TY - JOUR T1 - Search for direct top squark pair production in events with a Higgs or \(Z\) boson, and missing transverse momentum in \(\sqrt{s}\) = 13 TeV \(pp\) collisions with the ATLAS detector JF - Journal of High Energy Physics N2 - A search for direct top squark pair production resulting in events with either a same-flavour opposite-sign dilepton pair with invariant mass compatible with a \(Z\) boson or a pair of jets compatible with a Standard Model (SM) Higgs boson (\(h\)) is presented. Requirements on the missing transverse momentum, together with additional selections on leptons, jets, jets identified as originating from \(b\)-quarks are imposed to target the other decay products of the top squark pair. The analysis is performed using proton-proton collision data at \(\sqrt{s}\) = 13 TeV collected with the ATLAS detector at the LHC in 2015–2016, corresponding to an integrated luminosity of 36.1 fb\(^{-1}\). No excess is observed in the data with respect to the SM predictions. The results are interpreted in two sets of models. In the first set, direct production of pairs of lighter top squarks (\(\tilde{t}_1\)) with long decay chains involving \(Z\) or Higgs bosons is considered. The second set includes direct pair production of the heavier top squark pairs (\(\tilde{t}_2\)) decaying via \(\tilde{t}_2\) → \(Z\tilde{t}_1\) or \(\tilde{t}_2\) → \(h\tilde{t}_1\). The results exclude at 95% confidence level \(\tilde{t}_2\) and \(\tilde{t}_1\) masses up to about 800 GeV, extending the exclusion region of supersymmetric parameter space covered by previous LHC searches. KW - High energy physics KW - Beyond Standard Model KW - Hadron-Hadron scattering (experiments) KW - Higgs physics Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-173210 VL - 2017 IS - 08 ER - TY - JOUR A1 - Baur, Johannes A1 - Büntemeyer, Tjark-Ole A1 - Megerle, Felix A1 - Deutschbein, Timo A1 - Spitzweg, Christine A1 - Quinkler, Marcus A1 - Nawroth, Peter A1 - Kroiss, Matthias A1 - Germer, Christoph-Thomas A1 - Fassnacht, Martin A1 - Steger, Ulrich T1 - Outcome after resection of Adrenocortical Carcinoma liver metastases: a retrospective study JF - BMC Cancer N2 - Background: Metastatic Adrenocortical Carcinoma (ACC) is a rare malignancy with a poor 5-year-survival rate (<15%). A surgical approach is recommended in selected patients if complete resection of distant metastasis can be achieved. To date there are only limited data on the outcome after surgical resection of hepatic metastases of ACC. Methods: A retrospective analysis of the German Adrenocortical Carcinoma Registry was conducted. Patients with liver metastases of ACC but without extrahepatic metastases or incomplete tumour resection were included. Results: Seventy-seven patients fulfilled these criteria. Forty-three patients underwent resection of liver metastases of ACC. Complete tumour resection (R0) could be achieved in 30 (69.8%). Median overall survival after liver resection was 76.1 months in comparison to 10.1 months in the 34 remaining patients with unresected liver metastases (p < 0.001). However, disease free survival after liver resection was only 9.1 months. Neither resection status (R0/R1) nor extent of liver resection were significant predictive factors for overall survival. Patients with a time interval to the first metastasis/recurrence (TTFR) of greater than 12 months or solitary liver metastases showed significantly prolonged survival. Conclusions: Liver resection in the case of ACC liver metastases can achieve long term survival with a median overall survival of more than 5 years, but disease free survival is short despite metastasectomy. Time to recurrence and single versus multiple metastases are predictive factors for the outcome. KW - Adrenocortical Carcinoma KW - liver resection KW - retrospective study KW - prognosis KW - survival analysis Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-159409 VL - 17 IS - 522 ER - TY - JOUR A1 - Appelt-Menzel, Antje A1 - Cubukova, Alevtina A1 - Günther, Katharina A1 - Edenhofer, Frank A1 - Piontek, Jörg A1 - Krause, Gerd A1 - Stüber, Tanja A1 - Walles, Heike A1 - Neuhaus, Winfried A1 - Metzger, Marco T1 - Establishment of a Human Blood-Brain Barrier Co-culture Model Mimicking the Neurovascular Unit Using Induced Pluri- and Multipotent Stem Cells JF - Stem Cell Reports N2 - In vitro models of the human blood-brain barrier (BBB) are highly desirable for drug development. This study aims to analyze a set of ten different BBB culture models based on primary cells, human induced pluripotent stem cells (hiPSCs), and multipotent fetal neural stem cells (fNSCs). We systematically investigated the impact of astrocytes, pericytes, and NSCs on hiPSC-derived BBB endothelial cell function and gene expression. The quadruple culture models, based on these four cell types, achieved BBB characteristics including transendothelial electrical resistance (TEER) up to 2,500 Ω cm\(^{2}\) and distinct upregulation of typical BBB genes. A complex in vivo-like tight junction (TJ) network was detected by freeze-fracture and transmission electron microscopy. Treatment with claudin-specific TJ modulators caused TEER decrease, confirming the relevant role of claudin subtypes for paracellular tightness. Drug permeability tests with reference substances were performed and confirmed the suitability of the models for drug transport studies. KW - blood-brain barrier (BBB) model KW - human induced pluripotent stem cells (hiPSCs)human induced pluripotent stem cells (hiPSCs) KW - multipotent fetal neural stem cells (fNSCs) KW - neurovascular unit in vitro Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170982 VL - 8 IS - 4 ER - TY - JOUR A1 - Wagner, Martin A1 - Wanner, Christoph A1 - Schich, Martin A1 - Kotseva, Kornelia A1 - Wood, David A1 - Hartmann, Katrin A1 - Fette, Georg A1 - Rücker, Viktoria A1 - Oezkur, Mehmet A1 - Störk, Stefan A1 - Heuschmann, Peter U. T1 - Patient’s and physician’s awareness of kidney disease in coronary heart disease patients – a cross-sectional analysis of the German subset of the EUROASPIRE IV survey JF - BMC Nephrology N2 - Background Chronic kidney disease (CKD) is a common comorbid condition in coronary heart disease (CHD). CKD predisposes the patient to acute kidney injury (AKI) during hospitalization. Data on awareness of kidney dysfunction among CHD patients and their treating physicians are lacking. In the current cross-sectional analysis of the German EUROASPIRE IV sample we aimed to investigate the physician’s awareness of kidney disease of patients hospitalized for CHD and also the patient’s awareness of CKD in a study visit following hospital discharge. Methods All serum creatinine (SCr) values measured during the hospital stay were used to describe impaired kidney function (eGFR\(_{CKD-EPI}\) < 60 ml/min/1.73m2) at admission, discharge and episodes of AKI (KDIGO definition). Information extracted from hospital discharge letters and correct ICD coding for kidney disease was studied as a surrogate of physician’s awareness of kidney disease. All patients were interrogated 0.5 to 3 years after hospital discharge, whether they had ever been told about kidney disease by a physician. Results Of the 536 patients, 32% had evidence for acute or chronic kidney disease during the index hospital stay. Either condition was mentioned in the discharge letter in 22%, and 72% were correctly coded according to ICD-10. At the study visit in the outpatient setting 35% had impaired kidney function. Of 158 patients with kidney disease, 54 (34%) were aware of CKD. Determinants of patient’s awareness were severity of CKD (OR\(_{eGFR}\) 0.94; 95%CI 0.92–0.96), obesity (OR 1.97; 1.07–3.64), history of heart failure (OR 1.99; 1.00–3.97), and mentioning of kidney disease in the index event’s hospital discharge letter (OR 5.51; 2.35–12.9). Conclusions Although CKD is frequent in CHD, only one third of patients is aware of this condition. Patient’s awareness was associated with kidney disease being mentioned in the hospital discharge letter. Future studies should examine how raising physician’s awareness for kidney dysfunction may improve patient’s awareness of CKD. KW - coronary heart disease KW - ICD-coding of CKD KW - chronic kidney disease KW - patients’ awareness KW - physicians’ awareness KW - EUROASPIRE survey Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-158387 VL - 18 IS - 321 ER - TY - JOUR A1 - Deacon, R. S. A1 - Wiedenmann, J. A1 - Bocquillon, E. A1 - Domínguez, F. A1 - Klapwijk, T. M. A1 - Leubner, P. A1 - Brüne, C. A1 - Hankiewicz, E. M. A1 - Tarucha, S. A1 - Ishibashi, K. A1 - Buhmann, H. A1 - Molenkamp, L. W. T1 - Josephson Radiation from Gapless Andreev Bound States in HgTe-Based Topological Junctions JF - Physical Review X N2 - Frequency analysis of the rf emission of oscillating Josephson supercurrent is a powerful passive way of probing properties of topological Josephson junctions. In particular, measurements of the Josephson emission enable the detection of topological gapless Andreev bound states that give rise to emission at half the Josephson frequency f\(_{J}\) rather than conventional emission at f\(_{J}\). Here, we report direct measurement of rf emission spectra on Josephson junctions made of HgTe-based gate-tunable topological weak links. The emission spectra exhibit a clear signal at half the Josephson frequency f\(_{J}\)/2. The linewidths of emission lines indicate a coherence time of 0.3–4 ns for the f\(_{J}\)/2 line, much shorter than for the f\(_{J}\) line (3–4 ns). These observations strongly point towards the presence of topological gapless Andreev bound states and pave the way for a future HgTe-based platform for topological quantum computation. KW - condensed matter physics KW - Josephson junctions KW - topological materials KW - gapless Andreev bound states Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170969 VL - 7 IS - 021011 ER - TY - JOUR A1 - Arnholdt, Jörg A1 - Gilbert, Fabian A1 - Blank, Marc A1 - Papazoglou, Jannis A1 - Rudert, Maximilian A1 - Nöth, Ulrich A1 - Steinert, Andre F. T1 - The Mayo conservative hip: complication analysis and management of the first 41 cases performed at a University level 1 department JF - BMC Muskoskeletal Disorders N2 - Background: To prevent bone loss in hip arthroplasty, several short stem systems have been developed, including the Mayo conservative hip system. While there is a plethora of data confirming inherent advantages of these systems, only little is known about potential complications, especially when surgeons start to use these systems. Methods: In this study, we present a retrospective analysis of the patients’ outcome, complications and the complication management of the first 41 Mayo conservative hips performed in 37 patients. For this reason, functional scores, radiographic analyses, peri- and postoperative complications were assessed at an average follow-up of 35 months. Results: The overall HHS improved from 61.2 pre-operatively to 85.6 post-operatively. The German Extra Short Musculoskeletal Function Assessment Questionnaire (XSFMA-D) improved from 30.3 pre-operatively to 12.2 post-operatively. The most common complication was an intraoperative non-displaced fracture of the proximal femur observed in 5 cases (12.1%). Diabetes, higher BMI and older ages were shown to be risk factors for these intra-operative periprosthetic fractures (p < 0.01). Radiographic analysis revealed a good offset reconstruction in all cases. Conclusion: In our series, a high complication rate with 12.1% of non-displaced proximal femoral fractures was observed using the Mayo conservative hip. This may be attributed to the flat learning curve of the system or the inherent patient characteristics of the presented cohort." KW - total hip arthroplasty KW - short hip stem KW - mayo stem KW - minimal invasive surgery Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-157812 VL - 18 IS - 250 ER - TY - JOUR A1 - Jakubietz, Michael G. A1 - Meffert, Rainer H. A1 - Schmidt, Karsten A1 - Gruenert, Joerg G. A1 - Jakubietz, Rafael G. T1 - Acute A4 Pulley Reconstruction with a First Extensor Compartment Onlay Graft JF - Plastic and Reconstructive Surgery Global Open N2 - Background: The integrity of the flexor tendon pulley apparatus is crucial for unimpaired function of the digits. Although secondary reconstruction is an established procedure in multi-pulley injuries, acute reconstruction of isolated, closed pulley ruptures is a rare occurrence. There are 3 factors influencing the functional outcome of a reconstruction: gapping distance between tendon and bone (E-space), bulkiness of the reconstruction, and stability. As direct repair is rarely done, grafts are used to reinforce the pulley. An advantage of the first extensor retinaculum graft is the synovial coating providing the possibility to be used both as a direct graft with synovial coating or as an onlay graft after removal of the synovia when the native synovial layer is present. Methods: A graft from the first dorsal extensor compartment is used as an onlay graft to reinforce the sutured A4 pulley. This technique allows reconstruction of the original dimensions of the pulley system while stability is ensured by anchoring the onlay graft to the bony insertions of the pulley. Results: Anatomical reconstruction can be achieved with this method. The measured E-space remained 0 mm throughout the recovery, while the graft incorporated as a slim reinforcement of the pulley, displaying no bulkiness. Conclusions: The ideal reconstruction should provide synovial coating and sufficient strength with minimal bulk. Early reconstruction using an onlay graft offers these options. The native synovial lining is preserved and the graft is used to reinforce the pulley. KW - surgery KW - pulley rupture Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-158057 VL - 5 IS - 6 ER - TY - JOUR A1 - Jordan, Martin C. A1 - Bittrich, Leonie A. A1 - Fehske, Kai A1 - Meffert, Rainer H. A1 - Jansen, Hendrik T1 - A rare case of Hoffa fracture combined with lateral patellar dislocation JF - Trauma Case Reports N2 - The coronal unicondylar fracture of the distal femur (AO 33-B3) is a rare intraarticular injury within the weight bearing area of the knee, initially described by Albert Hoffa in 1904. We report an unusual combination of a Hoffa fracture with lateral patellar dislocation in a young adult. Our patient sustained the injury by a sudden twist of his leg during sports. He presented clinically with knee swelling, dislocation of the patella, and localized tenderness; unable to bare weight. After plane radiograph confirmed the injury, manual reduction of the patella was done by hyperextension of the knee and medialward pressure. Afterwards, a CT scan and MRI were conducted. The injury was surgically treated with lag-screws, locking-plate and MPFL-reconstruction. KW - dislocation KW - femur KW - fracture KW - Hoffa KW - MPFL KW - patella Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-158315 VL - 9 ER - TY - THES A1 - Höhn, Stefan T1 - Geologischer Rahmen und Genese der Kupferberger Cu-Zn-Lagerstätte T1 - Geology, geochemistry and genesis of the Cu-Zn deposit at Kupferberg N2 - Bei der Cu-Zn-Lagerstätte bei Kupferberg, 10 km nordöstlich von Kulmbach, handelt es sich um Bayerns größten, historischen Buntmetallabbau. Der etwa 4 km lange Zug einzelner, stratiformer Erzlinsen befindet sich im Nordwesten in der parautochthonen Randschiefer Formation und im Südosten in der Prasinit-Phyllit Formation, die ein Teil der allochthonen Münchberger Gneismasse ist. Bisherige Versuche, die Genese der Lagerstätte zu erklären, scheiterten daran, den versatzlosen Übertritt einer stratiformen Lagerstätte über eine regional bedeutende Störungszone zu erklären. U-Pb Zirkondatierungen an mafischen und felsischen Vulkaniten im Umfeld der Lagerstätte bestätigten das Bild eines kambrisch-ordovizischen Extensionsvulkanismus. Das Fehlen von N-MORB-ähnlichen geochemischen Signaturen in den untersuchten Proben der gesamten südwestlichen, saxothuringischen Vogtland Synklinale deutet auf eine gescheiterte Riftbildung am Nordrand Gondwanas hin und setzt somit den geotektonischen Rahmen für die Ablagerung der Wirtsformation(en). Die Cu-Zn-Vererzung selbst liegt hier im Wesentlichen als Vergesellschaftung von Pyrit, Chalkopyrit, Sphalerit, Quarz und Kalzit in kohlenstoffreichem Tonschiefer vor. Die verschiedenen Untersuchungen an den beiden Erzlinsen zeigten, dass in der „St. Veits“ Erzlinse eine syngenetische Pyrit-Anreicherung mit charakteristisch niedrigen Co/Ni-Verhältnissen (ø = 3,7) vorliegt. Darüber hinaus konnte dort noch mindestens eine hydrothermale Pyrit-Generation (Co/Ni-Verhältnis ca. 35) nachgewiesen werden, die nur dort auftritt, wo auch Chalkopyrit angereichert ist und deutlich höhere Co/Ni-Verhältnisse aufweist (ø = 35). Die Ermittlung der Cu-Isotopenverhältnisse des Chalkopyrits zeigte ein δ65Cu-Spektrum von -0,26 bis 0,36 ‰, was stark für eine hydrothermale Anreicherung unter hohen (>250 °C) Temperaturbedingungen spricht. Während sich die Erzlinsen in der Randschiefer und Prasinit-Phyllit Formation hinsichtlich ihrer Sulfid-Mineralogie so ähnlich sind, dass sie bisher immer als eine Lagerstätte angesprochen wurden, erbrachte ein statistischer Vergleich der beiden δ34S-Datensätze, dass es sich hier nur mit einer Wahrscheinlichkeit von ca. 2 % um Stichproben der gleichen Grundgesamtheit handelt. Entsprechend liegen innerhalb der Kupferberger Lagerstätte zwei unterschiedliche Schichten, reich an syngenetischem Pyrit, vor. Die Tatsache, dass das δ34S-Spektrum potentieller Schwefelquellen für die hydrothermale Chalkopyrit-Mineralisation theoretisch sehr groß, de facto aber mit dem δ34S-Spektrum der syngenetischen Sulfidanreicherung fast identisch ist (δ34S = 3,2 ± 0,6 ‰ bzw. δ34S = 3,1 ± 0,9 ‰), spricht für eine schichtinterne Sulfidmobilisierung. Aus den hier erbrachten Ergebnissen wird ein genetisches Modell für die Kupferberger Lagerstätte geschlussfolgert, in dem jeweils eine der zahlreichen sedimentären, Pyrit-reichen Schichten aus der Randschiefer und der Prasinit-Phyllit Formation bei der Überschiebung der Münchberger Gneismasse tektonisch in Kontakt gebracht wurden. Im Zuge eben dieser Raumnahme der allochthonen Masse wurden Teile der Randschiefer Formation unter Grünschiefer-fazielle Bedingungen gebracht. Dabei kam es sowohl zur Freisetzung von Buntmetallen, die vorher zum Großteil in Pyrit gebunden waren, als auch zur Entwässerung der umliegenden Tonschiefer. Durch die überlagernden, impermeablen metamorphen Decken wurde das entstandene metallreiche Fluid an der Überschiebungsbahn kanalisiert. Durch den Druckabfall in der Spröde-Duktil-Übergangszone kam es zum Sieden des aufsteigenden Fluids, was zur Ausfällung der Sulfide führte. Die Bildung bedeutender Erzlinsen erfolgte vor allem dort, wo das übersättigte Fluid auf Pyrit-reiche Schwarzschiefer bzw. Phyllite traf. Da die Abbauwürdigkeit dieser Erzlinsen im Wesentlichen auf die epigenetische Überprägung im Zuge der Deckenüberschiebung zurückzuführen ist, handelt es sich bei der Kupferberger Cu-Zn-Vererzung um eines der seltenen Beispiele für eine tatsächliche metamorphogene bzw. syntektonische Buntmetalllagerstätte. N2 - Kupferberg is located c. 10 km in the east of Kulmbach in Upper Franconia (northeastern Bavaria). The stratiform Cu-Zn deposit represents Bavaria´s largest base metal deposit, for which up to now no decent genetic model existed. In the northeast, the c. 4 km long string of separate, stratiform ore lenses is part of the parautochthonous Randschiefer Formation and in the southeast, it is hosted by the high-grade, allochthonous Münchberg metamorphic complex. None of the previous investigations were able to explain, why this stratiform ore deposit cross-cuts on of the region´s major fault zones without any offset. The ore itself has a remarkably simple mineralogy, it consists mainly of pyrite with variable amounts of chalcopyrite and sphalerite, accompanied by quartz and calcite. Various investigations (among others U-Pb zircon dating, Cu- and S-isotopic analyses) revealed a two-stage genetic model for the Kupferberg Cu-Zn deposit: A syngenetic pyrite-enrichment and a hydrothermal sulfide-enrichment. The latter was the product of a syn-orogenic fluid-expulsion from beneath the Münchberg metamorphic complex, which makes Kupferberg a syntectonic, metamorphogenic base metal deposit. KW - Lagerstätte KW - Saxothuringikum KW - Kupferberg KW - Kupfer KW - Variszische Gebirgsbildung KW - Variszische Orogenese KW - Metamorphogen Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-155759 ER - TY - BOOK A1 - Brix, Kerstin T1 - Die deutsche Suetonübersetzung Jakob Vielfelds (1536). Transkript nach dem Digitalisat der Bayerischen Staatsbibliothek München (Res/2 A.lat.b. 705; VD16 S 10107) N2 - Der vorliegende Text ist das Transkript der ersten deutschen Gesamtübersetzung von Suetons Kaiserviten, die 1536 bei dem Straßburger Drucker Jakob Cammerlander erschien und die in der Dissertation „Sueton in Straßburg. Die Übersetzung der Kaiserviten durch Jakob Vielfeld (1536)“ (Spolia Berolinensia; Verlag Olms, Hildesheim 2017) umfassend untersucht worden ist. Das Transkript präsentiert diese Übersetzung, obwohl Digitalisate des Cammerlanderdruckes existieren. Dem liegt zugrunde, dass das Transkript im Zuge der erwähnten Dissertation entstand, deren Zentrum der direkte und detaillierte Textvergleich bildet; der Nachvollzug dieses Textvergleichs sollte mithilfe des entsprechend aufbereiteten Transkripts erleichtert werden. Außerdem war es das Ziel, neben den Detailuntersuchungen auch den bisher wenig beachteten deutschen Sueton als ganzen stärker zur Geltung zu bringen. Aber auch ohne die Konsultation der Studie kann das Transkript Grundlage für den bequemen Vergleich der Übersetzung mit dem lateinischen Text in der Referenzausgabe von Maximilian Ihm (editio maior, 1907) sein. Gegenüber dem digitalisierten Druck sind die deutschen Kaiserviten besonders durch zwei Eingriffe für moderne Leser aufbereitet worden: Zum einen enthält der frühneuzeitliche Druck keine Abschnittszählung, sodass es umständlicher ist, frühneuhochdeutsche Textstellen den entsprechenden Passagen in der Ausgabe Ihms zuzuordnen, und so ist das Transkript durchgängig mit Abschnittsziffern ausgestattet, die sich an der lateinischen Edition orientieren. Zum anderen kommen bei der Wiedergabe der deutschen Übersetzung – auch dies in Analogie zu Ihms Ausgabe – konsequent moderne Interpunktionsregeln zum Einsatz, wodurch sich die gedanklichen Strukturen des Textes leichter überblicken lassen und dieser insgesamt flüssiger zu lesen ist. KW - Vielfeld KW - Sueton KW - Suetonübersetzung KW - Kaiserviten KW - Cammerlander KW - Kaiserbiographien KW - De vita Caesarum KW - Übersetzung KW - 1536 KW - Straßburg Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-152831 N1 - Transkript einer frühneuhochdeutschen Übersetzung als Begleitmaterial zu der im Buchhandel erschienenen Dissertation: "Brix, Kerstin: Sueton in Straßburg. - Hildesheim : Weidmann, 2017. - ISBN: 978-3-615-00427-4" ER - TY - JOUR T1 - Search for new phenomena with large jet multiplicities and missing transverse momentum using large-radius jets and flavour-tagging at ATLAS in 13 TeV \(pp\) collisions JF - Journal of High Energy Physics N2 - A search is presented for particles that decay producing a large jet multiplicity and invisible particles. The event selection applies a veto on the presence of isolated electrons or muons and additional requirements on the number of \(b\)-tagged jets and the scalar sum of masses of large-radius jets. Having explored the full ATLAS 2015-2016 dataset of LHC proton-proton collisions at \(\sqrt{s}\) = 13 TeV, which corresponds to 36.1 fb\(^{−1}\) of integrated luminosity, no evidence is found for physics beyond the Standard Model. The results are interpreted in the context of simplified models inspired by R-parity-conserving and R-parity-violating supersymmetry, where gluinos are pair-produced. More generic models within the phenomenological minimal supersymmetric Standard Model are also considered. KW - High energy physics KW - Beyond Standard Model KW - Hadron-Hadron scattering (experiments) KW - Supersymmetry Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-172302 VL - 34 ER - TY - JOUR T1 - Measurement of inclusive and differential cross sections in the \(H\) → \({ZZ}^*\) → \(4{ℓ}\) decay channel in \({pp}\) collisions at \(\sqrt{s} = 13\) TeV with the ATLAS detector JF - Journal of High Energy Physics N2 - Inclusive and differential fiducial cross sections of Higgs boson production in proton-proton collisions are measured in the \(H\) → \({ZZ^*}\) → \(4{ℓ}\) decay channel. The proton-proton collision data were produced at the Large Hadron Collider at a centre-of-mass energy of 13 TeV and recorded by the ATLAS detector in 2015 and 2016, corresponding to an integrated luminosity of 36.1 fb\(^{−1}\). The inclusive fiducial cross section in the \(H\) → \({ZZ^*}\) → \(4{ℓ}\) decay channel is measured to be 3.62 ± 0.50(stat)\(^{+0.25}_{− 0.20}\) (sys) fb, in agreement with the Standard Model prediction of 2.91 ± 0.13 fb. The cross section is also extrapolated to the total phase space including all Standard Model Higgs boson decays. Several differential fiducial cross sections are measured for observables sensitive to the Higgs boson production and decay, including kinematic distributions of jets produced in association with the Higgs boson. Good agreement is found between data and Standard Model predictions. The results are used to put constraints on anomalous Higgs boson interactions with Standard Model particles, using the pseudo-observable extension to the kappa-framework. KW - High energy physics KW - Hadron-Hadron scattering (experiments) KW - Higgs physics Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-172724 VL - 2017 IS - 10 ER - TY - JOUR T1 - Search for top quark decays \(t → qH\), with \(H → γγ\), in \(\sqrt{s} = 13\) TeV \(pp\) collisions using the ATLAS detector JF - Journal of High Energy Physics N2 - This article presents a search for flavour-changing neutral currents in the decay of a top quark into an up-type (\({q = c, u}\)) quark and a Higgs boson, where the Higgs boson decays into two photons. The proton-proton collision data set analysed amounts to 36.1 fb\(^{−1}\) at \(\sqrt{s} = 13\) TeV collected by the ATLAS experiment at the LHC. Top quark pair events are searched for, where one top quark decays into \(qH\) and the other decays into \(bW\). Both the hadronic and leptonic decay modes of the \(W\) boson are used. No significant excess is observed and an upper limit is set on the \({t → cH}\) branching ratio of 2.2 × 10\(^{−3}\) at the 95% confidence level, while the expected limit in the absence of signal is 1.6 × 10\(^{−3}\). The corresponding limit on the \(tcH\) coupling is 0.090 at the 95% confidence level. The observed upper limit on the \({t → uH}\) branching ratio is 2.4 × 10\(^{−3}\). KW - High energy physics KW - Flavour changing neutral currents KW - Hadron-Hadron scattering (experiments) KW - Higgs physics KW - Top physics Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-172568 VL - 2017 IS - 10 ER - TY - JOUR A1 - Rueegg, Corina S. A1 - Kriemler, Susi A1 - Zuercher, Simeon J. A1 - Schindera, Christina A1 - Renner, Andrea A1 - Hebestreit, Helge A1 - Meier, Christian A1 - Eser, Prisca A1 - von der Weid, Nicolas X. T1 - A partially supervised physical activity program for adult and adolescent survivors of childhood cancer (SURfit): study design of a randomized controlled trial [NCT02730767] JF - BMC Cancer N2 - Background: Beyond survival of nowadays >80%, modern childhood cancer treatment strives to preserve long-term health and quality of life. However, the majority of today’s survivors suffer from short- and long-term adverse effects such as cardiovascular and pulmonary diseases, obesity, osteoporosis, fatigue, depression, and reduced physical fitness and quality of life. Regular exercise can play a major role to mitigate or prevent such late-effects. Despite this, there are no data on the effects of regular exercise in childhood cancer survivors from randomized controlled trials (RCTs). \(Primary\) \(outcome\) of the current RCT is therefore the effect of a 12-months exercise program on a composite cardiovascular disease risk score in childhood cancer survivors. \(Secondary\) \(outcomes\) are single cardiovascular disease risk factors, glycaemic control, bone health, body composition, physical fitness, physical activity, quality of life, mental health, fatigue and adverse events (safety). Methods: A total of 150 childhood cancer survivors aged ≥16 years and diagnosed ≥5 years prior to the study are recruited from Swiss paediatric oncology clinics. Following the baseline assessments patients are randomized 1:1 into an intervention and control group. Thereafter, they are seen at month 3, 6 and 12 for follow-up assessments. The intervention group is asked to add ≥2.5 h of intense physical activity/week, including 30 min of strength building and 2 h of aerobic exercises. In addition, they are told to reduce screen time by 25%. Regular consulting by physiotherapists, individual web-based activity diaries, and pedometer devices are used as motivational tools for the intervention group. The control group is asked to keep their physical activity levels constant. Discussion: The results of this study will show whether a partially supervised exercise intervention can improve cardiovascular disease risk factors, bone health, body composition, physical activity and fitness, fatigue, mental health and quality of life in childhood cancer survivors. If the program will be effective, all relevant information of the SURfit physical activity intervention will be made available to interested clinics that treat and follow-up childhood cancer patients to promote exercise in their patients. KW - Medicine KW - Randomized controlled trial KW - Physical activity KW - Exercise intervention KW - Childhood cancer survivors KW - Late-effects KW - Cardiovascular disease KW - Bone health KW - Body composition KW - Physical fitness KW - Quality of life Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-172497 VL - 17 ER - TY - JOUR A1 - Kaireit, Till F. A1 - Sorrentino, Sajoscha A. A1 - Renne, Julius A1 - Schoenfeld, Christian A1 - Voskrebenzev, Andreas A1 - Gutberlet, Marcel A1 - Schulz, Angela A1 - Jakob, Peter M. A1 - Hansen, Gesine A1 - Wacker, Frank A1 - Welte, Tobias A1 - Tümmler, Burkhard A1 - Vogel-Claussen, Jens T1 - Functional lung MRI for regional monitoring of patients with cystic fibrosis JF - PLoS ONE N2 - Purpose To test quantitative functional lung MRI techniques in young adults with cystic fibrosis (CF) compared to healthy volunteers and to monitor immediate treatment effects of a single inhalation of hypertonic saline in comparison to clinical routine pulmonary function tests. Materials and methods Sixteen clinically stable CF patients and 12 healthy volunteers prospectively underwent two functional lung MRI scans and pulmonary function tests before and 2h after a single treatment of inhaled hypertonic saline or without any treatment. MRI-derived oxygen enhanced T1 relaxation measurements, fractional ventilation, first-pass perfusion parameters and a morpho-functional CF-MRI score were acquired. Results Compared to healthy controls functional lung MRI detected and quantified significantly increased ventilation heterogeneity in CF patients. Regional functional lung MRI measures of ventilation and perfusion as well as the CF-MRI score and pulmonary function tests could not detect a significant treatment effect two hours after a single treatment with hypertonic saline in young adults with CF (p>0.05). Conclusion This study shows the feasibility of functional lung MRI as a non-invasive, radiation-free tool for monitoring patients with CF. KW - Physics KW - Magnetic resonance imaging KW - Functional magnetic resonance imaging KW - Cystic fibrosis KW - Oxygen KW - Pulmonary imaging KW - Hypertonic KW - Pulmonary function KW - Quantum chronodynamics Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-172457 VL - 12 IS - 12 ER - TY - JOUR A1 - Kadochová, Štěpánka A1 - Frouz, Jan A1 - Roces, Flavio T1 - Sun basking in red wood ants Formica polyctena (Hymenoptera, Formicidae): Individual behaviour and temperature-dependent respiration rates JF - PLoS ONE N2 - In early spring, red wood ants Formica polyctena are often observed clustering on the nest surface in large numbers basking in the sun. It has been hypothesized that sun-basking behaviour may contribute to nest heating because of both heat carriage into the nest by sunbasking workers, and catabolic heat production from the mobilization of the workers’ lipid reserves. We investigated sun-basking behaviour in laboratory colonies of F. polyctena exposed to an artificial heat source. Observations on identified individuals revealed that not all ants bask in the sun. Sun-basking and non-sun-basking workers did not differ in body size nor in respiration rates. The number of sun-basking ants and the number of their visits to the hot spot depended on the temperature of both the air and the hot spot. To investigate whether sun basking leads to a physiological activation linked with increased lipolysis, we measured respiration rates of individual workers as a function of temperature, and compared respiration rates of sun-basking workers before and two days after they were allowed to expose themselves to a heat source over 10 days, at self-determined intervals. As expected for ectothermic animals, respiration rates increased with increasing temperatures in the range 5 to 35˚C. However, the respiration rates of sun-basking workers measured two days after a long-term exposure to the heat source were similar to those before sun basking, providing no evidence for a sustained increase of the basal metabolic rates after prolonged sun basking. Based on our measurements, we argue that self-heating of the nest mound in early spring has therefore to rely on alternative heat sources, and speculate that physical transport of heat in the ant bodies may have a significant effect. KW - biology KW - ants KW - social systems KW - animal sociality KW - lipids KW - nesting habit KW - video recording KW - catabolism Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-171936 VL - 12 IS - 1 ER - TY - JOUR A1 - Grünblatt, Edna A1 - Oneda, Beatrice A1 - Ekici, Arif B. A1 - Ball, Juliane A1 - Geissler, Julia A1 - Uebe, Steffen A1 - Romanos, Marcel A1 - Rauch, Anita A1 - Walitza, Susanne T1 - High resolution chromosomal microarray analysis in paediatric obsessive-compulsive disorder JF - BMC Medical Genomics N2 - Background Obsessive-Compulsive Disorder (OCD) is a common and chronic disorder in which a person has uncontrollable, reoccurring thoughts and behaviours. It is a complex genetic condition and, in case of early onset (EO), the patients manifest a more severe phenotype, and an increased heritability. Large (>500 kb) copy number variations (CNVs) previously associated with autism and schizophrenia have been reported in OCD. Recently, rare CNVs smaller than 500 kb overlapping risk loci for other neurodevelopmental conditions have also been reported in OCD, stressing the importance of examining CNVs of any size range. The aim of this study was to further investigate the role of rare and small CNVs in the aetiology of EO-OCD. Methods We performed high-resolution chromosomal microarray analysis in 121 paediatric OCD patients and in 124 random controls to identify rare CNVs (>50 kb) which might contribute to EO-OCD. Results The frequencies and the size of the observed rare CNVs in the patients did not differ from the controls. However, we observed a significantly higher frequency of rare CNVs affecting brain related genes, especially deletions, in the patients (OR = 1.98, 95% CI 1.02–3.84; OR = 3.61, 95% CI 1.14–11.41, respectively). Similarly, enrichment-analysis of CNVs gene content, performed with three independent methods, confirmed significant clustering of predefined genes involved in synaptic/brain related functional pathways in the patients but not in the controls. In two patients we detected \(de-novo\) CNVs encompassing genes previously associated with different neurodevelopmental disorders \(\textit{NRXN1, ANKS1B, UHRF1BP1}\)). Conclusions Our results further strengthen the role of small rare CNVs, particularly deletions, as susceptibility factors for paediatric OCD. KW - Medicine KW - OCD KW - CNV KW - Enrichment analysis KW - De-novo KW - Early-onset Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-172791 VL - 10 IS - 68 ER - TY - JOUR A1 - Ashraf, Kerolos A1 - Yasrebi, Kaveh A1 - Hertlein, Tobias A1 - Ohlsen, Knut A1 - Lalk, Michael A1 - Hilgeroth, Andreas T1 - Novel effective small-molecule antibacterials against \(Enterococcus\) strains JF - Molecules N2 - \(Enterococcus\) species cause increasing numbers of infections in hospitals. They contribute to the increasing mortality rates, mostly in patients with comorbidities, who suffer from severe diseases. \(Enterococcus\) resistances against most antibiotics have been described, including novel antibiotics. Therefore, there is an ongoing demand for novel types of antibiotics that may overcome bacterial resistances. We discovered a novel class of antibiotics resulting from a simple one-pot reaction of indole and \(o\)-phthaldialdehyde. Differently substituted indolyl benzocarbazoles were yielded. Both the indole substitution and the positioning at the molecular scaffold influence the antibacterial activity towards the various strains of \(Enterococcus\) species with the highest relevance to nosocomial infections. Structure-activity relationships are discussed, and the first lead compounds were identified as also being effective in the case of a vancomycin resistance. KW - medicine KW - antibacterial activity KW - synthesis KW - derivatives KW - structure-activity KW - lead structure Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-172628 VL - 22 IS - 12 ER - TY - JOUR T1 - Search for supersymmetry in events with \(b\)-tagged jets and missing transverse momentum in \(pp\) collisions at \(\sqrt{s}\) = 13 TeV with the ATLAS detector JF - Journal of High Energy Physics N2 - A search for the supersymmetric partners of the Standard Model bottom and top quarks is presented. The search uses 36.1 fb\(^{−1}\) of \(pp\) collision data at \(\sqrt{s}\) = 13 TeV collected by the ATLAS experiment at the Large Hadron Collider. Direct production of pairs of bottom and top squarks (\(\overline{b}_1\) and \(\overline{t}_1\)) is searched for in final states with \(b\)-tagged jets and missing transverse momentum. Distinctive selections are defined with either no charged leptons (electrons or muons) in the final state, or one charged lepton. The zero-lepton selection targets models in which the \(\overline{b}_1\) is the lightest squark and decays via \(\overline{b}_1\) → \(b\overline{χ}^0_1\), where \(\overline{χ}^0_1\) is the lightest neutralino. The one-lepton final state targets models where bottom or top squarks are produced and can decay into multiple channels, \(\overline{b}_1\) → \(b\overline{χ}^0_1\) and \(\overline{b}_1\) → \(t\overline{χ}^±_1\), or \(\overline{t}_1\) → \(t\overline{χ}^0_1\) and \(\overline{t}_1\) → \(b\overline{χ}^±_1\), where \(\overline{χ}^±_1\) is the lightest chargino and the mass difference \(m_{\overline{χ}^±_1}\) − \(m_{\overline{χ}^0_1}\) is set to 1 GeV. No excess above the expected Standard Model background is observed. Exclusion limits at 95% confidence level on the mass of third-generation squarks are derived in various supersymmetry-inspired simplified models. KW - High energy physics KW - Hadron-Hadron scattering (experiments) Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-172320 VL - 2017 IS - 195 ER - TY - JOUR T1 - Search for new phenomena in a lepton plus high jet multiplicity final state with the ATLAS experiment using \(\sqrt{s}=13\) TeV proton-proton collision data JF - Journal of High Energy Physics N2 - A search for new phenomena in final states characterized by high jet multiplicity, an isolated lepton (electron or muon) and either zero or at least three \(b\)-tagged jets is presented. The search uses 36.1 fb\(^{−1}\) of \(\sqrt{s}=13\) TeV proton-proton collision data collected by the ATLAS experiment at the Large Hadron Collider in 2015 and 2016. The dominant sources of background are estimated using parameterized extrapolations, based on observables at medium jet multiplicity, to predict the \(b\)-tagged jet multiplicity distribution at the higher jet multiplicities used in the search. No significant excess over the Standard Model expectation is observed and 95% confidence-level limits are extracted constraining four simplified models of \(R\)-parity-violating supersymmetry that feature either gluino or top-squark pair production. The exclusion limits reach as high as 2.1 TeV in gluino mass and 1.2 TeV in top-squark mass in the models considered. In addition, an upper limit is set on the cross-section for Standard Model \(t\overline{t}t\overline{t}\) production of 60 fb (6.5 × the Standard Model prediction) at 95% confidence level. Finally, model-independent limits are set on the contribution from new phenomena to the signal-region yields. KW - High energy physics KW - Beyond Standard Model KW - Hadron-Hadron scattering (experiments) Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-172802 VL - 2017 IS - 09 ER - TY - JOUR A1 - Schulz, Herbert A1 - Ruppert, Ann-Kathrin A1 - Herms, Stefan A1 - Wolf, Christiane A1 - Mirza-Schreiber, Nazanin A1 - Stegle, Oliver A1 - Czamara, Darina A1 - Forstner, Andreas J. A1 - Sivalingam, Sugirthan A1 - Schoch, Susanne A1 - Moebus, Susanne A1 - Pütz, Benno A1 - Hillmer, Axel A1 - Fricker, Nadine A1 - Vatter, Hartmut A1 - Müller-Myhsok, Bertram A1 - Nöthen, Markus M. A1 - Becker, Albert J. A1 - Hoffmann, Per A1 - Sander, Thomas A1 - Cichon, Sven T1 - Genome-wide mapping of genetic determinants influencing DNA methylation and gene expression in human hippocampus JF - Nature Communications N2 - Emerging evidence emphasizes the strong impact of regulatory genomic elements in neurodevelopmental processes and the complex pathways of brain disorders. The present genome-wide quantitative trait loci analyses explore the \(cis\)-regulatory effects of single-nucleotide polymorphisms (SNPs) on DNA methylation (meQTL) and gene expression (eQTL) in 110 human hippocampal biopsies. We identify \(cis\)-meQTLs at 14,118 CpG methylation sites and \(cis\)-eQTLs for 302 3′-mRNA transcripts of 288 genes. Hippocampal \(cis\)-meQTL-CpGs are enriched in flanking regions of active promoters, CpG island shores, binding sites of the transcription factor CTCF and brain eQTLs. \(Cis\)-acting SNPs of hippocampal meQTLs and eQTLs significantly overlap schizophrenia-associated SNPs. Correlations of CpG methylation and RNA expression are found for 34 genes. Our comprehensive maps of \(cis\)-acting hippocampal meQTLs and eQTLs provide a link between disease-associated SNPs and the regulatory genome that will improve the functional interpretation of non-coding genetic variants in the molecular genetic dissection of brain disorders. KW - psychiatry KW - epigenetics in the nervous system KW - epigenomics KW - gene expression KW - neurological disorders Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-173168 VL - 8 ER - TY - JOUR A1 - Katzorke, Andrea A1 - Zeller, Julia B. M. A1 - Müller, Laura D. A1 - Lauer, Martin A1 - Polak, Thomas A1 - Reif, Andreas A1 - Deckert, Jürgen A1 - Herrmann, Martin J. T1 - Reduced activity in the right inferior frontal gyrus in elderly APOE-E4 carriers during a verbal fluency task JF - Frontiers in Human Neuroscience N2 - Apolipoprotein-E4 (APOE-E4) is a major genetic risk factor for developing Alzheimer’s disease (AD). The verbal fluency task (VFT), especially the subtask category fluency, has shown to provide a good discrimination between cognitively normal controls and subjects with AD. Interestingly, APOE-E4 seems to have no effect on the behavioral performance during a VFT in healthy elderly. Thus, the purpose of the present study was to reveal possible compensation mechanisms by investigating the effect of APOE-E4 on the hemodynamic response in non-demented elderly during a VFT by using functional near-infrared spectroscopy (fNIRS). We compared performance and hemodynamic response of high risk APOE-E4/E4, -E3/E4 carriers with neutral APOE-E3/E3 non-demented subjects (N = 288; 70–77 years). No difference in performance was found. APOE-E4/E4, -E3/E4 carriers had a decreased hemodynamic response in the right inferior frontal junction (IFJ) with a corresponding higher response in the left middle frontal gyrus (MFG) during category fluency. Performance was correlated with the hemodynamic response in the MFG. We assume a compensation of decreased IFJ brain activation by utilizing the MFG during category fluency and thus resulting in no behavioral differences between APOE-groups during the performance of a VFT. KW - psychiatry KW - near-infrared spectroscopy KW - verbal fluency task KW - apolipoprotein-E4 KW - Alzheimer's disease KW - elderly Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-171892 VL - 11 ER - TY - JOUR A1 - Skryabin, D.V. A1 - Kartashov, Y.V. A1 - Egorov, O.A. A1 - Sich, M. A1 - Chana, J.K. A1 - Tapia Rodriguez, L.E. A1 - Walker, P.M. A1 - Clarke, E. A1 - Royall, B. A1 - Skolnick, M.S. A1 - Krizhanovskii, D.N. T1 - Backward Cherenkov radiation emitted by polariton solitons in a microcavity wire JF - Nature Communications N2 - Exciton-polaritons in semiconductor microcavities form a highly nonlinear platform to study a variety of effects interfacing optical, condensed matter, quantum and statistical physics. We show that the complex polariton patterns generated by picosecond pulses in microcavity wire waveguides can be understood as the Cherenkov radiation emitted by bright polariton solitons, which is enabled by the unique microcavity polariton dispersion, which has momentum intervals with positive and negative group velocities. Unlike in optical fibres and semiconductor waveguides, we observe that the microcavity wire Cherenkov radiation is predominantly emitted with negative group velocity and therefore propagates backwards relative to the propagation direction of the emitting soliton. We have developed a theory of the microcavity wire polariton solitons and of their Cherenkov radiation and conducted a series of experiments, where we have measured polariton-soliton pulse compression, pulse breaking and emission of the backward Cherenkov radiation. KW - physics KW - polaritons KW - solitons Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-173046 VL - 8 ER - TY - JOUR A1 - Tuan, Dinh Van A1 - Scharf, Benedikt A1 - Žutič, Igor A1 - Dery, Hanan T1 - Marrying excitons and plasmons in monolayer transition-metal dichalcogenides JF - Physical Review X N2 - Just as photons are the quanta of light, plasmons are the quanta of orchestrated charge-density oscillations in conducting media. Plasmon phenomena in normal metals, superconductors, and doped semiconductors are often driven by long-wavelength Coulomb interactions. However, in crystals whose Fermi surface is comprised of disconnected pockets in the Brillouin zone, collective electron excitations can also attain a shortwave component when electrons transition between these pockets. In this work, we show that the band structure of monolayer transition-metal dichalcogenides gives rise to an intriguing mechanism through which shortwave plasmons are paired up with excitons. The coupling elucidates the origin for the optical sideband that is observed repeatedly in monolayers of WSe\(_2\) and WS\(_2\) but not understood. The theory makes it clear why exciton-plasmon coupling has the right conditions to manifest itself distinctly only in the optical spectra of electron-doped tungsten-based monolayers. KW - physics KW - excitons KW - plasmons KW - semiconductors KW - spintronics KW - valleytronics Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-173030 VL - 7 IS - 4 ER - TY - JOUR A1 - Maurer, Jana A1 - Hupp, Sabrina A1 - Bischoff, Carolin A1 - Foertsch, Christina A1 - Mitchell, Timothy J. A1 - Chakraborty, Trinad A1 - Iliev, Asparouh I. T1 - Distinct neurotoxicity profile of listeriolysin O from \(Listeria\) \(monocytogenes\) JF - Toxins N2 - Cholesterol-dependent cytolysins (CDCs) are protein toxins that originate from Gram-positive bacteria and contribute substantially to their pathogenicity. CDCs bind membrane cholesterol and build prepores and lytic pores. Some effects of the toxins are observed in non-lytic concentrations. Two pathogens, \(Streptococcus\) \(pneumoniae\) and \(Listeria\) \(monocytogenes\), cause fatal bacterial meningitis, and both produce toxins of the CDC family—pneumolysin and listeriolysin O, respectively. It has been demonstrated that pneumolysin produces dendritic varicosities (dendrite swellings) and dendritic spine collapse in the mouse neocortex, followed by synaptic loss and astrocyte cell shape remodeling without elevated cell death. We utilized primary glial cultures and acute mouse brain slices to examine the neuropathological effects of listeriolysin O and to compare it to pneumolysin with identical hemolytic activity. In cultures, listeriolysin O permeabilized cells slower than pneumolysin did but still initiated non-lytic astrocytic cell shape changes, just as pneumolysin did. In an acute brain slice culture system, listeriolysin O produced dendritic varicosities in an NMDA-dependent manner but failed to cause dendritic spine collapse and cortical astrocyte reorganization. Thus, listeriolysin O demonstrated slower cell permeabilization and milder glial cell remodeling ability than did pneumolysin and lacked dendritic spine collapse capacity but exhibited equivalent dendritic pathology. KW - medicine KW - listeriolysin O KW - meningitis KW - acute slices KW - variocosities KW - dendritic spines Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-172130 VL - 9 IS - 1 ER - TY - JOUR A1 - Eisele, Marion A1 - Boczor, Sigrid A1 - Rakebrandt, Anja A1 - Blozik, Eva A1 - Trader, Jens-Martin A1 - Stork, Stefan A1 - Herrmann-Lingen, Christoph A1 - Scherer, Martin T1 - General practitioners' awareness of depressive symptomatology is not associated with quality of life in heart failure patients - cross-sectional results of the observational RECODE-HF Study JF - BMC Family Practice N2 - Background Depression is a common comorbidity in patients with chronic heart failure (HF) and linked to a wider range of symptoms which, in turn, are linked to a decreased health-related quality of life (HRQOL). Treatment of depression might improve HRQOL but detecting depression is difficult due to the symptom overlap between HF and depression. Therefore, clinical guidelines recommend to routinely screen for depression in HF patients. No studies have so far investigated the treatment after getting aware of a depressive symptomatology and its correlation with HRQOL in primary care HF patients. Therefore, we examined the factors linked to depression treatment and those linked to HRQOL in HF patients. We hypothesized that GPs’ awareness of depressive symptomatology was associated with depression treatment and HRQOL in HF patients. Methods For this observational study, HF patients were recruited in primary care practices and filled out a questionnaire including PHQ-9 and HADS. A total of 574 patients screened positive for depressive symptomatology. Their GPs were interviewed by phone regarding the patients’ comorbidities and potential depression treatment. Descriptive and regression analysis were performed. Results GPs reported various types of depression treatments (including dialogue/counselling by the GP him/herself in 31.8% of the patients). The reported rates differed considerably between GP-reported initiated treatment and patient-reported utilised treatment regarding psychotherapy (16.4% vs. 9.5%) and pharmacotherapy (61.2% vs. 30.3%). The GPs' awareness of depressive symptomatology was significantly associated with the likelihood of receiving pharmacotherapy (OR 2.8; p < 0.001) but not psychotherapy. The patient’s HRQOL was not significantly associated with the GPs' awareness of depression. Conclusion GPs should be aware of the gap between GP-initiated and patient-utilised depression treatments in patients with chronic HF, which might lead to an undersupply of depression treatment. It remains to be investigated why GPs’ awareness of depressive symptomatology is not linked to patients’ HRQOL. We hypothesize that GPs are aware of cases with reduced HRQOL (which improves under depression treatment) and unaware of cases whose depression do not significantly impair HRQOL, resulting in comparable levels of HRQOL in both groups. This hypothesis needs to be further investigated. KW - Medicine KW - Depression KW - Heart failure KW - Recognition of depression KW - Quality of life KW - Depression treatment KW - Observational study KW - Primary care KW - Healthcare research KW - Depressive symptomatology Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-172445 VL - 18 ER - TY - JOUR A1 - Richard, Kyalo A1 - Abdel-Rahman, Elfatih M. A1 - Subramanian, Sevgan A1 - Nyasani, Johnson O. A1 - Thiel, Michael A1 - Jozani, Hosein A1 - Borgemeister, Christian A1 - Landmann, Tobias T1 - Maize cropping systems mapping using RapidEye observations in agro-ecological landscapes in Kenya JF - Sensors N2 - Cropping systems information on explicit scales is an important but rarely available variable in many crops modeling routines and of utmost importance for understanding pests and disease propagation mechanisms in agro-ecological landscapes. In this study, high spatial and temporal resolution RapidEye bio-temporal data were utilized within a novel 2-step hierarchical random forest (RF) classification approach to map areas of mono- and mixed maize cropping systems. A small-scale maize farming site in Machakos County, Kenya was used as a study site. Within the study site, field data was collected during the satellite acquisition period on general land use/land cover (LULC) and the two cropping systems. Firstly, non-cropland areas were masked out from other land use/land cover using the LULC mapping result. Subsequently an optimized RF model was applied to the cropland layer to map the two cropping systems (2nd classification step). An overall accuracy of 93% was attained for the LULC classification, while the class accuracies (PA: producer’s accuracy and UA: user’s accuracy) for the two cropping systems were consistently above 85%. We concluded that explicit mapping of different cropping systems is feasible in complex and highly fragmented agro-ecological landscapes if high resolution and multi-temporal satellite data such as 5 m RapidEye data is employed. Further research is needed on the feasibility of using freely available 10–20 m Sentinel-2 data for wide-area assessment of cropping systems as an important variable in numerous crop productivity models. KW - remote sensing KW - RapidEye KW - bi-temporal KW - cropping systems KW - random forest KW - Kenya Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-173285 VL - 17 IS - 11 ER - TY - JOUR A1 - Schmid, Tobias A1 - Falter, Lena A1 - Weber, Sabine A1 - Müller, Nils A1 - Molitor, Konstantin A1 - Zeller, David A1 - Weber-Steffens, Dorothea A1 - Hehlgans, Thomas A1 - Wajant, Harald A1 - Mostböck, Sven A1 - Männel, Daniela N. T1 - Chronic inflammation increases the sensitivity of mouse Treg for TNFR2 costimulation JF - Frontiers in Immunology N2 - TNF receptor type 2 (TNFR2) has gained attention as a costimulatory receptor for T cells and as critical factor for the development of regulatory T cells (Treg) and myeloid suppressor cells. Using the TNFR2-specific agonist TNCscTNF80, direct effects of TNFR2 activation on myeloid cells and T cells were investigated in mice. \(In\) \(vitro\), TNCscTNF80 induced T cell proliferation in a costimulatory fashion, and also supported \(in\) \(vitro\) expansion of Treg cells. In addition, activation of TNFR2 retarded differentiation of bone marrow-derived immature myeloid cells in culture and reduced their suppressor function. \(In\) \(vivo\) application of TNCscTNF80-induced mild myelopoiesis in naïve mice without affecting the immune cell composition. Already a single application expanded Treg cells and improved suppression of CD4 T cells in mice with chronic inflammation. By contrast, multiple applications of the TNFR2 agonist were required to expand Treg cells in naïve mice. Improved suppression of T cell proliferation depended on expression of TNFR2 by T cells in mice repeatedly treated with TNCscTNF80, without a major contribution of TNFR2 on myeloid cells. Thus, TNFR2 activation on T cells in naïve mice can lead to immune suppression \(in\) \(vivo\). These findings support the important role of TNFR2 for Treg cells in immune regulation. KW - molecular medicine KW - inflammation KW - immune regulation KW - costimulation KW - MDSC KW - TNFR2 KW - regulatory T cell Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-173259 VL - 8 ER - TY - JOUR A1 - Lapa, Constantin A1 - Garcia-Velloso, Maria J. A1 - Lückerath, Katharina A1 - Samnick, Samuel A1 - Schreder, Martin A1 - Otero, Paula Rodriguez A1 - Schmid, Jan-Stefan A1 - Herrmann, Ken A1 - Knop, Stefan A1 - Buck, Andreas K. A1 - Einsele, Hermann A1 - San-Miguel, Jesus A1 - Kortüm, Klaus Martin T1 - \(^{11}\)C-methionine-PET in multiple myeloma: a combined study from two different institutions JF - Theranostics N2 - \(^{11}\)C-methionine (MET) has recently emerged as an accurate marker of tumor burden and disease activity in patients with multiple myeloma (MM). This dual-center study aimed at further corroboration of the superiority of MET as positron emission tomography (PET) tracer for staging and re-staging MM, as compared to \(^{18}\)F-2`-deoxy-2`-fluoro-D-glucose (FDG). 78 patients with a history of solitary plasmacytoma (n=4), smoldering MM (SMM, n=5), and symptomatic MM (n=69) underwent both MET- and FDG-PET/computed tomography (CT) at the University Centers of Würzburg, Germany and Navarra, Spain. Scans were compared on a patient and on a lesion basis. Inter-reader agreement was also evaluated. In 2 patients, tumor biopsies for verification of discordant imaging results were available. MET-PET detected focal lesions (FL) in 59/78 subjects (75.6%), whereas FDG-PET/CT showed lesions in only 47 patients (60.3%; p<0.01), accordingly disease activity would have been missed in 12 patients. Directed biopsies of discordant results confirmed MET-PET/CT results in both cases. MET depicted more FL in 44 patients (56.4%; p<0.01), whereas in two patients (2/78), FDG proved superior. In the remainder (41.0%, 32/78), both tracers yielded comparable results. Inter-reader agreement for MET was higher than for FDG (κ = 0.82 vs κ = 0.72). This study demonstrates higher sensitivity of MET in comparison to standard FDG to detect intra- and extramedullary MM including histologic evidence of FDG-negative, viable disease exclusively detectable by MET-PET/CT. MET holds the potential to replace FDG as functional imaging standard for staging and re-staging of MM. KW - medicine KW - PET/CT KW - \(^{11}\)C-methionine KW - multiple myeloma KW - FDG Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-172038 VL - 7 IS - 11 ER - TY - JOUR T1 - Search for a scalar partner of the top quark in the jets plus missing transverse momentum final state at \(\sqrt{s}\) = 13 TeV with the ATLAS detector JF - Journal of High Energy Physics N2 - A search for pair production of a scalar partner of the top quark in events with four or more jets plus missing transverse momentum is presented. An analysis of 36.1 fb\(^{−1}\) of \(\sqrt{s}\) = 13 TeV proton-proton collisions collected using the ATLAS detector at the LHC yields no significant excess over the expected Standard Model background. To interpret the results a simplified supersymmetric model is used where the top squark is assumed to decay via \(\tilde{t}_1\) → \(t^{(∗)}\)\(\tilde{χ}^0_1\) and \(\tilde{t}_1\) → \(b\tilde{χ}^±_1\) → \({bW}^{(∗)}\tilde{χ}^0_1\), where \(\tilde{χ}^0_1\) (\(\tilde{χ}^±_1\)) denotes the lightest neutralino (chargino). Exclusion limits are placed in terms of the top-squark and neutralino masses. Assuming a branching ratio of 100% to \(t\tilde{χ}^0_1\), top-squark masses in the range 450–1000 GeV are excluded for \(\tilde{χ}^0_1\) masses below 160 GeV. In the case where \(m_{\tilde{t}_1}\) ∼ \(m_t\) + \(m_{\tilde{χ}^0_1}\), top-squark masses in the range 235–590 GeV are excluded. KW - high energy physics KW - Hadron-Hadron scattering (experiments) Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-172161 VL - 12 ER - TY - JOUR A1 - Aich, Valentin A1 - Akhundzadah, Noor Ahmad A1 - Knuerr, Alec A1 - Khoshbeen, Ahmad Jamshed A1 - Hattermann, Fred A1 - Paeth, Heiko A1 - Scanlon, Andrew A1 - Paton, Eva Nora T1 - Climate change in Afghanistan deduced from reanalysis and coordinated regional climate downscaling experiment (CORDEX)—South Asia Simulations JF - Climate N2 - Past and the projected future climate change in Afghanistan has been analyzed systematically and differentiated with respect to its different climate regions to gain some first quantitative insights into Afghanistan’s vulnerability to ongoing and future climate changes. For this purpose, temperature, precipitation and five additional climate indices for extremes and agriculture assessments (heavy precipitation; spring precipitation; growing season length (GSL), the Heat Wave Magnitude Index (HWMI); and the Standardized Precipitation Evapotranspiration Index (SPEI)) from the reanalysis data were examined for their consistency to identify changes in the past (data since 1950). For future changes (up to the year 2100), the same parameters were extracted from an ensemble of 12 downscaled regional climate models (RCM) of the Coordinated Regional Climate Downscaling Experiment (CORDEX)-South Asia simulations for low and high emission scenarios (Representative Concentration Pathways 4.5 and 8.5). In the past, the climatic changes were mainly characterized by a mean temperature increase above global level of 1.8 °C from 1950 to 2010; uncertainty with regard to reanalyzed rainfall data limited a thorough analysis of past changes. Climate models projected the temperature trend to accelerate in the future, depending strongly on the global carbon emissions (2006–2050 Representative Concentration Pathways 4.5/8.5: 1.7/2.3 °C; 2006–2099: 2.7/6.4 °C, respectively). Despite the high uncertainty with regard to precipitation projections, it became apparent that the increasing evapotranspiration is likely to exacerbate Afghanistan’s already existing water stress, including a very strong increase of frequency and magnitude of heat waves. Overall, the results show that in addition to the already extensive deficiency in adaptation to current climate conditions, the situation will be aggravated in the future, particularly in regard to water management and agriculture. Thus, the results of this study underline the importance of adequate adaptation to climate change in Afghanistan. This is even truer taking into account that GSL is projected to increase substantially by around 20 days on average until 2050, which might open the opportunity for extended agricultural husbandry or even additional harvests when water resources are properly managed. KW - climate change KW - Afghanistan KW - Coordinated Regional Climate Downscaling Experiment (CORDEX)-South Asia KW - trend analysis KW - Heat Wave Magnitude Index (HWMI) KW - Standardized Precipitation Evapotranspiration Index (SPEI) KW - growing season length (GSL) Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-198024 SN - 2225-1154 VL - 5 IS - 2 ER - TY - JOUR A1 - Tymoshenko, Y. V. A1 - Onykiienko, Y. A. A1 - Müller, T. A1 - Thomale, R. A1 - Rachel, S. A1 - Cameron, A. S. A1 - Portnichenko, P. Y. A1 - Efremov, D. V. A1 - Tsurkan, V. A1 - Abernathy, D. L. A1 - Ollivier, J. A1 - Schneidewind, A. A1 - Piovano, A. A1 - Felea, V. A1 - Loidl, A. A1 - Inosov, D. S. T1 - Pseudo-Goldstone magnons in the frustrated \(S=3/2\) Heisenberg helimagnet \(ZnCr_2Se_4\) with a pyrochlore magnetic sublattice JF - Physical Review X N2 - Low-energy spin excitations in any long-range ordered magnetic system in the absence of magnetocrystalline anisotropy are gapless Goldstone modes emanating from the ordering wave vectors. In helimagnets, these modes hybridize into the so-called helimagnon excitations. Here we employ neutron spectroscopy supported by theoretical calculations to investigate the magnetic excitation spectrum of the isotropic Heisenberg helimagnet \({ZnCr_2Se_4}\) with a cubic spinel structure, in which spin\(-3/2\) magnetic \({Cr^{3+}}\) ions are arranged in a geometrically frustrated pyrochlore sublattice. Apart from the conventional Goldstone mode emanating from the \((0~ 0~ {q_h})\) ordering vector, low-energy magnetic excitations in the single-domain proper-screw spiral phase show soft helimagnon modes with a small energy gap of \({∼0.17~ meV}\), emerging from two orthogonal wave vectors \(({q_h}~ 0~ 0)\) and \({(0~ {q_h}~ 0)}\) where no magnetic Bragg peaks are present. We term them pseudo-Goldstone magnons, as they appear gapless within linear spinwave theory and only acquire a finite gap due to higher-order quantum-fluctuation corrections. Our results are likely universal for a broad class of symmetric helimagnets, opening up a new way of studying weak magnon-magnon interactions with accessible spectroscopic methods. KW - physics KW - spin waves KW - helimagnets KW - inelastic neutron scattering Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-172770 VL - 7 IS - 4 ER - TY - JOUR A1 - Kingslake, Jonathan A1 - Dias, Rebecca A1 - Dawson, Gerard R. A1 - Simon, Judit A1 - Goodwin, Guy M. A1 - Harmer, Catherine J. A1 - Morriss, Richard A1 - Brown, Susan A1 - Guo, Boliang A1 - Dourish, Colin T. A1 - Ruhé, Henricus G. A1 - Lever, Anne G. A1 - Veltman, Dick J. A1 - van Schaik, Anneke A1 - Deckert, Jürgen A1 - Reif, Andreas A1 - Stäblein, Michael A1 - Menke, Andreas A1 - Gorwood, Philip A1 - Voegeli, Géraldine A1 - Perez, Victor A1 - Browning, Michael T1 - The effects of using the PReDicT Test to guide the antidepressant treatment of depressed patients: study protocol for a randomised controlled trial JF - Trials N2 - Background Antidepressant medication is commonly used to treat depression. However, many patients do not respond to the first medication prescribed and improvements in symptoms are generally only detectable by clinicians 4–6 weeks after the medication has been initiated. As a result, there is often a long delay between the decision to initiate an antidepressant medication and the identification of an effective treatment regimen. Previous work has demonstrated that antidepressant medications alter subtle measures of affective cognition in depressed patients, such as the appraisal of facial expression. Furthermore, these cognitive effects of antidepressants are apparent early in the course of treatment and can also predict later clinical response. This trial will assess whether an electronic test of affective cognition and symptoms (the Predicting Response to Depression Treatment Test; PReDicT Test) can be used to guide antidepressant treatment in depressed patients and, therefore, hasten treatment response compared to a control group of patients treated as usual. Methods/design The study is a randomised, two-arm, multi-centre, open-label, clinical investigation of a medical device, the PReDicT Test. It will be conducted in five European countries (UK, France, Spain, Germany and the Netherlands) in depressed patients who are commencing antidepressant medication. Patients will be randomised to treatment guided by the PReDicT Test (PReDicT arm) or to Treatment as Usual (TaU arm). Patients in the TaU arm will be treated as per current standard guidelines in their particular country. Patients in the PReDicT arm will complete the PReDicT Test after 1 (and if necessary, 2) weeks of treatment. If the test indicates non-response to the treatment, physicians will be advised to immediately alter the patient’s antidepressant therapy by dose escalation or switching to another compound. The primary outcome of the study is the proportion of patients showing a clinical response (defined as 50% or greater decrease in baseline scores of depressionmeasured using the Quick Inventory of Depressive Symptoms – Self-Rated questionnaire) at week 8. Health economic and acceptability data will also be collected and analysed. Discussion This trial will test the clinical efficacy, cost-effectiveness and acceptability of using the novel PReDicT Test to guide antidepressant treatment selection in depressed patients. Trial registration ClinicalTrials.gov, ID: NCT02790970. Registered on 30 March 2016. KW - psychiatry KW - depression KW - prediction KW - treatment KW - antidepressant KW - primary care Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-173012 VL - 18 ER - TY - THES A1 - Nwaila, Tsundukani Glen T1 - Geochemistry of Palaeoarchaean to Palaeoproterozoic Kaapvaal Craton marine shales: Implications for sediment provenance and siderophile elements endowment T1 - Geochemie paläoarchaischer bis paläoproterozoischer mariner Tonschiefer des Kaapvaal Kratons: Hinweise auf Sediment Provenienz und Anreicherung an siderophilen Elementen N2 - The Kaapvaal Craton hosts a number of large gold deposits (e.g. Witwatersrand Supergroup) which mining companies have exploited at certain stratigraphic positions. It also hosts the largest platinum group element (PGE) deposits (e.g. Bushveld Igneous Complex) which mining companies have exploited in different mineralised layered magmatic zones. In spite of the extensive exploration history in the Kaapvaal Craton, the origin of the Witwatersrand gold deposits and Bushveld Igneous Complex PGE deposits has remained one of the most debated topics in economic geology. The goal of this study was to identify the geochemical characteristics of marine shales in the Barberton, Witwatersrand, and Transvaal supergroups in South Africa in order to make inferences on their sediment provenance and siderophile element endowments. Understanding why some of the Archaean and Proterozoic hinterlands are heavily mineralised, compared to others with similar geological characteristics, will aid in the development of more efficient exploration models. Fresh, unmineralised marine shales from the Barberton (Fig Tree and Moodies groups), Witwatersrand (West Rand and Central Rand groups), and Transvaal (Black Reef Formation and Pretoria Group) supergroups were sampled from drill core and underground mining exposures. Analytical methods, such as X-ray powder diffraction (XRD), optical microscopy, X-ray fluorescence (XRF), inductively coupled plasma optical emission spectroscopy (ICP-OES), inductively coupled plasma mass spectrometry (ICP-MS), and electron microprobe analysis (EMPA) were applied to comprehensively characterise the shales. All of the Au and PGE assays examined the newly collected shale samples. The Barberton Supergroup shales consist mainly of quartz, illite, chlorite, and albite, with diverse heavy minerals, including sulfides and oxides, representing the minor constituents. The regionally persistent Witwatersrand Supergroup shales consist mainly of quartz, muscovite, and chlorite, and also contain minor constituents of sulfides and oxides. The Transvaal Supergroup shales comprise quartz, chlorite, and carbonaceous material. Major, trace (including rare-earth element) concentrations were determined for shales from the above supergroups to constrain their source and post-depositional evolution. Chemical variations were observed in all the studied marine shales. Results obtained from this study revealed that post-depositional modification of shale chemistry was significant only near contacts with over- and underlying coarser-grained siliciclastic rocks and along cross-cutting faults, veins, and dykes. Away from such zones, the shale composition remained largely unaltered and can be used to draw inferences concerning sediment provenance and palaeoweathering in the source region and/or on intrabasinal erosion surfaces. Evaluation of weathering profiles through sections of the studied supergroups revealed that the shales therein are characterised by high chemical index of alteration (CIA), chemical index of weathering (CIW), and index of compositional variability (ICV), suggesting that the source area was lithologically complex and subject to intense chemical weathering. A progressive change in the chemical composition was identified, from a dominant ultramafic–mafic source for the Fig Tree Group to a progressively felsic–plutonic provenance for the Moodies Group. The West Rand Group of the Witwatersrand Supergroup shows a dominance of tonalite–trondhjemite–granodiorite and calcalkaline granite sources. Compositional profiles through the only major marine shale unit within the Central Rand Group indicate the progressive unroofing of a granitic source in an otherwise greenstone-dominated hinterland during the course of sedimentation. No plausible likely tectonic setting was obtained through geochemical modelling. However, the combination of the systematic shale chemistry, geochronology, and sedimentology in the Witwatersrand Supergroup supports the hypothesised passive margin setting for the >2.98 to 2.91 Ga West Rand Group, and an active continental margin source for the overlying >2.90 to 2.78 Ga Central Rand Group, along with a foreland basin setting for the latter. Ultra-low detection limit analyses of gold and PGE concentrations revealed a variable degree of gold accumulation within pristine unmineralised shales. All the studied shales contain elevated gold and PGE contents relative to the upper continental crust, with marine shales from the Central Rand Group showing the highest Au (±9.85 ppb) enrichment. Based on this variation in the provenance of contemporaneous sediments in different parts of the Kaapvaal Craton, one can infer that the siderophile elements were sourced from a fertile hinterland, but concentrated into the marine shales by a combination of different processes. It is proposed that accumulation of siderophile elements in the studied marine shales was mainly controlled by mechanical coagulation and aggregation. These processes involved suspended sediments, fine gold particles, and other trace elements being trapped in marine environments. Mechanical coagulation and aggregation resulted in gold enrichments by 2–3 orders of magnitude, whereas some of the gold in these marine shales can be reconciled by seawater adsorption into sedimentary pyrite. For the source of gold and PGEs in the studied marine shales in the Kaapvaal Craton, a genetic model is proposed that involves the following: (1) A highly siderophile elements enriched upper mantle domain, herein referred to as “geochemically anomalous mantle domain”, from which the Kaapvaal crust was sourced. This mantle domain enriched in highly siderophile elements was formed either by inhomogeneous mixing with cosmic material that was added during intense meteorite bombardment of the Hadaean to Palaeoarchaean Earth or by plume-like ascent of relics from the core–mantle boundary. In both cases, elevated siderophile elements concentrations would be expected. The geochemically anomalous mantle domain is likely the ultimate source of the Witwatersrand modified palaeoplacer gold deposits and was tapped again ca. 2.054 Ga during the emplacement of the Bushveld Igneous Complex. Therefore, I propose that there is a genetic link (i.e. common geochemically anomalous mantle source) between the Witwatersrand gold deposits and the younger Bushveld Igneous Complex PGE deposits. (2) Scavenging of crustal gold by various surface processes such as trapping of gold from Archaean/Palaeoproterozoic river water on the surface of local photosynthesizing cyanobacterial or microbial mats, and reworking of these mats into erosion channels during flooding events. The above two models complement each other, with model (1) providing a common geological source for the Witwatersrand gold and Bushveld Igneous Complex PGE deposits, and model (2) explaining the processes responsible for Witwatersrand-type gold pre-concentration processes. In sequences such as the Transvaal Supergroup, a less fertile hinterland and/or less reworking of older sediments led to a correspondingly lower gold endowment. These findings indicate temporal distribution of siderophile elements in the upper crust (e.g. marine shales). The overall implications of these findings are that background concentrations of gold and PGEs can be used to target potential exploration areas in other cratons of similar age. This increases the likelihood of finding other Witwatersrand-type gold or Bushveld Igneous Complex-type PGE deposits in other cratons. N2 - Der Kaapvaal Kraton beherbergt eine Vielzahl großer Goldlagerstätten (vor allem in der Witwatersrand Hauptgruppe), die von Bergbaugesellschaften in ihrer jeweiligen stratigraphischen Position abgebaut werden. Im diesem Kraton liegen auch die größten Lagerstätten für Platingruppenelemente (vornehmlich im Bushveld Komplex), die aus diversen magmatischen Intrusionskörpern gewonnen werden. Trotz der intensiven und langen Explorationsgeschichte im Bereich des Kaapvaal Kratons ist die Herkunft des Goldes in den Witwatersrand Lagerstätten und die der Platingruppenelemente in den Lagerstätten des Bushveld-Komplex noch ungeklärt und Gegenstand aktueller Diskussionen. Ziel der Arbeit war die geochemische Charakterisierung von Tonschiefern in den Barberton-, Witwatersrand und Transvaal-Hauptgruppen, um Aussagen über deren Provenienz zu treffen und die Gehalte an siderophilen Elementen darin zu ermitteln. Ein verbessertes Verständnis, warum manche archaischen und proterozoischen Einheiten stark mineralisiert sind und andere nicht, sollte bei der Planung zukünftiger Explorationsprojekte dienlich sein. Um dieses Ziel zu erreichen, wurden unalterierte und nicht mineralisierte Proben mariner Tonschiefer aus der Barberton Hauptgruppe (Fig Tree und Moodies Gruppen), der Witwatersrand Hauptgruppe (West Rand und Central Rand Gruppen) und der Transvaal Hauptgruppe (Black Reef Formation und Pretoria Gruppe) aus Untertage Bergbau-Bereichen sowie aus Bohrkernen genommen. Zur Charakterisierung der Tonschiefer kamen verschiedene Methoden zum Einsatz, darunter die Pulverdiffraktometrie (XRD), Durchlichtmikroskopie, Röntgenfluoreszenz (XRF), Optische Emissionsspektroskopie (ICP-OES), Laserablationsmassenspektrometrie (ICP-MS) und Elektronenstrahlmikrosonde (EMPA), sowie Bestimmung der Gold und Platingruppen-Elementkonzentrationen mittels Graphitrohr-AAS nach Voranreicherung mit der Nickelsulfid-Dokimasie. Die untersuchten Tonschiefer verhielten sich seit ihrer Ablagerung als größtenteils geschlossene Systeme. Nur entlang der Kontakte mit unter- und überlagernden grobkörnigeren Metasedimentgesteinen sowie entlang durchkreuzender Störungen, Quarzadern und Gängen konnte lokal nennenswerte Alteration festgestellt werden. Solche Zonen wurden explizit von der Provenienz-Analyse ausgenommen. Systematische Unterschiede in der primären chemischen Zusammensetzung einzelner Tonschiefer-Abfolgen belegen unterschiedliche Sedimentquellen. So wurde in der Barberton Hauptgruppe der Sedimenteintrag der Fig Tree-Gruppe von einer ultramafisch-mafischen Quelle dominiert, während in der Moodies-Gruppe felsische Quellen eine zunehmende Rolle spielten. In der Witwatersrand Hauptgruppe wurde eine Dominanz von Tonalit-Trondhjemit-Granodiorit sowie kalkalkaline Granite im Liefergebiet der West Rand Gruppe festgestellt, während in der Central Rand Gruppe anfänglich mafisch-ultramafische Gesteine im Sedimentliefergebiet vorherrschten, im Lauf der Zeit aber granitische Gesteine mehr und mehr durch Erosion im Hinterland freigelegt worden waren. Die Geochemie der Witwatersrand Tonschiefer unterstützt die Hypothese, dass die Sedimente der West Rand Gruppe an einem passiven Kontinentalrand abgelagert wurden, jene der Central Rand Gruppe in einem Vorlandbecken. Alle untersuchten archaischen Tonschiefer zeigen, verglichen mit dem Durchschnitt der oberen Erdkruste, deutlich erhöhte Gehalte an Gold und Platingruppenelementen, wobei die marinen Tonschiefer aus der Central Rand Gruppe mit durchschnittlich 9,85 ppm Au die höchsten Konzentrationen aufweisen. Die Gehalte an siderophilen Elementen in der palaeoproterozoischen Transvaal Hauptgruppe nähern sich hingegen typischen kontinentalen Krustenwerten an. Der verstärkte Eintrag von Au und PGE in die archaischen marinen tonigen Sedimente wird durch mechanische Koagulation und Aggregation erklärte, wobei feinstkörnige Goldpartikel im suspendierten Sediment weit ins Meer transportiert worden sind. Adsorption von Au aus Meerwasser an syn-sedimentärem Pyrit spielte auch eine Rolle, aber keine ausschlaggebende. Für die Quelle des Goldes und der Platingruppenelemente in den untersuchten Tonschiefern wurde folgendes genetisches Modell entwickelt. (1) Es wird angenommen, dass sich die Kaapvaal-Kruste aus einem Mantelreservoir differenzierte, welches an siderophilen Elementen angereichert war. Diese Anreicherung könnte entweder das Produkt eines nicht vollständig homogenisierten Eintrags kosmischen Materials sein, welches im Hadaikum oder im Paläoarchaikum durch intensives Meteoritenbombardement eingebracht wurde, oder durch den Aufstieg eines Manteldiapirs aus dem Bereich der Kern-Mantel-Grenze. (2) Tiefgründige Verwitterung unter anoxischen Bedingungen ermögliche die Freisetzung großer Mengen von Au, welches in gelöster Form über Oberflächenwässer in den archaischen Ozean transportiert wurde. Hinweise auf solch intensive Verwitterung liefern die geochemischen Daten der hier untersuchten Tonschiefern, insbesondere hohe chemische Alterationsindizes. Fixierung dieses Goldes durch verschiedene Oberflächenprozesse, wie Filterung aus archaischen/paläoproterozoischen Flüssen durch Photosynthese-betreibende Bakterienrasen führte vor allem im Mesoarchaikum in Zeiten der Sedimentation der Central Rand Gruppe zu lokal extremen Goldanreicherungen, die in der Folge durch Erosion und mechanischen Transport großteils weiter umgelagert wurden. Punkt 1 könnte eventuell die räumliche Nähe der weltweit größten bekannten Goldanomalie im Witwatersrand Becken und der größten PGE-Anomalie im Bushveld Komplex erklären. In wie weit die erhöhten Hintergrundkonzentrationen von Gold und Platingruppenelementen im Kaapvaal Kraton einzigartig sind, gilt es in zukünftigen Studien dieser Art auch an marinen Tonschiefern aus dem Archaikum in anderen Kratonen zu testen. KW - Gold KW - Gold KW - Platinmetalle KW - Tonschiefer KW - Kaapvaal Kraton KW - PGE KW - Shale KW - Kaapvaal Craton KW - Witwatersrand Supergroup KW - Barberton Supergroup KW - Transvaal Supergroup KW - Archean KW - Archaikum KW - Platingruppenmetalle Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-155326 ER - TY - THES A1 - Schlag, Stephanie T1 - Mikrobiologie, Klinik und Antibiotika-Therapie invasiver bakterieller Infektionen an der Würzburger Universitäts-Kinderklinik zwischen 2006 und 2012 T1 - Microbiology, clinical appearance and antibiotic therapy of invasive bacterial infections in children at the University Children's Hospital Würzburg (2006 - 2012) N2 - In einem Zeitraum von sieben Jahren untersuchten wir invasive bakterielle Infektionen bei Kindern durch die wichtigsten Erreger von Blutstrombahninfektionen an der Würzburger Universitäts-Kinderklinik. N2 - We analysed invasive bacterial infections in children caused by the most common and important pathogens of bloodstream infections in children over a 7-year-period. KW - Antibiotikum KW - Bakterielle Infektion KW - Kinderheilkunde KW - Kind KW - Würzburger Universitäts-Kinderklinik Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-156236 ER - TY - THES A1 - Schamel [geb. Geffers], Martha T1 - Novel dual setting approaches for mechanically reinforced mineral biocements T1 - Neue dualhärtende Ansätze für die mechanische Verstärkung von mineralischen Biozementen N2 - Calcium phosphate biocements are inherently brittle materials due to their ceramic nature. Hence, currently applied cement formulations are only indicated for non-load bearing application sites. An approach to reduce cement brittleness is based on the use of cement – polymer composites, which combine the flexibility of a polymeric phase with the hardness and compression strength of a cement matrix. Here, a relatively new strategy is the use of “dual-setting” cements, in which the polymeric phase is simultaneously build up from monomers or prepolymers during cement setting. This approach largely maintains basic properties of the fresh paste such as rheology or setting time. Previous works on such dual setting cements were dealing with a radical polymerization reaction to create the polymeric network. This type of reaction requires the addition of a suitable initiator system (e.g. a tertiary amine in conjunction with ammonium peroxosulfate), which are often cytotoxic and may interfere with the cement setting conditions. The current thesis dealt with alternative strategies, in which the cross-linking and gelation of the second (polymeric or inorganic) cement phase is initiated by the chemical conditions of the setting reaction such that no additional initiator has to be added to the cement paste. In a first approach a six armed star molecule functionalized with isocyanate groups as reactive termini (NCO–sP(EO-stat-PO)) was used to build up a hydrogel matrix, which was then subsequently mineralized with hydroxyapatite nanocrystals following the hydrolysis of incorporated -tricalcium phosphate particles. The stimulus to initiate hydrogel cross-linking are water molecules, which subsequently hydrolyzed isocyanate groups to amines, which then cross-linked with unreacted isocyanate to form urea-bonds. Here, it was possible to show the advantages features of a dual setting system in comparison to the simple combination of hydrogels with unreactive filler particles. By the formation of the cement matrix within the hydrogel a strength improvement by the factor of 30 could be observed. Furthermore, by applying a dual setting system higher mineral concentrations are realizable. The mechanical properties such as elasticity, compression strength and E-modulus of a composite with 30 wt% NCO–sP(EO-stat-PO) were found to be similar to the properties of cancellous bone. With the motivation to develop a dual setting and resorbable cement, a brushite (CaHPO4·2H2O) forming cement was modified with a second inorganic silica based precursor. The latter was obtained by pre-hydrolysing tetraethyl orthosilicate (TEOS) under acidic conditions. This silica precursor was mixed with a cement powder composed of ß-tricalcium phosphate and monocalcium phosphate, whereas cement setting occurred by a dissolution–precipitation process to form a matrix of brushite. Simultaneously, the increase of the pH during setting from initially 1-2 to values > 4 initiated the condensation reaction of the hydrolysed TEOS. This resulted in an interpenetrating phase composite material in which the micropores of the cement were filled with the nanoporous silica gel. This resulted in a higher density and a compressive strength of 24 MPa, which is approximately 5-10 times higher than the CPC reference at the same powder to liquid ratio. The microporous character of the composites also altered the release of vancomycin as a model drug, whereby in contrast to the quantitative release from the CPC reference, approx. 25 % of the immobilised drug remained in the composite matrix. It was also observed, that a variation of the TEOS content in the composite enabled a control over cement phase composition to form either brushite, anhydrous monetite or a biphasic mixture of both. Cytocompatibility tests revealed that composites with the highest silicate content showed an increased cell proliferation compared to the silica-free brushite reference. Proliferation was found to be similar to a hydroxyapatite reference with a significant higher activity per cell. Mechanistically, the improved biological response could not be attributed to the released silicate ions, but to a decreased release of phosphate and adsorption of magnesium ions from the cell culture medium. Finally, an investigated dual setting cement system was based on the combination of a brushite forming cement powder with an aqueous silk fibroin solution. Here, changes of both ion concentration and pH during cement setting were shown to build up an interpenetrating fibroin – brushite composite with combined properties of the elastic polymer and the rigid cement. Mechanistically, the low pH of the cement paste (2) as well as the free Ca2+ ions during setting resulted in a conformation change of the dissolved fibroin from random coil to ß-sheet structure. This leads to a rapid gelation and contraction of the fibroin phase with a self-densifying effect on the cement paste. The set composites showed typical ductile fracture behavior under dry testing conditions and a high elasticity under wet conditions with a mechanical strength nearly an order of magnitude higher than the fibroin free cement reference. Cell number and activity against MG63 cells were strongly increased on silk fibroin cement composite surfaces at later time points, which could be again attributed to a decreased ion release and adsorption compared to the fibroin free cements. This in turn slowed down the in vitro degradation of the CPC phase in such composites. N2 - Calciumphosphat-Knochenzemente sind auf Grund ihrer keramischen Struktur inhärent spröde Werkstoffe, weswegen sie gegenwärtig nur für nicht-kraftbelastete Anwendungsbereiche verwendet werden. Ein Ansatz zur Verringerung des spröden Verhaltens basiert auf der Verwendung von Zement – Polymer Kompositen, welche die Flexibilität der Polymerphase mit der hohen Härte und Druckfestigkeit des Zements vereinen. Eine relativ neue Strategie sind dabei sogenannte dual-härtende Zemente, in denen die Polymerphase aus Monomeren bzw. Präpolymeren simultan zur Abbindereaktion des Zements aufgebaut wird. Dieser Ansatz ist insofern vorteilhaft, als dass die grundlegenden Eigenschaften der Zementpaste, wie etwa deren Rheologie oder Abbindedauer, hierbei weitgehend erhalten bleiben. In frühere Arbeiten zu dual-härtenden Knochenzementen wurden die Monomere radikalisch vernetzt. Die dabei notwendigen Initiatorsysteme (z.B. tertiäres Amin und Ammoniumperoxosulfat) sind jedoch zytotoxisch und können zudem mit der Zementreaktion nachteilig interferieren. Die vorliegende Arbeit beschäftigt sich deshalb mit alternativen Lösungstrategien, bei denen die Vernetzung der sekundären (organischen oder anorganischen) Zementphase durch die Reaktionsbedingungen der Zementpaste initiiert wird, sodass kein zusätzlicher Initiator der Paste zugesetzt werden muss. In einem ersten Ansatz wurden Isocanat-modifizierte, sternförmige Präpolymere (NCO–sP(EO-stat-PO)) zum Aufbau der Hydrogelmatrix durch Hydrolyse von zugesetzten α-Tricalciumphosphat Partikeln schrittweise mit Hydroxylapatit Nanokristalliten mineralisiert. Die Vernetzung des Hydrogels in der Paste wurde durch Wasser stimuliert, wobei in einem zunächst Isocyanatgruppen zu Aminen hydrolysiert wurden, die anschließend mit weiterem Isocyanat zu Urethanbindungen reagierten. Hier konnte der Vorteil von dualhärtenden Systemen im Vergleich zu Hydrogelen, denen nichtreaktive Partikel untergemischt werden, gezeigt werden. Durch den Aufbau der Zementmatrix im Hydrogel ergab sich eine um den Faktor 30 erhöhte Festigkeit. Zusätzlich ermöglicht diese Vorgehensweise den Einsatz von erhöhten Mineralgehalten. Die mechanischen Eigenschaften der Komposite mit 30 Gew.% NCO–sP(EO-stat-PO) wie Elastizität, Druckfestigkeit und E-Modul waren dabei vergleichbar mit den Eigenschaften von spongiösem Knochen. Mit dem Ziel einen dualhärtenden, resorbierbaren Zement zu entwickeln, wurde ein Bruschit (CaHPO4·2H2O) bildender Zement mit einer zweiten anorganischen Matrix aus einem silikatischen Precursor modifiziert. Letzterer wurde durch Hydrolyse von Tetraethylorthosilikat (TEOS) unter sauren Bedingungen hergestellt. Das so erhaltene Silicasol wurde anschließend mit dem Zementpulver aus β-Tricalciumphosphat und primärem Calcium-bis-dihydrogenphosphat gemischt, wodurch die Zementreaktion zu Bruschit durch einen Lösungs – Fällungsmechanismus gestartet wurde. Der zeitgleich einsetzende Anstieg des pH-Werts von initial 1-2 auf Werte im Bereich von >4 führt dabei zur Kondensation des Silicasols. Resultat waren interpenetrierende Netzwerke, wobei die Mikroporen der Bruschitzementmatrix mit dem nanoporösem Silicagel gefüllt sind. Dadurch ergibt sich eine höhere Dichte der Zementmatrix und eine mit 24 MPa um den Faktor 5-10 höhere Druckfestigkeit der Komposite gegenüber der Referenz bei gleich bleibendem Pulver-Flüssigkeits-Verhältnis. Der nanoporöse Charakter des Komposites beeinflusst die Freisetzung von Vancomycin als Modellwirkstoff, wobei im Gegensatz zur silicafreien Referenz ca. 25% des Wirkstoffs in der Matrix verblieben. Die Variation des TEOS Gehalts ermöglichte zeitgleich die gezielte Beeinflussung der Zusammensetzung der mineralischen Zementphase mit Bildung von Bruschit, dessen Anhydrid Monetit oder Mischungen aus beiden Verbindungen. Zytokompatibilitätstests an den Kompositen zeigten, dass die höchsten Silicagehalte zu einer verbesserten Proliferation von Zellen auf den Oberflächen gegenüber der silicafreien Referenz führten. Das Zellwachstum war vergleichbar mit einer Referenz aus Hydroxylapatit, wobei deutlich höhere Aktivitäten pro Zelle gemessen wurden. Mechanistisch konnte die verbesserte Zytokompatibilität nicht der Freisetzung von Silikationen zugeordnet werden, vielmehr war eine verminderte Freisetzung von Phosphat und eine geringere Tendenz zur Adsorption von Magnesiumionen aus dem Zellkulturmedium der Grund. Ein abschließender Ansatz bestand aus der Kombination aus einem Bruschit-bildenden Zement und einer wässrigen Seidenfibroin-Lösung. Hier erfolgte der Aufbau der interpenetrierenden Bruschit – Fibroin Netzwerke über den sauren pH-Wert sowie den Anstieg der Ionenkonzentration im System durch die ablaufende Zementreaktion. Somit werden die Eigenschaften des elastischen Polymers und der festen Zementphase erfolgreich kombiniert. Mechanistisch führt dabei der initial saure pH Wert (2) und die während der Reaktion vorhandenen freien Ca2+ Ionen zu einer Konformationsänderung des gelösten Fibroins von eine Zufallsstruktur hin zur β-Faltblattstruktur. Dies führt zur schnellen Gelierung und Kontraktion der Fibroinphase, einhergehend mit einer Selbstverdichtung der gesamten Paste. Die abgebundenen Komposite zeigten typischerweise duktile Brucheigenschaften im trockenen Zustand und eine hohe Elastizität unter wässrigen Testbedingungen, wobei sich um eine Größenordnung höhere Festigkeiten gegenüber der fibroinfreien Referenz ergaben. Zellzahl und Aktivität von MG63 Zellen waren auf den Seidenfibroin-Zementkompositen bei späteren Messzeitpunkten deutlich erhöht, was ebenfalls auf eine geringere Ionenfreisetzung bzw. -adsorption aus dem Medium rückgeführt werden kann. Zeitgleich konnte hierdurch die in vitro Degradation der Zementphase in solchen Kompositen verringert werden. KW - Calciumphosphate KW - Knochenzement KW - mechanical reinforcement KW - dual setting system KW - ceramic polymer composite Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-154946 ER - TY - THES A1 - Hess, Christina T1 - Der Einfluss genetischer Varianten der Dopamin-β-Hydroxylase (DBH) und der neuronalen NO-Synthase (NOS1) auf die Persönlichkeit und affektive Störungen T1 - The influence of genetic variants of the dopamine beta-hydroxylase (DBH) gene and the neuronal nitric oxide synthase (NOS1) gene on personality and affective disorders N2 - An der Ausbildung der individuellen Persönlichkeitseigenschaften eines Menschen sowie an der Entstehung von Persönlichkeitsstörungen und anderen psychischen Erkrankungen sind sowohl genetische Faktoren als auch Umwelteinflüsse beteiligt. Mittels Assoziationsstudien kann man prüfen, ob zwischen einzelnen genetischen Varianten und Persönlichkeitsmerkmalen bzw. psychischen Störungen ein Zusammenhang besteht. Im Rahmen der vorliegenden Arbeit wurden funktionelle Polymorphismen in zwei Kandidatengenen, der Dopamin-β-Hydroxylase (DBH) und der neuronalen NO-Synthase (NOS1), im Hinblick auf eine Assoziation mit Persönlichkeitsvariablen und Persönlichkeitsstörungen untersucht. Diese Enzyme spielen eine wichtige Rolle im noradrenergen bzw. nitrinergen System, die beide an der Steuerung des Verhaltens entscheidend beteiligt sind. Des Weiteren wurde geprüft, ob der Polymorphismus im Promotorbereich des DBH-Gens mit affektiven Störungen assoziiert ist. Die Genotypisierung wurde bei 642 Probanden mit Persönlichkeitsstörungen und 182 Patienten mit affektiven Störungen durchgeführt; die Kontrollgruppen umfassten 387 Personen (DBH-Polymorphismus) bzw. 494 Personen (NOS1-Polymorphismen). Eine Assoziation des -1021C→T-Polymorphismus des DBH-Gens mit affektiven Störungen ließ sich nicht nachweisen, obwohl Vorbefunde einen Zusammenhang zwischen dem mit einer niedrigen Plasmaaktivität der Dopamin-β-Hydroxylase assoziierten T/T-Genotyp und affektiven Störungen nahegelegt hatten. Diese Assoziation findet sich jedoch möglicherweise nur bei Subgruppen affektiver Störungen wie z. B. Depressionen mit psychotischer Symptomatik. Eine hochsignifikante Assoziation zeigte sich zwischen dem T/T-Genotyp und dem Auftreten von zwei oder mehr Persönlichkeitsstörungen, so dass dieser Genotyp als Risikofaktor für die Entwicklung von Persönlichkeitsstörungen angesehen werden kann. Des Weiteren ist der T/T-Genotyp mit verschiedenen Subskalen von Neuroticism, Agreeableness und Novelty Seeking assoziiert, die sich auf impulsives, feindseliges und wenig zielgerichtetes Verhalten beziehen. Dies bestätigt die Ergebnisse früherer Studien, die einen Zusammenhang zwischen dem noradrenergen System und impulsiven Verhaltensweisen gezeigt haben. Zahlreiche Studien weisen auch auf eine Verbindung zwischen Veränderungen des NOS1-Gens und impulsivem, aggressivem Verhalten hin. Im Rahmen dieser Arbeit konnte eine Assoziation beider NOS1-Polymorphismen mit Cluster-B-Persönlichkeitsstörungen beobachtet werden, die Impulsivität als ein gemeinsames Merkmal aufweisen. Es fand sich jedoch keine Assoziation mit Persönlichkeitsdimensionen, die impulsives und aggressives Verhalten widerspiegeln. In einer Weiterführung der vorliegenden Studie mit größeren Probandenzahlen wurde erneut der Zusammenhang zwischen einem dieser NOS1-Polymorphismen, dem Exon-1f-VNTR, und Persönlichkeitsvariablen sowie dem durch gesteigerte Impulsivität gekennzeichneten Aufmerksamkeitsdefizit- und Hyperaktivitätssyndrom (ADHS) bei erwachsenen Patienten untersucht. In dieser Studie wurde in der Kontrollgruppe eine nur bei Frauen statistisch signifikante Assoziation des kurzen Allels mit niedrigen Conscientiousness-Werten, die als Anzeichen für ein hohes Maß an Impulsivität verstanden werden können, beobachtet. Auch eine Assoziation des kurzen Allels mit ADHS konnte nachgewiesen werden, was die Bedeutung dieses Polymorphismus bei der Entstehung impulsiver Verhaltensweisen weiter untermauert. Zur Aufdeckung der genetischen Grundlage von Persönlichkeitseigenschaften und psychischen Erkrankungen bedarf es der Identifizierung weiterer genetischer Risikovarianten und deren Untersuchung in großen Assoziationsstudien mit einer hohen Probandenzahl. Um den Zusammenhang zwischen genetischen Varianten und Persönlichkeit bzw. Verhalten zu erhellen, müssen zudem komplexe Interaktionen verschiedener Gene und der Einfluss von Umweltfaktoren einbezogen werden. N2 - Genetic factors and environmental influences contribute to human personality dimensions as well as to the development of personality disorders and other psychiatric diseases. Genetic association studies are used to test for a correlation between genetic variants and personality traits or psychiatric disorders. In this thesis, the association between functional polymorphisms in two candidate genes, the dopamine beta-hydroxylase gene (DBH) und the neuronal nitric oxide synthase gene (NOS1), and personality variables und personality disorders was investigated. These enzymes play an important role in the noradrenergic and nitrinergic system, respectively, which are both critically involved in the regulation of behaviour. Furthermore, we tested for an association between the promotor polymorphism in the DBH gene and affective disorders. Genotyping was performed on 642 subjects with personality disorders and 182 subjects with affective disorders; the control groups consisted of 387 individuals (DBH polymorphism) and 494 individuals (NOS1 polymorphisms), respectively. No association was observed between DBH -1021C→T genotype and affective disorders although previous findings had suggested a link between the T/T genotype (which is associated with lower dopamine beta-hydroxylase plasma activity) and affective disorders. However, this association may be limited to subgroups of affective disorders, e.g. unipolar psychotic depression. A highly significant association was detected between the T/T genotype and the co-occurrence of two or more personality disorders. Thus, this genotype can be regarded as a risk factor for the development of personality disorders. Furthermore, the T/T genotype is associated with various neuroticism, agreeableness and novelty seeking subscales related to impulsive, hostile and little goal-directed behaviour. This is in line with previous studies that showed a correlation between the noradrenergic system and impulsive behaviours. Numerous studies suggest a link between genetic variations in the NOS1 gene and impulsive, aggressive behaviour. In the present study, an association was detected between both NOS1 polymorphisms and Cluster B personality disorders which share the feature of impulsivity. However, no association was observed with personality dimensions reflecting impulsive and aggressive behaviour. A subsequent study with larger sample sizes investigated the correlation between one of the NOS1 polymorphisms, the Exon1f VNTR, and personality variables as well as adult attention-deficit/hyperactivity disorder (ADHD), a disorder characterized by increased impulsivity. In healthy controls, an association was detected between the short allele and low levels of conscientiousness which indicate a high degree of impulsivity; this effect was statistically significant only for women. The short allele was also associated with ADHD which underscores the significance of this polymorphism in the development of impulsive behaviours. Identification of further genetic risk variants and their investigation in association studies with large sample sizes is needed to unravel the genetic basis of personality traits und psychiatric diseases. Furthermore, complex interactions of different genes as well as the influence of environmental factors must be taken into account in order to elucidate the relationship between genetic variants and personality and behaviour. KW - Persönlichkeit KW - Impulsivität KW - Stickstoffmonoxid-Synthase KW - Polymorphismus KW - Dopamin-beta-Hydroxylase KW - affektive Störungen Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-155053 ER - TY - THES A1 - Nolte, Kim Christina T1 - Determinanten der selbstberichteten körperlichen Funktionsfähigkeit bei Patienten mit Koronarer Herzkrankheit T1 - Determinants of self-reported physical functioning in patients with coronary heart disease N2 - Diese Schrift befasst sich mit der Fragestellung, welche Determinanten einen signifikanten Zusammenhang mit der selbstberichteten körperlichen Funktionsfähigkeit der Probanden aufweisen. Es werden im Folgenden die Hintergründe und die Bedeutung der Koronaren Herzkrankheit mit Pathogenese, Klinik und Therapiemöglichkeiten aufgezeigt. Diese weltweit verbreitete Erkrankung führt seit Jahren die Statistik der häufigsten Todesursachen nicht nur in Deutschland an. Werden die Hauptrisikofaktoren Diabetes mellitus, Hypercholesterinämie, arterielle Hypertonie, Nikotinkonsum und Adipositas nicht beseitigt, können sich Arteriosklerose und eine Koronarinsuffizienz entwickeln, die schlimmstenfalls zum Myokardinfarkt oder Tod führen. Im weiteren Verlauf wird erläutert, warum nach den Studien EUROASPIRE I bis III noch eine weitere multizentrische Querschnittsstudie notwendig ist. Bei den vorangegangenen Studien hatte sich gezeigt, dass die Ziele zur Minimierung der Risikofaktoren im Alltag von KHK-Patienten noch nicht erreicht wurden, sondern es in der letzten Zeit vielmehr zu einem Anstieg von Risikopatienten gekommen war. Die EUROASPIRE IV Studie wurde daher zur Bewertung der Qualität der Sekundärprävention bei KHK-Patienten in der heutigen Zeit initiiert. Des Weiteren wird auf die Definition der selbstberichteten körperlichen Funktionsfähigkeit eingegangen, die in dieser Arbeit anhand des HeartQoL-Fragebogens bei KHK-Patienten untersucht wird. Dabei ist im Unterschied zu einer objektiven Beurteilung von Bedeutung, dass jeder Patient anhand seiner individuellen Lebensumstände seine eigene physische Verfassung einschätzt. Dass die körperliche Funktionsfähigkeit von KHK-Patienten tatsächlich eingeschränkt ist, wird anhand einer Auflistung von Studien belegt, die sich bereits mit diesem Thema auseinandergesetzt haben. In der vorliegenden Promotionsarbeit wurden die Determinanten der selbstberichteten körperlichen Funktionsfähigkeit von 528 Würzburger Teilnehmern der europaweit durchgeführten EUROASPIRE IV Studie anhand von verschiedenen Fragebögen ermittelt. Primärer Endpunkt war dabei die körperliche Skala des 14-teiligen HeartQoL-Fragebogens. Die Probanden wurden für die Analyse in Tertile eingeteilt, wobei diejenigen mit der größten selbstberichteten körperlichen Funktionsfähigkeit dem dritten Tertil zugeordnet wurden. In der Analyse der Basisvariablen des Kollektivs zeigte sich, dass unter den Probanden des dritten Tertils die Risikofaktoren Adipositas, Hypertension und Herzinsuffizienz seltener vertreten waren, als bei denen des ersten Tertils. Zudem wurde seltener über Angst und Depressionen berichtet. Bei der körperlichen Untersuchung wiesen die Probanden des dritten Tertils häufiger eine niedrige Herzfrequenz und einen geringeren Taillenumfang auf. Auch die Laborwerte wie niedriges HDL, hohe Triglyceride, ein hoher HbA1c, hohes NT-proBNP, niedriges Hämoglobin und hohe Serum-Insulinwerte traten in dieser Gruppe seltener auf. Medikamente wie Antikoagulantien, Diuretika und Insulin wurden nicht so häufig eingenommen wie bei den Probanden des ersten Tertils. Zudem bestand meist eine bessere Lungenfunktion. In die multiple Regressionsanalyse flossen nur die signifikanten Werte aus der Analyse der Basisvariablen des Kollektivs ein. Betrachtet man die Ergebnisse der multiplen Regressionsanalyse, fällt auf, dass die Angstvariable den größten Effekt auf die selbstberichtete körperliche Funktionsfähigkeit der Probanden hatte. Wie auch in der Literatur beschrieben, haben Angst und Depressionen einen stark negativen Einfluss auf die physische Funktion von KHK-Patienten. Als stark negative Prädiktoren der körperlichen Funktionsfähigkeit stellten sich in der Regressionsanalyse auch die Einnahme von Diuretika und ein hoher NT-proBNP-Wert heraus. Herzinsuffizienz-Patienten berichteten folglich häufiger über eine nachlassende physische Fitness. Bestanden eine gute Lungenfunktion und ein niedriger Serum-Insulinwert, wirkte sich dies positiv auf die Funktionsfähigkeit aus. Ein niedriger Hämoglobinwert oder das Vorhandensein von Depressionen hatten einen negativen Einfluss. Somit kann zusammenfassend festgehalten werden, dass Probanden, die weniger ängstlich waren und über eine durch apparative und laboratorisch objektivierte gesündere körperliche Verfassung verfügten, ihre körperliche Funktionsfähigkeit als höher einschätzten. In der Korrelationsanalyse wurde beleuchtet, welche der Variablen, die nach der Regressionsanalyse noch im Modell verblieben waren, sich für die Verdrängung der anderen Variablen verantwortlich zeigten. Dabei waren die Einnahme von Diuretika und der Wert für die Lungenfunktion FEV1 diejenigen Variablen, die für die Entfernung der meisten anderen Variablen aus dem Modell verantwortlich waren. Zudem wurde in der Korrelationsanalyse gezeigt, welche Variablen starke Zusammenhänge zeigten. Auf der einen Seite stellten sich die psychischen Komponenten wie Angst oder Depressionen als essentiell für die eigene Einschätzung der körperlichen Funktionsfähigkeit heraus. Zum anderen waren auch objektiv bestimmbare Parameter wie die Blutwerte NT-proBNP, Insulin und Hämoglobin und die Einnahme von Diuretika dafür entscheidend. Somit ist es von großer Bedeutung, bei der Therapie von Patienten mit Koronarer Herzkrankheit die Ängste und Stimmungslage zu berücksichtigen und eine möglicherweise vorhandene Depression in die Therapie mit einzubeziehen. Ferner ist es wichtig, diese Patienten ausführlich über ihre Krankheit mit den Risikofaktoren und möglichen Folgeschäden aufzuklären und sie zu einem gesunden, aktiven Lebensstil zu motivieren. N2 - This paper addresses the question of which determinants have a significant correlation with the self-reported physical functioning of the subjects. In the following the background and meaning of the coronary heart disease with pathogenesis, clinic and therapies are shown. This worldwide disease has been leading the statistics of the most frequent causes of death for many years not only in Germany. If the main risk factors diabetes mellitus, hypercholesterolemia, arterial hypertension, nicotine consumption and obesity are not resolved, atherosclerosis and coronary insufficiency may develop, leading in the worst case to myocardial infarction or death. In the further course it will be explained why, according to the EUROASPIRE I to III studies, a further multicenter cross-sectional study is necessary. The previous studies had shown that the goals of minimizing the risk factors in the everyday life of CHD patients had not yet been achieved, but that in recent years an increase in high-risk patients had occurred. The EUROASPIRE IV study was therefore initiated to assess the quality of secondary prevention in CHD patients today. Furthermore, the definition of self-reported physical functioning is discussed, which will be examined in this work using the HeartQoL questionnaire in CHD patients. In contrast to an objective assessment, it is important that every patient assesses their own physical condition based on their individual circumstances. The fact that the physical functioning of CHD patients is actually limited is illustrated by a list of studies that have already dealt with this topic. In the present dissertation, the determinants of self-reported physical functioning of 528 Würzburg participants in the Europe-wide EUROASPIRE IV study were determined on the basis of various questionnaires. The primary endpoint was the physical scale of the 14-part HeartQoL questionnaire. The subjects were divided into tertiles for analysis, with those with the largest self-reported physical functioning assigned to the third tertile. In the analysis of the basic variables of the collective it was shown that among the subjects of the third part the risk factors obesity, hypertension and heart failure were less frequently represented than those of the first part. In addition, less often reported on anxiety and depression. At the time of physical examination, subjects in the third part were more likely to have a lower heart rate and lower waist circumference. Laboratory data such as low HDL, high triglycerides, high HbA1c, high NT-proBNP, low hemoglobin, and high serum insulin levels were less common in this group. Medications such as anticoagulants, diuretics, and insulin have not been used as frequently as in the first-trimester subjects. In addition, there was usually a better lung function. In the multiple regression analysis only the significant values from the analysis of the basic variables of the collective were included. Looking at the results of the multiple regression analysis, it is noticeable that the anxiety variable had the greatest effect on the self-reported physical functioning of the subjects. As also described in the literature, anxiety and depression have a strong negative impact on the physical function of CHD patients. In the regression analysis, the intake of diuretics and a high NT-proBNP value also emerged as strongly negative predictors of physical functioning. Heart failure patients therefore reported a more frequent decline in physical fitness. If good lung function and low serum insulin value were present, this had a positive effect on functioning. Low hemoglobin or the presence of depression had a negative impact. Thus, it can be summarized that subjects who were less anxious and had a healthier physical condition objectified by apparatus and laboratory objectivity, assessed their physical functioning as higher. The correlation analysis shed light on which of the variables remaining in the model after the regression analysis were responsible for the displacement of the other variables. Diuretic ingestion and lung function value FEV1 were the variables responsible for removing most of the other variables from the model. In addition, the correlation analysis described which variables showed strong relationships. On the one hand, mental components such as anxiety or depression turned out to be essential for one's own assessment of physical functioning. On the other hand, objectively determinable parameters such as the blood values NT-proBNP, insulin and hemoglobin and the intake of diuretics were decisive. Thus, it is of great importance to take into account the fears and mood in the treatment of patients with coronary heart disease and to include a possibly existing depression in the therapy. It is also important to educate these patients in detail about their disease, the risk factors and to motivate them to a healthy, active lifestyle. KW - Koronare Herzkrankheit KW - Determinanten KW - selbstberichtet KW - Funktionsfähigkeit KW - self-reported KW - coronary heart disease Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-155687 ER - TY - JOUR A1 - Stein, Katharina A1 - Coulibaly, Drissa A1 - Stenchly, Kathrin A1 - Goetze, Dethardt A1 - Porembski, Stefan A1 - Lindner, André A1 - Konaté, Souleymane A1 - Linsenmair, Eduard K. T1 - Bee pollination increases yield quantity and quality of cash crops in Burkina Faso, West Africa JF - Scientific Reports N2 - Mutualistic biotic interactions as among flowering plants and their animal pollinators are a key component of biodiversity. Pollination, especially by insects, is a key element in ecosystem functioning, and hence constitutes an ecosystem service of global importance. Not only sexual reproduction of plants is ensured, but also yields are stabilized and genetic variability of crops is maintained, counteracting inbreeding depression and facilitating system resilience. While experiencing rapid environmental change, there is an increased demand for food and income security, especially in sub-Saharan communities, which are highly dependent on small scale agriculture. By combining exclusion experiments, pollinator surveys and field manipulations, this study for the first time quantifies the contribution of bee pollinators to smallholders’ production of the major cash crops, cotton and sesame, in Burkina Faso. Pollination by honeybees and wild bees significantly increased yield quantity and quality on average up to 62%, while exclusion of pollinators caused an average yield gap of 37% in cotton and 59% in sesame. Self-pollination revealed inbreeding depression effects on fruit set and low germination rates in the F1-generation. Our results highlight potential negative consequences of any pollinator decline, provoking risks to agriculture and compromising crop yields in sub-Saharan West Africa. KW - bees KW - pollination KW - Burkina Faso KW - cash crops KW - cotton KW - sesame Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-169914 VL - 7 IS - 17691 ER - TY - THES A1 - Mahdiani, Maryam T1 - Quantitative analysis of fatty acids, cholesterol and oxidation products thereof in human breast adipose tissues T1 - Die quantitative Analyse von Fettsäuren, Cholesterin und deren Oxidationsprodukte in menschlichem Brustfettgewebe N2 - The aim of the present work was to determine the breast adipose tissue composition regarding fatty acids, cholesterol and (aut)oxidation products of cholesterol in women without breast cancer and to identify associated variables. Thus the necessary methods were optimized and validated where required and the breast adipose tissues of women without breast cancer were collected and analyzed. The gas chromatography with flame ionization detection was optimized for detection and separation of 37 relevant fatty acids. Fifty breast adipose tissues were analyzed using the optimized method. 26 fatty acids were detected in breast adipose tissues. The median proportion of saturated (sum of 11 fatty acids), monounsaturated (sum of 5 fatty acids), polyunsaturated (sum of 9 fatty acids) and one trans fatty acid were 34.6%, 53.2%, 12.1% and 0.3% respectively. Moreover, absolute levels of pentadecanoic acid (median: 0.37 mg/g, range: 0.08 - 1.31 mg/g), elaidic acid (median: 0.50 mg/g, range: 0.09 - 1.92 mg/g), linolenic acid (median: 0.88 mg/g, range: 0.10 - 3.06 mg/g) and docosahexaenoic acid (median: 0.31 mg/g, range: 0.04 - 1.80 mg/g) were determined in breast adipose tissues for the first time. These four fatty acids are indicative for consumption of dairy products, processed fats, vegetable oils such as flax seed oil and fish respectively. Furthermore, for the investigation of cholesterol in breast adipose tissues a gas chromatography was optimized and validated. The accuracies of the method in three independent spiked samples with low, medium and high levels of cholesterol were 99.1 ± 10.1%, 87.0 ± 11.2%, and 103.4 ± 4.6% with precisions of 2.1, 2.1, and 0.8% respectively. Using external calibration with internal standard cholesterol was quantified in samples (median: 1.1 mg/g, range: 0.7 - 1.5 mg/g). In order to detect (aut)oxidation products of cholesterol, gas chromatography coupled triple quadrupole mass spectrometry was optimized and validated. The accuracy was between 81.6% and 115.7% and precisions for low, medium and high oxy-cholesterols levels were below 10.0%. The quantitative determination of (aut)oxidation products of cholesterol was established using external calibration with an internal standard. The most abundant oxy-cholesterol was 5,6β-Epoxy- (median: 147.2 ng/g, range: 25.7 – 624.2 ng/g), followed by 5,6α-Epoxy- (median: 34.6 ng/g, range: 9.9 – 124.7 ng/g), 7-Keto- (median: 19.1 ng/g, range: 7.9 – 220.6 ng/g), 7α-Hydroxy- (median: 10.2 ng/g, range: 3.8 – 111.3 ng/g) and 7β-Hydroxy-Cholesterol (median: 3.5 ng/g, range: 1.0 – 45.6 ng/g) respectively. Median oxy-cholesterol/cholesterol ratios ranged from 0.0001 (5,6β-Epoxy-Cholesterol) to 0.000003 (7β-Hydroxy-Cholesterol). Finally the associations between fatty acids, cholesterol and oxy-cholesterol were investigated using Spearman’s rank correlation. Absolute levels of elaidic acid were positively correlated with levels of linolenic and docosahexaenoic acid (R = 0.79, 0.68, p < 0.01). Absolute levels of linolenic acid were positively associated with levels of docosahexaenoic acid (R = 0.81, p < 0.01). Moreover, relative proportions of saturated fatty acids capric, myristic, palmitic and stearic acid were negatively correlated with oleic acid (R = -0.36, -0.71, -0.65, -0.39, p < 0.05). Tissue levels of cholesterol were not correlated with levels of 5,6α/β-Epoxy-Cholesterols but were negatively associated with that of 7α-Hydroxy-, 7β-Hydroxy- and 7-Keto-Cholesterol (R = -0.29, -0.32, -0.29 p = 0.04, 0.02, 0.04). Levels of 7-Keto- and 7-Hydoxy-Cholesterol were strongly correlated with each other (R = 0.81, 0.91, p < 0.01) and, weaker, with 5,6α/β-Epoxy-Cholesterols (R = 0.60-0.70, p < 0.01). 5,6α/β-Epoxy-Cholesterols were associated positively with each other (R = 0.90, P < 0.01). Total oxy-cholesterol, 7β-Hydroxy-Cholesterol, and 5,6β-Epoxy-Cholesterol levels were correlated with relative proportions of elaidic acid (R = 0.30, 0.30, and 0.31 respectively, p = 0.04, 0.03, 0.03, respectively), whereas no correlation was observed between levels of oxy-cholesterols and relative proportion of pentadecanoic acid, linolenic acid and docosahexaenoic acid. Furthermore, Spearman’s rank correlation was performed to investigate the relationship of fatty acids, cholesterol and oxy-cholesterol with age and body mass index. The relative proportions of total saturated fatty acids were negatively correlated with age (R = -0.47, p < 0.01) and body mass index (R = -0.29, p = 0.05). A positive significant correlation was observed between proportions of oleic acid and body mass index (R = 0.32, p = 0.02). There was no correlation between levels of cholesterol and body mass index or age. Likewise, no correlations of oxy-cholesterol levels with age or body mass index were observed. In sum, in this work the quantification methods of cholesterol and oxy-cholesterol were validated. The validation data met the criteria according to the FDA guideline. Using the validated methods the absolute levels of cholesterol and oxy-cholesterols were determined in breast adipose tissue of human females for the first time. N2 - Brust-Fettgewebe ist in der Entwicklung und Funktion der weiblichen Brust durch komplexe Interaktionen mit Stroma beteiligt. Allerdings gibt es nur wenige Informationen über die quantitative Lipid-Zusammensetzung in Brust-Fettgewebe in Hinblick auf Substanzen wie Fettsäuren, Cholesterin und (Aut)Oxidationsprodukt von Cholesterin. Fettsäuren spielen eine wichtige Rolle in der menschlichen Gesundheit. Einige Studien deuten darauf hin, dass spezifische Arten von ungesättigten Fettsäuren (wie Omega-6-Fettsäuren) an der Tumorentstehung beteiligt sein können und im Gegensatz dazu können Omega-3-Fettsäuren präventive Wirkungen haben. Weiterhin können (Aut)Oxidationsprodukte von Cholesterin wie 7α-Hydroxy-Cholesterin, 7β-Hydroxy-Cholesterin, 7-Keto-Cholesterin, 5,6α-Epoxy-Cholesterin und 5,6β-Epoxy-Cholesterin Entzündungsprozesse beeinflussen. Darüber hinaus gibt es in Brust-Fettgewebe von Frauen ohne Brustkrebs wenig Informationen über das Profil von Fettsäuren, und der absolute Gehalt an Fettsäuren, das charakteristisch beeinflusst werden durch den Verzehr von bestimmten Lebensmitteln, wie Milchprodukten (Pentadecansäure), künstlich modifizierten Fetten (Elaidinsäure), Pflanzenölen wie Leinsamenöl (Linolensäure) und Fisch (Docosahexaensäure), noch nicht bestimmt wurden. Außerdem wurden quantitative Profile von Oxy-Cholesterinen und Cholesterin in Brust-Fettgewebe noch nicht bestimmt. Weiterhin ist nicht bekannt, ob Fettsäuren, Oxy-Cholesterinen und Cholesterin zum einen miteinander und zum anderen mit physiologischen Parametern wie dem Alter oder dem Body-Mass-Index assoziiert sind. Daher war das Ziel der vorliegenden Arbeit, das Brust-Fettgewebe von Frauen ohne Brustkrebs, die sich aus rein Kosmetischen Gründen einer Brustverkleinerung (Reduktions-Mammaplastik) unterzogen haben, zu sammeln um die Zusammensetzung in Bezug auf Fettsäuren, Cholesterin und (Aut)Oxidationsprodukte von Cholesterin zu untersuchen und hierzu entsprechende Methoden zu optimieren und validieren. Anschließend sollte mit geeigneten statistischen Methoden geprüft werden, ob ein Zusammenhang zwischen Fettsäuren, Cholesterin und Oxy-Cholesterinen untereinander und mit physiologischen Faktoren wie dem Alter und dem Body-Mass-Index besteht. Für den Nachweis und die Trennung von 37 relevanten Fettsäuren wurde eine Methode mit gaschromatographischer Trennung und Flammenionisationsdetektion optimiert. Mit dieser optimierten Methode wurden 50 Brust-Fettgewebe analysiert. Der mittlere Fettsäureanteil (Median) von gesättigten (insgesamt 11 Fettsäuren), einfach ungesättigten (insgesamt 5 Fettsäuren), mehrfach ungesättigten Fettsäuren (insgesamt 9 Fettsäuren) und einer trans-Fettsäure lag bei 34,6%, 53,2%, 12,1% und 0,3%. Darüber hinaus wurde zum ersten Mal der absolute Gehalt von Pentadecansäure (Median: 0,37 mg/g, Bereich: 0,08 - 1,31 mg/g), Elaidinsäure (Median: 0,50 mg/g, Bereich: 0,09 - 1,92 mg/g), Linolensäure (Median: 0,88 mg/g, Bereich: 0,10 - 3,06 mg/g) und Docosahexaensäure (Median: 0,31 mg/g, Bereich: 0,04 - 1,81 mg/g) in Brust-Fettgeweben bestimmt. Pentadecansäure, Elaidinsäure, Linolensäure and Docosahexaensäure sind bezeichnend für den Verzehr von Milchprodukten, Künstlich modifizierte Fette, Pflanzenöle wie Leinsamenöl und Fische. Weiterhin wurde nach gaschromatographischer Trennung mit anschließender Flammenionisationsdetektion der absolute Gehalt an Cholesterin in Brust-Fettgewebe von Frauen bestimmt. Die gaschromatographische Trennung wurde optimiert und die Methode validiert. Die Richtigkeit der Bestimmung wurde in drei unabhängigen Proben für einen niedrigen, mittleren und hohen Cholesteringehalt bestimmt und lag bei 99,1 ± 10,1%, 87,0 ± 11,2% und 103,4 ± 4,6% mit der Präzision von 2,1, 2,1 bzw. 0,8%. Der absolute Gehalt an Cholesterin, der mit externer Kalibrierung mittels eines internen Standards bestimmt wurde, lag zwischen 0,7 und 1,5 mg/g (Median: 1,1 mg/g). Zur Erfassung von Oxy-Cholesterinen in den Brustfettgeweben wurde eine gaschromatographische Trennung mit anschließender Detektion mittels eines Triple-Quadrupol-Massenspektrometers im Multiple Reaction Monitoring Modus optimiert und validiert. Die Richtigkeiten der Bestimmung lagen zwischen 81,6% und 115,7% und die Präzision lagen unter 10,0%. Die quantitative Bestimmung von (Aut)Oxidationsprodukten von Cholesterin wurde mittels externer Kalibrierung mit internem Standard durchgeführt. Das am häufigsten vorkommende Oxy-Cholesterin war 5,6β-Epoxy (Median: 147,2 ng/g, Bereich: 25,7 – 624,2 ng/g), gefolgt von 5,6α-Epoxy (Median: 34,6 ng/g, Bereich: 9,9 – 124,7 ng/g), 7-Keto (Median: 19,1 ng/g, Bereich: 7,9 – 220,6 ng/g), 7α-Hydroxy (Median: 10,2 ng/g, Bereich: 3,8 – 111,3 ng/g) und 7β-Hydroxy (Median: 3,5 ng/g, Bereich: 1,0 – 45,6 ng/g). Der Median des Oxy-Cholesterin/Cholesterin-Verhältnisses reichte von 0,0001 (5,6β-Epoxy-Cholesterin) bis 0,000003 (7β-Hydroxy-Cholesterin). Schließlich wurden die Korrelation zwischen Fettsäuren, Cholesterin und Oxy-Cholesterinen mithilfe der Spearman-Korrelation untersucht. Die absolute Gehalte an Elaidinsäure korrelierte positiv mit den Gehalten an Linolensäure und Docosahexaensäure (R = 0,79, 0,68, p < 0,01). Die Gehalte an Linolensäure waren positiv mit denen von Docosahexaensäure assoziiert (R = 0,81, p < 0,01). Darüber hinaus korrelierten die relative Anteile an gesättigten Fettsäuren Caprin-, Myristin-, Palmitin- und Stearinsäure negativ mit denen von Ölsäure (R = -0,36, -0,71, -0,65, -0,39, p < 0,05). Die Gehalte an Cholesterin korrelierten nicht mit denen von 5,6α/β-Epoxy-Cholesterin und waren negativ assoziiert mit denen von 7α-Hydroxy-, 7β-Hydroxy- und 7-Keto-Cholesterin (R = -0,29, -0,32, -0,29, p = 0,04, 0,02, 0,04). Die Gehalte von 7-Keto- und 7-Hydoxy-Cholesterin korrelierten stark miteinander (R = 0,81, 0,91, p < 0,01) und eine schwächere Korrelation mit denen von 5,6α/β-Epoxy-Cholesterin (R = 0,60-0,70, p < 0,01) wurde beobachtet. 5,6α/β-Epoxy-Cholesterin waren positiv miteinander assoziiert (R = 0,90, P < 0,01). Der Gesamt-Oxy-Cholesteringehalt, 7β-Hydroxy-Cholesterin und 5,6β-Epoxy-Cholesterin korrelierten mit dem relativen Fettsäureanteil von Elaidinsäure (R = 0,30, 0,30 bzw. 0,31 p = 0,04, 0,03, 0,03). Dagegen wurde keine Korrelation zwischen den Gehalten von Oxy-cholesterinen und dem Anteil an Pentadecansäure, Linolensäure und Docosahexaensäure beobachtet. Darüber hinaus wurde die Spearman-Korrelation durchgeführt, um einen möglichen Zusammenhang von Fettsäuren, Cholesterin und Oxy-Cholesterinen mit dem Alter und dem Body-Mass-Index zu untersuchen. Die Fettsäureanteile der gesättigten Fettsäuren korrelierten negativ mit dem Alter (R = -0,47, p < 0,01) und dem Body-Mass-Index (R = -0,29, p = 0,05). Es wurde eine signifikant positive Korrelation zwischen dem Anteil an Ölsäure und dem Body-Mass-Index (R = 0,32, p = 0,02) beobachtet. Es gab keine Korrelation zwischen den Gehalten von Cholesterin und dem Body-Mass-Index oder dem Alter. Ebenso wurden keine Korrelationen von Oxy-Cholesterinen mit dem Alter oder Body-Mass-Index beobachtet. Zusammengefasst wurden die Quantifizierungsmethoden für Cholesterin und Oxy-Cholesterine validiert. Die Validierungsdaten entsprechen den Kriterien nach der FDA-Richtlinie. Mit den validierten Methoden wurden die absoluten Werte von Cholesterin und Oxy-Cholesterinen erstmals in Brust-Fettgewebe von Frauen bestimmt. KW - Lebensmittelchemie KW - cholesterol and oxy-cholesterol Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-156102 ER - TY - THES A1 - Simin, Dmitrij T1 - Quantum Sensing with Highly Coherent Spin Centers in Silicon Carbide T1 - Quantensensorik mit hochkohärenten Spinzentren in Siliciumcarbid N2 - In the present work, the energetic structure and coherence properties of the silicon vacancy point defect in the technologically important material silicon carbide are extensively studied by the optically detected magnetic resonance (ODMR) technique in order to verify its high potential for various quantum applications. In the spin vacancy, unique attributes are arising from the C3v symmetry and the spin-3/2 state, which are not fully described by the standard Hamiltonian of the uniaxial model. Therefore, an advanced Hamiltonian, describing well the appearing phenomena is established and the relevant parameters are experimentally determined. Utilizing these new accomplishments, several quantum metrology techniques are proposed. First, a vector magnetometry scheme, utilizing the appearance of four ODMR lines, allows for simultaneous detection of the magnetic field strength and the tilting angle of the magnetic field from the symmetry axis of the crystal. The second magnetometry protocol utilizes the appearance of energetic level anticrossings (LAC) in the ground state (GS) energy levels. Relying only on the change in photoluminescence in the vicinity of this GSLACs, this all-optical method does not require any radio waves and hence provides a much easier operation with less error sources as for the common magnetometry schemes utilizing quantum points. A similar all-optical method is applied for temperature sensing, utilizing the thermal shift of the zero field splitting and consequently the anticrossing in the excited state (ES). Since the GSLACs show no dependence on temperature, the all-optical magnetometry and thermometry (utilizing the ESLACs) can be conducted subsequently on the same defect. In order to quantify the achievable sensitivity of quantum metrology, as well as to prove the potential of the Si-vacancy in SiC for quantum processing, the coherence properties are investigated by the pulsed ODMR technique. The spin-lattice relaxation time T1 and the spin-spin relaxation time T2 are thoroughly analyzed for their dependence on the external magnetic field and temperature. For actual sensing implementations, it is crucial to obtain the best signal-to-noise ratio without loss in coherence time. Therefore, the irradiation process, by which the defects are created in the crystal, plays a decisive role in the device performance. In the present work, samples irradiated with electrons or neutrons with different fluences and energies, producing different defect densities, are analyzed in regard to their T1 and T2 times at room temperature. Last but not least, a scheme to substantially prolong the T2 coherence time by locking the spin polarization with the dynamic decoupling Carr-Purcell-Meiboom-Gill (CPMG) pulse sequence is applied. N2 - In der vorliegenden Arbeit werden die energetische Struktur und die Kohärenzeigenschaften der Silizium Fehlstelle in dem technologisch relevanten Material Siliciumcarbid mit Hilfe der optisch detektierten Magnetresonanz (ODMR) Technik extensiv analysiert, um ihr außerordentliches Potential für verschiedene quanten-mechanische Anwendungen zu untermauern. Aus der C3v Symmetrie und dem 3/2 Spinsystem des Defekts entstehen einzigartige Attribute, die nur teilweise durch den Standard Hamiltonoperator des Modells einer einachsigen Symmetrie wahrheitsgemäß beschrieben werden. Aus diesem Grund wird ein weiterentwickelter Hamiltonoperator aufgestellt, welcher die auftretenden Eigenschaften genau wiedergibt. Aus experimentellen Messungen werden anschließend seine Parameter bestimmt. Das nun vorliegende genaue Verständnis der auftretenden Phänomene wird dazu genutzt, diverse Methoden zur Quantensensorik auszuarbeiten. Zuerst wird ein Schema für Vektormagnetometrie aufgestellt, welches sich das Auftreten von vier ODMR Linien zunutze macht. Die Methode ermöglicht simultane Detektion, sowohl von der Magnetfeldstärke, als auch von dem Winkel zwischen der Magnetfeldrichtung und der Symmetrieachse des Kristalls. Das zweite Magnetometrie protokoll nutzt das Auftreten von energetischen anticrossings (level anticrossing, LAC) im Grundzustand (ground state, GS). Durch das Verfolgen der Änderung der Photolumineszenz in der Nähe dieser GSLACs, braucht diese rein optische Technik keine Radiowellen und ist dementsprechend viel leichter umzusetzen und bietet weniger Fehlerquellen als die üblichen Magnetometriemethoden an Quantenpunkten. Eine ähnliche, rein optische Methode wird auch für Temperaturmessungen vorgestellt, welche auf der thermisch induzierten Verschiebung der Nullfeldaufspaltung und somit auch der anticrossings im angeregten Zustand (excited state, ES) basiert. Da die GSLACS keine Temperaturabhängigkeit zeigen, können die rein optischen Methoden zur Magnetfeld- und Temperaturmessung nacheinander am selben Defekt erfolgen. Um die erreichbare Sensitivität der Quantenmetrologie zu quantifizieren und auch um das Potential der Si-Vakanzen für Quantencomputing zu demonstrieren, werden die Kohärenzeigenschaften mit Hilfe der gepulsten ODMR Technik analysiert. So werden die Spin-Gitter Relaxationszeit T1 und die Spin-Spin Relaxationszeit T2 eingehend analysiert und deren Abhängigkeit von einem externen Magnetfeld und der Temperatur aufgestellt. Für tatsächliche Implementierung in einem Sensor, ist es entscheidend ein Optimum zwischen dem Signal-Rausch-Verhältnis und der Kohärenzlänge zu etablieren. Deswegen spielt die Kristallbestrahlung, durch die die Defekte erzeugt werden, eine wichtige Rolle für die Leistungsfähigkeit des Endgerätes. In der vorliegenden Arbeit werden unterschiedlich bestrahlte Proben, nämlich einmal mit Elektronen und einmal mit Neutronen unterschiedlicher Energie und mit unterschiedlichen Bestrahlungsdosen, analysiert. Anschließend wird eine Methode zur substantiellen Verlängerung der T2 Kohärenzzeit durch das locking der Spinpolarisation mit der Carr-Purcell-Meiboom-Gill (CPMG) Pulssequenz durchgeführt. KW - Siliciumcarbid KW - ODMR-Spektroskopie KW - Gitterbaufehler KW - silicon vacancy KW - pulsed ODMR KW - quantum metrology KW - quantum sensing KW - Siliciumvakanz KW - Silicium Fehlstelle KW - Quantensensorik KW - Feldstärkemessung Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-156199 ER - TY - THES A1 - Hegmann, Jan T1 - Lichtstreuende Sol-Gel-Schichten für die Si- Dünnschichtphotovoltaik T1 - Light scattering Sol-Gel thin films fo Si thin film solar cells N2 - Ziel dieser Arbeit war es, ein Schichtsystem auf Basis des Sol-Gel-Prozesses zu entwickeln, um Lighttrapping in Si-Dünnschichtsolarzellen zu erzeugen. Die Grundlage dieses Schichtsystems bilden SiO2-Partikel, die über den Stöber-Prozess hergestellt werden. Es zeigte sich, dass sich die Rauheit und der Haze der Schichten über die Partikelgröße und Schichtdicke einstellen lassen. Um die mechanische Stabilität der reinen Stöber-Schichten zu verbessern, kamen verschiedene Binder zum Einsatz. Beste Ergebnisse zeigten Binder basierend auf löslichen Vorstufenpulvern, da diese dem Stöber-Sol beigemischt werden konnten und so Binder und Partikel gleichzeitig aufgebracht werden konnten. Auf diese Weise entstehen mechanisch stabile, lichtstreuende Schichten. Zum Einsatz kam zunächst ein TiO2-Binder. Durch eine anschließende Glättung der Stöber-TiO2-Streuschichten mit SiO2 entsteht eine defektfreie, aber dennoch raue Oberfläche. Zusätzlich wird ein beträchtlicher Teil des Lichts in große Winkel gestreut. Es konnte gezeigt werden, dass sich auf den SiO2-geglätteten Stöber-TiO2-Streuschichten ZnO:Al deponieren lässt, wobei die elektrischen Eigenschaften von der Dicke der Glättung abhängen. Auch die elektrischen Eigenschaften der Si-Dünnschichtsolarzellen hängen von der Glättung bzw. der Dicke der Glättung ab. Dies gilt insbesondere für die von der Materialqualität abhängigen Parameter Füllfaktor FF und offen Klemmenspannung VOC. Insgesamt fallen die Parameter jedoch noch gegenüber Referenzzellen auf geätztem Frontkontakt zurück. Vor allem aber wurde die hohe Zellreflexion aufgrund der Glas-TiO2-Grenzfläche als primäres Problem identifiziert. Dennoch konnte bei einer Glättungsdicke von 200 nm sehr gutes Lighttrapping beobachtet werden. Verantwortlich hierfür ist sehr wahrscheinlich die Großwinkelstreuung der Stöber-TiO2-Streuschichten. Um die Zellreflexion zu verringern, wurde der Brechungsindex des Binders und der Glättungsschichten an den Stack aus Substrat, Streuschicht und ZnO:Al-Schicht angepasst. Idee war es, durch Einbringen eines Al2O3-Vorstufenpulvers eine niedrigbrechende Komponente bereitzustellen, um durch Mischung von Al2O3- und TiO2-Vorstufenpulver freie Hand über den Brechungsindex des Binders und der Glättung zu erhalten. Da sich das Volumenverhältnis von SiO2-Partikeln zu Binder bei verschiedenen Al2O3-TiO2-Verhältnissen nur schwer bestimmen lässt, wurde lediglich ein reiner Al2O3-Binder in den Streuschichten eingesetzt. Die Einstellung des Brechungsindex beschränkte sich allein auf die Glättungsschichten. Um Stöber-Al2O3-Streuschichten mit hoher Rauigkeit und geringen Defekten zu erzielen, muss das Binder-zu-Partikel-Verhältnis angepasst werden. Beste Ergebnisse ergaben sich bei einem Al2O3-Gehalt von 2% im Sol. Aufgrund der hohen Rauigkeit besitzen die Streuschichten einen hohen Haze und wegen des geringen Brechungsunterschied zwischen Glas und Binder eine hohe Transmission. Die Glättung der Streuschichten im Al2O3-TiO2-System ist nur mit Hilfe einer zusätzlichen SiO2-Glättungsschicht und einer reduzierten Dicke auf 50 nm möglich. Auf den reinen defektreichen Streuschichten tendieren die Al2O3-TiO2-Schichten selbst zu Rissbildung. Zur Untersuchung der ZnO:Al-Deposition wurde eine Glättungsdicke von 200 nm gewählt. Die erwies sich als zu gering. Die aufgebrachten ZnO:Al-Schichten wiesen größere Poren und kleinere Oberflächendefekte auf. Die Anpassung des Brechungsindex der Glättungsschichten an die ZnO:Al-Schicht erwies sich nicht als vorteilhaft. Die reine Al2O3-Glättung zeigt auch nach der ZnO:Al-Deposition die höchste Transmission. Die Winkelverteilung des Streulichts der Stöber-Al2O3-Streuschichten ist gegenüber den Stöber-TiO2-Streuschichten zu kleineren Winkeln verschoben. Dennoch wird ein größerer Anteil des Lichts in große Winkel gestreut, als es bei der geätzten ZnO:Al-Referenz der Fall ist. Trotz der Defekte in den ZnO:Al-Schichten konnten auf den Stöber-Al2O3-Streuschichten funktionierende Tandemzellen hergestellt werden. Der Füllfaktor und die offene Klemmenspannung fallen nur geringfügig hinter die der Referenzzelle zurück. In der Kurzschlussstromdichte machen sich die verringerte Zellreflexion und das sehr gute Lighttrapping bemerkbar, so dass das Niveau der Referenz erreicht werden konnte. Zu beachten ist allerdings, dass gerade im langwelligen Lighttrapping-Spektralbereich die gleiche EQE erreicht wurde, trotz immer noch leicht erhöhter Zellreflexion. Die letzte Versuchsreihe konnte zeigen, dass die entwickelten Schichten sich sehr gut zur Erzeugung von Lighttrapping in Si-Dünnschichtsolarzellen eignen. N2 - The aim of this thesis was to develop a coating system based on the sol-gel process to generate light trapping in Si thin film solar cells. The foundation of this coating system are SiO2 particles which are produced by the Stöber process. The roughness and the haze of the layers can be adjusted by means of the particle size and layer thickness. To improve the mechanical stability of the pure Stöber layers different binders were used. The best results were found in binders based on soluble precursor powders, as they could be mixed with the Stöber sol so that binders and particles could be applied simultaneously. This results in mechanically stable, light-scattering layers. Initially, a TiO2 binder was used. A subsequent smoothing of the Stöber-TiO2 scattering layers with SiO2 results in a defect-free but nevertheless rough surface. In addition, a considerable part of the light is scattered in large angles. It was shown that ZnO: Al can be deposited on the SiO2 -smoothed Stöber-TiO2 scattering layers, the electrical properties depending on the thickness of the smoothing. The electrical properties of the Si thin-film solar cells also depend on the smoothing or the thickness of the smoothing. This is especially true for the material quality dependent parameters fillfactor FF and open circuit voltage Voc. Overall, however, the parameters still fall short of reference cells on etched front contact. Most importantly, the high cell reflectance was identified as the primary problem due to the glass-TiO2 interface. Nevertheless, very good light trapping could be observed with a smoothing thickness of 200 nm. This is most likely due to the large-angle scattering of the Stöber-TiO2 scattering layers. In order to reduce the cell reflection, attempts have been made to adapt the refractive index of the binder and the smoothing layers to the stack of substrate, scattering layer and ZnO:Al. The idea was to provide a low refractive component by adding an Al2O3 precursor powder in order to obtain full control on the refractive index of the binder and the smoothing by mixing Al2O3 and TiO2 precursor powders. Since the volume ratio of SiO2 particles to binders is difficult to determine at different Al2O3-TiO2 ratios , only a pure Al2O3 binder was used in the scattering layers. The adjustment of the refractive index was limited solely to the smoothing layers. To achieve Stöber-Al2O3 scattering layers with high roughness and low defects, the binder-to-particle ratio must be adjusted. The best results were obtained with an Al2O3 content of 2% in the sol. Due to the high roughness, the scattering layers have a high Haze and a high transmission because of the small difference in refraction index between glass and binder. The smoothing of the scattering layers in the Al2O3-TiO2 system is only possible with the aid of an additional SiO2 smoothing layer and a reduced thickness to 50 nm . On the pure defect-rich scatttering layers, the Al2O3 -TiO2 layers themselves tend to crack. To investigate the ZnO:Al deposition, a smoothing thickness of 200 nm was chosen. That turned out to be too low . The applied ZnO:Al layers had larger pores and smaller surface defects. The adjustment of the refractive index of the smoothing layers to the ZnO:Al layer did not prove to be advantageous. The pure Al2O3 smoothing shows the highest transmission even after the ZnO:Al deposition. The angular distribution of the scattered light of the Stöber-Al2O3 scattering layers is shifted towards smaller angles than the Stöber-TiO2 scattering layers. Nevertheless, a larger fraction of the light is scattered into large angles than is the case with the etched ZnO:Al reference. Despite the defects in the ZnO:Al layers , functional tandem cells could be prepared on the Stöber- Al2O3 scattering layers. The fill factor and the open circuit voltage fall only slightly behind those of the reference cell. The short-circuit current density, the reduced cell reflection and the very good light trapping are noticeable, so that the level of the reference could be reached. It should be noted, however, that the same EQE was achieved in the long-wavelength light trapping spectral range, despite the still slightly increased cell reflection. The last series of experiments showed that the developed layers are very well suited for the generation of light trapping in Si thin-film solar cells. KW - Dünnschichtphotovoltaik KW - Dünnschichtsolarzelle KW - Fotovoltaik KW - Lichtstreuung KW - Sol-Gel Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-155815 ER - TY - THES A1 - Kuen, Janina T1 - Influence of 3D tumor cell/fibroblast co-culture on monocyte differentiation and tumor progression in pancreatic cancer T1 - Einfluss von 3D Tumorzell/Fibroblasten Ko-kulturen auf die Monozyten Differenzierung und das Tumorwachstum bei Bauchspeicheldrüsenkrebs N2 - Pancreatic cancer (PC) remains one of the most challenging solid tumors to treat with a high unmet medical need as patients poorly respond to standard-of-care-therapies. Prominent desmoplastic reaction involving cancer-associated fibroblasts (CAFs) and the immune cells in the tumor microenvironment (TME) and their cross-talk play a significant role in tumor immune escape and progression. To identify the key cellular mechanisms induce an immunosuppressive tumor microenvironment, we established 3D co-culture model with pancreatic cancer cells, CAFs, monocyte as well as T cells. Using this model, we analysed the influence of tumor cells and fibroblasts on monocytes and their immune suppressive phenotype. Phenotypic characterization of the monocytes after 3D co-culture with tumor/fibroblast spheroids was performed by analysing the expression of defined cell surface markers and soluble factors. Functionality of these monocytes and their ability to influence T cell phenotype and proliferation was investigated. 3D co-culture of monocytes with pancreatic cancer cells and fibroblasts induced the production of immunosuppressive cytokines which are known to promote polarization of M2 like macrophages and myeloid derived suppressive cells (MDSCs). These co-culture spheroid polarized monocyte derived macrophages (MDMs) were poorly differentiated and had an M2 phenotype. The immunosuppressive function of these co-culture spheroids polarized MDMs was demonstrated by their ability to inhibit autologous CD4+ and CD8+ T cell activation and proliferation in vitro, which we could partially reverse by 3D co-culture spheroid treatment with therapeutic molecules that are able to re-activate spheroid polarized MDMs or block immune suppressive factors such as Arginase-I. In conclusion, we generated a physiologically relevant 3D co-culture model, which can be used as a promising tool to study complex cell-cell interactions between different cell types within the tumor microenvironment and to support drug screening and development. In future, research focused on better understanding of resistance mechanisms to existing cancer immunotherapies will help to develop new therapeutic strategies in order to combat cancer. N2 - Bei Bauchspeicheldrüsenkrebs handelt es sich um eine maligne Tumorerkrankung, deren Behandlung Ärzte noch immer vor große Herausforderungen stellen und die zur dritthäufigsten krebsbedingten Todesursache der westlichen Welt zählt. Desmoplastische Reaktionen im Tumorgewebe sind hierbei ein besonderes Merkmal dieser Erkrankung. Dabei spielen tumor-assoziierte Fibroblasten sowie unterschiedliche Zellen des Immunsystems und deren Interaktionen eine essentielle Rolle hinsichtlich Tumorwachstum und der Herunterregulation des Immunsystems. Um zelluläre Mechanismen, die ein immunsuppressives Tumormilieu induzieren, zu identifizieren, entwickelten wir ein 3D Ko-Kultur Modell mit Bauchspeicheldrüsenkrebszellen, tumor-assoziierten Fibroblasten sowie Monozyten und T-Zellen. Mit Hilfe dieses Modells konnten wir den Einfluss von Tumorzellen und Fibroblasten auf den Phänotyp und das Verhalten von Monozyten untersuchen. Dazu wurden Monozyten in einer 3D Tumorzell/Fibroblasten Ko-Kultur kultiviert und differenziert, um anschließend die Expression definierter Zelloberflächenmarker und löslicher Faktoren zu analysieren. Des Weiteren wurde das Verhalten dieser 3D Ko-Kultur differenzierten myeloiden Zellpopulation sowie ihre Fähigkeit den Phänotyp von T Zellen und deren Proliferation zu beeinflussen untersucht. Die 3D Ko-Kultur der Monozyten zusammen mit den Tumorzellen und den Fibroblasten führten zur Produktion immunsuppressiver Zytokine und Chemokine, wodurch die Differenzierung der Monozyten in M2-ähnliche Makrophagen induziert wurde. Diese durch die 3D Tumorzell/Fibroblasten Sphäroide polarisierten aus Monozyten herangereiften M2-ähnlichen Makrophagen besaßen außerdem immunsuppressive funktionelle Eigenschaften, indem sie in der Lage waren, die Aktivierung und Proliferation von autologen CD4+ und CD8+ T Zellen in vitro zu inhibieren. Die Suppression sowohl der CD4+ als auch der CD8+ T Zellen konnte durch die Behandlung therapeutischer Moleküle, die die Re-Aktivierung der immunsuppressiven 3D Sphäroid polarisierten Makrophagen stimulierten oder suppressive Faktoren wie Arginase-I blockierten, wieder aufgehoben und die T Zell Proliferation teilweise wiederhergestellt werden. Unser etabliertes 3D Ko-Kultur System repräsentiert ein vielversprechendes physiologisch relevantes Modell, welches genutzt werden kann, um Zell-Zell Interaktion und Kommunikation im Tumormilieu zu untersuchen und dadurch die Wirkung von Medikamenten zu verbessern. Ein gezieltes besseres Verständnis von Tumorresistenz Mechanismen gegen bereits bestehende Immun Therapien fördert die Entwicklung neuer therapeutischer Ansätze zur Bekämpfung von Krebs. KW - monocyte KW - pancreatic cancer KW - 3D cell culture KW - monocyte differentiation KW - Bauchspeicheldrüsenkrebs KW - fibroblasts KW - TAMs KW - 3D Ko-kulture KW - Monozytendifferenzierung KW - Fibroblasten Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-156226 ER - TY - THES A1 - Büntemeyer, Tjark-Ole T1 - Wertigkeit der Leberresektion bei Metastasen des Nebennierenkarzinoms - Analyse anhand des Deutschen Nebennierenkarzinom-Registers T1 - Role of Liverresection in adrenocortical carcinoma liver metastases N2 - Patienten mit einem hepatisch metastasierten Nebennierenkarzinom und ohne Hinweise auf extrahepatische Tumormanifestationen profitieren von einer Operation im Hinblick auf das Gesamtüberleben. Dies gilt sowohl für synchron- als auch für metachron metastasierte Patienten. N2 - Liver resection in case of ACC liver metastases can achieve long term survival, but disease free survival is short despite metastasectomy. Time to recurrence is a predictive factor for the outcome. KW - Nebenniere KW - Leberresektion KW - Nebennierenkarzinom Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-155743 ER - TY - THES A1 - Leimbach, Andreas T1 - Genomics of pathogenic and commensal \(Escherichia\) \(coli\) T1 - Genomik pathogener und kommensaler \(Escherichia\) \(coli\) N2 - High-throughput sequencing (HTS) has revolutionized bacterial genomics. Its unparalleled sensitivity has opened the door to analyzing bacterial evolution and population genomics, dispersion of mobile genetic elements (MGEs), and within-host adaptation of pathogens, such as Escherichia coli. One of the defining characteristics of intestinal pathogenic E. coli (IPEC) pathotypes is a specific repertoire of virulence factors (VFs). Many of these IPEC VFs are used as typing markers in public health laboratories to monitor outbreaks and guide treatment options. Instead, extraintestinal pathogenic E. coli (ExPEC) isolates are genotypically diverse and harbor a varied set of VFs -- the majority of which also function as fitness factors (FFs) for gastrointestinal colonization. The aim of this thesis was the genomic characterization of pathogenic and commensal E. coli with respect to their virulence- and antibiotic resistance-associated gene content as well as phylogenetic background. In order to conduct the comparative analyses, I created a database of E. coli VFs, ecoli_VF_collection, with a focus on ExPEC virulence-associated proteins (Leimbach, 2016b). Furthermore, I wrote a suite of scripts and pipelines, bac-genomics-scripts, that are useful for bacterial genomics (Leimbach, 2016a). This compilation includes tools for assembly and annotation as well as comparative genomics analyses, like multi-locus sequence typing (MLST), assignment of Clusters of Orthologous Groups (COG) categories, searching for protein homologs, detection of genomic regions of difference (RODs), and calculating pan-genome-wide association statistics. Using these tools we were able to determine the prevalence of 18 autotransporters (ATs) in a large, phylogenetically heterogeneous strain panel and demonstrate that many AT proteins are not associated with E. coli pathotypes. According to multivariate analyses and statistics the distribution of AT variants is instead significantly dependent on phylogenetic lineages. As a consequence, ATs are not suitable to serve as pathotype markers (Zude et al., 2014). During the German Shiga toxin-producing E. coli (STEC) outbreak in 2011, the largest to date, we were one of the teams capable of analyzing the genomic features of two isolates. Based on MLST and detection of orthologous proteins to known E. coli reference genomes the close phylogenetic relationship and overall genome similarity to enteroaggregative E. coli (EAEC) 55989 was revealed. In particular, we identified VFs of both STEC and EAEC pathotypes, most importantly the prophage-encoded Shiga toxin (Stx) and the pAA-type plasmid harboring aggregative adherence fimbriae. As a result, we could show that the epidemic was caused by an unusual hybrid pathotype of the O104:H4 serotype. Moreover, we detected the basis of the antibiotic multi-resistant phenotype on an extended-spectrum beta-lactamase (ESBL) plasmid through comparisons to reference plasmids. With this information we proposed an evolutionary horizontal gene transfer (HGT) model for the possible emergence of the pathogen (Brzuszkiewicz et al., 2011). Similarly to ExPEC, E. coli isolates of bovine mastitis are genotypically and phenotypically highly diverse and many studies struggled to determine a positive association of putative VFs. Instead the general E. coli pathogen-associated molecular pattern (PAMP), lipopolysaccharide (LPS), is implicated as a deciding factor for intramammary inflammation. Nevertheless, a mammary pathogenic E. coli (MPEC) pathotype was proposed presumably encompassing strains more adapted to elicit bovine mastitis with virulence traits differentiating them from commensals. We sequenced eight E. coli isolates from udder serous exudate and six fecal commensals (Leimbach et al., 2016). Two mastitis isolate genomes were closed to a finished-grade quality (Leimbach et al., 2015). The genomic sequence of mastitis-associated E. coli (MAEC) strain 1303 was used to elucidate the biosynthesis gene cluster of its O70 LPS O-antigen. We analyzed the phylogenetic genealogy of our strain panel plus eleven bovine-associated E. coli reference strains and found that commensal or MAEC could not be unambiguously allocated to specific phylogroups within a core genome tree of reference E. coli. A thorough gene content analysis could not identify functional convergence of either commensal or MAEC, instead both have only very few gene families enriched in either pathotype. Most importantly, gene content and ecoli_VF_collection analyses showed that no virulence determinants are significantly associated with MAEC in comparison to bovine fecal commensals, disproving the MPEC hypothesis. The genetic repertoire of bovine-associated E. coli, again, is dominated by phylogenetic background. This is also mostly the case for large virulence-associated E. coli gene cluster previously associated with mastitis. Correspondingly, MAEC are facultative and opportunistic pathogens recruited from the bovine commensal gastrointestinal microbiota (Leimbach et al., 2017). Thus, E. coli mastitis should be prevented rather than treated, as antibiotics and vaccines have not proven effective. Although traditional E. coli pathotypes serve a purpose for diagnostics and treatment, it is clear that the current typing system is an oversimplification of E. coli's genomic plasticity. Whole genome sequencing (WGS) revealed many nuances of pathogenic E. coli, including emerging hybrid or heteropathogenic pathotypes. Diagnostic and public health microbiology need to embrace the future by implementing HTS techniques to target patient care and infection control more efficiently. N2 - Eines der definierenden Charakteristika intestinal pathogener E. coli (IPEC) Pathotypen ist ein spezifisches Repertoire an Virulenzfaktoren (VFs). Viele dieser IPEC VFs werden als Typisierungsmarker benutzt. Stattdessen sind Isolate extraintestinal pathogener E. coli (ExPEC) genotypisch vielfältig und beherbergen verschiedenartige VF Sets, welche in der Mehrheit auch als Fitnessfaktoren (FFs) für die gastrointestinale Kolonialisierung fungieren. Das Ziel dieser Dissertation war die genomische Charakterisierung pathogener und kommensaler E. coli in Bezug auf ihren Virulenz- und Antibiotikaresistenz-assoziierten Gengehalt sowie ihre phylogenetische Abstammung. Als Voraussetzung für die vergleichenden Analysen erstellte ich eine E. coli VF-Datenbank, ecoli_VF_collection, mit Fokus auf Virulenz-assoziierte Proteine von ExPEC (Leimbach, 2016b). Darüber hinaus programmierte ich mehrere Skripte und Pipelines zur Anwendung in der bakteriellen Genomik, bac-genomics-scripts (Leimbach, 2016a). Diese Sammlung beinhaltet Tools zur Unterstützung von Assemblierung und Annotation sowie komparativer Genomanalysen, wie Multilokus-Sequenztypisierung (MLST), Zuweisung von Clusters of Orthologous Groups (COG) Kategorien, Suche nach homologen Proteinen, Identifizierung von genomisch unterschiedlichen Regionen (RODs) und Berechnung Pan-genomweiter Assoziationsstatistiken. Mithilfe dieser Tools konnten wir die Prävalenz von 18 Autotransportern (ATs) in einer großen, phylogenetisch heterogenen Stammsammlung bestimmen und nachweisen, dass viele AT-Proteine nicht mit E. coli Pathotypen assoziiert sind. Multivariate Analysen und Statistik legten offen, dass die Verteilung von AT-Varianten vielmehr signifikant von phylogenetischen Abstammungslinien abhängt. Deshalb sind ATs nicht als Marker für Pathotypen geeignet (Zude et al., 2014). Während des bislang größten Ausbruchs von Shiga-Toxin-produzierenden E. coli (STEC) im Jahre 2011 in Deutschland waren wir eines der Teams, welches die genomischen Eigenschaften zweier Isolate analysieren konnte. Basierend auf MLST und Detektion orthologer Proteine zu bekannten E. coli Referenzgenomen konnte ihre enge phylogenetische Verwandschaft und Ähnlichkeit des gesamten Genoms zum enteroaggregativen E. coli (EAEC) 55989 aufgedeckt werden. Im Detail identifizierten wir VFs von STEC und EAEC Pathotypen, vor allem das Prophagen-kodierte Shiga-Toxin (Stx) und ein Plasmid des pAA-Typs kodierend für aggregative Adhärenz-Fimbrien. Die Epidemie wurde demnach durch einen ungewöhnlichen Hybrid-Pathotyp vom O104:H4 Serotyp verursacht. Zusätzlich identifizierten wir die Grundlage für den multiresistenten Phänotyp dieser Ausbruchsstämme auf einem Extended-Spektrum-beta-Laktamase (ESBL) Plasmid über Vergleiche mit Referenzplasmiden. Mit diesen Informationen konnten wir ein horizontales Gentransfer-Modell (HGT) zum Auftreten dieses Pathogenen vorschlagen (Brzuszkiewicz et al., 2011). Ähnlich zu ExPEC sind E. coli Isolate boviner Mastitiden genotypisch und phänotypisch sehr divers, und viele Studien scheiterten am Versuch eine positive Assoziation vermeintlicher VFs nachzuweisen. Stattdessen gilt Lipopolysaccharid (LPS) als entscheidender Faktor zur intramammären Entzündung. Gleichwohl wurde ein mammärer pathogener E. coli (MPEC) Pathotyp vorgeschlagen, der mutmaßlich Stämme umfasst, welche eher geeignet sind eine bovine Mastitis auszulösen und über Virulenz-Merkmale von Kommensalen abgegrenzt werden können. Wir sequenzierten acht E. coli Isolate aus serösem Eutersekret und sechs fäkale Kommensale (Leimbach et al., 2016). Bei zwei Mastitisisolaten wurden die Genome vollständig geschlossen (Leimbach et al., 2015). Anhand der genomischen Sequenz des Mastitis-assoziierten E. coli (MAEC) Stamms 1303 wurde das Gencluster zur Biosynthese seines O70 LPS O-Antigens aufgeklärt. Wir analysierten die phylogenetische Abstammung unserer Stammsammlung plus elf bovin-assoziierter E. coli Referenzstämme, aber konnten weder MAEC noch Kommensale bestimmten Phylogruppen innerhalb eines Core-Genom Stammbaums aus Referenz-E. coli eindeutig zuordnen. Eine ausführliche Gengehalt-Analyse konnte keine funktionelle Konvergenz innerhalb von Kommensalen oder MAEC identifizieren. Stattdessen besitzen beide nur sehr wenige Genfamilien, die bevorzugt in einer der beiden Pathotypen vorkommen. Weder eine Gengehalt- noch eine ecoli_VF_collection-Analyse konnte zeigen, dass eine signifikante Assoziation von bestimmten Virulenzfaktoren mit MAEC, im Vergleich zu bovinen fäkalen Kommensalen, besteht. Damit wurde die MPEC Hypothese widerlegt. Auch das genetische Repertoire von Rinder-assoziierten E. coli wird durch die phylogenetische Abstammung bestimmt. Dies ist überwiegend auch bei großen Virulenz-assoziierten Genclustern der Fall, die bisher mit Mastitis in Verbindung gebracht wurden. Dementsprechend sind MAEC fakultative und opportunistische Pathogene, die ihren Ursprung als Kommensale in der bovinen gastrointestinalen Mikrobiota haben (Leimbach et al., 2017). Obwohl traditionelle E. coli Pathotypen in der Diagnostik und Behandlung einen Zweck erfüllen, ist es offensichtlich, dass das derzeitige Typisierungs-System die genomische Plastizität von E. coli zu sehr vereinfacht. Die Gesamtgenom-Sequenzierung (WGS) deckte viele Nuancen pathogener E. coli auf, einschließlich entstehender hybrider oder heteropathogener Pathotypen. Diagnostische und medizinische Mikrobiologie müssen einen Schritt in Richtung Zukunft gehen und HTS-Technologien anwenden, um Patientenversorgung und Infektionskontrolle effizienter zu unterstützen. KW - Escherichia coli KW - Autotransporter KW - STEC KW - Bovine Mastitis KW - high-throughput sequencing KW - virulence factors KW - pathotypes KW - phylogeny KW - ecoli_VF_collection KW - bac-genomics-scripts KW - autotransporter KW - entero-aggregative-haemorrhagic Escherichia coli (EAHEC) KW - mastitis-associated Escherichia coli (MAEC) Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-154539 ER - TY - JOUR A1 - Oehler, Beatrice A1 - Kistner, Katrin A1 - Martin, Corinna A1 - Schiller, Jürgen A1 - Mayer, Rafaela A1 - Mohammadi, Milad A1 - Sauer, Reine-Solange A1 - Filipovic, Milos R. A1 - Nieto, Francisco R. A1 - Kloka, Jan A1 - Pflücke, Diana A1 - Hill, Kerstin A1 - Schaefer, Michael A1 - Malcangio, Marzia A1 - Reeh, Peter W. A1 - Brack, Alexander A1 - Blum, Robert A1 - Rittner, Heike L. T1 - Inflammatory pain control by blocking oxidized phospholipid-mediated TRP channel activation JF - Scientific Reports N2 - Phospholipids occurring in cell membranes and lipoproteins are converted into oxidized phospholipids (OxPL) by oxidative stress promoting atherosclerotic plaque formation. Here, OxPL were characterized as novel targets in acute and chronic inflammatory pain. Oxidized 1-palmitoyl-2-arachidonoyl-sn-glycero-3-phosphocholine (OxPAPC) and its derivatives were identified in inflamed tissue by mass spectrometry and binding assays. They elicited calcium influx, hyperalgesia and induced pro-nociceptive peptide release. Genetic, pharmacological and mass spectrometric evidence in vivo as well as in vitro confirmed the role of transient receptor potential channels (TRPA1 and TRPV1) as OxPAPC targets. Treatment with the monoclonal antibody E06 or with apolipoprotein A-I mimetic peptide D-4F, capturing OxPAPC in atherosclerosis, prevented inflammatory hyperalgesia, and in vitro TRPA1 activation. Administration of D-4F or E06 to rats profoundly ameliorated mechanical hyperalgesia and inflammation in collagen-induced arthritis. These data reveal a clinically relevant role for OxPAPC in inflammation offering therapy for acute and chronic inflammatory pain treatment by scavenging OxPAPC. KW - chronic pain KW - ion channels in the nervous system KW - molecular medicine KW - pain Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-158536 VL - 7 IS - 5447 ER - TY - JOUR A1 - Wallmann-Sperlich, Birgit A1 - Bipp, Tanja A1 - Bucksch, Jens A1 - Froboese, Ingo T1 - Who uses height-adjustable desks? - Sociodemographic, health-related, and psycho-social variables of regular users JF - International Journal of Behavioral Nutrition and Physical Activity N2 - Background: Sit-to-stand height-adjustable desks (HAD) may promote workplace standing, as long as workers use them on a regular basis. The aim of this study was to investigate (i) how common HAD in German desk-based workers are, and how frequently HADs are used, (ii) to identify sociodemographic, health-related, and psycho-social variables of workday sitting including having a HAD, and (iii) to analyse sociodemographic, health-related, and psycho-social variables of users and non-users of HADs. Methods: A cross-sectional sample of 680 participants (51.9% men; 41.0 ± 13.1 years) in a desk-based occupation was interviewed by telephone about their occupational sitting and standing proportions, having and usage of a HAD, and answered questions concerning psycho-social variables of occupational sitting. The proportion of workday sitting was calculated for participants having an HAD (n = 108) and not-having an HAD (n = 573), as well as for regular users of HAD (n = 54), and irregular/non-users of HAD (n = 54). Linear regressions were conducted to calculate associations between socio-demographic, health-related, psychosocial variables and having/not having an HAD, and the proportion of workday sitting. Logistic regressions were executed to examine the association of mentioned variables and participants’ usage of HADs. Results: Sixteen percent report that they have an HAD, and 50% of these report regular use of HAD. Having an HAD is not a correlate of the proportion of workday sitting. Further analysis restricted to participants having available a HAD highlights that only the ‘perceived advantages of sitting less’ was significantly associated with HAD use in the fully adjusted model (OR 1.75 [1.09; 2.81], p < 0.05). Conclusions: The present findings indicate that accompanying behavioral action while providing an HAD is promising to increase the regular usage of HAD. Hence, future research needs to address the specificity of behavioral actions in order to enhance regular HAD use, and needs to give more fundamental insights into these associations. KW - cross-sectional KW - office-workers KW - desk-based KW - height-adjustable desk KW - occupational sitting and physical activity questionnaire KW - sitting time KW - correlates KW - natural approach Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-157888 VL - 14 IS - 26 ER - TY - JOUR A1 - Scheiner, Ricarda A1 - Entler, Brian V. A1 - Barron, Andrew B. A1 - Scholl, Christina A1 - Thamm, Markus T1 - The Effects of Fat Body Tyramine Level on Gustatory Responsiveness of Honeybees (Apis mellifera) Differ between Behavioral Castes JF - Frontiers in Systems Neuroscience N2 - Division of labor is a hallmark of social insects. In the honeybee (Apis mellifera) each sterile female worker performs a series of social tasks. The most drastic changes in behavior occur when a nurse bee, who takes care of the brood and the queen in the hive, transitions to foraging behavior. Foragers provision the colony with pollen, nectar or water. Nurse bees and foragers differ in numerous behaviors, including responsiveness to gustatory stimuli. Differences in gustatory responsiveness, in turn, might be involved in regulating division of labor through differential sensory response thresholds. Biogenic amines are important modulators of behavior. Tyramine and octopamine have been shown to increase gustatory responsiveness in honeybees when injected into the thorax, thereby possibly triggering social organization. So far, most of the experiments investigating the role of amines on gustatory responsiveness have focused on the brain. The potential role of the fat body in regulating sensory responsiveness and division of labor has large been neglected. We here investigated the role of the fat body in modulating gustatory responsiveness through tyramine signaling in different social roles of honeybees. We quantified levels of tyramine, tyramine receptor gene expression and the effect of elevating fat body tyramine titers on gustatory responsiveness in both nurse bees and foragers. Our data suggest that elevating the tyramine titer in the fat body pharmacologically increases gustatory responsiveness in foragers, but not in nurse bees. This differential effect of tyramine on gustatory responsiveness correlates with a higher natural gustatory responsiveness of foragers, with a higher tyramine receptor (Amtar1) mRNA expression in fat bodies of foragers and with lower baseline tyramine titers in fat bodies of foragers compared to those of nurse bees. We suggest that differential tyramine signaling in the fat body has an important role in the plasticity of division of labor through changing gustatory responsiveness. KW - behavior KW - biogenic amines KW - division of labor KW - nurse bee KW - forager KW - PER KW - octopamine KW - insect Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-157874 VL - 11 IS - 55 ER - TY - JOUR A1 - Lamaze, Angelique A1 - Öztürk-Çolak, Arzu A1 - Fischer, Robin A1 - Peschel, Nicolai A1 - Koh, Kyunghee A1 - Jepson, James E. C. T1 - Regulation of sleep plasticity by a thermo-sensitive circuit in Drosophila JF - Scientific Reports N2 - Sleep is a highly conserved and essential behaviour in many species, including the fruit fly Drosophila melanogaster. In the wild, sensory signalling encoding environmental information must be integrated with sleep drive to ensure that sleep is not initiated during detrimental conditions. However, the molecular and circuit mechanisms by which sleep timing is modulated by the environment are unclear. Here we introduce a novel behavioural paradigm to study this issue. We show that in male fruit flies, onset of the daytime siesta is delayed by ambient temperatures above 29°C. We term this effect Prolonged Morning Wakefulness (PMW). We show that signalling through the TrpA1 thermo-sensor is required for PMW, and that TrpA1 specifically impacts siesta onset, but not night sleep onset, in response to elevated temperatures. We identify two critical TrpA1-expressing circuits and show that both contact DN1p clock neurons, the output of which is also required for PMW. Finally, we identify the circadian blue-light photoreceptor CRYPTOCHROME as a molecular regulator of PMW, and propose a model in which the Drosophila nervous system integrates information encoding temperature, light, and time to dynamically control when sleep is initiated. Our results provide a platform to investigate how environmental inputs co-ordinately regulate sleep plasticity. KW - Circadian rhythms and sleep KW - Genetics KW - Drosophila melanogaster Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-181146 VL - 7 ER - TY - JOUR A1 - Ruppert, Manuela A1 - Franz, Mirjam A1 - Saratis, Anastasios A1 - Escarcena, Laura Velo A1 - Hendrich, Oliver A1 - Gooi, Li Ming A1 - Schwenkert, Isabell A1 - Klebes, Ansgar A1 - Scholz, Henrike T1 - Hangover links nuclear RNA signaling to cAMP regulation via the phosphodiesterase 4d ortholog dunce JF - Cell Reports N2 - The hangover gene defines a cellular stress pathway that is required for rapid ethanol tolerance in Drosophila melanogaster. To understand how cellular stress changes neuronal function, we analyzed Hangover function on a cellular and neuronal level. We provide evidence that Hangover acts as a nuclear RNA binding protein and we identified the phosphodiesterase 4d ortholog dunce as a target RNA. We generated a transcript-specific dunce mutant that is impaired not only in ethanol tolerance but also in the cellular stress response. At the neuronal level, Dunce and Hangover are required in the same neuron pair to regulate experience-dependent motor output. Within these neurons, two cyclic AMP (cAMP)-dependent mechanisms balance the degree of tolerance. The balance is achieved by feedback regulation of Hangover and dunce transcript levels. This study provides insight into how nuclear Hangover/RNA signaling is linked to the cytoplasmic regulation of cAMP levels and results in neuronal adaptation and behavioral changes. KW - biology KW - hangover KW - dunce KW - Dunce isoforms KW - PDE4d KW - cellular stress KW - alcohol tolerance KW - Drosophila melanogaster Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-171950 VL - 18 IS - 2 ER - TY - JOUR A1 - Ewald, Jan A1 - Bartl, Martin A1 - Dandekar, Thomas A1 - Kaleta, Christoph T1 - Optimality principles reveal a complex interplay of intermediate toxicity and kinetic efficiency in the regulation of prokaryotic metabolism JF - PLOS Computational Biology N2 - A precise and rapid adjustment of fluxes through metabolic pathways is crucial for organisms to prevail in changing environmental conditions. Based on this reasoning, many guiding principles that govern the evolution of metabolic networks and their regulation have been uncovered. To this end, methods from dynamic optimization are ideally suited since they allow to uncover optimality principles behind the regulation of metabolic networks. We used dynamic optimization to investigate the influence of toxic intermediates in connection with the efficiency of enzymes on the regulation of a linear metabolic pathway. Our results predict that transcriptional regulation favors the control of highly efficient enzymes with less toxic upstream intermediates to reduce accumulation of toxic downstream intermediates. We show that the derived optimality principles hold by the analysis of the interplay between intermediate toxicity and pathway regulation in the metabolic pathways of over 5000 sequenced prokaryotes. Moreover, using the lipopolysaccharide biosynthesis in Escherichia coli as an example, we show how knowledge about the relation of regulation, kinetic efficiency and intermediate toxicity can be used to identify drug targets, which control endogenous toxic metabolites and prevent microbial growth. Beyond prokaryotes, we discuss the potential of our findings for the development of antifungal drugs. KW - Enzyme regulation KW - Toxicity KW - Metabolic pathways KW - Enzymes KW - Transcriptional control KW - Enzyme kinetics KW - Enzyme metabolism KW - Predictive toxicology Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-180870 VL - 13 IS - 2 ER - TY - JOUR A1 - Van Steenbergen, Anne A1 - Balteau, Magali A1 - Ginion, Audrey A1 - Ferté, Laura A1 - Battault, Sylvain A1 - de Meester de Ravenstein, Christophe A1 - Balligand, Jean-Luc A1 - Daskalopoulos, Evangelos-Panagiotis A1 - Gilon, Patrick A1 - Despa, Florin A1 - Despa, Sanda A1 - Vanoverschelde, Jean-Louis A1 - Horman, Sandrine A1 - Koepsell, Hermann A1 - Berry, Gerard A1 - Hue, Louis A1 - Bertrand, Luc A1 - Beauloye, Christophe T1 - Sodium-myoinositol cotransporter-1, SMIT1, mediates the production of reactive oxygen species induced by hyperglycemia in the heart JF - Scientific Reports N2 - Hyperglycemia (HG) stimulates the production of reactive oxygen species in the heart through activation of NADPH oxidase 2 (NOX2). This production is independent of glucose metabolism but requires sodium/glucose cotransporters (SGLT). Seven SGLT isoforms (SGLT1 to 6 and sodium-myoinositol cotransporter-1, SMIT1) are known, although their expression and function in the heart remain elusive. We investigated these 7 isoforms and found that only SGLT1 and SMIT1 were expressed in mouse, rat and human hearts. In cardiomyocytes, galactose (transported through SGLT1) did not activate NOX2. Accordingly, SGLT1 deficiency did not prevent HG-induced NOX2 activation, ruling it out in the cellular response to HG. In contrast, myo-inositol (transported through SMIT1) reproduced the toxic effects of HG. SMIT1 overexpression exacerbated glucotoxicity and sensitized cardiomyocytes to HG, whereas its deletion prevented HG-induced NOX2 activation. In conclusion, our results show that heart SMIT1 senses HG and triggers NOX2 activation. This could participate in the redox signaling in hyperglycemic heart and contribute to the pathophysiology of diabetic cardiomyopathy. KW - hyperglycemia KW - Sodium-myoinositol cotransporter-1 (SMIT1) KW - glucose metabolism KW - heart KW - NADPH oxidase 2 (NOX2) KW - sodium/glucose cotransporters (SGLT) KW - cardiomyocytes Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-180891 VL - 7 ER - TY - JOUR A1 - Adrián-Martínez, S. A1 - Albert, A. A1 - André, M. A1 - Anghinolfi, M. A1 - Anton, G. A1 - Ardid, M. A1 - Aubert, J.-J. A1 - Baret, B. A1 - Barrios-Marti, J. A1 - Basa, S. A1 - Bertin, V. A1 - Biagi, S. A1 - Bormuth, R. A1 - Bouwhuis, M.C. A1 - Bruijn, R. A1 - Brunner, J. A1 - Buto, J. A1 - Capone, A. A1 - Caramete, L. A1 - Carr, J. A1 - Chiarusi, T. A1 - Circella, M. A1 - Coniglione, R. A1 - Costantini, H. A1 - Coyle, P. A1 - Creusot, A. A1 - Dekeyser, I. A1 - Deschamps, A. A1 - De Bonis, G. A1 - Distefano, C. T1 - Stacked search for time shifted high energy neutrinos from gamma ray bursts with the ANTARES neutrino telescope JF - European Physical Journal C N2 - A search for high-energy neutrino emission correlated with gamma-ray bursts outside the electromagnetic prompt-emission time window is presented. Using a stacking approach of the time delays between reported gamma-ray burst alerts and spatially coincident muon-neutrino signatures, data from the Antares neutrino telescope recorded between 2007 and 2012 are analysed. One year of public data from the IceCube detector between 2008 and 2009 have been also investigated. The respective timing profiles are scanned for statistically significant accumulations within 40 days of the Gamma Ray Burst, as expected from Lorentz Invariance Violation effects and some astrophysical models. No significant excess over the expected accidental coincidence rate could be found in either of the two data sets. The average strength of the neutrino signal is found to be fainter than one detectable neutrino signal per hundred gamma-ray bursts in the Antares data at 90% confidence level. KW - Search window KW - Neutrino data KW - Neutrino telescope KW - Neutrino emission KW - Accidental coincidence KW - Gamma-ray bursts Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-181251 VL - 77 IS - 1 ER - TY - JOUR A1 - Shiban, Youssef A1 - Diemer, Julia A1 - Müller, Jana A1 - Brütting-Schick, Johanna A1 - Pauli, Paul A1 - Mühlberger, Andreas T1 - Diaphragmatic breathing during virtual reality exposure therapy for aviophobia: functional coping strategy or avoidance behavior? A pilot study JF - BMC Psychiatry N2 - Background: Although there is solid evidence for the efficacy of in vivo and virtual reality (VR) exposure therapy for a specific phobia, there is a significant debate over whether techniques promoting distraction or relaxation have impairing or enhancing effects on treatment outcome. In the present pilot study, we investigated the effect of diaphragmatic breathing (DB) as a relaxation technique during VR exposure treatment. Method: Twenty-nine patients with aviophobia were randomly assigned to VR exposure treatment either with or without diaphragmatic breathing (six cycles per minute). Subjective fear ratings, heart rate and skin conductance were assessed as indicators of fear during both the exposure and the test session one week later. Results: The group that experienced VR exposure combined with diaphragmatic breathing showed a higher tendency to effectively overcome the fear of flying. Psychophysiological measures of fear decreased and self-efficacy increased in both groups with no significant difference between the groups. Conclusions: Our findings indicate that diaphragmatic breathing during VR exposure does not interfere with the treatment outcome and may even enhance treatment effects of VR exposure therapy for aviophobic patients. KW - Virtual reality KW - Exposure therapy KW - Diaphragmatic breathing KW - Aviophobia KW - Experimental study Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-181007 VL - 17 ER - TY - THES A1 - Kuger, Fabian T1 - Signal Formation Processes in Micromegas Detectors and Quality Control for large size Detector Construction for the ATLAS New Small Wheel T1 - Signal Entstehungsprozesse in Micromegas Detektoren und Qualitätskontrolle für die Konstruktion großflächiger Detektoren für das ATLAS New Small Wheel N2 - The Micromegas technology is one of the most successful modern gaseous detector concepts and widely utilized in nuclear and particle physics experiments. Twenty years of R & D rendered the technology sufficiently mature to be selected as precision tracking detector for the New Small Wheel (NSW) upgrade of the ATLAS Muon spectrometer. This will be the first large scale application of Micromegas in one of the major LHC experiments. However, many of the fundamental microscopic processes in these gaseous detectors are still not fully understood and studies on several detector aspects, like the micromesh geometry, have never been addressed systematically. The studies on signal formation in Micromegas, presented in the first part of this thesis, focuses on the microscopic signal electron loss mechanisms and the amplification processes in electron gas interaction. Based on a detailed model of detector parameter dependencies, these processes are scrutinized in an iterating comparison between exper- imental results, theory prediction of the macroscopic observables and process simulation on the microscopic level. Utilizing the specialized detectors developed in the scope of this thesis as well as refined simulation algorithms, an unprecedented level of accuracy in the description of the microscopic processes is reached, deepening the understanding of the fundamental process in gaseous detectors. The second part is dedicated to the challenges arising with the large scale Micro- megas production for the ATLAS NSW. A selection of technological choices, partially influenced or determined by the herein presented studies, are discussed alongside a final report on two production related tasks addressing the detectors’ core components: For the industrial production of resistive anode PCBs a detailed quality control (QC) and quality assurance (QA) scheme as well as the therefore required testing tools have been developed. In parallel the study on micromesh parameter optimization and production feasibility resulted in the selection of the proposed mesh by the NSW community and its full scale industrial manufacturing. The successful completion of both tasks were im- portant milestones towards the construction of large size Micromegas detectors clearing the path for NSW series production. N2 - Die Micromegas Technologie zählt zu den erfolgreichsten Konzepten moderner Gas- detektoren und findet Anwendung in zahlreichen Experimenten der Kern- und Teil- chenphysik. Nach zwanzig Jahren Weiterentwicklung wurde die Micromegas Technologie für hinreichend ausgereift befunden, um als Präzisionsspurdetektor in den New Small Wheels (NSW) des ATLAS Myon Spektrometers verwendet zu werden. Dies stellt den ersten großflächigen Einsatz der Micromegas Technologie in einem LHC Experiment dar. Dennoch blieben einige der grundlegenden Prozesse in Gasdetektoren nach wie vor unzureichend verstanden und ausgewählte Detektoraspekte, wie die Geometrie der Mikrogitter, wurden bisher kaum systematisch untersucht. Die im ersten Teil dieser Doktorarbeit präsentierten Studien zu Signalenstehungspro- zessen in Micromegas richten sich daher auf die mikroskopischen Mechanismen zum Elek- tronenverlust und die Verstärkungsprozesse in Elektron-Gas-Wechselwirkungen. Diese Prozesse werden auf Basis eines Modells ihrer Abhängigkeiten von den Detektorpara- metern untersucht, wobei stets der Vergleich zwischen experimentell gemessenen Daten, theoretischen Vorhersagen dieser makroskopischen Größen und der Simulation von Pro- zessen auf mikroskopischer Ebene gezogen wird. In Verbindung mit den im Rahmen die- ser Arbeit entwickelten Detektoren und verbesserten Simulationsalgorithmen lieferten diese iterativen Vergleichsstudien ein vertieftes Verständnis der fundamentalen Prozesse in gasgefüllten Detektoren. Der zweite Teil widmet sich den mit der Konstruktion der großflächigen ATLAS NSW Micromegas Detektoren einhergehenden Herausforderungen und diskutiert Entscheidun- gen bezüglich ausgewählter Technologieoptionen, die teilweise substantiell durch diese Arbeit beeinflusst wurden. Darüber hinaus wird abschließend über zwei Tätigkeitsbe- reiche bezüglich der Produktion zentraler Detektorkomponenten berichtet: Für die in- dustrielle Fertigung der resistiven Anoden-PCBs wurde ein unfangreiches und verlässli- ches Qualitätssicherungs- und Qualitätskontroll-Schema sowie die hierzu notwendigen Messtechniken und -apparaturen entwickelt. Die parallel vorangetriebene Studie zur Optimierung der Parameter des Mikrogitters unter Berücksichtigung der produktions- bedingten Limitationen führte zu der Bestätigung der vorgeschlagenen Spezifikation durch die NSW Kollaboration und der industriellen Fertigung dieses Gewebes. Der er- folgreiche Abschluss beider Projekte waren essenzielle Meilensteine auf dem Weg zur Serienproduktion der NSW Micromegas Detektoren. KW - Gasionisationsdetektor KW - ATLAS KW - Micromegas KW - ATLAS New Small Wheel KW - Signal Formation KW - Electron Transparency Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-152495 ER - TY - JOUR A1 - Wanzek, Katharina A1 - Schwindt, Eike A1 - Capra, John A. A1 - Paeschke, Katrin T1 - Mms1 binds to G-rich regions in Saccharomyces cerevisiae and influences replication and genome stability JF - Nucleic Acids Research N2 - The regulation of replication is essential to preserve genome integrity. Mms1 is part of the E3 ubiquitin ligase complex that is linked to replication fork progression. By identifying Mms1 binding sites genome-wide in Saccharomyces cerevisiae we connected Mms1 function to genome integrity and replication fork progression at particular G-rich motifs. This motif can form G-quadruplex (G4) structures in vitro. G4 are stable DNA structures that are known to impede replication fork progression. In the absence of Mms1, genome stability is at risk at these G-rich/G4 regions as demonstrated by gross chromosomal rearrangement assays. Mms1 binds throughout the cell cycle to these G-rich/G4 regions and supports the binding of Pif1 DNA helicase. Based on these data we propose a mechanistic model in which Mms1 binds to specific G-rich/G4 motif located on the lagging strand template for DNA replication and supports Pif1 function, DNA replication and genome integrity. KW - replication KW - regulation KW - genome integrity KW - Saccharomyces cerevisiae Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170577 VL - 45 IS - 13 ER - TY - JOUR A1 - Cai, Kai A1 - El-Merahbi, Rabih A1 - Loeffler, Mona A1 - Mayer, Alexander E. A1 - Sumara, Grzegorz T1 - Ndrg1 promotes adipocyte differentiation and sustains their function JF - Scientific Reports N2 - Adipocytes play a central role in maintaining metabolic homeostasis in the body. Differentiation of adipocyte precursor cells requires the transcriptional activity of peroxisome proliferator-activated receptor-γ (Pparγ) and CCAAT/enhancer binding proteins (C/Ebps). Transcriptional activity is regulated by signaling modules activated by a plethora of hormones and nutrients. Mechanistic target of rapamacin complexes (mTORC) 1 and 2 are central for the coordination of hormonal and nutritional inputs in cells and are essential for adipogenesis. Serum glucocorticoid kinase 1 (Sgk1)-dependent phosphorylation of N-Myc downstream-regulated gene 1 (Ndrg1) is a hallmark of mTORC2 activation in cells. Moreover, Pparγ activation promotes Ndrg1 expression. However, the impact of Ndrg1 on adipocyte differentiation and function has not yet been defined. Here, we show that Ndrg1 expression and its Sgk1-dependent phosphorylation are induced during adipogenesis. Consistently, we demonstrate that Ndrg1 promotes adipocyte differentiation and function by inducing Pparγ expression. Additionally, our results indicate that Ndrg1 is required for C/Ebpα phosphorylation. Moreover, we found that Ndrg1 phosphorylation by Sgk1 promotes adipocyte formation. Taken together, we show that induction of Ndrg1 expression by Pparγ and its phosphorylation by Sgk1 kinase are required for the acquisition of adipocyte characteristics by precursor cells. KW - differentiation KW - cell signalling KW - adipocytes KW - Ndrg1 Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170565 VL - 7 IS - 7191 ER - TY - JOUR A1 - Foerster, Anna A1 - Pfister, Roland A1 - Reuss, Heiko A1 - Kunde, Wilfried T1 - Commentary: Feeling the Conflict: The Crucial Role of Conflict Experience in Adaptation JF - Frontiers in Psychology N2 - A commentary on: Feeling the Conflict: The Crucial Role of Conflict Experience in Adaptationby Desender, K., Van Opstal, F., and Van den Bussche, E. (2014). Psychol. Sci. 25, 675–683. doi:10.1177/0956797613511468 Conflict adaptation in masked priming has recently been proposed to rely not on successful conflictresolution but rather on conflict experience (Desender et al., 2014). We re-assessed this proposal ina direct replication and also tested a potential confound due toconflict strength. The data supported this alternative view, but also failed to replicate basic conflict adaptation effects of the original studydespite considerable power. KW - conflict adaptation KW - conflict experience KW - conflict strength KW - cognitive conflict KW - cognitive control Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-190032 SN - 1664-1078 VL - 8 IS - 1405 ER - TY - THES A1 - Plank, Christina T1 - Somatische Befunde und kognitive Leistungen von "Heavy Usern" mit anorektischen und bulimischen Essstörungen T1 - Somatic findings and cognitive performance of “heavy users” with anorectic and bulimic eating disorders N2 - Ziel: Das Ziel der explorativen Studie war es, erwachsene Patientinnen mit restriktiver bzw. bulimischer Anorexie oder Bulimie mit einer starken Inanspruchnahme von stationären Versorgungsleistungen, sogenannte Heavy User (HU), die eine vollstationäre Behandlung in der Klinik und Poliklinik für Psychiatrie, Psychosomatik und Psychotherapie des Universitätsklinikums Würzburg erhalten haben, zu beschreiben, soziodemographische sowie erkrankungsbezogene somatische und kognitive Charakteristika darzustellen und die Ergebnisse mit einer Kontrollgruppe aus Patientinnen mit dem gleichen Störungsbild, aber einer geringeren Inanspruchnahme medizinischer Versorgungsangebote, den Nicht-Heavy Usern (NHU), zu vergleichen. Teilnehmer und Methode: 23 anorektische bzw. bulimische Heavy User-Patientinnen, die sich im Zeitraum der Datenerhebung (1997-2008) zum mindestens dritten Mal in einer stationären Therapie aufgrund ihrer Essstörung befanden, und eine Vergleichsgruppe von 13 Nicht-Heavy User-Patientinnen mit höchstens einem stationären Voraufenthalt wurden in dieser Studie untersucht. Allgemein- und neurologischer Status sowie die Laborparameter zum Aufnahmezeitpunkt und die Auswertungen der kranialen CTs bzw. MRTs sowie der kognitiven Testverfahren zu Beginn der Therapie und vor der Entlassung wurden analysiert und miteinander verglichen. Ergebnisse und Schlußfolgerung: Die anorektischen und bulimischen Heavy User weisen viele auffällige somatische Befunde, von der Norm abweichende Laborparameter sowie im Falle der anorektischen Heavy User eine häufig bestehende Hirnatrophie auf. Darüber hinaus zeigen sie eine Reihe von kognitiven Defiziten in verschiedenen Bereichen. Am stärksten davon betroffen sind die restriktiv anorektischen Heavy User. Die Ausprägungen der untersuchten pathologischen Befunde unterscheiden sich jedoch nicht signifikant von denen der Nicht-Heavy User. Spezifische Eigenschaften der Heavy User, die es zulassen, sie von einem Nicht-Heavy User abzugrenzen, wurden nicht gefunden. Weitere Studien sind notwendig, um andere typische Merkmale der Heavy User zu eruieren, damit sie möglichst frühzeitig identifiziert und ihnen für sie geeignetere alternative Behandlungsmöglichkeiten angeboten werden können. N2 - Objective: The objective of this explorative study was to describe female adult patients with restricting- respectively purging-type anorexia nervosa or bulimia nervosa with a high use of hospital services, so called heavy users, who received full inpatient treatment in the Clinics and Polyclinics for Psychiatry, Psychosomatics and Psychotherapy of the University Hospital of Würzburg, to show sociodemographic and disease-related somatic and cognitive characteristics and to compare the results with a control group of female patients with the same disorder, but a reduced demand of healthcare offerings, the non-heavy users. Patients and Methods: 23 anorectic respectively bulimic female heavy user patients, who were for at least the third time in inpatient treatment due to their eating disorder, and a comparison group of 13 female non-heavy user patients with a maximum of one inpatient prior stay were studied. General and neurological status, as well as the laboratory parameters at the time of exposure and the evaluation of the cranial CTs or MRTs plus the cognitive test methods at the beginning of the therapy and before discharge were analysed and compared with each other. Results and Conclusion: The anorectic and bulimic heavy users show a lot of noticeable somatic findings, laboratory parameters deviating from the norm and in case of the anorectic heavy users an often existing atrophy of the brain. Furthermore they present a series of cognitive deficits in various sectors. The most affected are the heavy users with restricting-type anorexia nervosa. The manifestations of the examined pathological findings are not significantly different from those of the non-heavy users. Specific characteristics of the heavy users which permit to differentiate them from a non-heavy user were not found. Further studies are necessary, to determine other typical features of heavy users, in order to identify them as early as possible and offer them more suitable alternative treatment options. KW - Essstörungen KW - Anorexia nervosa KW - Bulimia nervosa KW - heavy user KW - somatische Befunde KW - kognitive Leistungen Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-154113 ER - TY - THES A1 - Iltzsche, Fabian T1 - The Role of DREAM/MMB-mediated mitotic gene expression downstream of mutated K-Ras in lung cancer T1 - Die Rolle DREAM/MMB-vermittelter mitotischer Genexpression unterhalb von mutiertem K-Ras in Lungenkrebs N2 - The evolutionary conserved Myb-MuvB (MMB) multiprotein complex has an essential role in transcriptional activation of mitotic genes. MMB target genes as well as the MMB associated transcription factor B-Myb and FoxM1 are highly expressed in a range of different cancer types. The elevated expression of these genes correlates with an advanced tumor state and a poor prognosis. This suggests that MMB could contribute to tumorigenesis by mediating overexpression of mitotic genes. Although MMB has been extensively characterized biochemically, the requirement for MMB to tumorigenesis in vivo remains largely unknown and has not been tested directly so far. In this study, conditional knockout of the MMB core member Lin9 inhibits tumor formation in vivo in a mouse model of lung cancer driven by oncogenic K-Ras and loss of p53. The incomplete recombination observed within tumors points towards an enormous selection pressure against the complete loss of Lin9. RNA interference (RNAi)-mediated depletion of Lin9 or the MMB associated subunit B-Myb provides evidence that MMB is required for the expression of mitotic genes in lung cancer cells. Moreover, it was demonstrated that proliferation of lung cancer cells strongly depends on MMB. Furthermore, in this study, the relationship of MMB to the p53 tumor suppressor was investigated in a primary lung cancer cell line with restorable p53 function. Expression analysis revealed that mitotic genes are downregulated after p53 re-expression. Moreover, activation of p53 induces formation of the repressive DREAM complex and results in enrichment of DREAM at mitotic gene promoters. Conversely, MMB is displaced at these promoters. Based on these findings the following model is proposed: In p53-negative cells, mitogenic stimuli foster the switch from DREAM to MMB. Thus, mitotic genes are overexpressed and may promote chromosomal instability and tumorigenesis. This study provides evidence that MMB contributes to the upregulation of G2/M phase-specific genes in p53-negative cells and suggests that inhibition of MMB (or its target genes) might be a strategy for treatment of lung cancer. N2 - Der evolutionär konservierte Myb-MuvB (MMB) Multiproteinkomplex hat eine wesentliche Rolle in der transkriptionellen Aktivierung mitotischer Gene. Zielgene des MMB sowie die MMB assoziierten Transkriptionsfaktoren B-Myb und FoxM1 sind hoch exprimiert in einer Bandbreite verschiedener Krebsarten. Die erhöhte Expression dieser Gene korreliert mit einem fortgeschrittenen Tumorstadium und einer geringen Prognose. Das weißt auf darauf hin, dass MMB an der Tumorentstehung beteiligt sein könnte indem es die Überexpression mitotischer Gene fördert. Obwohl MMB biochemisch eingehend untersucht wurde, ist die Erfordernis von MMB zur Tumorentstehung in vivo weitestgehend unbekannt und wurde bisher nicht direkt getestet. In dieser Studie hemmt der konditionale Knockout der MMB Kerneinheit Lin9 die Tumorbildung in vivo in einem Lungenkrebs-Mausmodell angetrieben durch onkogenes K-Ras und den Verlust von p53. Die unvollständige Rekombination welche in Tumoren beobachtet wurde deutet auf einen starken Selektionsdruck gegen den kompletten Verlust von Lin9 hin. Die Verminderung von Lin9 und der MMB- assoziierten Untereinheit B-Myb durch RNAi-Interferenz (RNAi) liefert Beweise dafür, dass MMB für die Expression mitotischer Gene in Lungenkrebszellen notwendig ist. Zudem wurde gezeigt, dass das Zellwachstum von Lungenkrebszellen stark von MMB abhängig ist. Weiterhin wurde der Zusammenhang zwischen MMB und dem p53-Tumorsuppressor in einer primären Lungenkrebszelllinie mit wiederherstellbarer p53-Funktion untersucht. Expressionsanalysen zeigen, dass mitotische Gene nach Re-expression von p53 runterreguliert werden. Außerdem induziert die Aktivierung von p53 die Bildung des repressiven DREAM-Komplexes und führt zu einer Anreicherung von DREAM an Promotoren mitotischer Gene. Im Gegenzug wird MMB an den Promotoren verdrängt. Basierend auf den Ergebnissen wird das folgende Model vorgeschlagen: In p53- negativen Zellen begünstigen mitogene Reize den Wechsel von DREAM zu MMB. Dadurch werden mitotische Gene überexprimiert und können so chromosomale Instabilität und Tumorentstehung fördern Diese Studie liefert Hinweise, dass MMB an der Hochregulation G2/M- Phasenspezifischer Gene in p53-negativen Zellen beteiligt ist und dass die Hemmung von MMB (oder seiner Zielgene) eine Strategie zur Behandlung von Lungenkrebs sein könnte. KW - Nicht-kleinzelliges Bronchialkarzinom (NSCLC) KW - Lungenkrebs KW - lung cancer KW - DREAM complex KW - MMB KW - K-Ras KW - mitotic gene expression KW - Mitose Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-154108 ER - TY - THES A1 - Kurz, Julian Frederick T1 - Capacity Planning and Control with Advanced Information T1 - Kapazitätsplanung und -steuerung mit zukünftigen Informationen N2 - Die Dissertation „Capacity Planning and Control with Advanced Information“ besteht aus drei inhaltlich abgeschlossenen Teilen, die ein übergeordnetes Thema zur Grundlage haben: Wie können Daten über zukünftige Bedarfe zur Kapazitätsplanung und -steuerung genutzt werden? Im Rahmen von Industrie 4.0 werden zunehmend Daten erzeugt und für prädikative Analysen genutzt. Zum Beispiel werden Flugzeugtriebwerke mit Sensoren ausgestattet, die verschiedene Parameter in Echtzeit ermitteln und übertragen. In Kombination mit Flugplänen können diese Daten, unter Einsatz geeigneter Machine Learning Algorithmen, zur Vorhersage des Zeitpunkts der nächsten Wartung und des Wartungsbedarfs genutzt werden. In dieser Arbeit werden diese Vorhersagedaten zur optimalen Planung und Steuerung der Kapazität eines MRO (Maintenance, Repair and Overhaul) Dienstleisters genutzt. Im ersten Artikel, ”Capacity Planning for a Maintenance Service Provider with Advanced Information”, wird die aus mehreren Stationen bestehende Produktionsstätte des MRO Dienstleisters mit Hilfe eines Netzwerks aus GI/G/1 Warteschlagen beschrieben. Durch Lösung eines Optimierungsproblems werden die Kapazitäten der einzelnen Stationen so ermittelt, dass Kapazitäts- und Strafkosten für eine zu lange Durchlaufzeit minimiert werden. Darüberhinaus wird untersucht, wie Vorhersagedaten bezüglich des Eintreffens und Wartungsaufwands zukünftiger Aufträge genutzt werden können, um die Gesamtkosten zu reduzieren. Der Artikel ”Flexible Capacity Management with Future Information” nutzt Informationen hinsichtlich zukünftigerWartungsbedarfe für die Steuerung einer flexiblen Kapazität. Die Produktionsstätte des MRO Dienstleisters wird als M/M/1 Warteschlange beschrieben, die zwischen einer Basiskapazität und einer erhöhten Kapazität wechseln kann. Allerdings kann die hohe Kapazität nur einen definierten Zeitanteil genutzt werden. In dem Artikel werden Politiken entwickelt, welche die erwartete Warteschlangenläge minimieren, falls keine Informationen bezüglich des Eintreffens zukünftiger Aufträge verfügbar sind beziehungsweise alle Informationen in einem unendlich langen Zeitfenster vorliegen. Es zeigt sich, dass die erwartete Warteschlangenlänge drastisch reduziert werden kann, falls Informationen über zukünftige Bedarfe genutzt werden können. Im dritten Artikel, ”Queueing with Limited Future Information”, wird neben der Steuerung einer flexiblen Kapazität auch die Zulassungskontrolle behandelt: Welche Aufträge sollten umgeleitet werden, zum Beispiel an einen Subdienstleister, falls ein definierter Anteil aller ankommenden Triebwerke nicht angenommen werden muss? Es werden Politiken zur Steuerung der flexiblen Kapazität und für die Zulassungskontrolle entwickelt, die zukünftige Informationen in verschieden langen Zeitfenstern berücksichtigen: keine Informationen, endlich und unendlich lange Zeitfenster. Numerische Analysen zeigen, dass die Berücksichtigung von Informationen über die Zukunft im Vergleich zu reaktiven Politiken zu einer Verringerung der mittleren Warteschlangenlänge führt. Andererseits wird ersichtlich, dass die Nutzung von kürzeren Zeitfenstern unter bestimmten Umständen vorteilhaft sein kann. Den inhaltlichen Rahmen der Dissertation bilden die Einleitung im ersten Kapitel sowie ein Ausblick in Kapitel 5. Beweise werden im Anhang zusammengefasst. N2 - The dissertation aims at investigating how information about jobs arriving to a service facility in the future can be used for capacity planning and control. Nowadays, technical equipment such as aircraft engines are equipped with sensors transferring condition data to central data warehouses in real-time. By jointly analyzing condition data and future usage information with machine learning algorithms, future equipment conditions and maintenance requirements can be forecasted. In the thesis, information regarding the arrival times of aircraft engine at a maintenance facility and the corresponding service requirements are used in order to optimally plan and control the flexible capacity of the facility. Queueing models are developed and analyzed to optimally size and control the facility's capacity and determine the implications on cost and job waiting time. It is demonstrated analytically and numerically that cost and waiting time can be reduced significantly when future information is available. KW - queueing KW - future information KW - capacity control Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-154097 ER - TY - THES A1 - Terveer, Nils T1 - Springs and Parachutes - Development and Characterization of Novel Formulations for Poorly Water-Soluble Drugs T1 - Sprungfedern und Fallschirme - Entwicklung und Charakterisierung neuer Formulierungen für schlecht wasserlösliche Wirkstoffe N2 - Successful formulation development of novel, particularly organic APIs of low molecular weight as candidates for ground-breaking pharmaceutical products is a major challenge for the pharmaceutical industry because of the poor aqueous solubility of most of these compounds. The hit identification strategies of drug development in use today apply high throughput screening techniques for the investigation of thousands of substances. This approach led to a systematical increase in molecular weight and lipophilicity and a decrease of water solubility of lead compounds reaching market access. The high lipophilicity causes an excellent permeability of the compounds which favours the absorption process from the small intestine, but it causes a decrease of water-solubility. It becomes evident that an adequate aqueous solubility is necessary for absorption of the API from the gastrointestinal fluids into the systemic circulation and hence for efficacy of the pharmaceutical product. Only an dissolved API is getting absorbed and becomes efficacious. The precipitated proportion is resigned directly. Therefore, the development of an individual formulation aligning the physicochemical characteristics is necessary for every API to produce supersaturated solutions in the small intestine and to reach an adequate bioavailability after absorption into the systemic circulation. In this thesis a specific formulation development was investigated for two exemplary poorly water-soluble APIs to replace the empirical approach often used today. The basic tyrosine-kinase inhibitor imatinib and six different acetylated amino acids were transferred into ILs. As compared to the free base and the mesylate salt, which is marketed by Novartis AG as Gleevec®, the dissolution rate as well as the supersaturation time was increased significantly. By changing the mesylate anion with its potential genotoxic risks, the total toxicity of the drug product could be decreased. The amorphous ILs proved adequate stability under forcing conditions and there was no recrystallization of the free base observed. The amorphous character of the ILs caused an increased amount of water vapour sorption which can be compensated by special packaging materials. Taken together, the presentation of imatinib as an IL is intended for oral administration as a tablet and can cause a reduction of dose because of the increased solubility. Therefore, the occurrence of side effects can be reduced as compared to Gleevec®. If there is actually an increased bioavailability to observe, has to be proved by the execution of animal trials. The novel NOX inhibitor VAS3947 is intended for the treatment of endothelial dysfunctions causing diseases like heart failure and stroke. The compounds poor aqueous solubility hindered further clinical development so far and make the drug candidate to remain in a very early stage of the drug development process. Therefore, different formulation concepts were evaluated in this study: An amorphous solid dispersion prepared from VAS3947 and Eudragit® L100 by means of spray drying was able to increase the dissolution rate and solubility of the compound significantly, but with the accomplished kinetic solubility being in the low µM range it is not possible to reach therapeutic plasma concentrations. In contrast, the incorporation into cyclodextrins resulted in an 760-fold increased solubility. Different cyclodextrins were evaluated. Especially the lipophilic derivatives of the β-cyclodextrin showed to be the most adequate excipients. The incorporation of the API into the cyclodextrin cavity was proved by means of NMR spectroscopy. Additionally, a formulation of VAS3947 and hydroxypropyl-β-cyclodextrin was prepared. This formulation is intended for the intravenous application during animal trials, which have to be conducted to get to know the pharmacokinetics of VAS3947. This formulation reached a concentration of 1 mg/mL spending striking protection of VAS3947 against degradation. Presentation of VAS3947 as a microemulsion system led also to increase the aqueous solubility of the compound, but not in the same extent as the cyclodextrin formulation. Beside the formulation development a physicochemical characterization was performed to get to know important parameters such as log P and pKa values of VAS3947. An HPLC method was developed and validated to analyse the extent of solubility improvement. A major issue of the compound VAS3947 and all related triazolopyrimidine derivatives, developed by Vasopharm GmbH, is the insufficient chemical stability because of presence of a hemiaminal moiety in the chemical structure. Stability investigations and an extensive biopharmaceutical characterization confirm the hindering of further clinical development by insufficient drug stability and high cytotoxicity. Poor aqueous solubility is an additional disadvantage which can be handled by a concerted formulation development. N2 - Die erfolgreiche Formulierung von neuen, insbesondere organischen Wirkstoffen geringen Molekulargewichtes als Entwicklungskandidaten für innovative Arzneimittel stellt eine erhebliche Herausforderung für die pharmazeutische Industrie dar, weil ein Großteil dieser Substanzen ausgesprochen schlecht wasserlöslich ist. Die moderne Wirkstoffentwicklung basiert meistens auf der Zielstruktur und erfolgt unter Anwendung von Hochdurchsatzmethoden, bei denen Tausende an verschiedenen Substanzen getestet werden. Dieses Vorgehen hat in den letzten Jahrzehnten dazu geführt, dass die molare Masse und die Lipohilie derjenigen Entwicklungskandidaten, die eine Zulassung als Arzneimittel erreicht haben, kontinuierlich zugenommen haben. Durch die hohe Lipophilie weisen diese Wirkstoffe eine ausgezeichnete Permeabilität auf, die für den Absorptionsprozess aus dem Magen-Darm-Trakt notwendig ist. Jedoch geht damit gleichzeitig eine Abnahme der Wasserlöslichkeit einher. Es ist offensichtlich, dass eine ausreichendende hohe Wasserlöslichkeit die Grundvoraussetzung für die Absorption des Wirkstoffes aus dem Gastrointestinaltrakt in den systemischen Kreislauf und damit für die Wirksamkeit des Arzneimittels darstellt. Nur in Lösung befindlicher Wirkstoff kann absorbiert werden und seine Wirkung erzielen. Der ungelöste Anteil wird unverändert wieder ausgeschieden. Aus diesem Grunde ist die Entwicklung einer individuellen, an die physiko-chemischen Eigenschaften angepassten Formulierung für jeden Wirkstoff unbedingt erforderlich, um im Magen-Darm-Trakt übersättigte Lösungen zu generieren und dadurch eine ausreichende Bioverfügbarkeit zu erzielen. In dieser Arbeit wurden exemplarisch zwei schlecht lösliche Wirkstoffe ausgesucht und einer gezielten Formulierungsentwicklung unterzogen, um die bisher oft angewandte rein empirische Vorgehensweise abzulösen. Aus dem basischen Tyrosinkinase-Inhibitor Imatinib und unterschiedlichen acetylierten Aminosäuren wurden 6 verschiedene ionische Flüssigkeiten hergestellt. Im Vergleich mit der freien Base und dem Mesilat-Salz, welches die Firma Novartis AG unter dem Namen Gleevec® im Handel hat, wurden sowohl die Auflösungsrate als auch die zeitliche Dauer der Übersättigung signifikant vergrößert. Durch den Austausch des potentiell genotoxischen Mesilat-Anions gegen die acetylierten Aminosäuren konnte zusätzlich das Toxizitätsrisiko gesenkt werden. Die amorphen Formulierungen der ionische Flüssigkeiten waren unter Stressbedingungen ausreichend stabil und zeigten kein erhöhtes Risiko für eine Rekristallisation der freien Base. Die durch den amorphen Charakter gesteigerte Hygroskopizität lässt sich durch den Einsatz entsprechender Packmittel kompensieren. Generell eignet sich die Formulierung von Imatinib als ionische Flüssigkeit für die orale Applikation als Tablette und kann durch die Verbesserung der Wasserlöslichkeit zu einer Dosisreduktion beitragen, sodass weniger Nebenwirkungen auftreten als bei dem im Handel befindlichen Mesilat-Salz. Ob tatsächlich eine Verbesserung der Bioverfügbarkeit eintritt, muss noch durch Experimente im Tiermodell bestätigt werden. Der neuartige NOX-Inhibitor VAS3947 ist zur Behandlung von arteriosklerotischen Veränderungen im Gefäßendothel und damit allen verbunden Folgeerkrankungen wie zum Beispiel Herzinfarkt oder Schlaganfall von der Vasopharm GmbH entwickelt worden. Die extrem schlechte Wasserlöslichkeit hat bisher die klinische Forschung verhindert und der Wirkstoff befindet sich nach wie vor in einer sehr frühen Phase der Entwicklung. Aus diesem Grund wurden im Zuge dieser Arbeit verschiedene Formulierungskonzepte erforscht: Eine erste sprühgetrocknete, amorphe Formulierung mit dem Polymer Eudragit® L100 konnte zwar die Auflösungsrate und die Löslichkeit signifikant verbessern, allerdings kam es schnell zur Rekristallisation des Wirkstoffes und mit der erzielten kinetischen Löslichkeit im niedrigen µM Bereich ließen sich keine therapeutischen Plasmaspiegel erreichen. Durch die Herstellung einer Cyclodextrineinschlussverbindung von VAS3947 hingegen konnte die Löslichkeit um den Faktor 760 gesteigert werden. Verschiedene Cyclodextrine wurden getestet. Dabei erwiesen sich insbesondere die lipophilen Derivate des β-Cyclodextrins als geeignet. Die Einlagerung des Wirkstoffes in das Innere der Kavität wurde mittels NMR-Spektroskopie bestätigt. Zusätzlich wurde erstmals eine Formulierung von VAS3947 mit Hydroxypropyl-β-Cyclodextrin zur intravenösen Anwendung im Tiermodell für die Durchführung von geplanten Pharmakokinetikstudien hergestellt. Diese erzielte über 24 Stunden eine Löslichkeit von 1 mg/mL und schütze den Wirkstoff effektiv vor Zersetzung. Durch die Formulierung von VAS3947 als halbfeste Mikroemulsion konnte die Wasserlöslichkeit ebenfalls gesteigert werden, allerdings längst nicht in dem Maße wie durch die Cyclodextrine. Neben der Formulierungsentwicklung wurde eine physiko-chemische Charakterisierung des Wirkstoffes durchgeführt, um wichtige Parameter wie zum Beispiel die log P- und pKs-Werte einschätzen zu können. Des Weiteren wurde eine HPLC-Methode entwickelt und validiert, um die erzielte Löslichkeit quantifizieren zu können. Ein großes Problem dieses Wirkstoffes und damit aller Derivate vom Triazolopyrimidine-Typ, welche die Vasopharm GmbH in der Entwicklung hat, ist die mangelnde chemische Stabilität aufgrund einer Halbaminal-Partialstruktur im Molekül. Durchgeführte Stabilitätsuntersuchungen sowie eine umfangreiche biopharmazeutische Charakterisierung bestätigten letztendlich, dass eine weitere Entwicklung dieser Wirkstoffe aufgrund ihrer ungenügenden Stabilität und ihrer hohen Zytotoxizität nicht möglich ist. Die niedrige Wasserlöslichkeit stellt ein zusätzliches Problem dar, das sich durch eine gezielte Formulierungsentwicklung lösen lässt. KW - Springs and Parachutes KW - Formulation development KW - Poorly water soluble drugs KW - ionic liquids KW - Imatinib Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-154311 ER - TY - THES A1 - Häckel, Annalena T1 - Implementierung und Umsetzbarkeit eines Tablet-gestützten Screenings auf Unterstützungsbedarf in der Radioonkologie T1 - Implementation and application for the need of support in the field of radiooncology via tablet screening N2 - Die Inzidenz und Prävalenz von Krebserkrankungen präsentiert sich in den vergangenen Jahren ungebrochen hoch. Durch die stetige Optimierung der Versorgung werden Betroffenen neuartige Optionen offeriert. Moderne Onkotherapie zeichnet sich durch sektorenübergreifende Kooperation aus. Diese komplexen Versorgungskonzepte können durch innovative Technologien simplifiziert werden. Vorliegende Arbeit erörtert die Frage nach der Umsetzbarkeit Tablet-gestützter Screenings in der Routine der Strahlenmedizin. Die Erfassung der ESAS-Items und des Unterstützungsbedarfs ermöglichte nach dem Vorbild kanadischer Versorgungskonzepte definierte Aussagen zur Qualität der medizinischen Versorgung. Im Rahmen der Studie erhielten Tumorpatienten vor der perkutanen Radiotherapie (T1) ein Tablet-gestütztes Symptom-Screening. Das Tablet-Screening wurde von den Teilnehmern bezüglich Bedienung und Nutzerfreundlichkeit evaluiert. Nach Abschluss der Radiotherapie erfolgte eine telefonische Nachbefragung der Teilnehmer (T2). Insgesamt partizipierten 332 Krebspatienten am Tablet-Screening. 79 potentielle Studienprobanden nahmen nicht teil. Als Hauptursachen zeigten sich fehlende Zeit (21,5%), die Teilnahme an sonstigen Studien (20,3%) und zu hohe psychische Belastungen (17,7%). Der Anteil der Screening-Teilnehmer mit fundierten Vorkenntnissen im Umgang mit Tablet-PCs (15,7%) war gering. Probanden mit Tablet-Vorerfahrungen waren signifikant jünger als Unerfahrene. Anwendung und Nutzerfreundlichkeit erlangte hohe Zustimmung. Die wenigen (21,7%) Befürworter konventioneller Stift-Papier-Fragebögen waren signifikant älter. 219 Screening-Teilnehmer stellten ihre ausgewerteten Symptom-Fragebögen weiteren Auswertungen zur Verfügung. Der Performance-Status wurde von Patient und Mediziner eher divergent bewertet (ĸ=0,254). Von T1 zu T2 nahm der Anteil positiv gescreenter Probanden ab. Kurativpatienten markierten bei den ESAS-Items Müdigkeit, Kurzatmigkeit und Sonstiges signifikante Symptomverbesserungen. Bei Palliativpatienten zeigte Kurzatmigkeit signifikante Verbesserung, Depressionen hingegen signifikante Verschlechterung. Der schwächste Unterstützungsbedarf (23,3%) wurde beim ,,Bedarf an Informationen beim Erstellen von Patientenverfügungen‘‘ registriert. Die BUKA-Studie konnte die Chancen Tablet-gestützter Befragungen in der Routine der Radioonkologie darstellen. Das Screening markierte durchgängig positive Bewertungen sowie große Akzeptanz. Die positiven Ergebnisse deckten sich mit denen anderer Studien bezüglich EDV-gestützter Datenerhebung. Die oftmals nicht ausreichendende Zeit zur Studienteilnahme war jedoch nicht auf eine zu zeitintensive Bedienung von Tablet-PCs zurückzuführen. Die Anzahl der Screening-Items sollte der kurzen Wartezeit der Strahlenambulanz angepasst werden. EDV-Screenings sollten darüber hinaus zukünftig bereits von zuhause absolviert werden. Die zunehmende Technisierung des Alltags lässt den Anteil PC-erfahrener Patienten weiter ansteigen. Die Einführung EDV-gestützter Versionen bietet eine effektive Möglichkeit des Patienten-Monitoring als Grundlage multidisziplinärer onkologischer Versorgung. Infolge der zunehmenden PC-gestützten Verarbeitung hochsensibler Patientendaten ist die Gewährleistung vollkommener Datensicherheit dringend notwendig. Im Gegensatz zu anderen Arbeiten präsentierte das Studienkollektiv überwiegend Kurativpatienten mit gutem Allgemeinzustand. Trotz geringerer Symptombelastung konnten auch hier die positiven Effekte der Radiotherapie dargestellt werden. Der hohe Unterstützungsbedarf erschien oftmals dem mangelnden medizinischen Verständnis der Betroffenen geschuldet. Kurativpatienten äußerten deutlich mehr Interesse aktiv an der Therapie teilzuhaben. Palliativpatienten erschienen durch das Übermaß an Therapien entkräftet. N2 - In recent years the incidence and prevalence of carcinosis remained unchanged high. The continous improvement of patient centred care offers unknown possibilities. Modern cancer therapy is distinguished by overlapping cooperation. These extensive treatment options can be simplified by innovative technology. The study in hand investigates the implementabilitiy of a tablet screening in the field of radiooncology. Aquiring data on the ESAS Items and on the individual request of support as done in the Canadian cancer support system enables us to give evidence. In the present study tumor patients were screened before receiving percutane radiotherapy (T1) on a special symptom screening scale via tablet. The participants also evaluated the tablet screening on handling and usability. After the radiotheray the participants were questioned again via phone interview. In total 332 cancer patients took part in the tablet screening. 79 potential participants didn’t participate. The main reasons were the lack of time (21,5%), the participation in other studies (20,3%), and the high psychic strain (17,7%). The the number of participants with a previous knowledge in the use of tablet-computer was low (15,7%). Furthermore, they were significantly younger than the participants with that hat no previous knowledge in the use of a tablet. Handling and usabilityshowed high acceptance. The few supporters of conventional paper-pencil -quetionnaires were significantly older. In total 219 screening patients did consent the further evaluation and analysis of their screening results. Patients and physicians showed divergent results in theassessment of the patient’s performance status (k=0,254). The rate of participants with positive screening results decreased from T1 to T2. In the ESAS items fatigue, dyspnoea and other problems curative patients showed significant symptom improvement. Patients with palliative treatment also represented with significant improvemet in dyspnoea whereas the rate on depression increased significantly. Patients showed the lowest interest in the provision on information on making an advance health care directive (23,3%). The BUKA study was able to represent the opportunities of tablet screening in the routine of radiooncology. The tablet screening did resilt in an overall positive feedback and demonstrated high rate of acceptance. Similar positive results were also showen in several previous studies concerning the use computerized questionnaires. The participants complaints on the lack of time did not refer to the use of the computerized questionnaire itself but on the provided amount of time for the questionaire itself. In the future, the amount of screening items should be adjusted to the amount of waiting time in the ambulance of the radiooncology. Furthermore, computerized screening should be considered to be already done at home. The upcoming computerization in the daily routine will increase rate people with previous knowledge on computerized systems and applications even further. The implementation of computerized systems provides the opportunity of a very effective patient monitoring as a foundation vor multidisciplinary oncological treatment. As a result of the increasing digitalization of patient data the data protection is extremely important and future challenge but must be basic prerequisite. In contrast to other studies our patients predominantly represented a good performance status. Despite the low symptom stress the positive effects of a radiotherapy could be illustrated here as well. The high demand of support seemed to be due to the lack of understanding of medical information. Curative patients showed significantly more interest in taking actively part in their therapy whereas patients with palliative treatment seemed to be rather exhausted with the excess of palliative treatment options. KW - Screening KW - Tablet PC KW - Radioonkologie KW - Tablet KW - Screening KW - Unterstützungsbedarf in der Radioonkologie Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-154974 ER - TY - THES A1 - Offner, Kristin T1 - SH3-mediated protein interactions of Mena and VASP T1 - SH3 vermittelte Proteininteraktionen von Mena und VASP N2 - Regulation of actin cytoskeletal turnover is necessary to coordinate cell movement and cell adhesion. Proteins of the Enabled/vasodilator-stimulated phosphoprotein (Ena/VASP) family are important mediators in cytoskeleton control, linking cyclic nucleotide signaling pathways to actin assembly. In mammals, the Ena/VASP family consists of mammalian Enabled (Mena), VASP, and Ena-VASP-like (EVL). The family members share a tripartite domain organization, consisting of an N-terminal Ena/VASP homology 1 (EVH1) domain, a central proline-rich region (PRR), and a C-terminal EVH2 domain. The EVH1 domain mediates binding to the focal adhesion proteins vinculin and zyxin, the PRR interacts with the actin-binding protein profilin and with Src homology 3 (SH3) domains, and the EVH2 domain mediates tetramerization and actin binding. Endothelial cells line vessel walls and form a semipermeable barrier between blood and the underlying tissue. Endothelial barrier function depends on the integrity of cell-cell junctions and defective sealing of cell-cell contacts results in vascular leakage and edema formation. In a previous study, we could identify a novel interaction of the PRR of VASP with αII-spectrin. VASP-targeting to endothelial cell-cell contacts by interaction with the αII-spectrin SH3 domain is sufficient to initiate perijunctional actin filament assembly, which in turn stabilizes cell-cell contacts and decreases endothelial permeability. Conversely, barrier function of VASP-deficient endothelial cells and microvessels of VASP- null mice is defective, demonstrating that αII-spectrin/VASP complexes regulate endothelial barrier function in vivo. The aim of the present study was to characterize the structural aspects of the binding of Ena/VASP proteins to αII-spectrin in more detail. These data are highly relevant to understand the cardiovascular function of VASP and its subcellular targeting. In the present study, the following points were experimentally addressed: 1. Comparison of the interaction between αII-spectrin and Mena, VASP, or EVL In contrast to the highly conserved EVH1/EVH2 domains, the PRR is the most divergent part within the Ena/VASP proteins and may differ in binding modes and mechanisms of regulation. More specifically, VASP contains a triple GP5 motif, whereas EVL and Mena contain one or more GP6 motifs or even longer proline stretches. In the present study, we used peptide scans and competitive αII-spectrin SH3 pull-down assays with the recombinant Mena, VASP, and VASP mutants to investigate the relative binding efficiency. Our results indicate that binding of the αII-spectrin SH3 domain to GP6 motifs is superior to GP5 motifs, giving a rationale for a stronger interaction of αII-spectrin with EVL and Mena than with VASP. 2. Interaction of SH3i with Ena/VASP proteins In the mammalian heart, an αII-spectrin splice variant exists (SH3i), which contains a 20 amino acid insertion C-terminal to the SH3 domain. We used GST-fusion proteins of αII-spectrin, comprising the SH3 domain with or without the alternatively spliced amino acids, to pull-down recombinant Mena, VASP or VASP mutants. The results demonstrate a substantially increased binding of the C-terminal extended SH3 domain as compared to the general αII-spectrin isoform without the 20 amino acid insertion. These findings were also confirmed in pull-down experiments with heart lysates and purified Mena from heart muscle. The increased binding was not due to an alternative, SH3-independent binding interface because a pointmutation of the SH3 domain (W1004R) in the alternatively spliced αII-spectrin isoform completely abrogated the interaction. To analyze the interaction of SH3i and Ena/VASP proteins in living cells, we expressed the extended SH3 domain as GFP fusion proteins in endothelial cells. Here, we observed an extensive co-localization with Mena and VASP at the leading edge of lamellipodia confirming the in vivo relevance of the interaction with potential impact on cell migration and angiogenesis. 3. Binding affinity and influence of the Ena/VASP tetramerization domain We also determined the binding affinity of the general and the alternatively spliced αII-spectrin SH3 with Ena/VASP proteins by isothermal titration calorimetry (ITC) using a peptide from the PRR of Mena (collaboration with Dr. Stephan Feller, University of Oxford). Surprisingly, the binding affinity of the general SH3 domain was low (~900 μM) as compared to other SH3 domain- mediated interactions, which commonly display binding constants in the low micromolar range. Furthermore and in contrast to the pull-down assays, we could not detect an increased binding affinity of the C-terminally extended SH3 domain. This could be either explained by the existence of a third protein, which “bridges” the Mena/αII-spectrin complex in the pull-down assays, or, more likely, by the small size of the Mena peptide, which lacks major parts of the Mena protein, including the tetramerization domain. Indeed, it has been previously shown that the tetramerization of Ena is crucial for the interaction with the Abl- SH3 domain, although no SH3 binding sites are found in the tetramerization domain. To address this point experimentally, we used a VASP mutant that lacks the tetramerization domain in pull-down assays. Neither the general nor the alternatively spliced SH3 domain bound to the monomeric VASP, demonstrating the crucial (indirect) impact of Ena/VASP tetramerization on the interaction with αII-spectrin. In summary, we conclude that the αII-spectrin SH3 domain binds to the proline- rich region of all Ena/VASP proteins. However, binding to EVL and Mena, which both possess one or more GP6 motifs, is substantially more efficient than VASP, which only contains GP5 motifs. The C-terminally extended SH3 domain, which is present in the αII-spectrin splice variant SH3i, binds stronger to the Ena/VASP proteins than the general isoform and expression of the isolated domain is sufficient for co-localization with Ena/VASP in living endothelial cells. Finally, the tetramerization of the Ena/VASP proteins is indispensable for the interaction with either isoform of αII-spectrin. N2 - Die Regulation des Umbaus des Aktinzytoskeletts ist für die Fortbewegung sowie die Adhäsion von Zellen essentiell. Proteine der Enabled/vasodilator- stimulated phosphoprotein (Ena/VASP) Familie sind wichtige Mediatoren bei diesem Prozess, indem sie zyklische Nukleotidprotein-Signalwege mit dem Aktinzytoskelett-Aufbau verknüpfen. In Säugern besteht die Ena/VASP-Protein Familie aus mammalian Enabled (Mena), VASP und Ena-VASP-like (EVL). Diese Proteine teilen sich einen gemeinsamen strukturellen Aufbau: N-terminal befindet sich die Ena/VASP homology 1 (EVH1) Domäne, zentral liegt eine prolinreiche Region (PRR) und C-terminal befindet sich eine EVH2 Domäne. Die EVH1 Domäne vermittelt eine Interaktion mit den fokalen Adhäsionsproteinen Vinculin und Zyxin, die PRR interagiert mit dem aktinbindenden Protein Profilin sowie mit Src homology 3 (SH3) Domänen und die EVH2 Domäne vermittelt die Tetramerisierung der Proteine sowie die Interaktion mit Aktin. Endothelzellen kleiden die Gefäßwand aus und bilden eine semipermeable Barriere zwischen Blut und dem umgebenden Gewebe. Die Funktion des Endothels hängt dabei von der Integrität der Zell-Zell-Kontakte ab. Die Zerstörung dieser Kontakte führt zu vaskulärer Leckage sowie zur Ausbildung von Ödemen. In einer vorausgehenden Arbeit konnten wir eine neue Interaktion zwischen der PRR von VASP und αII-Spektrin zeigen. Durch die Interaktion mit der SH3 Domäne von αII-Spektrin gelangt VASP an Zell-Zell-Kontakte von Endothelzellen und ist dort in der Lage die Aktinverknüpfung in der Umgebung der Zell-Zell-Kontakte zu initiieren, was wiederum die Zell-Zell-Kontakte stabilisiert und die vaskuläre Permeabilität reduziert. Umgekehrt konnten wir beobachten, dass die Barrierefunktion von Endothelzellen und Mikrogefäßen von VASP-defizienten Mäusen gestört ist, was darauf hindeutet, dass VASP/αII- Spektrin-Komplexe an der Regulation der endothelialen Barrierefunktion in vivo beteiligt sind. Das Ziel dieser Arbeit war die detaillierte Charakterisierung der Strukturen von Ena/VASP Proteinen und αII-Spektrin, die an der Interaktion zwischen diesen Proteinen beteiligt sind. Diese Daten sind äußerst wichtig um die genaue Funktion von VASP im kardiovaskulären System zu verstehen. In dieser Arbeit wurden die folgenden Punkte genauer analysiert: 1. Vergleich der Interaktion zwischen αII-Spektrin und Mena, VASP oder EVL Verglichen mit den hochkonservierten EVH1/2 Domänen besitzt die zentrale PRR der Ena/VASP Proteinfamilie die größte Diversität und könnte sich bezüglich der Binde- und Regulationsmechanismen zwischen den einzelnen Proteinen unterscheiden. Im Detail besitzt VASP ein sich dreifach wiederholendes GP5 Motiv wohingegen Mena und EVL ein sich ein- oder mehrfach wiederholendes GP6 Motiv oder noch längere Prolinsequenzen aufweisen. In dieser Arbeit nutzten wir peptide scan arrays und kompetitive αII- Spektrin SH3 pull-down Versuche mit rekombinantem Mena, VASP und VASP Mutanten um die relative Bindungsstärke der Interaktion zu untersuchen. Die Ergebnisse zeigten, dass die Bindung der αII-Spektrin SH3 Domäne an GP6 Motive der Bindung an GP5 Motive überlegen ist, was darauf hindeutet, dass die Interaktion zwischen αII-Spektrin und EVL und Mena stärker ist als die Interaktion mit VASP. 2. Interaktion von SH3i mit Ena/VASP Proteinen Im Säugerherzen kommt eine αII-Spektrin Splicevariante (SH3i) vor, die eine Insertion aus 20 Aminosäuren C-terminal der SH3 Domäne enthält. Wir nutzten GST-αII-Spektrin Fusionsproteine, die die SH3 Domäne mit oder ohne Aminosäuren-Insertion beinhalteten, im pull-down Versuch mit rekombinantem Mena, VASP oder mit VASP Mutanten. Die Ergebnisse zeigten eine deutlich ansteigende Bindungsrate bei der C-terminal verlängerten SH3 Domäne verglichen zu der üblichen αII-Spektrin Isoform ohne Aminosäureninsertion. Diese Ergebnisse konnten auch durch pull-down Versuche mit Herzlysat und aufgereinigtem Mena aus Herzmuskulatur bestätigt werden. Dieser Effekt auf die Bindung war dabei nicht bedingt durch ein alternatives, SH3-unabhängiges Bindungsmuster, da eine Punktmutation (W1004R) in der Sequenz der SH3 Domäne der alternativ gespleißten αII-Spektrin Isoform die Interaktion komplett aufhob. Um die Interaktion von SH3i und Ena/VASP Proteinen in lebenden Zellen zu untersuchen, exprimierten wir die verlängerte SH3 Domäne als GFP- Fusionsprotein in Endothelzellen. Hierbei konnten wir eine ausgeprägte Kolokalisation mit Mena und VASP an Lamellipodien beobachten, was die Relevanz der Interaktion im lebenden Organismus bestätigt und auf einen potentiellen Effekt auf Zellmigration und Angiogenese schließen lässt. 3. Bindungsaffinität und Einfluss der Ena/VASP Tetramerisierungsdomäne Zusätzlich wurde die Bindungsaffinität der üblichen sowie der alternativ gespleißten αII-Spektrin SH3 Domäne mit den Ena/VASP Proteinen mittels isothermal titration calorimetry (ITC) bestimmt, wobei ein Peptid bestehend aus der PRR von Mena genutzt wurde (Kollaboration mit Dr. Stephan Feller, Universität von Oxford). Überraschenderweise war die Bindungsaffinität der üblichen SH3 Domäne verglichen mit anderen SH3 Interaktionen, die normalerweise Bindungskonstanten im unteren mikromolaren Bereich aufweisen, niedrig (~900 μM). Außerdem und im Kontrast zu den Ergebnissen der pull-down Versuche konnten wir keine gesteigerte Bindungsaffinität der C- terminal verlängerten SH3 Domäne feststellen. Dies könnte entweder durch die Beteiligung eines dritten Proteins erklärt werden, das den Mena/αII-Spektrin- Komplex in den pull-down Versuchen überbrückt, oder aber, was wahrscheinlicher ist, durch die geringe Größe des Mena Peptids, dem wichtige Bestandteile des Mena Proteins inklusive der Tetramerisierungsdomäne fehlen. Tatsächlich wurde erst kürzlich gezeigt, dass die Tetramerisierung von Ena essentiell für eine Interaktion mit der Abl SH3 Domäne ist, obwohl keine SH3 Bindestellen in der Tetramerisierungsdomäne gefunden wurden. Um dieser Beobachtung nachzugehen, nutzten wir eine VASP Mutante in pull-down Versuchen, der die Tetramerisierungsdomäne fehlt. Weder die übliche noch die alternativ gespleißte SH3 Domäne interagierte mit dem monomeren VASP, was einen essentiellen (indirekten) Einfluss der Tetramerisierung von Ena/VASP Proteinen auf die Interaktion mit αII-Spektrin nahelegt. Zusammengefasst können wir sagen, dass die αII-Spektrin SH3 Domäne an die prolinreiche Region aller Ena/VASP Proteine bindet. Jedoch ist festzuhalten, dass die Bindung an EVL und Mena, die beide ein oder mehrere GP6 Motive enthalten, deutlich effizienter ist als die Bindung an VASP, das ausschließlich GP5 Motive beinhaltet. Die C-terminal verlängerte SH3 Domäne, die in der alternativ gespleißten αII-Spektrin Variante SH3i vorkommt, bindet stärker an Ena/VASP Proteine als die übliche αII-Spektrin Isoform und bereits die Expression der isolierten Domäne alleine ist für eine Kolokalisation mit Ena/VASP Proteinen in lebenden Endothelzellen ausreichend. Letztlich konnten wir zeigen, dass die Tetramerisierung der Ena/VASP Proteine unentbehrlich für die Interaktion mit allen untersuchten αII-Spektrin Isoformen ist. KW - SH3 KW - proteininteraction KW - Mena KW - VASP KW - Proteininteraktion Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-154481 ER - TY - THES A1 - Langer, Simon T1 - Herz-Hirn Interaktion im Mausmodell: Herzinsuffizienz nach Myokardinfarkt führt zu depressivem Verhalten bei Mäusen T1 - Heart & Brain interactions in mice: chronic heart failure after myocardial infarction leads to depressive behaviour in mice N2 - Herzinsuffizienz, Depression und Angststörungen treten gehäuft gemeinsam auf und beeinflussen teilweise gegenseitig ihre Prognose. Die Zusammenhänge zwischen diesen Erkrankungen sind bislang nicht aufgeklärt. In der vorliegenden Arbeit führte ischämische Herzinsuffizienz im Mausmodell zu Depressions-ähnlichem Verhalten innerhalb von 8 Wochen nach Infarktinduktion. Weiter zeigte sich eine Minderung der Gedächtnisleistung. Angst-assoziiertes Verhalten ließ sich nicht nachweisen. Immunhistochemisch konnten keine Veränderungen in spezifischen Hirnarealen nachgewiesen werden. Molekulare Methoden legen Veränderungen des Serotoninstoffwechsels als mögliche Erklärung nahe. Nach operativer Ligatur eines Herzkrankgefäßes wurden C57/Bl6N Mäuse über einen Zeitraum von 8 Wochen beobachtet. In dieser Zeit wurden neben Herzultraschalluntersuchungen eine Reihe von Verhaltenstest durchgeführt, um depressive und ängstliche Verhaltensstrukturen sowie die kognitive Leistungsfähigkeit beurteilen zu können. Nach Ablauf des Beobachtungszeitraumes wurden das Herz und das Gehirn entnommen und weiteren histologischen und molekularen Untersuchungen zugeführt. Die histologische Aufarbeitung des Herzens nach Ende des Versuchszeitraumes bestätigte die Beobachtungen anderen Autoren, dass eine Infarktgröße von mehr als 30% mit sehr hoher Wahrscheinlichkeit zur Entstehung einer Herzinsuffizienz führt. Im der histologischen Aufarbeitung des Gehirns zeigen sich keine strukturellen Veränderungen bei herzkranken Mäusen, die die beobachteten Änderungen im Verhalten begründen könnten. Insbesondere kann eine hypoxische Hirnschädigung durch eine etwaige Minderperfusion empfindlicher Hirnareale ausgeschlossen werden. Mäuse, die nach Induktion eines Myokardinfarktes eine Herzinsuffizienz entwickeln, zeigen nach 8 Wochen Depressions-assoziiertes, adynamisches Verhalten sowie eine Verminderung der kognitiven Leistungsfähigkeit, nicht aber Anzeichen von Angststörungen. Diesen Verhaltensänderungen kann kein strukturelles Korrelat im Gehirn zugewiesen werden. Dies ist ein Indiz dafür, dass sich Veränderung auf molekularer Ebene vollziehen, welche sich dem Mikroskop entziehen. Die im Myokard beobachtete Regulation des Serotoninstoffwechsels ist ein möglicher Erklärungsansatz hierfür. N2 - Chronic heart failure and depression are common comorbidities, that also have influence on the overall prognosis. The pathomechanisms of these illnesses remain still to be uncovered. In this experiment, we investigated mice with chronic heart failure after myocardial infarction over a period of 8 weeks. Male C57/Bl6N mice underwent ligation of the left anterior descending coronary artery. Heart failure was both confirmed by echocardiography and post-mortem. Sham-operated mice without ligation were used as control group. We discovered that these mice developed behavioral signs of depression in multiple behavioral testing. Also, we found signs for cognitive impairment in the object recognition task. No signs of increased anxiety was found. The hippocampal brain region is associated with the genesis of behaviour. Immunohistochemistry of the brain showed no morphological changes in this distinct area. We found increased expression of genes connected to the serotonine pathway in mice suffering from chronic heart failure, suggesting a possible pathomechanism for the shown behavioral changes. KW - Deutsches Zentrum für Herzinsuffizienz Würzburg KW - Herzinsuffizienz KW - Depression KW - Herzinsuffizienz KW - Depression KW - Verhalten KW - heart failure KW - behavioral changes KW - depression KW - C57/Bl6 Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-154733 ER - TY - THES A1 - Svistunov, Andrey T1 - Langzeitergebnisse der Erhaltungstherapie mit Gemcitabin nach Cisplatin-basierter adjuvanter Chemotherapie des operativ behandelten muskelinfiltrierenden Urothelkarzinoms T1 - Long-term results of maintenance monotherapy with gemcitabine after cisplatin-based adjuvant chemotherapy in surgically treated muscle-invasive urothelial carcinoma N2 - Der Stellenwert der Erhaltungstherapie mit Gemcitabin (GEM), die im Anschluss an die Cisplatin-basierte Polychemotherapie (CBPC) bei den radikal operativ vorbehandelten Patienten mit fortgeschrittenem Urothelkarzinom (UC) erfolgt, bleibt bis dato unklar. In der vorliegenden Arbeit konnten die Ergebnisse der GEM-Erhaltungstherapie mittels retrospektiver Analyse evaluiert werden. Zwischen 1999 und 2013 erhielten 38 operativ vorbehandelte Patienten im Anschluss an die primäre CBPC zusätzlich im vierteljährlichen Intervall zwei konsekutive Infusionen von GEM (1 250 mg/m2) als Erhaltungstherapie. Dieses Kollektiv wurde durch ein ebenso operativ vorbehandeltes Kontrollkollektiv (n = 38), das lediglich eine primäre CBPC erhielt, mittels eines `Propensity Score Matching`-Verfahrens gematched. Mittels Kaplan-Meier-Schätzungen mitsamt dem Log-rank-Test wurden die Gesamtüberlebens- und tumorspezifische Überlebensraten sowie das progressionsfreie Überleben in beiden Kollektiven beurteilt. Die Analyse der Überlebensdaten erfolgte durch die Regressionsmethode nach Cox (proportionales Hazard Modell). Die mediane Follow-Up Zeit betrug 37 Monate bei einem Interquartilsabstand von 9 bis 148 Monaten. Die Patienten, die die GEM-Erhaltungstherapie erhielten, zeigten signifikant bessere Ergebnisse bezüglich der Gesamt-5-Jahres-Überlebensrate (49,2 vs. 26,5 %, p = 0,0314) sowie der tumorspezifischen 5-Jahres-Überlebensrate (61,3 vs. 33,4 %, p = 0,0386). Dabei ergab sich in beiden Kollektiven kein statistisch signifikanter Unterschied bezüglich des progressionsfreien 5-Jahres-Überlebens (10,3 vs. 16,1 %, p = 0,134). Es ist dargelegt, dass die zusätzliche GEM-Erhaltungschemotherapie nach Abschluss der primären CBPC bei operativ vorbehandelten Patienten mit fortgeschrittenem UC sowohl Gesamt- als auch tumorspezifisches Überleben (wenngleich an einem kleinen Patientenkollektiv) verbessern kann. Der Einfluss der GEM-Erhaltungstherapie auf das progressionsfreie Überleben sollte in prospektiven Studien mit großer Patientenanzahl künftig evaluiert werden. N2 - The role of maintenance monotherapy with Gemcitabine (GEM) following cisplatin-based polychemotherapy (CBPC) in patients with surgically treated advanced urothelial carcinoma (UC) remains unclear until now. In the present study, a retrospective analysis was performed to evaluate the results of maintenance monotherapy with GEM. Between 1999 and 2013, 38 patients were identified with surgically treated advanced UC after having completed CBPC who were additionally treated quarterly with two consecutive GEM (1,250 mg/m2) infusions on day 1 and 8 of each bout of maintenance chemotherapy. This collective was matched by propensity score matching to a control collective (n=38) with surgically treated advanced UC following primary CBPC alone. The overall survival (OS), cancer-specific survival (CSS) and progression-free survival (PFS) rates were determined for the two collectives using Kaplan-Meier estimates and the log-rank test. Regression analysis of the survival rates was performed using the Cox proportional hazards model. The median follow-up time was 37 months (interquartile range: 9-148). Patients treated with GEM following primary chemotherapy had a significantly improved outcome related to the 5-year OS (46.2 vs. 26.4%, p=0.0314) and 5-year CSS (61.3 vs. 33.4%, p=0.0386) rates. The 5-year PFS rate did not differ between the two groups (10.3 vs. 16.1%, p=0.134). It is proposed (albeit on a small group of patients) that maintenance monotherapy with GEM improves the OS rate as well the CSS rate following primary CBPC in surgically treated patients with advanced UC. Prospective studies should further determine the impact of maintenance monotherapy with GEM regard to PFS rates in groups comprising larger numbers of patients. KW - Gemcitabin KW - Blasenkrebs KW - Erhaltungstherapie KW - Urothelkarzinom KW - Gemcitabin Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-154666 ER - TY - JOUR A1 - García-Betancur, Juan-Carlos A1 - Goñi-Moreno, Angel A1 - Horger, Thomas A1 - Schott, Melanie A1 - Sharan, Malvika A1 - Eikmeier, Julian A1 - Wohlmuth, Barbara A1 - Zernecke, Alma A1 - Ohlsen, Knut A1 - Kuttler, Christina A1 - Lopez, Daniel T1 - Cell differentiation defines acute and chronic infection cell types in Staphylococcus aureus JF - eLife N2 - A central question to biology is how pathogenic bacteria initiate acute or chronic infections. Here we describe a genetic program for cell-fate decision in the opportunistic human pathogen Staphylococcus aureus, which generates the phenotypic bifurcation of the cells into two genetically identical but different cell types during the course of an infection. Whereas one cell type promotes the formation of biofilms that contribute to chronic infections, the second type is planktonic and produces the toxins that contribute to acute bacteremia. We identified a bimodal switch in the agr quorum sensing system that antagonistically regulates the differentiation of these two physiologically distinct cell types. We found that extracellular signals affect the behavior of the agr bimodal switch and modify the size of the specialized subpopulations in specific colonization niches. For instance, magnesium-enriched colonization niches causes magnesium binding to S. aureusteichoic acids and increases bacterial cell wall rigidity. This signal triggers a genetic program that ultimately downregulates the agr bimodal switch. Colonization niches with different magnesium concentrations influence the bimodal system activity, which defines a distinct ratio between these subpopulations; this in turn leads to distinct infection outcomes in vitro and in an in vivo murine infection model. Cell differentiation generates physiological heterogeneity in clonal bacterial infections and helps to determine the distinct infection types. KW - Staphylococcus aureus KW - infection KW - cell differentiation KW - pathogenic bacteria Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170346 VL - 6 IS - e28023 ER - TY - JOUR A1 - Bocuk, Derya A1 - Wolff, Alexander A1 - Krause, Petra A1 - Salinas, Gabriela A1 - Bleckmann, Annalen A1 - Hackl, Christina A1 - Beissbarth, Tim A1 - Koenig, Sarah T1 - The adaptation of colorectal cancer cells when forming metastases in the liver: expression of associated genes and pathways in a mouse model JF - BMC Cancer N2 - Background: Colorectal cancer (CRC) is the second leading cause of cancer-related death in men and women. Systemic disease with metastatic spread to distant sites such as the liver reduces the survival rate considerably. The aim of this study was to investigate the changes in gene expression that occur on invasion and expansion of CRC cells when forming metastases in the liver. Methods: The livers of syngeneic C57BL/6NCrl mice were inoculated with 1 million CRC cells (CMT-93) via the portal vein, leading to the stable formation of metastases within 4 weeks. RNA sequencing performed on the Illumina platform was employed to evaluate the expression profiles of more than 14,000 genes, utilizing the RNA of the cell line cells and liver metastases as well as from corresponding tumour-free liver. Results: A total of 3329 differentially expressed genes (DEGs) were identified when cultured CMT-93 cells propagated as metastases in the liver. Hierarchical clustering on heat maps demonstrated the clear changes in gene expression of CMT-93 cells on propagation in the liver. Gene ontology analysis determined inflammation, angiogenesis, and signal transduction as the top three relevant biological processes involved. Using a selection list, matrix metallopeptidases 2, 7, and 9, wnt inhibitory factor, and chemokine receptor 4 were the top five significantly dysregulated genes. Conclusion: Bioinformatics assists in elucidating the factors and processes involved in CRC liver metastasis. Our results support the notion of an invasion-metastasis cascade involving CRC cells forming metastases on successful invasion and expansion within the liver. Furthermore, we identified a gene expression signature correlating strongly with invasiveness and migration. Our findings may guide future research on novel therapeutic targets in the treatment of CRC liver metastasis. KW - colorectal cancer (CRC) KW - RNA-sequencing KW - gene expression KW - liver metastasis Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170853 VL - 17 IS - 342 ER - TY - JOUR A1 - Born, Dennis‐Peter A1 - Kunz, Philipp A1 - Sperlich, Billy T1 - Reliability and validity of an agility‐like incremental exercise test with multidirectional change‐of‐direction movements in response to a visual stimulus JF - Physiological Reports N2 - The aim of the study was to evaluate the reliability and validity of cardiorespiratory and metabolic variables, that is, peak oxygen uptake (V'O\(_{2peak}\)) and heart rate (HR\(_{peak}\)), obtained from an agility‐like incremental exercise test for team sport athletes. To investigate the test–retest reliability, 25 team sport athletes (age: 22 ± 3 years, body mass: 75 ± 7 kg, height: 182 ± 6 cm) performed an agility‐like incremental exercise test on the SpeedCourt (SC) system incorporating multidirectional change‐of‐direction (COD) movements twice. For each step of the incremental SC test, the athletes covered a 40‐m distance interspersed with a 10‐sec rest period. Each 40 m distance was split into short sprints (2.25–6.36 m) separated by multidirectional COD movements (0°–180°), which were performed in response to an external visual stimulus. All performance and physiological data were validated with variables obtained from a ramp‐like treadmill and Yo‐Yo intermittent recovery level 2 test (Yo‐Yo IR2). The incremental SC test revealed high test–retest reliability for the time to exhaustion (ICC = 0.85, typical error [TE] = 0.44, and CV% = 3.88), V'O\(_{2peak}\), HR\(_{peak}\), ventilation, and breathing frequency (ICC = 0.84, 0.72, 0.89, 0.77, respectively). The time to exhaustion (r = 0.50, 0.74) of the incremental SC test as well as the peak values for V'O\(_{2}\) (r = 0.59, 0.52), HR (r = 0.75, 0.78), ventilation (r = 0.57, 0.57), and breathing frequency (r = 0.68, 0.68) were significantly correlated (P ≤ 0.01) with the ramp‐like treadmill test and the Yo‐Yo IR2, respectively. The incremental SC test represents a reliable and valid method to assess peak values for V'O\(_{2}\) and HR with respect to the specific demand of team sport match play by incorporating multidirectional COD movements, decision making, and cognitive components. KW - speed KW - Yo‐Yo intermittent recovery KW - change‐of‐direction movement KW - repeated sprint ability KW - team sport Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-158265 VL - 5 IS - 9 ER - TY - JOUR A1 - Kaiser, Sebastian A1 - Sauer, Florian A1 - Kisker, Caroline T1 - The structural and functional characterization of human RecQ4 reveals insights into its helicase mechanism JF - Nature Communications N2 - RecQ4 is a member of the RecQ helicase family, an evolutionarily conserved class of enzymes, dedicated to preserving genomic integrity by operating in telomere maintenance, DNA repair and replication. While reduced RecQ4 activity is associated with cancer predisposition and premature aging, RecQ4 upregulation is related to carcinogenesis and metastasis. Within the RecQ family, RecQ4 assumes an exceptional position, lacking several characteristic RecQ domains. Here we present the crystal structure of human RecQ4, encompassing the conserved ATPase core and a novel C-terminal domain that lacks resemblance to the RQC domain observed in other RecQ helicases. The new domain features a zinc-binding site and two distinct types of winged-helix domains, which are not involved in canonical DNA binding or helicase activity. Based on our structural and functional analysis, we propose that RecQ4 exerts a helicase mechanism, which may be more closely related to bacterial RecQ helicases than to its human family members. KW - x-ray crystallography KW - enzymes KW - RecQ4 KW - humans Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170769 VL - 8 IS - 15907 ER - TY - JOUR A1 - Ruf, Franziska A1 - Fraunholz, Martin A1 - Öchsner, Konrad A1 - Kaderschabeck, Johann A1 - Wegener, Christian T1 - WEclMon - A simple and robust camera-based system to monitor Drosophila eclosion under optogenetic manipulation and natural conditions JF - PLoS ONE N2 - Eclosion in flies and other insects is a circadian-gated behaviour under control of a central and a peripheral clock. It is not influenced by the motivational state of an animal, and thus presents an ideal paradigm to study the relation and signalling pathways between central and peripheral clocks, and downstream peptidergic regulatory systems. Little is known, however, about eclosion rhythmicity under natural conditions, and research into this direction is hampered by the physically closed design of current eclosion monitoring systems. We describe a novel open eclosion monitoring system (WEclMon) that allows the puparia to come into direct contact with light, temperature and humidity. We demonstrate that the system can be used both in the laboratory and outdoors, and shows a performance similar to commercial closed funnel-type monitors. Data analysis is semi-automated based on a macro toolset for the open imaging software Fiji. Due to its open design, the WEclMon is also well suited for optogenetic experiments. A small screen to identify putative neuroendocrine signals mediating time from the central clock to initiate eclosion showed that optogenetic activation of ETH-, EH and myosuppressin neurons can induce precocious eclosion. Genetic ablation of myosuppressin-expressing neurons did, however, not affect eclosion rhythmicity. KW - chronobiology KW - infrared radiation KW - light pulses KW - molting KW - Drosophila melanogaster KW - optogenetics KW - eclosion Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170755 VL - 12 IS - 6 ER - TY - JOUR A1 - Hillmann, Steffi A1 - Wiedmann, Silke A1 - Rücker, Viktoria A1 - Berger, Klaus A1 - Nabavi, Darius A1 - Bruder, Ingo A1 - Koennecke, Hans-Christian A1 - Seidel, Günter A1 - Misselwitz, Björn A1 - Janssen, Alfred A1 - Burmeister, Christoph A1 - Matthis, Christine A1 - Busse, Otto A1 - Hermanek, Peter A1 - Heuschmann, Peter Ulrich T1 - Stroke unit care in Germany: the German stroke registers study group (ADSR) JF - BMC Neurology N2 - Background: Factors influencing access to stroke unit (SU) care and data on quality of SU care in Germany are scarce. We investigated characteristics of patients directly admitted to a SU as well as patient-related and structural factors influencing adherence to predefined indicators of quality of acute stroke care across hospitals providing SU care. Methods: Data were derived from the German Stroke Registers Study Group (ADSR), a voluntary network of 9 regional registers for monitoring quality of acute stroke care in Germany. Multivariable logistic regression analyses were performed to investigate characteristics influencing direct admission to SU. Generalized Linear Mixed Models (GLMM) were used to estimate the influence of structural hospital characteristics (percentage of patients admitted to SU, year of SU-certification, and number of stroke and TIA patients treated per year) on adherence to predefined quality indicators. Results: In 2012 180,887 patients were treated in 255 hospitals providing certified SU care participating within the ADSR were included in the analysis; of those 82.4% were directly admitted to a SU. Ischemic stroke patients without disturbances of consciousness (p < .0001), an interval onset to admission time ≤3 h (p < .0001), and weekend admission (p < .0001) were more likely to be directly admitted to a SU. A higher proportion of quality indicators within predefined target ranges were achieved in hospitals with a higher proportion of SU admission (p = 0.0002). Quality of stroke care could be maintained even if certification was several years ago. Conclusions: Differences in demographical and clinical characteristics regarding the probability of SU admission were observed. The influence of structural characteristics on adherence to evidence-based quality indicators was low. KW - stroke register KW - stroke unit care KW - quality of health care KW - quality indicators Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-159447 VL - 17 IS - 49 ER - TY - JOUR A1 - Bening, Constanze A1 - Hamouda, Khaled A1 - Oezkur, Mehmet A1 - Schimmer, Christoph A1 - Schade, Ina A1 - Gorski, Armin A1 - Aleksic, Ivan A1 - Leyh, Rainer T1 - Rapid deployment valve system shortens operative times for aortic valve replacement through right anterior minithoracotomy JF - Journal of Cardiothoracic Surgery N2 - Background: There is growing evidence from the literature that right anterior minithoracotomy aortic valve replacement (RAT-AVR) improves clinical outcome. However, increased cross clamp time is the strongest argument for surgeons not performing RAT-AVR. Rapid deployment aortic valve systems have the potential to decrease cross-clamp time and ease this procedure. We assessed clinical outcome of rapid deployment and conventional valves through RAT. Methods: Sixty-eight patients (mean age 76 ± 6 years, 32% females) underwent RAT-AVR between 9/2013 and 7/2015. According to the valve type implanted the patients were divided into two groups. In 43 patients (R-group; mean age 74.1 ± 6.6 years) a rapid deployment valve system (Edwards Intuity, Edwards Lifesciences Corp; Irvine, Calif) and in 25 patients (C-group; mean age 74.2 ± 6.6 years) a conventional stented biological aortic valve was implanted. Results: Aortic cross-clamp (42.1 ± 12 min vs. 68.3 ± 20.3 min; p < 0.001) and bypass time (80.4 ± 39.3 min vs. 106.6 ± 23.2 min; p = 0.001) were shorter in the rapid deployment group (R-group). We observed no differences in clinical outcome. Postoperative gradients (R-group: max gradient, 14.3 ± 8 mmHg vs. 15.5 ± 5 mmHg (C-group), mean gradient, 9.2 ± 1.7 mmHg (R-group) vs. 9.1 ± 2.3 mmHg (C-group) revealed no differences. However, larger prostheses were implanted in C-group (25 mm; IQR 23–27 mm vs. 23 mm; IQR 21–25; p = 0.009). Conclusions: Our data suggest that the rapid deployment aortic valve system reduced cross clamp and bypass time in patients undergoing RAT-AVR with similar hemodynamics as with larger size stented prosthesis. However, larger studies and long-term follow-up are mandatory to confirm our findings. KW - aortic valve replacement KW - minimally invasive surgery KW - heart valve prosthesis KW - biological rapid deployment aortic valve Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-159439 VL - 12 IS - 27 ER - TY - JOUR A1 - Düking, Peter A1 - Holmberg, Hans-Christer A1 - Sperlich, Billy T1 - Instant Biofeedback Provided by Wearable Sensor Technology Can Help to Optimize Exercise and Prevent Injury and Overuse JF - Frontiers in Physiology KW - sports KW - training optimization KW - performance monitoring KW - health monitoring KW - technology KW - coaching Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-158044 VL - 8 IS - 167 ER - TY - JOUR A1 - Helmprobst, Frederik A1 - Lillesaar, Christina A1 - Stigloher, Christian T1 - Expression of sept3, sept5a and sept5b in the Developing and Adult Nervous System of the Zebrafish (Danio rerio) JF - Frontiers in Neuroanatomy N2 - Septins are a highly conserved family of small GTPases that form cytoskeletal filaments. Their cellular functions, especially in the nervous system, still remain largely enigmatic, but there are accumulating lines of evidence that septins play important roles in neuronal physiology and pathology. In order to further dissect septin function in the nervous system a detailed temporal resolved analysis in the genetically well tractable model vertebrate zebrafish (Danio rerio) is crucially necessary. To close this knowledge gap we here provide a reference dataset describing the expression of selected septins (sept3, sept5a and sept5b) in the zebrafish central nervous system. Strikingly, proliferation zones are devoid of expression of all three septins investigated, suggesting that they have a role in post-mitotic neural cells. Our finding that three septins are mainly expressed in non-proliferative regions was further confirmed by double-stainings with a proliferative marker. Our RNA in situ hybridization (ISH) study, detecting sept3, sept5a and sept5b mRNAs, shows that all three septins are expressed in largely overlapping regions of the developing brain. However, the expression of sept5a is much more confined compared to sept3 and sept5b. In contrast, the expression of all the three analyzed septins is largely similar in the adult brain. KW - retinal development KW - sept5b KW - septin KW - RNA in situ hybridization KW - neuronal development KW - sept3 KW - sept5a Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-157625 VL - 11 IS - 6 ER - TY - JOUR A1 - Lilla, Nadine A1 - Füllgraf, Hannah A1 - Stetter, Christian A1 - Köhler, Stefan A1 - Ernestus, Ralf-Ingo A1 - Westermaier, Thomas T1 - First Description of Reduced Pyruvate Dehydrogenase Enzyme Activity Following Subarachnoid Hemorrhage (SAH) JF - Frontiers in Neuroscience N2 - Object: Several previous studies reported metabolic derangements and an accumulation of metabolic products in the early phase of experimental subarachnoid hemorrhage (SAH), which may contribute to secondary brain damage. This may be a result of deranged oxygen utilization due to enzymatic dysfunction in aerobic glucose metabolism. This study was performed to investigate, if pyruvate dehydrogenase enzyme (PDH) is affected in its activity giving further hints for a derangement of oxidative metabolism. Methods: Eighteen male Sprague-Dawley rats were randomly assigned to one of two experimental groups (n = 9): (1) SAH induced by the endovascular filament model and (2) sham-operated controls. Mean arterial blood pressure (MABP), intracranial pressure (ICP), and local cerebral blood flow (LCBF; laser-Doppler flowmetry) were continuously monitored from 30 min before until 3 h after SAH. Thereafter, the animals were sacrificed and PDH activity was measured by ELISA. Results: PDH activity was significantly reduced in animals subjected to SAH compared to controls. Conclusion: The results of this study demonstrate for the first time a reduction of PDH activity following SAH, independent of supply of substrates and may be an independent factor contributing to a derangement of oxidative metabolism, failure of oxygen utilization, and secondary brain damage. KW - secondary brain damage KW - aerobic glycolysis KW - CBF KW - metabolism KW - PDH KW - SAH Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-157636 VL - 11 IS - 37 ER - TY - JOUR A1 - Erdmenger, Johanna A1 - Hoyos, Carlos A1 - O'Bannon, Andy A1 - Papadimitriou, Ioannis A1 - Probst, Jonas A1 - Wu, Jackson M.S. T1 - Two-point functions in a holographic Kondo model JF - Journal of High Energy Physics N2 - We develop the formalism of holographic renormalization to compute two-point functions in a holographic Kondo model. The model describes a (0 + 1)-dimensional impurity spin of a gauged SU(N ) interacting with a (1 + 1)-dimensional, large-N , strongly-coupled Conformal Field Theory (CFT). We describe the impurity using Abrikosov pseudo-fermions, and define an SU(N )-invariant scalar operator O built from a pseudo-fermion and a CFT fermion. At large N the Kondo interaction is of the form O\(^{†}\)O, which is marginally relevant, and generates a Renormalization Group (RG) flow at the impurity. A second-order mean-field phase transition occurs in which O condenses below a critical temperature, leading to the Kondo effect, including screening of the impurity. Via holography, the phase transition is dual to holographic superconductivity in (1 + 1)-dimensional Anti-de Sitter space. At all temperatures, spectral functions of O exhibit a Fano resonance, characteristic of a continuum of states interacting with an isolated resonance. In contrast to Fano resonances observed for example in quantum dots, our continuum and resonance arise from a (0 + 1)-dimensional UV fixed point and RG flow, respectively. In the low-temperature phase, the resonance comes from a pole in the Green’s function of the form −i〈O〉\(^{2}\), which is characteristic of a Kondo resonance. KW - holography and condensed matter physics (AdS/CMT) KW - AdS-CFT Correspondence KW - gauge-gravity correspondence Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-171139 VL - 3 IS - 39 ER - TY - JOUR A1 - Grabarczyk, Daniel B. A1 - Berks, Ben C. T1 - Intermediates in the Sox sulfur oxidation pathway are bound to a sulfane conjugate of the carrier protein SoxYZ JF - PLoS ONE N2 - The Sox pathway found in many sulfur bacteria oxidizes thiosulfate to sulfate. Pathway intermediates are covalently bound to a cysteine residue in the carrier protein SoxYZ. We have used biochemical complementation by SoxYZ-conjugates to probe the identity of the intermediates in the Sox pathway. We find that unconjugated SoxYZ and SoxYZ-S-sulfonate are unlikely to be intermediates during normal turnover in disagreement with current models. By contrast, conjugates with multiple sulfane atoms are readily metabolised by the Sox pathway. The most parsimonious interpretation of these data is that the true carrier species in the Sox pathway is a SoxYZ-S-sulfane adduct. KW - thiosulfates KW - oxidation KW - sulfur KW - cysteine KW - sulfides KW - thermodynamics KW - sulfates KW - sulfites Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-171147 VL - 12 IS - 3 ER - TY - JOUR A1 - Pfister, Roland A1 - Schwarz, Katharina A. A1 - Wirth, Robert A1 - Lindner, Isabel T1 - My Command, My Act: Observation Inflation in Face-To-Face Interactions JF - Advances in Cognitive Psychology N2 - When observing another agent performing simple actions, these actions are systematically remembered as one’s own after a brief period of time. Such observation inflation has been documented as a robust phenomenon in studies in which participants passively observed videotaped actions. Whether observation inflation also holds for direct, face-to-face interactions is an open question that we addressed in two experiments. In Experiment 1, participants commanded the experimenter to carry out certain actions, and they indeed reported false memories of self-performance in a later memory test. The effect size of this inflation effect was similar to passive observation as confirmed by Experiment 2. These findings suggest that observation inflation might affect action memory in a broad range of real-world interactions. KW - observation inflation KW - memory bias KW - action observation KW - motor simulation Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170739 VL - 13 IS - 2 ER - TY - JOUR A1 - Hofmann, Lukas A1 - Karl, Franziska A1 - Sommer, Claudia A1 - Üçeyler, Nurcan T1 - Affective and cognitive behavior in the alpha-galactosidase A deficient mouse model of Fabry disease JF - PLoS ONE N2 - Fabry disease is an X-linked inherited lysosomal storage disorder with intracellular accumulation of globotriaosylceramide (Gb3) due to α-galactosidase A (α-Gal A) deficiency. Fabry patients frequently report of anxiety, depression, and impaired cognitive function. We characterized affective and cognitive phenotype of male mice with α-Gal A deficiency (Fabry KO) and compared results with those of age-matched male wildtype (WT) littermates. Young (3 months) and old (≥ 18 months) mice were tested in the naïve state and after i.pl. injection of complete Freund`s adjuvant (CFA) as an inflammatory pain model. We used the elevated plus maze (EPM), the light-dark box (LDB) and the open field test (OF) to investigate anxiety-like behavior. The forced swim test (FST) and Morris water maze (MWM) were applied to assess depressive-like and learning behavior. The EPM test revealed no intergroup difference for anxiety-like behavior in naïve young and old Fabry KO mice compared to WT littermates, except for longer time spent in open arms of the EPM for young WT mice compared to young Fabry KO mice (p<0.05). After CFA injection, young Fabry KO mice showed increased anxiety-like behavior compared to young WT littermates (p<0.05) and naïve young Fabry KO mice (p<0.05) in the EPM as reflected by shorter time spent in EPM open arms. There were no relevant differences in the LDB and the OF test, except for longer time spent in the center zone of the OF by young WT mice compared to young Fabry KO mice (p<0.05). Complementary to this, depression-like and learning behavior were not different between genotypes and age-groups, except for the expectedly lower memory performance in older age-groups compared to young mice. Our results indicate that genetic influences on affective and cognitive symptoms in FD may be of subordinate relevance, drawing attention to potential influences of environmental and epigenetic factors. KW - cognitive impairment KW - mouse models KW - depression KW - swimming KW - learning KW - Fabry disease KW - genetics Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170745 VL - 12 IS - 6 ER - TY - JOUR A1 - Dombert, Benjamin A1 - Balk, Stefanie A1 - Lüningschrör, Patrick A1 - Moradi, Mehri A1 - Sivadasan, Rajeeve A1 - Saal-Bauernschubert, Lena A1 - Jablonka, Sibylle T1 - BDNF/trkB induction of calcium transients through Ca\(_{v}\)2.2 calcium channels in motoneurons corresponds to F-actin assembly and growth cone formation on β2-chain laminin (221) JF - Frontiers in Molecular Neuroscience N2 - Spontaneous Ca\(^{2+}\) transients and actin dynamics in primary motoneurons correspond to cellular differentiation such as axon elongation and growth cone formation. Brain-derived neurotrophic factor (BDNF) and its receptor trkB support both motoneuron survival and synaptic differentiation. However, in motoneurons effects of BDNF/trkB signaling on spontaneous Ca\(^{2+}\) influx and actin dynamics at axonal growth cones are not fully unraveled. In our study we addressed the question how neurotrophic factor signaling corresponds to cell autonomous excitability and growth cone formation. Primary motoneurons from mouse embryos were cultured on the synapse specific, β2-chain containing laminin isoform (221) regulating axon elongation through spontaneous Ca\(^{2+}\) transients that are in turn induced by enhanced clustering of N-type specific voltage-gated Ca\(^{2+}\) channels (Ca\(_{v}\)2.2) in axonal growth cones. TrkB-deficient (trkBTK\(^{-/-}\)) mouse motoneurons which express no full-length trkB receptor and wildtype motoneurons cultured without BDNF exhibited reduced spontaneous Ca\(^{2+}\) transients that corresponded to altered axon elongation and defects in growth cone morphology which was accompanied by changes in the local actin cytoskeleton. Vice versa, the acute application of BDNF resulted in the induction of spontaneous Ca\(^{2+}\) transients and Ca\(_{v}\)2.2 clustering in motor growth cones, as well as the activation of trkB downstream signaling cascades which promoted the stabilization of β-actin via the LIM kinase pathway and phosphorylation of profilin at Tyr129. Finally, we identified a mutual regulation of neuronal excitability and actin dynamics in axonal growth cones of embryonic motoneurons cultured on laminin-221/211. Impaired excitability resulted in dysregulated axon extension and local actin cytoskeleton, whereas upon β-actin knockdown Ca\(_{v}\)2.2 clustering was affected. We conclude from our data that in embryonic motoneurons BDNF/trkB signaling contributes to axon elongation and growth cone formation through changes in the local actin cytoskeleton accompanied by increased Ca\(_{v}\)2.2 clustering and local calcium transients. These findings may help to explore cellular mechanisms which might be dysregulated during maturation of embryonic motoneurons leading to motoneuron disease. KW - growth cone KW - BDNF KW - trkB KW - Ca\(_{v}\)2.2 KW - F-actin KW - motor axon Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-159094 VL - 10 IS - 346 ER - TY - JOUR A1 - Geiger, Julia A1 - Hirtler, Daniel A1 - Gottfried, Kristina A1 - Rahman, Ozair A1 - Bollache, Emilie A1 - Barker, Alex J. A1 - Markl, Michael A1 - Stiller, Brigitte T1 - Longitudinal Evaluation of Aortic Hemodynamics in Marfan Syndrome: New Insights from a 4D Flow Cardiovascular Magnetic Resonance Multi-Year Follow-Up Study JF - Journal of Cardiovascular Magnetic Resonance N2 - Background The aim of this 4D flow cardiovascular magnetic resonance (CMR) follow-up study was to investigate longitudinal changes in aortic hemodynamics in adolescent patients with Marfan syndrome (MFS). Methods 4D flow CMR for the assessment of in-vivo 3D blood flow with full coverage of the thoracic aorta was performed twice (baseline scan t1/follow-up scan t2) in 19 adolescent MFS patients (age at t1: 12.7 ± 3.6 years, t2: 16.2 ± 4.3 years) with a mean follow-up duration of 3.5 ± 1.2 years. Ten healthy volunteers (24 ± 3.8 years) served as a control group. Data analysis included aortic blood flow visualization by color-coded 3D pathlines, and grading of flow patterns (helices/vortices) on a 3-point scale (none, moderate, severe; blinded reading, 2 observers). Regional aortic peak systolic velocities and systolic 3D wall shear stress (WSS) along the entire aortic wall were quantified. Z-Scores of the aortic root and proximal descending aorta (DAo) were assessed. Results Regional systolic WSS was stable over the follow-up duration, except for a significant decrease in the proximal inner DAo segment (p = 0.02) between t1 and t2. MFS patients revealed significant lower mean systolic WSS in the proximal inner DAo compared with volunteers (0.78 ± 0.15 N/m\(^{2}\)) at baseline t1 (0.60 ± 0.18 N/m\(^{2}\); p = 0.01) and follow-up t2 (0.55 ± 0.16 N/m\(^{2}\); p = 0.001). There were significant relationships (p < 0.01) between the segmental WSS in the proximal inner DAo, DAo Z-scores (r = −0.64) and helix/vortex pattern grading (r = −0.55) at both t1 and t2. The interobserver agreement for secondary flow patterns assessment was excellent (Cohen’s k = 0.71). Conclusions MFS patients have lower segmental WSS in the inner proximal DAo segment which correlates with increased localized aberrant vortex/helix flow patterns and an enlarged diameter at one of the most critical sites for aortic dissection. General aortic hemodynamics are stable but these subtle localized DAo changes are already present at young age and tend to be more pronounced in the course of time. KW - Marfan syndrome KW - wall shear stress KW - hemodynamics KW - 4D flow cardiovascular magnetic resonance KW - follow-up KW - aorta Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-171119 VL - 19 IS - 33 ER - TY - JOUR A1 - Fehrholz, Markus A1 - Glaser, Kirsten A1 - Speer, Christian P. A1 - Seidenspinner, Silvia A1 - Ottensmeier, Barbara A1 - Kunzmann, Steffen T1 - Caffeine modulates glucocorticoid-induced expression of CTGF in lung epithelial cells and fibroblasts JF - Respiratory Research N2 - Background: Although caffeine and glucocorticoids are frequently used to treat chronic lung disease in preterm neonates, potential interactions are largely unknown. While anti-inflammatory effects of glucocorticoids are well defined, their impact on airway remodeling is less characterized. Caffeine has been ascribed to positive effects on airway inflammation as well as remodeling. Connective tissue growth factor (CTGF, CCN2) plays a key role in airway remodeling and has been implicated in the pathogenesis of chronic lung diseases such as bronchopulmonary dysplasia (BPD) in preterm infants. The current study addressed the impact of glucocorticoids on the regulation of CTGF in the presence of caffeine using human lung epithelial and fibroblast cells. Methods: The human airway epithelial cell line H441 and the fetal lung fibroblast strain IMR-90 were exposed to different glucocorticoids (dexamethasone, budesonide, betamethasone, prednisolone, hydrocortisone) and caffeine. mRNA and protein expression of CTGF, TGF-β1-3, and TNF-α were determined by means of quantitative real-time PCR and immunoblotting. H441 cells were additionally treated with cAMP, the adenylyl cyclase activator forskolin, and the selective phosphodiesterase (PDE)-4 inhibitor cilomilast to mimic caffeine-mediated PDE inhibition. Results: Treatment with different glucocorticoids (1 μM) significantly increased CTGF mRNA levels in H441 (p < 0.0001) and IMR-90 cells (p < 0.01). Upon simultaneous exposure to caffeine (10 mM), both glucocorticoid-induced mRNA and protein expression were significantly reduced in IMR-90 cells (p < 0.0001). Of note, 24 h exposure to caffeine alone significantly suppressed basal expression of CTGF mRNA and protein in IMR-90 cells. Caffeine-induced reduction of CTGF mRNA expression seemed to be independent of cAMP levels, adenylyl cyclase activation, or PDE-4 inhibition. While dexamethasone or caffeine treatment did not affect TGF-β1 mRNA in H441 cells, increased expression of TGF-β2 and TGF-β3 mRNA was detected upon exposure to dexamethasone or dexamethasone and caffeine, respectively. Moreover, caffeine increased TNF-α mRNA in H441 cells (6.5 ± 2.2-fold, p < 0.05) which has been described as potent inhibitor of CTGF expression. Conclusions: In addition to well-known anti-inflammatory features, glucocorticoids may have adverse effects on long-term remodeling by TGF-β1-independent induction of CTGF in lung cells. Simultaneous treatment with caffeine may attenuate glucocorticoid-induced expression of CTGF, thereby promoting restoration of lung homeostasis. KW - airway remodeling KW - fibrosis KW - bronchopulmonary dysplasia KW - caffeine KW - CCN2 KW - CTGF KW - glucocorticoids KW - H441 KW - IMR-90 Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-157672 VL - 18 IS - 51 ER - TY - JOUR A1 - Schindler, Julia A1 - Richter, Tobias A1 - Eyßer, Carolin T1 - Mood moderates the effect of self-generation during learning JF - Frontline Learning Research N2 - Generating information, compared to reading, improves learning and enhances long-term retention of the learned content. This so-called generation effect has been demonstrated repeatedly for recall and recognition of single words. However, before adopting generating as a learning strategy in educational contexts, conditions moderating the effect need to be identified. This study investigated the impact of positive and negative mood states on the generation effect with short expository texts. According to the dual-force framework (Fiedler, Nickel, Asbeck, & Pagel, 2003), positive mood should facilitate generation by enhancing creative knowledge-based top-down processing (assimilation). Negative mood, however, should facilitate learning in the read-condition by enhancing critical stimulus-driven bottom-up processing (accommodation). In contrast to our expectations, we found no general generation effect but an overall learning advantage of read compared to generated texts. However, a significant interaction of learning condition and mood indicates that learners in a better mood recall generated texts better than learners in a more negative mood, whereas no mood effect was found when the texts were read. The results of the present study partially support the predictions of the dual-force framework and are discussed in the context of recent theoretical approaches to the generation effect. KW - mood states KW - generation effect KW - learning with expository texts Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-159282 VL - 5 IS - 4 ER - TY - JOUR A1 - Kelm, M. A1 - Seyfried, F. A1 - Reimer, S. A1 - Krajinovic, K. A1 - Miras, A. D. A1 - Jurowich, C. A1 - Germer, C. T. A1 - Brand, M. T1 - Proximal jejunal stoma as ultima ratio in case of traumatic distal duodenal perforation facilitating successful EndoVAC\(^{®}\) treatment: a case report JF - International Journal of Surgery Case Reports N2 - Introduction: During damage control surgery for blunt abdominal traumata simultaneous duodenal perforations can be missed making secondary sufficient surgical treatment challenging. Endoluminal vacuum (EndoVAC™) therapy has been shown to be a revolutionary option but has anatomical and technical limits. Presentation of the case: A 59-year old man with hemorrhagic shock due to rupture of the mesenteric root after blunt abdominal trauma received damage control treatment. Within a scheduled second-look, perforation of the posterior duodenal wall was identified. Due to local and systemic conditions, further surgical treatment was limited. Decision for endoscopic treatment was made but proved to be difficult due to the distal location. Finally, double-barreled jejunal stoma was created for transstomal EndoVAC™ treatment. Complete leakage healing was achieved and jejunostomy reversal followed subsequently. Discussion: During damage control surgery simultaneous bowel injuries can be missed leading to life-threatening complications with limited surgical options. EndoVAC™ treatment is an option for gastrointestinal perforations but has anatomical limitations that can be sufficiently shifted by a transstomal approach for intestinal leakage. Conclusion: In trauma related laparotomy complete mobilization of the duodenum is crucial. As ultima ratio, transstomal EndoVAC™ is a safe and feasible option and can be considered for similar cases. KW - transstomal endoluminal vacuum therapy KW - EndoVAC and small bowel KW - duodenal trauma KW - duodenal perforation Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-159292 VL - 41 ER - TY - JOUR A1 - Ickrath, Pascal A1 - Wagner, Martin A1 - Scherzad, Agmal A1 - Gehrke, Thomas A1 - Burghartz, Marc A1 - Hagen, Rudolf A1 - Radeloff, Katrin A1 - Kleinsasser, Norbert A1 - Hackenberg, Stephan T1 - Time-Dependent Toxic and Genotoxic Effects of Zinc Oxide Nanoparticles after Long-Term and Repetitive Exposure to Human Mesenchymal Stem Cells JF - International Journal of Environmental Research and Public Health N2 - Zinc oxide nanoparticles (ZnO-NP) are widely spread in consumer products. Data about the toxicological characteristics of ZnO-NP is still under controversial discussion. The human skin is the most important organ concerning ZnO-NP exposure. Intact skin was demonstrated to be a sufficient barrier against NPs; however, defect skin may allow NP contact to proliferating cells. Within these cells, stem cells are the most important toxicological target for NPs. The aim of this study was to evaluate the genotoxic and cytotoxic effects of ZnO-NP at low-dose concentrations after long-term and repetitive exposure to human mesenchymal stem cells (hMSC). Cytotoxic effects of ZnO-NP were measured by the 3-(4,5-dimethylthiazol-2-yl)-2,5-diphenyl tetrazolium bromide (MTT) assay. Furthermore, genotoxicity was evaluated by the comet assay. For long-term observation over 6 weeks, transmission electron microscopy (TEM) was applied. The results of the study indicated cytotoxic effects of ZnO-NP beginning at high concentrations of 50 μg/mL and genotoxic effects in hMSC exposed to 1 and 10 μg/mL ZnO-NP. Repetitive exposure enhanced cyto- but not genotoxicity. Intracellular NP accumulation was observed up to 6 weeks. The results suggest cytotoxic and genotoxic potential of ZnO-NP. Even low doses of ZnO-NP may induce toxic effects as a result of repetitive exposure and long-term cellular accumulation. This data should be considered before using ZnO-NP on damaged skin. KW - zinc oxide KW - ZnO KW - nanoparticles KW - cytotoxicity KW - toxicity KW - genotoxicity Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-169932 VL - 14 IS - 12 ER - TY - GEN T1 - Jahresbericht 2016 des Rechenzentrums der Universität Würzburg T1 - Annual Report 2016 of the Computer Center, University of Wuerzburg N2 - Das Dokument umfasst eine jährliche Zusammenfassung der Aktivitäten des Rechenzentrums als zentraler IT-Dienstleister der Universität Würzburg T3 - Jahresbericht des Rechenzentrums der Universität Würzburg - 2016 KW - Jahresbericht KW - Julius-Maximilians-Universität Würzburg KW - Rechenzentrum KW - annual report KW - Computer Center University of Wuerzburg KW - RZUW Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-153558 UR - https://www.rz.uni-wuerzburg.de/wir/publikationen/ ET - 1. Auflage ER - TY - JOUR A1 - Schäfer, Kristina A1 - Bauer, Boris A1 - Donhauser, Julian A1 - Kerstan, Andreas A1 - Hamm, Henning T1 - Becker Naevus Syndrome of the Lower Body: A New Case and Review of the Literature JF - Acta Dermato-Venereologica N2 - Becker naevus syndrome is a rare epidermal naevus syndrome defined by the co-occurrence of a Becker naevus with various cutaneous, muscular and skeletal anomalies. In the majority of cases, abnormalities exclusively consist of ipsilateral hypoplasia of the breast, areola and/or nipple in addition to the naevus. Here, we report on a 42-year-old woman with an extensive Becker naevus reaching from the left buttock to the left calf verified on histological examination. In addition, there was marked hypoplasia of the fatty tissue of the left thigh confirmed by magnetic resonance imaging in contrast to hyperplasia of the fatty tissue of the left gluteal area. Underlying muscles and bones were not affected. There was no difference in leg lengths. In addition, we review and discuss the features of Becker naevus syndrome with emphasis on 10 reported cases with involvement of the lower body. KW - lower body KW - Becker naevus KW - Becker naevus syndrome KW - hypoplasia of fatty tissue Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-171057 VL - 97 IS - 4 ER - TY - JOUR A1 - von Mammen, Sebastian Albrecht A1 - Wagner, Daniel A1 - Knote, Andreas A1 - Taskin, Umut T1 - Interactive simulations of biohybrid systems JF - Frontiers in Robotics and AI N2 - In this article, we present approaches to interactive simulations of biohybrid systems. These simulations are comprised of two major computational components: (1) agent-based developmental models that retrace organismal growth and unfolding of technical scaffoldings and (2) interfaces to explore these models interactively. Simulations of biohybrid systems allow us to fast forward and experience their evolution over time based on our design decisions involving the choice, configuration and initial states of the deployed biological and robotic actors as well as their interplay with the environment. We briefly introduce the concept of swarm grammars, an agent-based extension of L-systems for retracing growth processes and structural artifacts. Next, we review an early augmented reality prototype for designing and projecting biohybrid system simulations into real space. In addition to models that retrace plant behaviors, we specify swarm grammar agents to braid structures in a self-organizing manner. Based on this model, both robotic and plant-driven braiding processes can be experienced and explored in virtual worlds. We present an according user interface for use in virtual reality. As we present interactive models concerning rather diverse description levels, we only ensured their principal capacity for interaction but did not consider efficiency analyzes beyond prototypic operation. We conclude this article with an outlook on future works on melding reality and virtuality to drive the design and deployment of biohybrid systems. KW - biohybrid systems KW - augmented reality KW - virtual reality KW - user interfaces KW - biological development KW - generative systems Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-195755 SN - 2296-9144 VL - 4 ER - TY - JOUR A1 - Fisseler, Denis A1 - Müller, Gerfrid G. W. A1 - Weichert, Frank T1 - Web-Based scientific exploration and analysis of 3D scanned cuneiform datasets for collaborative research JF - Informatics N2 - The three-dimensional cuneiform script is one of the oldest known writing systems and a central object of research in Ancient Near Eastern Studies and Hittitology. An important step towards the understanding of the cuneiform script is the provision of opportunities and tools for joint analysis. This paper presents an approach that contributes to this challenge: a collaborative compatible web-based scientific exploration and analysis of 3D scanned cuneiform fragments. The WebGL -based concept incorporates methods for compressed web-based content delivery of large 3D datasets and high quality visualization. To maximize accessibility and to promote acceptance of 3D techniques in the field of Hittitology, the introduced concept is integrated into the Hethitologie-Portal Mainz, an established leading online research resource in the field of Hittitology, which until now exclusively included 2D content. The paper shows that increasing the availability of 3D scanned archaeological data through a web-based interface can provide significant scientific value while at the same time finding a trade-off between copyright induced restrictions and scientific usability. KW - cuneiform KW - 3D viewer KW - WebGL KW - Hittitology KW - 3D collation Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-197958 SN - 2227-9709 VL - 4 IS - 4 ER - TY - JOUR A1 - Milanos, Sinem A1 - Elsharif, Shaimaa A. A1 - Janzen, Dieter A1 - Buettner, Andrea A1 - Villmann, Carmen T1 - Metabolic Products of Linalool and Modulation of GABA\(_{A}\) Receptors JF - Frontiers in Chemistry N2 - Terpenoids are major subcomponents in aroma substances which harbor sedative physiological potential. We have demonstrated that various monoterpenoids such as the acyclic linalool enhance GABAergic currents in an allosteric manner in vitro upon overexpression of inhibitory α1β2 GABA\(_{A}\) receptors in various expression systems. However, in plants or humans, i.e., following intake via inhalation or ingestion, linalool undergoes metabolic modifications including oxygenation and acetylation, which may affect the modulatory efficacy of the generated linalool derivatives. Here, we analyzed the modulatory potential of linalool derivatives at α1β2γ2 GABA\(_{A}\) receptors upon transient overexpression. Following receptor expression control, electrophysiological recordings in a whole cell configuration were used to determine the chloride influx upon co-application of GABA EC\(_{10-30}\) together with the modulatory substance. Our results show that only oxygenated linalool metabolites at carbon 8 positively affect GABAergic currents whereas derivatives hydroxylated or carboxylated at carbon 8 were rather ineffective. Acetylated linalool derivatives resulted in non-significant changes of GABAergic currents. We can conclude that metabolism of linalool reduces its positive allosteric potential at GABAA receptors compared to the significant potentiation effects of the parent molecule linalool itself. KW - Cys-loop receptor KW - GABA\(_{A}\) KW - receptor KW - linalool KW - linalyl acetate KW - oxygenation KW - patch-clamp Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170779 VL - 5 IS - 46 ER - TY - JOUR A1 - Dütting, Sebastian A1 - Gaits-Iacovoni, Frederique A1 - Stegner, David A1 - Popp, Michael A1 - Antkowiak, Adrien A1 - van Eeuwijk, Judith M.M. A1 - Nurden, Paquita A1 - Stritt, Simon A1 - Heib, Tobias A1 - Aurbach, Katja A1 - Angay, Oguzhan A1 - Cherpokova, Deya A1 - Heinz, Niels A1 - Baig, Ayesha A. A1 - Gorelashvili, Maximilian G. A1 - Gerner, Frank A1 - Heinze, Katrin G. A1 - Ware, Jerry A1 - Krohne, Georg A1 - Ruggeri, Zaverio M. A1 - Nurden, Alan T. A1 - Schulze, Harald A1 - Modlich, Ute A1 - Pleines, Irina A1 - Brakebusch, Cord A1 - Nieswandt, Bernhard T1 - A Cdc42/RhoA regulatory circuit downstream of glycoprotein Ib guides transendothelial platelet biogenesis JF - Nature Communications N2 - Blood platelets are produced by large bone marrow (BM) precursor cells, megakaryocytes (MKs), which extend cytoplasmic protrusions (proplatelets) into BM sinusoids. The molecular cues that control MK polarization towards sinusoids and limit transendothelial crossing to proplatelets remain unknown. Here, we show that the small GTPases Cdc42 and RhoA act as a regulatory circuit downstream of the MK-specific mechanoreceptor GPIb to coordinate polarized transendothelial platelet biogenesis. Functional deficiency of either GPIb or Cdc42 impairs transendothelial proplatelet formation. In the absence of RhoA, increased Cdc42 activity and MK hyperpolarization triggers GPIb-dependent transmigration of entire MKs into BM sinusoids. These findings position Cdc42 (go-signal) and RhoA (stop-signal) at the centre of a molecular checkpoint downstream of GPIb that controls transendothelial platelet biogenesis. Our results may open new avenues for the treatment of platelet production disorders and help to explain the thrombocytopenia in patients with Bernard–Soulier syndrome, a bleeding disorder caused by defects in GPIb-IX-V. KW - megakaryocytes KW - blood platelets KW - regulatory circuit downstream KW - glycoprotein Ib Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170797 VL - 8 IS - 15838 ER - TY - JOUR A1 - Stegner, David A1 - van Eeuwijk, Judith M.M. A1 - Angay, Oğuzhan A1 - Gorelashvili, Maximilian G. A1 - Semeniak, Daniela A1 - Pinnecker, Jürgen A1 - Schmithausen, Patrick A1 - Meyer, Imke A1 - Friedrich, Mike A1 - Dütting, Sebastian A1 - Brede, Christian A1 - Beilhack, Andreas A1 - Schulze, Harald A1 - Nieswandt, Bernhard A1 - Heinze, Katrin G. T1 - Thrombopoiesis is spatially regulated by the bone marrow vasculature JF - Nature Communications N2 - In mammals, megakaryocytes (MKs) in the bone marrow (BM) produce blood platelets, required for hemostasis and thrombosis. MKs originate from hematopoietic stem cells and are thought to migrate from an endosteal niche towards the vascular sinusoids during their maturation. Through imaging of MKs in the intact BM, here we show that MKs can be found within the entire BM, without a bias towards bone-distant regions. By combining in vivo two-photon microscopy and in situ light-sheet fluorescence microscopy with computational simulations, we reveal surprisingly slow MK migration, limited intervascular space, and a vessel-biased MK pool. These data challenge the current thrombopoiesis model of MK migration and support a modified model, where MKs at sinusoids are replenished by sinusoidal precursors rather than cells from a distant periostic niche. As MKs do not need to migrate to reach the vessel, therapies to increase MK numbers might be sufficient to raise platelet counts. KW - bone marrow KW - megakaryocytes KW - thrombopoiesis Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-170591 VL - 8 IS - 127 ER - TY - JOUR A1 - Schuhmann, Michael K. A1 - Guthmann, Josua A1 - Stoll, Guido A1 - Nieswandt, Bernhard A1 - Kraft, Peter A1 - Kleinschnitz, Christoph T1 - Blocking of platelet glycoprotein receptor Ib reduces “thrombo-inflammation” in mice with acute ischemic stroke JF - Journal of Neuroinflammation N2 - Background: Ischemic stroke causes a strong inflammatory response that includes T cells, monocytes/macrophages, and neutrophils. Interaction of these immune cells with platelets and endothelial cells facilitates microvascular dysfunction and leads to secondary infarct growth. We recently showed that blocking of platelet glycoprotein (GP) receptor Ib improves stroke outcome without increasing the risk of intracerebral hemorrhage. Until now, it has been unclear whether GPIb only mediates thrombus formation or also contributes to the pathophysiology of local inflammation. Methods: Focal cerebral ischemia was induced in C57BL/6 mice by a 60-min transient middle cerebral artery occlusion (tMCAO). Animals were treated with antigen-binding fragments (Fab) against the platelet surface molecules GPIb (p0p/B Fab). Rat immunoglobulin G (IgG) Fab was used as control treatment. Stroke outcome, including infarct size and functional deficits as well as the local inflammatory response, was assessed on day 1 after tMCAO. Results: Blocking of GPIb reduced stroke size and improved functional outcome on day 1 after tMCAO without increasing the risk of intracerebral hemorrhage. As expected, disruption of GPIb-mediated pathways in platelets significantly reduced thrombus burden in the cerebral microvasculature. In addition, inhibition of GPIb limited the local inflammatory response in the ischemic brain as indicated by lower numbers of infiltrating T cells and macrophages and lower expression levels of inflammatory cytokines compared with rat IgG Fab-treated controls. Conclusion: In acute ischemic stroke, thrombus formation and inflammation are closely intertwined (“thrombo-inflammation”). Blocking of platelet GPIb can ameliorate thrombo-inflammation. KW - ischemic stroke KW - occlusion KW - transient middle cerebral artery KW - glycoprotein receptor Ib KW - thrombo-inflammation Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-157582 VL - 14 IS - 18 ER - TY - JOUR A1 - Sperlich, Billy A1 - Becker, Martin A1 - Hotho, Andreas A1 - Wallmann-Sperlich, Birgit A1 - Sareban, Mahdi A1 - Winkert, Kay A1 - Steinacker, Jürgen M. A1 - Treff, Gunnar T1 - Sedentary behavior among national elite rowers during off-training — a pilot study JF - Frontiers in Physiology N2 - The aim of this pilot study was to analyze the off-training physical activity (PA) profile in national elite German U23 rowers during 31 days of their preparation period. The hours spent in each PA category (i.e., sedentary: <1.5 metabolic equivalents (MET); light physical activity: 1.5–3 MET; moderate physical activity: 3–6 MET and vigorous intense physical activity: >6 MET) were calculated for every valid day (i.e., >480 min of wear time). The off-training PA during 21 weekdays and 10 weekend days of the final 11-week preparation period was assessed by the wrist-worn multisensory device Microsoft Band II (MSBII). A total of 11 rowers provided valid data (i.e., >480 min/day) for 11.6 week days and 4.8 weekend days during the 31 days observation period. The average sedentary time was 11.63 ± 1.25 h per day during the week and 12.49 ± 1.10 h per day on the weekend, with a tendency to be higher on the weekend compared to weekdays (p = 0.06; d = 0.73). The average time in light, moderate and vigorous PA during the weekdays was 1.27 ± 1.15, 0.76 ± 0.37, 0.51 ± 0.44 h per day, and 0.67 ± 0.43, 0.59 ± 0.37, 0.53 ± 0.32 h per weekend day. Light physical activity was higher during weekdays compared to the weekend (p = 0.04; d = 0.69). Based on our pilot study of 11 national elite rowers we conclude that rowers display a considerable sedentary off-training behavior of more than 11.5 h/day. KW - recovery KW - sedentary behavior KW - accelerometer KW - microsoft band 2 KW - multi-sensor KW - wearable Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-158753 VL - 8 IS - 655 ER - TY - JOUR A1 - Weiste, Christoph A1 - Pedrotti, Lorenzo A1 - Selvanayagam, Jebasingh A1 - Muralidhara, Prathibha A1 - Fröschel, Christian A1 - Novák, Ondřej A1 - Ljung, Karin A1 - Hanson, Johannes A1 - Dröge-Laser, Wolfgang T1 - The Arabidopsis bZIP11 transcription factor links low-energy signalling to auxin-mediated control of primary root growth JF - PLoS Genetics N2 - Plants have to tightly control their energy homeostasis to ensure survival and fitness under constantly changing environmental conditions. Thus, it is stringently required that energy-consuming stress-adaptation and growth-related processes are dynamically tuned according to the prevailing energy availability. The evolutionary conserved SUCROSE NON-FERMENTING1 RELATED KINASES1 (SnRK1) and the downstream group C/S\(_{1}\) basic leucine zipper (bZIP) transcription factors (TFs) are well-characterised central players in plants’ low-energy management. Nevertheless, mechanistic insights into plant growth control under energy deprived conditions remains largely elusive. In this work, we disclose the novel function of the low-energy activated group S\(_{1}\) bZIP11-related TFs as regulators of auxin-mediated primary root growth. Whereas transgenic gain-of-function approaches of these bZIPs interfere with the activity of the root apical meristem and result in root growth repression, root growth of loss-of-function plants show a pronounced insensitivity to low-energy conditions. Based on ensuing molecular and biochemical analyses, we propose a mechanistic model, in which bZIP11-related TFs gain control over the root meristem by directly activating IAA3/SHY2 transcription. IAA3/SHY2 is a pivotal negative regulator of root growth, which has been demonstrated to efficiently repress transcription of major auxin transport facilitators of the PIN-FORMED (PIN) gene family, thereby restricting polar auxin transport to the root tip and in consequence auxin-driven primary root growth. Taken together, our results disclose the central low-energy activated SnRK1-C/S\(_{1}\)-bZIP signalling module as gateway to integrate information on the plant’s energy status into root meristem control, thereby balancing plant growth and cellular energy resources. KW - root growth KW - sucrose KW - auxins KW - meristems KW - regulator genes KW - genetically modified plants KW - gene expression KW - plant growth and development Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-157742 VL - 13 IS - 2 ER - TY - JOUR A1 - Genheimer, Hannah A1 - Andreatta, Marta A1 - Asan, Esther A1 - Pauli, Paul T1 - Reinstatement of contextual conditioned anxiety in virtual reality and the effects of transcutaneous vagus nerve stimulation in humans JF - Scientific Reports N2 - Since exposure therapy for anxiety disorders incorporates extinction of contextual anxiety, relapses may be due to reinstatement processes. Animal research demonstrated more stable extinction memory and less anxiety relapse due to vagus nerve stimulation (VNS). We report a valid human three-day context conditioning, extinction and return of anxiety protocol, which we used to examine effects of transcutaneous VNS (tVNS). Seventy-five healthy participants received electric stimuli (unconditioned stimuli, US) during acquisition (Day1) when guided through one virtual office (anxiety context, CTX+) but never in another (safety context, CTX−). During extinction (Day2), participants received tVNS, sham, or no stimulation and revisited both contexts without US delivery. On Day3, participants received three USs for reinstatement followed by a test phase. Successful acquisition, i.e. startle potentiation, lower valence, higher arousal, anxiety and contingency ratings in CTX+ versus CTX−, the disappearance of these effects during extinction, and successful reinstatement indicate validity of this paradigm. Interestingly, we found generalized reinstatement in startle responses and differential reinstatement in valence ratings. Altogether, our protocol serves as valid conditioning paradigm. Reinstatement effects indicate different anxiety networks underlying physiological versus verbal responses. However, tVNS did neither affect extinction nor reinstatement, which asks for validation and improvement of the stimulation protocol. KW - psychology KW - vagus nerve stimulation KW - contextual anxiety KW - fear conditioning KW - extinction Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-169892 VL - 7 IS - 17886 ER - TY - JOUR A1 - Schäfer, Elena T1 - Veo veo. ¿Qué ves? Durch Hör-Seh-Verstehen zu Mehrsprachigkeitskompetenz JF - promptus - Würzburger Beiträge zur Romanistik N2 - Multilingualism is part of our everyday lives and has recently entered the medium of film. Based on the linguistic diversity of Spanish-speaking countries, the present paper explores multilingualism as a key competence of foreign language learning. Since film provides students with audiovisual access to multilingual situations, a selection of educational videos that form parts of German textbooks will be critically explored concerning the presentation of multilingual phenomena. The results will be discussed in order to contribute to the systematic acquisition of multilingual skills in the sense of language and cultural awareness during classroom learning. KW - Mehrsprachigkeit KW - Hör-Seh-Verstehen KW - Spanisch KW - Lehrwerkanalyse KW - Lernvideo Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-172946 SN - 2510-2613 VL - 3 ER - TY - JOUR A1 - Moschall, Rebecca A1 - Denk, Sarah A1 - Erkelenz, Steffen A1 - Schenk, Christian A1 - Schaal, Heiner A1 - Bodem, Jochen T1 - A purine-rich element in foamy virus pol regulates env splicing and gag/pol expression JF - Retrovirology N2 - Background: The foamy viral genome encodes four central purine-rich elements localized in the integrase-coding region of pol. Previously, we have shown that the first two of these RNA elements (A and B) are required for protease dimerization and activation. The D element functions as internal polypurine tract during reverse transcription. Peters et al., described the third element (C) as essential for gag expression suggesting that it might serve as an RNA export element for the unspliced genomic transcript. Results: Here, we analysed env splicing and demonstrate that the described C element composed of three GAA repeats known to bind SR proteins regulates env splicing, thus balancing the amount of gag/pol mRNAs. Deletion of the C element effectively promotes a splice site switch from a newly identified env splice acceptor to the intrinsically strong downstream localised env 3′ splice acceptor permitting complete splicing of almost all LTR derived transcripts. We provide evidence that repression of this env splice acceptor is a prerequisite for gag expression. This repression is achieved by the C element, resulting in impaired branch point recognition and SF1/mBBP binding. Separating the branch point from the overlapping purine-rich C element, by insertion of only 20 nucleotides, liberated repression and fully restored splicing to the intrinsically strong env 3′ splice site. This indicated that the cis-acting element might repress splicing by blocking the recognition of essential splice site signals. Conclusions: The foamy viral purine-rich C element regulates splicing by suppressing the branch point recognition of the strongest env splice acceptor. It is essential for the formation of unspliced gag and singly spliced pol transcripts. KW - splice regulation KW - foamy viruses KW - branch point KW - purine-rich element KW - RNA export Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-157614 VL - 14 IS - 10 ER - TY - JOUR A1 - Wiegering, Armin A1 - Riegel, Johannes A1 - Wagner, Johanna A1 - Kunzmann, Volker A1 - Baur, Johannes A1 - Walles, Thorsten A1 - Dietz, Ulrich A1 - Loeb, Stefan A1 - Germer, Christoph-Thomas A1 - Steger, Ulrich A1 - Klein, Ingo T1 - The impact of pulmonary metastasectomy in patients with previously resected colorectal cancer liver metastases JF - PLoS ONE N2 - Background 40–50% of patients with colorectal cancer (CRC) will develop liver metastases (CRLM) during the course of the disease. One third of these patients will additionally develop pulmonary metastases. Methods 137 consecutive patients with CRLM, were analyzed regarding survival data, clinical, histological data and treatment. Results were stratified according to the occurrence of pulmonary metastases and metastases resection. Results 39% of all patients with liver resection due to CRLM developed additional lung metastases. 44% of these patients underwent subsequent pulmonary resection. Patients undergoing pulmonary metastasectomy showed a significantly better five-year survival compared to patients not qualified for curative resection (5-year survival 71.2% vs. 28.0%; p = 0.001). Interestingly, the 5-year survival of these patients was even superior to all patients with CRLM, who did not develop pulmonary metastases (77.5% vs. 63.5%; p = 0.015). Patients, whose pulmonary metastases were not resected, were more likely to redevelop liver metastases (50.0% vs 78.6%; p = 0.034). However, the rate of distant metastases did not differ between both groups (54.5 vs.53.6; p = 0.945). Conclusion The occurrence of colorectal lung metastases after curative liver resection does not impact patient survival if pulmonary metastasectomy is feasible. Those patients clearly benefit from repeated resections of the liver and the lung metastases. KW - hepatic resection KW - surgical resection KW - lung resection KW - curative resection KW - metastasis KW - colorectal cancer KW - cancer treatment KW - surgical oncology Y1 - 2017 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:bvb:20-opus-158036 VL - 12 IS - 3 ER -