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Die Arbeit beschäftigt sich mit dem Phänomen der globalen Führungskraft als handelndes Individuum im globalisierten Wirtschaftskontext Anfang des 21. Jahrhunderts, wo neben monetären Größen vor allem situative und personelle Führungsvariablen über den Erfolg von Unternehmen entscheiden. Eine zunehmende Diskrepanz zwischen der Einheit des Ortes und der Zeit erfordert kulturelles und kommunikatives Handeln globaler Führungskräfte. Die Diskrepanz zwischen den technischen Möglichkeiten und menschlichen Kommunikationen repräsentiert jedoch eine zunehmende Komplexität in Bezug auf globale Wirtschaftsprozesse. Globale Führungskräfte müssen sich neuen Situationen flexibel anpassen und situationsspezifisch entscheiden. In der Arbeit werden die Diskurse ´Kommunikation´, ´Kultur´ und ´Internationalität´ in Bezug auf die Frage nach der Konstruktion eines globalen Führungsindividuums erstmals interdisziplinär zusammengeführt. Auf der Basis kultureller Kommunikation sowie einer semiotisch-handlungstheoretischen Erweiterung wird ein Führungsmodell des 21. Jahrhunderts entworfen: Das Modell der ´kommunirarchischen Führung´.
Perfluoroalkyl and polyfluoroalkyl substances (PFASs) have been widely used since 1950 in various consumer products as well as in industrial applications owing to their unique properties, e.g. being hydrophobic and lipophobic at the same time. Nowadays, some of these persistent and man-made PFASs can ubiquitously be found in humans, wildlife and various environmental media. One prominent representative of concern, belonging to the subgroup of perfluorocarboxylates (PFCs) and their conjugate acids (PFCAs), is perfluorooctanoat (PFO) and its conjugate acid (PFOA). Because of its adverse effects on human health and its persistency in the environment industry has started to replace PFO(A) and related long chain chemicals (with seven and more fully fluorinated carbon atoms) with so-called short chain PFASs (less than seven fully fluorinated carbon atoms), including precursors of PFC(A)s. Also these short chain PFC(A)s are persistent and can already be found in humans, ground- and drinking water and in remote regions. However, knowledge gaps exist in understanding the partitioning and the resulting mobility of short chain PFC(A)s in the environment. This is due to the fact that partitioning data of PFC(A)s from standardised experiments can easily be biased by various artefacts, e.g. self-aggregation of the molecules. Therefore, the objectives of this thesis are (i) to quantify the partitioning of PFC(A)s into mobile environmental media, (ii) to show how results from non-standard tests can be used to assess substance properties of concern and (iii) to conclude on whether the environmental exposure to short chain PFC(A)s is of concern from a regulatory point of view. In the first part of this thesis, the environmental mobility of short chain C4-7-PFC(A)s was investigated by quantifying their partitioning under non-standardised semi-environmental conditions into mobile environmental media, focusing on water and air, and comparing it to long chain PFC(A)s. Results are: Partitioning between water and particles in the aeration tank, primary and secondary clarifier of a wastewater treatment plant (WWTP) showed no distinct differences for short chain PFC(A)s compared to their long chain homologues (Paper 1). In a water-saturated sandy sediment column short chain PFC(A)s were not retarded, whereas long chain homologues were retarded by sorption to the sediment (Paper 2). Atmospheric particle-gas partitioning showed a lower fraction sorbed to particles for short chain PFC(A)s compared to long chain ones in samples from a WWTP (Paper 3). Air-water concentration ratios based on samples from the tanks of a WWTP were found to be higher for short chain PFC(A)s compared to long chain PFC(A)s (Paper 1). Additionally, in a newly developed experimental set-up the water to air transfer was used to derive that the pKa of C4-11-PFCAs must be <1.6 instead of up to 3.8 as reported in the literature (Paper 4). Overall, in the investigated systems short chain PFC(A)s showed a higher mobility due to a more pronounced partitioning into mobile environmental media compared to long chain PFC(A)s. In the second part of the thesis it was shown how PFO(A) - owing to its persistent, bioaccumulative and toxic (PBT-)properties – was in the context of this thesis successfully assessed as a substance of very high concern according to the criteria of the European REACH Regulation (EC No 1907/2006) by using data from non-standard tests (Paper 5). In conclusion, based on the knowledge of the high environmental mobility of short chain PFC(A)s and taking into account the argumentation of the PBT-concern of PFO(A), environmental exposure to short chain PFC(A)s is of concern and existing knowledge is already sufficient to initiate measures to prevent emissions of short chain PFC(A)s and their precursors into the environment.
Ökologische Nachhaltigkeit in Beherbergungsbetrieben in regionalen Naturparks in der Deutschschweiz
(2014)
Sustainability and Justice: Conceptual Foundations and Cases in Biodiversity and Fishery Policy
(2014)
Sustainability aims at justice in a threefold sense: intragenerational justice, intergenerational justice, and justice towards nature. However, the justification, specific content and practical implications of justice claims and obligations in the sustainability context often remain underspecified. This dissertation therefore asks: How can the concept of justice be structured systematically? How can justice be specified in the context of sustainability? Which specific problems of justice arise in sustainability policy? And what are the respective contributions of (sustainability) economics and (sustainability) ethics? The five papers of this cumulative dissertation approach these issues from different angles, working at the conceptual level and at the level of cases from biodiversity and fishery policy. In Paper 1, a formal conceptual structure of justice is developed, which lists the conceptual elements of justice conceptions: the community of justice including claim holders and claim addressees, their claims (and corresponding obligations), the judicandum (that which is to be judged as just or unjust), the informational base for the assessment, the principles of justice, and on a more practical level, the instruments of justice. By specifying these conceptual elements of justice, it is possible to analyse and compare different conceptions of justice. In Paper 2, the normative dimension of sustainability is discussed in terms of justice. Based on the identification of certain core characteristics of the concept of sustainability, we determine the specific challenges of justice in the context of sustainability along the conceptual structure of justice (from Paper 1). Inter alia, we show that sustainability calls for the integration of justice claims in the relationships with contemporaries, future humans and nature in a non-ideal context characterized by uncertainty, systemic mediation and limits. Paper 3 addresses the contribution of economics to the assessment of trade-offs between intergenerational and intragenerational justice. Economic analysis can delineate the opportunity set of politics with respect to the two justice objectives and identify the opportunity cost of attaining one justice to a higher degree. While the two justices are primary normative objectives, the criterion of efficiency - when directed at the attainment of these justice objectives - has the status of a secondary normative objective. Paper 4 constitutes a case study, reconstructing the ´biopiracy´ debate from a justice perspective. The paper links to the so called Access and Benefit-Sharing framework of the Convention on Biological Diversity, and addresses the question, which problems of justice arise regarding the utilization of genetic resources and traditional knowledge, especially if associated with patenting. It is shown that the predominant perspective of justice-in-exchange is insufficient and therefore complementary conceptions, namely of distributive justice, corrective justice and structural justice have to be taken into account. Paper 5 empirically assesses the justice notions of stakeholders in the Newfoundland fishery, building on qualitative semi-structured interviews and a combination of inductive and deductive coding. A central result is that inshore fishers are seen as the main claim holders, with a claim to participate and being listened to, and the opportunity to make a living from the fishery. Recognition, participation and distribution are all important domains of justice in the context of the Newfoundland fishery. The paper also discusses the relationship between normative theorizing and empirical justice research. Overall, this thesis integrates ideal and non-ideal normative theorizing, economic analysis, empirical justice research and hints at institutional implementation in the debate on sustainability and justice.
The postal sector has a long monopolistic tradition in many countries; however, since the 1990s it has undergone considerable changes. At the beginning of that decade, the European Commission abolished exclusive rights within the postal system and opened up the market to new private postal providers and changes have continued to accelerate after two important European directives. Both directives were intended to improve the quality of service in the industry and to open up the market to competition. What has changed since the opening of the German postal market? A look at market shares measured by volumes of processed postal items, or by revenue, quickly reveals the prevailing dominance of the former monopolist Deutsche Post AG (DPAG). Despite an increasing number of market entries by private postal providers, it seems the German postal market is still characterized by the old monopolistic structures and that the aim of creating a competitive environment has not been fully achieved. This thesis deals with different competition issues from an economics perspective. The analyses are based on self-collected data and in-depth interviews conducted during on-site visits and thus provide first empirical evidence regarding the status quo in the German postal market.
The doctoral thesis deals with future challenges that the tourism market has to face on a global level. The problem is treated from different perspectives and with different thematic foci. Thematically, the thesis approaches both global changes in the tourism market and further developments of the research methodology. The methodological repertoire includes a Delphi survey in combination with a focus group, mobile ethnography in conjunction with participant observation and contextual interviews, and a quantitative online survey.
This dissertation offers three different perspectives on agency and institutional change. Within three different articles these perspectives are presented and discussed. In the following these three articles are introduced: Article I: Competing concepts of power in institutional theory make the analysis of institutional change challenging. On the one hand, the assumption of powerful institutions leaves little space for agency and institutional change; while on the other hand, the assumption of powerful actors allows for agency but contradicts the fundamental assumption of institutional theory as stated before. This article wishes to propose a concept of power that is consistent with institutional theory and preserves core institutionalist assumptions, but still offers an explanation for agency and institutional change. Article II: This study examines a case of embedded agency from the German accounting industry, which existing approaches of the paradox of embedded agency cannot explain. Based on an instrumental case study, this paper will provide a new explanation of embedded agency by highlighting the interaction between the different actors of an organizational field. Article III: Based on a dialectical perspective on institutional change, this paper studies the transformation of the German accounting industry covering the time period from 2000 to 2012. Corresponding to Seo and Creed (2002), this article identifies “intrainstitutional conformity that creates interinstitutional incompatibilities”, “legitimacy that undermines functional efficiency”, and “isomorphism that conflicts with divergent interests” (Seo & Creed, 2002, p. 226) as the drivers for recent change in this organizational field. The study provides an explanation of endogenous change that does not rely on institutional agency in explaining institutional change.
Rethinking Gamification
(2014)
Gamification marks a major change to everyday life. It describes the permeation of economic, political, and social contexts by game-elements such as awards, rule structures, and interfaces that are inspired by video games. Sometimes the term is reduced to the implementation of points, badges, and leaderboards as incentives and motivations to be productive. Sometimes it is envisioned as a universal remedy to deeply transform society toward more humane and playful ends. Despite its use by corporations to manage brand communities and personnel, however, gamification is more than just a marketing buzzword. States are beginning to use it as a new tool for governing populations more effectively. It promises to fix what is wrong with reality by making every single one of us fitter, happier, and healthier. Indeed, it seems like all of society is up for being transformed into one massive game. The contributions in this book offer a candid assessment of the gamification hype. They trace back the historical roots of the phenomenon and explore novel design practices and methods. They critically discuss its social implications and even present artistic tactics for resistance. It is time to rethink gamification!
Die Diskussionen in der bildungspolitischen Auseinandersetzung um die Qualifikationen der staatlich anerkannten Erzieher*innen werden kontrovers geführt. Veränderungen in globalisierten Zusammenhängen und der daraufhin entwickelte Deutsche Qualifikationsrahmen (DQR) (Bundesministerium für Bildung und Forschung, 2013) führen dazu, dass auf Deutschlands bildungspolitischer Ebene eine neue Lernkultur diskutiert wird, die auf kontinuierliche (Lern-) Prozesse von frühkindlicher Bildung bis zur Aus- und Weiterbildung ausgerichtet ist. Durch die Einstufung der Erzieher*innen-Ausbildung in den DQR auf Niveaustufe 6 ist die Ausbildung mit einem hochschulischen Bachelor als gleichwertig anzusehen. Diese Entwicklungen zeigen, dass Bewegungen in den Professionalisierungsbestrebungen der Erzieher*innen-Ausbildung bestehen. Die hier vorliegende Studie widmet sich der bisher bestehenden Forschungslücke, das Subjekt und das aktive, forschende Lernen in die bisher eher strukturell geführten Diskussionen zu integrieren, um die geforderte professionelle Haltung (vgl. Kompetenzorientiertes Qualifikationsprofil, 2012) entwickelbar zu machen. Im Fokus dieser Arbeit steht das Erkenntnisinteresse, welche Möglichkeiten ein internationales Praktikum für die (Weiter-)Entwicklung eines beruflichen Habitus im Sinne von „Wissen, Können und Tun“ (Karsten 2008: 17) von Schüler*innen in der Ausbildung zur staatlich anerkannten Erzieher*in eröffnet. Sie zeigt die komplexen, nie abgeschlossenen und immer strittigen Prozesse auf, in denen die Schüler*innen sich in der Ausbildung bewegen und welche Erkenntnisse und Möglichkeiten die Schüler*innen für sich entdecken und mit ihrem professionellen Verständnis verknüpfen, um ihren beruflichen Habitus (weiter-) zu entwickeln.
The German market for corporate bonds has experienced an unprecedented growth over the last decade. As a growing number of German firms have seized the opportunity to issue debt securities to the market, the need arises to evaluate their attempts to provide bondholders with private corporate information. This doctoral thesis centers on a research interest concerning the extent and effectiveness of corporate disclosure directed at the German bond market. It delivers unprecedented insights into bondholder relations practices and is thought to establish this topic as a research field that is complementary to previous work on shareholder-related disclosure. Taking information asymmetries between firms and bondholders as a basis, the empirical analyses are based on various arguments from the voluntary disclosure theory as well as from principal-agency and related frameworks. In essence, most parts of the thesis follow the key assumption that bondholders demand higher premiums for opaqueness and potentially detrimental behavior on behalf of a bond issuer’s management. The analyses deliver new insights into the role of corporate disclosure and close a gap between bondholder relations and financial as well as shareholder-related disclosure. They contribute to the stream of research that is concerned with corporate disclosure and its relationship to the cost of capital, the cost of debt, and even more specifically the yield (spread) of corporate bonds.
Freiwilligenarbeit spielt in der Schweiz wie in vergleichbaren Ländern eine wichtige Rolle für Nonprofit- und öffentliche Organisationen. Betroffen sind die Anbieter von Freiwilligenarbeit vom gesellschaftlichen Wertewandel, den Herausforderungen der Globalisierung, den Chancen und Risiken neuer Technologien, dem Umgang mit demographischen und bildungspolitischen Entwicklungen, mit konkreten Auswirkungen auf die Arbeitstätigkeit der Freiwilligen. Die zunehmende Spezialisierung der Freiwilligenarbeit erfordert zusätzliche Investitionen in Aus- und Weiterbildungsmöglichkeiten, differenzierte Formen der Anerkennung und neue Karrieremuster. Ebenso zeichnet sich eine zunehmende Formalisierung in den personalen und sozialen Rahmenbedingungen ab, mit denen die Anbieter von Freiwilligenarbeit konfrontiert sind. Diese Trends belasten in erster Linie die personal- und finanzschwächeren Organisationen mit limitierten Ressourcen und Wissenspotenzialen. Während die Bedeutung der Freiwilligenarbeit für Gesellschaft, Wirtschaft und NPO gut dokumentiert ist, insbesondere anlässlich des UNO-Jahres der Freiwilligen und der Studien in dessen Folge, geben nur wenige Studien detailliert Auskunft über das Management von Freiwilligen. Da der Begriff Freiwilligenmanagement ebenso unklar und unerforscht ist wie die benötigten Werkzeuge und Instrumente, Strategien und Ansätze und die sich ergebenden Konsequenzen, wird auch die Frage der Relevanz eines Managements von Freiwilligen in der Literatur kontrovers diskutiert. Erste Recherchen brachten Quellen zu Tage, die sich mit unterschiedlichen Aspekten des Managements von NPO befassen. In grossem Umfang liegt Literatur vor zu Organisation, Marketing und Unternehmensführung. Spezifische Publikationen, die sich ganzheitlich mit der systematischen Führung von Freiwilligen befassen, sind dünn gesät. Angesichts der Tatsache, dass sich NPO zunehmend mit einer Professionalisierung der Freiwilligenarbeit auseinandersetzen müssen, besteht hier ein Defizit an theoretischer und praxisorientierter Literatur. Grundsätzlich lässt sich erkennen, dass sich die Wissenschaft allgemein schwer tut, quantitativ- empirische Erkenntnisse über NPO zu gewinnen, da die staatlichen Kontrollen und damit auch die gesetzliche Datenerfassung häufig ungenügend sind. Bis anhin existiert für die Schweiz kein Gesamtbild darüber, wie Freiwilligenmanagement praktiziert wird. Grundsätzlich kann man davon ausgehen, dass NPO den Einsatz von Freiwilligen bewusst führen und managen. Allerdings stützen sie sich dabei eher auf praktische Erfahrung als auf systematisiertes Managementwissen. Angesichts der vorgefundenen Forschungsdefizite möchte die vorliegende Arbeit helfen, das Gesamtverständnis über das Freiwilligenmanagement zu verbessern, sowohl hinsichtlich der vorliegenden Praxis als auch der dazugehörigen Personalpolitik. Im engeren Fokus stehen Notwendigkeit und Entwicklung des Freiwilligenmanagements innerhalb Schweizer NPO und die Frage, wieweit Freiwilligenmanagement relevant ist im Kontext unbezahlter Arbeit sowie die Identifikation relevanter Einflussgrössen. Das Ziel dieser Studie ist es, basierend auf einer Bestandsaufnahme des Freiwilligenmanagements in NPO der Schweiz, einen Überblick zu vermitteln zum Verständnis der Rolle des Freiwilligenmanagements im Kontext der Organisation und der unterschiedlichen Ausprägungen insbesondere der personalen Arbeit innerhalb der unterschiedlichen Typen von NPO. Es wird versucht, verschiedene Ansätze des Freiwilligen-managements zu qualifizieren und grössenklassen-adäquate Empfehlungen zu geben für die Gestaltung effizienter und effektiver Einsätze des Freiwilligenmanagements im Sinne des Auftrags der NPO. Darüber hinaus steht die Entwicklung eines Praxisführers an. Abschliessend wird im engeren Kontext der Arbeit auf offene Forschungsfragen hingewiesen.
Scaling Strategies of Social Entrepreneurship Organizations – an Actor-Motivation Perspective
(2014)
Despite their sometimes ingenious solutions, many social entrepreneurs fail to scale which is at odds with their overall objective of social change. Yet, though considered highly important in practice, scaling is still under-researched. Taking this imbalance as a starting point, my PhD thesis contributes to the social entrepreneurship literature by shedding new light on the role of the actor-motivation in scaling social ventures. Put together, papers 1-3 try to answer the general research questions of how do actors and their specific motivations, particularly the social entrepreneur, influence the scaling strategies (and success) of social ventures? Based on a brief review of the literature on scaling, I identify social franchising as a promising scaling strategy that requires more research. Here, paper 1 argues that the social mission of the involved actors can serve as an informal functional equivalent to formal contracts as well as a means to safeguard the local small group logic. Paper 2 discusses the effects of stewardship on social franchising coming to the conclusion that stewardship relationships may impede speed of and degree of scaling. Based on these insights, paper 3 more closely analyzes the motivations of social entrepreneurs in a post-founding stage. It empirically constructs a taxonomy of (social) entrepreneurs based on their motivations. To this end, paper 3 employs a three-step methodological approach that combines the inductive insights from 80 interviews with entrepreneurs with a statistical cluster analysis. Following, this paper then discusses contributions of and implications for scaling research as well as to social entrepreneurship, entrepreneurship, and management research.