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Die dynamische Bevölkerungsentwicklung Ostdeutschlands seit 1990 zeigt am Beispiel der Entstehung einer Residualbevölkerung die unterschiedlichen Variationen der Selektivität von Wanderungen: Einer Bevölkerung, die aufgrund langfristig wirkender selektiven Wanderungsverluste im ländlich-peripheren Raum ein spezifisches demographisches Verhalten aufweist.
Der Wanderungsverlust Ostdeutschlands mit über 2,5 Millionen Menschen hat tiefgreifende Auswirkungen auf die alters-, geschlechts- und bildungsspezifische Bevölkerungsstruktur der neuen Bundesländer hinterlassen. Auch wenn die jungen Generationen zumeist das politisch geeinte Deutschland leben, existieren mit Blick auf die vorliegenden demographischen Prozesse und Strukturen bis heute nahezu zwei deutsche Staaten.
Die Entwicklungen sowie die Auswirkungen insbesondere der räumlichen Bevölkerungsbewegung wurden entsprechend dem Stand der Forschung vor dem Hintergrund der Situation Ostdeutschlands vorgestellt und die darauf aufbauenden Forschungsthesen benannt. Das bisher nur theoretische Konstrukt der Residualbevölkerung, die Interdependenz aus natürlicher und räumlicher Bevölkerungsbewegung, wurde anhand von unterschiedlichen demographischen Parametern (u. a. hohe Fertilität, hohe Mortalität, starke Wanderungsverluste, großes Frauendefizit, Überalterung) eingeordnet und damit als messbar definiert.
Am Beispiel Mecklenburg-Vorpommerns konnte anschließend gezeigt werden, wie sich die Bevölkerungsstruktur des ehemals jüngsten Bundeslandes aufgrund der selektiven Migration innerhalb eines Vierteljahrhunderts in das älteste umkehrte. Um diesen Verlauf nachzuvollziehen, wurden auf Gemeindeebene die unterschiedlichen Bewegungsentwicklungen ab 1990 dargestellt: Der Rückgang der Sterblichkeit, der Wiederanstieg der Fertilität sowie der sich manifestierende Wanderungsverlust junger Frauen. Daran anschließend zeigten Strukturberechnungen, wie sowohl das Billeter-Maß als auch Geschlechterproportionen, die umfassenden Auswirkungen der Bewegungen auf den Bevölkerungsstand und dessen Struktur Mecklenburg-Vorpommerns: Einen stetigen Rückgang der Bevölkerungszahlen, ein über-proportionales Frauendefizit in jüngeren Altersjahren und eine fortlaufend beschleunigte Alterung der Bevölkerung.
Vor dem Hintergrund dieser Rahmenbedingungen wurde für die Zeiträume 1990-2001 und 2002-2013 jeweils eine Clusteranalyse durchgeführt, die als Ergebnis eine Typisierung von Gemeinden hinsichtlich einer messbaren Residualbevölkerung ermöglichten. Entsprechend der Vordefinition eines solchen migrationellen Konstruktes konnte für etwa jede fünfte Gemeinde in Mecklenburg-Vorpommern solcherart demographische Bedingungen identifiziert werden. Diese Gemeinden liegen tendenziell im Binnenland und fern der Zentren – eine zentrale Verortung konnte nicht festgestellt werden. Von Gemeinde zu Gemeinde unterschieden sich die demographischen Parameter teils stark, so dass von einflussreichen lokalen (nicht betrachteten) Rahmenbedingungen ausgegangen werden muss.
Dagegen konnten auch Gemeinden ohne residuale Züge identifiziert werden. Etwa jede dritte Gemeinde Mecklenburg-Vorpommerns wies keine Parameter einer Residualbevölkerung auf. Diese Regionen waren vor allem in der Nähe der Zentren und der Küste zu finden. Die verbliebenen Gemeinden zeigten nur kurzfristig oder nur im geringfügigem Maße Indizien für eine solche Bevölkerung – das betraf etwa die Hälfte aller Gemeinden im Land.
Nach der gesamtgemeindlichen Analyse wurde die Bevölkerungs- und Sozialstruktur der dabei betroffenen Gemeinden Strasburg (Um.) im Landkreis Vorpommern-Greifswald und Dargun im Landkreis Mecklenburgische Seenplatte detailliert analysiert. Die Bevölkerungsentwicklung beider Betrachtungsgemeinden entsprach der vieler ostdeutscher Kleinstädte im ländlichen Raum nach der politischen Wende: Während die Gemeinden in der DDR Bevölkerungswachstum erfuhren oder zumindest gleichbleibende Bevölkerungszahlen als regionales Zentrum aufwiesen, verursachte die Abwanderung vor allem junger Menschen und ein manifestierter Sterbeüberschuss nach 1990 stetig rückläufige Zahlen.
In diesen beiden Gemeinden wurden dann nicht gesamtgemeindliche Bevölkerungszahlen analysiert, sondern vielmehr die Zusammensetzung einer Gemeindebevölkerung vor dem Hintergrund ihres Migrationsstatus differenziert. Für den Zeitraum 1979-2014 wurden deshalb anhand dieses Status die Bevölkerungen beider Gemeinden in Sesshafte und Zugezogene unterteilt. Aufgrund der sowohl vorhandenen Sterbe- als auch Geburtsstatistik war es möglich, die natürliche und räumliche Bevölkerungsbewegung der insgesamt fast 22.000 Men-schen direkt herauszuarbeiten. Die sesshafte Bevölkerung repräsentiert dabei die Menschen, die am ehesten dem Typus „Residualbevölkerung“ entsprechen.
Nach Berechnung der Mortalitäten für unterschiedliche Zeiträume ergab sich tendenziell eine höhere Sterblichkeit bzw. geringere Lebenserwartung der Sesshaften gegenüber den Zuzüglern bei Frauen wie Männern. Wurden darüber hinaus die Zugezogenen nach Lebensdauer in den Betrachtungsgemeinden differenziert, ergab bei beiden Geschlechtern eine längere Zugehörigkeit zu den Gemeinden auch eine höhere Sterblichkeit. Damit wurde einerseits die generell höhere Mortalität des ländlich-peripheren Raums gegenüber dem urbanen Raum bestätigt. Andererseits entspricht die höhere Sterblichkeit der sesshaften gegenüber der der nichtsesshaften Bevölkerung den Vorüberlegungen zur Residualbevölkerung.
Darüber hinaus wurde zusätzlich der Parameter „Bedürftigkeit“ berücksichtigt. Hier konnte erwartungsgemäß für beide Betrachtungsgemeinden die höchste Sterblichkeit der von Sozial-leistungen betroffenen Menschen festgestellt werden. Je länger dabei die Bezugsdauer, umso höher war die aufgezeigte Mortalität – dies sogar zumeist vor der sesshaften Bevölkerung. Bezieher von Sozialhilfe waren im Vergleich zu Beziehern von Wohngeld am stärksten betroffen; Unterschiede bei Männern besonders stark vertreten. Die Nichtbezieher wiesen bei beiden Geschlechtern die geringste Sterblichkeit auf.
Neben der Mortalität wurde als zweite Variable der natürlichen Bevölkerungsbewegung die Fertilität der beiden Bevölkerungsgruppen untersucht. Hier ergaben sich jedoch keine signifikanten Unterschiede zwischen beiden Bevölkerungsgruppen
Im Bereich der Periodenfertilität wiesen Zuzügler gegenüber den Sesshaften eine erhöhte Fertilität auf. Berechnungen der Kohortenfertilität ergaben wiederrum eine leicht höhere Fertilität der Sesshaften. Auch eine detaillierte Analyse der Zuzüglerinnen offenbarte kein einheitliches Bild. Mit Blick auf die Bedürftigkeit war festzustellen, dass die Bezieherinnen eine deutlich höhere Fertilität gegenüber Nichtbezieherinnen – unabhängig von der Bezugsdauer – aufwiesen. Im Ergebnis wurde damit zwar die generell höhere Fertilität des ländlich-peripheren Raums gegenüber dem urbanen Raum bestätigt. Die entsprechenden Vorüberlegungen zur Fertilität der sesshaften gegenüber der nichtsesshaften Bevölkerung konnten aber nicht eindeutig verifiziert werden.
Die gesamtheitliche Betrachtung der Gemeindeberechnungen zeigte demzufolge ein zweitgeteiltes Bild: Die Ergebnisse der Mortalität bestätigen die Annahmen zur Residualbevölkerung, die Ergebnisse der Fertilität nur in Teilen. Auch wenn die festgestellten Fertilitäts- und Morta-litätsunterschiede ortsbehaftet sind – sei es durch Umwelteinflüsse vor Ort oder die Art der Menschen zu leben: Je länger die Menschen in Regionen mit einem bestimmten Fertilitäts- und Mortalitätsniveau leben, umso stärker passen sie sich diesem an – in beide Richtungen.
Vor dem Hintergrund sowohl der Typisierung aller Gemeinden als auch der beiden Betrach-tungsgemeinden ist zu konstatieren, dass beide Variablen der natürlichen Bevölkerungsbewegung nichtgleichberechtigt nebeneinander zur Erklärung einer Residualbevölkerung fungieren müssen. Unter der Beibehaltung der theoretischen Annahmen ist dementsprechend zukünftig von einer Residualbevölkerung mit Schwerpunkt einer hohen Mortalität einerseits und mit Schwerpunkt einer hohen Fertilität andererseits auszugehen. Das bisher in der Literatur benannte Frauendefizit stellt darüber hinaus nur einen Parameter unter mehreren dar und sollte bei nachfolgenden Betrachtungen nicht als alleiniger Indikator dienen.
Unter Berücksichtigung der Ergebnisse sowohl aus beiden Gemeinden als auch aus den Clus-teranalysen wurde ein Modell einerseits zur Entstehung der Residualbevölkerung, andererseits zum Wirken der selektiven Migration generell erstellt. In Abhängigkeit von Alter und Geschlecht und unter Voraussetzung einer langfristig konstanten Wanderungsbewegung konnte so der theoretische Einfluss der räumlichen Bevölkerungsbewegung auf die Bevölkerungsstruktur – und damit indirekt auch auf die natürliche Bevölkerungsbewegung – vereinfacht projiziert werden.
Der ostdeutsche ländlich-periphere Raum ist abschließend als Sonderform des ländlich-peripheren Raums einzuordnen. Die hier gezeigte Residualbevölkerung kann als ein Indikator für – den gesellschaftlichen, kulturellen und wirtschaftlichen Verwerfungen geschuldeten – langfristige Wanderungsverluste eingeordnet werden. Die überproportional ausgeprägte Bedürftigkeit im ländlich-peripheren Raum kann deshalb auch als ein Merkmal der Sesshaftigkeit eingeordnet werden.
Insofern ist die Residualbevölkerung, vor dem Hintergrund der darüber hinaus als perspektivisch ungünstig erachteten Zukunftsaussicht, als Bevölkerungsgruppe eines Raumes abnehmender Entwicklungsstufe zu verstehen. Es ist daher ratsam, einerseits eine Verbesserung der Lebenssituation betroffener Menschen in ländlich-peripheren Räumen zu erwirken und andererseits diesen Herausforderungen raumplanerisch stärkeres Gewicht zu verleihen. Die zukünftige dahingehende Gestaltung ländlich-peripherer Räume in Ostdeutschland bedarf aus Sicht des Autors deshalb mehr an Autarkie sowie flexibler Kreativität.
Durch den CO2-Anstieg in der Atmosphäre kann es zu einer zunehmenden Veränderung im gelösten Karbonatsystem sowie des pH-Wertes der Oberflächenwässer der Ozeane kom-men (IPCC, 1996). Die potenziellen Auswirkungen dieser so genannten Ozeanversauerung auf die Ökosysteme der Meere gewinnen zunehmend an Bedeutung (Buck und Folger, 2009). Beispielsweise verursacht eine Versauerung der Meere eine Verschiebung der Kar-bonatsättigungswerte im Wasser, welches Auswirkungen auf die Schalenbildung von Or-ganismen aber auch auf die Remineralisierung von organischem Material und auf die Lö-sung von Karbonaten im Meeresboden hat (Guinotte und Fabry, 2008). Im Rahmen des Projektes BIOACID wurde die vorliegende Arbeit durchgeführt. Ziel der Arbeit war, die aktuelle Pufferwirkung des Wattenmeeres für das gesamte Karbonatsystem der Nordsee zu bestimmen. Um das Karbonatsystem der Wassersäule und deren Interakti-on mit dem Sediment zu verstehen, war es notwendig, vorher die biogeo- und physiko-chemischen Grundlagen der Auflösung von biogenen und abiogenen Karbonaten im Sedi-ment zu untersuchen. Hierfür wurden zum einen Laborexperimente und zum anderen in-situ Feldexperimente durchgeführt, um das Reaktionsverhalten von Karbonaten aus dem Wattenmeer zu bestimmen. Für die Untersuchung des aktuellen pelagischen Karbonatsys-tems und der benthisch-pelagischen Kopplung wurden umfangreiche Beprobungen der Wassersäule (tidal, räumlich, saisonal) und zusätzlich von kleinen Prielen und vom Poren-wasser durchgeführt. Aus den Daten wurde ein auf delta13C(DIC) und DIC basierendes Modell entwickelt, welches zur Interpretation von Karbonatsystemen benutzt werden kann. Für alle Probennahmen und Experimente wurde verschiedene Parameter bestimmt, wie die Struktur und Zusammensetzung der Karbonate, die Temperatur, der pH-Wert, die Haupt- und Spurenelemente, TA, delta13C (DIC), DIC. Zusätzlich wurden im Porenwasser die Sulfid- und Sulfatkonzentrationen gemessen. Das Sediment wurde auf Fe*, Mn* und Ca* sowie TC, TN, TS, TIC und TOC untersucht. Es konnte gezeigt werden, dass die untersuchten biogenen Karbonate (Mytilus edulis, Ce-rastoderma edule, Crassostrea spp., Ensis americanus, Spisula spp.) bis zu 0,1 logarithmi-sche Einheiten instabiler als die jeweiligen abiogenen Karbonate (Aragonit, Kalzit) waren. Dies war durch den Aufbau des Kristallgitter und deren eingebaute Organik erklärbar. Die Auflösungsraten wurden vom PCO2, der Temperatur, dem Salzgehalt, der Karbonatzusam-mensetzung, der Karbonatstruktur, der Korngröße und der Anwesenheit von Fremdionen beeinflusst. Es wurde eine Reaktionsordnung der biogenen und abiogenen Karbonate von 1 bis 2 bestimmt. Durch den Zusatz von Mn bzw. PO4 erhöhte sich die Reaktionsordnung auf 2,5 bis 3. Bei einer theoretischen Reaktionsordnung von 1 wurden Reaktionsgeschwindigkeitskonstanten von lg (-4) bis lg (-3) bestimmt diese änderten dich durch die Zugabe von Fremdionen nur leicht zu negativeren Werten. Es konnte gezeigt werden, dass die Oberfläche durch Abschätzung über die Reaktionsrate am genausten war. Im Sediment konnten bei den in-situ Feldexperimenten eindeutige Lösungsvorgänge der Karbonate beobachtet werden. Es zeigten sich deutlich stärkere Lösungserscheinungen, wie Löcher und abgerundete Kanten, in den obersten Zentimetern als in tieferen Schichten. Dies ist durch die oxische bzw. suboxische Bedingungen erklärbar, die die besten Vorraus-setzungen für die Karbonatlösung gegeben. Durch die oxischen bzw. suboxischen Bedin-gungen sind die Fremdionen in Oxidiertem Zustand im Sediment vorhanden, dadurch sind diese inaktiv in Bezug auf inhibitorische Wirkungen auf die Karbonatlösung. Zusätzlich ist durch die Remineralisierungsprozesse (Manganreduktion, Eisenreduktion, Sulfatreduktion) das Porenwasser leicht an Karbonat untersättigt. Es konnte als vorherrschender Prozess eine Karbonatlösung festgestellt werden, die während der Jahreszeiten unterschiedlich stark ausgeprägt war. Das Karbonatsystem in der Wassersäule zeigte deutliche tidale, räumliche und saisonale Änderungen. Diese zeigten Mischungsprozesse mit der Nordsee und Süßwasser an, aber auch Einflüsse von benthischen (Remineralisierung) und pelagischen (Primärproduktion) Prozessen. Die Einflüsse waren über die Jahreszeiten unterschiedlich stark ausgeprägt. Während abfließenden Wassers trat Porenwasser aus dem Sediment und beeinflusste das Karbonatsystem des Wattemeers. delta13C (DIC) zeigte im Winter eine Korrelation mit dem Salzgehalt, was deutlich auf einen Mischungsprozess mit der Nordsee und den anderen Faktoren (Porenwasser, Süßwasser) schließen ließ. Dabei war die Nordsee der deutlich größere Einflussfaktor im Vergleich zu Porenwasser. Der Einfluss von Süßwasser direkt im Wattenmeer war sehr gering und auf Grund stark schwankender Abflussraten unregel-mäßig. Im Sommer konnten auf Grund einer Überlagerung des Mischungssignals durch biologische Aktivität in der Wassersäule keine Mischungsprozesse direkt gezeigt werden. Beim Vergleich von ostfriesischen und nordfriesischen Wattenmeer konnte gezeigt werden, dass dieselben Einflussfaktoren eine Rolle spielen. Die Variationsbereiche in diesen Gebieten waren wegen verschiedener Wasservolumina und Sedimente im Untergrund der einzelnen Tidebecken unterschiedlich hoch. Die Sedimenttypen hatten durch ihre unter-schiedlichen Transportmechanismen des Porenwassers einen Einfluss auf das Karbonatsys-tem der Wassersäule. Basierend auf diesen Daten konnte ein Modell zur Abschätzung der Quellen und Senken der Variablen des CO2-Systems entwickelt werden. Zur Modellierung werden lediglich die Werte von delta13C (DIC) und DIC benötigt, um alle Prozesse, welche das Karbonatsystem in der Wassersäule beeinflussen können, zu identifizieren. Das Modell kann tidale, saisonale und räumliche Prozesse trennen, welche zur Identifizierung der Quellen und Senken in Küstengebiete notwendig sind. Das Modell kann für alle Küstengebiete und Ästuare ange-wendet werden, aber auch für den offenen Ozean. Zusammenfassend kann gesagt werden, dass das Wattenmeer eine Quelle von Karbonat sein kann. Um dies quantitativ abzuschätzen zu können, werden die hier erhobenen Daten in prognostische Modelle (Pätsch und Kühn, 2008; Kühn et al., 2010) einfließen, um abzu-grenzen in welchen Jahreszeiten das Watt als Quelle und wann als Senke für das Karbonat-system fungiert. In weiteren Arbeiten sollte der Einfluss der Fremdionen auf die Karbonatauflösung näher untersucht werden. In dieser Arbeit konnte der Einfluss in Laborexperimenten nachgewie-sen werden, in den in-situ Feldexperimenten aber nicht. Es sollte geklärt werden, auf wel-che Weise die Inhibition funktioniert und welche minimalen und möglicherweise maxima-len Konzentrationen inhibierend wirken. In diesem Zusammenhang wäre auch eine Unter-suchung sinnvoll, die auch oxidiertes Mangan in Form von Manganoxiden einsetzten bzw. Mangankrustenbildung in Zusammenhang mit Karbonatlösung und –fällung betrachten. Ein weiterer wichtiger Punkt ist der Einfluss der Mikroorganismen auf die Karbonatauflö-sung im Sediment zu untersuchen, bereits Knauth-Köhler, K. (1995) hat in ihrer Diplomar-beit in Miesmuschelbänken gezeigt, dass Mikrooganismen die Karbonatschalen beeinflus-sen.
Der Begriff Nachhaltigkeit hat längst Eingang in den deutschen Sprachgebrauch gehalten. Doch
wie verhält es sich mit dem Verständnis zum Paradigma Nachhaltigkeit, welches sich im
soziologischen, ökonomischen und ökologischen Wirkungsgefüge bewegt? Aufgrund ihrer
sozialen Relevanz, ihrer distributiven Verflechtungen und ihrer Bedeutung für den
Wohlfahrtsstaat kommt Unternehmen eine große Bedeutung zu. Hilfreich für die Erforschung
des komplexen und dynamischen Nachhaltigkeitsprozesses sind individualisierte Sichtweisen in
räumlichen Abgrenzungen. Biosphärenreservate, die weltweit von der UNSECO als
Modellregionen für nachhaltige Entwicklung als solche anerkannt wurden, bieten sich hierfür
an. Die übergeordnete Forschungsfrage dieser Arbeit lautet daher: Wie wird in den UNESCOBiosph
ärenreservaten die nachhaltige Entwicklung, speziell verantwortungsvolles Wirtschaften,
exemplarisch verwirklicht?
Eine Einordnung in den Nachhaltigkeitsdiskurs zeigt aktuelle Perspektiven auf und stellt die
Nachhaltigkeitsforschung im Kontext der Biosphärenreservate sowie die Bedingungen für
verantwortungsvolles Wirtschaften vor. Als forschungsrelevante Zielgruppen wurden die
Verwaltungen der UNSECO-Biosphärenreservate (BR), Multiplikatoren der Wirtschaft (z.B.
kommunale Wirtschaftsförderungen, IHK, Handwerkskammern, Bauern- und
Wirtschaftsverbände) sowie Unternehmen in bzw. an BR identifiziert. Mithilfe von
leitfadengestützten Experteninterviews und hybriden Fragebögen erfolgte die Datenerhebung,
die mit der Grounded Theory bzw. grafisch ausgewertet wurden.
Die Datenerhebung hat gezeigt, dass BR-Verwaltungen bislang überwiegend für
Umweltschutzbelange mandatiert und für die Einflussnahme hinsichtlich verantwortungsvollen
Wirtschaftens auf Kooperationspartner angewiesen sind. Wirtschaftsbezogene Aktivitäten sind
innerhalb ihrer Netzwerke der Partnerbetriebe etabliert, sie fokussieren überwiegend die
Direktvermarktung regionaler Produkte und die Inwertsetzung der naturverträglichen
Tourismusangebote. Innerbetriebliche Prozesse werden von einigen BR-Verwaltungen mit
Beratungsangeboten zu Umweltmanagementsystemen (z.B. EMAS) begleitet. Etliche BR weisen
wenn überhaupt nur einen geringen Besatz an Industrie- oder Dienstleistungsunternehmen, ihre
Verwaltungen haben daher auch kaum Berührungspunkte zu den Betrieben des sekundären und
tertiären Sektors außerhalb der Tourismusbranche. Die auf repräsentative Kulturräume
ausgerichteten Zonierungskonzepte der BR können diesbezüglich überdacht werden. Deutlich
wird, dass Handlungskompetenzen in wirtschaftsorientierten Themenkomplexen (Beratung zu
Fördermöglichkeiten, Innovationen, Technologieanwendung, Unternehmensgründung, mobiles
Arbeiten, Aus- und Weiterbildung, Vereinbarkeit von Beruf und Familie, Fachkräftesicherung,
Zertifizierungen, Produktentwicklung, Prozessoptimierung, Digitalisierung) nach Institutionen
durch die Wirtschaftsvertreter überwiegend den IHK, den Handwerkskammern und
Wirtschaftsförderungen und weniger den BR-Verwaltungen zugeschrieben werden.
Mehrheitlich beurteilen die befragten Unternehmen die Handlungsfähigkeit von BRVerwaltungen
hinsichtlich des Naturschutzes, der Vermarktung regionaler Produkte und
Dienstleistungen sowie von Agrarumweltmaßnahmen positiv. Dagegen ist den Unternehmen
die Handlungsfähigkeit der BR-Verwaltungen auf den Gebieten der Verkürzung von
Planungsverfahren, der Prozessinnovation, des Energiemanagements und der
Fachkräftesicherung weitestgehend unbekannt. Eine große Mehrheit der Unternehmer meint
zudem, dass sich die Ziele und Aktivitäten der BR-Verwaltungen vorrangig auf
Naturschutzmaßnahmen beziehen. Weiterhin meinen sie, richtet die sich die Unterstützung von
Unternehmen überwiegend auf die Vermarktung regionaler Produkte und traditionelles
Handwerk. Die 17 Nachhaltigkeitsziele der Vereinten Nationen haben bislang keinen
breitenwirksamen Bekanntheitsgrad in der befragten Unternehmerschaft gefunden.
In einem integrierten Verständnis fließen ökologische und soziale Aspekte der Nachhaltigkeit in
die konzeptionellen Grundlagen der BR ein, die ökonomische Dimension dagegen reduziert sich
oft auf die Bereiche Landwirtschaft und Tourismus. Weiterführende Aktivitäten hinsichtlich
nachhaltigen Wirtschaftens überlassen BR-Verwaltungen derzeit überwiegend der Expertise
wirtschaftsfördernder Institutionen, die sich aus ihrer Sicht originär mit innerbetrieblichen
Prozessen befassen.
Der Austausch von Grundlagendaten oder Ergebnissen bisheriger Datenerhebungen zwischen
den BR-Verwaltungsstellen – einem potenziellen Wesensmerkmal von Modellregionen – wird
durch das Fehlen entsprechender Infrastruktur deutlich erschwert, bzw. ist nicht möglich.
Technische und personelle Ressourcen für die digitale Datenaufbereitung und -pflege in den BRVerwaltungen
sind überwiegend nicht vorhanden.
Mit der Anerkennung eines BR durch die UNESCO muss auch seine Anerkennung als
Modellregion für nachhaltige Entwicklung durch alle beteiligten Interessengruppen
einschließlich seiner Bewohner einhergehen.
Der globale Rückgang der Artenvielfalt, verursacht durch das intensive Eingreifen des Menschen in die Ökosysteme, zählt zu den großen Herausforderungen der kommenden Jahrzehnte, nicht zuletzt im Interesse des Menschen, dessen Existenz dadurch zunehmend bedroht wird. Auch Wälder sind von dieser Entwicklung betroffen. In Deutschland über Jahrhunderte zu Forsten umgebildet, die vorwiegend der Holzproduktion dienten, führte dies zu monotonen Strukturen, in denen natürliche Elemente wie Totholz nicht den notwendigen Platz haben, um die zahlreichen davon abhängigen Arten zu versorgen. Derzeit findet jedoch – ausgelöst durch wissenschaftliche Befunde – ein gesellschaftliches Umdenken statt, das natürliche Waldelemente vermehrt in Wirtschaftswälder integrieren möchte.
Vor dem Hintergrund der sich durch diese Entwicklungen abzeichnenden Veränderung der Wälder wurde nun erstmals für das deutsche Bundesland Bayern flächenrepräsentativ untersucht, wie die Bevölkerung dieser Veränderung gegenübersteht, und wie die kulturellen Ökosystemleistungen von Wäldern, also die Beiträge des Ökosytems Wald für das menschliche Wohlergehen, wahrgenommen und beurteilt werden. Im Vordergrund standen dabei das natürliche Erbe und die Erholung. Dazu wurde eine repräsentative Online-Befragung mit 2473 Probanden durchgeführt, in die zwei leicht modifizierte Choice Experimente eingebunden wurden. Mit ihrer Hilfe sollten nicht nur die Präferenzen für bestimmte Waldzustände und Maßnahmen zur Sicherung der Artenvielfalt aufgedeckt, sondern auch festgestellt werden, welche Trade-offs zwischen ihren gesellschaftlichen, ökologischen und ökonomischen Folgen bestehen. Auch die Einstellung der Befragten gegenüber der Natur allgemein, und Totholz speziell, war Gegenstand der Studie. Zudem wurde über Reisekostenmodelle versucht, die Erholungsleistung der bayerischen Wälder zu bemessen, um sie in Relation zu den anderen Leistungen zu setzen.
Es zeigte sich, dass die Einstellung der bayerischen Bevölkerung gegenüber der Natur und vor allem gegenüber Totholz überwiegend positiv ist, auch wenn unterschiedliche Formen der Umwelteinstellung identifiziert werden konnten. In den Präferenzanalysen ergaben sich positive Zahlungsbereitschaften für solche Waldnaturschutzprogramme, die zu einer Verbesserung der Habitatverfügbarkeit für gefährdete Arten in allen Wäldern, nicht nur in einzelnen Schutzgebieten führen würden. Dabei sind ebenfalls Unterschiede zwischen verschiedenen Waldmanagementstrategien, sowie zwischen bestimmten sozio-demographischen Subgruppen festzustellen. Darüber hinaus konnte ein hoher Wert der Erholungsleistung der bayerischen Wälder ermittelt werden, der sich nicht wesentlich verändern würde, wenn mehr natürliche Strukturen zugelassen werden. Somit wäre diese kulturelle Ökosystemleistung auch weiterhin gewährleistet, vorausgesetzt, dass keine Extremzustände angestrebt werden. Aus Sicht der Forstpraxis und des Naturschutzes ist von besonderem Interesse, dass die Trade-offs, welche zwischen der Gesellschaft und diesen beiden Akteursgruppen bestehen, allen drei Seiten zugute kommen können.
Die Idee von UNESCO-Biosphärenreservaten besteht darin, den Erhalt der biologischen Vielfalt mit der nachhaltigen Regionalentwicklung unter Beteiligung der Bevölkerung zu verbinden. Inwiefern die Idee unterstützt und in der eigenen Lebensweise berücksichtigt wird, wurde exemplarisch für die Bürgermeisterinnen und Bürgermeister aus drei Regionen analysiert. In Deutschland sind die UNESCO-Biosphärenreservate im Bundesnaturschutzgesetz rechtlich gesichert und gehören in den Zuständigkeitsbereich der Landesumweltministerien. Damit fehlt es ihnen oftmals an Zuständigkeiten, Personal und Geldern über naturschutzfachliche Themen hinaus. Mit dem Auftrag der Gewerbeförderung und dem Ausbau der Infrastruktur ergänzen die Gemeinden die naturschutzfachlichen Kompetenzen der deutschen UNESCO-Biosphärenreservate. Daher ist eine Zusammenarbeit für den Erfolg entscheidend. Die Forschungsfrage lautet somit: Wie ist die Idee der UNESCO-Biosphärenreservate in dem Wissen, den Einstellungen und dem Handeln der Bürgermeisterinnen und Bürgermeister aus den UNESCO-Biosphärenreservaten Schaalsee, Schorfheide-Chorin und Südost-Rügen verankert? Den Anforderungen der qualitativen Sozialforschung entsprechend, wurden die Bürgermeisterinnen und Bürgermeister der drei UNESCO-Biosphärenreservate 2010 interviewt. Das neuartige Konzept Verankerung der UNESCO-Biosphärenreservats-Idee bei Bürgermeisterinnen und Bürgermeistern ergab sich aus einem abduktiven Forschungsprozess: Er bestand aus einem Wechselspiel zwischen der Analyse von 45 leitfadengestützten Interviews nach der Grounded-Theory-Methodologie und dem Studium der sozialwissenschaftlichen Forschungen zu Akzeptanz, Partizipation und Governance in Schutzgebieten. Das Konzept Verankerung umfasst drei Dimensionen: Wissen, Einstellung und Handeln. Diese wurden mit jeweils vier bis fünf Kategorien gefüllt, die durch die explorative Analyse der Interviews identifiziert wurden. Orientiert an der Gesamtbeurteilung der Vor- und Nachteile des UNESCO-Biosphärenreservates vor Ort konnten die Bürgermeisterinnen und Bürgermeister in fünf unterschiedliche Typen der Verankerung unterteilt werden: Für die Unterstützer bringt das Biosphärenreservat vor Ort deutlich mehr Vorteile als Nachteile. Sie verfügen über umfangreiches Wissen zum Biosphärenreservat und zeigen eine hohe Eigeninitiative zur Umsetzung der Biosphärenreservats-Idee. Für die Befürworter überwiegen ebenso die Vorteile gegenüber den Nachteilen, jedoch nicht so deutlich wie bei den Unterstützern. Sie wissen weniger genau über das Biosphärenreservat vor Ort Bescheid, beteiligen sich aber bei Projekten der Biosphärenreservats-Verwaltung. Für die Unentschiedenen sind die Vor- und Nachteile des Biosphärenreservates ausgewogen. Sie kennen im Prinzip die Aufgaben von Biosphärenreservaten, konkrete Aktivitäten vor Ort sind ihnen aber kaum bekannt. Bei formellen Beteiligungsverfahren haben sie negative Erfahrungen in der Zusammenarbeit mit der Biosphärenreservats-Verwaltung gemacht. Sie loben jedoch einzelne Projekte. Für die Kritiker überwiegen die Nachteile gegenüber den Vorteilen des Biosphärenreservates. Sie bemängeln die Beteiligung der Gemeinden bei der Ausweisung des Biosphärenreservates als unzureichend und beanstanden die Zusammenarbeit mit der Biosphärenreservats-Verwaltung in formellen Beteiligungsverfahren. Sie sind Einheimische und haben im Alltag sehr starke Einschränkungen durch das Biosphärenreservat erfahren. Die Unbeteiligten können weder Vor- noch Nachteile des Biosphärenreservates benennen. Sie wissen kaum etwas über die Aktivitäten der Biosphärenreservats-Verwaltung und arbeiten selten mit ihr zusammen. In der komparatistische Analyse der Typen in den drei Biosphärenreservaten zeigen sich folgende Unterschiede: Im Biosphärenreservat Schaalsee sind die meisten Unterstützer und Befürworter zu finden, so dass dort die Biosphärenreservats-Idee am stärksten bei den Bürgermeisterinnen und Bürgermeistern verankert ist. Im Gegensatz dazu sind im Biosphärenreservat Südost-Rügen die meisten Kritiker. Im Biosphärenreservat Schorfheide-Chorin ist der Anteil der Unentschiedenen am größten. Diese Unterschiede sind eine Momentaufnahme und unterliegen einem ständigen Wandel. Da es durch die Kommunalwahlen regelmäßig zu neuen Konstellationen kommt, sollte diese Untersuchung nach jeder Wahl wiederholt werden. Die Ergebnisse können nicht mit der Verankerung der Biosphärenreservats-Idee bei der Bevölkerung gleichgesetzt werden, wie eine Gegenüberstellung mit den Ergebnissen einer Bevölkerungsbefragung aus 2010 gezeigt hat. Alles in allem liefert das Konzept Verankerung der Biosphärenreservats-Idee und die Differenzierung der Bürgermeisterinnen und Bürgermeister in Typen der Verankerung einen neuen Ansatz zur Analyse von Stakeholdern im Schutzgebietsmanagement. Es gibt dem Management eine bessere Handlungsorientierung: Es geht darum, eigenverantwortliches Handeln der Bürgerinnen und Bürger differenziert anzuregen und zu unterstützen.
Urban Green Areas – their functions under a changing lifestyle of local people, the example of Hanoi
(2013)
Hanoi is a rapidly developing city - in terms of area, population and economy. It also has to face social and environmental problems that often accompany the fast development of a city. Increasing environmental pollution leads to a decrease in living conditions, such as clean water, housing, social services, etc., for most of the city’s inhabitants. Other well-known social problems in cities worldwide also occur in Hanoi nowadays, for example inequality, food supply, and unemployment. In addition, the society is altering; lifestyle- change is a permanent process. Today, it seems that the changing process in Asian countries is rather leap-frogging than continuously. Although many research projects concerning to urban green areas in Hanoi have been completed recently, less is known about utilization of parks&gardens in a practical and systematic way. This study aims at contributing to fulfills the gaps with up-to-date facts and figures of parks’ utilization in the inner city of Hanoi. Based on “grounded theory”, triangular methodology was applied to collect empirical data in four main parks in the inner city of Hanoi namely: Thong Nhat, Bach Thao, Hoan Kiem, and Lenin. Scientific observations, visitor countings were done in 2010-2011; including 2143 face-to-face interviews to park users covering the course of the year and a small online-poll of 113 responses. Thirteen interviews with experts have been done in several phases and taken into account for discussing and testing hypotheses. Empirical results have shown that utilization of the parks is in abundance in terms of the use - numbers as well as activities. A comparison between the courses of the day for parks in Berlin and Hanoi shown that the time of using parks in Hanoi is earlier in the day. In details, there is 25% and 1.4% of total daily visitors went to parks in Hanoi and Berlin,, respectively. However, the biggest peak in park-visiting time for both cities is in the afternoon. The findings also clarified that students and retirees are the major users even though there is some different in structures of park user among the four parks. The length of stay depends on how large and interesting a park is. In this aspect, Hanoi parks are very poor in facilities showing by a long list of missing facilities in the parks. However, as there is no alternative, parks in Hanoi still attract a high number of visitors. In general, results from this study have shown a close relationship among socio-economic and political situations in Vietnam with UGAs and its utilization. Influencing factors on parks’ utilization were also indentified, which are social changes, lifestyle changes, economic situation, conflicts in land usage, and maintaining cost for UGAs. Three given hypotheses were confirmed: i) the demand of public UGAs in inner Hanoi will grow mid-term and increase strongly long-term; ii) Hanoi’s residents will claim strongly for more parks in the future; ii) The number of conflicts inside the area of UGAs, among the visitors will occur very soon and require a specific master plan for the development and the management of UGAs. Finally, based on the weaknesses of UGAs in Hanoi recently, two groups of recommendations were also suggested to improve UGAs. Firstly, in terms of quality – quantity: • Retain each square meter of green space as UGA – do not unblock any green space for construction; • The existing UGA have to be well maintained. Secondly, in terms of management – planning: • Elaborate a UGA-masterplan for (inner) Hanoi; • Keep UGA management in the responsibility of public bodies; • Implement participation of affected population defector in the process of planning and management (as it has already been written in planning guidelines); • Be aware of potential conflicts among park user groups; • Establish an UGA monitoring system – involving regular (or even permanent) countings based on up-to-date technology; Realize horizontal partnering structures.
Autoclaved aerated concrete (AAC) is a building material that combines heat insulation
properties with sufficient mechanical strength for masonry construction. Compared to
ordinary concrete, the matrix is highly porous (>50%) and hardened by a hydrothermal curing
process at 150°C - 200°C. During this process, quartz sand and portlandite react to form first
calcium silicate hydrates (C-(A)-S-H) with Ca/Si ratios <1.3 and then tobermorite. Especially
tobermorite, which has a much larger crystallite size than C-(A)-S-H, provides improved
mechanical strength. This reaction sequence is influenced by many parameters and
additives of which calcium sulfate is probably the most important. Despite several attempts to
investigate these hydrothermal reactions, the actual reaction mechanism involved when
adding sulfate ions is not fully understood. It has been suggested that the addition of ca.
1.5 wt% significantly improves the mechanical properties due to the enhanced formation and
arrangement of tobermorite in the porous matrix. Since the sulfate content in AAC waste is
exceeding regulatory threshold for low-quality reuse in some countries, the aim of this study
was to investigate in detail the reaction mechanisms involving sulfate addition. Such
knowledge may open up the possibility to improve AAC production and to avoid the need for
sulfate addition. To achieve this goal, this research work focused on investigating the
hydrothermal curing process to determine the sequence of hydrothermal reactions and the
spatial distribution of the phases formed. For this purpose, a new setup for in situ X-ray
diffraction was specifically designed to study hydrothermal reactions and to conduct time
intensive experiments on a normal laboratory diffractometer. In order to quantitatively
evaluate the in situ measurements by Rietveld analysis using TOPAS, it was also necessary
to develop atomistic structure models for C-(A)-S-H phases. This was made possible by
adopting a supercell approach that was previously used to describe turbostratically stacked
clay minerals. The structure models, derived from tobermorite, are placed in an otherwise
empty supercell to simulate the C-(A)-S-H nanostructure. Adopting these methodological
advances, it was possible to obtain absolute phase quantities from in situ data and to track
the reaction kinetics of the hydrothermal curing process. These results were then combined
with ex situ X-ray diffraction and scanning electron microscopy. Confirming previous studies,
the major effect of sulfate ions was the formation and decomposition of hydroxylellestadite. It
was further revealed that C-(A)-S-H formation was delayed during hydroxylellestadite
formation, which is supposed to support the silicate ion diffusion and hence the tobermorite
formation at a stage critical for improved hardening of AAC. This can be linked to the
formation of lower amounts of capillary pores in the range of 1-5 µm, as observed by
scanning electron microscopy, and therefore a lower concentration of inherent defects that
resulted in the improved mechanical properties. This research work highlights how important the spatial distribution of crystallites is for the properties of a building material and how this
distribution can be influenced by small alterations in reaction chemistry.
Zusammenfassung
Die Forschungsfragen sind:
(a) Wer sind die relevanten Akteure auf dem Gebiet der Umweltbildung im Waterberg Distrikt?
(b) Wie sind die Akteure vernetzt und welche Kooperationen existieren?
(c) Welche Bevoelkerungsgruppen partizipieren an den bestehenden Umweltbildungsangeboten?
Die Hypothese ist, dass insbesondere einkommensschwache Schichten der schwarzen Bevölkerung nicht an den Angeboten teilnehmen.
Das Untersuchungsgebiet Waterberg Distrikt in der Limpopo Provinz wird wie viele andere laendlich gepraegte Distrikte in Suedafrika von ungleichen Machtverhaeltnissen, hoher Arbeitslosigkeit und Spaetfolgen der Apartheid bestimmt. Es gibt nur wenige Studien, die die aktuelle Situation der Umweltbildung im Waterberg Distrikt ausreichend
analysieren (Baber, de Klerk und Walker 2003).
Die Arbeit basiert auf der Nutzung mehrerer sozialempirischer Methoden, wie schriftliche und muendliche Befragungen (Interviews) waehrend der Forschungsaufenthalte
zwischen 2009 und 2018/19 sowie Feldbeobachtungen zwischen 1995 und 2018/19 im Untersuchungsgebiet Waterberg Distrikt. Alle in der Forschungsarbeit befragten Akteure (Schulen, Wildtierfarmen, Naturreservate) vermitteln Umweltbildung. Ein einheitliches Konzept der Akteure in der Umweltbildung für den Waterberg Distrikt gab es bisher nicht, hier setzt die Untersuchung an.
Die Diskrepanz zwischen wohlhabenden weißen Landbesitzern und Investoren auf der einen Seite, und den kleineren, armen Gemeinden mit vorwiegend schwarzen Bevoelkerungsgruppen auf der anderen Seite ist für die Region praegend. Weitere Hindernisse für eine Teilnahme an den Umweltbildungsangeboten sind Chancenungleichheit in der
Bildung. Das Potenzial der Umweltbildung für eine nachhaltige Entwicklung des Waterberg Distrikts ist vorhanden und die Arbeit zeigt auf, wie die Arbeit der Akteure gestärkt und Synergien besser genutzt werden können.
Der im Waterberg Distrikt gut etablierte Oekotourismus kann durch bessere Vernetzung mit der Umweltbildung profitieren und somit zum wirtschaftlichen Aufschwung in der Region beitragen. Der Ökotourismus kann sich zukuenftig mit verschiedenen Varianten, wie Natur-, Agro-, Geo-, Biopark- und Wissenschaftstourismus weiter profilieren.
Das Waterberg Biosphaerenreservat spielt nicht nur eine herausragende Rolle in den Raumentwicklungsplaenen der Limpopo Provinz und vor allem im Waterberg Distrikt,
sondern auch im Oekotourismus und in der Umweltbildung. Umwelterbe, Artenvielfalt und oekologisch sensible Gebiete muessen aktiv geschuetzt und verwaltet werden und es
gilt sicherzustellen, dass sie nicht durch andere Aktivitaeten (z.B. Minenprospektionen) beeintraechtigt werden.
Das Waterberg Biosphaerenreservat sollte in seinen originaeren Aufgaben gestaerkt werden, damit die gesamte Bevoelkerung des Distrikts besser integriert wird und vom Biosphaerenreservat profitieren kann. Es liegt vor allem in der Verantwortung der Waterberg Distriktverwaltung, das Biosphaerenreservat zu unterstuetzen und weiterzuentwickeln (vgl. Blaauw 2018). Somit kann es zukuenftig die langfristige Lebensfaehigkeit der einzigartigen Landschaft foerdern, lokale Identitaet und Stolz schaffen und die Abwanderung aus laendlichen Gebieten in die Metropolen verringern. Mithilfe der Nutzung von Synergieeffekten und weitreichenderen Kooperationen werden langfristig auch die Lebensgrundlagen, Einkommen sowie Beschaeftigung der benachteiligten schwarzen Bevölkerungsgruppen in der Region verbessert. Eine Partizipation aller Interessensgruppen und kollektive Entscheidungsfindung, basierend auf wissenschaftlichen Erkenntnissen, wird die Gemeinschaft staerken, um die Bevölkerung auf die globalen Herausforderungen der Zukunft vorzubereiten (vgl. UNESCO 2015)
Tidal flats represent the transition zone between the terrestrial and marine realm. They are subject to pronounced dynamics due to distinct tidal and seasonal variations of physical, chemical, and biological parameters significantly influencing redox-sensitive element cycles. Thus, redox-sensitive trace metals may be suitable indicators for variations in bioproductivity and microbial activity. Therefore, seasonal and tidal dynamics of manganese, iron, molybdenum, uranium, and vanadium were studied in the water column and sediments of tidal systems of the German Wadden Sea (southern North Sea) in the years 2007 to 2009 involving also previously analysed data from year 2002. To demonstrate the response of the trace metal cycles on phytoplankton blooms and enhanced biological activity time series data of nutrients and phytoplankton dynamics were also involved in this study. Pronounced cycling is seen for pelagic manganese revealing distinctly higher values during low tide. Complex seasonal cycling showing maxima of dissolved manganese in spring and late summer and a depletion period in early summer is caused by benthic-pelagic coupling and reflection of exhaustion and replenishing periods in the surface sediments. Vanadium dynamics are coupled to the manganese cycling due to vanadium scavenging and release during manganese oxide formation and reduction, respectively. Molybdenum and uranium behave almost conservatively following changes in salinity and thus, being slightly enhanced during high tide. Deviations from conservative behaviour are found to occur during breakdowns of summer phytoplankton blooms. In the following, significant enrichments of manganese, molybdenum, iron, and uranium are observed in the shallow pore waters. These coherences are assumed to be caused by a tight coupling of geochemical, biological, and sedimentological processes. Intense release of organic matter during the breakdowns of algae blooms leads together with enhanced bacterial activity in summer to the formation of organic- and trace metal-rich aggregates which are deposited and incorporated into the tidal surface sediments. Microbial decomposition of the aggregates and corresponding shifts in redox-conditions effect a release of dissolved trace metals into the pore water. Subsequently, the trace metals are fixed in the sediment as sulphides, adsorbed to organic compounds or released to the overlying bottom water. Furthermore, two tidal systems, one from the East Frisian and one from the North Frisian Wadden Sea are compared. Although, both areas show different hydrodynamical, sedimentological, and ecological conditions similar manganese dynamics are observed implying that this is a common behaviour in the entire Wadden Sea. However, distinct quantitative differences appear showing a 6-fold higher level of dissolved manganese in the water column of the East Frisian area. This is explained by a higher manganese release from tidal flat sediments and a larger sediment area/water volume ratio compared to the North Frisian area. Detailed time-series data of the nutrients phosphate, silica, and nitrite+nitrate are used to verify model simulations and to calculate nutrient export budgets considering tidal and seasonal variations. The model results imply an export of nutrients from the tidal flats into the open waters of the German Bight which is in the same order of magnitude as the combined discharge of the rivers Elbe, Weser, and Ems. To investigate the importance of the Wadden Sea as a potential manganese source for the North Sea, transects were carried out into several tidal flat areas of the North Frisian Wadden Sea. The results suggest that the North Frisian Wadden Sea is a less important source for dissolved manganese compared to the East Frisian area. In contrary, the export of particulate manganese seems to be more important showing distinctly higher concentrations in the North Frisian study areas in summer. The influence of sediment permeability and bioturbation on trace metal budgets of the pore waters are investigated in natural and experimentally manipulated tidal flat sediments. Advective pore water transport in highly permeable sandy sediments and bioturbation promote exchange processes at the sediment/water interface probably leading to reduced nutrient and trace metal enrichments in the shallow pore waters. Furthermore, the penetration of oxygen into deeper sediment layers induces a release of sulphidic bound molybdenum to the pore water. During laboratory experiments with natural anoxic sediments an effective oxidative molybdenum release is determined during resuspension of the sediments in oxic seawater. Thus, pronounced sediment resuspension during storm events is suggested to cause significant release of molybdate from displaced anoxic sediment components thereby enhancing the molybdate level of the open water column. In addition to the examination of recent biogeochemical processes, the paleo-environmental influence on geochemical and microbiological processes in Holocene and Pleistocene sediments of the East Frisian study area were analysed in an interdisciplinary study. It is found that the microbial abundance and activity are higher in the Holocene than in the Pleistocene sediments. However, this is mainly caused by present environmental conditions. The impact of the paleo-environment on the microbiology is less pronounced. The lithological succession affects hydrological processes which enable the transfer of electron donors and acceptors for present early diagenetic processes into deep sediment layers. The paleo-environmental imprint is still detectable but the modern biogeochemical processes dominate in the sediment-pore water system.
This thesis aims to investigate effects of anthropogenic environmental impact on the Richards Bay area. Located on the east coast of South Africa, Richards Bay Harbour evolved into the country’s premier bulk cargo port. The Associated change in land-use and industrial as well as agricultural pollution pose environmental, ecological and human health risks. Here, sedimentological and geochemical investigations focus on the port as final sink for environmental and industrial pollutants, such as metal concentrations, organochlorine pesticides and microplastics.
The study is based on investigations of surface sediment samples from the water-sediment interface to identify spatial distribution patterns, as well as sediment cores to follow temporal changes. Endmember modelling of grainsize distributions, proved to be a viable parameter to distinguish different accumulation spaces and enabled the classification into six harbour sub-basins. Subsequent investigations on the content of microplastics, Polyethylene terephthalate (PET) and Low-density polyethylene (LDPE), showed that these different types of microplastics predominate in two different areas: PET appears to be directly tied to higher populated (tourism) beaches, while LDPE is deposited in low-current sub-basins. Increased metal concentrations link to activities at the bulk cargo berths, where especially Cr and Cu concentrations exceeded the local sediment guideline thresholds. In the areas of high metal concentrations, bioindicators (ostracods, foraminiferas, diatoms) also indicate increased shares of malformed specimens. Multiple recovered sediment cores recorded changes in recent export practices, indicating ceased Cu handling and increased Cr handling over the past decade. Noticing multiple possible influencing factors on elemental distributions, created by the surrounding geological and industrial impact, the usefulness of different normalisers (Al, Fe, Rb, Ti and silt fraction) for Cr, Cu, Co and Pb concentrations was compared and site specific baseline metal concentrations were defined. This identified Al and Rb to be effective normalisers in Richards Bay and Fe or Ti to be affected by local conditions. Data of organochlorine pesticide pollution was gathered in the area of Richards Bay, Goedertrouw Dam and Umlalazi River. The two dominant groups of contaminants detected are dichlorodiphenyltrichloroethanes (ΣDDT, 12 – 350 ng g-1), linked to the use of malaria vector control, and hexachlorocyclohexanes (ΣHCH 35 – 230 ng g-1), an agricultural insecticide. Both indicate recent entry and exceed sediment quality guideline limits, raising concern for local communities and estuarine environments. Seismic data was used to investigate the preindustrial evolution of the incised valley system and bayhead delta at Richards Bay Harbour. A stratigraphically supported development model was created. The thesis shows that harbour sediment is an important sink for inorganic and organic contaminants. Each investigation on environmental pollutants, such as metals, pesticides, microplastics or bioindicator analyses, indicates their deposition in distinct harbour sub-basins. Therefore, their effect can be spatially differentiated and related to plausible sources of pollution. Richards Bay thus represents a variously affected system along the South African coast, in which it is necessary to take environmental protection measures in terms of sustainable and environmentally friendly management.
This work first sets out to find if economic, ecological, or social incentives drive consumers towards or against dietary decisions (Contribution A). It then develops a framework of TCA for food to describe economically conveyed incentives that are tied to ecological and social indicators within the food market (Contribution B). The framework is subsequently enhanced and broadened to include a deeper understanding and broader field of indicators for more holistic TCA calculations (Contributions C and D). Lastly, based on these calculations, TCA of food is implemented in a factual use case as the framework and calculations are deployed for commodities of a German supermarket chain; then consumer, as well as expert feedback is used for the discussion on socially responsible campaigning and policy change (Contribution E).
Although the Pleistocene deposits exposed in the steep coastal cliffs of Mecklenburg-Vorpommern have been studied for more than a century, the depositional conditions of many lithostratigraphic units remain unclear. There is, in particular, a question whether the individual tills (locally more than 9 successive till units) are mainly subglacial deposits or resedimented (mass flows) in origin (at least in part). The Pleistocene deposits preserve information concerning the former glacial depositional processes. Detailed micromorphological analysis of these deposits can provide key information regarding these processes and thereby aid in the reconstruction of former glacial environments. The island of Rügen is located on the southwestern Baltic Sea coast and was situated in the marginal zone of the Scandinavian Ice Sheet during the last glacial period (Weichselian). Therefore, the region is considered as an ideal area for reconstructing the complex fluctuations in the position of the margin of this ice sheet as it expanded across the Baltic Sea and into northern Germany. Successive glacial advances and retreats of the ice sheet can be reconstructed by specific glacial sedimentation processes and flow-direction criteria derived from a variety of glacial deposits. The investigation area is located near Sassnitz on Rügen, where an imbricated and folded Weichselian succession disconformably overlies Maastrichtian chalk bedrock. The individual till units were sampled for micromorphological analyses to identify the former depositional conditions. Detailed description of the sedimentology and variation in facies, the description of macroscale deformation structures provides the context for the detailed micromorphology study. The three dimensional analysis of the microfabrics is based on the microstructural mapping methodology which enables the identification and interpretation of polyphase deformation within subglacial sediments.
The deep geological underground represents an important georesource for the short-
term storage of renewable energy and the long-term reduction of greenhouse gas emissions. To ensure the economic viability and safety of any subsurface storage project, detailed characterisation of the quality and integrity of the reservoir and its cap rock is required. This characterisation includes the accurate determination of the petrophysical properties, such as porosity and permeability, as well as the potential mineral reactions, such as the dissolution of reactive phases, which may occur during the lifespan of such a project. Clay minerals are common components of many reservoir systems and, depending on their type and structure, can have a significant impact on storage and transport properties. These processes are, however, currently not well understood. In order to address these issues, the main focus of this thesis is on mineralogical analyses using X-ray diffraction (XRD) and microstructural studies using focused ion beam scanning electron microscopy (FIB-SEM) together with micro X-ray computed tomography (µXCT) to gain a better understanding of the influence of clay minerals on reservoir and cap rock properties.
A central part of this thesis focuses on the analysis of clay minerals and pore structures of the Bebertal Sandstone of the Parchim Formation (Early Permian, Upper Rotliegend), which is considered a natural analogue for the tight reservoir sandstones of the North German Basin. Two illite polytypes with a variety of characteristic structures have been identified in the Bebertal sandstone. Disordered 1Md illite forms the majority of the observed structures, which include omnipresent grain coatings, altered permeable feldspar grains and pore-filling meshwork structures. Trans-vacant 1M illite represents the second and youngest generation of authigenic illite and occurs as fibrous to lath-shaped particles that grew into open pore spaces and led to a significant reduction in porosity and permeability during late diagenesis. Based on these results, a model for the formation of illite polytypes in the aeolian layers of the Bebertal sandstone was developed that describes the temporal and spatial evolution of porosity and permeability during diagenesis. Information from this model was then used to improve the prediction of permeability of the Bebertal sandstone based on µXCT pore space models and direct numerical simulations. To achieve this, a micro-scale pore space model was created that allowed the simulation of permeability reduction by clay minerals by including nanoporous illite domains based on a novel morphological algorithm. By performing Navier-Stokes-Brinkman simulations, more accurate predictions of permeabilities with respect to experimentally determined values were obtained compared to conventional Navier-Stokes simulations.
The detailed characterisation of the Bebertal sandstone has shown that natural reservoir rocks are usually complex heterogeneous systems with small-scale variations in texture,
composition, porosity and permeability. Flow-through experiments on the Bebertal sandstone revealed that the coupled geochemical and hydrodynamic processes that occur during the dissolution of calcite could not be predicted by reactive transport models. Therefore, as part of this thesis, a novel approach for developing synthetic sandstones at low temperatures based on geopolymer binder was developed. It is shown that simpler and more homogeneous porous materials can be produced with porosity and permeability values in the range of natural sandstones. These can be used to better understand the dynamic and coupled processes relevant to the storage of renewable energy in reservoir rocks through improved experimental constraints.
The final part of this thesis reports on a detailed clay mineral and pore space study of
three shale formations and one mudstone that were identified as potential seals for the Mt. Simon sandstone reservoir in the Illinois Basin. During the Illinois Basin - Decatur Project, this reservoir was used for the sequestration of one megaton of supercritical carbon dioxide. In order to better assess the quality of the sealing units and to better understand the role of the intergranular clay mineral matrix as potential pathway for fluid migration, a multi-scale evaluation was conducted that included thin section analysis, quantitative evaluation of minerals by scanning electron microscopy (QEMSCAN), mercury intrusion capillary pressure (MICP) measurements, quantitative XRD and high-resolution FIB-SEM. The results allow for the classification of the studied formations into primary and secondary seals and emphasise the importance of three-dimensional clay-mineral-related pore structure characterisations in cap rock studies. XRD proved the most reliable method for the identification and quantification of clay minerals in the studied cap rocks and mudstones. In contrast, FIB-SEM and QEMSCAN provided the spacial constraints for reconstructing fluid flow pathways within the clay mineral matrix.
Overall, this thesis highlights the importance of the precise identification of clay minerals in geological reservoirs and their cap rocks. It also illustrates the need for three-dimensional characterisation and modelling of the associated small pore structures for an improved understanding of the rocks diagenetic history as well as the prediction of the transport and storage properties of these crustal reservoir systems.
The UNESCO Man and the Biosphere Programme has been active in South Africa for almost 20 years. The country currently has six designated biosphere reserves with a few sites in various stages of the nomination process. Within the South African context, agencies are using a series of seemingly different instruments to practice landscape-scale management. The UNESCO biosphere reserve concept sometimes finds it difficult to obtain prominence amongst these different landscape initiatives. Biosphere reserves are special sites wherein sustainable development is promoted. For this reason, the biosphere reserve concept has much to offer towards long-term sustainable socialecological land management. In our modern age of population growth, dwindling natural resources and a general disconnectedness of humans from nature due to large scale urbanization, there is an urgent need for innovative ways in which to showcase sustainable living practices. South Africa has limited natural, economic and social resources and therefore needs to prioritize where these resources could best be allocated. This dissertation comprises the history of the MAB Programme in South Africa, as well as a multicase study on five existing biosphere reserves. Results from this study indicated that not all biosphere reserves are equally effective in their implementation of the three functions of biosphere reserves and that all biosphere reserves in South Africa face an uncertain future due to pressing challenges. Collective results of the multicase study as well as literature reviews were used to inform options for the future effective implementation of the MAB Programme in South Africa. Options that could contribute towards effective biosphere reserves include more sustainable funding support, and community-based demonstration projects. In addition a new suite of criteria to inform the selection of future biosphere reserves was developed. Biosphere reserves need to be optimally located in order to secure long-term efficiency and effectiveness. These sites need to be representative of biodiversity, efficiently managed and persistent in the long run. Presently in South Africa, new sites for biosphere reserves are nominated in an ad hoc manner. Should their locations be selected discerningly, they offer many benefits to the South African social and environmental landscape that should be recognized and utilized. The final suite of selection criteria are structured according to four subsections, namely a general section that addresses national matters of general concern to the MAB Programme, and three sections covering the three biosphere reserve functions of conservation, sustainable development and logistic support. This suite of biosphere reserve selection criteria for South Africa is being put forward for deliberation and discussion at local, provincial and national level. It has the potential to be of valuable assistance in selection processes for future effective and efficient biosphere reserves that will proudly earn their place in the South African landscape as “special places for people and nature”.
The southern Baltic Sea embodies an incomparable geological archive of the tectonic evolution of the 450 Ma old Trans‐European Suture Zone (TESZ). This WNW to NW trending suture formed during the collision of Baltica and Avalonia and has accommodated the repeatedly changing stress regimes since then, as evidenced by numerous fault zones and systems. The German offshore part in the vicinity of Rügen Island is strongly block‐faulted, with each block showing a specific geological pattern, enabling the reconstruction of the structural evolution of the area.
The work of this thesis is part of the USO working group of the University of Greifswald and the Geological Survey of Mecklenburg‐Western Pomerania, which aims to build a unified three‐dimensional tectonic model of the southern Baltic Sea area. This thesis presents the results of new structural investigations of the Arkona, Wolin and Gryfice blocks north and east of Rügen. Especially, conflicting structural analyses in the previous work are united into a consistent model.
The integrated interpretation of 144 reprocessed seismic vintage lines (original Petrobaltic data) and 23 high resolution academic seismic sections (from the Universities of Hamburg and Bremen), with additional consideration of on‐ and offshore wells, revealed 19 seismostratigraphic horizons that subdivide the succession between the Proterozoic basement and the Upper Cretaceous. Up to 100 faults of superior fault zones and systems control the tectonic situation. Besides NW trending deep faults formed during the Palaeozoic, for instance the Wiek and Nord Jasmund faults, and NNW trending Mesozoic faults and flexures that belong to the Western Pomeranian Fault System, other major faults such as the Adler‐Kamień Fault Zone document the polyphase evolution of this area.
The restoration of selected seismic sections support the evaluation of separately generated faults and their reactivation, leading to a subdivision of the tectonic evolution of the area into six stages:
(1) The Caledonian Orogeny (Ordovician/Silurian) was accompanied by a NE‐SW compression, resulting in the formation of the TESZ and an accretionary wedge within the upper crust. (2) The following S to SW trending extension of the Variscan Foreland (Devonian/Carboniferous) triggered the
evolution of the Middle Devonian Old Red Rügen Basin south of the Wiek Fault. Further WNW to NW trending faults (e.g. Nord Jasmund Fault) subdivided the basin. (3) The advancing Variscan Orogeny (Late Carboniferous) caused an increasing NE‐SW orientated compression and subsequently reactivated faults and tilted blocks (e.g. Lohme Sub‐block). (4) The North German Basin and Mid Polish Trough formed by thermic subsidence in the S to SE of the research area during the Permo‐Carboniferous. Simultaneously, the evolution of the Gryfice Graben as part of the Teisseyre‐Tornquist Zone commenced. (5) Due to the Arctic‐North Atlantic Rifting an E‐W trending extension increased. Consequently, grabens such as the Gryfice Graben continued their subsidence. As the stress system rotated counter‐clockwise, the shear strength increased along the NE trending faults. The Western Pomeranian Fault System developed due to intense transtension during the Keuper and Jurassic, and is characterised by pull‐apart structures. (6) In the Upper Cretaceous, a NE‐SW compression, forced by the Africa‐Iberia‐Europe convergence, triggered the reactivation of faults and flexures as reverse ones, the inversion of grabens (e.g. Gryfice Graben), and the formation of anticlines, for instance at the Wolin Block.
This thesis combines the calculation of gridded time structure maps and a detailed fault pattern analysis, and represents the base for a velocity‐ and subsequently depth‐based 3D modelling.
Glacitectonic deformation in the Quaternary caused the tectonic framework of large-scale folds and displaced thrust sheets of Maastrichtian (Upper Cretaceous) chalk and Pleistocene glacial deposits in the southwestern Baltic Sea area.
A wide spectrum of methods has been compiled to unravel the structural evolution of the Jasmund Glacitectonic Complex. The analyses of digital elevation models (DEM) suggest a division into two structural sub-complexes – a northern part with morphological ridges striking NW–SE and a southern part with SW–NE trending ridges. Geological cross sections from the eastern coast (southern sub-complex) were constructed and restored using the software Move™ and the complementary module 2D Kinematic Modelling™.
The final geometric model of the southern sub-complex shows a small-scale fold-and-thrust belt. It includes three different orders of architectural surfaces (see PEDERSEN, 2014): erosional surfaces and the décollement (1st order), thrust faults (2nd order), and beds outlining hanging-wall anticlines as well as footwall synclines (3rd order). Thrust faults of the southern structural sub-complex are mainly inclined towards south, which indicates a local glacier push from the S/SE.
The glacitectonic structures have a surface expression in form of sub-parallel ridges and elongated valleys in between. Geomorphological mapping and detailed landform analyses together with the structural investigations provide an insight into the chronology of sub-complexes formation. The northern part of the glacitectonic complex is suggested to have been formed before the southern one, considering the partly truncated northerly ridges and their superimposition by the southern sub-complex.
Although there is a high number of scientific publications on the glacitectonic evolution of Jasmund, these presented models often lack a consistent theory for the development integrating all parts of the 100 km2 large complex. Therefore, the combination of all results leads to a more self-consistent genetic model for the entire Jasmund Glacitectonic Complex.
Tourism is booming on global level since many decades and developing countries often capture tourism as a lever to push up their economy. Many regions in Vietnam invest lots of money in this development hoping to change the traditional economic structure. Located in the North Central Vietnam, about 170 km from Ha Noi capital to the south at the coastline, Sam Son is known as an ideal location for holiday makers. Currently the number of tourist has been counted to millions. Realizing its potential, the local authorities decided to enlarge and improve tourism to become the biggest tourism center in the North Central part of Vietnam. As many mass tourism destinations, Sam Son is facing several hidden drawbacks, which are generated by a (too) fast growth. Thats why unexpected problems may occur very soon. One path to mitigate weaknesses and to strengthen the positive impacts of tourism is to develop tourism in a more sustainable manner. As the very first step Sam Son needs to delineate a proper strategy and to establish a powerful "Destination Management System". Although several studies have been conducted already, the destination lacks reliable empirical data. This research intends to fill the gap by supplying concrete information with specific focus on “making tourism more sustainable”. In the study methodological triangulation has been applied to collect data and information. Besides literature review and secondary data analysis, two surveys - statistically well secured - have been conducted: A household survey with more than one thousand questionnaires to record the situation and opinion of local people and a visitor survey with 1139 face-to-face interviews to collect structural data about current guests in Sam Son as well as to explore their behaviour. Moreover expert and stakeholder interviews were included to supplement the information basis. As the research acquired the information directly from local people and from tourists by face-to-face interviews several weaknesses could be unveiled which official statistical data cannot show. There are three facets out of balance in terms of economic benefit: Compared with the political awareness and the financial support the tourism sector does not ensure the livelihood of an adequate number of people; the economic benefits from tourism are very unequally distributed and also the spatial dimension indicates a strong imbalance - only people living directly in the core area of tourism participate in tourism sector, the positive impact of tourism does not reach till the outskirts. In addition social and environmental problems are recognized by a majority of local people as consequences of tourism in the region. Regarding the touristic demand side a very low level of satisfaction has been detected: A small variety and low quality of touristic offers are the main reasons of dissatisfaction. The most exiting finding is that tourists treasure environment in the destination, whereas this aspect is underestimated in the locals view. In addition, tourists are really willing to pay for an improvement of environmental and touristic quality! Even if the amount of voluntary payments is very low, the total sum can enable the local government to develop the destination in a very proper way. Although this is a case study the results deliver valuable information and furthermore a concrete delineated roadmap for all destinations, which are in the same situation as Sam Son today. It is an example how to analyze and evaluate the present condition and how to continue in a proper way towards a more sustainable tourism development.
Weltweit nimmt der Druck auf die natürlichen Wasserressourcen zu. Dies hat unterschiedliche Gründe, ist jedoch zum größten Teil verursacht durch einen stetig ansteigenden Bedarf. Faktoren wie Bevölkerungswachstum, die In- und Extensivierung landwirtschaftlicher Produktion, veränderte Lebensstile mit gleichzeitiger Erhöhung des individuellen Wasserverbrauchs, tragen regional unterschiedlich zu einer Verknappung bei. Neben dem anthropogenem Einfluss auf Wasserressourcen stellt Klimawandel ein zusätzliches Problem dar. Viele Länder sind sich der begrenzten Verfügbarkeit ihrer Ressourcen zwar bewusst, einfache Lösungen zur nachhaltigen Bewältigung des steigenden Bedarfs existieren jedoch zumeist nicht. Momentan folgen die meisten Länder dem Paradigma des ökonomischen Wachstums, um Ernährungssicherheit, Beschäftigung und sozialen Fortschritt zu gewährleisten. Die exzessive Ausbeutung natürlicher Ressourcen stellt immer noch den Standard dar, um sozio-ökonomische Entwicklung zu ermöglichen. Daher ist bei der Vereinbarung von ökonomischem Wachstum und Umweltnachhaltigkeit nur schwer ein Fortschritt zu erkennen. In diesem Zusammenhang spielt Wasser eine Schlüsselrolle: der Zugang zu und die Nutzung von Wasser war und ist eine wesentliche Voraussetzung für sozio-ökonomische Entwicklung. In den vergangenen Jahrzehnten wurden kritische Wasserlimits trotz wachsenden Bedarfs überschritten. Demnach mangelt es in vielen Ländern an einem angepassten Wassermanagement. Zudem sind Maßnahmen zum Schutz der Wasserressourcen insbesondere im Hinblick auf eine zukünftige Nutzung unzureichend. Nord-Afrika ist eine Region mit schwerwiegenden Problemen bezüglich ausreichender Wasserverfügbarkeit. Die Übernutzung hat bereits zu einem alarmierenden Rückgang vorhandener Frischwasserressourcen geführt. Wasser ist aber gleichermaßen die Schlüsselressource für ökonomisches Wachstum und sozio-ökonomische Entwicklung. Daher ist die Implementierung einer adäquaten Wasserbedarfsteuerung unentbehrlich. Der thematische Fokus dieser Dissertation liegt auf der Analyse der problematischen Wassersituation im nordöstlichen Marokko. In der Region sind Wasserressourcen in hohem Maße vulnerabel durch einen stetig steigenden Bedarf. Dieser ist verursacht durch Bevölkerungswachstum, hohen landwirtschaftlichen Bewässerungsbedarf sowie durch die jüngst erfolgte Etablierung eines wasser-intensiven Tourismussektors. Zusätzlich wirkt sich Klimawandel auf die bereits übernutzten Ressourcen aus. Der momentane Mangel an angepassten Strategien als Antwort auf die Herausforderungen eines steigenden Bedarfs verstärkt durch Klimawandel hat negative Auswirkungen auf die regional angestrebte sozio-ökonomische Entwicklung. Diese Dissertation untersucht die Gründe einer sich verringernden regionalen Wasserverfügbarkeit unter Einbeziehung des menschlichen sowie des klimatischen Einflusses auf das Wasserbudget. Die regionale Ökonomie hängt ab von der ausreichender Wasserverfügbarkeit. Wasserpolitiken sind daher wichtig und sollten die Ursachen der Wasserprobleme realistisch betrachten. Der räumliche Rahmen vorliegender Analyse ist das Einzugsgebiet des Moulouya-Flusses. Dieses stellt eine hydrologische Einheit dar, und umfasst ca. 54.000 km2. Der Fluss selbst hat eine Länge von ca. 600 km und mündet in einem Delta mit einzigartigen Feuchtgebieten an der Küste des Mittelmeers. Der Moulouya-Fluss ist der wichtigste Frischwasserversorger der gesamten nordöstlichen Landesregion. Mit einer jährlichen Niederschlagsumme von ca. 330 mm gehört die Region zu den trockensten des Landes. Ein Ziel der vorliegenden Arbeit ist es, Forschungslücken zu füllen und Information bereitzustellen, die Zusammenhänge der Exponiertheit gegenüber Wasserstress verdeutlichen können. Zudem soll die Etablierung eines verbesserten Wassermanagements als Grundlage sozio-ökonomischer Entwicklung unterstützt werden. In einer interdisziplinären Herangehensweise wird Wasserknappheit in der Region empirisch analysiert. In vier wissenschaftlichen Artikeln werden die Gründe und das Ausmaß von Vulnerabilität sowie der Entwicklungs-Governance-Kontext im Hinblick auf Wasserknappheit untersucht. Artikel I erörtert die spezifischen regionalen Probleme der Küstenzone, die sich unter starkem Entwicklungsdruck befindet und die Auswirkungen des Klimawandels bereits spürt. Artikel II kontrastiert den menschlichen Einfluss auf Frischwasserverfügbarkeit (Indikatoren: Bevölkerungswachstum, Wassernachfrage) mit den möglichen Auswirkungen einer regionalen Klimaveränderung (Indikatoren: Niederschlag, Temperaturen, Evapotranspiration). Artikel III analysiert den zusätzlichen Wasserbedarf in Nord-Ost-Marokko, der durch die Etablierung von Luxustourismusresorts entsteht, die in der Küstenzone errichtet werden. Artikel IV diskutiert die Nachhaltigkeit der regionalen Entwicklungspläne im Lichte des Wasserproblems. Die Ergebnisse zeigen, dass die Wassernachfrage die Wasserverfügbarkeit bereits überschritten hat. Bevölkerungswachstum und wasserbasierte ökonomische Entwicklung werden diesen Trend verstärken, so dass die Region mit hoher Wahrscheinlichkeit unter problematischen Wassermangel leiden wird. Die Analysen regionaler Klimatrends deuten hin auf eine Verschiebung der Niederschlagsmuster bei gleichzeitigem Rückgang der Niederschlagssummen. In Verbindung mit den aktuellen Nachfrageraten ist die Verfügbarkeitsgrenze bereits überschritten. Regierungspläne, die den Ausbau des Luxustourismus fördern, haben zum Ziel, die regionale Ökonomie zu diversifizieren und die Abhängigkeit vom Agrarsektor zu reduzieren. Luxustourismus ist allerdings auf permanente Wasserversorgung angewiesen und wird dadurch eine zusätzliche Belastung für die regionale Wasserverfügbarkeit darstellen. Alle vier Artikel betonen die Notwendigkeit für rasche soziale und institutionelle Antworten auf die beschriebenen Herausforderungen, um die Wasserversorgung zu gewährleisten. Daher werden folgende Empfehlungen formuliert: • Erhöhung der Wassereffizienz (z.B. durch modernisierte Bewässerungstechnologien, “green water management” für regenwasser-gespeiste Bewässerung); • Etablierung moderner Wassertechnologien zum Wasserschutz, oder unkonventioneller Wasserproduktion); • Etablierung urbaner und ländlicher Abwassersammlung und –behandlung, sowie Wiederverwertung; • Einbeziehung von Klimawandel in Berechnungen des zukünftigen Wasserbudgets; • Aufbau von kleinskaligen Wasseraufbereitungsanlagen für wasserintensive Unternehmen, z.B. Tourismusinfrastrukturen. Derartige Maßnahmen sind kostenintensiv. Dennoch ist es das Ziel dieser Dissertation zu betonen, dass natürliche Wasservorräte begrenzt und in Nord-Ost-Marokko bereits stark degradiert sind. Ein besseres Verständnis der jeweiligen Einflussfaktoren, anthropogen oder klimatisch verursacht, ist die Basis für die Implementation problem-ausgerichteter Anpassungsstrategien. Anthropogen verursachte Auswirkungen können durch Politiken beeinflusst werden. Wenn wasserbasierte Volkswirtschaften nicht adäquat auf den zunehmenden Druck auf Wasserressourcen reagieren, riskieren sie ökonomisches Scheitern.
Tourism is a multifaceted economy and based on existing nature, as well as on culture in a geographical space to become a successful destination for tourism. The topic of this survey is how tourism in the transitioning country of Vietnam influences culture and nature or vice versa. A special focus will be on the transitioning aspect. This study gives insights about how in the transitioning country of Vietnam, tourism can act as an additional driver of change in terms of nature and culture or if tourism is only adapting to these changes. Therefore in the beginning the subject of ‘social-ecological transformation’ is described and furthermore the situation in Vietnam will be introduced. The key aspects here will be within the range of geography and sociology. It becomes evident, that scientific views on this topic are rather diverse, but nevertheless many theoretical aspects can be observed also in the investigation area Vietnam. Within the country several aspects of economic transition already became reality, while others, like social, ecological or political reforms, are still at the beginning. The empirical part of this study deals with existing thoughts, according to the topic of transition, in relation to tourism development and respectively to environmental understanding, by analyzing and comparing positions of 21 international and Vietnamese experts, 569 international tourists and 710 Vietnamese students. By doing so, similarities within opinions about tourism development and the environmental situation in the country became observable. While tourism is rated as a mostly positive development, the current environmental situation has mostly been criticized by all survey participants. Apart from that, connections between both aspects (tourism economy and nature) are often of no importance or the relationship is identified to be just a rudimentary one. In case of these opinions, involvement within one social group and personal experience is of larger importance than cultural conditioning (European or Asian), e.g. own travels, own jobs and own education. This fact becomes visible by very similar ratings of environmental problems on the one hand and the beauty of natural landscapes on the other hand, done by both survey groups; namely international tourists and Vietnamese students.
Coastal and marginal seas – like the Baltic Sea – serve as natural reaction sites for the turnover and accumulation of land-derived inputs. The main location for the modification and deposition of the introduced material is, in most cases, not the water mass, but the sediment. Its key function as central reactor in the interaction between land and sea has so far been insufficiently studied and assessed. This study was part of the interdisciplinary SECOS project that aimed to identify and evaluate the service functions of sediments in German coastal seas in the context of human use with a focus on the Baltic Sea. One of its goals was to assess sediment functions related to the intermediate storage or final sink of imported material like nutrients and contaminants, and quantify their inventory as well as their mass accumulation rates on multi-decadal to multi-centennial time scales. For that, a detailed examination of the natural and anthropogenic processes that interfere with sediment accumulation in the south-western Baltic Sea basins is essential.
Diese Studie basiert auf der Annahme, dass die Analogien zu kaltzeitlichen Ökosystemen Mitteleuropas nicht im hohen Norden Europas bzw. Nordasiens zu suchen sind, sondern dass man sie viel weiter im Süden in den kühl-kontinentalen Gebieten von Innerasien erwarten kann. Die kaltzeitlichen Weichtierfaunen Mitteleuropas unterscheiden sich wesentlich von den gegenwärtigen subpolaren Mollusken-Beständen durch das Auftreten einer Reihe von Steppenarten. Darunter befindet sich auch das xerotherme Element Pupilla triplicata, welches rezent ebenfalls in Zentralasien vorkommt. In diesem Zusammenhang ist auch bezeichnend, dass kaltzeitliche Mollusken-Leitarten, z. B. Vallonia tenuilabris, Vertigo pseudosubstriata oder Pisidium stewarti, zunächst aus dem Quartär Mitteleuropas beschrieben und überraschend Jahrzehnte später rezent in Zentralasien entdeckt wurden. Weitere „Lebende Fossilien“, beispielsweise rezente Belege von Pupilla loessica, waren deshalb noch zu erwarten. Entsprechende vergleichende Untersuchungen von pleistozänen mitteleuropäischen und rezenten zentralasiatischen Faunen fehlten bisher. Zur Beleuchtung der Geschichte der quartären Umwelt in Europa wird deshalb mit diesem Beitrag ein neuer Weg gegangen. Die Grundlage für diese Studie bilden zahlreiche Rezent-Aufsammlungen von zentralasiatischen Gastropoden-Gemeinschaften aus dem Tienschan (Kirgisien, Kasachstan), dem Russischen Altai und dem Baikal-Gebiet (Russland) sowie aus der N-Mongolei. Außerdem liegt auch aus dem Quartär (Mittel- und Jungpleistozän) von Zentralasien, insbesondere aus S-Tadschikistan, S-Kasachstan und N-China, Mollusken-Material vor. Wegen unterschiedlicher Vorstellungen zur Systematik innerhalb einiger Gruppen der Gastropoden in Zentralasien, betroffen sind u. a. die Vertiginidae, Pupillidae und Valloniidae, und wegen aktueller Revisionen, z. B. zur Gattung Vallonia, waren für den angestrebten objektiven Vergleich rezenter und fossiler Faunen Teilrevisionen erforderlich, die nicht nur zoogeographische Probleme neu beleuchten sondern auch die Beschreibung neuer Spezies beinhalten. Neue Erkenntnisse zu den Vertiginidae liegen vor allem zur Verbreitung von Vertigo substriata, V. lilljeborgi, V. genesii, V. geyeri, V. alpestris und V. parcedentata in Zentralasien vor. Die aktuellen zoogeographischen Daten dieser bis in die jüngste Vergangenheit als „Europäische Endemiten“ bewerteten Arten, sind für die Interpretation paläozoogeographischer Prozesse im eurasischen Raum von größter Bedeutung. Bei den Pupillidae wurden bspw. Pupilla alluvionica, P. altaica und P.seminskii neu beschrieben. Kartiert wurde die Verbreitung einer bisher aus Zentralasien unbeschriebenen Form von Pupilla, welche gehäusemorphologisch der mitteleuropäischen Kaltzeitleitart P. loessica entspricht. Offenbar handelt es sich um ein „Lebendes Fossil“. Der Verbreitungsschwerpunkt von P. cf. loessica befindet sich im stärker kontinental geprägten SE-Altai. Für den konkreten Vergleich pleistozäner Kaltzeit-Faunen des mitteleuropäischen Raumes mit rezenten Faunen in Zentralasien orientierte sich der Verfasser exemplarisch an Mollusken-Assoziationen, die Vallonia tenuilabris enthalten. V. tenuilabris ist im Pleistozän des mitteleuropäischen Raumes eine der am weitesten verbreiteten kaltzeitlichen Leitarten und ist rezent als kälteadaptierte Form bspw. auch in Zentralasien häufig. Unter Fokussierung auf V. tenuilabris und deren Begleitfaunen ergab sich die praktikable Chance, stellvertretend fossile und rezente kälteangepasste Faunen miteinander zu vergleichen. Dabei konnte verdeutlicht werden, dass die pleistozänen kaltzeitlichen Faunen Mitteleuropas die engsten Beziehungen zu den rezenten Faunen im südlichen Taigagürtel (Altai, N-Mongolei, Baikal-Gebiet) aufweisen. Die rezenten Habitate von V. tenuilabris in Zentralasien befinden sich erwartungsgemäß in Gebieten mit Jahresdurchschnittstemperaturen, die deutlich unter 0°C liegen. Die bevorzugten Habitattypen reichen zwar von mesophilen Wiesen, lichten Wäldern bis in die feuchteren Hochgebirgszonen, jedoch zeigt die Art eine deutliche Präferenz zu feuchteren Habitaten, wie Sümpfe, Auen und Gewässerufer, feuchte Wiesen und Hochgebirgs-Tundren. Für die Interpretation fossiler Gemeinschaften bedeutet dies, dass V. tenuilabris nicht, wie so oft angenommen, eine ausgesprochene Leitart kaltzeitlicher Steppen darstellt, sondern viel eher feuchtere kaltzeitliche Phasen bzw. feuchtere Habitate dominiert.
Recent geochemical and mineralogical alteration processes in tropical coastal sediments of Vietnam
(2006)
The dissertation contains two main parts: (i) Syn-sedimentary hydrodynamic processes & relationship with elemental distribution, clay matter, (ii) Short-term mineral alteration during early diagenes. Samples were taken from the uppermost one metre (<50 year old in RRD, < 300 y old in south central VN). In part one, three principal hydrodynamic factors can be revealed based on End-Member Modelling Algorithm (EMMA), for the polymodal grain-size distribution patterns in coastline of VN (i) Accumulation factor: accumulation of terrigenous sediments linked with a grain size separation (distance dependence), (ii) Erosion factor: synsedimentary erosion by wave activities, (iii) Aeolian factor: deposition from neighbour sand bar by wind (typically only for low sedimentation rate, like in South Central Coast but not to detect in RRD). Distributions of clay matter and chemical elements in the coastal sediments in Vietnam are strongly influenced by hydrodynamic forces (distance from the coastline). In part two, particle-wise analysis by TEM allowed to determined four main mixed layer series: di-Vermiculite/Smectite-ml, Kaolinite/ Expandable-ml, Illite/Smectite-ml, Chlorite/Saponite-ml. Three principal mineral alteration processes can be detected in coastal sediments during early diagenesis: Dissolution, Smectitization, Kaolinitization, based on XRD (CSD, peak area) & TEM-EDX (particle morphology, chemical formula, polytype, particle frequency). Dissolution process of clay matter is typically in the coastal alkaline condition. It is a function of diagenetic time. Dissolution begins with a higher degree of dislocation and is followed by step-wise delamination & dissolution of the first stacks Smectitization (mirrored in diVS-ml series) alters mica-like structures (illite, dioctahedral vermiculite) to smectitic structures (Beidellite, Montmorillonite). Smectitization process occurs in group-wise layer by layer transforming mechanism (mica-like layer to smectitic layer). Each step is indicated by a gauss-like distribution of the octahedral layer charge with K as trigger. Kaolinitization of KE series alters smectitic structure (beidellite, smectitic KE-ml) to kaolinitic structure (kaolinitic KE-ml, kaolinite) "interlayer by interlayer" transformation of KE-ml series is comparable to kaolinitization mechanism discussed by Dudek et al. (2006).OH- groups in ambient could be the trigger. Mangroves biota influences the sediments in two main pathways: Nutrients supply & trapping function (clay matter, heavy metals)Interaction of active root-layer: intensification of dissolution, smectitization & kaolinitization: uptake of K, Na by mangrove root is possible trigger Human activities like shrimp cultivation have stopped the influences of the former active roots.Besides, erosion process related to water discharge gives rise to dispersion of clay species & heavy metals => more toxic for ecosystem.
Underground hard coal mining operations irreversibly disrupt the pre-existing mechanical equilibrium of the geological media. The employment of high-recovery methods modifies the stress field of the sedimentary sequence, generating movement and faulting of the rock layers above and below mined seams. These new fracture zones do affect the original conditions of the hydrogeological system by modifying flow pathways and increasing the permeability of the rock sequence. Moreover, the surface area of rock exposed to air and water is increased, conditioning the water-rock interaction. Despite this rather clear conceptualization, flow and reactive transport processes in fractured overburdens are rarely modeled simultaneously. Discrete setups that consider fractures and porous matrix require extensive characterization of both media, which is impractical for regional case studies. As a result, most post-mining models explicitly ignore fracture structures by employing the equivalent porous approach or even both media with lumped parameter models. However, omitting either medium represents a delicate simplification, considering that mining-related fractures control the rate and direction of water flow within moderately permeable but relatively highly porous rock sequences.
In this dissertation, the specific contribution of fractured and matrix continua to the transient discharge and water quality of a post-mining coal zone is quantified and evaluated. For this purpose, dual and multiple interacting continua models are employed to simulate fluid flow and reactive mass transport in fractured and variable water-saturated rock sequences. The effectiveness of the models is evaluated by simulating the origin, generation and transport of acid mine drainage (i.e., water with elevated concentrations of hydrogen, iron, sulfate and chloride) within the shallow overburden of the Ibbenbüren Westfield. Compared to other coal districts in Germany, this area is strongly delimited by the local geology and topography, resulting in a well-defined hydrogeological system to test the models. Petrographic and chemical analyses performed on core samples from the area show the strong influence of mining-derived fractures on the water-rock interaction within the Carboniferous sequence. The presence of oxidized pyrite along with amorphous iron hydroxide phases in weathering fronts on both sides of the fractures demonstrates the exchange of solutes and gases between the fractured and the porous matrix media.
Based on the previous evidence, the TOUGHREACT software is employed to characterize flow and reactive transport processes in the Westfield. However, each of the two processes is simulated at separate stages to have more control in the adjustment of sensitive parameters for which little information is available. For the flow component, a dual continuum model, with Richard’s equations is used to characterize the unsaturated water flow in both fractured and matrix media. Under this approach, the model adequately reproduces the bimodal flow behavior of the discharges measured in the mine drainage for the years 2008 and 2017. Simulation results show how the fractured continuum generates intense discharge events during the winter months while the rock matrix controls smooth discharge limbs in summer, when water is slowly released back to the fractures. With the flow component calibrated, the second part of the study incorporates the geochemical processes into the model based on actual data from the rock samples. Their simulation requires extending the two-continuum setup to a multiple continua model with five nested block strings: one for the fractures and four for the rock matrix. This further subdivision prevents under-representations of kinetic reactions with short equilibrium length scales and numerical instabilities due to lack of chemical and flow gradients. As a result, the new multiple continua model provides good agreement with respect to long- and short-term concentrations and discharge trends measured in the mine drainage. The flow of oxygen and meteoric water through the fractured continuum leads to a high and steady release of hydrogen, iron and sulfate ions derived from pyrite oxidation in the matrix continua closest to the fractures. Moreover, high chloride concentrations result from the mixing and gradual release of relatively immobile solutes in the matrix as they interact with percolating water in the fracture. Both findings are equally congruent with the reactive pyrite oxidation and iron hydroxide precipitation fronts identified in the fractured core samples.
In the end, the multiple continua models, the simulation procedure and the results of the benchmark and sensitivity analysis scenarios developed for the Westfield pave the way for the application of the approach in other mining zones. The first candidate emerges in the Ibbenbüren Eastfield, where a coupled elemental-isotopic approach included in this thesis has confirmed that water-conducting fracture zones are primary elements for solute generation and transport in the first 300 meters of the overburden. In the latter case, calibration and verification of the models can be complemented with measurements of δ34S in sulfates and δ18O, δ2H, and Tritium in water.
The present work is a paleolimnological orientated approach to refine and improve the indicator ability of freshwater ostracods from Holocene and Late glacial deposits in northeast Germany. The thesis follows two different approaches, one utilizes quantitative paleoenvironmental analysis, while the other evaluates ecological investigations of living specimens to extend the potential indicator group. For the first time quantitative ostracod analysis are carried out for a lacustrine basin (lake Krakower See) and a near-shore locality (Pudagla lowland) in the study area. The ecological investigation of living ostracods comprises 96 localities. The evaluation focused on environmental variables, which explain significantly the species composition. A canonical correspondence analysis identified at least four environmental parameters - water temperature, conductivity, pH-value, and mean water depth – which have an effect on ostracod assemblages. An extended analysis, which included only a subset of lake sites, revealed also that the former three environmental parameters affect the ostracod lake fauna, whereas the water temperature is the dominant factor. A temperature-transfer function could be regressed and calculated from the given trainingset by a weighted average model. These estimates can now be use in future paleolimnological investigations in northeast Germany to quantify the paleotemperature.
Für den erfolgreichen Erhalt von Natur und Landschaft sowohl in Schutzgebieten als außerhalb davon ist die Akzeptanz der jeweiligen Gebietsbewohner notwendig und ihr aktives Engagement hilfreich. Häufig gibt es jedoch Widerstand gegenüber Naturschutzmaßnahmen und wenige aktiv Engagierte. Ein Grund wird in der überwiegend naturwissenschaftlichen Argumention gesehen, die offenbar die Bedeutung von Natur und Landschaft für die Bevölkerung nicht ausreichend widerspiegelt. In der vorliegenden Arbeit wird daher der Frage nachgegangen, ob und wie ästhetische und emotionale Wertschätzungen das Portfolio von Argumenten für den Natur- und Landschaftserhalt bereichern können. Das empirische Material wurde im Rahmen eines Forschungsprojektes (gefördert von der Deutschen Bundesstiftung Umwelt, DBU, 2009-2012) gewonnen, dessen Ziel die Entwicklung und Erprobung von Erhebungsmethoden für ein sozioökonomisches Monitoring in den vier UNESCO-Biosphärenreservaten Mittelelbe, Schaalsee, Schorfheide-Chorin und Südost-Rügen war. Der zentrale Fokus der vorliegenden Arbeit mit soziologischer Forschungsperspektive liegt darauf, wie die Bewohner der vier untersuchten Biosphärenreservate ihre Region emotional und ästhetisch wertschätzen. Neben geographischen wurden vor allem die soziologischen Theorieansätze Social Identity Theory (SIT) und die Identity Process Theory (IPT) erörtert, um mögliche emotionale und ästhetische Argumente fundiert einordnen zu können. Es wurde eine quantitative CATI-Befragung mit mindestens 300 Interviews pro Biosphärenreservat auf der Grundlage einer Zufallsstichprobe durchgeführt. Die Daten wurden neben deskriptiven Untersuchungen mittels binär logistischer Regressionsanalysen und Varianzpartitionierungen als schließende statistische Methoden untersucht. Ein grundlegendes Ergebnis der Analysen ist, dass die Bewohner in allen vier Gebieten eine hohe regionale Verbundenheit aufweisen. Weiterhin scheinen Natur und Landschaft maßgeblich zur emotionalen Verbundenheit zur Region beizutragen. Außerdem stellte sich heraus, dass regionale Verbundenheit sowohl allgemein als auch mit explizitem Landschaftsbezug wichtige Themen für viele Menschen sind und kein Nischenthema einer speziellen Personengruppe darstellen. Denn zwar scheinen einige soziodemographische und andere Faktoren die emotionale Verbundenheit zu verstärken, diverse Parameter, wie etwa Geschlecht und ehrenamtliches Engagement, spielen dagegen aber kaum eine Rolle. Aus den Ergebnissen wurden folgende Handlungsempfehlungen für die Argumentation für Natur- und Landschaftserhalt abgeleitet: (1) Natur und Landschaft haben eine hohe emotionale und ästhetische Bedeutung für viele Bewohner, daher sollten alle raumwirksamen Aktivitäten umfangreich und so zeitig wie möglich erläutert und diskutiert werden. (2) Landschaftliche Vielfalt wird geschätzt und Natur und Landschaft werden nicht als rein stereotype Ansammlung von Landschaftselementen wahrgenommen, sondern mit regionsspezifischen Charakteristika. Wenn Maßnahmen in Natur und Landschaft zu diesen ästhetischen Werten beitragen haben sie ein großes Potenzial, die Unterstützung für Naturerhalt zu erhöhen. Daher wird empfohlen, diese Einflüsse der Maßnahmen besonders zu betonen. (3) Der Bildungsstand scheint grundsätzlich ein besonders wichtiger Faktor für die untersuchten Phänomene zu sein. Daher wird geraten, wenn möglich, die zielgruppenspezifische Kommunikation mit ästhetischen und emotionalen Argumenten sowie Angebote für ein Engagement so auszugestalten, dass Personen aus verschiedenen Bildungsmilieus erreicht werden. (4) Um Menschen für ein naturerhaltendes Engagement zu motivieren wird empfohlen, allgemein an der Region interessierte Personen zu suchen und anzusprechen. (5) Es scheint ratsam, bei der Formulierung von emotionalen Argumenten für den Erhalt von Natur und Landschaft auf den Begriff Stolz zu verzichten. Der Terminus findet unter Akademikern weniger Zustimmung, wenngleich sie eine hohe regionale Verbundenheit haben können. Der Heimatbegriff sollte nur benutzt werden, solange er sich auf kollektiv geteilte, eudaimonistische Werte bezieht und zukunftsgerichtet verwendet wird. (6) Neben der regionalen Verbundenheit können besonders die eudaimonistischen Werte Ruhe, Erholung und andere nicht mit Naturschutzzwecken konfligierende Freizeitnutzungen zielführend in der Argumentation für den Naturerhalt sein. Insgesamt wird für den Natur- und Landschaftserhalt tätigen Akteuren empfohlen, das offensichtlich bestehende Potenzial ästhetischer und emotionaler Argumente stärker zu nutzen und naturwissenschaftliche Argumente damit sinnvoll zu ergänzen. Die in dieser Arbeit diskutierten Ergebnisse liefern dafür eine fundierte Grundlage, da sich aus der nun vorliegenden vergleichenden Analyse von vier unterschiedlichen UNESCO-Biosphärenreservaten in Deutschland belastbare Empfehlungen ableiten lassen, die deutlich über die Untersuchungsgebiete hinaus anwendbar sind.
Durch die Entstehung neuer Pilgerwege erhoffen sich die Initiatoren eine touristische Erschließung peripherer Räume. Ähnlich beim Projekt des Pommerschen Jakobsweges, welches das Küstenhinterland des südlichen Ostseeraumes im Zuge der Revitalisierung einer kulturhistorischen Pilgerroute touristisch aufwerten soll. Ziel dieser tourismusgeographischen Studie ist es, das Potential des Pommerschen Jakobsweges im Hinblick auf die Nachfrageseite zu untersuchen und Handlungsmöglichkeiten aufzuzeigen. Die Arbeit dient zudem als Konzeption und Leitlinie für zukünftige Projekte und setzt sich kritisch mit gegenwärtigen Forschungsergebnissen auseinander. Der Fokus der Untersuchung wird dabei auf die reisespezifischen Aspekte des Pilgerns sowie die Funktion des Pilgerweges als touristisches Produkt gelegt. Als Ergebnis wurden fünf Reiseformen herausgearbeitet, die inmitten des alternativen Pilgertourismus eine besondere Rolle übernehmen und die nachgewiesene, starke Nachfrage an peripheren Pilgerwegen mitgestalten.
Climate change has strongly affected mountain forests through an increasing intensity and frequency of disturbances and forest dieback in recent decades. However, given the strong relevance of forest dieback and potential impacts on forest stakeholders and local inhabitants, it is surprising that this research field is seldom investigated to date. Therefore, this study deals with the perception of climate change-related consequences as well as possible silvicultural adaptation strategies for the Bavarian Forest. Since it can be assumed that various forest ecosystem services will be increasingly in demand in the future, participation by all stakeholders is essential. Therefore, a sequential, mixed-method approach (qualitative and quantitative survey) allows developing concrete guidelines and strategies for adaptive management, in which the diverse social demands on forests can be adequately taken into account.
The New Zealand coal covering the complete maturity range from peat to high volatile bituminous, thus from early diagenetic to catagenesis coalification levels, has been studied in order to bring out new insights into molecular alterations, macromolecular structural evolution, elemental-compositional changes as function of maturation and to propose which processes cause these changes. As particular note from the previous observations that many immature coals from around the world often have rather high extraction yields. It is uncertain whether or not bitumen affecting on petroleum potential and structural evolution of coals. My purposes were therefore to find out the possible interaction between kerogen and bitumen during pyrolysis, and to elucidate the role of bitumen in defining petroleum potential and structural evolution of coals. Furthermore, it is assumed that low rank coals appear to be well suited for feeding the deep subsurface microbes. The products are released as either CO2 or CO that could be substrates for microbial activity. Thus, in this dissertation, I have calculated the loss of CO2 during diagenesis to give the quantitative feeding potential link to deep biosphere, using a mass balance model. To achieve these purposes, at the primary step, the facies variability as well as the molecular compositional changes within the coal band sequence in regard to distinguish the influences of organofacies and maturity need to be clear. Hence, the first aim was to gather information about depositional environment and insights into the plant communities that have contributed to New Zealand coals. Numerous organic-geochemical techniques were used to analyse the free lipids and macromolecular organic matter. Total organic carbon determination (TOC), bulk δ13Corg isotope analysis, the Rock-Eval pyrolysis, pyrolysis- gas chromatography and infrared spectrometry were performed on the original samples and the residue after solvent extraction. The crude lipid extract was separated into fractions that were then analysed by gas chromatography and gas chromatography-mass spectrometry. The obtained data shows that organic matter of New Zealand coals contains mainly terrestrial higher plant material, with a more or less constant background supply of bacterial biomass, deposited in oxidising environment. Angiosperms contributed as the main proportion of the organic matters. Gymnosperms, particularly the Podocarpaceae, Cupressaceae, Taxodiaceae, Pinanceae and Araucariaceae conifer species, still dominated during the Cretaceous. New Zealand coal is classified as mixed gas- and oil-prone. Hydrogen index values increase from 120 to 280 (mg/g TOC) with increasing maturity, which has been explained by the loss of oxygen during diagenesis. A Transformation Ratio of CO2 (TRCO2) has been formulated here in order to quantify the loss of CO2 for any given coal type. It obviously shows CO2 generation is one of the major features of diagenesis that might feed the deep biosphere. In case of study, about 10 to 105 mg CO2 per gram of total organic carbon have been released during maturation from peat to high volatile bituminous. This is equivalent to 0.23 to 2.4 millimoles CO2 per g TOC. For methanogenesis via CO2 reduction, between 0.92 and 9.6 millimoles hydrogen would be required for complete CO2 reduction during diagenesis. Future work must determine if this is feasible or not. The important role of bitumen in defining the petroleum generation potential was elucidated. The presence of hydrogen transfer agents in bitumen helps to stabilize free radicals hence prevents recombination/ repolymerization processes thus preserving the petroleum generating potential in original coals. Specially, second-order reactions between kerogen and bitumen occurred during pyrolysis that reduce the primary gas yield, but increase the potential secondary gas as well as oil yields. Therefore, it is proposed that pre-extraction of source rocks before pyrolysis, especially coals where extraction yields are particularly high, is not recommended. The comparative investigation with previously studied higher rank Carboniferous German coals showed an excellent fit for both pyrolysis and infrared spectrometry data, suggesting that the New Zealand coals can be considered as natural precursors of the German coals. The structural evolution of coals during maturation is firstly characterized by the enrichment of the aliphatic structures in low rank, peat to high volatile bituminous, then decreases with further maturation. This enrichment of aliphatic carbon content in low rank is accompanied by an increase in the average aliphatic chain length. A slightly enrichment of CH3 group is observed in maturity range 0.9- 2.1% vitrinite reflectance. Secondly, during coalification the content of protonated aromatic carbons increases until R0 ~ 1.6%, then decreases with further maturation.
Die auf der Kola-Halbinsel gelegene Oblast‘ Murmansk war weltweit die erste Territorialeinheit mit polarem Klima, die ab den 1920-er Jahren im Rahmen der sowjetischen Industrialisierung mit Strukturen zur Rohstoffgewinnung ausgestattet wurde. Aufgrund der hohen Bedeutung der hier gefundenen Elemente (Apatit, Buntmetalle, Eisen, Glimmer, Seltene Erden) wurden zahlreiche Städte und Siedlungen in dieser klimatisch sehr schwierigen Region errichtet und bis zum Ende der Sowjetunion weiter ausgebaut. Die Einwohnerzahl wuchs in dieser Zeit um das 50-fache auf rd. 1,2 Mio. an. Zu den Förderindustrien kommen die Funktionen als Verkehrsknotenpunkt für den russischen Außenhandel und die Versorgung nordsibirischer Rohstoffstandorte sowie als Standort der russischen Nordmeerflotte. Obwohl Wirtschaftsprofil und Bedeutung für das Mutterland nach dem Zusammenbruch der Sowjetunion erhalten werden konnten, bestehen schwerwiegende sozioökonomische Probleme, deren deutlichster Ausdruck ein im russischen Vergleich weit überdurchschnittlicher Einwohnerverlust ist. Mit dem Ziel einer Bewertung von Zukunftschancen und -risiken schildert das vorliegende Buch die gegenwärtigen Strukturmerkmale der Region, ihre sozioökonomische Verflechtung sowie ihre Einordnung in administrative, fiskalische und ökonomische Hierarchien Russlands. Die dargelegten Strukturen, Prozesse und darauf fußende Schlussfolgerungen sind beispielhaft für beinahe alle anderen Regionen des russischen „Hohen Nordens“.
The importance of investments by emerging country multinationals to industrialised economies has risen continuously as illustrated by the growing number of Chinese merger and acquisitions (M&A) of German Mittelstand firms. This dissertation aims to analyse the effects of institutional distances on the M&A process. To this end, William Scott’s concept of institutions is newly operationalized to investigate institutional distances on the intra-firm, regional and international level. Through interviews with involved firms, intermediaries and key persons with dual backgrounds, the effects on different dimensions of the subsidiaries’ embeddedness as well as various mechanisms of institutional work during and after the M&A are evaluated.
The main objective of this research was to enhance the understanding of the inte¬ractions of bentonite with iron in the near field of a HLW-repository. One target was to investigate natural Fe-rich bentonites as a possible analogue. Another topic was to recognize the mineralogical interaction of bentonite with iron powder simulating the contact of bentonite with steel containers (thermodynamic approach). An additional objective was to explore the idea that bentonites have a specific dissolution potential (kinetic approach). In order to take the thermodynamic approach, compacted MX80 bentonite and Friedland clay were used as starting materials for clay/iron interaction experiments in per¬colation systems (Clay/Iron-ratio = 0.1). The natural processes were studied by examining a tropical wea¬thering profile of serpentiniz¬ed diabase from the Thanh Hoa province of Vietnam. The kinetic approach was taken by investigating a series of well characterized bentonites, 9 from API-standard series, 12 from the BGR-collection and 4 others, all of them saturated with deionized water (liquid/solid-ratio = 10/1) and NaCl 1N solution (liquid/solid-ratio = 4/1) for 30 days, followed by exposing the soft gels to mechanical agitation by overhead shaking corresponding to two energy levels (20 rpm and 60 rpm). XRD and TEM – EDX measurement were the major analytical techniques applied in this research, with FT-IR and XRF analyses as additional tools to characterizing the structure and composition of the smectites. Thermodynamic Approach MX80 bentonite and Friedland Clay clearly show that chemical and mineralogical changes have occured in the reaction products. They are exemplified by the neoformation of serpentine and chlorite in certain mixed layer phases. The smectite in the reaction products had also undergone changes especially in the constitution of the octahedral and tetrahedral sheets as well as in the interlayer space. These alterations were evident by the difference in key peak positions and ratios of XRD-patterns, and by TEM-investigations, as well as by different positions and intensities of FT-IR-bands of octahedral and tetrahedral features. The alteration was also seen in the bulk chemical composition data (XRF). MX80 bentonite and Friedland clay show various types and stages of alteration under different experimental conditions. The alteration can be described as “illitization” in open reaction systems and “smectitization” in closed reaction systems. The degree of alteration was controlled by the degree of chemical activities (ion strength, Fe- & Si-activity, con-centration). Higher reactivities give higher degrees of dissolution and release of Si from clay minerals. The oxidation of native iron (Fe0 → Fe2+) was recognized as the main driving force for dissolution, but also the oxidation of Fe2+ (Fe2+ → Fe3+) appeared to reverse an open to a closed reaction system by increased Si-pre¬cipitation. The thermodynamic modelling of C/I-experiments by Mingliang Xie (GRS mbH) verified identified mineralogical alterations in the reaction products. Generally, the contact with metallic iron caused a strong increase in dissolution potential. The reason for this is the reducing potential of oxidation of iron which raised pH to become alkaline and increase dissolution of Si from clay particles. The mineralogical transformations recognized in the experiments, such as the neoformation of serpentine and chlorite phases, were also observed in the tropical weathering profile of serpentinized diabase. The wellknown fast development of Fe-rich montmorillonite in alteration of ultramafic rocks (e.g., Schnellmann, 1964) was also identified by mineralogical investigation of the weather¬ing profile. This confirms that smectitization is linked with higher Fe-activities also in nature. Fe2+ was present in this system and during oxidation acted as driving force for alteration. The reduction potential of Fe-oxidation caused an increase of pH into alkaline conditions. Kinetic Approach The hypothesis that smectite clays have a specific dissolution potential emanated from the study. This would mean that high amounts of Fe and Mg in the octahedral sheet can accelerate alteration in agreement to what was early proposed by Cicel & Novak (1976). The larger ion diameter of Fe and Mg in comparison with Al may well be responsible for a higher sheet stress, which would facilitate dissolution of smectites. The idea proposed Kaufhold & Dohrmann (2008) concerning a mechanism that makes Ca- and Mg-cations in the interlayer space stabilize quasicrystals is also supported by the present study. The performed investigation indicate which mechanisms that serve to protect smectites from undergoing alteration and which promote alteration. Stable smectites, i.e. those with a low specific dissolution potential, were called here “Sleepers”, while fast reacting bentonites, which have a high specific dissolution potential, were termed “Sprinters”. Smectites react with different rates of reaction in laboratory experiments. As said, each smectite sample has its specific potential for dissolution and this potential is controlled by the composition of both the octahedral sheets and the interlayer space. Increasing amounts of octahedral Fe and Mg compared to octahedral Al increase the specific dissolution potential. This potential is also affected by the ion radius, implying that the larger ion radius of Fe and Mg compared to Al increases the mechanical sheet stresses in the octahedral sheet. In summary, this means that, the investigations have confirmed the initial hypothesis concerning the impact of the composition of the octahedral sheet. It results primarily from the pH during the formation of the smectite clay and therefore serves as a geological fingerprint. The Al-Fe ratio in the octahedral sheet influences the stability of the interlayer: A) Aloct > 1.4 and Feoct > 0.2 (per (OH)2 O10) favour delamination of quasicrystals. The swelling pressure increases by a co-volume process between the delaminated layers wiht higher numbers of quasicrystals for Na-dominant population of the interlayer space (Laird, 2006). The microstructural components including both small and large particles and parts of them have a very small ability to move and undergo free rotation. Such Na-montmorillonites are consider as stable phases and have only a low specific dissolution potential. They are „Sleepers“. B) Aloct > 1.4 and Feoct < 0.2 or Aloct < 1.4 and Feoct > 0.2 (per (OH)2 O10) promote demixing of monovalent and divalent interlayer cations (Laird, 2006). In the case of Ca and Mg-dominant interlayers, quasicrystal can break Na-bearing interlayers and help to maintain the quasicrystal structure. Such Ca and Mg-mont¬morillonites can be also be taken as „Sleepers“ because of their low specific dissolution potential. Depending on the octahedral composition, certain cations in the inter¬layer can stabilize bentonites against mineralogical changes. Montmorillonites stabilized by high concentration of Na-cations were classified as belonging to category A, while montmorillonites stabilized by high Ca, Mg-cations in the interlayer sheet were grouped in category B. The classification of a smec¬tite into the categories A or B defined above can be best achieved by IR analyses that yield useful chemical information concerning the composition of the octahedral sheets. Smectites with Na as stabilizing interlayer cation (group A) have shown δAlAlOH-bands with increasing wavenumbers for increasing octahedral Al in FT-IR spectra. The other reaction type of smectite, with Ca, Mg-cations in the interlayers (group B), is characterized by a decreasing octahedral Al-amount for increasing wavenumbers of δAlAlOH-bands in such spectra. Also the FT-IR δAlFeOH-bands are different in the two reaction types of smectite. Increasing octahedral Fe-amounts were mirrored by decreasing wavenumbers of δAlFeOH-bands. However, smectites of group B do contain higher Fe-amounts for the same wavenumber than smectites of group A. Expected alteration of bentonite close and far from a steel canister In the early interaction of smectite-rich clay – the “buffer” - and steel, the system behaves as being chemically closed. Within the clay barrier, Si will be dissolved from clay mineral particles in accordance with its specific dis¬solution potential. The dissolved Si can stay by contributing neoformation of mont¬morillonite layers in mixed layer phases. The interlayer charge decreases by substitution of Mg by Al, which leads to an increase in the swelling pressure. Also minor Si-precipitation may occur if not all the dissolved Si is used up by the neoformed montmorillonite layers. Such precipitation of Si will cause cementation of some quasicrystals and lead to a reduction in porosity. Enhanced temperature and additional Fe-activity, representing an increased reduction potential, increases notably the amount of dissolved Si at the interface between bentonite and steel canister, and as a consequence there will be significant precipitation of Si. The resulting cementation of quasicrystals is ac¬com¬panied also by their collapse which induces broadening of pores. This caused the channel-like migration of infiltrating solutions and switches the system into an open one. Thermodynamic predictions indicate that “illite” will be generated close to the steel canister (via “illitization”) and kaolinite or pyrophyllite to be formed farther away (via smectitization). The “illitization” process results in higher interlayer charges and lower swelling pressures. In contrast, the formation of smectite reduces interlayer charges and promotes higher swelling pressures. At the end of the thermodynamic evolution, the swelling pressure will drop also far from the canister because kaolinite and pyrophyllite are non-swelling minerals. In both cases, the applications of so-called “Sleeper”-bentonites are required to slow the reaction progress. For designers of the engineered barriers in a repository, i.e. the canister and the “buffer” clay, some basic rules are recommend on the basis of the present study. Thus, the presence of native Fe or Fe2+-cations in the clay or in accessory minerals in it, or emanating from the canisters, will speed up the reaction process and make it extensive. Likewise, use of Fe-poor “buffer” clay, representing “Sleepers”-type are suitable for slowing down the reaction. Copper as canister material, and very dense Na-rich montmorillonite of group A as “buffer” seem to be ideal rather than steel/iron and less dense Ca-saturated clay.
Geopolymers (GPs) are inorganic binders created by adding alkaline solution (e.g. KOH) to silicates such as furnace slag, fly ash or clay to dissolve Si and Al that polymerises and precipitates to form an inorganic binder material while hardening. GP properties are similar to ordinary Portland cement regarding their high compressive strength or low shrinkage but they are particularly notable for a high resistance to acid and fire. However, the most significant advantage of GP cements is their low CO2 footprint. The most common clay used as GP raw material is kaolin. The aim of this study is to investigate the suitability of illitic clays as a cheaper alternative to kaolin and determine the necessary preparation steps required to produce effective GP binder materials. Three clays dominated by dioctahedral 2:1 layer silicates, in particular interstratifications of mica and smectite were investigated: (1) Illitic clay from Friedland, Northern Germany, containing an irregularly stacked illite-smectite interstratification (R0 I-S), (2) rectorite from Arkansas, USA, as a regular interstratification of mica and smectite, and (3) clay stated as “sárospatakite” from Füzérradvány clay deposit, Northern Hungary, containing a long range ordered I-S (R3). The three types of I-S interstratification-rich clays were extensively characterised and the Friedland clay, as the most probable raw material for GP production, was studied in more detail including several size fraction analyses. These results are used to investigate and determine the parameters necessary to produce suitable precursors for GP binders. Different approaches of clay activation to yield a highly reactive material by milling and heating were examined. Milling was found to be suitable as a preparation step after heating breaking up sintering aggregates to create pathways for the alkaline solution, but not as a substitute for heating. Important parameters for the precursor design such as temperature, time, and heating rate are determined and discussed. Geopolymerisation is considered to be a multi-parameter system and is influenced strongly by the degree of dehydroxylation, Si:Al ratio, or amount of 5-fold coordinated Al. However, in contrast to kaolin-based systems, none of these parameters explain why the illitic Friedland clay heated to 875 °C was found to be most suitable for GP binders. Based on leaching experiments and specific surface area (AS) measurements of the heated Friedland clay, a conceptual model is presented to explain the observed relationship between the heating temperature and the subsequent compressive strength of the GP cement. An optimum between the counteracting reactions of decreasing AS (fewer particles must be covered with GP phase) and decreasing Si+Al dissolved (less GP phase created) is necessary, which exists at 875 °C for the Friedland clay. In this state enough GP phase is created to bind all remaining sintering aggregates to form a cement with high compressive strength. This relationship can be expressed as (Si+Al) / AS (sum of dissolved Si and Al divided by the surface area of grains that must be covered with GP phase), and can be used as a predictive tool for determining the optimal heating temperature. The results presented in this thesis indicate that illitic clays are suitable raw materials as GP binders if the necessary preparation steps of dehydroxylation, sintering and grinding are made. Proxies used to evaluate the optimal conditions for making GP binders are determined including the (Si+Al) / AS ratio as a key relationship that controls the cementation process and determines its ultimate hardness.
Im Forschungsfeld Klimaschutz und Nachhaltigkeitszertifizierung werden in dieser Arbeit die Treibhausgasemissionen durch Verwendung von Rapsbiodiesel gemäß EU Nachhaltigkeitsvorgaben der EU RED thematisiert. Regionales Bezugssystem sind gemäß EU-Vorgabe die NUTS2-Gebiete. Für 35 NUTS2-Regionen Deutschlands wurden Treibhausgasemissionen, die dem praxisnahen Rapsanbau zugerechnet werden können, berechnet.
Ein entwickeltes sogenanntes Rechenmodul mit dem Rapsanbauverfahren von der Bodenbearbeitung über die Düngung erfasst, beinhaltet einen vom Ifeu-Institut erschaffenen THG-Rechner, der die THG-Emissionen gemäß IPCC-und RED-Vorgabe berechnet. Um zwei Forschungslücken zu schließen, wurden mithilfe des Rechenmoduls insbesondere die Differenzierung der Stickstoffdüngung und die Regionalspezifik von Rapsanbauverfahren beschrieben. Zentraler Parameter ist die Düngung, mit Unterscheidung üblicher Stickstoffmineraldünger, und zusätzlich im Rechenmodul implizierte Wirtschaftsdünger. Die eigentliche Modellierung typischer regionaler Rapsanbauverfahren für 35 NUTS2-Gebiete mit 10 erforderlichen Anbauparametern erfolgte mit der Unterstützung und dem Fachwissen regionaler Experten der Landeseinrichtungen für Landwirtschaft. Folgende Ergebnisse werden dargestellt:
o Quantifizierung der THG-Anbauemissionen definierter Rapsanbauverfahren.
o Quantifizierung der entsprechenden Stickstoffsalden unter Berücksichtigung der Anrechenbarkeit des Stickstoffs aus Wirtschaftsdünger nach Vorgaben der Dün-geverordnung.
o Wirtschaftlichkeit definierter regionaler Rapsanbauverfahren.
o Modellierung von Minderungsverfahren nach Expertenrat.
o Rechenbeispiel Mecklenburg-Vorpommern – Optimierungsvariante nach Dün-geverordnung
o Einschätzung der Erreichbarkeit des Untersuchungszielwerts im Modell.
o Die von der EU gewünschte räumliche Bezugsgröße NUTS2-Region erfordert Durchschnittswerte für unterschiedlich große Gebiete.
o Mit dem entwickelten Rechenmodul sind Anbauverfahren und die erforderlichen Rechengrößen präziser bestimmbar und einzelbetrieblich planbar.
Die THG-Verminderung ist mit folgenden drei Stellschrauben möglich:
(1) N-Düngung (N2O-Feldemissionen) - Mineraldünger (die Vorkettenemissionen implizieren) sind möglichst zu vermindern und am Bedarf gemäß Düngeverordnung zu orientieren (auch um hohe N-Salden zu vermeiden),
(2) Wirtschaftsdünger (generell ohne Vorkettenemissionen) sind effizient einzusetzen, d.h. der N-Gehalt muss berücksichtigt werden,
(3) Dieselkraftstoffeinsatz im Anbauverfahren sollte möglichst verringert werden.
Mind the gap: Information gaps and bridging options in assessing in-situ conservation achievements
(2008)
The biodiversity crisis has gained political attention on a global level. The “2010 Target” of the Convention on Biological Diversity (CBD) aims to significantly reduce the loss of biodiversity by 2010. In order to achieve this, a network of representative and effectively managed protected areas is to be established. The effectiveness of protected areas thus represents one indicator for progress towards the CBD’s 2010 Target. However, indicators require information. The present study, in a first step, reviews the availability of open access long-term ecological data for assessing protected area effectiveness. This review shows two parallel – though contradictory – phenomena: data overkill and data scarcity. While the number of online databases providing open access data on biodiversity has grown tremendously, no long-term ecological data for a larger set of protected areas can be openly accessed. Reasons for this data scarcity are discussed. Based on this lack of information, in a second step, a method to bridge information gaps through social science research is aspired. An innovative Conservation Success Framework is developed, which defines and relates conservation needs, conservation capacity and conservation actions, its three main components. The basic assumption is that conservation can only be successful where the conservation capacity exists that is required to implement the conservation actions determined by the conservation needs. The framework was used to develop open and closed questionnaires for application in two Mexican biosphere reserves, the Sierra Gorda and the Sierra de Manantlán. As "conservation success" is often immeasurable in protected areas in practice due to unspecific conservation objectives the term is for the case studies substituted by “conservation achievements”, i.e. clearly noticeable effects from conservation actions. Overall, almost 60 interviews were conducted with different stakeholder groups. The gained information is validated through social science research techniques, such as triangulation of perspectives and active and passive observation. Based on this, conservation needs are identified and conservation capacities summarised and discussed for both case study sites. Implemented conservation actions addressing identified conservation needs and conservation capacity constraints are then analysed. In addition, noticeable effects from conservation actions on the state of biodiversity at case study sites, i.e. the conservation achievements, are described. Where locally available, non-open access data (as opposing open access data) are used to verify the findings from the social science research. Identified conservation achievements at both case study sites are evident both from quantitative information (for example forest cover increase according to non-open access data) and qualitative information (for example perceived change in the occurrence of illegal activities according to interviews). In addition, rather “intangible” indicators that can only be revealed through qualitative surveys are identified for both sites. This study thus highlights the crucial importance of integrating different types of data, ecological and socio-economic, as well as quantitative and qualitative ones. The present study concludes with a series of recommendations 1) to local practitioners at the two case study sites, and 2) to the international conservation community. Local practitioners may benefit from the present study because its results provide for each site a) an overview of existing conservation needs and implemented conservation actions; b) an easy way to identify action gaps; c) a baseline to identify progress indicators; and d) an overview of diverse perspectives on the current effectiveness of the biosphere reserves. These benefits are considered of particular importance as they can be influential in the revision of the site’s management plans, which both are now approximately ten years old and will soon be revised. The international conservation community will not be able to make a clear statement in the year 2010 about the effectiveness of protected areas on a global level due to a lack of information and transparency. However, the year 2010 should not be considered an end point for measuring progress in in-situ conservation; instead protected area quality standards must be created, effectiveness evaluations institutionalised and efforts to foster regular reporting must continue. Consequently, a scheme of consolidated actions from local to national and international level is proposed that could help to sustainably bridge existing information gaps and close them on the long run. In the end, progress reporting on the effectiveness of protected areas, and other indicators, can only improve if different governance levels “mind the information gaps” in cooperation, until continued information gathering and sharing hopefully closes these gaps one day.
Global change is one of the major challenges our society faces in recent times and is becoming increasingly noticeable in all aspects of our lives. In the last ten years, reports about droughts in Europe increased, contrary to expected natural climate variations and are attributed as indicators of climate change. Droughts resulted in a severe decrease in water levels of lakes, rivers and reservoirs, posing socio-economic and environmental challenges. Climate scenarios by the Intergovernmental Panel on Climate Change (IPCC) project increasing temperatures, more frequent, longer and/or more intense heat waves and warm spells, and an increase in aridity with short-term droughts in the upcoming decades for Western and Central Europe. Some areas – such as Northeast Germany – are already affected by negative water balances and the lowering of lake and groundwater levels. Additionally to possible challenges in water availability, excess nutrients and heavy metals from industrial emissions, agricultural fertilisers and land use changes lead to declining water quality. In the past century, extensive eutrophication and environmental pollution have become major water quality issues in many freshwater bodies.
Nonetheless, water and its availability in a sufficient quantity and quality are prerequisites for life and must be prioritised in future development. The European Union aims for a good status in all surface and groundwater bodies by 2027 regarding their ecological, chemical and quantitative status. However, a profound understanding of eutrophication, pollution sources, and water bodies' reference conditions – referring to pre-anthropogenic conditions – should be available for each system to apply integrated restoration strategies. Moreover, an in-depth understanding of long-term climate variability and its dynamics is indispensable to approach these climate change challenges and reliably predict water availability.
During the past decades, numerous paleoenvironmental studies have been carried out on Northern German sediment archives, using mainly lacustrine sediments to reconstruct hydroclimatic variability, often inferring lake-level variations as key indicators. However, most studies were carried out in areas affected by more maritime or continental climate. Studies from the transition zone are rare. Only few existing studies offer high-resolution records and/or robust chronologies, which limits the understanding of past environmental changes significantly. Besides, the Northern German lowlands have been anthropogenically affected since at least the Neolithic (~5.6 ka cal BP) and, in particular, forest composition and density have recently been shown to have at least partially an impact on lake-level variations. However, a reliable distinction between climatic impacts and anthropogenic interferences is widely missing, which is a problem because many studies were conducted on rather small lacustrine systems in which expected anthropogenic signals are higher, and single events may overprint the climatic signals. These biases lead to an incoherent picture of the past hydroclimatic variability in Northern Germany during the Holocene. To overcome this situation, it is inevitable to identify a suitable sedimentary archive from the transition zone – preferably a large lacustrine system in which natural (supra-)regional paleoenvironmental signals are expected to be not overprinted by single events. Moreover, it is necessary to establish robust chronologies and apply high-resolution methods to infer past environmental changes in a high temporal resolution. Taken together, this could contribute to an enhanced understanding of past environmental and climatic changes in Northern Germany.
This thesis consolidates the evidence for Schweriner See to act as a suitable sedimentary archive in Northern Germany for (supra-)regional climate reconstructions. Schweriner See is a large lowland lake in Northern Germany located within the transition zone from maritime to continental climate. In the first step, (paleo)lacustrine landforms, i.e. beach ridges, subaerial nearshore bar, and a silting-up sequence, are investigated along the north-eastern shoreline using a combined approach of sedimentology (e.g. grain size variations) and the relatively novel method of luminescence profiling offering relative age determinations to understand depositional processes and their chronological framework. Absolute age information is mainly inferred by OSL dating. Secondly, an important prerequisite to interpreting information obtained from lacustrine sediment archives is a thorough understanding of processes controlling sedimentation. Schweriner See is characterized by a complex morphometry, which influences in-lake processes, i.e. i) in-lake productivity, ii) carbonate precipitation and iii) wind- and wave-induced processes, resulting in a distinct spatial heterogeneity. This thesis shows that it is crucial first to understand sedimentary depositional processes and controlling mechanisms to i) select suitable coring location(s) and ii) reconstruct paleoenvironmental and hydroclimatic variations reliably.
Based on bathymetric considerations and inferred in-lake processes, two main coring locations were identified to infer i) the anthropogenic impacts and ii) hydroclimatic variations. Short sediment records from the shallow water areas (< 15 m water depth) cover the most recent environmental history of Schweriner See. A well-dated sedimentary record (210Pb/137Cs and 14C dating) links distinct sedimentary and geochemical changes with historical events. Schweriner See was extensively affected by lake-wide eutrophication and contamination, closely related to sewage and population dynamics within the catchment. The water quality only improved after the German Reunification in 1990 CE when sewage was precluded from Schweriner See. Contamination trends at Schweriner See showed similar trends to different archives along the southern Baltic Sea, implying a common regional driving mechanism, e.g. environmental legalisation.
A well-dated sediment record from the profundal zone (52 m water depth) allowed the reconstruction of large-scale atmospheric conditions during the past 3 ka cal BP by inferring winter temperature variability, the moisture source region and/or evaporative lake water enrichment, which resemble variations in the North Atlantic Oscillation (NAO). The NAO greatly influences the Central European climate, affecting, for example, surface air temperature, precipitation or storm tracks. During 3-2.8 ka and 2.1-0.8 ka cal BP, predominantly positive NAO conditions are reconstructed, which are characterized by warmer winter temperatures, moisture conditions bringing isotopically enriched precipitation from the southern/central North Atlantic to Northern Central Europe and/or warmer temperatures that may result in a higher evaporative isotopic lake water enrichment as a result of northwards displaced westerlies. Conversely, during 2.8-2.1 ka and 0.8-0.1 ka cal BP, results correspond to predominantly negative NAO phases influenced by southwards displaced westerlies. Frequent atmospheric blocking allows for the intrusion of northerly or easterly winds, resulting in colder winter temperatures, isotopically depleted precipitation from the Northern Atlantic and Arctic region and/or a lower evaporative lake water enrichment. In addition to these long-term changes in atmospheric conditions, short-term hydroclimatic variations have been reconstructed, mainly reflecting lake-level variations in conjunction with precipitation variability, with the proxy signal being additionally amplified by wind speed and wave motion. Comparisons with other archives support these results.
So far, the paleoenvironmental reconstruction is limited to the Late Holocene, but initial dating results imply possible interferences until the Late Pleistocene. Therefore, future studies should focus on extending the profundal record from Schweriner See further back in time, providing a high-resolution record covering both the Holocene and possibly the Late Pleistocene.
The Caribbean is a geologically complex region with several different plate boundary interactions. Geodynamic reconstructions of the northwestern Caribbean region have been particularly controversial in terms of the number of arcs, subduction polarity, and timing of collision. This thesis develops a refined tectonic reconstruction for the northwestern Caribbean based on a review of geological data of Cuba and a regional analysis within the northwestern Caribbean context. With regard to plausibility, significant emphasis was put on the degree and qualitiy of visualization. Three crustal sections across key areas in western, central, and eastern Cuba have been constructed in order to conduct an evolutionary interpretation in three dimensions. Western and central Cuba constitute an orogenic belt resulting from the collision of a mid- to Late Cretaceous volcanic arc - the "Great Caribbean Arc" - with the southern paleomargin of North America. The collision process apparently started in the Campanian, but major north- to northeast-directed thrusting processes at the southern Bahamas margin culminated during the Paleocene. A continous southwest-dipping polarity of the "Great Caribbean Arc", at least from the Aptian-Albian, can be infered from (1) its Late Cretaceous approach towards the North American margin, (2) the magnitude of top to the north directed tectonic transport in the Cuba orogenic belt, and (3) the internal structures of the metamorphic fore-arc assemblages and their evolution on the north side of the arc. An Early Cretaceous southwest-dipping origin of the "Great Caribbean Arc" along the northern fringe of the Chortís Block appears to be in all probability. This concept provides a link between (1) middle Late Cretaceous collision processes along the Matagua suture zone, (2) the Turonian termination of "Great Caribbean Arc"-activity on Jamaica, and (3) the late Campanian onset of collision in the Cuba orogenic belt. The collision of the "Great Caribbean Arc" with the Bahamas margin hampered relative northward motion of the Caribbean Plate from the late Campanian onward. Continued northward push finally resulted in the commencement of north-dipping subduction. Late Cretaceous commencement of north-dipping subduction was accompanied by superposition of oceanic crust and large-scale north-directed gravity sliding on the upper plate, as documented by ophiolitic slide-masses and Maastrichtian olistostromes in eastern Cuba (Nipe - Cristal and Moa Baracoa ophiolite massifs) as well as on Jamaica (ophiolites of the Bath-Dunrobin Complex) and the southern peninsula of Hispaniola. Progress of north-dipping subduction was responsible for the emergence of a Paleocene to Middle Eocene volcanic arc which spanned the northwestern Caribbean along the southern boundary of the Yucatán Basin while the Chortís Block and the Nicaragua Rise were still in a paleoposition to the south of the Maya Block. North-dipping subduction and the associated volcanic arc isolated the Yucatán Basin from its original affiliation to the Caribbean Plate. Relative northward motion of the Caribbean Plate and activity of the Paleogene volcanic arc stopped after the Eocene arrival of thickened oceanic crust of the Caribbean Large Igneous Province at the north-dipping subduction zone. After the late Early Eocene commencement of spreading at the Mid-Cayman Rise, North America - Caribbean relative motion was taken up along the sinistral Oriente Fault with estimated amounts of 800 to 1000 km offset since the Middle Eocene. This transform margin dissmembered the northwestern Caribbean extend of the Paleocene to Middle Eocene volcanic arc. Its eastern bend was uncoupled in the course of this process and may be represented by the Aves Ridge. South-central Hispaniola can be restored to a Middle Eocene position to the south of eastern Cuba, which accounts for an approximate Cenozoic displacement of 200 to 300 km. Therefore, most of the western prolongation of the Oriente Fault must be accommodated at the northern bounding-faults of the southern peninsula of Hispaniola. The proposed synthesis is in clear accordance with the paradigm of plate tectonics, corroborating its capability to incorporate even a complex region like the Caribbean.
Kurze Inhaltszusammenfassung in einer weiteren Sprache (Englisch): Muong Lay is one of the important social and economic areas in Northwestern Vietnam. Landslides occur frequently in the area and seriously affect local livelihoods and living conditions. Therefore, the problem of landslide hazard and mitigation for a sustainable development of this area is significant. The spatial analysis of landslide hazard assessment in the mountainous regions in Muong Lay is important to address this development challenge. This study focuses on the application of GIS and RS to landslide hazard assessment, especially for support of GIS modeling to landslide hazard susceptibility for Muong Lay area. By using Remote sensing with LandSat TM image and aerial photos of scale 1:50,000 and using statistical models with GIS-software’s ENVI3.4, ILWIS3.0, PCI9.0 and ARC/GIS9.1, the study tries to evaluate and estimate the landslide in relation with naturally different elements of natural conditions such as geology, geomorphology, geology-engineering, tectonics, hydrology, rainfall, etc… Especial, the study firstly aims to produce the causal factor maps by verifying digital data. These factors then will be applied in a methodology based on statistical methods such as: “bivariate statistical analysis” and “multivariate statistical analysis” approach to calculate the susceptibility level of each class of each factor to landslide. The integration of Geographic Information System (GIS) and Remote Rensing (RS)for landslide hazard zonation and assessment is a valid approach. In these researches various methods for image integration and information extraction have been analysed and evaluated in detail.
Mit zunehmend beobachtbaren Klimawandelauswirkungen steigt die Bedeutung, die Klimawandelanpassung als Ergänzung zu Vermeidung hat. Das gilt für Industrieländer wie für Entwicklungsländer, für ökologische wie soziale Systems und insbesondere für sozial-ökologische Systeme. Um wirksame Anpassungseffekte erzielen zu können, müssen Anpassungsmaßnahmen jedoch durchführbar sein. Welche Faktoren die Durchführbarkeit behindern oder steigern, wird am Beispiel dreier deutscher Biosphärenreservate (Mittelelbe, Schaalsee und Südost-Rügen) mittels Experteninterviews und eine qualitativen Meta-Analyse wissenschaftlicher Publikationen über Hindernisse und Erfolgsfaktoren für Anpassung untersucht. Die Ergebnisse zeigen verschiedene Schlüsselkategorien an Faktoren, beispielsweise Klimawandelwahrnehmung, verfügbare Wissens- sowie finanzielle und personelle Ressourcen, den politischen und den sozio-ökonomischen Kontext. Die insgesamt identifizierten Faktoren umfassen sowohl interne, als auch externe Faktoren: - intern: Klimawandelwahrnehmung und Klimawandelwissen/-information - extern: verfügbare Ressourcen und politische und ökonomische Rahmenbedingungen Daher müssen Ansätze, die die Durchführbarkeit von Klimawandelanpassungen steigern wollen, interne und externe Faktoren integrieren. Vor diesem Hintergrund wird ein theoriebegründetes Konzept zur Steigerung der Durchführbarkeit entwickelt. Es setzt sich aus fünf Bausteinen zusammen: 1) anpassungsunterstützende Klimawandelwahrnehmung stärken 2) bestehende Klimawandelwissen verbessern 3) No-regret und robust Anpassungsoptionen identifizieren 4) die politische Unterstützung für Anpassung steigern 5) ausreichende finanzielle und personelle Ressourcen sowie Infrastruktur bereitstellen Diese Bausteine in die Tat umzusetzen erfordert gemeinsame, disziplin- und sektorenübergreifende Anstrengungen von Wissenschaft, Politik und Gesellschaft. Aufgrund ihres Selbstvertändnisses sind Biosphärenreservate geeignete Instrumente und Lernlaboratorien, um solche Anstregungen zu unterstützen und Modellregionen zur Steigerung der Durchführbarkeit von Klimawandelanpassungen zu sein. Effectively applying these building blocks requires cross-sectoral, concerted efforts between science, policy and society. Due to their concept, biosphere reserves appear well suited to foster such efforts and to become model regions to enhance the feasibility of climate change adaptation.
The objectives of the present work are to relate the spatial distribution of benthic macrofauna in the Baltic Sea to patterns in environmental variables describing near-bottom hydrographical conditions and sediment characteristics, analyzing the data for two various spatial extents. The first case study is devoted to an exploratory statistical description of the prevailing ecological structure within the limited area attached to the region of the Mecklenburg Bight. Key environmental descriptors of spatial distribution of macrofaunal communities were disclosed within the area of investigation: water depth, regarded as a proxy for other environmental factors, and total organic content. Distinct benthic assemblages that are discriminated by particular species (Hydrobia ulvae–Scoloplos armiger, Lagis koreni–Mysella bidentata and Capitella capitata–Halicryptus spinulosus) were defined. Each assemblage is related to different spatial subarea and is characterized by a certain variability of environmental factors. This study represented the basis for the predictive modelling of species distribution in the selected investigation area, which constituted the next part of the investigation. Species-specific models predicting the probability of occurrence relative to environmental and sedimentological characteristics were developed for 29 representative macrofaunal species using a logistic regression modelling approach. Subsequently, the technique for a predictive modelling of species distributions in response to abiotic parameters based on single-factor logistic regression models, utilizing Akaike’s information criterion (AIC) and Akaike weights for multimodel inference, was used. Thus, probabilities of occurrence for selected exemplary species (Arctica islandica, Hediste diversicolor, Pygospio elegans, Tubificoides benedii and Scoloplos armiger) were modelled and mapped. Finally, the investigation proceeded on a large spatial scale. The discriminating ability of such factors as salinity, bathymetry, and sediment characteristics (considered only generally due to the lack of more detailed data) to explain the occurrence of typical macrozoobenthic species on the Baltic Sea-wide extend was tested. Full coverage macrofauna distribution maps, though being increasingly demanded, are generally lacking, with information being merely restricted to point observations. In contrast to spatial interpolation, periled by presence of short distance changes in community structure and dependence of the result on density of the samples, predictive habitat suitability modelling allows to objectively produce distribution maps at a level of detail limited only by the availability and resolution of the environmental data. Various literature sources and available databases were analyzed in respect to the information on macrozoobenthos distribution in the Baltic Sea, resulting in the compilation of an extensive list of taxa and an inventory dataset on species distribution for the whole Baltic Sea. The study demonstrates the need to analyze species’ relationships in gradient systems such as the Baltic Sea and provides a basis for a tool to predict natural and anthropogenic forced changes in species distribution.
Schutzgebiete sind Gebiete, die speziell zum Schutz und zur Sicherung der Biodiversität sowie natürlicher und damit verbundener kultureller Ressourcen ausgewiesen sind. Europäische Gesellschaften stellen im Schnitt zwischen 20 % und 30 % ihrer Flächen unter Schutz. Dadurch sind viele Interessen berührt. Der Umgang mit diesen erfordert zudem ein hohes Maß an Verantwortung. In der vorliegenden Dissertation werden neue beziehungsweise verbesserte Instrumente für die Planung und das Management von Schutzgebieten aufbereitet. Diese sind vom Autor an der Schnittstelle zwischen Forschung und Management-Praxis“ entwickelt worden. Die Dokumentation erfolgt vor dem Hintergrund der aktuellen Diskussion um Funktionen, Aufgaben und Entwicklung der globalen Schutzgebietssysteme. Schwerpunkt der Aufbereitung sind die technisch–planerischen Instrumente. Dabei wird das Konzept eines Integrierten Managements unter Zusammenführung ökologischer, ökonomischer und soziokultureller Aspekte hinterlegt. Die dargestellte IPAM-Toolbox (IPAM für Integrated Management of Protected Areas) ist ein interaktives Expertensystem, das für ein einzelnes Schutzgebiet eine Standortbestimmung (Self-Assessment), spezifische Empfehlungen (Recommendations) und den Zugriff auf vorselektierte Detailinformationen (Knowledge Base) ermöglicht. Es ist für alle europäischen und internationalen Schutzgebietstypen verwendbar. Die derzeit verfügbaren Informationen beziehen sich hauptsächlich auf (Zentral- und Ost-) Europa. Das System ist mittlerweile in Forschung, Lehre und Planungspraxis im Einsatz. Es ist multilingual (derzeit sieben Sprachen) und kostenlos verfügbar (www.ipam.info). Dem Expertensystem ist ein Lebenszyklusmodell für Schutzgebiete hinterlegt, welches Planung und Management in drei Phasen (Vorphase, Planungsphase, laufendes Management) und 25 Aktivitätsfelder (FoAs für Fields of Activity) untergliedert. Dadurch können die Informationen fokussiert bereitgestellt werden. Aufbauend auf Vorarbeiten wird Integriertes Schutzgebietsmanagement anhand von acht disziplinsformenden Prinzipien (Forming Principles) als neue wissenschaftliche Disziplin verstanden und definiert. Im zweiten Teil der Dissertation wird der Einsatz neuer bzw. weiter entwickelter Ansätze, Technologien und Instrumente anhand von Beispielen aus der Forschungs-, Planungs- und Beratungspraxis dargestellt. Diese Beispiele beleuchten die jeweiligen Gebiete, die Frage- und Aufgabenstellung, fokussieren aber auf die angewandten Methoden. Die Ergebnisse sind exemplarisch und illustrierend hinzugefügt. Die Projekte (Auswahl siehe unten) sind unterschiedliche Beispiele für aktuelle Fragen im Schutzgebietsmanagement bzw. in der Schutzgebietsplanung. Sie werden diskutiert unter den Aspekten: Methode im Kontext: Wie ist die angewandte Methode aus der Ergebnisperspektive zu beurteilen? Stellung im Lebenszyklus: Wie kann das Projekt im Lebenszyklus des Schutzgebietes eingeordnet werden? Disziplinen: Welches disziplinäre Design war erforderlich, die Planungs-/Managementaufgabe zu lösen? Bezug zu Forming Principles? Welche der postulierten Grundprinzipien von Schutzgebietsmanagement als neuer Wissenschaft sind durch das Projekt berührt? Als Selektionskriterien für die Projekte werden Innovationsgrad, Relevanz und Übertragbarkeit sowie die Praxistauglichkeit bzw. praktische Relevanz herangezogen. Da die Projekte allesamt Auftragsprojekte sind, wird unterstellt, dass sie zu einem hohen Grad den aktuellen Bedarf im Schutzgebietsmanagement widerspiegeln. Die Aufbereitung der Projekte folgt der Struktur der FoAs. Durch Beispiele abgedeckt sind die folgenden FoAs: Entwicklung von Idee und Vision, Machbarkeitsprüfung, Eingliederung in Schutzgebietssysteme, Planungshandbuch, Kommunikation und Partizipation in der Planungsphase, Grundlagenerhebung, Einrichtungskonzept, Leitbild und Rahmenkonzept, Entwicklung von (regionalen) Wirtschaftsprogrammen, Ermittlung der Management-Effektivität, Verträglichkeitsprüfungen und Beschränkungen, Forschung und Monitoring, Kommunikation und Partizipation im laufenden Management, Entwicklung der Schutzgebietsregion sowie der Bereich Besuchermanagement, Dienstleistungen und Infrastrukturen. Naturgemäß illustrieren die Beispiele jeweils nur Teilaspekte der umfassenden FoAs. Durch die Darstellung soll der aktuelle Stand des Methodenwissens in diesem Bereich gesichert und für kritische Reflexion und Weiterentwicklung zur Verfügung gestellt werden. In der zusammenfassenden Aufbereitung kann gezeigt werden, dass die Forming Principles sich in den Projekte tatsächlich identifizieren lassen, dass sie in Planungsschritten sowie in der Evaluierung in besonderer Intensität festzustellen sind. Planung und Evaluierung haben auch einen starken Bezug zu anderen FoAs und einen hohen interdisziplinären Ansatz. Sie werden als besonders anspruchvolle und erfolgskritische FoAs identifiziert. Als möglicherweise weiterführende Forming Principles wären Wissensmanagement und Ethik zu diskutieren. Die dargestellten Projekte lassen sich einem, meist mehreren FoAs zuweisen, die Liste der FoAs scheint für mitteleuropäischen Kontext vollständig zu sein. Darüber hinaus werden als zusätzliche FoAs Law Enforcement und Entwicklungszusammenarbeit zu prüfen bzw. zu erarbeiten sein. Im Abgleich der angewandten Schutzgebietskonzepte wird diskutiert, ob integriertes Management von Schutzgebieten auch einen neuen Typ von Schutzgebieten, nämlich „Schutzgebiete der dritten Generation“ konstituieren kann. In Schutzgebieten der dritten Generation spielen die Forming Principles für integriertes Management eine konstituierende Rolle. Ein weiterführender Handlungs- und Forschungsbedarf wird sichtbar.
A large portion of the earth's surface is covered with various vegetation classes (i.e. grassland, wetland and agricultural area, forest) of many diverse species and canopy configurations. The ability to assess and to monitor canopy parameters, such as biomass, leaf area index, and vegetation water content, is of vital importance to the study of different agronomic processes. Remote sensing techniques provide a unique capability towards probing different vegetation types and canopy by operating at different bands, observation angle etc. Over the past decades, significant progress has been made in remote sensing techniques of land processes specially vegetation characteristics through development of advanced ground-based, airborne and space-borne microwave sensors, methods and approaches such as theoretical, semi-empirical and empirical models, needed for analyzing the data. These activities have sharply increased in recent years since the launch of different active and passive satellites and sensors. Remote Sensing (RS) science and techniques combined with ground truth data can provide new tools for advanced agricultural crop applications. It has been demonstrated that RS has the ability to estimate biophysical parameters of agricultural crops over time at local, regional, and global scales. In this study, RS images in visible/near infrared (VIS/NIR) domain as well as microwave domain combined with ground truth data were used to assess biophysical parameters of agricultural crop during their whole growing season at Durable Environmental Multidisciplinary Monitoring Information Network (DEMMIN) test site in North East Germany. Ground truth studies were carried out for 31 weeks during 17th April – 13th November 2013 over three crop lands including winter wheat, barley and canola. Landsat 8 OLI, Landsat 7 ETM+ were used for the VIS/NIR studies and TerraSAR-X synthetic aperture radar (SAR) images were used to study biophysical parameters of agricultural crops in microwave part of electromagnetic spectrum. The analysis was conducted by calculating different vegetation indices (VIs) to estimate the biomass (fresh and dry), LAI, and vegetation water content (VWC) of three crops using Landsat 8 OLI and Landsat 7 ETM+ combined with ground truth data. A new concept of Soil Line retrieval from Landsat 8 image was also developed to estimate plant biophysical parameters using soil line related vegetation indices in optical domain of electromagnetic spectrum. Different approaches including univariate, multivariate stepwise regression and semi-empirical water cloud model was also used to estimate the biophysical parameters of agricultural crop using TerraSAR-X data in microwave domain of electromagnetic spectrum. Perhaps the most important conclusion of this study is that the RS approach can provide useful information about estimating agricultural crop parameters over time and local scale, which can therefore provide valuable information to aid the agronomy community.
In 1992, the international regime 'Agenda 21' was agreed upon. Accordingly, countries worldwide have been undergoing reforms in their water management into Integrated Water Resources Management (IWRM). The implementation is promoted by international actors. The main institutional aspects of IWRM are the river basin approach, clear property rights allocation, and application of economical instruments. In former centrally planned economies, the process of IWRM implementation has been coincided with transformation for the market economy. The implementation of institutional aspects of IWRM in countries under transition is connected with high transaction costs. Against this background, the comparative empirical study was initialised in order to analyse institutional change of water management towards IWRM in Vietnam and in Poland. Two models of river basin organisations were examined. Consequently, pros and cons of decentralised polycentric and hierarchical unicentric river basin organisations have been evaluated. Formal institutions were studied with the use of an in-depth review of legislation in Vietnam and in Poland. The EU Water Frame Directive (EU WFD) and other international policies were also examined. For the empirical study in Vietnam and in Poland, actors were interviewed as experts. The results of the study on both countries were discussed separately, and conclusions were drawn in a comparative manner. Water management reforms towards IWRM in Vietnam and in Poland have been generating multi-level governance processes including international, national and sub-national levels. The implementation of IWRM in Vietnam is supported by international donor agencies. In Poland, the implementation of the EU WFD is coordinated by the European Commission in a hierarchical manner. In comparison to international joint-development projects in Vietnam, the European Commission enforces international IWRM policy more effectively. Since the resumption of ODA in early 1990s, water resources management has been institutionalised in Vietnam by international support. In 1998, a Water Law was established in Vietnam. The intended separation of water resources management from water service provisions caused fragmentation between the Ministry of Natural Resources and Environment, and the Ministry of Agriculture and Rural Development, respectively. This ‘silo-effect’ has been intensified by the competition for international ODA. The power struggles affect even agencies within ministries. Polycentric river basin committees have been established as entities subordinated to the Ministry of Agriculture and Rural Development, as well as the Ministry of Natural Resources and Environment. However, because of weak property rights allocation and the absence of administrative powers, the river basin organisations work ineffectively. The river basin has not yet been established as a sub-national area of political action. Decisions sustained to be made at central level and are affected by the information problem due to largely centralised organisations of Vietnamese water management. The sub-national level is characterised by very low planning and management capacities. In Poland, unicentric river basin organisations were established in 1991. They are aligned with hydrological borders. Water resources planning and management are carried out according to river basins and water regions in order to implement the EU WFD. The river basin has been established as a new area of decision-making. Conflicts between local-governments have been resolved after the reforms. Nevertheless, spatial management planning, environmental protection planning, water service delivery, etc., are further carried out by local self-governments. To integrate water resources planning and management with these services, horizontal coordination is of critical importance. However, this is hampered by problems of ‘spatial fit’. Moreover, a high degree of horizontal cross-border communication increases information problems in hierarchical organisations. Thus, features of polycentric governance models become increasingly important in order to fully implement the EU WFD in Poland.
The research aims at assessing the impacts of the Benefit Sharing Mechanism (BSM) pilot policy on the socioeconomic factors and natural-resource management in the co-management area between the Bach Ma National Park and the Thuong Nhat community. This is a new approach in Special-Use Forests (SUFs) management in Vietnam, which is needed to assess the scaling up of a national policy on co-management of SUFs in the future. A case study was undertaken in the Bach Ma National Park, which was one of the two national parks chosen to pilot the BSM policy under the Prime Minister’s Decision No 126 (Government-126 2012). In this study, both qualitative and quantitative data was collected on BSM implementation schemes; their impacts on local natural-resource use; local awareness of rights, benefits, and responsibilities when participating in the BSM; and local perspectives on the BSM’s achievements, failures, and future potential. Analysis revealed that the local community strongly supported the BSM implementation in the Bach Ma NP, displaying a high level of demand for the measures and significant involvement. Furthermore, thanks to the local people’s participation in the BSM implementation, their household incomes increased and their awareness and practices of NTFP sustainable use and forest protection in the co-management area improved”. The BSM implementation also exposed three main areas of weakness. These included poor compliance with the sustainable-harvest regulations, the apparent over-complexity of the the harvest-application procedures, and the users’ low contributions to the village fund after the NTFP harvest. The current research revealed that, although the local awareness and compliance with the BSM procedures increased annually after BSM implementation, the level of self-management and compliance was still quite low and needed to be improved. Furthermore, some conflicts have arisen between NTFPs users from village to village in Thuong Nhat and between local traders and NTFP collectors. Besides, the research identified two major negative practices: overexploitation of NTFPs and taking advantage of the NTFPs harvest to cut trees or trap animals. This dissertation presents various possibilities for improvement of the BSM implementation through (i) raising local people’s awareness; (ii) simplifying BSM procedures; (iii) clarifying incentives and tasks of BSM actors to enhance co-patrolling and monitoring activities; and (iv) creating good incentives either based on the livelihood program for those who actively comply with the BSM regulations or direct payments to those who join forest-protection activities. Finally, the research scrutinized certain challenges to future duplication of the BSM in other SUFs in Vietnam. To expand the BSM approach to other SUFs, the Ministry of Agriculture and Rural Development needs to develop a guideline for BSM implementation to encourage the relevant stakeholders’ involvement. The guideline for national BSM implementation should take account of the differences between local contexts, as well as create the necessary, flexible regulations to be applicable in practice. Therefore, based on the guideline, additional steps are necessary for the development of appropriate specific measures in the course of the BSM implementation at the provincial and local levels.
This thesis aims to develop a palaeogeographic and chronostratigraphic model of the southwestern Baltic Sea area, to improve our understanding of the depositional history of the Late Pleistocene on both a local and a transregional scale. New sedimentological, palaeontological and numerical age data will be presented from three reference sites located at the coast of NE Germany. So far, the chronostratigraphic assignment of Saalian and Weichselian sediments of NE Germany has been based mainly on lithostratigraphic methods and on sparse numerical age data, resulting in a fragmentary age database. Modern sedimentological approaches, such as facies analyses, have been applied only at a few isolated profiles. Thus, a reliable reconstruction of the depositional environments and their stratigraphic positions is still missing for the study area, which makes the correlation between Pleistocene successions from NE Germany and other circum-Baltic regions problematic. To address these lithostratigraphic and geochronologic issues, three crucial profiles were re-investigated using a multiproxy approach, including sedimentological, geochronological, and palaeontological techniques. The Glowe and Kluckow sites are located on the peninsula of Jasmund (Rügen Island), whereas the Klein Klütz Höved (KKH) section is situated between Wismar and Travemünde at the coast of the Mecklenburg Bay. The age-constraining of critical horizons was conducted by luminescence dating of feldspar and quartz grain minerals. Together, these successions represent the Late Saalian to Late Weichselian period and give rise to the following picture. The Glowe and Kluckow sections reveal that ice-free conditions dominated the study site between 47 and 42 ka. Deposition occurred in a steppe-like environment with moderate summers and cool winters. Meandering and braided river systems inhabited by various freshwater species, such as Anodonta cygnea, Pisidium amnicum and Perca fluviatilis, shaped the landscape. A subsequent cooling phase resulted in the establishment of a periglacial landscape and the formation of ice-wedges. This phase is shown in this thesis to be connected to the Klintholm advance documented at 34±4 ka in Denmark. Furthermore, the data indicate the formation of a lacustrine basin during the transition of MIS 3 to MIS 2 under sub-arctic climate conditions. A potential link to the Kattegat ice advance (29 – 26 ka) will be proposed. At 23±2 ka, the study area was characterised by proglacial and ice-contact lakes related to the Last Glacial Maximum ice advance of the Scandinavian Ice Sheet (SIS). This is the first documented SIS advance of Weichselian age, which reached Jasmund at 22±2 ka. The KKH sedimentary succession comprises deposits of Late Saalian to Late Weichselian age: after a period of deglaciation between ~139-134 ka (Termination II; MIS 6), which is preserved in a glaciofluvial sequence deposited in a braided river system, a lacustrine environment was established in an arctic to subarctic climate. During this time, the landscape was vegetated by typical Late Saalian flora communities. The Eemian interglacial is represented by lacustrine to brackish deposits covering the reference pollen zones 1 to 3. During this initial part of the Eemian, thermophile forest elements spread (Quercus, Ulmus), indicating a deciduous forest. The presence of brackish ostracods represents the influence of a marine transgression between 300 and 750 years after the beginning of the Eemian period. A hiatus of more than 90,000 years separates the Eemian from the overlying Late Weichselian sediments. During the Late Weichselian period, the deposition at KKH was dominated by glaciolacustrine and subglacial facies, where the first Weichselian ice advance occurred at 20±2 ka. The sedimentological and geochronological findings in this thesis provide valuable information for the reconstruction of the palaeoenvironmental history from the Late Saalian to Late Weichselian period. The Late Saalian palaeoenvironmental setting is reconstructed, including Termination II and the initial phase of the Eemian interglacial. Furthermore, the Eemian marine transgression is shown to have occurred 300 to 750 years after the beginning of this interglacial. The first proven Weichselian advance of the SIS approached NE Germany between ~23 and ~20 ka. In contrast, there is no evidence to support a pre-LGM advance of Weichselian age to the study area, as proposed by several authors, neither at Glowe and Kluckow, nor at the KKH site. Based on the presented results, and contra what was previously assumed, the MIS 3 Ristinge and Klintholm advance of the SIS, documented in Denmark, did not reach NE Germany.
Die vorliegende Arbeit beschäftigt sich mit der holozänen Landschaftsentwicklung der Mecklenburgischen Seenplatte unter dem Einfluss des Menschen. Neben eigenen geomorphologischen, bodenkundlichen und sedimentologischen Untersuchungen ergänzen geochronologische und paläoökologische Analysen Dritter das verwendete interdisziplinäre Methodenspektrum. Hinzu kommt die Auswertung archäologischer Funde, archivalischer Quellen und aktueller Messreihen. Die Ergebnisse liefern neue Erkenntnisse über die holozäne Boden- und Reliefentwicklung sowie über (paläo-) hydrologische Schwankungen von Grund- und Seewasserspiegeln. Ferner ergeben sich neue Aspekte der regionalen Siedlungs- und Landnutzungsgeschichte. Für den umfassenden landschaftgenetischen Ansatz konnte auf die im Vergleich zu bisherigen Studien höchste OSL-Datierungsdichte für das nördliche Mitteleuropa zurückgegriffen werden. Neben der Überprüfung der eigenen Daten erlaubt der Blick in die Befundsituation angrenzender Gebiete die Ableitung gesamtlandschaftlicher Aussagen zur nacheiszeitlichen Entwicklung des nordostdeutschen Jungmoränengebietes. Die Diskussion über die Wirkung natürlich-klimatischer und anthropogener Einflussgrößen auf das landschaftliche Gefüge, gerade in Bezug auf die hydrologische Entwicklung bzw. die Veränderungen im regionalen Gewässernetz, erhält eine neue profunde Datengrundlage. Zur qualitativen Gewichtung der einzelnen Faktoren innerhalb einer langzeitlichen Betrachtungsebene ist die landschaftsgenetische Differenzierung zwischen anthropogen unbeeinflussten Phasen (Spätglazial bis Mittelholozän) und Zeiträumen starker anthropogener Einflüsse (Spätholozän) nötig. Vor dem Hintergrund der intensiven Kulturlandschaftsentwicklung Mitteleuropas birgt die räumliche und zeitliche Varianz des anthropogenen Einflusses in der Landschaft innerhalb der letzten 1000 Jahre hierbei eine besondere methodische Herausforderung.
Die vorliegende Arbeit behandelt die holozäne Küstenentwicklung im Raum Darss-Zingst-Hiddensee, die eng an die Interaktion von eustatischen Meeresspiegelschwankungen, neotektonischen Bewegungen der Erdkruste und dem zugeführten Sedimentvolumen gebunden ist. Es sind mehrere Ziele der Untersuchungen zu nennen: Zunächst relevant ist die Kartierung der holozänen Sedimentabfolge und der liegenden pleistozänen Deckschichten im Untersuchungsgebiet, das neben den Nehrungen auch das angrenzende Seegebiet der Ostsee und die rückseitigen Lagunen umfasst. Anschließend ist die Modellierung der Transgressionsbasisfläche notwendig, um das im Holozän unter marinen Bedingungen umgelagerte Sedimentvolumen abschätzen zu können. Eine Kernfragestellung bildet die Sedimentbilanz. Vor allem für das Teilgebiet Zingst mit östlich angrenzendem Windwatt und Barriere-Inseln sind die Sedimentquellen, die zur Aufschüttung dieses Nehrungskörpers geführt haben, unklar. Die potentielle Materialbereitstellung umliegender Kliffe (Fischland, Altdarss) ist im Verhältnis zum Nehrungsvolumen relativ gering. In Kombination mit geochronologischen Untersuchungen der Sedimentsequenz ergeben sich im Gesamtraum Schlussfolgerungen über die Ablagerungsdynamik, die zur Ausbildung der gegenwärtigen Küstenlandschaft geführt hat. Anhand der Befunde wurde ein paläogeographisches Modell der Küstenentwicklung für das Gebiet abgeleitet. Diese Ergebnisse bilden die Grundlage zur Entwicklung zukünftiger Szenarien der Küstengenese mit Hilfe von morphodynamischen Prozessmodellen, die weiterführende Aufgabenstellungen bieten. Aus Sichtweise des Küstenschutzes und vor dem Hintergrund beschleunigter Anstiegsprognosen des Meeresspiegels sind die gewonnenen Erkenntnisse von hoher Bedeutung.
Understanding the interaction between climate variability and ice sheet behavior is critical due to scenarios of future climate warming and the consequent contribution of Greenland ice sheet melting to sea-level rise and its potential to influence thermohaline circulation. This thesis investigates the role of ocean forcing by the West Greenland Current (WGC) on the dynamics of West Greenland ice sheet behavior, with focus on Jakobshavn Isbræ, in the Disko Bugt area of central West Greenland. High-resolution sediment cores, obtained during a cruise of the RV ‘Maria S. Merian’ in 2007, provide a long-term Holocene perspective on climate variability off West Greenland. These records cover the last 8000 years with increasing resolution through to periods of historical and instrumental data series. Paleoenvironmental reconstructions, based on the calcareous and agglutinated benthic foraminiferal assemblage, reveal significant variations in the water mass properties (e.g. temperature and salinity) of the WGC. From 8 to 6 cal. ka BP, a relatively warm WGC enhances meltwater production (ice retreat) in Disko Bugt. Holocene ‘thermal optimum-like’ conditions prevailed from 5.5 to 3.5 cal. ka BP, associated with minimum ice sheet extent in eastern Disko Bugt. Long-term cooling of oceanographic conditions is recognized from c. 3.5 cal. ka BP towards the present day. Superimposed on this millennial scale cooling trend, centennial scale variability within the WGC is reconstructed: i) the 2.7 cal. ka BP ‘cooling event’; ii) the Roman Warm Period; iii) the Medieval Climate Anomaly; and iv) the Little Ice Age. Over the past 100 years, oceanographic conditions remain relatively cool and multidecadal variability in the WGC’s ocean temperatures show close correlation with the ice marg in position of Jakobshavn Isbræ and phases of the Atlantic Multi-decadal Oscillation (AMO). Cold (warm) phases correlate with stabilization/re-advance (retreat) of Jakobshavn Isbræ and a negative (high) index of the AMO. It has been demonstrated that variations in ocean temperature are an important factor that influence ice sheet behavior on a range of times scales, underlining the close coupling of ice-ocean interactions during the Holocene. Warmer ocean temperatures influence the stability of marine terminating ice sheets and glaciers, causing basal melting and glacier acceleration, whereas ocean cooling supports stabilization and advance of ice margin.
Governance and Management of Tourism in two Biosphere Reserves in Ecuador: Galapagos and Sumaco
(2014)
Tourism is multi-faceted phenomenon and various stakeholders, levels of government, and sectors are closely interlinked. Governmental and non-governmental institutions, local communities, diverse professionals, and different sectors and tourists do show various perspectives about the management of tourism. In this dissertation, a comprehensive analysis on the current situation of tourism in two biosphere reserves (Galapagos and Sumaco) in Ecuador is presented. Tourism is considered as one of the key strategies to promote environmental conservation and socio-economic development of local communities living in these places. UNESCO biosphere reserves are protected areas of extraordinary natural and cultural value, conceived as places for reconciliation between conservation and development. The concept of sustainable tourism can be seen as an umbrella that unites various forms of tourism in these protected areas (e.g. ecotourism, community-based tourism). The primary objective was to evaluate the main factors of success and failure in the management of tourism and its contribution to biodiversity conservation. Thus, a detailed review of the legal, political, and institutional framework of the country and a description of the two biosphere reserves (physical, biogeographic, demographic, socio-economic, institutional and legal elements) was given. Data collection for the case studies (Galapagos and Sumaco) was performed by the combination of qualitative and quantitative methods. As for qualitative tools, in-depth semi-structured interviews with the main stakeholders in both biosphere reserves were applied. Experts and specialists in the management of protected areas, as well as representatives of different sectors directly and indirectly associated with tourism were interviewed. Moreover, surveys were applied to two different target groups. Tourists were surveyed in order to establish their socio-demographic profile, travel preferences, and degree of knowledge about sustainable tourism, as well as their perception of the sustainability of tourism in the destinations visited. Furthermore, residents in both reserves were surveyed in order to find out about their socio-demographic characteristics, their main economic activities for supporting themselves and their attitude towards tourism, their level of knowledge about biosphere reserves, and their perception about advantages or disadvantages of living in a biosphere reserve. In general, although tourism is a concept that could be developed in accordance with the environment in these natural areas, in the case of Galapagos it is one of the main risk factors for the conservation of biodiversity in the archipelago due to the increasing number of tourists. In contrast, in Sumaco tourism could be an important sustainable alternative to mining, oil extraction and hydroelectric projects, which are the current threats to the conservation of the area. From the environmental point of view, there are serious problems in both reserves, mainly linked to the contamination of water resources. Such pollution imposes risks to the health to both, residents and tourists. The lack of freshwater is particularly critical in Galapagos, given its insular habitat. The invasion of exotic species in Galapagos is one of the most serious threats to the conservation, while deforestation in combination with illegal logging and mining activities is the greatest danger in Sumaco. In terms of sociocultural factors, migration processes undoubtedly shape the attitudes and values of the current population in both reserves. In Galapagos most residents are immigrants, whereas in Sumaco a significant portion are Kichwa people who belong to the area’s native population. In general, the inhabitants in both areas have not yet developed a true environmental awareness. The distribution of human population groups is also associated with the different types of tourism. In both reserves, tourist services offered by local communities have low quality standards and are targeted on a market segment consisting of tourists with a low budget. Thus, the community revenues obtained from tourism are generally only a small percentage of the total tourism market. This situation is much more noticeable in Galapagos where large companies that operate luxury cruises and hotels gain most of their revenues from tourism. Many of them have their headquarters in the main cities of Ecuador and abroad, which means that they pay their taxes in those cities and not in the places where they operate. Inequality in the distribution of the economic benefits of tourism leads to a situation of frustration and discontentment among the residents of the regions involved. Despite this situation, tourism is still a profitable business and residents try to make the most of it, no matter the cost impacts. Temporary and illegal tourism activities is often the normal state of the things: unregistered houses that offer rooms for tourists, taxi drivers who offer tours without being in possession of permits, tourist boat owners, tour guides and even large tourist companies that operate without legal licenses. This situation inevitably leads to a decrease of the quality of services, an uncontrolled increase of business, a consequent dumping of prices and the overall decline of the destination. Ultimately, this means fewer tourists, more environmental degradation and less economic benefits for residents. In this context, there is a serious conflict between the local community and large foreign companies. Governance and management of tourism are essential elements to ensure its development in a sustainable way. The country has a large number of laws, rules, regulations, and plans that regulate the development of sustainable tourism legally and institutionally, especially in protected areas. However, monitoring and law enforcement are major constraints for achieving proper management of tourism. This problem is particularly noticeable in small communities such as Galapagos and Sumaco where interpersonal relationships of kinship and friendship are close, which complicates control and regulation. There are some serious limitations regarding the technical and logistical capacity of the institutions responsible for controlling and managing the tourist activity; they consist mainly in the lack of staff and funding. Galapagos, given its special status, has increased the number of funding managers and staff members for controlling and management, but in many cases, these people are not fully qualified for their positions. Sumaco has only few tourism experts who can help to develop the tourism. The coordination and planning among all stakeholders involved in tourism is still a work in progress to ensure proper management of the tourist destinations. In any case, local communities are developing important initiatives in both biosphere reserves. After all, sometimes planning, coordination and local activities do not necessarily coincide with the national agenda. In general, in both biosphere reserves it is necessary to ensure higher standards of education, both formal and informal. Also it is urgent that the government as a regulating entity ensures the equitable participation of local communities in tourism benefits, control, monitoring, and law enforcement. Moreover, there is the need to encourage and ensure integrated planning of tourism in the different levels of government: local, regional, and national. Sustainable tourism means that the protection of cultural heritage and natural resources is granted at least the same level of importance as the involved economic interests. The unique nature that currently attracts tourists to Galapagos and Sumaco should be preserved not only for ensuring the continuity of the tourism activity itself, but also in order to safeguard biodiversity and natural resources for the coming generations. Responsible tourism practices which care about their social and environmental impacts are not necessarily opposed to economic interests. On the contrary, they need each other for a long-term development.
The primary objective of this study is to practically apply geostatistical tools that can help to improve an evaluation of groundwater quality for a particular area. The Nam Dinh area, an area of 70 x 70 km2, located in the Southern part of the Red River Delta, was selected as a source for different data sets to be used as case studies. A set of geostatistical tools has thus been applied to the different real data sets which were collected from the coastal Quaternary aquifers in the different campaigns. This gives us a yardstick by which the success of a specific approach can be measured. Throughout the thesis a series of the case studies are, in turn, represented in order to get insight into and an understanding of what various geostatistical tools can do and, more importantly, what their shortcomings are. There are nine different methods of data analyses use in this thesis, which include: (1) Major Ion Comparison, (2) Graphic Plots, (3) Exploratory Statistical Data Analysis, (4) Variogram Analysis, (5) Spatial Estimation Using Kriging, (6) Cluster Analysis, (7) Principle Component Analysis, (8) Multivariate Regionalization Analysis, and (9) Contamination Risk Mapping Using Indicator Kriging. First, major ion comparison and graphic analysis are performed in order to get a general hydrogeochemical view of the collected datasets, before stepping into a further geostatistical approach. By these analyses, various groundwater types are observed and a general hydrochemical trend is visualized using Stiff- and Piper diagrams as well as site maps. The major ion ratios in relation to TDS concentration are compared to investigate the origin of water. Second, a statistical exploratory data analysis is applied to describe the important features of the data by which the character of a specific hydrogeochemical variable might be recognized. Deviations from the Gaussian probability model are detected and appropriate transformations for a formal analysis in geostatistics are selected. Since the Theory of Regionalized Variables (Mathéron 1971; short term: Geostatistics) assumes Gaussian distribution the hydrochemical variables used here are checked for normality. These analyses show that although the data are facing some problems such as outliers and they are very positively skewed at the linear scale, this can effectively be minimized by transforming the data to log-scale. Third, both variogram analyses and Kriging techniques are used to spatially estimate a rectangular 36x36 estimation grid within an area of 70 x 70 km based on the sampled locations (85, 45 and 74 and 38 visited locations for the Pleistocene RS, the Pleistocene DS, the Holocene RS, the Holocene DS, respectively). These estimated values are then used to map the spatiotemporal variability of groundwater quality. In practice, estimation of unknown values and mapping of concentrations of a specific variable can, of course, easily be created by many available software programs. However, error variances are always present in any estimation due to a level of uncertainty, so the reliability of how these estimates could be yielded has also been evaluated in this case study. A critical assessment of all possible variations, tightly related to the seasonal change, directional influence, spatial distribution and prediction error is conducted and concluded. Fourth, Cluster Analysis (CA), Principle Component Analysis (PCA) and Multivariate Regionalization Analysis (RA) are applied to three main datasets of all Quaternary aquifers in the Nam Dinh area to discover the relationships among measured hydrochemical parameters by which we can detect and regionalize major factors which have an impact upon groundwater quality. These approaches are also to overcome the plethora of data that is usually a common problem for any one who has already tackled groundwater data. In this case study both clustering and R mode principal component analyses are thus performed based on the following parameters: The log-transformed concentrations of all measured major ions and of NO3-, NO2-, NH4+, PO42-, i.e. 11 variables from three different datasets of the main aquifers. By cluster analysis three classes of water types, ranging from freshwater to brackish-saltwater types, are typically grouped. Finally, Indicator Kriging (IK) is performed to evaluate the risks of arsenic contamination. The focus of this approach is to assess contamination risk expressed as probability of exceeding threshold- values. The region may thus be subdivided into “safe” and “unsafe” zones on the basis of probability maps which mark contaminated all places where the risk of arsenic contamination exceeds a given threshold for drinking water purpose. By this case study, it is shown that Indicator Kriging is a useful method which has some advantages for many contamination studies. Firstly, it is well known as the non-parametric technique which can be appreciably used when a dataset does not reach normal shape or nearly normal shape as in this situation. Secondly, the outlier problem that often exists in any analysis can be overcome when applying this method. Thirdly, it can be applied in practice to delimit a study area into “safe zone” or “unsafe zone” from which decision-making on the water supply can be decided for the remediation of a contaminated water source or selecting an appreciative source for exploitation. The combined use of spatial (Geostatistics) and multivariate statistical measures have proven to be of major assistance in questions of assessing groundwater quality especially in less sampled regions. A major advantage lies in the possibility of simultaneously creating spatial estimates as well as estimation confidence limits.
Using geopolymers can reduce significant amounts of CO2-emissions during the production compared to Portland cement. Although illite/smectite clays are very abundant on earths crust and rich in SiO2 and Al2O3, studies of their geopolymerization potential are rare. Thus, the illite/smectite clay of Friedland (NE Germany) was calcined (850 °C) and ground to form a reactive metaclay and then mixed with synthetic gibbsite (to test the effect of Al-concentration) and 6 molar NaOH or KOH, in order to study their geopolymerization at 25, 50 and 75 °C within 28 days. The raw clay, the precursors, and the geopolymers were characterized by XRF, XRD, SEM-EDX, Flame-AAS, nitrogen adsorption and compressive strength test. 25 °C was too low to initiate the geopolymerization of illite/smectite. Increasing the curing temperature increased the reactivity of meta-illite/smecite. Si and Al dissolution was confined to the first 24 h, followed by the hardening of the geopolymers within 28 days. At 50°C, KOH-activation formed amorphous and mesoporous aluminosilicates, which significantly cemented the particles and agglomerates of the metaclay. Consequently, geopolymers with high compression strength (~38 N/mm2) were formed. Adding 10 wt% Gibbsite (precursor Si/Al = 2.1) to the metaclay strengthened the formation of amorphous aluminosilicates and increased the compression strength of the geopolymer by 20 % from 38 - 45 N/mm2. At 75 °C, the reactivity of the metaclay in NaOH was higher than in KOH. NaOHactivation at that temperature formed geopolymers with high compression strength (~30 N/mm2) due to the cementation by microporous phillipsite (K-, Na-zeolite) crystals. Thus, alkali-activation of the calcined and ground meta-illite/smectite from Friedland form high strength geopolymers under hydrothermal conditions.