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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.
This doctoral thesis contributes to the vibrant discourse on boundary-crossing collaboration in the German teacher education system. It offers theoretical advancements, programmatic guidelines, and empirical findings which advocate for a transdisciplinary perspective. In order to do so, the framing paper critically links persistent challenges and current reform processes in the teacher education system with theoretical foundations and conceptual positions of transdisciplinarity. Against this backdrop, four articles provide further insights on: a) how to expand the prevalent systematic of innovation and transfer approaches (top-down, bottom-up, cooperative) by a transdisciplinary perspective, b) outlining guiding principles for the realization of transdisciplinary collaboration in the context of a boundary-crossing research and development project, c) providing empirical findings on effect relationships between transdisciplinary dimensions of integration characteristics, and d) identifying empirical types of actors based on specific assessment patterns towards these characteristics.
Despite growing research on sustainability transformations, our understanding of how transformative transdisciplinary research can support local actors who foster change towards sustainability is still somewhat limited. To contribute to this research question, the investigator conducted research in a transdisciplinary case study in Southern Transylvania, where non-governmental organizations (NGO) drive sustainability initiatives to foster desired changes (e.g., supporting small-scale farmers or conserving natural and cultural heritage). Interactions with these local actors and reflections on the research question shaped the research of this dissertation. In paper 1, the author conducted a literature review on amplification processes that describe actions, which local actors can apply to increase the impact of their sustainability initiatives. In paper 2, he conducted a literature review on the application of indigenous and local knowledge (ILK) in sustainability transformations research to understand whether this research engages with the conceptualization of transformations from local actors. The results show that ILK is generally applied to confirm and complement scientific knowledge in contexts of environmental, climate, social-ecological, and species change. In paper 3, the author derived principles that provide guidance for how to integrate sustainability initiatives from local actors in transformative transdisciplinary research. Based on his transdisciplinary research with the NGOs in Southern Transylvania and by using systems and futures thinking as an approach for analysis, he derived three principles that provide guidance for the co-design of sustainability intervention strategies that build on, strengthen, and complement existing initiatives from local actors. In paper 4, the author explored empirically how to identify relevant local actors for collaborations that seek to intervene in specific characteristics of a system (e.g., parameters or design of a system). He applied a leverage points' perspective to analyse the social networks of the NGOs in Southern Transylvania that amplify the impact of their initiatives. This dissertation as a whole contributes insights to three recommendations of how transformative transdisciplinary research can support local actors fostering change towards sustainability: First, by conducting research that studies and supports local actors who increase the impact of their sustainability initiatives via amplification processes (Paper 1 and 4); Second, by engaging specifically with the initiatives, networks, and knowledge from local actors, who foster bottom-up, place-based transformations (Paper 1-4); Third, by identifying and collaborating with local actors that are relevant for strategic systems interventions that build on, strengthen, and complement existing initiatives (Paper 3-4).
Das Thema Inklusion hat in den letzten Jahren in der Gesellschaft an Relevanzgewonnen hat. Im Bildungssystem hat sich neben den allgemeinbildenden Schulen auch die Berufsbildende Schule neuen Anforderungen zu stellen und die entstehenden Chancen zu nutzen. Das niedersächsische Kultusministerium hat zur Unterstützung der Berufsbildenden Schulen im Juli 2017 die Handreichung "Handlungsoptionen für die inklusive Berufsbildende Schule" erstellt. Im Rahmen dieser Arbeit wird dieses Dokument auf Chancen und Herausforderungen, welche sich für die Berufsbildenden Schulen ergeben, untersucht. Es stellt sich folgende Forschungsfrage: Welche Chancen und Herausforderungen bergen die "Handlungsoptionen für die inklusive Berufsbildenden Schule" für die Inklusion in Berufsbildenden Schulen in Niedersachsen und wie kann diesen begegnet werden?
Im vorliegenden Beitrag geht es um die Veränderung der Arbeitszufriedenheit und um die Identifikation von zeitlichen Verlaufsmustern der Arbeitszufriedenheit. Als Grundlage der Analyse dienen die Daten des Sozioökonomischen Panels aus mittlerweile 35 Erhebungswellen (1984 bis 2018). Die Analyse umfasst 3.345 Zeitreihen, die jeweils einen Zeitraum von 15 Jahren umspannen. Zur Typisierung der einzelnen Arbeitszufriedenheitsverläufe werden die Regressionsrechnung und die Clusteranalyse verwendet. Der Haupttypus folgt dem generellen Trend, wonach die Arbeitszufriedenheit, von einem mäßig hohen Niveau ausgehend, stagniert bzw. sich im Lauf der Zeit leicht vermindert. Es gibt daneben allerdings auch Fälle, die auf einem hohen Arbeitszufriedenheitsniveau verbleiben. Und auf der anderen Seite findet man nicht wenige Personen, deren Arbeitszufriedenheit im negativen Bereich verharrt. Eine weitere Gruppe wird von Personen gebildet, deren Arbeits-zufriedenheit relativ großen Schwankungen ausgesetzt ist. Von den soziographischen Variablen Alter, Geschlecht und Berufsstatus gehen keine nennenswerten Wirkungen aus. Eine gesonderte Betrachtung der Unternehmensgröße erbringt, dass Personen, die dauerhaft in einem Kleinbetrieb arbeiten, eine größere Arbeitszufriedenheit aufweisen als Personen in größeren Unternehmen. Neben der Darstellung der inhaltlichen Einsichten, die die Zeitreihenanalyse erbringt, erfolgt eine Diskussion über die Verwendung der Modellergebnisse für auf die Zukunft gerichtete Szenario-Analyse.
Excessive fertilizer use leads to nutrient imbalances and losses of these to the environment through leaching, runoff and gaseous emissions. Nutrient use efficiency (NUE) in agriculture is often low and improving it could increase the sustainability of agricultural systems. The main aims of this thesis were to gain a better understanding of plant-soil-microbe interactions in order to improve agricultural NUEs. The studies included experimentally tested how crops respond to addition of high carbon amendments, fertilizer application rates and timing, and crop rotations. Furthermore, methods for measurement of roots were compared and a protocol for measurement of roots was developed. The first experiment simulated an agricultural field using mesocosms. In this setting, the researchers tested the effect of 4 previous crops (precrops), which either had or did not have a symbiosis with arbuscular mycorrhizal fungi (AMF)/rhizobia, on the focal crop (winter barley). They also tested the addition of high carbon amendments (wheat straw/sawdust) for immobilization of residual soil nitrogen (N) at harvest of the previous crop. Overall, the findings were that non-AMF precrops had a positive effect on winter barley yield compared to AMF precrops. Wheat straw reduced N leaching, whereas sawdust addition had a negative effect on the yield of winter barley. The second experiment tested the effect of different fertilizer (N/phosphorus (P)) application timings on plant traits grown in rhizoboxes. Overall, delaying N application had a more detrimental effect on plant biomass than delaying P application. The root system increased its root length initially due to N-deficiency, but was quickly thus N-limited that root length was relatively lower than the control group. Because of the many root related measurements in the second experiment, a step-by-step method for measuring root traits under controlled and field conditions was developed and included in this thesis. This method paper describes precisely how root traits of interest can be measured, and helps with deciding which approach should be taken depending on the experimental design. Additionally, the authors compared the bias and accuracy of several popular root measurement methods. Overall, these results highlight the importance of crop choice in crop rotations and the plasticity of root systems in relation to nutrient application. The results show high carbon amendments could reduce nitrate leaching after the harvest of crops, especially those with high risk of nitrate leaching, although they had only small impacts on yield.
The principle of this thesis was to study the environmental fate of three highly used psychotropic drugs and this achieved through: 1) examining the biodegradability of TMI, DMI and CPTX, 2) studying the behaviour of TMP, DMI and CPTX in photodegradation tests using Xe and UV lamps with studying the effect of different environmental conditions on their UV-photodegradation behaviour, 3) monitoring the primary elimination of TMP, DMI and CPTX during photodegradation and biodegradation tests using HPLC, and measuring their degree of mineralization by means of dissolved organic carbon analyser (DOC), 4) elucidating the structures of the transformation products (TPs) which formed during the degradation of TMI, DMI and CPTX by using LC-MS/MS analysis, 5) analysing the biodegradability of their TPs by laboratory tests and in-silico assessments in order to determine the fate and persistence of these TPs in the aquatic environment, 6) conducting in-silico toxicity predictions for the selected psychotropic drugs and their TPs in human (carcinogenicity, genotoxicity and mutagenicity) and in eco-system (toxicity to microorganisms and toxicity in rainbow trouts). As an overall conclusion, the present work demonstrates that a combination of laboratory simulation tests, LC-MS/MS analysis and in-silico tools result in valuable new information regarding environmental fate of three important psychotropic drugs and their TPs. This dissertation also highlights that different environmental conditions such as temperature, initial drug concentration and pH can differently affect the degradation behaviour of pharmaceuticals even when they are highly structurally related. Therefore, one cannot conclude from one pharmaceutical to another but each one needs to be investigated individually and this present a great challenge for risk assessment kinetics of chemicals in the aquatic environment. The results presented here showed that the investigated pharmaceuticals and their TPs can negatively affect the environment which may be harmful to the ecosystem as they might have been present for decades in the aquatic environment without any knowledge of their environmental fate or connected risk. Therefore, further work needs to be done including analysis of environmental samples (e.g., surface waters), as well as laboratory toxicity tests to further expand knowledge on their exact environmental impact.
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.
This dissertation includes six articles tied together by the overarching question of how changes in public opinion, economics and public policy co-evolve in mature democracies, with a focus on redistributive (in seven European democracies) and secessionist preferences (in Catalonia and Scotland). The theoretical inspiration derives from three sources: 1. the Macro Polity model by Erikson, MacKuen/Stimson, 2. the Thermostatic Responsiveness model by Soroka and Wlezien, and 3. the literature on representation gap models by Gilens, Elsaesser and others. The Macro Polity and Thermostatic Responsiveness models come with an optimistic undertone, emphasizing that public policies adapt to public opinion, producing the policy-opinion congruence that defines responsive government. The Representation Gap model, by contrast, is more pessimistic in highlighting that the preferences of low-income groups are generally worse represented in public policies than the preferences of middle-income and especially high-income groups. While there is evidence in favor of these models for the majoritarian political systems in the US, Canada and the UK, less is known about the validity of these models in proportional democracies of continental Europe. The contributions in this dissertation address this research gap by integrating the three models and combining nearly 500 surveys to study the evolution of European public opinion at the national and subnational level.
Based on a dual case study, this cumulative dissertation investigates how individual "education for sustainable development" (ESD) courses, as part of the teacher education programs at Leuphana University in Lüneburg/Germany and Arizona State University (ASU)/USA, actually foster students' ESD-specific professional action competence. Furthermore, this work sheds light on the link between learning processes and outcomes, to reveal which factors actually affect the achievement of ILOs and competence development. The findings of this study indicate that both courses under investigation eventually live up to their role and increased student teachers' competence and commitment to implement ESD in their future careers; yet, mainly due to their different thematic foci, to varying degrees. Additionally, the four Cs (personal, professional, social, and structural connections) were revealed as significant factors that support students' learning and should be considered when planning and designing course offerings in TESD, with the goal of developing students' knowledge, skills, and attitudes.
This dissertation includes an introduction and five empirical papers focusing on the educational and career decision-making process of individuals in Germany. The five papers embrace different determinants of educational and career decisions including school performance, social background, leisure activities as well as professional expectations, and contribute to the existing literature in this research area. Chapter 2 of this dissertation begins by analysing the nexus between students’ time allocation and school performance in terms of grades and satisfaction with their own performance in mathematics, the German language and a first foreign language, as well as overall achievement. This chapter looks at the heterogeneity of three important extracurricular activities: student jobs, sports and participation in music. Moreover, the heterogeneity of each activity is addressed by accounting for different types of the particular activity and differences in the number of years the activity has been pursued. For this purpose, data from the German SOEP, as a representative panel survey of private households and people in Germany, in particular cross-sectional survey data of 3388 students who are about 17 years old and enrolled in a German secondary school, were used. The main findings are that having a job as a student is negatively correlated with school performance, whereas participation in sports and music is positively correlated. However, the results reveal heterogeneity in each activity, especially with respect to intensity. Chapter 3 addresses the concrete post-school decision of school students, in particular whether to study or to enter the German VET system (Vocational Education and Training). It focuses on individual risk preferences and the social background of individuals and how these determinants affect the ultimate decision to enrol in university or to start an apprenticeship given the same level of qualification. For the empirical approach data from the German SOEP were used, in particular information on individuals' educational decisions between 2007 and 2013. The results indicate that (i) individual risk preferences do not have an overall effect on the real transition; (ii) privileged individuals are more likely to take up higher education; and (iii) compared to highly educated parents, parents without an academic background are less likely to guide their children into tertiary education, regardless of how much they support their children with their school work. Chapter 4 deals with the reconsideration of educational decisions in terms of early contract cancellations in VET. In particular, the effects of a second job on the intention to cancel a VET contract early are analysed for apprentices in Germany. For the empirical approach the representative German firm-level study "BIBB Survey Vocational Training from the Trainee's Point of View 2008", conducted by the Federal Institute for Vocational Education and Training (BIBB), is used. The survey contains 5901 apprentices that were interviewed during their second year of apprenticeship (205 schools, 340 classes, and 15 common occupations). Furthermore, it includes the design, procedures, basic conditions, and quality criteria of apprenticeships. The applied probit regressions show a higher intention to quit if apprentices require a secondary job to cover their living costs. In Chapter 5, new data on 191 apprentices from a vocational school, located in a northern German federal state, are used to validate the empirical results of Chapter 4. This chapter presents new insights into secondary-job-related burdens during apprenticeship. Due to limitations in the data, the applied empirical approach in Chapter 4 lacks to analyse how holding multiple jobs increases the intention to leave an apprenticeship early. Therefore, Chapter 5 includes the investigations of burdens related to the second job. The results indicate a lower intention to quit the apprenticeship if an apprentice holds a second job to cover living costs. However, secondary jobs are linked to lower quality of training, which, on the other hand, increases the intention to leave the apprenticeship early. Furthermore, the probability of secondary-job-related burdens increases with the number of working hours. Chapter 6 concludes the thesis by investigating subjective determinants of early contract cancellations in VET. It examines ten questions on what apprentices want to achieve and how unfulfilled expectations affect the intention to leave the apprenticeship early. The findings of this investigation contributes to the existing research on early contract cancellation. The questions considered include information on the performance, personal development, career development and prospects or position in society and their meaning to apprentices. For the research approach, the "BIBB Survey Vocational Training from the Trainee's Point of View 2008" is considered again. The probit and ordered probit regressions applied show significant effects of job characteristics that represent job security. The expectation of being retained after an apprenticeship and the encouragement to consistently train further decrease the intention to leave the apprenticeship early. Furthermore, women appear to be more affected by job security signals than men, but they also sort more often into occupations with lower retention probabilities. Consequently, this result may be an indication of occupational segregation rather than a sign of differences between sexes.
Das Bildungskonzept Bildung für nachhaltige Entwicklung (BNE) gilt als Schlüsselfaktor für eine nachhaltige Entwicklung. Die Stärkung der Kompetenzen von Multiplikatoren und somit Lehrkräften als Gestalter formaler Bildung ist ein Ziel auf dem Weg zu einer qualitativ hochwertigen Bildung. Es gilt, im Verlauf der Lehrkräftebildung Möglichkeiten zu schaffen, die Entwicklung relevanter Kompetenzen gezielt zu unterstützen, um effektivere Ergebnisse im Bereich BNE zu erreichen. Für den universitären Teil der Lehrkräftebildung geht dies einher mit einer entsprechenden Gestaltung von Lernumgebungen, durch die angehende Lehrkräfte relevante Kompetenzen zu Beginn ihres individuellen Bildungsweges entwickeln können. Darüber hinaus sollen durch entsprechende Fort- und Weiterbildungsformate auch bereits im Schuldienst tätige Lehrkräfte erreicht werden. Das als transdisziplinäres Format angelegte Entwicklungsteam Sachunterricht, bestehend aus Sachunterrichtslehrkräften, Vertretern außerschulischer Bildungsorte und Forschenden der Universität, bildet den Ausgangspunkt dieser Arbeit. Die vorliegende Arbeit fokussiert die Untersuchung von Möglichkeiten der Professionalisierung von (angehenden) Lehrkräften zu BNE im Kontext des Entwicklungsteams. Dazu wurde zunächst theoretisch-konzeptionell der Frage nachgegangen, welche Kompetenzen relevant für die Integration von BNE in Schule und Unterricht sind und wie Lehr-Lernsettings gestaltet werden sollten, um die Entwicklung entsprechender Kompetenzen zu unterstützen. Im Rahmen zweier empirischer Studien wurde anschließend einerseits die Kompetenzentwicklung seitens der Studierenden analysiert, die an einem durch das Entwicklungsteam begleiteten Seminar teilnahmen. Andererseits liegt der Fokus auf dem spezifischen Format des transdisziplinären Entwicklungsteams und es wurde untersucht, inwiefern wechselseitiges Lernen zwischen den Entwicklungsteammitgliedern initiiert werden und dies in einer Veränderung der pädagogischen Praxis resultieren kann. Aufgrund seiner hohen Anschlussfähigkeit an den bildungswissenschaftlichen Diskurs wurde das Modell der BNE-spezifischen professionellen Handlungskompetenz den konzeptionellen Überlegungen und den darauf aufbauenden empirischen Untersuchungen zugrunde gelegt. Die Gestaltung eines Lehr-Lern-Settings für angehende Lehrkräfte mit dem Ziel der Förderung entsprechender Kompetenzen wurde anhand des Konzepts der offenen Lernumgebung vorgenommen. Die Ergebnisse zeigen zum einen, dass das in enger Zusammenarbeit mit dem Entwicklungsteam als offene Lernumgebung durchgeführte Seminar die Professionalisierung der Studierenden unterstützt und der Aufbau von (BNE-spezifischer) professioneller Handlungskompetenz durch kollaboratives Gestalten in Kooperation mit der Praxis ermöglicht wird. Zum anderen zeigt sich, dass die transdisziplinäre Zusammenarbeit ein wechselseitiges von- und miteinander Lernen zu BNE im Entwicklungsteam Sachunterricht fördert und Professionalisierungsprozesse sowohl seitens der Lehrkräfte als auch des außerschulischen Akteurs zumindest in einigen Bereichen angestoßen wurden.
Der Kern dieser Arbeit richtet sich auf die Frage, ob und in welcher Form Bildungsungerechtigkeiten an niedersächsischen Hochschulen während der Corona-Pandemie bestehen oder auch verstärkt wurden. Die Forschungsfrage lautet: "Welche Herausforderungen erlebten niedersächsische Studierende durch die Corona-bedingten Umstellungen des Hochschulalltags?" Um dieser Frage nachzugehen, wurden Hypothesen zur Frage der bestehenden sozialen Ungerechtigkeit zwischen Studierenden, der Auswirkung auf die finanzielle Situation und der Teilhabe an digitaler Lehre aufgestellt. Um diesem Schwerpunkt gerecht zu werden, wurde zunächst anhand bekannter empirischer Berichte wie dem KMK Bildungsbericht, der Sozialerhebung des Studentenwerks und dem Hochschulreport des Stifterverbands der Vor-Corona-Zustand erörtert. Zur Betrachtung der Situation der niedersächsischen Studierenden wurde von August bis September 2020 eine quantitative Umfrage unter Studierenden aus Niedersachsen (N=2317) mit folgendem Titel durchgeführt: "Digitale Lehre unter Corona-Bedingungen in Niedersachsen". Im Laufe der Arbeit und der Auswertung der Umfrage konnten Tendenzen und auch belastbare Erkenntnisse für die positive Beantwortung der Annahmen erörtert werden. Diese Ergebnisse legen dar, dass der Handlungsbedarf in diesem Feld deutlich größer als vor der Pandemie ist. Die bestehenden Hilfen haben Studierende bisher nicht in ausreichendem Maße erreicht und die Abbrechendenquote könnte steigen. Die Grundlage für eine gerechtere Gesellschaft liegt im Vorhandensein von Bildungsgerechtigkeit und dem Zugang zu Hochschulbildung. Die Corona-Pandemie stellt Studieninteressierte und Studierende hier vor zusätzliche Herausforderungen.
Diese Arbeit beschäftigt sich mit Zukunft, Narrativen und globalem Klimawandel in den zwei Bereichen Umweltwissenschaften und Science Fiction. Es werden zwei Arten dargestellt, in die Zukunft zu blicken: Einerseits werden Szenarien in den Umweltwissenschaften genutzt, um globale Modelle aufzustellen. Hierfür wird erläutert, was die Szenariotechnik ist und welche Merkmale sie hat. Andererseits werden Science Fiction und kreative Zukunftsvorstellungen diskutiert. Die beiden Themenfelder werden durch zwei Beispiele konkretisiert: Die "Shared Socioeconomic Pathways" (SSPs) und die Anthologie "Everything Change" (herausgegeben von Milkoreit, Martinez, Eschrich, 2016). Im Diskussionskapitel wird auf Narrative, Perspektive, Diversität, Umweltkommunikation, Komplexität und Zukunft eingegangen. Insgesamt wird das Fazit gezogen, dass die beiden Beispiele gegensätzliche Ziele haben, aber komplementäre Wirkung erzielen können. Mit einem Beispiel aus der partizipativen Forschung wird verdeutlicht, dass eine Kombination der beiden Felder dazu beitragen kann, sinnvolle Handlungsoptionen gegenüber dem Klimawandel zu entwickeln.
Der vorliegende Beitrag befasst sich mit der Soziographie der Arbeitszufriedenheit. In Studien zur Arbeitszufriedenheit werden oziographische Merkmale oft als Kontrollgrößen eingesetzt. Ihre Berücksichtigung bei der Datenanalyse soll die Frage beantworten, ob sich der Einfluss von Determinanten der Arbeitszufriedenheit (Arbeitsinhalte, Arbeitsbedingungen, persönli-che Dispositionen usw.) für unterschiedliche Personengruppen und Situationen jeweils anders darstellt. Die Berücksichtigung von Kontrollgrößen macht aber nur dann Sinn, wenn diese selbst eine empirische Beziehung entweder zu den Determinanten der Arbeitszufriedenheit und/oder zu der Arbeitszufriedenheit selbst aufweisen. Dem vorliegenden Beitrag geht es um die Frage, ob sich Zusammenhänge zwischen bedeutsamen soziographischen Merkmalen und der Arbeitszufriedenheit aufzeigen lassen. Als Datengrundlage dienen die 35 Erhebungswellen des Sozioökonomischen Panels (SOEP) von 1984 bis 2018. Im Einzelnen betrachtet werden die Variablen Erwerbsstatus, Geschlecht, Alter, Schulabschluss, Hochschulabschluss, Berufsstatus, Betriebszugehörigkeit und Unternehmensgröße. Für die meisten dieser Größen ergeben sich, wenn überhaupt, nur sehr schwache statistische Beziehungen mit der Arbeitszufriedenheit. Eine Ausnahme macht der Berufsstatus. Die Qualifikationsanforderungen, die sich damit verknüpfen und die hierarchische Position haben einen beachtlichen Einfluss auf die Arbeitszufriedenheit. Bemerkenswert ist die große Stabilität der Befunde über alle Erhebungsjahre von 1984 bis 2018 hinweg.
This doctoral dissertation aims to contribute to clarification of the potential of learning for water governance. The goal is to trace and understand the environmental impacts of learning through participation (research aim 1) and adaptive management (research aim 2), and the effect of learning on participation as a governance mode (research aim 3). For this goal, the researcher engages in a predominantly qualitative research design following the case study method. For every specific research aim cases are selected and analysed qualitatively according to conceptual categories and mechanisms which are defined beforehand. Quantitative studies are used to corroborate the results for research aim 1 and 2 in a mixed-method approach to enhance the validity of results. The empirical research context is European water governance, the implementation of the EU Water Framework and EU Floods Directive (WFD, FD) specifically. Eight cases of participatory decision-making across three European countries and five cases of adaptive management in Northern Germany for WFD implementation are examined to identify whether learning in these processes enhanced environmental outcomes. To detect whether governance learning by public officials occurred, the design of participatory processes for FD implementation in ten German federal states is assessed. The findings of research aim 1, understanding learning through participation and its effects on water governance, reveal that participatory planning led to learning through improved understandings at an individual and group level. Learning did, however, hardly shape effective outcomes. In the AM cases (research aim 2) managers and participants of implementing networks improved their knowledge as well as capacities, and spread the results. Nonetheless, environmental improvement was not necessarily linked to ecological learning. Regarding learning about participation as a governance mode (research aim 3) all interviewed public officials in German federal states reported some degree of governance learning, which emerged not systematically but primarily drawing on own experiences and intuition. These findings are condensed into three overarching lessons for learning in water governance: (1) Interactive communication seems to form the overall frame for participant and group learning. Framing of learning experiences turned out to play an important and potentially distorting role, for which professional facilitation and structured knowledge aggregation methods might be an im-portant counterbalance. (2) Learning did not automatically enhance environmental outcomes. It may thus not be an explanatory variable for policy outcomes, but a conditioning or intervening variable related to collective action, motivation for participation, and situating the issue at hand at wider societal levels. (3) The concepts of puzzling and powering might help understand learning as a source for effectiveness in the long-term when complemented with interest-based debates for creat-ing sufficient political agency of policy issues. Learning seen as puzzling processes might instruct acceptance and legitimization for new powering efforts. The perpetuation of learning in systematic ways and structures appears to characterize an alternative to this reflexive and strategic interplay, for which the water-related EU directives provide the basis.
The texts gathered in this manuscript offer a largely congruent set of insights on the cultural dimension of sustainability and on the important functions of the arts in relation to the cultural dimension of sustainability, not only in society – more particularly in cities – but also more self- reflexively in transdisciplinary sustainability research itself. The introduction paper (original text for the Cumulative Habilitation) presents all the published texts included in the cumulative habilitation manuscript, and discusses the challenges of transdisciplinary research, differentiating two schools of transdisciplinarity (the so-called the ‘ETH’ and ‘CIRET’ approaches) to which the author’s postdoctoral research relates. The four texts in the first part (PART 1 - Culture(s) and Aesthetics of sustainability)articulate the relations between culture and sustainability. They focus on a theoretical dimension of the author’s postdoctoral research that further developed an understanding of “cultures of sustainability” and of “aesthetics of complexity” that was initiated in the author’s PhD, bringing them in a dialogue with other ongoing and emerging discourses about “cultural sustainability” and “queer ecologies”. The four texts in the second part (PART 2 - The Arts in Relation to Culture(s) and Aesthetics of Sustainability) represent the part of the author’s research that constituted a closer examination of specific artistic practices: ecological art, musical practices, and contemporary interdisciplinary arts in urban arts organizations.
The ten texts in the third part (PART 3 - Creative Sustainable Cities) share the insights gained in the parts of the author’s research work that focused on urban cultural and arts-related phenomena in their relationships to urban sustainability. Several of the texts lay out a critique of the “Creative City” and demonstrate an effort to develop an alternative understanding of the Creative City that would deserve to be also named a “Sustainable City”. Later texts share the insights from the author’s co-leading of the “Stadt als Möglichkeitsraum” (“City as Space of Possibilities”) research project (2015-2018).
The nine texts collected in the fourth part (PART 4 - Towards Artful Sustainability Research)reflect how the author’s ongoing research work included a transdisciplinary reflection and development in terms of epistemology and methodology, incorporating increasingly more elements of arts-based research and of phenomenology and integrating them with systems thinking and qualitative social-scientific research. This development brought the author to reflect further upon the imaginaries and research practices of sustainability researchers, and to advocate for an “artistic turn” in sustainability research (including the more specific field of sustainability science).
The conclusion paper (original text for the Cumulative Habilitation) summarizes the insights from all the published texts included in the cumulative habilitation manuscript, and suggests ways to address the transdisciplinary challenges presented in the introduction paper, suggesting ways to articulate the ‘ETH’ and ‘CIRET’ approaches to transdisciplinarity.
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.
Pestizide werden als Pflanzenschutzmittel im landwirtschaftlichen Bereich und als Biozide z. B. in der Industrie, in Haushalten und Kommunen eingesetzt. Bereits auf den behandelten Flächen und in den angrenzenden Gewässern können Pestizide Abbauprozessen durch u. a. Photolyse unterliegen. Diese Prozesse führen zur Entstehung von Transformationsprodukten (TP), deren Berücksichtigung bei der Umweltrisikobewertung für ein umfassendes Risikomanagement von großer Bedeutung ist. Doch gibt es über die in der Umwelt vorkommenden Transformationsprozesse und die dabei entstehenden TP immer noch Wissenslücken. Darüber hinaus sind die Eintragswege von TP, vor allem von Biozid-TP, in die angrenzenden Gewässer zum Teil unbekannt. Da eine Vielzahl von TP mit unterschiedlich starken ökotoxikologischen Effekten bewertet werden muss, besteht ein großer Bedarf an schnellen und umfassenden Methoden, um die stetig wachsende Anzahl an Chemikalien auf dem Markt erfassen zu können. Das Ziel der vorliegenden Arbeit ist daher, das Verhalten und den Verbleib ausgewählter Pestizid-TP in der aquatischen Umwelt zu analysieren. Zu diesem Zweck wurden unterschiedliche Phototransformationsprozesse von Pestiziden sowie der Eintrag aus Fassaden über Regenwasserversickerungsanlagen (RVA) in angrenzenden Gewässern der Stadt Freiburg untersucht. Schlussendlich erfolgte die Identifizierung der ökotoxikologischen Eigenschaften von 45 Pestizid-TP in einem mehrstufigen Ansatz durch die Kombination experimenteller und computerbasierter Methoden. Inwiefern unterschiedliche Phototransformationsprozesse zu unterschiedlichen TP führen, wurde im ersten Teil der Arbeit durch einen Vergleich der Entstehung von TP durch direkte und indirekte Photolyse der Substanzen Penconazol, Terbutryn und Mecoprop untersucht. Weiterhin wurde der Abbau durch die Bestrahlung mit unterschiedlichen Xenonlampen untersucht. Im zweiten Teil der Arbeit wurde der Eintrag von Bioziden, die in Fassadenanstrichen Anwendung finden, und deren TP über Regenwasserversickerungsanlagen in das Grundwasser untersucht. Dabei wurden qualitative und quantitative Target-Screening-Methoden zum Nachweis und zur Quantifizierung bekannter und unbekannter TP der Biozide Diuron, Terbutryn und Octhilinon (OIT) in der aquatischen Umwelt mittels Flüssigkeitschromatographie mit gekoppeltem Massenspektrometer (LC-MS) kombiniert. Die ökotoxikologischen Eigenschaften von 45 Pestizid-TP wurden im dritten Teil dieser Arbeit in einem mehrstufigen Ansatz untersucht. Insgesamt zeigte sich, dass die Berücksichtigung von TP im Rahmen von Gewässerüberwachung und Risikobewertung eine genauere Abschätzung der Risiken durch Schadstoffe ermöglicht. Die in dieser Dissertation entwickelte Vorgehensweise, bei der TP zunächst im Labor erzeugt und bewertet und anschließend in aquatischen Systemen gezielt analysiert werden, kann einen wichtigen Beitrag zur Regulatorik des Einsatzes und der Zulassung von Pestiziden leisten.
The global food system faces many complex challenges, and there is general agreement that a transformation is needed. While localizing food has been proposed as a means to this end, changing global food supply chains may also lead to sustainable food systems. Because most food systems today have an international dimension and are likely to remain connected, on one way or another, to other ones across the globe, it is necessary to find solutions to problems such as exploitation or environmental degradation. Addressing this challenge and the related gap in the literature, this study examines the emerging practices of small intermediary food businesses, which act between agricultural producers and consumers, and may have the potential to advance sustainability in international food supply. Including a systematic review of the literature on food systems change (Study#1), this dissertation adopts a transformational sustainability research methodology, which is solution-oriented, aims to integrate system, target and transformation knowledge, and is characterized by a transdisciplinary research practice. It conceptualizes challenges of international food supply and empirically investigates entrepreneurial solution approaches to address these challenges (Study#2). Two transdisciplinary research projects with small coffee businesses located in Germany, Mexico, and the U.S. were conducted to examine how these approaches could be implemented (Study#3, Study#4, Workshop reports 1+2). Overall, this study shows that challenges in international food supply chains can be conceptualized as negative effects of large geographical and relational distances. It also identifies five entrepreneurial solution approaches specified by twelve sustainability-oriented design principles to address these negative effects. Creating relational proximity between supply chain actors, that is, strong relationships based on knowledge and care, seems to be a key factor to advance sustainability in international food supply.The results also suggest that by building such strong relationships and changing the fundamental principles of international food trade, small intermediary businesses could be important agents in food system transformations.
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.
This dissertation focused on the nature and role of organizational practices for the employment of older people and the extension of their working lives. The set of four articles is driven by the objective to further deepen our understanding of how organizations can facilitate ageing at work to the benefit of both, employees and employers. Findings are empirically based on qualitative expert interview data from Germany and the U.S. and several quantitative field studies among older employees in Germany. To bridge gaps in measurement of organizational practices related to aging at work, this dissertation proposes a new comprehensive, multifaceted, and thoroughly conceptualized measure of organizational practices related to aging at work, the Later Life Workplace Index (LLWI). Through the course of the four articles the LLWI is conceptually developed based on qualitative interview data, operationalized, validated based on multiple field studies among older workers, and applied in a multi-level study among older employees of 101 organizations. Results suggest that organizational practices are not uniform, but multifaceted in their presence within organizations and their effects for the employment of older workers. The LLWI distinguishes nine domains of practices including an age-friendly organizational climate, work design, individual development, and practices tailoring the retirement transition. Thus, it may lay the foundation for more granular organizational level research in the field. Further, this dissertation's fourth article applies the LLWI and argues based on person-environment fit and socio-emotional selectivity theory that organizational practices address different individual needs and, thus, affect employment depending on employees' individual characteristics. Results suggest that older employees' retirement intentions are effected by individual development, transition-to-retirement, and continued employment practices depending on their health resources. Application of the new measure in practice to improve organizations' response to the aging workforce and opportunities for future research based on the LLWI are discussed.
Mental health is an important factor in an individuals' life. Online-based interventions have been developed for the treatment of various mental disorders. During these interventions, a large amount of patient-specific data is gathered that can be utilized to increase treatment outcomes by informing decision-making processes of psychotherapists, experts in the field, and patients. The articles included in this dissertation focus on the analysis of such data collected in digital psychological treatments by using machine learning approaches. This dissertation utilizes various machine learning methods such as Bayesian models, regularization techniques, or decision trees to predict different psychological factors, such as mood or self-esteem, dropout of patients, or treatment outcomes and costs. These models are evaluated using a variety of performance metrics, for example, receiver operating characteristics curve, root mean square error, or specialized performance metrics for Bayesian inference. These types of analyses can support decision- making for psychologists and patients, which can, in turn, lead to better recommendations and subsequently to increased outcomes for patients and simultaneously more insight about the interplay between psychological factors. The analysis of user journey data has not yet been fully examined in the field of psychological research. A process for this endeavor is developed and a technical implementation is provided for the research community. The application of machine learning in this context is still in its infancy. Thus, another contribution is the exploration and application of machine learning techniques for the revelation of correlations between psychological factors or characteristics and treatment outcomes as well as their prediction. Additionally, economic factors are predicted to develop a process for treatment type recommendations. This approach can be utilized for finding the optimal treatment type for patients on an individual level considering predicted treatment outcomes and costs. By evaluating the predictive accuracy of multiple machine learning techniques based on various performance metrics, the importance of considering heterogeneity among patients' behavior and affect is highlighted in some articles. Furthermore, the potential of machine learning-based decision support systems in clinical practice has been examined from a psychotherapists' point of view.
This dissertation investigates interpersonal competence development in project-based sustainability courses. Visions of a sustainable, safe, and just future cannot be reached by one individual alone. Thus, future change agents need to be able to collaborate and engage with stakeholders, to approach the manifold crises, challenges, problems, and conflicts we are facing together, and to promote and push forward sustainability transitions and transformations. Therefore, this research investigates three project-based sustainability graduate courses by comparing and contrasting teaching and learning outcomes, processes, and environments. A comparative case study approach using a Grounded Theory-inspired research design which triangulates several qualitative methods and perspectives is applied to allow for generalizable insights. Thereby, this dissertation provides empirically-informed insights which are further discussed in relation to selected teaching and learning theories. This leads, first, to a discussion of practical implications within (and beyond) sustainability higher education; and second, provides a theoretical foundation for interpersonal competence development in project-based learning settings – so that educating future change agents can gain momentum. Findings of this research show that embracing conflicts when they occur (i.e. before they provoke cascading effects in the form of further conflicts down-the-road) is an effective strategy to help further develop interpersonal competence. This requires a conflict-embracing attitude. Attitude, in general, seems to be key in interpersonal competence and competence development overall. Self-reflection, if not explicitly required by outside influences (such as instructors), arises naturally from a self-reflective attitude, and is shown to provide the basis for developing interpersonal competence. This research introduces the term "Refl-Action" which stresses the importance of pairing "learning by doing" (as is often the focus in project-based learning settings) with conscious moments of "reflecting about the doing". More specifically, the research presented here identified four learning processes for interpersonal competence development: receiving input, experiencing, reflecting, and experimenting. Based on the empirical data, when the four processes are purposefully combined, following a meaningful sequence attitudes, knowledge, and skills in collaborative teamwork and impactful stakeholder engagement, are fostered (two facets of interpersonal competence). Each of the four learning processes is set in motion through various interactions students engage in during project-based sustainability courses: student-student (labeled "peer"), student-instructor (labeled "deliberate"), student-stakeholder (labeled "professional"), and student-mentor (labeled "supportive") interactions. When these interactions are made explicit subjects of inquiry - i.e. the (inter-)action is linked with (self-)reflection – different learning processes complement one another: Interpersonal competence facets (collaborative teamwork and impactful stakeholder engagement) and domains (attitudes, knowledge, skills) are fostered. While, overall, interactions, processes, and conflicts have been identified as supportive for interpersonal competence development, trust has emerged as another variable inviting further investigation.
This dissertation addresses the question of how sustainability curricula can be implemented and established in higher education institutions. Universities – as hubs for knowledge generation, innovation, and education – provide a central leverage point for sustainably developing society at large. Therefore, the institutionalization of sustainability curricula is not only socially demanded, but also stipulated in numerous political statements from the international community (e.g., those of the UN and UNESCO) and operationalized via Sustainable Development Goal No. 4: "Quality Education". Previous findings on how such implementation can be successful and what factors support or inhibit the process have come primarily through case studies of individual higher education institutions. These studies have been largely descriptive rather than analytical and leave open questions about the generalizability of their findings. The present dissertation addresses this research gap. Through a meta-study (i.e., an analytical comparison of existing case studies), generalizable findings on the implementation processes of sustainability curricula are explored. In the first step, a case universe was collected in order to provide a database for deeper analyses. In two further analysis steps that built on the case universe from Step 1, certain factors that promote or inhibit the implementation of sustainability curricula (Step 2) and specific implementation patterns (Step 3) were examined. The presented findings add a complementary empirical perspective to the discourse on the establishment of education for sustainable development (ESD) at higher education institutions. First, the case studies that specifically address the implementation processes of sustainability curricula are reviewed and analyzed here for the first time as part of a research landscape. This research landscape reveals where research on such implementation processes has been or is being conducted. On this basis, both researchers and funders can reflect on the status quo and plan further research or funding endeavors. Second, this dissertation offers the opportunity to compare a multitude of individual case studies and thus to develop new and generalizable insights into the implementation of sustainability curricula. The empirical analysis uses 133 case studies to identify key factors that promote or inhibit the implementation of sustainability curricula and to add a complementary perspective to the discourse, which has thus far been dominated by theoretical considerations and individual case studies. The analysis thereby offers a new perspective on generalizable influencing factors that appear to be important across different contexts. Thus far, specific patterns of implementation processes have been infrequently studied, and with few datasets. This dissertation analyzes the complex interplay between over 100 variables and provides one of the first research attempts at better understanding the processes that lead to the deep-rooted and comprehensive implementation of sustainability curricula. Internal and external practitioners of higher education institutions can find examples and evidence that can be useful in planning the next steps of their sustainability curriculum implementation. This dissertation offers generalizable empirical findings on how universities can succeed in recognizing their own responsibility to that end and in realizing this transformation through the implementation of ESD.
The dissertation consists of three scientific papers and a synopsis. The synopsis addresses the relevance of the dissertation and lists the key factors for the sustainability transition in the electricity system as a common denominator of the three papers. The relevance of the dissertation results, on the one hand, from the urgency of the sustainability transition in the electricity system and an insufficient transition willingness of the eastern European Member States. On the other hand, the Multi-Level-Perspective as one of the most important scientific frameworks to grasp transitions does not provide a sufficient explanation of its mechanisms. Moreover, Demand Response aggregators as new enterprises on the European electricity market and potential reform initiators are still under researched. The following key factors for the sustainability transition of the electricity system have been identified: supply security concerns, Europeanisation, policy making and the dominance of short-term oriented economic evaluation. Paper#1 sheds light on the roots of this problem in the context of Poland. It suggests that unfavorable regulation is symptomatic of the real, underlying barriers. In Poland, these barriers are coal dependence and political influence on energy enterprises. As main drivers, supply security concerns, EU regulatory pressure, and a positive cost-benefit profile of DR in comparison to alternatives, are revealed. A conceptual model of DR uptake in electricity systems is proposed. Applying a social mechanisms approach to the Multi-Level Perspective, paper#2 conceptualizes mechanisms of socio-technical transitions and of gaining legitimacy for transitions as co-evolutionary drivers and outcomes. Situational, action-formational, and transformational mechanisms that operate as drivers of change in a socio-technical transition require corresponding framing and framing contests to achieve legitimacy for that transition. The study illustrates the conceptual insight with the case of the coal dependent Polish electricity system. Paper #3, a qualitative study reveals Demand Response (DR) aggregators as institutional entrepreneurs that struggle to reform the still largely supply-oriented European electricity market. Unfavourable regulation, low value of flexibility, resource constraints, complexity, and customer acquisition are the key challenges DR aggregators face. To overcome them they apply a combination of strategies: lobbying, market education, technological proficiency, and upscaling the business. The study highlights DR aggregation as an architectural innovation that alters the interplay between key actors of the electricity system and provides policy recommendations including the necessity to assess the real value of DR in comparison to other flexibility sources by taking all externalities into account, a technology-neutral approach to market design and the need for simplification of DR programmes, and common standards to reduce complexity and uncertainty for DR providers.
This cumulative dissertation investigates food policy councils (FPCs) as potential levers for sustainability transformation. The four research papers included here on this recent phenomenon in Germany present new insights regarding the process of FPCs' emergence (Emergence paper), the legal conditions which affect their establishment (Legal paper), the different roles of FPCs in policy-making processes (Roles paper) and FPCs' potential to democratise the food system (Food democracy paper). Drawing on and contextualizing the results of the four individual studies, the framework paper uses the leverage points concept originally developed by Meadows (1999) and adopted by Abson et al. (2016) as a lens to discuss FPCs’ potential as levers for sustainability transformation. This conceptual background includes three so-called realms of leverage, which are considered to be of particular importance in transformational, solution-oriented sustainability science: first, the change, stability and learning in institutions (re-structure), second, the interactions between people and nature (re-connect) and third, the ways in which knowledge is produced and used (re-think). Framing the findings of the four research papers in terms of these three realms, the framework paper shows that FPCs could serve as cross realm levers, i.e. as interventions that simultaneously address knowledge production, institutional reform and human-nature interactions.
Die Digitalisierung ermöglicht es, die Anwendung von Scoring Systemen auf verschiedene Lebensbereiche auszuweiten und Verhalten von Kunden und Konsumenten vorherzusagen und zu steuern. Gezielt eingesetzte Incentives, die an einen bestimmten Score geknüpft sind, werden häufig genutzt, um das gewünschte Verhalten zu erreichen. Um die Erkenntnisse zur Wahrnehmung von Scoring Systemen zu erweitern, wurde in dieser Studie die Einstellung zu Scoring Systemen erfasst und untersucht, inwieweit potenzielle individuelle und funktionelle Einflussfaktoren auf die Einstellung wirken. Dafür wurde eine Online Umfrage mit 125 Teilnehmenden aus Deutschland umgesetzt. Zu Erfassung der Einstellung wurde je ein Scoring Szenario inklusive Incentives für die Bereiche Gesundheit, Mobilität und Finanzen konstruiert, das die Teilnehmenden bewerten sollten. Die Incentives wurden als funktionelle Faktoren zusammengefasst, und es wurde vermutet, dass sie die Einstellung zu Scoring beeinflussen. Als individuelle Faktoren wurden einmal die Selbsteinschätzung Scoring-relevanten Verhaltens festgelegt und einmal die Persönlichkeitsvariable Narzissmus. Es wurde davon ausgegangen, dass beide Variablen einen Einfluss auf die Einstellung haben und einen positiven Zusammenhang aufweisen. Bei der Überprüfung der Hypothesen zeigte sich, dass sowohl die Incentives als auch die Selbsteinschätzung einen signifikanten Einfluss auf die Einstellung zu Scoring haben. Für den Einfluss von Narzissmus konnten keine signifikanten Ergebnisse gefunden werden. Für die Faktoren Alter, Geschlecht und Erfahrung mit Scoring wurde ebenfalls ein Einfluss vermutet, weshalb eine zusätzliche explorative Analyse für diese Faktoren durchgeführt wurde, bei der allerdings keine signifikanten Ergebnisse zustande kamen. Des Weiteren zeigte sich, dass Scoring auch über verschiedene Szenarien hinweg insgesamt als eher negativ bewertet wird. Die eingesetzten Incentives wurden ebenfalls als negativ bewertet.
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.
Das Allgemeine Verhaltensmodell von March und Simon verknüpft vier fundamentale Konstrukte der Verhaltenstheorie: das Anspruchsniveau, die Belohnungserwartung, die Zufriedenheit und die Suche nach Verhaltensweisen, die Erfolg und Zufriedenheit versprechen. Die Teilmechanismen, die in dem Modell postuliert werden, verknüpfen sich zu einem Gesamtmechanismus, der dafür sorgt, dass das Verhältnis von Ansprüchen und Möglichkeiten zum Ausgleich kommt. Eine wichtige Rolle spielen die Parameter des Modells, die die Voraussetzungen und Stärke der Zusammenhänge bestimmen. Neben formalen Funktionen kommt diesen Parametern auch jeweils eine wichtige inhaltliche Bedeutung zu. Der vorliegende Beitrag trägt zur Erkundung des Modells und seiner Implikationen bei.
Das Modell verdient eine größere Beachtung, als ihm bislang geschenkt wurde. Es beschreibt einen fundamentalen Verhaltensmechanismus, der in praktisch allen Bereichen menschlichen Verhaltens wirksam ist. Das Modell besitzt nicht nur eine große Erklärungskraft, es ist außerdem logisch stimmig, kompakt und elegant. Außerdem erweist es sich als in hohem Grad anschlussfähig für eine Vielzahl von theoretischen Ansätzen und empirischen Erkundungen. Es lässt sich anwenden für die Erklärung von allgemeinen Zusammenhängen, für die Beschreibung konkreter Vorgänge und für die Simulation einer Vielzahl von Handlungskonstellationen.
This dissertation presents an analysis of the relations to self and technology that emerge from and in the use of self-tracking technologies. The ethnographical study, combined with the Grounded Theory approach and a media analysis, demonstrates the complex intertwining or duality of control and care towards oneself that emerge or become possible in and through the application of ST technologies. ST devices assist in strengthening one's health and well-being in a playful way, building and maintaining a positive self-feeling, self-image and agency, and discovering unknown abilities and potentials within oneself. The ST technologies used provide orientation through complexity-reducing visualizations, highlighting patterns, and trend progression. They challenge through self-overload, dissatisfaction when not achieving goals, self-deception and distraction, narcissism and even loss of control - internally through compulsion to control as well as externally through loss of data otection and exploitation of private data by third parties, as well as handing over responsibility (in the form of decisions) to technology (algorithms) instead of self-responsibility. These two seemingly opposed yet concurrently existing self-relations reflect the dynamic between today's demands for self-responsibility (in health and performance terms) and the need for self-care and guidance for the many relevant, sometimes daily, decisions. They balance possibly existing tensions and ambiguities between the modes of self-relations that at first glance seem to be opposed and yet ultimately are jointly oriented towards the same goal, namely to master one's life (life maintenance) and to be in balance. The self-relations described in this thesis are supported, reinforced, or enabled by ST technology (and practice). Three different roles that ST technology can take in self-care and self-control were elaborated: technology as a means, a counterpart, and a promise. In relation to technology, another dialectic is visible, which shows the apparent contrast between its conception as a tool and means to achieve something and the approach to technology as an intimate counterpart (partner, nanny, coach) and a promise of salvation. The relationship with technology seems to intensify in and through the ST experience and takes on or is assigned a partner-like role by the users. Finally, the results indicate that the concept of (self-)optimization, contrary to its etymological meaning of a logic of increase, can also be understood differently, namely balancing. In this context, optimization does not necessarily mean the fastest, the highest, the strongest, but something that is achievable and satisfactory for the self - within the framework of the given and the desired. At the same time, the optimization understood as harmonizing and balancing in self-tracking becomes a lifelong task that, in principle, can never be completed because with the addition of new vital areas in life and throughout a lifetime also the individually understood and conceived balance often shifts.
Batterien und Akkus als Medien des Digitalen Zeitalters
Als Medien der Speicherung, Miniaturisierung und Mobilisierung gehören elektrochemische Zellen historisch betrachtet zu den Möglichkeitsbedingungen des Digitalen Zeitalters. Vom Smartphone über den elektrischen Rollstuhl bis hin zum Elektroauto versprechen Batterien und Akkus eine nachhaltigere und fortschrittlichere digitale Zukunft. Doch diese Entwicklung hat ihren Preis: Unter dem Begriff »Reichweitenangst« befassen sich die Beiträger*innen des Bandes mit unserer alltäglichen Sorge, dass der Akku nicht mehr bis zur nächsten Ladestation reicht und wir auf halber Strecke liegen bleiben. Darüber hinaus wird die Frage diskutiert, wie weitreichend die individuellen, kollektiven und ökologischen Auswirkungen unseres steigenden Verbrauchs an Batterien sind.
Forest ecosystems are complex systems that develop inherent structures and processes relevant for their functioning and the provisioning of ecosystem services that contribute to human wellbeing. With increasing climate change impacts, especially regulating ecosystem services such as microclimate regulation are ever more relevant to maintain forest functions and services. A key question is how forest management supports or undermines the ecosystems’ capacity to maintain those functions and services. The main objective of this thesis is the development of a concept to assess the functionality of forests and to evaluate the effectiveness of forest ecosystem management including certification. An ecosystem-based and participatory methodology, named ECOSEFFECT, was developed. The method comprises a theoretical and an empirical plausibility analysis. It was applied to the Russian National FSC Standard in the Arkhangelsk Region of the Russian Federation - where boreal forests are exploited to meet Europe's demand for timber. In addition, the influence of forestry interventions on temperature regulation in Scots pine and European beech forests in Germany was assessed during two extreme hot and dry years in 2018 and 2019. Microclimate regulation is a suitable proxy for forest functionality and can be applied easily to evaluate the effectiveness of forest management in safeguarding regulating forest functions relevant under climate change. Thus, the assessment of forest microclimate regulation serves as convenient tool to illustrate forest functionality. In the boreal and temperate forests studied in the frame of this thesis, timber harvesting reduced the capacity to self-regulate forests’ microclimate and thus impair a crucial part of ecosystem functionality. Changes in structural forest characteristics influenced by forest management and silviculture significantly affect microclimatic conditions and therefore forest ecosystems' vulnerability to climate change. Canopy coverage and the number of cut trees were most relevant for cooling maximum summer temperature in pine and beech forests in northern Germany. The Russian FSC standard has the potential to improve forest management and ecological outcomes, but there are shortcomings in the precision of targeting actual problems and ecological commitment. It is theoretically plausible that FSC prevents logging in high conservation value forests and intact forest landscapes, reduces the size and number of clearcuts, and prevents hydrological changes in the landscape. However, the standard was not sufficiently explicit and compulsory to generate a strong and positive influence on the identified problems and their drivers. Moreover, spatial data revealed, that the typical regular clearcut patterns of conventional timber harvesting continue to progress into the FSC-certified boreal forests, also if declared as "Intact Forest Landscape". This results in the need to verify the assumptions and postulates on the ground as it remains unclear and questionable if functions and services of boreal forests are maintained when FSC-certified clearcutting continues.The analysis of satellite-based data on tree cover loss showed that clearcutting causes secondary dieback in the surrounding of the cleared area. FSC-certification does not prevent the various negative impacts of clearcutting and thus fails to safeguard ecosystem functions. The postulated success in reducing identified environmental threats and stresses, e. g. through a smaller size of clearcuts, could not be verified on site. The empirical assessment does not support the hypothesis of effective improvements in the ecosystem. In practice, FSC-certification did not contribute to change clearcutting practices sufficiently to effectively improve the ecological performance. Sustainability standards that are unable to translate principles into effective outcomes fail in meeting the intended objectives of safeguarding ecosystem functioning. Clearcuts that carry sustainability labels are ecologically problematic and ineffective for the intended purpose of ecological sustainability.The overexploitation of provisioning services, i.e. timber extraction, diminishes the ecosystems' capacity to maintain other services of global significance. It also impairs ecosystem functions relevant to cope with and adapt to other stresses and disturbances that are rapidly increasing under climate change.
This research report presents a transdisciplinary student research project on the development of climate resilience of communities on the Caribbean Island Dominica.
The research was conducted through a partnership between the Leuphana University Lüneburg and the Sustainable Marine Financing Programme (SMF) of the GIZ.
For the GIZ, the research project aimed at improving the understanding of the socio-ecological resilience framework for tackling problems of Marine Managed Areas and Marine Protected Areas. Also, it enabled new thoughts on how the GIZ and other development agencies can more effectively assists island states to better cope with the challenges of climate change.
The role of the students from the “Global Environmental and Sustainability Sciences” programme of Leuphana University included the design of four transdisciplinary research projects to research aspects of resilience of Caribbean communities.
The developing island states in the Caribbean are extremely vulnerable to more frequent and intense natural hazards while relying on the ecosystem services that are also at risk from extreme weather events, in particular Hurricanes. Low economic stability leads to a dependency of the states on international assistance. To decrease the vulnerability to shocks, counteracting measures that encourage learning and adaptation can increase the resilience against extreme weather events and their consequences.
Concepts that were considered during the design of the transdisciplinary research projects were the adaptation of systems, diversity and stakeholder participation and resilience-focused management systems. Also, the students critically assessed the concept of foreign aid and how it can be successful, mitigating the risk of introducing neo-colonial structures. Flood Management, Biodiversity, Small-Scale Agriculture and Foreign Aid on Dominica were the topics of the transdisciplinary projects. The research methods of a literature review, stakeholder mapping, interviews, scenario development and visioning were used in the projects.
In four scenarios developed in the ‘Flood Management’ project, it became evident that a broad as well as coordinated stakeholder engagement and a variety of measures are required for community resilience. A key finding of the ‘Biodiversity’ project was the identity dimension of community resilience, underlining the importance of the relationship between individuals and nature. The interlinkage of social identity processes and a resilient disaster response was also stressed by the project ‘Foreign Aid’, which highlighted that financial support is similarly important to inclusivity and reflexivity in the process of resource distribution. To recover from extreme weather events, the social memory also plays an important role. The project on ‘Small-scale Agriculture’ concluded, that the memory-making of local communities is as vital to community resilience as formal plans and trainings.
The research project was based on the research approach of transdisciplinarity because of its solution-orientation. It links different academic disciplines and concepts, and non-scientific stakeholders are included to find solutions for societal and related scientific problems. In the four projects, principles of transdisciplinary research were party applied, but some challenges arose due to the geographical distance, time constraints and a strong focus on the scientific part in some phases. Nonetheless, the findings of the projects provide valuable learning lessons to be applied in practice and that can prove useful for future research.
Die empirische Unterrichtsforschung verfolgt das Ziel, Unterricht und die darin stattfindenden Prozesse zu beschreiben und zu beurteilen und deren Einfluss auf den Lernerfolg von Schülern zu analysieren. Auch wenn Videostudien zu den aufwändigeren Verfahren in der empirischen Unterrichtsforschung zählen, werden sie vermehrt eingesetzt, um sich diesen Unterrichtsprozessen anzunähern. Mittels Videografie werden Verhaltensweisen und Prozesse sicht- und messbar, die den Lernerfolg von Schüler maßgeblich beeinflussen können. Die detaillierte, reliable und valide Erfassung von Unterrichtsprozessen ist jedoch an Bedingungen geknüpft, die spezifische Herausforderungen für Videostudien darstellen und im Rahmen dieser Dissertation in drei Teilstudien empirisch untersucht werden. Allen Teilstudien liegen Unterrichtsvideos zugrunde, die mittels eines schülerzentrierten Aufnahmesystems aufgenommen wurden. Bei einem schülerzentrierten Aufnahmesystem werden ergänzend zu der Lehrkraftkamera und der Überblickskamera an jedem Gruppentisch weitere Kameras aufgestellt, um die Handlungen und Interaktionen aller am Unterricht beteiligten Personen im Detail erfassen zu können. In Teilstudie 1 wird ein potenzieller Reaktivitätseffekt bei Schülern als eine zentrale Herausforderung von Videostudien untersucht, der zu Verzerrungen des Datenmaterials aufgrund der Anwesenheit von Kamera(personen) führen kann. Dadurch kann die Validität der Daten einschränkt werden. In Teilstudie 2 wird der Herausforderung des in Videostudien oftmals geringen Beobachtungszeitraums begegnet, indem untersucht wird, wie stabil das verhaltensbezogene Engagement von Schülern im Verlauf einer videografierten Unterrichtsstunde ist bzw. wie lange Schüler in ihrem verhaltensbezogenen Engagement beobachtet werden müssen, um dieses zuverlässig erfassen zu können. In Teilstudie 3 wird der methodische Ansatz der Netzwerkanalyse vorgestellt, durch welchen der Herausforderung bezüglich der Beschreibung und Bewertung komplexer Wirkgefüge im Unterricht begegnet werden kann. Mittels einer Netzwerkanalyse können dynamischen Interaktionsprozesse im Unterricht detailliert und im zeitlichen Verlauf des Unterrichts beschrieben werden. Insgesamt werden im Rahmen dieser kumulativen Dissertation zentrale Herausforderungen der videobasierten Unterrichtsforschung betrachtet und Lösungsansätze zu deren Überwindung vorgeschlagen. Nur wenn diese Herausforderungen berücksichtigt werden bzw. ihnen begegnet wird, kann die empirische Unterrichtsforschung fruchtbare Erkenntnisse liefern, die zum Verstehen von Unterricht beitragen und schlussendlich zu einer Verbesserung der Unterrichtspraxis führen können.
The global coffee market is connected to many sustainability issues like the persisting poverty of coffee farmers, and degrading ecosystems. Many interventions, from state-led regulation to industry-led certification processes, exist, that try to change global value chains to shift societies back on more sustainable trajectories. To this date, it is still under debate if these interventions are an effective means to change global value chains. With climate change and persisting issues of social justice as strong accelerators, calls are increasingly made for a radical transformation of global production and consumption patterns. Many frameworks try to inform research and real-world policies for a transformation of global value chains. In this dissertation, the author uses the framework of the practical, political and personal sphere proposed by O'Brien and Sygna (2013) highlighting that the interactions between these three spheres bare the greatest potential for a transformation towards sustainability. However, in this dissertation, the author argues that it is exactly at the nexus between the three spheres of transformation where barriers towards a fundamental shift of systems occur. He, therefore, uses three perspectives to bring empirical nuance to the problems that arise on the interplay between the different spheres of transformation. (1) The scientific perspective: using a systematic review of alternative trade arrangements; (2) the producer perspective: facilitating a participatory network analysis of social-ecological challenges of Ugandan coffee farmers and their adaptive management practices; (3) the consumer perspective: through the use of a German consumer survey and a structural equation model to investigate into the Knowledge-Doing-Gap end-consumers are facing. Through the results from the scientific perspective, the author is able to show that most of the research is investigating the certified market and that the effectiveness of labels rarely exceeding the practical sphere. His empirical research on the producer perspective highlights that Ugandan coffee farmers facilitate a variety of on-farm crop management (practical sphere) but their support structures rarely exceed informal exchange with neighboring communities (political sphere). Exchange with governmental actors and global traders is happening but has been assessed as not sufficient to cope with the social-ecological challenges the producers are facing. Through the results of the consumer perspective, the author is able to highlight that even though end-consumers have pro-sustainable attitudes (personal sphere) they are facing situational constraints (political sphere) that create a gap between their attitudes and the respective behavior. Using these empirical insights about drivers and barriers for a transformation he proposes that frameworks, aiming to inform research and policies, need to include two aspects: (1) the notion of a forced transformation; and (2) the translational capacity of the frameworks to create meaningful interdisciplinary discourses in different contexts. The author, therefore, propose two approaches:(1) a fourth sphere, called the "planetary force" to include the notion of a forced transformation that is already happening in different contexts, highlighted by the producer perspective in this dissertation; and (2) the consequent use of methods that create interdisciplinary exchange and rigorous testing.
Companies increasingly use social and environmental accounting and reporting (SEAR) to measure, manage, and report their influence on ecological and social issues, i.e., climate change and human rights violations. Nowadays, there are many different tools, frameworks, and standards for SEAR that companies can use. Beyond the content presented in the tool itself, e.g., social and/or ecological information, these tools differ, among others, by the language used and the type of data collected (e.g., qualitative, quantitative, or monetary data). This dissertation aims to expand previous literature by clarifying the effects of SEAR on corporate decision-making and its influencing factors. Additionally, antecedents for implementation and use of SEAR in regard to supporting sustainability decision-making are discussed. For this purpose, the given dissertation investigates public sustainability reports by companies with different environmental orientation, conducts two survey-based case studies on the effects of different types of SEAR and one qualitative case study on the antecedents of institutionalizing management accounting change through SEAR. The results lead to seven criteria that practitioners and researchers should recognize for supporting successful SEAR regarding a company's environmental orientation, the role of employees and leadership as well as the specific SEAR tool itself.
Undertaking local actions, such as implementing public (sustainability) policy, plays a crucial role in achieving sustainable development (SD) at the municipal level. In this regard, indicator-based assessment supports effective implementation by measuring the SD process, based upon evidence-based outcomes that indicators produce. Over the last decade, using subjective indicators, which rely on an individual's self-perception to measure subjects, has gained its significance in sustainability assessment, in line with the increasing importance of signifying individual's and community's well-being (WB) in the context of SD. This study aims to discuss and clarify the scope and functions of subjective sustainable development indicators (SDIs) conceptually and theoretically while examining the usability of such indicators employed in the practice of assessing sustainability policy and action process in a Japanese municipality. Furthermore, the potential usability of using subjective SDIs in monitoring a municipal initiative of the United Nations’ Sustainable Development Goals (SDGs) is also explanatorily examined. The present paper consists of a framework paper and three individual studies. In the framework paper, Section 1 introduces the global transition of SD discourse and the role that local authorities and implementing public policy play in achieving SD while outlining how WB positions in the SD context. Section 2 provides a brief overview of the major scope of overall SDIs at the conceptual and theoretical levels. Section 3 defines WB in the study's own right while exploring the scope of indicators measuring WB. In addition, this study strives to further clarify the peculiar scope of SDIs, measuring WB by synthesising the findings. Section 4 overviews how SD at the municipal level in Japan is practiced while acknowledging the extent to which residents perceive WB and SDGs in policymaking. Section 5 provides a brief yet extensive summary of the three individual studies. Section 6 discusses the findings while presenting implications for further study and practices of subjective SDIs. Furthermore, the three individual studies provide a thorough and in-depth discussion of the study subject. Study 1 illustrates the SD trend at the municipal level in Japan and the growing recognition of using subjective SDIs in public (sustainability) policy assessment in exploring comparative SDI systems to municipality groups. The findings, in turn, raise the need for a further study on subjective SDIs. Study 2 extensively discusses the concept of WB as the overarching subject to be measured while examining varying approaches and scopes of SDIs. It identifies three differentiated WB (i.e., material and social objective WB as well as subjective WB) and distinctive approaches of subjective SDIs (i.e., expert-led and citizen-based approaches) alongside objective SDIs. The findings suggest that these SDIs identified are, conceptually, most capable of measuring associated WB; for instance, citizen-based subjective SDIs can most optimally measure subjective WB. Finally, Study 3 examines the usability of (citizen-based) subjective SDIs in a practice of assessing public policy, aiming at municipal SD, and the potential usability of using such indicators in monitoring a municipal SDG initiative. The findings highlight the determinants and obstacles of using subjective SDIs as well as signifying WB in measuring progress of a municipal SD practice.
Die Wahl der Rechtsform stellt im Zuge der Neugründung eines Startup-Unternehmens für die Gründer eine wichtige Entscheidung dar, denn sie beeinflusst unmittelbar den Gründungsprozess sowie im Nachhinein den Geschäftsbetrieb der gegründeten Gesellschaft. Besonders interessant ist eine Rechtsform mit Haftungsbeschränkung, welche die beliebte GmbH als Kapitalgesellschaft ermöglicht und damit eine persönliche Haftung der Gründungsgesellschafter verhindert. Problematisch ist jedoch für Gründungsinteressierte, die zu Anfang über nicht genügend Startkapital verfügen, die hohe Summe des geforderten Mindeststammkapitals der GmbH aufzubringen. Hier könnte die UG (haftungsbeschränkt) als Option infrage kommen, da sie eine Haftungsbeschränkung ermöglicht und dabei kein gesetzlich festgelegtes Mindeststammkapital bei der Gründung fordert (§ 5a Abs. 1 GmbHG). Die vorliegende Arbeit behandelt die Frage, weshalb sich die UG (haftungsbeschränkt) gerade für die Gründung eines Startup-Unternehmens als optimale Einstiegsrechtsform eignet. Das Ziel der Arbeit ist, die UG (haftungsbeschränkt) in ihrer Besonderheit mit den speziellen Sondervorschriften, die in § 5a GmbHG verankert sind, darzustellen. Zudem soll die Verbundenheit zur GmbH aufgezeigt werden. Die Arbeit dient dabei auch als Leitfaden für die Neugründung eines Startup-Unternehmens in Form der UG haftungsbeschränkt) und zeigt, wie die Gründung auf einfachster Weise unter geringen Kosten mit dem Start einer UG (haftungsbeschränkt) gelingen kann.
Die Dissertation leistet einen Beitrag zur Erforschung der Schriften John Stuart Mills, indem darin Mills rudimentär ausformulierte Denkfigur und Forschungslücke der "Art of Life" untersucht wird. Die Autorin erweitert die traditionelle Interpretation Mills als klassischem Utilitaristen um einen geschärften Blick auf Mills Handhabung des antiken Theorieelements der Tugend. Drei überlappende thematische Zugänge – Lust, Charakter, Glückseligkeit - dienen der Veranschaulichung und Stärkung der These, wonach es sich bei Mills Theorie um eine hedonistische, perfektionistisch gefärbte Theorie der guten Lebensführung handelt. Der methodische Rückgriff auf die Lust- und Glückskonzeption des Aristoteles erlaubt es Mills differenzierte Auffassung von Lust bzw. Freude zu ergründen, die Rolle des menschlichen Charakters für das (moralische) Handeln festzustellen und eudemische Spuren im Verständnis von Glück aufzudecken. Abschließend bietet die Dissertationsschrift eine Interpretation der Schriften Mills als Lebenskunstphilosophie mit moralischen und außer-moralischen Ebenen und zeigt Anschlusspotentiale zu antiken, sowie zeitgenössischen (Lebenskunst) Theorien auf.
Understanding that entrepreneurship can be better modeled from a systemic point of view is a primordial aspect that determines the important role of universities in entrepreneurial ecosystems. What makes the ecosystem approach a valuable tool for understanding social systems is that, from a holistic perspective, their behavior seems to have emerging characteristics. This dissertation presents a dual scientific account of the entrepreneurship phenomenon in universities. The work is divided into two equal parts, each of which is composed of two research papers. The narrative of the first half takes on a macro perspective view, consisting of one theoretical and one empirically-based conceptual case study. This part conceptually depicts a systematic approach to entrepreneurialism in higher education, namely an ecosystems perspective. The second half concentrates on the meso- and micro levels of study from the university's point of view, comprising of a case study as historical account for the emergence of the entrepreneurial university, and of a metasynthesis of empirical case studies in entrepreneurial universities, which serves as the basis for the development of entrepreneurial university archetypes. This doctoral work contributes to an in-depth understanding of Entrepreneurship in universities regarding its systemic qualities and archetypal characteristics of entrepreneurial universities. It argues for an ecosystem's perspective on the phenomenon of entrepreneurial activity, highlighting the fundamental role that universities play as the heart of entrepreneurial ecosystems. Furthermore, this research expands on the novel concept of the entrepreneurial university by using extensive case study literature to empirically identify distinct archetypes that better reflect the diverse reality of how universities engage as entrepreneurial actors by way of differentiated entrepreneurial structures, systems, and strategies.
Consisting of three articles and a framework manuscript, this cumulative dissertation deals with sustainable compensation of chief executive officer (CEO) with a focus on climate-related aspects. Against the backdrop of the European action for sustainability and the EU Green Deal, the dissertation pays special attention to the consideration of climate-related aspects of corporate performance in CEO compensation. In this context, sustainable compensation is characterized by the consideration of long-term interests and sustainability of the company as well as by the inclusion of financial and non-financial aspects of environmental, social and governance performance (ESG) in compensation agreements. While this novel instrument of corporate governance aims to incentivize the implementation of sustainability-oriented corporate strategy, it is particularly important to unfold this incentive effect at the individual CEO level in view of their managerial discretion. The framework manuscript discusses the research objectives, the regulatory and theoretical background, the results of the dissertation and their implications in the context of regulation, research, and business practice. The essence of the dissertation are the three articles. The first article examines the current state of empirical research based on 37 articles that were published between 1992 and 2018. Based on a multidimensional research framework, the structured literature review compiles past research findings, identifies contentual and methodological foci in the research area, and derives questions for future research. The second article addresses the topic from a conceptual perspective. Taking the existing work as a starting point, a conceptual framework is derived, which organizes the determinants of carbon-related CEO compensation at societal, organizational, group and individual levels of analysis. On this basis, eight propositions are presented that seek to distinguish between the determinants which support and challenge the implementation of carbon-related CEO compensation. The third article focuses on the use of CO2-oriented performance indicators in CEO compensation. The empirical-qualitative study analyzes corporate disclosure of the 65 largest companies in the EU for the years 2018 and 2019. The study addresses the use of CO2-oriented performance indicators in corporate strategy and CEO compensation. It also examines which compensation components are determined with the help of CO2-oriented performance indicators, which type of performance indicators are used, and whether CO2-intensive and less CO2-intensive companies differ in this regard.
Mit der vorliegenden Arbeit werden die bis Ende 2020 entstandenen gesetzlichen Strukturen und Instrumente zum Ausbau erneuerbarer Energien aus rechtswissenschaftlicher Perspektive eingeordnet, um der Frage nachzugehen, mit welchen Ansätzen und in welchem Umfang der Rechtsrahmen die verschiedenen Entwicklungen zur Erreichung der Ausbauziele für die erneuerbaren Energien einerseits und damit deren Beitrag zur Erreichung der Klimaschutzziele steuern kann. Darüber hinaus wird beleuchtet, welche Reformperspektiven aus den bisherigen Entwicklungen abgeleitet werden können oder sollten. Dazu werden die Strukturen und Elemente des Erneuerbare-Energien-Rechts sowie dessen Entwicklungslinien herausgearbeitet und bewertet. Dieser Schritt erfolgt durch die Analyse einzelner, für das Recht der erneuerbaren Energien prägender Strukturen und Entwicklungsschritte, etwa der Schaffung neuer Instrumente wie der Nutzungspflicht erneuerbarer Energien, der Beschreibung der prägenden Strukturelemente und Wirkungszusammenhänge in dem sich im Laufe von 30 Jahren herausgebildeten Recht der Erneuerbaren Energien im Stromsektor oder anhand der Einordnung von tiefgreifenden gesetzgeberischen Veränderungen wie der Umstellung auf Ausschreibungen im Erneuerbare-Energien-Gesetz. Diese Einzelbeobachtungen werden dann in Beziehung zueinander gesetzt, Gemeinsamkeiten und Unterschiede der hinter den Entwicklungen erkennbaren Gründe herausgearbeitet und in einen übergeordneten Gesamtkontext. Die Arbeit gliedert sich in vier Schritte, die sich einer kurzen einleitenden Problemskizze in Teil 1 anschließen: die grundlegende Analyse zu Recht und Klimaschutz sowie zur Rolle des Rechts bei der Transformation (Teil 2), eine umfassende Bestandsaufnahme zu den Bausteinen des Erneuerbare-Energien-Rechts, den Entwicklungslinien und deren Einordnung (Teil 3), ein Zwischenfazit, das die Gründe für die beobachteten Entwicklungslinien und Strukturen zusammenfasst und eine Einordnung des Rechts der erneuerbaren Energien in den größeren Kontext des Umweltenergierechts (Teil 4) sowie abschließend ein auf einer Einordnung des Rechts der erneuerbaren Energien in den Kontext der neu entstehenden Klimaschutzgovernance beruhenden Ausblick auf mögliche Themenfelder der weiteren Rechtsfortbildung (Teil 5).
Nachhaltigkeitsziele im Sinne einer Ökologie, Ökonomie und Soziokultur lassen sich im Bauwesen auf verschiedene Instrumente zurückführen. Optimierung des Wärmeschutzes durch die Energieeinsparverordnung (Effizienz) oder Minimierung von Abfall im Kreislaufwirtschaftsgesetz (Suffizienz). Um jedoch eine neue Qualität der Nachhaltigkeit zu schaffen, ist ein Paradigmenwechsel notwendig. Dabei können Cradle to Cradle Prinzipien als ökoeffektive Methode angewandt werden, in dem exemplarisch die Biodiversität eingebunden, gesunde Bauprodukte verbaut und erneuerbare Energien genutzt werden. Die Natur dient als Vorbild (Konsistenz). Demnach werden Gebäude nützlich für Mensch, Umwelt und Gesellschaft umgesetzt und gleichzeitig Werte geschaffen. Für den deutschen Einzelhandel bestehen vielschichtige Potenziale, da der Gebäudebestand mit mehreren Millionen Quadratmetern bedeutend ist und die Bauwerke aufgrund von Konzeptänderungen oder Verschleiß der Ladenflächen regelmäßig umgebaut werden. Die Forschung beginnt mit einer Bestandsaufnahme von Cradle to Cradle Bauprodukten und Analyse eines real umgesetzten Einkaufszentrums. Um Einflussfaktoren von Stakeholdern zu identifizieren, wurden qualitative Experteninterviews mit ausgewählten Projektbeteiligten aus Bauherrn, Betreibern, Beratern, Mietparteien und Herstellern durchgeführt. Im Rahmen des Forschungsvorhabens wurde untersucht, inwieweit sich Bauprodukte aus der Gebäudeplanung in wissenschaftlicher Theorie und praktischer Bauwirtschaft umsetzen lassen, Geschäftsmodelle anwendbar sind, Trends und Innovationen im Zusammenhang stehen oder Änderungen in Politik oder Wirtschaft notwendig sind. Im Ergebnis wurden Maßnahmen für eine neue Qualität der Nachhaltigkeit bei Einzelhandelsgebäuden identifiziert. Exemplarisch wird anhand der Interviews deutlich, dass neben einem staatlichen Umweltzeichen oder einer Green Building Planungsdisziplin, insbesondere die Ökonomie in Form von Investitions- und Betriebskosten den größten Stellenwert besitzt. Es braucht einen staatlichen Regulierungsrahmen und neue Geschäftsmodelle, damit nachhaltige Bauprodukte wirtschaftlich werden und durch Stakeholder in den Prozessen der Planung, Bauausführung und dem Betrieb berücksichtigt werden.
This doctoral thesis deals with the topic of organizational misconduct and covers the three salient research streams in this area by addressing its performance outcomes, antecedents, and preventive measures. Specifically, it is concerned with the question of how different forms of misconduct are reflected in the stock performance of related organizations, thereby, covering the three pillars of corporate sustainability environmental, social, and governance (ESG). Furthermore, it aims to conceptualize how individual cognitive biases may lead to misconduct, therefore, potentially representing an antecedent and how existing management control systems can be enhanced to effectively address specific forms of misconduct, respectively. To these ends, the author first reviews the research stream of stock price reactions to environmental pollution events in terms of the underlying research samples, methodological specifications, and theoretical underpinnings. Based on the findings of the systematic literature review (SLR), he performs three stock-based event studies of the Volkswagen diesel emissions scandal (Dieselgate), workplace sexual harassment (#MeToo accusations), and the 2003 blackout in the US to cover the three ESG dimensions, respectively. In line with the SLR, his event studies reveal substantial stock losses to firms involved in misconduct that are eventually even accompanied by a spillover effect to uninvolved bystanders. Then, the author reviews the extant literature conceptually to develop a framework outlining how moral licensing as an individual cognitive bias might lead to a self-attribution of corporate sustainability, a consecutive accumulation of moral credit, and a later exchange of this credit by engaging in misconduct afterward. Finally, he assesses existing workplace sexual harassment management controls, such as awareness training and grievance procedures critically in another conceptual analysis. Based on the shortcomings stemming from management controls' focus on compliance and negligence of moral duties, he introduces five specific nudges firms should consider to enhance their existing management controls and eventually prevent occurrences of workplace sexual harassment. Based on the six distinct articles within this doctoral thesis, the author outlines its limitations and point at directions for future research. These mainly address providing further evidence on the long-term performance effects of organizational misconduct, enriching our knowledge on further cognitive biases eventually leading to misconduct, and conceptualizing nudging beyond the use-case of workplace sexual harassment.
The choice to continue working until or even beyond retirement is a function of the interplay of factors on micro, meso, and macro levels. Research within this area has grown significantly over the last years. I contribute to this line of research with the studies conducted within the scope of this cumulative habilitation thesis. More specifically, the aim of the research presented here is to add to the literature on later life work with the investigation of individual (micro level) as well as job and organizational (meso level) factors that have the potential to contribute to prolonged working lives. I was guided by the general research interest on how individual, job, and organizational factors contribute to later life work, and more specifically to retirement timing and work-related activities beyond normal retirement age. My research was directed by the following research questions: (1) What is the work activity potential of older people in Germany and what characterizes different types of later life work potential? (2) Which role do individual psychological factors such as personality, values, and beliefs play in the context of later life work? (3) How do specific job characteristics interact or align with individual psychological factors with regard to later life work? (4) What characterizes a holistic organizational approach to later life work that helps the alignment of the work environment to older workers’ (individual) needs and abilities?
Following an introduction, I give an overview on the theoretical framework of my research in Chapter 2 (“Theoretical Background”). I describe the conceptualization of later life work before I go into multilevel antecedents of later life work and present key theoretical approaches to a person-environment fit perspective of later life work. In the following four chapters, I present ten studies corresponding to the ten scientific publications that constitute the basis of the cumulative habilitation thesis.
In Chapter 3 (“Later Life Work: Work Activity Potential”) I present research on the extent as well as different types of later life work potential in Germany to describe the context for most of my research. With the two studies presented here (Büsch, Zohr, Brusch, Deller, Schermuly, Stamov-Roßnagel, & Wöhrmann, 2015; Mergenthaler, Wöhrmann, & Staudinger; 2015), I also intend to provide answers to the research question on the later life work potential in Germany and the characteristics of different later life work potential constellations. In Chapter 4 (“Later Life Work: Individual Psychological Factors”) the role of stable as well as malleable individual psychological factors for later life work is explored in two studies (Fasbender, Wöhrmann, Wang, & Klehe, 2019; Wöhrmann, Fasbender, & Deller, 2016). Thus, with the studies presented in this chapter, I contribute to the research question on the role of individual psychological factors in the context of later life work. In Chapter 5 (“Later Life Work: Job Characteristics Corresponding to Older Workers’ Needs and Abilities”) I present three studies exploring the interplay of individual factors and job characteristics for later life work to address the research question on the interaction or alignment of specific job characteristics with individual psychological factors with regard to later life work (Pundt, Wöhrmann, Deller, & Shultz, 2015; Wöhrmann, Brauner, & Michel, 2020; Wöhrmann, Fasbender, & Deller; 2017). Chapter 6 (“Later Life Work: A Holistic Organizational Approach”) reports the development of the Later Life Workplace Index (LLWI) as a multidimensional tool to holistically assess organizational practices and working conditions targeted at the promotion of later life work through the maintenance and enhancement of older employees’ health, work ability, and motivation (Wilckens, Wöhrmann, Adams, Deller, & Finkelstein, 2020; Wilckens, Wöhrmann, Deller, & Wang, 2020; Wöhrmann, Pundt, & Deller, 2018. With the LLWI, I intend to provide an answer to the research question on the characteristics of a holistic organizational approach to later life work that helps the alignment of the work environment to older workers’ (individual) needs and abilities. Finally, in Chapter 7 (“General Discussion”) I discuss the contributions, implications, and limitations of my research presented here.
This dissertation seeks to better understand how design methods facilitate collaborative knowledge production and integration in inter- and transdisciplinary sustainability research. Through five independent papers, this dissertation contributes to addressing the research question on four levels – conceptual-epistemological, empirical, methodological and practical. By exploring the linkages between design research and inter- and transdisciplinary research, a conceptual basis for the targeted use of design methods in collaborative processes of inter- and transdisciplinary research is laid and their spectrum of methods is expanded. This is followed by the development of a transformative epistemology in and for problem-oriented, collaborative forms of research, such as transdisciplinary sustainability research, called problematic designing. Based on a deeper understanding of integration and collaborative knowledge production, as well as its accompanying challenges, empirical research into applying design prototyping as a method in and for situations of collaborative research was conducted. To this end, the findings provide a fundamental basis for the facilitation of inter- and transdisciplinary research processes when dealing with complex problems. With its inherent openness and iterative approach in addressing the unknowns of complex phenomena, design prototyping contributes to the required form of imagination that enables to anticipate possible futures. Furthermore, by including visual-haptic modes of expression, design prototyping reduces the dominance of language and text in scientific negotiation processes and does justice to the diversity of cognitive modes. Finally, the empirical findings of this dissertation emphasise the importance of the visual-haptic dimension for collaborative knowledge production and the communication of knowledge, and provide insights into the visual structuring of human thought processes. The results on material metaphors, collaborative prototyping and material-metaphorical imagery contribute decisively to the basic knowledge of the epistemological quality of design and the importance of the visual and haptic for thought processes in general. The extension and adaptation of existing analysis methods in this dissertation add to the further development of analysis of visual-haptic data. The results are once again reflected in the synthesis of this framework paper as cross-cutting issues.
Increased international compliance with human rights and democracy standards is a core issue for both human rights and democratizing actors as well as for victims of human rights abuse. International human rights organizations (IHROs) are expected to make positive contributions to this end, even though they possess low levels of authority. This authority has been renegotiated multiple times in various reform processes. An oversimplified expectation would have us assume that democracies would want to strengthen IHROs, and that autocracies would seek to weaken them. As the United Nations Human Rights Council (UNHRC) was reformed in 2006, 2007, 2010, and 2011, some autocracies strived to abolish parts of the UNHRC. Other autocracies aimed "merely" to weaken them. Democracies displayed an even larger variance. The question that drives this research work is how we can explain the broad variety of state preferences for strengthening or weakening IHROs. Previous research has mostly concentrated on democracies, leaving autocracies understudied. It also treated countries as black boxes. To account for such shortcomings, first, the author systematically tests the relationship between the UNHRC and its authoritarian and democratic members by means of inferential statistics. Second, he analyzes a bottom-up process inherent to New Liberalism. It scrutinizes the role of domestic societal actors, domestic institutions, as well as pressures on the international stage. The results reveal that societal actors, along with the interplay of wealth and regime type in the international realm, figure as the most important predictors of delegation preferences voiced by autocracies and democracies during the reform of the monitoring bureaucracy Special Procedures of the UNHRC. Societal actors play a more important role in democracies than in autocracies. Institutionalized domestic oversight mechanisms help societal actors to conduct effective lobbying at the domestic level. Oversight mechanisms are more important than the rule of law and electoral institutions. Regarding international coalition building, authoritarian regimes turn out to be better organized than democracies. The author concludes that supporters of strong IHROs shall 1. empower domestic societal actors; 2. disrupt cohesive delegation preferences of authoritarian regimes; and 3. invest in independent domestic oversight mechanisms.oversight mechanisms.
Die rechtlichen Risiken und Rechtsunsicherheiten bei einer grenzüberschreitenden beruflichen Tätigkeit sind vielseitig und nicht zu unterschätzen. Hinzu kommt, dass es bislang noch keine eindeutigen rechtlichen Regelungen für mobiles Arbeiten im Ausland gibt, sodass vorerst nur auf allgemeine Grundsätze zurückgegriffen werden kann. Unternehmen laufen damit schnell Gefahr, die Risiken, die im Hinblick auf mobiles Arbeiten im Ausland drohen, zu übersehen und Anfragen ihrer Mitarbeiter vorschnell, ohne sich mit den hiermit verbundenen rechtlichen Konsequenzen auseinanderzusetzen, zu genehmigen. Ziel dieser Thesis soll es sein, Arbeitgeber und ihre Mitarbeiter auf die Risiken von mobiler Arbeit im Ausland aufmerksam zu machen, ein Problembewusstsein für die gegenwärtigen Rechtsunsicherheiten zu schaffen und davon ausgehend Gestaltungsmöglichkeiten für einen rechtssicheren Umgang mit mobiler Arbeit im grenzüberschreitenden Bereich zu formulieren. Hierfür wird im Zuge der Arbeit ein Leitfaden zur rechtskonformen Ausgestaltung von mobiler Arbeit im Ausland konzipiert. Da der Umfang der Bachelorarbeit beschränkt ist, soll der Fokus im Rahmen dieser Thesis auf mobiler Arbeit im EU-Ausland liegen. In diesem Rahmen werden die Risiken im Hinblick auf ausgewählte steuerrechtliche sowie arbeitsrechtliche Fragestellungen herausgearbeitet.
Food forests present a promising solution to address multiple sustainability challenges adaptable to local contexts. As biodiverse multi-strata agroforestry systems, they can provide several ecological, socio-cultural and economic services. They sequester carbon, limit soil erosion and regulate the micro-climate; they offer the opportunity for education on healthy diets and ecology, and they produce food and can create livelihood opportunities. However, despite their obvious benefits, food forests are still a niche concept. To date, research has focused on their ecological and social services; we lack an understanding of food forests as a comprehensive sustainability solution, including their economic dimension, and knowledge on how to develop them. Addressing these gaps, this qualitative research used a solution- and process-oriented methodology guided by transformational sustainability research. In a comparative case study approach, it created an inventory of 209 food forests, followed by interviews and site visits of 14 sites to understand their characteristics and assess their sustainability (Article 1). More indepth, it analyzed the implementation path of seven food forest for success factors, barriers and coping strategies (Article 2). Based on these insights, two experimental case studies were initiated to develop sustainable food forests with practice partners, one based in Phoenix, Arizona, U.S. and one in Lüneburg, Germany. Two studies analyzed the cases' outputs and processes highlighting success factors and challenges, including the role of a sustainable entrepreneurial ecosystem (Article 3, Phoenix case) and key features of productive partnerships to understand why one case succeeded and the other failed (Article 4). Findings include key features of existing and sustainable food forests as well as success factors on how to develop them; namely acquiring a complementary skill set that includes specialty farming and entrepreneurial know-how, securing sufficient start-up funds and long-term land access as well as overcoming regulatory restrictions. Supporting institutions are especially needed to integrate and professionalize the planning stage and provide know-how on alternative business practices. Key features of productive partnerships include an entrepreneurial attitude, access to support functions, long-term orientation and commitment to food system sustainability.
Beyond Anthropocentric Perspectives on Education
In light of the dramatic growth and rapid institutionalization of human-animal studies in recent years, it is somewhat surprising that only a small number of publications have proposed practical and theoretical approaches to teaching in this inter- and transdisciplinary field. Featuring eleven original pedagogical interventions from the social sciences and the humanities as well as an epilogue from ecofeminist critic Greta Gaard, the present volume addresses this gap and responds to the demand by both educators and students for pedagogies appropriate for dealing with environmental crises.
The theoretical and practical contributions collected here describe new ways of teaching human-animal studies in different educational settings and institutional contexts, suggesting how learners – equipped with key concepts such as agency or relationality – can develop empathy and ethical regard for the more-than-human world and especially nonhuman animals. As the contributors to this volume show, these cognitive and affective goals can be achieved in many curricula in secondary and tertiary education. By providing learners with the tools to challenge human exceptionalism in its various guises and related patterns of domination and exploitation in and outside the classroom, these interventions also contribute to a much-needed transformation not only of today’s educational systems but of society as a whole.
This volume is an invitation to beginners and experienced instructors alike, an invitation to (re)consider how we teach human-animal studies and how we could and should prepare learners for an uncertain future in, ideally, a more egalitarian and just multispecies world.
Die institutionelle Bildung, Erziehung und Betreuung für Kinder im Alter von 0-3 Jahren erfährt seit Beginn der Diskussionen um einen quantitativen Ausbau der institutionellen Betreuungsplätze für diese Altersgruppe, einen intensiven Wandel. Die vorliegende Dissertation eröffnet eine Metaperspektive auf das Feld der Aus-, Fort- und Weiterbildungen im Bereich der Frühpädagogik (Kinder von 0 bis 3 Jahren) und leistet einen Beitrag zur (didaktischen) Weiterentwicklung und Reflexion dieser vielfältigen Lehr-/Lernsettings. Den Kern der Dissertationsstudie bilden qualitative leitfadengestützte (Experten-) Interviews. Das forschungsleitende Interesse ist auf Lehrende im oben genannten Bereich gerichtet, die zum Zeitpunkt der Erhebungen bereits langjährig in diesem Feld tätig sind. Ausgewählte Ebenen und Dimensionen einer Professionalisierung des Feldes werden daher primär aus der Perspektive der dort lehrend tätigen Akteure transparent gemacht. Integriert wird hierbei u.a. die Offenlegung der Anforderungen an die Fachkräfte (die Lernenden) und ihre Aus-, Fort- und Weiterbildner (die Lehrenden) im Kontext der zu gestaltenden (lebenslangen) Lehr-/Lernprozesse. Es werden zentrale Zusammenhänge und Abhängigkeiten aufgezeigt, um eine weitere Systematisierung des Feldes der Aus-, Fort- und Weiterbildungen im Bereich der institutionellen Bildung, Erziehung und Betreuung für Kinder von null bis drei Jahren zu unterstützen. Es wird gezeigt, dass Lehrende aus diesem Bereich Perspektiven, Strategien und Ansätze entwickelt haben, um mit der vorhandenen Komplexität, den Anforderungen und Strukturen des Feldes, bei der Planung sowie Realisierung von Lehr-/Lernprozessen zukunftsorientiert umzugehen. Für die Erarbeitung einer Aus- oder Fort- und Weiterbildung müssen schwerpunktspezifisch, grundlegende, feldbezogene Implikationen und Zusammenhänge aufgearbeitet und den Lernenden transparent gemacht werden. Für die Erarbeitung eines Themas/einer Theorie werden von Lehrenden Reflexionsfolien zur Kontextualisierung dieser sowie Fokussierung und Individualisierung der Lehr-Lernprozesse eingesetzt. Es wird deutlich, dass die am/im Lehr-/Lernprozess beteiligten/wirkenden Ebenen, Akteure und Anforderungen/Konstruktionen sich dabei in wechselseitigen Prozessen der Gestaltung und Aushandlung befinden. Durch ihre vielfältigen Tätigkeitsfelder und Impulse leisten die Lehrenden selbst einen elementaren Beitrag zur Weiterentwicklung des Feldes.
Extracting meaningful representations of data is a fundamental problem in machine learning. Those representations can be viewed from two different perspectives. First, there is the representation of data in terms of the number of data points. Representative subsets that compactly summarize the data without superfluous redundancies help to reduce the data size. Those subsets allow for scaling existing learning algorithms up without approximating their solution. Second, there is the representation of every individual data point in terms of its dimensions. Often, not all dimensions carry meaningful information for the learning task, or the information is implicitly embedded in a low-dimensional subspace. A change of representation can also simplify important learning tasks such as density estimation and data generation. This thesis deals with the aforementioned views on data representation and contributes to them. The authors first focus on computing representative subsets for a matrix factorization technique called archetypal analysis and the setting of optimal experimental design. For these problems, they motivate and investigate the usability of the data boundary as a representative subset. The authors also present novel methods to efficiently compute the data boundary, even in kernel-induced feature spaces. Based on the coreset principle, they derive another representative subset for archetypal analysis, which provides additional theoretical guarantees on the approximation error. Empirical results confirm that all compact representations of data derived in this thesis perform significantly better than uniform subsets of data. In the second part of the thesis, the research group is concerned with efficient data representations for density estimation. The researchers analyze spatio-temporal problems, which arise, for example, in sports analytics, and demonstrate how to learn (contextual) probabilistic movement models of objects using trajectory data. Furthermore, they highlight issues of interpolating data in normalizing flows, a technique that changes the representation of data to follow a specific distribution. The authors show how to solve this issue and obtain more natural transitions on the example of image data.
Environmental perception is one of the biggest challenges in autonomous driving to move inside complex traffic situations properly. Perceiving the road's condition is necessary to calculate the drivable space; in manual driving, this is realized by the human visual cortex. Enabling the vehicle to detect road conditions is a critical and complex task from many perspectives. The complexity lies on the one hand in the development of tools for detecting damage, ideally using sensors already installed in the vehicle, and on the other hand, in integrating detected damages into the autonomous driving task and thus into the subsystems of autonomous driving. High-Definition Feature Maps, for instance, should be prepared for mapping road damages, which includes online and in-vehicle implementation. Furthermore, the motion planning system should react based on the detected damages to increase driving comfort and safety actively. Road damage detection is essential, especially in areas with poor infrastructure, and should be integrated as early as possible to enable even less developed countries to reap the benefits of autonomous driving systems. Besides the application in autonomous driving, an up-to-date solution on assessing road conditions is likewise desirable for the infrastructure planning of municipalities and federal states to make optimal use of the limited resources available for maintaining infrastructure quality. Addressing the challenges mentioned above, the research approach of this work is pragmatic and problem-solving. In designing technical solutions for road damage detection, the researchers conduct applied research methods in engineering, including modeling, prototyping, and field studies. They utilize design science research to integrate road damages in an end-to-end concept for autonomous driving while drawing on previous knowledge, the application domain requirements, and expert workshops. This thesis provides various contributions to theory and practice. The investigators design two individual solutions to assess road conditions with existing vehicle sensor technology. The first solution is based on calculating the quarter-vehicle model utilizing the vehicle level sensor and an acceleration sensor. The novel model-based calculation measures the road elevation under the tires, enabling common vehicles to assess road conditions with standard hardware. The second solution utilizes images from front-facing vehicle cameras to detect road damages with deep neural networks. Despite other research in this area, the algorithms are designed to be applicable on edge devices in autonomous vehicles with limited computational resources while still delivering cutting-edge performance. In addition, the analyses of deep learning tools and the introduction of new data into training provide valuable opportunities for researchers in other application areas to develop deep learning algorithms to optimize detection performance and runtime. Besides detecting road damages, the authors provide novel algorithms for classifying the severity of road damages to deliver additional information for improved motion planning. Alongside the technical solutions, they address the lack of an end-to-end solution for road damages in autonomous driving by providing a concept that starts from data generation and ends with servicing the vehicle motion planning. This includes solutions for detecting road damages, assessing their severity, aggregating the data in the vehicle and a cloud platform, and making the data available via that platform to other vehicles. Fundamental limitations in this dissertation are due to boundaries in modeling. The pragmatic approach simplifies reality, which always distorts the degree of truth in the result.
The doctoral dissertation deals with the problems of the diagnosis of rolling bearings using recurrence analysis. The main topic is the influence of radial internal clearance on the change of dynamics in a self-aligning double-row ball bearing with a tapered bore, in which the axial preload can control this parameter in a wide range. The dissertation began with an analysis of the state of knowledge. In the next part of the dissertation, the thesis was formulated and activities related to its proving were defined. The theoretical part was supplemented with the basics related to vibroacoustic diagnostics of rolling bearings and presented methods that can be used for their diagnostics. The research on proving the thesis was started with the preparation of a mathematical model in which a change in the damping coefficient in the field of radial clearance was adopted, a difference in the clearance value for a given row of balls was proposed, and the influence of shape errors and radial shaft endplay on the dynamics of the tested bearing was taken into account. During the dynamics tests, the radial clearance was adopted as a bifurcation parameter, and on the basis of the bifurcation diagram, it was possible to indicate the characteristic areas of bearing operation due to the radial internal clearance. In order to verify the model, experimental tests were carried out with a series of bearings in which the radial clearance was changed in a wide range possible to be physically realized. Recurrence analysis was used for both the dynamic response obtained from model and experimental studies. Owing to the comparative analysis of the dynamic response, recurrence quantificators were selected that are most susceptible to changes in radial clearance to bearing dynamics. Moreover, as a result of the research, it was possible to select a narrow range of radial clearance, ensuring the smoothest operation of the tested bearing.
Beginning with the theology of Martin Luther and drawing on a selection of feminist theologians, this thesis proposes a relational, agential model of human flourishing. It is rooted in Luther's doctrines of the hiddenness of God and of God’s alien and proper work in the lives of believers. Such an approach gives rise to questions concerning human freedom and agency, sin, and the nature of our relationship with God and with other persons. Many feminist theologies provide an inadequate account of sin and its effects on the person and their relationships. This thesis asserts that taking sin and its effects seriously is essential to developing a secure and healthy self, and a healthy relationship with God and other persons. It therefore proposes a reworked understanding of religious incurvature as a relational model of sin which supports the goal of human flourishing. This concept of the self curved either inwards, or towards another, speaks to the nature of sin in its traditional understanding of sin as pride, as well as addressing feminist criticisms that the notion of sin as pride is not relevant to the needs and experiences of women. The model of human flourishing proposed here is specifically Christian in its assertion that we do not exist as persons, are not fully human, without our being in relationship with the triune God and other created persons. We flourish in community. Further, it supports the idea that true Christian freedom consists of a life dedicated to service of God and others.
Die wissenschaftliche Arbeit analysiert den interkulturellen Austausch zwischen der Türkei und Deutschland auf der Ebene von Forschungskooperationen und bei Akquisitionsgesprächen in der Türkei. Anhand von weiteren Situationsanalysen werden auch die Erfahrungen der Autorin in Deutschland aufgezeigt. Die teilnehmenden Beobachtungen und Situationsanalysen vertiefen empirisch die Frage der kulturellen und sozialen Bedingungen einer Markterschließung im Bereich von menschlichen Beziehungen und ökonomischen Rahmenbedingungen - wobei vor allem Forschungskooperationen in den Feldern von Ernährung und Pharmazie von Interesse sind. Die Analysen der teilnehmenden Beobachtungen werden anhand der Kulturdimensionen von Hofstede durchgeführt, es wird gezeigt inwieweit diese anwendbar sind und mögliche Ergebnisse für die Bewertungen einer Kultur erlauben könnten. Die Kulturdimensionen von Hofstede stehen im Mittelpunkt dieser Arbeit. Zuerst wird die aktuelle politische und wirtschaftliche Lage der Türkei in den letzten 20 Jahren aufgezeigt, dann wird das Konzept der "Interkulturellen Kompetenz" beleuchtet. Sodann wird das Kulturkonzept von Hofstede im interkulturellen Dialog betrachtet und die allgemeine Kritik an Hofstede dargestellt. Auch alternative Theorieansätze werden beschrieben. Die Strategie des Fraunhofer Forschungsverbunds wird über das praktische Vorgehen beleuchtet und Faktoren für den Erfolg beschrieben. Die Arbeit schließt mit einem methodisch-philosophischen Ausblick hinsichtlich des Zusammenhangs vom korrelativen Denken und der Anwendung der Kulturdimensionen von Hofstede.
Corporate Social Responsibility (CSR) has been established in recent years as an essential component of the economic system, demanded and promoted by a wide variety of stakeholder groups. The present dissertation shows that organizations face major communicative challenges with regard to CSR. CSR is not only determined by organizations themselves, but rather arises in the interplay with economic and social discourses. It is assumed that boundarys of organizational action are under constant change, so that CSR actors inevitably initiate constitutive communication processes. The resulting polyphony requires an understanding of the underlying communication processes. Hence, the performative character of CSR communication is taken up by this dissertation and thus the constitution of both the communicating actors and their relationships in the network is illustrated. The presented scientific papers are united by the overarching assumption that communication does not accompany and describe organizational action, but unfolds its own power.
Algorithmic distribution has fundamentally altered the news industry and has led to conflicts over regulatory issues. Focusing on the introduction of European ancillary copyright, this chapter addresses an earlier international reform around algorithmic news distribution. Based on an in-depth thematic analysis of key documents from the policy formulation phase, the chapter maps the arguments for and against the ancillary copyright reform put forward by Google and news publishers in Germany. While we provide a detailed analysis of the underlying rationales of two key actors primarily affected by the regulation, we also place ancillary copyright in the context of competing private property and public policy visions, which allows for a better understanding of how and why different actors take particular positions on copyright reform and algorithmic regulation.
Der vorliegende Beitrag präsentiert ein (Simulations-) Modell zur Erklärung des Verhaltens von Organisationen. Der Modellentwurf basiert auf einem funktionalistischen Ansatz. Danach kann eine Organisation nur überleben, wenn es ihr gelingt, den Systemanforderungen, die sich auf Or-ganisationen richten, zu genügen. Veränderungen von Systemanforderungen bewirken daher An-passungsreaktionen, die allerdings nicht reibungslos ablaufen. Das Modell beschreibt den Verhal-tensprozess, der durch ein gestörtes Systemgleichgewicht ausgelöst wird. Als Modellvariable fun-gieren die Systemanforderungen und das zu seiner Bewältigung implementierte Institutionelle Ar-rangement sowie außerdem Sensitivität, Handlungsbereitschaft, Beharrung, Realismus, Identifika-tion, Handlungsdruck, Unsicherheit, Dysfunktion und Dissonanz. Die Simulationsrechnungen zei-gen, wie sich aus den jeweiligen Variablenkonstellationen bestimmte Verhaltensmuster herausbil-den und welche Mechanismen dafür verantwortlich sind.
This thesis aims to develop a FE-based model of a dieless wire drawing process for wires made from magnesium alloys. To this end a general material model of pure magnesium and a model of the dieless wire drawing process are developed. Based on the general pure magnesium model an alloy specific model for AZ31 wire is developed. The performance of both models is assessed using experimental data generated on a dieless wire drawing prototype.
The process model is conceptionally split into the thermal and mechanical response of the wire. The thermal model is validated by axial temperature profiles and the mechanical model is vali-dated by CSA-reduction and wire force. Both behaviours are validated separately before combin-ing the thus created models into a thermomechanical model of the dieless wire drawing process. The thermal material model is developed for pure magnesium. An initial assumption of limited correlation between content of alloying elements and thermal behaviour, was disproven. As a results in addition to alloy-specific mechanical data, thermo-electric data is recorded to achieve thermal validity of the model. This is done by identifying the experimental maximum temperature of the drawn wire for a given heating power and calculating the necessary input power of the in-duction heating device to achieve this temperature in simulation. The mechanic material model is based on experimental stress-strain curves recorded for each investigated wire materials in addi-tion to pure magnesium data, based on literature.
Results show the thermomechanical magnesium models to be mostly valid, provided process parameters stay within the range of available data on the mechanic material performance. Where the model is forced to extrapolate material behaviour, simulation quality drops. This ap-plies for wire temperature and CSA-reduction. Estimations of wire force are shown to be invalid. For AZ31 wire the thermal model generated valid temperature profiles of the wire. The thermo-mechanical model for AZ31 is shown invalid as both CSA-reduction and wire force deviate from experimental results.
Transformative learning is increasingly set to become an essential component in sustainability transformation. Despite, little has been done to systematically explore the contribution to sustainability transformation. This learning theory developed decades ago independently of sustainability discourses; however, it provides an analytical framework for understanding the learning processes, outcomes and conditions in individual and social learning towards sustainability transformation. Against this background, the following research question arises: To which extent can transformative learning lead to sustainability transformation? This doctoral work aims to explore transformative learning processes, outcomes, and conditions occurring and advancing towards sustainability transformation of the textile-fashion industry in Mexico. Taking an exploratory approach, the methods employed were literature reviews to untangle concepts and to construct theoretical pillars to support the empirical research design and data analysis. For data collection, snowball-sampling techniques were used to explore the practice field of the textile-fashion industry in Mexico. Qualitative interviews were employed to gather data about the learning experiences of actors. Qualitative and quantitative methods were required to perform the respective data analysis, the qualitative codification of interviewees' responses. Analysis of social media content was also utilised to understand the communication and business practices of projects involved in the transformation of the textile-fashion sector. As a result, this work comprises three articles, one a systematic literature review and two empirical research articles, investigating the transformative learning processes of entrepreneurs in the development of sustainability niches. As for the findings of this doctoral work, the use of transformative learning in sustainability transformation requires a careful study of the theory and its conceptual elements. Regarding the case study, transformative learning is inherent in forming and developing sustainability niches as entrepreneurs venture into them: It is individual prior learning, expectations and actions that initiate the path of sustainability transformation while disorienting dilemmas, critical reflection, and discourse accelerate them. Through these stages, it is when individual learning turns into social learning. On the other hand, based on the multi-level perspective, the interplay between the niche, regime and landscape levels generates a space for sustainability transformation and transformative learning.
Rangelands are the most widespread land-use systems in drylands, where they often represent the only sustainable form of land-use due to the limited water availability. The intensity of the land-use of such rangeland ecosystems in drylands depends to a large extent on the climatic variability in time and space. Rangeland systems are seriously threatened by climate change, because climate change will alternate the availability of water in time and space. This dissertation therefore deals with the question which role climatic variability plays for the effects of grazing on vegetation in dry rangelands. The relatively intact steppes in central Mongolia were chosen as a model system. They are characterised by low precipitation and high climatic variability in the south (100mm annual precipitation), and comparatively high precipitation and low climatic variability in the north (250mm). The effects of grazing on vegetation on 15 grazing transects were investigated along the climatic gradient. The central elements were the plant species and their abundances on 10m x 10m areas, for which functional characteristics such as height, affiliation of functional groups or leaf nutrients were recorded. The main hypothesis of this dissertation is that grazing has a greater impact on vegetation communities with increasing rainfall. To test this hypothesis, three studies were carried out. In a first study, the research group found that the vegetation communities in the dry area differ strongly along the climatic gradient, while the plant communities in the wetter area differ more strongly along the grazing gradient. The results of the second study suggested that this difference can be explained by a functional environmental filter that becomes weaker from south to north as the niche spectrum increases. The third study has shown that this is likely a function of the higher availability of resources, which at the same time leads to higher grazing pressure, therewith stressing the vegetation especially in years with droughts. In summary, the author concludes that the climate gradient also represents an environmental filter that filters species for certain characteristics, thus having a significant influence on the vegetation. Climatic variability influences the effect of grazing on vegetation, which is particularly problematic where the grazing intensity is high and the species are less adapted to strong climatic fluctuations. Future scenarios predict increasing productivity and therefore increasing livestock density. This may lead to an increase in floristic and functional diversity across the climate gradient, but also to increasing grazing effects and therefore threads for overgrazing. Increasing climatic variability is likely to intensify this thread, especially in the moister regions, whereas the dry rangelands are likely to be more resilient due to the adaptation of the plants to non-equilibrium dynamics.
Destination websites, which are maintained by destination marketing/management organisations (DMOs), are a key source of information for tourists in the pre-trip phase. DMOs are increasingly applying experiential marketing on their websites to support positive pre-travel online destination experiences (ODEs) and make the vision of the holiday as vivid as possible. However, research into technology-driven travel experiences is still in its infancy. In particular, a theoretical understanding of the nature of ODEs arising from destination websites is still lacking. Therefore, this dissertation is dedicated to an extensive investigation of ODEs on destination websites in the pre-travel phase. The aims were to analyse the influences of experiential design on ODEs, explore the ODE dimensions, and develop and validate a measurement tool for assessing the ODE values of destination websites. In the first qualitative multi-method study (eye-tracking, retrospective think-aloud protocols, semi-structured interviews, and video observations), the objective was to gain an in-depth understanding of the ODE facets in the travel inspiration phase. It was found that the experience dimensions adopted in previous research regarding the product-brand context (sensory, affective, intellectual, social, and behavioural dimensions) also occurred in the ODE context but exhibited some particularities, such as a future-oriented affective component (affective forecasting). Moreover, a supplementary spatio-temporal experience dimension was identified. An online field experiment was subsequently conducted and aimed at assessing the effects of applying experiential marketing on destination websites on ODEs in the travel inspiration phase. Based on the findings of Study 1, an initial attempt at developing an ODE measurement instrument was made and the ODE dimensionality tested. The results showed the theoretically relevant experience dimensions to be less differentiated compared to the product-brand context; instead, they merged into a holistic ODE encompassing several experience facets. Furthermore, it was shown that the application of experiential design enhanced ODEs; however, considering the subjectivity of experiences, the effect was rather small. Accordingly, complex multi-media elements do not automatically increase the experiential effect. In the third study, a quasi-online field experiment was conducted, simulating the travel information phase (higher involvement than Study 2) to re-assess the ODE dimensions and develop and validate a measurement instrument. The results showed the overall ODE to be reflected by two interrelated dimensions that aligned with the dual process theory: hedonic and utilitarian experiences. The facets identified in the first study were largely reflected in these two overarching components. Moreover, a reliable, valid, and parsimonious second-order measure for assessing ODEs was proposed. Overall, the results yielded by this dissertation enhance the scientific understanding of the technology-empowered tourist experience in the currently under-researched pre-travel experience phase. In addition, by proposing a new scale for the measurement of ODEs, this dissertation provides useful methodological advancements that can pave the way for further research in this field.
Increasing objections have been formulated towards broadening the security category. Securitisation is used to bring attention to urgent and existential threats that cannot be resolved through ordinary political decisions. During the time of the state of emergency between 2015 and 2017, France strengthened its security forces and introduced generalised surveillance measures to curb the terrorist threat. The purpose of this Bachelor thesis is to problematise the securitisation of terrorism in the French case. To do so, the Just Securitisation Theory by Rita Floyd is used to examine the following research question: Was it just to securitise terrorism in France between 2015 and 2017? Through critical discourse analysis of 54 presidential speech acts and secondary text analysis, this study aims to scrutinise securitising moves and security practices of the French government. The presented results indicate that the justness of securitisation is highly questionable. The analysis shows that the governments set excessive goals of eliminating terrorism and that security measures were misappropriated to fight organised crime instead of terrorism.
Mit Blick auf eine Optimierung des Lüneburger Radroutennetzes wurde ein umfangreiches Maßnahmenpaket mit Handlungsempfehlungen zur Verbesserung des bestehenden Radverkehrsnetzes entwickelt und 2020 vom Verkehrsausschuss der Hansestadt Lüneburg die Einrichtung eines Fahrradstraßenrings beschlossen. Entschieden wurde die Umwidmung von Straßen, welche um die Fußgängerzone verlaufen, zu Fahrradstraßen, auf denen der Radverkehr Vorrang haben soll. Im Rahmen dieser Arbeit stellt der Stadtteil Rotes Feld den Untersuchungsraum dar. Die Barckhausenstraße, die durch den Stadtteil Rotes Feld führt, stellt einen möglichen Zubringer zum Fahrradstraßenring dar. Ziel dieser Arbeit ist es, die mögliche zukünftige Erweiterung des Fahrradstraßennetzes, das zurzeit lediglich aus dem geplanten Fahrradstraßenring besteht, in Richtung Süden durch die Umwidmung der Barckhausenstraße zur Fahrradstraße zu prüfen. Um die Eignung der Barckhausenstraße als Fahrradstraße zu überprüfen, wird zunächst in einem theoretischen Teil das Planungsinstrument "Fahrradstraße" vorgestellt. Dabei wird ein Überblick über die rechtlichen Rahmenbedingungen und das Einsatzfeld von Fahrradstraßen gegeben. In einem weiteren Abschnitt werden Maßnahmen erläutert, welche über die rechtlichen Voraussetzungen hinausgehen, sowie verschiedene in der Literatur ausgearbeitete Gestaltungsempfehlungen für eine Flankierung der Umwidmung wiedergegeben. Im Anschluss werden die bisherigen gesammelten praktischen Erfahrungen mit Fahrradstraßen in Deutschland beschrieben und die Gestaltung der Wallstraße, der ersten Lüneburger innerstädtischen Fahrradstraße, näher betrachtet. Im folgenden Teil werden der Arbeit zugrundeliegenden Methoden vorgestellt. Zu Beginn wird der Untersuchungsraum eingegrenzt. Danach folgt die Vorstellung der unterschiedlichen verwendeten Methoden zur Untersuchung des Verkehrs in der Barckhausenstraße. In der Folge werden die Ergebnisse der Untersuchungen dargestellt und die möglichen Einflüsse der gewählten Methodik auf die Ergebnisse und die Eignung der Barckhausenstraße als Fahrradstraße reflektiert. Im nächsten Abschnitt werden konkrete Umgestaltungsmaßnahmen für die Barckhausenstraße von der vorherigen Diskussion abgeleitet. Abschließend werden die wesentlichen Erkenntnisse zusammengefasst und ein Ausblick gegeben.
Die sog. Digital Natives, die Generation mit den Geburtsjahren 1981 - 1995 (Generation Y), steht jetzt bereit für den Arbeitsmarkt. Durch den demografischen Wandel sehen sich deutsche Unternehmen mit einer Vielzahl an Herausforderungen wie einem Arbeitnehmermarkt oder der Digitalisierung konfrontiert. Die Ressource Mitarbeiter ist deutschlandweit knapp. In der Steuerberatungsbranche wurde dieser Fakt unlängst zur spürbaren Realität. Folglich gilt es die Generation Y rechtzeitig zu mobilisieren und die Steuerkanzlei in ihrer Führung attraktiv zu gestalten. Ziel dieser Literaturarbeit ist es, die Forschungsfrage zu ergründen, wie die wertorientierte Führung einer Steuerkanzlei gestaltet sein sollte, um für Mitarbeiter der Generation Y ein attraktiver Arbeitgeber zu sein. Zu Beginn wird die Steuerkanzlei als Organisation abgezeichnet. Durch verschiedene Studien wird aufgezeigt, welche Aufgaben mit der Kanzleiführung einhergehen und in welchen Bereichen die Herausforderungen für führende Steuerberater liegen. Nach der Hinführung zu neuen Herausforderungen der Steuerkanzlei im Bereich Personal verschafft das folgende Kapitel ein genaues Bild der Generation Y, auch in Abgrenzung zu den vorherigen Generationen und unter Festhaltung der Werte und Bedürfnisse der Generation Y für den weiteren Verlauf der Arbeit. Anschließend geht es darum, eine wertorientierte Führung, die auf Bedürfnisse und Werte der Generation Y eingestellt ist, zu schaffen und zu etablieren. Nach Vorstellung ausgewählter Führungsansätze folgen auf die Generation Y passende Attraktivitätsfaktoren eines Unternehmens, welche eine veränderte Führung einleiten können. Es werden ausgewählte Theorien und Modelle vorgestellt sowie die Kommunikation innerhalb eines Unternehmens als Schlüsselkompetenz hervorgehoben. Im nächsten Teil werden konkrete Handlungsmaßnahmen vorgestellt. Dabei sollen unterstützende Beispiele aufgezeigt werden, an denen sich die kleine Steuerkanzlei orientieren kann, um die Kanzlei in ihrem Selbstverständnis, ihrem Verhalten, ihrer Kommunikation und damit auch ihrer Führung wertorientiert und auf die Generation Y ausgelegt zu gestalten. Abschließend wird erörtert, wie umsetzbar die Maßnahmen sind.
The worldwide decline of plant and insect species during the last decades has far-reaching consequences for the functionality of ecosystems and their inherent processes. Pollination as one of them is an indispensable ecosystem service for human wellbeing. However, an increasing number of pollinator and plant species are threatened by multiple, interacting, and sometimes synergistic causes that are becoming a growing threat to ecosystem functioning. Given the loss of plant species diversity, it is increasingly difficult for pollinators to find food throughout the year. Therefore, this study analyses the influence of plant diversity on pollinators. The study was conducted in the course of the Jena Experiment, which is a long-term biodiversity experiment (since 2002) with 60 plant species, common to Central European Arrhenatherum grasslands. With a plant diversity gradient of 1, 2, 4, 8, 16, and 60 plant species per plot, time-series data resulted from a wide range of ecosystem processes, ranging from productivity, decomposition, C-storage, and N-storage to herbivory, and pollination. These were studied to investigate the mechanisms underlying the relationships between biodiversity and ecosystem processes. Chapter 2 studies the spatio-temporal distribution of pollinators on flowers along an experimental plant diversity gradient. In particular, the spatial pollinator behaviour was examined. Chapters 3 and 4 continues on the chemical composition of flower nectar (nectar) of various plant species. The chemical composition of the nectar was analysed for the two most important macronutrients, carbohydrates (C) and amino acids (AA), using high performance liquid chromatography (HPLC). Subsequently, their contents were analysed in terms of concentration, proportional content and the ratio of carbohydrates to amino acids (C:AA). In Chapter 3, the nectar of 34 plant species from the grasslands of the Jena Experiment was compared. In Chapter 4, nectar was investigated in the context of diversity effects on the example of the plant species Field Scabious, Knautia arvensis. It was analysed to what extent the nectar quality (nutrient content) differs between plant individuals of one species. Overall, these studies indicate how fragile plant-pollinator interactions are but also how important plant species-rich grasslands are to support plant-pollinator interactions. Increased plant species diversity is essential to ensure the availability of flowering resources throughout the year. Pollinators, such as honeybees, bumblebees, solitary bees, and hoverflies can use the niches in time and in vertical space complementarily. However, in plant species-poor grasslands there may be more niche overlaps, which is probably due to a reduced availability of resources. This points to the need to include different plant species belonging to different plant families, whose nectar may have evolved in response to morphological flower traits and metabolic pathways. Therefore plant species diversity can supply pollinators with nectar differing in carbohydrate and amino acid content and thus differing in quality. Also C-AA ratios have proven to be a useful measurement to reveal differences between plant species. In addition, C:AA ratios were not differing in nectar of K. arvensis individuals growing in different plant species richness levels, although their nectar seemed to be more attractive in mixtures with 16 plant species, likely due to higher content of essential and phagostimulatory amino acids than in plant species-poor mixtures.
The transition of our energy system towards a generation by renewables, and the corresponding developments of wind power technology enlarge the requirements that must be met by a wind turbine control scheme. Within this thesis, the role of modern, model-based control approaches in providing an answer to present and future challenges faced by wind energy conversion systems is discussed. While many different control loops shape the power system in general, and the energy conversion process from the wind to the electrical grid specifically, this work addresses the problem of power output regulation of an individual turbine. To this end, the considered control task focuses on the operation of the turbine on the nonlinear power conversion curve, which is dictated by the aerodynamic interaction of the wind turbine structure and the current inflow. To enable a power tracking functionality, and thereby account for requirements of the electrical grid instead of operating the turbine at maximum efficiency constantly, an extended operational range is explicitly considered in the implemented control scheme. This allows for an adjustment of the produced power depending on the current state of the electrical grid and is one component in constructing a reliable and stable power system based on renewable generation. To account for the nonlinear dynamics involved, a linear matrix inequalities approach to control based on Takagi-Sugeno modeling is investigated. This structure is capable of integrating several degrees of freedom into an automated control design, where, additionally to stability, performance constraints are integrated into the design to account for the sensitive dynamical behavior of turbines in operation and the loading experienced by the turbine components. For this purpose, a disturbance observer is designed that provides an estimate of the current effective wind speed from the evolution of the measurements. This information is used to adjust the control scheme to the varying operating points and dynamics. Using this controller, a detailed simulation study is performed that illustrates the experienced loading of the turbine structure due to a dynamic variation of the power output. It is found that a dedicated controller allows wind turbines to provide such functionality. Additionally to the conducted simulations, the control scheme is validated experimentally. For this purpose, a fully controllable wind turbine is operated in a wind tunnel setup that is capable of generating reproducible wind conditions, including turbulence, in a wide operational range. This allows for an assessment of the power tracking performance enforced by the controller and analysis of the wind speed estimation error with the uncertainties present in the physical application. The controller showed to operate the turbine smoothly in all considered operating scenarios, while the implementation in the real-time environment revealed no limitations in the application of the approach within the experiments. Hence, the high flexibility in adjusting the turbine operating trajectories and structural design characteristics within the model-based design allows for efficient controller synthesis for wind turbines with increasing functionality and complexity.
Urban areas are prone to climate change impacts. Simultaneously the world's population increasingly resides in cities. In this light, there is a growing need to equip urban decision makers with evidence-based climate information tailored to their specific context to adequately adapt to and prepare for future climate change. To construct climate information high-resolution regional climate models and their projections are pivotal. There is a need to move beyond commonly investigated variables, such as temperature and precipitation, to cover a wider breath of possible climate impacts. In this light, the research presented in this thesis is centered around enhancing the understanding about regional-to-local climate change in Berlin and its surroundings, with a focus on humidity. More specifically, following a regional climate modelling and data analysis approach, this research aims to understand the potential of regional climate models, and the possible added value of convection-permitting simulations, to support the development of high-quality climate information for urban regions, to support knowledge-based decision-making. The first part of the thesis investigates what can already be understood with available regional climate model simulations about future climate change in Berlin and its surroundings, particularly with respect to humidity and related variables. Ten EURO-CORDEX model combinations are analyzed, for the RCP8.5 emission scenario during the time period 1970-2100, for the Berlin region. The results are the first to show an urban-rural humidity contrast under a changing climate, simulated by the EURO-CORDEX ensemble, of around 6% relative humidity, and a robust enlarging urban drying effect, of approximately 2-4% relative humidity, in Berlin compared to its surroundings throughout the 21st century. The second part explores how crossing spatial scales from 12.5km to 3km model grid size affects unprecedented humidity extremes and related variables under future climate conditions for Berlin and its surroundings. Based on the unique HAPPI regional climate model dataset, two unprecedented humidity extremes are identified happening under 1.5°C and 2°C global mean warming, respectively SH>0.02 kg/kg and RH<30%. Employing a double-nesting approach, specifically designed for this study, the two humidity extremes are downscaled to the 12.5km grid resolution with the regional climate model REMO, and thereafter to the 3km with the convection-permitting model version of REMO (REMO NH). The findings indicate that the convection-permitting scale mitigates the SH>0.02kg/kg moist extreme and intensifies the RH<30% dry extreme. The multi-variate process analysis shows that the more profound urban drying effect on the convection-permitting resolution is mainly due to better resolving the physical processes related to the land surface scheme and land-atmosphere interactions on the 3km compared to the 12.5km grid resolution. The results demonstrate the added value of the convection-permitting resolution to simulate future humidity extremes in the urban-rural context. The third part of the research investigates the added value of convection-permitting models to simulate humidity related meteorological conditions driving specific climate change impacts, for the Berlin region. Three novel humidity related impact cases are defined for this research: influenza spread and survival; ragweed pollen dispersion; and in-door mold growth. Simulations by the regional climate model REMO are analyzed for the near future (2041-2050) under emission scenario RCP8.5, on the 12.5km and 3km grid resolution. The findings show that the change signal reverses on the convection-permitting resolution for the impact cases pollen, and mold (positive and negative). For influenza, the convection-permitting resolution intensifies the decrease of influenza days under climate change. Longer periods of consecutive influenza and mold days are projected under near-term climate change. The results show the potential of convection-permitting simulations to generate improved information about climate change impacts in urban regions to support decision makers. Generally, all results show an urban drying effect in Berlin compared to its surroundings for relative and specific humidity under climate change, respectively for the urban-rural contrast throughout the 21st century, for the downscaled future extreme conditions, and for the three humidity related impact cases. Added value for the convection-permitting resolution is found to simulate humidity extremes and the meteorological conditions driving the three impacts cases.
Considering the recent success of right-wing populist candidates and parties in the United States and across Europe, there has for some years now been talk among scholars (and the wider public) about a worldwide democratic recession. The younger generations appear to be especially unsupportive of democracy’s liberal principles and more willing to express support for authoritarian alternatives. What these authors overlook, however, is that the publics of advanced industrial societies have experienced an intergenerational value shift. In fact, populations in industrial democracies have become more liberal overall, but not everyone’s mindset is changing at the same speed. It is mainly – but not exclusively – the members of the lower classes that do not keep up. While societies have generally become more liberal, there is increasing alienation between the social classes over these liberal values. Drawing on a more recent trend in social class research with a social cognitive approach, this dissertation contributes to the study of growing anti-democratic tendencies around the world by analyzing the interplay between inequality dynamics and value orientations. The focus lies on investigating the effect socio-cultural polarization (i.e., ideological polarization between social classes) has on civic culture in the mature democracies of the West. The findings suggest that it is not ideological polarization between the social classes that has the greatest negative effect on civic culture, or general civic attitudes and behavior, for that matter. It is the increasing dissent in society about whether the country’s elites are still to be trusted with making the right decisions to increase the average citizen’s quality of life. This difference in opinion manifests itself in a decline in some civic attitudes.
Human activities have become a major driver of global change, so that global society and economy are facing consequences such as climate change, increasing scarcity of resources, environmental pollution and degradation as well as disturbances of ecosystem functioning and services.In order to meet these main challenges in an appropriate way, adequate starting points and solutions must be pursued at all levels to shift the current socio-economic pathway from an unsustainable to a safe operating and thus sustainable development within the planetary boundaries. One of the application concepts in industrial contexts is Industrial Symbiosis (IS), which deals with the set-up of advanced circular/cascading systems, in which the energy and material flows are prolonged for multiple material and energetic (re-)utilization within industrial systems in order to increase resource productivity and efficiency, while reducing environmental impacts. The overarching goal of the research project was to identify and develop approaches to enable the evolution of Industrial Symbiosis (IS) in Industrial Parks (IPs). IS is a collaborative cross-sectoral approach to connect the resource supply and demand of various industries in order to optimize the resource use through exchange of materials, energy, water and human resources across different companies, while generating ecological, technical, social and economic benefits. Many Information Communication Technology (ICT) tools have been developed to facilitate IS, but they predominantly focus on the as-is analysis of the IS system, and do not consider the development of a common desired target vision or corresponding possible future scenarios as well as conceivable transformation paths from the actual to the defined (sustainability) target state. This gap shall be addressed in this work, presenting the software requirements engineering results for a holistic IT-supported IS tool covering system analysis, transformation simulation and goal-setting. This study also aims to present the conceptual IT-supported IS tool and its corresponding prototype, developed for the identification of IS opportunities in IPs. This IS tool serves as an IS facilitating platform, providing transparency among market players and proposing potential cooperation partners according to selectable criteria (e.g. geographical radius, material properties, material quality, purchase quantity, delivery period). Therefore a quantitative indicator system was compiled and recurring patterns were identified to utilize this knowledge in the comprehensive IT-supported IS tool. So this IS tool builds the technology-enabled environment for the processes of first screening of IS possibilities and initiation for further complex business-driven negotiations and agreements for long-term IS business relationships.
Collaborative governance is a promising approach to address the difficult challenges of sustainability through global public and private partnerships between diverse actors of state, market and civil society. The textile and clothing industry is an excellent example where a variety of such initiatives have evolved to address the wicked sustainability challenges. However, the question arises whether collaborative governance actually leads to transformation. In this dissertation, the author therefore questions whether and how collaborative governance in the textile sector provides space for, or pathways to, sustainability transformation. In three scientific articles and this framework paper, the author uses a mixed-methods research approach and follows scholars of sustainability science towards transformation research. First, he conducts a systematic literature review on inter-organizational and governance partnerships before diving into a critical case study on an interactive collaborative governance initiative, the German Partnership for Sustainable Textiles (Textiles Partnership). The multi-stakeholder initiative (MSIs) was initiated by the German government in 2015 and brings together more than 130 organizations and companies from seven stakeholder groups. It aims at improving working conditions and reducing environmental impacts in global textile and clothing supply chains. In two empirical articles, the author then explores learning spaces in the partnership and the ways in which governance actors navigate the complex governance landscape. For the former, he uses a quantitative and qualitative social network analysis based on annual reports and qualitative interviews with diverse actors from the partnership. Then, he uses qualitative content analysis of the interviews, policy documents and conducts a focus group discussion to validate assumptions about the broader empirical governance landscape and the social interactions within. Finally, in this framework paper, he uses theories of transformation to distinguish forms of change and personal, political and practical spheres of transformation, and reflects on the findings of the three articles in this cumulative dissertation.
Who is taken into consideration when we talk about the citizens, about the people or the activists? Often it is a rather unquestioned privileged positionality, which is taken to be the standard that most of the time it is actually not. In this quote, the activist Madjiguène Cissé, from the transnational Sans-Papiers movement, raises that just because someone or something is not visible—to the broader public or a particular public—it does not mean that they have not been there for a long time. Migrant rights activism is not a new phenomenon but has intensified and become more networked and visible over the past years (Eggert & Giugni, 2015). This study explores group contexts of activism by, with and for refugees and migrants in Hamburg, the claims, interactions, challenges and processes that activists experience, discuss and deal with. I have approached activists experiencing political organizing in this context from a constructivist grounded theory perspective. This allowed me to develop conceptual perspectives grounded in activist groups’ realities and was advanced through existing literature on this social movement but also theories from other research fields. Solidarities emerged throughout the research process as a more concrete focus. This research sets out to answer the questions: What does solidarity mean in social movements, and how do migrant rights activist practices result in negotiating, enacting and challenging it?
This publication is a revised version of my dissertation thesis.
Many dynamics are reshaping the global macroeconomics and finance. This cumulative dissertation empirically examines the impacts of two major global dynamics, the disaster risks and the China's rise, on the global economy. Chapter 1 introduces the motivation and summarizes the dissertation. Chapter 2 investigates how geopolitical risks affect financial stress in the whole financial system and its sub-sectors (banking, stock, foreign exchange, bond) of major emerging economies. Chapter 3 shows how different disaster risks (financial, geopolitical, natural-technological) can explain the returns and risk premiums of stock and housing in advanced economies between 1870 and 2015. Chapter 4 examines how the rise of China is contributing to higher economic growth in emerging economies, especially after the Global financial crisis of 2007-2008. Chapter 5 illustrates how a close trade and investment relation with China has helped African countries to reduce poverty and to improve their income distribution.
Crowdfunding is considered a promising instrument for transforming existing socio-technical regimes by financing radical innovations of such entrepreneurs. However, this potential has not yet been fully explored. Therefore, this dissertation addresses the overarching research question of how sustainable entrepreneurs can exploit the full potential of investment-based crowdfunding to develop from niche operators to actors in the socio-technical regime. Five journal articles and one book chapter are included in this PhD project, which use a wide range of quantitative methodologies. In the framework paper, the findings are conceptually evaluated on a meta-level by applying the multi-level perspective. The key insights can be assigned to four categories, including the financing and marketing function, the target group, and the project presentation. The analysis shows that investment-based crowdfunding is suitable to equally fund and market the business ideas of environmental entrepreneurs, since the quest for entering the mass market is highest for such ventures. In contrast, purely social entrepreneurs tend to conduct crowdfunding projects on a smaller scale and probably aim to stay in the niche. Nevertheless, profit-oriented social entrepreneurs are still encouraged to use investment-based crowdfunding for funding and marketing purposes. The prominent display of environmental effects (e.g. the amount of compensated greenhouse gases) and financial incentives (e.g. high interest rates) has a high impact on the investment decision of individuals on investment-based crowdfunding platforms. The case of fairafric is used as a best practice example to demonstrate how crowdfunding can be a stepping stone for sustainability-oriented niche actors to enter the mass market. The fair-trade and organic chocolate manufacturer has undergone six crowdfunding campaigns which enabled it to grow and build a strong community of supporters. The outcomes of this dissertation clarify how sustainable entrepreneurs can unleash the potential of investment-based crowdfunding for financing and marketing purposes.
Der vorliegende Beitrag liefert eine deskriptive Analyse von wichtigen Einflussgrößen auf die Zu-friedenheit. Betrachtet werden drei bedeutsame Arbeitsbedingungen und vier auf die Lebensbe-wältigung bezogene Einstellungen. Als Ausgangshypothese dient die Vermutung, dass die Korrela-tionen zwischen den Arbeitsbedingungen und der Arbeitszufriedenheit enger sind als die Korrela-tionen zwischen den Arbeitsbedingungen und der Lebenszufriedenheit. Umgekehrt ist zu vermu-ten, dass die Einstellungen einer Person sich enger mit ihrer Lebenszufriedenheit als mit der Ar-beitszufriedenheit verbinden. Als Datenbasis dient das Sozioökonomische Panel.
In contrast to the U.S., little research on the impact of structural racism in education in Germany has been conducted so far. Also, the Critical Race Theory (CRT) has little to no relevance in education. As school significantly influences the further life of children and young people, equal opportunities must be ensured to prevent the reinforcement of the social division in Germany. Therefore, this work will examine whether findings from studies in the U.S. can be transferred to the German educational system since both countries struggle with a substantial rise in racism, racially motivated violence, and hate.Hence this work aims to answer the following research question: How does the CRT influence the U.S. educational system and to what extent can these findings be transferred to the German context? First, key terms and the Critical Race Theory will be defined, which are at the core of education reforms and controversies in the US. Then, the history of the U.S. will be examined to contextualise the status quo of the educational system in the U.S. With this background knowledge and drawing from the theoretical framework of CRT, recent educational reforms and their impact will be analysed. Lastly, based on these findings, possible implications for Germany will be formulated.
In dieser Arbeit wird der Forschungsfrage nachgegangen, welche Hinweise auf das Potenzial kunst-basierter Ansätze für den frühkindlichen Bereich einer Bildung für Nachhaltigen Entwicklung (BNE) ermittelt werden können. Dazu wurde ein Projekt für junge Kinder aus dem Theaterbereich hinsichtlich der Frage untersucht, welche Wirkung dessen ästhetische und multi-sensorische Weise der Vermittlung entfalten kann. Empirische Grundlage ist eine Datenerhebung rund um die Aufführung des Theaterstücks "Das große Gewusel - unter Deinen Füßen" des Theaters Mimekry für Kinder des Elementarbereiches in einer Hamburger Kita (Kindertagesstätte), dem Musikkindergarten Finkenau im Juli des Jahres 2021. Die Theatervorstellung handelt von der Vielfalt von Bodenlebewesen und deren Bedeutung für den Aufbau von Humus. Das Stück wurde im Jahr 2020 von der Autorin mit Hilfe von fachlichen Hinweisen von Ökologen und Bodenkundler entwickelt und bereits mehrfach in Kitas und Grundschulen aufgeführt. Die Ergebnisse der Auswertung der Datenerhebung zeigen Hinweise darauf, dass "Das große Gewusel" im Rahmen von für BNE formulierten Kompetenzzielen auf kognitiver, emotionaler sowie körperlich-sinnlicher Ebene Wirkung zeigt.
Neben den Folgen der industriellen Landwirtschaft lassen sich weltweit degradierte Böden, massives Artensterben und ein zunehmender anthropogener Klimawandel verzeichnen. Um diesen Trend zu brechen, muss Landwirtschaft neu gedacht und transformiert werden. Dafür bedarf es innovativer und vor allem nachhaltiger Landnutzungskonzepte. Einen Beitrag zu einem solchen zukunftsfähigen Landnutzungskonzept können Waldgärten leisten. Dabei handelt es sich um mehrschichtige Systeme, welche multifunktional die natürliche Struktur von Wäldern und Waldrändern imitieren. Auf diese Weise können verschiedene Funktionen erfüllt werden, wie beispielsweise die Produktion von vielfältigen Lebensmitteln. Bisher ist das Konzept des Waldgartens in Deutschland noch nicht weit verbreitet. Es wurde bisher wenig wissenschaftliche Forschung auf dem Gebiet betrieben, und in Deutschland existieren bisher nur wenige Waldgärten. In anderen Ländern bestehen hingegen schon länger erste Erfahrungen oder auch schon lange Traditionen mit Waldgärten. Im Folgenden wird die Fallstudie Hof an den Teichen vorgestellt, zusammengefasst, welche Vorarbeiten bereits stattgefunden haben, und das Forschungsziel und die Forschungsfragen hergeleitet.
The question whether representation of travel experience actually leads to personal prestige enhancement has been widely neglected so far. The study of prestige benefits of travel is a necessary endeavour to develop suitable methodological approaches toward the concept, in order to close critical knowledge gaps and enhance scientific understanding. The present thesis lays out the rationale and results of three research projects which shed light onto the relationship between touristic self-presentation and its effects on personal prestige evaluations of the social environment. The empirical studies conclude in the following main findings: (1) Leisure travel is a useful means for people to self-express in a positive way, and material representations of travel are frequently displayed to others. Tourists make use of travel experience to self-present in a positive way by uploading photos on social media, collecting and displaying souvenirs, wearing jewellery and clothing from their last trip, or talking about their trips to others. They express positive self-messages about personal character traits, affiliation to social in-groups and proof of having travelled somewhere. The findings ascertain the utility of travel representations for positive self-expression, showing that travel experience is an effective vehicle for conspicuous consumption and self-expression as an antecedent for personal prestige enhancement. (2) Personal prestige is an element of social relations, and holds capacity to affect perceptions of social inclusion and social distinction, so it has to be conceptualised as a multidimensional construct. In a tourism context, personal prestige is reliably measurable along the four dimensions of hedonism, social inclusion, social distinction and prosperity. The herein developed Personal Prestige Inventory (PPI) is a valid, reliable and parsimonious measurement tool which substantially enhances methodological approaches toward empirical research into personal prestige. (3) The way in which people represent travel experience to others measurably affects how their personal prestige is evaluated by social others. Empirical evidence of a series of experimental studies provides support for the assumption that representation of travel experience has an effect on the social evaluation of tourists' personal prestige. Experimental variance suggests small to moderate effects on personal prestige depending on the amount of leisure information given about a person, participation in tourism, and the destination and type of travel represented. This evidence is reasonable basis to conclude that whether and how people travel, and whether and how they share travel experience with others, does measurably affect social other's evaluation of their personal prestige.
Im Projekt "Nawi-In" (Naturwissenschaftlichen Unterricht inklusiv gestalten) wurde die Entwicklung professioneller Kompetenzen für den inklusiven naturwissenschaftlichen Unterricht von Lehramtsstudierenden der Primar- und Sekundarstufe beforscht. Dabei wurden Lehramtsstudierende des naturwissenschaftlichen Primar- und Sekundarstufenunterrichts über drei Semester im Projektbandseminar begleitet. Als Teilprojekt des Projekts "Nawi-In" setzt diese Arbeit den Schwerpunkt auf drei Fokusse: die Entwicklung des Kategoriensystems inklusiver naturwissenschaftlicher Unterricht (KinU), die Beforschung der professionellen Handlungskompetenz sowie der professionellen Wahrnehmung bezüglich inklusiven naturwissenschaftlichen Unterrichts. Im ersten Fokus geht es sowohl um die Entwicklung und Validierung des KinUs als auch um die Überprüfung der Gütekriterien des KinUs. Zunächst wurden die Charakteristika inklusiven naturwissenschaftlichen Unterrichts, die die Kategorien des KinUs 1.0 darstellen, in einem systematischen Review aus der Literatur induktiv abgeleitet. Die Kategorien (n=935) verteilten sich auf insgesamt vier Abstraktionsebenen von der allgemeinen Hauptkategorienebene über die Subkategorien-, Code- bis hin zur konkreten Subcode-Ebene des KinUs. Während zunächst n=16 Kategorien die Verbindung naturwissenschaftlicher Charakteristika mit der inklusiven Umsetzung auf der Hauptkategorien-Ebene gebildet haben, waren es nach der Weiterentwicklung und Überarbeitung des KinUs 2.0 n=15 Hauptkategorien. Die Weiterentwicklung des KinUs fand mithilfe der Validierung durch Datentriangulation statt. Durch die Anwendung des KinUs auf Video- und transkribierte Audiodaten wurden fortlaufend weitere Kategorien induktiv abgeleitet. Zudem wurde die Struktur des KinUs vereinfacht, sodass die inklusiven Zugänge zu jedem naturwissenschaftlichen Charakteristikum bis zur Code-Ebene als ein gleichbleibendes Muster abgebildet werden können. Der zweite Fokus bezieht sich auf die Entwicklung und Beforschung der professionellen Handlungskompetenz der Lehramtsstudierenden bezüglich inklusiven naturwissenschaftlichen Unterrichts. Dabei wurde analysiert, welche inklusiv naturwissenschaftlichen Charakteristika Lehramtsstudierende in ihrem Unterricht implementieren, wie sich ihre professionelle Handlungskompetenz während der Praxisphase entwickelt sowie welche Unterschiede und Gemeinsamkeiten sich für die Primar- und Sekundarstufen bezüglich ihrer professionellen Handlungskompetenz ergeben. Dafür wurden die Unterrichtsvideos, die die Studierenden während der Praxisphase jeweils zweimal von ihrem eigenen Unterricht angefertigt haben, mit dem KinU qualitativ inhaltlich analysiert. Insgesamt haben die Studierenden zwar unterschiedliche Zugänge auf der Subkategorien-Ebene zum naturwissenschaftlichen Unterricht implementiert, allerdings haben sie den Schülern innerhalb dieser Zugänge nur selten verschiedene Optionen geboten. Im Vergleich der Schulstufen zeigt sich, dass sich die zunehmende Fachlichkeit von der Primar- zur Sekundarstufe widerspiegelt. Insgesamt haben die Studierenden von dem ersten zum zweiten Unterrichtsvideo zunehmend mehr inklusiv naturwissenschaftliche Charakteristika in ihren Unterricht implementiert. Im dritten Fokus wurde die professionelle Wahrnehmung von Lehramtsstudierenden bezüglich inklusiven naturwissenschaftlichen Unterrichts beforscht. Dabei wurde analysiert, welche inklusiv naturwissenschaftlichen Charakteristika Lehramtsstudierende wahrnehmen, wie sich ihre professionelle Wahrnehmung entwickelt sowie welche Unterschiede und Gemeinsamkeiten sich für die Primar- und Sekundarstufe bzgl. ihrer professionellen Wahrnehmung ergeben. Dafür wurden video-stimulierte Reflexionen durchgeführt, wobei die Studierenden Videoszenen bzgl. inklusiven naturwissenschaftlichen Unterrichts beschreiben, interpretieren sowie Handlungsalternativen generieren sollten. Bei den Video-Stimulated Reflections (VSRef) haben die Studierenden eine Videovignette aus einem Sachunterricht zum Thema Löslichkeit reflektiert. Die VSRefs wurden zu drei Zeitpunkten durchgeführt: vor dem ersten Mastersemester und vor sowie nach der Praxisphase im zweiten Mastersemester. Zudem wurden während der Praxisphase jeweils zweimal mit allen Studierenden Video-Stimulated Recalls (VSR) durchgeführt. Dabei haben die Studierenden Ausschnitte ihrer eigenen Unterrichtsvideos reflektiert. Sowohl die VSRef als auch die VSR wurden transkribiert und mit dem KinU qualitativ inhaltlich analysiert. Die Lehramtsstudierenden haben zunehmend mehr inklusiv naturwissenschaftliche Charakteristika in den eigenen und fremden Unterrichtsvideos wahrgenommen. Zwischen den Schulstufen waren nur geringe Unterschiede zu erkennen. Am häufigsten haben die Studierenden Zugänge zur inklusiven Gestaltung der Anwendung naturwissenschaftlicher Untersuchungsmethoden wahrgenommen. Insgesamt zeigt sich, dass die Lehramtsstudierenden ihre professionellen Kompetenzen bzgl. inklusiven naturwissenschaftlichen Unterrichts weiterentwickeln konnten. Zudem wurde mit der Entwicklung des KinUs ein Kategoriensystem zur Beforschung und ein Unterstützungsraster für Lehrkräfte zur Gestaltung inklusiven naturwissenschaftlichen Unterrichts geschaffen.
Ausgangspunkt der vorliegenden Bachelorarbeit ist der Zusammenhang einer (weiblich) vergeschlechtlichten Berufsgruppe im Sinne einer Gendered Profession und den politischen Programmen um mehr Männer in der Elementarpädagogik ist. Hierzu wird nicht die Legitimität der Forderung eines quantitativ höheren Anteils an Männern in der Elementarpädagogik erörtert. Vielmehr soll unter Zuhilfenahme eines wissenssoziologisch-diskursanalytischen Zugangs, durch die Analyse von audiovisuellen Daten der Kampagne "Vielfalt, MANN! Dein Talent für Hamburger Kitas", die Fragestellung untersucht werden, wie welche Konstruktionen zu Männlichkeit im Diskurs um mehr Männer in Berufsfeldern der Elementarpädagogik hervorgebracht werden. Zunächst skizziert die Arbeit den Forschungsstand über (diskursive) Hervorbringungsformen von Männlichkeit(en) im Kontext der Forderung nach mehr Männern in sozialen Berufen. Darauf aufbauend werden Forschungsdesiderate abgeleitet und anschließend verschiedene theoretische Konzepte zu Männlichkeit und Gender vorgeschlagen. Gewählt wurde: eine Perspektive auf Geschlecht als Strukturkategorie, habitustheoretische Perspektiven auf Männlichkeit, das Konzept der Hegemonialen Männlichkeit und Caring Masculinities sowie diskursanalytische Perspektiven auf Männlichkeit. Außerdem wird der Untersuchungsgegenstand als in vergeschlechtlichten Arbeitsmarktstrukturen und einer politischen Programmatik situierter kontextualisiert. Im nächsten Abschnitt wird das zugrundeliegende Studiendesign dargestellt und die Ergebnisse der Analyse herausgearbeitet. Identifiziert wurden drei programmatisch verschiedene Diskurse zu Männlichkeit, welche sich teilweise wiedersprechende Männlichkeitskonstruktionen (re-)produzieren. Es wurde (1) ein bürgerlicher Männlichkeitsdiskurs, (2) ein wissenschaftlich orientierter Männlichkeitsdiskurs und (3) ein Arbeitsmarktdiskurs analysiert. Abschließend findet unter der Beantwortung der Fragestellung eine Diskussion der Ergebnisse mitsamt Ausblick statt.
Im deutschsprachigen Raum fehlt es an gezielten präventiven Maßnahmen für Kindergartenfachkräfte, um das Emotionswissen von Kindern kontextsensibel und alltagsintegriert über die Sprache in Routinesituationen zu fördern. Diese Lücke soll durch die Entwicklung und Evaluation eines Emotionswissen-Trainings ("Em:-)s") für Kindergartenfachkräfte geschlossen werden. Im ersten Teil soll auf den theoretischen Hintergrund des Konstrukts "Emotionswissen" eingegangen werden. Darüber hinaus wird erklärt, wie sich das Emotionswissen im Kindergartenalter entwickelt, welche Rolle die Sprache spielt, warum die Förderung wichtig ist und welche aktuellen kommunikationsbasierten Tools geeignet sind, um das Emotionswissen bei Kinder zu fördern. Der folgende Abschnitt beschäftigt sich mit den Auswirkungen fehlender Förderung des Emotionswissens sowie den Fördermöglichkeiten im Kindergarten. Dabei wird auf bereits existierende Präventions- und Interventionsprogramme eingegangen. Im Anschluss folgt die theoretische Einbettung sowie die Entwicklung und Umsetzung von Emojis. Die verschiedenen Trainingsinhalte sowie die angewendeten Methoden werden vorgestellt. Dann folgen theoretische Vorüberlegungen sowie die Evaluation von Emojis auf vier verschiedenen Ebenen. Abschließend werden in diesem Abschnitt Zielsetzungen und Fragestellungen der Evaluation formuliert. Im folgenden Abschnitt werden dann die verwendeten Methoden näher vorgestellt. Im Ergebnisteil erfolgt zuerst die Analyse der fehlenden Werte. Da in der vorliegenden Arbeit eine hohe Anzahl an fehlenden Werten vorlag, wurden die Daten imputiert und anschließend separat (originale und gepoolte Daten) dargestellt. Es folgt im Anschluss eine Darstellung der methoden- und erwartungsbezogenen Ergebnisse. Im letzten Abschnitt der Arbeit werden die Ergebnisse der Evaluationsstudie interpretiert und in die aktuelle Forschung eingeordnet. Darüber hinaus werden die Ergebnisse der Dissertation mit drei anderen deutschsprachigen Präventionsprogrammen verglichen. Abschließend werden die Limitationen der Evaluationsstudie besprochen.
Kinder werden häufig vor Fremden gewarnt, die sie auf dem Nachhauseweg ansprechen. Doch wie steht es um Fremde, die sich im Netz hinter dem Profil eines Kindes verstecken? Vor dem Hintergrund steigender Fälle von Cybergrooming war es Ziel dieser Pilotstudie, eine Bestandsaufnahme über das Vertrauen von Kindern der dritten und sechsten Klasse in "gleichaltrige" Fremde im Internet zu geben. Darüber hinaus gewährt die Studie Einblicke in Erfahrungen, die Kinder mit Fake-Profilen, sprich Profilen mit unwahren Identitätsinformationen, gemacht haben. Der Versuchsaufbau folgte einem 2 x 2-faktoriellen quasiexperimentellen Design mit dem Zwischensubjektfaktor "Alter" (3. Klasse vs. 6. Klasse) und dem Innersubjektfaktor "Ort des Kontakts" (offline vs. online). Die Stichprobe bildeten 58 Schüler der dritten (n=31) und sechsten Klasse (n=27). Es wurde ein Fragebogen genutzt, der die Bewertung der Vertrauenswürdigkeit der Fremden, das Vertrauen in deren Identitätsinformationen sowie Erfahrungen mit Fake-Profilen erfasste. Die Ergebnisse zeigen, dass Kinder Fremde online als signifikant weniger vertrauenswürdig einschätzen im Vergleich zu Fremden offline. Darüber hinaus vertrauten dem Online-Fremden die älteren Sechstklässler signifikant weniger als die Drittklässler. Fast jedes zweite Kind gab Erfahrung mit Fake-Profilen an, jedoch wurden nur wenige geeignete Erkennungsmerkmale für diese genannt. Aus den Ergebnissen lässt sich ableiten, dass Kinder bereits um die Gefahr von Fake-Profilen wissen, allerdings scheinen sie teilweise ratlos zu sein, wenn es um deren Erkennung geht.
This doctoral dissertation analyses the environmental governance of long-distance social-ecological interactions in telecoupled systems in two issue domains: global commodity chains and infrastructure projects as part of China’s Belt and Road Initiative (BRI). Although both domains involve different governance actors, institutions and processes, they both concern the question of how the involved actors develop governance structures and institutional responses to telecoupling. This dissertation aims to contribute to a deeper understanding of how to govern environmental problems that are associated with global flows. Since many multilateral environmental governance initiatives have not yet produced the desired solutions to global problems, particular attention is directed at unilateral state-led governance approaches. This dissertation addresses the questions of (1) how to achieve a spatial fit between the scale of telecoupled systems and the scale of governance institutions, (2) how governance actors exercise agency in governing telecoupled systems, and (3) how state actors can govern the domestic and foreign environmental effects of telecoupled flows. The results show that creating a spatial fit in the governance of global commodity flows is challenging because boundary and resolution mismatches can emerge. Boundary mismatches denote situations where social-ecological problems transcend established jurisdictional boundaries, whereas resolution mismatches refer to governance institutions that have too coarse a spatial resolution to allow them to address the specific aspects of social-ecological problems effectively. No single governance institution is likely to avoid all mismatches, which highlights the need to align multiple governance approaches to effectively govern telecoupled systems.
The Sustainable Development Goals (SDGs) recognize the importance of the inextricable link between social and ecological systems and human quality of life (QoL) and biodiversity. Therefore, understanding the feedback and interactions between biodiversity, nature’s contributions to people (NCP), and QoL plays a central role in advancing toward sustainability. In this context, the social-ecological systems (SES) approach has advanced on the subject, particularly in recent decades; however, much remains to be done to comprehensively understand these relationships and interactions, especially at local decision-making scales. In this thesis, through the lenses of the SES approach, the researcher investigates connections between biodiversity, NCP, and QoL in a tropical dry forest (TDF) on the Western coast of Mexico. This place is one of the best-known Neotropical TDF and has been the focus of SES research in the past 20 years, making it an excellent case study for exploring these connections. First, to approach the need for dialogue among different global and local scales and between global and local frameworks, the thesis identifies five key components of the SES dynamics-(1) ecological supply, (2) co-production of NCP, (3) management, (4) demand, and (5) benefits - and three local decision-making scales of analysis: individual plot, smallholder, and land tenure or governance units. A literature review was performed on the social-ecological indicators for the last 11 years in the Chamela-Cuixmala region to operationalize this framework. Second, this thesis uses social-ecological information to identify social-ecological systems units (SESU) spatially explicitly. A methodology was provided to spatially identify the components of social-ecological systems that environmental conditions and management practices have shaped at three previously stated relevant decision-making scales: plots owned by individuals, plot owners, and governance units. To do so, the research group identified and characterized: (1) ecological clusters (EC), (2) social-management clusters (SC), and (3) SESU in a TDF in western Mexico. The findings suggested that decision-makers (ejidatarios, i.e., type of ownership (related to agrarian reform), that in most cases the land allocated is small-smallholders) are bounded by the topographical characteristics and the public policies that determine communal (or private) governance and the number of resources available to them. Finally, the thesis examines the self-perceived QoL across the different SESU, finding 48 QoL items, which were grouped into six categories: 1) social capital, 2) economic capital, 3) agency, 4) nature, 5) peasant non-work activities, and 6) government and services; and two additional dimensions referred to obstacles and enablers of QoL. The researchers found that the more land cover transformation, the more enablers, and obstacles of QoL are identified; emphasis was put on economic capital to achieve QoL. As management is intensified and governance fosters individualism across SES, the higher the Current Welfare Index, and the lower the self-perceived material and non-material satisfaction.
This research argues that the emergent driverless car, as a kind of autonomous vehicle, is a Foucault-ian "ethical apparatus", working as an epistemic device to materially embody and enable discursive power by generating notions of "autonomy" and "ethical decision-making". The ethical implications of AI, algorithmic, and autonomous technologies are topics of current regulatory and academic concern. This concern relates to the lack of meaningful oversight of black boxes inside AI systems, liabilities for manufacturers, and inadequate frameworks to hold AI-based socio-technical systems to account. One recent artefact, the driverless car, has taken on these concerns quite literally in the shaping of a niche discourse of the "ethics of autonomous driving". Ambitions to produce a fully autonomous vehicle based on AI technologies are constrained by speculative concerns that its decision-making in unexpected accident situations cannot be assumed to protect humans. "The ethics of autonomous driving" evaluates proposals to build "ethical machines" by examining the relationship between structures of human values and moral decision-making, and how they comport to computational architectures for decision-making. This is the first case this work takes up, chiefly organised around an analysis of a thought experiment, the Trolley Problem, and the online game, Moral Machine, that crowdsourced values to suggest approaches to an "ethics of autonomous driving". Rather than evaluate the feasibility or appropriateness of these two approaches, this work attends to the more critical issue that ethics is being proposed in terms of technologies turning on the logics of risk, speculation, and probabilistic correlations that are fundamental to how machine learning makes decisions. The concern in this work is less a normative framework or approach for a better or more appropriate ethics of autonomous driving. Rather, this work argues that what we understand as "the ethical" is being transformed when architected by, through, and for Artificial Intelligence / autonomous technologies to become their own regulators. Hence the production of autonomous driving necessitates computational infrastructures that are creating a world legible to and for the navigation of a driverless car. The author argues that this is fostering computational governance that has implications for human bodies and social relations, chiefly that conventional approaches to regulation and accountability attend to human values and decision-making rather than computational ones. A second case that this research examines is that of driverless car crashes, to examine how "autonomous" driving requires substantial embodied human knowledge and micro-work. Taken together, these two cases make an argument for how myriad practices of knowledge-production are translating the human world into something legible to the navigational needs of the car, producing changes in the human world through the actions of the car on that basis, and advancing notions of "autonomy". This work concludes with arguments for a critical reconceptualisation of ethics and ethical decision-making in AI / autonomous systems.
Die Nutzung von YouTube-Tutorials in Lernprozessen wird häufig informellen Lernstilen zugeordnet. Betrachtet man die kommunikative Funktionsweise von Tutorials, können diese durch ihren instruktionalen Charakter jedoch auch als non-formales Lernangebot interpretiert werden. Strukturierung, Umfang und Thema werden durch die Videourheber bestimmt, ohne dass eine Anpassung an situative Bedürfnisse der Lernenden vorgesehen ist. Je nach Urheber kann ein Tutorial sogar einen formalen Kontext darstellen. In dieser Arbeit werden Fallbeispiele für beide Lernangebote herangezogen. Die Probanden, professionelle Musiker, sind dabei konfrontiert und treten in Interaktion mit einem postdigitalen "MusikmachDing" (Ismaiel-Wendt, 2016) auf der einen Seite und dem Computer, welcher die Plattform YouTube, Tutorials und gegebenenfalls Musik-Softwares abbildet, auf der anderen Seite. Das betrachtete Datenmaterial besteht aus filmischen Selbstdokumentationen (Maleyka et al., 2018). Anhand dieser Fallbeispiele wird innerhalb dieser Arbeit analysiert, inwiefern die Lernenden in die in den Tutorials angelegte Vorstrukturierung des Lernprozesses eingreifen. Idealerweise können so Hinweise gewonnen werden auf (1) Qualitätskriterien für die Gestaltung von digitalen Lernumgebungen und Musik-Tutorials sowie (2) auf speziell durch postdigitale "MusikmachDinge" erzeugte Herausforderungen. (3) Zudem werden die herausgearbeiteten Praktiken mit dem aktuellen Forschungsstand zu informellem und digitalem Lernen verknüpft und dadurch beispielhaft die spezifische Gestaltung postdigitaler Lernprozesse dargestellt.