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This thesis analyses how European merger control law is applied to the energy sector and to which extent its application may facilitate the liberalisation of the electricity, natural gas and petroleum industries so that only these concentrations will be cleared that honour the principles of the liberalisation directives. After having discussed the complex micro- and macro-economic considerations which accompany any concentration of business activities, this thesis discusses the merger control regime of the European Community (EC) so as to establish whether the merger control under either Art. 66 Treaty Establishing the European Coal and Steal Community (ECSCT), the case law under Art. 101 and 102 Treaty on the functioning of the European Union (TFEU) and (Art. 81 and Art. 82 Treaty Establishing the European Economic Community (ECT), as it was introduced by the Commission and reviewed by the CJEU, the original Merger Regulation (MR1989) or the amended Merger Regulation of 1997 (MR1997) or the amended Merger Regulation of 2004 (MR2004) facilitate the liberalisation of European electricity and gas markets. Said liberalisation was introduced by the Internal Electricity Market Directive (IEMD), the Hydrocarbons Licensing Directive and the Internal Gas Market Directive (IGMD). The paper focuses on the contestable idea that regulatory amendments - especially the introduction of third party access by means of the directives - only form a first necessary condition for attaining economic alterations whereas pro-active conduct of the marketers is the second and decisive one in order to increase the competitive performance of the European energy supply industries. The analysis is supported by a second argument which relates closely to the ambivalent nature of concentrations: A concentration may be used to increase the process of market opening and the expansion into new markets by pooling of scarce resources. It may also be used as a retro -active means so as to create national champions, increase barriers to market entry of new competitors, enable cross-subsidisation so as to expand dominant positions on heretofore competitive up- and downstream markets.
In der vorliegenden Studie wird der Frage nachgegangen, wie die Interaktionen von Schüler*innen, Lehrer*innen und Trainer*innen in einem schulisch-außerunterrichtlichen Boxsporttraining gestaltet sind. Dabei steht im Fokus, welche Dynamiken auftreten und wie diese im Zusammenhang mit Schule verstanden werden können.
In Erweiterung einer Ethnographie, die vornehmlich als teilnehmende Beobachtung verstanden wird, ist in dieser Studie ein Forschungsansatz erarbeitet worden, der als enaktiv bezeichnet wird. Diese Herangehensweise wurde umgesetzt, indem der Forscher seinen Habitus als Trainer und Lehrer eingebracht und aus dieser Position heraus immer wieder das eigene Handeln sowie die Interaktionen im Feld reflektiert hat. Es wurden mehrjährige Feldforschungen an Schulen, Vereinen und in außerschulischen Bildungseinrichtungen durchgeführt. Die hierbei erhobenen Daten werden in dieser Studie als Dichte Beschreibung dargestellt.
Die Ergebnisse zeigen: Im Training treten verstärkt sozio-emotionale Dynamiken auf, die professionelle und reflexiv angelegte Erziehungs- und Beziehungskompetenzen erforderlich machen. Diese gelten über das Training hinaus grundsätzlich für schulische Prozesse und müssen im erziehungswissenschaftlichen Diskurs nicht zuletzt vor dem Hintergrund inklusiver Beschulung verstärkt aufgegriffen werden.
One of the Colombian strategies to diversify and decarbonize the energy sector is encouraging the use of non-conventional renewable resources (NCRR). This thesis measures the environmental rebound effect (ERE) when increasing the shares of wind power into the Colombian power grid in the residential (household) sector. For doing so, a process-based Life Cycle Assessment (P-LCA), an environmental extended input output (EEIO) model and re-spending models (almost ideal demand system AIDS) were applied. Direct rebound effect was measured thought the elasticity price of the electricity demand; furthermore, the environmental savings for increasing the shares of wind power into the grid were calculated via P-LCA. For doing so, a P-LCA for a wind farm in Colombia was performed, whereas the information for other energy resources (Hydro, Coal, Gas, Solar and Thermal) where collected from Ecoinvent 3.4 database. To calculate the environmental indirect rebound effect the monetary savings obtained for the environmental efficiency were calculated. For doing so, an AIDS was applied to obtain the marginal budget shares (MBS). Combining the MBS obtained with the EEIO model the monetary savings were translated into environmental indicators. The ERE is presented for ten impact categories (climate change (CC), acidification (A), ecotoxicity (E), marine eutrophication (MEUT), terrestrial eutrophication (TEUT), carcinogenic effects (CE), non-carcinogenic effects (NCE), ozone layer depletion (OD), photochemical ozone creation (POC), and respiratory effects, inorganics (RES)). Moreover, a sensitive analysis was conducted to measure the variability of the ERE to different values of the direct rebound effect and different percentages of price efficiency. The results show that the inclusion of the environmental rebound effect has generally a non-negligible impact on the overall environmental indicators across all studied years. Such impacts ranging across impact categories from 5% (eutrophication) and 6,109% (photochemical oxidant creation) for the combined model, whereas for the single model the values fall on the ranges of 1% (eutrophication) and 9,277% (photochemical oxidant creation). Further, a sensitivity analysis of the elasticity price of the electricity and the price of the electricity reveals that the ERE varies in different ways, specifically, changes in these parameters could vary the impacts, respectively, by up to about <1% and 38%. Backfire effects are present for 8 of the 10 environmental impacts studied in different magnitudes across the years, depending meanly of the savings available to re-invest.
This paper uses the UN’s Sustainable Development Goals’ inclusion of human well-being and disability rights as a base to examine the work experiences of individuals with the syndrome misophonia who have been employed in white-collar office jobs in the Global North, and how these experiences fit into the current discourse on making offices more inclusive and sustainable. It reports on common workplace triggers, coping mechanisms, and the condition’s perceived effects on misophonics, as well as the perceived barriers and carriers to making workplaces more accommodating to those with the condition. A mixed-methods approach was used to address these points. First, a survey was distributed virtually and 203 responses from misophonics who work(ed) in white-collar office jobs in the study region were collected. Next, ten of these survey takers participated in semi-structured, one-on-one interviews, which were then analyzed using qualitative text analysis. The results showed that many misophonics frequently encounter intense triggers (such as mouth sounds) at the office and that self-perceived levels of productivity, well-being, and workplace sociability can be adversely affected. Though opinions on bans of certain behaviors and items and on certain terminology were diverse, there was consensus on desiring more flexible policies, understanding from others, and quiet or private working spaces, including working from home. Lack of misophonia awareness within the general populace, human resources (HR), upper management, and to some degree, the medical community was identified as a persistent barrier to misophonic employees disclosing or asking for reasonable accommodations even when they felt their misophonia was severe, negatively affected them, and there were provisions that could support them. These experiences were similar to those of other invisible conditions and pointed to the need for workplaces striving to be more sustainable and inclusive to adapt their policies and office design decisions.
Since the early 2000s, ecosystem services strongly gained significance as a research topic. However, the temporal dimension of ecosystem services has not been taken into consideration, although this should be the basis for a sustainable long-term management of ecosystems and their services. Therefore, the author presents three articles in this thesis that deal with temporal aspects of ecosystem services. In two of them she also present a proposal for a framework for the classification of ecosystem services based on their temporal dynamics. In this dissertation she differentiates between two types of temporal aspects, both of which have in common that change takes place over a certain period of time. The concepts of transformation, transition and regime shift are used to describe changes in social or ecological systems as a whole, for example the transformation towards a more sustainable society. The temporal dynamics, on the other hand, relate to the temporal changes in ecosystem services themselves. The first article focuses on how the literature on ecosystem services incorporates social and ecological change. The second and third articles deal with the temporal dynamics of ecosystem services. While the second article presents a preliminary framework for categorizing the temporal dynamics of ecosystem services, the third article uses this framework to test how the temporal dynamics of ecosystem services are represented in the literature. Based on the insights from the three articles, the author concludes that most of the studies on ecosystem services only focus on one point in time. One reason for this is that most studies are conducted over a maximum of a four-year time span which does not allow to monitor dynamics over longer time spans.
Maximizing the value from data has become a key challenge for companies as it helps improve operations and decision making, enhances products and services, and, ultimately, leads to new business models. While enterprise architecture (EA) management and modeling have proven their value for IT-related projects, the support of enterprise architecture for data-driven business models (DDBMs) is a rather new and unexplored field. The research group argues that the current understanding of the intersection of data-driven business model innovation and enterprise architecture is incomplete because of five challenges that have not been addressed in existing research: (1) lack of knowledge of how companies design and realize data-driven business models from a process perspective, (2) lack of knowledge on the implementation phase of data-driven business models, (3) lack of knowledge on the potential support enterprise architecture modeling and management can provide to data-driven business model endeavors, (4) lack of knowledge on how enterprise architecture modeling and management support data-driven business model design and realization in practice, (5) lack of knowledge on how to deploy data-driven business models. The researchers address these challenges by examining how enterprise architecture modeling and management can benefit data-driven business model innovation. The mixed-method approach of this thesis draws on a systematic literature review, qualitative empirical research as well as the design science research paradigm. The investigators conducted a systematic literature search on data-driven business models and enterprise architecture. Considering the novelty of data-driven business models for academia and practice, they conducted explorative qualitative research to explain "why" and "how" companies embark on realizing data-driven business models. Throughout these studies, the primary data source was semi-structured interviews. In order to provide an artifact for DDBM innovation, the researchers developed a theory for design and action. The data-driven business model innovation artifact was inductively developed in two design iterations based on the design science paradigm and the design science research framework.
Die vorliegende Dissertationsschrift analysiert die Konstruktion schützenswerter "Natur/en" in Gebieten "neuer Wildnis" aus Perspektiven der Sozialen Ökologie sowie der Geschlechterforschung. Das zentrale Erkenntnisinteresse zielt auf den Umgang mit und die Zuschreibungen auf Neobiota in Gebieten "neuer Wildnis". Ziel ist es, herauszuarbeiten, wie in der Konstruktion "fremder Natur/en" in "neuer Wildnis" gesellschaftliche Naturverhältnisse und Geschlechterverhältnisse wechselseitig miteinander verwoben sind und inwiefern in dieser Vermittlung dichotome und hierarchisierende Trennungen wirksam werden. Die empirische Basis der Untersuchung bilden zwei Literaturreviews sowie eine qualitative Interviewstudie zu Naturverständnissen in zwei Untersuchungsgebieten "neuer Wildnis". Dabei werden Neobiota als Ausdruck gesellschaftlicher Naturverhältnisse analysiert. Die Ergebnisse zeigen, dass Neobiota in "neuer Wildnis" einerseits als Bestandteil dynamischer Naturentwicklung und schützenswerter Prozesse akzeptiert und nicht (mehr) aufgrund ihrer "Fremdheit" abgewertet werden. "Neue Wildnisse" können mithin als sozial-ökologische Vermittlungsräume gelesen werden, in denen sich die Konstruktion des Schützenswerten verschiebt und hierarchisierende Trennungen abgebaut werden. Andererseits werden Neobiota in Gebieten "neuer Wildnis" oftmals aufgrund ihrer "Ungezähmtheit" und Unkontrollierbarkeit von Eingriffen und Pflegemaßnahmen zur (Wieder-)Aneignung von Kontrolle über "fremde Natur/en". Die potentielle Beherrschbarkeit von Natur bleibt mithin auch in Gebieten "neuer Wildnis" grundlegende Voraussetzung für ihre Schutzwürdigkeit. Damit festigen sich in den Zuschreibungen auf Neobiota hierarchisierende Trennungen und reproduzieren die Konstruktion von "Natur" und "Weiblichkeit" als sich gegenseitig stabilisierendes Unterordnungsverhältnis.