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Institute
- Fakultät Wirtschaftswissenschaften (55) (remove)
Der Ausbau der erneuerbaren Energien als Ausprägung des klimaschutzpolitischen Substitutionsansatzes wird in Deutschland mithilfe verschiedener Gesetze gesteuert. Dabei haben sich in mehr als 30 Jahren umfangreiche Regelungsstrukturen herausgebildet. Besonders ausgeprägt ist dies im Stromsektor zu beobachten. Hier kön-nen ausgehend vom Kartellrecht über den Zwischenschritt des Stromeinspeisungsgesetzes bis zu den verschie-denen Fassungen des Erneuerbare-Energien-Gesetzes vielfältige Entwicklungslinien anhand ausgewählter kon-kreter Veränderungen aufgezeigt werden. Sowohl im Hinblick auf Änderungsdynamik wie -tiefe deutlich weni-ger ausgeprägt sind dagegen die Entwicklungslinien im Wärmesektor. Diese nehmen ihren gesetzlichen Ur-sprung erst 2009 mit dem Erneuerbare-Energien-Wärmegesetz, um dann zusammen mit den gebäudebezoge-nen Effizienzregelungen 2020 infolge eines umfassenden rechtlichen Konsolidierungsschritts im Gebäudeener-giegesetz zu münden.
Die Ausgestaltungsschritte im deutschen Erneuerbare-Energien-Recht sind auf vielfältige Weise mit den Ent-wicklungen im europäischen Rechtsrahmen zur Steuerung des Ausbaus der erneuerbaren Energien verwoben. Dies betrifft zunächst die Judikatur zu den primärrechtlichen Anforderungen an die Ausgestaltung mitglied-staatlicher Förderinstrumente, gilt aber besonders für die Entwicklungen im Sekundärrecht. Hier hat sich seit 2001 in mehreren Schritten eine immer detailliertere sekundärrechtliche Ordnung entwickelt. Dabei beinhalten die Entwicklungen der Erneuerbare-Energien-Richtlinien nicht nur eindimensional Steuerungs- und Bindungs-wirkungen von der supranationalen in Richtung der mitgliedstaatlichen Ebene. Vielmehr finden sich darin auch Entwicklungen zur Beschränkung der europarechtlichen Einflüsse, namentlich der Vorgaben zur Warenver-kehrsfreiheit und des Beihilferechts, die eine unmittelbare Reaktion der Mitgliedstaaten auf die Entscheidun-gen der europäischen Gerichte und der Europäischen Kommission darstellen.
Das Erneuerbare-Energien-Recht ist zudem eingebettet in das übergreifende Umweltenergie- und Klima-schutzrecht. Mit der sowohl auf europäischer als auch deutscher Ebene im Werden befindlichen umfassenden Klimaschutzordnung lassen sich ebenso wie mit dem sich fortlaufend ändernden Instrumentenmix zahlreiche Wechselwirkungen feststellen. Der mit der neuen Klimaschutz-Governance geschaffene prozedurale Rahmen etabliert ein System von Klimaschutzzielen, Evaluierungs- und Nachsteuerungsvorgaben. Dieser ist aber mit dem Erneuerbare-Energien-Recht und dessen Zielen nur lose verbunden. Detaillierungsgrad und Steuerungs-wirkung der europäischen und der deutschen Klimaschutz-Governance unterscheiden sich dabei deutlich, was auch mit den stärkeren Koordinationsbedürfnissen im eher vertikal orientierten supranationalen Regelungs-verbund begründet ist.
Dass die Entwicklung im Erneuerbare-Energien-Recht in absehbarer Zeit zu einem Endpunkt gelangen könnten, ist nicht zu erwarten. Dies wird deutlich, wenn die tatsächlichen Herausforderungen der Transformation und aktuell diskutierte Themenfelder für die weitere Fortschreibung dieses Rechtsbereichs betrachtet werden. Dabei sind die verschiedenen Dimensionen der Integration erneuerbarer Energien zur Vertiefung der System-transformation ebenso von Bedeutung, wie Regelungen zu Akzeptanz und Teilhabe sowie zur Beantwortung der Verteilungsfragen einerseits und eine Reduktion des Komplexitätsumfangs im Recht anderseits.
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, "Determinants and effects of sustainable CEO compensation: a structured literature review of empirical evidence," 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, "Mapping the determinants of carbon-related CEO compensation: a multidimensional approach," 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, "Climate change policies and carbon-related CEO compensation systems: an exploratory study of European companies," 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.
Der Begriff Blockchain tritt zum ersten Mal in Verbindung mit der Kryptowährung Bitcoin im 21. Jahrhundert auf. Bitcoin basiert auf einer dezentralen Open Source Software, welche Ende 2008 erstmals vorgestellt und kurz danach gestartet wurde. Das anfänglich beschriebene Protokoll von Bitcoin hat sich mittlerweile zu einem Phänomen entwickelt, dass unter dem Begriff Kryptoökonomie zusammengefasst wird. Es ist ein Phänomen, dass eine Revolution in vielen Bereichen der Wirtschaftssysteme hervorrufen wird.Im Zentrum stehen dabei dezentrale und fälschungssichere Datenbanken, dessen Wertschöpfung auf kryptografischen Algorithmen basieren. Mittlerweile ist Bitcoin nicht mehr die einzige Kryptowährung, denn innerhalb der
letzten sieben Jahre hat sich ein großes, vielseitiges Universum von Kryptowährungs- und Kryptotransaktionssystemen entwickelt. Am 11.10.2016 sind auf der Webseite coinmarketcap.com 711 verschiedene Kryptowährungen eingetragen, die einen Wechselkurs besitzen. Es kann davon auszugehen sein, dass noch eine Vielzahl weiterer Kryptowährungen existieren, welche keinen Wechselkurs ausweisen, unter privater Nutzung stehen oder sich noch in Entwicklung befinden. All diese Entwicklungen werden durch die Blockchain vereint. Auch Swan sieht in der Blockchain die größte technologische Innovation von Bitcoin. Sie vergleicht dabei die Blockchain-Technologie mit dem revolutionären Potential des Internets und ordnet Blockchain nach der mobilen und sozialen Vernetzung als fünftes,disruptives Computerparadigma ein. Sie untergliedert die zahlreichen Systeme in Bezug auf die Blockchain in drei Kategorien.
The wide accessibility of the Internet and web-based programs enable an increased volume of online interventions for mental health treatment. In contrast to traditional face-to-face therapy, online treatment has the potential to overcome some of the barriers such as improved geographical accessibility, individual time planning, and reduced costs. The availability of clients’ treatment data fuels research to analyze the collected data to obtain a better understanding of the relationship among symptoms in mental disorders and derive outcome and symptom predictions. This research leads to predictive models that can be integrated into the online treatment process to assist clinicians and clients.
This dissertation discusses different aspects of the development of predictive modeling in online treatment: Categorization of predictive models, data analyses for predictive purposes, and model evaluation. Specifically, the categorization of predictive models and barriers against the uptake of mental health treatment are discussed in the first part of this dissertation. Data analysis and predictive modeling are emphasized in the second part by presenting methods for inference and prediction of mood as well as the prediction of treatment outcome and costs. Prediction of future and current mood can be beneficial in many aspects. Inference of users’ mood levels based on unobtrusive measures or diary data can provide crucial information for intervention scheduling. Prediction of future mood can be used to assess clients’ response to the treatment and expected treatment outcome. Prediction of the expected treatment costs and outcomes for different treatment types allows simultaneous optimization of these objectives and to increase the cost-effectiveness of the treatment. In the third part, a systematic predictive model evaluation incorporating simulation analyses is demonstrated and a method for model parameter estimation for computationally limited devices is presented.
This dissertation aims to overcome the current challenges of predictive model development and its use in online treatment. The development of predictive models for varies data collected in online treatment is demonstrated and how these models can be applied in practice. The derived results contribute to computer science and mental health research with client individual data analysis, the development ofpredictive models, and their statistical evaluation.
Entwicklungen und Potenziale der Kultur- und Kreativwirtschaft im ländlichen Raum - Der Kreis Höxter
(2014)
Mit dem Thema „Kultur- und Kreativwirtschaft“ kam ich zum ersten Mal 2009 im Rahmen eines Praktikums in der Staatskanzlei des Bundeslandes Nordrhein-Westfalen in Kontakt. Damals waren in der Kulturverwaltung des Landes alle Weichen auf die Vorbereitung und die politische sowie administrative Begleitung der Kulturhauptstadt Europas RUHR.2010 gestellt. Dass mit dem Ruhrgebiet eine gesamte Region den Zuschlag für die Ausrichtung
des Jahres erhielt, war ein Novum. Von der Entwicklung diverser Vorgängerprojekte und - veranstaltungen über die tatsächliche Ausgestaltung des Rahmenprogramms bis hin zur anschließenden Nachbereitung und Evaluation der einzelnen Programmpunkte und des gesamten Jahres: Bei allen Projektschritten nahmen Unternehmen und Akteure der Kultur-und Kreativwirtschaft eine essenzielle Rolle ein. Besonders reizvoll an einer eingehenden Beschäftigung mit dem Thema „Kultur- und Kreativwirtschaft“ war für mich dessen Interdisziplinarität. Neben Fragen, die aus der Interdependenz von Kultur und Ökonomie hervorgehen, entwickelte ich spezielles Interesse an der Ausgestaltung einer Policy für diese neu limitierte Wirtschaftsbranche.
Nach meiner Bachelor-Arbeit zu einer kulturpolitischen Fragestellung schloss ich während meines Master-Studiums an der Leuphana Universität Lüneburg eine Praxisphase in der Abteilung „Kulturelle Angelegenheiten“ der Senatskanzlei Berlin an. Während dieses Praktikums leitete ich in der Berliner Kulturverwaltung die Ausschreibung einer empirischen Erhebung ein, die die wirtschaftlichen und sozialen Rahmenbedingungen für
Kultur- und Kreativschaffende in Berlin und Brandenburg misst und die in besonderer Weise die spezifischen Standortfaktoren für die Kultur- und Kreativwirtschaft in den beiden Bundesländern untersucht. Ziel des Projektes war es, fortan eine regelmäßige Befragung ins Leben zu rufen, um mittels Zeitreihen Entwicklungen festzuhalten und konstant Handlungsempfehlungen für kultur- und wirtschaftspolitisch Verantwortliche
bereitstellen zu können. Während der Mitarbeit in der Senatskanzlei Berlin und der fokussierten Analyse der umtriebigen Kultur- und Kreativwirtschaft in der Bundeshauptstadt entstand die Idee einer Untersuchung von kultur- und kreativwirtschaftlichen Strukturen im ländlichen Raum.
Meine Schwerpunktsetzung auf ländliche Regionen erklärt sich folgendermaßen: Zum einen blieb eine wissenschaftliche Betrachtung von Kultur- und Kreativwirtschaft bisher in 5 erster Linie städtischen Ballungsräumen vorbehalten. Zum anderen zeigt sich mit Blick auf den veröffentlichten Report zur Kultur- und Kreativwirtschaft in Nordrhein-Westfalen, dass bei der Betrachtung des Wirtschaftssektors bis dato ein starker Fokus auf das Ruhrgebiet, das Rheinland und mit einigen Einschränkungen auf das Münsterland gelegt
wurde (vgl. Ministerium für Wirtschaft, Energie, Industrie, Mittelstand und Handwerk 2012: 16). Gezielte Analysen zu Entwicklungen und Potenzialen der Kultur- und Kreativwirtschaft in ländlich geprägten Räumen, zum Beispiel in ostwestfälischen Verwaltungsbezirken, gibt es bis dato nicht. Hier setzt mein Forschungsvorhaben an.
Hinweisen möchte ich an dieser Stelle noch darauf, dass aus Gründen der Lesbarkeit in der Thesis auf die weibliche Form verzichtet wurde, diese jedoch selbstverständlich immer mit gemeint ist.
Die vorliegende Arbeit untersucht das Reiseverhalten verschiedener Generationen in Deutschland (68er, Babyboomer, Generation X und Generation Y) anhand der Kohortenanalyse. Mit Hilfe des Intrinsic Estimators und der Rohdaten der Reiseanalyse für die Jahre 1971 bis 2012 wurden Kohorten-, Alters- und Periodeneffekte für die verschiedenen Merkmale des Reiseverhaltens geschätzt. Deutliche Unterschiede zwischen den Generationen, die unabhängig von Alter und Jahr bestand haben sollten, wurden in Bezug auf die Wahl des Verkehrsträgers, der Unterkunft, der Reiseart und der Destination identifiziert. Bei anderen Merkmalen gab es hingegen weniger oder nur geringe Generationenunterschiede. Die Ergebnisse ermöglichen einen genaueren Blick in die Zukunft des Reisens und geben wichtige Hinweise für die tourismuswirtschaftliche Praxis.
Analysis of user behavior
(2020)
Online behaviors analysis consists of extracting patterns from server-logs.
The works presented here were carried out within the “mBook” project which aimed to develop indicators of the quantity and quality of the learning process of pupils from their usage of an eponymous electronic textbook for History. In this thesis, we investigate several models that adopt different points of view on the data. The studied methods are either well established in the field of pattern mining or transferred from other fields of machine learning and data-mining.
We improve the performance of archetypal analysis in large dimensions and apply it to unveil correlations between visibility time of particular objects in the e-textbook and pupils’ motivation. We present next two models based on mixtures of Markov chains. The first extracts users’weekly browsing patterns. The second is designed to process essions at a fine resolution, which is sine qua non to reveal the significance of scrolling behaviors. We also propose a new paradigm for online behaviors analysis that interprets sessions as trajectories within the page-graph. In this respect, we establish a general framework for the study of similarity measures between spatio-temporal trajectories, for which the study of sessions is a particular case. Finally, we construct two centroid-based clustering methods using neural networks and thus lay the foundations for unsupervised behaviors analysis using neural networks.
Keywords: online behaviors analysis, educational data mining, Markov models, archetypal analysis, spatio-temporal trajectories, neural network
Due to increased life expectancy, a growing number of retirees are spending more and more time in retirement. Life satisfaction in later life therefore becomes an increasingly important societal issue. Good work ability and health are prerequisites for a self-determined transition to retirement, for example allowing for a continuation of gainful employment beyond retirement age. Such continued employment is one way of dealing with the consequences of a historically unique long retirement phase: a self-determined continued employment can have a positive effect on individual well-being, on societal level relieve the burden on the pension insurance system, and on meso-level provide companies with urgently needed human capital. The self-determination of life circumstances is postulated by Self-Determination Theory (SDT) as a basic psychological need with effects on individual well-being. This dissertation investigates work ability as a concept that supports workers, employers, and societies in the extension of working lives, and how work ability is related to the level of self-determination in the transition to retirement, and ultimately life satisfaction.
In the first study of this dissertation, the Work Ability Survey-R (WAS-R) was translated from English into German and then evaluated regarding its psychometric properties and construct validity. The WAS-R operationalizes work ability as the interplay of personal and organizational resources and thus allows companies to derive targeted interventions to maintain work ability.
In the second study, the WAS-R was examined together with the questionnaire Work-Related Behavior and Experience Pattern (Arbeitsbezogenes Verhaltens- und Erlebensmuster, AVEM) regarding its construct validity. A striking feature of this study was the high number of participants with the answering pattern indicating low work-related ambitions and protection. Persons with this pattern are in danger of entering the risk pattern for burnout in the future. The findings support the validity of the WAS-R.
In the third contribution, two studies examined the experience of control (i.e., autonomy) in the transition to retirement as a mediator between previous work ability, health, and financial well-being, and later life satisfaction in retirement. Control was found to partially mediate the relationship between work ability and later life satisfaction. Different mechanisms on later life satisfaction of work ability and health, and the subjective and objective financial situation were found.
This dissertation contributes to research on and practice with aging workers in two ways: (1) The German translation of the WAS-R is presented as a useful instrument for measuring work ability, assessing individual and organizational aspects and therefore enabling employers to make targeted interventions to maintain and improve work ability, and eventually enable control during later work life, the retirement transition and even old age. (2) This dissertation corroborates the importance of good work ability and health, even in old age, as well as control in these phases of life. Work ability is indirectly related to life satisfaction in the long period of retirement, mediated by a sense of control in the transition to retirement. This emphasizes the importance of the need for control as postulated by the SDT also in the transition to retirement.
Network analysis methods have long been used in the social sciences. About 25 years ago, these methods gained popularity in various other domains and many real-world phenomena have been modeled using networks. Well-known examples include (online) social networks, economic networks, web graphs, metabolic networks, infrastructure networks, and many more.
Technological development made it possible to store and process data on a scale not imaginable decades ago — a development that also includes network data. A particular characteristic of network data is that, unlike standard data, the objects of interest, called nodes, have relationships to (possibly all) other objects in the network. Collecting empirical data is often complicated and cumbersome, hence, the observed data are typically incomplete and might also contain other types of errors. Because of the interdependent structure of network data, these errors have a severe impact on network analysis methods.
This cumulative dissertation is about the impact of erroneous network data on centrality measures, which are methods to assess the position of an object, for example a person, with respect to all other objects in a network. Existing studies have shown that even small errors can substantially alter these positions. The impact of errors on centrality measures is typically quantified using a concept called robustness.
The articles included in this dissertation contribute to a better understanding of the robustness of centrality measures in several aspects. It is argued why the robustness needs to be estimated and a new method is proposed. This method allows researchers to estimate the robustness of a centrality measure in a specific network and can be used as a basis for decision making. The relationship between network properties and the robustness of centrality measures is analyzed. Experimental and analytical approaches show that centrality measures are often more robust in networks with a larger average degree. The study of the impact of non-random errors on the robustness suggests that centrality measures are often more robust if missing nodes are more likely to belong to the same community compared to missingness completely at random. For the development of imputation procedures based on machine learning techniques, a process for the evaluation of node embedding methods is proposed.
My dissertation embraces four empirical papers addressing socio-economic issues relevant to policy-makers and society as a whole. These papers cover important aspects of human life including health at birth, life satisfaction, unemployment periods and retirement decisions, and are intended to provide a contribution to the respective research areas. The analyses are carried out applying advanced econometric methods and are based on data sets consisting of survey data as well as administrative records.
The joint paper with Alessandro Palma and Daniela Vuri "Prenatal Air Pollution Exposure and Neonatal Health" in Chapter 2 investigates the causal impact of prenatal exposure to air pollution on neonatal health in Italy in the 2000s combining detailed information on mother’s residential location from birth certificates with PM10 concentrations from air pollution monitors. Variation in local weekly rainfall is exploited as an instrumental variable for non-random air pollution exposure. Using quasi-experimental variation in rainfall shocks allows to identify the effect of PM10, ruling out potential bias due to confounder pollutants. The paper estimates the effect of exposure for both the entire pregnancy period and separately for each trimester to test whether the neonatal health effects are driven by pollution exposure during a particular gestation period. This information enhances our understanding of the mechanisms at work and help prevent pregnant mothers from most dangerous exposure periods. Additionally, the effects of prenatal exposure to PM10 are estimated by maternal labor market status and maternal education level to understand how the pollution burden is shared across different population groups. This decomposition allows to identify possible mechanisms through which environmental inequality reinforces the negative impact of early-life exposure to air pollution. This study finds that average PM10 and days with PM10 level above the hazard limit reduce birth weight, gestational age, and measures of overall newborn health. Effects are largest for third trimester exposure and for low-income and less educated mothers. These findings imply that further policy efforts are needed to fully protect fetuses from the adverse effects of air pollution and to mitigate the environmental inequality of health at birth.
The joint paper with Christian Pfeifer "Life Satisfaction in Germany After Reunification: Additional Insights on the Pattern of Convergence" in Chapter 3 updates previous findings on the total East-West gap in overall life satisfaction and its trend by using data from the German Socio-Economic Panel for the years 1992 to 2013. Additionally, the effects are separately analyzed for men and women as well as for four birth cohorts. The results indicate that reported life satisfaction is, on average, significantly lower in East than in West German federal states and that part of the raw East-West gap is due to differences in household income and unemployment status. The conditional East-West gap decreased in the first years after the German reunification and remained quite stable and sizable since the mid-nineties. The results further indicate that gender differences are small. Finally, the East-West gap is significantly smaller and shows a trend towards convergence for younger birth cohorts.
The joint paper with Christian Pfeifer "Unemployment Benefits Duration and Labor Market Outcomes: Evidence from a Natural Experiment in Germany" in Chapter 4 explores the effects
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of a major reform of unemployment benefits in Germany on the labor market outcomes of individuals with some health impairment. The reform induced a substantial reduction in the potential duration of regular unemployment benefits for older workers. This work analyzes the reform in a wider framework of institutional interactions, which allows to distinguish between its intended and unintended effects. The results based on routine data collected by the German Statutory Pension Insurance and a Difference-in-Differences design provide causal evidence for a significant decrease in the number of days in unemployment benefits and increase in the number of days in employment. However, they also suggest a significant increase in the number of days in unemployment assistance, granted upon exhaustion of unemployment benefits. Transitions to unemployment assistance represent an unintended effect, limiting the success of a policy change that aims to increase labor supply via reductions in the generosity of the unemployment insurance system.
The single-authored paper "How Older Workers Respond to Raised Early Retirement Age: Evidence from a Kink Design in Germany" in Chapter 5 explores how an increase in the early retirement age affects labor force participation of older workers. The analysis is based on a social security reform in Germany, which raised the early retirement age over several birth cohorts to boost employment of older people and ultimately alleviate the burden on the public pension system. Detailed administrative data from the Federal Employment Agency allow to distinguish between employment and unemployment as well as disability pensions and retirement benefits claims. Using a Regression Kink design in a quasi-experimental framework, I show that the raised early retirement age had positive employment effects and negative effects on retirement benefits claims. The reform did not affect unemployment benefits or disability pensions claims. My results also show that some population groups are more sensitive to a reduction in retirement options and more likely to seek benefits from other government programs. In this respect, I find that workers in manufacturing sector respond to the raised early retirement age by claiming benefits from the disability insurance program designed to compensate for reduced earnings capacity due to severe health problems. The treatment heterogeneity analysis further suggests that high-wage workers are more likely to delay exits from employment, which is in line with incentives but might also indicate an increased inequality within the affected birth cohorts induced by the reform. Finally, women seem to rely on alternative sources of income such as retirement benefits for women, or spouse's or partner's income not observed in the data. All things considered, workers did not adjust to the increased early retirement age by substituting early retirement with other government programs but rather responded to the reform in line with the policy intent. At the same time, the findings point to heterogeneous behavioral responses across different population groups. This implies that raising the early retirement age is an effective policy tool to increase employment only among older people who have the real choice to delay employment exits. Therefore, reforms that raise statutory ages should ensure social support for workers only marginally attached to the labor market or not able to work longer due to potential health problems or other circumstances.
Zusammenfassung Der vorliegende Bericht informiert über die Ergebnisse einer empirischen Studie zur Personalarbeit in wissenschaftlichen Buchverlagen. Als Grundlage der Erhebung dienten verschiedene theoretische Konzepte, die sich mit der Frage befassen, welche Grundmuster das Personalgeschehen von Unternehmen prägen. Das primäre Ziel unserer Studie bestand entsprechend darin, zu erkunden, inwieweit es gelingen kann – mit Hilfe einer Unternehmensbefragung – etwas über diese Grundmuster zu erfahren. Das Ergebnis stimmt zuversichtlich. Die theoretische Fundierung unserer Umfrage erwies sich als sehr tragfähig und empfiehlt sich für weiterführende und branchenübergreifende Vergleichsstudien. Leider war es uns an dieser Stelle noch nicht möglich, eine „großzahlige“ Erhebung durchzuführen, die Datenbasis, auf der unsere Ergebnisse beruhen, ist mit 12 Unternehmen denn auch einigermaßen schmal. Angesichts unserer Zielsetzung ist dies aber nur bedingt ein Mangel. Inhaltlich zeigt sich, dass die Personalpolitik der Verlage im Großen und Ganzen einem Schema folgt, das sich aus den branchentypischen Anforderungen ableitet. Andererseits findet man aber auch verlagsspezifische Akzentuierungen. In manchen Verlagen dominiert eher eine gemeinschaftliche Orientierung (in ihren jeweiligen Varianten), in anderen werden die leistungs- und managementorientierten Aspekte der Personalarbeit stärker betont.
Das Recht der Freileitung im Spannungsfeld planerischer, technischer und ökologischer Anforderungen
(2019)
Die Energiepolitik in Deutschland hat in den letzten Jahren umfassende Veränderungen erfahren. In den Fokus rücken dabei immer mehr die erneuerbaren Energien. Deren Anteil an der gesamten Energieerzeugung wird in Zukunft weiter ansteigen. Hintergrund ist die Umsetzung der klimapolitischen Ziele der Bundesregierung: Im Energiekonzept für eine umweltschonende, zuverlässige und bezahlbare Energieversorgung von 2010 wird eine Reduktion der Treibhausgasemissionen um 40% bis zum Jahr 2020 und bis zum Jahr 2050 sogar um 80% gegenüber dem Stand von 1990 angestrebt. Neben dem Energiekonzept der Bundesregierung stellen das Reaktorunglück von Fukushima und die damit verbundene Energiewende 2011 eine wesentliche Zäsur für die Energiepolitik in Deutschland dar. Die Folge war ein beschleunigter Ausstieg aus der Kernenergie sowie die sofortige Abschaltung von acht Kernkraftwerken. Neben der Laufzeitverkürzung und Stilllegung von Atomkraftwerken wurde auch das aus mehreren neuen Gesetzen und Gesetzesänderungen bestehende Energiepaket verabschiedet. Dort wurde mit der Einführung der §§ 12a ff. Energiewirtschaftsgesetz erstmalig eine bundesweite Bedarfsplanung für den Bau von Höchstspannungsleitungen festgelegt. Zudem erfolgte mit der Einführung des Netzausbaubeschleunigungsgesetzes Übertragungsnetz (NABEG) erstmalig ein bundesweit gültiges Gesetz für die Planung von Vorhaben auf der Ebene der Höchstspannungsnetze. Die vorliegende Arbeit untersucht vor diesem Hintergrund die Frage, ob durch die neu geschaffenen Regelungen des NABEG für Höchstspannungsleitungen eine Beschleunigung innerhalb des Planungsverfahrens erreicht werden kann und ob die mit dem NABEG verfolgten Ziele umgesetzt worden sind. Dabei wird aufgezeigt, wie sich die Zielsetzungen des NABEG zu den denjenigen Zielen der im Rahmen der Abwägung der öffentlichen und privaten Belange zu beachtenden, sonstigen fachspezifischen Gesetzen verhalten. Der Beschleunigungsgedanke darf nicht dazu führen, dass umwelt-, immissionsrechtliche und sonstige fachgesetzliche Aspekte an Gewicht verlieren. Dabei werden auch mögliche Probleme der jetzigen Gesetzeslage beim Freileitungsausbau sowie weitere gesetzliche Möglichkeiten, die Beschleunigung des Netzausbaus zu erreichen, aufgezeigt.
In sub-Saharan Africa, women own or partly own one third of all businesses, thereby having a large potential to contribute to the economic development and societal well-being in this region. However, women-owned businesses tend to lag behind men-owned businesses in that they make lower profits, grow more slowly, and create fewer jobs. To identify reasons for this gap and effective means to promote women entrepreneurs, large parts of the entrepreneurship literature have compared male and female entrepreneurs with regard to individual characteristics, paying only limited attention to the underlying environmental conditions. This is problematic as women entrepreneurs operate under different conditions than men, with particularly pronounced differences in sub-Saharan Africa. Against this backdrop, the goal of this dissertation is to contribute to a more profound understanding of women entrepreneurship in sub-Saharan Africa and its promotion through training by examining critical context factors. Specifically, I analyze two context factors that influence women’s entrepreneurial performance and the success of training interventions: 1) women entrepreneurs’ husbands and 2) the entrepreneurship trainer. These analyses are embedded in considerations of the cultural, social, and economic conditions women entrepreneurs in sub-Saharan Africa are facing. In Chapter 2, I conduct a systematic literature review on spousal influence in entrepreneurship and identify six recurrent types of influence. Complementing the literature originating from Western settings, I develop propositions on how the sub-Saharan context affects husbands’ influence on women entrepreneurship in this region. In Chapter 3, I build on a cultural theory and an economic theory of the household to develop and empirically test a theoretical model of husbands’ constraining and supportive influences on women entrepreneurship in sub-Saharan Africa. The empirical results point to three distinct types of husbands that differ significantly in their impact on women entrepreneurs’ business success. In Chapter 4, I explore the influence of the trainer on the effectiveness of entrepreneurship training in sub-Saharan Africa by drawing on an unsuccessful training implementation. Qualitative analyses indicate that the use of adequate teaching methods is critical towards training success. Overall, this dissertation makes an important contribution towards a better understanding of women entrepreneurs in sub-Saharan Africa and their promotion by shifting the perspective from a purely individualist to a more contextualized view of women entrepreneurship.
Space-related science and technologies affect our daily life dramatically. Many countries have already formulated national space regulations to regulate their space activities. China, as one space-faring country, has obtained impressive achievements in space science and technologies. In recent years, Chinese private space companies have sprung up quickly, which requires a stable and foreseeable legal framework to ensure development. However, compared to the other space powers, China is the only one that has not enacted any formal national space laws. Against the background of strengthening the rule of law in China, research on China´s domestic space legislation is valuable and significant. The purpose of this thesis is two-fold. First, to find the legal basis and necessity of national space legislation and to extract the basic content of the existing national space legislation, simultaneously, to identify the new developments in the content of other States´ legislative practices. Second, based on the study of national space legislation, to propose the essential content of China´s space legislation.
This thesis deals with the influence of sustainability communication on the purchase decision of sustainable tourism products involving German specialist tour operators. Sustainability communication is a challenge, because sustainable tourism is an abstract and vague concept which consumers find it difficult to grasp and about which they are sceptical, and the service characteristics of tourism products complicate the decision making stage, which is a high-involvement situation of uncertainty to which sustainable product attributes add complexity. As an introduction, an interdisciplinary theory discussion reveals knowledge gaps in terms of the value-belief-norm theory and the elaboration likelihood model (ELM). The first article, which is the first systematic literature review on the topic, reveals that there is a limited theoretical understanding of sustainability communication, a lack of practical understanding of how to design sustainability messages, and an inadequate set of methodologies for its research. It identifies knowledge gaps concerning: the holistic approach to sustainability communication; its role in the attitude-behaviour gap; an interdisciplinary theoretical understanding focusing on belief-based social psychological theories and theories of persuasion; qualitative methods; and experimental design. The second article investigates the role of sustainability communication in the attitude-behaviour gap, employing the value-belief-norm theory to explain how information is processed by special interest customers. Interview findings show that ineffective sustainability communication is the reason for the gap and that customers unintentionally booked sustainably. The study identifies eight groups of beliefs which explain the processing of sustainability attributes. Sustainability information is effective when it is value-congruent, that is, when customers perceive they can make a difference, they begin to ascribe a responsibility to themselves. The third article investigates how to design an effective sustainability message in tour operator advertising. Drawing on the ELM, the study shows that appeal type does not significantly influence persuasion but the topic presented is important. Cultural sustainability is the sustainability topic that is most persuasive for cultural tourists, while consumer prior knowledge and issue-involvement with the topic promote successful information processing. The thesis has contributed to a target-group specific understanding of effective sustainability product communication and contributes to knowledge in terms of theory, methodology, and practical solutions.
The process perspective provides a unifying framework that has substantially contributed to our understanding of entrepreneurship. However, much of the research up to now has neglected this process oriented conception of entrepreneurship. There is therefore a need for studies that take the inherent dynamic processes into account and analyze the underlying mechanisms when researching entrepreneurship. This dissertation aims to improve our understanding of the entrepreneurial process. Specifically, this dissertation focuses on new venture creation and the processes of sustainable opportunity identification and opportunity deviation. Chapter 1 provides a general introduction that highlights the theoretical contributions of this dissertation and gives an overview over the conducted studies. Chapter 2 argues for a process model of entrepreneurship that places entrepreneurs and their actions center stage. The model combines different perspectives and levels of analysis and provides an integrative framework for researching new venture creation. In chapter 3 we establish and test a theoretical model of sustainable opportunity identification. The chapter explains how younger generations identify sustainable opportunities. The findings indicate that sustainable opportunity identification is a process with two transitions from problem to solution identification and from solution identification to sustainable opportunity identification. These transitions are contingent on awareness of consequences and entrepreneurial attitude. Chapter 4 offers insights into how deviation from the original opportunity increases the performance of entrepreneurial teams. The findings indicate that entrepreneurial teams with a high level of error orientation set themselves higher goals when deviating from their original opportunity. Higher goals then lead to higher team performance. Chapter 5 summarizes the overall findings and outlines the general theoretical and practical implications. Each chapter thus contributes to the process perspective by focusing on how different phases of the entrepreneurial process unfold and develop over time. Thereby, this dissertation advances our understanding of entrepreneurship as a process.
In this dissertation, I focus on the link between (internal) corporate governance structures and processes and firms financial reporting quality. Specifically, the dissertation aims to provide insights into the following general research question: What is the effect of different corporate governance stakeholders on the financial reporting quality of a firm? I provide insights into this question through three different articles. While Chapter 2 and 3 of this dissertation are concerned with company owners as one, albeit diverse, group of stakeholders, Chapter 4 focuses on managers and their ability to influence firm outcomes. The paper Do Family Firms Engage in Less Earnings Management? A Meta- Analysis, which is co-authored with Tim Hasso and Dominik Wagner, explores the relationship between family firm status and earnings management and synthesizes and explains previous research findings with the help of meta-analytic methods that are still uncommon in financial accounting research. We find a negative relationship between family firms and earnings management on average across 37 primary studies (and 305 effect sizes in total). Furthermore, we show that the considerable variation in size and direction of primary effect sizes can be explained by researchers choice of study design, earnings management proxy and different institutional settings. The paper Do Institutional Owners Deter Earnings Management? A Meta- Analysis, which is co-authored with Tim Hasso, explores institutional owners as a different set of shareholders and their impact on financial reporting quality. The study enables us to compare the results against the backdrop of the previous chapter and to see different rationales that managers in institutionally-owned companies might have to engage in earnings management. Here, we study 511 effect sizes from a total of 87 primary studies and find that the average effect is slightly negative, meaning institutional owners on average can get more transparent earnings figures from the companies they invest in. Similar to the work we did on family firms, we find considerable heterogeneity between results from primary studies. Specifically, our multivariate meta-regression models can explain 26 percent of the variability in effect sizes, mainly attributable to study design choices, such as how scholars measure the relevant constructs of ownership and earnings management. Conversely, this also indicates that across the 87 primary studies looking at the link between institutional ownership and earnings management, 74 percent of heterogeneity in effect sizes is still not explained. The single-author paper The Fish Rots From the Head Down: Managerial Personality and Financial Accounting Manipulation is concerned with managers - the second main stakeholder in corporate governance - and how managerial personality drives the propensity to engage in fraudulent accounting activities. I use a primary sample of 956 professionals, who work in accounting and finance departments, and ask them to rate their immediate superior on dark triad personality traits, as well as common actions taken by management to obscure and manipulate earnings figures. I find that managers with high ratings for dark triad personality traits engage to a greater extent in fraudulent accounting practices, than managers scoring low on the dark triad scale. Moreover, I can show that traditional risk management mechanisms, like internal audit departments, are only partially effective. Specifically, I find that only internal audit departments that are fully staffed by external personnel can curb the adverse effect of dark triad managers on financial reporting quality. This suggests that managers with dark personalities can take advantage of mixed or entirely in-house internal audit departments. Overall, this dissertation contributes significantly to both literature streams of corporate governance and financial reporting quality. My work can explain a significant degree of heterogeneity in previous findings on the link between different kinds of ownership and earnings management. Further, it stresses that the considerable variation in current findings is not mainly attributable to cross-country differences, as previously suggested, but in no small part attributable to study design features. Both meta-analysis papers are among the first articles that apply advanced metaregression methods in the financial accounting literature. Thus, contrary to previous methods of research synthesis meta-analyses are uniquely able to draw systematic, quantitative and replicate conclusions from a body of academic research. Especially for large, mature literature strands taking stock of all findings on a specific relationship is valuable, as research rarely progresses one paper at a time. Condensing and differentiating cumulative research via meta-analysis is thus a valuable contribution to the field and can be a basis for further theory development and improvements in empirical study designs. Finally, I can provide additional evidence on current research linking executive personality traits and financial reporting practices. Asking practitioners directly about their assessment of managerial personality and the frequency of specific fraudulent actions helped to show the critical role of executive personality and complements recent archival and experimental findings. The survey design also enables me to study so far undetected fraud, which is almost impossible to examine with experimental or archival data and thus a significant contribution to existing literature. Finding links between managerial personality, internal controls and reporting quality contributes to the literature further, as it shows previously unhypothesized relationships that can serve as a basis for future research on the effectiveness of internal audit functions in preventing fraud given different managerial personality traits.
In this cumulative thesis, I present four manuscripts and two appendixes. In the manuscripts I discuss mindsets and their relation to the effectiveness of negotiation training. My general claim is that mindsets promise to be relevant for training effectiveness. Still, more research needs to be done and my co-authors of chapter 3 and I present the Scale for the Integrative Mindset of Negotiators (SIM) that can be used for some of that research. In the appendixes, I present two negotiation training exercises. The first addresses an international refugee policy summit and the second a negotiation over the sale of a large solar pv park in Thailand.
Over the last decades corporate irresponsibility has gained increasing interest among practitioners and researchers. Corporate irresponsibility is often the result of intentionally irresponsible strategies, decisions, or actions, which negatively affect an identifiable stakeholder or environment. For instance, these range from the violation of the human rights and labor standards to environmental damages. Organizations enacting irresponsible practices rely on different factors upon multiple levels (field, organizational, individual) and its interrelations as well as processes evolving within the organization leading to such behavior. However, reasons for the occurrence of and explanations for corporate irresponsibility so far have been limited, leaving a fragmented understanding of this phenomenon. This dissertation helps to improve the understanding and explanation of corporate irresponsibility by identifying driving patterns of corporate irresponsibility and showing how the interactions across multiple levels add to this phenomenon. Chapter 1 provides an overview of the topic of corporate irresponsibility, the theoretical approaches of this dissertation and an introduction to the chapters. The second chapter offers a review and analysis of the corporate irresponsibility literature. The chapter presents a variance model outlining the concept, antecedents, moderators and outcomes of recent corporate irresponsibility literature as well as the different factors across levels (field, organizational, individual). Chapter 2 offers a critical analysis of what we know by referring to current literature and offers insights on what we don´t know by deriving main implications for future research on corporate irresponsibility. Chapter 3 enlarges the understanding of corporate irresponsibility introducing a process approach to explain how corporate irresponsibility evolves over time and under which conditions. Based on a qualitative meta-analysis findings converge around two distinct process paths of corporate irresponsibility, the opportunistic-proactive, and, the emerging-reactive, subdivided into three phases. Chapter 3 sheds different lights upon the phases of corporate irresponsibility and its underlying mechanisms. The final chapter 4 focuses on different underlying mechanisms driving the final downfall or demise of organizations, organizational failure. Chapter 4 offers an alternative explanation to the competing extremism and inertia mechanisms driving organizational failure in recent studies by suggesting that these explanations are rather complementary. In addition, chapter 4 enlarges the explanation of organizational failure identifying the role of conflict mechanisms and its interplay with rigidity mechanisms. In sum, this dissertation contributes to a better understanding of what causes and increases corporate irresponsibility, and a better explanation of how and why corporate irresponsibility and organizational failure emerges, develops, grows or terminates over time. Hopefully all three articles motivate more research on this important topic to prevent such behavior in advance. 4
The concept of empowerment has gained considerable attention in the field of international development. Institutions such as the World Bank and the United Nations invest considerable funds and efforts trying to facilitate empowerment in developing countries. This is because empowerment is seen as a positive phenomenon that can positively impact on people and their environment. Empowerment provides an implemental mindset that makes people look for the means to action and be ready to move forward toward their goals. Thus, empowerment becomes important when people need to take action and be innovative in overcoming scarcity and fighting against poverty. Research shows the positive effects of empowerment on entrepreneurship-related behavior and outcomes such as proactive behavior, goal achievement, and innovation. Yet, there is a dearth of research addressing the phenomenon of empowerment in entrepreneurship. This dissertation aims to contribute to the understanding of the role of empowerment in entrepreneurship and its effects. Particularly, this dissertation targets the interplay between empowerment and entrepreneurship in the context of developing countries. Chapter 1 provides a general overview of the different topics of this dissertation. Chapter 2, introduces the construct of psychological empowerment at work as the theoretical foundation to advocate for the importance of empowerment in entrepreneurship. The chapter takes initial steps in drawing the rationale and identifying empirical evidence for the relationship between empowerment and entrepreneurial behavior and outcomes. Specifically, the chapter links the components of psychological empowerment to concrete action characteristics in entrepreneurship such as effectuation and experimentation. Chapter 3 establishes a first empirical link between empowerment and entrepreneurship. The chapter provides the construct of entrepreneurial empowerment and develops a multidimensional measure to measure its dimensions. By means of a nomological network, the chapter reveals the relations of entrepreneurial empowerment with relevant constructs and outcomes derived from entrepreneurship and empowerment research such as innovation, self-reliance, and decision-making. Chapter 4 posits entrepreneurship training, particularly personal initiative training and business literacy training, as effective means to facilitate entrepreneurial empowerment and its effect on business performance. The chapter uncovers the mechanisms accounting for the relationship between entrepreneurship training and entrepreneurial empowerment. Chapter 5 provides general theoretical and practical contributions and finishes with a general conclusion. This dissertation contributes to the understanding of empowerment in entrepreneurship and its effects on business performance in the context of developing countries. The studies embedded in this dissertation can serve to further the development of theory and research that advances groundwork of empowerment in entrepreneurship. The construct of entrepreneurial empowerment can stimulate the use of more accurate indicators when conceptualizing and investigating the process and consequences of empowerment in entrepreneurship and international development.