plunges asymmetrically toward the east. The Damia basin, comprising the central Jordan Valley and Jericho areas to the north of the Dead Sea is shallow basin (~600-800m deep). The Lisan basin is the deepest basin in the Rift. The 3D gravity models indicate a maximum of ~12 km of basin fill. Three basins are found in Wadi Araba area, Gharandal, Timna (Qa'-Taba) and Aqaba (Elat) basin. The three basins become successively wider and deeper to the south. The three regional gravity long E-W profiles (225 km) from the Mediterranean Sea crossing the Rift Valley to the east to the Saudi Arabia borders, show the positive correlation between topography and free air anomaly and strong negative Bouguer anomaly under the central part of the Dead Sea Basin (DSB) and normal regional Bouguer anomaly outside of the DSB in the transform valley. Depth to the top of the bedrock in the under ground of Jordan was calculated from potential field data. The basement crops out in the south west of Jordan and becomes deeper to northwards and eastwards to be about ~ 8 km below ground surface in the Risha area.}, subject = {Jordantal}, language = {en} } @phdthesis{Christensen2003, author = {Christensen, Morten Overby}, title = {Dynamics of human DNA Topoisomerases I and II}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-4927}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2003}, abstract = {The first goal of this study was to develop cell lines with a stable expression of bio-fluorescent topo II and topo I. This was successfully achieved using a bicistronic vector system. Control experiments showed that proteins of expected size were expressed, and that GFP-tagged topos I, IIa, and IIb were active in the cells and fully integrated in the endogenous pools of the enzymes. These cell-lines provided a novel tool for investigating the cell biology of human DNA topoisomerases. Our most important finding was, that both types of mammalian topoisomerases are entirely mobile proteins that are in continuous and rapid flux between all compartments of the nucleus and between the cytososl and the chromosomes of mitotic cells. This was particularly surprising with regard to topo II, which is considered to be a structural component of the nuclear matrix and the chromosome scaffold. We must conclude that if this was the case, then these architectural structures appear to be much more dynamic than believed until now. In this context it should also be mentioned, that the alignment of topo II with the central axes of the chromosome arms, which has until now been considered a hall-mark of the enzyme's association with the chromosomal scaffold, is not seen in vivo and can be demonstrated to be to some extent an artefact of immunohistochemistry. Furthermore, we show that the two isoforms of topo II (a and b) have a different localisation during mitotic cell division, supporting the general concept that topo II functions at mitosis are exclusively assigned to the a-form, whereas at interphase the two isoenzymes work in concert. Despite unrestricted mobility within the entire nuclear space, topoisomerases I and II impose as mostly nucleolar proteins. We show that this is due to the fact that in the nucleoli they are moving slower than in the nucleoplasm. The decreased nucleolar mobility cannot be due to DNA-interactions, because compounds that fix topoisomerases to the DNA deplete them from the nucleoli. Interestingly, the subnucleolar distribution of topoisomerases I and II was complementary. The type II enzyme filled the entire nucleolar space, but excluded the fibrial centers, whereas topo I accumulated at the fibrial centers, an allocation directed by the enzyme's N-terminus. During mitosis, it also mediates association with the nucleolar organising regions of the acrocentric chromosomes. Thus, topo I stays associated with the rDNA during the entire cell-cycle and consistently colocalizes there with RNA-polymerase I. Finally, we show that certain cancer drugs believed to act by stabilising covalent catalytic DNA-intermediates of topoisomerases, do indeed immobilize the enzymes in living cells. Interestingly, these drugs do not target topoisomerases in the nucleoli but only in the nucleoplasm.}, subject = {Mensch}, language = {en} } @phdthesis{Feldmann2002, author = {Feldmann, Kristina}, title = {Signal transduction of transforming growth factor-Beta in cytotoxic T cells}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-4912}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {Transforming-Growth-Factor-beta1 (TGF-b1) ist ein multifunktionelles Zytokin, welches insbesondere Zellwachstum und Zelldifferenzierung koordiniert. TGF-b ist vor allem daf{\"u}r bekannt, Zellen des Immunsystems zu beeinflussen. TGF-b steuert zum Beispiel die Differenzierung von T-Zellen und und deren Effektorfunktionen. Die Signaltransduktion von TGF-b wird vermittelt durch die Phosphorylierung von Rezeptor-assoziierten Smad-Proteinen (R-Smads). R-Smads werden vom Typ I Rezeptor aktiviert, der seinerseits vom hochaffinen Typ II Rezeptor phosphoryliert wird, sobald der Ligand bindet. Die phosphorylierten RSmads assoziieren darauf mit Co-Smads. Heterooligomere von R-Smads und Co-Smads wandern dann in den Zellkern, wo sie im Zusammenspiel mit Transkriptionsfaktoren wie CBP/p300 oder AP-1 die Transkription TGF-b-spezifischer Zielgene koordinieren. Neue Erkenntnisse lassen vermuten, daß die pleiotropen Effekte von TGF-b durch das Interagieren mit anderen Signalkaskaden entstehen, zum Beispiel mit dem MAP-Kinase-Weg oder der STAT-Kaskade. Wir beschreiben hier den Effekt von TGF-b auf die Effektorfunktionen unterschiedlich stimulierter prim{\"a}rer Maus-Milzzellen und aufgereinigten zytotoxischen CD8+ Maus-TZellen. Langzeitbehandlung mit TGF-b resultierte in der Unf{\"a}higkeit der Zellen, Smad2 ligandeninduziert zu phosphorylieren. Entweder wurde {\"u}berhaupt keine Phosphorylierung beobachtet, oder eine anhaltende Phosphorylierung von Smad2 unabh{\"a}ngig vom Vorhandensein des Liganden. Des weiteren stellten wir einen Zusammenhang zwischen anhaltender Smad2-Phosphorylierung und der Resistenz gegen{\"u}ber TGF-b induzierter Wachstumshemmung fest. Im Gegensatz dazu zeigen Zellen, die sensitiv sind gegen{\"u}ber TGF-b vermittelter Wachstumshemmung, keine Smad2-Phosphorylierung mehr. Bez{\"u}glich ihrer zytotoxische Aktivt{\"a}t waren allerdings beide Ph{\"a}notypen nicht mehr lytisch wirksam, unabh{\"a}ngig von der jeweiligen Smad2-Phosphorylierung. In dieser Arbeit zeigen wir auch die Notwendigkeit eines funktionalen MEK-1-Signalweges auf, der unabdingbar ist, damit TZellen keine Wachstumsinhibierung durch TGF-b mehr erfahren. Das Blockieren dieses Signalweges f{\"u}hrt dar{\"u}berhinaus bei diesen Zellen ebenfalls zu einem ver{\"a}nderten Smad2- Phosphorylierungsmuster. Bez{\"u}glich des JNK-Signalweges konnten wir feststellen, daß ein funktional aktiver JNK-Signalweg mit der Resistenz gegen{\"u}ber TGF-b vermittelter Wachstumsinhibierung einhergeht. Allerdings f{\"u}hrt die Zugabe von IFNg und/oder aCD28- Antik{\"o}rper nicht zu einer ver{\"a}nderten Sensitivit{\"a}t gegen{\"u}ber TGF-b. Im Gegensatz zuprim{\"a}ren Zellen k{\"o}nnen die beschriebenen Zusammenh{\"a}nge in Zellkulturen vom humanen und murinen T Zellen nicht beobachtet werden, und sind somit spezifisch f{\"u}r primare TZellen. Wir beschreiben auch die Klonierung eines chim{\"a}ren dominant-negativen Typ II Rezeptors, der an eine Kinase gekoppelt ist, die bei Aktivierung Zelltod ausl{\"o}st. Damit soll es in Zukunft m{\"o}glich sein, T-Zellen gegen{\"u}ber TGF-b Resistenz zu verleihen. Die hier geschilderten Ergebnisse vertiefen die Kenntnisse {\"u}ber molekulare Mechanismen der Wirkung von TGF-b auf T-Zellen und k{\"o}nnen vielleicht dazu beitragen, negative Effekte von TGF-b, zum Beispiel in der Tumortherapie, gezielt abzuwenden.}, subject = {T-Lymphozyt}, language = {en} } @phdthesis{Baia2002, author = {Baia, Gheorghe Lucian}, title = {Theory and applications of confocal micro-Raman spectroscopy on hybrid polymer coatings and PDMS membranes and spectroscopic studies of doped B2O3-Bi2O3 glass systems}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-4606}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {The thesis consists of two major parts. The first part contains a theoretical-experimental study of confocal micro-Raman spectroscopy on hybrid polymer coatings and an application of this spectroscopic method on PDMS-membranes. The theoretical-experimental study includes the application of a model that describes the influence of the refraction effect on the focus length on confocal Raman experiments, and the development of a new model that additionally takes into account the effect of diffraction on the focus dimensions. A parallel comparison between these two theoretical approaches and experimental data has been also drawn and a better agreement between theory and experiment was observed, when both refraction and diffraction effects were considered. Further, confocal resonance micro-Raman spectroscopy has been applied to characterise the diffusion processes of pharmacologically relevant molecules (b-carotene dissolved in dimethylsulfoxide) through a polydimethylsiloxane (PDMS)-membrane. The diffusion rate as a function of the measurement depth and diffusion time as well as the concentration gradient under a steady flux have been determined. The measurements shown that the confocal micro-Raman technique is a powerful tool to investigate the kinetics of diffusion processes within a membrane before the steady state has been reached. The second part of the thesis contains infrared and Raman spectroscopic studies of copper and iron doped B2O3-Bi2O3 glass systems. These studies were performed to obtain specific data regarding their local structure and the role played by dopant ions on boron and bismuthate units. The changes of B2O3 and Bi2O3 structural units due to the relaxation of the amorphous structure, which was induced in these samples by the thermal treatment, were also evidenced.}, language = {en} } @phdthesis{Bolboaca2002, author = {Bolboaca, Monica-Maria}, title = {Vibrational characterisation of coordination and biologically active compounds by means of IR absorption, Raman and surface-enhanced Raman spectroscopy in combination with theoretical simulations}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-4616}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {The thesis contains two major parts. The first part deals with structural investigations on different coordination compounds performed by using infrared absorption and FT-Raman spectroscopy in combination with density functional theory calculations. In the first section of this part the starting materials Ph2P-N(H)SiMe3 and Ph3P=NSiMe3 and their corresponding [(MeSi)2NZnPh2P-NSiMe3]2 and Li(o-C6H4PPh2NSiMe3)]2·Et2O complexes have been investigated in order to determine the influence of the metal coordination on the P-N bond length. In the next section the vibrational spectra of four hexacoordinated silicon(IV) and germanium(IV) complexes with three symmetrical bidentate oxalato(2-) ligands have been elucidated. Kinetic investigations of the hydrolysis of two of them, one with silicon and another one with germanium, have been carried out at room temperature and at different pH values and it was observed that the hydrolysis reaction occurs only for the silicon compound, the fastest reaction taking place at acidic pH. In the last section of this part, the geometric configurations of some hexacoordinated silicon(IV) complexes with three unsymmetrical bidentate hydroximato(2-) ligands have been determined. The second part of the thesis contains vibrational investigations of some biologically active molecules performed by means of Raman spectroscopy together with theoretical simulations. The SER spectra of these molecules at different pH values have also been analysed and the adsorption behaviour on the metal surface as well as the influence of the pH on the molecule-substrate interaction have been established.}, subject = {Komplexe}, language = {en} } @phdthesis{Sitaru2003, author = {Sitaru, Ana Gabriela}, title = {Modulation of the T cell response with MHC class I peptides and their analogues}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-4561}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2003}, abstract = {Transplantation is now firmly established as a therapeutic approach to extend and improve the life of patients in the final stages of organ failure. It has been demonstrated that transplantation between genetically non-identical individuals leads to the activation of the recipient's alloimmune response as a major determinant of transplant outcome. T cell recognition of foreign MHC molecules plays a key role in initiating and sustaining allograft rejection. To prevent the risk of rejection, patients are given immunosuppressive drugs, which are non-specific and have major side-effects (infections, malignancies). It has been shown that the alloreactive T cells specifically recognize donor MHC-derived peptides. This implies that it may be possible to develop antigen-specific strategies in order to modulate the alloimmune response by peptide analogues and specifically altered peptide ligands. The purpose of this study was to explore the potential of "recipient-adapted" analogues from the dominant MHC class I peptide to modulate the alloimmune response. Beside the significant role of donor dominant determinants in the rejection process, we tested seven 13-to-24-mer peptides from the Wistar-Furth MHC class I molecule (WF, RT1.Au) for their possible immunogenicity in a fully MHC-mismatched WF to Lewis (LEW, RT1l) rat strain combination. Secondly, the immunodominant allopeptide was selected to generate analogues in order to investigate their modulatory capacity. All peptides were tested in vitro in a standard proliferation assay and in vivo using a heterotopic heart transplantation model. Our findings show that five peptides (P1-P5) were able to induce specific T cell proliferation in LEW responders. Furthermore, we found a hierarchical distribution of the determinants: peptide P1 as a good candidate for the immunodominant determinant, while P2, P3, P4, and P5 as subdominant epitopes and the other two peptides, P6 and P7, as non-immunogenic determinants of WF MHC class I molecule. Furthermore, the dominance of P1 was confirmed by the strong proliferation induced after immunization with a mixture of peptides in the presence of P1. This hierarchical distribution of the proliferative response correlated with the cytokine production. Peptide P1, comprising only 3 allogeneic amino acids (L5, L9, and T10) induced the strongest T cell proliferation and produced high levels of cytokines, especially IL-2 and IFN-g. In addition, the immunodominance of peptide P1 was confirmed by the significant reduction in the allograft survival time in comparison to the non-immunized control animals. Since the TCR Vß repertoire of rejected graft-infiltrating cells in rejected allografts was similar to the profile observed after in vitro restimulation of P1-primed T cells, we concluded that peptide P1 is able to activate the alloreactive T cell population. Our results demonstrate the particular role of the dominant peptide P1 (residues 1-19) in the allograft rejection in WF to LEW rat strain combination. In the second set of experiments, we investigated the fine specificity of the dominant peptide P1-activated T cells using peptide analogues from P1. The "recipient-adapted" analogues were designed by changing the allogeneic RT1.Au amino acids (L5, L9, T10) one-by-one with the correspondent syngeneic RT1.Al amino acids (M5, D9, I10) in the sequence of peptide P1. The six peptide analogues (A1.1-A1.6) consisting of either one or two allogeneic amino acids were able to induce a specific T cell proliferative response and cytokine production. Analogue A1.5 with only one allogeneic amino acid (L5) was of particular interest because it induced a low T cell proliferation and high cytokine levels, especially IL-4 and IL-10. In addition, immunization with A1.5 did not influence the allograft survival time in comparison to the non-immunized LEW recipients. A1.5 was the only analogue able to down-regulate the proliferation of P1-primed T cells. Our results reveal that A1.5 is an MHC competitor as confirmed by the in vitro MHC competition assay and the inhibition of the negative effect of P1 on the allograft survival time when recipients were immunized with a mixture of P1 and A1.5. These findings suggest that it is possible to design peptide analogues, such as A1.5, which do not stimulate the dominant peptide P1-specific T cell population and even more, are able to block its presentation in the MHC molecule. In all, the results indicate that the specific suppression of indirect allorecognition can be achieved by using peptide analogues of the dominant allopeptide.}, language = {en} } @phdthesis{Lutz2002, author = {Lutz, Marion}, title = {Effects of nerve growth factor on TGF-Beta,Smad signal transduction in PC12 cells}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-4248}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {Transforming growth factor-ß (TGF-ß) is a multifunctional cytokine that is engaged in regulating versatile cellular processes that are pivotal for development and homeostasis of most tissues in multicellular organisms. TGF-ß signal transduction is initially propagated by binding of TGF-ß to transmembrane serine/threonine kinase receptors, designated TßRI and TßRII. Upon activation, the receptors phosphorylate Smad proteins which serve as downstream mediators that enter the nucleus and finally trigger transcriptional responses of specific genes. During the past years, it became evident that signaling cascades do not proceed in a linear fashion but rather represent a complex network of numerous pathways that mutually influence each other. Along these lines, members of the TGF-ß superfamily are attributed to synergize with neurotrophins. Together, they mediate neurotrophic effects in different populations of the nervous system, suggesting that an interdependence exists between TGF-ßs on the one hand and neurotrophins on the other. In the present work, the crosstalk of NGF and TGF-ß/Smad signaling pathways is characterized in rat pheochromocytoma cells (PC12) which are frequently used as a model system for neuronal differentiation. PC12 cells were found to be unresponsive to TGF-ß due to limiting levels of TßRII. However, stimulation with NGF results in initiation of Smad-mediated transcription independent of TGF-ß. Binding of NGF to functional TrkA receptors triggers activation of Smad3. This NGF-dependent Smad activation occurs by a mechanism which is different from being induced by TGF-ß receptors in that it provokes a different phosphorylation pattern of R-Smads. Together with an inferior role of TßRI, Smad3 is proposed to serve as a substrate for cellular kinases other than TßRI. Based on the presented involvement of components of both, the MAPK/Erk and the TAK1/MKK6 cascade, signal mediators of these pathways rank as candidates to mediate direct activation of Smad3. Smad3 is subsequently translocated to the nucleus and activates transcription in a Smad4-dependent manner. Negative regulation is provided by Smad7 which was found to act as a potent inhibitor of Smad signaling not only in TGF-ß- but also in NGF-mediated cascades. The potential of NGF to activate the Smad pathway independent of TGF-ß might be of special importance in regulating expression of genes that are essential for the development and function of neuronal cells or of other NGF-sensitive cells, in particular those which are TGF-ß-resistant.}, subject = {Transforming growth factor beta}, language = {en} } @phdthesis{Selinka2002, author = {Selinka, Carola}, title = {Synthetic routes to asymmetrical Alkylenediimidosulfites and Novel Heteroarene-linked Bis-diimidosulfinates and Bis-triimidosulfonates}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-4271}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {This theses deals with the syntheses and the coordination behaviour of polyimidosulfur anions like S(NR)32-, S(NR)42-, RS(NR)2- or RS(NR)3-, the nitrogen analogues of the well known oxo-anions SO32-, SO42-, RSO2- and RSO3-. The first aim was the synthesis of a triimidosulfite with three different NR-substituents, a so called asymmetrical triimidosulfite. In all reactions, that have been carried out to obtain a triimidosulfite with three (or two) different residues at nitrogen, the final product was always the dilithium sulfide adduct. The syntheses of chiral alkylenediimidosulfites was successful. Similar to Corey's S-ylides (R2(O)S+--CR2) and Wittig's phosphonium ylides (R3P+--CR2) these molecules contain a positively charged sulfur atom next to a carbanionic centre. The structures of the alkylenediimidosulfites are not influenced by the different substituents at nitrogen and carbon, respectively. In each case a doublecubic structure is received. The first members of a completely new class of compounds were synthesised: the aryl-bis-(diimidosulfinates). In this compounds two SN2 units are connected via a heteroaromatic linker, containing a potential donor centre in metal coordination. They represent, like the known alkyldiimidosulfinates, dipodal monoanionic ligands. In the field of sulfur (VI) chemistry the syntheses of aryltriimidosulfonates were successful. Hitherto it was believed, that only spatial less demanding lithium organics could be added to a S=N double bond in S(NtBu)3. This assumption was confirmed by the fact that methyl- and phenylacetylene-triimidosulfonate were the only known alkylsulfonates. Nevertheless, the addition of several lithiumheteroarenes to sulfurtriimide worked without difficulties. If the shape of the nucleophile permits to slot in between the NtBu substituents and to approach the electrophilic sulfur in the sulfurtriimide from the side rather than in an orthogonal angle, the addition reaction works smoothly. Although the steric demand of the tris(tert.-butyl)triimidosulfonate unit is very high, the synthesis of thiophene-bis-(triimidosulfonate) worked. The sulfonate moieties function as dipodal ligands.}, subject = {Schwefelylide}, language = {en} } @phdthesis{Putz2002, author = {Putz, Gabriele}, title = {Characterization of memories and ignorant (S6KII) mutants in operant conditioning in the heat-box}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-4195}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {Learning and memory processes of operant conditioning in the heat-box were analysed. Age, sex, and larval desity were not critical parameters influencing memory, while low or high activity levels of flies were negatively correlated with their performance. In a search for conditioning parameters leading to high retention scores, intermittent training was shown to give better results than continuous training. As the memory test is the immediate continuation of the conditioning phase just omitting reinforcement, we obtain a memory which consists of two components: a spatial preference for one side of the chamber and a stay-where-you-are effect in which the side preference is contaminated by the persistence of heat avoidance. Intermittent training strengthens the latter. In the next part, memory retention was investigated. Flies were trained in one chamber and tested in a second one after a brief reminder training. With this direct transfer, memory scores reflect an associative learning process in the first chamber. To investigate memory retention after extended time periods, indirect transfer experiments were performed. The fly was transferred to a different environment between training and test phases. With this procedure an after-effect of the training was still observed two hours later. Surprisingly, exposure to the chamber without conditioning also lead to a memory effect in the indirect transfer experiment. This exposure effect revealed a dispositional change that facilitates operant learning during the reminder training. The various memory effects are independent of the mushroom bodies. The transfer experiments and yoked controls proved that the heat-box records an associative memory. Even two hours after the operant conditioning procedure, the fly remembers that its position in the chamber controls temperature. The cAMP signaling cascade is involved in heat-box learning. Thus, amnesiac, rutabaga, and dunce mutants have an impaired learning / memory. Searching for, yet unknown, genes and signaling cascades involved in operant conditioning, a Drosophila melanogaster mutant screen with 1221 viable X-chromosome P-element lines was performed. 29 lines with consistently reduced heat avoidance/ learning or memory scores were isolated. Among those, three lines have the p[lacW] located in the amnesiac ORF, confirming that with the chosen candidate criteria the heat-box is a useful tool to screen for learning and /or memory mutants. The mutant line ignP1 (8522), which is defective in the gene encoding p90 ribosomal S6 kinase (S6KII), was investigated. The P-insertion of line ignP1 is the first Drosophila mutation in the ignorant (S6KII) gene. It has the transposon inserted in the first exon. Mutant males are characterized by low training performance, while females perform well in the standard experiment. Several deletion mutants of the ignorant gene have been generated. In precise jumpouts the phenotype was reverted. Imprecise jumpouts with a partial loss of the coding region were defective in operant conditioning. Surprisingly, null mutants showed wild-type behavior. This might indicate an indirect effect of the mutated ignorant gene on learning processes. In classical odor avoidance conditioning, ignorant null mutants showed a defect in the 3-min, 30-min, and 3-hr memory, while the precise jumpout of the transposon resulted in a reversion of the behavioral phenotype. Deviating results from operant and classical conditioning indicate different roles for S6KII in the two types of learning.}, subject = {Taufliege}, language = {en} } @phdthesis{BletzSiebert2002, author = {Bletz-Siebert, Oliver}, title = {Homogeneous spaces with the cohomology of sphere products and compact quadrangles}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-3994}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {We consider homogeneous spaces G/H with the same rational homotopy as a product of a 1-sphere and a (m+1)-sphere. We show that these spaces have also the rational cohomology of such a sphere product if H is connected and if the quotient has dimension m+2. Furthermore, we prove that if additionally the fundamental group of G/H is cyclic, then G/H is locally a product of a 1-torus and ofA/H, where A/H is a simply connected rational cohomology (m+1)-sphere (and hence classified). If H fails to be connected, then with U as the connected component of H the G-action on the covering space G/U of G/H has connected stabilizers, and the results apply to G/U. To show that under the assumptions above every natural number may be realized as the order of the group of connected components of H we calculate the cohomology of certain homogeneous spaces. We also determine the rational cohomology of the fibre bundle U-->G-->G/U if G/H meets the assumptions above. This is done by considering the respective Leray-Serre spectral sequence. The structure of the cohomology of U-->G-->G/U then gives a second proof for the structure of compact connected Lie groups acting transitively on spaces with the rational homotopy of a product of a 1-sphere and a (m+1)-sphere. Since a quotient of a homogeneous space with the same rational homotopy or cohomology as a product of a 1-sphere and a (m+1)-sphere is not simply connected, there often arises the question whether or not a considered fibre bundle or fibration is orientable. A large amount of space will therefore be given to the problem of showing that certain fibrations are orientable. For compact connected (m+2)-manifolds with cyclic fundamental groups and with the rational homotopy of a product of a 1-sphere and a (m+1)-sphere we show the following: if a connected Lie group acts transitively on the manifold, then the maximal compact subgroups are either transitive, or their orbits are simply connected rational cohomology spheres of codimension 1. Homogeneous spaces with the same rational cohomology or homotopy as a a product of a 1-sphere and a (m+1)-sphere play a role in the study of different types of geometrical objects. They appear for example as focal manifolds of isoparametric hypersurfaces with four distinct principal curvatures. Further examples of such spaces are the point spaces and the line spaces of compact connected generalized quadrangles. We determine the isometry groups of isoparametric hypersurfaces with 4 principal curvatures of multiplicities 1 and m which are transitive on the focal manifold with non-trivial fundamental group. Buildings were introduced by Jacques Tits to give interpretations of simple groups of Lie type. They are a far-reaching generalization of projective spaces, in particular a generalization of projective planes. There is another generalization of projective planes called generalized polygons. A projective plane is the same as a generalized triangle. The generalized polygons are also contained in the class of buildings: they are the buildings of rank 2. To compact quadrangles one can assign a pair of natural numbers called the topological parameters of the quadrangles. We treat the case k=1. It turns out that there are no other point-transitive compact connected Lie groups for (1,m)-quadrangles than the ones for the real orthogonal quadrangles. Furthermore, we solve the problem of three infinite series of group actions which Kramer left as open problems; there are no quadrangles with the homogeneous spaces in question as point spaces (up to maybe a finite number of small parameters in one of the three series).}, subject = {Homogener Raum}, language = {en} } @phdthesis{Sitaru2002, author = {Sitaru, Cassian}, title = {Pathogenicity of autoantibodies to type VII collagen from patients with epidermolysis bullosa acquisita}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-3982}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {Die Epidermolysis bullosa acquisita (EBA) ist eine subepidermal blasenbildende Autoimmundermatose, die mit Autoantik{\"o}rpern gegen Typ VII Kollagen, den Hauptbestandteil der Verankerungsfibrillen der dermo-epidermalen Junktionszone (DEJ), assoziert ist. Bislang war jedoch unklar, ob diese Autoantik{\"o}rper tats{\"a}chlich eine Blasenbildung verursachen. In der vorliegenden Arbeit gingen wir dieser Frage unter Verwendung eines Gefrierschnitt-Modells nach. Nach Koinkubation mit Leukozyten gesunder Spender induzierten 14 von 16 EBA-Seren eine subepidermale Spaltbildung, nicht jedoch die Seren von gesunden Freiwilligen. Die Spaltbildung erfolgte im Bereich der Lamina lucida der DEJ und war von der Rekrutierung und Aktivierung neutrophiler Granulozyten, nicht jedoch von der Pr{\"a}senz mononuklearer Zellen abh{\"a}ngig. Autoantik{\"o}rper von Patienten, die gegen eine rekombinante Form der NC1-Dom{\"a}ne des Typ VII Kollagens affinit{\"a}tsaufgereinigt wurden, und der gegen die NC-1-Dom{\"a}ne gerichtete monoklonale Antik{\"o}rper LH7.2 induzierten ebenfalls eine subepidermale Spaltildung. Dagegen f{\"u}hrte die Pr{\"a}adsorption der EBA-Seren mit rekombinantem Typ VII Kollagen zum Verlust des blaseninduzierenden Potentials. Diese F{\"a}higkeit verloren auch durch Pepsinverdau hergestellte F(ab')2-Fragmente der Patienten-Autoantik{\"o}rper gegen Typ VII Kollagen. Die Ergebnisse dieser Arbeit zeigen, dass Autoantik{\"o}rper gegen Typ VII Kollagen eine Fcg-abh{\"a}ngige Entz{\"u}ndung und subepidermale Spaltbildung in Gefrierschnitten humaner Haut hervorrufen.}, language = {en} } @phdthesis{Chan2002, author = {Chan, Gordon}, title = {The Role of Vav-1, Vav-2 and Lsc in NK T cell development and NK cell cytotoxicity}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-3645}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {The hematopoietic-specific Rho-family GTP exchange factor (GEF) Vav-1 is a regulator of lymphocyte antigen receptor signaling and mediates normal maturation and activation of B and T cells. Recent findings suggest that Vav-1 also forms part of signaling pathways required for natural and antibody dependent cellular cytotoxicity (ADCC) of human NK cells. In this study, I show that Vav-1 is also expressed in murine NK cells. Vav-1-/- mice had normal numbers of splenic NK cells, and these displayed a similar expression profile of NK cell receptors as cells from wild type mice. Unexpectedly, IL-2-activated Vav-1-/- NK cells retained normal ADCC. Fc-receptor mediated activation of ERK, JNK, and p38 was also normal. In contrast, Vav-1-/- NK cells exhibited reduced natural cytotoxicity against EL4, C4.4.25, RMA and RMA/S. Together, these results demonstrate that Vav-1 is dispensable for mainstream NK cell development, but is required for NK cell natural cytotoxicity. Vav-2, a protein homologous to Vav-1 has also been implicated in NK cell functions. However, NK cells from Vav-2-/- mice have normal cytotoxic activities and NK cells that lack both Vav-1 and Vav-2 exhibit similar defect as Vav-1-/- cells. Thus Vav-2 has no apparent function in the development and the activation of NK cells. Although NK cell development is normal in Vav-1-/- mice, their numbers of NKT cells were dramatically diminished. Furthermore, NKT cells from Vav-1 mutant mice failed to produce IL-4 and IFNg following in vivo CD3 stimulation. A similar loss of NKT cells was observed in Vav-1-/-Vav-2-/- mice, but not in Vav-2-/- mice, suggesting that only Vav-1, and not Vav-2, is an essential regulator of NKT cell development and NK cell cytotoxicity. Similar to Vav-1, Lsc is a Rho GEF that is expressed specifically in the hematopoietic system. It contains a regulator of G-protein signaling (RGS) domain which negatively regulates the Ga12 and Ga13 subunits of G-protein coupled receptors (GPCRs). This study shows that NK and NKT cell development are normal in Lsc-/- mice. However, NK cells from mutant mice display enhanced cytotoxic responses towards a panel of tumor cells. These data implicate for the first time a RGS-containing Rho GEF in cytotoxic responses and suggest that Lsc down-modulate NK cell activation.}, subject = {Maus}, language = {en} } @phdthesis{Porsch2002, author = {Porsch, Matthias}, title = {OMB and ORG-1}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-3614}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {Members of the T-box gene family encode transcription factors that play key roles during embryonic development and organogenesis of invertebrates and vertebrates. The defining feature of T-box proteins is an about 200 aa large, conserved DNA binding motif, the T domain. Their importance for proper development is highlighted by the dramatic phenotypes of T-box mutant animals. My thesis was mainly focused on two Drosophila T-box genes, optomotor-blind (omb) and optomotor-blind related 1 (org-1), and included (i) a genetic analysis of org-1 and (ii) the identification of molecular determinants within OMB and ORG-1 that confer functional specificity. (i) Genetic analysis of org-1 initially based on a behavioral Drosophila mutant, C31. C31 is a X-linked, recessive mutant and was mapped to 7E-F, the cytological region of org-1. This pleiotropic mutant is manifested in walking defects, structural aberrations in the central brain, and "held-out" wings. Molecular analysis revealed that C31 contains an insertion of a 5' truncated I retrotransposon within the 3' untranslated transcript of org-1, suggesting that C31 might represent the first org-1 mutant. Based on this hypothesis, we screened 44.500 F1 female offspring of EMS mutagenized males and C31 females for the "held-out" phenotype, but failed to isolate any C31 or org-1 mutant, although this mutagenesis was functional per se. Since we could not exclude the possibility that our failure is due to an idiosyncracy of C31, we intended not to rely on C31 in further genetic experiments and followed a reverse genetic strategy . All P element lines cytologically mapping to 7E-7F were characterized for their precise insertion sites. 13 of the 19 analyzed lines had P element insertions within a hot-spot 37 kb downstream of org-1. No P element insertions within org-1 could be identified, but several P element insertions were determined on either side of org-1. The org-1 nearest insertions were used for local-hop experiments, in which we associated 6 new genes with P insertions, but failed to target org-1. The closest P elements are still 10 kb away from org-1. Subsequently, we employed org-1 flanking P elements to induce precise deletions in 7E-F spanning org-1. Two org-1 flanking P elements were brought together on a recombinant chromosome. Remobilization of P elements in cis configuration frequently results in deletions with the P element insertion sites as deficiency endpoints. In a first attempt, we expected to identify deficiencies by screening for C31 alleles. 8 new C31 alleles could be isolated. The new C31 chromosomes, however, did not carry the desired deletion. Molecular analysis indicated that C31 is not caused by aberrations in org-1, but by mutations in a distal locus. We repeated the P element remobilization and screened for the absence of P element markers. 4 lethal chromosomes could be isolated with a deletion of the org-1 locus. (ii) The consequences of ectopic org-1 were analyzed using UAS-org-1 transgenic flies and a number of different Gal4 driver lines. Misexpression of org-1 during imaginal development interfered with the normal development of many organs and resulted in flies with a plethora of phenotypes. These include a homeotic transformation of distal antenna (flagellum) into distal leg structures, a strong size reduction of the legs along their proximo-distal axis, and stunted wings. Like ectopic org-1, ectopic omb leads to dramatic changes of normal developmental pathways in Drosophila as well. dpp-Gal4/ UAS-omb flies are late pupal lethal and show an ectopic pair of wings and largely reduced eyes. GMR-Gal4 driven ectopic omb expression in the developing eye causes a degeneration of the photoreceptor cells, while GMR-Gal4/ UAS-org-1 flies have intact eyes. Hence, ectopic org-1 and omb induce profound phenotypes that are qualitatively different for these homologous genes. To begin to address the question where within OMB and ORG-1 the specificity determinants reside, we conceptionally subdivided both proteins into three domains and tested the relevance ofthese domains for functional specificity in vivo. The single domains were cloned and used as modules to assemble all possible omb-org-1 chimeric trans- genes. A method was developed to determine the relative expression strength of different UAS-transgenes, allowing to compare the various transgenic constructs for qualitative differences only, excluding different transgene quantities. Analysis of chimeric omb-org-1 transgenes with the GMR-Gal4 driver revealed that all three OMB domains contribute to functional specificity.}, subject = {Taufliege}, language = {en} } @phdthesis{Thom2002, author = {Thom, Corinna}, title = {Dynamics and Communication Structures of Nectar Foraging in Honey Bees (Apis mellifera)}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-3601}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {In this thesis, I examined honey bee nectar foraging with emphasis on the communication system. To document how a honey bee colony adjusts its daily nectar foraging effort, I observed a random sample of individually marked workers during the entire day, and then estimated the number and activity of all nectar foragers in the colony. The total number of active nectar foragers in a colony changed frequently between days. Foraging activity did not usually change between days. A honey bee colony adjusts its daily foraging effort by changing the number of its nectar foragers rather than their activity. I tested whether volatiles produced by a foraging colony activated nectar foragers of a non-foraging colony by connecting with a glass tube two colonies. Each colony had access to a different green house. In 50\% of all experiments, volatile substances from the foraging colony stimulated nectar foragers of the non-foraging colony to fly to an empty feeder. The results of this study show that honey bees can produce a chemical signal or cue that activates nectar foragers. However, more experiments are needed to establish the significance of the activating volatiles for the foraging communication system. The brief piping signal of nectar foragers inhibits forager recruitment by stopping waggle dances (Nieh 1993, Kirchner 1993). However, I observed that many piping signals (approximately 43\%) were produced off the dance floor, a restricted area in the hive where most waggle dances are performed. If the inhibition of waggle dances would be the only function of the brief piping signal, tremble dancers should produce piping signals mainly on the dance floor, where the probability to encounter waggle dancers is highest. To therefore investigate the piping signal in more detail, I experimentally established the foraging context of the brief piping signal, characterized its acoustic properties, and documented for the first time the unique behavior of piping nectar foragers by observing foragers throughout their entire stay in the hive. Piping nectar foragers usually began to tremble dance immediately upon their return into the hive, spent more time in the hive, more time dancing, had longer unloading latencies, and were the only foragers that sometimes unloaded their nectar directly into cells instead of giving it to a nectar receiver bee. Most of the brief piping signals (approximately 99\%) were produced by tremble dancers, yet not all tremble dancers (approximately 48\%) piped. This suggests that piping and tremble dancing have related, but not identical functions in the foraging system. Thus, the brief piping signals may not only inhibit forager recruitment, but have an additional function both on and off the dance floor. In particular, the piping signal might function 1. to stop the recruitment of additional nectar foragers, and 2. as a modulatory signal to alter the response threshold of signal receivers to the tremble dance. The observation that piping tremble dancers often did not experience long unloading delays before they started to dance gave rise to a question. A forager's unloading delay provides reliable information about the relative work capacities of nectar foragers and nectar receivers, because each returning forager unloads her nectar to a nectar receiver before she takes off for the next foraging trip. Queuing delays for either foragers or receivers lower foraging efficiency and can be eliminated by recruiting workers to the group in shortage. Short unloading delays indicate to the nectar forager a shortage of foragers and stimulate waggle dancing which recruits nectar foragers. Long unloading delays indicate a shortage of nectar receivers and stimulate tremble dancing which recruits nectar receivers (Seeley 1992, Seeley et al. 1996). Because the short unloading delays of piping tremble dancers indicated that tremble dancing can be elicited by other factors than long unloading delays, I tested whether a hive-external stimulus, the density of foragers at the food source, stimulated tremble dancing directly. The experiments show that tremble dancing can be caused directly by a high density of foragers at the food source and suggest that tremble dancing can be elicited by a decrease of foraging efficiency either inside (e.g. shortage of receiver bees) or outside (e.g. difficulty of loading nectar) the hive. Tremble dancing as a reaction to hive-external stimuli seems to occur under natural conditions and can thus be expected to have some adaptive significance. The results imply that if the hive-external factors that elicit tremble dancing do not indicate a shortage of nectar receiver bees in the hive, the function of the tremble dance may not be restricted to the recruitment of additional nectar receivers, but might be the inhibition or re-organization of nectar foraging.}, subject = {Bienen }, language = {en} } @phdthesis{Jadulco2002, author = {Jadulco, Raquel C.}, title = {Isolation and structure elucidation of bioactive secondary metabolites from marine sponges and sponge-derived fungi}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-3565}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {Low-molecular mass natural products from bacteria, fungi, plants and marine organisms exhibit unique structural diversity which are of interest for the identification of new lead structures for medicinals and agrochemicals. In the search for bioactive compounds from marine sponges and sponge-associated fungi, this research work resulted to the isolation of twenty-six compounds, eight of which are new metabolites. The sponges were collected from the Indo-pacific regions, particularly those from Indonesian and Philippine waters, as well as those from the Mediterranean Sea near the island of Elba in Italy. A combination of the chemically- and biologically-driven approach for drug discovery was employed, wherein extracts were screened for antibacterial, antifungal and cytotoxic activities. In addition to the bioassay-guided approach to purify the compounds responsible for the activity of the extract, TLC, UV and MS were also used to isolate the chemically most interesting substances. Hence, purified compounds which are not responsible for the initial bioscreening activity may have a chance to be evaluated for other bioactivities. Enumerated below are the compounds which have been isolated and structurally elucidated and whose bioactivities have been further characterized. 1. The extract of the fungus Cladosporium herbarum associated with the sponge Callyspongia aerizusa afforded seven structurally related polyketides, including two new twelve-membered macrolides: pandangolide 3 and 4, and a new acetyl congener of the previously isolated 5-hydroxymethyl-2-furoic acid. The two furoic acid analogues isolated were found to be responsible for the antimicrobial activity of the extract. The isolation of the known phytotoxin Cladospolide B from Cladosporium herbarum, which was originally known from Cladosporium cladosporioides and C. tenuissimum, indicates the possibility that Cladospolide B may be a chemotaxonomic marker of particular Cladosporium species. 2. The extract of the fungus Curvularia lunata associated with the Indonesian sponge Niphates olemda yielded three compounds, namely the new antimicrobially-active anthraquinone lunatin, the known bisanthraquinone cytoskyrin A, and the known plant hormone abscisic acid. The co-occurrence of the two structurally-related anthraquinones suggests that the monomeric lunatin may be a precursor in the biosynthesis of the bisanthraquinone cytoskyrin A. 3. The fungus Penicillium spp. associated with the Mediterranean sponge Axinella verrucosa yielded six compounds, namely the known antifungal griseofulvin and its less active dechloro analogue; the known toxin oxaline; and the known cytotoxic metabolite communesin B and its two new congeners communesin C and D. The new communesins were less active than communesin B in the brine-shrimp lethality test. 4. An unidentified fungus which was also isolated from the same Mediterranean sponge Axinella verrucosa as Penicillium spp. yielded the known compound monocerin which has been reported to possess phytotoxic and insecticidal activities. 5. The fungus Aspergillus flavus associated with the Philippine sponge Hyrtios aff. reticulatus yielded the known toxin a-cyclopiazonic acid. 6. The Indonesian sponge Agelas nakamurai yielded four bromopyrrole alkaloids namely the new compound 4-bromo-pyrrole-2-carboxylic acid, and the known compounds: 4-bromo-pyrrole-2-carboxamide, mukanadin B and mukanadin C. All of the four compounds except mukanadin B were found to be antimicrobially-active. Bromopyrrole alkaloids are well-known metabolites of the genus Agelas and are proven to play an important role in the chemical defense of the sponge against predation from fishes. 7. The Indonesian sponge Jaspis splendens yielded three known substances which are known for their antiproliferative activities, namely the depsipeptides jaspamide (jasplakinolide), and its derivatives jaspamide B and jaspamide C.}, subject = {Meeresschw{\"a}mme}, language = {en} } @phdthesis{Stoimenova2002, author = {Stoimenova, Maria}, title = {Normoxic and anoxic metabolism of Nicotiana tabacum transformants lacking root nitrate reductase}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-3498}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {The aim of this work was to find out whether and how nitrate reduction in roots would facilitate survival of hypoxic and anoxic (flooding)-phases. For that purpose, we compared the response of roots of hydroponically grown tobacco wildtype (Nicotiana tabacum cv. Gatersleben) and of a transformant (LNR-H) with no nitrate reductase (NR) in the roots but almost normal NR in leaves (based on a nia2-double mutant). As an additional control we used occasionally a 35S-transformant of the same nia2-double mutant, which on the same genetic background constitutively expressed NR in all organs. In some cases, we also compared the response of roots from WT plants, which had been grown on tungstate for some time in order to completely suppress NR activity. The following root parameters were examined: 1) Growth and morphology 2) Root respiration rates and leaf transpiration 3) Metabolite contents in roots (ATP, hexosemonophosphates, free sugars, starch, amino acids, total protein) 4) Inorganic cation and anion contents 5) Lactate and ethanol production 6) Extractable LDH-and ADH-activities 7) Cytosolic pH values (by 31P-NMR) 8) NO Cation and anion contents of roots from WT and LNR-H were only slightly different, confirming that these plants would be better suited for our purposes than the widely used comparison of nitrate-versus ammonium-grown plants, which usually show up with dramatic differences in their ion contents. Normoxia: LNR-H-plants had shorter and thicker roots than WT with a lower roots surface area per leaf FW. This was probably the major cause for the significantly lower specific leaf transpiration of LNR-H. WT-roots had lower respiration rates, lower ATP-and HMP-contents, slightly lower sugar- and starch contents and somewhat lower amino acid contents than LNR-H roots. However, total protein/FW was almost identical. Obviously the LNR-H transformants did not suffer from N-defciency, and their energy status appeared even better than that of WT-roots. Data from the 35S-transformant were similar to those of WT. This indicates that the observed differences between WT and LNR-H were not due to unknown factors of the genetic nia2-background, but that they could be really traced back to the presence resp. absence of nitrate reduction. Anoxia: Under short-term anoxia (2h) LNR-H plants, but not WT-plants exhibited clear symptoms of wilting, although leaf transpiration was lower with LNR-H. Reasons are not known yet. LNR-H roots produced much more ethanol (which was excreted) and lactate compared to WT, but extractable ADH and LDH activities, were not induced by anoxia. However, the LDH activity background was twice as high as that of the WT troughout the time period studied. Tungstate-treated WT-roots also gave higher fermentation rates than normal WT roots. Sugar- and HMP-contents remained higher in LNR-H roots than in WT. NR in WT roots was activated under anoxia and roots accumulated nitrite, which was also released to the medium. 31P-NMR spectroscopy showed that LNR-H- roots, in spite of their better energy status, acidified their cytosol more than WT roots. Conclusions: Obviously nitrate reduction affects - by as yet unknown mechanisms - root growth and morphology. The much lower anoxic fermentation rates of WT-roots compared to LNR-H roots could not be traced back to an alternative NADH consumption by nitrate reduction, since NR activity was too low for that. An overall estimation of H+-production by glycolysis, fermentation and nitrate reduction (without nitrite reduction, which was absent under anoxia) indicated that the stronger cytosolic acidification of anoxic LNR-H roots was based on their higher fermentation rates. Thus, nitrate reduction under anoxia appears advantageous because of lower fermentation rates and concomitantly lower cytosolic acidification. However, it remained unclear why fermentation rates were so different. Perspective: Preliminary experiments had indicated that WT-roots produced more nitric oxide (NO) under anoxia than LNR-H-roots. Accordingly, we suggest that nitrate reduction, beyond a merely increased NADH-consumption, would lead to advantageous changes in metabolism, eventually via NO-production, which is increasingly recognized as an important signaling compound regulating many plant functions.}, subject = {Tabak}, language = {en} } @phdthesis{Wolfrom2002, author = {Wolfrom, Martin}, title = {Isoparametric hypersurfaces with a homogeneous focal manifold}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-3505}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {The classification of isoparametric hypersurfaces in spheres with a homogeneous focal manifold is a project that has been started by Linus Kramer. It extends results by E. Cartan and Hsiang and Lawson. Kramer does most part of this classification in his Habilitationsschrift. In particular he obtains a classification for the cases where the homogeneous focal manifold is at least 2-connected. Results of E. Cartan, Dorfmeister and Neher, and Takagi also solve parts of the classification problem. This thesis completes the classification. We classify all closed isoparametric hypersurfaces in spheres with g>2 distinct principal curvatures one of whose multiplicities is 2 such that the lower dimensional focal manifold is homogeneous. The methods are essentially the same as in Kramer's 'Habilitationsschrift'. The cohomology of the focal manifolds in question is known. This leads to two topological classification problems, which are also solved in this thesis. We classify simply connected homogeneous spaces of compact Lie groups with the same integral cohomology ring as a product of spheres S^2 x S^m and m odd on the one hand and a truncated polynomial ring Q[a]/(a^m) with one generator of even degree and m > 1 as its rational cohomology ring on the other hand.}, subject = {Isoparametrische Hyperfl{\"a}che}, language = {en} } @phdthesis{Dornhaus2002, author = {Dornhaus, Anna}, title = {The role of communication in the foraging process of social bees}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-3468}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {In the various groups of social bees, different systems of communication about food sources occur. These communication systems are different solutions to a common problem of social insects: efficiently allocating the necessary number of workers first to the task of foraging and second to the most profitable food sources. The solution chosen by each species depends on the particular ecological circumstances as well as the evolutionary history of that species. For example, the outstanding difference between the bumble bee and the honey bee system is that honey bees can communicate the location of profitable food sources to nestmates, which bumble bees cannot. To identify possible selection pressures that could explain this difference, I have quantified the benefits of communicating location in honey bees. I show that these strongly depend on the habitat, and that communicating location might not benefit bees in temperate habitats. This could be due to the differing spatial distributions of resources in different habitats, in particular between temperate and tropical regions. These distributions may be the reason why the mostly temperate-living bumble bees have never evolved a communication system that allows them to transfer information on location of food sources, whereas most tropical social bees (all honey bees and many stingless bees) are able to recruit nestmates to specific points in their foraging range. Nevertheless, I show that in bumble bees the allocation of workers to foraging is also regulated by communication. Successful foragers distribute in the nest a pheromone which alerts other bees to the presence of food. This pheromone stems from a tergite gland, the function of which had not been identified previously. Usage of a pheromone in the nest to alert other individuals to forage has not been described in other social insects, and might constitute a new mode of communicating about food sources. The signal might be modulated depending on the quality of the food source. Bees in the nest sample the nectar that has been brought into the nest. Their decision whether to go out and forage depends not only on the pheromone signal, but also on the quality of the nectar they have sampled. In this way, foraging activity of a bumble bee colony is adjusted to foraging conditions, which means most bees are allocated to foraging only if high-quality food sources are available. In addition, foraging activity is adjusted to the amount of food already stored. In a colony with full honeypots, no new bees are allocated to foraging. These results help us understand how the allocation of workers to the task of food collection is regulated according to external and internal nest conditions in bumble bees.}, subject = {Hummel}, language = {en} } @phdthesis{Leusser2002, author = {Leußer, Dirk}, title = {S=N versus S+-N-}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-3437}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {The main aim of this thesis was to characterise structurally four sulfur-nitrogen compounds in terms of their experimental electron density distribution: Sulfurdiimide S(NtBu)2 (I), sulfurtriimide S(NtBu)3 (II), methyl(diimido)sulfinic acid H(NtBu)2SMe (III) and methylene-bis(triimido)sulfonic acid CH2{S(NtBu)2(HNtBu)}2 (IV). The electron density was determined by multipole refinements on high-resolution X-ray data at low temperatures. The refined densities were analysed by means of Bader's theory of 'Atoms in Molecules' to get information about the bonding types (shared/ closed shell), bond strengths, and the extent of polarisation. The distributions of the static deformation densities, which already showed the most important electronical features as lone-pairs and bonding densities, were calculated for all compounds. The spatial distributions provided a first impression about the bonding properties. The nitrogen lone-pair densities were found to be inclined towards the electropositive sulfur atoms. In II, III and IV the spatial distributions already suggested sp3 hybridisation of the nitrogen atoms. In I gradual differences between the E/Z and Z/Z oriented NtBu groups were visualised. The charge density distribution was analysed along the bond paths, which showed some of the S,N bonds to be considerably bent. In the central part of the thesis detailed topological analyses of the electron density distributions were performed. All BCPs and the related electronical properties as the electron density, the negative Laplacian, the eigenvalues of the Hessian matrix, and several values, which can be deduced from these, were calculated. Due to the low number of comparable published compounds, internal scaling facilitated by III and IV led to system-specific ranking of the S-N and S-C bonds in terms of bond type (shared vs. closed shell), bond order, and bond strength. To quantify bond polarisation a criterion was developed which relates shifts in the BCPs to electron transfer from the electropositive to the electronegative bonding partner. The distributions of the Laplacian were determined for all S-E (E = N, C) bonds because of their fundamental importance for the classification of atomic interactions. Furthermore, the spatial distribution of the negative Laplacian with respect to all important bonds was determined around the central sulfur and nitrogen atoms. The analyses led to detailed information about the S,N interactions. A calculation of the reactive surfaces where the Laplacian equals zero revealed possible reaction pathways of nucleophilic attacks to the central sulfur atoms. All nitrogen atoms in H(NtBu)2SMe (III) as well as in CH2{S(NtBu)2(HNtBu)}2 (IV) are predominantly sp3 hybridised. The S,N bonds should therefore be formulated as S+-N- single bonds, strengthened and shortened by electrostatic reinforcement. In S(NtBu)2 (I) the sp2 hybridisation of the nitrogen atoms was verified. All topological criteria unearthed the inequality of the formally equivalent S=N double bonds. The differences were assigned to the molecular E/Z conformation in the solid state. Interaction between the in-plane lone-pair density of the nitrogen and the sulfur atom located at the same side causes the non-bonding charge concentration at the sulfur atom to be dislocated into the second S-N bond. The existence of a delocalised 3-centres-2-electrons system within the planar SN2 core was assumed to be formed by non-hybridised p-orbitals. An effective delocalisation was found to be possibly disturbed by a weak intermolecular S...S interaction. The interpretation of the S,N interaction in S(NtBu)3 (II) was not straightforward, since the electron density distribution showed both, indicators for multiple bonding as well as for sp3 hybridisation of the nitrogen atoms, which verifies the formulation of a S+-N- bonding mode. The bonding situation in S(NtBu)3 was identified as an intermediate state between that of a delocalised 4-centres-6-electrons system formed by non-hybridised p-orbitals within the planar SN3 unit and that of a S+-N- system.}, subject = {Schwefelverbindungen}, language = {en} } @phdthesis{Kuells2000, author = {K{\"u}lls, Christoph}, title = {Groundwater of the North-Western Kalahari, Namibia}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-1180680}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2000}, abstract = {A quantitative model of groundwater flows contributing to the Goblenz state water scheme at the north-western fringe of the Kalahari was developed within this study. The investigated area corresponds to the Upper Omatako basin and encompasses an outer mountainous rim and sediments of the Kalahari sand desert in the centre. This study revealed the eminent importance of the mountainous rim for the water balance of the Kalahari, both in terms of surface and ground water. A hydrochemical subdivision of groundwater types in the mountain rim around the Kalahari was derived from cluster analysis of hydrochemical groundwater data. The western and south-western secondary aquifers within rocks of the Damara Sequence, the Otavi Mountain karst aquifers of the Tsumeb and Abenab subgroups as well as the Waterberg Etjo sandstone aquifer represent the major hydrochemical groups. Ca/Mg and Sr/Ca ratios allowed to trace the groundwater flow from the Otavi Mountains towards the Kalahari near Goblenz. The Otavi Mountains and the Waterberg were identified as the main recharge areas showing almost no or only little isotopic enrichment by evaporation. Soil water balance modelling confirmed that direct groundwater recharge in hard-rock environments tends to be much higher than in areas covered with thick Kalahari sediments. According to the water balance model average recharge rates in hard-rock exposures with only thin sand cover are between 0.1 and 2.5 \% of mean annual rainfall. Within the Kalahari itself very limited recharge was predicted (< 1 \% of mean annual rainfall). In the Upper Omatako basin the highest recharge probability was found in February in the late rainfall season. The water balance model also indicated that surface runoff is produced sporadically, triggering indirect recharge events. Several sinkholes were discovered in the Otavi Foreland to the north of Goblenz forming short-cuts to the groundwater table and preferential recharge zones. Their relevance for the generation of indirect recharge could be demonstrated by stable isotope variations resulting from observed flood events. Within the Kalahari basin several troughs were identified in the pre-Kalahari surface by GIS-based analyses. A map of saturated thickness of Kalahari sediments revealed that these major troughs are partly saturated with groundwater. The main trough, extending from south-west to north-east, is probably connected to the Goblenz state water scheme and represents a major zone of groundwater confluence, receiving groundwater inflows from several recharge areas in the Upper Omatako basin. As a result of the dominance of mountain front recharge the groundwater of the Kalahari carries an isotopic composition of recharge at higher altitudes. The respective percentages of inflow into the Kalahari from different source areas were determined by a mixing-cell approach. According to the mixing model Goblenz receives most of its inflow (70 to 80 \%) from a shallow Kalahari aquifer in the Otavi Foreland which is connected to the Otavi Mountains. Another 15 to 10 \% of groundwater inflow to the Kalahari at Goblenz derive from the Etjo sandstone aquifer to the south and from inflow of a mixed component. In conclusion, groundwater abstraction at Goblenz will be affected by measures that heavily influence groundwater inflow from the Otavi Mountains, the Waterberg, and the fractured aquifer north of the Waterberg.}, subject = {Kalahari}, language = {en} } @phdthesis{Wanke2000, author = {Wanke, Ansgar}, title = {Karoo-Etendeka Unconformities in NW Namibia and their Tectonic Implications}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-3234}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2000}, abstract = {In north-western Namibia the fills of the Karoo-Etendeka depositories can be subdivided into (1) a Carboniferous-Permian, (2) a Triassic-Jurassic and (3) a Cretaceous megasequence, each recording extensional periods related to successive rifting phases in the evolving South Atlantic. The tectonic environment of the depositories in north-western Namibia changes successively from the coast towards the continental interior, which is reflected by the facies distribution and the position of time-stratigraphic gaps. Close to the present-day coastline synsedimentary listric faults, trending parallel to the South Atlantic rift (N-S), caused the formation of wedge shaped sediment bodies. Here, the Karoo Supergroup is only represented by the Permian succession in the Huab area. A hiatus within the Permian can be recognised by the correlation with the main Karoo Basin in South Africa and the Brazilian Paran{\´a} Basin. This stratal gap correlates with a pre-Beaufort Group unconformity in the main Karoo Basin that might be related to an orogenic pulse in the Cape Fold Belt. The Permian succession itself is unconformably overlain by the Lower Cretaceous Etendeka Group. This hiatus extending from the Upper Permian to the Lower Cretaceous has probably been induced by a combination of rift shoulder uplift and additional crustal doming associated with Etendeka flood volcanism. The enhanced tectonism during the Early Cretaceous controlled accommodation space for the alluvial-fluvial and aeolian deposits of the lower Etendeka Group. Disconformities within those deposits and the overlying lava succession attribute to distinct phases of tectonic and volcanic activity heralding the South Atlantic breakup. Towards the south-east, the Karoo succession becomes successively more complete. In the vicinity of Mt. Brandberg Early Triassic strata (Middle Omingonde Formation) follow disconformably above the Upper Permian/Lowermost Triassic Doros Formation. The sedimentation there was essentially controlled by the SW-NE trending Damaraland Uplift. South of the Damaraland Uplift the SW-NE trending Waterberg-Omaruru Fault zone is interpreted as a sinistral oblique-slip fault that compartmentalised the South Atlantic rift. This fault controlled accommodation space of the entire Triassic Omingonde Formation and the Early Jurassic Etjo Formation in its associated pull-apart and transtension structures. A locally well developed angular unconformity defines a hiatus between the two formations. Correlation with the main Karoo Basin in South Africa confirms that this gap is of a regional extent and not only a local, fault induced feature. Furthermore, it might also correlate with an orogenic pulse of the Cape Fold Belt. In general, the Mesozoic megasequences record the long-lived history of the southern Atlantic rift evolution. Rifting has been controlled by orogenic pulses derived from the Samfrau active margin throughout the Mesozoic. The associated intracratonic E-W extension caused the formation of grabens and conjugated oblique-slip zones. The generation of voluminous flood basalts marks the climax of intracratonic extension that was accompanied by enhanced uplift of the rift shoulders.}, subject = {Namibia }, language = {en} } @phdthesis{Wietek2001, author = {Wietek, Irina}, title = {Human Interleukin-4 binding protein epitope involved in high-affinity binding of interleukin-4}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-3190}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2001}, abstract = {No abstract available}, subject = {Mensch}, language = {en} } @phdthesis{Goldau2002, author = {Goldau, Rainer}, title = {Clinical evaluation of novel methods to determine dialysis parameters using conductivity cells}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-3125}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {During the last two decades an ongoing discussion about the necessary dose of dialysis brought the result that the urea based Kt/V value is significantly correlated to morbidity of the end stage renal disease (ESRD) patients. Even if it is not completely accepted, it seems to be more and more agreement of the nephrological community that for good dialysis practice Kt/V should be kept above 1.2 to 1.3 in the usual 3X4 hours per week dialysis schedule for patients without own residual clearance to assure long term quality of life, low morbidity and mortality. K is the clearance of urea the dialysis system can apply, t is the treatment time and V is the urea distribution volume of the patient, which is nearly equal to total body water. Kt/V has the unit of a drug dose (ml of drug per ml of patient volume) and therefore sometimes is called dialysis 'dose', even if this is subject of discussion because it implies that the dose can be described with only one urea related number. This work does not participate in this discussion. The premise of this work is more technical: Whatever the final result of the above discussion will be, a patient-friendly, precise cost-neutral and handy technical solution should be given to the hand of the interested nephrologist to continuously supervise the urea based Kt/V that is applied to the patient. Of course this is combined with the hope that the long term mortality can be decreased if a covering online dialysis success control is facilitated. The technical solution that has been chosen is based on the equivalence of the diffusion coefficients of sodium chloride and urea. It is central subject of the investigation if the diffusive behaviour of sodium is equal to that of urea crossing the dialysis filter membrane. The advantage that makes the principle so handy is that sodium can be measured very precise by standard conductivity cells as they are implemented in dialysis machines in large numbers. The only necessary hardware modification is a second conductivity cell downstream the dialyser to be able to measure the mass balance over the filter. This is more complicated with urea that can only be measured undergoing an enzymatic conversion to ammonium ions. The ammonium ions induce a membrane potential, which is measured with very sensitive amplifiers. A cooling chain for the enzyme must be maintained. To find and approve the conductivity based technical solution two in-vivo studies have been conducted. In the first study a conductivity step profile, varying the conductivity in static levels in a baseline - 7 min high - 7min low- baseline shape, was applied that can be utilised to measure the urea clearance very accurate. This principle has been described in 1982 in a patent application. In a sequence of 206 computer recorded dialysis sessions with 22 patients it was found that urea clearance could be electrolytically measured with a mean error+/-standard deviation of -1.46+/-4.75\% , n=494. The measurement of Kt/V according to a single pool model was of similar accuracy: 2.88+/-4.15\% . Although in accordance with other studies these findings at an average confirmed the high correlation of ionic and urea based clearance measurements, an effect was found that was not consistent with the theory that was existent so far. It was found in the first study that the accuracy of the step profile measurements were dependent of the size of the patient, in particular of the urea distribution volume. Moreover it was of relevance which part of the step profile was used: the high-low states, the baseline- low or the baseline-high states. This was a theoretical lack. Careful analysis led to the result that sodium transfer from and into the patient was the reason for the dependence. This led to the enhancement of the theory that seems to correctly describe the nature of the effect. A new demand now was to minimise the sodium transfer. This was limited using static step profiles because in the time it needs to become stable sodium is shifted. In consequence non-stable, dynamic short conductivity boli were developed that allowed to minimise the amount of sodium to be shifted to the limits of the technical resolution of the measurement systems. Also the associated mathematical tools to evaluate the boli had to be suited to the problem. After termination of this process a second study was conducted to approve the new method found. In this study with 10 patients and 93 sessions, 264 step profile measurements and 173 bolus ionic dialysance measurements it was found that the bolus measurements matched their related blood side urea clearance references with the outstanding accuracy of (error+/-SD) 0.06+/-4.76\%. The result was not significantly different (p=0.87) from the reference by student's t-test for paired data. The Kt/V reference according to the single pool variable volume urea kinetic model (sPVVUKM) was found to be matched by the bolus principle with 5.32+/-3.9\% accuracy and a correlation of 0.98. The remaining difference of 5.32\% can be attributed to the neglect of the urea generation rate. Also the step profile was found to be very precise here. The error versus sPVVUKM was 0.05\%+/-5\%, r=0.96. However it did not image the neglect of urea generation correctly. Also a two pool modelling that comprises an internal compartimentation of the fluid pools of the patient was applied to the continuously recorded data. This two pool urea kinetic model (2PUKM) is regarded to be a more precise theoretical approach and now includes the urea generation. It found the bolus principle to deviate -3.04 +/- 14.3\%, n.s., p=0.13. The high standard deviation is due to the complexity of the model. Further from the developed theory a simplified method to roughly measure the sodium distribution volume could be derived. This method was tested in-vitro versus a container with dialysate of known volume and in-vivo versus the urea distribution volume. The in-vitro results were -19.9+/-34\%, r=0.92, n.s, p=0.916. In-vivo they were found to be -7.4+/-23.2\%, r=0.71, n.s., p=0.39. Due to dilution theory the sodium and urea distribution volumes virtually appear to be very similar using this method, although they absolutely differ significantly. Facing the strong simplifications that were made before applying this theory these results seem to be very encouraging that it could be possible to develop a principle to measure not only K but also V electrolytically. This would allow a true Kt/V measurement. The empirical urea distribution volume measurement using anthropometrical formulas has been compared to analytical methods. It has been found that the use Watson's formula with a -13\% correction gives good results. The correction should be applied with great care because it increases Kt/V just on a arithmetical base to the disadvantage of the patient. Also electrolytical plasma sodium measurement was evaluated and can be measured using a mixed analytic-empirical formula with an accuracy of 4.3+/-1.2\%. In summary, conductivity based methods seem to be a convenient method to measure several dialysis parameters of some clinical interest without effort. The results of this work meanwhile are implemented with substantial numbers into commonly available dialysis machines and the experience of the first time shows that the principle is well accepted by the clinicians.}, subject = {H{\"a}modialyse}, language = {en} } @phdthesis{DelveneIbarrola2000, author = {Delvene Ibarrola, Graciela}, title = {Middle and Upper Jurassic bivalves from the Iberian Range (Spain)}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-3119}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2000}, abstract = {Previous work on Jurassic bivalves from the Iberian Range is reviewed, whereby emphasis is placed on Callovian-Kimmeridgian species. The taxonomy, distribution pattern and ecology of the bivalve fauna occurring in Middle and Upper Jurassic rocks of the Aragonian Branch of the Iberian Range have been analysed. For this purpose 14 sections and 5 additional outcrops, selected according to the abundance of bivalves, were measured in detail and sampled. The rocks studied belong to the Chelva, Y{\´a}tova, Sot de Chera and Loriguilla formations of Callovian-Kimmeridgian age. The distribution of species of bivalves is given for each section. More than 3000 specimens of bivalves representing 83 species that belong to 46 genera and subgenera of the subclasses Palaeotaxodonta, Pteriomorphia, Isofilibranchia. Palaeoheterodonta, Heterodonta and Anomaldesmata have been used for the taxonomic analysis. One species is new: Plagiostoma fuersichi from the Callovian of the Chelva Fm. The autecology (trophic group and life habit) of each bivalve has been discussed. 49 samples of four sections habe been selected for a quantitative palaeoecological analysis of the bivalve fraction of the benthic fauna. Five bivalve associations and two assemblages are recognised by a Q-mode hierarchical cluster analysis (Ward method). The main environmental factors controlling bivalve associations are thought to be substrate, water energy and distribution of organic matter. The bivalves exhibit a distinct spatial and temporal distribution pattern within the Aragonian Branch. Four of the bivalve associations occur in the Upper Oxfordian (Sot de Chera Fm) and one association in the Lower Callovian (Chelva Fm). In the Sot de Chera and Loriguilla formations, the abundance of bivalves decreases from NW to SE i.e., from relatively close to the shore line towards the distal-most part of the carbonate platform. In the Chelva Fm. bivalves are abundant in the Ari{\~n}o region, interpreted as a palaeogeographic high. The distribution of bivalves might have been largely controlled by the availability of nutrients.}, subject = {Keltiberisches Gebirge}, language = {en} } @phdthesis{Moigno2001, author = {Moigno, Damien}, title = {Study of the ligand effects on the metal-ligand bond in some new organometallic complexes using FT-Raman and -IR spectroscopy, isotopic substitution and density functional theory techniques}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-3101}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2001}, abstract = {The present studies which have been performed in the work-group C-2 (Prof. W. Kiefer) within the program of the Sonderforschungsbereichs 347, deal with the FT-Raman and -IR spectroscopy on new organometallic complexes, synthesized in the work-groups B-2 (Prof. W. Malisch), B-3 (Prof. W. A. Schenk), D-1 (Prof. H. Werner) and D-4 (Prof. D. Stalke). The FT-Raman spectra recorded at 1064 nm led to very useful and interesting information. Furthermore, the DFT calculations which are known to offer promise of obtaining accurate vibrational wavenumbers, were successfully used for the assignment of the vibrational spectra. For the first time it has been possible to ascribe exactly the n(RhC) stretching mode in the vinylidene rhodium(I) complex trans-[RhF(=C=CH2)(PiPr3)2] by using isotopic substitution, in conjunction with theoretical calculations. This is also true for the complexes trans-[RhF(CO)(PiPr3)2], trans-[RhF(C2H4)(PiPr3)2], trans-[RhX(=C=CHPh)(PiPr3)2] (X = F, Cl, Br, I, Me, PhCºC) and trans-[RhX(CN-2,6-xylyl)(PiPr3)2] (X = F, Cl, Br, I, CºCPh). In addition, the comparison between the n(RhC) wavenumbers of the complexes trans-[RhF(=13C=13CH2)(PiPr3)2] and trans-[RhF(CO)(PiPr3)2], containing the isoelectronic ligands 13C=13CH2 and CO, which have the same reduced mass, indicated that the Rh-C bond is stronger in the carbonyl than in the vinylidene complex. Besides, the n(RhF) stretching mode, which has been observed at higher wavenumbers in the FT-Raman and -IR spectra of trans-[RhF(CO)(PiPr3)2], showed that the carbonyl ligand is a better p-acceptor and a less effective s-donor than the vinylidene one. Moreover, the comparison of the n(CºC) and n(Rh-C) modes from the FT-Raman spectrum of the complexes trans-[Rh(CºCPh)(L)(PiPr3)2] (L = C=CHPh, CO, CN-2,6-xylyl) point out that the p-acceptor ability of the ligand trans to CºCPh should rise in the order C=CH2 < CO < CN-2,6-xylyl \pounds C=CHPh. The investigated sensitivity of the n(RhC), n(CC), n(CO) and n(CN) vibrational modes to the electronic modifications occuring in the vinylidene, carbonyl, ethylene and isonitrile complexes, should allow in the future the examination of the p-acceptor or p-donor properties of further ligands. Likewise, we were able to characterize the influence of various X ligands on the RhC bond by using the n(RhC) stretching mode as a probe for the weakening of this. The calculated wavenumbers of the n(RhC) for the vinylidene complexes trans-[RhX(=C=CHR)(PiPr3)2], where R = H or Ph, suggested that the strength of the Rh=C bond increases along the sequence X = CºCPh < CH3 < I < Br < Cl < F. For the series of carbonyl compounds trans-[RhX(CO)(PiPr3)2], where X = F, Cl, Br and I, analogous results have been obtained and confirmed from the model compounds trans-[RhX(CO)(PMe3)2]. Since, the calculated vibrational modes for the ethylene complex trans-[RhF(C2H4)(PiPr3)2] were in good agreement with the experimental results and supported the description of this complex as a metallacyclopropane, we were interested in getting more information upon this class of compounds. In this context, we have recorded the FT-Raman and -IR spectra of the thioaldehyde complexes mer-[W(CO)3(dmpe)(h2-S=CH2)] and mer-[W(CO)3(dmpe)(h2-S=CD2)] which have been synthezised by B-3. The positions of the different WL vibrational modes anticipated by the DFT calculations, were consistent with the experimental results. Indeed, the analysis of the band shifts in the FT-Raman and -IR spectra of the isotopomer mer-[W(CO)3(dmpe)(h2-S=CD2)] confirmed our assignment. The different stereoisomers of complex mer-[W(CO)3(dmpe)(h2-S=CH2)] were investigated too, since RMN and IR-data have shown that complex mer-[W(CO)3(dmpe)(h2-S=CH2)] lead in solution to an equilibrium. Since the information on the vibrational spectra of the molybdenum and tungsten complexes Cp(CO)2M-PR2-X (M = Mo, W; R = Me, tBu, Ph; X = S, Se) is very scarce, we extended our research work to this class of compounds. We have tried to elucidate the bonding properties in these chalcogenoheterocycle complexes by taking advantage of the mass effect on the different metal atoms (W vs. Mo). Thus, the observed band shifts allowed to assign most of the ML fundamental modes of these complexes. This project and the following one were a cooperation within the work-group B-2. The Raman and IR spectra of the matrix isolated photoproducts expected by the UV irradiation of the iron silyl complex Cp(CO)2FeSiH2CH3 have been already reported by Claudia Fickert and Volker Nagel in their PhD-thesis. Since no exact assignment was feasible for these spectra, we were interested in the study of the reaction products created by irradiation of the carbonyl iron silyl complex Cp(CO)2FeCH2SiH3. Although the calculated characteristic vibrational modes of the metal ligand unit for the various photoproducts are significantly different in constitution, they are very similar in wavenumbers, which did not simplify their identification. However, the theoretical results have been found to be consistent with the earlier experimental results. Finally, the last part of this thesis has been devoted to the (2-Py)2E- anions which exhibit a high selectivity toward metal-coordination. All di(2-pyridyl) amides and -phosphides which were synthesized by D-4, coordinate the R2Al+ fragment via both ring nitrogen atoms. This already suggests that the charge density in the anions is coupled into the rings and accumulated at the ring nitrogen atoms, but the Lewis basicity of the central nitrogen atom in Et2Al(2-Py)2N is still high enough to coordinate a second equivalent AlEt3 to form the Lewis acid base adduct Et2Al(2-Py)2NAlEt3. Due to the higher electronegativity of the central nitrogen atom in Me2Al(2-Py)2N, Et2Al(2-Py)2N and Et2Al(2-Py)2NAlEt3, compared to the bridging two coordinated phosphorus atom in Me2Al(2-Py)2P and Et2Al(2-Py)2P, the di(2-pyridyl)amide is the hardest Lewis base. In the phosphides merely all charge density couples into the rings leaving the central phosphorus atom only attractive for soft metals. These results were confirmed by using DFT and MP2 calculations. Moreover, a similar behaviour has been observed and described for the benzothiazolyl complex [Me2Al{Py(Bth)P}], where complementary investigations are to be continued. The DFT calculations carried out on the model compounds analysed in these studies supply very accurate wavenumbers and molecular geometries, these being in excellent agreement with the experimental results obtained from the corresponding isolated complexes.}, subject = {{\"U}bergangsmetallkomplexe}, language = {en} } @phdthesis{Siefritz2002, author = {Siefritz, Franka}, title = {Expression and Function of the Nicotiana tabacum Aquaporin NtAQP1}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-3053}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {Die vorliegende Arbeit zeigt die Korrelation zwischen r{\"a}umlichem und zeitlichem Expressionsmuster von dem Aquaporin NtAQP1 und seiner Funktion im Wasserhaushalt in planta. Immunologische in situ-Studien deuteten auf eine NtAQP1-Protein-Akkumulation in der Wurzelexodermis und -endodermis, im Cortex, in der N{\"a}he der Leitb{\"u}ndel, im Xylemparenchym und in Zellen der Atemh{\"o}hle hin. Das Aquaporin wurde auch in longitudinalen Zellreihen der Petiolen in erh{\"o}hten Mengen gefunden. Expressionsstudien mit transgenen Pflanzen (Ntaqp1-Promotor::gus oder ::luc) best{\"a}tigten die NtAQP1-Akkumulation in der Wurzel, dem Spross und den Petiolen, lokalisierten dessen Expression aber auch in Pollen, Adventivwurzel und Blatthaaren. Die Ntaqp1-Expression wurde w{\"a}hrend Wachstumsprozessen wie Sprossorientierung nach Gravistimulation oder Photostimulation, Samenkeimung, aber auch w{\"a}hrend der vergleichsweise schnellen circadianen Blattbewegung induziert. Die Expression wurde weiterhin durch Phytohormone, im Speziellen durch Gibberellins{\"a}ure (GA) und osmotischen Stress stimuliert. Weitere Analysen hoben eine diurnale und sogar circadiane Expression von Ntaqp1 in Wurzeln und Petiolen hervor. Die funktionelle Analyse des Aquaporins wurde mittels reverser Genetik und biophysikalischen Studien durchgef{\"u}hrt. Die Antisense-Technik wurde benutzt, um die NtAQP1-Expression in Tabakpflanzen zu reduzieren. Die Antisense (AS)-Pflanzen zeigten eine starke Verringerung der Ntaqp1-mRNA, eine weniger ausgepr{\"a}gte Verminderung der hoch homologen NtPIP1a-mRNA und keinen Effekt auf die Expression anderer Aquaporin-Genfamilien (PIP2, TIP). Die Funktion von NtAQP1 auf zellul{\"a}rer Ebene wurde mit einer hierf{\"u}r neuentwickelten Apparatur untersucht. Der experimentelle Aufbau erm{\"o}glichte die Aufzeichnung der osmotisch induzierten Protoplasten-Volumenzunahme. Die Reduktion von NtAQP1 durch die Antisense-Expression verminderte die zellul{\"a}re Wasserpermeabilit{\"a}t um mehr als 50 \%. Die Funktion von NtAQP1 in der Gesamtpflanze wurde z.B. durch die "High-pressure flow meter" Methode bestimmt. Diese Messungen ergaben eine Reduktion der hydraulischen Wurzelleitf{\"a}higkeit pro Wurzeloberfl{\"a}cheneinheit (KRA) der Wurzeln der AS-Linien um mehr als 50 \%. Die KRA wies eine starke diurnale und circadiane Schwankung auf, mit einem Maximum in der Mitte der Lichtperiode, {\"a}hnlich dem Verlauf des Expressionsmusters von Ntaqp1 in Wurzeln. Unter gut gew{\"a}sserten Bedingungen ergaben Gaswechsel-, Spross- (Ystem) und Blatt- Wasserpotenial (Yleaf)-Messungen unterschiedliche Werte in AS- und Kontrollpflanzen. In wasserlimitierender Umgebung zeigten AS-Pflanzen jedoch ein st{\"a}rker negativeres Y als Kontrollpflanzen, obwohl eine weitere Abnahme der Transpiration in AS-Pflanzen beobachtet werden konnte. Quantitative Analysen belegten eine st{\"a}rker ausgepr{\"a}gte Welkreaktion in den AS- als in den Kontrollpflanzen. Quantitative Studien der Blattbewegung von AS- verglichen mit Kontrollpflanzen hoben eine drastische Reduktion in Geschwindigkeit und Ausmaß der Reaktion hervor. Folgende Schlussfolgerungen konnten gezogen werden. NtAQP1 wurde an Orten mit erwartet hohem Wasserfluss von und zum Apoplasten oder Symplasten exprimiert. Außerdem deuteten das spezifische Verteilungsmuster und die zeitliche Expression von NtAQP1 in Petiolen und dem sich biegenden Spross auf eine Beteiligung in der transzellul{\"a}ren Wasserbewegung hin. Die Reduktion von NtAQP1 durch die Antisense-Expression verringerte die zellul{\"a}re Pos. Die NtAQP1-Funktion erh{\"o}ht also eindeutig die Membranwasserpermeabilit{\"a}t von Tabak-Wurzelprotoplasten. Die Abnahme der spezifischen hydraulischen Wurzelleitf{\"a}higkeit (KRA) befand sich in der gleichen Gr{\"o}ßenordnung wie die Verringerung der mittleren zellul{\"a}ren Wasserpermeabilit{\"a}t. Dies weist darauf hin, dass die Aquaporin-Expression essentiell f{\"u}r die Aufrechterhaltung der nat{\"u}rlichen Wurzelleitf{\"a}higkeit ist. Die Verringerung von KRA in AS -Pflanzen k{\"o}nnte der erste sichere Beweis daf{\"u}r sein, dass der Weg der Wasseraufnahme von der Wurzeloberfl{\"a}che in das Xylem den {\"U}bergang {\"u}ber Membranen einschließt. Die Reduktion von NtAQP1 resultierte in einem Wasserstresssignal, das ein Schließen der Stomata zur Folge hatte. NtAQP1 scheint an der Vermeidung von Wasserstress in Tabak beteiligt zu sein. NtAQP1 spielt eine essentielle Rolle bei schnellen Pflanzenbewegungen und der transzellul{\"a}ren Wasserverschiebung.}, subject = {Tabak}, language = {en} } @phdthesis{Wirth2001, author = {Wirth, Hans-Christoph}, title = {Multicriteria Approximation of Network Design and Network Upgrade Problems}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-2845}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2001}, abstract = {Network planning has come to great importance during the past decades. Today's telecommunication, traffic systems, and logistics would not have been evolved to the current state without careful analysis of the underlying network problems and precise implementation of the results obtained from those examinations. Graphs with node and arc attributes are a very useful tool to model realistic applications, while on the other hand they are well understood in theory. We investigate network design problems which are motivated particularly from applications in communication networks and logistics. Those problems include the search for homogeneous subgraphs in edge labeled graphs where either the total number of labels or the reload cost are subject to optimize. Further, we investigate some variants of the dial a ride problem. On the other hand, we use node and edge upgrade models to deal with the fact that in many cases one prefers to change existing networks rather than implementing a newly computed solution from scratch. We investigate the construction of bottleneck constrained forests under a node upgrade model, as well as several flow cost problems under a edge based upgrade model. All problems are examined within a framework of multi-criteria optimization. Many of the problems can be shown to be NP-hard, with the consequence that, under the widely accepted assumption that P is not equal to NP, there cannot exist efficient algorithms for solving the problems. This motivates the development of approximation algorithms which compute near-optimal solutions with provable performance guarantee in polynomial time.}, subject = {Netzplantechnik}, language = {en} } @phdthesis{Schmitz2000, author = {Schmitz, Heinz}, title = {The Forbidden Pattern Approach to Concatenation Hierarchies}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-2832}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2000}, abstract = {The thesis looks at the question asking for the computability of the dot-depth of star-free regular languages. Here one has to determine for a given star-free regular language the minimal number of alternations between concatenation on one hand, and intersection, union, complement on the other hand. This question was first raised in 1971 (Brzozowski/Cohen) and besides the extended star-heights problem usually refered to as one of the most difficult open questions on regular languages. The dot-depth problem can be captured formally by hierarchies of classes of star-free regular languages B(0), B(1/2), B(1), B(3/2),... and L(0), L(1/2), L(1), L(3/2),.... which are defined via alternating the closure under concatenation and Boolean operations, beginning with single alphabet letters. Now the question of dot-depth is the question whether these hierarchy classes have decidable membership problems. The thesis makes progress on this question using the so-called forbidden pattern approach: Classes of regular languages are characterized in terms of patterns in finite automata (subgraphs in the transition graph) that are not allowed. Such a characterization immediately implies the decidability of the respective class, since the absence of a certain pattern in a given automaton can be effectively verified. Before this work, the decidability of B(0), B(1/2), B(1) and L(0), L(1/2), L(1), L(3/2) were known. Here a detailed study of these classes with help of forbidden patterns is given which leads to new insights into their inner structure. Furthermore, the decidability of B(3/2) is proven. Based on these results a theory of pattern iteration is developed which leads to the introduction of two new hierarchies of star-free regular languages. These hierarchies are decidable on one hand, on the other hand they are in close connection to the classes B(n) and L(n). It remains an open question here whether they may in fact coincide. Some evidence is given in favour of this conjecture which opens a new way to attack the dot-depth problem. Moreover, it is shown that the class L(5/2) is decidable in the restricted case of a two-letter alphabet.}, subject = {Sternfreie Sprache}, language = {en} } @phdthesis{Nahler2001, author = {Nahler, Michael}, title = {Isomorphism classes of almost completely decomposable groups}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-2817}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2001}, abstract = {In this thesis we investigate near-isomorphism classes and isomorphism classes of almost completely decomposable groups. In Chapter 2 we introduce the concept of almost completely decomposable groups and sum up their most important facts. A local group is an almost completely decomposable group with a primary regulator quotient. A uniform group is a rigid local group with a homocyclic regulator quotient. In Chapter 3 a weakening of isomorphism, called type-isomorphism, appears. It is shown that type-isomorphism agrees with Lady's near-isomorphism. By the Main Decomposition Theorem and the Primary Reduction Theorem we are allowed to restrict ourselves on clipped local groups, namely groups without a direct rank-one summand. In Chapter 4 we collect facts of matrices over commutative rings with an identity element. Matrices over the local ring (Z / p^e Z) of residue classes of the rational integers modulo a prime power play an important role. In Chapter 5 we introduce representing matrices of finite essential extensions. Here a normal form for local groups is found by the Gauß algorithm. Uniform groups have representing matrices in Hermite normal form. The classification problems for almost completely decomposable groups up to isomorphism and up to near-isomorphism can be rephrased as equivalence problems for the representing matrices. In Chapter 6 we derive a criterion for the representing matrices of local groups in Gauß normal form. In Chapter 7 we formulate the matrix criterion for uniform groups. Two representing matrices in Hermite normal form describe isomorphic groups if and only if the rest blocks of the representing matrices are T-diagonally equivalent. Starting from a fixed near-isomorphism class in Chapter 8 we investigate isomorphism classes of uniform groups. We count groups and isomorphism classes. In Chapter 9 we specialize on uniform groups of rank 2r with a regulator quotient of rank r such that the rest block of the representing matrix is invertible and normed.}, subject = {Fast vollst{\"a}ndig zerlegbare Gruppe}, language = {en} } @phdthesis{Kosub2001, author = {Kosub, Sven}, title = {Complexity and Partitions}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-2808}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2001}, abstract = {Computational complexity theory usually investigates the complexity of sets, i.e., the complexity of partitions into two parts. But often it is more appropriate to represent natural problems by partitions into more than two parts. A particularly interesting class of such problems consists of classification problems for relations. For instance, a binary relation R typically defines a partitioning of the set of all pairs (x,y) into four parts, classifiable according to the cases where R(x,y) and R(y,x) hold, only R(x,y) or only R(y,x) holds or even neither R(x,y) nor R(y,x) is true. By means of concrete classification problems such as Graph Embedding or Entailment (for propositional logic), this thesis systematically develops tools, in shape of the boolean hierarchy of NP-partitions and its refinements, for the qualitative analysis of the complexity of partitions generated by NP-relations. The Boolean hierarchy of NP-partitions is introduced as a generalization of the well-known and well-studied Boolean hierarchy (of sets) over NP. Whereas the latter hierarchy has a very simple structure, the situation is much more complicated for the case of partitions into at least three parts. To get an idea of this hierarchy, alternative descriptions of the partition classes are given in terms of finite, labeled lattices. Based on these characterizations the Embedding Conjecture is established providing the complete information on the structure of the hierarchy. This conjecture is supported by several results. A natural extension of the Boolean hierarchy of NP-partitions emerges from the lattice-characterization of its classes by considering partition classes generated by finite, labeled posets. It turns out that all significant ideas translate from the case of lattices. The induced refined Boolean hierarchy of NP-partitions enables us more accuratly capturing the complexity of certain relations (such as Graph Embedding) and a description of projectively closed partition classes.}, subject = {Partition }, language = {en} } @phdthesis{Glasser2001, author = {Glaßer, Christian}, title = {Forbidden-Patterns and Word Extensions for Concatenation Hierarchies}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-1179153}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2001}, abstract = {Starfree regular languages can be build up from alphabet letters by using only Boolean operations and concatenation. The complexity of these languages can be measured with the so-called dot-depth. This measure leads to concatenation hierarchies like the dot-depth hierarchy (DDH) and the closely related Straubing-Th{\´e}rien hierarchy (STH). The question whether the single levels of these hierarchies are decidable is still open and is known as the dot-depth problem. In this thesis we prove/reprove the decidability of some lower levels of both hierarchies. More precisely, we characterize these levels in terms of patterns in finite automata (subgraphs in the transition graph) that are not allowed. Therefore, such characterizations are called forbidden-pattern characterizations. The main results of the thesis are as follows: forbidden-pattern characterization for level 3/2 of the DDH (this implies the decidability of this level) decidability of the Boolean hierarchy over level 1/2 of the DDH definition of decidable hierarchies having close relations to the DDH and STH Moreover, we prove/reprove the decidability of the levels 1/2 and 3/2 of both hierarchies in terms of forbidden-pattern characterizations. We show the decidability of the Boolean hierarchies over level 1/2 of the DDH and over level 1/2 of the STH. A technique which uses word extensions plays the central role in the proofs of these results. With this technique it is possible to treat the levels 1/2 and 3/2 of both hierarchies in a uniform way. Furthermore, it can be used to prove the decidability of the mentioned Boolean hierarchies. Among other things we provide a combinatorial tool that allows to partition words of arbitrary length into factors of bounded length such that every second factor u leads to a loop with label u in a given finite automaton.}, subject = {Automatentheorie}, language = {en} } @phdthesis{Dittmann2001, author = {Dittmann, Ulrich}, title = {Coset Types and Tight Subgroups of Almost Completely Decomposable Groups}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-2762}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2001}, abstract = {A completely decomposable group is a direct sum of subgroups of the rationals. An almost completely decomposable group is a torsion free abelian group that contains a completely decomposable group as subgroup of finite index. Tight subgroups are maximal subgroups (with respect to set inclusion) among the completely decomposable subgroups of an almost completely decomposable group. In this dissertation we show an extended version of the theorem of Bezout, give a new criterion for the tightness of a completely decomposable subgroup, derive some conditions under which a tight subgroup is regulating and generalize a theorem of Campagna. We give an example of an almost completely decomposable group, all of whose regulating subgroups do not have a quotient with minimal exponent. We show that among the types of elements of a coset modulo a completely decomposable group there exists a unique maximal type and define this type to be -the- coset type. We give criteria for tightness and regulating in term of coset types as well as a representation of the type subgroups using coset types. We introduce the notion of reducible cosets and show their key role for transitions from one completely decomposable subgroup up to another one containing the first one as a proper subgroup. We give an example of a tight, but not regulating subgroup which contains the regulator. We develop the notion of a fully single covered subset of a lattice, show that V-free implies fully single covered, but not necessarily vice versa, and we define an equivalence relation on the set of all finite subsets of a given lattice. We develop some extension of ordinary Hasse diagrams, and apply the lattice theoretic results on the lattice of types and almost completely decomposable groups.}, subject = {Torsionsfreie Abelsche Gruppe}, language = {en} } @phdthesis{Walfort2001, author = {Walfort, Bernhard}, title = {Novel dianionic sulfur ylides and related compounds}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-1181274}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2001}, abstract = {Priority task of the thesis was to replace oxygen atoms in sulfur oxoanions SOnm- or imido groups in sulfur polyimido anions S(NR)nm- isoelectronically by R2C-methylene groups. This would open a wide avenue to new target molecules containing a formally double bonded carbon next to formally double bonded nitrogen atoms in highly charged sulfur-centred anions like S(CR2)x(NR)ym-. They clearly are reminiscent to sulfur ylides. Both, alkylendiimidosulfites and alkylentriimidosulfates are accessible via deprotonaton of the corresponding alkyldiimidosulfinates and alkyltriimidosulfonates with methyllithium. The reactivity of the novel compounds is dominated by the carbanionic centre. Addition reactions to another SN formal doubble bond are feasible and are leading to the yet unknown imidoanalogues compounds alkyl-bis-(diimidosulfinates) and alkyl-bis-(triimidosulfonates).}, subject = {Schwefelylide}, language = {en} } @phdthesis{Wong2001, author = {Wong, Amanda}, title = {Implications of Advanced Glycation Endproducts in Oxidative Stress and Neurodegenerative Disorders}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-2537}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2001}, abstract = {The reactions of reducing sugars with primary amino groups are the most common nonenzymatic modifications of proteins. Subsequent rearrangements, oxidations, and dehydrations yield a heterogeneous group of mostly colored and fluorescent compounds, termed "Maillard products" or advanced glycation end products (AGEs). AGE formation has been observed on long-lived proteins such as collagen, eye lens crystalline, and in pathological protein deposits in Alzheimer's (AD) and Parkinson's disease (PD) and dialysis-related amyloidosis. AGE-modified proteins are also involved in the complications of diabetes. AGEs accumulate in the the ß-amyloid plaques and neurofibrillary tangles (NFT) associated with AD and in the Lewy bodies characteristic of PD. Increasing evidence supports a role for oxidative stress in neurodegenerative disorders such as AD and PD. AGEs have been shown to contribute towards oxidative damage and chronic inflammation, whereby activated microglia secrete cytokines and free radicals, including nitric oxide (NO). Roles proposed for NO in the pathophysiology of the central nervous system are increasingly diverse and range from intercellular signaling, through necrosis of cells and invading pathogens, to the involvement of NO in apoptosis. Using in vitro experiments, it was shown that AGE-modified bovine serum albumin (BSA-AGE) and AGE-modified ß-amyloid, but not their unmodified proteins, induce NO production in N-11 murine microglia cells. This was mediated by the receptor for AGEs (RAGE) and upregulation of the inducible nitric oxide synthase (iNOS). AGE-induced enzyme activation and NO production could be blocked by intracellular-acting antioxidants: Ginkgo biloba special extract EGb 761, the estrogen derivative, 17ß-estradiol, R-(+)-thioctic acid, and a nitrone-based free radical trap, N-tert.-butyl-*-phenylnitrone (PBN). Methylglyoxal (MG) and 3-deoxyglucosone (3-DG), common precursors in the Maillard reaction, were also tested for their ability to induce the production of NO in N-11 microglia. However, no significant changes in nitrite levels were detected in the cell culture medium. The significance of these findings was supported by in vivo immunostaining of AD brains. Single and double immunostaining of cryostat sections of normal aged and AD brains was performed with polyclonal antibodies to AGEs and iNOS and monoclonal antibodies to Aß and PHF-1 (marker for NFT) and reactive microglia. In aged normal individuals as well as early stage AD brains (i.e. no pathological findings in isocortical areas), a few astrocytes showed co-localisation of AGE and iNOS in the upper neuronal layers of the temporal (Area 22) and entorhinal (Area 28, 34) cortices compared with no astrocytes detected in young controls. In late AD brains, there was a much denser accumulation of astrocytes co-localised with AGE and iNOS in the deeper and particularly upper neuronal layers. Also, numerous neurons with diffuse AGE but not iNOS reactivity and some AGE and iNOS-positive microglia were demonstrated, compared with only a few AGE-reactive neurons and no microglia in controls. Finally, astrocytes co-localised with AGE and iNOS as well as AGE and ß-amyloid were found surrounding mature but not diffuse ß-amyloid plaques in the AD brain. Parts of NFT were AGE-immunoreactive. Immunohistochemical staining of cryostat sections of normal aged and PD brains was performed with polyclonal antibodies to AGEs. The sections were counterstained with monoclonal antibodies to neurofilament components and a-synuclein. AGEs and a-synuclein were colocalized in very early Lewy bodies in the substantia nigra of cases with incidental Lewy body disease. These results support an AGE-induced oxidative damage due to the action of free radicals, such as NO, occurring in the AD and PD brains. Furthermore, the involvement of astrocytes and microglia in this pathological process was confirmed immunohistochemically in the AD brain. It is suggested that oxidative stress and AGEs participate in the very early steps of Lewy body formation and resulting cell death in PD. Since the iNOS gene can be regulated by redox-sensitive transcription factors, the use of membrane permeable antioxidants could be a promising strategy for the treatment and prevention of chronic inflammation in neurodegenerative disorders.}, subject = {Maillard-Reaktion}, language = {en} } @phdthesis{Klock2001, author = {Klock, Heike}, title = {Hydrogeology of the Kalahari in north-eastern Namibia}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-1181287}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2001}, abstract = {This study has focused on hydrogeological and hydrochemical settings of the Northern Namibian Kalahari Catchment which is the Namibian part of the Makgadikgadi-Kalahari-Catchment. Recharge has been the subject of process-understanding, quantification and regionalisation. Within the semiarid study area a bimodal surface constitution is prominent: hardrocks areas allow for fast infiltration along karsts and joints, whereas areas covered by unconsolidated sediments receive minor diffuse recharge and locally some preferred flow path recharge develops along shrinkage cracks and rootlets. Five substratum classes have been soil physically studied: Pans and vleis, brown to red soils, dune sand, soil with an aeolian influence, and calcrete. Aeolian sands are most promising for the development of direct diffuse recharge. Recharge by preferred flow might occur in all soil classes either due to joints in calcrete or structures and rootlets in soils. All soil classes contribute to indirect recharge because even the dune sand allows, albeit very locally, the generation of runoff. The occurrences of recharge through the unconsolidated soil and the hardrocks have been confirmed by hydrograph interpretation and by a study of hydrochemical data which identified groundwater of flood water and flood water after soil passage composition. Other prominent hydrochemical processes in the Kalahari are associated with the carbonate-equilibrium-system, mixing with highly mineralised water that is either sulphate (central area) or chloride dominated (fringe area) and development of sodium hydrogencarbonate water types. The latter is mostly generated by feldspar weathering. Variations of the hydrochemical compositions were observed for shallow groundwaters. They do not only reflect the recharge amount but also the recharge conditions, e.g. a wetter year is allowing more vegetation which increases the hydrogencarbonate content. Inverse determination of recharge by the chloride mass balance method gives recharge amounts between 0.2 and locally more than 100 mm/a. The least favoured recharge conditions are found for Kalahari covered areas, the largest amount occurs in the Otavi area. The distribution of recharge areas within the catchment is rather complex and regionalisation of recharge for the entire catchment was done by a forward approach using satellite images and by an inverse approach using hydrochemical data. From the inverse hydrochemical approach a basin-wide balanced recharge amount of 1.39 mm/a is achieved. The forward approach gave a basin-wide figure of 0.88 (minimum assumption) to 4.53 mm/a (maximum assumption). A simplistic groundwater flow model confirmed the results from the minimum recharge regionalisation by satellite images and the result from the hydrochemical approach. Altogether a mutually verified basin-wide recharge figure of ca. 1 mm/a turns out.}, subject = {Kalahari}, language = {en} } @phdthesis{Weidenmueller2001, author = {Weidenm{\"u}ller, Anja}, title = {From individual behavior to collective structure}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-2448}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2001}, abstract = {The social organization of insect colonies has long fascinated naturalists. One of the main features of colony organization is division of labor, whereby each member of the colony specializes in a subset of all tasks required for successful group functioning. The most striking aspect of division of labor is its plasticity: workers switch between tasks in response to external challenges and internal perturbations. The mechanisms underlying flexible division of labor are far from being understood. In order to comprehend how the behavior of individuals gives rise to flexible collective behavior, several questions need to be addressed: We need to know how individuals acquire information about their colony's current demand situation; how they then adjust their behavior according; and which mechanisms integrate dozens or thousands of insect into a higher-order unit. With these questions in mind I have examined two examples of collective and flexible behavior in social bees. First, I addressed the question how a honey bee colony controls its pollen collection. Pollen foraging in honey bees is precisely organized and carefully regulated according to the colony's needs. How this is achieved is unclear. I investigated how foragers acquire information about their colony's pollen need and how they then adjust their behavior. A detailed documentation of pollen foragers in the hive under different pollen need conditions revealed that individual foragers modulate their in-hive working tempo according to the actual pollen need of the colony: Pollen foragers slowed down and stayed in the hive longer when pollen need was low and spent less time in the hive between foraging trips when pollen need of their colony was high. The number of cells inspected before foragers unloaded their pollen load did not change and thus presumably did not serve as cue to pollen need. In contrast, the trophallactic experience of pollen foragers changed with pollen need conditions: trophallactic contacts were shorter when pollen need was high and the number and probability of having short trophallactic contacts increased when pollen need increased. Thus, my results have provided support for the hypothesis that trophallactic experience is one of the various information pathways used by pollen foragers to assess their colony's pollen need. The second example of collective behavior I have examined in this thesis is the control of nest climate in bumble bee colonies, a system differing from pollen collection in honey bees in that information about task need (nest climate parameters) is directly available to all workers. I have shown that an increase in CO2 concentration and temperature level elicits a fanning response whereas an increase in relative humidity does not. The fanning response to temperature and CO2 was graded; the number of fanning bees increased with stimulus intensity. Thus, my study has evidenced flexible colony level control of temperature and CO2. Further, I have shown that the proportion of total work force a colony invests into nest ventilation does not change with colony size. However, the dynamic of the colony response changes: larger colonies show a faster response to perturbations of their colony environment than smaller colonies. Thus, my study has revealed a size-dependent change in the flexible colony behavior underlying homeostasis. I have shown that the colony response to perturbations in nest climate is constituted by workers who differ in responsiveness. Following a brief review of current ideas and models of self-organization and response thresholds in insect colonies, I have presented the first detailed investigation of interindividual variability in the responsiveness of all workers involved in a collective behavior. My study has revealed that bumble bee workers evidence consistent responses to certain stimulus levels and differ in their response thresholds. Some consistently respond to low stimulus intensities, others consistently respond to high stimulus intensities. Workers are stimulus specialists rather than task specialists. Further, I have demonstrated that workers of a colony differ in two other parameters of responsiveness: response probability and fanning activity. Response threshold, response probability and fanning activity are independent parameters of individual behavior. Besides demonstrating and quantifying interindividual variability, my study has provided empirical support for the idea of specialization through reinforcement. Response thresholds of fanning bees decreased over successive trials. I have discussed the importance of interindividual variability for specialization and the collective control of nest climate and present a general discussion of self-organization and selection. This study contributes to our understanding of individual behavior and collective structure in social insects. A fascinating picture of social organization is beginning to emerge. In place of centralized systems of communication and information transmission, insect societies frequently employ mechanisms based upon self-organization. Self-organization promises to be an important and unifying principle in physical, chemical and biological systems.}, subject = {Hummeln}, language = {en} } @phdthesis{Gehring2001, author = {Gehring, Iris}, title = {Volcanostratigraphy using geophysical methods on La Fossa di Vulcano (S-Italy)}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-1181941}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2001}, abstract = {For many active volcanoes all over the world a civil protection program, normally combined with hazard maps, exists. Optimising of hazard maps and the associated hazard assessment implies a detailed knowledge of the volcanostratigraphy, because the deposits provoke information on the potential behaviour during a new activity cycle. Pyroclastic deposits, however, may vary widely in thickness and distribution over very short lateral distances. High resolution characterisation of single strata often cannot be archived, if solely sedimentological and geochemical methods are used. Gamma-ray measurements taken in the field combined with grain-size depended magnetic susceptibility measurements made in the laboratory are used in this work to optimise the resolution of volcanostratigraphic investigations. The island of Vulcano is part of the Aeolian Archipelago sited of the northern coast of Sicily. La Fossa cone is the active centre of Vulcano, where fumarolic and seismic activity can be observed. The cone was built up during the last 6,000 years, whereby the last eruption period is dated to historic times (1888-1890). For the tuff cone La Fossa the most likely volcanic hazards are the emplacement of pyroclastic deposits as well as gas hazards (especially SOx and CO2), due to this the detailed knowledge of the stratigraphy is mandatory. Most of the population resides in Vulcano Porto and the nearby sited peninsula of Vulcanello, which are highly endangered locations for a future eruption scenario. Measurements, made in standard outcrops, allow a characterisation of the successions Punte Nere, Tufi Varicolori, Palizzi, Commenda, and Cratere Attuale. A discrimination of all successions by solely one of the methods is rarely possible. In some cases, however, the combination of the methods leads to clear results. It can also be noticed that the exposition as well as the sedimentation type (wet-surge or dry-surge deposits) affect the measurements. In general it can be assumed that the higher the magma is evolved the higher the g -ray values and the lower the susceptibility values. Measurements from the Wingertsberg (Laacher See deposits, Eifel, W-Germany) show clearly that a higher degree of magma evolution correlates with lower susceptibility and higher gamma-ray values. Variations of the values can be observed not only by the change of the degree of magmatic evolution but also by the inhomogeneous deposition conditions. Particularly the gamma-ray measurements show lower values for the wet-surge deposits than for the dry-surge deposits, even though the erupted material has the same geochemical composition. This can be explained especially by reactions inside of the moist eruption cloud and short-time after deposition, when easily soluble elements like K, U, and Th can be leached by these aggressive fluids. Even extended exposition and high water content can provoke depletion of various elements within the complete or parts of the outcrop, too. If the deposits are affected by a fumarolic activity especially the susceptibility values show significant variations, whereas in general extreme low values are observed. Contamination of deposits also can occur, if they are overlain by weathered deposits of higher concentration of K, U, and Th. Weathering and mobilisation within the upper deposits can generate an element enrichment within the lower deposits. In general the element ratios of the barried underlying deposits are less affected than the exposed ones. After gauging the values of the well defined succession for standard outcrops undefined outcrops were measured. These outcrops are not clearly classified by sedimentological and geochemical methods, thus a correlation with the combined geophysical methods is useful. In general the combination of the methods allows a correlation, although in some cases more than one interpretation is possible. But in connection with time marker horizons as well as sedimentological features an interpretation is feasible. These situations show that a classification solely based on geophysical methods is possible for many cases but, if the volcanic system is more complex, a combination with sedimentological and geochemical methods may be needed. The investigations on Vulcano, documented in this work, recommend a re-interpretation of the dispersial of some successions of La Fossa cone, especially the presumption that Tufi Varicolori only exist inside of the Caldera of La Fossa. As a consequence the eruption and energy model especially for Tufi Varicolori have to be reviewed.}, subject = {Vulcano}, language = {en} } @phdthesis{AlFarajat2001, author = {Al-Farajat, Mohammad}, title = {Hydrogeo-Eco-Systems in Aquaba/Jordan - Coasts and Region}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-1182066}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2001}, abstract = {The coast of Aqaba and the Aqaba region (Jordan) were investigated on their hydrogeo-ecosystem. The results of the research were translated into digits to build a geo-spatial data base. The fillings of the graben aquifer receive indirect type of recharge through the side wadis which drain the highlands. Surface water balance was modeled for a period of 20 years of daily climate records using MODBIL program which attributes direct recharge to wet years only. The hydrodynamic fresh water/seawater interface in the coastal zones was investigated by applying vertical geoelectric surveys and models of several methods to confirm its coincidence with the aquifer's flow amounts, where human impacts in terms of over-pumping allowed more encroachment of seawater into land, and unintended recharge which led to seaward interface migration. A groundwater balance and solute transport were approached by developing a flow model from the hydrogeological and hydrochemical data. The nature of soil cover and aquifer whose physical properties enhance human impacts indicated the vulnerability of groundwater to pollution. This certainly threatens the marine ecology which forms the sink where the in-excess flow ends. The constructed digital background was exported into GIS to sub-zone the study area in terms of the aquifer's vulnerability to pollution risks using DRASTIC index. However, it was unable to meet all geo-spatial factors that proved to have significant impacts on the vulnerability. Consequently, a comprehensive index -SALUFT- was developed. This suggests the suitable land use units for each zone in the light of vulnerability grades aiming at protecting the available groundwater resources.}, subject = {Golf von Akaba}, language = {en} } @phdthesis{Stuntz2001, author = {Stuntz, Sabine}, title = {The influence of epiphytes on arthropods in the tropical forest canopy}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-1179126}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2001}, abstract = {The understanding of the mechanisms underlying the establishment and maintenance of the extraordinary biodiversity in tropical forests is a major challenge for modern biology. In this context, epiphytes are presumed to play an important role. To investigate the biological reality of this persistent yet insufficiently investigated notion, I conducted the present study. The main questions I intended to clarify were: (1) do epiphytes affect arthropod abundance and diversity in tropical tree crowns? and (2) what might be the driving forces behind this potential influence? I studied the arthropod fauna of 25 tree crowns bearing different epiphyte assemblages, and the resident fauna of 90 individual epiphytes. I also quantified the mitigating influence of epiphytes on the microclimate in tree crowns. In total, more than 277,000 arthropods were collected and about 700 morphospecies determined. Epiphytes had a significant moderating influence on canopy microclimate (Chapter 3), both at various microsites within a tree crown and among tree crowns with different epiphyte growth. On hot dry season days, they provided microsites with lower temperatures and reduced evaporative water loss compared to epiphyte-free spaces within the same tree crown. Quantitative sampling of the arthropods inhabiting three different epiphyte species provided compelling evidence for the specificity of epiphyte-associated faunas (Chapter 4). Epiphytes proved to be microhabitats for a diverse and numerous arthropod fauna, and different epiphyte species fostered both taxonomically and ecologically very distinct arthropod assemblages: among epiphyte hosts, the inhabitant faunas showed remarkably little species overlap, and guild composition differed strongly. In the subsequent chapters I investigated if this pronounced effect scaled up to the level of entire tree crowns. Arthropods were captured with three different trap types to obtain an ample spectrum of the canopy fauna (Chapter 2). Four tree categories were classified, three of which were dominated by a different species of epiphyte, and an epiphyte-free control group. On a higher taxonomic level, there were no detectable effects of epiphytes on the fauna: the ordinal composition was similar among tree categories and indifferent of the amount of epiphytes in a tree crown (Chapter 5). I examined three focal groups (ants, beetles and spiders) on species level. The diversity and abundance of ants was not influenced by the epiphyte load of the study trees (Chapter 6). Although many species readily used the epiphytes as nesting site and shelter, they seemed to be highly opportunistic with respect to their host plants. Likewise, the species richness and abundance of beetles, as well as their guild composition were entirely unaffected by the presence of epiphytes in the study trees (Chapter 7). Focusing on herbivorous beetles did not alter these results. Spiders, however, were strongly influenced by the epiphyte assemblages of the host trees (Chapter 8). Overall spider abundance and species richness did not differ among trees, but particular families and guilds exhibited marked differences in abundance between the tree categories. Most remarkable were the substantial differences in spider species composition across trees with different epiphyte assemblages. Conclusion Thus, the prevalent notion that epiphytes positively influence arthropod diversity in tropical canopies seems justified, but not without reservation. Whether an influence of epiphytes on the fauna was discernible depended greatly on (1) the scale of the investigated system: clear faunal distinctions at the microhabitat level were absent or much more subtle at the level of tree crowns. (2) the focal taxa: different arthropod orders allowed for completely different statements concerning the importance of epiphytes for canopy fauna. I therefore recommend a multitaxon approach for the investigation of large-scale ecological questions. In conclusion, I resume that epiphytes are associated with a species-specific inhabiting fauna,and that epiphytes impose an influence on certain, but not all, taxa even at the level of entire tree crowns. Although I could only hypothesize about the potential causes for this influence, this study provided the first comprehensive investigation of the role of epiphytes in determining arthropod abundance and diversity in tropical tree crowns.}, subject = {Tropischer Regenwald}, language = {en} } @phdthesis{Spohn1999, author = {Spohn, Gunther}, title = {The transcriptional control of virulence gene expression in Helicobacter pylori}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-2334}, school = {Universit{\"a}t W{\"u}rzburg}, year = {1999}, abstract = {The Gram-negative, spiral-shaped, microaerophilic bacterium Helicobacter pylori is the causative agent of various disorders of the upper gastrointestinal tract, such as chronic superficial gastritis, chronic active gastritis, peptic ulceration and adenocarcinoma. Although many of the bacterial factors associated with disease development have been analysed in some detail in the recent years, very few studies have focused so far on the mechanisms that regulate expression of these factors at the molecular level. In an attempt to obtain an overview of the basic mechanisms of virulence gene expression in H. pylori, three important virulence factors of this pathogen, representative of different pathogenic mechanisms and different phases of the infectious process, are investigated in detail in the present thesis regarding their transcriptional regulation. As an essential factor for the early phase of infection, including the colonisation of the gastric mucosa, the flagella are analysed; the chaperones including the putative adhesion factors GroEL and DnaK are investigated as representatives of the phase of adherence to the gastric epithelium and persistence in the mucus layer; and finally the cytotoxin associated antigen CagA is analysed as representative of the cag pathogenicity island, which is supposed to account for the phenomena of chronic inflammation and tissue damage observed in the later phases of infection. RNA analyses and in vitro transcription demonstrate that a single promoter regulates expression of cagA, while two promoters are responsible for expression of the upstream divergently transcribed cagB gene. All three promoters are shown to be recognised by RNA polymerase containing the vegetative sigma factor sigma 80. Promoter deletion analyses establish that full activation of the cagA promoter requires sequences up to -70 and binding of the C-terminal portion of the alpha subunit of RNA polymerase to an UP-like element located between -40 and -60, while full activation of the major cagB promoter requires sequences upstream of -96 which overlap with the cagA promoter. These data suggest that the promoters of the pathogenicity island represent a class of minimum promoters, that ensure a basic level of transcription, while full activation requires regulatory elements or structural DNA binding proteins that provide a suitable DNA context. Regarding flagellar biosynthesis, a master transcriptional factor is identified that regulates expression of a series of flagellar basal body and hook genes in concert with the alternative sigma factor sigma 54. Evidence is provided that this regulator, designated FlgR (for flagellar regulatory protein), is necessary for motility and transcription of five promoters for seven basal body and hook genes. In addition, FlgR is shown to act as a repressor of transcription of the sigma 28-regulated promoter of the flaA gene, while changes in DNA topology are shown to affect transcription of the sigma 54-regulated flaB promoter. These data indicate that the regulatory network that governs flagellar gene expression in H. pylori shows similarities to the systems of both Salmonella spp. and Caulobacter crescentus. In contrast to the flagellar genes which are regulated by three different sigma factors, the three operons encoding the major chaperones of H. pylori are shown to be transcribed by RNA polymerase containing the vegetative sigma factor sigma 80. Expression of these operons is shown to be regulated negatively by the transcriptional repressor HspR, a homologue of a repressor protein of Streptomyces spp., known to be involved in negative regulation of heat shock genes. In vitro studies with purified recombinant HspR establish that the protein represses transcription by binding to large DNA regions centered around the transcription initiation site in the case of one promoter, and around -85 and -120 in the case of the the other two promoters. In contrast to the situation in Streptomyces, where transcription of HspR-regulated genes is induced in response to heat shock, transcription of the HspR-dependent genes in H. pylori is not inducible with thermal stimuli. Transcription of two of the three chaperone encoding operons is induced by osmotic shock, while transcription of the third operon, although HspR-dependent, is not affected by salt treatment. Taken together, the analyses carried out indicate that H. pylori has reduced its repertoire of specific regulatory proteins to a basic level that may ensure coordinate regulation of those factors that are necessary during the initial phase of infection including the passage through the gastric lumen and the colonisation of the gastric mucosa. The importance of DNA topology and/or context for transcription of many virulence gene promoters may on the other hand indicate, that a sophisticated global regulatory network is present in H. pylori, which influences transcription of specific subsets of virulence genes in response to changes in the microenvironment.}, subject = {Helicobacter-pylori-Infektion}, language = {en} } @phdthesis{Spaethe2001, author = {Spaethe, Johannes}, title = {Sensory Ecology of Foraging in Bumblebees}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-1179692}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2001}, abstract = {Pollinating insects exhibit a complex behavior while foraging for nectar and pollen. Many studies have focused on ultimate mechanisms of this behavior, however, the sensory-perceptual processes that constrain such behavior have rarely been considered. In the present study I used bumblebees (Bombus terrestris), an important pollinating insect, to investigate possible sensory constraints on foraging behavior. Additionally, I survey inter-individual variation in the sensory capabilities and behavior of bumblebees caused by the pronounced size polymorphism among members of a single colony. In the first chapter I have focused on the sensory-perceptual processes that constrain the search for flowers. I measured search time for artificial flowers of various sizes and colors, a key variable defining the value of a prey type in optimal foraging theory. When flowers were large, search times correlate well with the color contrast of the targets with their green foliage-type background, as predicted by a model of color opponent coding using inputs from the bee's UV, blue, and green receptors. Targets which made poor color contrast with their backdrop, such as white, UV-reflecting ones, or red flowers, take longest to detect, even though brightness contrast with the background is pronounced. When searching for small targets, bumblebees change their strategy in several ways. They fly significantly slower and closer to the ground, so increasing the minimum detectable area subtended by an object on the ground. In addition they use a different neuronal channel for flower detection: instead of color contrast, they now employ only the green receptor signal for detection. I related these findings to temporal and spatial limitations of different neuronal channels involved in stimulus detection and recognition. Bumblebees do not only possess species-specific sensory capacities but they also exhibit inter-individual differences due to size. Therefore, in the next two chapters I have examined size-related effects on the visual and olfactory system of Bombus terrestris. Chapter two deals with the effect of scaling on eye architecture and spatial resolving power of workers. Foraging efficiency in bees is strongly affected by proficiency of detecting flowers. Both floral display size and bee spatial vision limit flower detection. In chapter one I have shown that search times for flowers strongly increases with decreasing floral display size. The second factor, bee spatial vision, is mainly limited by two properties of compound eyes: (a) the interommatidial angle {\c{C}}{\aa} and (b) the ommatidial acceptance angle {\c{C}}{\´a}. When a pollinator strives to increase the resolving power of its eyes, it is forced to increase both features simultaneously. Bumblebees show a large variation in body size. I found that larger workers with larger eyes possess more ommatidia and larger facet diameters. Large workers with twice the size of small workers (thorax width) have about 50 per cent more ommatidia, and a 1.5 fold enlarged facet diameter. In a behavioral test, large and small workers were trained to detect the presence of a colored stimulus in a Y-maze apparatus. The stimulus was associated with a sucrose reward and was presented in one arm, the other arm contained neither stimulus nor reward. The minimum visual angle a bee is able to detect was estimated by testing the bee at different stimuli sizes subtending angles between 30° and 3° on the bee's eye. Minimum visual detection angles range from 3.4° to 7.0° among tested workers. Larger bumblebees are able to detect objects subtending smaller visual angles, i.e. they are able to detect smaller objects than their small conspecifics. Thus morphological and behavioral findings indicate an improved visual system in larger bees. Beside vision, olfaction is the most important sensory modality while foraging in bees. Bumblebees utilize species-specific odors for detecting and identifying nectar and pollen rich flowers. In chapter three I have investigated the olfactory system of Bombus terrestris and the effect of scaling on antennal olfactory sensilla and the first olfactory neuropil in the bumblebee brain, the antennal lobes. I found that the pronounced size polymorphism exhibited by bumblebees also effects their olfactory system. Sensilla number (I measured the most common olfactory sensilla type, s. placodea), sensilla density, volume of antennal lobe neuropil and volume of single identified glomeruli correlate significantly with worker's size. The enlarged volume of the first olfactory neuropil in large individuals is caused by an increase in glomeruli volume and coarse neuropil volume. Additionally, beside an overall increase of brain volume with scaling I found that the olfactory neuropil increases disproportionately compared to a higher order neuropil, the central body. The data predict a higher odor sensitivity in larger bumblebee workers. In the last chapter I have addressed the question if scaling alters foraging behavior and rate in freely foraging bumblebees. I observed two freely foraging B. terrestris colonies and measured i) trip number, ii) trip time, iii) proportion of nectar trips, and iv) nectar foraging rate of different sized foragers. In all observation periods large foragers exhibit a significantly higher foraging rate than small foragers. None of the other three foraging parameters is affected by workers' size. Thus, large foragers contribute disproportionately more to the current nectar influx of their colony. To summarize, this study shows that understanding the mechanisms of visual information processing and additionally comprising inter-individual differences of sensory capabilities is crucial to interpret foraging behavior of bees.}, subject = {Hummeln}, language = {en} } @phdthesis{SoutoCarneiro2000, author = {Souto-Carneiro, Maria Margarida}, title = {Molecular and functional analyses of human synovial B-lymphocytes in rheumatoid arthritis}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-2308}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2000}, abstract = {B-cells of the rheumatoid synovial tissue are a constant part of and, in some histopathological subtypes, the dominant population of the inflammatory infiltrate, located in the region of tissue destruction. The pattern of B-cell distribution and the relationship to the corresponding antigen-presenting cells (follicular dendritic reticulum cells: FDCs) show a great variety. B-cells may exhibit (i) a follicular organization forming secondary follicles; (ii) follicle-like patterns with irregularly formed FDC networks, and (iii) a diffuse pattern of isolated FDCs. Molecular analysis of immunoglobulin VH and VL genes from human synovial B-cell hybridomas and synovial tissue demonstrates somatic mutations due to antigen activation. The FDC formations in the synovial tissue may therefore serve as an environment for B-cell maturation, which is involved in the generation of autoantibodies. An autoantibody is defined as "pathogenic" if it fulfills the Witebsky-Rose-Koch criteria for classical autoimmune diseases: definition of the autoantibody; induction of the disease by transfer of the autoantibody; and isolation of the autoantibody from the disease-specific lesion. B-cells from rheumatoid synovial tissue show specificity for FcIgG, type II collagen, COMP, sDNA, tetanus toxoid, mitochondrial antigens (M2), filaggrin and bacterial HSPs. The contributions of these antigens to the pathogenesis of RA are still hypothetical. A possible contribution could derive from crossreactivity and epitope mimicry: due to crossreaction, an antibody directed originally against a foreign infectious agent could react with epitopes from articular tissues, perpetuating the local inflammatory process. The characteristic distribution pattern, the localisation within the area of tissue destruction, the hypermutated IgVH and IgVL genes, and their exclusive function to recognize conformation-dependent antigens suggest a central role for B-cells in the inflammatory process of rheumatoid arthritis. Therefore, the analysis of synovial B-cell hybridomas and experimental expression of synovial IgVH and IgVL genes will help to characterise the antigens responsible for the pathogenesis of rheumatoid arthritis. In the present study 55 IgVH genes amplified from 3 different anatomical regions of a RA patient were analysed adding further information on synovial B-cell maturation and recirculation in RA. This analysis demonstrated somatically mutated IgVh genes in all different regions with amino acid deletions and mixed IgVh molecules, suggesting the existence of a novel pathway to generate (auto)antibody specificities. The comparison of amino acid sequences of amplified genes belonging to the VH1 family (with predominantly the same germline counterpart) exhibited a strong homology, indicating an apparently conserved mutational pattern. This suggests that the number of antigens activating B-cells in the different locations is restricted. The most striking result was the finding of clonally related sequences in different anatomical regions indicating a recirculation of activated B-cells between the different affected joints. Also in the present study a synovial B-cell hybridoma was analyzed for its specific recognition of cartilage antigens. A heptameric peptide of cartilage oligomeric protein (COMP) could be defined as the target structure. The IgVH-gene (IgHV4-59*01) of the IgG2l hybridoma has somatically mutated genes with high R/S values in the CDR regions (9:2). Thus, indicating that this hybridoma originates from a synovial B-cell which has been antigen activated/selected for its affinity. To analyse the presence of the clonotypic IgHV4-59*01 sequences in other cases of RA and osteoarthritis (OA) synovitis, primers specific for the CDR3 rearrangement of this hybridoma were used. The clonotypic and clone related sequences (98 per cent ± 1 per cent homology) could only be detected in synovitis of RA cases but not in OA cases indicating that this B-cell is specific to RA synovitis. The identified heptameric peptide of COMP was used in a peptide ELISA to analyse whether there is a specific binding in RA serum samples. Serum samples (IgG) from RA patients (n=22) showed a significant higher efficiency to the COMP heptamer than the OA sera (n=24) and the age matched healthy controls (n=20) (for both p<1x10-4, Students t-test). The specificity of this B-cell hybridoma may therefore be defined as RA specific. Since COMP is restricted to cartilage and tendons which are organs specifically affected in RA this COMP specific autoantibody represents the first organ specific autoantibody in RA. The IgG2 COMP specific autoantibody with somatically mutated IgVH genes is different from germline encoded, antigen clearing IgM autoantibodies and may therefore be directly involved as an "arthritogenic autoantibody" in cartilage and tendons destruction by complement activation.}, subject = {Rheumatoide Arthritis}, language = {en} } @phdthesis{Bluem2001, author = {Bl{\"u}m, Martina}, title = {Reaktivation and stabilization phases of eolian deposits under climatic and anthropogenic influences in the Rolling Plains of Texas, U.S.A.}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-1179360}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2001}, abstract = {There are ample sand dune and sand sheets in the Texas Rolling Plains, U.S.A. Their varied location, morphology and paleosol content pointed to differnces in their historical develpment throughout the Holocene. Younger dunes, so called fence line dunes have been identified as remnants of unsound agricultural practices which just recently formed at the beginning of this century. Correspondingly soils were eroded, in parts, down to the C-horizon in some of these areas. More mature sand were dated with the radiocarbon method and identified having formed during the Altithermal warming period. This study identifies major eolian anthropogenic and climatic reactivation and stabilisation phases in the Rolling Plains of Texas during the Holocene, but also ties them into the existing Southern High Plains and Great Plains climatic record. This study also researched the reasons for the regional and local sand reactivation phases and contributes to the eolian history in the Great Plains region. The outline of this dissertation is oriented towards a comprehensive regional approach in cultural and physical geography. Chapter 1 covers the physiographic setting of the Rolling Plains region including geology, geomorphology, climate and vegetation. Here the prerequisites for eolian activity in the area are explained, followed by the criteria for the selection of the individual study sites. In chapter 2 selected dune fields and sand sheets are introduced. Chapter 3 outlines the methodology as a combination of field research, laboratory analysis and remote sensing techniques, along with a brief interpretation of their application and success rate. Chapter 4 investigates interactive processes between the cultural development and the physical landscape of the region. The next 4 chapters are focusing on research results and interpretation. Chapter 5 interprets the youngest eolian episodes resulting from the cultural de-velopment of the area, including a description and definition of so called "fenceline dunes" and "shinnery motts". Other dunes with very young buried horizons are also described in this chapter, and a comparison with outcrops in the Nebraska Sand Hills is performed. Chapter 6 interprets short-term, cyclic, drought related sand reactivations several hundred years ago by means of a Post Oak (Quercus stellata) tree ring record as established by STAHLE and CLEAVELAND (1988). In chapter 7 older Holocene reactivation cycles are introduced, investigating the idea of the existence of a warmer period, previously named the Altithermal, which so far has only been identified in the Southern High Plains. The last chapter (8) includes a brief statement of the study's purpose along with the summary and discussion of results presented. This chapter will end with further implications of this research.}, subject = {Texas }, language = {en} } @phdthesis{Siebert2002, author = {Siebert, Torsten Uwe}, title = {Four-Wave Mixing Techniques Applied to the Investigation of Non-Adiabatic Dynamics in Polyatomic Molecules}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-2456}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {In the experiments presented in this work, third-order, time-resolved spectroscopy was applied to the disentanglement of nuclear and electronic degrees of freedom in polyatomic molecules. The motivation for approaching this problem was given by the decisive role that the coupling of nuclear and electronic dynamics plays in the mechanism of photochemical reactions and photobiological processes. In order to approach this complex problem, different strategies within the framework of time-resolved, four-wave mixing spectroscopy were developed that allowed for the dynamic as well as the energetic aspects of vibronic coupling in non-radiative transitions of polyatomic molecules to be addressed. This was achieved by utilizing the influence of optical as well as Raman resonances on four-wave mixing processes. These resonance effects on third-order, optical processes allow for a high selectivity to be attained with respect to the interrogation of specific aspects of molecular dynamics. The development of different strategies within the framework of time-resolved, four-wave mixing spectroscopy for addressing the problem of vibronic coupling began with the experiments on gaseous iodine. This simple, well investigated molecular system was chosen in order to unambiguously characterize the effect of Raman resonances on four-wave mixing processes. A time-resolved degenerative four-wave mixing (DFWM) experiment was carried out on gaseous iodine that allowed for the dynamics of coherent Stokes Raman scattering (CSRS) as well as a coherent anti-Stokes Raman scattering (CARS) to be observed parallel to the dynamics of a DFWM process at different spectral positions of the FWM signal. Here, the state-selectivity of these different FWM processes manifests itself in the vibrational wave packet dynamics on different electronic potentials of iodine. It could be shown that Raman resonances determine the selectivity with which these FWM processes prepare and interrogate nuclear dynamics in different electronic states. With the insight gained into the relevance of Raman resonant processes in FWM spectroscopy, an experimental scheme was devised that utilizes this effect to selectively interrogate the dynamics of a specific vibrational mode within a polyatomic molecule during a radiationless electronic transition. Here, a CARS process was employed to selectively probe specific vibrational modes of a molecular system by variably tuning the energy difference between the lasers involved in the CARS process to be in Raman resonance with the vibrational energy spacing of a particular vibrational mode. Using this aspect of a tunable resonance enhancement within a CARS scheme, this optical process was incorporated in a time-resolved pump-probe experiment as a mode-selective probe mechanism. This type of experimental configuration, that employs four pulsed laser fields, was classified as a pump-CARS scheme. Here, a laser pulse independent of the CARS process initiates the molecular dynamics that are interrogated selectively with respect to the vibrational mode of the system through the simultaneous interaction of the three pulsed fields involved in the CARS process. Time-resolution on a femtosecond timescale is achieved by introducing a time delay between the independent pump laser and the laser pulses of the CARS process. The experimental configuration of a pump-CARS scheme was applied to the study of the nuclear dynamics involved in the radiationless electronic transition between the first excited singlet state (S1) and the electronic ground state (S0) of all-trans-b-carotene. The mode-selective CARS probe allowed for the characteristic timescale with which specific vibrational modes are repopulated in the S0 state to be determined. From the varying repopulation times of specific vibrational modes, a mechanism with which the full set of vibrational states of the S0 potential are repopulated subsequent to the internal conversion process could be postulated. Most importantly, the form of nuclear motion that primarily funnels the population between the two electronic states could be identified as the C=C symmetric symmetric stretch mode in the polyene backbone of b-carotene. With this, the reaction coordinate of this radiationless electronic transition could be identified. The experiment shows, that the CARS probe is capable of determining the nuclear motion coupled to a radiationless electronic transition in complex polyatomic systems. The S1/S0 internal conversion process in b-carotene was further investigated with time-resolved transient gratings. Here, the energetic aspects of a non-adiabatic transition was addressed by determining the influence of the vibrational energy on the rate of this internal conversion. In order to compare the rate of internal conversion taking place out of vibrational ground state modes versus this transition initiating out of vibrationally hot modes, the strategy of shifting the probe mechanism in the transient grating scheme to spectral positions within and out of the red flank of the S1 absorption profile was pursued. The interrogation of different vibrational states was verified by determining the degree of vibrational cooling, taking place parallel to the internal conversion process. With this strategy, it could be shown that vibrationally hot states contribute to the internal conversion with a higher rate than vibrational ground state modes. In summary, different third-order, optical processes in the framework of time-resolved FWM were applied to the study of non-adiabatic dynamics in polyatomic molecules. By utilizing the effect of optical as well as Raman resonances on different FWM processes, it could be shown that third-order, time-resolved spectroscopy is a powerful tool for gaining insight into complex molecular dynamics such as vibronic coupling. The experiments presented in this work showed that the CARS process, as a mode-selective probe in time-resolved experiments, is capable of disentangling nuclear and electronic dynamics.}, subject = {Provitamin A}, language = {en} } @phdthesis{Bangert2000, author = {Bangert, Berthold}, title = {Tephrostratigraphy, petrography, geochemistry, age and fossil record of the Ganigobis Shale Member and associated glaciomarine deposits of the Dwyka Group, Late Carboniferous, southern Africa}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-2233}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2000}, abstract = {Thin, pyroclastic marker beds are preserved in argillaceous units of the Dwyka Group in southern Nambia and South Africa which are the earliest witnesses of volcanism in Karoo-equivalent strata of southern Africa. The aim of this study is to present the field appearance of these marker beds, to characterise their mineralogy, geochemistry and heavy mineral contents and to present new radiometric age data from their juvenile zircons. Carboniferous-Permian Karoo deposits in the Aranos Basin of southern Namibia include the glacially dominated, Carboniferous Dwyka Group and the shelf sediments of the overlying Permian Ecca Group. The Dwyka Group can be subdivided into four upward-fining deglaciation sequences, each capped by relatively fine-grained glaciolacustrine or glaciomarine deposits. The uppermost part of the second deglaciation sequence comprises a thick fossiliferous mudstone unit, referred to as the "Ganigobis Shale Member". An abundance of marine macro- and ichnofossils as well as extrabasinally derived ashfall tuff beds characterise the more than 40 m thick mudstones and provide the basis for an integrated high-resolution biostratigraphic and tephrostratigraphic framework. The Ganigobis Shale Member contains remains of paleoniscoid fishes, bivalves, gastropods, scyphozoa, crinoid stalks, sponges and sponge spicules, radiolaria, coprolites and permineralised wood. These mostly marine body and trace fossils record the extent of the first of a series of marine incursions into the disintegrating Gondwanan interior as early as the Carboniferous. Within the Ganigobis Shale Member 21 bentonitic tuff beds displaying a thickness of 0.1 and 2.0 cm were determined which in part can be traced laterally over tens of kilometres indicating an ashfall derivation. Further bentonitic tuff beds of the Dwyka Group were detected in cut banks of the Orange River near Zwartbas in the Karasburg Basin (southern Namibia). The 65 tuff beds vary between 0.1 and 4.0 cm in thickness. Due to a similar fossil content and age of the background deposits, the tuff beds are thought to have originated from the same source area as those from the Aranos Basin. Thin-sections reveal the derivation of the tuff beds as distal fallout ashes produced by explosive volcanic eruptions. The matrix consists of a micro- to cryptocrystalline clay mineral-quartz mixture. Rare fragments of splinter quartz, completely recrystallized ash-sized particles of former volcanic glass and few apatite and zircon grains are the only juvenile components. The tuff beds contain as non-opaque, juvenile heavy minerals mostly zircon, apatite, monazite and sphene but also biotite, garnet, hornblende and tourmaline. Geochemical analyses point to an original, intermediate to acid composition of the tuff samples. LREE enrichment and Eu-anomalies show that the parent magma of the tuff beds was a highly evolved calc-alkaline magma. Tectonomagmatic discrimination diagrams point to a volcanic arc setting. Bedding characteristics and the lack of any Carboniferous-Permian volcanic successions onshore Namibia makes an aeolian transport of the ash particles over larger distances likely. Siliceous ashes could thus have been transported by prevailing south-westerly winds from arc-related vents in South America to southern Africa. A second, more local source area could have been located in an intracontinental rift zone along the western margin of southern Africa which is indicated by north-south directed ice-flow directions in the Late Carboniferous. SHRIMP-based age determinations of juvenile magmatic zircons separated from the tuff beds allow a new time calibration of Dwyka Group deglaciation sequences II - IV and the Dwyka/Ecca boundary. Zircons of the Ganigobis Shale Member yield SHRIMP-ages of 302-300 Ma. This dates the uppermost part of the second deglaciation sequence in southern Namibia to the Late Carboniferous (Gzelian) and provides a minimum age for the onset of Karoo-equivalent marine deposition. The age of the uppermost argillaceous part of the third deglaciation sequence (297 Ma) was determined from zircons of a tuffaceous bed sampled in a roadcut in the Western Cape Province, South Africa. The deposits correlate with the Hardap Shale Member in the Aranos Basin of southern Namibia which are part of much more widespread Eurydesma transgression. The age of the Dwyka/Ecca boundary was determined by SHRIMP-measurements of juvenile zircons from two tuff beds of the basal Prince Albert Formation sampled in the Western Cape Province (South Africa). The zircons revealed ages of 289 - 288 Ma which date the Dwyka/Ecca boundary at about 290 Ma. According to these ages, deglaciation sequences II-IV lasted for 5 Ma on average.}, subject = {S{\"u}dafrika}, language = {en} } @phdthesis{Roeschard2002, author = {R{\"o}schard, Jacqueline}, title = {Cutter, carriers and bucket brigades ...}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-2240}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {This study investigates the foraging behaviour of grass-cutting ants, Atta vollenweideri, with specific consideration of the following issues: (a) cutting behaviour and the determination of fragment size, (b) the effect of load size on transport economics, (c) division of labour and task-partitioning. Grass-cutting ants, Atta vollenweideri, harvest grass fragments that serve as substrate for the cultivation of a symbiotic fungus. Foragers were observed to cut grass fragments across the blade, thus resulting in longish, rectangular-shaped fragments in contrast to the semicircular fragments of leaf-cutting ants. Cutting was very time-consuming: In tough grasses like the typical grassland species Paspallum intermedium and Cyperus entrerrianus, cutting times lasted up to more than 20 minutes per fragment and roughly half of all initiated cutting attempts were given up by the ants. Foragers harvesting the softer grass Leersia hexandra were smaller than those foraging on the hard grasses. Fragment size determination and the extent of size-matching between ant body size and fragment size was investigated regarding possible effects of tissue toughness on decision-making and as a function of the distance from the nest. Tissue toughness affected decision-making such that fragment width correlated with ant body mass for the hard grass but not for the soft one, suggesting that when cutting is difficult, larger ants tend to select wider grasses to initiate cutting. The length of the fragments cut out of the two grass species differed statistically, but showed a large overlap in their distribution. Distance from the nest affected load size as well as the extent of size-matching: Fragments collected directly after cutting were significantly larger than those carried on the trail. This indicates that fragments were cut once again on their way to the nest. Size-matching depended on the trail sector considered, and was stronger in ants sampled closer to the nest, suggesting that carriers either cut fragments in sizes corresponding to their body mass prior transport, or transferred them to nestmates of different size after a short carrying distance. During transport, a worker takes a fragment with its mandibles at one end and carries it in a more or less vertical position. Thus, load length might particularly affect maneuverability, because of the marked displacement of the gravitational center. Conversely, based on the energetic of cutting, workers might maximise their individual harvesting rate by cutting long grass fragments, since the longer a grass fragment, the larger is the amount of material harvested per unit cutting effort. I therefore investigated the economics of load transport by focusing on the effects of load size (mass and length) on gross material transport rate to the nest. When controlling for fragment mass, both running speed of foragers and gross material transport rate was observed to be higher for short fragments. In contrast, if fragment mass was doubled and length maintained, running speed differed according to the mass of the loads, with the heavier fragments being transported at the lower pace. For the sizes tested, heavy fragments yielded a higher transport rate in spite of the lower speed of transport, as they did not slow down foragers so much that it counterbalanced the positive effects of fragment mass on material transport rate. The sizes of the fragments cut by grass-cutting ants under natural conditions therefore may represent the outcome of an evolutionary trade-off between maximising harvesting rate at the cutting site and minimising the effects of fragment size on material transport rates. I investigated division of labour and task partitioning during foraging by recording the behaviour of marked ants while cutting, and by monitoring the transport of fragments from the cutting until they reached the nest. A. vollenweideri foragers showed division of labour between cutting and carrying, with larger workers cutting the fragments, and smaller ones transporting them. This division was absent for food sources very close to the nest, when no physical trail was present. Along the trail, the transport of fragment was a partitioned task, i.e., workers formed bucket brigades composed of 2 to 5 carriers. This sequential load transport occurred more often on long than on short trails. The first carriers of a bucket brigade covered only short distances before dropping their fragments, turned back and continued foraging at the same food source. The last carriers covered the longest distance. There was no particular location on the trail for load dropping , i.e., fragments were not cached. I tested the predictions of two hypotheses about the causes of bucket brigades: First, bucket brigades might occur because of load-carriage effects: A load that is too big for an ant to be carried is dropped and carried further by nestmates. Second, fragments carried by bucket brigades might reach the nest quicker than if they are transported by a single carrier. Third, bucket brigades might enhance information flow among foragers: By transferring the load a worker may return earlier back to the foraging site and be able to reinforce the chemical trail, thus recruitment. In addition, the dropped fragment itself may contain information for unladen foragers about currently harvested sources and may enable them to choose between sources of different quality. I investigated load-carriage effects and possible time-saving by presenting ants with fragments of different but defined sizes. Load size did not affect frequency of load dropping nor the distance the first carrier covered before dropping, and transport time by bucket brigades was significantly longer than by single carriers. In order to study the information transfer hypothesis, I presented ants with fragments of different attractivity but constant size. Ants carrying high-quality fragments would be expected to drop them more often than workers transporting low-quality fragments, thus increasing the frequency of bucket brigades. My results show that increasing load quality increased the frequency of bucket brigades as well as it decreased the carrying distance of the first carrier. In other words, more attractive loads were dropped more frequently and after a shorter distance than less attractive ones with the first carriers returning to the foraging site to continue foraging. Summing up, neither load-carriage effects nor time-saving caused the occurrence of bucket brigades. Rather, the benefit might be found at colony level in an enhanced information flow.}, subject = {Atta}, language = {en} } @phdthesis{Dietemann2002, author = {Dietemann, Vincent}, title = {Differentiation in reproductive potential and chemical communication of reproductive status in workers and queens of the ant Myrmecia gulosa}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-2202}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {Division of reproductive labour in societies represents a topic of interest in evolutionary biology at least since Darwin. The puzzle of how helpers can be selected for, in spite of their reduced fertility has found an explanation in the kin selection theory: workers can overcome the cost of helping and of forgiving direct reproduction by rearing sufficiently related individuals. However, in the Hymenoptera, little is known on the proximate mechanisms that regulate the division of labour in colonies. Our knowledge is based on several "primitive" ants from the subfamily Ponerinae and two highly eusocial Hymenoptera species. In the former, the dominance hierarchies allowing for the establishment of individuals as reproductives are well understood. In contrast, the pheromonal mechanisms that help maintain their reproductive status are not understood. Similarly in "higher" ants, pheromonal regulation mechanisms of worker reproduction by queens remain largely unknown. The aim of this study is to determine the modalities of production, distribution and action, as well as the identity of the queen pheromones affecting worker reproduction in the ant Myrmecia gulosa. This species belongs to the poorly studied subfamily Myrmeciinae, which is endemic to the Australian region. The subfamily represents, together with the Ponerinae, the most "primitive" ants: their morphology is close to that of the hypothetical ancestor of ants, and the specialisation of queens is weaker than that of "higher" ants. Simple regulation mechanisms were therefore expected to facilitate the investigation. The first step in this study was to characterise the morphological specialisation of queens and workers, and to determine the differences in reproductive potential associated with this specialisation. This study contributes to our understanding of the link between regulation of division of reproductive labour and social complexity. Furthermore, it will help shed light on the reproductive biology in the poorly known subfamily Myrmeciinae. Queens were recognised by workers on the basis of cuticular as well as gland extracts or products. What is the exact function of the multiple pheromones identified and how they interact remains to be determined. This could help understand why queen "signal" in a "primitive" ant with weakly specialised queens such as M. gulosa appears to be as complex as in highly eusocial species. Primer pheromones act on workers? physiology and have long-term effect. Whether workers of M. gulosa reproduce or not is determined by the detection of a queen pheromone of this type. Direct physical contact with the queen is necessary for workers to detect this pheromone. Thus, the colony size of M. gulosa is compatible with a simple system of pheromone perception by workers based on direct physical contact with the queen. When prevented from establishing physical contact with their queen, some workers start to reproduce and are policed by nestmates. The low volatility of the cuticular hydrocarbons (CHCs), their repartition over the entire cuticle and the existence of queen and worker specific CHC profiles suggest that these chemicals constitute a queen pheromone. Importance of HC versus non-HC compounds was confirmed by bioassaying purified fraction of both classes of chemicals. This study demonstrates for the first time that purified HCs indeed are at the basis of the recognition of reproductive status. This supports the idea that they are also at the basis of the recognition of queens by their workers. As CHCs profiles of workers and queens become similar with acquisition of reproductive status, they represent honest fertility markers. These markers could be used as signals of the presence of reproductives in the colonies, and represent the basis of the regulation of division of reproductive labour.}, subject = {Myrmecia gulosa}, language = {en} } @phdthesis{Kolmer2002, author = {Kolmer, Kerstin}, title = {Co-operation and conflict in societies of the ponerine ant genus Pachycondyla}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-2153}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2002}, abstract = {A significant relatedness is of fundamental importance for the evolution and maintenance of social life (kin selection theory, Hamilton 1964a,b). Not only kin selection itself, but also more complex evolutionary theories make predictions on the occurrence of conflict and co-operation in animal societies. They all depend on the genetic relationships among individuals. Therefore, the study of unrelated, co-operating individuals provides a unique opportunity to critically test predictions based on these evolutionary theories. Using allozyme electrophoresis, the study species Pachycondyla villosa was found to represent three different species. Young queens in one of these species, provisionally called Pachycondyla cf. inversa, may co-operate during colony founding (pleometrosis). Approximately 50 per cent of all founding colonies collected near Itabuna, Brazil, consisted of two to five founding queens. Queens of P. cf. inversa have to forage for food (semi-claustral founding), and in founding associations only one queen specialised for this risky task. A microsatellite study showed that nestmate queens were typically not related. How can a division of labour be achieved, where one individual performs risky tasks to the favour of another individual to which it is not related? In contrast to the predictions made by group selectionists, this study provided clear evidence that the division of labour among co-foundresses of P. cf. inversa results from social competition: Co-foundresses displayed aggressive interactions and formed dominance hierarchies which predominantly served to force subordinates to forage. The frequency of queen antagonism increased with the duration since food was last added to the foraging arena. The social status was not, or only weakly associated with the reproductive status: As predicted by the reproductive skew theory, all foundresses laid eggs at similar rates, though the subordinate may be harassed during egg laying and occasionally, some of her eggs may be eaten by the dominant. The differential oophagy presumably was also reflected in a microsatellite study of foundress associations, which was conducted shortly after the first workers emerged: Here, the co-foundresses occasionally contributed unequally to the colony's workers. Conflicts among workers or between workers and queens, e.g. over the division of labour or sex ratio, strongly depend on the genetic relationships among members of a colony. The number of two to five co-founding queens in polygynous colonies of P. cf. inversa, and the lack of relatedness among them, should lead to a decrease in the relatedness of workers. However, nestmate workers were closely related. Furthermore, worker relatedness may decrease as several queens were found to be multiply inseminated. Inbreeding coefficients were significantly different from zero in both queens and workers. No evidence for a geographical substructuring of the population was found. The deviation from random mating presumably was probably due to small, localised nuptial flights. Virgin queens do not mate near their natal nest and disperse before founding colonies. The analysis of cuticular hydrocarbons obtained from live queens revealed consistent differences between the patterns of cuticular hydrocarbons of queens with high vs. low rank: only high-ranking queens showed considerable amounts of cuticular pentadecane (n-C15) and heptadecene (n-C17:1). The presence of the two substances apparently was not associated with reproductive status. It is not yet known, if the two substances indeed serve to communicate high social status in P. cf. inversa. In experimentally assembled associations of two founding queens, queens engaged in aggressive interactions which already within one to twenty minutes resulted in stable dominance hierarchies. The queens attacking first usually won the contest and became dominant. Nest ownership at least for a couple of days did not influence the outcome of dominance interactions in the laboratory experiments, whereas queen body size apparently played an important role: In all eight trials, the larger queen became dominant. However, dominant queens from natural foundress associations were on average not larger than subordinates, suggesting that in the field, resident asymmetries might override size asymmetries only after a more prolonged period of nest ownership. Sequencing of the COI/COII region of mitochondrial DNA displayed sufficient variability for the study of the sociogenetic structure of the secondarily polygynous ant Pachycondyla obscuricornis: Six different haplotypes could be distinguished among six workers of different colonies from one study population in Costa Rica. The variability of other methods which were established (RFLPs, microsatellites, allozymes, and multilocus DNA fingerprinting) was too low for a further study on the genetic structure in P. obscuricornis.}, subject = {Pachycondyla}, language = {en} }