open_access
Refine
Year of publication
- 2022 (44) (remove)
Document Type
- Doctoral Thesis (37)
- Article (3)
- Book (2)
- Part of Periodical (1)
- Report (1)
Has Fulltext
- yes (44)
Is part of the Bibliography
- no (44)
Keywords
- Alexander Moritz Frey (1)
- Analyseraster (1)
- Anthropogeografie (1)
- Armut (1)
- B2B data sharing (1)
- Beziehungen (1)
- Bibliometrie (1)
- Big data (1)
- Bivariater Spline (1)
- Blockchain, Creative Industries, DLT, Persuasive Design (1)
Institute
The impact of urban development on local residents in the urban periphery oscillates between processes of empowerment and processes of marginalization as well as between state-controlled order and decentralized self-organization. Consequently local authorities, including urban planners and local residents need to negotiate their respective roles in the production and usage of urban space defined by transition, transformation and ambiguity. Therefore, this work examines the underlying patterns, interactions and structures which define the negotiation of state-society relations in the framework of a porous peri-urban landscape in Vietnam’s secondary cities.
In Chapter 1, peri-urban areas are defined as space of transformation where pattern of rural land use are intertwined with pattern of urban land use to create an urban-rural interface with blurred boundaries. The main characteristic of the spatial pattern in Tam Kỳ and Buôn Ma Thuột is rooted urban porosity leading to the spatial intertwining of rural, peri-urban and urban spaces. The emerging urban landscape can be defined as peri-urban city. Three main themes define this peri-urban city beyond porosity: (1) processes of transformation creating the peri-urban city, (2) networks of power and control as means to adapt to these transformations and (3) mobility as prerequisite for ability to benefit from the changing landscape in peri-urban cities.
Chapter 2 describes how state authorities, urban planners and private investors at the local level in Tam Kỳ and Buôn Ma Thuột use porous space to reproduce the city based on their aspirations. This leads to a cargo cult urbanism, where urban planning is rooted in future aspirations for the city. Plans and construction efforts reference the image of a modern urban future and produce the image of a city, which does not exists in the real urban space of Tam Kỳ and Buôn Ma Thuột. In the meantime, practices based in peri-urban space are often contradictory to the official aspirations of local state authorities
Chapter 3 explores this emerging divergence between the aspired urban space by the state and the reality of urban space rooted in material and social porosity. Traditional, newly accessible and environmental porosity provide an array of accessible space which transforms the peri-urban city into a social arena of encounters and interaction. Consequently, porosity enables local residents to maintain urban space as commons. This counters the push towards the privatization of urban space by state and private actors and creates multiple aspirations for the urban future.
Rooted in urban space as commons, porosity enables the usage of peri-urban space as spaces of resistance as discussed in Chapter 4. Mobility and interaction are means of reproduction in the porous ambiguity of urban materiality but also become means of everyday resistance. The emerging spatialities of emancipation provide opportunities for an emerging urban citizenship. Urban materiality and urban citizenship have a mutually constitutive relationship.
Looking at what Geographers do – Empirische Beiträge zur Wissenschaftsbeobachtung in der Geographie
(2022)
The research interest of this doctoral thesis addresses the academic practice of German-speaking geography. It is thus both a "meta-geographical" thesis in the sense of disciplinary science research and a social-geographical thesis that examines how scientists interact with each other as social actors in the academic field. In this dissertation, a total of five scientific articles are presented. All contributions examine German-language geography from a scientometric perspective. The unifying aspect of this work is not the one major research question, but the research object and the methodological perspective taken. The work is divided into two parts: Based on bibliometric data research and network analysis, the first part is dealing with the question of the unity of geography (papers 1-3) and paradigm evolution exemplified by the new cultural geography (paper 4). The second part deals with gender inequalities in geography. Here, one scientific article (paper 5) is presented and put into context. The focus is on gender differences in scientific practices at geographic conferences.
Sterblichkeit und Erinnerung
(2022)
Wer von Erinnerung spricht, darf vom Tod nicht schweigen. Das Bewahren von Wissen, von Ereignissen, aber auch von Empfindungen usw. gewinnt gerade durch die prinzipielle Vergänglichkeit des menschlichen Handelns seine Bedeutung. Die Erinnerung an die Lebenswelt Verstorbener ist deshalb keine authentische Dokumentation, sondern durch gesellschaftlich tradierte Konzepte des Erinnerns (oder auch Nicht-Erinnerns) vorgeprägt. Vor diesem Hintergrund setzen sich die Beiträge dieses Bandes mit dem Verhältnis von Erinnerung und Vergangenheitsbezug im Spannungsfeld von Sterblichkeit, Tod und Gesellschaft auseinander. Mit Beiträgen von Thorsten Benkel, Ekkehard Coenen, Oliver Dimbath, Jan Ferdinand, Carsten Heinze, Matthias Meitzler, Christoph Nienhaus, Melanie Pierburg, Sarah Peuten, Leonie Schmickler, Laura Völkle, Lara Weiss und Nico Wettmann.
Gemeinsam
(2022)
Kann die Gesellschaft die hermeneutische Ungerechtigkeit gegenüber Menschen mit Lernbehinderungen abmildern? Wie stellen sich die europäischen Theater dieser Herausforderung? Wie können Künstler mit Lernbehinderungen "eine Stimme haben"? Der vorliegende Band sucht in theoretischen Ansätzen und in Interviews mit Regisseuren nach Antworten auf diese Fragen.
Sichtbarkeitsprobleme, wie das Folgende, gehören zu den grundlegenden Problemen der algorithmischen Geometrie: Berechne zu einem einfachen Polygon, dem sogenannten Kanal, und zu einem darin enthaltenen Punkt die von diesem Punkt aus sichtbare Punktmenge. Dabei ist ein Punkt von einem anderen Punkt aus sichtbar, wenn deren Verbindungsstrecke den Kanal nicht verlässt. Wir wollen uns in dieser Arbeit mit zirkulärer Sichtbarkeit beschäftigen. Zur Verbindung zweier Punkte sind dann nicht nur Strecken, sondern auch Kreisbögen zulässig. Außerdem betrachten wir als Ausgangspunkt dieser sogenannten Sichtbarkeitskreisbögen und -strecken eine Kante des Kanals anstatt eines einzelnen Punkts. Konkret liefert diese Arbeit einen Beitrag zur numerisch robusten Bestimmung der zirkulären Sichtbarkeitsmenge ausgehend von einer Kante des Kanals.
Hierfür wird in dieser Arbeit ein Algorithmus vorgestellt, mit dem für einen gegebenen Punkt festgestellt werden kann, ob dieser von der Startkante aus sichtbar ist. Im Fall eines sichtbaren Punkts wird ein Sichtbarkeitskreisbogen berechnet, der zwei Kanalberührungen besitzt. Damit kann der Algorithmus bei geeigneter Wahl des zu untersuchenden Punkts – der als dritte Kanalberührung fungiert – direkt zur Berechnung von sogenannten Grenzkreisbögen der Sichtbarkeitsmenge benutzt werden. Diese definieren den Rand der zirkulären Sichtbarkeitsmenge und zeichnen sich dadurch aus, dass sie vom Kanal dreimal abwechselnd von links und von rechts berührt werden.
Der beschriebene Algorithmus basiert auf der Untersuchung derjenigen Kreisbögen, die zwar nicht notwendigerweise vollständig im Kanal liegen, aber die Startkante mit dem Punkt verbinden, dessen Sichtbarkeit bestimmt werden soll. Insbesondere werden dabei die Bereiche untersucht, in denen der jeweilige Kreisbogen den Kanal
verlässt, die sogenannten Verletzungen. Da die „Schwere“ einer solchen Verletzung quantifizierbar ist, wird ein iteratives Vorgehen ermöglicht. Dabei wird der Kreisbogen iterativ so verändert, dass dieser bei gleichem Endpunkt den Kanal immer „weniger verlässt“. Ist der Endpunkt und damit der zu untersuchende Punkt nicht sichtbar, wird im Laufe des Algorithmus festgestellt, dass keine derartige Verbesserung möglich ist. Der vorgestellte Algorithmus ist numerisch robust, einfach umzusetzen und besitzt eine in der Anzahl der Kanalecken lineare Laufzeit.
Data-driven decision-making and data-intensive research are becoming prevalent in many sectors of modern society, i.e. healthcare, politics, business, and entertainment. During the COVID-19 pandemic, huge amounts of educational data and new types of evidence were generated through various online platforms, digital tools, and communication applications. Meanwhile, it is acknowledged that educa-tion lacks computational infrastructure and human capacity to fully exploit the potential of big data. This paper explores the use of Learning Analytics (LA) in higher education for measurement purposes. Four main LA functions in the assessment are outlined: (a) monitoring and analysis, (b) automated feedback, (c) prediction, prevention, and intervention, and (d) new forms of assessment. The paper con-cludes by discussing the challenges of adopting and upscaling LA as well as the implications for instructors in higher education.
After the enactment of the GDPR in 2018, many companies were forced to rethink their privacy management in order to comply with the new legal framework. These changes mostly affect the Controller to achieve GDPR-compliant privacy policies and management.However, measures to give users a better understanding of privacy, which is essential to generate legitimate interest in the Controller, are often skipped. We recommend addressing this issue by the usage of privacy preference languages, whereas users define rules regarding their preferences for privacy handling. In the literature, preference languages only work with their corresponding privacy language, which limits their applicability. In this paper, we propose the ConTra preference language, which we envision to support users during privacy policy negotiation while meeting current technical and legal requirements. Therefore, ConTra preferences are defined showing its expressiveness, extensibility, and applicability in resource-limited IoT scenarios. In addition, we introduce a generic approach which provides privacy language compatibility for unified preference matching.
Die vorliegende Dissertation behandelt die Qualität von Prozessmodellen.
Vor diesem Hintergrund haben Experteninterviews mit Forschungs- und Praxispartnern zur Entwicklung und Evaluierung eines Ordnungsrahmens zur Qualitätsbestimmung von Prozessmodellen beigetragen.
Die Ergebnisse zeigen, dass unter anderem die Einsatzzwecke der Prozessmodelle sowie die mit den Prozessmodellen in Berührung kommenden Personengruppen differenziert betrachtet werden müssen, um Auswirkungen auf die Prozessmodellqualität untersuchen zu können.
My study examines how the configuration of the capitalist frontier through extractivism shapes ethnicity, gender, and intersectionality in the areas surrounding a nickel mine in Sorowako (East Luwu District, South Sulawesi), logging and coal mining along the Lalang River (Murung Raya District, Central Kalimantan) Indonesia. The colonial frontier intersects with the capitalist frontier and provides the circumstances for its formation. The colonial restrictions, religions, commodities, the imposition of labor discipline, and political changes have molded ethnic identities and relationships with nature. Furthermore, using autoethnography and Feminist Political Ecology, I combine my experiences as a woman academic-activist with the experiences of the people in my research area. I identify how communities and individuals interact with the multiple-frontier in everyday life by defining the configuration of the frontier from above and below. Thus, my dissertation contributes to understanding how I, the community, and the capitalist frontier landscape are contained and can potentially transform into multidimensional resistance. I develop a link between the body as the interior frontier and the extractive landscape to be transformed into a perspective of “Tubuh-tanah air” as a future arena of engagement and resistance to extractivism.
This dissertation examines the overarching research question of how the suppliers’ brand management in the form of brand identity, brand culture, and brand essence influences buyer-seller relationships in three independent essays.
In Essay 1, I address the structure, capabilities, and outcomes of brand identity from a supplier perspective. Through qualitative interviews with suppliers, I examine how widespread the concept of brand identity is in practice and what exactly practitioners understand by it. Going further, I look at what capabilities and conditions are necessary for brand identity to be successful and what outcomes suppliers hope to achieve. Using an Information-Display-Matrix (IDM) test and a sample of Master of Business Administration (MBA) students, I examine the relevance of brand functions in more detail.
In Essay 2, I use a dyadic dataset with matched buyer-seller dyads to examine the causes and effects of perceptual congruence and incongruence of brand culture strength on the buyer-seller relationship, while considering relationship-specific investments and interaction mechanisms as moderating effects. I show that congruence and incongruence have different effects on customer loyalty and price sensitivity and that these are strongly context-dependent.
In Essay 3, I deal with brand essence strength interactions and their effects on the buyer-seller relationship. I use a dyadic dataset with matched buyer-seller dyads to show how brand essence strength influences customer loyalty and customer profitability, and how it interacts with key customer attitudes and other important buyer-seller relationship closeness indicators.
This dissertation makes a significant contribution to the literature on brand identity, brand culture, and brand essence in buyer-seller relationships. Furthermore, my dissertation offers practical implications for managers at B2B suppliers who (re)shape their brand management with a focus on the inner parts of the brand.
1. IT-Exposure and Firm Value: We analyze the joint influence of a firm’s information technology (IT)-Exposure and investment behavior on firm value. Estimating a firm’s (partial) IT-Exposure allows for distinguishing between firms with a business model that is challenged by IT above and below market average. Hence, we estimate the annual IT-Exposure of a firm using a 3-factor Fama-French model extended by an IT-proxy. Subsequently, we analyze the relationship with Tobin’s Q in a panel data context, accounting for the relationship between IT-Exposure and investments proxied by R&D as well as CapEx. We use more than 48,000 firm-year observations for firms in the Russell 3000 Index covering the period 1990 to 2018. Although IT-Exposure has a negative impact on firm value, this discount can be overcompensated by up to 2.1 times by sufficient investments through R&D and CapEx, giving a firm with an average Tobin’s Q a premium of 14.8% to 19.2%, while controlling for endogeneity.
2. Corporate Social Responsibility, Risk, and Firm Value: An Unconditional Quantile Regression Approach: This paper examines the impact of corporate social responsibility (CSR) on firm risk, comprising total risk, idiosyncratic risk, and systematic risk, as well as firm value. We focus on analyzing the interrelationships along the entire distribution of the dependent variables, thus estimating an unconditional quantile regression (UQR). The analysis is based on CSR scores from Refinitiv and MSCI, using up to 12,013 firm-year observations over the period 2002 to 2019 for all U.S. companies listed on NYSE, NASDAQ, and AMEX. UQR reveals strongly heterogeneous effects along the unconditional quantiles of the dependent variables, which are reflected in sign changes, magnitude and significance variations. For CSR we find a risk-reducing as well as value-enhancing effect. When applying fixed effects OLS, we can just partly confirm the risk-reducing and value-enhancing effect of CSR shown in the literature.
3. Heterogenous Effects of Religiosity on Firm Risk and Firm Value: An Unconditional Quantile Regression Approach: This paper examines the impact of religiosity on firm risk, comprising total risk, idiosyncratic risk, and systematic risk, as well as firm value. We focus on analyzing the interrelationships along the entire distribution of the dependent variables, thus estimating an unconditional quantile regression (UQR). The analysis is based on all U.S. companies listed on NYSE, NASDAQ, and AMEX for the period from 1980 through 2020. UQR reveals strongly heterogeneous effects along the unconditional quantiles of the dependent variables, which are reflected in sign changes, magnitude and significance variations. Overall, the risk-reducing effect of religiosity is more pronounced in the higher quantiles of the distribution. We further observe a value-reducing as well as value-enhancing religiosity effect. When applying fixed effects OLS, we can confirm the risk-reducing and non-existing value effect of religiosity shown in the literature. The robustness of our results is underpinned by a battery of additional tests.
Am 1. Juni 2016 sorgten sintflutartige Regenfälle im Landkreis Rottal-Inn für eine Hochwassersituation noch nie gekannten Ausmaßes. Innerhalb weniger Minuten entwickelten sich kleine Bäche zu reißenden Strömen und zerstörten Straßen, Häuser und Autos. Hunderte Menschen verloren an diesem Tag alles Hab und Gut, sieben Menschen sogar das Leben. Im Nachgang dieser lebensprägenden Ereignisse standen den Geschädigten die Mitarbeitenden der BRK-Fluthilfe, ein psychosoziales Nachsorgeprojekt des Bayerischen Rotes Kreuzes, rund vier Jahre lang als Ansprechpartnerinnen und Ansprechpartner für sämtliche Angelegenheiten rund um die Flutbewältigung zur Verfügung.
Die Dissertation wagt einen wissenschaftlich-empirischen Blick auf die psychischen, baulichen, finanziellen und gesellschaftlichen Aufgaben und Herausforderungen für die Betroffenen. Und fragt daran anknüpfend nach der Betreuung und Begleitung durch die BRK-Nachsorgemitarbeitenden. Im Speziellen rücken hierbei ressourcen- und beziehungsorientierte Fragestellungen in den Mittelpunkt.
Mit Hilfe 21 inhaltsanalytisch ausgewerteter (qualitativer) Betroffeneninterviews gibt sie Auskunft über bedrohte oder verloren gegangene Ressourcen, über erforderliche Ressourceninvestitionen zur Abfederung der Ressourcenverluste und über die diesbezüglichen Unterstützungsleistungen durch die BRK-Fluthilfe. Theoretisch ist die Arbeit dabei in die Ressourcenkonservierungstheorie von Stevan E. Hobfoll eingefasst. Eine beziehungsorientierte Perspektive nimmt die Arbeit ein, wenn sie die entstandenen spezifischen Beziehungskonstellationen zwischen Betroffenen und BRK-Mitarbeitenden im Zuge der langjährigen Begleitung fokussiert. Es wird auf das unterschiedliche Verständnis von Beziehungen in medizinisch-fachärztlichen und psychosozialen Kontexten verwiesen und es wird auf die wesentlichen Erfordernisse professioneller Beziehungsgestaltung eingegangen. Zugleich wird dem inhärenten Spannungsfeld der Gleichzeitigkeit professioneller und persönlicher Beziehungsrollen und der erforderlichen Balance von Nähe und Distanz Raum gegeben.
Schlussendlich soll die Arbeit einen praxisnahen, wissenschaftlich fundierten Einblick in die professionelle psychosoziale Begleitung von Hochwasserbetroffenen geben und Interessierten oder beruflich Handelnden angesichts der zunehmenden Hochwasserevents in Deutschland erste Handlungsoptionen zur Verfügung stellen.
Dieser Mantelteil gibt einen detaillierten Einblick in das Dissertationsprojekt "Der Critical Realism als Metatheorie der Internationalen Beziehungen" und die darin entwickelten zentralen Argumente. Zudem werden die im Rahmen der Dissertation veröffentlichten Einzelbeiträge vorgestellt und in den Gesamtzusammenhang des Forschungsprojekts eingeordnet.
The Nibelungenlied represents a real international setting of historic peoples: Burgundians, Saxons, Huns, Russians, Romanians and in one single line Petchenegs, a turktataric tribe of Nomads. In the 12th. and 13th.centuries Petchenegs served as borderline-warriors in the Kingdom of Hungary. Had the Compilator of the Nibelungenlied knowledge of their presence along the Hungarian Danube?
Feature binding has been proven to be a common and general mechanism underlying human information processing and action control. There is strong evidence showing that when humans perform a task, stimuli (e.g., the target, the distractor) and responses are bound together into an episodic representation, called an event file or a stimulus-response (S-R) episode, which can be retrieved upon feature repetition. As compared with the target and the distractor, the context (i.e., an additional stimulus presented together with the target and the distractor, but not associated with any response keys throughout the whole course of the task), which is considered as task-irrelevant, did not receive that much attention in previous studies. The current thesis was aimed to provide insights into the different roles the context plays in S-R binding and retrieval. Specifically, in Study One and Two, the role of context as an element that can be integrated into an S-R episode was investigated, with a focus on the saliency and the inter-trial variability of the contextual stimulus. Both properties were found to influence how the context is integrated into an S-R episode. More specifically, results show that both saliency and inter-trial variability determine whether the context is directly bound in a binary fashion with the response, or it enters in to a configural binding together with another stimulus and the response. In Study Three, intrigued by the role of context as an event segmentation factor in the event perception literature, whether the context can demarcate the integration window of an S-R episode was tested. Results provide consistent evidence that sharing a common context leads to a stronger binding between a stimulus and the response, as compared with the condition when these elements are separated by different contexts, thereby suggesting a binding principle of common context. Taken together, the current thesis specifies the role of context in S-R binding and retrieval, and sheds some light on how contextual information influences human behavior.
This dissertation uses four studies to examine the context-contingent strategic factors that are critical to the success of digital transformation strategies from the perspectives of capital markets, incumbents, and start-ups. It focuses on a better understanding of (1) digital innovations and their quantitative evaluation, (2) power disruptions in digitally servitized supply chains, (3) strategic measures and dynamics in digital B2B platform markets, and (4) strategizing by data-driven start-ups in digitalized business networks.
Digital platforms consist of technical elements such as software and hardware and associated social elements such as organizational processes and standards. When such social or technical elements seem logical individually but inconsistent when juxtaposed they form tensions. Prior research on platforms often focused on individual elements of digital platforms but neglected possible related and conflicting elements which offers limited insight about underlying tensions. While some studies on platforms considered tensions, they largely assumed that centralized platform owners being responsible for responding to tensions, neglecting collective response mechanisms in blockchain-based decentralized autonomous organizations (DAOs) where decentralized participants typically respond to tensions. The examination of tensions in the context of centralized platforms and decentralized autonomous organizations offers an opportunity to surface conflicting elements that form novel types of socio-technical tensions which require collective and technology-enabled response mechanisms. This thesis explored what tensions exist in centralized and decentralized digital platform contexts and how platform participants can respond to selected tensions. For this purpose, this thesis comprises five essays that employ multiple different research methods including interviews analyzed by using techniques of grounded theory, qualitative meta-analysis of published case studies, and systematic literature reviews. The findings derived from all five essays contribute to a better understanding of tensions in digital platforms. In particular, this thesis (1) offers a lens for analyzing platforms as collective organizations in which tensions arise at the collective meta-organizational level requiring collective responses, (2) identifies new tensions and response mechanisms related to generativity and collectivity, and (3) points to a novel category of socio-technical tensions that are especially salient in digital platforms.
Vertretung des Betriebsrats und Vertrauensschutz des Arbeitgebers bei fehlender Vertretungsmacht
(2022)
1.
Der (stellvertretende) Betriebsratsvorsitzende ist das Vertretungsorgan des Betriebsrats. Der Umfang seiner Aktivvertretungsmacht beschränkt sich auf die Abgabe von Erklärungen, die im Innenverhältnis von einem wirksamen Betriebsratsbeschluss gedeckt sind (§ 26 Abs. 2 S. 1 BetrVG). In engen Grenzen kann ihm ein Entscheidungsspielraum beim Beschlussvollzug eingeräumt werden.
Daneben ist in Einzelfällen die Vertretung des Betriebsrats durch sonstige Betriebsratsmitglieder zulässig. Die Vertretungsmacht ergibt hier aus einer Vollmacht (§ 166 Abs. 2 S. 1 BGB). Auch insoweit ist der Umfang der Aktivvertretungsmacht aber auf den Vollzug wirksamer Betriebsratsbeschlüsse beschränkt.
2.
Der Betriebsrat wird ohne Vertretungsmacht vertreten, wenn entweder eine nicht zur Vertretung befugte Person für den Betriebsrat auftritt, oder wenn eine an und für sich zur Vertretung befugte Person ihre Vertretungsmacht überschreitet.
Nicht zur Vertretung befugte Personen sind der Betriebsratsvorsitzende im Fall seiner Verhinderung, der stellvertretende Betriebsratsvorsitzende bei fehlender Verhinderung des Betriebsratsvorsitzenden und sonstige Betriebsratsmitglieder ohne Vollmacht.
Ein Überschreiten der Vertretungsmacht einer zur Vertretung befugten Person liegt vor, wenn sie eine Erklärung abgibt, die im Innenverhältnis nicht von einem wirksamen Betriebsratsbeschluss gedeckt ist. Das ist der Fall, wenn ein inhaltlich einschlägiger Betriebsratsbeschluss fehlt oder dieser Betriebsratsbeschluss nichtig ist.
3.
Ohne Vertretungsmacht abgegebene Erklärungen sind nach allgemeinen Regeln für den Betriebsrat nicht verbindlich, die entsprechenden Rechtsgeschäfte sind schwebend unwirksam, § 177 Abs. 1 BetrVG (i.V.m. § 180 S. 2 BetrVG).
Der Arbeitgeber, der sich auf die Erklärung des Betriebsrats verlässt, handelt einseitig und damit mitbestimmungswidrig.
Der Betriebsrat kann das schwebend unwirksame Rechtsgeschäft allerdings durch Betriebsratsbeschluss genehmigen; die Genehmigung wirkt grundsätzlich zurück (§ 177 Abs. 1, 184 Abs. 1, 182 BGB).
Der Betriebsratsvorsitzende, der ohne Vertretungsmacht handelt und dadurch seine Kompetenzen überschreitet, kann vom Betriebsrat abberufen werden.
Unter den Voraussetzungen des § 23 Abs. 1 BetrVG kann der Betriebsratsvorsitzende oder das ohne Vollmacht handelnde sonstige Betriebsratsmitglied aus dem Betriebsrat ausgeschlossen werden.
Auch eine Haftung gegenüber dem Arbeitgeber auf Schadensersatz kommt in Betracht, vor allem nach § 179 Abs. 1 BGB.
4.
Der Arbeitgeber, der darauf vertraut, dass die Erklärung des Betriebsrats auf einem wirksamen Betriebsratsbeschluss beruht, ist schutzwürdig.
Schutzwürdig ist der Arbeitgeber, weil der Betriebsrat seine gesetzlichen Aufgaben selbständig und eigenverantwortlich wahrnimmt; der Arbeitgeber kann und darf sich in die Amtsführung des Betriebsrats und dessen interne Willensbildung nicht einmischen. Der Arbeitgeber hat deshalb auch grundsätzlich keinen Anspruch gegen den Betriebsrat darauf, dass ihm die Vertretungsmacht nachgewiesen wird. Gleichwohl ist er auf verbindliche Erklärungen des Betriebsrats bei mitbestimmungspflichtigen Handlungen angewiesen.
5.
Der danach gebotene Vertrauensschutz des Arbeitgebers muss über eine betriebsverfassungsrechtliche Sonderlösung realisiert werden.
Eine Differenzierung nach Beteiligungsrechten, wie sie das BAG praktiziert, ist nicht veranlasst, weil hierfür kein sachlich rechtfertigender Grund gegeben ist. Die Schutzwürdigkeit des Arbeitgebers ist bei den einzelnen Beteiligungsrechten des Betriebsrats nicht grundlegend verschieden und erst Recht nicht auf bestimmte Beteiligungsrechte beschränkt.
Die Lehre von der Vertrauenshaftung kann auf den Betriebsrat zwar angewandt werden, führt aber letztlich zu keiner zufriedenstellenden Lösung:
Nach der Rechtsscheinhaftung ist der Arbeitgeber in vielen Fällen schutzlos gestellt, weil bereits kein objektiver Rechtsscheintatbestand vorliegt, auf den er sich berufen kann.
Die Vertrauenshaftung kraft widersprüchlichen Verhaltens ist von einer Interessenabwägung im Einzelfall abhängig und damit für die betriebliche Praxis wenig brauchbar.
Schließlich muss in allen Fällen geprüft werden, ob der Vertrauenstatbestand dem Betriebsrat überhaupt zurechenbar ist, andernfalls der gutgläubige Arbeitgeber keinen Schutz genießt.
Dem Arbeitgeber ist deshalb nach dem Grundsatz der vertrauensvollen Zusammenarbeit (§ 2 Abs. 1 BetrVG) absoluter Gutglaubensschutz zu gewähren. Die fehlende Vertretungsmacht des (stellvertretenden) Betriebsratsvorsitzenden oder sonstiger Betriebsratsmitglieder darf dem gutgläubigen Arbeitgeber nicht entgegengehalten werden.
6.
Gutgläubig ist der Arbeitgeber, wenn er weder Kenntnis noch grob fahrlässige Unkenntnis vom Fehlen der Vertretungsmacht hat.
Dabei ist es nicht Sache des Arbeitgebers, zu prüfen, ob der Erklärung des Betriebsrats ein wirksamer Betriebsratsbeschluss zugrunde liegt; er hat insoweit keine Nachforschungspflicht.
Tritt jedoch ein sonstiges Betriebsratsmitglied als Vertreter des Betriebsrats auf, hat der Arbeitgeber einen Anspruch darauf, dass ihm die Bevollmächtigung des Betriebsratsmitglieds nachgewiesen wird. Dem Arbeitgeber obliegt es dann, diesen Anspruch geltend zu machen; andernfalls liegt grob fahrlässige Unkenntnis vor, wenn er das Fehlen der Vertretungsmacht bei Geltendmachung des Anspruchs hätte erkennen können.
7.
Bei fehlerhaften betriebsverfassungsrechtlichen Organisationsakten wie der Wahl des Betriebsratsvorsitzenden (§ 26 Abs. 1 BetrVG) und der Ausschüsse des Betriebsrats (§§ 27 und 28 Abs. 1 BetrVG) besteht trotz Anwendung der Anfechtungslösung nach § 19 BetrVG analog ein Bedürfnis für Vertrauensschutz des Arbeitgebers.
Ergänzender Vertrauensschutz ist erforderlich und entsprechend der Rechtslage bei Geschäftsführungsbeschlüssen zu gewähren, wenn schwerwiegende und offensichtliche Gesetzverstöße zur Nichtigkeit der Organisationsakte führen, ohne dass der Arbeitgeber die Nichtigkeit erkennen kann.
This thesis investigates the quality of randomly collected data by employing a framework built on information-based complexity, a field related to the numerical analysis of abstract problems. The quality or power of gathered information is measured by its radius which is the uniform error obtainable by the best possible algorithm using it. The main aim is to present progress towards understanding the power of random information for approximation and integration problems.
In the first problem considered, information given by linear functionals is used to recover vectors, in particular from generalized ellipsoids. This is related to the approximation of diagonal operators which are important objects of study in the theory of function spaces. We obtain upper bounds on the radius of random information both in a convex and a quasi-normed setting, which extend and, in some cases, improve existing results. We conjecture and partially establish that the power of random information is subject to a dichotomy determined by the decay of the length of the semiaxes of the generalized ellipsoid.
Second, we study multivariate approximation and integration using information given by function values at sampling point sets. We obtain an asymptotic characterization of the radius of information in terms of a geometric measure of equidistribution, the distortion, which is well known in the theory of quantization of measures. This holds for isotropic Sobolev as well as Hölder and Triebel-Lizorkin spaces on bounded convex domains. We obtain that for these spaces, depending on the parameters involved, typical point sets are either asymptotically optimal or worse by a logarithmic factor, again extending and improving existing results.
Further, we study isotropic discrepancy which is related to numerical integration using linear algorithms with equal weights. In particular, we analyze the quality of lattice point sets with respect to this criterion and obtain that they are suboptimal compared to uniform random points. This is in contrast to the approximation of Sobolev functions and resolves an open question raised in the context of a possible low discrepancy construction on the two-dimensional sphere.
Blockchain technology enables the automated recording of information and execution of contract content – utilizing so-called Smart Contracts – without relying on trusted intermediaries (Beck et al., 2016). A blockchain is best described as a decentralized digital ledger (Atzori, 2015). The decentralized data storage on the blockchain makes the recorded information tamper-proof and creates transparency along the value chain. Therefore blockchain changes fundamentally the way data and information are processed (Al-Jaroodi & Mohamed, 2019; Avital et al., 2016). This has given rise to numerous use cases for blockchain in a wide range of industries.
Fundamentally, blockchain technology can be used at any time when information needs to be stored in an automated and tamper-proof manner (Crosby et al., 2016). In the financial industry, blockchain helps to automate peer-to-peer transactions. This makes middlemen obsolete, which can reduce transaction costs (Cai, 2018). In the public health sector, blockchain is primarily used for decentralized storage of patient records. By using blockchain technology, these patient records are secured against manipulation and unauthorized access by third parties (Mettler, 2016). Another interesting use case can be seen in the electricity market. Blockchain technology makes it possible to integrate micro producers of electricity, such as private households, into the power grid in a cost-efficient way (Cheng et al., 2017). However, blockchain technology also offers several applications in the creative industries to support the daily work of professionals.
The term creative industries encompasses industries and sectors which hold intellectual property at the core of their value creation (Caves, 2000). According to DCMS (1998),creative industries include not only classic art sectors such as fine art, painting or crafting, but also areas such as marketing, game developing, film and video or music. As the main drivers of innovation, the creative industries have a steadily increasing influence on the overall economic impact. Often, ideas, products and services from the creative industries ultimately flow into other areas, such as the automotive sector, and support them in achieving their entrepreneurial goals (Banks, 2010; Jones et al., 2004). In order to continuously maintain the position as an innovation driver, a certain form of organization has prevailed in the creative industries.
For the creative industries to react flexibly to new requirements and a constantly changing environment, work is usually carried out as project-based (DeFillippi, 2015). For this purpose, the teams of the project-based organization are predominantly formed using freelancers who are specialists in the required field. As a result, many recurring organizational activities arise, such as contracting, team finding or onboarding (DeFillippi, 2015; Eikhof & Haunschild, 2006). Therefore, professionals from the creative industries have to spend significant time on activities that do not serve their core task of creating intellectual property. These tasks not only reduce the efficiency of their work, but also hinder their creative flow (Foord, 2009; Hennekam & Bennett, 2016). In this regard, blockchain represents a promising technology to support professionals in the creative industries.
For the creative industries, blockchain is primarily used to automate formal processes and secure intellectual property rights (O’Dair, 2018). Blockchain technology enables artists and creatives more freedom for their own creative activities. By automating repetitive activities, professionals from the creative industries are freed from typical management tasks (Arcos, 2018; Cong & He, 2019). Furthermore, for the first time, intellectual property can be secured in a cost- and time-efficient way by utilizing blockchain technology. This is made possible by the decentralized nature of the blockchain, which makes subsequent manipulation of the contents of the intellectual property impossible (Avital et al., 2016; Beck et al., 2016; Regner et al., 2019). Ultimately, the use of so-called Non-Fungible Tokens (NFTs) create the opportunity for artists and creatives to sell unique digital art (Regner et al., 2019). Thus, blockchain generates entirely new ways for creative industries to organize their projects and opens new markets to sell their work. While several use cases of blockchain technology can be identified in the creative industries, the widespread use of blockchain is still lacking.
So far, no Blockchain service or blockchain application has managed to take a dominant market position in the creative industries. At first sight, this seems surprising since artists and creatives could fundamentally benefit from this technology. At the same time, professionals from the creative industries would not be dependent on middlemen or central entities. This circumstance gave the impulse for the research presented in this thesis. I was able to identify that professionals from the creative industries are still underutilizing blockchain technology for three main reasons: (1) When using blockchain technology, professionals from the creative industries experience strong resistance from their stakeholders, who want to prevent the use of blockchain. (2) The perceived constraints by artists and creatives in using blockchain still deter many from using this technology extensively. (3) Several blockchain applications lack a persuasive design, resulting in many artists and creatives continue to prefer conventional services and products.
Die Dissertation untersucht die mediale Gegenwart der traditionell als ‹privat›, bzw. ‹intim› semantisierten Begriffe von Liebe und Familie und unternimmt im Anschluss an eine soziologische Grundlagenbildung und Konzeptabgrenzung den Versuch einer Bestandsaufnahme des Kommunikationsinventars von Liebe innerhalb eines bestimmten zeitlichen, kulturellen und medialen Rahmens.
Als Untersuchungsgrundlage dienen deutsche Filme, die zwischen 2000 und 2015 auf den Markt kamen. Konkret stehen (romantische) Komödien, Liebes- und Familienfilme im Fokus, wobei an mehreren Stellen der Arbeit ein Bezug zu Beispielen aus anderen Genres hergestellt wird.
Filme werden dabei im Sinne eines mediensemiotischen Ansatzes als Wirklichkeitskonstruktionen verstanden, denen jeweils spezifische Regeln, Normen und Werte eingeschrieben sind.
Im Falle von Liebes- und Familienfilmen werden diese durch die Vermittlung konkreter Beziehungskonstellationen verhandelt. Insbesondere im finalen Happy End etablieren Filme einen Idealzustand, der sowohl abbildet, welche Verhaltensweisen und Figurenmerkmale als etwas ‹Gewünschtes› zu verstehen sind, als auch aufzeigt, was als ‹unerwünscht› und ‹sanktionswürdig› betrachtet werden muss. Die Rekonstruktion genau dieser den Filmen inhärenten Werteapparate ist das zentrale Anliegen der Arbeit.
Aus ihnen lässt sich vergleichbar mit einem Seismographen das dominante Wissen der deutschen Kultur über Liebe und Familie ableiten. Die Studie hat folglich zum Ziel, eventuelle Strömungen und Tendenzen im deutschen Liebesfilm des beginnenden 21. Jahrhunderts zu identifizieren und diese auf ihre Übertragbarkeit in andere Genres zu hinterfragen. Hierdurch kann gezeigt werden, welches Inventar an Kommunikationsmitteln über Liebe im deutschen Kulturkontext als normiert und mainstreamfähig gilt.
Die Dissertation untersucht die Inszenierung und Funktionalisierung literarischer Körperlichkeitskonzepte im Gesamtwerk des Schriftstellers Alexander Moritz Frey. Dafür bedient sich die Arbeit eines literatursemiotischen Untersuchungsansatzes. Die literarische Ausgestaltung kultureller Norm- und Wertvorstellungen wird in Hinblick auf Körperkonventionen analysiert und es wird untersucht, wo die jeweiligen historisch variablen Grenzen von Normkonformität und Abweichung liegen. Unter Berücksichtigung körpersemantischer Aspekte wird betrachtet, ob dabei optional-variable oder irreversible Grenzziehungen vorgenommen werden. Die Arbeit entwickelt ein Analyseraster für Körperlichkeit im Erzähltext und betrachtet dafür den Körper in seiner determinierten Materialität, seiner kulturellen Ausgestaltung sowie als Imaginationsraum unterschiedlicher Körperkonzepte. Das Projekt hat darüber hinaus die literaturwissenschaftliche Wiederentdeckung des Autors Alexander Moritz Frey zum Ziel.
The generalization of univariate splines to higher dimensions is not straightforward. There are different approaches, each with its own advantages and drawbacks. A promising approach using Delaunay configurations and simplex splines is due to Neamtu.
After recalling fundamentals of univariate splines, simplex splines, and the wellknown, multivariate DMS-splines, we address Neamtu’s DCB-splines. He defined two variants that we refer to as the nonpooled and the pooled approach, respectively. Regarding these spline spaces, we contribute the following results.
We prove that, under suitable assumptions on the knot set, both variants exhibit the local finiteness property, i.e., these spline spaces are locally finite-dimensional and at each point only a finite number of basis candidate functions have a nonzero value. Additionally, we establish a criterion guaranteeing these properties within a compact region under mitigated assumptions.
Moreover, we show that the knot insertion process known from univariate splines does not work for DCB-splines and reason why this behavior is inherent to these spline spaces. Furthermore, we provide a necessary criterion for the knot insertion property to hold true for a specific inserted knot. This criterion is also sufficient for bivariate, nonpooled DCB-splines of degrees zero and one. Numerical experiments suggest that the sufficiency also holds true for arbitrary spline degrees.
Univariate functions can be approximated in terms of splines using the Schoenberg operator, where the approximation error decreases quadratically as the maximum distance between consecutive knots is reduced. We show that the Schoenberg operator can be defined analogously for both variants of DCB-splines with a similar error bound.
Additionally, we provide a counterexample showing that the basis candidate functions of nonpooled DCB-splines are not necessarily linearly independent, contrary to earlier statements in the literature. In particular, this implies that the corresponding functions are not a basis for the space of nonpooled DCB-splines.
Data is an important resource in our economy and society, substantially improving overall business efficiency, innovativeness and competitiveness, and shaping our everyday lives. Yet, to leverage the data's full potential, its access and availability is vital. Thus, data sharing across organizations is of particular importance. This thesis examines the role of data sharing in the digital economy and contributes to a better understanding why data sharing matters, why it is still underutilized, and how data sharing can be encouraged. Thereby, the thesis contributes to the ongoing academic debate as well as the practical and political efforts on how to promote data sharing.
The thesis is comprised of three studies. Study 1 examines personal data sharing among (competing) online services. Particularly, it investigates the consequences of Article 20 in the General Data Protection Regulation (GDPR, May 2018), ensuring the right to data portability. This relatively new right allows online service users to transfer any personal data from one service provider to another. Focusing on a) the amount of data provided by users and b) the amount of user data disclosed to third party data brokers by service providers, the study investigates the right to data portability's effect on competitiveness and consumer surplus. Study 2 and Study 3 focus on non-personal data sharing among competing firms. Study 2 examines the literature to identify and classify barriers to non-personal, machine-generated data sharing. The study explains firms' reluctance to sharing data and discusses policy and managerial implications for overcoming the data sharing barriers. Study 3 focuses on data sharing via platforms. It investigates the Business-to-Business (B2B) data sharing platform design implications for promoting industrial data sharing. In particular, Study 3 investigates the dimensions control and transparency regarding their effect in eliciting cooperation and encouraging data sharing among firms.
In summary, this thesis examines and reveals how access and availability of data can be increased through creating beneficial data sharing conditions in B2B relationships. Particularly, the thesis contributes to the understanding of a) the implications of data sharing laws, defined in the GDPR for personal data and b) the challenges and measures of the not yet successfully established, non-personal data sharing.
Reflexionsfähigkeit zu schulen, gilt als wichtiges Ziel der Lehrkräftebildung. Die Frage nach Befunden zur Ausprägung von Reflexionsfähigkeit bei Studierenden, deren Förderbarkeit und Wirkung steht deshalb im Zentrum des Interesses vieler Forschungsbemühungen, die allerdings mit dem Problem der schwierigen Messbarkeit von Reflexion und Mängeln bestehender Messmethoden hinsichtlich der Gütekriterien konfrontiert sind.
Davon ausgehend überprüft die vorliegende Studie in einem Mixed-Methods-Ansatz die Validität eines häufig eingesetzten Verfahrens zur Messung von Reflexion, nämlich die qualitative Inhaltsanalyse studentischer Reflexionstexte mithilfe des Stufenmodells von Hatton und Smith (1995). Dabei wird zwei Forschungsfragen nachgegangen: 1. Inwiefern wird das Ergebnis der Messung vom Reflexionsanlass in der Aufgabenstellung beeinflusst? 2. Welchen Einfluss haben verschiedene weitere Faktoren, die bisher selten oder nie kontrolliert wurden, auf das Messergebnis? Untersucht werden situationale Faktoren wie aufgabenbezogene Motivation bzw. wahrgenommener Nutzen der Aufgabe sowie das Verständnis des Begriffs Reflexion und verschiedene Persönlichkeitsmerkmale.
Lehramtsstudierende im Praktikum erhielten in einem Between-Subjects-Design drei verschiedene Reflexionsaufgaben, die sich im Grad des persönlichen Bezugs zum Reflexionsanlass unterschieden. Zu diesen verfassten sie reflektierende Texte und füllten im Anschluss einen Online-Fragebogen aus, der die zu untersuchenden weiteren Einflussfaktoren erhob. Die Ergebnisse der qualitativen Textanalyse wurden in zwei unterschiedliche quantitative Reflexionsmaße überführt und mit den Fragebogendaten trianguliert.
Die Aufgabenstellung hatte sowohl einen Einfluss auf die Reflexionsleistung als auch auf weitere qualitative Aspekte der Reflexionstexte. Die Reflexionsleistung zeigte sich unabhängig von den gemessenen Persönlichkeitsmerkmalen und der aufgabenbezogenen Motivation, wurde aber vom Grad der wahrgenommenen Nützlichkeit prädiziert, die der Aufgabe zugeschrieben wurde. Die Studierenden zeigten ein sehr stark divergierendes Verständnis des Begriffs Reflexion, welches sich auch in den Texten niederschlug. Innerhalb des Studiendesigns und der Forschungsfragen lieferte die qualitative Inhaltsanalyse mit dem Stufenschema von Hatton und Smith (1995) plausible Ergebnisse, die Validität des Verfahrens wird aber von den Studienergebnissen zumindest teilweise in Frage gestellt.
Auf die Aufgabenstellung und die Identifikation möglicher einflussnehmender Drittvariablen muss bei der Messung von Reflexionsleistungen zukünftig noch mehr Aufmerksamkeit gerichtet werden. Die Suche nach einem Verfahren zur Messung von Reflexion, das die Gütekriterien zufriedenstellend erfüllt, stellt weiterhin ein Forschungsdesiderat dar.
Bei landwirtschaftlichen Betriebsübergaben auf die nachfolgende Generation wird der übergebenden Partei als Gegenleistung oftmals ein lebenslanges Wohnrecht auf dem übertragenen Hof gewährt. Die Modalitäten einer derartigen landwirtschaftlichen Betriebsübergabe werden typischerweise in notariell beurkundeten Verträgen geregelt. Mit Hilfe dieser Verträge lassen sich bereits viele Probleme des lebenslangen Wohnrechts regeln. Aufgrund der ständigen Dynamik im Leben der Menschen und des lebenslangen Charakters des lebenslangen Wohnrechts ist es aber wahrscheinlich, dass immer wieder Konstellationen und Ereignisse eintreten, die nicht vertraglich geregelt wurden - vielleicht auch nicht vorhersehbar waren - und trotzdem durch das eingeräumte Recht beeinflusst werden oder mit diesem in Berührung kommen.
Ein unvorhergesehenes Ereignis im Leben kann das Scheitern einer Beziehung zwischen zwei Personen sein. Gerade in Fällen der Ehescheidung kann - sofern auch keine weiteren ehevertraglichen Regelungen vorhanden sind - ein lebenslanges Wohnungsrecht aus einer vorhergehenden Betriebsübergabe zu komplizierten rechtlichen Fallkonstellationen führen. Hat die betriebsübernehmende Partei die mit einem lebenslangen Wohnrecht belastete Immobilie beispielsweise nach Eingehung der Ehe mit Rücksicht auf ein künftiges Erbrecht erworben und wird die Ehe nach der Übertragung der Immobilie geschieden, so stellt sich nämlich die Frage, ob und inwieweit die Immobilie mit dem lebenslangen Wohnrecht im Zugewinnausgleich zu berücksichtigen ist. Aber nicht nur die Immobilie selbst kann hier den Zugewinn beeinflussen. Da das Wohnrecht lebenslang eingeräumt wurde, stellt sich auch die Frage, ob und inwieweit das zunehmende Alter der Wohnrechtsbegünstigten den Wert von Wohnrecht und Immobilie beeinflusst. Eine fortlaufende altersbedingte Wertabnahme des Wohnrechts könnte einen Vermögenszuwachs beim geschiedenen Ehegatten hervorrufen und damit Auswirkungen auf den Zugewinn haben. Dieses Problem wird mit dem Begriff „gleitender Vermögenserwerb“ umschrieben.
Gerade mit dem Problem des gleitenden Vermögenserwerbs setzt sich die Dissertation auseinander und überprüft die materiellen und verfahrensrechtlichen Konsequenzen einer lebenslangen Belastung an Immobilien im Zugewinnausgleich. Dabei werden auch die unterschiedlichen Arten von Nutzungsrechten und Leistungspflichten betrachtet, mit denen die Immobilie belastet ist oder die als Ausgleichsleistung für die Immobilienübertragung erbracht werden. Der Umfang der Dissertation wird hierbei auf die Nutzungsrechte und Leistungspflichten mit Bezug zum Recht auf Wohnen und Lebensunterhalt begrenzt. Die Problematik des gleitenden Vermögenserwerbs wird an Fällen dargestellt, in denen die Ehe durch Ehescheidung beendet wurde.
Over the last decades, ongoing advancements in information technology (i.e., Internet and mobile devices) have expanded a firm’s ability to communicate and interact with consumers and hence, create the potential of building sustainable relationships. Tailoring offerings through (1) consumer-initiated customization and (2) firm-initiated personalization is considered a key driver of long-term consumer relationships. As technologies continue to evolve, the opportunities for tailored marketing expand and enable new technology-driven business models that help to leverage customization and personalization and strengthen customer relationships in the era of the digital economy.
Across three independent essays, the purpose of this dissertation is to answer the overarching research question of how innovative technology-driven business models versus traditional business models in the domains of customization and personalization influence consumer behavior. Thereby, this dissertation contributes to an understanding of challenges and opportunities of innovative customization and personalization business models with the ultimate goal of enabling their successful diffusion in the marketplace.
Specifically, in Essay 1 and Essay 2, I investigate an innovative business model located in the realm of customization, that is, internal product upgrades (i.e., offering fee-based access to originally built-in, but deliberately restricted, optional features). Using a conceptual approach, Essay 1 provides a framework for understanding how internal product upgrades will likely influence consumers’ responses. As such, it outlines evolving challenges and opportunities of internal product upgrades and derives questions for future research. In Essay 2, I use an empirical approach to examine pitfalls of internal product upgrades in the product usage phase. Drawing on research on normative expectations and perceived ownership, this essay reveals that consumers respond less favorably to internal (vs. external) product upgrades and investigates managerially relevant boundary conditions.
Finally, Essay 3 creates novel insights into a business model in the domain of personalization. This essay examines how the increasingly prevalent data disclosure practice of firms engaging in a network with other firms to exchange consumer data, which we denote as Business Network Data Exchange (BNDE), influences consumers’ privacy-related decision-making. In particular, this essay shows that consumers are less likely to disclose personal data in BNDE (vs. traditional dyadic) data exchange settings and that immediate affective reactions are crucial in explaining consumers’ privacy-related decision-making.
Within this dissertation, I make substantial contributions at a more general level to literature on customization and personalization by comparing innovative business models to established ones. At the individual essay level, I extend existing research in the domains of product feature modifications, norm violations, and privacy-related decision making. Moreover, this dissertation provides actionable implications for managers who are facing the decision to transform their established business model into an innovative technology-driven one.
Forschungsfrage:
Im Zentrum der Forschungsbemühungen steht die Lehrerpersönlichkeit, welche durch die Selbstwirksamkeit als Eigenschaft beschrieben werden soll.
Methodik:
Als Methode wird die qualitative Analyse der Hermeneutik verwendet. Dabei werden Begriffe und Modelle zur Lehrerpersönlichkeit und Selbstwirksamkeit erläutert und in ihrer Bedeutung für das pädagogische Handeln erschlossen.
Ergebnis:
Selbstwirksamkeit ist eine unbedingt notwendige persönliche Ressource, die regulierend auf kognitive, emotionale, motivationale und selektive Prozesse einwirkt und Entwicklungsprozesse unterstützt. Dennoch sind der Selbstwirksamkeit Grenzen gesetzt, so dass diese nicht als hinreichend für die Beschreibung der gesamten Lehrerpersönlichkeit angesehen werden kann. Wie die zunehmende Beanspruchung auf die Lehrerpersönlichkeit wirkt, wird durch die Belastungsforschung dargelegt. Abgesehen von begrifflichen Kontroversen ist die berufliche Selbstwirksamkeit entscheidend für die Bewältigung schwieriger Situationen. Auch in der Lehrerbildung wird die Bedeutung der Lehrerselbstwirksamkeit hervorgehoben. Neben Einflussmöglichkeiten im schulischen Rahmen stehen Ansatzpunkte im Mittelpunkt, die bei der Lehrerpersönlichkeit ansetzen und durch sie aktiv unterstützt werden können. Zudem wird versucht, aus dem Erkenntnisgewinn Konsequenzen für die Rekrutierung und Ausbildung der Lehramtsstudenten abzuleiten und bildungspolitische Ansprüche zu formulieren, da ein gewisses Maß an Selbstwirksamkeit zu den Mindestvoraussetzungen für den beruflichen Erfolgt gehört.
Network communication has become a part of everyday life, and the interconnection among devices and people will increase even more in the future. A new area where this development is on the rise is the field of connected vehicles. It is especially useful for automated vehicles in order to connect the vehicles with other road users or cloud services. In particular for the latter it is beneficial to establish a mobile network connection, as it is already widely used and no additional infrastructure is needed. With the use of network communication, certain requirements come along.
One of them is the reliability of the connection. Certain Quality of Service (QoS) parameters need to be met. In case of degraded QoS, according to the SAE level specification, a downgrade of the automated system can be required, which may lead to a takeover maneuver, in which control is returned back to the driver. Since such a handover takes time, prediction is necessary to forecast the network quality for the next few seconds. Prediction of QoS parameters, especially in terms of Throughput (TP) and Latency (LA), is still a challenging task, as the wireless transmission properties of a moving mobile network connection are undergoing fluctuation. In this thesis, a new approach for prediction Network Quality Parameters (NQPs) on Transmission Control Protocol (TCP) level is presented. It combines the knowledge of the environment with the low level parameters of the mobile network. The aim of this work is to perform a comprehensive study of various models including both Location Smoothing (LS) grid maps and Learning Based (LB) regression ones. Moreover, the possibility of using the location independence of a model as well as suitability for automated driving is evaluated.
Die Untersuchung analysiert und vergleicht aus der Perspektive der theologischen Ethik den wirtschaftsethischen Ansatz von Karl Homann und ausgewählte Texte des Matthäusevangeliums im Hinblick auf die Handlungswirksamkeit von Sollensforderungen. Die Arbeit geht der konkreten Frage nach, inwiefern eine moderne Wirtschaftsethik an ein biblisches Ethos anschlussfähig ist, aber auch: wo Grenzen der Anschlussfähigkeit erreicht sind. Aus dem Forschungsinteresse wird eine weitere Frage abgeleitet, die ebenfalls untersucht wird: Welchen Beitrag kann eine ethische Perspektive auf narrative Texte des Matthäusevangeliums zur wirtschaftsethischen Fragestellung leisten: Wie wird Moral handlungswirksam?
Auf der Grundlage einer narrativen Textanalyse werden das Gleichnis von den zehn Mädchen (Mt 25,1-13), das Gleichnis von den anvertrauten Geldern (Mt 25,14-30) und die Textsequenz vom Weltgericht (Mt 25,31-46) untersucht. Vor dem Hintergrund der Erzähltextanalyse werden die drei Texteinheiten aus ethischer Perspektive betrachtet.
Die Arbeit ist zu dem Ergebnis gekommen, dass zwischen Homanns wirtschaftsethischer Konzeption und der vom Verfasser gewählten ethischen Perspektive auf das Matthäusevangelium Entsprechungen bezüglich der Handlungswirksamkeit von Sollensforderungen bestehen. Näherhin hat die Arbeit Parallelen hinsichtlich der Anreizkompatibilität moralischer Normen, der Rehabilitierung des Eigennutzstrebens und der Zweistufigen Ethik aufgezeigt, an denen ein Dialog zwischen theologischer Ethik und deutschsprachiger Wirtschaftsethik anknüpfen und die dargestellten Inhalte vertiefen kann. Der Dialog hat jedoch ein angemessenes Verständnis dieser Parallelen zu beachten: Sie sind als Analogien zu verstehen, und zwar insbesondere aus zwei Gründen. Zum einen gilt es, den unterschiedlichen Typus der ethischen Argumentation zu beachten, und zum anderen den Unterschied zwischen einem biblischen Ethos auf Mikro- und Mesoebene und einer normativen Ethik auf Makroebene.
A firm's entrepreneurial orientation (EO) is its propensity to act proactively, innovate, take risks, and engage in competitive and autonomous behaviors. Prior research shows that EO is an im-portant factor for new ventures to overcome barriers to survival and fostering growth, measured by annual sales and employment growth rates. In particular, individual-level EO (IEO) is an important driver of a firm’s EO. The firm’s ability to exploit opportunities appearing in the mar-ket and to achieve superior performance depends on the employees’ skills and experiences to act and think entrepreneurially. The main objective of this dissertation is to investigate how and when employees engage in entrepreneurial behaviors at work. Building on three essays, this dissertation takes an interdisciplinary approach to employee entrepreneurial behaviors in new ventures, encompassing both entrepreneurship and gamification research. The first main contri-bution proposed in this field is a more nuanced understanding of how employee entrepreneurial behaviors help young firms cope with growth-related, organization-transforming challenges (i.e., changes in organizational culture that accompany growth, the introduction of hierarchical structures, and the formalization of processes). When new ventures grow, employees’ IEO tends to manifest in introducing technological innovations and business improvements rather than in actions related to risk-taking. Second, this dissertation reveals the relevance of self-efficacy for entrepreneurial behaviors and explores how gamification can enhance employee entrepreneurial behaviors in new ventures. Based on these findings, this dissertation contributes to EO research by highlighting the role of IEO as a building block for EO pervasiveness. This research further develops our knowledge on the use of gamification in new ventures. This cu-mulative dissertation is structured as follows. Part A is an introduction to the study of entrepre-neurial behaviors. Part B contains the three essays.
Germany is considered a role model for dealing with past mass atrocities. In particular, the social reappraisal of the Holocaust is emblematic of this. However, when considering the genocide on the Herero and Nama in present-day Namibia, it is puzzling that an official recognition was only pronounced after almost 120 years, in May 2021. For a long time, silence surrounded this colonial cruelty in German political discourse. Although the discourse on German responsibility toward Namibia emerged after the end of World War II, it initially appeared detached from the genocide. That silence on colonial atrocities is to be considered a cruelty itself. Studies on silence have been expanding and becoming richer. Building on these works, the paper sets two goals: First, it advances the theorization of silence by producing a new typology, which is then integrated into discourse-bound identity theory. Second, it applies this theory to the analysis of the silencing and later acknowledging of the genocide on the Herero and Nama by German political elites. To this end, Bundestag debates, official documents, and statements by relevant political actors are analyzed in the period from 1980 to 2021. The results reveal the dynamics between hegemonic and counter-hegemonic discursive formations, how those are shifting in a period of 40 years, and what role silence plays in it. Beyond our emphasis on the genocide on the Herero and Nama, our findings might benefit future studies as the approach proposed in this paper can make silence a tangible research object for global studies.
Natural Language Processing has an important role in Artificial Intelligence for easing human-machine interaction. Processing human language, though, poses many challenges, among which is the semantics-related phenomenon known as language variability, the fact that the same thing can be said in several ways. NLP applications' inputs and outputs can be expressed in different forms, whose equivalence can be verified through inference. The textual entailment paradigm was established to enable the creation of a unifying framework for applied inference, providing a means of delivering other NLP task from handling inference issues in an ad-hoc manner, using instead the outputs of an inference-dedicated mechanism.
Text entailment, the task of determining whether a piece of text logically follows from another piece of text, involves different scenarios, which can range from a simple syntactic variation to more complex semantic relationships between sentences. However, most approaches try a one-size-fits-all solution that usually favors some scenario to the detriment of another. The commonsense world knowledge necessary to support more complex inferences is also usually employed in a limited way, with most approaches sticking to shallow semantic information, leaving more elaborate semantic relationships aside. Furthermore, most systems still work as a "black box", providing a yes/no answer that does not explain the underlying reasoning process.
This thesis aims at addressing these issues by proposing a composite interpretable approach for recognizing text entailment where the entailment pair is analyzed so the most relevant phenomenon is detected and the suitable method can be used to solve it. Syntactic variations are dealt with through the analysis of the sentences' syntactic structures, and semantic relationships are detected with the aid of a knowledge graph built from natural language dictionary definitions. Also, if a semantic matching is involved, the answer is made interpretable through the generation of natural language justifications that explain the semantic relationship between the pieces of text. The result is the XTE - Explainable Text Entailment - a system that outperforms well-established tools based on single-technique entailment algorithms, and that also gives an important step towards Explainable AI, allowing the inference model interpretation, making the semantic reasoning process explicit and understandable.
Programming is a key skill in a world where businesses are driven by digital transformations. Although many of the programming demand can be addressed by a simple set of instructions composing libraries and services available in the web, non-technical professionals, such as domain experts and analysts, are still unable to construct their own programs due to the intrinsic complexity of coding. Among other types of end-user development, natural language programming has emerged to allow users to program without the formalism of traditional programming languages, where a tailored semantic parser can translate a natural language utterance to a formal command representation able to be processed by a computational machine. Currently, semantic parsers are typically built on the top of a learning method that defines its behaviours based on the patterns behind a large training data, whose production frequently are costly and time-consuming. Our research is devoted to study and propose a semantic parser for natural language commands targeting a scenario with low availability of training data. Our proposed semantic parser follows a multi-component architecture, composed of a specialised shallow parser that associates natural language commands to predicate-argument structures, integrated to a distributional ranking model that matches the command to a function signature available from an API knowledge base. Systems developed with statistical learning models and complex linguistics resources, as the proposed semantic parser, do not provide natively an easy way to associate a single feature from the input data to the impact in system behaviour. In this scenario, end-user explanations for intelligent systems has become a strong requirement to increase user confidence and system literacy. Thus, our research designed an explanation model for the proposed semantic parser that fits the heterogeneity of its multi-component architecture. The explanation model explores a hierarchical representation in an increasing degree of technical depth, providing higher-level explanations in the initial layers, going gradually to those that demand technical knowledge, applying different explanation strategies to better express the approach behind each component. With the support of a user-centred experiment, we compared the utility of different types of explanations and the impact of background knowledge in their preferences.
In this thesis we consider real analytic functions, i.e. functions which can be described locally as convergent power series and ask the following: Which real analytic functions definable in R_{an,exp} have a holomorphic extension which is again definable in R_{an,exp}? Finding a holomorphic extension is of course not difficult simply by power series expansion. The difficulty is to construct it in a definably way.
We will not answer the question above completely, but introduce a large non trivial class of definable functions in R_{an,exp} where for example functions which are iterated compositions from either side of globally subanalytic functions and the global logarithm are contained. We call them restricted log-exp-analytic. After giving some preliminary results like preparation theorems and Tamm's Theorem for this class of functions we are able to show that real analytic restricted log-exp-analytic functions have a holomorphic extension which is again restricted log-exp-analytic.
Die gesetzlichen Formen bilden einen praxisrelevanten Teilbereich der Rechtswissenschaft, über den in der Vergangenheit wenig diskutiert wurde. Die Einführung der Textform und der elektronischen Form im Jahr 2001 und die Verabschiedung des DiRUG verdeutlichen, dass die Digitalisierung auch vor den Formen des deutschen Rechtssystems keinen Halt macht.
In dieser Dissertation wird die Entwicklung der Formen im Zuge der Digitalisierung aufgearbeitet. Dafür werden die papiergebundenen Formen und die digitalen Formen nach demselben Schema und unter denselben inhaltlichen Gesichtspunkten untersucht und chronologisch dargestellt. Hierdurch werden die Gemeinsamkeiten und Unterschiede systematisch herausgearbeitet. Besonderer Fokus liegt dabei auf den Formwirkungen sowie der Wirkungsäquivalenz von digitalen Formen und ihrem jeweiligen papiergebundenen Pendant. Zudem werden die digitalen notariellen Formen im Sinne des DiRUG in das altbekannte System der gesetzlichen Formen eingeordnet.
Nach den Untersuchungen ist festzuhalten, dass die elektronische Form mittlerweile hinreichend wirkungsäquivalent im Vergleich zur Schriftform ist, auch hinsichtlich der Warnwirkung, die vom deutschen Gesetzgeber bisher noch anders beurteilt wird. Die digitale öffentliche Beglaubigung und die digitale notarielle Beurkundung im Sinne des DiRUG sind ebenfalls hinreichend gleichwertig im Vergleich zu ihrem jeweiligen papiergebundenen Äquivalent. Aus dem Grund wird sich in dieser Dissertation dafür ausgesprochen, den Anwendungsbereich der digitalen Formen entsprechend ihrer Wirkungsäquivalenz in Zukunft zu erweitern.
Insgesamt ist die Digitalisierung der gesetzlichen Formen begrüßenswert und ein Schritt in die richtige Richtung.
Noise in schools is considered a massive stress factor for teachers because of various reasons and can therefore lead to performance deficits in the job, but also to physical and psychological impairments. Consequently, research on school noise and its effects is essential. The three studies presented in this paper examined the immediate effects of noise on student teachers and the collateral effects on practicing teachers.
In the first and second study, two experiments were conducted to examine the effects of noise during breaks on stress experience, performance in a concentration test, and error correction of a dictation. Based on the transactional stress model (Lazarus & Folkman, 1984), it was hypothesized that noise leads to an increase in stress experience. According to the maximal adaptability theory (Hancock & Warm, 1989, 2003), noise should initially cause optimal performance, but in the long run should cause performance impairment. For this purpose, in the first study 74 and in the second study 104 student teachers of the University of Passau worked on two different concentration tests and corrected a student’s dictation while listening to short, continuous, or no noise. In both experiments, continuous noise led to an increase in the experience of stress. Neither short nor continuous noise led to a deterioration in concentration performance. Further, different findings emerged: In the first experiment, a short concentration test in combination with continuous noise led to positive effects in dictation correction, i.e., subjects showed better performance in error correction. In the second experiment, a long concentration test combined with short or continuous noise resulted in negative effects, i.e., subjects made more errors in the subsequent correction of dictation. It can be concluded that school noise can, on the one hand, increase the experience of stress and, on the other hand, promote or limit teachers’ subsequent performance. The latest, however, seems to depend on the specific situation of the individual.
In the first part of the third study, the focus was on teachers’ coping styles and experienced stress. Since coping styles have been shown to have a major impact on mental health, it was reasonable to assume that the stress experience caused by noise would vary depending on the coping style. Based on the stress-strain model (Rudow, 2000) and the transactional stress model (Lazarus & Folkman, 1984), it was hypothesized that teachers with risky coping styles experience more stress symptoms. Therefore, an online study was conducted to investigate whether there were differences in psychological and physical symptoms between teachers with different coping styles. For this purpose, 99 Bavarian elementary and middle school teachers were surveyed. Four professional coping styles resulted from the overarching scales of professional commitment and resilience. The healthy type (high commitment, high resilience), the unambitious type (low commitment, high resilience), type A (high commitment, low resilience), and type burnout (low commitment, low resilience) differed in terms of threat appraisal, noise stress, voice and hearing problems, and noise-related burnout. Compared to the healthy type, the risk types − type A and type burnout − exhibited higher stress experience and were generally more susceptible to school noise than the healthy type. This is the first study to show that school noise is particularly hazardous for teachers with risky coping styles.
The second part of the third study focused on the impact pathways of school noise. Associations between teachers’ individual characteristics and the consequences of school noise were hypothesized. Based on the simplified model of teacher stress (van Dick & Wagner, 2001), we examined 159 Bavarian elementary and middle school teachers to determine whether noise stress and vocal fatigue mediate the association between noise sensitivity and noise-related burnout. Results indicated that noise stress mediated the relationship between noise sensitivity and vocal fatigue; vocal fatigue mediated the relationship between noise stress and noise-related burnout; noise stress and vocal fatigue serially mediated the relationship between noise sensitivity and noise-related burnout. This is the first study to show links between noise-sensitive teachers and noise stress, voice problems, and noise-related burnout.
Network virtualization provides high flexibility for deploying communication services in dense and heterogeneous environments. Two main approaches (dimensions) that are usually combined exist: Network Function Virtualization (NFV) technologies for functionality virtualization and Virtual Network Embedding (VNE) algorithms for resource virtualization. These approaches can be applied to different network levels, such as factory and enterprise levels of industrial networks. Several objectives and constraints, that might be conflicting, shall be considered when network virtualization is applied, mainly in complex topologies. This thesis proposes a network virtualization model that considers both virtualization dimensions, two network levels, and different objectives and constraints. The network levels considered are two primary levels in industrial networks. However, this consideration does not restrict the model to a particular environment or certain levels. The considered objectivities/constraints are topology, reliability, security, performance, and resource usage.
Based on this model, we first build an overall combined solution for autonomic and composite virtual networking. This solution considers both virtualization dimensions, two network levels, and target objectives. Furthermore, this solution combines three novel virtualization sub-approaches that consider performance, reliability, and performance. However, the sub-approaches apply to different combinations of levels and dimensions, and the reliability approach additionally considers the resource usage objective. After presenting all solutions, we map them to the defined model.
Regarding applicability to industrial networks, the combined approach is applied to an enterprise-level Industrial Internet of Things (IIoT) use case inspired by the smart factory concept in Industry 4.0. However, the sub-approaches are applied to more specific use cases. The performance and reliability solutions are integrated with relevant components of the Time Sensitive Networks (TSN) standard as a modern technology for industrial networks. The goal is to enrich the reliability and performance capabilities of TSN with the flexibility of network virtualization.
In the combined approach, we compose and embed an environment-aware Extended Virtual Network (EVN) that represents the physical devices, virtual application functions, and required Service Function Chains (SFCs). We use the graph transformation method to transform abstract application requirements (represented by an Application Request (AR)) into an EVN. Both EVN composition and embedding methods consider the Substrate Network (SN) topology and different security, reliability, performance, and resource usage policies. These policies are applied with a certain priority and depend on the properties of communicating entities such as location and type. The EVN is embedded using property-based node mapping, reliability-aware branching, and a greedy chain embedding heuristic. The chain embedding heuristic is evaluated using a random topology that represents the use case.
The performance sub-approach is NFV-based and is applied to a specific use case with Time-critical Traffic (TCT) flows. We develop and evaluate a complete framework for virtualizing Time-aware Shaper (TAS) using high-performance NFV. The reliability sub-approach is VNE-based and is applied to a specific factory level use case. We develop minimal and maximal branching heuristics based on a reliability-aware k-shortest path algorithm and compare them using a typical factory topology. We then integrate these algorithms with a Frame Replication and Elimination for Reliability (FRER) simulator to realize reliability policies by the autonomic and efficient configuration of a supporting technology.
The security sub-approaches are related to both virtualization dimensions and are applied to generic enterprise-level use cases. However, the applicability of the security aspect to industrial networks is only shown in the combined (EVN) approach and its use case. We research the autonomic security management in Network Function Virtualization Infrastructure (NFVI) with the main goal of early reaction to threats through SFC reconfiguration through Virtual Network Function (VNF) live migration. This goal is approached by supporting the security measurements with a decision making architecture that considers, on the one hand, the threats and events in the environment and, on the other hand, the Service Level Agreement (SLA) between the NFVI provider and user. For this purpose, we classify the VNF-specific attacks and define possible early detectable behavior patterns. Finally, we develop a security-aware VNE heuristic that considers the security requirements of the Virtual Network (VN) and the security capabilities of the SN. This approach is modified in the combined approach to consider deploying virtualized security VNFs.
This collection of three chapters responds to today’s energy challenges. It explores innovative policy aimed to equip the energy poor with access to improved cooking energy and electricity, looking both at the demand and supply side of modern energy technologies. Concretely, it discusses mechanisms to increase uptake of off-grid solar electricity in rural Rwanda based on experimental demand measurements (Chapter 1), it studies how to diffuse improved cooking technologies in rural Senegal via supply-side mechanisms (Chapter 2), and it identifies the need to target cooking technologies in consideration of the broader household context in rural Senegal and beyond (Chapter 3).
Sentences that present a complex linguistic structure act as a major stumbling block for Natural Language Processing (NLP) applications whose predictive quality deteriorates with sentence length and complexity. The task of Text Simplification (TS) may remedy this situation. It aims to modify sentences in order to make them easier to process, using a set of rewriting operations, such as reordering, deletion or splitting. These transformations are executed with the objective of converting the input into a simplified output, while preserving its main idea and keeping it grammatically sound. State-of-the-art syntactic TS approaches suffer from two major drawbacks: first, they follow a very conservative approach in that they tend to retain the input rather than transforming it, and second, they ignore the cohesive nature of texts, where context spread across clauses or sentences is needed to infer the true meaning of a statement. To address these problems, we present a discourse-aware TS framework that is able to split and rephrase complex English sentences within the semantic context in which they occur. By generating a fine-grained output with a simple canonical structure that is easy to analyze by downstream applications, we tackle the first issue. For this purpose, we decompose a source sentence into smaller units by using a linguistically grounded transformation stage. The result is a set of selfcontained propositions, with each of them presenting a minimal semantic unit. To address the second concern, we suggest not only to split the input into isolated sentences, but to also incorporate the semantic context in the form of hierarchical structures and semantic relationships between the split propositions. In that way, we generate a semantic hierarchy of minimal propositions that benefits downstream Open Information Extraction (IE) tasks. To function well, the TS approach that we propose requires syntactically well-formed input sentences. It targets generalpurpose texts in English, such as newswire or Wikipedia articles, which commonly contain a high proportion of complex assertions.
In a second step, we present a method that allows state-of-the-art Open IE systems to leverage the semantic hierarchy of simplified sentences created by our discourseaware TS approach in constructing a lightweight semantic representation of complex assertions in the form of semantically typed predicate-argument structures. In that way, important contextual information of the extracted relations is preserved that allows for a proper interpretation of the output. Thus, we address the problem of extracting incomplete, uninformative or incoherent relational tuples that is commonly to be observed in existing Open IE approaches. Moreover, assuming that shorter sentences with a more regular structure are easier to process, the extraction of relational tuples is facilitated, leading to a higher coverage and accuracy of the extracted relations when operating on the simplified sentences. Aside from taking advantage of the semantic hierarchy of minimal propositions in existing Open IE Abstract approaches, we also develop an Open IE reference system, Graphene. It implements a relation extraction pattern upon the simplified sentences.
The framework we propose is evaluated within our reference TS implementation DisSim. In a comparative analysis, we demonstrate that our approach outperforms the state of the art in structural TS both in an automatic and a manual analysis. It obtains the highest score on three simplification datasets from two different domains with regard to SAMSA (0.67, 0.57, 0.54), a recently proposed metric targeted at automatically measuring the syntactic complexity of sentences which highly correlates with human judgments on structural simplicity and grammaticality. These findings are supported by the ratings from the human evaluation, which indicate that our baseline implementation DisSim returns fine-grained simplified sentences that achieve a high level of syntactic correctness and largely preserve the meaning of the input. Furthermore, a comparative analysis with the annotations contained in the RST Discourse Treebank (RST-DT) reveals that we are able to capture the contextual hierarchy between the split sentences with a precision of approximately 90% and reach an average precision of almost 70% for the classification of the rhetorical relations that hold between them. Finally, an extrinsic evaluation shows that when applying our TS framework as a pre-processing step, the performance of state-ofthe-art Open IE systems can be improved by up to 32% in precision and 30% in recall of the extracted relational tuples.
Accordingly, we can conclude that our proposed discourse-aware TS approach succeeds in transforming sentences that present a complex linguistic structure into a sequence of simplified sentences that are to a large extent grammatically correct, represent atomic semantic units and preserve the meaning of the input. Moreover, the evaluation provides sufficient evidence that our framework is able to establish a semantic hierarchy between the split sentences, generating a fine-grained representation of complex assertions in the form of hierarchically ordered and semantically interconnected propositions. Finally, we demonstrate that state-of-the-art Open IE systems benefit from using our TS approach as a pre-processing step by increasing both the accuracy and coverage of the extracted relational tuples for the majority of the Open IE approaches under consideration. In addition, we outline that the semantic hierarchy of simplified sentences can be leveraged to enrich the output of existing Open IE systems with additional meta information, thus transforming the shallow semantic representation of state-of-the-art approaches into a canonical context-preserving representation of relational tuples.
Die Studie betrachtet das Matthäusevangelium als zusammenhängende und durchkomponierte Erzählung, um anhand einer narrativen Analyse eine Charakterisierung der Judasfigur vorzunehmen. Dieser Ansatz berücksichtigt, wie sich die Figur in das Gesamtkonzept des Textes einfügt und welches Erzählinteresse mit ihr verfolgt wird. Diese synchrone, zusammenhängende Lesart erhellt: Judas ist im Matthäusevangelium keine rein historische Figur, sondern seine Darstellung hat eine bestimmte Funktion, die mit dem historischen Kontext, der Pragmatik und der theologischen Konzeption des gesamten Textes zu tun hat. Das Matthäusevangelium behandelt das Thema der Schülerschaft und Nachfolge Jesu, wobei die beiden Pole „Mit-Jesus-Sein“ und „Wenigvertrauen“ eine zentrale Rolle spielen. Vor diesem Horizont steht Judas nicht für den „Bösen“, von dem sich die Leserinnen und Leser abgrenzen sollten, sondern er ist Teil der Nachfolgegemeinschaft. Sein Scheitern könnte im Grunde jeden treffen oder anders gesagt: Jeder könnte Judas sein.
Zugleich bietet der Text Strategien an, wie mit derartigem Versagen umzugehen ist: Scheitern darf nicht in die Selbstisolation führen, sondern der Erzählzusammenhang verdeutlicht, dass es eine Möglichkeit der Rückkehr zur Gruppe und Vergebung für einen einsichtigen Sünder gibt.
This dissertation deals with geostatistical, time series, and regression analytical approaches for modelling spatio-temporal processes, using air quality data in the applications. The work is structured into four essays the abstracts of which are given in the following.
The first essay is titled 'Spatial detrending revisited: Modelling local trend patterns in NO2-concentration in Belgium and Germany'. It is written in co-authorship by Prof. Dr. Harry Haupt and Dr. Angelika Schmid and published in 2018 in Spatial Statistics 28, pp. 331-351 (https://doi.org/10.1016/j.spasta.2018.04.004).
Abstract
Short-term predictions of air pollution require spatial modelling of trends, heterogeneities, and dependencies. Two-step methods allow real-time computations by separating spatial detrending and spatial extrapolation into two steps. Existing methods discuss trend models for specific environments and require specification search. Given more complex environments, specification search gets complicated by potential nonlinearities and heterogeneities. This research embeds a nonparametric trend modelling approach in real-time two-step methods. Form and complexity of trends are allowed to vary across heterogeneous environments. The proposed method avoids ad hoc specifications and potential generated predictor problems in previous contributions. Examining Belgian and German air quality and land use data, local trend patterns are investigated in a data driven way and are compared to results computed with existing methods and variations thereof. An important aspect of our empirical illustration is the heterogeneity and superior performance of local trend patterns for both research regions. The findings suggest that a nonparametric spatial trend modelling approach is a valuable tool for real-time predictions of pollution variables: it avoids specification search, provides useful exploratory insights and reduces computational costs.
The second essay is titled 'Predictability of hourly nitrogen dioxide concentration'. It is written in co-authorship with Prof. Dr. Harry Haupt and published in 2020 in Ecological Modelling 428, 109076 (https://doi.org/10.1016/j.ecolmodel.2020.109076).
Abstract
Temporal aggregation of air quality time series is typically used to investigate stylized facts of the underlying series such as multiple seasonal cycles. While aggregation reduces complexity, commonly used aggregates can suffer from non-representativeness or non-robustness. For example, definitions of specific events such as extremes are subjective and may be prone to data contaminations. The aim of this paper is to assess the predictability of hourly nitrogen dioxide concentrations and to explore how predictability depends on (i) level of temporal aggregation, (ii) hour of day, and (iii) concentration level. Exploratory tools are applied to identify structural patterns, problems related to commonly used aggregate statistics and suitable statistical modeling philosophies, capable of handling multiple seasonalities and non-stationarities. Hourly times series and subseries of daily measurements for each hour of day are used to investigate the predictability of pollutant levels for each hour of day, with prediction horizons ranging from one hour to one week ahead. Predictability is assessed by time series cross validation of a loss function based on out-of-sample prediction errors. Empirical evidence on hourly nitrogen dioxide measurements suggests that predictability strongly depends on conditions (i)-(iii) for all statistical models: for specific hours of day, models based on daily series outperform models based on hourly series, while in general predictability deteriorates with exposure level.
The third essay is titled 'Agglomeration and infrastructure effects in land use regression models for air pollution – Specification, estimation, and interpretations'. It is written in co-authorship with Dr. Markus Fritsch and published in 2021 in Atmospheric Environment 253, 118337 (https://doi.org/10.1016/j.atmosenv.2021.118337).
Abstract
Established land use regression (LUR) techniques such as linear regression utilize extensive selection of predictors and functional form to fit a model for every data set on a given pollutant. In this paper, an alternative to established LUR modeling is employed, which uses additive regression smoothers. Predictors and functional form are selected in a data-driven way and ambiguities resulting from specification search are mitigated. The approach is illustrated with nitrogen dioxide (NO2) data from German monitoring sites using the spatial predictors longitude, latitude, altitude and structural predictors; the latter include population density, land use classes, and road traffic intensity measures. The statistical performance of LUR modeling via additive regression smoothers is contrasted with LUR modeling based on parametric polynomials. Model evaluation is based on goodness of fit, predictive performance, and a diagnostic test for remaining spatial autocorrelation in the error terms.
Additionally, interpretation and counterfactual analysis for LUR modeling based on additive regression smoothers are discussed. Our results have three main implications for modeling air pollutant concentration levels: First, modeling via additive regression smoothers is supported by a specification test and exhibits superior in- and out-of-sample performance compared to modeling based on parametric polynomials. Second, different levels of prediction errors indicate that NO2 concentration levels observed at background and traffic/industrial monitoring sites stem from different processes. Third, accounting for agglomeration and infrastructure effects is important: NO2 concentration levels tend to increase around major cities, surrounding agglomeration areas, and their connecting road traffic network.
The fourth essay is titled 'Outlier detection and visualisation in multi-seasonal time series and its application to hourly nitrogen dioxide concentration'. It is written in single authorship and has not been published yet.
Abstract
Outlier detection in data on air pollutant recordings is conducted to uncover data points that refer to either invalid measurements or valid but unusually high concentration levels. As air pollutant data is typically characterised by multiple seasonalities, the task of outlier detection is associated with the question of how to deal with such non-stationarities. The present work proposes a method that combines time series segmentation, seasonal adjustment, and standardisation of random variables. While the former two are employed to obtain subseries of homoskedastic data, the latter ensures comparability across the subseries. Further, the standardised version of the seasonally adjusted subseries represents a scaled measure for the outlyingness of each data point in the original time series from its mean and therefore forms a suitable basis for outlier detection. In an empirical application to data on hourly NO2 concentration levels recorded at a traffic monitoring site in Cologne, Germany, over the years 2016 to 2019, the common boxplot criterion is used to examine each standardised seasonally adjusted subseries for positive outliers. The results of the analyses are put into their natural temporal order and displayed in a heatmap layout that provides information on when single and sequential outliers occur.
Das Durchsetzungssystem der Datenschutz-Grundverordnung (DS-GVO) regelt in den Art. 77 ff. DS-GVO nur ansatzweise die Durchsetzung der Rechte der Betroffenen durch Dritte. Die Arbeit hat sich deshalb zum Ziel gesetzt, Rechtsdurchsetzungsmöglichkeiten von Verbänden und Mitbewerbern in Deutschland genauer zu beleuchten. Hierzu wird zunächst der Spielraum untersucht, den die Datenschutz-Grundverordnung Dritten bei der Rechtsdurchsetzung einräumt, also mit anderen Worten, ob deren Rechtsbehelfssystem eine Sperrwirkung für die Mitgliedstaaten zeitigt. Darauf aufbauend wird näher untersucht, ob das Gesetz gegen den unlauteren Wettbewerb (UWG) und das Gesetz über Unterlassungsklagen bei Verbraucherrechts- und anderen Verstößen (UKlaG) innerhalb des ermittelten Spielraums verbleiben.