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The requirements for the design of information and assistance systems in labour-intensive processes are interdisciplinary and have not yet been sufficiently addressed in research. This dissertation analyses, evaluates and describes possibilities for increasing the effectiveness and efficiency of labour-intensive processes through design-optimised socio-technical systems. The work thus contributes to further developing information and assistance systems for industrial applications and use in healthcare. The central dimensions of people, activity, context and technology are the focus of the scientific investigations following the Design Science Research paradigm. Design principles derived from this, a corresponding taxonomy, and a conceptual reference model for the design of socio-technical systems are the results of this dissertation.
This study examines the perspective of German venture capitalists on the success factors of digital startups and follows an explorative three-dimensional research approach that integrates the micro perspective on the entrepreneurial personality, the macro perspective on the entrepreneurial context, and the meso perspective on the business model. Thus, the study operates in a very young field of entrepreneurship research.
One of the purposes of this research project is to work out the significance of particular characteristics at each research level for the economic success of a digital start-up from the perspective of German venture capitalists. Furthermore, the study sheds light on the view of this group of experts on the relevance of an entire group of characteristics.
To answer the central research questions, qualitative research methods and a mixed-methods approach are pursued, with quantitative and qualitative primary data being collected by means of theory-driven semi-structured expert interviews. As a result, a total of four articles have been produced: three articles that focus on presenting the results of qualitative research from only one of the three aforementioned research perspectives each, and a fourth article that combines methods from qualitative and quantitative research and derives an integrated, evidence-based working model of the economic success of digital startups from the perspective of German venture capital (VC) investors.
This cumulative dissertation "Corporate Social Responsibility (CSR) Communication: Four empirical studies on the German banking industry" presents how commercial banks in Germany communicate their ambitions and commitment regarding corporate responsibility - i.e., CSR. The results of the first article show that the quality of mandatory non-financial reporting needs to be improved and that certain characteristics (e.g., previous reporting experience, reporting format and standard) have a positive influence on reporting quality. The second article shows that the CSR reporting scope on bank websites also has room for improvement and that various banking characteristics such as size, capital market orientation, media visibility or public ownership have an influence on communication. The third article illustrates that credit institutions in Germany are increasingly using social media for CSR communication, but that CSR communication strategies differ (Facebook vs. Twitter). The fourth article discusses CSR communication using advertisements and shows that the conceptual design of advertisements should be in line with the credit institution's business model and is therefore beneficial.
Die Einführung von Industrie 4.0 und der damit verbundene Wandel des Produktionsumfeldes führen zu neuen Herausforderungen, bieten auf der anderen Seite aber auch neue Möglichkeiten für Unternehmen. Ausgehend von den Herausforderungen der Produktionsplanung und Steuerung als zentrales Element der Produktherstellung, z.B. Komplexität, Dynamik und neue Organisationsformen, werden bestehenden Methoden der Reihenfolgeplanung auf ihre Tauglichkeit zur Verwendung hin geprüft. Die Analyse zeigt, dass Aspekte wie die Ableitung von Handlungen und der Transfer von Wissen in unbekannten Situationen zu den größten Herausforderungen für bestehende Verfahren zählen. Die in der Arbeit neu entwickelte Methode zur dynamischen Auswahl und Anpassung von Reihenfolgeregeln in komplexen Fertigungssystemen mit bestärkendem Lernen greift diese Herausforderungen auf und untersucht mögliche Lösungsstrategien. Die im Rahmen der Arbeit neu entwickelte Methode wird über ein Spektrum an unterschiedlichsten Szenarien evaluiert und mit anderen Methoden verglichen. Dabei werden verschiedene Ausprägungen und Komplexitäts-Niveaus von Handlungen, der Beobachtungsraum und die Mengen an benötigten Daten detailliert analysiert. Schlussendlich zeigt sich, dass die neue Methode in der Lage ist, die Anforderungen an die Produktionsplanung- und Steuerung zu erfüllen und in bekannten wie in unbekannten Szenarien gut Leistung zu erbringen. Zusätzlich ist die Methode in der Lage menschenähnliche Leistungen zu bringen und kann in einem realen Anwendungsfall zur Unterstützung der Produktionsplanung und -Steuerung genutzt werden.
The computational analysis and the optimization of transport and mixing processes in fluid flows are of ongoing scientific interest. Transfer operator methods are powerful tools for the study of these processes in dynamical systems. The focus in this context has been mostly on closed dynamical systems and the main applications have been geophysical flows.
In this thesis, we consider transport and mixing in closed flow systems and in open flow systems that mimic technical mixing devices. Via transfer operator methods, we study the coherent behavior in closed example systems including a turbulent Rayleigh-Bénard convection flow and consider the finite-time mixing of two fluids. We extend the transfer operator framework to specific open flows. In particular, we study time-periodic open flow systems with constant inflow and outflow of fluid particles and consider several example systems. In this case, the transfer operator is represented by a transition matrix of a time-homogeneous absorbing Markov chain restricted to finite transient states. The chaotic saddle and its stable and unstable manifolds organize the transport processes in open systems. We extract these structures directly from leading eigenvectors of the transition matrix. For a constant source of two fluids in different colors, the mass distribution in the mixer and its outlet region converges to an invariant mixing pattern. In parameter studies, we quantify the degree of mixing of the resulting patterns by several mixing measures. More recently, network-based methods that construct graphs on trajectories of fluid particles have been developed to study coherent behavior in fluid flow. We use a method based on diffusion maps to extract organizing structures in open example systems directly from trajectories of fluid particles and extend this method to describe the mixing of two types of fluids.
Ziel dieser Arbeit ist es, empirisch gesicherte Aussagen über die schriftliche Textplanung von Mittelstufenschüler*innen beim schriftlichen Argumentieren treffen zu können. Somit wird hier das argumentative Schreiben und Planen von schriftlichen Texten von 7. Klässler*innen betrachtet und untersucht. Die Daten resultieren aus dem Forschungsprojekt !!„Fach-an- Sprache-an-Fach“!!. Im Rahmen dieses Projektes nahmen Schüler*innen der 7. Klassen von insgesamt 7 Schulen in Niedersachsen und Hamburg an einer 15-wöchigen Intervention teil, um u.a. ihre schriftlichen persuasiven Argumentationsfähigkeiten zu verbessern. In diesem Zusammenhang arbeiteten die Schüler*innen mit einem selbst entwickelten Planungstool, um argumentative Texte zu verschiedenen Aufgabenstellungen zu verfassen. In der Arbeit werden von 33 Fokusfällen die bearbeiteten Planungstools sowie die dazugehörigen argumentativen Texte in einem mehrstufigen qualitativen und quantitativen Analyseverfahren betrachtet. In dem Analyseverfahren wird u.a. mit der formal, strukturierenden qualitativen Inhaltsanalyse und mit einem gattungsspezifischen Textanalyseverfahren gearbeitet.
New media and digital technologies open up numerous possibilities to document different versions of reality, which makes it essential to examine how they transform the logic behind the creation and production of documentaries in digital cultures. The goal of this study is to inves-tigate the integration between the traditional documentary and new media: the interactive doc-umentary, in the context of the different sociocultural and technological environments of China and the West. Accordingly, a comparative study on the evolution and integration of these two fields was carried out. The documentary genre brings with it a method of classification and various modes of representing reality, while new media provide new approaches to interactivity as well as the production and distribution of interactive documentaries. In this context, the study examines the differences and characteristics of interactive documentaries in China and the West. Interactive documentaries grow and change as a continuously evolving system, engaging the roles of the author and the user, such that their roles are mixed for better co-expression and the reshaping of their shared environment. In addition, an analytical approach based on the types of interactivity was adopted to explore this new form of documentary both to deduce how the stories about our shared world can be told and to understand the impact of interactive doc-umentaries on the construction of our versions of the reality as well as our role in it.
Depressive disorders are highly prevalent mental disorders associated with an enormous individual and societal burden. The efficacy of both; treatment and prevention of depression have been meta-analytically demonstrated. Over the past two decades, an increasing number of internet-based interventions for depression has been developed and their efficacy was also metaanalytically shown. However, the uptake of such interventions – despite all the suggested advantages of internet-based interventions – is still rather low. The stigma still associated with “depression” may be one major barrier also to internet-based interventions. To overcome this barrier and potentially increase uptake, the paradigm of indirect interventions has been proposed recently. Indirect interventions primarily address common mental health problems, which are presumed to be less stigmatizing, and are suggested to reduce depressive symptoms indirectly. Targeting common mental health problems that are transdiagnostic risk factors for depression and other mental disorders – such as stress or repetitive negative thinking – seems especially promising.
This dissertation evaluated the efficacy of three different internet-based interventions that can be regarded as indirect interventions to reduce depression since they primarily targeted risk factors for depression. For this purpose three registered randomized controlled trials were conducted. In addition to assessing the efficacy of the interventions regarding the primary outcomes, the efficacy to reduce depression and further secondary outcomes was studied. In Study I (N = 200) the efficacy of an internet-based stress management intervention (iSMI), which was adapted and tailored to career starting teachers, was compared to a waitlist control group (WLG). The participants of the intervention group (IG) reported significant reductions on the primary outcome perceived stress at post-intervention (T2), ΔWLG-IG = 3.5, d = 0.52, 95% CI [0.24, 0.80], and threemonth follow-up (3-MFU), d = 0.49, 95% CI [0.21, 0.77]. Furthermore, it was shown that the intervention indirectly also reduced depression at T2, d = 0.66, 95% CI [0.38, 0.94], and 3-MFU, d = 0.47, 95% CI [0.19, 0.75], nad produced significant clinically meaningful reductions of depression with a number needed to treat (NNT) of 3.9 at T2. The effects were sustained at an extended 6-MFU. Besides efficacy, the feasibility to complement the iSMI with a newly developnedte rinet-based classroom management training was shown. Moreover, mediation analyses corroborated the role of problem- and emotion-focused coping skills in the intervention’s effect on stress and the indirect effect of the intervention on depression through stress.
Study II (N = 262) demonstrated the efficacy of an internet- and app-based gratitude intervention on the reduction of primary assessed repetitive negative thoughts at T2, ΔWLG-IG = 6.6, d = 0.61, 95% CI [0.36, 0.86], and 3-MFU, d = 0.75, 95% CI [0.50, 1.00], as compared to a WLG. The participants of the IG also reported significantly reduced depressive symptoms at T2, d = 0.38, 95% CI [0.13, 0.62], and 3-MFU, d = 0.40, 95% CI [0.15, 0.64], with significant clinically meaningful effects with an NNT of 4.3 at T2. The effects were sustained at an extended 6-MFU. Besides efficacy, mediation analyses showed that repetitive negative thinking mediated the gratitude intervention’s effect on depression.
Finally, Study III N( = 351) showed that an interneta-sbed intervention, tackling worries at the beginning of the COVID-19 pandemic, was effective as compared to an active mental health advice group. At T2, two weeks after randomization, the IG reported significantly reduecveedl sl on the primary outcome worry as compared to controΔlsW, LG-IG = 5.0, d = 0.38, 95% CI [0.17, 0.59]. Participants of the IG also reported significantly reduced levels of depression at T2, d = 0.47, 95% CI [0.26, 0.68], with significant clinically meaningful reductions with an NNT of 3.6. The extended follow-ups in the IG indicated that the improvements from baseline were sustained until the 2-MFU and the 6-MFU. In a mediation analysis, worry was shown to mediate the intervention’s effect on depression.
Across all three studies a reliable deterioration of depression was occasionally observed ranging from 3% to 5% in the IGs and from 5% to 12% in the control groups at T2. In summary, the studies in this dissertation demonstrated the efficacy of various indirect interventions focusing on rather common psychological problems to indirectly reduce depressive symptoms. The extent to which depression severity could be reduced is comparable to reductions found within participants with comparable baseline depression severity, in internetbased interventions directly addressing depressive symptoms. Indirect interventions are suggested to increase the uptake of interventions that reduce depressive symptoms, since they might be perceived as less stigmatizing and might broaden the range of interventions to choose from. Future research needs to compare indirect interventions for depression with direct interventions in head-to-head studies regarding uptake, efficacy and potential harmful effects. The indirect interventions examined in this dissertation could then complement the existing range of care for depression and thereby contribute to a reduction of the treatment gap and the burden of disease associated with depression.
The research described in this dissertation focuses on developing a process to remove oligomers and suppress their formation by intercepting the aging procedure's precursors using adsorbents when biodiesel and its blends are used as fuel. There has been the search for various energy sources due to the increasing awareness of the depletion of fossil fuel resources, environmental issues, and more urgently is the need to mitigate climate change. Biodiesel has become more attractive in recent times (Daming et al. 2012, Abdullah et al., 2007) as an alternative fuel. Biodiesel, a methyl ester of vegetable oil, is a renewable, low environmental impact, green alternative fuel for diesel engines (EU Regulation, 2012, Ghosh and Dutta, 2012). In addition to its renewable status, biodiesel, compared to fossil fuel, has advantages such as its biodegradability, reduced exhaust emissions, higher cetane number, lubricity, and safer distribution and storage due to its higher flash point (Pereira et al. 2015, Monyem and Van Gerpen, 2001). Biodiesel fuel is chemically fatty acid methyl ester (FAME) derived from different plant oils. It varies slightly in molecular structures due to the degree of unsaturation of the fatty acids in the different sources compared to conventional diesel fuel (Pereira et al. 2015, 2013, Sharma and Singh, 2009). Biodiesel fuels contain significant amounts of esters of oleic, linoleic, or linolenic acids, which influence their oxidative stability. A small percentage of more highly unsaturated fatty compounds have a disproportionately strong effect in reducing oxidation stability and promoting oligomers formation. The oxidation products of the biodiesel in the engine sump influence the degradation of the lubrication oil.
Environmental governance beyond borders: Governing telecoupled systems towards sustainability
(2023)
Globalization has increased the speed, volume and spatial scale of global flows of people, information, finance, goods and services. Economic globalization is closely linked to the globalization of environmental problems, with the underlying causes and directly visible effects of environmental problems becoming increasingly geographically dispersed. For example, the products consumed in one place can have negative environmental effects in distal places of production. This poses challenges to territorially-based governance systems. Governments do not have legal authority to regulate environmental problems in other jurisdictions, even if their own policies or actions of domestic companies contribute to these problems. Likewise, companies face challenges with overseeing and governing the environmental effects that occur along their supply chains. Nevertheless, state and non-state actors increasingly aim to govern environmental problems outside their jurisdictional and organizational boundaries that arise from long-distance interactions between social-ecological systems – so-called telecoupled systems.
This doctoral dissertation analyses the environmental governance of long-distance social-ecological interactions in telecoupled systems in two issue domains: global commodity chains and infrastructure projects as part of China’s Belt and Road Initiative (BRI). Although both domains involve different governance actors, institutions and processes, they both concern the question of how the involved actors develop governance structures and institutional responses to telecoupling. This dissertation aims to contribute to a deeper understanding of how to govern environmental problems that are associated with global flows. Since many multilateral environmental governance initiatives have not yet produced the desired solutions to global problems, particular attention is directed at unilateral state-led governance approaches. This dissertation addresses the questions of (1) how to achieve a spatial fit between the scale of telecoupled systems and the scale of governance institutions, (2) how governance actors exercise agency in governing telecoupled systems, and (3) how state actors can govern the domestic and foreign environmental effects of telecoupled flows. This dissertation draws upon, and contributes to, two fields of research: research on telecoupling and research on global environmental governance.
The results show that creating a spatial fit in the governance of global commodity flows is challenging because boundary and resolution mismatches can emerge. Boundary mismatches denote situations where social-ecological problems transcend established jurisdictional boundaries, whereas resolution mismatches refer to governance institutions that have too coarse a spatial resolution to allow them to address the specific aspects of social-ecological problems effectively. No single governance institution is likely to avoid all mismatches, which highlights the need to align multiple governance approaches to effectively govern telecoupled systems.
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Telecoupled flows are often governed at places where they originate and places where they arrive for processing, final consumption, or investment. If governance in the jurisdiction experiencing the environmental issue is weak, external governance actors can aim to fill this governance gap by introducing due diligence legislation and by promoting sustainability standards in international (trade) relations. State actors often rely on the actions of non-state actors to govern beyond jurisdictional borders. Despite efforts to govern environmental outcomes in distant jurisdictions, it is important to recognize the agency of governments that experience the direct environmental effects of telecoupling. They have great leverage to steer telecoupled systems towards sustainability through the formulation, implementation, monitoring and enforcement of stringent regulatory frameworks, in the context of both commodity supply chains and BRI projects.
The findings of this dissertation are relevant for scholars and policy makers interested in what can be termed external environmental governance, which refers to the governance structures and institutions to shape environmental outcomes outside the borders of a given jurisdiction. This dissertation sets
One of the key challenges of our era is to halt biodiversity loss and foster the sustainable use of nature. The Sustainable Development Goals (SDGs) recognize the importance of the inextricable link between social and ecological systems and human quality of life (QoL) and biodiversity. Therefore, understanding the feedback and interactions between biodiversity, nature’s contributions to people (NCP), and QoL plays a central role in advancing toward sustainability. In this context, the social-ecological systems (SES) approach has advanced on the subject, particularly in recent decades; however, much remains to be done to comprehensively understand these relationships and interactions, especially at local decision-making scales. In this thesis, through the lenses of the SES approach, I investigate connections between biodiversity, NCP, and QoL in a tropical dry forest (TDF) on the Western coast of Mexico. This place is one of the best-known Neotropical TDF and has been the focus of SES research in the past 20 years, making it an excellent case study for exploring these connections.
First, to approach the need for dialogue among different global and local scales and between global and local frameworks, the thesis identifies five key components of the SES dynamics-(1) ecological supply, (2) co-production of NCP, (3) management, (4) demand, and (5) benefits- and three local decision-making scales of analysis- individual plot, smallholder, and land tenure or governance units. A literature review was performed on the social-ecological indicators for the last 11 years in the Chamela-Cuixmala region to operationalize this framework. The representability of the framework shows that research has emphasized the components of NCP co-production (42% of indicators) and SES management (21%). By analyzing SES dynamics through this new framework, we can support the monitoring of NCP and potentially detect regime shifts or radical changes before they happen. The framework is simultaneously context-specific and operationable across global contexts, providing an opportunity to inform discussions on global sustainability from local contexts.
Second, this thesis uses social-ecological information to identify social-ecological systems units (SESU) spatially explicitly. A methodology was provided to spatially identify the components of social-ecological systems that environmental conditions and management practices have shaped at three previously stated relevant decision-making scales: plots owned by individuals, plot owners, and governance units. To do so, we identified and characterized: (1) ecological clusters (EC), (2) social-management clusters (SC), and (3) SESU in a TDF in western Mexico. Our findings suggested that decision-makers (ejidatarios, i.e., type of ownership (related to agrarian reform), that in most cases the land allocated is small-smallholders-) are bounded by the topographical characteristics and the public policies that determine communal (or private) governance and the number of resources available to them. The methodology can be applied to other contexts and nested decision-making scales. The spatial identification of these interdependencies is critical for landscape planning since it can contribute to reconciling productive activities and biodiversity conservation.
Finally, the thesis examines the self-perceived QoL across the different SESU, finding 48 QoL items, which were grouped into six categories: 1) social capital, 2) economic capital, 3) agency, 4) nature, 5) peasant non-work activities, and 6) government and services; and two additional dimensions referred to obstacles and enablers of QoL. We found that the more land cover transformation, the more enablers, and obstacles of QoL are identified; emphasis was put on economic capital to achieve QoL. As management is intensified and governance fosters individualism across SES, the higher the Current Welfare Index, and the lower the self-perceived material and non-material satisfaction. We discuss the need for governance structures promoting smallholders´ worldviews that move beyond utilitarianism and foster commons. The social-ecological systems approach employed throughout this dissertation contributed towards crosscutting insights; the testing of new frameworks and methodologies represent important steps towards unraveling the connections between biodiversity, NCP, and QoL and contributes to achieving sustainable scenarios such as the ones proposed by the SDGs.
Aufbauend auf einem interdisziplinären Modell, das sowohl kognitionspsychologische als auch mathematikdidaktische Fähigkeiten beim Schätzen von visuell erfassbaren Größen (Längen, Flächeninhalte, Fassungsvermögen, Rauminhalte) beinhaltet, und einem Modell zur Systematisierung verschiedener Aufgabenmerkmale wurde im Rahmen dieses Dissertationsprojekts ein schriftlicher Schätztest entwickelt. Der Schätztest beinhaltet insgesamt 48 Items, deren Merkmale zwischen den Größen parallelisiert und gleich verteilt sind (12 Items pro Größe).
Die Daten des Tests werden genutzt, um verschiedene Arten der Ermittlung und Bewertung von Schätzgenauigkeit zu untersuchen, die Schätzgenauigkeit von Kindern der vierten, fünften und sechsten Klasse zu ermitteln und um den Zusammenhang der vier Größen zu beschreiben.
Die Untersuchung verschiedener klassischer Fehlerberechnungs- und Bewertungsarten zeigt wesentliche Unterschiede in Testleistung und Testgüte. Die Berechnung des logarithmischen Fehlers in Verbindung mit einem logarithmischen Scoring wird als ein alternatives Verfahren genutzt.
Die Analyse der Schätzergebnisse von 900 Kindern zeigt, dass sich die Schätzgenauigkeit von Kindern der vierten und sechsten sowie fünften und sechsten Klassen signifikant unterscheidet: Kinder aus höheren Jahrgängen schätzen genauer als Kinder aus niedrigeren Jahrgängen. Es konnte kein signifikanter Unterschied bei der Schätzgenauigkeit zwischen Kindern der vierten und fünften Klassen festgestellt werden. Darüber hinaus unterscheidet sich Schätzgenauigkeit signifikant zwischen den Größen: Längen werden am genauesten geschätzt, gefolgt von Fassungsvermögen, Flächeninhalten und Rauminhalten. Alle Größen korrelieren bezüglich der Schätzgenauigkeit moderat miteinander. Die Schätzgenauigkeit von Längen kann als Prädiktor für die Schätzgenauigkeit der anderen Größen herangezogen werden.
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
Given the complex, dynamic, and urgent problems that sustainability science addresses, research approaches are required that not only improve the understanding of sustainability challenges, but also to support action for sustainable development. In this context, transdisciplinary research has established as an approach that aims not only to generate new knowledge, but also to promote the societal relevance and application of research findings through direct collaboration of scientists and societal stakeholders from different fields in integrative research processes. Despite its increasing prevalence in the field, there remains a gap between theoretical ideal-typical models of transdisciplinary research and its actual application within sustainability science. While scholars generally agree that transdisciplinary research is societally effective, there is scattered and partly conflicting evidence on which aspects of transdisciplinary research foster societal impact. Moreover, the extent to which transdisciplinary research contributes to scientific progress is largely unexplored.
This thesis aims to contribute to a better understanding of the actual implementation of transdisciplinary research in sustainability science. Following three aims, this work likes to (1.) contribute to the measurability of transdisciplinary research processes as well as their societal and academic outputs and impacts, to (2.) demarcate transdisciplinary research from other modes of research in sustainability science and to (3.) identify and examine the determinants that shape the contribution of transdisciplinary research to societal action for sustainable development and to scientific knowledge production.
To serve these aims a mixed methods approach is applied that combines strong quantitative elements with in-depth qualitative analyses that integrate the perspectives of practitioners. This thesis provides a broad set of indicators to describe and assess transdisciplinary research that translate theoretical concepts form transdisciplinarity theory into observable variables. The indicators offer a holistic perspective on transdisciplinary research by representing research mode characteristics, societal as well as scientific outcomes of research projects and their specific context.
To theoretically demarcate transdisciplinary research from other forms of research, a narrative literature review first elaborates the differences between ‘normal science’, political use of scientific knowledge and transdisciplinarity in their underlying logics of problem definition, knowledge production and research utilization. Subsequently, these concepts were compared with perspectives and expectations of practitioners in the forest sector on integrative research settings, showing that practitioner perspectives align the most with conceptualizations of political use of scientific knowledge.
Moreover, a cluster analysis of data from 59 research projects identified five research modes that empirically demarcate ideal-typical transdisciplinary research from other research modes within sustainability science: (1) purely academic research, (2.) practice consultation, (3.) selective practitioner involvement, (4.) ideal-typical transdisciplinary research and (5.) practice-oriented research. Based on this finding, transdisciplinary research can be characterized as an intensive, but balanced involvement of practitioners. It incorporates not only the needs and goals of the practitioners but also their norms and values. Ideal-typical transdisciplinary research goes beyond mere consultatory research approaches and must be distinguished from what is conceptualized as applied research.
Regression analysis of 81 research projects and statistical group comparisons of the five research mode clusters show that societal and academic outputs and impacts vary with specific project characteristics and combinations of project characteristics defined as research modes. The findings indicate that more interactive research modes reach more societal impacts. In particular, the involvement of practitioners in early project phases and the targeted dissemination of the research results positively affect societal impacts. This finding also aligns with practitioner expectations on integrative research and research utilization, provided by qualitative analysis. Moreover, the quantitative results show that scientific outputs and impacts decrease with the intensity of interactions, indicating a trade-off between societal and scientific outcomes and impacts.
Overall, the empirical results of this thesis support the claimed effectiveness of transdisciplinary research in providing societally relevant, applicable knowledge and encourage further funding of transdisciplinary research by funding agencies. The relationships discovered in this study between research mode characteristics and societal as well as academic outputs and impacts can help researchers design and reflect on their research and can inform funding agencies in the design of project calls and research programs. However, the observed lower academic outputs and impacts of more integrative research modes raise the question of how to further strengthen the systematic documentation and accessibility of the results of transdisciplinary sustainability research. Additionally, the observed trade-off between societal and academic impacts of transdisciplinary research highlights the need for strategies to mediate between the dual aim of transdisciplinary research to contribute to societal problem solving and scientific knowledge production.
Keywords: transdisciplinarity, sustainability science, transdisciplinary research, societal impact, scientific impact, research mode, research evaluation
Climate change presents a major sustainability challenge to coastal social-ecological systems (SES). The integration of climate change adaptation into processes or structures for coastal governance, however, has been described as challenging. Resilience presents a suitable concept to approach this problem, as it facilitates bridging between the natural and social sciences, as well as between science and policy in an inter- and trans-disciplinary approach. The Intergovernmental Panel on Climate Change also makes use of the concept of resilience and confirms that recent literature increasingly suggests that transformative changes in SES are required to enhance their resilience to climate change. Yet, knowledge gaps still exist on how to enable effective coastal governance to enhance the climate resilience of coastal SES. To address this problem, the importance of actionable knowledge is growing in climate change adaptation, environmental governance, and broader sustainability research. Actionable knowledge refers to knowledge that contributes to solving societal problems and points to actions and processes of change. One way of generating actionable knowledge is the co-production of knowledge with societal stakeholders. Yet, knowledge gaps exist in what methods and approaches may contribute to generating actionable knowledge and what obstacles to knowledge co-production exist especially for early-career researchers (ECRs).
This dissertation contributes to research on generating actionable knowledge for coastal governance to enhance the resilience of coastal SES to climate change. It does this by providing theoretical, methodological and empirical insights on three research questions (RQs), laid out in Chapter I. These are: 1) what is a more actionable concept for applying the concept of resilience in coastal governance?; 2) what methods and approaches are suitable to generate actionable knowledge for coastal governance?; and 3) what obstacles to knowledge co-production exist for ECRs and how can they be overcome? The RQs are addressed in five publications, each presenting one chapter of this dissertation. For answering RQ1, Chapter II applies a research synthesis to bring together common themes and challenges documented in resilience, climate change and environmental governance literature. For answering RQ2, in Chapter III-V different methods and approaches for generating actionable knowledge are proposed and tested using a case-study in the SES of Algoa Bay, South Africa. These include i) the analysis of stakeholder agency as an indicator of the ability of stakeholders to act in governance processes; ii) the application of a stakeholder analysis to gain an improved understanding of the current degree of knowledge exchange for climate change adaptation; and iii) the combination of a capital approach framework, and fuzzy cognitive mapping, which shed light on the governance performance for climate change adaptation and on leverage points that can enhance climate resilience. Finally, for answering RQ3, Chapter VI provides a perspective on the obstacles that especially ECRs face, and actions that are needed to create the conditions under which knowledge co-production processes can be successful. This is done by applying a multi-method approach combining an online survey and workshop targeted at ECRs in the marine sciences.
Key findings suggest that system and transformative knowledge are particularly important when applying the concept of resilience in coastal governance to generate actionable knowledge. The different methods and approaches that are proposed and tested contribute to generating both system and transformative knowledge. Firstly, they provide an overview of the capacities of different stakeholders to act, shed light on current collaboration and knowledge exchange, and enable the identification of different governance processes for coastal governance and climate change adaptation (system knowledge). Secondly, results have implications for how to improve knowledge exchange and identify leverage points that can enhance overall governance performance, thus providing recommendations on actions and processes that can enhance climate resilience in the case-study area (transformative knowledge). It is also highlighted how knowledge co-production can contribute to generating system and transformative knowledge together with stakeholders, and what actions are needed to build the capacities to translate knowledge into action. Additionally, the findings of this dissertation put forward actions that are needed at different organisational levels of the academic system to facilitate knowledge co-production processes with stakeholders involved in coastal governance.
The results of this dissertation have implications for stakeholders and decision-making in the case-study area, as well as for environmental governance, climate change adaptation and broader sustainability research. Implications for stakeholders include recommendations for implementing formal commitments to share climate information across levels and sectors, establishing the role of information providers in the municipality, and reinforcing human capital within the local municipality in Algoa Bay. It also requires more support from the provincial government, such as addressing funding issues, offering training focusing on stakeholders with lower agency and capacities, and improving the overall availability and accessibility of climate information, as well as the priority given to climate change in the Integrated Development Plan. Findings also suggest the need for a more integrated approach to climate change adaptation in coastal planning and management frameworks. It also suggests that the conservation of environmental assets presents an important bottleneck for resilience management and needs to be further prioritised within decision-making. Implications for research include the applicability of methods beyond the context of this dissertation; a more actionable concept for approaching resilience in (coastal) governance systems that can be applied for achieving broader sustainability goals; and a more critical reflection on how transformative research is conducted, and what academic foundation is needed so that it can fulfil its societal goal.
Future research may include a combination of the methods applied in this dissertation; qualitative applications of the stakeholder network analysis; and an application of the proposed approach to other case-studies using real-world laboratories. Overall, this dissertation provides theoretical, methodological, and empirical implications and insights into pressing SES problems. It also contributes to advancing the field of transformative research for more societally relevant outcomes in face of climate change and broader sustainability challenges
Die Gesundheit von Lehrkräften ist ein wichtiger Faktor für schulorganisatorische Aspekte (u. a. Berufswechsel, Fehlzeiten), die Lehrkraft-Schüler*innen-Interaktion (Klassenführung, Kognitive Aktivierung und emotionale Unterstützung) und die Motivation sowie die Leistungen von Schüler*innen. Werden Lehrkräfte im Schuldienst tagtäglich mit einer Vielzahl an beruflichen Herausforderungen konfrontiert, können diese bei mangelnden Ressourcen zu einem erhöhten Belastungserleben führen. Demnach sollten Lehrkräfte bereits in der Ausbildung ihre gesundheitsförderlichen Ressourcen stärken, um gesund in den Beruf zu starten. Dabei stellt sich die Frage, über welche Ressourcen angehende Lehrkräfte verfügen sollten, um trotz Herausforderungen gesund zu bleiben und wie diese in der Ausbildung gefördert werden können. Dem Konzept der Salutogenese folgend, widmet sich diese Arbeit der individuellen Gesundheitskompetenz von angehenden Lehrkräften, die als Schlüsselkompetenz verstanden wird um die körperliche und psychische Gesundheit zu stärken. Im Kontext der Lehrkräfteausbildung mangelt es an empirischen und auch konzeptuellen Studien, die die individuelle Gesundheitskompetenz in den Fokus nehmen. Entsprechend werden folgende Fragestellungen in dieser kumulativen Dissertation untersucht:
Publikation 1: Die erste Studie widmet sich den Fragestellungen, wie die weiterentwickelten Fähigkeiten der individuellen Gesundheitskompetenz bei angehenden Lehrkräften ausgeprägt sind und welche Bedeutung diese für die Gesundheit von angehenden Lehrkräften haben. Dazu wurden Studierende aus dem 2. Mastersemester (195 Lehramtsstudierende vs. 108 Nicht-Lehramtsstudierende) befragt. Die Ergebnisse zeigen, dass sich Lehramtsstudierende im Vergleich zu Nicht-Lehramtsstudierenden signifikant besser in den Komponenten der Gesundheitskompetenz einschätzen, mit Ausnahme der Verantwortungsübernahme. Die niedrigsten Ausprägungen sind in beiden Gruppen in den Fähigkeiten zur Selbstregulation und Kommunikation und Kooperation aufzufinden. Hinsichtlich des allgemeinen Gesundheitszustandes unterscheiden sich die Studierendengruppen nicht signifikant voneinander, jedoch weist knapp jede*r dritte*r Studierende*r einen schlechten Gesundheitszustand auf. Dabei steht v. a. die Komponente Selbstregulation mit dem Gesundheitszustand in Beziehung.
Publikation 2: Die zweite Studie geht ebenfalls den Fragestellungen nach, wie die weiterentwickelten Fähigkeiten der individuellen Gesundheitskompetenz bei angehenden Lehrkräften ausgeprägt sind und welche Bedeutung diese für die Gesundheit von angehenden Lehrkräften haben. Hierzu wurde jedoch in dieser Studie die Gesundheitskompetenz von Lehrkräften in der ersten (Lehramtsstudium) und zweiten Phase (Vorbereitungsdienst) der Lehrkräfteausbildung gemessen (195 Masterlehramtsstudierende vs. 242 Lehrkräfte im Vorbereitungsdienst). Lehramtsstudierende weisen im Vergleich zu den Lehrkräften im Vorbereitungsdienst signifikant höhere Werte in den übrigen Fähigkeiten der Gesundheitskompetenz auf mit Ausnahme der Fähigkeit zur Kommunikation und Kooperation. Die niedrigsten Ausprägungen sind in beiden Gruppen in den Fähigkeiten zur Selbstregulation und Kommunikation und Kooperation aufzufinden. Hinsichtlich des allgemeinen Gesundheitszustandes schätzen Lehrkräfte im Vorbereitungsdienst diesen signifikant besser ein als Lehramtsstudierende, wobei in beiden Gruppen insbesondere die Komponente Selbstregulation mit dem Gesundheitszustand korreliert. Die Ergebnisse multipler Regressionsanalysen zeigen, dass die Fähigkeiten zur Selbstregulation, Selbstkontrolle und Verantwortungsübernahme Prädiktoren für den Gesundheitszustand von Lehramtsstudierenden darstellen, und die Fähigkeiten zur Selbstregulation und Verantwortungsübernahme die Prädiktoren für den Gesundheitszustand der Lehrkräfte im Vorbereitungsdienst sind. Insgesamt verdeutlichen die Ergebnisse die Bedeutung der Gesundheitskompetenz für den Gesundheitszustand und verweisen auf die Forderung nach Interventionen zur Förderung der Gesundheitskompetenz, die insbesondere die Fähigkeiten zur Kommunikation und Kooperation und Selbstregulation fokussieren, wobei die Selbstregulation einen besonderen Stellenwert einnimmt.
Publikation 3: In der dritten Studie wird vor allem untersucht wie die berufliche Selbstregulation mit den weiterentwickelten Fähigkeiten der individuellen Gesundheitskompetenz von angehenden Lehrkräften zusammenhängt und welche Komponenten die psychische Gesundheit von angehenden Lehrkräften bedingen. Dazu wurden 407 Lehrkräfte im Vorbereitungsdienst befragt. Die Selbstregulationstypen wurden mittels einer latenten Profilanalyse analysiert und die vier beruflichen Selbstregulationstypen repliziert (Gesundheitstyp: 35.4%, Schontyp: 22.8%, Typ A: 19.2% und Typ B: 22.6). Es zeigen sich Zusammenhänge zwischen den Subdimensionen der beruflichen Selbstregulation und den Komponenten Selbstkontrolle und Selbstregulation der Gesundheitskompetenz. Unabhängig voneinander hängt der Gesundheitstyp, Schontyp und Typ A sowie die Gesundheitskompetenzdimensionen Selbstregulation, Selbstkontrolle und Verantwortungsübernahme mit dem psychischen Wohlbefinden zusammen. Werden beide Ressourcen zusammen betrachtet, erklären die Komponenten der individuellen Gesundheitskompetenz mehr Varianz im psychischen Wohlbefinden als die Selbstregulationstypen. Aus den Ergebnissen kann abgeleitet werden, dass eine Lehrkräfteausbildung, die Aspekte der Selbstregulationsfähigkeit einbezieht, nicht nur das Wohlbefinden von angehenden Lehrkräften verbessern könnte, sondern auch ihre individuelle Gesundheitskompetenz. Eine Förderung der beruflichen Selbstregulation durch Lernangebote könnte auch mit der Stärkung der individuellen Gesundheitskompetenz von angehenden Lehrkräften verbunden sein.
Publikation 4: In der vierten Studie wurden die empirisch gewonnenen Erkenntnisse der ersten drei Studie aufgegriffen und ein Seminarkonzept zur Förderung der individuellen Gesundheitskompetenz von angehenden Lehrkräften im Rahmen der Lehrkräfteausbildung erstellt. Das Seminar umfasst unter anderem allgemeine gesundheitswissenschaftliche Grundlagen und die theoretische Hinführung zu verhaltensbezogenen Bewältigungsstrategien, am Beispiel von Achtsamkeit, und verhältnisbezogenen Strategien im Kontext Schule mit Bezug zur Unterrichtsqualität und Schulentwicklung.
Das Rahmenpapier bettet die vier Publikationen in den übergeordneten theoretischen Kontext ein, diskutiert die Ergebnisse und leitet abschließend Empfehlungen für weitere Forschung und für die Lehrkräfte(aus)bildung ab. Das Rahmenpapier schließt mit einem Fazit.
Können die kulturellen Praktiken und wertschöpfenden Handlungen innerhalb von Musikkulturen mit dem Begriff der Produktivität erfasst werden? Dieser Frage geht diese Dissertation am Beispiel der Technokultur nach. Sie zeigt auf, wie Menschen in solchen Vergemeinschaftungsformen für sich und andere Werte schaffen. In Abgrenzung zu wirtschaftswissenschaftlichen Formulierungen wird hier von Werte-Schöpfung gesprochen. Zugrundeliegend ist ein kulturwissenschaftliches Verständnis von Produktivität, welches den Fokus auf unterschiedliche Arten der Produktion und Werte-Schöpfung legt. Es wurden Akteur*innen, ihr Handeln und ihre musikalischen, kulturellen, sozialen, sinnstiftenden sowie ökonomischen Produktionen innerhalb der Technokultur auf unterschiedlichen Ebenen analysiert. Dies umfasst Produzierende und Partizipierende, Gemeinschaften, Szenen, Städte, Festivals und Ökonomie.
Das methodische Vorgehen basiert auf (Szene-)Ethnographie als Verfahren der Datengenerierung, was Interviews mit Experten (DJs, Produzenten, Labelmacher, Angestellte von Musikwirtschaftsbetrieben, Veranstalter) und Partizipierenden sowie teilnehmende Beobachtungen (Clubs, Festivals, Berlin, Köln, Lärz und Ruhrgebiet) umfasst. Zusätzlich wurden Technotracks musikhermeneutisch analysiert, um die Vielfalt der Affordanzen an Technomusik aufzuzeigen. Zur Datenauswertung wurde auf das Grounded Theory-Verfahren der Situationsanalyse (Clarke 2012) zurückgegriffen.
Leitend für die Analyse sind die Konzepte der „Sonic Bodies“ und des „Soundings“ von Julian Henriques (2011), des Musickings (Small 1998) sowie der Begriff des „Sonischen“. Im Zentrum der Arbeit steht das Handeln von Menschen mit Klang und Musik in musikalischen Soziokulturen und der wechselseitige Einfluss mit der umgebenden Stadt und Gesellschaft. Die Dissertation zeigt auf, wie die Sonic Bodies der Technokultur persönliche, soziale, kulturelle und ökonomische Werte für sich schöpfen, auf dieser Grundlage ihr Handeln austarieren und sich mit anderen Produzierenden und Partizipierenden zu temporären oder beständigen Werte-Schöpfungsnetzwerken zusammenschließen. Die Möglichkeiten der Werte-Schöpfung sind durch mehrere Konfigurationen gerahmt. Darunter fallen sozialstrukturelle, subjektive und subkulturelle bzw. kulturindustrielle Faktoren, die das Handeln und die Werte-Schöpfung der Sonic Bodies prägen. Diese umfassen u. a. Faktoren sozialer Ungleichheit, individuelle Faktoren und Faktoren, die der Feldstruktur der Technokultur entspringen.
Stretching is primarily used to improve flexibility, decrease stiffness of the muscle- tendon unit or reduce risk of injury. However, previous animal studies from 1970 to 1990 showed significant hypertrophy effects in skeletal muscle in response to chronic stretching intervention with stretching durations of 30 minutes to 24 hours per day. However, no study in humans was performed using comparatively long stretching durations of more than 30 minutes per day with a daily frequency. The present cumulative dissertation includes six studies aiming to investigate the effects of long-lasting static stretching training on maximum strength capacity, hypertrophy and flexibility in the skeletal muscle. Before starting own experimental studies, a meta-analysis of available animal research was conducted to analyze the potential of long-lasting stretching interventions on muscle mass and maximum strength. To induce long-lasting stretching on the plantar flexors and to improve standardization of the stretch training by quantifying the angle in the ankle joint while stretching, a calf muscle stretching orthosis was developed. In the following experimental studies, the orthosis was used to induce daily long- lasting static stretching stimuli with different stretching durations and intensities in the plantar flexors to assess different morphological and functional parameters. For this, a total of 311 participants were included in the studies and, dependent on the investigation, the effects of daily stretching for 10-120 minutes for six weeks were analyzed. Therefore, effects on maximal isometric and dynamic strength as well as flexibility of the plantar flexors were investigated with extended and flexed knee joint. The investigation of morphological parameters of the calf muscle was performed by determining the muscle thickness and the pennation angle by using sonographic imaging and the muscle cross-sectional area by using a 3 Tesla magnetic resonance imaging measurement. In animals, the included systematic review with meta-analysis revealed increases in muscle mass with large effect size (d = 8.51, p < 0.001), muscle cross-sectional area (d = 7.91, p < 0.001), fiber cross-sectional area (d = 5.81, p < 0.001), fiber length (d = 7.86, p < 0.001) and
fiber number (d = 4.62, p < 0.001). The thereafter performed experimental studies from our laboratory showed a range of trivial to large increases in maximum strength of 4.84% to 22.9% with d = 0.2 to 1.17 and ROM of 6.07% to 27.3% with d = 0.16 to 0.87 dependent on stretching time, training level and testing procedure. Furthermore, significant moderate to large magnitude hypertrophy effects of 7.29 to 15.3% with d = 0.53 to 0.84 in muscle thickness and trivial to small increases of 5.68% and 8.82% (d = 0.16 to 0.3) in muscle crosssectional area were demonstrated.
The results are discussed based on physiological parameters from animal studies and in the front of knowledge in resistance training, suggesting mechanical tension to be one important factor to induce muscle hypertrophy and maximal strength increases. Further explanatory approaches such as hypoxia and changes in the muscle tendon unit are debated in the following. Since these studies are the first investigations on long-lasting stretch-mediated hypertrophy in humans, further research is needed to explore the underlying mechanisms and confirm the results in different populations to enhance the practical applicability for example in clinical populations when, e.g. counteracting muscular imbalances or sarcopenia in the elderly.
The ethical apparatus: The material-discursive shaping of ethics, autonomy, and the driverless car
(2023)
This research argues that the emergent driverless car, as a kind of autonomous vehicle, is a Foucault-ian ‘ethical apparatus’, working as an epistemic device to materially embody and enable discursive power by generating notions of ‘autonomy’ and ‘ethical decision-making’. The ethical implications of AI, algorithmic, and autonomous technologies are topics of current regulatory and academic concern. This concern relates to the lack of meaningful oversight of black boxes inside AI systems, liabilities for manufacturers, and inadequate frameworks to hold AI-based socio-technical systems to account.
One recent artefact, the driverless car, has taken on these concerns quite literally in the shaping of a niche discourse of the ‘ethics of autonomous driving’. Ambitions to produce a fully autonomous vehicle based on AI technologies are constrained by speculative concerns that its decision-making in unexpected accident situations cannot be assumed to protect humans. ‘The ethics of autonomous driving’ evaluates proposals to build ‘ethical machines’ by examining the relationship between structures of human values and moral decision-making, and how they comport to computational architectures for decision-making.
This is the first case this work takes up, chiefly organised around an analysis of a thought experiment, the Trolley Problem, and the online game, Moral Machine, that crowdsourced values to suggest approaches to an ‘ethics of autonomous driving’. Rather than evaluate the feasibility or appropriateness of these two approaches, this work attends to the more critical issue that ethics is being proposed in terms of technologies turning on the logics of risk, speculation, and probabilistic correlations that are fundamental to how machine learning makes decisions. The concern in this work is less a normative framework or approach for a better or more appropriate ethics of autonomous driving. Rather, this work argues that what we understand as ‘the ethical’ is being transformed when architected by, through, and for AI/autonomous technologies to become their own regulators.
Hence the production of autonomous driving necessitates computational infrastructures that are creating a world legible to and for the navigation of a driverless car. I argue that this is fostering computational governance that has implications for human bodies and social relations, chiefly that conventional approaches to regulation and accountability attend to human values and decision-making rather than computational ones.
A second case that this research examines is that of driverless car crashes, to examine how ‘autonomous’ driving requires substantial embodied human knowledge and micro-work. Taken together, these two cases - the ethics of autonomous driving, and crashes - make an argument for how myriad practices of knowledge-production are translating the human world into something legible to the navigational needs of the car, producing changes in the human world through the actions of the car on that basis, and advancing notions of ‘autonomy’. This work concludes with arguments for a critical reconceptualisation of ethics and ethical decision-making in AI/autonomous systems.
Companies are invited to contribute to the United Nations’ 17 Sustainable Development Goals (SDGs) and sustainability management accounting (SMA) has an important role to play in achieving them. However, if companies are to address the SDGs and linkages beyond organizational boundaries, SMA needs a broader scope than is conventionally assumed. Therefore, I advance a multi-level framework that addresses context, action-formation, and transformative contributions (CAT) in the following directions: first, an innovative systematic method that allows screening company-related SDGs and assessing corporate contributions to selected SDGs is introduced; second, management control systems are integrated to support managers in guiding employee behavior to make contributions to the SDGs; and, third, self-reinforcing mechanisms of the path-dependence theory are incorporated to serve as a guide to identifying barriers to individuals and groups becoming involved in SMA. This advanced CAT framework contributes to corporate practice and research by providing a multilevel framework that offers concrete management guidance for SMA to address the SDGs. It also facilitates analysis of both enabling and inhibiting factors at the organizational level. The advanced CAT framework has several implications for SMA: it promotes backcasting from the SDGs for benchmarking purposes, integrates different social, environmental, and economic issues, facilitates future-oriented action and transformation planning, addresses different layers such as the company as well as individuals and groups within it and enables to identify barriers hindering individuals and groups from becoming involved in SMA.
Consisting of three articles and a framework manuscript, this cumulative dissertation deals with sustainable compensation of chief executive officer (CEO) with a focus on climate-related aspects. Against the backdrop of the European action for sustainability and the EU Green Deal, the dissertation pays special attention to the consideration of climate-related aspects of corporate performance in CEO compensation. In this context, sustainable compensation is characterized by the consideration of long-term interests and sustainability of the company as well as by the inclusion of financial and non-financial aspects of environmental, social and governance performance (ESG) in compensation agreements. While this novel instrument of corporate governance aims to incentivize the implementation of sustainability-oriented corporate strategy, it is particularly important to unfold this incentive effect at the individual CEO level in view of their managerial discretion. The framework manuscript discusses the research objectives, the regulatory and theoretical background, the results of the dissertation and their implications in the context of regulation, research, and business practice. The essence of the dissertation are the three articles. The first article, "Determinants and effects of sustainable CEO compensation: a structured literature review of empirical evidence," examines the current state of empirical research based on 37 articles that were published between 1992 and 2018. Based on a multidimensional research framework, the structured literature review compiles past research findings, identifies contentual and methodological foci in the research area, and derives questions for future research. The second article, "Mapping the determinants of carbon-related CEO compensation: a multidimensional approach," addresses the topic from a conceptual perspective. Taking the existing work as a starting point, a conceptual framework is derived, which organizes the determinants of carbon-related CEO compensation at societal, organizational, group and individual levels of analysis. On this basis, eight propositions are presented that seek to distinguish between the determinants which support and challenge the implementation of carbon-related CEO compensation. The third article, "Climate change policies and carbon-related CEO compensation systems: an exploratory study of European companies," focuses on the use of CO2-oriented performance indicators in CEO compensation. The empirical-qualitative study analyzes corporate disclosure of the 65 largest companies in the EU for the years 2018 and 2019. The study addresses the use of CO2-oriented performance indicators in corporate strategy and CEO compensation. It also examines which compensation components are determined with the help of CO2-oriented performance indicators, which type of performance indicators are used, and whether CO2-intensive and less CO2-intensive companies differ in this regard.
This doctoral thesis deals with the topic of organizational misconduct and covers the three salient research streams in this area by addressing its performance outcomes, antecedents, and preventive measures. Specifically, it is concerned with the question of how different forms of misconduct are reflected in the stock performance of related organizations, thereby, covering the three pillars of corporate sustainability environmental, social, and governance (ESG). Furthermore, it aims to conceptualize how individual cognitive biases may lead to misconduct, therefore, potentially representing an antecedent and how existing management control systems can be enhanced to effectively address specific forms of misconduct, respectively.
To these ends, I first review the research stream of stock price reactions to environmental pollution events in terms of the underlying research samples, methodological specifications, and theoretical underpinnings. Based on the findings of the systematic literature review (SLR), I perform three stock-based event studies of the Volkswagen diesel emissions scandal (Dieselgate), workplace sexual harassment (#MeToo accusations), and the 2003 blackout in the US to cove the three ESG dimensions, respectively. In line with the SLR, my event studies reveal substantial stock losses to firms involved in misconduct that are eventually even accompanied by a spillover effect to uninvolved bystanders.
Then, I review the extant literature conceptually to develop a framework outlining how moral licensing as an individual cognitive bias might lead to a self-attribution of corporate sustainability, a consecutive accumulation of moral credit, and a later exchange of this credit by engaging in misconduct afterward.
Finally, I assess existing workplace sexual harassment management controls, such as awareness training and grievance procedures critically in another conceptual analysis. Based on the shortcomings stemming from management controls’ focus on compliance and negligence of moral duties, I introduce five specific nudges firms should consider to enhance their existing management controls and eventually prevent occurrences of workplace sexual harassment.
Based on the six distinct articles within this doctoral thesis, I outline its limitations and point at directions for future research. These mainly address providing further evidence on the long-term performance effects of organizational misconduct, enriching our knowledge on further cognitive biases eventually leading to misconduct, and conceptualizing nudging beyond the use-case of workplace sexual harassment.
Nachhaltigkeitsziele im Sinne einer Ökologie, Ökonomie und Soziokultur lassen sich im Bauwesen auf verschiedene Instrumente zurückführen. Optimierung des Wärmeschutzes durch die Energieeinsparverordnung (Effizienz) oder Minimierung von Abfall im Kreislaufwirtschaftsgesetz
(Suffizienz). Um jedoch eine neue Qualität der Nachhaltigkeit zu schaffen, ist ein Paradigmenwechsel notwendig. Dabei können Cradle to Cradle Prinzipien als ökoeffektive Methode angewandt werden, in dem exemplarisch die Biodiversität eingebunden, gesunde Bauprodukte verbaut und erneuerbare Energien genutzt werden. Die Natur dient als Vorbild (Konsistenz). Demnach werden Gebäude nützlich für Mensch, Umwelt und Gesellschaft umgesetzt und gleichzeitig Werte geschaffen. Für den deutschen Einzelhandel bestehen vielschichtige Potenziale, da der Gebäudebestand mit mehreren Millionen Quadratmetern bedeutend ist und die Bauwerke aufgrund von Konzeptänderungen oder Verschleiß der Ladenflächen regelmäßig umgebaut werden.
Die Forschung beginnt mit einer Bestandsaufnahme von Cradle to Cradle Bauprodukten und Analyse eines real umgesetzten Einkaufszentrums. Um Einflussfaktoren von Stakeholdern zu identifizieren, wurden qualitative Experteninterviews mit ausgewählten Projektbeteiligten
aus Bauherrn, Betreibern, Beratern, Mietparteien und Herstellern durchgeführt. Im Rahmen des Forschungsvorhabens wurde erforscht, inwieweit sich Bauprodukte aus der Gebäudeplanung in
wissenschaftlicher Theorie und praktischer Bauwirtschaft umsetzen lassen, Geschäftsmodelle anwendbar sind, Trends und Innovationen im Zusammenhang stehen oder Änderungen in Politik oder Wirtschaft notwendig sind. Im Ergebnis wurden Maßnahmen für eine neue Qualität der Nachhaltigkeit bei Einzelhandelsgebäuden identifiziert. Exemplarisch wird anhand der Interviews deutlich, dass neben einem staatlichen Umweltzeichen oder einer Green Building Planungsdisziplin,
insbesondere die Ökonomie in Form von Investitions- und Betriebskosten den größten Stellenwert besitzt. Es braucht einen staatlichen Regulierungsrahmen und neue Geschäftsmodelle, damit nachhaltige Bauprodukte wirtschaftlich werden und durch Stakeholder in
den Prozessen der Planung, Bauausführung und dem Betrieb berücksichtigt werden.
Design methods for collaborative knowledge production in inter- and transdisciplinary research
(2022)
The way humans have shaped the world so far has led to various fundamental and complex problems that we are currently facing: climate change, biodiversity loss, pandemics. Transdisciplinary sustainability research addresses such complex problems by including a great variety of perspectives, forms of knowing and bodies of knowledge, including non-scientific ones, in the research process. Design, understood in an expanded sense as a creator of transformative processes, also turns to these ‘wicked problems’. Based on their common concern, it is promising to bring both fields of research together productively. Therefore, this dissertation seeks to better understand how design methods facilitate collaborative knowledge production and integration in inter- and transdisciplinary sustainability research. Through five independent papers, this dissertation contributes to addressing the research question on four levels – conceptual-epistemological, empirical, methodological and practical. By exploring the linkages between design research and inter- and transdisciplinary research, a conceptual basis for the targeted use of design methods in collaborative processes of inter- and transdisciplinary research is laid and their spectrum of methods is expanded. This is followed by the development of a transformative epistemology in and for problem-oriented, collaborative forms of research, such as transdisciplinary sustainability research, called problematic designing. Based on a deeper understanding of integration and collaborative knowledge production, as well as its accompanying challenges, empirical research into applying design prototyping as a method in and for situations of collaborative research was conducted. To this end, the findings provide a fundamental basis for the facilitation of inter- and transdisciplinary research processes when dealing with complex problems. With its inherent openness and iterative approach in addressing the unknowns of complex phenomena, design prototyping contributes to the required form of imagination that enables to anticipate possible futures. Furthermore, by including visual-haptic modes of expression, design prototyping reduces the dominance of language and text in scientific negotiation processes and does justice to the diversity of cognitive modes.
Finally, the empirical findings of this dissertation emphasise the importance of the visual-haptic dimension for collaborative knowledge production and the communication of knowledge, and provide insights into the visual structuring of human thought processes. The results on material metaphors, collaborative prototyping and material-metaphorical imagery contribute decisively to the basic knowledge of the epistemological quality of design and the importance of the visual and haptic for thought processes in general. The extension and adaptation of existing analysis methods in this dissertation add to the further development of analysis of visual-haptic data. The results are once again reflected in the synthesis of this framework paper as cross-cutting issues. With developing design prototyping as a design-based intervention and its integration into the epistemological perspective of problematic designing for inter- and transdisciplinary sustainability research, this dissertation makes an important contribution to addressing complex future-related problems and to creating change towards sustainability.
Increased international compliance with human rights and democracy standards is a core issue for both human rights and democratizing actors as well as for victims of human rights abuse. International human rights organizations (IHROs) are expected to make positive contributions to this end, even though they possess low levels of authority. This authority has been renegotiated multiple times in various reform processes. An oversimplified expectation would have us assume that democracies would want to strengthen IHROs, and that autocracies would seek to weaken them. As the United Nations Human Rights Council (UNHRC) was reformed in 2006, 2007, 2010, and 2011, some autocracies strived to abolish parts of the UNHRC. Other autocracies aimed “merely” to weaken them. Democracies displayed an even larger variance. Indonesia and India predominantly favored weakening the UNHRC, whereas Ghana and Spain supported exclusively strengthening of the organization. Additionally, some attitudes towards the UNHRC changed from one year to the next. Autocracies diverge not only in their stances towards the UNHRC, but also across their domestic and international dimensions. Nigeria allows different levels of participation by societal actors than, say, Belarus. Cuba does not have the same domestic institutions as Russia. Iran enters international negotiations from a different position than Thailand. Democracies vary on the domestic and international dimensions as well. The Czech Republic is not the US, and Costa Rica is different from South Africa. The question that drives my research is how we can explain the broad variety of state preferences for strengthening or weakening IHROs. Previous research has mostly concentrated on democracies, leaving autocracies understudied. It also treated countries as black boxes. To account for such shortcomings, first, I systematically test the relationship between the UNHRC and its authoritarian and democratic members by means of inferential statistics. Second, I analyze a bottom-up process inherent to New Liberalism. It scrutinizes the role of domestic societal actors, domestic institutions, as well as pressures on the international stage. The results reveal that societal actors, along with the interplay of wealth and regime type in the international realm, figure as the most important predictors of delegation preferences voiced by autocracies and democracies during the reform of the monitoring bureaucracy Special Procedures of the UNHRC. Societal actors play a more important role in democracies than in autocracies. Institutionalized domestic oversight mechanisms help societal actors to conduct effective lobbying at the domestic level. Oversight mechanisms are more important than the rule of law and electoral institutions. Regarding international coalition building, authoritarian regimes turn out to be better organized than democracies. I conclude that supporters of strong IHROs shall 1. empower domestic societal actors; 2. disrupt cohesive delegation preferences of authoritarian regimes; and 3. invest in independent domestic oversight mechanisms.
Die Dissertation leistet einen Beitrag zur Erforschung der Schriften John Stuart Mills, indem darin Mills rudimentär ausformulierte Denkfigur und Forschungslücke der „Art of Life“ untersucht wird. Die Autorin erweitert die traditionelle Interpretation Mills als klassischem Utilitaristen um einen geschärften Blick auf Mills Handhabung des antiken Theorieelements der Tugend. Drei überlappende thematische Zugänge – Lust, Charakter, Glückseligkeit – dienen der Veranschaulichung und Stärkung der These, wonach es sich bei Mills Theorie um eine hedonistische, perfektionistisch gefärbte Theorie der guten Lebensführung handelt. Der methodische Rückgriff auf die Lust- und Glückskonzeption des Aristoteles erlaubt es Mills differenzierte Auffassung von Lust bzw. Freude zu ergründen, die Rolle des menschlichen Charakters für das (moralische) Handeln festzustellen und eudemische Spuren im Verständnis von Glück aufzudecken. Abschließend bietet die Dissertationsschrift eine Interpretation der Schriften Mills als Lebenskunstphilosophie mit moralischen und außer-moralischen Ebenen und zeigt Anschlusspotentiale zu antiken, sowie zeitgenössischen (Lebenskunst) Theorien auf.
Understanding that entrepreneurship can be better modeled from a systemic point of view is a primordial aspect that determines the important role of universities in entrepreneurial ecosystems. What makes the ecosystem approach a valuable tool for understanding social systems is that, from a holistic perspective, their behavior seems to have emerging characteristics. The impact of this “research object” can only be revealed through interrelated causal chains similar to the behavior of natural ecosystems (Mars et al., 2012). Therefore, the entrepreneurial ecosystem concept provides a unique perspective that complements previous studies on networked economic activity with a clear focus on the systemic elements that support entrepreneurship, and an emphasis on policy that promote the entrepreneurial process.
This dissertation presents a dual scientific account of the entrepreneurship phenomenon in universities. The work is divided into two equal parts, each of which is composed of two research papers. The narrative of the first half takes on a macro perspective view, consisting of one theoretical and one empirically-based conceptual case study. This part conceptually depicts a systematic approach to entrepreneurialism in higher education, namely an ecosystems perspective. The second half concentrates on the meso- and micro levels of study from the university’s point of view, comprising of a case study as historical account for the emergence of the entrepreneurial university, and of a metasynthesis of empirical case studies in entrepreneurial universities, which serves as the basis for the development of entrepreneurial university archetypes.
This doctoral work contributes to an in-depth understanding of Entrepreneurship in universities regarding its systemic qualities and archetypal characteristics of entrepreneurial universities. It argues for an ecosystem’s perspective on the phenomenon of entrepreneurial activity, highlighting the fundamental role that universities play as the heart of entrepreneurial ecosystems. Furthermore, this research expands on the novel concept of the entrepreneurial university by using extensive case study literature to empirically identify distinct archetypes that better reflect the diverse reality of how universities engage as entrepreneurial actors by way of differentiated entrepreneurial structures, systems, and strategies.
The industrial food system is by far the largest greenhouse gas emitting sector. It causes significant damage to terrestrial, aerial and aquatic ecosystems, negative health impacts and an unfair distribution of economic benefits. The call for sustainability transformations is growing, entailing and promoting radical shifts in industrial food systems that lead to new patterns of interactions and balanced social, economic and ecological outcomes. While traditional research has focused on sustainability problems in the food system, it lacks evidence on solutions and desired future states; and more so, on how to practically move from the current to the desired state. Food forests present a promising solution to address multiple sustainability challenges adaptable to local contexts. As biodiverse multi-strata agroforestry systems, they can provide several ecological, socio-cultural and economic services. They sequester carbon, limit soil erosion and regulate the micro-climate; they offer the opportunity for education on healthy diets and ecology, and they produce food and can create livelihood opportunities. However, despite their obvious benefits and a trend in uptake, food forests are still a niche concept rarely known in mainstream culture. To date, research has focused on their ecological and social services; we lack an understanding of food forests as a comprehensive sustainability solution, including their economic dimension, and knowledge on how to develop them. Addressing these gaps, this qualitative research used a solution- and process-oriented methodology guided by transformational sustainability research. In a comparative case study approach, it created an inventory of 209 food forests, followed by interviews and site visits of 14 sites to understand their characteristics and assess their sustainability (Article 1). More indepth, it analyzed the implementation path of seven food forest for success factors, barriers and coping strategies (Article 2). Based on these insights, two experimental case studies were initiated to develop sustainable food forests with practice partners, one based in Phoenix, Arizona, U.S. and one in Lüneburg, Germany. Two studies analyzed the cases’outputs and processes highlighting success factors and challenges, including the role of a sustainable entrepreneurial ecosystem (Article 3, Phoenix case) and key features of productive partnerships to understand why one case succeeded and the other failed (Article 4). Findings include key features of existing and sustainable food forests as well as success factors on how to develop them; namely acquiring a complementary skill set that includes specialty farming and entrepreneurial know-how, securing sufficient start-up funds and long-term land access as well as overcoming regulatory restrictions. Supporting institutions are especially needed to integrate and professionalize the planning stage and provide know-how on alternative business practices. Key features of productive partnerships include an entrepreneurial attitude, access to support functions, long-term orientation and commitment to food system sustainability. The synthesis provides a detailed, ideal-typical implementation pathway to develop sustainable food forests and relevant supportive actors. This study provides researchers, food entrepreneurs, public officials, and activists with insights on how to develop and advance food forests as a sustainability solution.
Transformative learning is increasingly set to become an essential component in sustainability transformation. This type of learning attracts considerable interest in studying and impulsing a paradigm change to transform our world into a more sustainable one, yet its underlying learning mechanisms have remained overlooked. Although there is an apparent relationship between transformative learning and sustainability transformation, little has been done to systematically explore the contribution to sustainability transformation. This learning theory developed decades ago independently of sustainability discourses; however, it provides an analytical framework for understanding the learning processes, outcomes and conditions in individual and social learning towards sustainability transformation. Against this background, the following research question arises: To which extent can transformative learning lead to sustainability transformation?
This doctoral work aims to explore transformative learning processes, outcomes, and conditions occurring and advancing towards sustainability transformation of the textile-fashion industry in Mexico. Taking an exploratory approach, the methods employed were literature reviews to untangle concepts and to construct theoretical pillars to support the empirical research design and data analysis. For data collection, snowball-sampling techniques were used to explore the practice field of the textile-fashion industry in Mexico. Qualitative interviews were employed to gather data about the learning experiences of actors. Qualitative and quantitative methods were required to perform the respective data analysis, the qualitative codification of interviewees’ responses through MAXQDA being the most remarkable one. Analysis of social media content was also utilised to understand the communication and business practices of projects involved in the transformation of the textile-fashion sector. As a result, this work comprises three articles, one a systematic literature review and two empirical research articles, investigating the transformative learning processes of entrepreneurs in the development of sustainability niches.
As for the findings of this doctoral work, the use of transformative learning in sustainability transformation requires a careful study of the theory and its conceptual elements. Regarding the case study, transformative learning is inherent in forming and developing sustainability niches as entrepreneurs venture into them: It is individual prior learning, expectations and actions that initiate the path of sustainability transformation while disorienting dilemmas, critical reflection, and discourse accelerate them. Through these stages, it is when individual learning turns into social learning. On the other hand, based on the multi-level perspective, the interplay between the niche, regime and landscape levels generates a space for sustainability transformation and transformative learning.
This work contributes to deciphering the black box of learning in sustainability transformations. The principal endeavour was to build the theoretical bridges between this emerging area of inquiry and transformative learning theory, as a significant part of this theoretical construction required drawing upon other research fields such as sustainability transitions and sustainability entrepreneurship. The crosscutting feature of learning in those fields enabled the development of an awareness of boundary objects between those fields (e.g., expectations). Furthermore, this study is pioneering in exploring sustainability transformation processes of the textile-fashion industry in Latin American contexts. The findings of this work can also be extrapolated to other sectors in which entrepreneurs participate, such as local food production, sustainable mobility, among others
Rangelands are the most widespread land-use systems in drylands, where they often represent the only sustainable form of land-use due to the limited water availability. The intensity of the land-use of such rangeland ecosystems in drylands depends to a large extent on the climatic variability in time and space, as on the one hand it influences the growth of biomass and therefore the grazing intensity, but on the other hand it can also destroy entire herds through extreme climatic events. Rangeland systems are seriously threatened by climate change, because climate change will alternate the availability of water in time and space. This is dangerous in that we have not yet fully understood how grazing affects vegetation under different climatic conditions. Inadequate rangeland management can quickly lead to serious degradation of the grazing grounds. This dissertation therefore deals with the question which role climatic variability plays for the effects of grazing on vegetation in dry rangelands. The relatively intact steppes in central Mongolia were chosen as a model system. They are characterised by low precipitation and high climatic variability in the south (100 mm annual precipitation), and comparatively high precipitation and low climatic variability in the north (250 mm). The effects of grazing on vegetation on 15 grazing transects were investigated along the climatic gradient. The central elements were the plant species and their abundances on 10 m x 10 m areas, for which functional characteristics such as height, affiliation of functional groups or leaf nutrients were recorded. The main hypothesis of this dissertation is that grazing has a greater impact on vegetation communities with increasing rainfall. To test this hypothesis, three studies were carried out. In a first study, we found that the vegetation communities in the dry area differ strongly along the climatic gradient, while the plant communities in the wetter area differ more strongly along the grazing gradient. The results of the second study suggested that this difference can be explained by a functional environmental filter that becomes weaker from south to north as the niche spectrum increases. The third study has shown that this is likely a function of the higher availability of resources, which at the same time leads to higher grazing pressure, therewith stressing the vegetation especially in years with droughts. In summary, I conclude that the climate gradient also represents an environmental filter that filters species for certain characteristics, thus having a significant influence on the vegetation. Climatic variability influences the effect of grazing on vegetation, which is particularly problematic where the grazing intensity is high and the species are less adapted to strong climatic fluctuations. Future scenarios predict increasing productivity and therefore increasing livestock density. This may lead to an increase in floristic and functional diversity across the climate gradient, but also to increasing grazing effects and therefore threads for overgrazing. Increasing climatic variability is likely to intensify this thread, especially in the moister regions, whereas the dry rangelands are likely to be more resilient due to the adaptation of the plants to non-equilibrium dynamics. The fate of Mongolia’s rangeland systems therefore clearly lies in the hand of the rangeland managers. The sustainable use of Mongolia’s vast steppe ecosystems might depend on a flexible livestock management system which balances the grazing intensity with the available resources, while still considering climatic variability as a key for the management decisions. A potential link-up for future studies might arise from the shortcomings of the studies presented. This dissertation suggests that long-term observations are necessary to better understand the effects of climatic variability. In addition, grazing gradients must be selected more carefully in the future in order to be able to ensure better comparability, and functional analyses should have a stronger relationship to forage quality. With these points in mind, a comparative study of several rangeland ecosystems on a global level must be the ultimate goal. This could be an important step for the sustainable use of drylands in the context of global climate and land use change.
Undertaking local actions, such as implementing public (sustainability) policy, plays a crucial role in achieving sustainable development (SD) at the municipal level. In this regard, indicator-based assessment supports effective implementation by measuring the SD process, based upon evidence-based outcomes that indicators produce. Over the last decade, using subjective indicators, which rely on an individual’s self-perception to measure subjects, has gained its significance in sustainability assessment, in line with the increasing importance of signifying individual’s and community’s well-being (WB) in the context of SD. This study aims to discuss and clarify the scope and functions of subjective sustainable development indicators (SDIs) conceptually and theoretically while examining the usability of such indicators employed in the practice of assessing sustainability policy and action process in a Japanese municipality. Furthermore, the potential usability of using subjective SDIs in monitoring a municipal initiative of the United Nations’ Sustainable Development Goals (SDGs) is also explanatorily examined. The present paper consists of a framework paper and three individual studies.
In the framework paper, Section 1 introduces the global transition of SD discourse and the role that local authorities and implementing public policy play in achieving SD while outlining how WB positions in the SD context. Section 2 provides a brief overview of the major scope of overall SDIs at the conceptual and theoretical levels. Section 3 defines WB in the study’s own right while exploring the scope of indicators measuring WB. In addition, this study strives to further clarify the peculiar scope of SDIs, measuring WB by synthesising the findings. Section 4 overviews how SD at the municipal level in Japan is practiced while acknowledging the extent to which residents perceive WB and SDGs in policymaking. Section 5 provides a brief yet extensive summary of the three individual studies. Section 6 discusses the findings while presenting implications for further study and practices of subjective SDIs.
Furthermore, the three individual studies provide a thorough and in-depth discussion of the study subject. Study 1 illustrates the SD trend at the municipal level in Japan and the growing recognition of using subjective SDIs in public (sustainability) policy assessment in exploring comparative SDI systems to municipality groups. The findings, in turn, raise the need for a further study on subjective SDIs. Study 2 extensively discusses the concept of WB as the overarching subject to be measured while examining varying approaches and scopes of SDIs. It identifies three differentiated WB (i.e., material and social objective WB as well as subjective WB) and distinctive approaches of subjective SDIs (i.e., expert-led and citizen-based approaches) alongside objective SDIs. The findings suggest that these SDIs identified are, conceptually, most capable of measuring associated WB; for instance, citizen-based subjective SDIs can most optimally measure subjective WB. Finally, Study 3 examines the usability of (citizen-based) subjective SDIs in a practice of assessing public policy, aiming at municipal SD, and the potential usability of using such indicators in monitoring a municipal SDG initiative. The findings highlight the determinants and obstacles of using subjective SDIs as well as signifying WB in measuring progress of a municipal SD practice.
Urban areas are prone to climate change impacts. Simultaneously the world’s population increasingly resides in cities. In this light, there is a growing need to equip urban decision makers with evidence-based climate information tailored to their specific context, to adequately adapt to and prepare for future climate change.
To construct climate information high-resolution regional climate models and their projections are pivotal, to provide a better understanding of the unique urban climate and its evolution under climate change. There is a need to move beyond commonly investigated variables, such as temperature and precipitation, to cover a wider breath of possible climate impacts. In this light, the research presented in this thesis is centered around enhancing the understanding about regional-to-local climate change in Berlin and its surroundings, with a focus on humidity. More specifically, following a regional climate modelling and data analysis approach, this research aims to understand the potential of regional climate models, and the possible added value of convection-permitting simulations, to support the development of high-quality climate information for urban regions, to support knowledge-based decision-making.
The first part of the thesis investigates what can already be understood with available regional climate model simulations about future climate change in Berlin and its surroundings, particularly with respect to humidity and related variables. Ten EURO-CORDEX model combinations are analyzed, for the RCP8.5 emission scenario during the time period 1970 ̶ 2100, for the Berlin region. The results are the first to show an urban-rural humidity contrast under a changing climate, simulated by the EURO-CORDEX ensemble, of around 6 % relative humidity, and a robust enlarging urban drying effect, of approximately 2 ̶ 4 % relative humidity, in Berlin compared to its surroundings throughout the 21st century.
The second part explores how crossing spatial scales from 12.5 km to 3 km model grid size affects unprecedented humidity extremes and related variables under future climate conditions for Berlin and its surroundings. Based on the unique HAPPI regional climate model dataset, two unprecedented humidity extremes are identified happening under 1.5 °C and 2 °C global mean warming, respectively SH>0.02 kg/kg and RH<30 %. Employing a double-nesting approach, specifically designed for this study, the two humidity extremes are downscaled to the 12.5 km grid resolution with the regional climate model REMO, and thereafter to the 3 km with the convection-permitting model version of REMO (REMO NH). The findings indicate that the convection-permitting scale mitigates the SH>0.02 kg/kg moist extreme and intensifies the RH<30 % dry extreme. The multi-variate process analysis shows that the more profound urban drying effect on the convection-permitting resolution is mainly due to better resolving the physical processes related to the land surface scheme and land-atmosphere interactions on the 3 km compared to the 12.5 km grid resolution. The results demonstrate the added value of the convection-permitting resolution to simulate future humidity extremes in the urban-rural context.
The third part of the research investigates the added value of convection-permitting models to simulate humidity related meteorological conditions driving specific climate change impacts, for the Berlin region. Three novel humidity related impact cases are defined for this research: influenza spread and survival; ragweed pollen dispersion; and in-door mold growth. Simulations by the regional climate model REMO are analyzed for the near future (2041 ̶ 2050) under emission scenario RCP8.5, on the 12.5 km and 3 km grid resolution. The findings show that the change signal reverses on the convection-permitting resolution for the impact cases pollen, and mold (positive and negative). For influenza, the convection-permitting resolution intensifies the decrease of influenza days under climate change. Longer periods of consecutive influenza and mold days are projected under near-term climate change. The results show the potential of convection-permitting simulations to generate improved information about climate change impacts in urban regions to support decision makers.
Generally, all results show an urban drying effect in Berlin compared to its surroundings for relative and specific humidity under climate change, respectively for the urban-rural contrast throughout the 21st century, for the downscaled future extreme conditions, and for the three humidity related impact cases. Added value for the convection-permitting resolution is found to simulate humidity extremes and the meteorological conditions driving the three impacts cases.
The research makes novel contributions that advance science, through demonstrating the potential of regional climate models, and especially the added value of convection-permitting models, to understand urban rural humidity contrasts under climate change, supporting the development of knowledge-based climate information for urban regions.
The transition of our energy system towards a generation by renewables, and the corresponding developments of wind power technology enlarge the requirements that must be met by a wind turbine control scheme. Within this thesis, the role of modern, model-based control approaches in providing an answer to present and future challenges faced by wind energy conversion systems is discussed. While many different control loops shape the power system in general, and the energy conversion process from the wind to the electrical grid specifically, this work addresses the problem of power output regulation of an individual turbine. To this end, the considered control task focuses on the operation of the turbine on the nonlinear power conversion curve, which is dictated by the aerodynamic interaction of the wind turbine structure and the current inflow. To enable a power tracking functionality, and thereby account for requirements of the electrical grid instead of operating the turbine at maximum efficiency constantly, an extended operational range is explicitly considered in the implemented control scheme. This allows for an adjustment of the produced power depending on the current state of the electrical grid and is one component in constructing a reliable and stable power system based on renewable generation. To account for the nonlinear dynamics involved, a linear matrix inequalities approach to control based on Takagi-Sugeno modeling is investigated. This structure is capable of integrating several degrees of freedom into an automated control design, where, additionally to stability, performance constraints are integrated into the design to account for the sensitive dynamical behavior of turbines in operation and the loading experienced by the turbine components. For this purpose, a disturbance observer is designed that provides an estimate of the current effective wind speed from the evolution of the measurements. This information is used to adjust the control scheme to the varying operating points and dynamics. Using this controller, a detailed simulation study is performed that illustrates the experienced loading of the turbine structure due to a dynamic variation of the power output. It is found that a dedicated controller allows wind turbines to provide such functionality. Additionally to the conducted simulations, the control scheme is validated experimentally. For this purpose, a fully controllable wind turbine is operated in a wind tunnel setup that is capable of generating reproducible wind conditions, including turbulence, in a wide operational range.
This allows for an assessment of the power tracking performance enforced by the controller and analysis of the wind speed estimation error with the uncertainties present in the physical application. The controller showed to operate the turbine smoothly in all considered operating scenarios, while the implementation in the real-time environment revealed no limitations in the application of the approach within the experiments. Hence, the high flexibility in adjusting the turbine operating trajectories and structural design characteristics within the model-based design allows for efficient controller synthesis for wind turbines with increasing functionality and complexity.
The academic literature holds high expectations of crowdfunding to foster sustainable development by closing the funding gap for sustainable entrepreneurs. In particular, crowdfunding is considered a promising instrument for transforming existing socio-technical regimes by financing radical innovations of such entrepreneurs. However, this potential has not yet been fully explored. Large knowledge gaps exist especially in the area of investment-based crowdfunding. Therefore, this dissertation addresses the overarching research question of how sustainable entrepreneurs can exploit the full potential of investment-based crowdfunding to develop from niche operators to actors in the socio-technical regime. Five journal articles and one book chapter are included in this PhD project, which use a wide range of quantitative methodologies. In the framework paper, the findings are conceptually evaluated on a meta-level by applying the multi-level perspective. The key insights can be assigned to four categories, including the financing and marketing function, the target group, and the project presentation. The analysis shows that investment-based crowdfunding is suitable to equally fund and market the business ideas of environmental entrepreneurs, since the quest for entering the mass market is highest for such ventures. In contrast, purely social entrepreneurs tend to conduct crowdfunding projects on a smaller scale and probably aim to stay in the niche. Nevertheless, profit-oriented social entrepreneurs are still encouraged to use investment-based crowdfunding for funding and marketing purposes. The prominent display of environmental effects (e.g. the amount of compensated greenhouse gases) and financial incentives (e.g. high interest rates) has a high impact on the investment decision of individuals on investment-based crowdfunding platforms. The findings also suggest that the typical supporter of sustainability-oriented crowdfunding projects is younger than 50 years, has achieved at least a university degree and holds low levels of self-enhancement and conservative values. The case of fairafric is used as a best practice example to demonstrate how crowdfunding can be a stepping stone for sustainability-oriented niche actors to enter the mass market. The fair-trade and organic chocolate manufacturer has undergone six crowdfunding campaigns which enabled it to grow and build a strong community of supporters. The outcomes of this dissertation clarify how sustainable entrepreneurs can unleash the potential of investment-based crowdfunding for financing and marketing purposes.
Der Ausbau der erneuerbaren Energien als Ausprägung des klimaschutzpolitischen Substitutionsansatzes wird in Deutschland mithilfe verschiedener Gesetze gesteuert. Dabei haben sich in mehr als 30 Jahren umfangreiche Regelungsstrukturen herausgebildet. Besonders ausgeprägt ist dies im Stromsektor zu beobachten. Hier kön-nen ausgehend vom Kartellrecht über den Zwischenschritt des Stromeinspeisungsgesetzes bis zu den verschie-denen Fassungen des Erneuerbare-Energien-Gesetzes vielfältige Entwicklungslinien anhand ausgewählter kon-kreter Veränderungen aufgezeigt werden. Sowohl im Hinblick auf Änderungsdynamik wie -tiefe deutlich weni-ger ausgeprägt sind dagegen die Entwicklungslinien im Wärmesektor. Diese nehmen ihren gesetzlichen Ur-sprung erst 2009 mit dem Erneuerbare-Energien-Wärmegesetz, um dann zusammen mit den gebäudebezoge-nen Effizienzregelungen 2020 infolge eines umfassenden rechtlichen Konsolidierungsschritts im Gebäudeener-giegesetz zu münden.
Die Ausgestaltungsschritte im deutschen Erneuerbare-Energien-Recht sind auf vielfältige Weise mit den Ent-wicklungen im europäischen Rechtsrahmen zur Steuerung des Ausbaus der erneuerbaren Energien verwoben. Dies betrifft zunächst die Judikatur zu den primärrechtlichen Anforderungen an die Ausgestaltung mitglied-staatlicher Förderinstrumente, gilt aber besonders für die Entwicklungen im Sekundärrecht. Hier hat sich seit 2001 in mehreren Schritten eine immer detailliertere sekundärrechtliche Ordnung entwickelt. Dabei beinhalten die Entwicklungen der Erneuerbare-Energien-Richtlinien nicht nur eindimensional Steuerungs- und Bindungs-wirkungen von der supranationalen in Richtung der mitgliedstaatlichen Ebene. Vielmehr finden sich darin auch Entwicklungen zur Beschränkung der europarechtlichen Einflüsse, namentlich der Vorgaben zur Warenver-kehrsfreiheit und des Beihilferechts, die eine unmittelbare Reaktion der Mitgliedstaaten auf die Entscheidun-gen der europäischen Gerichte und der Europäischen Kommission darstellen.
Das Erneuerbare-Energien-Recht ist zudem eingebettet in das übergreifende Umweltenergie- und Klima-schutzrecht. Mit der sowohl auf europäischer als auch deutscher Ebene im Werden befindlichen umfassenden Klimaschutzordnung lassen sich ebenso wie mit dem sich fortlaufend ändernden Instrumentenmix zahlreiche Wechselwirkungen feststellen. Der mit der neuen Klimaschutz-Governance geschaffene prozedurale Rahmen etabliert ein System von Klimaschutzzielen, Evaluierungs- und Nachsteuerungsvorgaben. Dieser ist aber mit dem Erneuerbare-Energien-Recht und dessen Zielen nur lose verbunden. Detaillierungsgrad und Steuerungs-wirkung der europäischen und der deutschen Klimaschutz-Governance unterscheiden sich dabei deutlich, was auch mit den stärkeren Koordinationsbedürfnissen im eher vertikal orientierten supranationalen Regelungs-verbund begründet ist.
Dass die Entwicklung im Erneuerbare-Energien-Recht in absehbarer Zeit zu einem Endpunkt gelangen könnten, ist nicht zu erwarten. Dies wird deutlich, wenn die tatsächlichen Herausforderungen der Transformation und aktuell diskutierte Themenfelder für die weitere Fortschreibung dieses Rechtsbereichs betrachtet werden. Dabei sind die verschiedenen Dimensionen der Integration erneuerbarer Energien zur Vertiefung der System-transformation ebenso von Bedeutung, wie Regelungen zu Akzeptanz und Teilhabe sowie zur Beantwortung der Verteilungsfragen einerseits und eine Reduktion des Komplexitätsumfangs im Recht anderseits.
Woman, Stand Straight: An Integrated Lutheran Feminist Theological Concept of Human Flourishing
(2022)
Beginning with the theology of Martin Luther and drawing on a selection of feminist theologians, this thesis proposes a relational, agential model of human flourishing. It is rooted in Luther’s doctrines of the hiddenness of God and of God’s alien and proper work in the lives of believers. Such an approach gives rise to questions concerning human freedom and agency, sin, and the nature of our relationship with God and with other persons. Many feminist theologies provide an inadequate account of sin and its effects on the person and their relationships. This thesis asserts that taking sin and its effects seriously is essential to developing a secure and healthy self, and a healthy relationship with God and other persons. It therefore proposes a reworked understanding of religious incurvature as a relational model of sin which supports the goal of human flourishing. This concept of the self curved either inwards, or towards another, speaks to the nature of sin in its traditional understanding of sin as pride, as well as addressing feminist criticisms that the notion of sin as pride is not relevant to the needs and experiences of women. The model of human flourishing proposed here is specifically Christian in its assertion that we do not exist as persons, are not fully human, without our being in relationship with the triune God and other created persons. We flourish in community. Further, it supports the idea that true Christian freedom consists of a life dedicated to service of God and others.
Die institutionelle Bildung, Erziehung und Betreuung für Kinder im Alter von 0-3 Jahren erfährt seit Beginn der Diskussionen um einen quantitativen Ausbau der institutionellen Betreuungsplätze für diese Altersgruppe, einen intensiven Wandel. Zwischen den beteiligten Akteur*innen werden durch diese Entscheidung (Rechtsanspruch vgl. KiföG 2008) Diskurse auf allen Ebenen initiiert.
Um dem steigenden Bedarf an qualifizierten Frühpädagogischen Fachkräften (0-3 J.) gerecht werden zu können, werden Ausbildungskapazitäten erhöht und Angebote der Fort- und Weiterbildung ausgebaut. Dabei haben sich eine Vielzahl neuer Angebote entwickelt und die Formate, Inhalte, Curricula und die Dozent*innen/Lehrenden stark diversifiziert.
Die vorliegende Dissertationsschrift eröffnet eine Metaperspektive auf das Feld der Aus-, Fort- und Weiterbildungen im Bereich der Frühpädagogik (Kinder von 0 bis 3 Jahren) und leistet einen Beitrag zur (didaktischen) Weiterentwicklung und Reflexion dieser vielfältigen Lehr-/Lernsettings. Den Kern der Dissertationsstudie bilden qualitative leitfadengestützte (Expert*innen-) Interviews. Das forschungsleitende Interesse ist auf Lehrende in Aus-, Fort- und Weiterbildungen im Bereich der Frühpädagogik (Kinder von 0 bis 3 Jahren) gerichtet, die zum Zeitpunkt der Erhebungen bereits langjährig in diesem Feld tätig sind. Ausgewählte Ebenen und Dimensionen einer Professionalisierung des Feldes werden daher primär aus der Perspektive der dort lehrend tätigen Akteur*innen, transparent gemacht.
Integriert wird hierbei u.a. die Offenlegung der Anforderungen an die Fachkräfte (die Lernenden) und ihre Aus-, Fort- und Weiterbildner*innen (die Lehrenden) im Kontext der zu gestaltenden (lebenslangen) Lehr-/Lernprozesse. Es werden zentrale Zusammenhänge und Abhängigkeiten aufgezeigt, um eine weitere Systematisierung des Feldes der Aus-, Fort- und Weiterbildungen im Bereich der institutionellen Bildung, Erziehung und Betreuung für Kinder von null bis drei Jahren zu unterstützen. Es wird gezeigt, dass Lehrende, die in Aus-, Fort- und Weiterbildungen im Bereich der institutionellen Bildung, Erziehung und Betreuung null- bis dreijähriger Kinder langjährig tätig sind, Perspektiven, Strategien und Ansätze entwickelt haben, um mit der vorhandenen Komplexität, den Anforderungen und Strukturen des Feldes, bei der Planung sowie Realisierung von Lehr-/Lernprozessen zukunftsorientiert umzugehen. Für die Erarbeitung einer Aus- oder Fort- und Weiterbildung müssen schwerpunktspezifisch, grundlegende, feldbezogene Implikationen und Zusammenhänge aufgearbeitet und den Lernenden transparent gemacht werden. Für die Erarbeitung eines Themas/einer Theorie werden von Lehrenden Reflexionsfolien zur Kontextualisierung dieser sowie Fokussierung und Individualisierung der Lehr-Lernprozesse eingesetzt. Es wird deutlich, dass die am/im Lehr-/Lernprozess beteiligten/wirkenden Ebenen, Akteur*innen und Anforderungen/Konstruktionen sich dabei in wechselseitigen Prozessen der Gestaltung und Aushandlung befinden. Durch ihre vielfältigen Tätigkeitsfelder und Impulse leisten die Lehrenden selbst einen elementaren Beitrag zur Weiterentwicklung des Feldes.
Does the presentation of travel experience affect personal prestige of tourists? Prestige enhancement has been considered a motive for travel by tourism researchers for decades. Yet, the question whether representation of travel experience actually leads to personal prestige enhancement has been widely neglected so far. The study of prestige benefits of travel is a necessary endeavour to develop suitable methodological approaches toward the concept, in order to close critical knowledge gaps and enhance scientific understanding. The present thesis lays out the rationale and results of three research projects which shed light onto the relationship between touristic self-presentation and its effects on personal prestige evaluations of the social environment. The empirical studies conducted in the frame of this dissertation conclude in the following main findings:
Leisure travel is a useful means for people to self-express in a positive way, and material representations of travel are frequently displayed to others. Tourists make use of travel experience to self-present in a positive way by uploading photos on social media, collecting and displaying souvenirs, wearing jewellery and clothing from their last trip, or talking about their trips to others. They express positive self-messages about personal character traits, affiliation to social in-groups and proof of having travelled somewhere. The findings ascertain the utility of travel representations for positive self-expression, showing that travel experience is an effective vehicle for conspicuous consumption and self-expression as an antecedent for personal prestige enhancement.
Personal prestige is an element of social relations, and holds capacity to affect perceptions of social inclusion and social distinction, so it has to be conceptualised as a multidimensional construct. In a tourism context, personal prestige is reliably measurable along the four dimensions of hedonism, social inclusion, social distinction and prosperity. The herein developed Personal Prestige Inventory (PPI) is a valid, reliable and parsimonious measurement tool which substantially enhances methodological approaches toward empirical research into personal prestige.
The way in which people represent travel experience to others measurably affects how their personal prestige is evaluated by social others. Empirical evidence of a series of experimental studies provides support for the assumption that representation of travel experience has an effect on the social evaluation of tourists’ personal prestige. Experimental variance suggests small to moderate effects on personal prestige depending on the amount of leisure information given about a person, participation in tourism, and the destination and type of travel represented. This evidence is reasonable basis to conclude that whether and how people travel, and whether and how they share travel experience with others, does measurably affect social other’s evaluation of their personal prestige.
By providing qualitative evidence for positive self-presentation through leisure travel, and the subsequent development and experimental application of the Personal Prestige Inventory (PPI) in a tourism context, the present dissertation enhances scientific understanding of personal prestige in the context of leisure travel and provides useful methodological advancements for further research into the topic.
Companies increasingly use social and environmental accounting and reporting (SEAR) to measure, manage, and report their influence on ecological and social issues, i.e., climate change and human rights violations. One reason for the increased use of SEAR is that companies aim to support sustainable aspects in their business decision-making.
Nowadays, there are many different tools, frameworks, and standards for SEAR that companies can use. Beyond the content presented in the tool itself, e.g., social and/or ecological information, these tools differ, among others, by the language used and the type of data collected (e.g., qualitative, quantitative, or monetary data). One the one hand, the range of different approaches for SEAR allows industry- and company-specific monitoring and reporting of sustainable issues. On the other hand, this variety as well as the lack of a common reference framework can lead to uncertainty of corporate decision-makers and stakeholders regarding the use and comparability of these approaches. While numerous previous scholars present advantages and opportunities of the use of SEAR for companies and society, there is a rising number of scholars criticizing the way (social and environmental) accounting and reporting is used today and its impact on a company’s environmental orientation and decision-making. Further, there is only limited literature on the question of which approach to use and how to use and introduce the particular approach for supporting sustainable decision-making within companies.
This dissertation aims to expand previous literature by clarifying the effects of SEAR on corporate decision-making and its influencing factors. Additionally, antecedents for implementation and use of SEAR in regard to supporting sustainability decision-making are discussed. For this purpose, the given dissertation investigates public sustainability reports by companies with different environmental orientation, conducts two survey-based case studies on the effects of different types of SEAR and one qualitative case study on the antecedents of institutionalizing management accounting change through SEAR.
The results lead to seven criteria that practitioners and researchers should recognize for supporting successful SEAR regarding a company’s environmental orientation, the role of employees and leadership as well as the specific SEAR tool itself. Additionally, this dissertation leads to several contributions to the scientific discussion and its influences on corporate environmental orientation and decision-making.