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One primary source for self-knowledge is social comparison. Often objective criteria for self-evaluations are not available or useful and therefore comparisons with other people play a crucial role in self-evaluations. But the question is whether social comparisons could indeed provide information about the self without consuming too much cognitive resources or time. Therefore, in this research I wanted to look at practice effects in social comparison and the particular significance of routine standards. Whereas traditional research on standard selection mostly focused on goal-oriented and strategic standard selection processes, this research sets out to integrate social cognitive knowledge, ideas, and methods. Researchers from many different fields agree that people’s behavior and thinking is not fully determined by rational choices or normative considerations. Quite the contrary, factors like knowledge accessibility, habits, procedural practice, stereotyping, categorization, and many more cognitive processes play an important role. The same may be true in social comparison and standard selection. In my research I demonstrate that efficiency concerns play an important role in social comparison. Since people may not be able to engage in a strategic standard selection whenever they engage in social comparison processes, there has to be a more efficient alternative. Using routine standards would be such an alternative. The efficiency advantage of routine standards may thereby be founded not only in the abandonment of a strategic but arduous standard selection process, but also in a higher efficiency of the comparison process itself. I therefore set out to show how the use of routine standards facilitates the social comparison processes. This was done in three steps. First, I replicated and improved our former research (Mussweiler & Rüter, 2003, JPSP) indicating that people really do use their best friends as routine standards to evaluate themselves. Second, I demonstrated that it is more efficient to compare with a routine standard than with another standard. In Studies 2 and 3 I therefore show that comparisons between the self and a routine standard (either a natural routine standard like the best friend or a experimentally induced routine standard based on practice) are faster and more efficient than comparisons with other standards. Finally, I looked at the underlying mechanism of the efficiency advantage of routine standards. The results of Studies 4 and 5 point out, that both general as well as specific practice effects occur with repeated comparisons. Whereas a specific practice effect implies the repeated processing of the same content (i.e., knowledge about the routine standard), general practice effects indicate that the pure process (i.e., comparing the self with a routine standard) becomes more efficient regardless whether new content (i.e., comparison relevant knowledge) has to be processed. Taken together, the efficiency advantage of routine standards during self-evaluation is based not only on the lack of necessity for an arduous standard selection, but is additionally supported by the facilitation of the comparison process itself. The efficiency of routine standards may provide an explanation as to why people base self-evaluations on comparisons with these standards and dispense with strategic considerations to select the most suitable standard.
Das Inventar Bevorzugter Tätigkeiten (IBT) ist ein hochreliables Verfahren zur Erfassung freizeitbezogener Belastungswirkungen. Es fußt auf Erkenntnissen zum Themenkreis Belastung-Beanspruchung-Erholung, sowie ressourcentheoretischen Vorstellungen der Aktivationstheorie. Beschrieben wird neben den theoretischen Grundlagen die Konstruktion des IBT. Außerdem werden Veränderungen von Freizeitinteressen untersucht, die als Folge der Bewältigung körperlicher, geistig-mentaler und sozialer Belastungen eintreten. In Untersuchungen verschiedener Personengruppen zeigten sich deutliche Effekte. Je stärkere Belastungen bewältigt wurden, desto stärker reduzierte sich das Interesse an der Ausübung anfordernder Tätigkeiten. Zugleich nahm das Interesse an passiven, entspannenden Tätigkeiten zu. Der Effekt ist unabhängig davon, ob die Belastung körperlicher, geistig-mentaler oder sozialer Art war, er ist die Folge des Ausmaßes der bewältigten Belastung. Daneben traten qualitativ unterschiedliche Wirkungen auf: Die körperliche Belastung beeinträchtigte besonders das Interesse an körperlicher Anstrengung, die geistig-mentale Belastung zeigte sich verstärkt in einem Rückgang des Interesses an Geistig-nervlicher Anspannung und die soziale Belastung beeinträchtigte v.a. das Interesse an Sozialer Bezogenheit. Die jeweils anderen Interessenbereiche waren deutlich weniger stark beeinträchtigt, wenn auch der Einfluß auf sie mit zunehmender bewältigter Belastung wuchs. Möglicherweise beginnt – so könnte man dies interpretieren – die Wirkung der Belastungsbewältigung im einschlägigen Funktionsbereich und verursacht so die stärkste Beeinträchtigung. Mit zunehmender Belastung generalisiert die Wirkung dann auf die anderen Dimensionen. Insgesamt zieht die Bewältigung von Belastungen also den körperlichen, den geistig-mentalen und den sozialen Funktionsbereich des Menschen gemeinsam in Mitleidenschaft, wenn auch in unterschiedlichem Ausmaß. Das IBT offenbart insgesamt eine ganze Reihe interessanter Ergebnisse und beleuchtet dabei einen wichtigen, bislang kaum untersuchten Aspekt von Belastungswirkungen: Die bevorzugte Gestaltung der erholungswirksamen Zeit. Die Betrachtung freizeitbezogener Belastungswirkungen geht über das Geschehen am Arbeitsplatz hinaus und erlaubt, den Menschen mit seinen Belastungen, seinen Belastungswirkungen und seiner ihm zur Verfügung stehenden Erholung in der Gesamtheit zu betrachten.
Die sog. Simulatorkrankheit ist eine bekannte negative Begleiterscheinung der Exposition in virtuellen Umwelten. Umfassende Untersuchungen hierzu stammen vor allem aus dem fliegerischen Bereich, in dem Simulatoren seit mehreren Jahrzehnten als Trainingsmethode eingesetzt werden. Auf dem Gebiet der Fahrsimulation liegen bislang nur wenige systematische Studien vor. Mit Aufnahme des Trainings im Projekt "Simulation von Einsatzfahrten" (März 2003) wurde sehr schnell offensichtlich, dass das Auftreten und das Ausmaß von Simulatorkrankheitsbeschwerden ein ernst zu nehmendes Problem darstellt, das die Trainingseffizienz erheblich beeinträchtigt. Vor allem auf technischer Seite, aber auch auf Seiten der Trainingsgestaltung wurden massive Anstrengungen unternommen, um dem Problem gemeinsam entgegenzuwirken. Die Thematik wurde deshalb zum Gegen¬stand umfassender begleitender Evaluationsarbeiten, die im vorliegenden Teilbericht II zusammenfassend darge-stellt werden. Der Text gibt zunächst einen Überblick des Literaturstands zur Simulatorkrankheit (Kapitel 2). Eingegangen wird dabei auf theoretische Erklärungsansätze zur Entstehung der Beschwerden und die resultierende Symptomatik. Weiterhin dargestellt werden etablierte Verfahren zur Erfassung von Kinetose, die vor allem im fliegerischen Bereich entwickelt wurden und in jüngerer Zeit auch auf andere Anwendungsbereiche übertragen werden. Zusammengefasst werden Resultate von Studien, die die Wirkung unterschiedlicher Einflussfaktoren aufzeigen. Die Ergebnisse der empirischen Untersuchungen sind Gegenstand der Folgekapitel. Berichtet werden zunächst die Resultate der Beobachtungen in der Anfangsphase des Trainings, in der verschiedene Modifikationen der Ansteuerung des Bewegungssystems vorgenommen wurden (Kapitel 3). Die Darstellung der Resultate dieser Screeningphase, in der kleine Stichproben untersucht wurden, beschränkt sich auf die Analyse der beobachteten Ausfallraten. Gegenstand einer weiterführenden Untersuchungsreihe war die nähere Analyse der Sym-ptomstruktur, der Inzidenz, der Ausprägungen sowie der Nachwirkungen akuter Simulatorkrankheitsbeschwerden (Kapitel 4). In dieser Studie wurde u. a. der von Kennedy, Lane, Berbaum & Lilienthal (1993) entwickelte Simulator Sickness Questionnaire eingesetzt, der als das meisten etablierte subjektive Verfahren zur Erfassung der Simulatorkrankheit gilt. Die Grundlage dieser Datenerhebung bildete eine Stichprobe von mehr als N=200 Trainingsteilnehmern. Abschließend berichtet werden die Ergebnisse einer Studie, die die Auswirkungen des Fahrens bei aktiviertem bzw. deaktiviertem Bewegungssystem vergleichend analysiert (Kapitel 5). Auch diese Studie stützt sich auf einen großen Stichprobenumfang von N>200 Fahrern.
Mit dem Ziel der Optimierung der bestehenden polizeilichen Fahrausbildung hat das Präsidium der Bayerischen Bereitschaftspolizei im Jahr 2001 ein mehrjähriges Pilotprojekt initiiert, in dem ein technologiegestütztes und didaktisch begründetes Ausbildungssystem entwickelt und erprobt werden sollte. Im Zentrum dieses Pilotprojekts stand die Frage der Anwendung moderner Simulationstechnologie in der Fahrausbildung. Inhaltliche Entwicklung und Projektevaluation oblagen dem IZVW. Das Pilotprojekt ist integriert in das Gesamtcurriculum der Fahrausbildung bei der Bayerischen Bereitschaftspolizei (Rager & Müller, 2000). Dieses basiert auf drei unterschiedlichen Ausbildungsblöcken und umfasst insgesamt 93 Unterrichtseinheiten. Die Inhalte des dreistufigen Programms im Rahmen der Ausbildung für den mittleren Polizeivollzugsdienst sind gekennzeichnet als „Situations- und typenbezogenes Fahrtraining“ (Stufe 1), „Sicherheitstraining mit Gefahrenlehre“ (Stufe II) und „Gefahrentraining zur Bewältigung von Einsatzfahrten mit und ohne Inanspruchnahme von Sonder- und Wegerechten“ (Stufe III). In dieser letzten Ausbildungsstufe ist das Pilotprojekt „Simulation von Einsatzfahrten“ positioniert. Das verkehrswissenschaftliche Projekt setzte sich zum Ziel, in enger Zusammenarbeit mit polizeilichen Experten und Ausbildern eine an den Erfordernissen der beruflichen Praxis orientierte Ausbildungs- und Trainingskonzeption zu entwickeln und insbesondere die Anwendung der Simulationsmethodik innerhalb der Fahrausbildung zu evaluieren. Der vorliegende Text konzentriert sich als Teil der Abschlussdokumentation auf die Evaluation des Simulatortrainings. Dieses ist konzipiert als zentraler Bestandteil des inhaltlichen Moduls „Gefahrenkognition“ und wird ergänzt durch ein vorbereitendes computerbasiertes Training. Gegenstand dieses Berichts sind die Arbeiten zur Erfassung von Trainingsakzeptanz und Lernerfolg der Lerneinheit Gefahrenkognition. Hierzu wird zunächst ein Überblick über aktuelle in der Literatur vorliegende Studien gegeben, die sich mit der Evaluation der Simulation als Lehrmethode in der Fahrausbildung beschäftigen. Kapitel 3 gibt einen Überblick über die Inhalte des Moduls und den Aufbau der Übungen in CBT und Simulator. Fragestellungen, Konzeption und methodisches Vorgehen der Evaluationsuntersuchungen sind beschrieben in Kapitel 4. Die Darstellung der Ergebnisse erfolgt in den Abschnitten 5 bis 7.
Gegenstand der vorliegenden Arbeit war der Einfluss von emotionalem Gesichtsausdruck und wahrgenommener Blickrichtung auf die visuelle Aufmerksamkeitsausrichtung bei sozialer Ängstlichkeit. Dabei wurde zum einen die so genannte Hypervigilanz-Vermeidungs-Hypothese getestet (Experimente 1 und 2), wonach Hoch-Sozialängstliche (HSÄ) Personen ärgerliche Gesichter initial häufiger anschauen und im weiteren Verlauf vermeiden. Zum anderen wurde überprüft, ob soziale Ängstlichkeit mit einem Vermeiden von Blickkontakt und gleichzeitiger erhöhter physiologischer Erregung assoziiert ist (Experiment 3). Im ersten Experiment wurde das experimentelle Design zur Messung der visuellen Aufmerksamkeitsausrichtung mittels Eye-Tracking etabliert. HSÄ zeigten beim Betrachten zweier gleichzeitig präsentierter Gesichter (emotional vs. neutral) eine Aufmerksamkeitsverzerrung für emotionale Gesichter, die allerdings noch durch das Geschlecht moduliert wurde. HSÄ schauten initial vor allem häufiger auf weibliche freundliche und auf männliche ärgerliche Gesichter. Außerdem tendierten HSÄ dazu, emotionale Gesichter zwischen 1 s und 1.5 s nach Bild-Onset weniger lange anzuschauen, was auf ein Vermeidungsverhalten hindeuten könnte. Im zweiten Experiment wurde dieses Paradigma um eine emotionale Antisakkadenaufgabe erweitert, mit der die willentliche Inhibition der reflexiven Aufmerksamkeitsausrichtung auf soziale Stimuli überprüft werden sollte. Außerdem erfolgte hier eine Selektion von Probanden anhand der Fragebogenscores in einem Screening zur sozialen Ängstlichkeit, um extremere Gruppen zu erhalten. HSÄ zeigten in der freien Bildbetrachtung einen initialen Aufmerksamkeitsbias für freundliche Gesichter und mehr Fehler in der Antisakkadenaufgabe auf alle Gesichtsausdrücke, was auf eine generell verminderte Fähigkeit, die reflexive Aufmerksamkeit auf soziale Stimuli willentlich zu hemmen, hinweist. Die Befunde deuten zum einen auf einen Aufmerksamkeitsverzerrung hin zu freundlichen Gesichtern bei sozialer Ängstlichkeit hin, was als Konsequenz eine Modifizierung der Hypervigilanz-Vermeidungs-Hypothese notwendig erscheinen lässt. Zum anderen zeigen die Ergebnisse der Antisakkadenaufgabe, dass soziale Ängstlichkeit möglicherweise mit einer grundsätzlich verminderten Aufmerksamkeitskontrolle auf soziale Stimuli assoziiert ist. Im dritten Experiment wurden dynamische Videos von Gesichtern eingesetzt, um die Vermeidungsreaktion auf direkten Blickkontakt bei sozialer Ängstlichkeit zu untersuchen. Zusätzlich wurden die Herzraten- (HR) und Hautleitfähigkeitsreaktion (SCR) als Maße autonomer Aktivierung erhoben. Auch hier wurden anhand eines Screenings gebildete Gruppen untersucht. HSÄ zeigten eine verstärkte HR-Akzeleration auf direkten Blick, was als defensive Reaktion gedeutet werden kann, wie sie bei ängstlichen Probanden häufig in Reaktion auf phobie-relevante Stimuli auftritt. Direkter Blick könnte also tatsächlich ein Angst auslösender Stimulus bei sozialer Ängstlichkeit sein, allerdings resultiert dies nicht zwangsläufig in Vermeidung von Blickkontakt. Zusammen deuten die vorliegenden Studien daraufhin, dass sowohl emotionaler Ausdruck als auch Blickrichtung kritische Variable bei sozialer Ängstlichkeit sind. Weitergehende Untersuchungen sollten insbesondere die Wirkung der Interaktion dieser beiden Variablen auf die visuelle Aufmerksamkeitsausrichtung bei sozialer Ängstlichkeit untersuchen.
Für die Gestaltung von Interventionen zur Förderung von Gesundheitsverhalten ist es entscheidend, ob der Prozess der Verhaltensänderung stufenförmig oder kontinuierlich verläuft. Im Transtheoretischen Modell der Verhaltensänderung (Prochaska & DiClemente, 1983, 1992) werden fünf Stufen postuliert. Ziel der vorliegenden Arbeit war es zu überprüfen, ob sich empirische Hinweise auf das Vorliegen von Stufen im Transtheoretischen Modell erbringen lassen. Dies wurde exemplarisch für den Verhaltensbereich der sportlichen Aktivität vorgenommen. Hierzu wurde überprüft, ob den kognitiven Modellvariablen (Selbstwirksamkeitserwartung, wahrgenommene Vorteile, wahrgenommene Nachteile) auf den verschiedenen Stufen eine unterschiedliche Bedeutung für eine Verbesserung auf die nächst höhere Stufe zukommt. Da die kausalen Zusammenhänge innerhalb des Modells nicht geklärt sind, wurde zudem die Bedeutung des Sportverhaltens auf den Stufen untersucht. Zusätzlich wurden explorativ Prädiktoren der allgemeinen Stufenverbesserung, d.h. der Verbesserung um beliebig viele Stufen identifiziert sowie stufenspezifische Prädiktoren der Stufenverschlechterung ermittelt. In die Sekundäranalyse einer multizentrischen, kontrollierten Interventionsstudie gingen Daten von 610 Patienten ein, die eine medizinische Rehabilitation erhalten hatten. In die Auswertungen wurden Daten zu drei Messzeitpunkten einbezogen: Rehabilitationsbeginn, 3 Monate nach der Rehabilitation und 12 Monate nach der Rehabilitation. Zur Beantwortung der Fragestellungen wurden zwei der von Weinstein, Rothman und Sutton (1998) vorgeschlagenen Forschungsstrategien zum Nachweis von Stufen eingesetzt: Intraindividuelle Vorhersage der Stufenverbesserung zur Identifikation stufenspezifischer Prädiktoren der Stufenverbesserung aufgrund längsschnittlicher Daten sowie Untersuchung interindividueller Unterschiede zwischen benachbarten Stufen im Querschnitt zur Überprüfung auf Diskontinuität. Die Ergebnisse der beiden Vorgehensweisen stimmen in weiten Teilen überein. Insgesamt konnten in der vorliegenden Arbeit Hinweise darauf erzielt werden, dass sich der Prozess der Verhaltensänderung in Stufen vollzieht, wobei die Daten lediglich eine Unterscheidung von drei Stufen rechtfertigen. Von den berücksichtigten Variablen scheint nur den wahrgenommenen Vorteilen und dem Verhalten stufenspezifisch eine unterschiedliche Bedeutung zuzukommen, wobei letzterem für die Differenzierung von Stufen eine geringere Bedeutung beigemessen wurde als den kognitiven Variablen. Die Ergebnisse zur Stufenverschlechterung weisen darauf hin, dass Faktoren, die für eine Verbesserung, und solche, die für eine Verschlechterung zwischen zwei Stufen relevant sind, nicht überein stimmen. Aus den Ergebnissen werden Ansatzpunkte für die Gestaltung stufenspezifischer Interventionen abgeleitet. Diese Erkenntnisse können sowohl im Rahmen der Gesundheitsbildung in der medizinischen Rehabilitation, als auch bei der Gestaltung von Angeboten der primären Prävention genutzt werden.
Hintergrund und Ziel der Untersuchung: Patienten mit schizophrenen Erkrankungen zeigen in einer Vielzahl von Untersuchungssituationen eine verminderte Funktion frontaler Hirnregionen (Hypofrontalität), die insbesondere auch den anterioren cingulären Cortex (ACC) betrifft. Verschiedene Arten antipsychotischer Medikation unterscheiden sich hinsichtlich ihrer Wirkung auf Metabolismus und Funktion des Frontalcortex, wobei es Hinweise darauf gibt, dass atypische Antipsychotika diesen Bereich des Gehirns positiv beeinflussen, während konventionelle Antipsychotika (Typika) hier nur geringe oder sogar negative Effekte zeigen. Hinsichtlich der Auswahl eines Antipsychotikums zu Beginn einer medikamentösen Behandlung gibt es bislang keine etablierten neurophysiologischen/biologischen Marker, die eine Vorhersage der Therapie-Response unter verschiedenen Arten antipsychotischer Medikation erlauben. Ziel der Studie war es daher, die Eignung der NoGo-Anteriorisierung (NGA) als Prädiktor der Therapie-Response schizophrener Patienten unter typischer bzw. atypischer Medikation zu untersuchen. Die NGA ist ein neurophysiologischer Marker, der die Funktion präfrontaler Areale einschließlich des ACC widerspiegeln soll. Unter Zuhilfenahme dieses Parameters wurde an einer Gruppe schizophrener Patienten überprüft, ob das Ausmaß der initialen Hypofrontalität eine Vorhersage der individuellen Therapie-Response erlaubt. Methoden: Es wurden 76 Patienten mit Erkrankungen aus dem schizophrenen Formenkreis zu jeweils drei Messzeitpunkten neurophysiologisch, neuropsychologisch und psychometrisch getestet. Die Baseline-Messung (t1) fand innerhalb der ersten drei Tage eines stationär-psychiatrischen Aufenthalts, die beiden Folgemessungen (t2, t3) drei bzw. sechs Wochen nach Beginn einer Therapie mit typischen (n=36) oder atypischen Antipsychotika (n=40) statt. Im Rahmen der neurophysiologischen Untersuchung führten die Patienten eine Go-NoGo-Aufgabe durch, wobei anhand der durch Go- und NoGo-Stimuli evozierten ereigniskorrelierten Potentiale individuell die NGA ermittelt wurde. Beide Behandlungsgruppen wurden aufgrund der NGA-Werte zu t1 in Patienten mit initial starker vs. schwacher Frontalhirnfunktion unterteilt (Mediansplit). Ergebnisse: Alle Patientengruppen zeigten eine signifikante Besserung der psychotischen Symptomatik im Verlauf des 6-wöchigen Untersuchungszeitraums. Außerdem hatten Atypika hypothesengemäß einen signifikant positiven Einfluss auf die Entwicklung der neuropsychologischen Testleistungen, während Typika oftmals mit einer Verschlechterung entsprechender Maße einhergingen. Atypika hatten zudem eine günstigere Wirkung auf die subjektiv erlebte Lebensqualität der Patienten. Darüber hinaus war die zu t1 erhobene NGA ein signifikanter Prädiktor der Therapie-Response. Niedrige Werte der NGA zu Beginn der Behandlung sagten dabei ein besonders gutes Ansprechen auf atypische Antipsychotika voraus, während hohe Werte der NGA zu t1 mit einer besonders deutlichen klinischen Besserung unter typischer Medikation einhergingen. Die NGA korrelierte zudem signifikant mit den neuropsychologischen Testleistungen, unterlag selbst aber keinen systematischen Veränderungen unter typischer vs. atypischer Medikation. Schlussfolgerung: Der auf der Basis früherer Untersuchungen vermutete Zusammenhang zwischen der NGA und präfrontalen Hirnfunktionen konnte anhand der vorliegenden Befunde bestätigt werden. Außerdem war aufgrund der zu Beginn einer stationär-psychiatrischen Behandlung gemessenen NGA eine signifikante Vorhersage der Therapie-Response unter typischen und atypischen Antipsychotika möglich. Die NGA könnte somit im klinischen Alltag zu einer individualisierten Entscheidungsfindung bei der Auswahl eines antipsychotischen Präparats, unter Berücksichtigung pathophysiologischer Aspekte der Erkrankung, beitragen.
Frustration has been investigated since the early beginnings of psychological research. Yet, it is still unclear how frustration influences the two main parameters of motivation, i.e., orientation (approach-avoidance) and intensity. Some theories propose that controllable frustration increases approach motivation, thereby maintaining motivational intensity. In contrast, other theories propose that the perception of obstacles immediately elicits an avoidance orientation because of the negative valence of the perceptual input. Yet, the latter theories can not explain how motivational intensity is maintained upon encountering obstacles. The aim of the present thesis is to integrate previous contradicting assumptions by describing the influence of frustration on motivational orientation and motivational intensity on the basis of a two-system model of behavior. The definition of frustration as an unexpected obstacle blocking the attainment of an anticipated gratification implies that the obstacle is immediately perceived, whereas the goal is only represented in working memory. According to two-system models, these two types of representations influence different levels of behavior regulation. Whereas spontaneous approach-avoidance tendencies are mainly determined by the valence of the perceptual input, decisions to engage effort to reach the goal are based on knowledge about goals and appraisals of controllability of obstacles. Supporting this theorizing, six experiments demonstrated that frustration immediately activates avoidance tendencies. This was true for frustration of approach goals as well as for frustration of avoidance goals. Furthermore, this effect did not depend on the type of frustration feedback, and was found when approach-avoidance tendencies were measured after completion of goal pursuit as well as while overcoming frustration. In addition, approaching obstacles impaired performance in a subsequent task, suggesting that approaching obstacles consumed cognitive resources. This further supports the assumption that obstacles immediately activate avoidance tendencies. Furthermore, dispositional action-state orientation, which has been previously shown to moderate automatic affective reactions, influenced approach-avoidance tendencies, indicating that affect mediates the impact of frustration on behavioral tendencies. Finally, manipulations of controllability of frustration did not influence spontaneous approach-avoidance tendencies, but measures of motivational intensity such as decisions to engage more effort as well as activation of goal-relevant behavioral schemata. In sum, these findings support the assumptions that immediately elicited motivational orientations are mainly a function of the valence of perceptual input, whereas behavior to reach the goal (i.e. motivational intensity) is regulated by working memory representations such as appraisals of goal expectancy. Motivational orientations may serve to prepare organisms for quick reactions to sudden, unexpected occurrences, whereas behavior regulation based on goal appraisals may provide stability and flexibility in long-term goal pursuit.
Encoding Redundancy for Task-dependent Optimal Control : A Neural Network Model of Human Reaching
(2008)
The human motor system is adaptive in two senses. It adapts to the properties of the body to enable effective control. It also adapts to different situational requirements and constraints. This thesis proposes a new neural network model of both kinds of adaptivity for the motor cortical control of human reaching movements, called SURE_REACH (sensorimotor unsupervised learning redundancy resolving control architecture). In this neural network approach, the kinematic and sensorimotor redundancy of a three-joint planar arm is encoded in task-independent internal models by an unsupervised learning scheme. Before a movement is executed, the neural networks prepare a movement plan from the task-independent internal models, which flexibly incorporates external, task-specific constraints. The movement plan is then implemented by proprioceptive or visual closed-loop control. This structure enables SURE_REACH to reach hand targets while incorporating task-specific contraints, for example adhering to kinematic constraints, anticipating the demands of subsequent movements, avoiding obstacles, or reducing the motion of impaired joints. Besides this functionality, the model accounts for temporal aspects of human reaching movements or for data from priming experiments. Additionally, the neural network structure reflects properties of motor cortical networks like interdependent population encoded body space representations, recurrent connectivity, or associative learning schemes. This thesis introduces and describes the new model, relates it to current computational models, evaluates its functionality, relates it to human behavior and neurophysiology, and finally discusses potential extensions as well as the validity of the model. In conclusion, the proposed model grounds highly flexible task-dependent behavior in a neural network framework and unsupervised sensorimotor learning.
Der Einfluss von Aufmerksamkeit und Interferenzkontrolle auf die Verarbeitung visueller Stimuli
(2008)
Gegenstand der vorliegenden Arbeit war die Frage, inwieweit die neuronale Verarbeitung visueller Stimuli durch Prozesse der Aufmerksamkeit und des Arbeitsgedächtnisses moduliert werden kann. Darüber hinaus wurde untersucht, welche „top down“ Prozesse diese Modulation steuern. Dabei wurden zwei konkurrierende Ansichten als mögliche Erklärungsmodelle zugrunde gelegt und überprüft. Zum einen wäre es möglich, dass selektive Aufmerksamkeit zwei qualitativ unterschiedliche Mechanismen beinhaltet. Demnach würde neben dem Fokussieren auf relevante Informationen auch ein aktiver Prozess der Inhibition der Verarbeitung irrelevanter Stimuli existieren. Zum anderen ist es aber auch denkbar, dass aufgrund begrenzter Verarbeitungsressourcen das Fokussieren auf relevante Reize automatisch mit dem Nichtbeachten irrelevanter Stimuli einhergeht und nur ein Mechanismus existiert. In einem ersten Experiment wurde vorab die Alertness als ein grundlegender Prozess der Aufmerksamkeit mit der Nah-Infrarot Spektroskopie (NIRS) untersucht. Mittels eines zweigestuften Studiendesigns wurden in einem ersten Schritt für die Alertness relevante Regionen über fronto-temporalen Hirnarealen definiert. Als relevant erwiesen sich Areale des mittleren und superioren temporalen Kortex der rechten Hemisphäre und der ventrale Teil des inferioren frontalen Kortex der linken Hemisphäre. In einer zweiten Datenerhebung konnte für diese Regionen eine signifikant höhere Aktivierung während der Alertnessbedingung im Vergleich zu einer visuellen und motorischen Kontrollbedingung gefunden werden. Mit dem zweiten Experiment sollten bestehende, mit dem Elektroenzephalogramm (EEG) erhobene, Befunde zur Modulation der neuronalen Verarbeitung visueller Stimuli repliziert werden. Dies geschah mithilfe eines neu entwickelten Untersuchungsparadigmas, einer modifizierten n-back Aufgabe. Wie erwartet fand sich eine erhöhte Verarbeitung aufgaben-relevanter Reize im Vergleich zu einer perzeptuellen Kontrollbedingung. Die Verarbeitung irrelevanter Reize wurde allerdings nicht unterdrückt. Explorativ fand sich ein entsprechendes Korrelat der Aufmerksamkeitslenkung über frontalen Elektroden. In einem dritten Experiment wurde das modifizierte n-back Paradigma an die Anforderungen einer NIRS Messung angepasst, um frontale Effekte der Aufmerksamkeitslenkung direkter erfassen zu können als mit dem EEG. Wie erwartet fand sich bezüglich des Beachtens wie auch des Ignorierens von Stimuli eine Beteiligung frontaler Strukturen. Auf beachtete Stimuli folgte eine bilaterale Aktivierung des dorsolateralen präfrontalen Kortex (DL-PFK) und eine Aktivierung des linken inferioren frontalen Kortex bis hin zum prä- und postzentralen Kortex. Das Ignorieren visueller Stimuli führte zu einer weitläufigen Aktivierung des rechten präfrontalen Kortex (PFK). Eine Beteiligung des linken inferioren frontalen Gyrus an der Interferenzkontrolle konnte nicht wie erwartet nachgewiesen werden. Der Vergleich der beiden Aktivierungsmuster ergab keine signifikanten Unterschiede. Die zugrunde liegenden Prozesse des Arbeitsgedächtnisses und der Interferenzkontrolle führten also zu einer Aktivierung stark überlappender Hirnregionen. Nachdem die Ergebnisse der Experimente 2 und 3 keinerlei Hinweise auf einen aktiven Prozess der Interferenzinhibition nachweisen konnten, wurde im Experiment 4 die bisher genutzte 1-back Aufgabe durch eine schwierigere 2-back Aufgabe ersetzt. Aufgrund der erhöhten Auslastung des Arbeitsgedächtnisses sollte eine stärkere Anstrengung und damit eine verstärkte frontale Aktivierung bei der Interferenzinhibition auftreten. Diese Hypothese wurde mit einer frontalen NIRS Messung überprüft (Experiment 4a). Wie erwartet führte die erhöhte Auslastung des Arbeitsgedächtnisses zu einer verstärkten Aktivierung des PFK bezüglich beachteter Reize. Hinsichtlich ignorierter Reize fand sich allerdings keine frontale Beteiligung. Parallel erhobene EEG Daten zeigten keinen Unterschied zwischen der Verarbeitung beachteter und ignorierter Gesichter. Die Verarbeitung passiv betrachteter Gesichter war im Gegensatz zu beachteten und ignorierten Gesichtern vermindert. Im zweiten Teil der Studie (Experiment 4b) wurden erstmals die okzipitalen Effekte der Aufmerksamkeitslenkung mit der NIRS erfasst. Im Einklang mit den Ergebnissen der ersten EEG Studie (Experiment 2) fand sich zwar eine verstärkte Verarbeitung beachteter, aber keine verminderte Verarbeitung ignorierter Reize. Zusammengenommen sprechen die fehlende aktive Inhibition von Distraktorreizen im okzipitalen Kortex und die vergleichbaren neuronalen Korrelate von Prozessen des Arbeitsgedächtnisses und der Interferenzinhibition im frontalen Kortex für die Hypothese einer Aufteilung von begrenzten Verarbeitungsressourcen zugunsten beachteter Reize.
Assessment of emotional detachment in psychopathy via self-report and an emotion detection task
(2008)
The personality construct of psychopathy is subject of growing research, but data on psychopathy in female incarcerated and in non-institutionalized samples are rare. In this thesis emotional detachment as one factor of psychopathy is investigated in general population, in patients and in incarcerated samples. After verifying the validity of the Psychopathy Personality Inventory Revised (PPI-R) measuring emotional detachment, the sensitivity of the questionnaire concerning emotional detachment has been proven. Additionally it has been shown that symptoms of attention deficit and hyperactivity disorder can be distinguished from psychopathic traits by emotional detachment. In addition, these results confirm the core role of the feature emotional detachment for psychopathy. Furthermore, two emotion recognition tasks have been conducted in a criminal female inpatients sample. Compared to the low psychopathic patients, the high psychopathic patients showed deficits in categorization only in shortly presented sad facial expressions, but rated emotional facial expressions as less arousing. These results point to emotional detachment as a core characteristic of psychopathy, and is specific even in non-incarcerated and female incarcerated samples. It can be measured with the PPI-R as well as with emotion detection tasks.
The main goals of the present thesis were to investigate how food deprivation influences food related disgust and to identify mental mechanisms that might underlie alterations in food related disgust. For this purpose, 9 studies were conducted that employed direct and indirect measures of attitudes, biological measures of affect as well as measures of real eating behavior and food choice, and compared responses of deprived and non deprived subjects on each of these measures. Spontaneous facial reactions were assessed via EMG and revealed that food deprived subjects showed weaker disgust reactions than satiated participants when being confronted with photographs of disgusting foods. Interestingly, deprived and non deprived subjects evaluated disgusting foods equally negative on a conscious level of information processing, indicating that food deprivation has the potential to attenuate food related disgust irrespective of conscious evaluations. Furthermore, it was found that food deprived participants readily consumed disgust related foods (“genetically modified foods”), while satiated participants rejected those foods. Again, no difference emerged between deprived and non deprived subjects in respect to their conscious evaluations of genetically modified foods (that were negative in both experimental groups). The dissociation between conscious evaluations and actual eating behavior that was observed amongst food deprived participants resembles the dissociation between conscious evaluations and facial reactions, thereby corroborating the assumption that alterations in food related disgust might directly influence eating behavior without changing conscious evaluations of foods. The assumption that a shift in automatic attitudes towards disgusting foods might be responsible for these effects received only partial support. That is, there was only a non significant tendency for food deprived subjects to evaluate disgusting foods more positive than satiated subjects on an automatic level of information processing. Instead, the results of the present thesis suggest that food deprived subjects exhibit a stronger motivation than satiated subjects to approach disgusting foods immediately. More precisely, food deprived participants exhibited strong approach motivational tendencies towards both, palatable and disgusting foods in an “Approach- Avoidance Task” whereas satiated participants only approached palatable (but not disgusting) foods on an automatic level of information processing. Moreover, food deprivation seems to change the subjective weighting of hedonic and functional food attributes in the context of more elaborated decisions about which foods to pick for consumption and which foods to reject. It was found that individual taste preferences were of minor importance for food deprived subjects but very important for satiated subjects when actually choosing between several food alternatives. In contrast, functional food attributes (e.g., immediate availability of a given food, large portion size) were more important selection criteria for food deprived subjects than for satiated subjects. Thus, food deprived participants were less picky than satiated participants, but showed a clear preference for those food alternatives that were functional in ending a state of food deprivation quickly – even if this meant choosing a food that was not considered tasty. Taken together, the present thesis shows that physiological need states (e.g., food deprivation) are tightly linked to the affective and motivational processing of need relevant cues. This link is so strong that food deprivation even modulates affective and motivational reactions as well as eating behavior and choice behavior towards disgusting (but need relevant) foods.
One of the major drawbacks in the implementation of intelligent tutoring systems is the limited capacity to process natural language and to automatically deal with unexpected or unknown vocabulary. Latent Semantic Analysis (LSA) is a statistical technique of automatic language processing, which can attenuate the “language barrier” between humans and tutoring systems. LSA-based intelligent tutoring systems address the goals of modelling human tutoring dialogues (AutoTutor), enhancing text comprehension and summarisation skills (State-The-Essence, Summary Street®, conText, Apex), training of comprehension strategies (iStart, a French system in development) and improving story and essay writing (Write To Learn, Select-a-Kibitzer, StoryStation). The systems are reviewed concerning their efficacy in modelling skilled human tutors and regarding their effects on the learner.
Cognitive views of the psychopathology of anxiety propose that attentional biases toward threatening information play a substantial role in the disorders’ etiology and maintenance. For healthy subjects, converging evidence show that threatening stimuli attract attention and lead to enhanced activation in visual processing areas. It is assumed that this preferential processing of threat occurs at a preattentive level and is followed by fast attentional engagement. High-anxious individuals show augmented tendencies to selectively attend toward fear-relevant cues (Mathews, 1990) and exhibit elevated neural processing of threatening cues compared to non-anxious individuals (Dilger et al., 2003). Regarding attentional biases in high-anxious subjects, it remains unanswered up to now whether initial engagement of attention toward threat or difficulties to disengage from threat is an underlying mechanism. Furthermore, little is known whether the preferential (attentive) processing of threatening cues does influence perceptional outcomes of anxious subjects. In order to directly study separate components of attentional bias the first study of this dissertation was a combined reaction time and eye-tracking experiment. Twenty one spider phobic patients and 21 control participants were instructed to search for a neutral target while ignoring task-irrelevant abrupt-onset distractor circles which contained either a small picture of a spider (phobic), a flower (non-phobic, but similar to spiders in shape), a mushroom (non-phobic, and not similar to spiders in shape), or small circles with no picture. As expected, patients’ reaction times to targets were longer on trials with spider distractors. However, analyses of eye movements revealed that this was not due to attentional capture by spider distractors; patients more often fixated on all distractors with pictures. Instead, reaction times were delayed by longer fixation durations on spider distractors. This result does not support automatic capture of attention by phobic cues but suggests that phobic patients fail to disengage attention from spiders. To assess whether preferential processing of phobic cues differentially affects visual perception in phobic patients compared to healthy controls, the second study of this dissertation used a binocular rivalry paradigm, where two incompatible pictures were presented to each eye. These pictures cannot be merged to a meaningful percept and temporarily, one picture predominates in conscious perception whereas the other is suppressed. 23 spider phobic patients and 20 non-anxious control participants were shown standardized pictures of spiders or flowers, each paired with a neutral pattern under conditions of binocular rivalry. Their task was to continuously indicate the predominant percept by key presses. Analyses show that spider phobic patients perceived the spider picture more often and longer as dominant compared to non-anxious control participants. Thus, predominance of phobic cues in binocular rivalry provides evidence that preferential processing of fear-relevant cues in the visual system actually leads to superior perception. In combination both studies support the notion that phobic patients process phobic cues preferentially within the visual system resulting in enhanced attention and perception. At early stages of visual processing, this is mainly reflected by delayed attentional disengagement and across time, preferential processing leads to improved perception of threat cues.
Die vorliegende Arbeit diskutiert, inwieweit das im Bereich der Luftfahrt entwickelte Konzept des Situationsbewusstseins auf den Fahrkontext übertragen werden kann. Als zwei wesentliche Merkmale von Situationsbewusstsein werden dabei zum einen antizipative Prozesse der Handlungsplanung sowie kontrollierende Prozesse der Handlungsabsicherung definiert, die es ermöglichen sollen, das eigene Verhalten jederzeit an Veränderungen der Situation anzupassen. Entgegen den weit verbreiteten Befragungsmethoden wird ein neues Messmodell entwickelt, das vermehrt Verhaltensmaße als Indikatoren für Situationsbewusstsein verwendet. Als Untersuchungsparadigma wird hierfür zusätzlich zur Fahraufgabe eine Nebenaufgabe eingeführt. Situationsbewusstsein wird in diesem Zusammenhang als wesentliche Voraussetzung für eine flexible Anpassung der Priorisierung von Fahr- und Nebenaufgabe an die aktuellen Kontextbedingungen verstanden. In einem antizipativen Prozess der Handlungsplanung ist zunächst eine Situationseinschätzung erforderlich, um zu entscheiden, ob überhaupt eine Zuwendung zu einer Nebenaufgabe stattfinden kann. Während der Nebenaufgabenbeschäftigung muss zudem sichergestellt werden, dass eventuelle Änderungen der Situationsentwicklung bemerkt werden, die zu einer Verhaltensanpassung führen müssen und damit eine Unterbrechung der Nebenaufgabe erforderlich machen. Im Rahmen der Arbeit wird eine spezielle Versuchsanordnung in der Fahrsimulation entwickelt. Dabei werden dem Fahrer vor unterschiedlich anspruchsvollen Situationen Nebenaufgaben angeboten. Er muss sich innerhalb eines vorgegebenen Intervalls entscheiden, ob und wie lange er die Aufgabe bearbeiten möchte. Maße für einen situationsbewussten Umgang mit der Nebenaufgabe stellen die Anpassung des Bedien-, Fahr- sowie des Blickverhaltens an die Anforderungen der Situation dar. Zusätzlich werden die Auswirkungen auf die Fahrsicherheit betrachtet. Zur Prüfung der Hypothesen wurden zwei Studien mit unterschiedlichen Nebenaufgaben durchgeführt. Die Ergebnisse verdeutlichen, dass Fahrer durchaus in der Lage sind, situationsbewusst mit einer Nebenaufgabe umzugehen. Dies zeigt sich in angemessenen Entscheidungen, bei hohen Anforderungen seitens der Fahraufgabe die Nebenaufgabe auszulassen bzw. erst verzögert zu beginnen oder sie vor einer kritischen Situation zu unterbrechen. Während der Nebenaufgabenbearbeitung selbst werden kurze Kontrollblicke zurück zur Fahraufgabe ausgeführt. Sie dienen der Überwachung der Situationsentwicklung und werden in ihrer Frequenz und Dauer den Anforderungen der Situation angepasst. Weiterhin können situationsabhängige, personenabhängige und nebenaufgabenabhängige Faktoren identifiziert werden, die die Fahrsicherheit im Umgang mit Nebenaufgaben beim Fahren gefährden. Anhand der Ergebnisse wird ein 3-Ebenen-Prozess-Modell von Situationsbewusstsein im Umgang mit Nebenaufgaben beim Fahren entwickelt, das sog. PDC-Modell. Es beschreibt eine übergeordnete Planungsebene, auf der generelle Strategien für die Beschäftigung mit Nebenaufgaben festgelegt werden („Planning“). Die Entscheidungsebene beinhaltet eine Einschätzung der aktuellen Situation, ob eine kurzfristige Abwendung zu einer Nebenaufgabe möglich ist („Decision“). Auf der Kontrollebene schließlich wird während der Nebenaufgabenbeschäftigung die Situationsentwicklung weiter überwacht und gegebenenfalls Verhaltensanpassungen vorgenommen („Control“). Der dargestellte Untersuchungsansatz stellt eine Erweiterung der Methoden zur Untersuchung von Situationsbewusstsein dar. Er ermöglicht eine eindeutige Abgrenzung des Begriffs zu anderen Konzepten, wie Antizipation, Aufmerksamkeit, Workload oder Gefahrenwahrnehmung. Die Nebenaufgabe wird hier zunächst als methodisches Mittel gesehen. Darüber hinaus erlaubt die Methode, konkrete Handlungsempfehlungen zur Aufrechterhaltung von Situationsbewusstsein bei der Beschäftigung mit Fahrerinformationssystemen abzuleiten.
The aim of the current work was to enhance the understanding of the relationship between goals and the self. More specifically, I wanted to achieve three things. First, I developed an implicit measure of self-activation (SA) based on response latencies to avoid the problems of traditional measures of self-activation (i.e., demand effects, self-presentation concerns). Therefore, two studies were conducted in which increased self-activation, induced by classic self-manipulations, was measured with a newly developed picture task. Thereby it was assumed that individuals would react faster to photographs of themselves when the self was activated than when it was not. Second, I aimed to demonstrate that there exists a close connection between personal goals and the self. Despite being inherent in several theories, this assumption has never been tested directly before. It was hypothesized that thinking about personal goals should activate the self, resulting in faster reactions in the newly developed measure of SA, i.e., quicker responses to the self-pictures. Third, it was investigated whether goals and the self are linked in a bidirectional fashion; according to the reported findings, it seems to be functional for individuals’ self-regulation and goal pursuit to develop such a link. To provide evidence for the bidirectionality of the relationship, it was hypothesized that in conditions of high SA, it should be more likely personal evaluations to be construed as goals; this goal activation should result in higher accessibility of goal-related knowledge, stronger approach motivational tendencies towards goal-related targets, and more goal-directed behavior. The obtained results endorse the applicability of the picture task as implicit method to measure increased SA and also corroborate the core hypothesis, namely that personal goals and the self are inherently connected and that they are linked in a bidirectional fashion.
Mediators of Social Anxiety - External Social Threat-Cues vs. Self-Related Negative Cognitions
(2009)
Based on a review of models and empirical findings a working model is proposed, suggesting that self-related negative cognitions and biased processing of external social threat-cues are mediators of social anxiety. Hypotheses derived from this model were tested in three experiments. The first experiment examined whether levels of trait social anxiousness predicted fearful responding to external social threat-cues (angry vs. neutral and happy facial expressions) during social evaluation. Higher trait social anxiousness predisposes to an inward focus on one’s fear reaction to social threat. Using this strategy was expected to enhance fearful responding to angry facial expressions. A strategy of identifying with angry faces was expected to counteract fearful responding, but was expected to fail more often with increasing levels of trait social anxiousness. To examine these hypotheses, affective modulation of the startle eye-blink was assessed in forty-four undergraduate students. This measure served as a probe into the activation of brain structures involved in the automatic evaluation of environmental threat-cues. Trait and state anxiety as well as explicit emotional responding to the stimuli were assessed with questionnaires and ratings. Processing angry faces potentiated startle amplitudes as expected. Low arousal induced by the stimuli was a probable reason, why startle potentiation to happy faces emerged instead of attenuation. Trait social anxiousness and the cognitive strategies did not influence these effects. Yet, increased trait social anxiousness predicted decreased startle latency, indicating motor hyper-responsivity, which is part of the clinical representation of social anxiety disorder (SAD). Processing facial expressions and identifying with them disrupted this association. Previous studies support that similar strategies may enhance treatment of SAD. Individuals with SAD were expected to respond with increased arousal to external social threat-cues. Therefore, the second experiment examined whether nine individuals with SAD showed attentional (prepulse inhibition, PPI) or affective startle modulation to angry as compared to neutral and happy facial expressions. Corrugator supercilii activity was assessed as a behavioral indicator for effects of facial expressions. The remaining setup resembled the first experiment. Facial expressions did not modulate the startle reflex, but corrugator supercilii activity was sensitive to facial valence. However, the effects were not related to trait social anxiousness. Apparently, angry facial expressions do not act as phobic stimuli for individuals with SAD. The third experiment examined whether focusing on self-related negative cognitions or biased processing of external social threat-cues mediates relationships between trait social anxiety and anxious responding in a socially challenging situation. Inducing self-related negative cognitions vs. relaxation was expected to reveal a functional dependency on the supposed mediation in a multivariate assessment of criteria of the working model. Within this design, the impact of external social threat-cues (facial expressions and emotional words) was compared to control stimuli and context effects, using the startle paradigm. The findings provide first evidence for full statistical mediation of the associations between trait social anxiety and self-reported anxiety as well as parasympathetic withdrawal by self-related negative cognitions, when thirty-six undergraduate students anticipated public speaking. Apprehensive arousal, as indicated by increased skin conductance levels and heart rate, was present in all participants. Observer ratings of behavior during public speaking matched the self-rated quality of the performance. None of these measures were correlated with trait social anxiousness. Startle amplitude correlated with state and trait social anxiety, but was no mediator. Finally, there was no affective modulation of the startle amplitude by external social threat-cues. These studies advance both our current understanding of the factors that mediate social anxiety responses to situations and our knowledge of the physiological and anatomical mechanisms involved in social anxiety. Based on these findings a revised version of the working model on mediators of social anxiety is proposed in the hope it may aid further research for the ultimate goal of developing an empirically validated functional anatomical model of social anxiety.
Das Wissen um die Zeitpunkte des Eintretens von Handlungseffekten und die Re¬präsentation dieser Zeitpunkte ist unerlässlich, um adäquat mit der Umwelt inter¬agieren zu können. Der Erwerb zeitlichen Wissens im Handlungskontext sowie Ein¬flüsse auf die Repräsentation von Zeitdauern im Handlungskontext sollen in dieser Arbeit untersucht werden. Die Experimente 1-3 untersuchen den Erwerb zeitlicher Relationen im Handlungs¬kontext. In den Experimenten 1 und 2 sagen in zwei Grup-pen entweder Aktionen oder sensorische Reize Zeitpunkt und Identität eines nach¬folgenden Ereignisses voraus, auf das reagiert werden muss. Die Dauer von Zeit¬intervallen wird besser erlernt, wenn eine Aktion sie vorhersagt, als wenn ein Reiz sie vorhersagt. Die Kovariation der Aktion/des Reizes mit dem Ereignis und die damit verbundene Kovariation des Zeit¬intervalls mit dem Ereignis beeinflusst eine Reaktion auf das Ereignis nur, wenn die Auf¬gabe eine Diskrimination des Ereignisses fordert. Experiment 3 zeigt, dass der Erwerb zeitlicher Relationen im Handlungskontext auch dann nach¬zuweisen ist, wenn die exakte motorische Reaktion unabhängig von sowohl Zeitintervall als auch Identität des Ereignisses ist. Die Experimente 4-7 explorieren die Wahr¬nehmung der Dauer von Zeit-intervallen im Handlungskontext. Konkret wird dabei die Einschätzung der Dauer von Aktions-Effekt-Intervallen und von Effekten betrachtet. Unter¬suchungen zur Repräsentation von Zeitpunkten im Handlungskontext haben gezeigt, dass Aktions- und Effektzeitpunkte näher beieinander wahrgenommen werden als sie tatsächlich sind. Bisher wurde nicht überprüft, ob dementsprechend auch die Dauer eines Aktions-Effekt-Intervalls kürzer eingeschätzt wird als sie ist. Diese Lücke soll in dieser Arbeit mit Hilfe einer psycho¬physischen Methode zur Einschätzung der Dauer von Zeitintervallen geschlossen werden. Tatsächlich wird die Dauer eines Aktions-Effekt-Intervalls kürzer eingeschätzt (Experiment 4-6). Allerdings tritt diese Unter¬schätzung gleichermaßen für Aktions-Effekt-Intervalle wie für Reaktions-Effekt-Inter¬valle auf (Experiment 4). Bei der Einschätzung von Zeitpunkten werden eine passive taktile Reizung und ein folgender Reiz weiter voneinander entfernt wahrgenommen als die Zeitpunkte einer Aktion und ihres Effekts. Die Einschätzung der Zeitdauer ist da¬gegen zwischen einer Aktion und ihrem Effekt länger als zwischen taktiler Reizung und einem Reiz (Experiment 5). Die Experimente 6a-d zeigen, dass für eine kürzere Ein¬schätzung des Aktions-Effekt-Intervalls das Auftreten eines intendierten Effekts nicht notwendig ist. Stattdessen ist das Auftreten eines kausal durch die Aktion ver¬ursachten unspezifischen Effekts hinreichend. Die wahrgenommene Dauer eines 400 ms dauernden Effekts hängt dagegen von der Kontingenz seines Auftretens ab (Experi¬ment 7b), nicht aber die eines 250 ms dauernden Effekts (Experiment 7a). Die Experi¬mente 8 und 9 untersuchen den Zusammenhang von Kausalitäts- und Zeitwahrnehmung. Experiment 8 zeigt, dass Abweichungen vom erlernten Effektzeit¬punkt sowohl bei häufig verzögerten Effekten als auch bei häufig unmittelbaren Effekten erkannt werden, sich jedoch die zeitliche Auflösung unterscheidet. Dabei werden Effekte im gleichen Ausmaß als kausal verursacht wahrgenommen, in dem der Effektzeitpunkt als „wie üblich“ wahrgenommen wird. Experiment 9 untersucht, ob eine Manipulation der ange¬nommenen Anzahl von Ursachen zweier kurz nach¬einander auf¬tretender Reize einerseits und die Verursachung dieser Reize durch eine Aktion vs. den Computer anderer¬seits dazu führt, dass sie eher als gleich¬zeitig wahr¬ge¬nom¬men werden. Während die Verursachung der Reize durch eine Aktion dazu führt, dass die Reize tendenziell wahr¬scheinlicher als gleichzeitig wahr¬genommen werden, lässt sich kein Einfluss durch die Manipulation der angenommenen Anzahl von Ursachen finden. Insgesamt zeigt sich, dass zeit¬liche Relationen im Handlungskontext besonders gut erlernt werden. Darüber hinaus wird mit einer psychophysischen Methode bestätigt, dass Zeitintervalle in Handlungskontexten kürzer eingeschätzt werden als in anderen Kontexten. Verschiedene Einflüsse auf die Einschätzung der Dauer von Zeitintervallen im Handlungskontext, insbesondere Kausalität, werden näher untersucht und diskutiert.
The present approach highlights a procedural account of intuitive judgments. In intuitions of hidden semantic coherence, people can intuitively detect whether a word triad has a common remote associate (coherent) or not (incoherent) before, and independently from actually retrieving the common associate. The present fluency-affect intuition model (FAIM) maintains that semantic coherence increases the processing fluency for coherent compared to incoherent triads, and that this increased fluency triggers brief and subtle positive affect, which is the experiential basis of these intuitions. Published work concerning 25 experiments is reviewed that gathered empirical support for this model. Furthermore, the impact of fluency and affect was also generalized to intuitions of visual coherence, and intuitions of grammaticality in an artificial grammar learning paradigm.
Worauf achtet der Fahrer? Steuerung der Aufmerksamkeit beim Fahren mit visuellen Nebenaufgaben
(2009)
Die Arbeit befasst sich mit der Steuerung der Aufmerksamkeit während visueller Nebenaufgaben beim Fahren. Es wird angenommen, dass für die visuelle Wahrnehmung beim Fahren drei Prozesse zur Steuerung der Aufmerksamkeit beitragen. (1) Über top-down Prozesse wird die Aufmerksamkeit auf für die aktuelle Handlung besonders relevante Situationsbestandteile gelenkt. (2) Explorative Wahrnehmung dient dazu, ein umfassenderes Situationsmodell zu entwickeln, das neben aktuell handlungssteuernden Situationsbestandteilen auch andere, potentiell aufgabenrelevante Ob¬jekte zu einem umfassenderen Abbild der Situation integriert. (3) Saliente Reize können über bottom-up Aktivierung die Aufmerksamkeit auf sich ziehen. Es ist bekannt, dass Fahrer während der Bearbeitung visueller Zweitaufgaben mit ihrem Blick und damit mit ihrer Aufmerksamkeit wiederholt zwischen Fahr- und Nebenaufgabe wechseln. Grundlage der experimentellen Arbeiten ist die Idee, dass hierbei die Ausrichtung der Aufmerksamkeit in der Fahraufgabe über top-down Prozesse gesteuert wird und auf einem mentalen Abbild der Situation basiert. Vor dem Beginn der Nebenaufgabe fokussiert der Fahrer auf die Fahrsituation, bewertet sie und entwickelt eine Antizipation der zukünftigen Situationsentwicklung. Das entstehende Situationsmodell entscheidet darüber, wie viel Aufmerksamkeit während der Nebenaufgabe auf die Fahraufgabe verwendet wird, und welche Situationsbestandteile durch die Blicke zur Straße kontrolliert werden. Der Fahrer lenkt über top-down Prozesse seine Aufmerksamkeit auf als relevant für die Situationsentwicklung bewertete Objekte. Andere Objekte, sowie eine von der aktuellen Fahraufgabe unabhängige, explorative Wahrnehmung der Fahrsituation werden während der Nebenaufgabe vernachlässigt. Aus der Literatur ergeben sich außerdem Hinweise darauf, dass eine reizbasierte bottom-up Ausrichtung der Aufmerksamkeit während visueller Ablenkung zumindest eingeschränkt, wenn nicht sogar zeitweise vollständig unterdrückt ist. Die durchgeführten experimentellen Arbeiten finden in der Fahrsimulation Belege für die angenommen top-down Steuerung der Aufmerksamkeit während visueller Nebenaufgaben beim Fahren. Es werden zwei unterschiedliche Messansätze verwendet. Studie 1 und 2 greifen auf die Analyse des Blickverhaltens zurück. In diesen beiden Studien absolvieren die Testfahrer längere, anspruchsvolle Fahrten, während denen visuelle Nebenaufgaben bearbeitet werden. Es ergeben sich Hinweise auf eine tiefere visuelle Verarbeitung der Fahrszene direkt vor dem Beginn der Nebenaufgabe. Während der Bearbeitung der visuellen Nebenaufgaben passen die Fahrer ihre Aufmerksamkeitsverteilung an die Erfordernisse der Fahrsituation an: In anspruchsvollen Fahrsituationen wird häufiger und länger auf die Straße geblickt als in weniger beanspruchenden Situationen. Es finden sich außerdem Hinweise dafür, dass spezifische Fahrfehler mit einer fehlerhaften Ausrichtung der Aufmerksamkeit in der Fahrsituation in Zusammenhang stehen. Studie 3 und 4 verwenden das Phänomen der Change Blindness als Indikator für die Ausrichtung der Aufmerksamkeit. Im Rahmen von Fahrten mit kontrollierten Situationsbedingungen wird die Hypothese untersucht, dass während der Bearbeitung visueller Nebenaufgabe die fahrbezogene Aufmerksamkeit auf fahrrelevante Situationsbestandteile gelenkt wird. Die Testfahrer nähern sich wiederholt Kreuzungen an. Während der Anfahrten wird über Okklusion ein Blickverhalten vorgegeben, das dem bei der Bearbeitung visueller Nebenaufgaben ähnelt. Die Fahrer sollen mit Tastendruck reagieren, wenn sie plötzliche Änderungen bemerken. Die Änderungen können sowohl relevante als auch irrelevante Fahrzeuge betreffen. Die Ergebnisse zeigen eine schlechte Entdeckungsleistung für Änderungen an irrelevanten Fahrzeugen. Änderungen an relevanten Objekten werden dagegen so gut wie immer bemerkt. Ob die Änderung durch Okklusion maskiert wird oder ob sie stattfindet, während die Fahrer die Straße sehen, hat keinen eindeutigen Ein¬fluss auf die Entdeckungsleistung. Dies kann ein Hinweis darauf sein, dass in der untersuchten Doppelaufgabensituation keine bottom-up Ausrichtung der Aufmerksamkeit erfolgt. Die angenommene top-down gesteuerte Beschränkung der Aufmerksamkeit auf als relevant bewertete Bestandteile der Fahrsituation hat Konsequenzen für die Analyse von Verkehrsunfällen. Unfälle infolge von visueller Ablenkung durch selbst initiierte Zweitaufgaben sind dann besonders wahrscheinlich, wenn das Situationsmodell des Fahrers falsch oder ungenau ist. Dies kann beispielsweise geschehen, wenn ein peripheres, nicht beachtetes Objekt plötzlich relevant wird und eine Reaktion des Fahrers erforderlich macht. In Übereinstimmung mit Befunden zur Gefahrenwahrnehmung sind besonders Fahranfänger aufgrund ihrer noch nicht ausreichend entwickelten mentalen Modellen anfällig für Fehleinschätzungen von Fahrsituationen. Dies führt bei Ablenkung durch Nebenaufgaben zu einer erhöhten Unfallgefährdung.
Humans and other animals share choice preference for smaller-but-sooner over later-but-larger rewards, indicating that the subjective value of a reward is discounted as a function of time. This phenomenon referred to as delay discounting (DD), represents one facet of impulsivity which is inherently connected with reward processing and, within a certain range, adaptive. Maladaptive levels, however, can lead to suboptimal decision-making and represent important characteristics of psychopathologies such as attention-deficit/hyperactivity disorder (ADHD). In line with a proposed influence of dysregulated dopamine (DA) levels on impulsivity, neural structures involved in DD (the ventral-striatum [VS]; orbitofrontal cortex [OFC]) are highly innervated by dopaminergic neurons. However, studies explicitly testing the triadic interplay of dopaminergic neurotransmission, impulsivity and brain activation during intertemporal choice are missing. Therefore, the first study of the thesis examined the effect of different DA-bioavailability levels, indicated by a genetic polymorphism (Val158Met) in the gene of the catechol-O-methyltransferase, on the association of delay discounting and OFC activation. OFC response to monetary rewards that varied by delay-to-delivery was recorded with functional near-infrared spectroscopy (fNIRS) in a sample of 49 healthy human subjects. The results suggest a DA-related enhancement in OFC function from low (low DA level) to partial (intermediate DA level) and full (high DA level) reward delay sensitivity. Furthermore, DA-bioavailability was shown to moderate the association of neural reward delay sensitivity and impulsivity: OFC reward delay sensitivity was strongly correlated with impulsivity at intermediate DA-levels, but not at low or high DA-levels where impulsivity was related to delay-independent OFC amplitudes. It is concluded that DA-level should be considered as a crucial factor whenever impulsivity-related brain activation, in particular to reward delay, is examined in healthy subjects. Dysfunctional reward processing, accompanied by a limited ability to tolerate reward delays (delay aversion), has been proposed as an important feature in ADHD putatively caused by striatal hypo-dopaminergia. Therefore, the aim of the second study of this thesis was to examine subcortical processing of reward delays and to test for neural indicators of a negative emotional response to delay periods. Using functional magnetic resonance imaging (fMRI), brain activation in adult patients with ADHD (n=14) and healthy control subjects (n=12) was recorded during the processing of immediate and delayed rewards. Compared with healthy control subjects, hyporesponsiveness of the VS reward system was evident in patients with ADHD for both immediate and delayed rewards. In contrast, delayed rewards evoked hyperactivation in the dorsal caudate nucleus and the amygdala of ADHD patients, corroborating the central predictions of the delay aversion hypothesis. In combination both studies support the conception of a close link between delay discounting, brain activation and dopaminergic neurotransmission. The results implicate that studies on neural correlates of DD have to account for the DA-bioavailability level and for a negative emotional response to reward delays.
Hintergrund: Die Aufmerksamkeitsdefizit-/Hyperaktivitätsstörung (ADHS) umfasst die klinischen Symptome Hyperaktivität, Impulsivität und Unaufmerksamkeit und besitzt eine große erbliche Komponente. Veränderungen des Dopaminstoffwechsels und des präfrontalen Kortex scheinen mit der Erkrankung assoziiert zu sein. Bekannt sind auch Defizite in exekutiven Funktionen wie Arbeitsgedächtnis und Antworthemmung, welche gemeinsam als ein Endophänotyp der ADHS betrachtet werden. Solche sogenannten intermediären Phänotypen bilden möglicherweise ätiopathogenetisch sinnvollere Untergruppen von Krankheitsbildern als die Unterteilung nach den klassischen Diagnosesystemen. Zahlreiche Untersuchungen zu Arbeitsgedächtnis und Antworthemmung bei ADHS finden Mittelwertsunterschiede im Vergleich zu gesunden Stichproben in behavioralen und hirnphysiologischen Maßen. Ein genetischer Polymorphismus (Val158Met) mit Einfluss auf die Synthese der Catechol-O-Methyltransferase (COMT) moduliert Arbeitsgedächtnis und Antworthemmung bei Gesunden und Patienten mit ADHS. COMT ist ein Enzym, das den Abbau von präfrontalem Dopamin katalysiert. Das Valin(Val)-Allel ist mit einer geringeren, das Methionin(Met)-Allel mit einer höheren Verfügbarkeit von Dopamin in kortikalen Arealen assoziiert. Letzteres scheint die Funktion präfrontaler Hirnareale zu optimieren. Ziel: Es ist unklar, ob die beiden Prozesse Arbeitsgedächtnis und Antworthemmung miteinander in Verbindung stehen, also einen gemeinsamen Endophänotypen bezeichnen, und ob ein möglicher Zusammenhang dieser beiden Funktionen durch Dopamin moduliert wird. Gegenstand der vorliegenden Arbeit ist, (1) die bekannten Mittelwertsunterschiede zwischen Patienten mit ADHS und gesunden Kontrollpersonen zu replizieren, (2) den Zusammenhang von Arbeitsgedächtnis und Antworthemmung mit Korrelationsanalysen zu überprüfen, (3) den Einfluss des COMT-Polymorphismus auf Arbeitsgedächtnis und Antworthemmung zu untersuchen und (4) festzustellen, ob der COMT-Polymorphismus die Stärke der Korrelationen beeinflusst. Die Fragestellungen 3 und 4 sind aufgrund der kleinen Stichproben als explorativ zu bewerten. Methoden: In die Auswertung aufgenommen wurden 45 erwachsene Patienten mit ADHS und 41 nach Alter, Geschlecht, Händigkeit, Intelligenz, Bildungsniveau und Kopfumfang vergleichbare Kontrollen. Arbeitsgedächtnis und Antworthemmung wurden durch eine N-Back- bzw. eine Stoppsignal-Aufgabe operationalisiert. Als abhängige Variablen dienten als behaviorale Maße die Anzahl richtiger Antworten, Reaktionszeiten und Effizienz und als hirnphysiologische Parameter Konzentrationsveränderungen von oxygeniertem (O2Hb) und deoxygeniertem Hämoglobin (HHb) in präfrontalen Arealen, die mittels funktioneller Nah-Infrarot Spektroskopie gemessen wurden. Korrelationen wurden zwischen den Kontrollbedingungen (1-Back und Go-Trials) und zwischen den eigentlichen Bedingungen der Arbeitsgedächtnis- und Stoppsignal-Aufgabe (2-Back und Stopperfolge) berechnet. Ergebnisse: Kontrollen und Patienten zeigten hirnphysiologisch aufgabentypische signifikante Aktivierungsmuster, für das Arbeitsgedächtnis mehr ausgeprägt über dem dorso-lateralen präfrontalen Kortex (DLPFC), für die Antworthemmung mehr über dem inferioren frontalen Kortex (IFC). Fragestellung 1: Patienten zeigten im Vergleich zu den gesunden Kontrollpersonen signifikante Defizite in allen erhobenen behavioralen Maßen. Sie zeigten auch signifikant reduzierte Anstiege von O2Hb über dem linken und rechten IFC für Stopperfolge und eine statistisch tendenziell verringerte O2Hb-Konzentration im linken DLPFC für die 2-Back-Bedingung. Es fanden sich jedoch auch Defizite in den einfachen Kontrollaufgaben (behaviorale Maße und O2Hb während 1-Back). Nach einer Anpassung der Gruppen für die Unterschiede in den Kontrollaufgaben blieben die Gruppenunterschiede in den Aufgaben für Arbeitsgedächtnis und Antworthemmung bestehen. Fragestellung 2: Nur bei den Patienten und nur für die behavioralen Maße zeigten sich signifikante positive Assoziationen. Die Effizienz während 1-Back korrelierte mit der Reaktionszeit während der Go-Trials, und die Effizienz während 2-Back korrelierte mit der Stoppsignal-Reaktionszeit. Diese beiden Korrelationen unterschieden sich statistisch nicht in ihrer Stärke. In den für die Unterschiede in den Kontrollaufgaben angepassten Gruppen blieb nur die Korrelation der Kontrollaufgaben tendenziell signifikant, die Korrelation von Effizienz während 2-Back und Stoppsignal-Reaktionszeit verschwand. Die Patienten zeigten erhöhte Impulsivität (erhoben mit einem Fragebogen), die positiv mit behavioralen Maßen der beiden untersuchten Prozesse korrelierte. Fragestellung 3: Für 1-Back (O2Hb in rechter Hemisphäre) und 2-Back (O2Hb in linker Hemisphäre) wurden statistisch tendenzielle COMT x Gruppe Interaktionen gefunden. Für 1-Back zeigten die Kontrollen mit dem Val/Val-Genoytp sowohl im Vergleich zu Kontrollen mit dem Met/Met-Genotyp als auch im Vergleich zu Patienten mit zwei Val-Allelen eine signifikant höhere O2Hb-Konzentration. Gleichzeitig wies die Analyse der Verhaltensdaten auf eine höhere Effizienz der Kontrollen mit Met-Allelen im Vergleich zu Patienten mit Met-Allelen hin. Für 2-Back zeigte der Val/Val-Genotyp der Kontrollen eine höhere O2Hb-Konzentration als der Val/Val-Genotyp der Patienten. Zusätzlich wies der Met/Met-Genotyp in der ADHS-Gruppe einen stärkeren Anstieg von O2Hb im Vergleich zu dem Val/Val-Genotyp in der ADHS-Gruppe auf. Die Analyse der Verhaltensdaten zeigte eine höhere Effizienz der Kontrollen im Vergleich zu den Patienten für die Gruppen mit einem oder zwei Val-Allelen. Für Stopperfolge zeigten sich signifikante COMT x Gruppe Interaktionen für O2Hb in beiden Hemisphären. Die Kontrollen mit Val/Met-Genotyp hatten höhere O2Hb-Konzentrationen als Kontrollen mit Val/Val- oder Met/Met-Genotyp und als Patienten mit Val/Met-Genotyp. Patienten mit Val/Met-Genotyp hatten langsamere Stoppsignal-Reaktionszeiten im Vergleich zu den Kontrollen mit Val/Met-Genotyp. Fragestellung 4: Die Korrelationen in Abhängigkeit der Stichproben und COMT-Gruppen zeigten unterschiedlich hohe und unterschiedlich gerichtete Korrelationskoeffizienten. Nur in der Gruppe der Patienten und nur für die Verhaltensdaten wurden positive Assoziationen für alle COMT-Gruppen gefunden, vergleichbar mit den Ergebnissen aus Fragestellung 2. Diskussion: Die behavioralen und hirnphysiologischen Unterschiede in den Aufgaben zum Arbeitsgedächtnis und zur Antworthemmung zwischen Patienten mit ADHS und Kontrollen replizieren gut die Ergebnisse früherer Arbeiten. Ausgehend von den Gruppenunterschieden in den einfachen Kontrollaufgaben muss aber überlegt werden, inwieweit Patienten mit ADHS auch in einfachen psychomotorischen Aufgaben bereits Defizite zeigen. Die Korrelation behavioraler Maße der eigentlichen Arbeitsgedächtnis- und Inhibitionsaufgabe in der Gruppe der Patienten, die allerdings die Assoziation der Kontrollaufgaben nicht überschritt, und die mit dem Anpassen für Unterschiede in den Kontrollenaufgaben verschwand, lässt Zweifel an dem spezifischen Zusammenhang der beiden Prozesse bei ADHS aufkommen. Zudem werfen die positiven Assoziationen dieser Prozesse (behaviorale Maße) mit der Impulsivität (Fragebogen) die Frage auf, ob es sich um die Operationalisierung des gleichen Konstrukts handelt bzw. ob Impulsivität in Form behavioraler Tests das Gleiche misst wie Impulsivität auf symptomatischer Ebene. Ein Faktor, der möglicherweise Einfluss auf die Korrelationen zwischen den Aufgaben hat, könnte der Dopamingehalt sein, wie er in der vorliegenden Arbeit durch den COMT Polymorphismus operationalisiert wurde. Die Ergebnisse der COMT x Gruppe Interaktionen zeigten eine erhöhte O2Hb-Konzentration der Val-Allelträger der Kontrollen für die N-Back-Aufgaben bei teilweise besserer Effizienz und eine erhöhte O2Hb-Konzentration und teilweise schnellere Stoppsignal-Reaktionszeit der Val/Met-Allelträger der Kontrollen bei Stopperfolgen. Unsere Ergebnisse entsprechen nicht unbedingt den Annahmen aus der Literatur, dass das Met-Allel das günstige Allel in Bezug auf gute präfrontale Hirnfunktion sei. Diese Unterschiede in den COMT x Gruppe Interaktionen legen eine Abhängigkeit präfrontaler Hirnfunktionen vom allgemeinen dopaminergen Gehalt (Patienten vs. Kontrollen), vom präfrontalen dopaminergen Niveau (COMT-Genotyp) und von der Aufgabenart (Arbeitsgedächtnis vs. Antworthemmung) nahe. Diese Hypothese wird unterstützt durch die Unterschiede in den Korrelationskoeffizienten der beiden Prozesse in Abhängigkeit der Stichproben und Genotyp-Gruppen. Schlussfolgerung: Die Befunde stützen nicht die Annahme, dass es sich bei Arbeitsgedächtnis und Antworthemmung um zusammenhängende Funktionen bei ADHS oder Gesunden handelt, oder dass der exekutive Endophänotyp einen einheitlichen Subtyp der ADHS darstellt. Zudem scheint eine mögliche Assoziation der beiden Prozesse von mehreren Faktoren wie z. B. der Dopamin-Konzentration moduliert zu werden. Zukünftige Arbeiten sollten die Fragestellungen bearbeiten, welche Faktoren den Zusammenhang dieser Prozesse beeinflussen und welche Kombination solcher Faktoren eine Subgruppe von Patienten mit ADHS mit einem gemeinsamen exekutiven Endophänotyp darstellen könnten.
Die Aufmerksamkeitsdefizit-/Hyperaktivitätsstörung (ADHS) zeichnet sich durch eine starke klinische Heterogenität aus, deren Ursachen bislang noch nicht völlig geklärt sind. Als erfolgversprechendes Erklärungsmodell hat sich das Endophänotypenkonzept herausgestellt, das davon ausgeht, dass unterschiedliche Dysfunktionen den vielfältigen klinischen Phänotypen der ADHS zugrunde liegen. Emotional-motivationalen Defiziten wird hierbei eine große Bedeutung beigemessen, allerdings wurden diese bislang kaum untersucht. Die wenigen vorliegenden Studien bezogen sich auf subjektive Daten und differenzierten nicht nach klinischen Subgruppen, wodurch sich heterogene Ergebnisse ergaben. Die vorliegende Arbeit hatte somit zum Ziel, einen emotional-motivationalen Endophänotyp der ADHS bei unterschiedlichen klinischen Subgruppen von ADHS-Patienten mit subjektiven und objektiven psychophysiologischen Daten zu untersuchen. Dies wurde mithilfe eines emotionalen Bilderparadigmas untersucht, bei dem neben subjektiven Bildbewertungen die affektmodulierte Startlereaktion als Valenzindikator und die elektrodermale Aktivität als Arousalindikator emotional-motivationaler Reaktivität gemessen wurden. Studie 1 (N = 325) konzentrierte sich auf die klinischen Subtypen der ADHS bei erwachsenen Patienten. Diese Studie konnte aufzeigen, dass ADHS-Patienten in Abhängigkeit vom ADHS-Subtypus Defizite in der emotional-motivationalen Reaktivität aufwiesen. Der Mischtypus und der hyperaktiv-impulsive Typus zeichneten sich durch eine verminderte Reaktivität auf positive Stimuli aus, was sich in einer reduzierten Startleinhibition widerspiegelte. Der hyperaktiv-impulsive Typus reagierte zudem vermindert auf negative Stimuli, was sich in einer verringerten Startlepotenzierung zeigte. Im Gegensatz dazu reagierte der unaufmerksame Typus vergleichbar zu Kontrollpersonen mit einer leicht geringeren Startleinhibition bei positiven Stimuli. Die besonders beeinträchtigte emotionale Reaktivität des hyperaktiv-impulsiven Typus spiegelte sich auch in einem Bias zu positiveren Bewertungen aller Bilder und einer verminderten Arousaleinschätzung negativer Stimuli bei Männern dieses Typus wider. Die ADHS-Patienten zeigten keine elektrodermalen Arousaldysfunktionen, wobei auch hier der hyperaktiv-impulsive Typus deskriptiv auffallend abgeflachte Werte in der Reaktivität auf emotionale Stimuli aufwies. Die gefundenen Dysfunktionen könnten zu hyperaktiv-impulsivem Verhalten und Sensation Seeking durch die Suche nach Verstärkern führen. Gleichzeitig könnten die Ergebnisse die starken sozialen Dysfunktionen und antisoziales Verhalten von ADHS-Patienten mit hyperaktiv-impulsiven Symptomen erklären. Zur Berücksichtigung von Entwicklungsaspekten im Endophänotypenmodell und Untersuchung des emotional-motivationalen Endophänotyps bei Kindern mit ADHS konzentrierte sich Studie 2 (N = 102) auf Jungen mit ADHS, die mit und ohne Methylphenidat untersucht wurden. Durch die zusätzliche Methylphenidatgruppe sollten die klinische Relevanz emotional-motivationaler Dysfunktionen belegt und Erkenntnisse zur Wirkweise von Methylphenidat gewonnen werden. Diese Studie konnte aufzeigen, dass sich ADHS-Kinder ohne Methylphenidat durch Hypoarousal auszeichneten, was sich in verminderten Hautleitfähigkeitsreaktionen auf die Bilder und Startletöne sowie einem verminderten tonischen Hautleitfähigkeitsniveau widerspiegelte. Diese Dysfunktionen wurden durch Methylphenidat normalisiert. Die Startledaten konnten aus methodischen Gründen die affektive Modulation bei den Kindern nicht abbilden. Diese Daten lieferten jedoch Hinweise, dass Methylphenidat die emotional-motivationale Reaktivität steigerte, da die ADHS-Kinder mit Methylphenidat eine verstärkte Startlereaktivität während der Bildbetrachtung aufwiesen. Das gefundene Hypoarousal auf Stimuli könnte dazu führen, dass vermindert auf Umweltreize und auch auf Belohnung und Bestrafung reagiert wird. Dies könnte soziale Dysfunktionen und externalisierendes Verhalten nach sich ziehen. Hyperaktiv-impulsives Verhalten und Sensation Seeking könnten kompensatorisch zur Anhebung des Arousals resultieren. Unaufmerksamkeit könnte durch einen suboptimalen Aktiviertheitsgrad bedingt sein. Methylphenidat könnte durch eine Steigerung des Arousals und die Verstärkung der emotionalen Reaktivität diesen Symptomen entgegenwirken. Die vorliegende Arbeit konnte somit als erste einen emotional-motivationalen Endophänotyp der ADHS unter Berücksichtigung valenz- und arousalbezogener Maße bei unterschiedlichen klinischen Subgruppen mit objektiven psychophysiologischen Parametern aufzeigen. Die Normalisierung des Hypoarousals von der Kindheit zum Erwachsenenalter könnte mit der Veränderung der ADHS-Symptome über die Entwicklung zusammenhängen. Die weitere Erforschung des Endophänotypenmodells der ADHS ist eine wichtige Aufgabe für die Zukunft. Die vorliegende Arbeit versuchte, hierzu einen Beitrag zu leisten.
Several studies have investigated the neural responses triggered by emotional pictures, but the specificity of the involved structures such as the amygdala or the ventral striatum is still under debate. Furthermore, only few studies examined the association of stimuli’s valence and arousal and the underlying brain responses. Therefore, we investigated brain responses with functional magnetic resonance imaging of 17 healthy participants to pleasant and unpleasant affective pictures and afterwards assessed ratings of valence and arousal. As expected, unpleasant pictures strongly activated the right and left amygdala, the right hippocampus, and the medial occipital lobe, whereas pleasant pictures elicited significant activations in left occipital regions, and in parts of the medial temporal lobe. The direct comparison of unpleasant and pleasant pictures, which were comparable in arousal clearly indicated stronger amygdala activation in response to the unpleasant pictures. Most important, correlational analyses revealed on the one hand that the arousal of unpleasant pictures was significantly associated with activations in the right amygdala and the left caudate body. On the other hand, valence of pleasant pictures was significantly correlated with activations in the right caudate head, extending to the nucleus accumbens (NAcc) and the left dorsolateral prefrontal cortex. These findings support the notion that the amygdala is primarily involved in processing of unpleasant stimuli, particularly to more arousing unpleasant stimuli. Reward-related structures like the caudate and NAcc primarily respond to pleasant stimuli, the stronger the more positive the valence of these stimuli is.
Brain–computer interfaces (BCIs) enable paralyzed patients to communicate; however, up to date, no creative expression was possible. The current study investigated the accuracy and user-friendliness of P300-Brain Painting, a new BCI application developed to paint pictures using brain activity only. Two different versions of the P300-Brain Painting application were tested: A colored matrix tested by a group of ALS-patients (n = 3) and healthy participants (n = 10), and a black and white matrix tested by healthy participants (n = 10). The three ALS-patients achieved high accuracies; two of them reaching above 89% accuracy. In healthy subjects, a comparison between the P300-Brain Painting application (colored matrix) and the P300-Spelling application revealed significantly lower accuracy and P300 amplitudes for the P300-Brain Painting application. This drop in accuracy and P300 amplitudes was not found when comparing the P300-Spelling application to an adapted, black and white matrix of the P300-Brain Painting application. By employing a black and white matrix, the accuracy of the P300-Brain Painting application was significantly enhanced and reached the accuracy of the P300-Spelling application. ALS-patients greatly enjoyed P300-Brain Painting and were able to use the application with the same accuracy as healthy subjects. P300-Brain Painting enables paralyzed patients to express themselves creatively and to participate in the prolific society through exhibitions.
Der Einfluss von Methylphenidat auf die affektive Bildverarbeitung bei erwachsenen AD(H)S Patienten
(2010)
Die vorliegende Arbeit wurde im Rahmen des ADHS-Forschungsprojektes der Universität Würzburg zur Identifikation von Endophänotypen der ADHS durchgeführt. Im Fokus des Interesses stand dabei die Untersuchung emotionaler Verarbeitungsprozesse bei erwachsenen ADHS-Patienten. Conzelmann und Kollegen (Conzelmann, et al., 2009) konnten zeigen, dass erwachsene ADHS-Patienten vom Mischtypus und vom hyperaktiv/ impulsiven Typus eine defizitäre affektive Startle Modulation aufweisen. Basierend auf diesen Ergebnissen stellte sich in der vorliegenden Arbeit die Frage, ob dieser defizitäre Schreckreflex auf emotionale Bilder des International Affective Picture Systems (IAPS) zunächst replizierbar und falls ja, durch die Einnahme eines Methylphenidatpräparats (MPH) vermindert oder gänzlich aufgehoben werden kann. Um dieser Frage nachzugehen, wurden zunächst im Rahmen einer Vorstudie 15 erwachsene ADHS-Patienten (Mischtypus) aus der Studie von Conzelmann et al. (2009) nach einer Zeitspanne von einem bis zwei Jahren ein weiteres Mal getestet. Etwa eine Stunde vor der zweiten Testung erhielten die Patienten die Instruktion, ihr MPH-Präparat einzunehmen. Im Anschluss daran wurden den Patienten positive, neutrale und negative IAPS-Bilder präsentiert. Diese Bilddarbietung wurde in unregelmäßigen Abständen von einem akustischen Störgeräusch unterbrochen, den die Patienten möglichst ignorieren sollten. Im zweiten Teil der Untersuchung wurden die Probanden sowohl während der ersten als auch während der zweiten Testung angewiesen, die einzelnen Bilder hinsichtlich ihrer Valenz (angenehm versus unangenehm) und ihres Arousals (aufregend versus ruhig) zu bewerten. Von den 15 getesteten Patienten konnten 13 in die Auswertung mit einbezogen werden (2 Patienten hatten unzureichend auf den Ton reagiert). Unterschiede zwischen den beiden Testzeitpunkten (also ohne und mit MPH) konnten bezüglich der affektiven Startle Modulation lediglich auf Bilder mit hohem Arousal festgestellt werden. Für diese spezifischen Stimuli zeigten die Patienten ohne MPH keine verringerte Startle Reaktion während der Betrachtung positiver Bilder. Mit MPH konnte dieses Ausbleiben der Startle Attenuation aufgehoben werden. Anders als bei der affektiven Startle Modulation, konnte bei den zusätzlich erhobenen physiologischen Maßen weder ein systematischer Einfluss durch die IAPS-Bilder noch durch die Medikation festgestellt werden. Gleiches ließ sich bei den Valenz- und Arousalratings feststellen. Ob sich diese positive MPH-Wirkung auf die affektive Startle Modulation auch unabhängig vom Arousalgehalt der betrachteten Bilder zeigt, sollte im Anschluss an diese Vortestung mittels einer zusätzlichen Studie mit wesentlich größerem Stichprobenumfang untersucht werden. Die Hauptstudie wurde sowohl doppelblind als auch placebo-kontrolliert und im cross-over Design durchgeführt. Die Testprozedur am Computer war vergleichbar mit dem Ablauf der Vortestung. Im Rahmen der Hauptstudie wurden 71 AD(H)S-Patienten (60 vom Mischtypus, 11 vom vorwiegend unaufmerksamen Typus) zweimal getestet. Von diesen 71 Patienten konnten letztlich 61 in die Auswertung der Haupttestung mit einbezogen werden (ein ADHS-Patient (Mischtypus) kam zur zweiten Testung nicht und 9 ADHS-Patienten (Mischtypus) hatten unzureichend auf den Startle-Ton reagiert). Dabei konnte zunächst für die Bilder mit hohem Arousal die defizitäre Startle Modulation auf positive Bilder repliziert werden. Durch die MPH-Einnahme ließ sich dieses Defizit jedoch nicht beheben. Da Conzelmann et al. (2009) lediglich beim Mischtypus und hyperaktiv-impulsiven Typus eine defizitäre Startle Modulation nachweisen konnten, wurde eine vergleichbare Auswertung für die Subgruppe der 51 ADHS-Patienten vom Mischtypus durchgeführt. Dabei unterschieden sich die Ergebnisse dieser Subgruppe im Wesentlichen nicht von der Gesamtstichprobe. Auch bei der Überprüfung der genetischen Hypothesen ließ sich keine Interaktion zwischen der Medikation und dem DRD4-7r, dem COMT Val/Met und dem DAT1-10r Polymorphismus feststellen. Die Ergebnisse zeigen zum einen eine defizitäre Startle Modulation der 61 AD(H)S-Patienten, die vergleichbar ist mit dem gezeigten Defizit von Conzelmann et al. (2009) bei Patienten des Mischtypus. Ein positiver Effekt durch die MPH-Einnahme konnte dabei ebenso wenig bestätigt werden wie eine mögliche Interaktion verschiedener dopaminerger Genpolymorphismen auf die MPH-Wirkung. Zusätzliche Studien werden zeigen, ob diese defizitäre Verarbeitung tatsächlich durch die MPH-Einnahme unbeeinflusst bleibt oder ob letztlich mittels medikamentöser Interventionen doch noch eine entsprechende Symptomverbesserung bei erwachsenen AD(H)S-Patienten zu erzielen ist.
The aim of the present thesis was to explore how food deprivation and reward expectancy versus frustrative nonreward change implicit and explicit food-liking and food-wanting. As a result, Experiment 1-3 were successful in revealing that liking- and wanting-related associations toward food stimuli dissociate as a function of food deprivation, given that participants were not rewarded with real food during the experiment. More specifically, whereas food-deprived participants showed more wanting-related associations toward food stimuli than satiated participants, the liking-related associations did not differ across both conditions of hunger. Overall, this effect could be replicated in 3 experiments using different manipulations of nonreward versus reward expectancy. However, neither food deprivation nor nonreward were found to influence participants’ self-reported mood and frustration. Moreover, participants of Experiment 2 anticipating food consumption showed the same liking- and wanting-related responses due to food deprivation than participants in the nonreward condition. But providing participants with individual control over food consumption abolished the dissociation of liking- and wanting-related associations. In this condition, however, participants’ liking- and wanting-related associations were not moderated by need state, maybe due to the (partial) consumption of snack food before the implicit attitude assessment. This, in turn, may have reduced participants’ disposition to respond with more liking- and wanting-related associations when being hungry. Finally, Experiment 4 revealed that the presentation of need-relevant vs. need-irrelevant stimuli prompted different liking-related associations depending on the time participants had fasted before the experiment. Specifically, it could be demonstrated that whereas moderately-hungry compared to satiated participants responded with more positive associations toward need-relevant stimuli, 15 hours food-deprived participants responded with more negative associations compared to moderately-hungry and satiated participants. Respectively, a significant curvilinear function of need state was obtained. In addition, participants were found to immediately respond more negatively to need-irrelevant stimuli as soon as they became moderately hungry, evidencing devaluation effects (see Brendl, Markman, & Messner, 2003) to also occur on an implicit level of responding. Contrary to the implicit liking- and wanting-related evaluations, self-reported explicit food-liking and food-wanting did not dissociate as a function of food deprivation and nonreward, revealing that participants’ explicit self-reports of food-liking and food-wanting did not mirror their implicit responses. As the most important result, it could be demonstrated that explicit food-liking and food-wanting varied positively as a function of need state. The results were discussed on the background of different theoretical assumptions on the malleability of implicit and explicit need-relevant attitudes (e.g. motivational theories, frustrative nonreward).
Neuroplasticity is a term indicating structural and functional changes in the brain through the lifespan. In the present study, differences in the functional cortical activations between the musical talents and non-talents were investigated after a short-term practice of the visuomotor and auditory tasks. Visuomotor task consisted of the finger tapping sequences, while auditory task consisted of passive listening to the classical music excerpts. Non-talents were divided in two groups: trained non-talents who practiced the task prior to scanning and untrained non-talents who did not practice the task. Functional activations were obtained by the functional magnetic resonance imaging (fMRI) in a 1.5T Scanner. It was hypothesized that talents would exhibit different functional activations from non-talents in both tasks as a result of the long-term music practice, which would account for the brain plasticity. Decreased activation of the same areas in talents in respect to the non-talents as well as the activation of different areas between the talents and non-talents was hypothesized. In addition due to a plethora of previous studies showing increased activations in the primary motor cortex (M1) in musicians, as well as left inferior frontal gyrus (lIFG), increased activation of the M1 and lIFG in talents were hypothesized. Behavioral results did not reveal differences in performance among the three groups of subjects (talents, non-talents who practiced the task, and non-talents who did not practice the task). The main findings from imaging results of the visuomotor task confirmed the hypothesis of the increased activation in the M1 in talents. Region of interest analyses of the lIFG revealed the highest activation in the untrained non-talents, lower activation in talents, and least activation in the trained non-talents. Posthoc imaging analyses revealed higher activations in the cerebella of subjects who practiced the visuomotor task. For the auditory task, the effect of auditory practice was observed in the right inferior frontal gyrus (rIFG). These results should be interpreted with caution due to the absence of behavioral differences among the groups.
In order to unify two major theories of moral judgment, a novel task is employed which combines elements of Kohlberg´s stage theory and of the theory of information integration. In contrast to the format of Kohlberg´s moral judgment interview, a nonverbal and quantitative response which makes low demands on verbal facility was used . Moral informers differing in value, i.e. high and low, are presented. The differences in effect of those two pieces of information should be substantial for a person at that specific moral stage, but small for a person at a different stage. Hence, these differences may diagnose the person's moral stage in the simplest possible way as the two levels of each of the thoughts were about typical content of the four Kohlbergian preconventional and conventional stages. The novel task allowed additionally to measure the influence of another moral concept which was about the non-Kohlbergian moral concept of recompense. After a training phase, pairs of those thoughts were presented to allow for the study of integration and individual differences. German and Korean children, 8, 10, and 12 years in age, judged deserved punishment. The patterns of means, correlations and factor loadings showed that elements of both theories can be unified, but produced unexpected results also. Additive integration of each of the two pairs of moral informers appeared, either with two Kohlbergian moral informers or with another Kohlbergian moral informer in combination with information about recompense. Also cultural independence as well as dependence, developmental changes between 8 and 10 years, and an outstanding moral impact of recompense in size and distinctiveness were observed.
The aim of this project was to investigate whether reflex-like innate facial reactions to tastes and odors are altered in patients with eating disorders. Qualitatively different tastes and odors have been found to elicit specific facial expressions in newborns. This specificity in newborns is characterized by positive facial reactions in response to pleasant stimuli and by negative facial reactions in response to unpleasant stimuli. It is, however, unclear, whether these specific facial displays remain stable during ontogeny (1). Despite the fact that several studies had shown that taste-and odor-elicited facial reactions remain quite stable across a human’s life-span, the specificity of research questions, as well as different research methods, allow only limited comparisons between studies. Moreover, the gustofacial response patterns might be altered in pathological eating behavior (2). To date, however, the question of whether dysfunctional eating behavior might alter facial activity in response to tastes and odors has not been addressed. Furthermore, changes in facial activity might be linked to deficient inhibitory facial control (3). To investigate these three research questions, facial reactions in response to tastes and odors were assessed. Facial reactions were analyzed using the Facial Action Coding System (FACS, Ekman & Friesen, 1978; Ekman, Friesen, & Hager, 2002) and electromyography.
In order to survive, organisms avoid threats and seek rewards. Classical conditioning is a simple model to explain how animals and humans learn associations between events that allow them to predict threats and rewards efficiently. In the classical conditioning paradigm, a neutral stimulus is paired with a biologically significant event (the unconditioned stimulus – US). In virtue of this association, the neutral stimulus acquires affective motivational properties, and becomes a conditioned stimulus (CS+). Defensive responses emerge for pairings with an aversive US (e.g., pain), and appetitive responses emerge for pairing with an appetitive event (e.g., reward). It has been observed that animals avoid a CS+ when it precedes an aversive US during a training phase (CS+ US; forward conditioning); whereas they approach a CS+ when it follows an aversive US during the training phase (US CS+; backward conditioning). These findings indicate that the CS+ acquires aversive properties after a forward conditioning, whereas acquires appetitive properties after a backward conditioning. It is thus of interest whether event timing also modulates conditioned responses in such an opponent fashion in humans, who are capable of explicit cognition about the associations. For this purpose, four experiments were conducted in which a discriminative conditioning was applied in groups of participants that only differed in the temporal sequence between CS+ onset and US onset (i.e., the interstimulus interval – ISI). During the acquisition phase (conditioning), two simple geometrical shapes were presented as conditioned stimuli. One shape (CS+) was always associated with a mild painful electric shock (i.e., the aversive US) and the other one (CS-) was never associated with the shock. In a between-subjects design, participants underwent either forward or backward conditioning. During the test phase (extinction), emotional responses to CS+ and CS- were tested and the US was never presented. Additionally, a novel neutral shape (NEW) was presented as control stimulus. To assess cognitive components, participants had to rate both the valence (the degree of unpleasantness or pleasantness) and the arousal (the degree of calmness or excitation) associated with the shapes before and after conditioning. In the first study, startle responses, an ancestral defensive reflex consisting of a fast twitch of facial and body muscles evoked by sudden and intense stimuli, was measured as an index of stimulus implicit valence. Startle amplitude was potentiated in the presence of the forward CS+ whilst attenuated in the presence of the backward CS+. Respectively, the former response indicates an implicit negative valence of the CS+ and an activation of the defensive system; the latter indicated an implicit positive valence of the CS+ and an activation of the appetitive system. In the second study, the blood-oxygen level dependent (BOLD) response was measured by means of functional magnetic resonance imaging (fMRI) to investigate neural responses after event learning. Stronger amygdala activation in response to forward CS+ and stronger striatum activation in response to backward CS+ were found in comparison to CS-. These results support the notion that the defensive motivational system is activated after forward conditioning since the amygdala plays a crucial role in fear acquisition and expression. Whilst the appetitive motivational system is activated after backward conditioning since the striatum plays a crucial role in reward processing. In the third study, attentional processes underlying event learning were observed by means of steady-state visual evoked potentials (ssVEPs). This study showed that both forward and backward CS+ caught attentional resources. More specifically, ssVEP amplitude was higher during the last seconds of forward CS+ that is just before the US, but during the first seconds of backward CS+ that is just after the US. Supposedly, attentional processes were located at the most informative part of CS+ in respect to the US. Participants of all three studies rated both forward and backward CS+ more negative and arousing compared to the CS-. This indicated that event timing did not influence verbal reports similarly as the neural and behavioral responses indicating a dissociation between the explicit and implicit responses. Accordingly, dual process theories propose that human behavior is determined by the output of two systems: (1) an impulsive implicit system that works on associative principles, and (2) a reflective explicit system that functions on the basis of knowledge about facts and values. Most importantly, these two systems can operate in a synergic or antagonistic fashion. Hence, the three studies of this thesis congruently suggest that the impulsive and the reflective systems act after backward association in an antagonistic fashion. In sum, event timing may turn punishment into reward in humans even though they subjectively rate the stimulus associated with aversive events as being aversive. This dissociation might contribute to understand psychiatric disorders, like anxiety disorders or drug addiction.
The thesis deals with the question which motivation direction—approach or avoidance—is connected to the emotion relief—a positive, low-arousal emotion, which is caused by an expected or nonexpected, motive-consistent change for the better, thus caused by the absence of an aversive stimulus. Based on the idea of postulating different levels of approach avoidance motivation, the Reflective-Impulsive Model of Behavior (RIM, Strack & Deutsch, 2004) is applied to relief and approach avoidance. The RIM differentiates between an impulsive and a reflective system of information processing, with both systems working in relative independence from each other. Two central variables moderate the relation between relief and approach avoidance. The first is the psychological system in which approach avoidance is processed and assessed. Two levels of approach avoidance are distinguished: an impulsive distance orientation (distance change in relation to specific stimuli) and a reflective goal orientation (attainment of positive versus avoidance of negative end states). The second is the psychological system in which relief developed: In the impulsive system, relief develops as the affect that is conditioned to the absence of negative states; in the reflective system, relief develops as a result of goal-oriented behaviour of controlling or preventing of negative stimulation. The thesis looks at both moderators (level of approach avoidance and psychological system of development of relief) at once. The central prediction for the impulsive distance orientation is: Relief leads to an approach distance orientation (distance reduction), independent from the system in which relief develops. The central prediction for the reflective goal orientation is: Relief leads to an avoidance goal orientation (control of negative end states). This latter prediction is only made for the case when relief was caused by (develops in) the reflective system, that is by one’s own, goal-directed behaviour; it is further necessary for an avoidance goal orientation that the relief state cannot certainly reached, instead there always has to uncertainty in the control of negative states. The methodology in the thesis is based on studies of aversive conditioning. In most studies, a differentiation paradigm is applied. The impulsive relief is operationalized via a classically conditioned relief (aversive CS-), whereas the reflective relief is operationalized via an active avoidance paradigm which ensures the methodological comparability of “reflective relief” to “impulsive relief”. The predictions are as follows: Prediction A: Relief will elicit positive affective valence and an approach distance orientation. This should be true for both relief that is caused by the impulsive system and for relief that is caused by the reflective system (Experiments 2-3). Prediction B: More positive valence of relief—caused by a larger change of affective states—will elicit a stronger approach distance orientation (Experiment 4). Prediction C: Relief caused by the impulsive system will not elicit a specific goal orientation (Experiment 5). Prediction D: Uncertain self-induced relief—caused by the reflective system—will elicit an avoidance goal orientation (Experiments 6-7). In addition, Experiment 1 validated the conditioning paradigm used for the elicitation of relief. The experiments in the thesis support all predictions made in the theoretical part. The work has implications for the assumptions made in the RIM (Strack & Deutsch, 2004). In the impulsive system, the affective valence determines approach avoidance orientation (e.g., R. Neumann & Strack, 2000), the reflective goal not playing an important role. Relief elicits an approach orientation in the impulsive system. In the reflective system, the active goal is decisive for the approach avoidance orientation. Uncertain self-caused relief elicits an avoidance goal orientation in the reflective system. The studies of the thesis thus support and validate the assumptions made in the RIM (Strack & Deutsch, 2004) in the specific field of motivational direction.
The limbic system and especially the amygdala have been identified as key structures in emotion induction and regulation. Recently research has additionally focused on the influence of prefrontal areas on emotion processing in the limbic system and the amygdala. Results from fMRI studies indicate that the prefrontal cortex (PFC) is involved not only in emotion induction but also in emotion regulation. However, studies using fNIRS only report prefrontal brain activation during emotion induction. So far it lacks the attempt to compare emotion induction and emotion regulation with regard to prefrontal activation measured with fNIRS, to exclude the possibility that the reported prefrontal brain activation in fNIRS studies are mainly caused by automatic emotion regulation processes. Therefore this work tried to distinguish emotion induction from regulation via fNIRS of the prefrontal cortex. 20 healthy women viewed neutral pictures as a baseline condition, fearful pictures as induction condition and reappraised fearful pictures as regulation condition in randomized order. As predicted, the view-fearful condition led to higher arousal ratings than the view-neutral condition with the reappraise-fearful condition in between. For the fNIRS results the induction condition showed an activation of the bilateral PFC compared to the baseline condition (viewing neutral). The regulation condition showed an activation only of the left PFC compared to the baseline condition, although the direct comparison between induction and regulation condition revealed no significant difference in brain activation. Therefore our study underscores the results of previous fNIRS studies showing prefrontal brain activation during emotion induction and rejects the hypothesis that this prefrontal brain activation might only be a result of automatic emotion regulation processes.
Arrow cues and other overlearned spatial symbols automatically orient attention according to their spatial meaning. This renders them similar to exogenous cues that occur at stimulus location. Exogenous cues trigger shifts of attention even when they are presented subliminally. Here, we investigate to what extent the mechanisms underlying the orienting of attention by exogenous cues and by arrow cues are comparable by analyzing the effects of visible and masked arrow cues on attention. In Experiment 1, we presented arrow cues with overall 50% validity. Visible cues, but not masked cues, lead to shifts of attention. In Experiment 2, the arrow cues had an overall validity of 80%. Now both visible and masked arrows lead to shifts of attention. This is in line with findings that subliminal exogenous cues capture attention only in a top-down contingent manner, that is, when the cues fit the observer’s intentions.
Our object recognition abilities, a direct product of our experience with objects, are fine-tuned to perfection. Left temporal and lateral areas along the dorsal, action related stream, as well as left infero-temporal areas along the ventral, object related stream are engaged in object recognition. Here we show that expertise modulates the activity of dorsal areas in the recognition of man-made objects with clearly specified functions. Expert chess players were faster than chess novices in identifying chess objects and their functional relations. Experts’ advantage was domain-specific as there were no differences between groups in a control task featuring geometrical shapes. The pattern of eye movements supported the notion that experts’ extensive knowledge about domain objects and their functions enabled superior recognition even when experts were not directly fixating the objects of interest. Functional magnetic resonance imaging (fMRI) related exclusively the areas along the dorsal stream to chess specific object recognition. Besides the commonly involved left temporal and parietal lateral brain areas, we found that only in experts homologous areas on the right hemisphere were also engaged in chess specific object recognition. Based on these results, we discuss whether skilled object recognition does not only involve a more efficient version of the processes found in non-skilled recognition, but also qualitatively different cognitive processes which engage additional brain areas
The wardrobe malfunction—an unanticipated exposure of bodily parts in the public—has become a prevailing issue in concerts, shows and other celebrity events that is reliably reported by the media. The internet as the fastest source for celebrity gossip allows measuring the impact of such wardrobe malfunctions on the public in-terest in a celebrity. This measurement in turn allows conclusions about intention, motivation, and internet be-haviour of a wide variety of internet users. The present study exemplifies the use of an innovative non-reactive measure of active interest—the Search Volume Index—to assess the impact of a variety of internet-related phe-nomena, including wardrobe malfunctions. Results indicate that interest in a celebrity increases immediately af-ter such an event and stays at a high level for about three weeks (the wardrobe plateau). This special form of ce-lebrity gossip thus meets a constant interest of a substantial proportion of internet users.
It has been proposed that different features of a face provide a source of information for separate perceptual and cognitive processes. Properties of a face that remain rather stable over time, so called invariant facial features, yield information about a face’s identity, and changeable aspects of faces transmit information underlying social communication such as emotional expressions and speech movements. While processing of these different face properties was initially claimed to be independent, a growing body of evidence suggests that these sources of information can interact when people recognize faces with whom they are familiar. This is the case because the way a face moves can contain patterns that are characteristic for that specific person, so called idiosyncratic movements. As a face becomes familiar these idiosyncratic movements are learned and hence also provide information serving face identification. While an abundance of experiments has addressed the independence of invariant and variable facial features in face recognition, little is known about the exact nature of the impact idiosyncratic facial movements have on face recognition. Gaining knowledge about the way facial motion contributes to face recognition is, however, important for a deeper understanding of the way the brain processes and recognizes faces. In the following dissertation three experiments are reported that investigate the impact familiarity of changeable facial features has on processes of face recognition. Temporal aspects of the processing of familiar idiosyncratic facial motion were addressed in the first experiment via EEG by investigating the influence familiar facial movement exerts on event-related potentials associated to face processing and face recognition. After being familiarized with a face and its idiosyncratic movement, participants viewed familiar or unfamiliar faces with familiar or unfamiliar facial movement while their brain potentials were recorded. Results showed that familiarity of facial motion influenced later event-related potentials linked to memory processes involved in face recognition. The second experiment used fMRI to investigate the brain areas involved in processing familiar facial movement. Participants’ BOLD-signal was registered while they viewed familiar and unfamiliar faces with familiar or unfamiliar idiosyncratic movement. It was found that activity of brain regions, such as the fusiform gyrus, that underlie the processing of face identity, was modulated by familiar facial movement. Together these two experiments provide valuable information about the nature of the involvement of idiosyncratic facial movement in face recognition and have important implications for cognitive and neural models of face perception and recognition. The third experiment addressed the question whether idiosyncratic facial movement could increase individuation in perceiving faces from a different ethnic group and hence reduce impaired recognition of these other-race faces compared to own-race faces, a phenomenon named the own-race bias. European participants viewed European and African faces that were each animated with an idiosyncratic smile while their attention was either directed to the form or the motion of the face. Subsequently recognition memory for these faces was tested. Results showed that the own-race bias was equally present in both attention conditions indicating that idiosyncratic facial movement was not able to reduce or diminish the own-race bias. In combination the here presented experiments provide further insight into the involvement of idiosyncratic facial motion in face recognition. It is necessary to consider the dynamic component of faces when investigating face recognition because static facial images are not able to provide the full range of information that leads to recognition of a face. In order to reflect the full process of face recognition, cognitive and neural models of face perception and recognition need to integrate dynamic facial features as a source of information which contributes to the recognition of a face.
Zusammenfassung Gegenstand der vorliegenden Arbeit ist die Rolle von Sicherheitsverhalten in der Expositionstherapie von Panikstörung mit Agoraphobie. Neu an dieser Arbeit ist, dass die Ausgangslage des Patienten bezüglich des zu Therapiebeginn gezeigten Vermeidungsverhaltens, welches wiederum das in den Expositionen gezeigte Sicherheitsverhalten moderieren sollte, einbezogen wurde. Neben der Klärung dieser spezifischen Variablen sollten weitere Moderatoren, Mediatoren und Prädiktoren für Sicherheitsverhalten bzw. Therapieergebnis identifiziert werden. Hierfür wurde in dieser Studie erstmals die Wirkung von Faktoren wie Therapeutenbegleitung, Angst vor Körpersymptomen und Veränderungen kognitiver Prozesse auf Sicherheitsverhalten und Therapieergebnis mit Hilfe von Pfadanalysemodellen untersucht. Erwartungsangst und das Ausmaß der Depression zu Therapiebeginn wurden als Kovariate einbezogen. In die Berechnungen wurden nach Ausschluss der Drop-Outs N = 242 Patienten eingeschlossen. Nach den in dieser Arbeit durchgeführten Analysen sind weder das Ausmaß der Vermeidung zu Therapiebeginn noch die Therapeutenbegleitung während der Expositionen Prädiktoren für Sicherheitsverhalten. Es konnte zudem in den berechneten Pfadanalysemodellen kein signifikanter Zusammenhang zwischen Sicherheitsverhalten und Therapieergebnis gezeigt werden. Stattdessen weisen die hier gefundenen Ergebnisse darauf hin, dass sowohl die Reduktion der Angst vor Körpersymptomen als auch die Veränderung kognitiver Prozesse signifikant mit dem Therapieergebnis korrelieren. Hinsichtlich der einbezogenen Kovariaten zeigte sich, dass ein positiver Zusammenhang zwischen Erwartungsangst und Sicherheitsverhalten besteht und das Ausmaß der Depression zu Therapiebeginn wie erwartet keinen Einfluss auf Sicherheitsverhalten und Therapieergebnis hatte. Insgesamt bestätigen die hier gefundenen Ergebnisse, dass insbesondere die Reduktion der Angst vor Körpersymptomen und die Veränderung kognitiver Prozesse wichtige Elemente der Expositionstherapie sind und diese somit grundsätzlich einen wirkungsvollen Zugang zur Behandlung von Panikstörung mit Agoraphobie darstellt. Die Analysen weisen darauf hin, dass Sicherheitsverhalten entgegen den Erwartungen dabei eine eher untergeordnete Rolle zu spielen scheint. Dies sollte in weiterführenden Studien geklärt werden, wobei Sicherheitsverhalten insbesondere unter dem in dieser Arbeit aufgezeigten definitions- bzw. störungs-spezifischen Blickwinkel untersucht werden sollte.
Just do it! Guilt as a moral intuition to cooperate - A parallel constraint satisfaction approach
(2011)
After a long dominance of rational models of judgment and decision-making in moral psychology (e.g. Kohlberg, 1969) there is now a strong interest in how intuitions and emotions influence moral judgments and decisions (e.g. Greene, 2007; Haidt, 2001; Monin, Pizarro, & Beer, 2007). In the literature, the influence of emotions on moral decisions is explained by heuristic or non-compensatory information processing (e.g. Sinnott-Armstrong, Young, & Cushman, 2010; Sunstein, 2005; Tobler, Kalis, & Kalenscher, 2008). However, the process of emotion elicitation is ignored. Appraisal theories postulate that emotion elicitation is due to the incoherence (or discrepancy) of behavioral representations like goals and actions (Moors, 2009). Emotion elicitation and intuitive decision-making can be combined if both processes apply a connectionist information processing structure (e.g. Barnes & Thagard, 1996). The current work contrasts both perspectives of intuitive-emotional decision-making with respect to guilt and cooperation.
The present study investigated event-related brain potentials elicited by true and false negated statements to evaluate if discrimination of the truth value of negated information relies on conscious processing and requires higher-order cognitive processing in healthy subjects across different levels of stimulus complexity. The stimulus material consisted of true and false negated sentences (sentence level) and prime-target expressions (word level). Stimuli were presented acoustically and no overt behavioral response of the participants was required. Event-related brain potentials to target words preceded by true and false negated expressions were analyzed both within group and at the single subject level. Across the different processing conditions (word pairs and sentences), target words elicited a frontal negativity and a late positivity in the time window from 600–1000 msec post target word onset. Amplitudes of both brain potentials varied as a function of the truth value of the negated expressions. Results were confirmed at the single-subject level. In sum, our results support recent suggestions according to which evaluation of the truth value of a negated expression is a time- and cognitively demanding process that cannot be solved automatically, and thus requires conscious processing. Our paradigm provides insight into higher-order processing related to language comprehension and reasoning in healthy subjects. Future studies are needed to evaluate if our paradigm also proves sensitive for the detection of consciousness in non-responsive patients.
Die Arbeit gliedert sich in drei Schwerpunkte. Zunächst wird Zeitmanagement aus psychologischer Perspektive genauer betrachtet. Während Zeitmanagement bislang, auch in der Forschung, vor allem vor dem Hintergrund populärer Ratgeberliteratur beschrieben wurde (z.B. Macan, Shahani, Dipboye & Phillips, 1990, S. 761ff; Orpen, 1994, S. 394) ist es ein besonderes Anliegen im Rahmen dieser Arbeit gutes Zeitmanagement aus psychologischer Perspektive zu diskutieren: Was kann vor dem Hintergrund psychologischer Theorien und Forschungsbefunde unter gutem Zeitmanagement verstanden werden? Welche konkreten Verhaltensweisen zeichnen gutes Zeitmanagement aus? Verschiedene Zeitmanagementtechniken werden hierzu möglichst verhaltensnah expliziert. Das so beschriebene Zeitmanagementverhalten diente als Grundlage für die korrelativen Studien sowie die Interventionsstudien zur Evaluation von Zeitmanagementtrainings. Koch und Kleinmann (2002, S. 212) verwiesen auf das Problem der unklaren theoretischen Fundierung von Zeitmanagementtrainings und sahen darin eine Ursache für die uneinheitliche Befundlage zur Wirksamkeit solcher Trainings. Für den zweiten Teil der Arbeit wurde in drei korrelativen Studien untersucht, ob die Nutzung von Zeitmanagementtechniken mit Befinden und Leistung dergestalt assoziiert ist, dass sich Leistung und Befinden mit zunehmender Nutzungshäufigkeit von Zeitmanagementtechniken verbessern. Zu diesem Zweck wurden korrelative Studien mit Auszubildenden, Sachbearbeitern und Führungskräften durchgeführt. Ein besonderes Anliegen ist in diesem Kontext auch die Diskussion von gefundenen Unterschieden bezüglich der Zusammenhänge zwischen Zeitmanagementverhalten, Leistung und Befinden zwischen den drei Zielgruppen. Im dritten Teil werden die Ergebnisse dreier Evaluationsstudien berichtet, in denen die Wirkung von Zeitmanagementtrainings auf Leistung und Befinden untersucht wurde. Im Mittelpunkt steht dabei eine Interventionsstudie mit Sachbearbeitern (kaufmännischen Angestellten), die um zwei weitere Interventionsstudien mit Studierenden ergänzt wurde. Als wichtige Ergebnisse der Studien können festgehalten werden, dass (a) gutes Zeitmanagementverhalten insbesondere bei Führungskräften und Sachbearbeitern in Zusammenhang mit Befinden, weniger mit Leistung, steht, (b) Zeitmanagementtrainings geeignet sind, die erlebte Zeitkontrolle zu steigern und das Stresserleben zu reduzieren, (c), Zeitmanagementtrainings auch eine präventive Wirkung in Bezug auf das Stresserleben bei steigenden Anforderungen haben können, (d) einem wesentlichen Zeitmanagementproblem, dem Aufschieben der Bearbeitung von Aufgaben bis kurz vor eine deadline, durch ein Zeitmanagementtraining erfolgreich begegnet und (e) lediglich eine tendenzielle Wirkung eines Zeitmanagementtrainings auf Leistungsvariablen nachgewiesen werden konnte.
Hintergrund: Die Panikstörung ist eine die Lebensqualität beeinträchtigende psychische Störung, die unbehandelt einen chronischen Verlauf zeigt, jedoch sowohl durch Psychotherapie als auch Psychopharmakotherapie erfolgreich behandelt werden kann. Die der Panikstörung zugrundeliegenden neuronalen Schaltkreise werden in der von Gorman et al. (1989, 2000) veröffentlichten neuroanatomischen Hypothese beschrieben. In der stark an der Tierforschung angelehnten revidierten Version (2000) wird die Amygdala als Zentrum eines komplexen Furchtnetzwerks angesehen, deren Aktivität durch höhere kortikale Areale im präfrontalen Kortex moduliert wird. Trotz der Popularität der Hypothese sind deren Annahmen bislang kaum explizit überprüft worden. Ziel: Ziel der Untersuchung war es, die neuronale Verarbeitung emotionaler Reize in empirischen Experimenten genauer zu untersuchen, da die Datenlage in diesem Bereich noch gering und inkonsistent ist und Replikationsstudien fehlen. Außerdem sollte ein Überblick über die bereits veröffentlichten empirischen Studien gegeben werden, welche mit bildgebenden Verfahren Aussagen über die Beteiligung bestimmter neuronaler Strukturen bei der Panikstörung erlauben. Methoden: An den Standorten Würzburg und Hamburg wurden Patienten mit Panikstörung (n = 18/20) und gesunde Kontrollen (n = 27/23) mit zwei Paradigmen zur Verarbeitung emotionaler Reize (emotionaler Stroop-Test und Gesichterverarbeitung) mit der funktionellen Magnetresonanztomographie untersucht. Hierbei sollten insbesondere die in der neuroanatomischen Hypothese wichtigen Strukturen Amygdala und präfrontaler Kortex betrachtet werden. Bildgebende Studien, die Patienten mit Panikstörung untersuchten, wurden über eine Literaturrecherche ermittelt, in Untergruppen von Studien eingeteilt und bewertet. Ergebnisse: In beiden untersuchten Stichproben zeigten die Patienten im Vergleich zu den Kontrollen auf Reaktionszeitebene einen signifikanten emotionalen Stroop-Effekt mit verlängerten Antwortlatenzen für panikrelevante Wörter. In den funktionellen Daten zeigten sich keine Unterschiede in der Amygdalaaktivierung, jedoch zeigten die Patienten für den Kontrast ‚panikrelevante vs. neutrale Wörter‘ im Gruppenvergleich eine erhöhte Aktivierung in präfrontalen Arealen. Bei der Verarbeitung emotionaler Gesichter gab es kaum Unterschiede zwischen den Gruppen, ängstliche Gesichter lösten im Vergleich zu neutralen Gesichtern keine erhöhte Amygdalaaktivierung aus. Hinweise auf eine generelle Hypofrontalität ließen sich bei den Patienten – zumindest bei der Verarbeitung emotionaler Reize – in den angewandten Paradigmen nicht finden. Schlussfolgerung: Die Ergebnisse der experimentellen Untersuchung und des Literaturüberblicks zeigen, dass – trotz durchaus mit der neuroanatomischen Hypothese in Einklang stehender Befunde – Inkonsistenzen zu finden sind, die mit der aktuellen Hypothese nicht erklärt werden können. Die Ergebnisse der vorliegenden Untersuchung im emotionalen Stroop-Test konnten bisher gefundene präfrontale Aktivierungsmuster replizieren, für die Amygdala gilt das nicht. Eine Erweiterung der Hypothese durch die Berücksichtigung neuer Aspekte könnte helfen, diese Befunde besser zu erklären und zu einem umfassenderen Bild der neuronalen Grundlagen der Störung beitragen. Modifikationen werden vorgeschlagen, die der Weiterentwicklung der Hypothese dienen könnten und bei der Planung zukünftiger Studien berücksichtigt werden sollten. Die vermutete prominente Rolle der Amygdala bei der Panikstörung ist nach wie vor nicht hinreichend untersucht und der modulierende Einfluss präfrontaler Strukturen sollte zukünftig insbesondere im direkten Zusammenspiel mit der Amygdala, z. B. im Rahmen psychotherapeutischer Interventionen, genauer analysiert werden.
Humans have the tendency to react with congruent facial expressions when looking at an emotional face. Interestingly, recent studies revealed that several situational moderators can modulate strength and direction of these reactions. In current literature, congruent facial reactions to emotional facial expressions are usually described in terms of “facial mimicry” and interpreted as imitative behavior. Thereby, facial mimicry is understood as a process of pure motor resonance resulting from overlapping representations for the perception and the execution of a certain behavior. Motor mimicry, however, is not the only mechanism by which congruent facial reactions can occur. Numerous studies have shown that facial muscles also indicate valence evaluations. Furthermore, facial reactions are also determined by our current emotional state. These thoughts suggest that the modulation of congruent facial reactions to emotional expressions can be based on both motor and affective processes. However, a separation of motor and affective processes in facial reactions is hard to make. None of the published studies that tried that could show a clear involvement of one or the other process so far. Therefore, the aim of the present line of experiments is to shed light on the involvement of motor and affective processes in the modulation of congruent and incongruent facial reactions. Specifically, the experiments are designed to test the assumptions of a working model on mechanisms underlying the modulation of facial reactions and to examine the neuronal correlates involved in such modulations with a broad range of methods. Experiments 1 and 2 experimentally manipulate motor and affective mechanisms by using specific contexts. In the chose settings, motor process models and affective models of valence evaluations make competing predictions about resulting facial reactions. The results of Experiment 1 did not support the involvement of valence evaluations in the modulation of congruent and incongruent facial reactions to facial expressions. The results of Experiments 2a and 2b suggest that emotional reactions are the predominant determinant of facial reactions. Experiment 3 aimed at identifying the psychological mediators that indicate motor and affective mechanisms. Motor mechanisms are assessed via the psychological mediator empathy. Additionally, as a psychological mediator for clarifying the role of affective mechanisms subjective measures of the participants’ current emotional state in response to the presented facial expressions were taken. Mediational analyses show that the modulation of congruent facial reactions can be explained by a decrease of state cognitive empathy. This suggests that motor processes mediate the effects of the context on congruent facial reactions. However, such a mechanism could not be observed for incongruent reactions. Instead, it was found that affective processes in terms of emotional reactions are involved in incongruent facial reactions. Additionally, the involvement of a third class of processes, namely strategic processes, was observed. Experiment 4 aimed at investigating whether a change in the strength of perception can explain the contextual modulation of facial reactions to facial expressions. According to motor process models the strength of perception is directly related to the strength of the spread of activation from perception to the execution of an action and thereby to the strength of the resulting mimicry behavior. The results suggest that motor mechanisms were involved in the modulation of congruent facial reactions by attitudes. Such an involvement of motor mechanisms could, however, not be observed for the modulation of incongruent reactions. In Experiment 5 the investigation of neuronal correlates shall be extended to the observation of involved brain areas via fMRI. The proposed brain areas depicting motor areas were prominent parts of the mirror neuron system. The regions of interest depicting areas involved in the affective processing were amygdala, insula, striatum. Furthermore, it could be shown that changes in the activity of parts of the MNS are related to the modulation of congruent facial reactions. Further on, results revealed the involvement of affective processes in the modulation of incongruent facial reactions. In sum, these results lead to a revised working model on the mechanisms underlying the modulation of facial reactions to emotional facial expressions. The results of the five experiments provide strong support for the involvement of motor mechanisms in congruent facial reactions. No evidence was found for the involvement of motor mechanisms in the occurrence or modulation of incongruent facial reactions. Furthermore, no evidence was found for the involvement of valence evaluations in the modulation of facial reactions. Instead, emotional reactions were found to be involved in the modulation of mainly incongruent facial reactions.
Hintergrund: Die Alzheimer-Erkrankung ist die häufigste neurodegenerative Erkrankung. Da es zurzeit für sie noch keine Heilung gibt, richtet sich das Hauptaugenmerk auf eine möglichst frühe Diagnose und die Behandlung mit krankheitsverzögernden Medikamenten. Vor allem die funktionelle Bildgebung gilt im Bereich der Frühdiagnose als vielversprechend. Neben dem Gedächtnis werden die visuell-räumliche Informationsverarbeitung, exekutive Funktionen und Aufmerksamkeitsprozesse untersucht. Hierbei zeigen sich zentralnervöse Aktivierungsauffälligkeiten in kortikalen Zielregionen etwa im präfrontalen und im parietalen Kortex. Verlaufsuntersuchungen konzentrieren sich vor allem darauf aus der Gehirnaktivierung Vorhersagen über kognitive Veränderungen bei älteren Personen mit und ohne Gedächtnisstörung treffen zu können. Nur wenige Studien erfassen dabei jedoch die Gehirnaktivierung zu mehreren Messzeitpunkten. Gerade für große Stichproben und wiederholte Messungen könnte die funktionelle Nahinfrarotspektroskopie (fNIRS) sich als Alternative zur Magnetresonanztomographie anbieten. Ziel: Ziel der Studie war es, mit fNIRS und ereigniskorrelierten Potentialen funktionelle Unterschiede zwischen Alzheimer-Patienten und gleichaltrigen Kontrollen in mehreren Funktionsbereichen darzustellen und ihre Veränderung über den Zeitraum eines Jahres zu verfolgen. Zum ersten Mal sollte im Rahmen einer prospektiven Untersuchung mit fNIRS geprüft werden ob kortikale Aktivierungen zur Vorhersage von neuropsychologischen Testwerten genutzt werden können. Zusätzlich stellte sich die Frage, ob fNIRS für Verlaufsuntersuchungen an älteren Stichproben geeignet ist. Methoden: Im Rahmen der vorliegenden Arbeit wurden zum ersten Messzeitpunkt (T1) 73 Patienten und 71 Kontrollen mit vier Paradigmen in den drei Funktionsbereichen visuell-räumliche Informationsverarbeitung, exekutive Funktionen und zentralnervöse Filtermechanismen mit fNIRS und ereigniskorrelierten Potentialen gemessen. Die Probanden durchliefen eine Line Orientation Aufgabe, zwei Versionen einer Wortflüssigkeitsaufgabe (phonologisch und semantisch) und das P50-Doppelklickparadigma. Zielparameter waren dabei die aufgabenbezogene Aktivierung im parietalen Kortex, im dorsolateralen Präfrontalkortex (DLPFC) und das sensorische Gating, gemessen durch die P50-Supression nach wiederholter Reizdarbietung. Zusätzlich wurden zwei typische Tests zur Demenzdiagnostik (MMST und DemTect) erhoben. Die zweite Messung (T2) fand nach 12 Monaten statt und lief identisch zur ersten Untersuchung ab. Zu T2 konnten 14 Patienten und 51 Kontrollen erneut rekrutiert werden. Ergebnisse: Zu T1 konnte mit fNIRS ein Aktivierungsdefizit für Patienten im DLPFC während der phonologischen Wortflüssigkeitsaufgabe und im rechten Parietalkortex während der Line Orientation Aufgabe festgestellt werden. Für die semantische Wortflüssigkeitsaufgabe und das sensorische Gating zeigten sich keine zentralnervösen Unterschiede. Über das Jahr hinweg nahm die aufgabenbezogene Aktivierung der Patienten im linken DLPFC für beide Versionen der Wortflüssigkeitsaufgabe deutlich ab, während gleichaltrige Kontrollpersonen keine kortikalen Veränderungen zeigten. Zu T2 war das sensorische Gating der Patienten außerdem deutlich schlechter im Vergleich zu gesunden Kontrollen. Die Veränderungen der Oxygenierung während der Wortflüssigkeitsaufgabe konnten für gesunde Kontrollen Verschlechterungen im MMST und im DemTect vorhersagen. Vor allem ein Verlust der Lateralisierung ging mit einem Abfall in den kognitiven Tests einher. Schlussfolgerung: Spezifische Defizite in der kortikalen Aktivierung konnten bei Alzheimer-Patienten mit fNIRS beobachtet und genauer beschrieben werden. Auch die Veränderung im Verlauf eines Jahres ließ sich mit dieser Methode verfolgen. Für Längsschnittuntersuchungen, die sich mit der kortikalen Aktivierung als Prädiktor für dementielle Entwicklungen beschäftigen, bietet sich fNIRS somit als praktische Alternative zur fMRT an, zumal die gemessenen Veränderungen in der Oxygenierung auch prognostischen Wert für ältere Kontrollpersonen besaßen. Vor allem die funktionelle Lateralisierung in frontalen Kortexbereichen scheint als Prädiktor kognitiver Leistungen im Alter von Bedeutung zu sein.
The scope of the present work encompasses the influence of experience (i.e. expertise) for feature processing in unconscious information processing. In the introduction, I describe the subliminal priming paradigm, a method to examine how stimuli, we are not aware of, nonetheless influence our actions. The activation of semantic response categories, the impact of learned stimulus-response links, and the action triggering through programmed stimulus-response links are the main three hypotheses to explain unconscious response activation. Besides, the congruence of perceptual features can also influence subliminal priming. On the basis of the features location and form, I look at evidence that exists so far for perceptual priming. The second part of the introduction reviews the literature showing perceptual superiority of experts. This is illustrated exemplarily with three domains of expertise – playing action video games, which constitutes a general form of perceptual expertise, radiology, a more natural form of expertise, and expertise in the game of chess, which is seen as the Drosophila of psychology. In the empirical section, I report nine experiments that applied a subliminal check detection task. Experiment 1 shows subliminal response priming for chess experts but not for chess novices. Thus, chess experts are able to judge unconsciously presented chess configurations as checking or nonchecking. The results of Experiment 2 suggest that acquired perceptual chunks, and not the ability to integrate perceptual features unconsciously, was responsible for unconscious check detection, because experts’ priming does not occur for simpler chess configurations which afforded an unfamiliar classification. With a more complex chess detection task, Experiment 3 indicates that chess experts are not able to process perceptual features in parallel or alternatively, that chess experts are not able to form specific expectations which are obviously necessary to elicit priming if many chess displays are applied. The aim of Experiment 4-9 was to further elaborate on unconscious processing of the single features location and form in novices. In Experiment 4 and 5, perceptual priming according the congruence of the single features location and form outperformed semantically-based response priming. Experiment 6 and 7 show that (in contrast to form priming) the observed location priming effect is rather robust and is also evident for an unexpected form or colour. In Experiment 8, location and form priming, which was additionally related to response priming, were directly compared to each other. Location priming was again stronger than form priming. Finally, Experiment 9 demonstrates that with the subliminal check detection task it is possible to induce response priming in novices when the confounding influences of location and form are absent. In the General discussion, I first summarized the findings. Second, I discuss possible underlying mechanisms of different subliminal perception in experts and novices. Third, I focus on subliminal perceptual priming in novices, especially on the impact of the features location and form. And finally, I discuss a framework, the action trigger account that integrates the different results of the present work.
The present work reviews the experimental literature on the acute effects of alcohol on human behaviour related to driving performance. A meta-analysis was conducted which includes studies published between 1954 and 2007 in order to provide a comprehensive knowledge of the substance alcohol. 450 studies reporting 5,300 findings were selected from over 12,000 references after applying certain in- and exclusion criteria. Thus, the present meta-analysis comprises far more studies than reviews on alcohol up to now. In the selected studies, different performance tests were conducted which were relevant for driving. The classification system used in this work assigns these tests to eight categories. The main categories consist of several sub categories classifying the tasks more precisely. The main categories were: (1) visual functions, (2) attention (including vigilance), (3) divided attention, (4) en-/decoding (including information processing and memory), (5) reaction time (including simple reaction time and choice reaction time), (6) psychomotor skills, (7) tracking and (8) driving. In addition to the performance aspect, the classification system takes into account mood and social behaviour variables related to driving safety like tiredness or aggression. Following the evaluation method of vote-counting, the number of significant findings and the number of non-significant findings were summarised per blood alcohol concentration (BAC) group. Thereby, a quantitative estimation of the effects of alcohol depending on the BAC was established, the so-called impairment function, which shows the percentage of significantly impaired findings. In order to provide a general overview of alcohol effects on driving-related performance, a global impairment function was established by aggregating all performance findings. The function is nearly linear with about 30% significant findings at a BAC of 0.05% and 50% significant findings at a BAC of 0.08%. In addition, more specific impairment functions considering only the findings of the single behavioural categories were calculated. The results revealed that impairment depends not only on the BAC, but also clearly differs between most of the performance categories. Tracking and driving performance were most affected by alcohol with impairment beginning at very low BACs of 0.02%. Also psychomotor skills were considerably affected by rather low BACs. Impairment of visual functions and information processing occurred at BACs of 0.04% and increased substantially with higher BACs. Impairment in memory tests could be found with very low BACs of 0.02%, but varied depending on the kind of memory. Performance decrements in divided attention tests could also be found with very low BACs in some studies. Attention started to be impaired at 0.04% BAC, but – as in vigilance tasks – considerable impairment only occurred at higher BACs. Choice reaction time was affected at lower BACs than simple reaction time, which was – together with the critical flicker fusion frequency – the least sensitive parameter to the effects of alcohol. To conclude, most skills which are relevant for the safe operation of a vehicle are clearly impaired by BACs of 0.05%, with motor functions being more affected than cognitive functions and complex tasks more than simple tasks. Generally, the results provided no evidence of a threshold effect for alcohol. There was no driving-related performance category for which a sudden transition from unimpaired to impaired occurred at a particular BAC level. In addition, a comparison was made between the present meta-analysis and two reviews of Moskowitz (Moskowitz & Fiorentino, 2000; Moskowitz & Robinson, 1988). Moskowitz reported much lower BACs at which performance was impaired. The reasons for this discrepancy lies in a different way to review scientific findings. On the one hand, Moskowitz focused on significant findings when selecting studies and findings for his reviews. On the other hand, the evaluation method used by Moskowitz ignored non-significant findings and counted each study once at the lowest BAC for which impairment was found. Those non-significant findings are as important as the significant ones in order to determine thresholds of impairment. Therefore, in contrast to Moskowitz, the present work describes the effects of alcohol with functions considering also the non-significant findings. The significance of the non-significant is emphasized with respect to the selection procedure as well as to the evaluation method.
Background:
This study investigated the relation between social desirability and self-reported physical activity in web-based research.
Findings:
A longitudinal study (N = 5,495, 54% women) was conducted on a representative sample of the Dutch population using the Marlowe-Crowne Scale as social desirability measure and the short form of the International Physical Activity Questionnaire. Social desirability was not associated with self-reported physical activity (in MET-minutes/week), nor with its sub-behaviors (i.e., walking, moderate-intensity activity, vigorous-intensity activity, and sedentary behavior). Socio-demographics (i.e., age, sex, income, and education) did not moderate the effect of social desirability on self-reported physical activity and its sub-behaviors.
Conclusions:
This study does not throw doubt on the usefulness of the Internet as a medium to collect self-reports on physical activity.
The present study investigated event-related brain potentials elicited by true and false negated statements to evaluate if discrimination of the truth value of negated information relies on conscious processing and requires higher-order cognitive processing in healthy subjects across different levels of stimulus complexity. The stimulus material consisted of true and false negated sentences (sentence level) and prime-target expressions (word level). Stimuli were presented acoustically and no overt behavioral response of the participants was required. Event-related brain potentials to target words preceded by true and false negated expressions were analyzed both within group and at the single subject level. Across the different processing conditions (word pairs and sentences), target words elicited a frontal negativity and a late positivity in the time window from 600-1000 msec post target word onset. Amplitudes of both brain potentials varied as a function of the truth value of the negated expressions. Results were confirmed at the single-subject level. In sum, our results support recent suggestions according to which evaluation of the truth value of a negated expression is a time-and cognitively demanding process that cannot be solved automatically, and thus requires conscious processing. Our paradigm provides insight into higher-order processing related to language comprehension and reasoning in healthy subjects. Future studies are needed to evaluate if our paradigm also proves sensitive for the detection of consciousness in non-responsive patients.
The limbic system and especially the amygdala have been identified as key structures in emotion induction and regulation. Recently research has additionally focused on the influence of prefrontal areas on emotion processing in the limbic system and the amygdala. Results from fMRI studies indicate that the prefrontal cortex (PFC) is involved not only in emotion induction but also in emotion regulation. However, studies using fNIRS only report prefrontal brain activation during emotion induction. So far it lacks the attempt to compare emotion induction and emotion regulation with regard to prefrontal activation measured with fNIRS, to exclude the possibility that the reported prefrontal brain activation in fNIRS studies are mainly caused by automatic emotion regulation processes. Therefore this work tried to distinguish emotion induction from regulation via fNIRS of the prefrontal cortex. 20 healthy women viewed neutral pictures as a baseline condition, fearful pictures as induction condition and reappraised fearful pictures as regulation condition in randomized order. As predicted, the view-fearful condition led to higher arousal ratings than the view-neutral condition with the reappraise-fearful condition in between. For the fNIRS results the induction condition showed an activation of the bilateral PFC compared to the baseline condition (viewing neutral). The regulation condition showed an activation only of the left PFC compared to the baseline condition, although the direct comparison between induction and regulation condition revealed no significant difference in brain activation. Therefore our study underscores the results of previous fNIRS studies showing prefrontal brain activation during emotion induction and rejects the hypothesis that this prefrontal brain activation might only be a result of automatic emotion regulation processes.
Ziel der vorliegenden Arbeit ist es, herauszufinden, wie sich die Motivation bei Schülerinnen und Schülern in speziellen homogenen Begabtenklassen verglichen mit regulären Schulklassen entwickelt. Dazu wurden im Rahmen des „Projekts zur Untersuchung des Lernens in der Sekundarstufe“ (PULSS-Projekt) zu vier Messzeitpunkten die Leistungs- und Lernzielorientierung sowie die intrinsische Motivation in Mathematik und Deutsch erfasst. Der Untersuchungszeitraum erstreckte sich vom Beginn der 5. Jahrgangsstufe bis zum Ende der 7. Klasse. Um eine größtmögliche Vergleichbarkeit der Begabten- und der Regelklässler zu gewährleisten, wurden die Stichproben anhand entscheidender Merkmale parallelisiert (Schule, Geschlecht, IQ, sozioökonomischer Status). Die statistische Auswertung bestätigte den Rückgang der Motivation aller Schülerinnen und Schüler über die vier Messzeitpunkte hinweg. Darüber hinaus zeigten sich keine bedeutsamen Unterschiede zwischen den beiden Klassentypen. Differenzierte man in den einzelnen Klassen nach Schülerinnen und Schülern unterschiedlicher Begabung, so zeigte sich, dass die Ausprägung der Intelligenz keinen Einfluss auf die Höhe der Motivation nimmt. Beim akademischen Selbstkonzept verhält es sich teilweise anders. Wurde neben dem Klassentyp zwischen Schülerinnen und Schülern mit hohem und solchen mit niedrigem akademischen Selbstkonzept unterschieden, so war bei einigen Kennwerten die Höhe der Motivation in den Begabtenklassen stärker vom Selbstkonzept beeinflusst als in den Regelklassen. Dies äußerte sich dahingehend, dass die Begabtenklässler mit hohem akademischem Selbstkonzept verhältnismäßig stark motiviert waren, wohingegen die Begabtenklässler mit niedrigem akademischem Selbstkonzept die geringste Motivation zeigten. Eine abschließende Bewertung dieser Entwicklung kann aufgrund der in vorliegender Arbeit gefundenen Ergebnisse jedoch nicht vorgenommen werden. Insgesamt konnte die Befürchtung eines ungünstigeren Entwicklungsverlaufs in begabungshomogenen Klassen widerlegt werden. Das Ausmaß, inwieweit einzelne Schülerinnen und Schüler von der Beschulung in Begabtenklassen profitieren, scheint hinsichtlich der motivationalen Entwicklung nicht so sehr von der Intelligenz, sondern vielmehr von nicht-kognitiven Persönlichkeitsfaktoren abzuhängen. So legen die Resultate nahe, die Ausprägung des akademischen Selbstkonzepts bei Auswahlverfahren stärker zu berücksichtigen.
Aufgabenstellung dieser Arbeit ist die Prozessdarstellung des Kompetenzerwerbs im Umgang mit menügesteuerten Informationssystemen (kurz: Menüsysteme) im Fahrzeug. Hierzu zählen die Darstellung des Lernverlaufs sowie der Bedeutung von förderlichen und hinderlichen Lernbedingungen. Als ein Schwerpunkt der Arbeit werden mentale Repräsentationen der Nutzer bezüglich des Menüsystems betrachtet. Zusätzlich wird die Kompatibilität des Kompetenzerwerbs für Menüsysteme mit der Fahrzeugführung geprüft. Aus diesen Analysen ergeben sich Methoden der Überprüfung des Lernaufwands, -verlaufs und -erfolgs. Zur empirischen Überprüfung werden prototypische Menüsysteme konstruiert. Anhand sog. Raumschiff-Systeme wird z.B. der Umgang des Nutzers mit einem begrifflich weitgehend eindeutigen Menüsystem eines Raumschiffs der Bedienung eines Menüsystems ohne bedeutungshaltige Informationen (sog. System sinnloser Silben) gegenübergestellt. Um die Auswirkungen des Kompetenzerwerbs für Menüsysteme auf die Fahrsicherheit zu untersuchen, werden fahrkontextnahe Systeme konzipiert. Diese werden sowohl unter Single-Task Bedingungen (z.B. an einem Bildschirmarbeitsplatz, im stehenden Fahrzeug) als auch unter Dual-Task Bedingungen (z.B. während der Fahrt) bedient. Zielsetzung weiterer Explorationsstudien ist die Analyse der zeitlichen Struktur einer Bedienhandlung in einem Menüsystem in Abhängigkeit des Kompetenzerwerbs. Insgesamt werden sechs Hauptstudien und fünf Explorationsstudien in dieser Arbeit berichtet. Es wird gezeigt, dass der Kompetenzerwerb für Menüsysteme dem sog. Potenzgesetz der Übung folgt: So findet sich zu Übungsbeginn ein starker Leistungsanstieg im Umgang mit einem Menüsystem unter Single-Task Bedingungen, in späteren Übungsphasen verringert sich dieser Leistungsanstieg. Das erzielte Leistungsniveau in der Menübedienung ist nach einer längeren Lernpause (von bis zu 12 Wochen) weitgehend stabil. Zu Übungsbeginn treten v.a. Orientierungs- und Bedienfehler auf, in späteren Übungsphasen vermehrt Flüchtigkeitsfehler. Diese Fehler stellen voneinander unabhängige Fehlerklassen dar. Zu Lernbeginn ist v.a. die Bediengenauigkeit von Bedeutung, mit zunehmender Übung die Bediengeschwindigkeit. Insbesondere antizipative Aspekte der Handlungsvorbereitung und -initiierung im Umgang mit Menüsystemen sind Lerneinflüssen zugänglich. Für exekutive Aspekte der Handlungsdurchführung und -kontrolle ist der Kompetenzerwerb von untergeordneter Bedeutung. Als Nutzermerkmale erweisen sich das bereichsspezifische Vorwissen, die kognitive Leistungsfähigkeit und das Nutzeralter als bedeutsam: Diese Merkmale werden mit zunehmender Übung weniger wichtig für interindividuelle Leistungsunterschiede. Die realisierten Systemvariationen eines Menüsystems (Menüstruktur und Bedienmodell) wirken sich unabhängig vom Lernstatus auf das Bedienverhalten der Systemnutzer aus. Auf Nutzerseite werden im Umgang mit einem Menüsystem mentale Repräsentationen konstruiert: Zu Lernbeginn wird insbesondere begriffliches Wissen (sog. Inhaltsstruktur und begriffliche Unterbegriffs-Oberbegriffs-Relationen) angeeignet. Mit zunehmender Übung wird eine räumliche Repräsentation, in der die Positionen der einzelnen Menüinhalte abgebildet sind, aufgebaut. Eine motorische Repräsentation als Resultat einer Optimierung des Umgangs mit dem Bedienelement bis hin zu einer (Teil-)Automatisierung der motorischen Handlungssequenz wird erst nach umfangreicher Übung im Umgang mit einem Menüsystem erworben. Diese Repräsentationen beeinflussen wiederum die Bedienleistung: Zu Übungsbeginn ist z.B. das Erkennen der sog. Inhaltsstruktur für die starken Lernzuwächse verantwortlich. Die Kompatibilität von Vorwissen auf Nutzerseite und für die Bedienung notwendiges Systemwissen bestimmt den Lernaufwand und –verlauf. Die Veränderung räumlicher Positionen von Menüinhalten geht mit Einbußen in der Bedienleistung einher. Personen mit präzisem räumlichem Wissen können effizienter mit einem Menüsystem umgehen. Bedienfehler treten v.a. zu Übungsbeginn auf. Mit zunehmender Übung wird der sensumotorische Umgang mit dem Bedienelement optimiert. Diese Befunde führen zu folgenden Schlussfolgerungen: (1) Der Umgang mit Menüsystemen führt zu einer trialen Kodierung der für die Menübedienung notwendigen Informationen. (2) Das Potenzgesetz der Übung beschreibt den Kompetenzerwerb für Menüsysteme lediglich summativ und resultiert aus der Kombination der einzelnen Lernfunktionen der zu kodierenden Lerninhalte. Unter Dual-Task Bedingungen treten zu Übungsbeginn stärkere Interferenzen zwischen Fahrzeugführung und Menübedienung auf. Mit zunehmender Übung verringern sich diese Interferenzen v.a. auf Seiten der Menübedienung. Dies ist u.a. auf die Instruktion der Probanden zurückzuführen. Übungsbedingt schauen die Nutzer seltener bei vergleichbarer Blickdauer auf das Systemdisplay. Insbesondere ältere Nutzer haben Probleme mit einer Verschränkung von Fahrzeugführung und Menübedienung. Mit zunehmender Übung verringern sich diese Alterseffekte, werden aber nicht eliminiert. Wird ein Menüsystem parallel zur Fahrzeugführung bedient, werden zudem stärkere und präzisere begriffliche und räumliche Repräsentationen über das Menüsystem vom Nutzer konstruiert. Bei diesen Studien wird ein multimethodaler Messansatz verfolgt, in dem verschiedenartige Werkzeuge zur Bestimmung des Kompetenzerwerbs und seiner Wirkungen auf die Fahrsicherheit eingesetzt werden. Es kann dabei zu einer Dissoziation der Ergebnisse in verschiedenen Messmethoden kommen. Unter Single-Task Bedingungen gewonnene Ergebnisse können nicht ohne weiteres auf Dual-Task Bedingungen generalisiert werden.
We examined whether movement costs as defined by movement magnitude have an impact on distance perception in near space. In Experiment 1, participants were given a numerical cue regarding the amplitude of a hand movement to be carried out. Before the movement execution, the length of a visual distance had to be judged. These visual distances were judged to be larger, the larger the amplitude of the concurrently prepared hand movement was. In Experiment 2, in which numerical cues were merely memorized without concurrent movement planning, this general increase of distance with cue size was not observed. The results of these experiments indicate that visual perception of near space is specifically affected by the costs of planned hand movements.
In 1999, a tragic catastrophe occurred in the Mont Blanc Tunnel, one of the most important transalpine road tunnels. Twenty-seven of the victims never left their vehicles as a result of which they were trapped in smoke and suffocated (Beard & Carvel, 2005). Immediate evacuation is crucial in tunnel fires, but still many tunnel users stay passive. During emergency situations people strongly influence each other’s behavior (e.g. Nilsson & Johansson, 2009a). So far, only few empirical experimental studies investigated the interaction of individuals during emergencies. Recent developments of advanced immersive virtual worlds, allow simulating emergency situations which makes analogue studies possible. In the present dissertation project, theoretical aspects of human behavior and SI in emergencies are addressed (Chapter 1). The question of Social Influence in emergency situations is investigated in five simulation studies during different relevant stages of the evacuation process from a simulated road tunnel fire (Chapter 2). In the last part, the results are discussed and criticized (Chapter 3). Using a virtual reality (VR) road tunnel scenario, study 1 (pilot study) and 2 investigated the effect of information about adequate behavior in tunnel emergencies as well as Social Influence (SI) on drivers’ behavior. Based on a classic study of Darley and Latané (1968) on bystander inhibition, the effect of passive bystanders on self-evacuation was analyzed. Sixty participants were confronted with an accident and smoke in a road tunnel. The presence of bystanders and information status was manipulated and consequently, participants were randomly assigned into four different groups. Informed participants read a brochure containing relevant information about safety behavior in emergency situations prior to the tunnel drives. In the bystander conditions, passive bystanders were situated in a car in front of the emergency situation. Participants who had received relevant information left the car more frequently than the other participants. Neither significant effect of bystanders nor interaction with information status on the participants’ behavior was observed. Study 3 (pilot study) examined a possible alternative explanation for weak SI in VR. Based on the Threshold Theory of Social Influence (Blascovich, 2002b) and the work of Guadagno et al. (2007), the perception of virtual humans as an avatar (a virtual representation of a real human being) or as an agent (a computer-controlled animated character) was manipulated. Subsequently, 32 participants experienced an accident similar to the one in study 1. However, they were co-drivers and a virtual agent (VA) was the driver. Participants reacted differently in avatar and agent condition. Consequently, the manipulation of the avatar condition was implemented in study 4. In study 4, SI within the vehicle was investigated, as drivers are mostly not alone in their car. In a tunnel scenario similar to the first study, 34 participants were confronted with an emergency situation either as drivers or co-drivers. In the driver group, participants drove themselves and a VA was sitting on the passenger seat. Correspondently, participants in the co-driver group were seated on the passenger seat and the VA drove the vehicle on a pre-recorded path. Like in study 1, the tunnel was blocked by an accident and smoke was coming from the accident in one drive. The VA initially stayed inactive after stopping the vehicle but started to evacuate after ca. 30 seconds. About one third of the sample left the vehicle during the situation. There were no significant differences between drivers and co-drivers regarding the frequency of leaving the vehicle. Co-drivers waited significantly longer than drivers before leaving the vehicle. Study 5 looked at the pre-movement and movement phase of the evacuation process. Forty participants were repeatedly confronted with an emergency situation in a virtual road tunnel filled with smoke. Four different experimental conditions systematically varied the presence and behavior of a VA. In all but one conditions a VA was present. Across all conditions at least 60% of the participants went to the emergency exit. If the VA went to the emergency exit, the ratio increased to 75%. If the VA went in the opposite direction of the exit, however, only 61% went there. If participants were confronted with a passive VA, they needed significantly longer until they started moving and reached the emergency exit. The main and most important finding across all studies is that SI is relevant for self-evacuation, but the degree of SI varies across the phases of evacuation and situation. In addition to the core findings, relevant theoretical and methodological questions regarding the general usefulness and limitations of VR as a research tool are discussed. Finally, a short summary and outlook on possible future studies is presented.
The aim of the present piece of work was to give information about the frequency of psychoactive substances within the German driver population and to identify preventive and promotive circumstances of drug driving. Furthermore, a new methodological approach to gather and link data about the consumption of psychoactive substances and the mobility of drug users is shown. Traditionally, roadside surveys are conducted to estimate the prevalence of drug driving within a population. By the present study, an alternative method is introduced. In total, 195 drug users (mainly cannabis users) and 100 controls out of the normal driving population were queried for four weeks about their driving and drug consumption behaviour by a questionnaire that was deployed on smartphones. The prevalences of drug driving within the sample were extrapolated into representative values. Because the subjects reported all daily activities within the study-period, it was also possible to describe situations in which the subjects decided against driving under influence. Besides, relevant previous experiences, attitudes, the approval of legal regulations, other traffic-specific parameters, social influences and personality variables were queried. So, individual factors that are associated with drug driving can be specified. The results are integrated in a model that shows dependencies of different societal, behavioural and legal variables. They can serve as major input to the discussion on drug driving and can be of practical use for rehabilitation and prevention purposes. The results can be summarised as follows: - Compared to the results of a German roadside survey from 1994, the prevalences that are found within the present study seem pretty low. This finding is discussed and possible explanations for the described trend are lined out. Furthermore, the prevalences that were calculated in the present study are compared to current data from other European countries. - The results show differences between users and controls on several variables. The differences indicate that substance use impacts on the structuring of day-to-day life. Overall, the controls’ days proceed more along a daily working routine than the users’ (e.g. less mobility at night, more mobility at rush-hour, alcohol consumption mainly at nights out). - The individual extent to which drugs are consumed differs dependent on daytime, day of the week and kind of substance. Of course, these dependencies also influence the occurrence of drug driving. Other factors of influence on drug driving are the distance, the availability of alternative modes of transport as well as the presence of female companions. - Not everybody who uses drugs drives under the influence of drugs. A striking predictor for frequent drug driving and highly intoxicated driving is a high consumption, associated with risky consumption patterns and a low subjective feeling of impairment after drug consumption. - The subjects’ attitudes towards drug driving and their beliefs about social norms largely go in line with the behaviour they engage in. Drug users have rather liberal attitudes towards drug use and driving under influence. - A possible deterrence effect of sanctioning and police enforcement and its dependence on the acceptance and awareness of the measures is delineated. - Only small effects are found when examining the objective impairment that is caused by drug use by a computer-based test battery. This result is critically discussed with regards to the operationalisation of the study groups. - Except from driving under influence, there is no evidence to suggest that DUI offenders also show problematic behaviour according to other traffic-related measures. - Parents and peers may have an influence as role models on the development of problematic behaviour. A good relationship between parents and children may have a positive impact on the development of conventional values and behaviour. - Drug use is associated with some crucial personality dimensions and drugs are often used to solve personal problems. A less precise but similar difference was found for users who commit many drives under influence compared to users who never or only sometimes drive under influence. Moreover, users marginally more often have psychological problems compared to controls. Finally, the strengths and weaknesses of the new methodological approach of data collection are discussed as well as the challenges that are faced when implementing it. All in all, it has proved to be a promising method and should serve as a standard to which future studies should aspire.
RATIONALE:
The endocannabinoid (eCB) system is implicated in several psychiatric disorders. Investigating emotional-motivational dysfunctions as underlying mechanisms, a study in humans revealed that in the C385A polymorphism of the fatty acid amide hydrolase (FAAH), the degrading enzyme of the eCB anandamide (AEA), A carriers, who are characterized by increased signaling of AEA as compared to C/C carriers, exhibited reduced brain reactivity towards unpleasant faces and enhanced reactivity towards reward. However, the association of eCB system with emotional-motivational reactivity is complex and bidirectional due to upcoming compensatory processes.
OBJECTIVES:
Therefore, we further investigated the relationship of the FAAH polymorphism and emotional-motivational reactivity in humans.
METHODS:
We assessed the affect-modulated startle, and ratings of valence and arousal in response to higher arousing pleasant, neutral, and unpleasant pictures in 67 FAAH C385A C/C carriers and 45 A carriers.
RESULTS:
Contrarily to the previous functional MRI study, A carriers compared to C/C carriers exhibited an increased startle potentiation and therefore emotional responsiveness towards unpleasant picture stimuli and reduced startle inhibition indicating reduced emotional reactivity in response to pleasant pictures, while both groups did not differ in ratings of arousal and valence.
CONCLUSIONS:
Our findings emphasize the bidirectionality and thorough examination of the eCB system's impact on emotional reactivity as a central endophenotype underlying various psychiatric disorders.
Anticipating where an event will occur enables us to instantaneously respond to events that occur at the expected location. Here we investigated if such spatial anticipations can be triggered by symbolic information that participants cannot consciously see. In two experiments involving a Posner cueing task and a visual search task, a central cue informed participants about the likely location of the next target stimulus. In half of the trials, this cue was rendered invisible by pattern masking. In both experiments, visible cues led to cueing effects, that is, faster responses after valid compared to invalid cues. Importantly, even masked cues caused cueing effects, though to a lesser extent. Additionally, we analyzed effects on attention that persist from one trial to the subsequent trial. We found that spatial anticipations are able to interfere with newly formed spatial anticipations and influence orienting of attention in the subsequent trial. When the preceding cue was visible, the corresponding spatial anticipation persisted to an extent that prevented a noticeable effect of masked cues. The effects of visible cues were likewise modulated by previous spatial anticipations, but were strong enough to also exert an impact on attention themselves. Altogether, the results suggest that spatial anticipations can be formed on the basis of unconscious stimuli, but that interfering influences like still active spatial anticipations can suppress this effect.
Rumination has been defined as a mode of responding to distress that involves passively focusing one's attention on symptoms of distress without taking action. This dysfunctional response style intensifies depressed mood, impairs interpersonal problem solving, and leads to more pessimistic future perspectives and less social support. As most of these results were obtained from younger people, it remains unclear how age affects ruminative thinking. Three hundred members of the general public ranging in age from 15 to 87 years were asked about their ruminative styles using the Response Styles Questionnaire (RSQ), depression and satisfaction with life. A Mokken Scale analysis confirmed the two-factor structure of the RSQ with brooding and reflective pondering as subcomponents of rumination. Older participants (63 years and older) reported less ruminative thinking than other age groups. Life satisfaction was associated with brooding and highest for the earlier and latest life stages investigated in this study.
An important feature of addiction is the high drug craving that may promote the continuation of consumption. Environmental stimuli classically conditioned to drug-intake have a strong motivational power for addicts and can elicit craving. However, addicts differ in the attitudes towards their own consumption behavior: some are content with drug taking (consonant users) whereas others are discontent (dissonant users). Such differences may be important for clinical practice because the experience of dissonance might enhance the likelihood to consider treatment. This fMRI study investigated in smokers whether these different attitudes influence subjective and neural responses to smoking stimuli. Based on self-characterization, smokers were divided into consonant and dissonant smokers. These two groups were presented smoking stimuli and neutral stimuli. Former studies have suggested differences in the impact of smoking stimuli depending on the temporal stage of the smoking ritual they are associated with. Therefore, we used stimuli associated with the beginning (BEGIN-smoking-stimuli) and stimuli associated with the terminal stage (END-smoking-stimuli) of the smoking ritual as distinct stimulus categories. Stimulus ratings did not differ between both groups. Brain data showed that BEGIN-smoking-stimuli led to enhanced mesolimbic responses (amygdala, hippocampus, insula) in dissonant compared to consonant smokers. In response to END-smoking-stimuli, dissonant smokers showed reduced mesocortical responses (orbitofrontal cortex, subcallosal cortex) compared to consonant smokers. These results suggest that smoking stimuli with a high incentive value (BEGIN-smoking-stimuli) are more appetitive for dissonant than consonant smokers at least on the neural level. To the contrary, smoking stimuli with low incentive value (END-smoking-stimuli) seem to be less appetitive for dissonant smokers than consonant smokers. These differences might be one reason why dissonant smokers experience difficulties in translating their attitudes into an actual behavior change.
Respiratory sinus arrhythmia (RSA) is related to cardiac vagal outflow and the respiratory pattern. Prior infant studies have not systematically examined respiration rate and tidal volume influences on infant RSA or the extent to which infants' breathing is too fast to extract a valid RSA. We therefore monitored cardiac activity, respiration, and physical activity in 23 six-month old infants during a standardized laboratory stressor protocol. On average, 12.6% (range 0-58.2%) of analyzed breaths were too short for RSA extraction. Higher respiration rate was associated with lower RSA amplitude in most infants, and lower tidal volume was associated with lower RSA amplitude in some infants. RSA amplitude corrected for respiration rate and tidal volume influences showed theoretically expected strong reductions during stress, whereas performance of uncorrected RSA was less consistent. We conclude that stress-induced changes of peak-valley RSA and effects of variations in breathing patterns on RSA can be determined for a representative percentage of infant breaths. As expected, breathing substantially affects infant RSA and needs to be considered in studies of infant psychophysiology.
Background: One of the most common types of brain-computer interfaces (BCIs) is called a P300 BCI, since it relies on the P300 and other event-related potentials (ERPs). In the canonical P300 BCI approach, items on a monitor flash briefly to elicit the necessary ERPs. Very recent work has shown that this approach may yield lower performance than alternate paradigms in which the items do not flash but instead change in other ways, such as moving, changing colour or changing to characters overlaid with faces.
Methodology/Principal Findings: The present study sought to extend this research direction by parametrically comparing different ways to change items in a P300 BCI. Healthy subjects used a P300 BCI across six different conditions. Three conditions were similar to our prior work, providing the first direct comparison of characters flashing, moving, and changing to faces. Three new conditions also explored facial motion and emotional expression. The six conditions were compared across objective measures such as classification accuracy and bit rate as well as subjective measures such as perceived difficulty. In line with recent studies, our results indicated that the character flash condition resulted in the lowest accuracy and bit rate. All four face conditions (mean accuracy >91%) yielded significantly better performance than the flash condition (mean accuracy = 75%).
Conclusions/Significance: Objective results reaffirmed that the face paradigm is superior to the canonical flash approach that has dominated P300 BCIs for over 20 years. The subjective reports indicated that the conditions that yielded better performance were not considered especially burdensome. Therefore, although further work is needed to identify which face paradigm is best, it is clear that the canonical flash approach should be replaced with a face paradigm when aiming at increasing bit rate. However, the face paradigm has to be further explored with practical applications particularly with locked-in patients.
The individual sensitivity for ones internal bodily signals ("interoceptive awareness") has been shown to be of relevance for a broad range of cognitive and affective functions. Interoceptive awareness has been primarily assessed via measuring the sensitivity for ones cardiac signals ("cardiac awareness") which can be non-invasively measured by heartbeat perception tasks. It is an open question whether cardiac awareness is related to the sensitivity for other bodily, visceral functions. This study investigated the relationship between cardiac awareness and the sensitivity for gastric functions in healthy female persons by using non-invasive methods. Heartbeat perception as a measure for cardiac awareness was assessed by a heartbeat tracking task and gastric sensitivity was assessed by a water load test. Gastric myoelectrical activity was measured by electrogastrography (EGG) and subjective feelings of fullness, valence, arousal and nausea were assessed. The results show that cardiac awareness was inversely correlated with ingested water volume and with normogastric activity after water load. However, persons with good and poor cardiac awareness did not differ in their subjective ratings of fullness, nausea and affective feelings after drinking. This suggests that good heartbeat perceivers ingested less water because they subjectively felt more intense signals of fullness during this lower amount of water intake compared to poor heartbeat perceivers who ingested more water until feeling the same signs of fullness. These findings demonstrate that cardiac awareness is related to greater sensitivity for gastric functions, suggesting that there is a general sensitivity for interoceptive processes across the gastric and cardiac modality.
The etiology of emotion-related disorders such as anxiety or affective disorders is considered to be complex with an interaction of biological and environmental factors. Particular evidence has accumulated for alterations in the dopaminergic and noradrenergic system - partly conferred by catechol-O-methyltransferase (COMT) gene variation - for the adenosinergic system as well as for early life trauma to constitute risk factors for those conditions. Applying a multi-level approach, in a sample of 95 healthy adults, we investigated effects of the functional COMT Val158Met polymorphism, caffeine as an adenosine A2A receptor antagonist (300 mg in a placebo-controlled intervention design) and childhood maltreatment (CTQ) as well as their interaction on the affect-modulated startle response as a neurobiologically founded defensive reflex potentially related to fear- and distress-related disorders. COMT val/val genotype significantly increased startle magnitude in response to unpleasant stimuli, while met/met homozygotes showed a blunted startle response to aversive pictures. Furthermore, significant gene-environment interaction of COMT Val158Met genotype with CTQ was discerned with more maltreatment being associated with higher startle potentiation in val/val subjects but not in met carriers. No main effect of or interaction effects with caffeine were observed. Results indicate a main as well as a GxE effect of the COMT Val158Met variant and childhood maltreatment on the affect-modulated startle reflex, supporting a complex pathogenetic model of the affect-modulated startle reflex as a basic neurobiological defensive reflex potentially related to anxiety and affective disorders.
Face processing can be explored using electrophysiological methods. Research with event-related potentials has demonstrated the so-called face inversion effect, in which the N170 component is enhanced in amplitude and latency to inverted, compared to upright, faces. The present study explored the extent to which repetitive lower-level visual cortical engagement, reflected in flicker steady-state visual evoked potentials (ssVEPs), shows similar amplitude enhancement to face inversion. We also asked if inversion-related ssVEP modulation would be dependent on the stimulation rate at which upright and inverted faces were flickered. To this end, multiple tagging frequencies were used (5, 10, 15, and 20 Hz) across two studies (n=21, n=18). Results showed that amplitude enhancement of the ssVEP for inverted faces was found solely at higher stimulation frequencies (15 and 20 Hz). By contrast, lower frequency ssVEPs did not show this inversion effect. These findings suggest that stimulation frequency affects the sensitivity of ssVEPs to face inversion.
This paper seeks to unify two major theories of moral judgment: Kohlberg's stage theory and Anderson's moral information integration theory. Subjects were told about thoughts of actors in Kohlberg's classic altruistic Heinz dilemma and in a new egoistical dilemma. These actors's thoughts represented Kohlberg's stages I (Personal Risk) and IV (Societal Risk) and had three levels, High, Medium, and Low. They were presented singly and in a 3 x 3 integration design. Subjects judged how many months of prison the actor deserved. The data supported the averaging model of moral integration theory, whereas Kohlberg's theory has no way to handle the integration problem. Following this, subjects ranked statements related to Kohlberg's first four stages in a procedure similar to that of Rest (1975). Higher score went with larger effect of Societal Risk as predicted by Kohlberg's theory. But contrary to Kohlberg's theory, no age trends were found. Also strongly contrary to Kohlberg's theory, effects of Personal Risk (Stage I) and Societal Risk (Stage IV) correlated positively.
Previous research using neuroimaging methods proposed a link between mechanisms controlling motor response inhibition and suppression of unwanted memories.The present study investigated this hypothesis behaviorally by combining the think/no-think paradigm (TNT) with a go/no-go motor inhibition task. Participants first learned unpleasant cue-target pairs. Cue words were then presented as go or no-go items in the TNT. Participants’ task was to respond to the cues and think of the target word aloud or to inhibit their response to the cue and the target word from coming to mind. Cued recall assessed immediately after the TNT revealed reduced recall performance for no-go targets compared to go targets or baseline cues not presented in the TNT. The results demonstrate that doing the no-think and no-go task concurrently leads to memory suppression of unpleasant items during later recall. Results are discussed in line with recent empirical research and theoretical positions.
Flexible behavior is only possible if contingencies between own actions and following environmental effects are acquired as quickly as possible; and recent findings indeed point toward an immediate formation of action-effect bindings already after a single coupling of an action and its effect. The present study explored whether these short-term bindings occur for both, stimulus- and goal-driven actions (“forced-choice actions” vs. “free-choice actions”). Two experiments confirmed that immediate action-effect bindings are formed for both types of actions and affect upcoming behavior. These findings support the view that action-effect binding is a ubiquitous phenomenon which occurs for any type of action.
When a key press causes a stimulus, the key press is perceived later and the stimulus earlier than key presses and stimuli presented independently. This bias in time perception has been linked to the intention to produce the effect and thus been called intentional binding (IB). In recent studies it has been shown that the IB effect is stronger when participants believed that they caused the effect stimulus compared to when they believed that another person caused the effect (Desantis et al., 2011). In this experiment we ask whether causal beliefs influence the perceived time of an effect when the putative effect occurs temporally close to another stimulus that is also an effect. In our study two participants performed the same task on connected computers with separate screens. Each trial started synchro- nously on both computers. When a participant pressed a key, a red and a yellow stimulus appeared as action effects simultaneously or with a slight delay of up to 50 ms. The partic- ipants’ task was to judge the temporal order of these two effect stimuli. Participants were either told that one participant caused one of the two stimuli while the other participant seated at the other computer caused the other stimulus, or each participant was told that he/she caused both stimuli. The different causal beliefs changed the perceived time of the effects’ appearance relative to each other. When participants believed they each caused one effect, their “own” effect was perceived earlier than the other participant’s effect. When the participants believed each caused both effects, no difference in the perceived temporal order of the red and yellow effect was found. These results confirm that higher order causal beliefs change the perceived time of an action effect even in a setting in which the occurrence of the putative effect can be directly compared to a reference stimulus.
Background: A solid diagnosis of sleep disorders in children should include both self-ratings and parent ratings. However, there are few standardized self-assessment instruments to meet this need. The Children’s Sleep Comic is an adapted version of the unpublished German questionnaire “Freiburger Kinderschlafcomic” and provides pictures for items and responses. Because the drawings were outdated and allowed only for qualitative analysis, we revised the comic, tested its applicability in a target sample, and suggest a procedure for quantitative analysis. Methods: All items were updated and pictures were newly drawn. We used a sample of 201 children aged 5–10 years to test the applicability of the Children’s Sleep Comic in young children and to run a preliminary analysis. Results: The Children’s Sleep Comic comprises 37 items covering relevant aspects of sleep disorders in children. Application took on average 30 minutes. The procedure was well accepted by the children, as reflected by the absence of any dropouts. First comparisons with established questionnaires indicated moderate correlations. Conclusion: The Children’s Sleep Comic is appropriate for screening sleep behavior and sleep problems in children. The interactive procedure can foster a good relationship between the investigator and the child, and thus establish the basis for successful intervention if necessary.
Brain–computer interfaces (BCI) based on event-related potentials (ERP) allow for selection of characters from a visually presented character-matrix and thus provide a communica- tion channel for users with neurodegenerative disease. Although they have been topic of research for more than 20 years and were multiply proven to be a reliable communication method, BCIs are almost exclusively used in experimental settings, handled by qualified experts. This study investigates if ERP–BCIs can be handled independently by laymen without expert support, which is inevitable for establishing BCIs in end-user’s daily life situations. Furthermore we compared the classic character-by-character text entry against a predictive text entry (PTE) that directly incorporates predictive text into the character- matrix. N = 19 BCI novices handled a user-centered ERP–BCI application on their own without expert support. The software individually adjusted classifier weights and control parameters in the background, invisible to the user (auto-calibration). All participants were able to operate the software on their own and to twice correctly spell a sentence with the auto-calibrated classifier (once with PTE, once without). Our PTE increased spelling speed and, importantly, did not reduce accuracy. In sum, this study demonstrates feasi- bility of auto-calibrating ERP–BCI use, independently by laymen and the strong benefit of integrating predictive text directly into the character-matrix.
Faces in context: A review and systematization of contextual influences on affective face processing
(2012)
Facial expressions are of eminent importance for social interaction as they convey information about other individuals’ emotions and social intentions. According to the predominant “basic emotion” approach, the perception of emotion in faces is based on the rapid, auto- matic categorization of prototypical, universal expressions. Consequently, the perception of facial expressions has typically been investigated using isolated, de-contextualized, static pictures of facial expressions that maximize the distinction between categories. However, in everyday life, an individual’s face is not perceived in isolation, but almost always appears within a situational context, which may arise from other people, the physical environment surrounding the face, as well as multichannel information from the sender. Furthermore, situational context may be provided by the perceiver, including already present social infor- mation gained from affective learning and implicit processing biases such as race bias.Thus, the perception of facial expressions is presumably always influenced by contextual vari- ables. In this comprehensive review, we aim at (1) systematizing the contextual variables that may influence the perception of facial expressions and (2) summarizing experimental paradigms and findings that have been used to investigate these influences. The studies reviewed here demonstrate that perception and neural processing of facial expressions are substantially modified by contextual information, including verbal, visual, and auditory information presented together with the face as well as knowledge or processing biases already present in the observer. These findings further challenge the assumption of auto- matic, hardwired categorical emotion extraction mechanisms predicted by basic emotion theories. Taking into account a recent model on face processing, we discuss where and when these different contextual influences may take place, thus outlining potential avenues in future research.
Numerous studies have shown that humans automatically react with congruent facial reactions, i.e., facial mimicry, when seeing a vis-á-vis’ facial expressions. The current experiment is the first investigating the neuronal structures responsible for differences in the occurrence of such facial mimicry reactions by simultaneously measuring BOLD and facial EMG in an MRI scanner. Therefore, 20 female students viewed emotional facial expressions (happy, sad, and angry) of male and female avatar characters. During picture presentation, the BOLD signal as well as M. zygomaticus major and M. corrugator supercilii activity were recorded simultaneously. Results show prototypical patterns of facial mimicry after correction for MR-related artifacts: enhanced M. zygomaticus major activity in response to happy and enhanced M. corrugator supercilii activity in response to sad and angry expressions. Regression analyses show that these congruent facial reactions correlate significantly with activations in the IFG, SMA, and cerebellum. Stronger zygomaticus reactions to happy faces were further associated to increased activities in the caudate, MTG, and PCC. Corrugator reactions to angry expressions were further correlated with the hippocampus, insula, and STS. Results are discussed in relation to core and extended models of the mirror neuron system (MNS).
In recent years, Ideomotor Theory has regained widespread attention and sparked the development of a number of theories on goal-directed behavior and learning. However, there are two issues with previous studies’ use of Ideomotor Theory. Although Ideomotor Theory is seen as very general, it is often studied in settings that are considerably more simplistic than most natural situations. Moreover, Ideomotor Theory’s claim that effect anticipations directly trigger actions and that action-effect learning is based on the formation of direct action-effect associations is hard to address empirically. We address these points from a computational perspective. A simple computational model of Ideomotor Theory was tested in tasks with different degrees of complexity.The model evaluation showed that Ideomotor Theory is a computationally feasible approach for understanding efficient action-effect learning for goal-directed behavior if the following preconditions are met: (1) The range of potential actions and effects has to be restricted. (2) Effects have to follow actions within a short time window. (3) Actions have to be simple and may not require sequencing. The first two preconditions also limit human performance and thus support Ideomotor Theory. The last precondition can be circumvented by extending the model with more complex, indirect action generation processes. In conclusion, we suggest that IdeomotorTheory offers a comprehensive framework to understand action-effect learning. However, we also suggest that additional processes may mediate the conversion of effect anticipations into actions in many situations.
Both specific stimulus valence and unspecific processing dynamics can influence evaluative responses. Eight experiments investigated their respective influence on evaluative judgments in the domain of stereotyping. Valence of stereotypic information and consistency-driven fluency were manipulated in an impression formation paradigm. When information about the to-be-evaluated target person was strongly valenced, no effects of consistency-driven fluency were observed. Higher cognitive processes, valence of inconsistent attributes, processing priority of category information, and impression formation instructions were ruled out as possible factors responsible for the non-occurrence of fluency effects. However, consistency-driven fluency did influence the evaluative judgment, if the information about a target person was not strongly valenced. It is therefore concluded that both stimulus valence and consistency-driven processing fluency play a role in evaluative judgments in the domain of stereotyping. The respective impact of stimulus valence is much stronger than the impact of unspecific processing dynamics, however. Implications for fluency research and the applied field of stereotype change are discussed.
A brain-computer interface (BCI) enables communication without movement based on brain signals measured with electroencephalography (EEG). BCIs usually rely on one of three types of signals: the P300 and other components of the event-related potential (ERP), steady state visual evoked potential (SSVEP), or event related desynchronization (ERD). Although P300 BCIs were introduced over twenty years ago, the past few years have seen a strong increase in P300 BCI research. This closed-loop BCI approach relies on the P300 and other components of the ERP, based on an oddball paradigm presented to the subject. In this paper, we overview the current status of P300 BCI technology, and then discuss new directions: paradigms for eliciting P300s; signal processing methods; applications; and hybrid BCIs. We conclude that P300 BCIs are quite promising, as several emerging directions have not yet been fully explored and could lead to improvements in bit rate, reliability, usability, and flexibility.
Introduction: Sleep disturbances are common in adolescents and adversely affect performance, social contact, and susceptibility to stress. We investigated the hypothesis of a relationship between sleep and health-related quality of life (HRQoL), and applied self- and proxy ratings. Materials and Methods: The sample comprised 92 adolescents aged 11–17 years. All participants and their parents completed a HRQoL measure and the Sleep Disturbance Scale for Children (SDSC ). Children with SDSC T -scores above the normal range (above 60) were classified as poor sleepers. Results: According to self- and proxy ratings, good sleepers reported significantly higher HRQoL than poor sleep- ers. Sleep disturbances were significantly higher and HRQoL significantly lower in self- as compared to parental ratings. Parent-child agreement was higher for subscales measuring observable aspects. Girls experienced significantly stronger sleep disturbances and lower self-rated HRQoL than boys. Discussion: Our findings support the positive relationship of sleep and HRQoL. Furthermore, parents significantly underestimate sleep disturbances and overestimate HRQoL in their children.
The psychology of eating
(2013)
Renewal of fear is one form of relapse that occurs after successful therapy, resulting from an encounter with a feared object in a context different from the context of the exposure therapy. According to Bouton (1994), the return of fear, provoked by context change, indicates that the fear was not erased in the first place. More importantly, the return of fear indicates that during the exposure session a new association was learned that connected the feared object with “no fear”; yet, as Bouton further argues, this association is context dependent. Such dependence could explain effects like renewal. In a new context, the therapeutic association will not be expressed and thus will no longer inhibit the fear. The assumption that an association is context dependent has been tested and showed robust results (Balooch & Neumann, 2011; Siavash Bandarian Balooch, Neumann, & Boschen, 2012; Culver, Stoyanova, & Craske, 2011; Kim & Richardson, 2009; Neumann & Kitlertsirivatana, 2010). Research for the treatment of anxiety disorders, aiming to reduce fear and, more importantly, prevent relapse, is flourishing. There are several exposure protocols currently under investigation: multiple contexts exposure (MCE), which aims at reducing the return of fear due to renewal (e.g., Balooch & Neumann, 2011); prolonged exposure (PE), which aims at strengthening the inhibitory association during the extinction learning (e.g., Thomas, Vurbic, & Novak, 2009); and reconsolidation update (RU), which aims at “updating” the reconsolidation process by briefly exposing the CS+ before the actual extinction takes place (Schiller et al., 2010). So far, however, few clinical studies conducted on humans have investigated these novel treatment protocols, and as far as I know none has investigated the mechanisms of action behind these protocols with a human clinical sample. The present thesis has three main goals. The first is to demonstrate that exposure therapy in multiple contexts reduces the likelihood of renewal. The second is to examine the mechanisms contributing to the effect of MCE and the third is to shed light on the concept of context in the framework of the conditioning and extinction paradigm. To this end, three studies were conducted. The first study investigated the effect of MCE on renewal, the second and third studies examined working mechanisms of MCE. In the first study thirty spider-phobic participants were exposed four times to a virtual spider. The exposure trials were conducted either in one single context or in four different contexts. Finally, all participants completed both a virtual renewal test, with the virtual spider presented in a novel virtual context, and an in vivo behavioral avoidance test with a real spider. This study successfully demonstrated the efficacy of MCE on reducing renewal. Study 2 investigated the working mechanisms behind MCE by utilizing a differential conditioning paradigm and conducting the extinction in multiple contexts, targeting similar renewal attenuation as achieved in study 1. This was followed by two tests that attempted to reveal extinction-relevant associations like ones causing context inhibitory effects. This study had three main hypotheses: (1) The extinction context is associated with the exposure, and thus operates as a safety signal at some point during the extinction; it will therefore compete with the safety learning of the CS, leading to a decreased extinction effect on the CS if the extinction is conducted in only one context. (2) The elements (e.g., room color, furniture) of the extinction context are connected to the therapeutic association and therefore should serve as reminders of the extinction, causing a stronger fear inhibition when presented during a test. (3) Therapy process factors, according to emotional processing theory, determine the renewal effect (e.g., initial fear activation, and within-session and between-session activation are correlated with the strength of renewal). In this study, however, no differences between the groups at the renewal phase were observed, presumably because the extinction was too strong to enable a renewal of fear at the test phase conducted immediately following the extinction. This hence rendered the two inhibitory tests useless. Study 3 aimed at defining the concept of context in the conditioning and exposure framework. Study 3 utilized the phenomenon known as generalization decrement, whereby a conditioned response is reduced due to change in the environment. This allowed context similarity to be quantified. After an acquisition phase in one context, participants were tested in one of three contexts, two of which differed in only one dimension (configuration of objects vs. features). The third group was tested in the same context and served as control group. The goal was to show that both configuration and features play an important role in the definition of context. There was, however, no significant statistical difference between the groups at the test phases, likely because of context novelty effects (participants exposed to a new context following extinction in another context expected a second extinction phase, and thus demonstrated greater fear than expected in all three groups).
The aim of this study was both to investigate the influence of cognitive control on unconscious processing, and to investigate the influence of unconscious processing on cognitive control. At first, different mechanisms and accounts to explain unconscious priming are presented. Here, perceptual and motor processes, as well as stimulus-response learning, semantic categorization, and the action trigger account as theories to explain motor priming are discussed. Then, the issue of the potential limits of unconscious processing is presented. Findings that indicate that active current intentions and expertise modulate unconscious processing are illustrated. Subsequently, results that imply an influence of unconsciously presented stimuli that goes beyond motor processes are discussed, with a special focus on inhibition processes, orienting of attention, task set activation, and conflict adaptation. Then I present the results of my own empirical work. Experiment 1 shows that the effective processing of unconsciously presented stimuli depends on expertise, even when potentially confounding difference between the expert and novice groups are controlled. The results of Experiments 2 and 3 indicate that the intention to use particular stimuli is a crucial factor for the effectiveness of these stimuli when they are presented unconsciously. Additionally, these findings show that shifts of attention can be triggered by centrally presented masked arrow cues. Experiments 4 and 5 broaden these results to cue stimuli that are not inherently associated with a spatial meaning. The finding corroborate that typically endogenously controlled shifts of attention can also be induced by unconscious stimuli. Experiments 6 and 7 demonstrate that even a central cognitive control process like task set activation is not contingent on conscious awareness, but can in contrast be triggered through unconscious stimulation. Finally, these results are integrated and I discuss how the concept of cognitive control and the limits of unconscious processing may have to be reconsidered. Furthermore, potential future research possibilities in this field are presented.
In our current obesogenic environment, exposure to visual food-cues can easily lead to craving and overeating because short-term, pleasurable effects of food intake dominate over the anticipated long-term adverse effects such as weight gain and associated health problems. Here we contrasted these two conditions during food-cue presentation while acquiring event-related potentials (ERPs) and subjective craving ratings. Female participants (n = 25) were presented with either high-calorie (HC) or low-calorie (LC) food images under instructions to imagine either immediate (NOW) or long-term effects (LATER) of consumption. On subjective ratings for HC foods, the LATER perspective reduced cravings as compared to the NOW perspective. For LC foods, by contrast, craving increased under the LATER perspective. Early ERPs (occipital N1, 150-200 ms) were sensitive to food type but not to perspective. Late ERPs (late positive potential, LPP, 350-550 ms) were larger in the HC-LATER condition than in all other conditions, possibly indicating that a cognitive focus on negative long-term consequences induced negative arousal. This enhancement for HC-LATER attenuated to the level of the LC conditions during the later slow wave (550-3000 ms), but amplitude in the HC-NOW condition was larger than in all other conditions, possibly due to a delayed appetitive response. Across all conditions, LPP amplitudes were positively correlated with self-reported emotional eating. In sum, results reveal that regulation effects are secondary to an early attentional analysis of food type and dynamically evolve over time. Adopting a long-term perspective on eating might promote a healthier food choice across a range of food types.
Alerting signals often serve to reduce temporal uncertainty by predicting the time of stimulus onset. The resulting response time benefits have often been explained by facilitated translation of stimulus codes into response codes on the basis of established stimulus-response (S-R) links. In paradigms of masked S-R priming alerting signals also modulate response activation processes triggered by subliminally presented prime stimuli. In the present study we tested whether facilitation of visuo-motor translation processes due to alerting signals critically depends on established S-R links. Alerting signals resulted in significantly enhanced masked priming effects for masked prime stimuli that included and that did not include established S-R links fi.e., target vs. novel primes). Yet, the alerting-priming interaction was more pronounced for target than for novel primes. These results suggest that effects of alerting signals on masked priming are especially evident when S-R links between prime and target exist. At the same time, an alerting-priming interaction also for novel primes suggests that alerting signals also facilitate stimulus-response translation processes when masked prime stimuli provide action-trigger conditions in terms of programmed S-R links.
This paper addresses the question of how the brain maintains a probabilistic body state estimate over time from a modeling perspective. The neural Modular Modality Frame (nMMF) model simulates such a body state estimation process by continuously integrating redundant, multimodal body state information sources. The body state estimate itself is distributed over separate, but bidirectionally interacting modules. nMMF compares the incoming sensory and present body state information across the interacting modules and fuses the information sources accordingly. At the same time, nMMF enforces body state estimation consistency across the modules. nMMF is able to detect conflicting sensory information and to consequently decrease the influence of implausible sensor sources on the fly. In contrast to the previously published Modular Modality Frame (MMF) model, nMMF offers a biologically plausible neural implementation based on distributed, probabilistic population codes. Besides its neural plausibility, the neural encoding has the advantage of enabling (a) additional probabilistic information flow across the separate body state estimation modules and (b) the representation of arbitrary probability distributions of a body state. The results show that the neural estimates can detect and decrease the impact of false sensory information, can propagate conflicting information across modules, and can improve overall estimation accuracy due to additional module interactions. Even bodily illusions, such as the rubber hand illusion, can be simulated with nMMF. We conclude with an outlook on the potential of modeling human data and of invoking goal-directed behavioral control.
Why are you looking like that? How the context influences evaluation and processing of human faces
(2013)
Perception and evaluation of facial expressions are known to be heavily modulated by emotional features of contextual information. Such contextual effects, however, might also be driven by non-emotional aspects of contextual information, an interaction of emotional and non-emotional factors, and by the observers’ inherent traits. Therefore, we sought to assess whether contextual information about self-reference in addition to information about valence influences the evaluation and neural processing of neutral faces. Furthermore, we investigated whether social anxiety moderates these effects. In the present functional magnetic resonance imaging (fMRI) study, participants viewed neutral facial expressions preceded by a contextual sentence conveying either positive or negative evaluations about the participant or about somebody else. Contextual influences were reflected in rating and fMRI measures, with strong effects of self-reference on brain activity in the medial prefrontal cortex and right fusiform gyrus. Additionally, social anxiety strongly affected the response to faces conveying negative, self-related evaluations as revealed by the participants’ rating patterns and brain activity in cortical midline structures and regions of interest in the left and right middle frontal gyrus. These results suggest that face perception and processing are highly individual processes influenced by emotional and non-emotional aspects of contextual information and further modulated by individual personality traits.
Objective
Brain-computer interfaces (BCIs) provide a non-muscular communication channel for patients with late-stage motoneuron disease (e.g., amyotrophic lateral sclerosis (ALS)) or otherwise motor impaired people and are also used for motor rehabilitation in chronic stroke. Differences in the ability to use a BCI vary from person to person and from session to session. A reliable predictor of aptitude would allow for the selection of suitable BCI paradigms. For this reason, we investigated whether P300 BCI aptitude could be predicted from a short experiment with a standard auditory oddball.
Methods
Forty healthy participants performed an electroencephalography (EEG) based visual and auditory P300-BCI spelling task in a single session. In addition, prior to each session an auditory oddball was presented. Features extracted from the auditory oddball were analyzed with respect to predictive power for BCI aptitude.
Results
Correlation between auditory oddball response and P300 BCI accuracy revealed a strong relationship between accuracy and N2 amplitude and the amplitude of a late ERP component between 400 and 600 ms. Interestingly, the P3 amplitude of the auditory oddball response was not correlated with accuracy.
Conclusions
Event-related potentials recorded during a standard auditory oddball session moderately predict aptitude in an audiory and highly in a visual P300 BCI. The predictor will allow for faster paradigm selection.
Significance
Our method will reduce strain on patients because unsuccessful training may be avoided, provided the results can be generalized to the patient population.
Motivation moderately influences brain–computer interface (BCI) performance in healthy subjects when monetary reward is used to manipulate extrinsic motivation. However, the motivation of severely paralyzed patients, who are potentially in need for BCI, could mainly be internal and thus, an intrinsic motivator may be more powerful. Also healthy subjects who participate in BCI studies could be internally motivated as they may wish to contribute to research and thus extrinsic motivation by monetary reward would be less important than the content of the study. In this respect, motivation could be defined as “motivation-to-help.” The aim of this study was to investigate, whether subjects with high motivation for helping and who are highly empathic would perform better with a BCI controlled by event-related potentials (P300-BCI). We included N = 20 healthy young participants naïve to BCI and grouped them according to their motivation for participating in a BCI study in a low and highly motivated group. Motivation was further manipulated with interesting or boring presentations about BCI and the possibility to help patients. Motivation for helping did neither influence BCI performance nor the P300 amplitude. Post hoc, subjects were re-grouped according to their ability for perspective taking. We found significantly higher P300 amplitudes on parietal electrodes in participants with a low ability for perspective taking and therefore, lower empathy, as compared to participants with higher empathy. The lack of an effect of motivation on BCI performance contradicts previous findings and thus, requires further investigation. We speculate that subjects with higher empathy who are good perspective takers with regards to patients in potential need of BCI, may be more emotionally involved and therefore, less able to allocate attention on the BCI task at hand.
In social interaction, the facial expression of an opponent contains information that may influence the interaction. We asked whether facial expression affects decision-making in the ultimatum game. In this two-person game, the proposer divides a sum of money into two parts, one for each player, and then the responder decides whether to accept the offer or reject it. Rejection means that neither player gets any money. Results of a large-sample study support our hypothesis that offers from proposers with a smiling facial expression are more often accepted, compared to a neutral facial expression. Moreover, we found lower acceptance rates for offers from proposers with an angry facial expression.
We examined whether a voluntary response becomes associated with the (affective) meaning of intended response effects. Four experiments revealed that coupling a keypress with positive or negative consequences produces affective compatibility effects when the keypress has to be executed in response to positively or negatively evaluated stimulus categories. In Experiment 1, positive words were evaluated faster with a keypress that turned the words ON (versus OFF), whereas negative words were evaluated faster with a keypress that turned the words OFF (versus ON). Experiment 2 showed that this compatibility effect is reversed if an aversive tone is turned ON and OFF with keypresses. Experiment 3 revealed that keypresses acquire an affective meaning even when the association between the responses and their effects is variable and intentionally reconfigured before each trial. Experiment 4 used affective response effects to assess implicit ingroup favoritism, showing that the measure is sensitive to the valence of categories and not to the valence of exemplars. Results support the hypothesis that behavioral reactions become associated with the affective meaning of the intended response goal, which has important implications for the understanding and construction of implicit attitude measures.
Relief from pain is positively valenced and entails reward-like properties. Notably, stimuli that became associated with pain relief elicit reward-like implicit responses too, but are explicitly evaluated by humans as aversive. Since the unpredictability of pain makes pain more aversive, this study examined the hypotheses that the predictability of pain also modulates the valence of relief-associated stimuli. In two studies, we presented one conditioned stimulus \((_{FORWARD}CS+)\) before a painful unconditioned stimulus (US), another stimulus \((_{BACKWARD}CS+)\) after the painful US, and a third stimulus (CS−) was never associated with the US. In Study 1, \(_{FORWARD}CS+\) predicted half of the USs while the other half was delivered unwarned and followed by \(_{BACKWARD}CS+\). In Study 2, all USs were predicted by \(_{FORWARD}CS+\) and followed by \(_{BACKWARD}CS+\). In Study 1 both \(_{FORWARD}CS+\) and \(_{BACKWARD}CS+\) were rated as negatively valenced and high arousing after conditioning, while \(_{BACKWARD}CS+\) in Study 2 acquired positive valence and low arousal. Startle amplitude was significantly attenuated to \(_{BACKWARD}CS+\) compared to \(_{FORWARD}CS+\) in Study 2, but did not differ among CSs in Study 1. In summary, predictability of aversive events reverses the explicit valence of a relief-associated stimulus.
Introduction
There is mounting evidence for the influence of emotional content on working memory performance. This is particularly important in light of the emotion processing that needs to take place when emotional content interferes with executive functions. In this study, we used emotional words of different valence but with similar arousal levels in an n-back task.
Methods
We examined the effects on activation in the prefrontal cortex by means of functional near-infrared spectroscopy (fNIRS) and on the late positive potential (LPP). FNIRS and LPP data were examined in 30 healthy subjects.
Results
Behavioral results show an influence of valence on the error rate depending on the difficulty of the task: more errors were made when the valence was negative and the task difficult. Brain activation was dependent both on the difficulty of the task and on the valence: negative valence of a word diminished the increase in activation, whereas positive valence did not influence the increase in activation, while difficulty levels increased. The LPP also differentiated between the different valences, and in addition was influenced by the task difficulty, the more difficult the task, the less differentiation could be observed.
Conclusions
Summarized, this study shows the influence of valence on a verbal working memory task. When a word contained a negative valence, the emotional content seemed to take precedence in contrast to words containing a positive valence. Working memory and emotion processing sites seemed to overlap and compete for resources even when words are carriers of the emotional content.
This study examined the impact of three clinical psychological variables (non-pathological levels of depression and anxiety, as well as experimentally manipulated mood) on fat and taste perception in healthy subjects. After a baseline orosensory evaluation, ‘sad’, ‘happy’ and ‘neutral’ video clips were presented to induce corresponding moods in eighty participants. Following mood manipulation, subjects rated five different oral stimuli, appearing sweet, umami, sour, bitter, fatty, which were delivered at five different concentrations each. Depression levels were assessed with Beck’s Depression Inventory (BDI) and anxiety levels were assessed via the Spielberger’s STAI-trait and state questionnaire. Overall, subjects were able to track the concentrations of the stimuli correctly, yet depression level affected taste ratings. First, depression scores were positively correlated with sucrose ratings. Second, subjects with depression scores above the sample median rated sucrose and quinine as more intense after mood induction (positive, negative and neutral). Third and most important, the group with enhanced depression scores did not rate low and high fat stimuli differently after positive or negative mood induction, whereas, during baseline or during the non-emotional neutral condition they rated the fat intensity as increasing with concentration. Consistent with others’ prior observations we also found that sweet and bitter stimuli at baseline were rated as more intense by participants with higher anxiety scores and that after positive and negative mood induction, citric acid was rated as stronger tasting compared to baseline. The observation that subjects with mild subclinical depression rated low and high fat stimuli similarly when in positive or negative mood is novel and likely has potential implications for unhealthy eating patterns. This deficit may foster unconscious eating of fatty foods in sub-clinical mildly depressed populations.
The serotonin (5-HT) and neuropeptide S (NPS) systems are discussed as important genetic modulators of fear and sustained anxiety contributing to the etiology of anxiety disorders. Sustained anxiety is a crucial characteristic of most anxiety disorders which likely develops through contextual fear conditioning. This study investigated if and how genetic alterations of the 5-HT and the NPS systems as well as their interaction modulate contextual fear conditioning; specifically, function polymorphic variants in the genes coding for the 5-HT transporter (5HTT) and the NPS receptor (NPSR1) were studied. A large group of healthy volunteers was therefore stratified for 5HTTLPR (S+ vs. LL carriers) and NPSR1 rs324981 (T+ vs. AA carriers) polymorphisms resulting in four genotype groups (S+/T+, S+/AA, LL/T+, LL/AA) of 20 participants each. All participants underwent contextual fear conditioning and extinction using a virtual reality (VR) paradigm. During acquisition, one virtual office room (anxiety context, CXT+) was paired with an unpredictable electric stimulus (unconditioned stimulus, US), whereas another virtual office room was not paired with any US (safety context, CXT−). During extinction no US was administered. Anxiety responses were quantified by fear-potentiated startle and ratings. Most importantly, we found a gene × gene interaction on fear-potentiated startle. Only carriers of both risk alleles (S+/T+) exhibited higher startle responses in CXT+ compared to CXT−. In contrast, anxiety ratings were only influenced by the NPSR1 polymorphism with AA carriers showing higher anxiety ratings in CXT+ as compared to CXT−. Our results speak in favor of a two level account of fear conditioning with diverging effects on implicit vs. explicit fear responses. Enhanced contextual fear conditioning as reflected in potentiated startle responses may be an endophenotype for anxiety disorders.
Empirical evidence suggests that words are powerful regulators of emotion processing. Although a number of studies have used words as contextual cues for emotion processing, the role of what is being labeled by the words (i.e., one's own emotion as compared to the emotion expressed by the sender) is poorly understood. The present study reports results from two experiments which used ERP methodology to evaluate the impact of emotional faces and self- vs. sender-related emotional pronoun-noun pairs (e.g., my fear vs. his fear) as cues for emotional face processing. The influence of self- and sender-related cues on the processing of fearful, angry and happy faces was investigated in two contexts: an automatic (experiment 1) and intentional affect labeling task (experiment 2), along with control conditions of passive face processing. ERP patterns varied as a function of the label's reference (self vs. sender) and the intentionality of the labeling task (experiment 1 vs. experiment 2). In experiment 1, self-related labels increased the motivational relevance of the emotional faces in the time-window of the EPN component. Processing of sender-related labels improved emotion recognition specifically for fearful faces in the N170 time-window. Spontaneous processing of affective labels modulated later stages of face processing as well. Amplitudes of the late positive potential (LPP) were reduced for fearful, happy, and angry faces relative to the control condition of passive viewing. During intentional regulation (experiment 2) amplitudes of the LPP were enhanced for emotional faces when subjects used the self-related emotion labels to label their own emotion during face processing, and they rated the faces as higher in arousal than the emotional faces that had been presented in the “label sender's emotion” condition or the passive viewing condition. The present results argue in favor of a differentiated view of language-as-context for emotion processing.
This paper describes a case study with a patient in the classic locked-in state, who currently has no means of independent communication. Following a user-centered approach, we investigated event-related potentials (ERP) elicited in different modalities for use in brain-computer interface (BCI) systems. Such systems could provide her with an alternative communication channel. To investigate the most viable modality for achieving BCI based communication, classic oddball paradigms (1 rare and 1 frequent stimulus, ratio 1:5) in the visual, auditory and tactile modality were conducted (2 runs per modality). Classifiers were built on one run and tested offline on another run (and vice versa). In these paradigms, the tactile modality was clearly superior to other modalities, displaying high offline accuracy even when classification was performed on single trials only. Consequently, we tested the tactile paradigm online and the patient successfully selected targets without any error. Furthermore, we investigated use of the visual or tactile modality for different BCI systems with more than two selection options. In the visual modality, several BCI paradigms were tested offline. Neither matrix-based nor so-called gaze-independent paradigms constituted a means of control. These results may thus question the gaze-independence of current gaze-independent approaches to BCI. A tactile four-choice BCI resulted in high offline classification accuracies. Yet, online use raised various issues. Although performance was clearly above chance, practical daily life use appeared unlikely when compared to other communication approaches (e.g., partner scanning). Our results emphasize the need for user-centered design in BCI development including identification of the best stimulus modality for a particular user. Finally, the paper discusses feasibility of EEG-based BCI systems for patients in classic locked-in state and compares BCI to other AT solutions that we also tested during the study.
Brain-computer interfaces (BCIs) provide a non-muscular communication channel for persons with severe motor impairments. Previous studies have shown that the aptitude with which a BCI can be controlled varies from person to person. A reliable predictor of performance could facilitate selection of a suitable BCI paradigm. Eleven severely motor impaired participants performed three sessions of a P300 BCI web browsing task. Before each session auditory oddball data were collected to predict the BCI aptitude of the participants exhibited in the current session. We found a strong relationship of early positive and negative potentials around 200 ms (elicited with the auditory oddball task) with performance. The amplitude of the P2 (r = −0.77) and of the N2 (r = −0.86) had the strongest correlations. Aptitude prediction using an auditory oddball was successful. The finding that the N2 amplitude is a stronger predictor of performance than P3 amplitude was reproduced after initially showing this effect with a healthy sample of BCI users. This will reduce strain on the end-users by minimizing the time needed to find suitable paradigms and inspire new approaches to improve performance.
Background
The impact of task relevance on event-related potential amplitudes of early visual processing was previously demonstrated. Study designs, however, differ greatly, not allowing simultaneous investigation of how both degree of distraction and task relevance influence processing variations. In our study, we combined different features of previous tasks. We used a modified 1-back task in which task relevant and task irrelevant stimuli were alternately presented. The task irrelevant stimuli could be from the same or from a different category as the task relevant stimuli, thereby producing high and low distracting task irrelevant stimuli. In addition, the paradigm comprised a passive viewing condition. Thus, our paradigm enabled us to compare the processing of task relevant stimuli, task irrelevant stimuli with differing degrees of distraction, and passively viewed stimuli. EEG data from twenty participants was collected and mean P100 and N170 amplitudes were analyzed. Furthermore, a potential connection of stimulus processing and symptoms of attention deficit hyperactivity disorder (ADHD) was investigated.
Results
Our results show a modulation of peak N170 amplitudes by task relevance. N170 amplitudes to task relevant stimuli were significantly higher than to high distracting task irrelevant or passively viewed stimuli. In addition, amplitudes to low distracting task irrelevant stimuli were significantly higher than to high distracting stimuli. N170 amplitudes to passively viewed stimuli were not significantly different from either kind of task irrelevant stimuli. Participants with more symptoms of hyperactivity and impulsivity showed decreased N170 amplitudes across all task conditions. On a behavioral level, lower N170 enhancement efficiency was significantly correlated with false alarm responses.
Conclusions
Our results point to a processing enhancement of task relevant stimuli. Unlike P100 amplitudes, N170 amplitudes were strongly influenced by enhancement and enhancement efficiency seemed to have direct behavioral consequences. These findings have potential implications for models of clinical disorders affecting selective attention, especially ADHD.
Objective: Brain-computer interface (BCI) provide a non-muscular communication channel for patients with impairments of the motor system. A significant number of BCI users is unable to obtain voluntary control of a BCI-system in proper time. This makes methods that can be used to determine the aptitude of a user necessary.
Methods: We hypothesized that integrity and connectivity of involved white matter connections may serve as a predictor of individual BCI-performance. Therefore, we analyzed structural data from anatomical scans and DTI of motor imagery BCI-users differentiated into high and low BCI-aptitude groups based on their overall performance.
Results: Using a machine learning classification method we identified discriminating structural brain trait features and correlated the best features with a continuous measure of individual BCI-performance. Prediction of the aptitude group of each participant was possible with near perfect accuracy (one error).
Conclusions: Tissue volumetric analysis yielded only poor classification results. In contrast, the structural integrity and myelination quality of deep white matter structures such as the Corpus Callosum, Cingulum, and Superior Fronto-Occipital Fascicle were positively correlated with individual BCI-performance.
Significance: This confirms that structural brain traits contribute to individual performance in BCI use.
Objective: Brain-computer interfaces (BCIs) provide a non-muscular communication channel for patients with late-stage motoneuron disease (e.g., amyotrophic lateral sclerosis (ALS)) or otherwise motor impaired people and are also used for motor rehabilitation in chronic stroke. Differences in the ability to use a BCI vary from person to person and from session to session. A reliable predictor of aptitude would allow for the selection of suitable BCI paradigms. For this reason, we investigated whether P300 BCI aptitude could be predicted from a short experiment with a standard auditory oddball. Methods: Forty healthy participants performed an electroencephalography (EEG) based visual and auditory P300-BCI spelling task in a single session. In addition, prior to each session an auditory oddball was presented. Features extracted from the auditory oddball were analyzed with respect to predictive power for BCI aptitude. Results: Correlation between auditory oddball response and P300 BCI accuracy revealed a strong relationship between accuracy and N2 amplitude and the amplitude of a late ERP component between 400 and 600 ms. Interestingly, the P3 amplitude of the auditory oddball response was not correlated with accuracy. Conclusions: Event-related potentials recorded during a standard auditory oddball session moderately predict aptitude in an audiory and highly in a visual P300 BCI. The predictor will allow for faster paradigm selection. Significance: Our method will reduce strain on patients because unsuccessful training may be avoided, provided the results can be generalized to the patient population.