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This introductory article to the special issue of Psychology Science devoted to the subject of Considering Response Distortion in Personality Measurement for Industrial, Work and Organizational Psychology Research and Practice” presents an overview of the issues of response distortion in personality measurement. It also provides a summary of the other articles published as part of this special issue addressing social desirability, impression management, self-presentation, response distortion, and faking in personality measurement in industrial, work, and organizational settings.
This study summarizes more than 15 years of scientific support for the United Nations-Economic Commission Europe (UN-ECE) Convention on Long Range Transboundary Air Pollution (LRTAP) and other European environmental protection conventions such as the Commission for the Protection of the Marine Environment of the North-East Atlantic (OSPAR) and the Baltic Marine Environment Protection Commission (HELCOM) by means of development and application of numerical simulation models for the atmospheric long-range transport of heavy metals. The work is mainly based on results and conclusions described in the nine papers of the appendix but some more recent investigations which have not yet been published in the scientific literature are also presented. An introductory overview and synthesis of current knowledge and understanding pertaining to all major aspects of heavy metals in the atmosphere is presented from a viewpoint that numerical modelling of their atmospheric processes is necessary and feasible to support the conventions mentioned above. The models discussed in this study have capabilities to quantify transboundary fluxes of lead, cadmium and mercury as the priority metals of concern and have a potential to identify sources as well as to predict the impact of emission reductions on the load of terrestrial and aquatic ecosystems in Europe. Advantages and limitations of relatively simple Lagrangian models are outlined within the context of issues currently facing the environmental scientific and policy making communities. However, a focus of this study is a comprehensive model system for atmospheric mercury species using a fully three-dimensional Eulerian reference frame and incorporating a state-of-science mercury chemistry scheme, which has been adopted by various scientific institutions for their modelling purposes.
Combinatorial optimization is still one of the biggest mathematical challenges if you plan and organize the run-ning of a business. Especially if you organize potential factors or plan the scheduling and sequencing of opera-tions you will often be confronted with large-scaled combinatorial optimization problems. Furthermore it is very difficult to find global optima within legitimate time limits, because the computational effort of such problems rises exponentially with the problem size. Nowadays several approximation algorithms exist that are able to solve this kind of problems satisfactory. These algorithms belong to a special group of solution methods which are called local search algorithms. This article will introduce the topic of simulated annealing, one of the most efficient local search strategies. This article summarizes main aspects of the guest lecture Combinatorial Optimi-zation with Local Search Strategies, which was held at the University of Ioannina in Greece in June 1999.
Übersicht über Aspekte der modernen Kindheit
Recently polyfluoroalkyl compounds (PFCs) were discovered as emerging persistentorganic pollutants. Because of their unique physicochemical properties due to theircombination of lipophilic and hydrophilic characteristics, PFCs have been widely used inmany consumer products, such as polymerisation aids, stain repellents on carpets, textiles, andpaper products for over 50 years. From the production and use of these products, PFCs can bereleased into the environment. Scientific concern about PFCs increased due to their globaldistribution and ubiquitous detection in the environment, especially in marine mammals.An analytical protocol was developed for the analysis of PFCs in water samples andvarious biological matrices. The samples were analysed for 40 PFCs plus 20 isotope-labelledinternal standards using high performance liquid chromatography/negative electrosprayionisation-tandem mass spectrometry (HPLC/(-)ESI-MS/MS). Furthermore, the analyticalquality of the laboratory has been approved in interlaboratory studies.In the first part of this Ph.D. thesis was investigated the occurrence, distribution patternand transportation mechanisms of PFCs in seawater. The rivers had a high influence on thedistribution of PFCs in offshore surface water in the German Bight, with decreasingconcentrations with increasing distance from the coast (see publication I). The research onthe spatial distribution of PFCs in coastal area is very important for the understanding of thetransportation and fate of PFCs in the marine environment. Furthermore, the longitudinal andlatitudinal distribution of PFCs in surface water of the Atlantic Ocean was investigated (seepublication II). The results indicate that trans-Atlantic Ocean currents caused the decreasingconcentration gradient from the Bay of Biscay to the South Atlantic Ocean and theconcentration drop-off close to the Labrador Sea. These data are very useful for globaltransportation models, in which industrial areas are considered as sources, and ocean watersas sinks of PFCs.The second part of this Ph.D. thesis examined the mechanisms and pathways of PFCs inharbor seals (Phoca vitulina) and their temporal trends in the German Bight. Firstly, thewhole body burden of PFCs and their tissue distribution (i.e., liver, kidney, lung, heart, blood,brain, muscle, thyroid, thymus, and blubber) was investigated in harbor seals (seepublication III). This study is relevant for calculation of the bioaccumulation potential ofthese compounds in marine mammals. Secondly, the temporal trends over the last decade andassociations between PFC concentration and the evidence of diseases, spatial distribution, ageand sex were evaluated in archived harbor seal livers (see publication IV). The results showsignificant declining concentrations of many PFCs indicating the replacement of these PFCsby shorter chained and less bioaccumulative compounds.Several studies were performed besides the main issue of the Ph.D. work. Firstly, watersamples were collected along the river Elbe into the North Sea to examine the distribution ofPFCs in the dissolved and particulate phase, their discharge into the North Sea, and theinfluence of waste water treatment plant effluents to the riverine mass flow. Furthermore,surface water samples were collected in the North Sea, Baltic Sea and Norwegian Sea, wherethe occurrence and spatial distribution between river estuaries, coastal waters, in brackish aswell as salt water, and open sea water were compared. Finally, within the frame of a researchstay at the National Institute of Advanced Industrial Science and Technology (AIST) in Japan,the partitioning behaviour of PFCs between pore water and sediment in two sediment coresfrom Tokyo Bay was investigated.This Ph.D. thesis has improved our knowledge of the occurrence and distribution of PFCsin water and biota highlighting association between PFCs and pathological conditions,potential sources and sinks, spatial distribution, and changes in their pattern and long-termperspective trends.
This paper analyzes the growth impact of fiscal and institutional governmental policies in a regional context. The government provides a productive input that is complementary to private capital. Institutional policies include the decision about the type of public input as well as on the size of the region as determined by the number of firms. Fiscal policies decide on the extent of the public input. Private capital accumulation incurs adjustment costs that depend upon the ratio between private and public investment. After deriving the decentralized equilibrium, fiscal and institutional policies as well as their interdependencies and welfare implications are discussed. Due to the feedback effects both policies may not be determined independently. It is also shown that depending on the region’s size different types of the public input maximize growth.
In the face of uncertainty, ecosystems can provide natural insurance to risk averse users of ecosystem services. We employ a conceptual ecological-economic model to analyze the allocation of (endogenous) risk and ecosystem quality by risk averse ecosystem managers who have access to financial insurance, and study the implications for individually and socially optimal ecosystem management, and policy design. We show that while an improved access to financial insurance leads to lower ecosystem quality, the effect on the free-rider problem and on welfare is determined by ecosystem properties. We derive conditions on ecosystem functioning under which, if financial insurance becomes more accessible, (i) the extent of optimal regulation increases or decreases; and (ii) welfare, in the absence of environmental regulation, increases or decreases.
Using unique recently released nationally representative high-quality data at the plant level, this paper presents the first comprehensive evidence on the relationship between productivity and size of the export market for Germany, a leading actor on the world market for manufactured goods. It documents that firms that export to countries inside the euro-zone are more productive than firms that sell their products in Germany only, but less productive than firms that export to countries outside the euro-zone, too. This is in line with the hypothesis that export markets outside the euro-zone have higher entry costs that can only by paid by more productive firms.
PeTAL (Picture Text Annotation Language) is proposed as an XML-standard for digital documents containing text, images, and videos with heavy cross-referencing, esp. from clickable parts of images to other parts of the material. A browser capable of interpreting the PeTAL code shown here is under construction.
We analyze the optimal dynamic scale and structure of a two-sectoreconomy, where each sector produces one consumption good and one specific pollutant. Both pollutants accumulate at di_erent rates to stocks which damage the natural environment. This acts as a dynamic driving force for the economy. Our analysis shows that along the optimal time-path (i) the overall scale of economic activity may be less than maximal; (ii) the time scale of economic dynamics (change of scale and structure) is mainly determined by the lifetime of pollutants, their harmfulness and the discount rate; and (iii) the optimal control of economic scale and structure may be non-monotonic. These results raise important questions about the optimal design of environmental policies.
We develop a comprehensive multi-level approach to ecological economics (CML-approach) which integrates philosophical considerations on the foundations of ecological economics with an adequate operationalization. We argue that the subject matter and aims of ecological economics require a specific combination of inter- and transdisciplinary research, and discuss the epistemological position on which this approach is based. In accordance with this understanding of inter- and transdisciplinarity and the underlying epistemological position, we develop an operationalization which comprises simultaneous analysis on three levels of abstraction: concepts, models and case studies. We explain these levels in detail, and, in particular, deduce our way of generic modeling in this context. Finally, we illustrate the CML-approach and demonstrate its fruitfulness by the example of the sustainable management of semi-arid rangelands.
Aim of the dissertation is to identify psychological success factors in the entrepreneurial process. The entrepreneurial process comprises the identification of business opportunities as well as start-up and development of new ventures (Baron, 2007b). Understanding the entrepreneurial process is important because entrepreneurship has economic, social, and theoretical functions. Early studies already pointed to the importance of psychological factors in the entrepreneurial process (Baumol, 1968). Subsequent studies focused mainly on personality traits which contributed only little to a better understanding of the psychological factors relevant for entrepreneurial success (Gartner, 1989). Based on recent theoretical frameworks, the dissertation focuses on two factors which are proposed to have a stronger effect on the successful accomplishment of the entrepreneurial process: the entrepreneur’s cognitions and actions (Baron, 2007a; Frese, 2009). It is important to note that the dissertation takes into account the complexity of the entrepreneurial process. The entrepreneurial process includes different phases with different outcomes. The empirical studies of the dissertation investigate the influence of psychological factors in the phase of opportunity identification (chapter 2 &3), in the phase of starting-up a business (chapter 4), and in the phase of growing the venture (chapter 2 &4). The dissertation thus seeks to make a comprehensive contribution to the literature on psychological factors in the entrepreneurial process.
In recent years, both scientists and practitioners have become interested in the affectivemotivational concept of work engagement and research on work engagement has strongly accumulated. Engaged people invest physical, affective, and cognitive resources in their work tasks and activities (Sonnentag, Dormann, & Demerouti, 2010) and high levels of work engagement involve positive consequences both for the individual and the organization (Rich, Lepine, & Crawford, 2010). The objective of this dissertation is twofold. The first and second empirical studies help to advance knowledge on antecedents of work engagement and to extend theoretical models in which work engagement is embedded. The third study aims at expanding present knowledge of the role of specific work events as proximal antecedents of distinct affective states and as distal antecedents of job attitudes and affective consequences such as work engagement by developing a taxonomy of work events. This dissertation suggests ideas for future research and provides practical implications regarding work design and human resource practices that are based on the empirical findings reported. Study 1 investigates the cognitive-motivational concept of focus on opportunities (i.e. the number of goals, plans, and possibilities employees believe themselves to have in their future) as a predictor of work engagement and a personal resource that buffers for low levels in employee’s job control. By using a cross-sectional survey study based on a sample of bluecollar workers (N = 174), and a daily diary study based on a sample of administrative employees (N = 64), this study revealed that job control was less strongly related to work engagement when people’s focus on opportunities was reported to be high. Employees with a high focus on opportunities compensated for low job control. This finding refines theoretical models of antecedents of work engagement by supporting the role of focus on opportunities as a motivational resource. The goal of Study 2 was to examine self-efficacy regarding a person‘s work role as a personal resource that helps employees to effectively regulate affective states in a way to show high levels of work engagement. The study was conducted based on a sample of 111 full-time employees who completed daily online questionnaires on affective experiences and work engagement twice a day over ten working days. Results of multilevel linear regression analysis showed that self-efficacy acted as a moderator on the relationship between daily negative affect and daily work engagement. Self-efficacy enabled people to show high levels of work engagement on days when they experience negative affective states. Moreover, the relationship between self-efficacy and work engagement was mediated by an increase of positive affect during the day. Through the mechanism of up-regulating positive affect, people high in self-efficacy succeed in maintaining daily work engagement. These results extend existing theoretical frameworks of work engagement by indicating that self-efficacy is an important personal resource that enables people to effectively regulate affective states and show high levels of work engagement. Study 3 addresses the development of a comprehensive taxonomy of daily work events that provides a frame of reference for future studies to more systematically test propositions of Affective events theory (AET) (Weiss & Cropanzano, 1996). AET provides a theoretical framework that emphasizes the role of work events as proximal antecedents of affect but does not formulate specific propositions about which kind of work events elicit distinct affective states. Based on 559 positive and 383 negative work events mentioned in three daily diary studies by an overall of 218 employees, the qualitative concept mapping methodology was used to establish the taxonomy on work events. Explorative statistical analyses resulted in four positive and seven negative work events clusters. The study provides evidence for the validity of the taxonomy by testing the relationships of the events clusters with distinct positive and negative activating and deactivating affective states.
Gamification marks a major change to everyday life. It describes the permeation of economic, political, and social contexts by game-elements such as awards, rule structures, and interfaces that are inspired by video games. Sometimes the term is reduced to the implementation of points, badges, and leaderboards as incentives and motivations to be productive. Sometimes it is envisioned as a universal remedy to deeply transform society toward more humane and playful ends. Despite its use by corporations to manage brand communities and personnel, however, gamification is more than just a marketing buzzword. States are beginning to use it as a new tool for governing populations more effectively. It promises to fix what is wrong with reality by making every single one of us fitter, happier, and healthier. Indeed, it seems like all of society is up for being transformed into one massive game. The contributions in this book offer a candid assessment of the gamification hype. They trace back the historical roots of the phenomenon and explore novel design practices and methods. They critically discuss its social implications and even present artistic tactics for resistance. It is time to rethink gamification!
This dissertation offers three different perspectives on agency and institutional change. Within three different articles these perspectives are presented and discussed. In the following these three articles are introduced: Article I: Competing concepts of power in institutional theory make the analysis of institutional change challenging. On the one hand, the assumption of powerful institutions leaves little space for agency and institutional change; while on the other hand, the assumption of powerful actors allows for agency but contradicts the fundamental assumption of institutional theory as stated before. This article wishes to propose a concept of power that is consistent with institutional theory and preserves core institutionalist assumptions, but still offers an explanation for agency and institutional change. Article II: This study examines a case of embedded agency from the German accounting industry, which existing approaches of the paradox of embedded agency cannot explain. Based on an instrumental case study, this paper will provide a new explanation of embedded agency by highlighting the interaction between the different actors of an organizational field. Article III: Based on a dialectical perspective on institutional change, this paper studies the transformation of the German accounting industry covering the time period from 2000 to 2012. Corresponding to Seo and Creed (2002), this article identifies “intrainstitutional conformity that creates interinstitutional incompatibilities”, “legitimacy that undermines functional efficiency”, and “isomorphism that conflicts with divergent interests” (Seo & Creed, 2002, p. 226) as the drivers for recent change in this organizational field. The study provides an explanation of endogenous change that does not rely on institutional agency in explaining institutional change.
Audit quality is of crucial importance because it underpins the integrity of financial markets and thus enables complex international transactions. However, despite extensive research on audit quality, the interaction between structures, practices, and behaviors within accounting firms still remains a ´black box´. To open up the ´black box´ I draw on insights from the field of error management which has been highlighted to be central to gain a better understanding of audit quality. In this dissertation, I develop my arguments in three articles that build on each other. In the first paper, I systematically review the literature on the antecedents of audit quality and I suggest future research directions. In the second paper, I take an inductive case study approach to gain an in-depth understanding of error management in accounting firms. The resulting socio-cognitive model of error management informs both the field of error management, as well as the field of audit quality. In the third paper, I examine a crucial component of the socio-cognitive model: the individual. In a two-phase mixed methods study I investigate individual differences in error management and their implications for learning and performance. Taken together, the three articles of this dissertation contribute by providing an innovative approach to our understanding of both error management and audit quality.
Human activities have converted natural ecosystems worldwide, mostly for agricultural purposes. This change in land use has been recognized as one of the key drivers causing mass extinction of biodiversity. Yet, there are species which persist particularly in traditional, low-intensity agricultural areas. However, this farmland biodiversity is increasingly threatened by the consequences of land-use intensification and land abandonment. One effect of these two processes is the change in existing landscape structures. This dissertation aimed at quantifying the relationship between biodiversity and landscape structures because a better understanding of current biodiversity patterns and their drivers is needed to navigate biodiversity conservation for a sustainable development. Specifically, this dissertation anticipates the impacts of land-use change on biodiversity in Southern Transylvania, focusing on butterflies and plants as study groups. In a first step, a methodological baseline for subsequent biodiversity studies is developed by exploring an optimal survey strategy, allocating the available resources in a study design that enables high statistical power and covers a wide range of environmental conditions. This study shows that in the highly heterogeneous farmland mosaic of Southern Transylvania, survey effort can be moderately reduced while still showing similar patterns of species richness, species turnover and species composition (Chapter 2). In a second step, biodiversity patterns of plants and butterflies are empirically investigated in response to different landscape structures, particularly towards heterogeneity and woody vegetation cover. These studies provide evidence that all main land-use types in Southern Transylvania, namely arable land, grassland and forests, contribute to an overall landscape pool. Species richness of plants, but not of butterflies, differed significantly between arable land and grassland. Presence of woody vegetation in farmland had a positive effect on plant species richness. Heterogeneity has been found beneficial for butterfly species richness in arable land, but not in grasslands. Species composition of plants was determined by land-use, but butterfly species composition was widely overlapping in arable land and grassland (Chapters 3 & 4). Investigations on the potential spread of invasive plant species in the Transylvanian landscape exhibited that distance to roads and heterogeneity, especially in arable land, were key variables determining the invasibility of the landscape (Chapter 5). By studying movement patterns of butterflies in agricultural landscapes, land-use intensity could be revealed having an impact on butterfly movements. Furthermore, butterflies were found to prefer non-arable patches within farmland (Chapter 6). In a third step, this dissertation conceptually embeds socio-economic considerations into the local and international discourse on sustainable rural development: Reflections on a participatory projects on establishing butterfly monitoring in Romania conclude that involving citizens in biodiversity conservation is possible in Romania, but need tailored approaches which consider the unique social and cultural settings (Chapter 7). Current recommendations from scientific literature to increase the agricultural yield, for example in Eastern European landscapes, through ´sustainable intensification´ for global food security are scrutinized for their engagement with sustainability. This dissertation concludes that genuine sustainable solutions need to respect the various aspects of sustainability, including procedural and distributive justice. Furthermore, it is clarified that general recommendations for agricultural intensification, for instance in Romania, may lead to devastating impacts on biodiversity and ecosystem functions (Chapter 8). This dissertation provides evidence that the beneficial characteristics of the Translvanian farmland are linked to the fine spatial scale of the agricultural mosaic, the amount and distribution of semi-natural elements and the scattered woody vegetation throughout the landscape. Hence, the future of biodiversity depends on human interventions in the ancient cultural landscape. Navigating biodiversity conservation in Southern Transylvania thus needs genuine sustainable solutions, which integrate socially acceptable and ecological meaningful landscape management.
Recent studies have confirmed that the aquatic ecosystem is being polluted with an unknown cocktail of pharmaceuticals, their metabolites and/or their transformation products (TPs). Although individual pharmaceuticals are typically present at low concentrations, their continuous input into the aquatic ecosystem and their toxic and persistent presence are the major environmental concerns. Therefore, it is necessary to assess the environmental risk caused by these aquatic pollutants. Data on exposure are required for quantitative risk assessment of parent compounds and their transformation products (TPs) and/or metabolites. Such data are mostly missing, especially for TPs, because of the non-availability of TPs and very often metabolites for experimental testing. Therefore, the application of different in silico tools for qualitative risk assessment can be used. Also, the presence of these micro-pollutants (active pharmaceutical ingredients, APIs) in the aquatic cycle are increasingly seen as a challenge to the sustainable management of water resources worldwide due to ineffective effluent treatment and other measures for their input prevention. Given the poor prognosis for effluent treatment (‘end of the pipe’ approach) for input prevention of APIs in the environment, it is necessary to focus on the ‘beginning of the pipe’ strategy. The very beginning of the pipe is the molecules themselves. Therefore, novel approaches are needed like designing greener pharmaceuticals, i.e. better biodegradable ones in the aquatic environment after their release. Therefore, the present research work focused on two important topics a) assessment of the environmental risk associated with the presence of highly prescribed drugs and their TPs; b) demonstrating the feasibility of the ‘benign by design’ concept for designing biodegradable drug derivatives, which will have the better biodegradability in the environment after their release. The present thesis includes four research articles (1-4) which address these approaches. The first article is about the qualitative environmental risk assessment using the example of transformation products formed during photolysis (photo-TPs) of Diatrizoic acid (DIAT). Photolysis is the chemical reaction in which the compound is broken down by photons and often in combination with hydroxyl radicals. Photolysis is the most common abatement process of micro-pollutants in the environment. The qualitative risk assessment of DIAT and selected photo-TPs was performed by the PBT approach (i.e. Persistence, Bioaccumulation and Toxicity), using chemical analysis, experimental biodegradation test assays, QSAR models with several different toxicological endpoints and in silico read-across approaches. The second article addresses a tiered approach of implementing green and sustainable chemistry principles for theoretically designing better biodegradable and pharmacologically potent pharmaceuticals derivatives. Photodegradation process coupled with LC-MSn analysis, biodegradability testing and in silico tools such as quantitative structure-activity relationships (QSAR) analysis and molecular docking proved to be a very significant approach for the preliminary stages of designing chemical structures that would fit into the ´benign by design´ concept in the direction of green and sustainable pharmacy. Metoprolol (MTL) was used as an example. The third article was also the conceptual framework to get new drug derivatives that are biodegradable in order to tackle the global challenge of micro-pollutants in the aquatic cycle. This study increased the knowledge about the role of the attachment of certain functionalities to the parent drug molecule for its biodegradability whilst conserving drug-likeness. This approach was in the past a totally neglected issue within drug development. Atenolol (ATL), a selective β1 blocker, was selected as an example to incorporate the additional attribute such as biodegradability into its molecular structure while conserving its substructures responsible for β adrenergic receptor blocker activity. In fourth article, the concept of designing green biodegradable pharmaceuticals has been proven through expanded experimental analysis setting out from the experiences collected as described in article two and three. This study could be considered as a more extensive feasibility study of rational design of green drug derivatives. The non-selective β-blocker Propranolol (PPL) was used as an example. The risk assessment study (Article #1) contributes in enhancing the existing knowledge about the life cycle and behavior (fate) of pharmaceuticals with a special focus on photo-TPs which are generally formed during advanced effluent treatment and enter as such into the environment. Based on the obtained results, the application of the in silico tools for qualitative risk assessment analysis increased knowledge space about the environmental fate of TPs in case of their non-availability for experimental testing. The benign by design studies (Article #2-4) were based on the knowledge and experience collected during the work on DIAT. It demonstrated the feasibility of a novel approach of designing comparatively better degradable and pharmacological potent derivatives through the implementation of ´green chemistry´ principles. However, the present approach is in the juvenile stage and further knowledge has to be collected beforehand for the full implementation of this approach into drug development.
Die Entfernung von Phosphor aus Abwasser bleibt ein Forschungsthema, das in Zukunft nur an Wichtigkeit gewinnen kann. Das wird durch die Umweltauswirkungen der Eutrophierung und den Verlust eines essentiellen Nährstoffes für die Nahrungsmittelproduktion dessen Knappheit immer offensichtlicher wird, immer deutlicher. Auf Kläranlagen werden heute hauptsächlich zwei Techniken verwendet um Phosphor zu entfernen, biologisch aktive Verfahren wie das Enhanced Biological Phosphorus Removal (EBPR) Verfahren und Fällungstechniken unter Verwendung von Metallsalzen. Bei beiden Methoden gibt es gegenwärtig Schwierigkeiten wie z.B. die Instabilität des EBPR Prozesses wegen des Mangels an Wissen über die Grundlagen des Stoffwechselprozesses. Bei der Verwendung von Fällungsmitteln kommt es zu vielen Nachteilen im Zusammenhang mit der Nachbehandlung des Schlammes, bei der Entsorgung kommt es zu dem Verlust der Schlammmassen und damit auch des Phosphors aus dem Nährstoffkreislauf. Das Ergebnis dieser Forschung ist, dass es möglich ist, die Phosphorspeicherkapazität von Belebtschlamm zu erhöhen wenn dieser spezifische Anforderungen erfüllt. Diese Anforderungen werden wie folgt zusammengefasst: Die Schlammmasse muss in der Lage sein, EBPR Prozesse zu entwickeln, auch muss der Schlamm aus einem Belebungsbecken-System kommen, weil die Schlammflocken unter den Umgebungsbedingungen des Reaktors stabilisiert worden sind. Schließlich muss der Belebtschlamm aus einem Verfahren kommen, bei dem man für die Phosphorentfernung keine Metallsalze verwendet. Die erhöhte Phosphorstoffspeicherkapazität der Belebtschlammmassen in Verbindung mit der Möglichkeit den Phosphor aus dem Belebtschlamm über Rücklösung in die wässrige Phase wieder gewinnen zu können, bietet großes Potential in der Zukunft einen in der Abwasserwirtschaft geschlossenen Phosphorkreislauf zu entwickeln und so den Verlust des wichtigen Nährstoffes nachhaltig zu verhindern.
Micro- and small enterprises are of great importance for the economic growth in developing countries, as they contribute to employment creation and innovation. In light of their economic relevance, several approaches to support micro- and small enterprises have emerged, including building human capital through business trainings. However, the effects of existing business trainings on entrepreneurial success have so far been limited. One promising alternative training approach that has emerged in the last years is personal initiative training, which teaches self-starting, future-oriented, and persistent entrepreneurial behavior. This dissertation helps to improve the understanding of personal initiative training by shedding light on the mechanisms through which it affects business success, on supporting factors, and on its long-term impacts. Chapter 1 provides an overview on the topic of personal initiative training for entrepreneurs in developing countries. Chapter 2 introduces personal initiative training and other proactive behavior trainings in various contexts of work, including entrepreneurship. The chapter presents action regulation theory and the theory on personal initiative as the theoretical foundation of the training. In addition, the chapter provides insights into training and evaluation methods and makes recommendations for the successful implementation of personal initiative training. Chapter 3 offers a first answer to the question how personal initiative after training can be maintained over time. The chapter introduces training participants' need for cognition as beneficial factor for post-training personal initiative maintenance. Chapter 4 explains how action regulation trainings like personal initiative training contribute to poverty reduction in developing countries by supporting entrepreneurial success. Chapter 5 enlarges upon the topic of personal initiative training for entrepreneurial success in developing countries. The chapter focuses on how personal initiative training supports female entrepreneurs in developing countries by helping them to overcome the uncertainty involved in entrepreneurial actions. Chapter 6 summarizes the overall findings and illustrates the theoretical and practical implications that result from this dissertation. In sum, this dissertation makes a contribution to the better understanding of personal initiative training and its effects on entrepreneurship in developing countries and thereby helps to create effective interventions to combat poverty in developing countries.
Derivatives are contracts between two parties, a buyer and a seller. The contract will be fulfilled in some point in the future at a predetermined price. The value of those contracts is based on an underlying entity which can be a traded asset or even the weather. Derivatives contain chances, but also risks, investor should be aware off. This thesis aims to deeply analyze two derivative products in the German market and one risk for each which influences the prices of those products. The first part of this thesis focuses on warrants and the issuer's credit risk involved. It finds evidence that the issuer's credit risk influences the connection between warrant characteristic and its prices. Over time this connection is unstable partly driven by the issuer's credit risk. The second paper of this thesis shows that issuers seem to use their credit risk systematically to influence warrant prices. Evidence is found that the changes in credit risk are not fully included in the prices directly, but that the adjustment to the new level of credit risk takes several days. In addition, the issuer's adjustment to changes in credit risk are different for credit risk increases than for credit risk decreases. Especially after financial crisis, in more stable times, evidence is found for such adverse pricing pattern. The third part of the thesis focuses on energy derivatives traded at the Europe Energy Exchange and analyses the influence of weather parameters on energy derivatives with different load profiles and time horizons. This part of the thesis finds that especially wind speed and sun hours have a strong influence on energy derivatives. However, not all products are influenced in the same manner. Products with a longer time horizon are influenced less than the product with a short horizon. Moreover, products comprising hours of the day where energy consumption is expected to be higher are influenced stronger than products comprising hours of a day with lower time consumption. The thesis shows that derivatives are not alike and that it is needed for future research to differentiate between products and the risks which are involved. Since even though we classify them all as derivatives the risks influencing the derivative´s prices do vary tremendously.
Various researchers have been hypothesizing on and agreeing that, in negotiations, resources play a fundamental role in parties' behaviors and outcomes. Paradoxically, empirical findings that provide insights into the effects of resources are scarce. The current research seeks to shed light on the overwhelming consensus that resources may shape negotiations. Specifically, in a series of four original research articles, we systematically examine the overarching question of how tangible and even intangible resources affect parties' attitudes, behaviors, and outcomes. Resources in negotiations can be characterized as all the tangible and intangible aspects of the negotiation that are related to the negotiators' interests. Thus, the central activity of the bargaining relationship is the allocation of tangible resources, while intangibles are simultaneously involved. Consistent with this basic idea, we assume that whether parties focus on catching hold of obtaining their adversaries' tangible resources or on losing grip of their own tangibles impacts their concession behavior and outcomes. Parties with a focus on losing their own tangible resources should experience more loss aversion, concede less, and should achieve better outcomes than parties who focus on catching hold of obtaining their counterpart's tangibles. It follows that what should be essential in the ongoing negotiation process should apply to the first move at the bargaining table as well. When first-movers lead responders to focus on catching hold of tangible resources, the well-documented anchoring effect should occur, benefitting the first-mover. Contrarily, when the first-mover induces a focus on the resource the responder is about to lose, responders should be motivated to adjust their counterproposal far away from the opening anchor. Responders' motivation to adjust should leverage the anchoring effect in negotiations. Further, we outline the very special role of money in negotiations, that is perceived as likely the most important tangible resource. Ultimately, we address the important role of intangible resources, in addition to that of tangible resources, and suggest that the intangible resource of professional experience is related to the negotiator´s attitudes towards unethical bargaining tactics. Overall, the findings of these research projects suggest that not only tangible but also intangible resources do in fact have the fundamental impact on negotiators' behavior and outcomes that has been hypothesized for a long time. Parties who focus on losing grip of their own tangible resources concede less and are better off at the end of the negotiations than parties who focus on catching hold of their counterparts' resources. The researchers report evidence for this basic finding, from the first move at the bargaining table to the final agreement. Their findings help to better understand the key role of money in negotiations and to highlight the "mythical" components of this legendary resource. In addition to the findings on tangible resources, the study reveals a strong negative relationship between negotiators' intangible resource of professional experience and their tendency to endorse unethical bargaining tactics. The research work concludes that losing tangible resources and keeping sight of intangible resources may have profound effects on parties' negotiation attitudes, behaviors, and outcomes.
Wood-pastures have been present in Europe for thousands of years. This form of grazed landscape, combining herbaceous vegetation with trees and shrubs, has often co-evolved with its human users into complex social-ecological systems (SES). Wood-pastures are associated with high cultural and biodiversity values and are an example of the sustainable use of resources. However, due to their often relatively labour-intensive management and low productivity, large areas of wood-pastures have been lost over the last century. The loss of these areas means not only the loss of biodiversity on both local and landscape scales, but also the loss of traditional farming and cultural heritage in some regions. Across the European Union, wood-pastures are facing different problems and are embedded in different social systems and ecological environments. Yet they are all affected by global change and common European policies. To understand the challenges for wood-pastures in a changing world, a holistic approach combining different disciplines is needed. This dissertation therefore is analyzing wood-pastures across Europe as a Social-ecological System, combining ecology and social science with the aim to identify the barriers and drivers for wood-pastures persistence into the future.
The German energy system is under transformation. The so-called Energiewende (in English, Energy turn) relies, among other things, on renewable energies for building a more sustainable energy system. Regions (Landkreise) are one relevant level where different administrative bodies make decisions and plans both for the implementation and for the use of renewable energies. However, in order to realize the goals of the Energiewende, developments in the wider society are necessary. This is why scientific research can and should foster such developments with more research on the social aspects of energy-related topics. The present work contributes to the understanding of transition processes towards a sustainable use of regional renewable energy by focusing on the role of contextual conditions, practical experiences, and temporal dynamics in the implementation and use of renewable energy in German regions. In this way, this work wants to contribute fostering the development of regional energy transition strategies for the realization of the Energiewende. The conceptual background for this piece of transformation research lies in three bodies of literature dealing respectively with transitions of socio-technical systems, transformations of socioecological systems, and time ecology. From a critical engagement with this literature, three main results have emerged. First, an evidence-based, spatially distinct analysis of contextual conditions for the use of renewable energy in all German regions has resulted in the identification of nine types of regions, so-called energy context types. Second, empirical research on practices in regional settings learned from the knowhow of actors from regional administration has shown that political and economic conditions are crucial as well as that process management, exchange, and learning are helpful for renewable energy implementation. Third, conceptual work about a deeper understanding of the temporal dimensions of transformation processes has made it possible to point out a three-step approach to include temporal dynamics into sustainability transformations management - the time-in-transformations-approach. The literature suggests that regions need to be treated individually; but developing an energy transition strategy for each region individually would be extremely resource intensive. Overall, this work outlines a compromise for a more efficient approach towards regional energy transition strategies which still considers the individuality of regions. As a result, the author suggests to develop generic regional energy transition strategies that are adapted to each of the nine energy context types of German regions, that include the experiences of practitioners, and that consider temporal dynamics of transformation processes. Transdisciplinary research is a promising approach to meet many of the challenges for the realization of the Energiewende.
Whereas heathlands in the Atlantic biogeographical region have been in the centre of interest, dry heathland communities in the Continental biogeographical region have been widely neglected. Thereby, the conservation status of both habitat types is listed as unfavourable-bad across the Continental biogeographical region. Surprisingly, no detailed studies are available on cost-efficient and sustainable restoration and management schemes to successfully restore and maintain highly degraded, long-abandoned Continental heaths and sandy grasslands, and thus, to counteract the poor conservation status of the habitat types. This shows the great need for research for the Continental biogeographical region. Thus, the present thesis provides substantial knowledge about the population dynamics of the key plant species of dry heaths Calluna vulgaris (L.) HULL by investigating key processes in the biology of the species as well as about the restoration and management of long-abandoned, dry Continental heathland and sandy grassland communities. In order to better understand the process of successful Continental heathland restoration, I analysed the reproductive potential (seed production, soil seed bank, and germination ability of seeds) of degenerate Calluna stands as well as the effects of single and combined management options on the generative rejuvenation (i.e., recruitment and survival) of Calluna. The results are based on a comprehensive three-year field experiment including the management options year-round, low-intensity cattle and horse grazing, one-time mowing and one-time shallow soil disturbances combined with greenhouse investigations on the soil seed bank content and germination ability of Calluna seeds. The results showed that even after long-term abandonment, seed production of degenerate Calluna stands and the germination ability of seeds proved to be high, being similar to Atlantic heathlands, whereas the soil seed bank is considerably reduced probably due to the dry conditions in the Continental region. In addition, low-intensity grazing with free-ranging robust breeds and the combination with one-time mowing at the beginning of the restoration process is an effective means of supporting the generative rejuvenation of this key plant species in degraded Continental heaths. The second study of this thesis focussed on the first-year establishment of Calluna in managed and unmanaged dry heaths and heaths in mosaics with dry sandy grasslands. The germination ability of seeds of different life-history phases of Calluna was analysed to determine if the predominance of the late life-history phase restricts the rejuvenation process of this key plant species. In addition, beside effects of management measures (year-round, low-intensity grazing, one-time mowing, one-time shallow soil disturbances) the author analysed the most important safe site conditions that possibly influenced the germination and the first-year survival of Calluna. The results of the study combine field experiments with growth chamber investigations. The author found that life-history phase of Calluna did not significantly affect seed germination and thus, the predominance of the degenerate life-history phase does not restrict the rejuvenation process. In addition, the results of the study revealed that grazing and thus trampling intensity must be temporarily and locally enhanced at the beginning of the restoration process of highly degraded heaths to increase safe site availability for successful Calluna establishment. Thereby, shadowing is the most important safe site condition. In the third study, the author investigated the impacts of year-round low-intensity cattle and horse grazing on the development of the highly competitive grass Calamagrostis epigejos (henceforth referred to as Calamagrostis), as well as the vegetation structure and plant species richness of long-abandoned but nutrient-poor dry heathland and sandy grassland communities, their mosaics and Calamagrostis stands. Finally, I assessed the local conservation status of the habitat types after seven years of grazing in comparison to long-abandoned sites. The results are based on a comprehensive field study on two spatial scales (plot-level: 25 square meters, macroplot-level: 1 ha). The author found that grazing successfully reduced the coverage and prevented the further spread of Calamagrostis, while simultaneously maintained or improved characteristic species richness and vegetation structure across the different nutrient-poor vegetation types over time, and thus enhanced the local conservation status of habitat types of community interest. In conclusion, the results of the studies considerably improved the understanding of dry, Continental heathland and sandy grassland restoration and management. They provide evidence that even after long-term management abandonment, year-round low-intensity cattle and horse grazing is a suitable management tool for restoring, maintaining and even improving nutrient-poor heathland and sandy grassland communities. However, at the beginning of the restoration process, additional management measures are necessary to faster restore abandoned habitats, especially highly degraded heaths.
Organophosphorus flame retardants and plasticizers (OPEs) have been utilized for decades as plasticizers and, to a lesser extent, as flame retardants in various consumer products to improve their material properties. The research presented in this thesis investigated the occurrence, distribution and transport of OPEs with a focus on the coastal and estuarine environment. Due to the wide range of physicochemical properties of OPEs, the environmental fate and behaviour of OPEs was investigated over a range of compartments, starting from the atmospheric occurrence to the aquatic phase and the behaviour in sediments. The aim was to gather information on the OPE contamination situation in the coastal and estuarine environments, to identify specific contamination patterns for source assessment and to investigate the distribution behaviour of OPEs between gas- and particle-phases to evaluate their environmental transport mechanism. To achieve these scientific goals, sensitive and robust chemical analytical methods for the detection and quantification of OPEs in a variety of environmental samples using gas-chromatography coupled with tandem mass spectrometry were developed. Water samples were removed along the Elbe and Rhine Rivers to test the hypothesis of whether specific point sources, such as wastewater treatment plants, are the major input pathways for OPE contamination in rivers. A total of 65 water samples, including an intensive measurement campaign during the flood event in 2013 at the Elbe, was taken and analysed for OPEs. No obvious point sources were identified along either of the rivers analysed. No significant increase or decrease in the OPE concentrations or a change in patterns were observed over a transect of over 300 km at the Elbe, with an increase in water discharge of 2.5. This finding suggested that the OPE input in large rivers is primarily driven by diffuse sources, such as surface runoff, or by minor point sources rather than local point sources. To examine the specific pattern of OPE contamination in individual rivers and estuaries, 37 sediment samples from 8 rivers in Europe and China were analysed. With this analytical data, a fingerprint analysis of the OPE patterns identified could be conducted. All the rivers investigated in Europe displayed a very similar fingerprint. In contrast, the fingerprint from China differed significantly from the one in Europe. For example, in China, the OPE restricted in Europe, Tris(2-chloroethly)phosphate, was found to be one of the major OPE components, while Tris(2-butoxyethyl) phosphate, a major compound in Europe, was negligible in China. The investigation showed that the fingerprinting analysis is a useful tool to identify different regions or characterize specific rivers regarding their OPE contamination. In addition, it could be shown that legislative restriction and processes have an impact on local or even EU-wide contamination patterns. At a coastal site next to the German city of Büsum, 58 air samples were taken over one year. Using the newly developed analytical method, it was possible to analyse the gas, as well as the particle phase, of the samples collected with very low detection limits for OPEs. In contrast to expectations, no annual trend in OPE concentrations, phase distributions or patterns was observed, but the investigation of the phase distribution challenged the previous scientific consensus that OPEs occur as primarily bound to particles in the atmosphere. Several compounds were detected in significant amounts in the gas phase. To validate these novel results, a model analysis based on the chemical properties of OPEs was conducted using three different phase distribution models. The results from the environmental data were strongly supported by the simulations, and the formal knowledge could be refuted. Consequently, the atmospheric transport assumptions and estimations about the long-range transport of OPEs have to be reassessed because compounds in the gas phase undergo other types of transport degradation and elimination mechanisms than particle-boundones. The novel findings presented in this thesis challenged an important aspect regarding the perceived scientific knowledge about the behaviour of OPEs in the environment and call on the scientific community to reassess the environmental behaviour of OPEs. The insights presented on the patterns highlight the impact of environmental policies and regulatory mechanisms to work towards the final goal of a good environmental status and the avoidance of adverse effects of discarded chemicals on humans and the environment.
Social insects like honeybees (Apis mellifera) and stingless bees (Apidae: Meliponini) face a relatively high risk to be attacked by pests and pathogens. To decrease the risk of infection, in addition to an innate immune system, these species have evolved various cooperative defense mechanisms which contribute to the overall health of the colonies and are therefore also referred to as social immunity. The collection and use of plant resin is another important strategy of social immunity. Resin is a sticky, often aromatic substance with antimicrobial and deterrent properties secreted by plants for protection of the vegetative tissue. Honeybees and stingless bees take advantage of these properties by using resins for nest construction (often mixtures of resin and wax called "propolis" or "cerumen") and as defense against pests and pathogens. Plant resins, thus, play a crucial role for the ecology of these species and are an important resource for them. Nevertheless, how bees exploit available resin sources and if resin collection can protect colonies from diseases received comparatively little attention in the past. Therefore the aim of this thesis is to provide new insights into the plant origin and significance as well as the influence of resin resource diversity on bee colony health. For honeybees (A. mellifera) in temperate regions, precise information about which resin sources they use is largely lacking. By chemical comparing bee-collected resins and tree resins, the researcher traced back the resin sources used by individual bees. Results show that honeybees collect distinct resin types that are related to different tree species (several poplar species: Populus balsamifera, P. xcanadensis; Betula alba; Aesculus hippocastanum; several poplar species). With this study, the author provided the first evidence, that A. mellifera in temperate regions use a variety of different tree species as resin sources and, moreover, show preferences for specific resin sources. Furthermore, the researcher conducted an experimental field study in which she investigated whether propolis, as it is naturally deposited in the nests, can protect honeybee colonies against some of the most important pathogens (Varroa destructor mite, Deformed Wing Virus). The results of this study showed that propolis in (semi-) natural conditions can increase the disease resistance of honeybee colonies, underscoring the importance of resins for honeybee health. Resin collection by stingless bees is comparatively well studied and it is known that these species commonly forage on a variety of different plant species. To increase knowledge on whether and how bees may profit from a diversity of resin resources, the researcheer tested how the protective function of a resin varied among different sources (and their mixtures) and various potential aggressors (predators, parasites and pathogens). The results of this study revealed that resins from different trees vary in their effectivity against different target organisms. Moreover, resin blends were more effective than some of the individual resins, suggesting that bees can benefit from a variety of resin resources. In summary, honeybees in temperate regions, similar to tropical stingless bees, use a variety of different tree species as resin sources. Because resins from different tree species varied in their protective function, this indicates that bees can profit from a variety of different resins/resin sources by improving the defense against diverse pests and pathogens. Conversely, the lack of resin had a negative impact on the disease resistance of colonies. Consequently, availability as well as the variety of suitable resin sources is of great importance for the health of bees.
Neither market income nor consumption expenditure provides an adequate picture of individual standard of living. It is time which enables and restricts individual activities and is a further brick to a more comprehensive picture of individual wellbeing. In our study we focus on a prominent part of time use in non-market services: it is parental child care which contributes not only to individual but also to societal well-being. Within a novel approach we ask for multidimensional polarization effects of parental child care where compensation/ substitution of time for parental child care versus income is interdependently evaluated by panel estimates of societys subjective well-being. The new interdependent 2DGAP measure thereby provides multidimensional polarization intensity information for the poor and the rich and disentangles the single time and income contribution to subjective well-being ensuring at the same time the interdependence of the polarization dimensions. Socio-economic influences on the polarization pole risk and intensity will be quantified by two stage Heckman estimates. The analyses are based on the German Socio-Economic Panel with 21 waves and robust fixed effects estimates of subjective well-being as well as the German Time Use Surveys 1991/92 and actual 2012/13 with detailed diary time use data. The empirical results discover the interdependent relations between parental child care and income under a common evaluation frame and contribute to the question of dimension specific targeted policies in a multidimensional polarization approach. Prominent result: compensation between parental child care time and income proved to be significant, but there are multidimensional regions with no compensation, where parental child care time deficit is not compensated by income. Interdependent multidimensional polarization by headcount and intensity increased significantly over the twenty years under investigation with remarkable risk and intensity differences between the polarization poles with different disentangled parental child care time and income contributions to subjective well-being.
Supporting sustainability transformation through research requires, in equal parts, knowledge about complex problems and knowledge that supports individual and collective action to change the system. Recasting the conditions, characteristics, and modes of research processes that address these needs leads to solution-oriented research in sustainability science. This is supported by systematically analyzing the system’s dynamics, envisioning the desired future target state, and by engaging and designing strategic pathways. In addition, learning and capacity building are important crosscutting processes for co-producing required knowledge. In research, we use sophisticated representations as mediators between theories and objects of interest, depicted as visualizations, models, and simulations. They simplify, idealize, and store large and dense amounts of information. Representations are already employed in the service of sustainability, e.g., in communication about climate change. Understanding them as tools to facilitate processes, dialogue, mutual learning, shared understanding, and communication can yield contributions to knowledge processes of analyzing, envisioning, and engaging, and has implications on the design of the sustainability solution. Therefore I ask, what role do representations and representational practices play in the generation of sustainability solutions in different knowledge processes? Four empirical case studies applying rough set analysis, multivariate statistics, systematic literature review, and expert interviews target this research question. The overall aim of this dissertation is to contribute to a stronger foundation and the role of representation in sustainability science. This includes: (i) to explore and conceptualize representations for the three knowledge processes along selected characteristics and mechanisms; (ii) to understand representational practices as tools and embedded into larger methodological frameworks; (iii) to understand the connection between representation and (mutual) learning in sustainability science. Results point toward crosscutting mechanisms of representations for knowledge processes and the need to build representational literacy to responsible design and participate in representational practices for sustainability.
Global climate change and environmental degradation are largely caused by human activity, thus progress towards a sustainable future will require large-scale changes to human behavior. Human-nature connectedness (HNC) - a measure of cognitive, emotional, spiritual and biophysical linkages to natural places - has been identified as a positive predictor of sustainability attitudes and behaviors. While calls to "reconnect to nature" in order to foster sustainability outcomes have become common across science, policy and practice, there remains a great deal of uncertainty, speculation, and conceptual vagueness around how this ought to be implemented. The overarching aim of this thesis is to advance conceptual and empirical understandings of HNC as a leverage point for pro-environmental outcomes and sustainability transformation. In particular, the thesis attempts to assess the nuances of the HNC-PEB (pro-environmental behavior) relationship by investigating the scalar relationships between where someone feels connected to nature and where someone acts pro-environmentally. This research was conducted through conceptual exploration, systematic literature reviews using hierarchical cluster analysis, and empirical case studies relying on structural equation modeling and two-step cluster analysis. The relationship between HNC and pro-environmental attitudes and behaviors was investigated in a small microregion of Transylvania, Romania, where traditional relationships with the land and changing socio-economic characteristics provided an interesting case study in which to explore these connections. The key findings can be organized into three sections: Section A, which addresses HNC and its potential for sustainability transformation; Section B, which addresses HNC as a determinant of PEB outcomes, and Section C, which explores the relationships between human-nature connectedness and energy conservation norms, attitudes, and behaviors. Results cumulatively suggest that HNC is a multidimensional construct that requires greater integration across heterogeneous disciplinary and methodological boundaries in order to reach its potential for meaningful sustainability transformation. Results also highlight the critical need to adopt systemic approaches to understanding how interactions between human-nature connections, norms, attitudes, and behaviors are hindering or promoting sustainability outcomes.
This doctoral thesis contains four empirical studies analysing the personal accountability of prime ministers and the electoral presidentialisation of parliamentary elections in European democracies. It develops the concept of presidentialised prime ministerial accountability as a behavioural element in the chain of accountability in parliamentary systems. The ongoing presidentialisation of parliamentary elections, driven by changes in mass communication and erosion of societal cleavages, that fosters an increasing influence of prime ministers' and other leading candidates' personalities on vote choices, has called performance voting – and the resulting accountability mechanism of electoral punishment and reward of governing parties – into question. This thesis analyses whether performance voting can be extended to the personal level of parliamentary governments and asks whether voters hold prime ministers personally accountable for the performance of their government. Furthermore, it explores how voters change their opinion of prime ministers and how differences in party system stability and media freedom between Western and Central Eastern Europe contribute to higher electoral presidentialization in Central Eastern European parliamentary elections. This thesis relies on several national data sources: the "British Election Study", the "German Longitudinal Election Study" and other German election surveys, the "Danish Election Study", as well as, data from the "Forschungsgruppe Wahlen". In addition, it utilises cross-national data from the "Comparative Study of Electoral Systems".
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.
The present doctoral dissertations seeks to shed theoretical and empirical light on how complexity and different approaches to manage it affect perceptions, behaviors, and outcomes in integrative negotiations. Chapter 1 summarizes the following chapters, describes their individual contribution to the present thesis, and outlines avenues for future research. In Chapter 2, a theoretical model comprising of task- and context-based determinants of complexity in negotiations is developed. In Chapter 3, the effects of the number of issues (high vs. low) as one essential determinant of complexity on parties' trade-off behavior and joint outcomes are investigated in a series of four experiments. Furthermore, negotiators' cognitive categorizing of issues (i.e., their mental-accounting approach) is examined as the underlying psychological mechanism. Results reveal that more issues lead to a higher risk of scattering the integrative potential between cognitive categories (i.e., mental accounts), reducing trade-off quality and joint outcomes. In Chapter 4, the generalizability of the detrimental effect of the number of issues on joint outcomes is tested across varying numbers of issues in a meta-analysis. Moreover, boundary conditions for the effect are investigated. Results confirm the generalizability of the number-of-issues effect, but no relevant boundary conditions are identified. In Chapter 5, the effects of different mental-accounting approaches on negotiators' judgment accuracy, trade-off behaviors, and negotiation outcomes are examined in a series of five experiments. Results demonstrate that categorizing a moderate number of issues into each mental account leads to a higher judgment accuracy, trade-off quality, and joint outcomes, but only if negotiators manage to pool the integrative potential within these accounts. Finally, Chapter 6 takes a broader perspective on different integrative strategies in negotiations (i.e., expanding the pie, logrolling, solving underlying interests), thereby laying the groundwork for future research.
Contemporary liberal-democracies are under stress and traditional political parties have become detached from their electorates. Since the 1980s, parties have been experiencing a crisis of legitimation, whose effects have become intensive especially in the early twenty-first century. New populist challengers have tried to fill the representative void left by mainstream parties; at the same time, technocracy has become one of the most prominent form of representation. Political responsibility and responsiveness appear often incompatible in the eyes of voters. Moreover, political personalization and processes of presidentialization have led to a situation where single political leaders have become the crucial political actors, to the detriment of party organizations. This Habilitation thesis investigates the linkage between representative democratic institutions in parliamentary and semi-presidential systems and political elites, trying to understand how this linkage has been affected by the change of party democracy. In particular, the thesis analyzes political institutions’ functioning in democratic contexts as well as parties’ responses and elites’ paths to power as indicators of a process of adaptation. Four main research questions inform the analysis: what structural opportunities and constraints do political elites meet when it comes to exercising political power?; how have the decline of party government and political personalization modified opportunity structures?; how do parties and elites cope with democratic change?; has democratic change produced new criteria for successful political careers? The institutional focus is on political executives and representative assemblies at different levels of government. Findings highlight that political elites adopts strategies of resistance and respond to democratic change through incremental steps. In other words, rather than anticipatory, political elites appear reactive, when they are confronted with substantial modifications of the political opportunity structure. Overall, the study contributes to the debate about the changing role of parties and political elites as connectors between the state and the society and provides insights about future developments.
Tropical forests worldwide support high biodiversity and contribute to the sustenance of local people’s livelihoods. However, the conservation and sustainability of these forests are threatened by land-use changes and a rapidly increasing human population. This dissertation, therefore, aimed to characterize biodiversity patterns in the moist Afromontane forests of southwestern Ethiopia and to examine how biodiversity patterns are affected by land-use and land-use changes (mediated by coffee management intensity, landscape attributes and housing development) in a context of a rapidly growing rural population. To achieve this goal, the author takes an interdisciplinary approach where, first, she examined the effects of coffee management intensity on diversity patterns of woody plants and birds, spanning a gradient of site-level disturbance from nearly undisturbed forest interior to highly managed shade coffee forests. Results showed that specialized species of woody plants (forest specialists) and birds (forest specialists, insectivores and frugivores) were affected by coffee management intensity. The richness of forest specialist trees and the richness and/or abundance of insectivores, frugivores and forest specialist birds decrease with increasing levels of disturbance. Second, the author investigated the effects of landscape context on woody plants, birds and mammals. Community composition and specialist species of woody plants and birds were sensitive to landscape context, where woody plants responded positively to gradients of edge-interior and birds to gradients of edge-interior and forest cover. Further results showed that a diverse mammal community, with 26 species, occurs at the forest edge of shade coffee forests and that the leopard, an apex predator in the region depended on large areas of natural forest. A closer examination of leopard activity patterns revealed a shift in the diel activity as a response to human disturbance inside the forest, further highlighting the importance of natural undisturbed forests for leopards in the region. Together, these findings demonstrate the value of low managed shade coffee forests for biodiversity, and importantly, emphasize the irreplaceable value of undisturbed natural forests for biodiversity. Third, the researcher investigated the effects of prospective rural population growth (mediated by housing development) on the forest mammal community. Here, population growth was projected to negatively influence several mammal species, including the leopard. Housing development that encroached the forest entailed worse outcomes for biodiversity than a combination of prioritized development in already developed areas and coffee forest protection. Fourth, to understand the motivations behind high human fertility rates in the region, she examined the determinants of women fertility preferences, including their perceptions on social and biophysical stressors affecting local livelihoods such as food insecurity and environmental degradation. Fertility preferences were influenced by underlying social norms and mindsets, a perceived utilitarian value of children and male dominance within the household, and were only marginally affected by perceptions of social and biophysical stressors. The findings suggest the need for new deliberative and culturally sensitive approaches that engage with pervasive social norms to slow down population growth. Overall, this dissertation demonstrates the key value of moist Afromontane forests in southwestern Ethiopia for biodiversity conservation. It indicates the need to promote coffee management practices that reduce forest degradation and highlights that high priority should be given to the conservation of undisturbed natural forests. It also suggests the need to integrate conservation goals with housing development in landscape planning. A promising approach to achieve the above conservation priorities would be the creation of a Biosphere Reserve and to promote the ecological connectivity between the larger forest remnants in the region. Finally, this dissertation demonstrates the importance of placed-based holistic approaches in conservation that consider both proximate and distal drivers of forest biodiversity decline.
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.
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.
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.
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.
In the study, predictive models for predicting therapy outcome are created using the dataset from E-COMPARED project, which belongs to the so-called type 3 models that use data from the intervention and preintervention phases to predict treatment outcomes, which can help to adapt intervention to maximize treatment. The predictive models aim to classify patients into two groups, improved and nonimproved. Since it is important to determine whether the models contribute to improvement of treatment, research questions that can contribute to the usage of type 3 models are established. The study focuses on the following three questions: (1) How accurately can the therapy outcome be predicted by various machine learning algorithms? Answering this question can let the people concerned obtain information about the reliability of contemporary predictive models. In addition, if the predictive power of the models is good, it is more likely to be used to assist therapists’ decisions. (2) Which kind of data is more important in predicting the therapy outcome? The answer to this question can show which dataset should be considered first to make better predictive models. Therefore, it can be helpful for researchers who want to make predictive models in the future and eventually help to facilitate personalized therapy. (3) What are the features with strong predictive power? The answer to this question can affect the people concerned, especially therapists. Therapists can use the most influential features revealed to adjust and improve future treatments.
How can CSX be applied to different industries in the cultural field? The following three subchapters discuss general problems of the cultural sector (the past), current practice examples of CSX (the present) and visions about new possibilities in this sector (the future), envisioning the progress of the sector through the implementation of CSX as an alternative economic model. This chapter explores this by using creative writing styles. While all the characters are fictional, the characterizations and the outline of the story draw from our scientific research. Our main protagonist is Quinn who studies Cultural Studies, is a volunteer in several cultural initiatives and works at a podcast studio. Planning to be done
with the Master's program in about a year, questions about possibilities of a future employment in the cultural sector are becoming more present for Quinn and their fellow students.
This dissertation deals with the increasingly recognized role of incumbent firms in advancing sustainability-oriented industry transitions. Incumbent firms are understood as firms-in-industries, which are embedded in established market structures and thereby contrast new entrant firms. The purpose of this research is twofold. First, to provide empirical evidence of barriers to and success factors of incumbent-driven industry transitions. Second, to unify hitherto dispersed descriptions of transition-related firm behaviour in a new understanding of incumbent firms in industry transitions. To this end, theoretical concepts are discussed and extended on the basis of different empirical studies in the German meat industry. The meat industry serves as suitable research setting due to its diverse sustainability challenges, ranging from climate change and pollution to animal welfare and public health, as well as its current developments towards sustainable protein alternatives. The meat context also offers opportunities to delve into individual-level processes influencing transition-related behaviour. The main contribution of this dissertation is a Multi Embeddedness Framework (MEF) that details processes and outcomes of integrated incumbent firm behaviour, including passive, reactive and proactive behaviors. The framework acknowledges the diversity in incumbent firm behaviors within industries and firms and provides new insights into transition-related behaviors at firm and individual level. With regard to the latter, the potential of learning about and from innovative start-up firms as well as shared sensemaking processes are discussed. The contents of this dissertation provide valuable contributions to the transition literature as well as important management implications with regard to the stimulation and promotion of proactive behaviors
Though the loss of biological diversity is an ecological phenomenon, it also has a social dimension. This makes the study of the social landscape, encompassing the multitude of perspectives and aspirations by different stakeholders, highly relevant for better navigating trade-offs between biodiversity conservation and other land use objectives. Engaging with and addressing contextual understandings of biodiversity is vital to develop socially palatable solutions for biodiversity loss. This dissertation, therefore, takes a place-based approach to studying biodiversity conservation trade-offs and seeks to understand how the perspectives and aspirations of different stakeholders shape them. First, it aims to identify shared viewpoints as ensembles of perceptions and meanings about human-nature relations and biodiversity. Second, it aims to understand how biodiversity is valued and constructed in stakeholders’ aspirations towards their landscape. To this end, a convergent mixed methods approach and case study design are used. Two cases were selected that face different underlying drivers of land-use change, resulting in loss of biodiversity. The Muttama Creek Catchment area is a farming landscape in south-eastern Australia where the ongoing intensification of agricultural production threatens native biodiversity. In the Spreewald Biosphere Reserve in north-eastern Germany, land abandonment and the resulting loss of the biodiversity-rich wet meadows presents a key challenge for biodiversity conservation. Narratives and discourses provide conceptual lenses through which the author studies biodiversity conservation trade-offs. Drawing on Q-methodology, this dissertation identifies biodiversity-production discourses for the first case study and cultural landscape narratives for the second case study. Moreover, based on a participatory futures approach, the Three Horizons Framework, it elicits narratives of change that highlight opportunities for biodiversity conservation in farming landscapes. The findings highlight that despite some overlap in how stakeholders perceive biodiversity, contrasting problem framings and different biodiversity priorities present hindrances to concerted action to protect biodiversity and for collaboration. The findings also identify shared values among stakeholders. However, there is polarity and contestation around the role and importance of biodiversity in rural development.