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Regionalvermarktung ist in deutschen Biosphärenreservaten ein wichtiges Instrument zur Umsetzung des Leitbilds der nachhaltigen Entwicklung. Die Dachmarke Rhön im Biosphärenreservat Rhön hat in den vergangenen Jahren einen Vorbildcharakter in diesem Kontext entwickelt. Doch nur wenige quantitative Untersuchungen befassen sich bis jetzt mit der Frage, welche regionalökonomischen Effekte diese Initiativen haben. In der Arbeit werden die internen Wirtschaftsstrukturen, wie z.B. die Vorleistungen, der Dachmarkenmitglieder mit einer zufälligen Kontrollgruppe von regionalen Betrieben verglichen. Die wirtschaftlichen Differenzen zwischen den Untersuchungsgruppen stellen sich deutlicher dar, wenn die Dachmarke Rhön nicht als eine Einheit gesehen wird, sondern in drei Untergruppen geteilt wird.
Die Betriebe der Dachmarke Rhön haben aufgrund von tendenziell höheren Vorleistungsausgaben geringere Wertschöpfungsquoten auf der ersten Stufe des regionalökonomischen Modells. Die Analyse der Einkaufsbeziehungen und Investitionen macht aber deutlich, dass die Betriebe der Dachmarke Rhön dennoch einen Beitrag zur nachhaltigen Regionalentwicklung in der Rhön leisten können. Zur Erreichung dieses Ziels handeln die Betriebe der Dachmarke in vielerlei Hinsicht aus idealistischen Motiven.
Schistosomiasis is a widespread water-based disease that puts close to 800 million people at risk of infection with more than 250 million infected, mainly in sub-Saharan Africa. Transmission is governed by the spatial distribution of specific freshwater snails that act as intermediate hosts and the frequency, duration and extent of human bodies exposed to infested water sources during human water contact. Remote sensing data have been utilized for spatially explicit risk profiling of schistosomiasis. Since schistosomiasis risk profiling based on remote sensing data inherits a conceptual drawback if school-based disease prevalence data are directly related to the remote sensing measurements extracted at the location of the school, because the disease transmission usually does not exactly occur at the school, we took the local environment around the schools into account by explicitly linking ecologically relevant environmental information of potential disease transmission sites to survey measurements of disease prevalence. Our models were validated at two sites with different landscapes in Côte d’Ivoire using high- and moderateresolution remote sensing data based on random forest and partial least squares regression. We found that the ecologically relevant modelling approach explained up to 70% of the variation in Schistosoma infection prevalence and performed better compared to a purely pixelbased modelling approach. Furthermore, our study showed that model performance increased as a function of enlarging the school catchment area, confirming the hypothesis that suitable environments for schistosomiasis transmission rarely occur at the location of survey measurements.
Purpose – The purpose of this dissertation is to reveal the status quo of development of the grocery retailers’ internationalization process in China as well as to model future trends, opportunities and challenges within a very competitive market. Using several, geographically distant cities as case studies, this paper focuses on the development and outlook of different store formats, along with the development of competition in this respect by explicitly treating China not as a single market. The study thereby analyses historical and geographical diffusion in regard to store formats. The impacts of the main factors of change are discussed.
Design/methodology/approach – The dissertation reviews extensively the literature of grocery retail internationalization with special focus on China. In addition, it draws on primary research in the form of a wide range of expert interviews. As China´s ‘supermarket revolution’ is underway, an understanding of the local and foreign competition and the development of different store formats within different regions of China as well as their prospects, will be crucial to companies expanding into this area.
Findings – The study explains how grocery retailers have already entered the Chinese market with different store formats and how competition has and will further develop. In addition, the study reveals challenges and obstacles in regard to future market strategies, especially in regard to store formats and geographical regions.
Research limitations/implications – The study reveals the current landscape of the Chinese grocery retailing market and emphasizes important strategic pillars, modelling future implications and challenges for food retailers operating in China. Because China is a vast country this dissertation forms only a small part of the geographical evolution process in regard to store formats and competition.
Practical implications – Explores current understanding of the internationalization process in China by considering different format choices. Supplementary, the dissertation proposes an outlook of competition enlargement, prospects of format development and therewith strategic implications within different regions as well as a future research agenda.
Originality / value – Contributes to the understanding of the Chinese grocery retailing market. Furthermore, it is among the first to critically explore possible future developments in regard to store formats and competition within a geographical context in China
Background
Schistosomiasis is the most widespread water-based disease in sub-Saharan Africa. Transmission is governed by the spatial distribution of specific freshwater snails that act as intermediate hosts and human water contact patterns. Remote sensing data have been utilized for spatially explicit risk profiling of schistosomiasis. We investigated the potential of remote sensing to characterize habitat conditions of parasite and intermediate host snails and discuss the relevance for public health.
Methodology
We employed high-resolution remote sensing data, environmental field measurements, and ecological data to model environmental suitability for schistosomiasis-related parasite and snail species. The model was developed for Burkina Faso using a habitat suitability index (HSI). The plausibility of remote sensing habitat variables was validated using field measurements. The established model was transferred to different ecological settings in Côte d’Ivoire and validated against readily available survey data from school-aged children.
Principal Findings
Environmental suitability for schistosomiasis transmission was spatially delineated and quantified by seven habitat variables derived from remote sensing data. The strengths and weaknesses highlighted by the plausibility analysis showed that temporal dynamic water and vegetation measures were particularly useful to model parasite and snail habitat suitability, whereas the measurement of water surface temperature and topographic variables did not perform appropriately. The transferability of the model showed significant relations between the HSI and infection prevalence in study sites of Côte d’Ivoire.
Conclusions/Significance
A predictive map of environmental suitability for schistosomiasis transmission can support measures to gain and sustain control. This is particularly relevant as emphasis is shifting from morbidity control to interrupting transmission. Further validation of our mechanistic model needs to be complemented by field data of parasite- and snail-related fitness. Our model provides a useful tool to monitor the development of new hotspots of potential schistosomiasis transmission based on regularly updated remote sensing data.
Accurate quantification of land use/cover change (LULCC) is important for efficient environmental management, especially in regions that are extremely affected by climate variability and continuous population growth such as West Africa. In this context, accurate LULC classification and statistically sound change area estimates are essential for a better understanding of LULCC processes. This study aimed at comparing mono-temporal and multi-temporal LULC classifications as well as their combination with ancillary data and to determine LULCC across the heterogeneous landscape of southwest Burkina Faso using accurate classification results. Landsat data (1999, 2006 and 2011) and ancillary data served as input features for the random forest classifier algorithm. Five LULC classes were identified: woodland, mixed vegetation, bare surface, water and agricultural area. A reference database was established using different sources including high-resolution images, aerial photo and field data. LULCC and LULC classification accuracies, area and area uncertainty were computed based on the method of adjusted error matrices. The results revealed that multi-temporal classification significantly outperformed those solely based on mono-temporal data in the study area. However, combining mono-temporal imagery and ancillary data for LULC classification had the same accuracy level as multi-temporal classification which is an indication that this combination is an efficient alternative to multi-temporal classification in the study region, where cloud free images are rare. The LULCC map obtained had an overall accuracy of 92%. Natural vegetation loss was estimated to be 17.9% ± 2.5% between 1999 and 2011. The study area experienced an increase in agricultural area and bare surface at the expense of woodland and mixed vegetation, which attests to the ongoing deforestation. These results can serve as means of regional and global land cover products validation, as they provide a new validated data set with uncertainty estimates in heterogeneous ecosystems prone to classification errors.
Les sécheresses des années 1970 et 1980 ont occasionné des changements remarquables dans les paysages et écosystèmes sahéliens. Au Niger, les milieux dunaires sont les plus affectés par la dégradation des paysages aux conséquences parfois irréversibles. Cette étude tente de montrer que, malgré les modifications climatiques et les pressions anthropiques, une régénération des sols dunaires serait possible, dans cette dynamique complexe. Cela a été démontré à travers l’analyse micromorphologique des matériaux des parties superficielles des sols (0-20 cm). L’étude des caractéristiques particulières des croûtes (organisations pelliculaires de surface des sols) offre des pistes de recherches pouvant proposer des moyens et méthodes de fixation des dunes dégradées. Elle propose également des alternatives de lutte contre l’érosion éolienne et hydrique dans les écosystèmes sahéliens. Ceci cadre parfaitement avec la situation au Niger, où les phénomènes de désertification et d’ensablement des cuvettes interdunaires constituent une préoccupation majeure en matière de protection de l’environnement.
An Overview of the Regional Experiments for Land-atmosphere Exchanges 2012 (REFLEX 2012) Campaign
(2015)
The REFLEX 2012 campaign was initiated as part of a training course on the organization of an airborne campaign to support advancement of the understanding of land-atmosphere interaction processes. This article describes the campaign, its objectives and observations, remote as well as in situ. The observations took place at the experimental Las Tiesas farm in an agricultural area in the south of Spain. During the period of ten days, measurements were made to capture the main processes controlling the local and regional land-atmosphere exchanges. Apart from multi-temporal, multi-directional and multi-spatial space-borne and airborne observations, measurements of the local meteorology, energy fluxes, soil temperature profiles, soil moisture profiles, surface temperature, canopy structure as well as leaf-level measurements were carried out. Additional thermo-dynamical monitoring took place at selected sites. After presenting the different types of measurements, some examples are given to illustrate the potential of the observations made.
Rice is the most important food crop in Asia, and the timely mapping and monitoring of paddy rice fields subsequently emerged as an important task in the context of food security and modelling of greenhouse gas emissions. Rice growth has a distinct influence on Synthetic Aperture Radar (SAR) backscatter images, and time-series analysis of C-band images has been successfully employed to map rice fields. The poor data availability on regional scales is a major drawback of this method. We devised an approach to classify paddy rice with the use of all available Envisat ASAR WSM (Advanced Synthetic Aperture Radar Wide Swath Mode) data for our study area, the Mekong Delta in Vietnam. We used regression-based incidence angle normalization and temporal averaging to combine acquisitions from multiple tracks and years. A crop phenology-based classifier has been applied to this time series to detect single-, double- and triple-cropped rice areas (one to three harvests per year), as well as dates and lengths of growing seasons. Our classification has an overall accuracy of 85.3% and a kappa coefficient of 0.74 compared to a reference dataset and correlates highly with official rice area statistics at the provincial level (R-2 of 0.98). SAR-based time-series analysis allows accurate mapping and monitoring of rice areas even under adverse atmospheric conditions.
The 2010 eruption of Eyjafjallajokull volcano was characterized by pulsating activity. Discrete ash bursts merged at higher altitude and formed a sustained quasi-continuous eruption column. High-resolution near-field videos were recorded on 8-10 May, during the second explosive phase of the eruption, and supplemented by contemporary aerial observations. In the observed period, pulses occurred at intervals of 0.8 to 23.4 s (average, 4.2 s). On the basis of video analysis, the pulse volume and the velocity of the reversely buoyant jets that initiated each pulse were determined. The expansion history of jets was tracked until the pulses reached the height of transition from a negatively buoyant jet to a convective buoyant plume about 100 m above the vent. Based on the assumption that the density of the gas-solid mixture making up the pulse approximates that of the surrounding air at the level of transition from the jet to the plume, a mass flux ranging between 2.2 and 3.5 . 10\(^4\) kg/s was calculated. This mass eruption rate is in good agreement with results obtained with simple models relating plume height with mass discharge at the vent. Our findings indicate that near-field measurements of eruption source parameters in a pulsating eruption may prove to be an effective monitoring tool. A comparison of the observed pulses with those generated in calibrated large-scale experiments reveals very similar characteristics and suggests that the analysis of near-field sensors could in the future help to constrain the triggering mechanism of explosive eruptions.
The ecosystem of the high northern latitudes is affected by the recently changing environmental conditions. The Arctic has undergone a significant climatic change over the last decades. The land coverage is changing and a phenological response to the warming is apparent. Remotely sensed data can assist the monitoring and quantification of these changes. The remote sensing of the Arctic was predominantly carried out by the usage of optical sensors but these encounter problems in the Arctic environment, e.g. the frequent cloud cover or the solar geometry. In contrast, the imaging of Synthetic Aperture Radar is not affected by the cloud cover and the acquisition of radar imagery is independent of the solar illumination. The objective of this work was to explore how polarimetric Synthetic Aperture Radar (PolSAR) data of TerraSAR-X, TanDEM-X, Radarsat-2 and ALOS PALSAR and interferometric-derived digital elevation model data of the TanDEM-X Mission can contribute to collect meaningful information on the actual state of the Arctic Environment. The study was conducted for Canadian sites of the Mackenzie Delta Region and Banks Island and in situ reference data were available for the assessment. The up-to-date analysis of the PolSAR data made the application of the Non-Local Means filtering and of the decomposition of co-polarized data necessary.
The Non-Local Means filter showed a high capability to preserve the image values, to keep the edges and to reduce the speckle. This supported not only the suitability for the interpretation but also for the classification. The classification accuracies of Non-Local Means filtered data were in average +10% higher compared to unfiltered images. The correlation of the co- and quad-polarized decomposition features was high for classes with distinct surface or double bounce scattering and a usage of the co-polarized data is beneficial for regions of natural land coverage and for low vegetation formations with little volume scattering. The evaluation further revealed that the X- and C-Band were most sensitive to the generalized land cover classes. It was found that the X-Band data were sensitive to low vegetation formations with low shrub density, the C-Band data were sensitive to the shrub density and the shrub dominated tundra. In contrast, the L-Band data were less sensitive to the land cover. Among the different dual-polarized data the HH/VV-polarized data were identified to be most meaningful for the characterization and classification, followed by the HH/HV-polarized and the VV/VH-polarized data. The quad-polarized data showed highest sensitivity to the land cover but differences to the co-polarized data were small. The accuracy assessment showed that spectral information was required for accurate land cover classification. The best results were obtained when spectral and radar information was combined. The benefit of including radar data in the classification was up to +15% accuracy and most significant for the classes wetland and sparse vegetated tundra. The best classifications were realized with quad-polarized C-Band and multispectral data and with co-polarized X-Band and multispectral data. The overall accuracy was up to 80% for unsupervised and up to 90% for supervised classifications. The results indicated that the shortwave co-polarized data show promise for the classification of tundra land cover since the polarimetric information is sensitive to low vegetation and the wetlands. Furthermore, co-polarized data provide a higher spatial resolution than the quad-polarized data.
The analysis of the intermediate digital elevation model data of the TanDEM-X showed a high potential for the characterization of the surface morphology. The basic and relative topographic features were shown to be of high relevance for the quantification of the surface morphology and an area-wide application is feasible. In addition, these data were of value for the classification and delineation of landforms. Such classifications will assist the delineation of geomorphological units and have potential to identify locations of actual and future morphologic activity.
The Urban Heat Island (UHI) is the phenomenon of altered increased temperatures in urban areas compared to their rural surroundings. UHIs grow and intensify under extreme hot periods, such as during heat waves, which can affect human health and also increase the demand for energy for cooling. This study applies remote sensing and land use/land cover (LULC) data to assess the cooling effect of varying urban vegetation cover, especially during extreme warm periods, in the city of Munich, Germany. To compute the relationship between Land Surface Temperature (LST) and Land Use Land Cover (LULC), MODIS eight-day interval LST data for the months of June, July and August from 2002 to 2012 and the Corine Land Cover (CLC) database were used. Due to similarities in the behavior of surface temperature of different CLCs, some classes were reclassified and combined to form two major, rather simplified, homogenized classes: one of built-up area and one of urban vegetation. The homogenized map was merged with the MODIS eight-day interval LST data to compute the relationship between them. The results revealed that (i) the cooling effect accrued from urban vegetation tended to be non-linear; and (ii) a remarkable and stronger cooling effect in terms of LST was identified in regions where the proportion of vegetation cover was between seventy and almost eighty percent per square kilometer. The results also demonstrated that LST within urban vegetation was affected by the temperature of the surrounding built-up and that during the well-known European 2003 heat wave, suburb areas were cooler from the core of the urbanized region. This study concluded that the optimum green space for obtaining the lowest temperature is a non-linear trend. This could support urban planning strategies to facilitate appropriate applications to mitigate heat-stress in urban area.
Disentangling the relative effects of bushmeat availability on human nutrition in central Africa
(2015)
We studied links between human malnutrition and wild meat availability within the Rainforest Biotic Zone in central Africa. We distinguished two distinct hunted mammalian diversity distributions, one in the rainforest areas (Deep Rainforest Diversity, DRD) containing taxa of lower hunting sustainability, the other in the northern rainforest-savanna mosaic, with species of greater hunting potential (Marginal Rainforest Diversity, MRD). Wild meat availability, assessed by standing crop mammalian biomass, was greater in MRD than in DRD areas. Predicted bushmeat extraction was also higher in MRD areas. Despite this, stunting of children, a measure of human malnutrition, was greater in MRD areas. Structural equation modeling identified that, in MRD areas, mammal diversity fell away from urban areas, but proximity to these positively influenced higher stunting incidence. In DRD areas, remoteness and distance from dense human settlements and infrastructures explained lower stunting levels. Moreover, stunting was higher away from protected areas. Our results suggest that in MRD areas, forest wildlife rational use for better human nutrition is possible. By contrast, the relatively low human populations in DRD areas currently offer abundant opportunities for the continued protection of more vulnerable mammals and allow dietary needs of local populations to be met.
Background:
Schistosomiasis is a water-based disease that affects an estimated 250 million people, mainly in sub-Saharan Africa. The transmission of schistosomiasis is spatially and temporally restricted to freshwater bodies that contain schistosome cercariae released from specific snails that act as intermediate hosts. Our objective was to assess the contribution of remote sensing applications and to identify remaining challenges in its optimal application for schistosomiasis risk profiling in order to support public health authorities to better target control interventions.
Methods:
We reviewed the literature (i) to deepen our understanding of the ecology and the epidemiology of schistosomiasis, placing particular emphasis on remote sensing; and (ii) to fill an identified gap, namely interdisciplinary research that bridges different strands of scientific inquiry to enhance spatially explicit risk profiling. As a first step, we reviewed key factors that govern schistosomiasis risk. Secondly, we examined remote sensing data and variables that have been used for risk profiling of schistosomiasis. Thirdly, the linkage between the ecological consequence of environmental conditions and the respective measure of remote sensing data were synthesised.
Results:
We found that the potential of remote sensing data for spatial risk profiling of schistosomiasis is - in principle - far greater than explored thus far. Importantly though, the application of remote sensing data requires a tailored approach that must be optimised by selecting specific remote sensing variables, considering the appropriate scale of observation and modelling within ecozones. Interestingly, prior studies that linked prevalence of Schistosoma infection to remotely sensed data did not reflect that there is a spatial gap between the parasite and intermediate host snail habitats where disease transmission occurs, and the location (community or school) where prevalence measures are usually derived from.
Conclusions:
Our findings imply that the potential of remote sensing data for risk profiling of schistosomiasis and other neglected tropical diseases has yet to be fully exploited.
River deltas belong to the most densely settled places on earth. Although they only account for 5% of the global land surface, over 550 million people live in deltas. These preferred livelihood locations, which feature flat terrain, fertile alluvial soils, access to fluvial and marine resources, a rich wetland biodiversity and other advantages are, however, threatened by numerous internal and external processes. Socio-economic development, urbanization, climate change induced sea level rise, as well as flood pulse changes due to upstream water diversion all lead to changes in these highly dynamic systems. A thorough understanding of a river delta's general setting and intra-annual as well as long-term dynamic is therefore crucial for an informed management of natural resources. Here, remote sensing can play a key role in analyzing and monitoring these vast areas at a global scale. The goal of this study is to demonstrate the potential of intra-annual time series analyses at dense temporal, but coarse spatial resolution for inundation characterization in five river deltas located in four different countries. Based on 250 m MODIS reflectance data we analyze inundation dynamics in four densely populated Asian river deltas-namely the Yellow River Delta (China), the Mekong Delta (Vietnam), the Irrawaddy Delta (Myanmar), and the Ganges-Brahmaputra (Bangladesh, India)-as well as one very contrasting delta: the nearly uninhabited polar Mackenzie Delta Region in northwestern Canada for the complete time span of one year (2013). A complex processing chain of water surface derivation on a daily basis allows the generation of intra-annual time series, which indicate inundation duration in each of the deltas. Our analyses depict distinct inundation patterns within each of the deltas, which can be attributed to processes such as overland flooding, irrigation agriculture, aquaculture, or snowmelt and thermokarst processes. Clear differences between mid-latitude, subtropical, and polar deltas are illustrated, and the advantages and limitations of the approach for inundation derivation are discussed.
Robust risk assessment requires accurate flood intensity area mapping to allow for the identification of populations and elements at risk. However, available flood maps in West Africa lack spatial variability while global datasets have resolutions too coarse to be relevant for local scale risk assessment. Consequently, local disaster managers are forced to use traditional methods such as watermarks on buildings and media reports to identify flood hazard areas. In this study, remote sensing and Geographic Information System (GIS) techniques were combined with hydrological and statistical models to delineate the spatial limits of flood hazard zones in selected communities in Ghana, Burkina Faso and Benin. The approach involves estimating peak runoff concentrations at different elevations and then applying statistical methods to develop a Flood Hazard Index (FHI). Results show that about half of the study areas fall into high intensity flood zones. Empirical validation using statistical confusion matrix and the principles of Participatory GIS show that flood hazard areas could be mapped at an accuracy ranging from 77% to 81%. This was supported with local expert knowledge which accurately classified 79% of communities deemed to be highly susceptible to flood hazard. The results will assist disaster managers to reduce the risk to flood disasters at the community level where risk outcomes are first materialized.
Most animals live in seasonal environments and experience very different conditions throughout the year. Behavioral strategies like migration, hibernation, and a life cycle adapted to the local seasonality help to cope with fluctuations in environmental conditions. Thus, how an individual utilizes the environment depends both on the current availability of habitat and the behavioral prerequisites of the individual at that time. While the increasing availability and richness of animal movement data has facilitated the development of algorithms that classify behavior by movement geometry, changes in the environmental correlates of animal movement have so far not been exploited for a behavioral annotation. Here, we suggest a method that uses these changes in individual–environment associations to divide animal location data into segments of higher ecological coherence, which we term niche segmentation. We use time series of random forest models to evaluate the transferability of habitat use over time to cluster observational data accordingly. We show that our method is able to identify relevant changes in habitat use corresponding to both changes in the availability of habitat and how it was used using simulated data, and apply our method to a tracking data set of common teal (Anas crecca). The niche segmentation proved to be robust, and segmented habitat suitability outperformed models neglecting the temporal dynamics of habitat use. Overall, we show that it is possible to classify animal trajectories based on changes of habitat use similar to geometric segmentation algorithms. We conclude that such an environmentally informed classification of animal trajectories can provide new insights into an individuals' behavior and enables us to make sensible predictions of how suitable areas might be connected by movement in space and time.
The freeze-thaw cycles in periglacial areas during the Quaternary glacials increased frost weathering, leading to a disintegration of rock formations. Transported downslope, clasts allowed in some areas the formation of stratified slope deposits known as “grèzes litées”. This study reviews the existing theories and investigates the grèzes litées deposits of Enscherange and Rodershausen in Luxembourg. This process was reinforced by the lithostructural control of the parent material expressed by the dip of schistosity (66°) and its orientation parallel to the main slopes in the area. This gave opportunities to activate the frost-weathering process on top of the ridge where the parent material outcropped. As the stratified slope deposits have a dip of 23° and as there is no significant lateral variation in rock fragment size, slope processes that involve only gravity are excluded and transportation in solifluction lobes with significant slopewash and sorting processes is hypothesized. The Enscherange formation, the biggest known outcrop of grèzes litées in north-western Europe, shows evidence of clear layering over the whole profile depth. A palaeolandscape reconstruction shows that ridges must have been tens of metres higher than presently. The investigation of the matrix composition shows Laacher See tephra in the overlying periglacial cover bed with infiltrations of the minerals in the reworked upper layer of the grèzes litées deposit. Chronostratigraphic approaches using the underlying cryoturbation zone and Laacher See heavy minerals in the overlying topsoil place the formation of grèzes litées deposits in the Late Pleistocene.
Online-Handel ist Wandel
(2016)
Der Umsatz des Online-Handels wächst und damit scheinen sich die Spielregeln für den gesamten Einzelhandel zu verändern. Die Wirkungen des Online-Handels zeigen sich dabei weitaus differenzierter als von vielen in seiner Anfangsphase in den 1990er Jahre angenommen wurde: Statt einer pauschalen disruptiven Wirkung entfaltet er sich einerseits langsamer und andererseits nicht in allen Einzelhandelssegmenten und allen Räumen in gleicher Geschwindigkeit und Intensität. Gerade die zunehmende Ausbreitung von Multi-Channel-Strategien macht die wesentlich komplexeren Realitäten der aktuellen Einzelhandelsentwicklung deutlich.
Diese Veränderungen stellen nicht nur den Handel vor große Herausforderungen, sondern auch in Stadtplanung und Wirtschaftsförderung muss umgedacht werden. Bestehende Ansätze, Modelle, Strategien und Theorien werden in Frage gestellt: Welche Auswirkungen haben die Veränderungen auf die Standortplanung von Handelsunternehmen? Welche Effekte hat der Online-Handel für die Nahversorgung? Wie können Kommunen auf die Veränderungen reagieren? Welche neuen Ansätze zur Analyse und Konzeptualisierung der Veränderungen gibt es? Wie müssen bestehende Modelle und Theorien der Handelsforschung angepasst werden?
Diese und weitere Fragen stellt der vorliegende Sammelband „Online-Handel ist Wandel“. Der Band vereint acht handelsgeographische Beiträge von Wissenschaftlerinnen und Wissenschaftlern sowie Unternehmens- und Kommunalberaterinnen und -beratern. Die Autoren diskutieren die aktuellen Entwicklungen, ihre bisherigen und zukünftigen Effekte auf den Handel und die Innenstädte sowie Strategien im Umgang mit diesen Trends. Konkret und praxisnah werden die Auswirkungen des Online-Handels auf unterschiedliche Formate des stationären Einzelhandels und ihren Flächenbedarf sowie auf Klein- und Mittelstädte im ländlichen Raum betrachtet.
Rice is an important food crop and a large producer of green-house relevant methane. Accurate and timely maps of paddy fields are most important in the context of food security and greenhouse gas emission modelling. During their life-cycle, rice plants undergo a phenological development that influences their interaction with waves in the visible light and infrared spectrum. Rice growth has a distinctive signature in time series of remotely-sensed data. We used time series of MODIS (Moderate Resolution Imaging Spectroradiometer) products MOD13Q1 and MYD13Q1 and a one-class support vector machine to detect these signatures and classify paddy rice areas in continental China. Based on these classifications, we present a novel product for continental China that shows rice areas for the years 2002, 2005, 2010 and 2014 at 250-m resolution. Our classification has an overall accuracy of 0.90 and a kappa coefficient of 0.77 compared to our own reference dataset for 2014 and correlates highly with rice area statistics from China’s Statistical Yearbooks (R2 of 0.92 for 2010, 0.92 for 2005 and 0.90 for 2002). Moderate resolution time series analysis allows accurate and timely mapping of rice paddies over large areas with diverse cropping schemes.
This study analyzed the spatiotemporal pattern of settlement expansion in Abuja, Nigeria, one of West Africa’s fastest developing cities, using geoinformation and ancillary datasets. Three epochs of Land-use Land-cover (LULC) maps for 1986, 2001 and 2014 were derived from Landsat images using support vector machines (SVM). Accuracy assessment (AA) of the LULC maps based on the pixel count resulted in overall accuracy of 82%, 92% and 92%, while the AA derived from the error adjusted area (EAA) method stood at 69%, 91% and 91% for 1986, 2001 and 2014, respectively. Two major techniques for detecting changes in the LULC epochs involved the use of binary maps as well as a post-classification comparison approach. Quantitative spatiotemporal analysis was conducted to detect LULC changes with specific focus on the settlement development pattern of Abuja, the federal capital city (FCC) of Nigeria. Logical transitions to the urban category were modelled for predicting future scenarios for the year 2050 using the embedded land change modeler (LCM) in the IDRISI package. Based on the EAA, the result showed that urban areas increased by more than 11% between 1986 and 2001. In contrast, this value rose to 17% between 2001 and 2014. The LCM model projected LULC changes that showed a growing trend in settlement expansion, which might take over allotted spaces for green areas and agricultural land if stringent development policies and enforcement measures are not implemented. In conclusion, integrating geospatial technologies with ancillary datasets offered improved understanding of how urbanization processes such as increased imperviousness of such a magnitude could influence the urban microclimate through the alteration of natural land surface temperature. Urban expansion could also lead to increased surface runoff as well as changes in drainage geography leading to urban floods.
Cropping Intensity in the Aral Sea Basin and Its Dependency from the Runoff Formation 2000–2012
(2016)
This study is aimed at a better understanding of how upstream runoff formation affected the cropping intensity (CI: number of harvests) in the Aral Sea Basin (ASB) between 2000 and 2012. MODIS 250 m NDVI time series and knowledge-based pixel masking that included settlement layers and topography features enabled to map the irrigated cropland extent (iCE). Random forest models supported the classification of cropland vegetation phenology (CVP: winter/summer crops, double cropping, etc.). CI and the percentage of fallow cropland (PF) were derived from CVP. Spearman’s rho was selected for assessing the statistical relation of CI and PF to runoff formation in the Amu Darya and Syr Darya catchments per hydrological year. Validation in 12 reference sites using multi-annual Landsat-7 ETM+ images revealed an average overall accuracy of 0.85 for the iCE maps. MODIS maps overestimated that based on Landsat by an average factor of ~1.15 (MODIS iCE/Landsat iCE). Exceptional overestimations occurred in case of inaccurate settlement layers. The CVP and CI maps achieved overall accuracies of 0.91 and 0.96, respectively. The Amu Darya catchment disclosed significant positive (negative) relations between upstream runoff with CI (PF) and a high pressure on the river water resources in 2000–2012. Along the Syr Darya, reduced dependencies could be observed, which is potentially linked to the high number of water constructions in that catchment. Intensified double cropping after drought years occurred in Uzbekistan. However, a 10 km × 10 km grid of Spearman’s rho (CI and PF vs. upstream runoff) emphasized locations at different CI levels that are directly affected by runoff fluctuations in both river systems. The resulting maps may thus be supportive on the way to achieve long-term sustainability of crop production and to simultaneously protect the severely threatened environment in the ASB. The gained knowledge can be further used for investigating climatic impacts of irrigation in the region.
The Sentinel-1 Satellite (S-1) of ESA's Copernicus Mission delivers freely available C-Band Synthetic Aperture Radar (SAR) data that are suited for interferometric applications (InSAR). The high geometric resolution of less than fifteen meter and the large coverage offered by the Interferometric Wide Swath mode (IW) point to new perspectives on the comprehension and understanding of surface changes, the quantification and monitoring of dynamic processes, especially in arid regions. The contribution shows the application of S-1 intensities and InSAR coherences in time series analysis for the delineation of changes related to fluvial morphodynamics in Damghan, Iran. The investigations were carried out for the period from April to October 2015 and exhibit the potential of the S-1 data for the identification of surface disturbances, mass movements and fluvial channel activity in the surroundings of the Damghan Playa. The Amplitude Change Detection highlighted extensive material movement and accumulation - up to sizes of more than 4,000 m in width - in the east of the Playa via changes in intensity. Further, the Coherence Change Detection technique was capable to indicate small-scale channel activity of the drainage system that was neither recognizable in the S-1 intensity nor the multispectral Landsat-8 data. The run off caused a decorrelation of the SAR signals and a drop in coherence. Seen from a morphodynamic point of view, the results indicated a highly dynamic system and complex tempo-spatial patterns were observed that will be subject of future analysis. Additionally, the study revealed the necessity to collect independent reference data on fluvial activity in order to train and adjust the change detector.
This study investigates a two component decomposition technique for HH/VV-polarized PolSAR (Polarimetric Synthetic Aperture Radar) data. The approach is a straight forward adaption of the Yamaguchi decomposition and decomposes the data into two scattering contributions: surface and double bounce under the assumption of a negligible vegetation scattering component in Tundra environments. The dependencies between the features of this two and the classical three component Yamaguchi decomposition were investigated for Radarsat-2 (quad) and TerraSAR-X (HH/VV) data for the Mackenzie Delta Region, Canada. In situ data on land cover were used to derive the scattering characteristics and to analyze the correlation among the PolSAR features. The double bounce and surface scattering features of the two and three component scattering model (derived from pseudo-HH/VV- and quad-polarized data) showed similar scattering characteristics and positively correlated-R2 values of 0.60 (double bounce) and 0.88 (surface scattering) were observed. The presence of volume scattering led to differences between the features and these were minimized for land cover classes of low vegetation height that showed little volume scattering contribution. In terms of separability, the quad-polarized Radarsat-2 data offered the best separation of the examined tundra land cover types and will be best suited for the classification. This is anticipated as it represents the largest feature space of all tested ones. However; the classes “wetland” and “bare ground” showed clear positions in the feature spaces of the C- and X-Band HH/VV-polarized data and an accurate classification of these land cover types is promising. Among the possible dual-polarization modes of Radarsat-2 the HH/VV was found to be the favorable mode for the characterization of the aforementioned tundra land cover classes due to the coherent acquisition and the preserved co-pol. phase. Contrary, HH/HV-polarized and VV/VH-polarized data were found to be best suited for the characterization of mixed and shrub dominated tundra.
Diese Arbeit widmet sich detaillierten stratigraphischen und paläopedologischen Studien an Löss-Paläoboden Sequenzen (LPS) im kontinentalen Nordosten Österreichs, im Lee der Böhmischen Masse relativ zur Westwindzone. Neben methodischen Erkenntnissen ergeben sich allgemeine Schlussfolgerungen über die Klima- und Landschaftsentwicklung während der letzten Million Jahre.
Die untersuchten Aufschlüsse liegen in der Region um Krems (Krems-Schießstätte, Paudorf, Stiefern) und in Stillfried. Einige sind weithin bekannt als ehemalige Typuslokalitäten der Quartärstratigraphie, aber nach fundamentalen Revisionen in den 1970er Jahren schwand das Interesse an diesen merklich. Die LPS befinden sich in Hanglage, so sind polygenetische Einheiten und Erosionslücken üblich. Als Archive einer komplexen geomorphologischen Entwicklung sind sie nicht geeignet für die Anwendung üblicher paläoklimatischer Proxies.
Um die Entstehung der untersuchten LPS zu verstehen, wurde ein multimethodischer Ansatz entwickelt, der detaillierte Untersuchungen von der Landschafts- bis auf die Mikroebene umfasst. Innovativ ist die Verwendung quantitativer Farbmessungen in hoher Auflösung zum Zwecke einer standardisierten Klassifikation von Profileinheiten. Detaillierte mikromorphologische Untersuchungen sind Basis für die Rekonstruktion des Wechselspiels aus äolischer Sedimentation, Pedogenese und Hangprozessen.
Die Korrelation der LPS basiert auf mehreren geochronologischen Ankerpunkten und ist zugleich Hinweis auf tiefgreifende morphologische Veränderungen in der Region Krems während des Pleistozäns. Im chronologischen Rahmen ergeben sich unter Anwendung des Konzepts der klimaphytomorphen Böden qualitative paläoklimatische Schlussfolgerungen:
Kräftig verwitterte Bodenhorizonte sind polygenetisch und nicht das Resultat feuchterer Klimabedingungen während dezidierter Entwicklungsphasen. Die Kontinentalität des Untersuchungsgebiets blieb währenden der letzten Million Jahre weitgehend bestehen, teils mit erhöhtem mediterranem Einfluss. Eine Dominanz atlantischer Feuchte beschränkt(e) sich auf die Regionen westlich der Böhmischen Masse. Die Paläoklimate des Untersuchungs-gebiets waren eher vergleichbar mit jenen des Pannonischen Beckens, obgleich die untersuchten Sequenzen keinen Hinweis auf den dort vermuteten Gradienten zunehmender Aridität zeigen. Interessant sind ferner zahlreiche gebleichte Horizonte innerhalb der Lösssedimente, die als Reste von Tundragleyen interpretiert werden. Diese sind im Löss des Pannonischen Becken nicht nachweisbar. Hieraus wird ein mitteleuropäischer Charakter kaltzeitlichen Klimas innerhalb des untersuchten Zeitrahmens gefolgert.
11 Conclusion
11.1 Glaze compositions
Glazes from tiles of imposing Islamic buildings and some tableware glazes of the medieval epoch in Central Asia, the Middle East, Asia Minor, and North Africa are analysed regarding their main composition and colouring agents. Three major production recipes can be distinguished, i.e. alkali glazes, alkali lead glazes, and lead glazes. In the work of Tite (2011), Islamic glazes from Egypt, Iran, Iraq, and Syria are subdivided into four groups of composition, being partly consistent with those of this work. The alkali lime glazes with <2 wt% PbO correspond to the alkali glazes, but with higher content of CaO. The second and third group of low lead alkali and lead alkali glazes (2-10 wt% PbO and 10-35 wt% PbO) can be subsumed to the alkali lead group described here. Tite´s high lead group has PbO contents >35 wt% and is comparable to the lead glazes (>30 wt% PbO) of this study. The lead and the alkali oxides serve as a flux for the lowering the melting point.
In the interaction of ceramic body and glaze, primarily an influence from Si, Al, and K is observed in the line scans from the cross section of ceramic and glaze. However, the input of ceramic material doesn’t seem to be critical for the classification of glazes according to their alkali and alkali lead compositions.
In every epoch and locality, except of the Ilkhanate dynasty in Iran, lead glaze samples can be verified. This is also observed in previous investigations e.g. from medieval Iraq, Jordan and Iran (McCarthy, 1996; Al-Saad, 2002; Holakooei et al., 2014). In the Moroccan and Bulgarian glazes, lead seems to be the only important flux. In part, the lead flux is supplemented by additional alkali contents. The lack of alkali and alkali lead glazes in Bulgarian and Moroccan glazes (assuming that the Ottoman alkali lead glazes are imported tableware) seems to affect the regions with Roman-influenced history and with geographical distance to the Near East alkali flux tradition.
For the alkali lead glazes and alkali glazes, the overall characteristic is sodium dominated, although the absolute soda values are in part surprisingly low. Samples from Bukhara, Takht-i-Suleiman and the Turkish localities have the highest, but still moderate Na2O values up to 15 wt%, compared to other analyses from e.g. India (Gill & Rehren, 2011).
The source of the alkali flux is either mineral natron or plant ash. The source can be determined regarding the MgO values, limited to 1.3 wt% in mineral natron and exceeding 2.0 wt% in the case of plant ashes. In the samples of the present study, the K2O component is not suitable for the indication of the flux-relevant alkali source due to its broad scattering. The P2O5 contents are also enhanced in the plant ash compositions but the data set is not sufficient for statistical evaluation. An influence of the ceramic body on the glaze composition is observed only for SiO2, Al2O3, and K2O in quartz frit ceramics with slight K-feldspar content.
The earliest Uzbek tableware glazes from the 10th-11th century (Seljuq period) were generally produced using a lead flux. The same applies to part of the Uzbek tile glazes which were produced between the 13th and 16th century. In Iran, glazes from the 12th century (Khwarezmid period) are lead glazes, but also alkali-fluxed glazes with mineral natron characteristics can be found. Although the production of lead-rich glazes was established from the 8th-9th century on in Iraq, Syria, and Egypt (Henshaw, 2010; Tite et al., 2011), alkali glazes are found in almost all regions except of Bulgaria and Morocco.
Plant ash-fluxed alkali glazes are found in 13th century glazes from Takht-i-Suleiman. The plant ash flux technology is assumed to be continuously used in Mesopotamia, Iran, and Central Asia (Sayre & Smith, 1974; Henderson, 2009), but it could be shown that a parallel use of mineral natron parallel existed in the alkali glaze production from the 12th-15th century from Uzbekistan to Afghanistan. Mineral natron characteristics are also reported by Mason (2004) for Syrian and Iranian alkali glazes on lustre ware of the 8th-14th century. Tile glazes with partly mineral natron compositions are found in the Mughal architectural glazes from the 14th- 17th century from India (Gill et al., 2014).
Alkali and alkali lead tile glazes from Samarkand from the 13th century (Mongolian period) have mineral natron flux characteristics, but samples from the 15th century (Timurid period) show plant ash signature. Alkali fluxed Uzbek glazes from Bukhara from the 16th century (Sheibanid dynasty) are also made by plant ash flux and are subdivided into two groups with high and low sodium oxide content. The Afghan alkali glazes have sodium oxide contents similar to the sodium-poor Uzbek subgroup, which points to a possible exchange of glaze makers or glaze making technology from Uzbekistan and Afghanistan in the 15th-17th century. Regarding the extensive exchange of Timurid craftsmen in Central Asia, this option seems to be even more likely (Golombek, 1996). One sample from the 15th century from Afghanistan with mineral natron reveals that this material was parallel used in these centuries.
Concerning the colouring of the glazes, it has to be distinguished between pigments and colouring ions which are incorporated in the glassy matrix. The colouring agents for translucent glazes are cations of various transition metals. As ions, Co2+ (blue), Cu2+ (green in a lead rich matrix), Fe3+ (brown/black), Mn4+ (brown/black) and Mn3+ (violet) are determined by EPMA. For opaque yellow, white, and turquoise glazes, different pigments were used. The crystalline pigments are investigated by a µ XRD2 device with the result of SnO2, SiO2, and PbSiO4 as whitening agents. PbSiO4 and Pb2Sn2O6 are found in the yellow glaze, from which only the lead tin oxide causes the yellow colour. In the black glazes, different Cr-rich pigments, Cu-Cr-Mn-oxides and iron containing clinopyroxenes are found, even in samples of the same period and region. Cr-rich particles are also detected in two turquoise Afghan glazes from the 15th and 16th century. The use of the ions of Fe, Cu, Co, Cr, and Mn seems to be widely common in the Islamic glazes and corresponds to the described colouring agents in e.g. the study of Tite (2011). The use of opacifying SnO2 particles is widespread as it is reported from different Islamic glazes from Iraq, Iran, Egypt, and Syria (Henshaw, 2010; O´Kane, 2011; Tite, 2011). The colouring agents are known already from former, e.g. Egyptian, Roman and pre-islamic periods, but especially SnO2 pigments became increasingly widespread in the Islamic glazing tradition. The use of yellow and black pigments instead varies already within the buildings from Bukhara from Cr crystals and clino-pyroxenes in the mosque Khoja Zainuddin to a Cu-Cr-Mn-oxide in the madrassa Mir-i Arab of the same epoch.
Regarding the matrix compositions connected with the colouring, a certain assignment within the different locations and epochs can be seen. It is noticeable that e.g. the content of lead in turquoise glazes in Uzbekistan is in the range of 0.0-9.2 wt% Pb, whereas blue glazes are mostly alkali ones with PbO contents <2.0 wt%. The turquoise glazes show, that this restriction is not influenced by any defaults of availability and processability. The assumption of common addition of lead and tin to the glaze, which is already described for Iranian glazes of the 13th century (Allan et al., 1973) cannot be confirmed by correlations of tin and lead oxide in the compositions.
11.2 Portable XRF measurement
With the p-XRF, semi-quantitative information about the major element compositions is generated. The depth of the detectable signals depends on the analysed sample setup. The p-XRF data are collected with the XL3 Hybrid device of the company Analyticon Instruments. In the comparison of p-XRF results of the “mining” program from Uzbek glazes with EPMA results, the same major composition groups can be distinguished. The Moroccan glazes, all lead rich, are measured with the “mining” as well as with the “soil” program, revealing a better performance in the “mining” measurements. The deviations are nevertheless high, because of the high lead contents, which make the calculation of matrix correction difficult.
The measurement of the colouring oxides MnO2, CoO, and CuO is satisfying with the internal calibration of the device and even improved with the “mining” program measurement, if compared to the results of the “soil” program. The measurements of glaze imitations lead to better results than that of bulk glass. This can be attributed to the smoother surface texture.
In spite of the accuracy limits in the measurements of particular elements in glazes, the classification of flux composition into three groups could be confirmed with the p XRF analysis. The measurement precision is therefore sufficient for the semi-quantitative analysis of the flux characteristic of glazes. Especially for the on-site measurement of large sample quantities on historical buildings, the device is a suitable tool.
11.3 Restoration material
The ORMOCER® fulfils the requirements of stability, reversibility, and transparency, which are imposed to a modern restoration material. As pigments, historically coloured glass, cobalt blue, Egyptian blue, lead tin yellow, manganese violet, iron oxide, copper oxide, and cassiterite were used. The metal compounds have higher colour intensities than the pigments of coloured glass. It has to be considered that the proportion of ORMOCER® in the batch must be high enough (70 vol%) to guarantee the ORMOCER® properties of weathering and mechanical stability. The adhesion properties of the ORMOCER® and the homogeneity of the mixture are the best in a fraction of max. 30 vol% particles per ORMOCER®.
With integrated particles, the ORMOCER® G materials show homogeneous coatings, whereas the particles in the ORMCOER® E show more agglomeration. In the sedimentation and weathering experiments, the use of an ultrasonic finger in combination with a roller mill is favourable compared to the treatment with bead grinding mill. The treatments with ultrasonic finger and roller mill result in less sedimentation and better adhesion of the dispersions. The treatment of the dispersions in the bead grinding mill does not result in sufficient adhesion, certainly due to the sedimentation behaviour and a congregation of particles on the bottom of the coating.
The modification of dispersed nano-particles by 3-methacryl-oxypropyltrimethoxysilan leads to a further homogenization in the sedimentation tests. It is therefore approved for the use in coloured glaze supplements. In weathered coatings of nano-particle compounds, the surface modification shows certainly no enhancement of stability.
The treatment of pigmented coatings with an additional layer of pure ORMOCER® results in a bright and transparent appearing, which is closer to the original optical appearance of the glaze. A long-time test application on a historical building will be the next step to validate the suitability of the restoration material.
Massenbewegungen zählen zu den am häufigsten auftretenden Naturgefahren in Deutschland. Dabei wird die von instabilen Hängen ausgehende Gefährdung speziell in den Regionen der Mittelgebirge regelmäßig unterschätzt. In Bezug auf die Verbreitung von Massenbewegungen in Mittelgebirgen stellt das süddeutsche Schichtstufenland einen besonderen Schwerpunkt dar.
Die Disposition der Schichtstufenhänge beruht dabei in erster Linie auf einer Wechsellagerung wasserdurchlässiger und wasserstauender geologischer Schichten. Zu Hanginstabilitäten kommt es bevorzugt in Verbindung mit synthetischem Schichtfallen, steilen Hängen und erhöhten Niederschlägen. Rezente Massenbewegungen treten verstärkt in alten Rutsch- und/oder Hangschuttgebieten auf, da sich dort unkonsolidierte Rutschmassen leicht remobilisieren lassen.
Das Ziel der vorliegenden Arbeit ist es, ein fundiertes Verständnis über Ursachen, Ablauf, Ausprägung und Prozesse von charakteristischen Massenbewegungen sowie dem aktuellen Aufbau der damit verbundenen Schichtstufenhänge in Nordbayern zu erlangen, um daraus grundlegende Einschätzungen zur Stabilität der Rutschgebiete treffen zu können. Neben den rutschungsrelevanten geologischen Schichten sind in diesem Zusammenhang insbesondere der Aufbau, die Eigenschaften und Charakteristika der Rutschmassen von besonderer Wichtigkeit, da besonders die bodenmechanischen und bodenphysikalischen Eigenschaften einen entscheidenden Faktor in Bezug auf die Hangstabilität darstellen. Entsprechend steht die umfassende Analyse dieser Sedimente im Fokus der Studien.
Die Arbeiten betrachten dabei drei Hänge im fränkischen Schichtstufenland, an denen in der jüngeren Vergangenheit Massenbewegungen auftraten. Ein weiteres zentrales Auswahlkriterium war die Lage der Gebiete in den Schichtstufen der Fränkischen Alb und der westlich vorgelagerten Keuperstufe, wobei hinsichtlich Typ und Verbreitung möglichst charakteristische Massenbewegungen für die jeweilige Region ausgewählt wurden. Bei Ebermannstadt stand demnach die sog. Werkkalkstufe der Weißjura-Kalke im Fokus, nahe Wüstendorf die Sandsteine des Braunjura und bei Gailnau an der Frankenhöhe die Sandsteine des mittleren (Gips-) Keupers.
Die Untersuchungen der Rutschungen und ihrer Sedimentcharakteristika erfolgte anhand eines speziell konzipierten Multimethodenansatzes mit zahlreichen, multiskaligen Gelände- und Laboranalysen. Neben klassischen, geomorphologischen Kartierungen an der Oberfläche wurden die sedimentologisch-morphologischen Verhältnisse des oberflächennahen Untergrundes in der Vertikalen durch geophysikalische Sondierungen analysiert. Eine Einschätzung der hydrologischen Verhältnisse der Rutschmassen erfolgte auf Basis von Messdaten aus Bodenfeuchtemonitoringsystemen, die an allen Untersuchungsstandorten installiert wurden. Für die bodenphysikalischen und -mechanischen Eigenschaften der Sedimente wurden Korngrößen, Konsistenzgrenzen, Plastizität, Gefüge und Lagerungsdichte untersucht und durch Tonmineralanalysen ergänzt. Die mikromorphologische Analyse von Dünnschliffen aus Rutschungssedimenten und den darin enthaltenen Deformationsstrukturen erweiterten den Gesamtansatz, ermöglichten neuartige Einblicke in die innere Architektur von Rutschmassen und erlaubten die Rekonstruktion von Bewegungsabläufen.
Durch die Arbeiten konnten an den Standorten Ebermannstadt und Gailnau komplexe, vielschichtige Massenbewegungen nachgewiesen werden. In der Rutschung bei Wüstendorf wurden nahezu ausschließlich unkonsolidierte Sedimente feinerer Korngrößen in einem Fließprozess verlagert. Primär erfolgte bei allen Rutschungen nachweislich die Remobilisierung alter Hangsedimente, wobei darüber hinaus auch stets bisher stabile Areale mit in die Bewegung einbezogen wurden.
Der sedimentologische Aufbau der Rutschmassen ist speziell im Falle großer und komplexer Rutschungen mitunter extrem heterogen. Im Zuge der Arbeiten konnten interne Makrostrukturen der Sedimentablagerungen, wie beispielsweise Rotationsflächen oder die Lage von Schollen detektiert werden. Trotz geophysikalisch und visuell auffälliger Beimischungen von Grobschutt, entfallen die größten Mengenanteile aber stets auf die veränderlich feste Feinmaterialfraktion. Im Rahmen der mikromorphologischen Untersuchungen der Sedimentdünnschliffe konnten auch in diesen Sedimenten zahlreiche Deformationsstrukturen nachgewiesen werden.
Die Arbeit unterstreicht insgesamt die Bedeutung dieser bindigen Bestandteile für die (Re)Mobilisierung von Sedimentablagerungen. Die Stabilität des Feinmaterials steht dabei in engem Zusammenhang mit der hydraulischen Leitfähigkeit und dem Eintrag von Wasser, welches zu wechselnden Steifigkeiten der Sedimente führt. Im Falle erhöhter Bodenwassergehalte konnte eine Plastifizierung der Feinkornfraktion ermittelt werden. Kommt es zu einer starken Durchnässung des Untergrundes, führt dies zu einer Plastifizierung der tonigen Lagen und einer entsprechenden Reduktion der Scherfestigkeit, was letztlich zum Auslösen von Massenbewegungen führt. Neben den geologisch-sedimentologischen Voraussetzungen impliziert dies auch eine hohe Bedeutung der Niederschlagscharakteristika in Bezug auf das Auslösen rezenter Massenbewegungen.
Die Bodenwassergehalte unterliegen im Jahresverlauf einer deutlichen saisonalen Variabilität. Während der Sommermonate wurden einheitlich niedrige Feuchtigkeitswerte im oberflächennahen Untergrund verzeichnet, was in erster Linie auf den Einfluss der Vegetation zurückzuführen ist. Auch sommerliche Starkregenereignisse besitzen unter diesen Bedingungen lediglich eine reduzierte Wirkung auf die Durchfeuchtung des Bodens. Demgegenüber erfolgt während der kalten Jahreszeit ein signifikanter Anstieg der Bodenwassergehalte. Neben den Regenfällen kommt vor allem der Schneeschmelze eine essentielle Bedeutung zu, da sie für eine zusätzliche und anhaltende Durchfeuchtung der Schichten besonders im Spätwinter bzw. Frühjahr sorgt. Entsprechend besteht vor allem während der Monate Februar bis April eine erhöhte Disposition für Rutschungen in Nordbayern. Im Hinblick auf die Niederschlagssummen gingen den Rutschungen in den Untersuchungsgebieten zwar keine besonders extremen Ereignisse, aber durchaus deutlich überdurchschnittliche Niederschlagssummen voraus, weshalb unter Berücksichtigung der im Zuge des Klimawandels ansteigenden Winterniederschläge von einer generell verstärkten Rutschungsaktivität auszugehen ist.
Vergleiche mit den Daten aus zahlreichen Übersichtskartierungen von Rutschungen aus den fränkischen Schichtstufengebieten verdeutlichen, dass die ermittelten Ergebnisse auf eine Vielzahl der verzeichneten Rutschungen übertragbar sind.
The global-local sustainable development and climate change adaptation policy, and the emerging political discourse on the value of local Adaptation, have positioned the local institutions and their governance space within the strategic enclaves of multilevel governance system. Such shifts have transformed the context for sustainable Nature Based Tourism (NBT) development and adaptation in Nepal in general, and its protected areas, in particular. The emerging institutional adaptation discourse suggests on the need to link tourism development, adaptation and governance within the sustainability concept, and also to recognize the justice and inclusive dimensions of local adaptation. However, sociological investigation of institutional adaptation, particularly at the interface between sustainability, justice and inclusive local adaptation is an undertheorized research topic.
This exploratory study examined the sociological process of the institutional adaptation, especially the social resilience and adaptive governance capacities of the NBT institutions, in 7 Village Development Committees of the Mustang district, a popular destination in the Annapurna Conservation Area, Nepal. Using the sphere (a dynamic social space concept) and quality of governance as the analytical framework, the integrative adaptation as the methodological approach and the case study action research method, the study investigated and generated a holistic picture on the state of the social resilience and adaptive governance capacities of the NBT institutions.
The findings show institutional social resilience capacities to be contingent on socio-political construction of adaptation knowledge and power. Factors influencing such constructions among NBT institutions include: the site and institutions specific political, economic and environmental dispositions; the associated socio-political processes of knowledge constructions and volition action; and the social relationships and interaction, operating within the spheres and at multiple governance levels. The adaptive governance capacities hinge on the institutional arrangements, the procedural aspects of adaptation governance and the governmentality. These are reflective of the diverse legal frameworks, the interiority perspective of the decision making and governance practices of the NBT institutions.
In conclusion, it is argued that effective local adaptation in the Mustang district is contingent on the adaptation and institutional dynamics of the NBT institutions, consisting of the cognitive, subjective, process and procedural aspects of the adaptation knowledge production and its use.
Monitoring the spatio-temporal development of vegetation is a challenging task in heterogeneous and cloud-prone landscapes. No single satellite sensor has thus far been able to provide consistent time series of high temporal and spatial resolution for such areas. In order to overcome this problem, data fusion algorithms such as the Enhanced Spatial and Temporal Adaptive Reflectance Fusion Model (ESTARFM) have been established and frequently used in recent years to generate high-resolution time series. In order to make it applicable to larger scales and to increase the input data availability especially in cloud-prone areas, an ESTARFM framework was developed in this study introducing several enhancements. An automatic filling of cloud gaps was included in the framework to make best use of available, even partly cloud-covered Landsat images. Furthermore, the ESTARFM algorithm was enhanced to automatically account for regional differences in the heterogeneity of the study area. The generation of time series was automated and the processing speed was accelerated significantly by parallelization. To test the performance of the developed ESTARFM framework, MODIS and Landsat-8 data were fused for generating an 8-day NDVI time series for a study area of approximately 98,000 km\(^{2}\) in West Africa. The results show that the ESTARFM framework can accurately produce high temporal resolution time series (average MAE (mean absolute error) of 0.02 for the dry season and 0.05 for the vegetative season) while keeping the spatial detail in such a heterogeneous, cloud-prone region. The developments introduced within the ESTARFM framework establish the basis for large-scale research on various geoscientific questions related to land degradation, changes in land surface phenology or agriculture
Der demographische Wandel stellt in den meisten entwickelten Ländern einen externen Treiber dar, der die Entwicklung in und um Nationalparke in Zukunft maßgeblich mitbestimmen wird. Die Alterung der Besucher, die in den nächsten beiden Jahrzehnten die dominante Komponente des demographischen Wandels in Deutschland darstellen dürfte, erfordert von Seiten der Nationalparke eine Anpassung ihrer Besuchermanagementaktivitäten auch im Bereich der Infrastruktur. Hierfür muss jedoch zunächst grundlegendes Wissen über die Altersabhängigkeit raumzeitlichen Verhaltens vorhanden sein. Die zentrale forschungsleitende Frage der vorliegenden Arbeit ist in diesem Kontext angesiedelt und versucht herauszuarbeiten, in welcher Art auftretende Alterseffekte bei der körperlichen Leistungsfähigkeit sowohl die Tourenoptionen im Raum als auch das tatsächliche raumzeitliche Verhalten beeinflussen. Als Untersuchungsgebiet wurde mit dem Nationalpark Berchtesgaden der einzige alpine Nationalpark Deutschlands gewählt. Dieser besitzt aufgrund seiner Topographie ein breites Spektrum an Tourenmöglichkeiten mit unterschiedlichsten Anforderungen an die körperliche Leistungsfähigkeit. Aufbauend auf den theoretischen Erklärungszugängen der Time-Geography und des Constraints-Konzeptes der Freizeitforschung wurde zur Beantwortung der Forschungsfragen ein Methodenmix aus standardisierter Befragung und GPS-Logging zur Aufnahme des Tourenwahlverhaltens eingesetzt. Die gewonnenen Trajektorien wurden mit weiteren Informationen zur Ausstattung des Raumes versehen, um eine detailliertere Beschreibung des raumzeitlichen Verhaltens zu ermöglichen.
Die Analysen zeigen, dass im Nationalpark Berchtesgaden vier Aktivitätstypen mit abweichendem raumzeitlichem Verhalten unterschieden werden können. Nur eine Minderheit von ca. einem Drittel der Besucher wählt dabei Touren, die mit größerer körperlicher Anstrengung verbunden sind. Die restlichen Besucher wandern nur halbtags oder kürzer im Gebiet und überwinden dabei nur wenige Höhenmeter. Im Altersverlauf konnten klare Brüche im raumzeitlichen Verhalten identifiziert werden. So verliert der Aktivitätstypus des Bergsteigers, der sich durch die Begehung alpiner Wege mit Absturzgefahr auszeichnet, bereits ab einem Alter von 50 Jahren stark an Bedeutung. Ab 60 Jahren steigt der Anteil sehr kurzer Touren sprunghaft. Ursachen dieser Veränderungen liegen primär in der Wahrnehmung von eingeschränkter körperlicher Leistungsfähigkeit, sowie einer veränderten Motivationsstruktur.
Diese abweichenden Muster raumzeitlichen Verhaltens sind jedoch auch das Resultat divergierender Tourenoptionen. So konnte gezeigt werden, dass ältere Besucher aufgrund der niedrigen Fortbewegungsgeschwindigkeit nur einen geringeren Anteil der Wege im Nationalpark innerhalb eines bestimmten Zeitbudgets erreichen können.
Wird die Verteilung der Aktivitätstypen unter der Annahme eines ausschließlich wirkenden Alterseffektes in die Zukunft übertragen, bedeutet dies eine Steigerung der Besucherkonzentration in der Managementzone des Nationalparks und eine Bedeutungszunahme von stationären Aktivitäten.
Die 15 deutschen UNESCO-Biosphärenreservate sollen als Modellregionen eine nachhaltige Entwicklung verwirklichen, wozu neben dem Schutz des Naturhaushaltes und der genetischen Ressourcen auch die sozio-ökonomische Entwicklung der Region zu gewährleisten ist. Als Zielgebiete touristischer Nachfrage stellt der Tourismus potentiell eine Entwicklungschance, und laut den deutschen MAB-Kriterien, ein relevantes Handlungsfeld für die Biosphärenreservats-Verwaltungen dar. Die vorliegende Arbeit behandelt aus zwei unterschiedlichen Perspektiven die Frage, inwieweit Tourismus zur nachhaltigen Regionalentwicklung in den deutschen Biosphärenreservaten beiträgt.
Zum einen wird mittels einer Wertschöpfungsanalyse die touristische Nachfrage und dadurch ausgelöste regionalökonomische Effekte untersucht, was eine Erfassung der Besucher hinsichtlich Anzahl, Strukturen, Ausgabenniveaus, Aufenthaltsmerkmalen sowie Einstellungen umfasst. Zum anderen wird ermittelt, inwieweit die Biosphärenreservats-Verwaltungen die touristische Entwicklung auf regionaler Ebene im Sinne der nachhaltigen Regionalentwicklung mitgestalten. Basierend auf einer touristischen Typisierung der deutschen Biosphärenreservate werden hierzu sechs ausgewählte Biosphärenreservate (Pfälzerwald, Rhön, Schaalsee, Spreewald, Südost-Rügen, Vessertal-Thüringer Wald) eingehend untersucht.
Die Ergebnisse zeigen, dass die Besucherzahlen zwischen 487.000 im Vessertal-Thüringer Wald und 6,4 Mio. in der Rhön schwanken. Insgesamt wird in den sechs Gebieten ein Bruttoumsatz von 908 Mio. € generiert, was einer Wertschöpfung von 474 Mio. € und 28.000 Einkommensäquivalenten entspricht. Der Wert relativiert sich, betrachtet man die Biosphärenreservatsbesucher im engeren Sinn, die für rund 7 % des Bruttoumsatzes bzw. 1.917 Einkommensäquivalente verantwortlich sind. Das Segment ist tendenziell schwach vertreten, jedoch empfänglich für die Ansätze der nachhaltigen Ausrichtung des Tourismus seitens der Biosphärenreservats-Verwaltung. Es präferiert z.B. traditionelle Kulturlandschaftsbilder, Bio-Labels und Regionalität bei Produkten und ist offen gegenüber Schutzbemühungen, was sich jedoch noch nicht im Ausgabeverhalten widerspiegelt.
Hier setzen die Verwaltungen der Biosphärenreservate im Tourismus an und werden auf Destinationsebene im Bereich der strategischen Planung, der Fördermittelakquise, der Generierung touristischer Angebote und Dienstleistungen, der Entwicklung von Regionalvermarktungs- und Partner-Initiativen sowie der Positionierung des Biosphärenreservates als Destination und Marke aktiv. Dennoch wird in allen Gebieten nahezu ausnahmslos die Integration des Biosphärenreservates als Akteur, Attraktion und Angebotsfamilie und verbindende Thematik auf Destinationsebene als verbesserungswürdig eingestuft. Im Rahmen der Arbeit können dafür relevante Faktoren abgeleitet werden, die somit Ansatzpunkte darstellen, den noch ausbaufähigen Beitrag des Tourismus zur nachhaltigen Regionalentwicklung in Biosphärenreservaten im Sinne tangibler und intangibler Effekte zu steigern.
The contact of hot melt with liquid water - called Molten Fuel Coolant Interaction (MFCI) - can result in vivid explosions. Such explosions can occur in different scenarios: in steel or powerplants but also in volcanoes. Because of the possible dramatic consequences of such explosions an investigation of the explosion process is necessary.
Fundamental basics of this process are already discovered and explained, such as the frame conditions for these explosions. It has been shown that energy transfer during an MFCI-process can be very high because of the transfer of thermal energy caused by positive feedback mechanisms.
Up to now the influence of several varying parameters on the energy transfer and the explosions is not yet investigated sufficiently. An important parameter is the melt temperature, because the amount of possibly transferable energy depends on it. The investigation of this influence is the main aim of this work. Therefor metallic tin melt was used, because of its nearly constant thermal material properties in a wide temperature range. With tin melt research in the temperature range from 400 °C up to 1000 °C are
possible.
One important result is the lower temperature limit for vapor film stability in the experiments. For low melt temperatures up to about 600 °C the vapor film is so unstable that it already can collapse before the mechanical trigger. As expected the transferred thermal energy all in all increases with higher temperatures. Although this effect sometimes is superposed by other influences such as the premix of melt and water, the result is confirmed after a consequent filtering of the remaining influences. This trend is not only recognizable in the amount of transferred energy, but also in the fragmentation of melt or the vaporizing water. But also the other influences on MFCI-explosions showed interesting results in the frame of this work. To perform the experiments the installation and preparation of the experimental Setup in the laboratory were necessary.
In order to compare the results to volcanism and to get a better investigation of the brittle fragmentation
of melt additional runs with magmatic melt were made. In the results the thermal power during energy transfer could be estimated. Furthermore the model of “cooling fragments “ could be usefully applied.
Schutzgebiete und insbesondere Nationalparke haben nach den Richtlinien der IUCN ein Doppelmandat bzw. eine doppelte Funktion: Sie sollen zum einen Räume für Natur- und Artenschutz und zum anderen für Erholung, Umweltbildung und Tourismus bieten und durch letztgenanntes zur Stärkung der Regionalökonomie beitragen. Um diesen Spagat zu meistern, sollten sich Schutzgebiete bzw. deren Verwaltungen und kooperierende Destinationsmarketingorganisationen darüber im Klaren sein, welche Besuchersegmente bzw. Tourismusprodukte im Schutzgebiet anzutreffen sind, bzw. angeboten werden und welchen Einfluss diese auf die Erfüllung des Doppelmandates haben. Die deduktiv entworfene Product-based Typology for Nature-based Tourism von ARNEGGER et al. (2010) bietet hierfür einen zweidimensionalen Analyserahmen, der die Angebots- und Nachfrageperspektive auf den Tourismus und dessen Produkte vereint und bisher noch nicht empirisch angewendet wurde, was das vorrangige Ziel dieser Studie ist.
Hierfür wurde von Theorien und empirischen Studien aus dem Kontext von Natur- und Ökotourismus eine Operationalisierung der Typologie abgeleitet, die am Beispiel des Nationalparks Berchtesgaden eingesetzt wurde. Dabei wurden zwei Ansätze verfolgt, eine angebotsseitige und eine nachfrageseitige Abgrenzung von Tourismusprodukten. Zur empirischen Erfassung von Tourismusprodukten wurde eine umfassende Besucherbefragung in der Sommersaison 2014 durchgeführt, bei der Informationen von rund 1.400 Besuchern des Nationalparks gesammelt werden konnten.
Aus Sicht der Nachfrager wurden sechs Produkt-Cluster identifiziert, die sich bezüglich Reiseaktivitäten und Motiven unterscheiden. Das mit der höchsten Naturaffinität ist das Produkt-Cluster der „Naturbildungsurlauber“ bzw. der „Ökotouristen“. Auf der anderen Seite des Spektrums stehen die „Passiven Erholungsurlauber“ mit einer geringen Nationalparkaffinität. Des Weiteren wurden spezifische Tourismusprodukte aus der Angebotsperspektive, wie Exkursionen der Nationalparkverwaltung oder mehrtägige geführte Wanderungen von spezialisierten Nischenreiseveranstaltern, identifiziert.
Nach der empirischen Abgrenzung der Produkte wurden diese dahingehend überprüft, ob sie sich bezüglich ökonomischer und ökologischer Indikatoren unterscheiden, um zu eruieren, inwieweit die Segmente aus Sicht einer nachhaltigen Regionalentwicklung bzw. aus Sicht des Doppelmandats zu beurteilen sind. Auch hier schneiden etwa die Naturbildungsurlauber relativ gut ab, da sie Muster von structured ecotourism aufweisen und sich durch eine hohe Naturaffinität, positive Einstellungen zu nachhaltigem Tourismus und relativ hohe Reiseausgaben auszeichnen. Bei drei Clustern zeigt sich ein gewisser trade-off: Während die Bergsteiger aus ökologischer jedoch nicht aus ökonomischer Perspektive interessant sind, ist dies bei den allgemeinen Vergnügungs- und Naturerlebnisurlaubern und den passiven Erholungsurlaubern genau umgekehrt.
Basierend auf den Ergebnissen werden mögliche Adaptionen der Typologie diskutiert und darauf aufbauend ein Analyserahmen für eine „Typologie für Nachhaltige Park-Tourismus Produkte“ erarbeitet. Zudem werden theoretische und erste praktische Implikationen für das Management von Schutzgebiets-Destinationen diskutiert, um unter Berücksichtigung der trade-offs das Produktportfolio weiterzuentwickeln, das eine Destination auf den Pfad des sogenannten enlightened mass tourism bringen kann.
Die Entwicklung des Einzelhandels in Deutschland wird aus struktureller und räumlicher Sicht heute durch mindestens vier signifikante Prozesse geprägt: Erstens erobert der Online-Handel weiterhin Umsatzanteile; seine Bedeutungszunahme betrifft mittlerweile fast alle Sortimente und Standorte. Auch der Lebensmitteleinzelhandel, der lange Zeit vor allem aus logistischen Gründen für den Online-Handel wenig geeignet zu sein schien, verbucht inzwischen deutliche Zuwächse des Online-Geschäfts. Zweitens plagen insbesondere die Zentren kleiner und mittelgroßer Städte vor allem in ländlichen Räumen Umsatzrückgänge. Ihre Krise ist allerdings nicht nur der Konkurrenz durch den Online-Handel geschuldet, sondern hat auch eine Vielzahl anderer Gründe. Drittens zeichnet sich eine Rückeroberung innerstädtischer Zentren durch den Lebensmitteleinzelhandel ab. Dabei sind insbesondere Convenience-Formate von Bedeutung. Und viertens breitet sich der Einzelhandel aktuell verstärkt an „besonderen“ Standorten aus. Hierzu zählen Orte mit einer hohen Verkehrswertigkeit, u. a. Bahnhöfe und Flughäfen, aber auch Factory Outlet Center, die lange Zeit aus politisch-planerischen Gründen blockiert wurden und in Deutschland ein Schattendasein fristeten. Die Beiträge dieses Bandes nähern sich den genannten Entwicklungstendenzen aus der Perspektive neuer konzeptioneller Überlegungen, wobei zum Teil auch innovative methodische Ansätze vorgestellt werden.
Im Rahmen der vorliegenden Untersuchung liegt der Fokus auf der Überprüfung und Weiterentwicklung der Methode der Multiagentensysteme für die Prognosezwecke im Einzelhandel. Die konkrete Zielsetzung der Arbeit ist der Entwurf eines integrativen Systems zur Simulation möglicher Zukunftsszenarien des (räumlichen) Konsumentenverhaltens. Mit Hilfe einer agentenbasierten Modellierung ist es möglich die bisher vorherrschenden Top-Down Ansätze flexibel in ein Bottom-Up Modell zu integrieren. Die wichtigsten strukturprägenden Impulse im Einzelhandelssystem und somit auch auf die Konsumenten gehen aktuell von der Digitalisierung des Verkaufsvorgangs aus. Hierbei wird der „Raum-Zeit-Käfig“ der Kunden ausgeweitet und bestimmte Zwänge der räumlichen und zeitlichen Bindung innerhalb des Kaufprozesses entfallen. Die klassische zeitliche Abfolge des Einkaufsverhaltens wird aufgelöst; Information findet vermehrt digital statt. Vielmehr steht der Produktnutzen im Mittelpunkt, und zugehörige Dienstleistungen wie Information, Service und Logistik werden flexibel kombiniert. Vor diesem Hintergrund stellt die agentenbasierte Simulation einen dynamischen Ansatzpunkt dar, in dem eine Reihe der Defizite tradierter, statischer Methoden Berücksichtigung findet und sich vielfältige Einsatzmöglichkeiten für die Analyse der Wechselwirkungen zwischen Konsumentenverhalten und räumlichen Einzelhandelsstrukturen ergeben. Aufgrund der zunehmenden Digitalisierung des Einkaufsprozesses und den daraus entstehenden Informationen zum Konsumentenverhalten in Kombination mit immer komplexeren Fragestellungen ist in den kommenden Jahren eine verstärkte Dynamik bei der Anwendungshäufigkeit von Multiagentensimulationen in Einzelhandelsunternehmen zu erwarten.
Interactions between different formative processes are reflected in the internal structure of rock glaciers. Therefore, the detection of subsurface conditions can help to enhance our understanding of landform development. For an assessment of subsurface conditions, we present an analysis of the spatial variability of active layer thickness, ground ice content and frost table topography for two different rock glaciers in the Eastern Swiss Alps by means of quasi-3-D electrical resistivity imaging (ERI). This approach enables an extensive mapping of subsurface structures and a spatial overlay between site-specific surface and subsurface characteristics. At Nair rock glacier, we discovered a gradual descent of the frost table in a downslope direction and a constant decrease of ice content which follows the observed surface topography. This is attributed to ice formation by refreezing meltwater from an embedded snow bank or from a subsurface ice patch which reshapes the permafrost layer. The heterogeneous ground ice distribution at Uertsch rock glacier indicates that multiple processes on different time domains were involved in the development. Resistivity values which represent frozen conditions vary within a wide range and indicate a successive formation which includes several advances, past glacial overrides and creep processes on the rock glacier surface. In combination with the observed topography, quasi-3-D ERI enables us to delimit areas of extensive and compressive flow in close proximity. Excellent data quality was provided by a good coupling of electrodes to the ground in the pebbly material of the investigated rock glaciers. Results show the value of the quasi-3-D ERI approach but advise the application of complementary geophysical methods for interpreting the results.
West African summer monsoon precipitation is characterized by distinct decadal variability. Due to its welldocumented link to oceanic boundary conditions in various ocean basins it represents a paradigm for decadal predictability. In this study, we reappraise this hypothesis for several sub-regions of sub-Saharan West Africa using the new German contribution to the coupled model intercomparison project phase 5 (CMIP5) near-term prediction system.
In addition, we assume that dynamical downscaling of the global decadal predictions leads to an enhanced predictive skill because enhanced resolution improves the atmospheric response to oceanic forcing and landsurface feedbacks. Based on three regional climate models, a heterogeneous picture is drawn: none of the regional climate models outperforms the global decadal predictions or all other regional climate models in every region nor decade. However, for every test case at least one regional climate model was identified which outperforms the global predictions. The highest predictive skill is found in the western and central Sahel Zone with correlation coefficients and mean-square skill scores exceeding 0.9 and 0.8, respectively.
In the 1960s, when most African nations gained their independence after the age of colonialism, several theories and strategies emerged with the goal of "developing" these apparently "underdeveloped" territories. One of the most influential approaches for this task was represented in Julius K. Nyerere´s idea of Ujamaa, the Tanzanian version of African socialism.
Even before the Arusha Declaration established Ujamaa as a national development strategy in 1967, several groups of politicized young farmers took to the empty countryside of Tanzania to implement their own version of cooperative development. From one of these attempts emerged the Ruvuma Development Association (RDA), which organized up to 18 villages in southwestern Tanzania. The RDA became the inspiration for Nyerere´s concretization of Ujamaa and its implementation on national level. Yet, the central state could not replicate the success of the peasants, which was based on voluntariness and intrinsic motivation.
In 2015, this exploratory study has revisited the Region of Ruvuma. Through a case study approach, relying mostly on qualitative methods, new insights into the local history of Ujamaa and its perception have been gathered. In particular, narrative interviews with contemporary witnesses and group interviews with the present-day farmers’ groups have been conducted. Furthermore, NGOs active within the region, as well as regional and local government institutions were among the key stakeholders identified to concretize the local narrative of Ujamaa development. All interviews were analyzed according to the principles of qualitative content analysis. Additionally, individual villager questionnaires were used to achieve a more holistic picture of the local perception of development, challenges and the Ujamaa era.
None of the original Ujamaa groups of the times of the RDA was still operational at the time of research and no case of village-wide organization of collective agriculture could be observed. Nevertheless, in all of the three case study villages, several farmers’ groups (vikundi) were active in organizing development activities for their members. Furthermore, the perception of the Ujamaa era was generally positive throughout all of the case study sites. Yet, there have been significant differences in this perception, based on the village, age, gender and field size of the recipients. Overall, the period of Ujamaa was seen as an inspiration for present-day group activities, and the idea of such activities as a remedy for the developmental challenges of these villages was common among all stakeholders.
This thesis concludes that the positive perception of group activities as a vehicle for village development and the perception of Ujamaa history as a positive asset for the inception and organization of farmers’ groups would be highly beneficial to further attempts to support such development activities. However, the limitations in market access and capital availability for these highly-motivated group members have to be addressed by public and private development institutions. Otherwise, "the smell of Ujamaa" will be of little use for the progress of these villages.
Burkina Faso ranges amongst the fastest growing countries in the world with an annual population growth rate of more than three percent. This trend has consequences for food security since agricultural productivity is still on a comparatively low level in Burkina Faso. In order to compensate for the low productivity, the agricultural areas are expanding quickly. The mapping and monitoring of this expansion is difficult, even on the basis of remote sensing imagery, since the extensive farming practices and frequent cloud coverage in the area make the delineation of cultivated land from other land cover and land use types a challenging task. However, as the rapidly increasing population could have considerable effects on the natural resources and on the regional development of the country, methods for improved mapping of LULCC (land use and land cover change) are needed. For this study, we applied the newly developed ESTARFM (Enhanced Spatial and Temporal Adaptive Reflectance Fusion Model) framework to generate high temporal (8-day) and high spatial (30 m) resolution NDVI time series for all of Burkina Faso for the years 2001, 2007, and 2014. For this purpose, more than 500 Landsat scenes and 3000 MODIS scenes were processed with this automated framework. The generated ESTARFM NDVI time series enabled extraction of per-pixel phenological features that all together served as input for the delineation of agricultural areas via random forest classification at 30 m spatial resolution for entire Burkina Faso and the three years. For training and validation, a randomly sampled reference dataset was generated from Google Earth images and based on expert knowledge. The overall accuracies of 92% (2001), 91% (2007), and 91% (2014) indicate the well-functioning of the applied methodology. The results show an expansion of agricultural area of 91% between 2001 and 2014 to a total of 116,900 km\(^2\). While rainfed agricultural areas account for the major part of this trend, irrigated areas and plantations also increased considerably, primarily promoted by specific development projects. This expansion goes in line with the rapid population growth in most provinces of Burkina Faso where land was still available for an expansion of agricultural area. The analysis of agricultural encroachment into protected areas and their surroundings highlights the increased human pressure on these areas and the challenges of environmental protection for the future.
In Germany, as in many Western societies, demographic change will lead to a higher number of senior visitors to natural recreational areas and national parks. Given the high physiological requirements of many outdoor recreation activities, especially in mountain areas, it seems likely that demographic change will affect the spatial behaviour of national park visitors, which may pose a challenge to the management of these areas. With the help of GPS tracking and a standardized questionnaire (n=481), this study empirically investigates the spatial behaviour of demographic age brackets in Berchtesgaden National Park (NP) and the potential effects of demographic change on the use of the area. Cluster analysis revealed four activity types in the study area. More than half of the groups with visitors aged 60 and older belong to the activity type of Walker.
Accurate and detailed spatial soil information is essential for environmental modelling, risk assessment and decision making. The use of Remote Sensing data as secondary sources of information in digital soil mapping has been found to be cost effective and less time consuming compared to traditional soil mapping approaches. But the potentials of Remote Sensing data in improving knowledge of local scale soil information in West Africa have not been fully explored. This study investigated the use of high spatial resolution satellite data (RapidEye and Landsat), terrain/climatic data and laboratory analysed soil samples to map the spatial distribution of six soil properties–sand, silt, clay, cation exchange capacity (CEC), soil organic carbon (SOC) and nitrogen–in a 580 km2 agricultural watershed in south-western Burkina Faso. Four statistical prediction models–multiple linear regression (MLR), random forest regression (RFR), support vector machine (SVM), stochastic gradient boosting (SGB)–were tested and compared. Internal validation was conducted by cross validation while the predictions were validated against an independent set of soil samples considering the modelling area and an extrapolation area. Model performance statistics revealed that the machine learning techniques performed marginally better than the MLR, with the RFR providing in most cases the highest accuracy. The inability of MLR to handle non-linear relationships between dependent and independent variables was found to be a limitation in accurately predicting soil properties at unsampled locations. Satellite data acquired during ploughing or early crop development stages (e.g. May, June) were found to be the most important spectral predictors while elevation, temperature and precipitation came up as prominent terrain/climatic variables in predicting soil properties. The results further showed that shortwave infrared and near infrared channels of Landsat8 as well as soil specific indices of redness, coloration and saturation were prominent predictors in digital soil mapping. Considering the increased availability of freely available Remote Sensing data (e.g. Landsat, SRTM, Sentinels), soil information at local and regional scales in data poor regions such as West Africa can be improved with relatively little financial and human resources.
Der Anteil älterer und alter Menschen an der Gesamtbevölkerung steigt kontinuierlich an. Diese Entwicklung wird sich auch in den kommenden Jahren fortsetzen. So werden 2050 rund 40 % der deutschen Bevölkerung 60 Jahre oder älter sein. Die Alterung der Bevölkerung wirkt sich auf nahezu alle Lebensbereiche aus und stellt damit Planer und Entscheider auf staatlicher wie auf privater Seite vor neue Herausforderungen. Dies betrifft auch die Frage, wie innerstädtische Einkaufsstandorte, und zwar traditionelle innerstädtische Einkaufsstraßen und innerstädtische Shopping Center, gestaltet werden müssen, um den Anforderungen und Bedürfnissen möglichst aller Altersgruppen und damit auch denjenigen der älteren und alten Konsumenten zu entsprechen.
Am Beispiel der Städte Erlangen, Koblenz und Zwickau wird in vorliegender Untersuchung der Frage nachgegangen, wie ältere und alte Menschen die verschiedenen innerstädtischen Einkaufsstandorte wahrnehmen und nutzen, welche Unterschiede diesbezüglich zu jüngeren Kundengruppen bestehen und welche Schlussfolgerungen sich daraus für eine zukunftsgerichtete Gestaltung der traditionellen Einkaufsstraßen und der innerstädtischen Shopping Center ableiten lassen. Für die Untersuchung kam ein breites methodisches Instrumentarium aus Zeitungsrecherchen, Kartierungen, qualitativen Beobachtungen, qualitativen Haushaltsbefragungen sowie quantitativen Passantenbefragungen zur Anwendung.
Detailed information on the land cover types present and the horizontal position of the land–water interface is needed for sensitive coastal ecosystems throughout the Arctic, both to establish baselines against which the impacts of climate change can be assessed and to inform response operations in the event of environmental emergencies such as oil spills. Previous work has demonstrated potential for accurate classification via fusion of optical and SAR data, though what contribution either makes to model accuracy is not well established, nor is it clear what shorelines can be classified using optical or SAR data alone. In this research, we evaluate the relative value of quad pol RADARSAT-2 and Landsat 5 data for shoreline mapping by individually excluding both datasets from Random Forest models used to classify images acquired over Nunavut, Canada. In anticipation of the RADARSAT Constellation Mission (RCM), we also simulate and evaluate dual and compact polarimetric imagery for shoreline mapping. Results show that SAR data is needed for accurate discrimination of substrates as user’s and producer’s accuracies were 5–24% higher for models constructed with quad pol RADARSAT-2 and DEM data than models constructed with Landsat 5 and DEM data. Models based on simulated RCM and DEM data achieved significantly lower overall accuracies (71–77%) than models based on quad pol RADARSAT-2 and DEM data (80%), with Wetland and Tundra being most adversely affected. When classified together with Landsat 5 and DEM data, however, model accuracy was less affected by the SAR data type, with multiple polarizations and modes achieving independent overall accuracies within a range acceptable for operational mapping, at 89–91%. RCM is expected to contribute positively to ongoing efforts to monitor change and improve emergency preparedness throughout the Arctic.
Maize cropping systems mapping using RapidEye observations in agro-ecological landscapes in Kenya
(2017)
Cropping systems information on explicit scales is an important but rarely available variable in many crops modeling routines and of utmost importance for understanding pests and disease propagation mechanisms in agro-ecological landscapes. In this study, high spatial and temporal resolution RapidEye bio-temporal data were utilized within a novel 2-step hierarchical random forest (RF) classification approach to map areas of mono- and mixed maize cropping systems. A small-scale maize farming site in Machakos County, Kenya was used as a study site. Within the study site, field data was collected during the satellite acquisition period on general land use/land cover (LULC) and the two cropping systems. Firstly, non-cropland areas were masked out from other land use/land cover using the LULC mapping result. Subsequently an optimized RF model was applied to the cropland layer to map the two cropping systems (2nd classification step). An overall accuracy of 93% was attained for the LULC classification, while the class accuracies (PA: producer’s accuracy and UA: user’s accuracy) for the two cropping systems were consistently above 85%. We concluded that explicit mapping of different cropping systems is feasible in complex and highly fragmented agro-ecological landscapes if high resolution and multi-temporal satellite data such as 5 m RapidEye data is employed. Further research is needed on the feasibility of using freely available 10–20 m Sentinel-2 data for wide-area assessment of cropping systems as an important variable in numerous crop productivity models.
Past and the projected future climate change in Afghanistan has been analyzed systematically and differentiated with respect to its different climate regions to gain some first quantitative insights into Afghanistan’s vulnerability to ongoing and future climate changes. For this purpose, temperature, precipitation and five additional climate indices for extremes and agriculture assessments (heavy precipitation; spring precipitation; growing season length (GSL), the Heat Wave Magnitude Index (HWMI); and the Standardized Precipitation Evapotranspiration Index (SPEI)) from the reanalysis data were examined for their consistency to identify changes in the past (data since 1950). For future changes (up to the year 2100), the same parameters were extracted from an ensemble of 12 downscaled regional climate models (RCM) of the Coordinated Regional Climate Downscaling Experiment (CORDEX)-South Asia simulations for low and high emission scenarios (Representative Concentration Pathways 4.5 and 8.5). In the past, the climatic changes were mainly characterized by a mean temperature increase above global level of 1.8 °C from 1950 to 2010; uncertainty with regard to reanalyzed rainfall data limited a thorough analysis of past changes. Climate models projected the temperature trend to accelerate in the future, depending strongly on the global carbon emissions (2006–2050 Representative Concentration Pathways 4.5/8.5: 1.7/2.3 °C; 2006–2099: 2.7/6.4 °C, respectively). Despite the high uncertainty with regard to precipitation projections, it became apparent that the increasing evapotranspiration is likely to exacerbate Afghanistan’s already existing water stress, including a very strong increase of frequency and magnitude of heat waves. Overall, the results show that in addition to the already extensive deficiency in adaptation to current climate conditions, the situation will be aggravated in the future, particularly in regard to water management and agriculture. Thus, the results of this study underline the importance of adequate adaptation to climate change in Afghanistan. This is even truer taking into account that GSL is projected to increase substantially by around 20 days on average until 2050, which might open the opportunity for extended agricultural husbandry or even additional harvests when water resources are properly managed.
The Kaapvaal Craton hosts a number of large gold deposits (e.g. Witwatersrand Supergroup) which mining companies have exploited at certain stratigraphic positions. It also hosts the largest platinum group element (PGE) deposits (e.g. Bushveld Igneous Complex) which mining companies have exploited in different mineralised layered magmatic zones. In spite of the extensive exploration history in the Kaapvaal Craton, the origin of the Witwatersrand gold deposits and Bushveld Igneous Complex PGE deposits has remained one of the most debated topics in economic geology. The goal of this study was to identify the geochemical characteristics of marine shales in the Barberton, Witwatersrand, and Transvaal supergroups in South Africa in order to make inferences on their sediment provenance and siderophile element endowments. Understanding why some of the Archaean and Proterozoic hinterlands are heavily mineralised, compared to others with similar geological characteristics, will aid in the development of more efficient exploration models. Fresh, unmineralised marine shales from the Barberton (Fig Tree and Moodies groups), Witwatersrand (West Rand and Central Rand groups), and Transvaal (Black Reef Formation and Pretoria Group) supergroups were sampled from drill core and underground mining exposures. Analytical methods, such as X-ray powder diffraction (XRD), optical microscopy, X-ray fluorescence (XRF), inductively coupled plasma optical emission spectroscopy (ICP-OES), inductively coupled plasma mass spectrometry (ICP-MS), and electron microprobe analysis (EMPA) were applied to comprehensively characterise the shales. All of the Au and PGE assays examined the newly collected shale samples.
The Barberton Supergroup shales consist mainly of quartz, illite, chlorite, and albite, with diverse heavy minerals, including sulfides and oxides, representing the minor constituents. The regionally persistent Witwatersrand Supergroup shales consist mainly of quartz, muscovite, and chlorite, and also contain minor constituents of sulfides and oxides. The Transvaal Supergroup shales comprise quartz, chlorite, and carbonaceous material. Major, trace (including rare-earth element) concentrations were determined for shales from the above supergroups to constrain their source and post-depositional evolution. Chemical variations were observed in all the studied marine shales. Results obtained from this study revealed that post-depositional modification of shale chemistry was significant only near contacts with over- and underlying coarser-grained siliciclastic rocks and along cross-cutting faults, veins, and dykes. Away from such zones, the shale composition remained largely unaltered and can be used to draw inferences concerning sediment provenance and palaeoweathering in the source region and/or on intrabasinal erosion surfaces. Evaluation of weathering profiles through sections of the studied supergroups revealed that the shales therein are characterised by high chemical index of alteration (CIA), chemical index of weathering (CIW), and index of compositional variability (ICV), suggesting that the source area was lithologically complex and subject to intense chemical weathering.
A progressive change in the chemical composition was identified, from a dominant ultramafic–mafic source for the Fig Tree Group to a progressively felsic–plutonic provenance for the Moodies Group. The West Rand Group of the Witwatersrand Supergroup shows a dominance of tonalite–trondhjemite–granodiorite and calcalkaline granite sources. Compositional profiles through the only major marine shale unit within the Central Rand Group indicate the progressive unroofing of a granitic source in an otherwise greenstone-dominated hinterland during the course of sedimentation. No plausible likely tectonic setting was obtained through geochemical modelling. However, the combination of the systematic shale chemistry, geochronology, and sedimentology in the Witwatersrand Supergroup supports the hypothesised passive margin setting for the >2.98 to 2.91 Ga West Rand Group, and an active continental margin source for the overlying >2.90 to 2.78 Ga Central Rand Group, along with a foreland basin setting for the latter.
Ultra-low detection limit analyses of gold and PGE concentrations revealed a variable degree of gold accumulation within pristine unmineralised shales. All the studied shales contain elevated gold and PGE contents relative to the upper continental crust, with marine shales from the Central Rand Group showing the highest Au (±9.85 ppb) enrichment. Based on this variation in the provenance of contemporaneous sediments in different parts of the Kaapvaal Craton, one can infer that the siderophile elements were sourced from a fertile hinterland, but concentrated into the marine shales by a combination of different processes. It is proposed that accumulation of siderophile elements in the studied marine shales was mainly controlled by mechanical coagulation and aggregation. These processes involved suspended sediments, fine gold particles, and other trace elements being trapped in marine environments. Mechanical coagulation and aggregation resulted in gold enrichments by 2–3 orders of magnitude, whereas some of the gold in these marine shales can be reconciled by seawater adsorption into sedimentary pyrite.
For the source of gold and PGEs in the studied marine shales in the Kaapvaal Craton, a genetic model is proposed that involves the following:
(1) A highly siderophile elements enriched upper mantle domain, herein referred to as “geochemically anomalous mantle domain”, from which the Kaapvaal crust was sourced. This mantle domain enriched in highly siderophile elements was formed either by inhomogeneous mixing with cosmic material that was added during intense meteorite bombardment of the Hadaean to Palaeoarchaean Earth or by plume-like ascent of relics from the core–mantle boundary. In both cases, elevated siderophile elements concentrations would be expected. The geochemically anomalous mantle domain is likely the ultimate source of the Witwatersrand modified palaeoplacer gold deposits and was tapped again ca. 2.054 Ga during the emplacement of the Bushveld Igneous Complex. Therefore, I propose that there is a genetic link (i.e. common geochemically anomalous mantle source) between the Witwatersrand gold deposits and the younger Bushveld Igneous Complex PGE deposits.
(2) Scavenging of crustal gold by various surface processes such as trapping of gold from Archaean/Palaeoproterozoic river water on the surface of local photosynthesizing cyanobacterial or microbial mats, and reworking of these mats into erosion channels during flooding events.
The above two models complement each other, with model (1) providing a common geological source for the Witwatersrand gold and Bushveld Igneous Complex PGE deposits, and model (2) explaining the processes responsible for Witwatersrand-type gold pre-concentration processes. In sequences such as the Transvaal Supergroup, a less fertile hinterland and/or less reworking of older sediments led to a correspondingly lower gold endowment. These findings indicate temporal distribution of siderophile elements in the upper crust (e.g. marine shales). The overall implications of these findings are that background concentrations of gold and PGEs can be used to target potential exploration areas in other cratons of similar age. This increases the likelihood of finding other Witwatersrand-type gold or Bushveld Igneous Complex-type PGE deposits in other cratons.
In this study, polarimetric Synthetic Aperture Radar (PolSAR) data at X-, C- and L-Bands, acquired by the satellites: TerraSAR-X (2011), Radarsat-2 (2011), ALOS (2010) and ALOS-2 (2016), were used to characterize the tundra land cover of a test site located close to the town of Tuktoyaktuk, NWT, Canada. Using available in situ ground data collected in 2010 and 2012, we investigate PolSAR scattering characteristics of common tundra land cover classes at X-, C- and L-Bands. Several decomposition features of quad-, co-, and cross-polarized data were compared, the correlation between them was investigated, and the class separability offered by their different feature spaces was analyzed. Certain PolSAR features at each wavelength were sensitive to the land cover and exhibited distinct scattering characteristics. Use of shorter wavelength imagery (X and C) was beneficial for the characterization of wetland and tundra vegetation, while L-Band data highlighted differences of the bare ground classes better. The Kennaugh Matrix decomposition applied in this study provided a unified framework to store, process, and analyze all data consistently, and the matrix offered a favorable feature space for class separation. Of all elements of the quad-polarized Kennaugh Matrix, the intensity based elements K0, K1, K2, K3 and K4 were found to be most valuable for class discrimination. These elements contributed to better class separation as indicated by an increase of the separability metrics squared Jefferys Matusita Distance and Transformed Divergence. The increase in separability was up to 57% for Radarsat-2 and up to 18% for ALOS-2 data.
Long-term slash-and-burn experiments, when compared with intensive tillage without manuring, resulted in a huge data set relating to potential crop yields, depending on soil quality, crop type, and agricultural measures. Cultivation without manuring or fallow phases did not produce satisfying yields, and mono-season cropping on freshly cleared and burned plots resulted in rather high yields, comparable to those produced during modern industrial agriculture - at least ten-fold the ones estimated for the medieval period. Continuous cultivation on the same plot, using imported wood from adjacent areas as fuel, causes decreasing yields over several years. The high yield of the first harvest of a slash-and-burn agriculture is caused by nutrient input through the ash produced and mobilization from the organic matter of the topsoil, due to high soil temperatures during the burning process and higher topsoil temperatures due to the soil’s black surface. The harvested crops are pure, without contamination of any weeds. Considering the amount of work required to fight weeds without burning, the slash-and-burn technique yields much better results than any other tested agricultural approach. Therefore, in dense woodland, without optimal soils and climate, slash-and-burn agriculture seems to be the best, if not the only, feasible method to start agriculture, for example, during the Late Neolithic, when agriculture expanded from the loess belt into landscapes less suitable for agriculture. Extensive and cultivation with manuring is more practical in an already-open landscape and with a denser population, but its efficiency in terms of the ratio of the manpower input to food output, is worse. Slash-and-burn agriculture is not only a phenomenon of temperate European agriculture during the Neolithic, but played a major role in land-use in forested regions worldwide, creating anthromes on a huge spatial scale.
Nearly a quarter of the Alpine area is covered by a dense network of large protected areas (LPAs) of the four categories national park(NP), biosphere reserve (BR), nature park and world natural heritage site (WNHS). From the time of early industrialization, the Alpine area has undergone a mixed and increasingly polarized demographic development between the poles of immigration and emigration. This article investigates the possible mutual impact of population development and the existence of LPAs. The research design includes a quantitative survey of all Alpine LPAs in terms of their population development and the structure of immigration in the first decade of the 21st century. This will be linked with qualitative expert interviews in four selected NPs. The overall results allow an interpretation of the statistical
correlations between type of LPA and migration.