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Institute
- Theodor-Boveri-Institut für Biowissenschaften (12)
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We present the results of individual-based simulation experiments on the evolution of dispersal rates of organisms living in metapopulations. We find conflicting results regarding the relationship between local extinction rate and evolutionarily stable (ES) dispersal rate depending on which principal mechanism causes extinction: if extinction is caused by environmental catastrophes eradicating local populations, we observe a positive correlation between extinction and ES dispersal rate; if extinction is a consequence of stochastic local dynamics and environmental fluctuations, the correlation becomes ambiguous; and in cases where extinction is caused by dispersal mortality, a negative correlation between local extinction rate and ES dispersal rate emerges. We conclude that extinction rate, which both affects and is affected by dispersal rates, is not an ideal predictor for optimal dispersal rates.
The geologic barrier represents the final contact between a landfill and the environment. Ideally suited are clays and mudstones because of sufficient vertical and lateral extent, low hydraulic conductivities and high sorptive characteristics. Since hydraulic conductivity is no longer the single criteria to determine transport and retardation of contaminants in geologic landfill barrier materials, diffusive and sorptive characteristics of 4 different clay and mudstone lithologies in Northern Bavaria, were investigated. Cored samples from various depths were included in this study and subjected to evaluations of geochemistry, mineralogy, physical parameters, sorption and diffusion. A transient double reservoir with decreasing source concentration was designed and constructed using clear polycarbonate cylinders for undisturbed clay plugs of 2 to 4cm thickness. Samples were also fitted with internal electrical conductivity probes to determine the migration of the diffusive front. A multi chemical species synthetic landfill leachate was contrived to simulate and evaluate natural pollutant conditions. A computational method for determining mineralogy from geochemical data was also developed. It was found that sorptive processes are mostly controlled by the quality and type of fine grained phyllosilicates and the individual chemical species involved exhibited linear, Freundlich, as well as Langmuir sorption properties. Effective diffusion and sorption coefficients were also determined using POLLUTEv6 (GAEA, 1997) software and receptor reservoir concentrations for K, Na, Ca, Cu, NH4, Cl, NO3, SO4, and concentration totals at predetermined time intervals. Anion exclusion proved to be a major factor in the diffusion process and was used to explain many observed anomalies. Furthermore, diffusion coefficients were found not to be static with a multi chemical species leachate, but actually varied during the course of the experiment. Strong indications point toward the major role of pore space quality, shape, and form as control of diffusive properties of a geologic barrier. A correlation of CECNa of the samples with De may point to a possible deduction of diffusive properties for multi species leachates without extensive and time consuming laboratory tests
The high-grade metamorphic Epupa Complex (EC) of north-western Namibia constitutes the south-western margin of the Archean to Proterozoic Congo Craton. The north-eastern portion of the EC has been geochemically and petrologically investigated in order to reconstruct its tectono-metamorphic evolution. Two distinct metamorphic units have been recognized, which are separated by ductile shear zones: (1) Upper amphibolite facies rocks (Orue Unit) and (2) ultrahigh-temperature (UHT) granulite facies rocks (Epembe Unit). The rocks of the EC are transsected by a large anorthosite massif, the Kunene Intrusive Complex (KIC). The Orue Unit and the Epembe Unit were affected by two distinct Mesoproterozoic metamorphic events, as is evident from differences in their metamorphic grade, in the P-T paths and in the age of peak-metamorphism: (1) The Orue Unit consists of a Palaeoproterozoic volcano-sedimentary sequence, which was intruded by large masses of I-type granitoids and by rare mafic dykes. During the Mesoproterozoic (1390-1318 Ma) the Orue Unit rocks underwent upper amphibolite facies metamorphism. The volcano-sedimentary sequence is constituted by interlayered basaltic amphibolites and rhyolitic felsic gneisses, with intercalations of migmatitic metagreywackes, migmatitic metapelites, metaarkoses and calc-silicate rocks. The Orue Unit was subdivided into three parts, which record similar heating-cooling paths but represent individual crustal levels: Heating led to the partial replacement of amphibole, biotite and muscovite through dehydration melting reactions. The peak-metamorphic P-T conditions of c. 700°C, 6.5 +/- 1.0 kbar (south-eastern part), c. 820°C, 8 +/- 0.5 kbar (south-western part) and c. 800°C, 6.0 +/- 1.0 kbar (northern part) correlate well with the mineral assemblage in the metapelites, i.e. Grt-Bt-Sil gneisses and schist in the south-eastern and south-western region and (Grt-)Crd-Bt gneisses in the northern part. Peak-metamorphism was followed by retrograde cooling to middle amphibolite facies conditions. Contact metamorphism, related with the intrusion of the anorthosites, is restricted to the direct contact to the KIC and recorded by massive metapelitic Grt-Sil-Crd felses, formed under upper amphibolite facies conditions (c. 750°C, c. 6.5 kbar). (2) The Epembe Unit consists of a Palaeoproterozoic volcano-sedimentary succession, which was intruded by small bodies of S-type granitoids and by andesitic dykes. All these rocks underwent UHT granulite facies metamorphism during the early Mesoproterozoic (1520-1447 Ma). The volcano-sedimentary succession is dominated by interlayered basaltic two-pyroxene granulites and rhyolitic felsic granulites. Migmatitic metapelites and metagreywackes are intercalated in the metavolcanites. Sapphirine-bearing MgAl-rich gneisses occur as restitic schlieren in the migmatitic metagreywackes. Reconstructed anti-clockwise P-T paths are subdivided into several distinct stages: During prograde near-isobaric heating to UHT conditions at c. 7 kbar biotite- or hornblende-bearing mineral assemblages were almost completely replaced by anhydrous mineral assemblages through various dehydration melting reactions. A subsequent pressure increase of 2-3 kbar led to the formation of the peak-metamorphic mineral assemblages Grt-Opx and (Grt-)Opx-Cpx in the orthogneisses and Grt-Opx, Grt-Sil and (Grt-)(Spr-)Opx-Sil-Qtz in the paragneisses. UHT-Metamorphism is proved by conventional geothermobarometry (970 +/- 70°C; 9.5 +/- 2.5 kbar), by the very high Al content of peak-metamorphic orthopyroxene (up to 11.9 wt.% Al2O3) in many paragneisses and by Opx-Sil-Qtz assemblages in the MgAl-rich gneisses. Post-peak decompression is recorded by several corona and symplectite textures, formed at the expense of the peak-metamorphic phases: Initial UHT decompression of about ca. 2 kbar to 940 +/- 60°C at 8 +/- 2 kbar is mainly evident from the formation of sapphirine-bearing symplectites in the Opx-Sil gneisses. Subsequent high-temperature decompression to 6 +/- 2 kbar at 800 +/- 60°C resulted in the formation of Crd-Opx-Spl, Crd-Opx and Spl-Crd symplectites. Subsequent near-isobaric cooling to upper amphibolite conditions of 660 +/- 30°C at 5 +/- 1.5 kbar led to the re-growth of biotite, hornblende, sillimanite and garnet. During continued decompression orthopyroxene and cordierite were formed at the expense of biotite in several paragneisses. In a geodynamic model UHT metamorphism of the Epembe Unit is correlated with the formation of a large magma chamber at the mantle-crust boundary, which forms the source for the anorthosites of the KIC. In contrast, amphibolite facies metamorphism of the Orue Unit is ascribed to a regional contact metamorphic event, caused by the emplacement of the anorthositic crystal mushes in the middle crust.
This work is investigating the electronic structure of organic thin films. A central question in this respect is the influence of the interaction between the molecules in the condensed phase and the interaction at metal-organic interfaces on the electronic properties. For this purpose the experimental methods Photoelectron Spectroscopy (PES) and Near Edge X-ray Absorption Finestructure Spectroscopy (NEXAFS) were applied with highest energy resolution. In addition, ab initio calculations were performed for the theoretical simulation of NEXFAS spectra. The investigation is mainly focussing on thin, vacuum sublimated films of aromatic model molecules with oxygen-containing functional groups (NTCDA, PTCDA, NDCA, BPDCA and ANQ) and Ag(111) surfaces. Due to their large, delocalised p-systems these molecules have very interesting properties for their application in electronic devices. Due to the high energy resolution of third generation synchrotron sources the vibronic fine structure in the NEXAFS spectra of these large molecules could be resolved for the first time in the condensed phase. A comparison of the data of the different molecules provides interesting insight into the coupling between electronic transition and vibronic excitation. Although for these molecules a variety of different vibronic modes exist, the NEXAFS data show that preferentially only on mode couples to each electronic transition. The high-resolution PES spectra of the molecules NTCDA, PTCDA, NDCA, BPDCA and ANQ show distinct differences thus providing a fingerprint for each investigated substance. A comparative analysis of the spectra enabled us to define the 1s binding energies of all chemically different carbon and oxygen atoms. Additional structures in the spectra can be assigned as shake-up satellites. The five molecules are an ideal model system for the investigation of fundamental aspects of core electron spectroscopy, such as initial and final state effects and satellites, that are influenced by the intra- and intermolecular electron distribution in the ground and core ionized state. An important aspect in this thesis is the spectroscopic investigation of structurally different NTCDA monolayer phases on the Ag(111) surface. Marked differences in the electronic structures of the different phases, that can be assigned to differences in the metal-adsorbate interaction, could be demonstrated by XPS and NEXAFS. The substrate bonding can be characterized as chemisorptive for both, the compressed as well as the relaxed NTCDA monolayer, which can be unambiguously deduced from the analysis of satellite structures in the O 1s and C 1s XPS spectra. These satellites are due to dynamic screening by charge transfer from the substrate. The NEXAFS data show consistently, that the NTCDA LUMO becomes partly occupied upon adsorption. Highly interesting phase transitions into disordered low-temperature phases occur upon cooling to 160 K for both, the compressed and the relaxed NTCDA monolayer. Thereby, the adsorbate-substrate bonding is increased and the NTCDA LUMO becomes completely occupied. This can be observed in the NEXAFS data, where transitions involving LUMO final states are quenched. Simultaneously, the XPS data show a distinctly decreased intensity of unscreened photoemission states due to enhanced charge transfer screening. In addition, a hysteresis behaviour could be demonstrated for the phase transition of the relaxed monolayer by temperature dependent NEXAFS experiments and the hysteresis curve was determined. The hysteresis could be quantified to approx. 20 K. From SPA-LEED experiments the activating energy for the phase transition of the relaxed monolayer upon cooling could be determined to 60 meV. Finally, a NEXAFS investigation of polyethylene samples with different comonomer content is presented. Differences in the absorption spectra between samples with different comonomer content could be unambiguously assigned to the different crystallinities of the samples by heating a highly crystalline sample in situ close to the melting temperature. Ab initio calculations on a model matrix of butane molecules show, that the spectra of crystalline and amorphous polyethylene differ distinctly due to the intermolecular interaction, which can be observed best for resonances with strong Rydberg character. Thus, the differences in the PE spectra can be explained by the superposition of the signatures of crystalline and amorphous moieties, that are mixed according to the respective crystallinity.
This thesis is concerned with the development of an on-line in-situ device for a chemical characterisation of flowing aerosols. The thesis describes the principles and most important features of such a system, allowing also on-line measurements using Raman spectroscopy as a diagnostic technique An analysis of the effect of forced oscillations on the motion of the particle dispersed in a gas flow is given in Chapter 2. Also the most important particle parameters are introduced. A review of the particle/fluid interaction in laminar air flows and the response of the particle is presented. In Chapter 3 the behaviour of the particle under different external conditions (ion bombardment and electric fields) is extended. A brief review of the most important particle charging theories (diffusion, field, and alternating potential charging) shows, that the effect of the electrical properties (represented by the dielectric constant) of the particles affects the charging process. A non-contact method for particle charge measurement was also presented. In the second part of the chapter, the interaction between the electric field and the charged particle for the purpose of particle trapping is illustrated. The most common systems like the two or four ring electrodynamic balance and the quadrupole trap are pointed out. In Chapter 4 a short review of the possibility of using scattered light to study aerosol particles is presented. First, the conditions and the facilities of using the Mie theory for particle size and refractive index determination are mentioned, then some features concerning the classical treatment of the Raman effect are presented Supported by the theoretical considerations exposed in Chapter 2, 3, and 4 the construction and the tests of different devices are presented in Chapter 5. Following the goal of the thesis, first an overview of the used materials and methods for particle generation is presented. Then, the constructed charging devices are described (from the mechanical and electrical point of view) and compared by measuring the acquired charge on the particle. Charged particles can be trapped in different containers. Two types of axially symmetric electrodynamic balances (two ring or an extended four ring configuration) were presented. For a deeper understanding these systems were studied using analytic and numerical methods. Considering the presented purpose of the work another type of trapping system has been developed, namely the quadrupole trap. A similar theoretical characterisation (in term’s of Mathieu equation) as for the electrodynamic balance was presented pointing out some specific features of this system. The incoming particle stream will be focused to the centre of the system simultaneously also the applied DC and AC potential onto the tube electrodes, yields a stable trapping of one or more particles. Chapter 6 consists of two parts: the system for single particle and for many particles investigation. The individual devices presented in Chapter 5 are now put together. The first part presents the method and the experimental realisation of a set-up for solid particle injection. In order to suppress the phase injection disadvantage found for the electrodynamic balance a developed program processes the information obtained from a particle cloud through an adequate electronic detection system, and reduces the number of particles until just one single particle is trapped. The method for one particle investigation can be extended for many particles. Using the presented set-up the particles are moved from one quadrupole to another and transformed from a particle cloud to a particle stream. A linearity between an external vertical mounted detector and the formed image of the particle stream on the CCD camera has been observed and used for simultaneous detection of many particles by Raman spectroscopy. For both methods Raman results are presented. One limitation of Raman Spectroscopy is the relatively long integration time needed for adequate signal-to-noise ratio. There are two factors which influence the integration time: first the incident radiation and the detector sensitivity, and second the intensity of the Raman bands. Using a CCD detector, the desired detector sensitivity should be achieved. So, the improvement of the signal-to-noise ratio should be the next goal in the system development. In order to reduce the integration time an optical system including optic fibres and the integration of an FT-Raman module operating in the visible region is planed. The goal of this work was to develop and construct an instrument for on-line in-situ single particle investigation by Raman spectroscopy. With the presented experimental set-up and the developed program the purpose of the work, the on-line in-situ near atmospheric pressure aerosol investigation was achieved. The Raman spectroscopy has been used successfully for a chemical characterisation of the aerosol particles.
Cellular proliferation, differentiation and survival in response to extracellular signals are controlled by the signal transduction pathway of Ras, Raf and MAP kinase. The Raf proteins are serine/threonine kinases with essential function in growth/differentiation/survival - related signal transduction events. In mammals, three functional (A-, B-, and C-Raf) genes were described. Biochemical studies suggest overlapping and differential utilization of Raf isozymes. However, the frequent co-expression of Raf isozymes and their multiple activators and effectors impedes the full understanding of their specific roles. The elucidation of these roles is important due to the involvement of the Ras/Raf/MEK/MAP kinase cascade in human disorders especially in tumor development and progression. B-Raf was shown to posses the strongest kinase activity among Raf kinases and display antiapoptotic properties. Mice deficient in B-Raf show overall growth retardation and die between E10.5 and E12.5 of vascular defects caused by excessive death of differentiated endothelial cells. To elucidate the redundancy of Raf isozymes during embryonic development and to rescue B-Raf-/- (KO) phenotype, B-Raf alleles were disrupted by introducing A-Raf cDNA under the control of endogenous B-Raf promoter. The resulting BRaf A-Raf/A-Raf (KIN) phenotype depends on genetic background. The living embryos displaying normal development but size reduction were found with low incidence at E12.5d-16.5d. All of them displayed the rescue of vascular system. One adult p20 mouse without any visible defects in development and behavior was obtained. On the other hand, the processes of neurogenesis and neural precursors migration in survived embryos were disturbed which led in some cases to underdevelopment of different brain compartments. TUNEL and cell proliferation (PCNA staining) assays revealed more apoptotic (E13.5d) and less proliferating(E12.5d cells within ventricular and sub-ventricular zones of brain ventricles and in striatum of KIN embryos. In addition, more apoptotic cells were detected in many other tissues of E13.5d and in lung of E16.5d KIN embryos but not in adult KIN mouse. p20 KIN mouse demonstrated reduced fraction of neural precursor cells in sub-granular zone of hippocampus and mature neurons in olfactory bulb. The other processes of neurogenesis were not disturbed in adult KIN animal. Fibroblasts obtained from KIN embryos demonstrated less proliferative ability and were more susceptible to apoptotic stimuli compared to WT. This was accompanied by the reduction of active ERK and Akt required for survival, and with decrease of inactive phosphorylated BAD. The kinetic of both ERK and Akt phosphorylation upon serum stimulation was delayed. All these data indicate that moderate A-Raf kinase activity can prevent the endothelial apoptosis but is not enough to completely rescue the other developmental consequences.
The point of departure for the present work has been the following free boundary value problem for analytic functions $f$ which are defined on a domain $G \subset \mathbb{C}$ and map into the unit disk $\mathbb{D}= \{z \in \mathbb{C} : |z|<1 \}$. Problem 1: Let $z_1, \ldots, z_n$ be finitely many points in a bounded simply connected domain $G \subset \mathbb{C}$. Show that there exists a holomorphic function $f:G \to \mathbb{D}$ with critical points $z_j$ (counted with multiplicities) and no others such that $\lim_{z \to \xi} \frac{|f'(z)|}{1-|f(z)|^2}=1$ for all $\xi \in \partial G$. If $G=\mathbb{D}$, Problem 1 was solved by K?nau [5] in the case of one critical point, and for more than one critical point by Fournier and Ruscheweyh [3]. The method employed by K?nau, Fournier and Ruscheweyh easily extends to more general domains $G$, say bounded by a Dini-smooth Jordan curve, but does not work for arbitrary bounded simply connected domains. In this paper we present a new approach to Problem 1, which shows that this boundary value problem is not an isolated question in complex analysis, but is intimately connected to a number of basic open problems in conformal geometry and non-linear PDE. One of our results is a solution to Problem 1 for arbitrary simply connected domains. However, we shall see that our approach has also some other ramifications, for instance to a well-known problem due to Rellich and Wittich in PDE. Roughly speaking, this paper is broken down into two parts. In a first step we construct a conformal metric in a bounded regular domain $G\subset \mathbb{C}$ with prescribed non-positive Gaussian curvature $k(z)$ and prescribed singularities by solving the first boundary value problem for the Gaussian curvature equation $\Delta u =-k(z) e^{2u}$ in $G$ with prescribed singularities and continuous boundary data. This is related to the Berger-Nirenberg problem in Riemannian geometry, the question which functions on a surface R can arise as the Gaussian curvature of a Riemannian metric on R. The special case, where $k(z)=-4$ and the domain $G$ is bounded by finitely many analytic Jordan curves was treated by Heins [4]. In a second step we show every conformal pseudo-metric on a simply connected domain $G\subseteq \mathbb{C}$ with constant negative Gaussian curvature and isolated zeros of integer order is the pullback of the hyperbolic metric on $\mathbb{D}$ under an analytic map $f:G \to \mathbb{D}$. This extends a theorem of Liouville which deals with the case that the pseudo-metric has no zeros at all. These two steps together allow a complete solution of Problem 1. Contents: Chapter I contains the statement of the main results and connects them with some old and new problems in complex analysis, conformal geometry and PDE: the Uniformization Theorem for Riemann surfaces, the problem of Schwarz-Picard, the Berger-Nirenberg problem, Wittich's problem, etc.. Chapter II and III have preparatory character. In Chapter II we recall some basic results about ordinary differential equations in the complex plane. In our presentation we follow Laine [6], but we have reorganized the material and present a self-contained account of the basic features of Riccati, Schwarzian and second order differential equations. In Chapter III we discuss the first boundary value problem for the Poisson equation. We shall need to consider this problem in the most general situation, which does not seem to be covered in a satisfactory way in the existing literature, see [1,2]. In Chapter IV we turn to a discussion of conformal pseudo-metrics in planar domains. We focus on conformal metrics with prescribed singularities and prescribed non-positive Gaussian curvature. We shall establish the existence of such metrics, that is, we solve the corresponding Gaussian curvature equation by making use of the results of Chapter III. In Chapter V we show that every constantly curved pseudo-metric can be represented as the pullback of either the hyperbolic, the euclidean or the spherical metric under an analytic map. This is proved by using the results of Chapter II. Finally we give in Chapter VI some applications of our results. [1,2] Courant, H., Hilbert, D., Methoden der Mathematischen Physik, Erster/ Zweiter Band, Springer-Verlag, Berlin, 1931/1937. [3] Fournier, R., Ruscheweyh, St., Free boundary value problems for analytic functions in the closed unit disk, Proc. Amer. Math. Soc. (1999), 127 no. 11, 3287-3294. [4] Heins, M., On a class of conformal metrics, Nagoya Math. J. (1962), 21, 1-60. [5] K?nau, R., L?gentreue Randverzerrung bei analytischer Abbildung in hyperbolischer und sph?ischer Geometrie, Mitt. Math. Sem. Giessen (1997), 229, 45-53. [6] Laine, I., Nevanlinna Theory and Complex Differential Equations, de Gruyter, Berlin - New York, 1993.
A theory of managed floating
(2003)
After the experience with the currency crises of the 1990s, a broad consensus has emerged among economists that such shocks can only be avoided if countries that decided to maintain unrestricted capital mobility adopt either independently floating exchange rates or very hard pegs (currency boards, dollarisation). As a consequence of this view which has been enshrined in the so-called impossible trinity all intermediate currency regimes are regarded as inherently unstable. As far as the economic theory is concerned, this view has the attractive feature that it not only fits with the logic of traditional open economy macro models, but also that for both corner solutions (independently floating exchange rates with a domestically oriented interest rate policy; hard pegs with a completely exchange rate oriented monetary policy) solid theoretical frameworks have been developed. Above all the IMF statistics seem to confirm that intermediate regimes are indeed less and less fashionable by both industrial countries and emerging market economies. However, in the last few years an anomaly has been detected which seriously challenges this paradigm on exchange rate regimes. In their influential cross-country study, Calvo and Reinhart (2000) have shown that many of those countries which had declared themselves as ‘independent floaters’ in the IMF statistics were charaterised by a pronounced ‘fear of floating’ and were actually heavily reacting to exchange rate movements, either in the form of an interest rate response, or by intervening in foreign exchange markets. The present analysis can be understood as an approach to develop a theoretical framework for this managed floating behaviour that – even though it is widely used in practice – has not attracted very much attention in monetary economics. In particular we would like to fill the gap that has recently been criticised by one of the few ‘middle-ground’ economists, John Williamson, who argued that “managed floating is not a regime with well-defined rules” (Williamson, 2000, p. 47). Our approach is based on a standard open economy macro model typically employed for the analysis of monetary policy strategies. The consequences of independently floating and market determined exchange rates are evaluated in terms of a social welfare function, or, to be more precise, in terms of an intertemporal loss function containing a central bank’s final targets output and inflation. We explicitly model the source of the observable fear of floating by questioning the basic assumption underlying most open economy macro models that the foreign exchange market is an efficient asset market with rational agents. We will show that both policy reactions to the fear of floating (an interest rate response to exchange rate movements which we call indirect managed floating, and sterilised interventions in the foreign exchange markets which we call direct managed floating) can be rationalised if we allow for deviations from the assumption of perfectly functioning foreign exchange markets and if we assume a central bank that takes these deviations into account and behaves so as to reach its final targets. In such a scenario with a high degree of uncertainty about the true model determining the exchange rate, the rationale for indirect managed floating is the monetary policy maker’s quest for a robust interest rate policy rule that performs comparatively well across a range of alternative exchange rate models. We will show, however, that the strategy of indirect managed floating still bears the risk that the central bank’s final targets might be negatively affected by the unpredictability of the true exchange rate behaviour. This is where the second policy measure comes into play. The use of sterilised foreign exchange market interventions to counter movements of market determined exchange rates can be rationalised by a central bank’s effort to lower the risk of missing its final targets if it only has a single instrument at its disposal. We provide a theoretical model-based foundation of a strategy of direct managed floating in which the central bank targets, in addition to a short-term interest rate, the nominal exchange rate. In particular, we develop a rule for the instrument of intervening in the foreign exchange market that is based on the failure of foreign exchange market to guarantee a reliable relationship between the exchange rate and other fundamental variables.
This study investigates the credit channel in the transmission of monetary policy in Germany by means of a structural analysis of aggregate bank loan data. We base our analysis on a stylized model of the banking firm, which specifies the loan supply decisions of banks in the light of expectations about the future course of monetary policy. Using the model as a guide, we apply a vector error correction model (VECM), in which we identify long-run cointegration relationships that can be interpreted as loan supply and loan demand equations. In this way, the identification problem inherent in reduced form approaches based on aggregate data is explicitly addressed. The short-run dynamics is explored by means of innovation analysis, which displays the reaction of the variables in the system to a monetary policy shock. The main implication of our results is that the credit channel in Germany appears to be effective, as we find that loan supply effects in addition to loan demand effects contribute to the propagation of monetary policy measures.
A CD8+ cell-mediated host defense relies on cognate killing of infected target cells and on local inflammation induced by the secretion of IFN-g. Using assays of single cell resolution, it was studied to what extent these two effector function of CD8+ cells are linked. Granzyme B (GzB) is stored in cytolytic granules of CD8+ cells and its secretion is induced by antigen recognition of these cells. Following entry into the cytosol GzB induces apoptosis in the target cells. It was measured whether GzB release by individual CD8+ cells is accompanied by the secretion of IFN-gƒnƒnand of other cytokines. HIV peptide libraries were tested on bulk peripheral blood mononuclear cells and on purified CD4+ and CD8+ cells obtained from HIV infected individuals. The library included a panel of previously defined HLA class I restricted HIV peptides and an overlapping 20-mer peptide-series that covered the entire gp120 molecule. To characterize the in vivo differentiation state of the T-cells, freshly isolated lymphocytes were tested in assays of 24h duration. The data showed that only ~20% of the peptides triggered the release of both GzB and IFN-g from CD8+ cells. The majority of the HIV peptides induced either GzB or IFN-g, ~40% in each category. The GzB positive, IFN-g negative CD8+ cells did not produce IL-4 or IL-5, which suggests that they do not correspond to Tc2 cells but represent a novel Tc1 subclass, which was termed Tc1c. Also the IFN-g positive, GzB negative CD8+ cell subpopulation represents a yet undefined CD8+ effector cell lineage that was termed Tc1b. Tc1b and Tc1c cells are likely to make different, possibly antagonistic contributions to the control of HIV infection. Since IFN-g activates HIV replication in latently infected macrophages, the secretion of this cytokine by Tc1b cells in the absence of killing may have adverse effects on the host defense. In contrast, cytolysis by Tc1c cells in the absence of IFN-g production might represent the protective class of response. Further studies in the field of Tc1 effector cell diversity should lead to valuable insights for management of infections and developing rationales for vaccine design.
The present investigation report a protocol to obtain dendritic cells (DC) that protects mice against fatal leishmaniasis. DC were generated from bone marrow precursors, pulsed with leishmanial antigen and activated with CpG oligodeoxinucleotides. Mice that were vaccinated with these cells were strongly protected against the clinical and parasitological manifestations of leishmaniasis and developed a Th1 immune response. protection was solid and long-lasting, and was also dependent of the via of administration. Whe the mechanism of protection was studied, it was observed that the availability of the cytokine interleukin-12 at the time of vaccination was a key requirement, but that the source of this cytokine is not the donor cells but unidentified cells from the recipients.
The present work consists of two parts. The first one deals with theoretical questions and tests the performance of orbitals obtained from a self-interaction free KS method, the LHFapproach, in multireference ab initio methods. The purpose of this part is to enable a more efficient computation of excitation energies, which is important for the spectroscopic characterization of many organic and bioorganic molecules. The second part focuses on bioorganic questions and studies the base pairing properties of the purine base xanthine in order to explain, e.g., the unusually high stability of selfpairing xanthine alanyl-PNA double strands and the mutagenicity of xanthine formed in DNA. Part1: In contrast to HF- and standard DFT-methods, the LHF-approach leads to a fully bound virtual orbital spectrum, because Coulomb self interactions are exactly canceled in the LHFansatz. Furthermore, the energies of the occupied orbitals are not upshifted, like it is the case for standard DFT-methods, so that Koopmans' theorem remains valid. In line with this, also the occupied LHF-orbitals are somewhat more compact than standard DFT-orbitals. The present work shows that both properties are of great benefit for MR methods. The virtual LHF-orbitals are well optimized and allow an efficient description of excited states and static correlation in both MRCI- and MRPT2-approaches. Furthermore, the higher compactness of the occupied LHF- compared to standard DFT-orbitals leads to a better description of the center ion of Rydberg states. However, for each of the two advantages mentioned at least one example molecule has been found, for which LHF-orbitals actually perform worse than HF-and/or standard DFT-orbitals. This shows, that even though LHF virtual orbitals allow an excellent MRCI- and MRPT2-description for the electronically excited states of a large number of molecules, this cannot be generalized and their performance needs to be tested for each individual case. In the second part of the present work, the base pairing properties of xanthine and xanthine derivatives were studied. The purpose of this part was to find an explanation for the unexpectedly high stability of the xanthine alanyl PNA double strand. Furthermore, it was analyzed, why xanthine, that is formed from guanine in DNA under chemical stress, is able to form mismatched base pairs with the pyrimidine base thymine. Stability of xanthine alanyl PNA: In the first step, the regioisomer present in the considered alanyl PNA was identified to be the N7-regioisomer of xanthine by a theoretical analysis of the 13C-NMR spectrum. To analyze the stability of the xanthine self-pairing, a simplified model was set up, in which the stability of the PNA double strand was explained solely by the energy contributions from H-bonding and base stacking. For that purpose, the dimerization and stacking energies for the xanthine-xanthine, guaninecytosine, adenine-thymine and xanthine-2,6-diaminopurine base pairs were computed using DFT and MP2 methods. Solvent effects were taken into account by the conductor like screening model. The influence of the peptide backbone on the stacking geometry was considered by force field optimizations. While the individual contributions from hydrogen bonding and stacking do not correlate with the melting temperature Tm, the sum of both correlates linearly with Tm. This correlation is somewhat surprising, because this means that the effects of the entropy and the molecular water environment either cancel or are similar for all systems compared. In this model, the stability of the xanthine selfpairing mainly stems from an enlarged stacking interaction, while the H-bonds give only minor contributions to the stability of the xanthine selfpaired double strand of alanyl-PNA. Base pairing properties of N9-Xanthine: The computation of the base pairing properties of N9-xanthine revealed a strong variation in the individual H-bond strengths for the selfpairing of xanthine, that range from -4 to -11 kcal/mol in the gas phase and -2.5 to -5 kcal/mol in polar solvent. By comparison with model systems it was shown that the strong variance of the H-bond strength is mainly due to attractive or repulsive secondary electrostatic interactions. For the homodimer of hypoxanthine it was shown that the increase of aromaticity in the pyrimidine ring upon dimer formation leads to a strengthening of the hydrogen bonds. Mutagenicity of hypoxanthine and xanthine: Several neutral and anionic Watson-Crick base pairs of xanthine were computed with MP2- and DFT-methods in order to explain the mutagenicity of hypoxanthine and xanthine. Also basepairs involving tautomeric forms of xanthine and hypoxanthine were considered. To evaluate the dimerization energies found, the dimers were classified into pairings that have the exact geometry of the canonical base pairs and those that realize a distorted Watson-Crick pairing mode. The computations show that a stable pairing which realizes the exact geometry of a canonical Watson Crick base pairing is only possible for the pairing of xanthine to cytosine, however, the base pairs are only weakly bound. The dimerization energies of both the neutral and the anionic pairing is around 0 kcal/mol, so that the xanthine-cytosine base pairs are incorporated into DNA solely because the base pairs fulfill the geometric demands of DNA polymerase, but it does not profit from any additional stabilization due to hydrogen bonding. The bonding that in the Watson-Crick pairing mode xanthine has almost no affinity to cytosine is in correspondence with the experimental result that the cytosine-xanthine base pair is incorporated into DNA at a much lower rate than the cytosine-guanine base pair, which has a very strong hydrogen bonding. While the affinity of xanthine to cytosine is very low, the computations predict that xanthine is able to form a stable Watson-Crick pairing with thymine. However, the pairing has a somewhat distorted Watson-Crick geometry, so that its high stability is outbalanced by the worsened fit to the binding pocket of DNA-polymerase. As a consequence, the xanthinethymine pairing is incorporated into DNA not at a faster, but only at a rate comparable to that of the xanthine-cytosine pairing.
The aim of current work was contribution to the long-term ongoing project on developing human IL-5 agonists/antagonists that intervene with or inhibit IL-5 numerous functions in cell culture and/or in animal disease models. To facilitate design of an IL-5 antagonist variant or low-molecular weight mimetics only capable of binding to the specific receptor alpha chain, but would lack the ability to attract the receptor common β-chain and thus initiate receptor complex activation it is necessary to gain the information on minimal structural and functional epitopes. Such a strategy was successfully adopted in our group on example of Interleukin 4. To precisely localize minimal structural epitope it is essential to have structure of the ligand in its bound form and especially informative would be structure of complex of the ligand and its specific receptor alpha chain. For this purpose large quantities (tens of milligrams), retaining full biological activity IL-5 and extracellular domain of IL-5 specific receptor α-chain were expressed in a bacterial expression system (E.coli). After successful refolding proteins were purified to 95-99% Stable and soluble receptor:ligand complex was prepared. Each established purification and refolding procedures were subjected to optimization targeting maximal yields and purity. Produced receptor:ligand complex was applied to crystallization experiments. Microcrystals were initially obtained with a flexible sparse matrix screening methodology. Crystal quality was subsequently improved by fine-tuning of the crystallization conditions. At this stage crystals of about 800x150x30µm in size can be obtained. They possess desirable visible characteristics of crystals including optical clarity, smooth facecs and sharp edges. Crystals rotate plane polarized light reflecting their well internal organization. Unfortunately relative slimness and sometimes cluster nature of the produced crystals complicates acquisition of high-resolution dataset and resolution of the structure. With some of obtained crystals diffraction to a resolution up to 4Å was observed.
The Middle and Upper Jurassic sedimentary successions of Alborz in northern Iran and Koppeh Dagh in northeastern Iran comprise four formations; Dalichai, Lar (Alborz) and Chaman Bid, Mozduran (Koppeh Dagh). In this thesis, the biostratigraphy, lithostratigraphy, microfacies, depositional environments and palaeobiogeography of these rocks are discussed with special emphasis on the abundant ammonite fauna. They constitute a more or less continuous sequence, being confined by two tectonic events, one at the base, in the uppermost part of the Shemshak Formation (Bajocian), the so-called Mid-Cimmerian Event, the other one at the top (early Cretaceous), the so-called Late-Cimmerian Event. The lowermost unit constitutes the uppermost member of a siliciclastic and partly continental depositional sequence known as Shemshak Formation. It contains a fairly abundant ammonite fauna ranging in age from Aalenian to early Bajocian. The following unit (Dalichai Formation) begins everywhere with a significant marine transgression of late Bajocian age. The following four sections were measured: The Dalichai section (97 m) with three members; the Golbini-Jorbat composite section (449 m) with three members of the Dalichai Formation (414 m) and two members of the Lar Formation (414 m); the Chaman Bid section (1556 m) with seven members, and the Tooy-Takhtehbashgheh composite section (567 m) with three members of the Chaman Bid Formation (567 m) and four members of the Mozduran Formation (1092 m). Altogether, 80 species of ammonites from the Dalichai and Chaman Bid formations belonging to 30 genera and 16 families are described. Among the taxa Phylloceratidae are most abundant, followed by Ataxioceratidae, Perisphinctidae, and Cardioceratidae. Pachyceratidae are the least common family. The ammonite fauna is of low diversity and is concentrated in several levels. Some of the ammonite genera and species are recorded from Iran for the first time. These include Pachyceras lalandei, Cardioceras praecordatum, Microbajocisphinctes sp., Geyssantia geyssanti, Larcheria schilli, Passendorferia sp., Sequeirosia sp., Phanerostephanus subsenex, Nothostephanus sp., Nannostephanus cf. subcomutus, Parawedekindia callomoni, Physodoceras sp., Extrenodites sp.. Biostratigraphically, thirty ammonite zones have been recognized for the Middle and Upper Jurassic successions at the four studied sections. Based on ammonites, the Dalichai Formation ranges from the Upper Bajocian to Callovian (Dalichai section) and from the Upper Bajocian to Lower Tithonian (Golbini-Jorbat section), the Chaman Bid Formation ranges from the ?Bathonian to Lower Tithonian (Chaman Bid section) and from the Upper Bajocian to Middle Kimmeridgian (Tooy-Takhtehbashgheh section), the Lar Formation ranges from the Middle to Upper Tithonian (Golbini-Jorbat section), and the Mozduran Formation from the Upper Kimmeridgian to ?Tithonian. Forty-four Microfacies types are briefly described. They were grouped into 16 facies associations, which then were interpreted in terms of their palaeoenvironments. They are part of a carbonate system consisting of a platform and adjacent slope to basin. Five major environments are represented: Tidal flat, shelf lagoon, and platform margin barrier as parts of the carbonate platform, and slope to basin representing open marine conditions. The sediments of the Dalichai and Chaman Bid formations are the slope and basinal sediments of the diachronous Lar and Mozduran formations, which formed an extensive carbonate platform in the Middle and Upper Jurassic.
The first part of this work focuses on the characterization of systems which complex electronic structures require the application of multi-reference methods. The anti-tumor efficacy of the natural product Neocarzinostatin is based on the formation of diradicals and causes DNA cleavage and finally cytolysis. Computations on model systems performed in the present work show the influence of structural features on the mode of action and the efficacy of this antitumor-antibiotic. The cyclization of systems related to the enyne-cumulene framework like the enyne-allenes was investigated earlier and relations to the more unusual class of enyne-ketenes are analyzed. The class of enyne-ketenes (and also the enyne-allenes) show a broad spectrum of possible intermediates (diradicals, zwitterions, allenes). The electronic structures of these intermediates are also possible for the (heteroatom substituted) 1,2,4-cyclohexatriene and a model for their energetic sequence based on high-level multi-reference computations is proposed. In all three projects the application of multi-reference approaches is necessary to obtain a comprehensive picture of the reactivity and electronic structure but also shows up the limits inherently existing in the currently available programs with respect to the size of the molecules. In the second part, algorithms for a multi-reference Moller-Plesset perturbation theory (MR-MP2) program, designed to perform large-scale computations, were developed and implemented. The MR-MP2 approach represents the most cost-effective multireference ansatz and requires an efficient evaluation of the Hamilton matrix for which an algorithm is designed to instantly recognize only non-vanishing matrix elements and to employ the recurring interaction patterns of the Hamilton matrix. The direct construction of the Hamilton matrix is additionally parallelized to work on cluster environments.
The main aim of this work was the classification of highly polar E–N (E = Al, Si, P) and Li–E’ (E’ = C, N, O) bonds in terms of ionic (closed-shell) or covalent (shared) interactions. To answer this question the experimentally determined electron density was analyzed using Bader’s theory of ‘Atoms in Molecules’ (AIM). This allows a quantitative evaluation of properties derived from the electron density, such as the Laplacian, the ellipticitiy and the ratio of the highest charge concentration perpendicular to the bond path, to the largest charge depletion along the bonding vector. Most of these properties were monitored along the entire bonding region and not limited to the BCP as in former studies. The analyses are completed by the calculation of the electronic energy densities Hl at the BCPs and the integration of atomic basins also defined within the AIM theory. The electrostatic potential (ESP) was computed from the multipole parameters to reveal preferred reactive sites of the structures under investigation. Apart from that, the multipole formalism was applied to problematic crystal structures in order to open this method for twinned samples or those including disordered groups in the molecule.
Synthesis of (RS)-5-amino-3-aryl (methyl)-pentanoic acid hydrochlorides, 3 aminomethyl-5-chloro-benzoic acid hydrochloride and (RS)-4-amino-3-(4`-ethynyl(iodo)-phenyl)-butanoic acid hydrochlorides have been accomplished. The aim of their synthesis was to evaluate their GABABR agonist activity and to derive a model which will correlate their structure with the observed pEC50. The GABABR agonist activity of the prepared compounds has been determined in functional assay based on calcium measurement in vitro using tsA cells transfected with GABAB1b/GABAB2/Gαq-z5. Reviews on the neurotransmitter receptors (ligand-gated ion channel receptors and G protein-coupled receptors), their agonists and antagonists have been given in the general part of this work. A detailed discussion on the strategy followed for the synthesis of the designed compounds as well as the starting materials and intermediates has been described and illustrated in Schemes 2-6. The synthesized compounds were evaluated for their GABABR agonist activity. Furthermore, these compounds were docked in the available 3D homology model of GABABR using the program FlexiDock implemented in SYBYL software. Subsequently, we derived a predictive model which correlates the experimentally determined pEC50 with the calculated binding energy of certain baclofen analogues and homologues. In addition, we used the program DISCO (DIStance COmparisons) implemented in SYBYL software to find the pharmacophore features of GABAB agonists.
In the last years it became evident that many cytokines do not only bind to their specific cell surface receptors but also interact with components of the extracellular matrix. Mainly in Drosophila, several enzymes were identified, that are involved in glycosaminoglycan synthesis. Mutations in these enzymes mostly result in disturbances of several signaling pathways like hedgehog, wingless, FGF or dpp. In most cases it was, due to these pleiotropic effects, not possible to examine the relevance of matrix interactions for single pathways. The aim of this work was to examine the relevance of matrix interactions for the TGF-ß superfamily member DPP. Based on the fact that DPP is highly homologous to human BMP-2, the basic N-terminus of mature DPP was mutated, which has been shown to contain a heparin-binding site in BMP-2. Thus, a wildtype variant (D-MYC), a deletion variant (D-DEL), which lacked the whole basic part of the N-terminus and a duplication variant (D-DUP), which contained a second copy of the basic core moitiv, were generated. In order to characterise the variants biochemically, they were expressed in E.coli and refolded in a bioactive form. In chicken limbbud assay, the deletion variant was much more active than the wildtype variant, comparable to data of BMP-2. By means of biacore mesurements with the immobilised ectodomain of the high affinity type I receptor thick veins, it could be demonstrated, that the variants differ only in matrix binding and not in their receptor affinity. Different matrix binding was shown by Heparin FPLC. The biological relevance of the matrix interaction of DPP was examined in transgenic flies. To allow expression of the different variants under the control of various Gal4 driver lines, they were cloned behind an UAS-promoter site. In early tracheal development, a strong dependence of DPP signaling on matrix binding was observed. While ectopic expression of the deletion variant caused only minor defects, the branching pattern was strongly disturbed by overexpression of wildtype and duplication variant. Ubiquitous expression of the variants in the wing imaginal disc caused overproliferation of the disc and expansion of the omb target gene expression. The extent of phenotypes correlated with the matrix binding ability of the variants. Corresponding disturbances of the wing vein pattern was observed in adult flies. By the crossing of different dpp allels, transheterozygous animals were created, that lack dpp only in imaginal discs. Expression of the variants under the control of a suitable dpp-Gal4 driver line revealed insights into the biological relevance of matrix binding on DPP gradient formation and specific target gene activation in wing imaginal discs. It was shown, that all variants were able to generate a functional DPP gradient with correct expression of the target genes omb and spalt. Again a correlation between extent of target gene domains and matrix binding ability of the corresponding variants was found. Thus by mutating the N-terminus of DPP, it could be shown that this is responsible for DPP`s matrix interaction. Also the relevance of matrix binding of DPP in different tissues was examined. It turned out, that the reorganisation of tracheal branching by DPP strongly depends on matrix interactions wheras the establishing of a gradient in wing imaginal discs depends only gradually on matrix interactions. Based on these data a model for the action of DPP/TGFßs as morphogens was established. While a deletion of matrix binding leads to a decrease in specific bioactivity of the cytokine, the latter is increased by additional matrix binding sites.
The human retina is a multilayered neuroectodermal tissue specialized in the transformation of light energy into electric impulses which can be transmitted to the brain where they are perceived as vision. Since the retina is easily accessible and functional aspects are directly recordable, the study of this tissue has been at the forefront of neuroscience research for over a century. Studies have revealed that the distinct functions of the retina require a large degree of differentiation which is achieved by the coordinated function of approximately 55 different cell types. The highly structured anatomy and the functional differentiation of the retina is a result of its distinctive transcriptome and proteome. Due to the complexity of the retina it has been difficult to estimate the number of genes actively transcribed in this tissue. Great efforts in the elucidation of retinal disease genes have led to the identification of 139 retina disease loci with 90 of the corresponding genes cloned thus far . In contrast to the success in the hereditary disorders, efforts to identify the genetic factors conferring manifestations known as age-related macular degeneration (AMD) have revealed sparse results. AMD is a retinal disease affecting a significant percentage of the older population. This disorder is likely due to exogenic as well as genetic factors. To further our understanding of retinal physiology and facilitate the identification of genes underlying retinal degenerations, particularly AMD, our efforts concentrated on the systematic analysis of the retinal transcriptome. Since approximately half of all retinal degeneration-associated genes identified to date are preferentially expressed in retina, it is plausible that the investigation of gene expression profiles and the identification of retina-expressed transcripts could be an important starting point for characterizing candidate genes for the retinal diseases. The expressed sequence tags approach included the assessment of all retinal expressed sequence tags (EST) clusters indexed in the UniGene database and of 1080 single-pass ESTs derived from an in-house generated human retina suppression subtracted hybridization (SSH) cDNA library. In total, 6603 EST clusters were evaluated during this thesis and detailed in-silico analysis was performed on 750 EST clusters. The expression of the genes was evaluated using reverse transcriptase-polymerase chain reaction (RT-PCR), followed by confirmation using quantitative reverse transcriptase-polymerase chain reaction (qRT-PCR), as well as conventional and virtual Northern blot analysis. The expression profiling of 337 selected EST clusters led to the identification of 111 transcripts, of which 60 are specific or abundant to the retina, 3 are expressed at high levels in the retinal pigment epithelium (RPE), and 48 are expressed in brain as well as in retina. The EST approach used to select candidate transcripts allowed us to assess the effectiveness of the two available resources, the UniGene database and the retinal SSH (retSSH) cDNA library. From the results obtained, it is evident that the generation of suppression subtracted libraries to identify cell-specific transcripts constitutes the most straight-forward and efficient strategy. In addition to the high percentage of candidate genes that are identified from an SSH cDNA library, it has the added benefit that genes expressed at low levels can be identified. Furthermore, comparison of our retina-enriched gene set with previously published studies demonstrated only limited overlap of the identified genes further confirming the valuable source of retinal genes from our retinal SSH cDNA library. The effort of our and other groups has resulted in the establishment of the full-length coding sequence of 55 of the 111 genes uniquely or preferentially expressed in the retina. Using various methods such as bioinformatical analysis, EST assembly, cDNA library screening, and rapid amplification of cDNA ends (RACE) a number of genes were cloned in the scope of this thesis including C1orf32, C4orf11, C7orf9, C12orf7, C14orf29, DAPL1, and GRM7. Bioinformatic analyses and cDNA library screening were used to isolate the full-length cDNA sequence and determine the genomic organization of C7orf9, also identified as RFRP. This 1190 bp retina-specific transcript from chromosome 7p15.3 encodes a precursor protein for at least two small neuropeptides, referred to as RFRP-1 and RFRP-3. Since C7orf9 is localized in the critical region for dominant cystoid macular dystrophy (CYMD) its role in the pathology was investigated. Southern blot analysis and sequencing of samples from two affected individuals of the original pedigree used to localize the disease gene excluded the gene from involvement in this disease. Multiple isoforms of the C12orf7 gene were assembled from a number of clones identified from library screenings, PCR amplifications, and RACE experiments. The gene variants, transcribed from chromosome 12q13.13, have been found to be expressed exclusively in retina. Because of the multiple alternative splicing of the gene, we can only speculate about the nature of the protein it encodes. The longest transcript, which includes all six exons plus the last intervening sequence, encodes a 471 aa protein which contains a nuclear localization signal and five ankyrin repeats. The existence of many isoforms is also observed in mouse suggesting that they may have a relevant role in cellular physiology. Five novel splice variants of the glutamate metabotropic receptor 7 (GRM7) resulting from the use of alternative 3’-end exons were identified and characterized. One of the novel variants, GRM7_v3, encodes a 924 aa protein and is therefore the longest putative GRM7 protein reported to date. Even though they are not retina-specific, the isoforms are preferentially expressed in the nervous system. Although the functional properties of the specific carboxyl-termini are still unclear, it is known that axon targeting of GRM7_v1 is mediated by the last 60 aa of the protein. Hence the novel isoforms may direct the protein to specific subcellular localizations. The C1orf32 gene, preferentially expressed in retina, is organized in 10 exons and is transcribed from chromosome 1q24.1. Bioinformatic analyses of the 639 aa putative protein not only identified the mouse and rat orthologous genes but also the LISCH7 gene as a potential member of the same family. Since the LISCH7 protein has been shown to function as a low density lipoprotein receptor, the C1orf32 protein may be involved in retinal lipid homeostasis. Disturbances in lipid metabolism have been proposed as one of the pathways involved in AMD etiology. Thus, the role of C1orf32 in this complex disease should be investigated. Expression analyses of the death-associated protein-like 1 (DAPL1) gene revealed that it is expressed in both the retina and the RPE at high levels. The 552 bp transcript encodes a 107 aa putative protein and is transcribed from chromosome 2q24.1. In-silico analyses identified an additional 12 related proteins from various species which share high similarity constituting a novel protein family. The similarity to the death-associated-protein (DAP) is particularly interesting since this protein has been found to be indispensable for programmed cell death. Therefore, DAPL1 is an excellent candidate for retinal disease as apoptosis is generally the ultimate cause in retinal degeneration. The retina-specific C4orf11 and C14orf29 genes localized on chromosome 4q21.22 and 14q22.1, respectively, are both transcribed in more than one isoform. The encoded proteins do not contain any known domains but because of their retina-specific expression they may be important for proper retinal physiology. As part of the long-term goals of the project, several of the cloned genes are being genotyped to construct single nucleotide polymorphism (SNP) maps. Projects to investigate haplotype frequencies of candidate genes in large cohorts of controls and AMD patients are ongoing. Thus, by establishing a collection of 111 genes expressed exclusively or preferentially in the retina, the present work has laid the foundation for future research in retinal diseases.
In the current work, several well-known pharmaceuticals (1,4-dihydrazinophthalazine sulfate, caffeine, and papaverine hydrochloride) and new organometallic compounds (nickel(II) cupferronato complexes NiL2An, L = PhN2O2-, n = 1, A = o-phenanthroline (1), o,o’-bipyridine (2) and n = 2, A = H2O (3), o-NH2Py (4), o-C6H4(NH2)2 (5); silylene-bridged dinuclear iron complexes [Cp(OC)2Fe]2SiX2 (X = H (6), F (7), Cl (8), Br (9), I (10)); 3-silaoxetane 3,3-dimethyl-2,2,4,4-tetraphenyl-1-oxa-3-silacyclobutane (11) and 3-silathietane 3,3-dimethyl-2,2,4,4-tetraphenyl-1-sila-3-thiacyclobutane (12) compounds), which have successfully been characterized by using vibrational spectroscopy in conjunction with accurate density functional theory (DFT) calculations, are presented. The DFT computed molecular geometries of the species of interest reproduced the crystal structure data very well and in conjunction with IR and Raman measurements helped us to clarify the structures of the compounds, for which no experimental data were available; and this, especially for the new organometallic compounds, where the X-Ray analysis was limited by the non-availability of single crystals (3, 5, 10). Furthermore, a natural population analysis (NPA) and natural bond orbital (NBO) calculations together with a detailed analysis of the IR and Raman experimental as well as calculated spectra of the new organometallic compounds, allowed us to study some special bonding situations (1-12) or to monitor the structural changes observed with the change in temperature during the Raman experiments (11, 12). By combining these two methods (DFT and vibrational spectroscopy), the auspicious results obtained on the organometallic compounds 6-12 and overall in literature, made us confident of the power of theoretical calculations in aiding the interpretation of rich SERS spectra by solving some interesting issues. Consequently, the Raman and SERS spectra of well-known pharmaceuticals (1,4-dihydrazinophthalazine sulfate, caffeine, and papaverine hydrochloride) or new potentially biological active organometallic complexes (1-5), that were synthetized by our coworkers, were discussed with the assistance of the accurate results obtained from DFT calculations (structural parameters, harmonic vibrational wavenumbers, Raman scattering activities), and many previous incomplete assignments have been analyzed and improved. This allowed us to establish the vibrational behavior of these biological compounds near a biological artificial model at different pH values or concentrations (Ag substrate), taking into account that information about the species present under particular conditions could be of great importance for the interpretation of biochemical processes. The total electron density of molecules and the partial charges situated on selected atoms, which were determined theoretically by NPA, allowed us to establish the probability of different atoms acting as an adsorptive site for the metal surface. Moreover, a closer examination of the calculated orbitals of molecules brought further arguments on the presence or absence of the photoproducts at the Ag surface during the irradiation (1,4-dihydrazinophthalazine sulfate). Overall, the results provide a benchmark illustration of the virtues of DFT in aiding the interpretation of rich vibrational spectra attainable for larger polyatomic adsorbates by using SERS, as well as in furnishing detailed insight into the relation between the vibrational properties and the nature of the Ag substrate-adsorbate bonding. Therefore, we strongly believe that theoretical calculations will become a matter of rapidly growing scientific and practical interest in SERS.