@phdthesis{Notz2021, author = {Notz, Pascal Markus}, title = {Prescriptive Analytics for Data-driven Capacity Management}, doi = {10.25972/OPUS-24042}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-240423}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2021}, abstract = {Digitization and artificial intelligence are radically changing virtually all areas across business and society. These developments are mainly driven by the technology of machine learning (ML), which is enabled by the coming together of large amounts of training data, statistical learning theory, and sufficient computational power. This technology forms the basis for the development of new approaches to solve classical planning problems of Operations Research (OR): prescriptive analytics approaches integrate ML prediction and OR optimization into a single prescription step, so they learn from historical observations of demand and a set of features (co-variates) and provide a model that directly prescribes future decisions. These novel approaches provide enormous potential to improve planning decisions, as first case reports showed, and, consequently, constitute a new field of research in Operations Management (OM). First works in this new field of research have studied approaches to solving comparatively simple planning problems in the area of inventory management. However, common OM planning problems often have a more complex structure, and many of these complex planning problems are within the domain of capacity planning. Therefore, this dissertation focuses on developing new prescriptive analytics approaches for complex capacity management problems. This dissertation consists of three independent articles that develop new prescriptive approaches and use these to solve realistic capacity planning problems. The first article, "Prescriptive Analytics for Flexible Capacity Management", develops two prescriptive analytics approaches, weighted sample average approximation (wSAA) and kernelized empirical risk minimization (kERM), to solve a complex two-stage capacity planning problem that has been studied extensively in the literature: a logistics service provider sorts daily incoming mail items on three service lines that must be staffed on a weekly basis. This article is the first to develop a kERM approach to solve a complex two-stage stochastic capacity planning problem with matrix-valued observations of demand and vector-valued decisions. The article develops out-of-sample performance guarantees for kERM and various kernels, and shows the universal approximation property when using a universal kernel. The results of the numerical study suggest that prescriptive analytics approaches may lead to significant improvements in performance compared to traditional two-step approaches or SAA and that their performance is more robust to variations in the exogenous cost parameters. The second article, "Prescriptive Analytics for a Multi-Shift Staffing Problem", uses prescriptive analytics approaches to solve the (queuing-type) multi-shift staffing problem (MSSP) of an aviation maintenance provider that receives customer requests of uncertain number and at uncertain arrival times throughout each day and plans staff capacity for two shifts. This planning problem is particularly complex because the order inflow and processing are modelled as a queuing system, and the demand in each day is non-stationary. The article addresses this complexity by deriving an approximation of the MSSP that enables the planning problem to be solved using wSAA, kERM, and a novel Optimization Prediction approach. A numerical evaluation shows that wSAA leads to the best performance in this particular case. The solution method developed in this article builds a foundation for solving queuing-type planning problems using prescriptive analytics approaches, so it bridges the "worlds" of queuing theory and prescriptive analytics. The third article, "Explainable Subgradient Tree Boosting for Prescriptive Analytics in Operations Management" proposes a novel prescriptive analytics approach to solve the two capacity planning problems studied in the first and second articles that allows decision-makers to derive explanations for prescribed decisions: Subgradient Tree Boosting (STB). STB combines the machine learning method Gradient Boosting with SAA and relies on subgradients because the cost function of OR planning problems often cannot be differentiated. A comprehensive numerical analysis suggests that STB can lead to a prescription performance that is comparable to that of wSAA and kERM. The explainability of STB prescriptions is demonstrated by breaking exemplary decisions down into the impacts of individual features. The novel STB approach is an attractive choice not only because of its prescription performance, but also because of the explainability that helps decision-makers understand the causality behind the prescriptions. The results presented in these three articles demonstrate that using prescriptive analytics approaches, such as wSAA, kERM, and STB, to solve complex planning problems can lead to significantly better decisions compared to traditional approaches that neglect feature data or rely on a parametric distribution estimation.}, subject = {Maschinelles Lernen}, language = {en} } @phdthesis{Blaettler1995, author = {Bl{\"a}ttler, Regine}, title = {Rezente fluviale Morphodynamik im Stubaital, Tirol}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-239248}, school = {Universit{\"a}t W{\"u}rzburg}, year = {1995}, abstract = {Andauernde Starkniederschl{\"a}ge f{\"u}hrten 1987 in zahlreichen Alpent{\"a}lem zu schweren Hochwasser- und Murkatastrophen. Auch das von der Ruetz entw{\"a}sserte Tiroler Stubaital s{\"u}dwestlich Innsbruck z{\"a}hlte zu den betroffenen T{\"a}lern. Im Abstand von nur sechs Wochen verursachten hier zwei Hochwasserereignisse {\"a}hnlichen Ausmaßes schwere Verw{\"u}stungen und Landschaftssch{\"a}den. Die Auswirkungen beider Hochw{\"a}sser bildeten die Ansatzpunkte der als Teilprojekt Stubai von Mitte 1988 bis Ende 1991 im Stubaital und einem seiner Seitent{\"a}ler laufenden Forschungsarbeit. Das Hauptinteresse galt dabei, nach Abschluß einer ausf{\"u}hrlichen Schadenskartierung und Photodokumentation, den Ursachen, Zusammenh{\"a}ngen und Auswirkungen einzelner morphodynamisch wirksamer Prozesse. Verschiedene Felduntersuchungen in einem Seitental des Stubaitales gaben hinsichtlich des Zusammenspiels von Abfluß, Niederschlag, Hangabtrag und Vegetation Aufschluß dar{\"u}ber, wann, wie und in welchem Zeitraum einzelne morphodynamisch wirksame Prozesse im Bachbett bzw. im Kontaktbereich Hang/Bach ablaufen. Um Aussagen dar{\"u}ber machen zu k{\"o}nnen, inwieweit das Hochwassersedimentationsverhalten der Ruetz innerhalb der letzten Jahrhunderte klimatisch beeinflußt wurde, und ob die touristische Erschließung des hinteren Stubaitales das Hochwasserabflußgeschehen der Ruetz in Bezug auf H{\"a}ufigkeit und Intensit{\"a}t in den letzten Jahren erkennbar beeinflußte, wurden im Auebereich der Ruetz mehrere Schlitzsonden- und Kernbohrungen abgeteuft. Die Auswertung der Bohrkeme und verschiedene Laboranalysen des gewonnenen Probenmaterials gaben einerseits Auskunft {\"u}ber Zusammensetzung, M{\"a}chtigkeit und Herkunft einzelner Hochwasserablagerungen, andererseits konnten anhand dieser Aussagen das fr{\"u}here Akkumulationsverhalten und verschiedene Laufverlagerungen der Ruetz f{\"u}r diesen Auebereich rekonstruiert werden. Ebenso konnte der direkte Einfluß des Menschen auf das Hochwassersed imentationsgeschehen und somit die anthropogene Beeinflussung der Hochflut-/Auedynamik bereits f{\"u}r historische Zeit festgestellt und belegt werden.}, subject = {Stubai}, language = {de} } @book{Halder2022, author = {Halder, Partho}, title = {Identification and characterization of synaptic proteins of Drosophila melanogaster using monoclonal antibodies of the Wuerzburg Hybridoma Library}, doi = {10.25972/OPUS-27020}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-270205}, publisher = {Universit{\"a}t W{\"u}rzburg}, year = {2022}, abstract = {For a large fraction of the proteins expressed in the human brain only the primary structure is known from the genome project. Proteins conserved in evolution can be studied in genetic models such as Drosophila. In this doctoral thesis monoclonal antibodies (mAbs) from the Wuerzburg Hybridoma library are produced and characterized with the aim to identify the target antigen. The mAb ab52 was found to be an IgM which recognized a cytosolic protein of Mr ~110 kDa on Western blots. The antigen was resolved by two-dimensional gel electrophoresis (2DE) as a single distinct spot. Mass spectrometric analysis of this spot revealed EPS-15 (epidermal growth factor receptor pathway substrate clone 15) to be a strong candidate. Another mAb from the library, aa2, was already found to recognize EPS-15, and comparison of the signal of both mAbs on Western blots of 1D and 2D electrophoretic separations revealed similar patterns, hence indicating that both antigens could represent the same protein. Finally absence of the wild-type signal in homozygous Eps15 mutants in a Western blot with ab52 confirmed the ab52 antigen to be EPS-15. Thus both the mAbs aa2 and ab52 recognize the Drosophila homologue of EPS-15. The mAb aa2, being an IgG, is more suitable for applications like immunoprecipitation (IP). It has already been submitted to the Developmental Studies Hybridoma Bank (DSHB) to be easily available for the entire research community. The mAb na21 was also found to be an IgM. It recognizes a membrane associated antigen of Mr ~10 kDa on Western blots. Due to the membrane associated nature of the protein, it was not possible to resolve it by 2DE and due to the IgM nature of the mAb it was not possible to enrich the antigen by IP. Preliminary attempts to biochemically purify the endogenously expressed protein from the tissue, gave 99 promising results but could not be completed due to lack of time. Thus biochemical purification of the protein seems possible in order to facilitate its identification by mass spectrometry. Several other mAbs were studied for their staining pattern on cryosections and whole mounts of Drosophila brains. However, many of these mAbs stained very few structures in the brain, which indicated that only a very limited amount of protein would be available as starting material. Because these antibodies did not produce signals on Western blots, which made it impossible to enrich the antigens by electrophoretic methods, we did not attempt their purification. However, the specific localization of these proteins makes them highly interesting and calls for their further characterization, as they may play a highly specialized role in the development and/or function of the neural circuits they are present in. The purification and identification of such low expression proteins would need novel methods of enrichment of the stained structures.}, subject = {Taufliege}, language = {en} } @phdthesis{Grabenbauer2021, author = {Grabenbauer, Felix}, title = {Radiosensibilisierung humaner Tumorzelllinien unterschiedlicher Entit{\"a}ten durch den MEK-Inhibitor PD184352 allein oder in Kombination mit dem HSP90-Inhibitor NVP-AUY922: Einfluss der Behandlungsschemas}, doi = {10.25972/OPUS-23979}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-239790}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2021}, abstract = {Das Targeting des MEK-Proteins in Krebszellen f{\"u}hrt in der Regel zu einer erworbenen Resistenz gegen MEK-Inhibitoren und zur Aktivierung des {\"u}berlebenswichtigen Proteins Akt. Da sowohl MEK als auch Akt Clienten des Hsp90-Chaperonsystems sind, untersucht die vorliegende Arbeit die Reaktionen von bestrahlten Lungenkarzinom- (A549) und Glioblastom- (SNB19) Zelllinien auf eine kombinierte MEK- und Hsp90-Hemmung. Unerwarteterweise verbesserte der 24 h vor der Bestrahlung verabreichte MEK-Inhibitor PD184352 das Zell{\"u}berleben durch Hochregulation von MEK und Erk1/2, aber auch von Akt. Im Gegensatz dazu reduzierte PD184352, das 1 h vor der Bestrahlung zugegeben wurde, die Expression von Erk stark und regulierte Akt in beiden Zelllinien nicht hoch. Als Ergebnis verst{\"a}rkte der MEK-Inhibitor die radiosensibilisierende Wirkung des Hsp90-Inhibitors NVP-AUY922 in Glioblastomzellen (SNB19).}, subject = {Strahlenbiologie}, language = {de} } @article{ChifuHeinzeFussetal.2020, author = {Chifu, Irina and Heinze, Britta and Fuss, Carmina T. and Lang, Katharina and Kroiss, Matthias and Kircher, Stefan and Ronchi, Cristina L. and Altieri, Barbara and Schirbel, Andreas and Fassnacht, Martin and Hahner, Stefanie}, title = {Impact of the Chemokine Receptors CXCR4 and CXCR7 on Clinical Outcome in Adrenocortical Carcinoma}, series = {Frontiers in Endocrinology}, volume = {11}, journal = {Frontiers in Endocrinology}, issn = {1664-2392}, doi = {10.3389/fendo.2020.597878}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-216494}, year = {2020}, abstract = {Chemokine receptors have a negative impact on tumor progression in several human cancers and have therefore been of interest for molecular imaging and targeted therapy. However, their clinical and prognostic significance in adrenocortical carcinoma (ACC) is unknown. The aim of this study was to evaluate the chemokine receptor profile in ACC and to analyse its association with clinicopathological characteristics and clinical outcome. A chemokine receptor profile was initially evaluated by quantitative PCR in 4 normal adrenals, 18 ACC samples and human ACC cell line NCI-H295. High expression of CXCR4 and CXCR7 in both healthy and malignant adrenal tissue and ACC cells was confirmed. In the next step, we analyzed the expression and cellular localization of CXCR4 and CXCR7 in ACC by immunohistochemistry in 187 and 84 samples, respectively. These results were correlated with clinicopathological parameters and survival outcome. We detected strong membrane expression of CXCR4 and CXCR7 in 50\% of ACC samples. Strong cytoplasmic CXCR4 staining was more frequent among samples derived from metastases compared to primaries (p=0.01) and local recurrences (p=0.04). CXCR4 membrane staining positively correlated with proliferation index Ki67 (r=0.17, p=0.028). CXCR7 membrane staining negatively correlated with Ki67 (r=-0.254, p=0.03) but positively with tumor size (r=0.3, p=0.02). No differences in progression-free or overall survival were observed between patients with strong and weak staining intensities for CXCR4 or CXCR7. Taken together, high expression of CXCR4 and CXCR7 in both local tumors and metastases suggests that some ACC patients might benefit from CXCR4/CXCR7-targeted therapy.}, language = {en} } @article{KirschKundeHerbort2021, author = {Kirsch, Wladimir and Kunde, Wilfried and Herbort, Oliver}, title = {Impact of proprioception on the perceived size and distance of external objects in a virtual action task}, series = {Psychonomic Bulletin \& Review}, volume = {28}, journal = {Psychonomic Bulletin \& Review}, number = {4}, issn = {1531-5320}, doi = {10.3758/s13423-021-01915-y}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-273235}, pages = {1191-1201}, year = {2021}, abstract = {Previous research has revealed changes in the perception of objects due to changes of object-oriented actions. In present study, we varied the arm and finger postures in the context of a virtual reaching and grasping task and tested whether this manipulation can simultaneously affect the perceived size and distance of external objects. Participants manually controlled visual cursors, aiming at reaching and enclosing a distant target object, and judged the size and distance of this object. We observed that a visual-proprioceptive discrepancy introduced during the reaching part of the action simultaneously affected the judgments of target distance and of target size (Experiment 1). A related variation applied to the grasping part of the action affected the judgments of size, but not of distance of the target (Experiment 2). These results indicate that perceptual effects observed in the context of actions can directly arise through sensory integration of multimodal redundant signals and indirectly through perceptual constancy mechanisms.}, language = {en} } @article{GrebeMalzahnDonhauseretal.2020, author = {Grebe, S{\"o}ren Jendrik and Malzahn, Uwe and Donhauser, Julian and Liu, Dan and Wanner, Christoph and Krane, Vera and Hammer, Fabian}, title = {Quantification of left ventricular mass by echocardiography compared to cardiac magnet resonance imaging in hemodialysis patients}, series = {Cardiovascular Ultrasound}, volume = {18}, journal = {Cardiovascular Ultrasound}, doi = {10.1186/s12947-020-00217-y}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-229282}, year = {2020}, abstract = {Background: Left ventricular hypertrophy (LVH), defined by the left ventricular mass index (LVMI), is highly prevalent in hemodialysis patients and a strong independent predictor of cardiovascular events. Compared to cardiac magnetic resonance imaging (CMR), echocardiography tends to overestimate the LVMI. Here, we evaluate the diagnostic performance of transthoracic echocardiography (TTE) compared to CMR regarding the assessment of LVMI in hemodialysis patients. Methods: TTR and CMR data for 95 hemodialysis patients who participated in the MiREnDa trial were analyzed. The LVMI was calculated by two-dimensional (2D) TTE-guided M-mode measurements employing the American Society of Echocardiography (ASE) and Teichholz (Th) formulas, which were compared to the reference method, CMR. Results: LVH was present in 44\% of patients based on LVMI measured by CMR. LVMI measured by echocardiography correlated moderately with CMR, ASE: r = 0.44 (0.34-0.62); Th: r = 0.44 (0.32-0.62). Compared to CMR, both echocardiographic formulas overestimated LVMI (mean increment LVMI (ASE-CMR): 19.5 +/- 19.48 g/m(2),p < 0.001; mean increment LVMI (Th-CMR): 15.9 +/- 15.89 g/m(2),p < 0.001). We found greater LVMI overestimation in patients with LVH using the ASE formula compared to the Th formula. Stratification of patients into CMR LVMI quartiles showed a continuous decrease in increment LVMI with increasing CMR LVMI quartiles for the Th formula (p < 0.001) but not for the ASE formula (p = 0.772). Bland-Altman analysis showed that the Th formula had a constant bias independent of LVMI. Both methods had good discrimination ability for the detection of LVH (ROC-AUC: 0.819 (0.737-0.901) and 0.808 (0.723-0.892) for Th and ASE, respectively). Conclusions: The ASE and Th formulas overestimate LVMI in hemodialysis patients. However, the overestimation is less with the Th formula, particularly with increasing LVMI. The results suggest that the Th formula should be preferred for measurement of LVMI in chronic hemodialysis patients.}, language = {en} } @phdthesis{Gunesch2021, author = {Gunesch, Sandra}, title = {Molecular Mode of Action of Flavonoids: From Neuroprotective Hybrids to Molecular Probes for Chemical Proteomics}, doi = {10.25972/OPUS-23936}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-239360}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2021}, abstract = {Alzheimer's disease (AD) is the most common form of dementia, and currently, there is no treatment to cure or halt disease progression. Because the one-target strategy focusing on amyloid-β has failed to generate successful pharmaceutical treatment, this work studies natural products with pleiotropic effects focusing on oxidative stress and neuroinflammation as key drivers of disease progression. The central part of this work focused on flavonoids as neuroprotectants. 7-O-Esters of taxifolin and cinnamic or ferulic acid were synthesized and investigated towards their neuroprotective potential addressing aging and disease. 7-O-Feruloyl- and 7-O-cinnamoyltaxifolin showed overadditive effects in oxidative stress-induced assays in the mouse neuronal cell line HT22 and proved to be protective against neuroinflammation in microglial BV-2 cells. The overadditive effect translated to animals using an Aβ25-35-induced memory-impaired AD mouse model where the compounds were able to ameliorate short-term memory defects. While the disease-modifying effects in vivo were observed, the detailed mechanisms of action and intracellular targets of the compounds remained unclear. Hence, a chemical probe of the neuroprotective flavonoid ester 7-O-cinnamoyltaxifolin was developed and applied in an activity-based protein profiling approach. SERCA and ANT-1 were identified as potential targets. Further, chemical modifications on the flavonoids taxifolin, quercetin, and fisetin were performed. The achievements of this work are an important contribution to the use of secondary plant metabolites as neuroprotectants. Chemical modifications increased the neuroprotective effect of the natural products, and distinct intracellular pathways involved in the neuroprotective mechanisms were identified. The results of this work support the use of secondary plant metabolites as potential therapeutics and hint towards new pharmacological targets for the treatment of neurodegenerative disorders.}, subject = {Alzheimerkrankheit}, language = {en} } @phdthesis{Merz2022, author = {Merz, Viktor}, title = {Funktionalisierung und Untersuchung von Nanodiamanten f{\"u}r biomedizinische und sensorische Anwendungen}, doi = {10.25972/OPUS-24588}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-245888}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2022}, abstract = {Nanodiamant (ND) ist ein vielseitiges und vielversprechendes Material f{\"u}r Bio-Anwendungen. Trotz vieler Bem{\"u}hungen bleibt die Agglomeration von Nanodiamant und die unspezifische Adsorption von Proteinen an der ND-Oberfl{\"a}che bei Kontakt mit Biofl{\"u}ssigkeiten ein großes Hindernis f{\"u}r biomedizinische Anwendungen. Eine Auswahl verzweigter und linearer Molek{\"u}le mit {\"u}berlegener F{\"a}higkeit zur kolloidalen Stabilisierung von Nanopartikeln in Salz- und Zellmedienumgebung, f{\"u}r bis zu 30 Tage, wurde an die ND-Oberfl{\"a}che angebracht. Das Baukastensystem mit Azid als Außengruppen bietet eine große Vielfalt an Bindungen mit vielen Molek{\"u}len, wie z. B. Medikamenten, Farbstoffen oder Targeting-Molek{\"u}len. Das Anh{\"a}ngen von z. B. Zwitterionen an die Kette sch{\"u}tzt die ND-Oberfl{\"a}che vor der Bildung einer Proteinkorona, wenn die Partikel mit proteinhaltigen Biofl{\"u}ssigkeiten in Kontakt kommen. Die Ergebnisse der thermogravimetrischen Analyse der Beladung der ND-Oberfl{\"a}che zeigen eine signifikante Verhinderung der Proteinadsorption von bis zu 98 \% im Vergleich zu NDs ohne zwitterionische Kopfgruppen und eine lange kolloidale Stabilit{\"a}t, wenn Tetraethylenglykol (TEG) an die Oberfl{\"a}che gebunden wird. Die Vielseitigkeit des modularen Systems, um nicht nur zwitterionische Ketten, sondern auch klickbare funktionelle Molek{\"u}le an fluoreszierende Nanodiamanten (fNDs) zu binden, zeigt das Potenzial des Systems am Nanodiamanten. Unter Verwendung von Defektstrukturen, wie Stickstoff-Vakanz-Zentren (NV), k{\"o}nnen Diamantpartikel aufgrund ihres weitgehend ungiftigen Verhaltens als fluoreszierende Nanodiamanten (fNDs) f{\"u}r photostabile Markierung, Bioimaging und nanoskalige Sensorik in lebenden Zellen und Organismen verwendet werden. Um die fND-Oberfl{\"a}che zu funktionalisieren, wurde eine neuartige Mahltechnik mit Diazoniumsalzen etabliert, um ein Pfropfen auf wenig reaktive HPHT-fNDs durchzuf{\"u}hren, was zu einer hohen Oberfl{\"a}chenbeladung und einem hohen negativen Zetapotenzial f{\"u}hrt. Die Kombination der Vorteile von TEG und zwitterionhaltigen Gruppen mit der F{\"a}higkeit zum Targeting von Antik{\"o}rpern auf fND best{\"a}tigt zum ersten Mal die verbesserte kolloidale Stabilit{\"a}t in Experimenten mit lebenden Zellen. Dar{\"u}ber hinaus deuten die Ergebnisse auf eine verbesserte Corona-Abstoßung im Vergleich zu fND ohne zwitterionhaltige Kopfgruppen hin. Infolgedessen wurden die Zirkulationszeiten von 4 (fND ohne Zwitterionenkette, aber mit Antik{\"o}rper) auf 17 (mit Antik{\"o}rper und Zwitterionenketten) Stunden vergr{\"o}ßert. In nicht-biomedizinischen Anwendungen kann das modulare System als Sonde f{\"u}r Schwermetalle durch die Anbindung von Farbstoffen verwendet werden. Die Detektion von Metallen in verschiedenen Umgebungen mit hoher Selektivit{\"a}t und Spezifit{\"a}t ist eine der Voraussetzungen f{\"u}r den Kampf gegen die Umweltverschmutzung mit diesen Elementen. Pyrene sind gut geeignet und weit bekannt f{\"u}r die Fluoreszenzsensorik in verschiedenen Medien. Das angewandte Sensorprinzip beruht typischerweise auf der Bildung von intra- und intermolekularen Excimeren, was jedoch den Empfindlichkeitsbereich aufgrund der Maskierung von z.B. Quenching-Effekten durch die Excimer-Emission einschr{\"a}nkt. Diese Studie zeigt einen hochselektiven, strukturstabilen chemischen Sensor, der auf der monomeren Fluoreszenz von Pyrenanteilen mit Triazolgruppen basiert. Dieser Sensor kann Cu2+, Pb2+ und Hg2+ in organischen L{\"o}sungsmitteln {\"u}ber einen weiten Konzentrationsbereich quantitativ nachweisen, auch in Gegenwart von ubiquit{\"a}ren Ionen wie Na+, K+, Ca2+ und Mg2+. Die stark emittierende Fluoreszenz des Sensors mit einer langen Lebensdauer von 165 ns wird durch eine 1:1-Komplexbildung bei Zugabe von Metallionen in Acetonitril gel{\"o}scht. Bei Zugabe eines zehnfachen {\"U}berschusses des Metallions zum Sensor bilden sich Agglomerate mit einem Durchmesser von etwa 3 nm. Aufgrund der komplexen Wechselwirkungen im System werden konventionelle lineare Korrelationen nicht f{\"u}r alle Konzentrationen beobachtet. Daher wird ein kritischer Vergleich zwischen der konventionellen Job-Plot-Interpretation, der Methode von Benesi-Hildebrand und einem nicht-linearen Fit vorgestellt. Das vorgestellte System erm{\"o}glicht die spezifische und robuste Erfassung von medizinisch und {\"o}kologisch relevanten Ionen im gesundheitsrelevanten nM-Bereich und k{\"o}nnte z. B. zur {\"U}berwachung der entsprechenden Ionen in Abfallstr{\"o}men eingesetzt werden. Doch h{\"a}ufig landen diese Abfallstr{\"o}me in empfindlichen Aquakulturen, wo eine solche Sensortechnik nur funktioniert, wenn die Sonde wasserl{\"o}slich ist, um die Ausbreitung und Bildung von Umweltsch{\"a}den durch Schwermetalle zu {\"u}berwachen. Viele Chemosensoren arbeiten nur in bestimmten L{\"o}sungsmitteln und unter hochreinen Bedingungen quantitativ. In dieser Arbeit wird eine Methode zur Stabilisierung von wasserunl{\"o}slichen Chemosensoren auf Nanodiamanten in salzhaltigem Wasser unter Beibehaltung der Sensoreffektivit{\"a}t und -spezifit{\"a}t sowie der kolloidalen Stabilit{\"a}t vorgestellt. Zus{\"a}tzlich wird die Sensorf{\"a}higkeit in organischen L{\"o}sungsmitteln beibehalten. Diese Studie gibt Einblick in die Absorptionsf{\"a}higkeit von Pyren-Derivaten an der Nanodiamant-Oberfl{\"a}che und einen Weg, diese reversibel zu desorbieren. Außerdem beweist das System, dass in Anwesenheit von 95 \% Sauerstoffatmosph{\"a}re bei der Fluoreszenzmessung die Ergebnisse nicht von denen in Argonatmosph{\"a}re abweichen. Dar{\"u}ber hinaus st{\"o}rt das Vorhandensein g{\"a}ngiger Ionen im Wasser die kolloidale Stabilit{\"a}t der NDs nicht und hat auch keinen Einfluss auf die Sensorfunktionalit{\"a}t und ist somit ein vielversprechender Kandidat f{\"u}r Messungen ohne aufw{\"a}ndige Pr{\"a}parationsschritte.}, language = {en} } @phdthesis{GamachegebRupp2021, author = {Gamache [geb. Rupp], Mira Theresa}, title = {Ligand Design for Ru(II) Photosensitizers in Photocatalytic Hydrogen Evolution}, doi = {10.25972/OPUS-24676}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-246766}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2021}, abstract = {This thesis investigates different ligand designs for Ru(II) complexes and the activity of the complexes as photosensitizer (PS) in photocatalytic hydrogen evolution. The catalytic system typically contains a catalyst, a sacrificial electron donor (SED) and a PS, which needs to exhibit strong absorption and luminescence, as well as reversible redox behavior. Electron-withdrawing pyridine substituents on the terpyridine metal ion receptor result in an increase of excited-state lifetime and quantum yield (Φ = 74*10-5; τ = 3.8 ns) and lead to complex III-C1 exhibiting activity as PS. While the turn-over frequency (TOFmax) and turn-over number (TON) are relatively low (TOFmax = 57 mmolH2 molPS-1 min-1; TON(44 h) = 134 mmolH2 molPS-1), the catalytic system is long-lived, losing only 20\% of its activity over the course of 12 days. Interestingly, the heteroleptic design in III-C1 proves to be beneficial for the performance as PS, despite III-C1 having comparable photophysical and electrochemical properties as the homoleptic complex IV-C2 (TOFmax = 35 mmolH2 molPS-1 min-1; TON(24 h) = 14 mmolH2 molPS-1). Reductive quenching of the excited PS by the SED is identified as rate-limiting step in both cases. Hence, the ligands are designed to be more electron-accepting either via N-methylation of the peripheral pyridine substituents or introduction of a pyrimidine ring in the metal ion receptor, leading to increased excited-state lifetimes (τ = 9-40 ns) and luminescence quantum yields (Φ = 40-400*10-5). However, the more electron-accepting character of the ligands also results in anodically shifted reduction potentials, leading to a lack of driving force for the electron transfer from the reduced PS to the catalyst. Hence, this electron transfer step is found to be a limiting factor to the overall performance of the PS. While higher TOFmax in hydrogen evolution experiments are observed for pyrimidine-containing PS (TOFmax = 300-715 mmolH2 molPS-1 min-1), the longevity for these systems is reduced with half-life times of 2-6 h. Expansion of the pyrimidine-containing ligands to dinuclear complexes yields a stronger absorptivity (ε = 100-135*103 L mol-1 cm-1), increased luminescence (τ = 90-125 ns, Φ = 210-350*10-5) and can also result in higher TOFmax given sufficient driving force for electron transfer to the catalyst (TOFmax = 1500 mmolH2 molPS-1 min-1). When comparing complexes with similar driving forces, stronger luminescence is reflected in a higher TOFmax. Besides thermodynamic considerations, kinetic effects and electron transfer efficiency are assumed to impact the observed activity in hydrogen evolution. In summary, this work shows that targeted ligand design can make the previously disregarded group of Ru(II) complexes with tridentate ligands attractive candidates for use as PS in photocatalytic hydrogen evolution.}, subject = {Fotokatalyse}, language = {en} } @phdthesis{Meyer2021, author = {Meyer, Michael}, title = {Practical isogeny-based cryptography}, doi = {10.25972/OPUS-24682}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-246821}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2021}, abstract = {This thesis aims at providing efficient and side-channel protected implementations of isogeny-based primitives, and at their application in threshold protocols. It is based on a sequence of academic papers. Chapter 3 reviews the original variable-time implementation of CSIDH and introduces several optimizations, e.g. a significant improvement of isogeny computations by using both Montgomery and Edwards curves. In total, our improvements yield a speedup of 25\% compared to the original implementation. Chapter 4 presents the first practical constant-time implementation of CSIDH. We describe how variable-time implementations of CSIDH leak information on private keys, and describe ways to mitigate this. Further, we present several techniques to speed up the implementation. In total, our constant-time implementation achieves a rather small slowdown by a factor of 3.03. Chapter 5 reviews practical fault injection attacks on CSIDH and presents countermeasures. We evaluate different attack models theoretically and practically, using low-budget equipment. Moreover, we present countermeasures that mitigate the proposed fault injection attacks, only leading to a small performance overhead of 7\%. Chapter 6 initiates the study of threshold schemes based on the Hard Homogeneous Spaces (HHS) framework of Couveignes. Using the HHS equivalent of Shamir's secret sharing in the exponents, we adapt isogeny based schemes to the threshold setting. In particular, we present threshold versions of the CSIDH public key encryption and the CSI-FiSh signature scheme. Chapter 7 gives a sieving algorithm for finding pairs of consecutive smooth numbers that utilizes solutions to the Prouhet-Tarry-Escott (PTE) problem. Recent compact isogeny-based protocols, namely B-SIDH and SQISign, both require large primes that lie between two smooth integers. Finding such a prime can be seen as a special case of finding twin smooth integers under the additional stipulation that their sum is a prime.}, subject = {Kryptologie}, language = {en} } @phdthesis{Djaković2022, author = {Djaković, Lara}, title = {The HSV-1 ICP22 protein selectively impairs histone repositioning upon Pol II transcription downstream of genes}, doi = {10.25972/OPUS-24670}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-246709}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2022}, abstract = {Herpes Simplex Virus type 1 (HSV-1) is an ubiquitous neurotropic human pathogen that infects a large majority of the world's population. It is the causative agent of the common cold sore but also responsible for life-threatening infections (e.g., encephalitis), particularly in immunocompromised individuals and neonates. Like other herpesviruses, HSV-1 takes over the cellular RNA machinery to facilitate productive infection while efficiently shutting down host gene expression by targeting multiple steps of RNA metabolism. The two viral proteins, vhs and ICP27, play a crucial role in this process. Delivered by the tegument of the incoming virus, the virion host shut-off (vhs) endonuclease rapidly starts cleaving both cellular and viral mRNAs. With the onset of viral gene expression, the HSV-1 immediate-early protein ICP27 promotes the expression of viral early and late genes through various mechanisms, including mRNA processing, export, and translation. Prior research by the D{\"o}lken lab demonstrated that lytic HSV-1 infection results in the disruption of transcription termination (DoTT) of most cellular genes by the viral ICP27 protein. This significantly contributes to HSV-1 induced host shut-off. DoTT results in transcription for tens of thousands of nucleotides beyond poly(A) sites and into downstream genes. Interestingly, this was found to be accompanied by a dramatic increase in chromatin accessibility downstream of the affected poly(A) sites. This is consistent with the formation of extensive downstream open chromatin regions (dOCR) and indicative of impaired histone repositioning in the wake of RNA polymerase II (Pol II) downstream of the affected poly(A) sites. In my PhD thesis, I demonstrate that dOCR formation is dependent on the viral ICP22 protein when poly(A) read-through transcription is triggered by the ectopic expression of ICP27 or salt stress. I show that dOCR formation occurs when a high level of transcriptional activity arises downstream of genes due to the HSV-1-induced DoTT. To investigate whether histone composition is affected downstream of genes, I established the ChIPmentation approach to study associated changes and the influence of DoTT and dOCR formation on major histone modification marks. In HSV-1 WT infection, dOCR formation was reflected in alterations of canonical H1 histone downstream of affected genes, which was absent in ICP22 infection. To elucidate the underlying molecular mechanism, two major histone chaperones SPT6 and FACT (SPT16 and SSRP1), which govern histone repositioning and may thus play a role in H1 homeostasis, were extensively studied. Both histone chaperones have been recently shown to be recruited to the viral genome by interactions with ICP22 protein. To investigate whether the depletion of SSRP1 or SPT6 would complement the loss of ICP22 to induce dOCR, T-HF cells with doxycycline-inducible knock-down of either of the two factors were generated. ATAC-seq analysis revealed that the interaction between the two histone chaperones and ICP22 is not involved in HSV-1-induced dOCR formation, suggesting the involvement of other proteins. In summary, this work sheds new light on a fundamental molecular mechanism of the cellular transcriptional machinery that is manipulated by the concerted actions of the two HSV-1 immediate-early proteins ICP22 and ICP27.}, subject = {HSV-1}, language = {en} } @phdthesis{CalaCampana2021, author = {Cal{\`a} Campana, Francesca}, title = {Numerical methods for solving open-loop non zero-sum differential Nash games}, doi = {10.25972/OPUS-24590}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-245900}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2021}, abstract = {This thesis is devoted to a theoretical and numerical investigation of methods to solve open-loop non zero-sum differential Nash games. These problems arise in many applications, e.g., biology, economics, physics, where competition between different agents appears. In this case, the goal of each agent is in contrast with those of the others, and a competition game can be interpreted as a coupled optimization problem for which, in general, an optimal solution does not exist. In fact, an optimal strategy for one player may be unsatisfactory for the others. For this reason, a solution of a game is sought as an equilibrium and among the solutions concepts proposed in the literature, that of Nash equilibrium (NE) is the focus of this thesis. The building blocks of the resulting differential Nash games are a dynamical model with different control functions associated with different players that pursue non-cooperative objectives. In particular, the aim of this thesis is on differential models having linear or bilinear state-strategy structures. In this framework, in the first chapter, some well-known results are recalled, especially for non-cooperative linear-quadratic differential Nash games. Then, a bilinear Nash game is formulated and analysed. The main achievement in this chapter is Theorem 1.4.2 concerning existence of Nash equilibria for non-cooperative differential bilinear games. This result is obtained assuming a sufficiently small time horizon T, and an estimate of T is provided in Lemma 1.4.8 using specific properties of the regularized Nikaido-Isoda function. In Chapter 2, in order to solve a bilinear Nash game, a semi-smooth Newton (SSN) scheme combined with a relaxation method is investigated, where the choice of a SSN scheme is motivated by the presence of constraints on the players' actions that make the problem non-smooth. The resulting method is proved to be locally convergent in Theorem 2.1, and an estimate on the relaxation parameter is also obtained that relates the relaxation factor to the time horizon of a Nash equilibrium and to the other parameters of the game. For the bilinear Nash game, a Nash bargaining problem is also introduced and discussed, aiming at determining an improvement of all players' objectives with respect to the Nash equilibrium. A characterization of a bargaining solution is given in Theorem 2.2.1 and a numerical scheme based on this result is presented that allows to compute this solution on the Pareto frontier. Results of numerical experiments based on a quantum model of two spin-particles and on a population dynamics model with two competing species are presented that successfully validate the proposed algorithms. In Chapter 3 a functional formulation of the classical homicidal chauffeur (HC) Nash game is introduced and a new numerical framework for its solution in a time-optimal formulation is discussed. This methodology combines a Hamiltonian based scheme, with proximal penalty to determine the time horizon where the game takes place, with a Lagrangian optimal control approach and relaxation to solve the Nash game at a fixed end-time. The resulting numerical optimization scheme has a bilevel structure, which aims at decoupling the computation of the end-time from the solution of the pursuit-evader game. Several numerical experiments are performed to show the ability of the proposed algorithm to solve the HC game. Focusing on the case where a collision may occur, the time for this event is determined. The last part of this thesis deals with the analysis of a novel sequential quadratic Hamiltonian (SQH) scheme for solving open-loop differential Nash games. This method is formulated in the framework of Pontryagin's maximum principle and represents an efficient and robust extension of the successive approximations strategy in the realm of Nash games. In the SQH method, the Hamilton-Pontryagin functions are augmented by a quadratic penalty term and the Nikaido-Isoda function is used as a selection criterion. Based on this fact, the key idea of this SQH scheme is that the PMP characterization of Nash games leads to a finite-dimensional Nash game for any fixed time. A class of problems for which this finite-dimensional game admits a unique solution is identified and for this class of games theoretical results are presented that prove the well-posedness of the proposed scheme. In particular, Proposition 4.2.1 is proved to show that the selection criterion on the Nikaido-Isoda function is fulfilled. A comparison of the computational performances of the SQH scheme and the SSN-relaxation method previously discussed is shown. Applications to linear-quadratic Nash games and variants with control constraints, weighted L1 costs of the players' actions and tracking objectives are presented that corroborate the theoretical statements.}, subject = {Differential Games}, language = {en} } @phdthesis{Swirski2021, author = {Swirski, Thorben}, title = {Studies on the Effect of Gas Contaminations in Micromegas Detectors and Production of Micromegas Detectors for the New Small Wheel of the ATLAS Detector}, doi = {10.25972/OPUS-24640}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-246405}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2021}, abstract = {This work consists of two parts. On the one hand, it describes simulation and measurement of the effect of contaminations of the detector gas on the performance of particle detectors, with special focus on Micromegas detectors. On the other hand, it includes the setup of a production site for the finalization of drift panels which are going to be used in the ATLAS NSW. The first part augments these two parts to give an introduction into the theoretical foundations of gaseous particle detectors.}, subject = {Gasionisationsdetektor}, language = {en} } @phdthesis{Schug2021, author = {Schug, Benedikt}, title = {Untersuchungen zur Ursache und Beeinflussung des Kriechverhaltens von Gips}, doi = {10.25972/OPUS-24650}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-246503}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2021}, abstract = {In dieser Arbeit konnte ein weiterer und m{\"o}glicherweise entscheidender Schritt zur Aufkl{\"a}rung des Kriechmechanismus von Gips gemacht und darauf aufbauend Kriterien, Wege und Strategien aufgezeigt werden, um neue Antikriechmittelsubstanzen zu identifizieren oder vorhandene Kriechmittel gezielt zu verbessern. Die G{\"u}ltigkeit und Praxistauglichkeit der Kriterien wurde exemplarisch nachgewiesen. Die Basis der Untersuchungen wurde gelegt mit der Errichtung standardisierter Messaufbauten und Verfahren sowie Parameterauswahl f{\"u}r eine beschleunigte und reproduzierbare Darstellung des Kriechph{\"a}nomens, wobei zun{\"a}chst im Abgleich sichergestellt wurde, dass das beschleunigte Ph{\"a}nomen mit dem langsam {\"u}ber einen Zeitraum von Jahren erzeugten Ph{\"a}nomen deckungsgleich ist. Darauf aufbauend wurden innovative Untersuchungsmethoden entwickelt, um das Kriechverhalten zu charakterisieren und qualitativ sowie quantitativ zu analysieren. Hierzu wurde zun{\"a}chst ein Aufbau und eine Messroutine entwickelt und eingef{\"u}hrt, um morphologische Ver{\"a}nderungen w{\"a}hrend des Kriechvorgangs im Rasterelektronenmikroskop nachzuverfolgen. Im Weiteren wurden Versuchsaufbauten f{\"u}r statische 3-Punkt-Biegeversuche in verschiedenen L{\"o}sungen realisiert und diese ergebnisabh{\"a}ngig optimiert. Hierdurch konnte der Einfluss der L{\"o}slichkeit von Gips in den entsprechenden Medien auf das Kriechverhalten untersuchen werden. Mittels Laserscanning-Mikroskop wurden wiederum diese Ergebnisse untermauert. Als vorherrschender Kriechmechanismus von Gips wurde damit das Abgleiten einzelner Gipskristalle bedingt durch einen L{\"o}sungs-Abscheide-Mechanismus an Orten hoher mechanischer Belastung identifiziert und best{\"a}tigt.}, subject = {Rauchgasgips}, language = {de} } @phdthesis{MolinaGalindo2021, author = {Molina Galindo, Lara Sophia}, title = {Glaukomtherapie: Intraindividueller Vergleich zwischen der konventionellen Trabekulektomie und der filtrierenden Trabekulotomie}, doi = {10.25972/OPUS-24641}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-246412}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2021}, abstract = {Hintergrund: Die konventionelle Trabekulektomie (TET) stellt trotz einem eher ung{\"u}nstigen Komplikationsprofil weiterhin den Goldstandard der operativen Glaukomtherapie dar, da sie eine effektivere langfristige Drucksenkung als neuere Operationsverfahren aufweist. Fragestellung: Vergleich der Erfolgsquote und des Risikoprofils der TET mit einer durch Schaffen einer zweiten Filtrationsebene sowie Vermeiden einer peripheren Iridektomie modifizierten Trabekulektomie („Filtrierende Trabekulotomie" (FTO)). Material und Methode: Retrospektiv durchgef{\"u}hrter intraindividueller Vergleich {\"u}ber 36 Monate an 20 Patienten mit Offenwinkelglaukom nach TET an einem Auge und FTO am anderen Auge an der Augenklinik der Universit{\"a}t W{\"u}rzburg. Prim{\"a}rer Endpunkt war das Erreichen des absoluten/Teilerfolgs (IOD ≤18 mmHg und ≥ 20 \% Druckreduktion ohne/mit Medikation). Als sekund{\"a}re Endpunkte wurden das Auftreten von Komplikationen sowie der Verlauf von Augeninnendruck, Visus und lokaler Pharmakotherapie analysiert. Ergebnisse: Beide Operationsverfahren f{\"u}hrten zu einer signifikanten Reduktion des Augeninnendrucks zu jedem postoperativen Zeitpunkt. Nach 36 Monaten zeigte sich ein absoluter Erfolg bei 50 \% der Augen in der TET-Gruppe und 20 \% der FTO-Gruppe sowie ein Teilerfolg bei 71,4 \% gegen{\"u}ber 33,3 \%. Zu Komplikationen kam es mit Ausnahme des h{\"a}ufigeren Auftretens eines Hyph{\"a}mas in der FTO-Gruppe in vergleichbarem Ausmaß in beiden Gruppen. Der Visus und postoperative Medikamentenscore unterschieden sich nicht signifikant voneinander. Schlussfolgerung: Die TET war der FTO in Hinblick auf Erfolg und Komplikationsrisiko {\"u}berlegen. Die m{\"o}glichen Vorteile der Operation durch die genannten Modifikationen konnten nicht best{\"a}tigt werden.}, subject = {Offenwinkelglaukom}, language = {de} } @article{BreitenbachBorzi2020, author = {Breitenbach, Tim and Borz{\`i}, Alfio}, title = {The Pontryagin maximum principle for solving Fokker-Planck optimal control problems}, series = {Computational Optimization and Applications}, volume = {76}, journal = {Computational Optimization and Applications}, issn = {0926-6003}, doi = {10.1007/s10589-020-00187-x}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-232665}, pages = {499-533}, year = {2020}, abstract = {The characterization and numerical solution of two non-smooth optimal control problems governed by a Fokker-Planck (FP) equation are investigated in the framework of the Pontryagin maximum principle (PMP). The two FP control problems are related to the problem of determining open- and closed-loop controls for a stochastic process whose probability density function is modelled by the FP equation. In both cases, existence and PMP characterisation of optimal controls are proved, and PMP-based numerical optimization schemes are implemented that solve the PMP optimality conditions to determine the controls sought. Results of experiments are presented that successfully validate the proposed computational framework and allow to compare the two control strategies.}, language = {en} } @incollection{AckermannSnyderKoerber2023, author = {Ackermann, Zeno and Snyder-K{\"o}rber, MaryAnn}, title = {Series Foreword : JMU Cultural Studies - Strategies for Struggling with the Obvious}, series = {Global Cultural Studies? Engaged Scholarship between National and Transnational Frames}, booktitle = {Global Cultural Studies? Engaged Scholarship between National and Transnational Frames}, editor = {Jetter, Tobias}, publisher = {W{\"u}rzburg University Press}, address = {W{\"u}rzburg}, doi = {10.25972/WUP-978-3-95826-207-2-iii}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-305801}, publisher = {W{\"u}rzburg University Press}, pages = {iii-v}, year = {2023}, abstract = {No abstract available.}, subject = {Kulturwissenschaften}, language = {en} } @phdthesis{Mottl2021, author = {Mottl, Christian}, title = {Konzeptionelle Perspektiven des Systems der UN-Menschenrechts{\"u}berwachung}, doi = {10.25972/OPUS-24053}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-240532}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2021}, abstract = {Die Arbeit greift die seit mehreren Jahrzehnten bestehenden Reformbestrebungen im Bereich des Systems der UN-Menschenrechts{\"u}berwachung auf und setzt sich unter Einbeziehung vergangener und aktueller Entwicklungen mit den Perspektiven des Systems auseinander. Dabei wird nicht nur das System der vertraglichen UN-Menschenrechts{\"u}berwachung einer kritischen Analyse unterzogen, sondern in einem gr{\"o}ßeren Kontext auch die Menschenrechts{\"u}berwachung durch spezifische UN-Organe wie den Menschenrechtsrat sowie die Wechselwirkung mit bereits bestehenden justiziellen Mechanismen wie dem Internationalen Gerichtshof und dem Internationalen Strafgerichtshof. Nach einer ausf{\"u}hrlichen Bestandsaufnahme des Systems, in welcher die Ursachen f{\"u}r die seit Langem bestehenden Defizite herausgearbeitet werden, folgt eine detaillierte Auseinandersetzung mit m{\"o}glichen Reformans{\"a}tzen. Diese reichen von strukturell-prozeduralen Anpassungen bis hin zu grundlegenden Umstrukturierungen und der Schaffung neuer (justizieller) {\"U}berwachungsorgane wie einem st{\"a}ndigen einheitlichen Vertragsorgan oder einem Internationalen Gerichtshof f{\"u}r Menschenrechte. Im Anschluss daran wird die Frage der Reformierung des bestehenden Systems aus dogmatischer Sicht beleuchtet und ein dogmatisches Konzept erarbeitet, welches zu einer St{\"a}rkung der Reformbestrebungen und des UN-Menschenrechtsschutzes als solches beitragen kann. Zugleich erhebt die Arbeit den Anspruch, auch unabh{\"a}ngig von einem dogmatischen Grundkonzept einen nachhaltigen Beitrag zur kritischen Bestandsaufnahme und umsichtigen Weiterentwicklung des Systems der UN-Menschenrechts{\"u}berwachung zu leisten.}, subject = {Menschenrecht}, language = {de} } @phdthesis{Ochs2022, author = {Ochs, Maximilian Thomas}, title = {Electrically Connected Nano-Optical Systems: From Refined Nanoscale Geometries to Selective Molecular Assembly}, doi = {10.25972/OPUS-29114}, url = {http://nbn-resolving.de/urn:nbn:de:bvb:20-opus-291140}, school = {Universit{\"a}t W{\"u}rzburg}, year = {2022}, abstract = {Metallic nano-optical systems allow to confine and guide light at the nanoscale, a fascinating ability which has motivated a wide range of fundamental as well as applied research over the last two decades. While optical antennas provide a link between visible radiation and localized energy, plasmonic waveguides route light in predefined pathways. So far, however, most experimental demonstrations are limited to purely optical excitations, i.e. isolated structures are illuminated by external lasers. Driving such systems electrically and generating light at the nanoscale, would greatly reduce the device footprint and pave the road for integrated optical nanocircuitry. Yet, the light emission mechanism as well as connecting delicate nanostructures to external electrodes pose key challenges and require sophisticated fabrication techniques. This work presents various electrically connected nano-optical systems and outlines a comprehensive production line, thus significantly advancing the state of the art. Importantly, the electrical connection is not just used to generate light, but also offers new strategies for device assembly. In a first example, nanoelectrodes are selectively functionalized with self-assembled monolayers by charging a specific electrode. This allows to tailor the surface properties of nanoscale objects, introducing an additional degree of freedom to the development of metal-organic nanodevices. In addition, the electrical connection enables the bottom-up fabrication of tunnel junctions by feedback-controlled dielectrophoresis. The resulting tunnel barriers are then used to generate light in different nano-optical systems via inelastic electron tunneling. Two structures are discussed in particular: optical Yagi-Uda antennas and plasmonic waveguides. Their refined geometries, accurately fabricated via focused ion beam milling of single-crystalline gold platelets, determine the properties of the emitted light. It is shown experimentally, that Yagi-Uda antennas radiate light in a specific direction with unprecedented directionality, while plasmonic waveguides allow to switch between the excitation of two propagating modes with orthogonal near-field symmetry. The presented devices nicely demonstrate the potential of electrically connected nano-optical systems, and the fabrication scheme including dielectrophoresis as well as site-selective functionalization will inspire more research in the field of nano-optoelectronics. In this context, different future experiments are discussed, ranging from the control of molecular machinery to optical antenna communication.}, subject = {Nanooptik}, language = {en} }