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In recent decades, a multitude of concepts and models were developed to understand, assess and predict muscular mechanics in the context of physiological and pathological events.
Most of these models are highly specialized and designed to selectively address fields in, e.g., medicine, sports science, forensics, product design or CGI; their data are often not transferable to other ranges of application. A single universal model, which covers the details of biochemical and neural processes, as well as the development of internal and external force and motion patterns and appearance could not be practical with regard to the diversity of the questions to be investigated and the task to find answers efficiently. With reasonable limitations though, a generalized approach is feasible.
The objective of the work at hand was to develop a model for muscle simulation which covers the phenomenological aspects, and thus is universally applicable in domains where up until now specialized models were utilized. This includes investigations on active and passive motion, structural interaction of muscles within the body and with external elements, for example in crash scenarios, but also research topics like the verification of in vivo experiments and parameter identification. For this purpose, elements for the simulation of incompressible deformations were studied, adapted and implemented into the finite element code SLang. Various anisotropic, visco-elastic muscle models were developed or enhanced. The applicability was demonstrated on the base of several examples, and a general base for the implementation of further material models was developed and elaborated.
Material properties play a critical role in durable products manufacturing. Estimation of the precise characteristics in different scales requires complex and expensive experimental measurements. Potentially, computational methods can provide a platform to determine the fundamental properties before the final experiment. Multi-scale computational modeling leads to the modeling of the various time, and length scales include nano, micro, meso, and macro scales. These scales can be modeled separately or in correlation with coarser scales. Depend on the interested scales modeling, the right selection of multi-scale methods leads to reliable results and affordable computational cost. The present dissertation deals with the problems in various length and time scales using computational methods include density functional theory (DFT), molecular mechanics (MM), molecular dynamics (MD), and finite element (FE) methods.
Physical and chemical interactions in lower scales determine the coarser scale properties. Particles interaction modeling and exploring fundamental properties are significant challenges of computational science. Downscale modelings need more computational effort due to a large number of interacted atoms/particles. To deal with this problem and bring up a fine-scale (nano) as a coarse-scale (macro) problem, we extended an atomic-continuum framework. The discrete atomic models solve as a continuum problem using the computationally efficient FE method. MM or force field method based on a set of assumptions approximates a solution on the atomic scale. In this method, atoms and bonds model as a harmonic oscillator with a system of mass and springs. The negative gradient of the potential energy equal to the forces on each atom. In this way, each bond's total potential energy includes bonded, and non-bonded energies are simulated as equivalent structural strain energies. Finally, the chemical nature of the atomic bond is modeled as a piezoelectric beam element that solves by the FE method.
Exploring novel materials with unique properties is a demand for various industrial applications. During the last decade, many two-dimensional (2D) materials have been synthesized and shown outstanding properties. Investigation of the probable defects during the formation/fabrication process and studying their strength under severe service life are the critical tasks to explore performance prospects. We studied various defects include nano crack, notch, and point vacancy (Stone-Wales defect) defects employing MD analysis. Classical MD has been used to simulate a considerable amount of molecules at micro-, and meso- scales. Pristine and defective nanosheet structures considered under the uniaxial tensile loading at various temperatures using open-source LAMMPS codes. The results were visualized with the open-source software of OVITO and VMD.
Quantum based first principle calculations have been conducting at electronic scales and known as the most accurate Ab initio methods. However, they are computationally expensive to apply for large systems. We used density functional theory (DFT) to estimate the mechanical and electrochemical response of the 2D materials. Many-body Schrödinger's equation describes the motion and interactions of the solid-state particles. Solid describes as a system of positive nuclei and negative electrons, all electromagnetically interacting with each other, where the wave function theory describes the quantum state of the set of particles. However, dealing with the 3N coordinates of the electrons, nuclei, and N coordinates of the electrons spin components makes the governing equation unsolvable for just a few interacted atoms. Some assumptions and theories like Born Oppenheimer and Hartree-Fock mean-field and Hohenberg-Kohn theories are needed to treat with this equation. First, Born Oppenheimer approximation reduces it to the only electronic coordinates. Then Kohn and Sham, based on Hartree-Fock and Hohenberg-Kohn theories, assumed an equivalent fictitious non-interacting electrons system as an electron density functional such that their ground state energies are equal to a set of interacting electrons. Exchange-correlation energy functionals are responsible for satisfying the equivalency between both systems. The exact form of the exchange-correlation functional is not known. However, there are widely used methods to derive functionals like local density approximation (LDA), Generalized gradient approximation (GGA), and hybrid functionals (e.g., B3LYP). In our study, DFT performed using VASP codes within the GGA/PBE approximation, and visualization/post-processing of the results realized via open-source software of VESTA.
The extensive DFT calculations are conducted 2D nanomaterials prospects as anode/cathode electrode materials for batteries. Metal-ion batteries' performance strongly depends on the design of novel electrode material. Two-dimensional (2D) materials have developed a remarkable interest in using as an electrode in battery cells due to their excellent properties. Desirable battery energy storage systems (BESS) must satisfy the high energy density, safe operation, and efficient production costs. Batteries have been using in electronic devices and provide a solution to the environmental issues and store the discontinuous energies generated from renewable wind or solar power plants. Therefore, exploring optimal electrode materials can improve storage capacity and charging/discharging rates, leading to the design of advanced batteries.
Our results in multiple scales highlight not only the proposed and employed methods' efficiencies but also promising prospect of recently synthesized nanomaterials and their applications as an anode material. In this way, first, a novel approach developed for the modeling of the 1D nanotube as a continuum piezoelectric beam element. The results converged and matched closely with those from experiments and other more complex models. Then mechanical properties of nanosheets estimated and the failure mechanisms results provide a useful guide for further use in prospect applications. Our results indicated a comprehensive and useful vision concerning the mechanical properties of nanosheets with/without defects. Finally, mechanical and electrochemical properties of the several 2D nanomaterials are explored for the first time—their application performance as an anode material illustrates high potentials in manufacturing super-stretchable and ultrahigh-capacity battery energy storage systems (BESS). Our results exhibited better performance in comparison to the available commercial anode materials.
The thesis concerns a work of urban history intended not to describe the city but rather to interpret it. By doing so, I have interpreted the city by means of the role played by the so-called ‘great property’ in the European city-making process during the last three decades of the 20th century, specifically focused on the concrete case of military properties in Italy. I have also considered the role played by other kinds of great properties, i.e. industries and railway, which previously acted in the production of the built environment in a different way respect to the military one. As all of them have as common denominator the fact of being ‘capital in land’, I analysed great industrial and railway properties in order to extrapolate a methodology which helped me to interpret the relationship between military properties and city-making process in Europe in the late 20th century.
I have analysed the relationship between the capital in land and the city-making process on the ground of the understanding the interrelation between the great property, the urban development, and the agents involved in the urban and territorial planning. Here I have showed that urban planning is not the decisive factor influencing the citymaking process, but instead the power held by the capital in land. I have found that is the great property the trigger of the creation of new ‘areas of centrality’ intended as large areas for consumerism. As far as the role played by great property is concerned, I have also discovered that it has evolved over time. Originally, industrial and railway properties have been regenerated into a wide range of new profit-driven spaces; successively, I have found out that most of the regeneration of military premises aimed to materialise areas of centrality. The way of interpreting this factor has been based on focusing my attention on the military premises in Italy: I have classified their typology when they have been built and, most importantly, when they have been regenerated into new areas of centrality.
Ausgehend von der vielfachen Verwertung der bäuerlichen Kleidung durch den Staat während des Sozialismus in Rumänien wird in der Arbeit das ‚Gemacht-Sein‘ von Volkstrachten befragt entlang von im untersuchten Zeitraum wirkenden Diskursen, wie dem Prozess der Modernisierung oder der Hervorhebung nationaler Werte. Die künstlerische Forschung setzt dabei auf Simulacra (Roland Barthes). Ziel war, tradierte Formate der Wissensaufbereitung und -verbreitung zu appropriieren, so auch von Strategien, die auf der Ebene von Bildern und Sprache agieren, um eine Re-Lektüre sowohl von ‚Volkstracht‘ im Sozialismus als auch von ihren Entsprechungen nach 1989 zu ermöglichen.
Although it is impractical to avert subsequent natural disasters, advances in simulation science and seismological studies make it possible to lessen the catastrophic damage. There currently exists in many urban areas a large number of structures, which are prone to damage by earthquakes. These were constructed without the guidance of a national seismic code, either before it existed or before it was enforced. For instance, in Istanbul, Turkey, as a high seismic area, around 90% of buildings are substandard, which can be generalized into other earthquakeprone regions in Turkey. The reliability of this building stock resulting from earthquake-induced collapse is currently uncertain. Nonetheless, it is also not feasible to perform a detailed seismic vulnerability analysis on each building as a solution to the scenario, as it will be too complicated and expensive. This indicates the necessity of a reliable, rapid, and computationally easy method for seismic vulnerability assessment, commonly known as Rapid Visual Screening (RVS). In RVS methodology, an observational survey of buildings is performed, and according to the data collected during the visual inspection, a structural score is calculated without performing any structural calculations to determine the expected damage of a building and whether the building needs detailed assessment. Although this method might save time and resources due to the subjective/qualitative judgments of experts who performed the inspection, the evaluation process is dominated by vagueness and uncertainties, where the vagueness can be handled adequately through the fuzzy set theory but do not cover all sort of uncertainties due to its crisp membership functions. In this study, a novel method of rapid visual hazard safety assessment of buildings against earthquake is introduced in which an interval type-2 fuzzy logic system (IT2FLS) is used to cover uncertainties. In addition, the proposed method provides the possibility to evaluate the earthquake risk of the building by considering factors related to the building importance and exposure. A smartphone app prototype of the method has been introduced. For validation of the proposed method, two case studies have been selected, and the result of the analysis presents the robust efficiency of the proposed method.
Modern cryptography has become an often ubiquitous but essential part of our daily lives. Protocols for secure authentication and encryption protect our communication with various digital services, from private messaging, online shopping, to bank transactions or exchanging sensitive information. Those high-level protocols can naturally be only as secure as the authentication or encryption schemes underneath. Moreover, on a more detailed level, those schemes can also at best inherit the security of their underlying primitives. While widespread standards in modern symmetric-key cryptography, such as the Advanced Encryption Standard (AES), have shown to resist analysis until now, closer analysis and design of related primitives can deepen our understanding.
The present thesis consists of two parts that portray six contributions: The first part considers block-cipher cryptanalysis of the round-reduced AES, the AES-based tweakable block cipher Kiasu-BC, and TNT. The second part studies the design, analysis, and implementation of provably secure authenticated encryption schemes.
In general, cryptanalysis aims at finding distinguishable properties in the output distribution. Block ciphers are a core primitive of symmetric-key cryptography which are useful for the construction of various higher-level schemes, ranging from authentication, encryption, authenticated encryption up to integrity protection. Therefore, their analysis is crucial to secure cryptographic schemes at their lowest level. With rare exceptions, block-cipher cryptanalysis employs a systematic strategy of investigating known attack techniques. Modern proposals are expected to be evaluated against these techniques. The considerable effort for evaluation, however, demands efforts not only from the designers but also from external sources.
The Advanced Encryption Standard (AES) is one of the most widespread block ciphers nowadays. Therefore, it is naturally an interesting target for further analysis. Tweakable block ciphers augment the usual inputs of a secret key and a public plaintext by an additional public input called tweak. Among various proposals through the previous decade, this thesis identifies Kiasu-BC as a noteworthy attempt to construct a tweakable block cipher that is very close to the AES. Hence, its analysis intertwines closely with that of the AES and illustrates the impact of the tweak on its security best. Moreover, it revisits a generic tweakable block cipher Tweak-and-Tweak (TNT) and its instantiation based on the round-reduced AES.
The first part investigates the security of the AES against several forms of differential cryptanalysis, developing distinguishers on four to six (out of ten) rounds of AES. For Kiasu-BC, it exploits the additional freedom in the tweak to develop two forms of differential-based attacks: rectangles and impossible differentials. The results on Kiasu-BC consider an additional round compared to attacks on the (untweaked) AES. The authors of TNT had provided an initial security analysis that still left a gap between provable guarantees and attacks. Our analysis conducts a considerable step towards closing this gap. For TNT-AES - an instantiation of TNT built upon the AES round function - this thesis further shows how to transform our distinguisher into a key-recovery attack.
Many applications require the simultaneous authentication and encryption of transmitted data. Authenticated encryption (AE) schemes provide both properties. Modern AE schemes usually demand a unique public input called nonce that must not repeat. Though, this requirement cannot always be guaranteed in practice. As part of a remedy, misuse-resistant and robust AE tries to reduce the impact of occasional misuses. However, robust AE considers not only the potential reuse of nonces. Common authenticated encryption also demanded that the entire ciphertext would have to be buffered until the authentication tag has been successfully verified. In practice, this approach is difficult to ensure since the setting may lack the resources for buffering the messages. Moreover, robustness guarantees in the case of misuse are valuable features.
The second part of this thesis proposes three authenticated encryption schemes: RIV, SIV-x, and DCT. RIV is robust against nonce misuse and the release of unverified plaintexts. Both SIV-x and DCT provide high security independent from nonce repetitions. As the core under SIV-x, this thesis revisits the proof of a highly secure parallel MAC, PMAC-x, revises its details, and proposes SIV-x as a highly secure authenticated encryption scheme. Finally, DCT is a generic approach to have n-bit secure deterministic AE but without the need of expanding the ciphertext-tag string by more than n bits more than the plaintext.
From its first part, this thesis aims to extend the understanding of the (1) cryptanalysis of round-reduced AES, as well as the understanding of (2) AES-like tweakable block ciphers. From its second part, it demonstrates how to simply extend known approaches for (3) robust nonce-based as well as (4) highly secure deterministic authenticated encryption.
Multi-user virtual reality systems enable collocated as well as distributed users to perform collaborative activities in immersive virtual environments. A common activity in this context is to move from one location to the next as a group to explore the environment together. The simplest solution to realize these multi-user navigation processes is to provide each participant with a technique for individual navigation. However, this approach entails some potentially undesirable consequences such as the execution of a similar navigation sequence by each participant, a regular need for coordination within the group, and, related to this, the risk of losing each other during the navigation process.
To overcome these issues, this thesis performs research on group navigation techniques that move group members together through a virtual environment. The presented work was guided by four overarching research questions that address the quality requirements for group navigation techniques, the differences between collocated and distributed settings, the scalability of group navigation, and the suitability of individual and group navigation for various scenarios. This thesis approaches these questions by introducing a general conceptual framework as well as the specification of central requirements for the design of group navigation techniques. The design, implementation, and evaluation of corresponding group navigation techniques demonstrate the applicability of the proposed framework.
As a first step, this thesis presents ideas for the extension of the short-range teleportation metaphor, also termed jumping, for multiple users. It derives general quality requirements for the comprehensibility of the group jumping process and introduces a corresponding technique for two collocated users. The results of two user studies indicate that sickness symptoms are not affected by user roles during group jumping and confirm improved planning accuracy for the navigator, increased spatial awareness for the passenger, and reduced cognitive load for both user roles.
Next, this thesis explores the design space of group navigation techniques in distributed virtual environments. It presents a conceptual framework to systematize the design decisions for group navigation techniques based on Tuckman's model of small-group development and introduces the idea of virtual formation adjustments as part of the navigation process. A quantitative user study demonstrates that the corresponding extension of Multi-Ray Jumping for distributed dyads leads to more efficient travel sequences and reduced workload. The results of a qualitative expert review confirm these findings and provide further insights regarding the complementarity of individual and group navigation in distributed virtual environments.
Then, this thesis investigates the navigation of larger groups of distributed users in the context of guided museum tours and establishes three central requirements for (scalable) group navigation techniques. These should foster the awareness of ongoing navigation activities as well as facilitate the predictability of their consequences for all group members (Comprehensibility), assist the group with avoiding collisions in the virtual environment (Obstacle Avoidance), and support placing the group in a meaningful spatial formation for the joint observation and discussion of objects (View Optimization). The work suggests a new technique to address these requirements and reports on its evaluation in an initial usability study with groups of five to ten (partially simulated) users. The results indicate easy learnability for navigators and high comprehensibility for passengers. Moreover, they also provide valuable insights for the development of group navigation techniques for even larger groups.
Finally, this thesis embeds the previous contributions in a comprehensive literature overview and emphasizes the need to study larger, more heterogeneous, and more diverse group compositions including the related social factors that affect group dynamics.
In summary, the four major research contributions of this thesis are as follows:
- the framing of group navigation as a specific instance of Tuckman's model of small-group development
- the derivation of central requirements for effective group navigation techniques beyond common quality factors known from single-user navigation
- the introduction of virtual formation adjustments during group navigation and their integration into concrete group navigation techniques
- evidence that appropriate pre-travel information and virtual formation adjustments lead to more efficient travel sequences for groups and lower workloads for both navigators and passengers
Overall, the research of this thesis confirms that group navigation techniques are a valuable addition to the portfolio of interaction techniques in multi-user virtual reality systems. The conceptual framework, the derived quality requirements, and the development of novel group navigation techniques provide effective guidance for application developers and inform future research in this area.
Mitigating Risks of Corruption in Construction: A theoretical rationale for BIM adoption in Ethiopia
(2021)
This PhD thesis sets out to investigate the potentials of Building Information Modeling (BIM) to mitigate risks of corruption in the Ethiopian public construction sector. The wide-ranging capabilities and promises of BIM have led to the strong perception among researchers and practitioners that it is an indispensable technology. Consequently, it has become the frequent subject of science and research. Meanwhile, many countries, especially the developed ones, have committed themselves to applying the technology extensively. Increasing productivity is the most common and frequently cited reason for that.
However, both technology developers and adopters are oblivious to the potentials of BIM in addressing critical challenges in the construction sector, such as corruption. This particularly would be significant in developing countries like Ethiopia, where its problems and effects are acute. Studies reveal that bribery and corruption have long pervaded the construction industry worldwide. The complex and fragmented nature of the sector provides an environment for corruption. The Ethiopian construction sector is not immune from this epidemic reality. In fact, it is regarded as one of the most vulnerable sectors owing to varying socio-economic and political factors. Since 2015, Ethiopia has started adopting BIM, yet without clear goals and strategies. As a result, the potential of BIM for combating concrete problems of the sector remains untapped. To this end, this dissertation does pioneering work by showing how collaboration and coordination features of the technology contribute to minimizing the opportunities for corruption. Tracing loopholes, otherwise, would remain complex and ineffective in the traditional documentation processes.
Proceeding from this anticipation, this thesis brings up two primary questions: what are areas and risks of corruption in case of the Ethiopian public construction projects; and how could BIM be leveraged to mitigate these risks? To tackle these and other secondary questions, the research employs a mixed-method approach. The selected main research strategies are Survey, Grounded Theory (GT) and Archival Study. First, the author disseminates an online questionnaire among Ethiopian construction engineering professionals to pinpoint areas of vulnerability to corruption. 155 responses are compiled and scrutinized quantitatively. Then, a semi-structured in-depth interview is conducted with 20 senior professionals, primarily to comprehend opportunities for and risks of corruption in those identified highly vulnerable project stages and decision points. At the same time, open interviews (consultations) are held with 14 informants to be aware of state of the construction documentation, BIM and loopholes for corruption in the country. Consequently, these qualitative data are analyzed utilizing the principles of GT, heat/risk mapping and Social Network Analysis (SNA). The risk mapping assists the researcher in the course of prioritizing corruption risks; whilst through SNA, methodically, it is feasible to identify key actors/stakeholders in the corruption venture. Based on the generated research data, the author constructs a [substantive] grounded theory around the elements of corruption in the Ethiopian public construction sector. This theory, later, guides the subsequent strategic proposition of BIM. Finally, 85 public construction related cases are also analyzed systematically to substantiate and confirm previous findings.
By ways of these multiple research endeavors that is based, first and foremost, on the triangulation of qualitative and quantitative data analysis, the author conveys a number of key findings. First, estimations, tender document preparation and evaluation, construction material as well as quality control and additional work orders are found to be the most vulnerable stages in the design, tendering and construction phases respectively. Second, middle management personnel of contractors and clients, aided by brokers, play most critical roles in corrupt transactions within the prevalent corruption network. Third, grand corruption persists in the sector, attributed to the fact that top management and higher officials entertain their overriding power, supported by the lack of project audits and accountability. Contrarily, individuals at operation level utilize intentional and unintentional 'errors’ as an opportunity for corruption.
In light of these findings, two conceptual BIM-based risk mitigation strategies are prescribed: active and passive automation of project audits; and the monitoring of project information throughout projects’ value chain. These propositions are made in reliance on BIM’s present dimensional capabilities and the promises of Integrated Project Delivery (IPD). Moreover, BIM’s synchronous potentials with other technologies such as Information and Communication Technology (ICT), and Radio Frequency technologies are topics which received a treatment. All these arguments form the basis for the main thesis of this dissertation, that BIM is able to mitigate corruption risks in the Ethiopian public construction sector. The discourse on the skepticisms about BIM that would stem from the complex nature of corruption and strategic as well as technological limitations of BIM is also illuminated and complemented by this work. Thus, the thesis uncovers possible research gaps and lays the foundation for further studies.
Encapsulation-based self-healing concrete has received a lot of attention nowadays in civil engineering field. These capsules are embedded in the cementitious matrix during concrete mixing. When the cracks appear, the embedded capsules which are placed along the path of incoming crack are fractured and then release of healing agents in the vicinity of damage. The materials of capsules need to be designed in a way that they should be able to break with small deformation, so the internal fluid can be released to seal the crack. This study focuses on computational modeling of fracture in encapsulation-based selfhealing concrete. The numerical model of 2D and 3D with randomly packed aggreates and capsules have been developed to analyze fracture mechanism that plays a significant role in the fracture probability of capsules and consequently the self-healing process. The capsules are assumed to be made of Poly Methyl Methacrylate (PMMA) and the potential cracks are represented by pre-inserted cohesive elements with tension and shear softening laws along the element boundaries of the mortar matrix, aggregates, capsules, and at the interfaces between these phases. The effects of volume fraction, core-wall thickness ratio, and mismatch fracture properties of capsules on the load carrying capacity of self-healing concrete and fracture probability of the capsules are investigated. The output of this study will become valuable tool to assist not only the experimentalists but also the manufacturers in designing an appropriate capsule material for self-healing concrete.
Die vorliegende Arbeit richtet sich an Ingenieur*innen und Wissenschaftler*innen der technischen Gebäudeausrüstung. Sie greift einen sich abzeichnenden Änderungsbedarf in der Umwelt- und Nachhaltigkeitsbewertung von Gebäuden und wärmetechnischen Anlagen auf. Der aktuell genutzte nicht erneuerbare Primärenergiebedarf wird insbesondere hinsichtlich künftiger politischer Klima- und Umweltschutzziele als alleinige Bewertungsgröße nicht ausreichend sein. Die mit dieser Arbeit vorgestellte Ökoeffizienzbewertungsmethode kann als geeignetes Instrument zur Lösung der Probleme beitragen. Sie ermöglicht systematische, ganzheitliche Bewertungen und reproduzierbare Vergleiche wärmetechnischer Anlagen bezüglich ihrer ökologischen und ökonomischen Nachhaltigkeit. Die wesentlichsten Neuentwicklungen sind die spezifische Umweltleistung, in Erweiterung zum genutzten Primärenergiefaktor, und der Ökoeffizienzindikator UWI.
Cultural Heritage on Mobile Devices: Building Guidelines for UNESCO World Heritage Sites' Apps
(2021)
Technological improvements and access provide a fertile scenario for creating and developing mobile applications (apps). This scenario results in a myriad of Apps providing information regarding touristic destinations, including those with a cultural profile, such as those dedicated to UNESCO World Heritage Sites (WHS). However, not all of the Apps have the same efficiency. In order to have a successful app, its development must consider usability aspects and features aligned with reliable content. Despite the guidelines for mobile usability being broadly available, they are generic, and none of them concentrates specifically into cultural heritage places, especially on those placed in an open-air scenario. This research aims to fulfil this literature gap and discusses how to adequate and develop specific guidelines for a better outdoor WHS experience. It uses an empirical approach applied to an open-air WHS city: Weimar and its Bauhaus and Classical Weimar sites. In order to build a new set of guidelines applied for open-air WHS, this research used a systematic approach to compare literature-based guidelines to industry-based ones (based on affordances), extracted from the available Apps dedicated to WHS set in Germany. The instructions compiled from both sources have been comparatively tested by using two built prototypes from the distinctive guidelines, creating a set of recommendations collecting the best approach from both sources, plus suggesting new ones the evaluation.
Knapp 30.000 Windenergieanlagen zwischen Nordsee und Alpen lassen unübersehbar erkennen, dass sich unser Energiesystem in einer umfassenden Transformation befindet. Allenthalben erfährt diese Entwicklung eine breite und kontroverse Rezeption und auch in der Denkmalpflege werden Windenergieanlagen aufgrund ihrer mitunter erheblichen Auswirkungen auf die Landschaft noch überwiegend als Störung wahrgenommen. Diese Arbeit nimmt dagegen die historische Entwicklung in den Blick und plädiert dafür, Windenergieanlagen als bedeutendes Kulturerbe zu verstehen. Angesichts des Voranschreitens der Energiewende wird angenommen, dass gerade älteren Modellen als baulichen Zeugnissen umfangreicher energiepolitischer Veränderungen seit den 1970er Jahren eine hohe Bedeutung zugeschrieben werden kann. Daher besteht das Ziel darin, Windenergieanlagen herauszuarbeiten, welche als hervorragende Zeugnisse der Entwicklung der Windenergienutzung in Deutschland zu bewerten sind.
Zur Annäherung werden diese zunächst als Untersuchungsgegenstand typologisch abgegrenzt. Eine wesentliche Besonderheit von Windenergieanlagen besteht darin, dass sie im Verhältnis zur eigentlichen Flächenversiegelung durch ihre vertikale Struktur erhebliche visuelle Auswirkungen auf die Landschaft haben. Anschließend wird die Entwicklung der Windenergienutzung seit den 1970er Jahren genauer betrachtet, welche insgesamt nicht linear verlief und von vielen Konflikten gekennzeichnet ist. Diese muss im Kontext eines wachsenden Umweltbewusstseins verstanden werden, das umfangreiche energiepolitische Veränderungen zur Folge hatte. Auf dieser Grundlage werden schließlich in einer denkmalkundlichen Reihenuntersuchung Windenergieanlagen herausgearbeitet, welche in hervorragender Weise von der Entwicklung zeugen. Die Auswahl bleibt allerdings mit sechs Objekten im Verhältnis zum Gesamtbestand von knapp 30.000 Anlagen relativ beschränkt, weil das auf die Abgrenzung von Besonderheiten ausgelegte etablierte Denkmalverständnis bei einem zeitlich so dichten Bestand gleichartiger Bauwerke an eine Grenze kommt.
Abschließend werden mögliche Erhaltungsperspektiven sowie denkmaltheoretische und -praktische Schlussfolgerungen diskutiert. Dabei ist unbedingt ein Erhalt am Ursprungsstandort anzustreben, wobei im Einzelfall entschieden werden muss, ob Belange des Funktions- oder Substanzerhaltes höher zu gewichten sind. Die skizzierten Auswahlprobleme regen darüber hinaus zur Diskussion zusätzlicher denkbarer Bewertungskategorien an, wobei sich insbesondere die gesellschaftliche Wahrnehmung und ökologische Werte aufdrängen. Zudem kann für die stärkere Berücksichtigung von Funktionszusammenhängen bei der Betrachtung technischer Infrastruktur in der Denkmalpflege plädiert werden. Insgesamt führt die denkmalkundliche Auseinandersetzung mit Windenergieanlagen damit weit über die Herausarbeitung einzelner Objekte hinaus und macht eindrücklich auf aktuelle Herausforderungen der Denkmalpflege und darüber hinaus aufmerksam.
In the last two decades, Peridynamics (PD) attracts much attention in the field of fracture mechanics. One key feature of PD is the nonlocality, which is quite different from the ideas in conventional methods such as FEM and meshless method. However, conventional PD suffers from problems such as constant horizon, explicit algorithm, hourglass mode. In this thesis, by examining the nonlocality with scrutiny, we proposed several new concepts such as dual-horizon (DH) in PD, dual-support (DS) in smoothed particle hydrodynamics (SPH), nonlocal operators and operator energy functional. The conventional PD (SPH) is incorporated in the DH-PD (DS-SPH), which can adopt an inhomogeneous discretization and inhomogeneous support domains. The DH-PD (DS-SPH) can be viewed as some fundamental improvement on the conventional PD (SPH). Dual formulation of PD and SPH allows h-adaptivity while satisfying the conservations of linear momentum, angular momentum and energy. By developing the concept of nonlocality further, we introduced the nonlocal operator method as a generalization of DH-PD. Combined with energy functional of various physical models, the nonlocal forms based on dual-support concept are derived. In addition, the variation of the energy functional allows implicit formulation of the nonlocal theory. At last, we developed the higher order nonlocal operator method which is capable of solving higher order partial differential equations on arbitrary domain in higher dimensional space. Since the concepts are developed gradually, we described our findings chronologically.
In chapter 2, we developed a DH-PD formulation that includes varying horizon sizes and solves the "ghost force" issue. The concept of dual-horizon considers the unbalanced interactions between the particles with different horizon sizes. The present formulation fulfills both the balances of linear momentum and angular momentum exactly with arbitrary particle discretization. All three peridynamic formulations, namely bond based, ordinary state based and non-ordinary state based peridynamics can be implemented within the DH-PD framework. A simple adaptive refinement procedure (h-adaptivity) is proposed reducing the computational cost. Both two- and three- dimensional examples including the Kalthoff-Winkler experiment and plate with branching cracks are tested to demonstrate the capability of the method.
In chapter 3, a nonlocal operator method (NOM) based on the variational principle is proposed for the solution of waveguide problem in computational electromagnetic field. Common differential operators as well as the variational forms are defined within the context of nonlocal operators. The present nonlocal formulation allows the assembling of the tangent stiffness matrix with ease, which is necessary for the eigenvalue analysis of the waveguide problem. The present formulation is applied to solve 1D Schrodinger equation, 2D electrostatic problem and the differential electromagnetic vector wave equations based on electric fields.
In chapter 4, a general nonlocal operator method is proposed which is applicable for solving partial differential equations (PDEs) of mechanical problems. The nonlocal operator can be regarded as the integral form, ``equivalent'' to the differential form in the sense of a nonlocal interaction model. The variation of a nonlocal operator plays an equivalent role as the derivatives of the shape functions in the meshless methods or those of the finite element method. Based on the variational principle, the residual and the tangent stiffness matrix can be obtained with ease. The nonlocal operator method is enhanced here also with an operator energy functional to satisfy the linear consistency of the field. A highlight of the present method is the functional derived based on the nonlocal operator can convert the construction of residual and stiffness matrix into a series of matrix multiplications using the predefined nonlocal operators. The nonlocal strong forms of different functionals can be obtained easily via the concept of support and dual-support. Several numerical examples of different types of PDEs are presented.
In chapter 5, we extended the NOM to higher order scheme by using a higher order Taylor series expansion of the unknown field. Such a higher order scheme improves the original NOM in chapter 3 and chapter 4, which can only achieve one-order convergence. The higher order NOM obtains all partial derivatives with specified maximal order simultaneously without resorting to shape functions. The functional based on the nonlocal operators converts the construction of residual and stiffness matrix into a series of matrix multiplication on the nonlocal operator matrix. Several numerical examples solved by strong form or weak form are presented to show the capabilities of this method.
In chapter 6, the NOM proposed as a particle-based method in chapter 3,4,5, has difficulty in imposing accurately the boundary conditions of various orders. In this paper, we converted the particle-based NOM into a scheme with interpolation property. The new scheme describes partial derivatives of various orders at a point by the nodes in the support and takes advantage of the background mesh for numerical integration. The boundary conditions are enforced via the modified variational principle. The particle-based NOM can be viewed a special case of NOM with interpolation property when nodal integration is used. The scheme based on numerical integration greatly improves the stability of the method, as a consequence, the operator energy functional in particle-based NOM is not required. We demonstrated the capabilities of current method by solving the gradient solid problems and comparing the numerical results with the available exact solutions.
In chapter 7, we derived the DS-SPH in solid within the framework of variational principle. The tangent stiffness matrix of SPH can be obtained with ease, and can be served as the basis for the present implicit SPH. We proposed an hourglass energy functional, which allows the direct derivation of hourglass force and hourglass tangent stiffness matrix. The dual-support is {involved} in all derivations based on variational principles and is automatically satisfied in the assembling of stiffness matrix. The implementation of stiffness matrix comprises with two steps, the nodal assembly based on deformation gradient and global assembly on all nodes. Several numerical examples are presented to validate the method.
Für die Verminderung der betonspezifischen CO2-Emissionen wird ein verstärkter Einsatz klinkerreduzierter Zemente bzw. Betone angestrebt. Die Reduzierung des Klinkergehaltes darf jedoch nicht zu einer lebensdauerrelevanten Beeinträchtigung der Betondauerhaftigkeit führen. In diesem Zusammenhang stellt der Frost-Tausalz-Widerstand eine kritische Größe dar, da er bei höheren Klinkersubstitutionsraten häufig negativ beeinflusst wird. Erschwerend kommt hinzu, dass für klinkerreduzierte Betone nur ein unzureichender Erfahrungsschatz vorliegt. Ein hoher Frost-Tausalz-Widerstand kann daher nicht ausschließlich anhand deskriptiver Vorgaben gewährleistet werden. Demgemäß sollte perspektivisch auch für frost-tausalzbeanspruchte Bauteile eine performancebasierte Lebensdauerbetrachtung erfolgen.
Eine unverzichtbare Grundlage für das Erreichen dieser Ziele ist ein Verständnis für die Schadensvorgänge beim Frost-Tausalz-Angriff. Der Forschungsstand ist jedoch geprägt von widersprüchlichen Schadenstheorien. Somit wurde als Zielstellung für diese Arbeit abgeleitet, die existierenden Schadenstheorien unter Berücksichtigung des aktuellen Wissensstandes zu bewerten und mit eigenen Untersuchungen zu prüfen und einzuordnen. Die Sichtung des Forschungsstandes zeigte, dass nur zwei Theorien das Potential haben, den Frost-Tausalz-Angriff umfassend abzubilden – die Glue Spall Theorie und die Cryogenic Suction Theorie.
Die Glue Spall Theorie führt die Entstehung von Abwitterungen auf die mechanische Schädigung der Betonoberfläche durch eine anhaftende Eisschicht zurück. Dabei sollen nur bei moderaten Tausalzkonzentrationen in der einwirkenden Lösung kritische Spannungszustände in der Eisschicht auftreten, die eine Schädigung der Betonoberfläche hervorrufen können. In dieser Arbeit konnte jedoch nachgewiesen werden, dass starke Abwitterungen auch bei Tausalz¬konzentrationen auftreten, bei denen eine mechanische Schädigung des Betons durch das Eis auszuschließen ist. Damit wurde die fehlende Eignung der Glue Spall Theorie aufgezeigt.
Die Cryogenic Suction Theorie fußt auf den eutektischen Eigenschaften von Tausalz-lösungen, die im gefrorenen Zustand immer als Mischung auf festem Wassereis und flüssiger, hochkonzentrierter Salzlösung bestehen, solange ihre Eutektikumstemperatur nicht unter¬schritten wird. Die flüssige Phase im salzhaltigen Eis stellt für gefrorenen Beton ein bisher nicht berücksichtigtes Flüssigkeitsreservoir dar, welches trotz der hohen Salzkonzentration die Eisbildung in der Betonrandzone verstärken und so die Entstehung von Abwitterungen verursachen soll. In dieser Arbeit wurde bestätigt, dass die Eisbildung im Zementstein beim Gefrieren in hochkonzentrierter Tausalzlösung tatsächlich verstärkt wird. Das Ausmaß der zusätzlichen Eisbildung wurde dabei auch von der Fähigkeit des Zementsteins zur Bindung von Chloridionen aus der Tausalzlösung beeinflusst.
Zusammenfassend wurde festgestellt, dass die Cryogenic Suction Theorie eine gute Beschreibung des Frost-Tausalz-Angriffes darstellt, aber um weitere Aspekte ergänzt werden muss. Die Berücksichtigung der intensiven Sättigung von Beton durch den Prozess der Mikroeislinsenpumpe stellt hier die wichtigste Erweiterung dar. Basierend auf dieser Überlegung wurde eine kombinierte Schadenstheorie aufgestellt. Wichtige Annahmen dieser Theorie konnten experimentell bestätigt werden. Im Ergebnis wurde so die Grundlage für ein tiefergehendes Verständnis des Frost-Tausalz-Angriffes geschaffen. Zudem wurde ein neuer Ansatz identifiziert, um die (potentielle) Verringerung des Frost-Tausalz-Widerstandes klinkerreduzierter Betone zu erklären.
Die Auseinandersetzung mit der Digitalisierung ist in den letzten Jahren in den Medien, auf Konferenzen und in Ausschüssen der Bau- und Immobilienbranche angekommen. Während manche Bereiche Neuerungen hervorbringen und einige Akteure als Pioniere zu bezeichnen sind, weisen andere Themen noch Defizite hinsichtlich der digitalen Transformation auf. Zu dieser Kategorie kann auch das Baugenehmigungsverfahren gezählt werden. Unabhängig davon, wie Architekten und Ingenieure in den Planungsbüros auf innovative Methoden setzen, bleiben die Bauvorlagen bisher zuhauf in Papierform oder werden nach der elektronischen Einreichung in der Behörde ausgedruckt. Vorhandene Ressourcen, beispielsweise in Form eines Bauwerksinformationsmodells, die Unterstützung bei der Baugenehmigungsfeststellung bieten können, werden nicht ausgeschöpft. Um mit digitalen Werkzeugen eine Entscheidungshilfe für die Baugenehmigungsbehörden zu erarbeiten, ist es notwendig, den Ist-Zustand zu verstehen und Gegebenheiten zu hinterfragen, bevor eine Gesamtautomatisierung der innerbehördlichen Vorgänge als alleinige Lösung zu verfolgen ist.
Mit einer inhaltlich-organisatorischen Betrachtung der relevanten Bereiche, die Einfluss auf die Baugenehmigungsfeststellung nehmen, wird eine Optimierung des Baugenehmigungsverfahrens in den
Behörden angestrebt. Es werden die komplexen Bereiche, wie die Gesetzeslage, der Einsatz von Technologie aber auch die subjektiven Handlungsalternativen, ermittelt und strukturiert. Mit der Entwicklung eines Modells zur Feststellung der Baugenehmigungsfähigkeit wird sowohl ein Verständnis für Einflussfaktoren vermittelt als auch eine Transparenzsteigerung für alle Beteiligten geschaffen.
Neben einer internationalen Literaturrecherche diente eine empirische Studie als Untersuchungsmethode. Die empirische Studie wurde in Form von qualitativen Experteninterviews durchgeführt, um den Ist-Zustand im Bereich der Baugenehmigungsverfahren festzustellen. Das erhobene Datenmaterial wurde aufbereitet und anschließend einer softwaregestützten Inhaltsanalyse unterzogen. Die Ergebnisse wurden in Kombination mit den Erkenntnissen der Literaturrecherche in verschiedenen Analysen als Modellgrundlage aufgearbeitet.
Ergebnis der Untersuchung stellt ein Entscheidungsmodell dar, welches eine Lücke zwischen den gegenwärtigen
Abläufen in den Baubehörden und einer Gesamtautomatisierung der Baugenehmigungsprüfung schließt. Die prozessorientierte Strukturierung entscheidungsrelevanter Sachverhalte im Modell ermöglicht eine Unterstützung bei der Baugenehmigungsfeststellung für Prüfer und Antragsteller. Das theoretische Modell konnte in Form einer Webanwendung in die Praxis übertragen werden.
In den letzten Jahrzehnten unterlag der Straßenbetriebsdienst tiefgreifenden Veränderungen. Diese Veränderungen schließt auch die betriebliche Steuerungsphilosophie ein, um eine planungsrationale und ökonomische Gestaltung des Straßenbetriebsdienstes zu unterstützen. Dabei erfolgt eine verbindliche Vorgabe der Leistungsinhalte und -umfänge und ermöglicht eine Budgetierung für das vorgesehene Jahresarbeitsprogramm.
Ziel der Untersuchung ist die Entwicklung eines Modells für die Ermittlung von leistungsbezogenen Musterjahresganglinien zur Unterstützung der Jahresarbeitsplanung. Dafür lagen für jede Leistung des Leistungsbereiches „Grünpflege“ jeweils 260 einzelne Jahresganglinien vor.
Im Ergebnis der Untersuchung wird die leistungsbezogene Musterjahresganglinie in vier Schritten ermittelt. Im ersten Schritt erfolgt die Prüfung der Datenqualität; im zweiten Schritt eine Korrelationsanalyse; im dritten Schritt die fachliche Überprüfung der Leistungsausprägung und im vierten Schritt die Ermittlung der leistungsbezogenen Musterjahresganglinie aus den verbliebenen leistungsbezogenen Jahresganglinien.
Das Kernthema dieser Arbeit ist die Beschäftigung mit den Folgen des Uranbergbaus in dem Gebiet um die ehemalige Abbauregion der Wismut SAG/SDAG in Ronneburg (Ostthüringen). Dieses Thema wird unter historischen, sozialen, kulturanthropologischen und künstlerischen Aspekten betrachtet und in den Zusammenhang mit den weltweiten Voraussetzungen der Nuklearindustrie und Auswirkungen des Uranbergbaus und seiner Folgen gestellt. Die Arbeit legt dar, wie eine Uranbergbaufolgelandschaft entsteht und welches Wissen ist für ein angemessenes Verständnis des Phänomens wichtig ist. Es wird untersucht, ob Kunst bezüglich der Uranbergbaufolgelandschaft einen relevanten Beitrag leisten kann bzw. in welcher Form dies versucht wurde, bzw. stellte Arbeiten vor, die verwandete Themen bearbeitet haben. In Kombination dieser beiden Hauptaspekte geht die Arbeit der Frage nach, welche Faktoren die Uranbergbaufolgelandschaft prägen und ob es sinnvolle Beteiligungsfelder für künstlerisches Forschen oder Handeln gibt sowie welche Bedingungen hierfür erfüllt werdenmüssten. Die Kernthese der Arbeit ist, dass künstlerische Arbeiten im Themenfeld des Uranbergbaus unter bestimmten Bedingungen relevante Beiträge leisten können.
El presente trabajo se inscribe en el campo de los estudios urbanos y plantea como ejes estructurantes la intersección entre las políticas públicas, el barrio y las prácticas del habitar (de Certeau, 1996, 1999; Gravano, 2003) en el marco de las transformaciones del espacio urbano en los barrios pericentrales, también denominados tradicionales de la ciudad de Córdoba, particularmente lo acontecido en Barrio Güemes, durante el periodo 2010-2016.
El propósito del abordaje se inscribe en conocer y realizar aportes generalizables a la comprensión de las prácticas del habitar como unidad de análisis. En ese marco, el problema de investigación se formula en el siguiente interrogante: ¿cómo se modifican las prácticas del habitar en el marco de las transformaciones urbanas, en un modo de producción capitalista? Se entiende a las prácticas como acciones elementales de las “artes de hacer” que las personas ordinarias ponen en marcha en su vida cotidiana: para circular, cocinar, trabajar, vincularse. También, a través de las mismas resignifican los espacios, les otorgan una valoración (positiva o negativa), se identifican como parte de la identidad y a su vez se reconocen lugares de (des)encuentro y vías de circulación.
Para su abordaje se toma como unidad de estudio el caso de barrio Güemes. El recorte espacial (o físico) del trabajo empírico está localizado en la ciudad de Córdoba, y se sitúa en la periferia del área central. Esta localización permite comprender el surgimiento de las primeras expansiones urbanas como consecuencia del crecimiento demográfico y cómo estas, se transformaron en los primeros barrios. El recorte temporal se encuentra delimitado entre los años 2000 y 2016, respaldado intencionalmente por dos acontecimientos significativos: el censo de población (2001) y la celebración del Bicentenario de la Independencia en Argentina.
Los cambios materializados en ciertos espacios urbanos, tanto en ciudades latinoamericanas (Buenos Aires, Salvador de Bahía en Brasil, México Distrito Federal, etc.) como en otras partes del mundo (New Orleans en los Estados Unidos, el distrito de Kreuzberg- Friedrichshain en Berlín, el puerto de Hamburgo en Alemania, etc.) demuestran cómo estos espacios se van transformado acorde al modo de reproducción capitalista. Pues, se trataba de espacios que en algún momento cumplieron funciones económicas-sociales jerarquizadas y luego por la dinámica misma del capitalismo, la sobreacumulación, dejan de ser rentables y pasan a ser espacios “obsoletos”. En ese sentido, la omisión de acciones públicas y/o privadas, la desatención y el crecimiento de situaciones sociales conflictivas (delitos, inseguridad, degradación) en estos espacios, funciona como argumento para que los gobiernos locales comiencen a planear el futuro y modernizarlos.
De esta manera, se plantean políticas urbanas con el objetivo de impulsar acciones de renovación o rehabilitación para dinamizar económicamente determinados sectores. Dos elementos discursivos aparecen como posibilitadores del proceso de renovación urbana: el turismo y el patrimonio. En ese sentido, bajo la recuperación patrimonial de ciertos lugares se dinamizan los territorios, por lo que el turismo se vuelve una herramienta económica que produce un excedente de plusvalía. La puesta en valor de bienes tangibles e intangibles atrae la afluencia de visitantes y, a la vez, es rentable económicamente. Ahora bien, muchas veces los proyectos tienen en cuenta las variables morfológicas y físicas, dejando en un segundo plano el impacto en el espacio próximo y las relaciones entre los habitantes con su territorio. Actualmente los espacios elegidos por los municipios para la intervención pública y/o privada son los barrios, puesto que son espacios cercanos al centro y considerados estratégicos. Por lo general, el argumento es la necesidad de rehabilitar/renovar zonas poco aprovechadas o degradadas con el objetivo de mejorar la calidad de vida de la población y dinamizar el sector (Brites, 2017; Guevara, 2012). Desde los 2000 el barrio Güemes asiste a un proceso de crecimiento inusitado. La cantidad de artesanos se disparó y variedad de productos ofrecidos, emergieron los comercios que forman parte de la oferta comercial, gastronómica y cultural del barrio. Hace varios años, presenta nuevos actores económicos que se pueden observar en la apertura de galerías comerciales; ubicadas sobre el eje de las calles Belgrano, Achával Rodríguez, Fructuoso Rivera y la creciente aparición de edificaciones alrededor de la feria artesanal histórica; con la venta y exposición de piezas del arte plástico, gastronomía, negocios de diseñadores cordobeses y hasta la inclusión de la idea del del “desarrollo sustentable” en los techos de las galerías.
La modificación del corpus normativo, la aparición de edificación en altura y el boom económico tuvieron como resultado, la valorización del suelo urbano, la retroalimentación en el espacio con el emplazamiento de nuevas actividades comerciales y servicios culturales. A la par, en el espacio barrial se presentan nuevos residentes con otros hábitos y prácticas que ponen en disputa los modos de habitar en el espacio.
A riesgo de simplificar, estas transformaciones fueron producto de los cambios políticoideológicos, de los modelos e instrumentos de gestión urbana puestos en juego en los diversos momentos históricos y de las propias prácticas sociales y culturales de los habitantes. De esta manera, se centrará la mirada analítica en las transformaciones de las prácticas del habitar de los pobladores de los Barrios Güemes, en el marco de la metamorfosis del espacio urbano (atravesado por tendencias de mediatización y mercantilización de la experiencia) que conjugó un proceso de intersección y asociatividad entre políticas públicas y expansión inmobiliaria.
In recent years, the discussion of digitalization has arrived in the media, at conferences, and in committees of the construction and real estate industry. While some areas are producing innovations and some contributors can be described as pioneers, other topics still show deficits with regard to digital transformation. The building permit process can also be counted in this category. Regardless of how architects and engineers in planning offices rely on innovative methods, building documents have so far remained in paper form in too many cases, or are printed out after electronic submission to the authority. Existing resources – for example in the form of a building information model, which could provide support in the building permit process – are not being taken advantage of. In order to use digital tools to support decision-making by the building permit authorities, it is necessary to understand the current situation and to question conditions before pursuing the overall automation of internal authority processes as the sole solution.
With a substantive-organizational consideration of the relevant areas that influence building permit determination, an improvement of the building permit procedure within authorities is proposed. Complex areas – such as legal situations, the use of technology, as well as the subjective alternative action – are determined and structured. With the development of a model for the determination of building permitability, both an understanding of influencing factors is conveyed and an increase in transparency for all parties involved is created.
In addition to an international literature review, an empirical study served as the research method. The empirical study was conducted in the form of qualitative expert interviews in order to determine the current state in the field of building permit procedures. The collected data material was processed and subsequently subjected to a software-supported content analysis. The results were processed, in combination with findings from the literature review, in various analyses to form the basis for a proposed model.
The result of the study is a decision model that closes the gap between the current processes within the building authorities and an overall automation of the building permit review process. The model offers support to examiners and applicants in determining building permit eligibility, through its process-oriented structuring of decision-relevant facts. The theoretical model could be transferred into practice in the form of a web application.
Structures under wind action can exhibit various aeroelastic interaction phenomena, which can lead to destructive and catastrophic events. Such unstable interaction can be beneficially used for small-scale aeroelastic energy harvesting. Proper understanding and prediction of fluid−structure interactions (FSI) phenomena are therefore crucial in many engineering fields. This research intends to develop coupled FSI models to extend the applicability of Vortex Particle Methods (VPM) for numerically analysing the complex FSI of thin-walled flexible structures under steady and fluctuating incoming flows. In this context, the flow around deforming thin bodies is analysed using the two-dimensional and pseudo-three-dimensional implementations of VPM. The structural behaviour is modelled and analysed using the Finite Element Method. The partitioned coupling approach is considered because of the flexibility of using different mathematical procedures for solving fluid and solid mechanics. The developed coupled models are validated with several benchmark FSI problems in the literature. Finally, the models are applied to several fundamental and application field of FSI problems of different thin-walled flexible structures irrespective of their size.
Überwachungspraktiken und –technologien sind in der heutigen Welt omnipräsent und wohl nicht mehr wegzudenken. Ob CCTV-Systeme, Biometrie oder Data Mining – unsere Gesellschaft befindet sich in einem ständigen Überwachungsmodus, der sich weit über einen begrenzten Raum oder zeitlichen Rahmen hinausstreckt. Überwacht wird überall: privat, am Arbeitsplatz oder im Cyberspace, und alles: Interaktionen, Äußerungen, Verhalten. Es werden Unmengen von Daten gesammelt, strukturiert, kombiniert, gekauft und verkauft.
Dieser Modus stellt mehr als eine bloße Neuauflage des Bentham-Foucaultschen Panoptikons dar: der aktuelle Überwachungsmodus, die informationelle Asymmetrie als ihren tragenden Pfeiler beibehaltend, dient nicht nur der Disziplinierung, sondern viel mehr der Kontrolle, die nicht primär negativ-sanktionierend, sondern positiv-leistungssteigernd wirkt: es ist nicht das Ziel, die Individuen zu bestrafen und ein bestimmtes Verhalten zu verbieten, sondern sie durch Belohnung, Interaktion und spielerische Elemente dazu zu bringen, sich auf die gewünschte Art zu verhalten und im Endeffekt sich selbst zu überwachen. Die Kontrolle wird auf diese Weise zum zentralen Schauplatz der Machtausübung, die sich über das Beobachten, Speichern, Auswerten und Sortieren vollzieht. Diese Prozesse hinterlassen keinen Frei- oder Spielraum für Ambiguität; sie verwirklichen die Diktatur der klaren Kante, der Klassifizierung und Kategorisierung ohne Schattierungen. Die Macht selbst befindet sich in einem kontinuierlichen Fluss, sie ist ubiquitär, dennoch schwer lokalisierbar. Sie fungiert nicht mehr unter dem Signum einer pseudosakralen zentralen Instanz, sondern wird durch diverse Akteure und Assemblages kolportiert. Die durch sie implizierten Praktiken der Selbstkontrolle, kulturgeschichtlich ebenfalls religiös oder zumindest philosophisch konnotiert, sind die neuen Rituale des Sehens und Gesehen-Werdens.
Im Zeitalter der elektronischen Datentechnologien gibt es diverse Agenten der Überwachung. Vom besonderen Interesse sind dabei die Wearables, weil sie intim, affektiv und haptisch arbeiten und so, über das Sehen und Gesehen-Werden hinaus, das Berühren und Berührt-Werden und somit die Neuregulierung von Nähe und Distanz ins Spiel bringen. Sie schreiben sich zwar in eine Vermessungstradition eins, die ihre Ursprünge mindestens im 19. Jahrhundert hat, unterscheiden sich aber von dieser in ihrer Intensität und Sinnlichkeit.
The computational analysis of argumentation strategies is substantial for many downstream applications. It is required for nearly all kinds of text synthesis, writing assistance, and dialogue-management tools. While various tasks have been tackled in the area of computational argumentation, such as argumentation mining and quality assessment, the task of the computational analysis of argumentation strategies in texts has so far been overlooked.
This thesis principally approaches the analysis of the strategies manifested in the persuasive argumentative discourses that aim for persuasion as well as in the deliberative argumentative discourses that aim for consensus. To this end, the thesis presents a novel view of argumentation strategies for the above two goals. Based on this view, new models for pragmatic and stylistic argument attributes are proposed, new methods for the identification of the modelled attributes have been developed, and a new set of strategy principles in texts according to the identified attributes is presented and explored.
Overall, the thesis contributes to the theory, data, method, and evaluation aspects of the analysis of argumentation strategies. The models, methods, and principles developed and explored in this thesis can be regarded as essential for promoting the applications mentioned above, among others.
“How to understand the interaction between urban space and social processes” is a significant question in urban studies. To answer that, the city needs to be recognized as both a physical and a social entity and urban theory and practice need to connect these (Hillier 2007). The present research aims to re-examine the complex correlation between spatial and social inequality manifestations in the city of Tehran regarding the concept of segregation.
It observes the causes and consequences of segregation in Tehran and provides an insight into both concepts of socio-spatial segregation and neighborhood effects and creates a link between them. First, I argue when, where, and for whom spatial locations affect the chances of social networks in Tehran. Then, I discuss how neighborhood effects can emerge via social network mechanisms and thus affect the perceptions of residents in the neighborhoods.
Die interdisziplinäre Dissertationsschrift lässt sich im Horizont internationaler Forschungen zu Denkmalwerten, neuer Ansätze in der Kultur- und Wissensvermittlung rund um Baudenkmale sowie künstlerisch- ethnographischem Forschen an und mit Denkmalen verorten.
Der erste Teil der Arbeit widmet sich Denkmalen und der Denkmalpflege im Kontext künstlerischer und sozialwissenschaftlicher Allianzen. Ausgangspunkt ist die Feststellung, dass die Denkmalpflege zwar sehr vieles über Denkmale weiß, aber kaum etwas über deren Rezeption beim breiten Publikum. Im Mittelpunkt steht die Frage, wie hier Praktiken der bildenden Kunst und Arbeitsweisen der Kulturanthropologie die Disziplin der Denkmalpflege bereichern können, oder sogar müssen.
Den zweiten Teil bildet eine empirische Studie, in der die populäre Wahrnehmung von Denkmalen qualitativ erforscht wird. Das Schloss und Rittergut Bedheim im südlichen ländlichen Thüringen dient dabei als konkreter Untersuchungsort. Reaktionen von Besucherinnen und Besuchern werden mit Hilfe von drei künstlerischen Eingriffen angeregt und diese dann ethnographisch-offen dokumentiert und ausgewertet.
Auf dieser Basis werden Zugänge zum Denkmal ermittelt. Während die meisten BesucherInnen das Denkmal als „Arbeit“ wahrnehmen, geraten einige ins „Träumen“ oder „Erinnern“, man „genießt“ das Ensemble als authentische und ästhetische Ressource, oder findet Zugang über das spontane „Erklären“ baukonstruktiver oder baulicher Situationen. Für andere bedeutet der Besuch die „Teilhabe“ an einem Prozess. Schloss Bedheim wird als Ort stetiger Veränderung geschätzt. In der Wahrnehmung der BesucherInnen verquicken sich Aspekte des Bewunderns mit solchen des Abgrenzens. Die eigene Alltagswelt und das eigene Zuhause bilden hierbei Bezugspunkte. Schloss Bedheim wird auf diese Weise zum Imaginationsraum, zur Energietankstelle und zur gern besuchten Problemwelt.
Die Ergebnisse der Arbeit liegen in zwei Erkenntnisfeldern: Auf einer methodischen Ebene zeigt sie, wie in der Denkmalpflege vertiefte Fachlichkeit mit einer tatsächlichen Kontaktaufnahme mit dem Publikum verbunden werden kann und damit soziale Gefüge an Baudenkmalen qualitativ ermittelt werden können. Ebenso wird deutlich, dass künstlerische Eingriffe Auslöser von Gesprächen sind, als Kontaktflächen zur Alltagswelt dienen und so zu einer vielfältigen Auseinandersetzung mit Denkmalen führen.
Auf einer inhaltlichen Ebene liefert die Arbeit Erkenntnisse zu Wahrnehmungsweisen von Denkmalen. Neben den erwähnten Zugängen, wird die Existenz und Bedeutung einer regional vernetzten Wahrnehmung von Denkmalen aufgedeckt. Des Weiteren zeigen die Ergebnisse, dass das Öffnen von Baudenkmalen als und im Prozess ungenutzte Potentiale birgt und es wird angeregt, dies in zukünftigen denkmalpflegerischen Konzepten eine größere Rolle spielen zu lassen. Die Vision eines „Kompendiums der Zugänge“ wird entwickelt, mit dessen Hilfe sich ein enormes Wissen über Rollen und Bedeutungen die Baudenkmale in unserer Gesellschaft spielen, sammeln ließe.
This thesis examines urban partition in Nicosia, the capital of Cyprus, and how its changing roles and shifting perceptions in a post-conflict setting reflect power relations, and their constant renegotiation. Nicosia, the capital of Cyprus, was officially divided in 1974 in the aftermath of an eighteen-year-long conflict between the island’s Turkish- and Greek-Cypriot communities. As a result, a heavily militarized Buffer Zone, established as an emergency measure against perpetuation of intercommunal violence, has been cutting through its historic centre ever since.
This thesis departs from a genuine interest in the material and ideational dimensions of urban partition. How is it constructed, not merely in physical terms but in the minds of the societies affected by conflict? How is it established in official and everyday discourses? What kinds of mechanisms have been developed to maintain it, and make an inseparable part of the urban experience? Moreover, taking into account the consensus in relevant literature pertaining to the imperative for its removal, this thesis is inquiring into the relevance of peace agreements to overcoming urban partition. For this purpose, it also looks at narratives and practices that have attempted to contest it.
The examples examined in this thesis offer pregnant analytical moments to understand Nicosia’s Buffer Zone as a dynamic social construct, accommodating multiple visions of and for the city. Its space ‘in-between’ facilitates encounters between various actors, accommodates new meanings, socio-spatial practices and diverse imaginaries. In this sense, urban partition is explored in this thesis as a phenomenon that transcends scales as well as temporalities, entwining past, present, and future.
This work presents a robust status monitoring approach for detecting damage in cantilever structures based on logistic functions. Also, a stochastic damage identification approach based on changes of eigenfrequencies is proposed. The proposed algorithms are verified using catenary poles of electrified railways track. The proposed damage features overcome the limitation of frequency-based damage identification methods available in the literature, which are valid to detect damage in structures to Level 1 only. Changes in eigenfrequencies of cantilever structures are enough to identify possible local damage at Level 3, i.e., to cover damage detection, localization, and quantification. The proposed algorithms identified the damage with relatively small errors, even at a high noise level.
This thesis presents the advances and applications of phase field modeling in fracture analysis. In this approach, the sharp crack surface topology in a solid is approximated by a diffusive crack zone governed by a scalar auxiliary variable. The uniqueness of phase field modeling is that the crack paths are automatically determined as part of the solution and no interface tracking is required. The damage parameter varies continuously over the domain. But this flexibility comes with associated difficulties: (1) a very fine spatial discretization is required to represent sharp local gradients correctly; (2) fine discretization results in high computational cost; (3) computation of higher-order derivatives for improved convergence rates and (4) curse of dimensionality in conventional numerical integration techniques. As a consequence, the practical applicability of phase field models is severely limited.
The research presented in this thesis addresses the difficulties of the conventional numerical integration techniques for phase field modeling in quasi-static brittle fracture analysis. The first method relies on polynomial splines over hierarchical T-meshes (PHT-splines) in the framework of isogeometric analysis (IGA). An adaptive h-refinement scheme is developed based on the variational energy formulation of phase field modeling. The fourth-order phase field model provides increased regularity in the exact solution of the phase field equation and improved convergence rates for numerical solutions on a coarser discretization, compared to the second-order model. However, second-order derivatives of the phase field are required in the fourth-order model. Hence, at least a minimum of C1 continuous basis functions are essential, which is achieved using hierarchical cubic B-splines in IGA. PHT-splines enable the refinement to remain local at singularities and high gradients, consequently reducing the computational cost greatly. Unfortunately, when modeling complex geometries, multiple parameter spaces (patches) are joined together to describe the physical domain and there is typically a loss of continuity at the patch boundaries. This decrease of smoothness is dictated by the geometry description, where C0 parameterizations are normally used to deal with kinks and corners in the domain. Hence, the application of the fourth-order model is severely restricted. To overcome the high computational cost for the second-order model, we develop a dual-mesh adaptive h-refinement approach. This approach uses a coarser discretization for the elastic field and a finer discretization for the phase field. Independent refinement strategies have been used for each field.
The next contribution is based on physics informed deep neural networks. The network is trained based on the minimization of the variational energy of the system described by general non-linear partial differential equations while respecting any given law of physics, hence the name physics informed neural network (PINN). The developed approach needs only a set of points to define the geometry, contrary to the conventional mesh-based discretization techniques. The concept of `transfer learning' is integrated with the developed PINN approach to improve the computational efficiency of the network at each displacement step. This approach allows a numerically stable crack growth even with larger displacement steps. An adaptive h-refinement scheme based on the generation of more quadrature points in the damage zone is developed in this framework. For all the developed methods, displacement-controlled loading is considered. The accuracy and the efficiency of both methods are studied numerically showing that the developed methods are powerful and computationally efficient tools for accurately predicting fractures.
In the last decades, Finite Element Method has become the main method in statics and dynamics analysis in engineering practice. For current problems, this method provides a faster, more flexible solution than the analytic approach. Prognoses of complex engineer problems that used to be almost impossible to solve are now feasible.
Although the finite element method is a robust tool, it leads to new questions about engineering solutions. Among these new problems, it is possible to divide into two major groups: the first group is regarding computer performance; the second one is related to understanding the digital solution.
Simultaneously with the development of the finite element method for numerical solutions, a theory between beam theory and shell theory was developed: Generalized Beam Theory, GBT. This theory has not only a systematic and analytical clear presentation of complicated structural problems, but also a compact and elegant calculation approach that can improve computer performance.
Regrettably, GBT was not internationally known since the most publications of this theory were written in German, especially in the first years. Only in recent years, GBT has gradually become a fertile research topic, with developments from linear to non-linear analysis.
Another reason for the misuse of GBT is the isolated application of the theory. Although recently researches apply finite element method to solve the GBT's problems numerically, the coupling between finite elements of GBT and other theories (shell, solid, etc) is not the subject of previous research. Thus, the main goal of this dissertation is the coupling between GBT and shell/membrane elements. Consequently, one achieves the benefits of both sides: the versatility of shell elements with the high performance of GBT elements.
Based on the assumptions of GBT, this dissertation presents how the separation of variables leads to two calculation's domains of a beam structure: a cross-section modal analysis and the longitudinal amplification axis. Therefore, there is the possibility of applying the finite element method not only in the cross-section analysis, but also the development for an exact GBT's finite element in the longitudinal direction.
For the cross-section analysis, this dissertation presents the solution of the quadratic eigenvalue problem with an original separation between plate and membrane mechanism. Subsequently, one obtains a clearer representation of the deformation mode, as well as a reduced quadratic eigenvalue problem.
Concerning the longitudinal direction, this dissertation develops the novel exact elements, based on hyperbolic and trigonometric shape functions. Although these functions do not have trivial expressions, they provide a recursive procedure that allows periodic derivatives to systematise the development of stiffness matrices. Also, these shape functions enable a single-element discretisation of the beam structure and ensure a smooth stress field.
From these developments, this dissertation achieves the formulation of its primary objective: the connection of GBT and shell elements in a mixed model. Based on the displacement field, it is possible to define the coupling equations applied in the master-slave method. Therefore, one can model the structural connections and joints with finite shell elements and the structural beams and columns with GBT finite element.
As a side effect, the coupling equations limit the displacement field of the shell elements under the assumptions of GBT, in particular in the neighbourhood of the coupling cross-section.
Although these side effects are almost unnoticeable in linear analysis, they lead to cumulative errors in non-linear analysis. Therefore, this thesis finishes with the evaluation of the mixed GBT-shell models in non-linear analysis.
Natural Urban Resilience: Understanding general urban resilience through Addis Ababa’s inner city
(2021)
This dissertation describes the urban actors and spatial practices that contribute to natural urban resilience in Addis Ababa’s inner city. Natural urban resilience is a non-strategical and bottom-up, everyday form of general urban resilience – an urban system’s ability to maintain its essential characteristics under any change. This study gains significance by exposing conceptual gaps in the current un-derstanding of general urban resilience and highlighting its unconvincing applicability to African cities. This study attains further relevance by highlighting the danger of the ongoing large-scale redevelopment of the inner city. The inner city has naturally formed, and its urban memory, spaces, and social cohesion contribute to its primarily low-income population’s resilience. This thesis argues that the inner city’s demolition poses an incalculable risk of maladaptation to future stresses and shocks for Addis Ababa. The city needs a balanced urban discourse that highlights the inner city’s qualities and suggests feasible urban transformation measures. “Natural Urban Resilience” contributes an empirical study to the debate by identifying those aspects of the inner city that contribute to general resilience and identifies feasible action areas. This study develops a qualitative research design for a single case study in Addis Ababa. The data is obtained through expert interviews, interviews with resi-dents, and the analysis of street scene photos, which are abstracted using Grounded Theory. That way, this thesis provides first-time knowledge about who and what generates urban resilience in the inner city of Addis Ababa and how. Furthermore, the study complements existing theories on general urban resilience. It provides a detailed understanding of the change mechanisms in resilience, of which it identifies four: adaptation, upgrading, mitigation, and resistance. It also adapts the adaptive cycle, a widely used concept in resilience thinking, conceptually for urban environments. The study concludes that the inner city’s continued redevelopment poses an incalculable threat to the entire city. Therefore, “Natural urban resilience” recommends carefully weighing any intervention in the inner city to promote Addis Ababa’s overall resilience. This dissertation proposes a pattern language for natural urban resilience to support these efforts and to translate the model of natural urban resilience into practice.
Housing estates were fundamentally conceived upon state socialist utopia ideas to provide standard housing for citizens. While former state socialist housing estates have been extensively researched in the field of architecture, urban and sociology studies, there is still a gap in identifying how production processes affect morphological changes during the post-socialist era. This thesis compares the processes in the production of the largest housing estates of Marzahn in GDR and Petržalka in Czechoslovakia from 1970 to 1989 through contextual analysis of primary and secondary sources, which include visual maps, diagrams from professional architecture and planning journals, government documents and textbooks, as well as academic journals, books and newspaper articles. Then it discusses how these processes inadvertently created conducive conditions affecting their development in the market economy after 1989. It then interprets the results through application of Actor-Network Theory and Historical Institutionalism, while conceptualising them through David Harvey’s dialectical utopianism theory. Harvey (2000) delineates two types of utopia, one of spatial form and one of process. The former refers to materialised ideals in physical forms whereas the latter refers to the ongoing process of spatializing. The thesis aims to show how the production of Marzahn in GDR was more path dependent on policies established in 1950s and 1960s whereas Petržalka was a product of new Czechoslovakian policies in 1970s, changing aspects of the urban planning process, a manifestation of a more emphatic technocratic thinking on a wider scale. This ultimately influences the trajectories of development after 1989, showing more effects in Petržalka.
Transformation of the Environment: Influence of “Urban Reagents.” German and Russian Case Studies
(2021)
An urban regeneration manifests itself through urban objects operating as change agents. The en-tailed diverse effects on the surroundings demonstrate experimental origin - an experiment as a preplanned but unpredictable method. An understanding of influences and features of urban ob-jects requires scrutiny due to a high potential of the elements to force an alteration and reactions. This dissertation explores the transformation of the milieu and mechanisms of this transformation.
This dissertation investigates the interactions between urban form, allocation of activities, and pedestrian movement in the context of urban planning. The ability to assess the long-term impact of urban planning decisions on what people do and how they get there is of central importance, with various disciplines addressing this topic. This study focuses on approaches proposed by urban morphologists, urban economists, and transportation planners, each aiming the attention at a different part of the form-activity-movement interaction. Even though there is no doubt about the advantages of these highly focused approaches, it remains unclear what is the cost of ignoring the effect of some interactions while considering others. The general aim of this dissertation is to empirically test the validity of the individual models and quantify the impact of this isolationist approach on their precision and bias.
For this purpose, we propose a joined form-activity-movement interaction model and conduct an empirical study in Weimar, Germany. We estimate how the urban form and activities affect movement as well as how movement and urban form affect activities. By estimating these effects in isolation and simultaneously, we assess the bias of the individual models.
On the one hand, the empirical study results confirm the significance of all interactions suggested by the individual models. On the other hand, we were able to show that when these interactions are estimated in isolation, the resulting predictions are biased. To conclude, we do not question the knowledge brought by transportation planners, urban morphologists, and urban economists. However, we argue that it might be of little use on its own.
We see the relevance of this study as being twofold. On the one hand, we proposed a novel methodological framework for the simultaneous estimation of the form-activity-movement interactions. On the other hand, we provide empirical evidence about the strengths and limitations of current approaches.
Die Arbeit leistet einen wissenschaftlichen Beitrag zur Erforschung der Einsatzmöglichkeiten eines Immobilienportfoliomanagements für öffentliche museale Schlösserverwaltungen in Deutschland. Insbesondere wird ein für deren Organisation spezifisches Modell zur Investitionssteuerung herausgearbeitet und dessen Anwendbarkeit in der Praxis mit Experten diskutiert.
Strategien der Sichtbarkeit und Sichtbarmachung von ‚Wearable Enhancement‘ im Bereich Smart Health
(2022)
Die vorliegende Forschungsarbeit befasst sich mit der Entwicklung und Gestaltung von körpernahen, tragbaren Artefakten für den digitalisierten Gesundheitsbereich. Unter dem entwickelten Begriff des Wearable Enhancements werden die verschiedenen Termini aus smarten Textilien, Fashion Technologies, Wearable Technologies sowie elektronischen Textilien zusammengefasst und zwei zentrale Forschungsfragen untersucht. Wie kann Wearable Enhancement im Bereich Smart Health ethisch, sozial und ökologisch entwickelt und gestaltet werden? Inwiefern können textile Schnittstellen die Wahrnehmung und die Wahrnehmbarkeit des Körpers verändern? Mit der ersten Forschungsfrage sollen vorrangig Ansätze und Strategien der Sichtbarkeit für die Entwicklung und Gestaltung diskutiert werden, welche Aussagen für die Designpraxis, den Gestaltungs- und Designforschungsprozess sowie die Designlösungen selbst generieren sollen. Die zweite Forschungsfrage zielt darauf, Formen der Sichtbarmachung von sowie für Wearable Enhancement zu untersuchen.
Anhand von drei konkreten Fallstudien werden wesentliche Aspekte der Rezeption, Perzeption, Konstruktion, Konfiguration und Konzeption von soziotechnischen Artefakten zur Funktionssteigerung des menschlichen Körpers untersucht und verschiedene Formen der Sichtbarkeit und Sichtbarmachung entwickelt. In der Arbeit wird ein dual-angelegter transdisziplinärer Designforschungsansatz entwickelt und praktiziert, welcher sowohl die menschlichen Bedürfnisse der Nutzer*innen als auch die Weiterentwicklung von Technologien berücksichtigt. Auf dieser Grundlage wird versucht Anregungen für ein zukunftsfähiges und zugleich verantwortungsorientiertes Design zu geben.
The thesis addresses journalistic, administrative and judicial historical documentation to analyze the links between aridity and geographical imaginaries in the province of Catamarca (Argentina), from a historical point of view. The research aims to contribute to the understanding of the "non-hegemonic" versions of Modernity, its territoriality and the productions of geographic imaginaries that they involve. To provide a broad purpose, it raises as an object of study the ways in which "modern" practices, actors, links, discourses and expectations about the territory are mobilized when they are located in a space in "other" water conditions. those that are intended to "civilize" it.
The general objective of the research is to analyze time-space controversies around water in the city and valley of Catamarca towards 19th and 20th centuries. The specific objectives derived are a) analyzing how various actors are related to waters behavior - in other words, the local water regime – in Catamarca and the meanings built around it. b) to analyze the controversies about the place of Catamarca and its water regime in the local and national geographic imaginary. c) analyze controversies in which the relationships between actors and materialities involved in modernization projects are put into discussion.
These concerns by the experience of the actors and by the historical-spatial imagination of the territory, combined, led to the construction of an interdisciplinary methodology based on tools from anthropology, sociology, geography and history.
Open Innovation in kleinen und mittleren Unternehmen (KMU) hat sich stark ausdifferenziert. Dabei zeigt die Empirie, dass KMU unterschiedliche Wege in der offenen Entwicklung von Innovationen begehen. Um die bestehende Literatur zu erweitern, wurden mit dieser Dissertation die Ziele verfolgt 1) offene Innovationsaktivitäten in KMU aus einer Prozessperspektive aufzudecken und genau zu beschreiben und 2) zu erklären, warum sich die Öffnung von Innovationsprozessen in KMU unterscheidet. Dafür wurde auf eine multiple Fallstudienanalyse zurückgegriffen. Untersuchungsobjekte waren kleine etablierte High-Tech Unternehmen aus den neuen Bundesländern. Die Ergebnisse zeigen sechs Prozessmodelle der offenen Innovationsentwicklung, beschrieben als Open Innovation Muster. Deskriptionen dieser Muster unter Berücksichtigung von formenden Innovationsaktivitäten, ausgetauschtem Wissen, beteiligten externen Akteuren und Gründen für und gegen Open Innovation vermitteln ein über den bisherigen Forschungsstand hinausgehendes Verständnis von Open Innovation in KMU. Zudem zeigen die Ergebnisse, dass die Entrepreneurial Orientation erklärt, warum KMU bei der Ausgestaltung von offenen Innovationsprozessen unterschiedlich vorgehen. In der Dissertation wird detailliert dargelegt, welche Open Innovation Muster sich anhand der Entrepreneurial Orientation von KMU (nicht-entrepreneurial bis entrepreneurial) zeigen. Die Ergebnisse liefern sowohl wissenschaftliche Implikationen, als auch Handlungsempfehlungen für die Unternehmenspraxis.
Reine Calciumsulfatbindemittel weisen eine hohe Löslichkeit auf. Feuchteinwirkung führt zudem zu starken Festigkeitsverlusten. Aus diesem Grund werden diese Bindemittel ausschließlich für Baustoffe und -produkte im Innenbereich ohne permanenten Feuchtebeanspruchung eingesetzt. Eine Möglichkeit, die Feuchtebeständigkeit zu erhöhen, ist die Beimischung puzzolanischer und zementärer Komponenten. Diese Mischsysteme werden Gips-Zement-Puzzolan-Bindemittel (kurz: GZPB) genannt.
Mischungen aus Calciumsulfaten und Portlandzementen allein sind aufgrund der treibenden Ettringitbildung nicht raumbeständig. Durch die Zugabe von puzzolanischen Stoffen können aber Bedingungen im hydratisierenden System geschaffen werden, welche eine rissfreie Erhärtung ermöglichen. Hierfür ist eine exakte Rezeptierung der GZPB notwendig, um die GZPB-typischen, ettringitbedingten Dehnungen zeitlich zu begrenzen. Insbesondere bei alumosilikatischen Puzzolanen treten während der Hydratation gegenüber rein silikatischen Puzzolanen deutlich höhere Expansionen auf, wodurch die Gefahr einer potenziellen Rissbildung steigt. Für die Erstellung geeigneter GZPB-Zusammensetzungen bedarf es daher einer Methodik, um raumbeständig erhärtende Systeme sicher von destruktiven Mischungen unterscheiden zu können.
Sowohl für die Rezeptierung als auch für die Anwendung der GZPB existieren in Deutschland keinerlei Normen. Darüber hinaus sind die Hydratationsvorgänge sowie die entstehenden Produkte nicht konsistent beschrieben. Auch auf die Besonderheiten der GZPB mit alumosilikatischen Puzzolanen wird in der Literatur nur unzureichend eingegangen.
Ziel war es daher, ein grundlegendes Verständnis der Hydratation sowie eine sichere Methodik zur Rezeptierung raumbeständig und rissfrei erhärtender GZPB, insbesondere in Hinblick auf die Verwendung alumosilikatischer Puzzolane, zu erarbeiten. Darüber hinaus sollte systematisch der Einfluss der Einzelkomponenten auf Hydratation und Eigenschaften dieser Bindemittelsysteme untersucht werden. Dies soll ermöglichen, die GZPB für ein breites Anwendungsspektrum als Bindemittel zu etablieren, und somit vorteilhafte Eigenschaften der Calciumsulfate (geringe Schwindneigung, geringe CO2-Emission etc.) mit der Leistungs-fähigkeit von Zementen (Wasserbeständigkeit, Festigkeit, Dauerhaftigkeit etc.) zu verbinden.
Als Ausgangsstoffe der Untersuchungen zu den GZPB wurden Stuckgips und Alpha-Halbhydrat als Calciumsulfatbindemittel in unterschiedlichen Anteilen im GZPB verwendet. Die Puzzolan-Zement-Verhältnisse wurden ebenfalls variiert. Als Puzzolan kam für den Großteil der Untersuchungen ein alumosilikatisches Metakaolin zum Einsatz. Als kalkspendende Komponente diente ein reiner Portlandzement.
Das Untersuchungsprogramm gliederte sich in 4 Teile. Zuerst wurde anhand von CaO- und pH-Wert-Messungen in Suspensionen sowie dem Längenänderungsverhalten von Bindemittelleimen verschiedener Zusammensetzungen eine Vorauswahl geeigneter GZPB-Rezepturen ermittelt. Danach erfolgten, ebenfalls an Bindemittelleimen, Untersuchungen zu den Eigenschaften der als geeignet eingeschätzten GZPB-Mischungen. Hierzu zählten Langzeitbetrachtungen zur rissfreien Erhärtung bei unterschiedlichen Umgebungsbedingungen sowie die Festigkeitsentwicklung im trockenen und feuchten Zustand. Im nächsten Schritt wurde anhand zweier exemplarischer GZPB-Zusammensetzungen (mit silikatischen und alumosilikatischen Puzzolan) die prinzipiell mögliche Phasenzusammensetzung unter Variation des Puzzolan-Zement-Verhältnisses (P/Z-Verhältnis) und des Calciumsulfatanteils im thermodynamischen Gleichgewichtszustand berechnet. Hier wurde im Besonderen auf Unterschiede der silikatischen und alumosilikatischen Puzzolane eingegangen. Im letzten Teil der Untersuchungen wurden die Hydratationskinetik der GZPB sowie die Gefügeentwicklung näher betrachtet. Hierfür wurden die Porenlösungen chemisch analysiert und Sättigungsindizes berechnet, sowie elektronenmikropische, porosimetrische und röntgenografische Untersuchungen durchgeführt. Abschließend wurden die Ergebnisse gesamtheitlich interpretiert, da die Ergebnisse der einzelnen Untersuchungsprogramme miteinander in Wechselwirkung stehen.
Als hauptsächliche Hydratationsprodukte wurden Calciumsulfat-Dihydrat, Ettringit und
C-(A)-S-H-Phasen ermittelt, deren Anteile im GZPB neben dem Calciumsulfatanteil und dem Puzzolan-Zement-Verhältnis auch deutlich vom Wasserangebot und der Gefügeentwicklung abhängen. Bei Verwendung von alumosilikatischen Puzzolans kommt es wahrscheinlich zur teilweisen Substitution des Siliciums durch Aluminium in den C-S-H-Phasen. Dies erscheint aufgrund des Nachweises der für diese Phasen typischen, folienartigen Morphologie wahrscheinlich. Portlandit wurde in raumbeständigen GZPB-Systemen nur zu sehr frühen Zeitpunkten in geringen Mengen gefunden.
In den Untersuchungen konnte ein Teil der in der Literatur beschriebenen, prinzipiellen Hydratationsabläufe bestätigt werden. Bei Verwendung von Halbhydrat als Calciumsulfatkomponente entsteht zuerst Dihydrat und bildet die Primärstruktur der GZPB. In dieses existierende Grundgefüge kristallisieren dann das Ettringit und die C-(A)-S-H-Phasen. In den GZPB sorgen entgegen der Beschreibungen in der Literatur nicht ausschließlich die
C-(A)-S-H-Phasen zur Verbesserung der Feuchtebeständigkeit und der Erhöhung des Festigkeitsniveaus, sondern auch das Ettringit. Beide Phasen überwachsen im zeitlichen Verlauf der Hydratation die Dihydratkristalle in der Matrix und hüllen diese – je nach Calciumsulfatanteil im GZPB – teilweise oder vollständig ein. Diese Umhüllung sowie die starke Gefügeverdichtung durch die C-(A)-S-H-Phasen und das Ettringit bedingen, dass ein lösender Angriff durch Wasser erschwert oder gar verhindert wird. Gleichzeitig wird die Gleitfähigkeit an den Kontaktstellen der Dihydratkristalle verringert.
Eine rissfreie und raumbeständige Erhärtung ist für die gefahrlose Anwendung eines GZPB-Systems essentiell. Hierfür ist die Kinetik der Ettringitbildung von elementarer Bedeutung. Die gebildete Ettringitmenge spielt nur eine untergeordnete Rolle. Selbst ausgeprägte, ettringitbedingte Dehnungen und hohe sich bildende Mengen führen zu frühen Zeitpunkten, wenn die Dihydratkristalle noch leicht gegeneinander verschiebbar sind, zu keinen Schäden. Bleibt die Übersättigung bezüglich Ettringit und somit auch der Kristallisationsdruck allerdings über einen langen Zeitraum hoch, genügen bereits geringe Ettringitmengen, um das sich stetig verfestigende Gefüge stark zu schädigen.
Die für die raumbeständige Erhärtung der GZPB notwendige, schnelle Abnahme der Ettringitübersättigung wird hauptsächlich durch die Reaktivität des Puzzolans beeinflusst. Die puzzolanische Reaktion führt zur Bindung des aus dem Zement stammenden Calciumhydroxid durch die Bildung von C-(A)-S-H-Phasen und Ettringit. Hierdurch sinkt die Calcium- und Hydroxidionenkonzentration in der Porenlösung im Verlauf der Hydratation, wodurch auch die Übersättigung bezüglich Ettringit abnimmt. Je höher die Reaktivität des Puzzolans ist, desto schneller sinkt der Sättigungsindex des Ettringits und somit auch der Kristallisationsdruck. Nach Unterschreiten eines noch näher zu klärendem Grenzwert der Übersättigung stagnieren die Dehnungen. Das Ettringit kristallisiert bzw. wächst nun bevorzugt in den Poren ohne eine weitere, äußere Volumenzunahme zu verursachen.
Um eine schadensfreie Erhärtung des GZPB zu gewährleisten, muss gerade in der frühen Phase der Hydratation ein ausreichendes Wasserangebot gewährleistet werden, so dass die Ettringitbildung möglichst vollständig ablaufen kann. Andernfalls kann es bei einer Wiederbefeuchtung zur Reaktivierung der Ettringitbildung kommen, was im eingebauten Zustand Schäden verursachen kann. Die Gewährleistung eines ausreichenden Wasserangebots ist im GZPB-System nicht unproblematisch. In Abhängigkeit der GZPB-Zusammensetzung können sich große Ettringitmengen bilden, die einen sehr hohen Wasserbedarf aufweisen. Deshalb kann es, je nach verwendeten Wasser-Bindemittel-Wert, im Bindemittelleim zu einem Wassermangel kommen, welcher die weitere Hydratation verlangsamt bzw. komplett verhindert. Zudem können GZPB-Systeme teils sehr dichte Gefüge ausbilden, wodurch der Wassertransport zum Reaktionsort des Ettringits zusätzlich behindert wird.
Die Konzeption raumbeständiger GZPB-Systeme muss anhand mehrerer aufeinander aufbauender Untersuchungen erfolgen. Zur Vorauswahl geeigneter Puzzolan-Zementverhältnisse eignen sich die Messungen der CaO-Konzentration und des pH-Wertes in Suspensionen. Als alleinige Beurteilungsgrundlage reicht dies allerdings nicht aus. Zusätzlich muss das Längenänderungs-verhalten beurteilt werden. Raumbeständige Mischungen mit alumosilikatischen Puzzolanen zeigen zu frühen Zeitpunkten starke Dehnungen, welche dann abrupt stagnieren. Stetige – auch geringe – Dehnungen weisen auf eine destruktive Zusammensetzung hin.
Mit diesem mehrstufigen Vorgehen können raumbeständige, stabile GZPB-Systeme konzipiert werden, so dass die Zielstellung der Arbeit erreicht wurde und ein sicherer praktischer Einsatz dieser Bindemittelart gewährleistet werden kann.
Numerical simulation of physical phenomena, like electro-magnetics, structural and fluid mechanics is essential for the cost- and time-efficient development of mechanical products at high quality. It allows to investigate the behavior of a product or a system far before the first prototype of a product is manufactured.
This thesis addresses the simulation of contact mechanics. Mechanical contacts appear in nearly every product of mechanical engineering. Gearboxes, roller bearings, valves and pumps are only some examples. Simulating these systems not only for the maximal/minimal stresses and strains but for the stress-distribution in case of tribo-contacts is a challenging task from a numerical point of view.
Classical procedures like the Finite Element Method suffer from the nonsmooth representation of contact surfaces with discrete Lagrange elements. On the one hand, an error due to the approximate description of the surface is introduced. On the other hand it is difficult to attain a robust contact search because surface normals can not be described in a unique form at element edges.
This thesis introduces therefore a novel approach, the adaptive isogeometric contact formulation based on polynomial Splines over hierarchical T-meshes (PHT-Splines), for the approximate solution of the non-linear contact problem. It provides a more accurate, robust and efficient solution compared to conventional methods. During the development of this method the focus was laid on the solution of static contact problems without friction in 2D and 3D in which the structures undergo small deformations.
The mathematical description of the problem entails a system of partial differential equations and boundary conditions which model the linear elastic behaviour of continua. Additionally, it comprises side conditions, the Karush-Kuhn-Tuckerconditions, to prevent the contacting structures from non-physical penetration. The mathematical model must be transformed into its integral form for approximation of the solution. Employing a penalty method, contact constraints are incorporated by adding the resulting equations in weak form to the overall set of equations. For an efficient space discretization of the bulk and especially the contact boundary of the structures, the principle of Isogeometric Analysis (IGA) is applied. Isogeometric Finite Element Methods provide several advantages over conventional Finite Element discretization. Surface approximation with Non-Uniform Rational B-Splines (NURBS) allow a robust numerical solution of the contact problem with high accuracy in terms of an exact geometry description including the surface smoothness.
The numerical evaluation of the contact integral is challenging due to generally non-conforming meshes of the contacting structures. In this work the highly accurate Mortar Method is applied in the isogeometric setting for the evaluation of contact contributions. This leads to an algebraic system of equations that is linearized and solved in sequential steps. This procedure is known as the Newton Raphson Method. Based on numerical examples, the advantages of the isogeometric approach
with classical refinement strategies, like the p- and h-refinement, are shown and the influence of relevant algorithmic parameters on the approximate solution of the contact problem is verified. One drawback of the Spline approximations of stresses though is that they lack accuracy at the contact edge where the structures change their boundary from contact to no contact and where the solution features a kink. The approximation with smooth Spline functions yields numerical artefacts in the form of non-physical oscillations.
This property of the numerical solution is not only a drawback for the
simulation of e.g. tribological contacts, it also influences the convergence properties of iterative solution procedures negatively. Hence, the NURBS discretized geometries are transformed to Polynomial Splines over Hierarchical T-meshes (PHT-Splines), for the local refinement along contact edges to reduce the artefact of pressure oscillations. NURBS have a tensor product structure which does not allow to refine only certain parts of the geometrical domain while leaving other parts unchanged. Due to the Bézier Extraction, lying behind the transformation from NURBS to PHT-Splines, the connected mesh structure is broken up into separate elements. This allows an efficient local refinement along the contact edge.
Before single elements are refined in a hierarchical form with cross-insertion, existing basis functions must be modified or eliminated. This process of truncation assures local and global linear independence of the refined basis which is needed for a unique approximate solution. The contact boundary is a priori unknown. Local refinement along the contact edge, especially for 3D problems, is for this reason not straight forward. In this work the use of an a posteriori error estimation procedure, the Super Convergent Recovery Solution Based Error Estimation Scheme, together with the Dörfler Marking Method is suggested for the spatial search of the contact edge.
Numerical examples show that the developed method improves the quality of solutions along the contact edge significantly compared to NURBS based approximate solutions. Also, the error in maximum contact pressures, which correlates with the pressure artefacts, is minimized by the adaptive local refinement.
In a final step the practicability of the developed solution algorithm is verified by an industrial application: The highly loaded mechanical contact between roller and cam in the drive train of a high-pressure fuel pump is considered.
Revisiting vernacular technique: Engineering a low environmental impact earth stabilisation method
(2022)
The major drawbacks of earth as a construction material — such as its low water stability and moderate strength — have led mankind to stabilize earth. Different civilizations developed vernacular techniques mainly focussing on lime, pozzolan or gypsum stabilization. Recently, cement has become the most commonly used additive in earth stabilization as it improves the strength and durability of plain earth. Also, it is a familiar and globally available construction material. However, using cement as an additive reduces the environmental advantages of earth and run counter to global targets regarding the reduction of CO2 emissions. Alternatives to cement stabilization are currently neither efficient enough to reduce its environmental impact nor allow the possibility of obtaining better results than those of cement. As such, this thesis deals with the rediscovery of a reverse engineering approach for a low environmental impact earth stabilization technique, aiming to replace cement in earth stabilization.
The first step in the method consists in a comprehensive review of earth stabilization with regards to earthen building standards and soil classification, which allows us to identify the research gap. The review showed that there is great potential in using other additives which result in similar improvements as those achieved by cement. However, the studies that have been conducted so far either use expansive soils, which are not suitable for earth constructions or artificial pozzolans that indirectly contribute to CO2 emissions. This is the main research gap.
The key concept for the development in the second step of the method is to combine vernacular additives to both improve the strength and durability of plain earth and to reduce the CO2 emissions. Various earth-mixtures were prepared and both development and performance tests were done to investigate the performance of this technique. The laboratory analyses on mix-design have proven a high durability and the results show a remarkable increase in strength performance. Furthermore, a significant reduction in CO2 emissions in comparison to cement stabilization could be shown.
The third step of the method discusses the results drawn from the experimental programme. In addition, the potential of the new earth mixture with regards to its usability in the field of building construction and architectural design is further elaborated on.
The method used in this study is the first of its kind that allows investors to avoid the very time-consuming processes such as finding a suitable source for soil excavation and soil classification. The developed mixture has significant workability and suitability for production of stabilized earthen panels — the very first of its kind. Such a panel is practically feasible, reasonable, and could be integrated into earthen building standards in general and in particular to DIN 18948, which is related to earthen boards and published in 2018.
The modern industries of the 19th and 20th centuries had multiple effects on the spatial transformation of cities and regions. The past decade has witnessed increasing scholarly and governmental attempts toward conserving modern industrial heritage in the so-called Global North, with the goal, among others, of leveraging this heritage as a driver for urban economic development. In Egypt, the process continues to lag behind; on the one hand, this is due to the perplexing official recognition of the (in)tangible witnesses of modern industries. On the other hand, the official recognition and previous publications focus predominantly on weighing the significance of industrial structures based on their monumental architectural aesthetics. Their historical urban role and spatial attributes as part of urban heritage have yet to be seriously acknowledged. Accordingly, this hinders the integration of the extant industrial sites into the broader debate surrounding urban conservation, leaving them vulnerable to decay and destruction.
This dissertation steers away from the singular investigation of selective modern industrial sites to recall their historical spatial development on a city scale. This is effected by investigating a case study - the Egyptian port city of Alexandria. With the limited secondary data available on modern industries in Alexandria, this dissertation relied predominantly on primary sources. The author collected and leveraged both quantitative and qualitative data to recontextualize modern industries in terms of their spatial dynamics, order, and rationale within cities’ transformation.
By recalling historical spatial development in Alexandria, the contribution of this dissertation lies in highlighting what the author refers to as the Omitted Heritage. This is defined by the modern industries in Egypt that are intentionally, unintentionally, and forgetfully excluded in terms of physical documentation, evaluation, appreciation, and integration within urban development plans. The method used excavated the richness of the established modern industries in Alexandria in terms of their quantity and diversity, which would have otherwise remained largely forgotten. The contextualization of modern industries unveiled spatial periodization, spatial dynamics, and conceptual development. The study draws on important analytical aspects that transcend the sites’ boundaries, elevating their significance to the municipal, regional, national, and even global levels. Its recommendations for further research are also divided into those levels.
Compactly, this thesis encompasses two major parts to examine mechanical responses of polymer compounds and two dimensional materials:
1- Molecular dynamics approach is investigated to study transverse impact behavior of polymers, polymer compounds and two dimensional materials.
2- Large deflection of circular and rectangular membranes is examined by employing continuum mechanics approach.
Two dimensional materials (2D), including, Graphene and molybdenum disulfide (MoS2), exhibited new and promising physical and chemical properties, opening new opportunities to be utilized alone or to enhance the performance of conventional materials. These 2D materials have attracted tremendous attention owing to their outstanding physical properties, especially concerning transverse impact loading.
Polymers, with the backbone of carbon (organic polymers) or do not include carbon atoms in the backbone (inorganic polymers) like polydimethylsiloxane (PDMS), have extraordinary characteristics particularly their flexibility leads to various easy ways of forming and casting. These simple shape processing label polymers as an excellent material often used as a matrix in composites (polymer compounds).
In this PhD work, Classical Molecular Dynamics (MD) is implemented to calculate transverse impact loading of 2D materials as well as polymer compounds reinforced with graphene sheets. In particular, MD was adopted to investigate perforation of the target and impact resistance force . By employing MD approach, the minimum velocity of the projectile that could create perforation and passes through the target is obtained. The largest investigation was focused on how graphene could enhance the impact properties of the compound. Also the purpose of this work was to discover the effect of the atomic arrangement of 2D materials on the impact problem. To this aim, the impact properties of two different 2D materials, graphene and MoS2, are studied. The simulation of chemical functionalization was carried out systematically, either with covalently bonded molecules or with non-bonded ones, focusing the following efforts on the covalently bounded species, revealed as the most efficient linkers.
To study transverse impact behavior by using classical MD approach , Large-scale Atomic/Molecular Massively Parallel Simulator (LAMMPS) software, that is well-known among most researchers, is employed. The simulation is done through predefined commands in LAMMPS. Generally these commands (atom style, pair style, angle style, dihedral style, improper style, kspace style, read data, fix, run, compute and so on) are used to simulate and run the model for the desired outputs. Depends on the particles and model types, suitable inter-atomic potentials (force fields) are considered. The ensembles, constraints and boundary conditions are applied depends upon the problem definition. To do so, atomic creation is needed. Python codes are developed to generate particles which explain atomic arrangement of each model. Each atomic arrangement introduced separately to LAMMPS for simulation. After applying constraints and boundary conditions, LAMMPS also include integrators like velocity-Verlet integrator or Brownian dynamics or other types of integrator to run the simulation and finally the outputs are emerged. The outputs are inspected carefully to appreciate the natural behavior of the problem. Appreciation of natural properties of the materials assist us to design new applicable materials.
In investigation on the large deflection of circular and rectangular membranes, which is related to the second part of this thesis, continuum mechanics approach is implemented. Nonlinear Föppl membrane theory, which carefully release nonlinear governing equations of motion, is considered to establish the non-linear partial differential equilibrium equations of the membranes under distributed and centric point loads. The Galerkin and energy methods are utilized to solve non-linear partial differential equilibrium equations of circular and rectangular plates respectively. Maximum deflection as well as stress through the film region, which are kinds of issue in many industrial applications, are obtained.
The computational costs of newly developed numerical simulation play a critical role in their acceptance within both academic use and industrial employment. Normally, the refinement of a method in the area of interest reduces the computational cost. This is unfortunately not true for most nonlocal simulation, since refinement typically increases the size of the material point neighborhood. Reducing the discretization size while keep- ing the neighborhood size will often require extra consideration. Peridy- namic (PD) is a newly developed numerical method with nonlocal nature. Its straightforward integral form equation of motion allows simulating dy- namic problems without any extra consideration required. The formation of crack and its propagation is known as natural to peridynamic. This means that discontinuity is a result of the simulation and does not demand any post-processing. As with other nonlocal methods, PD is considered an expensive method. The refinement of the nodal spacing while keeping the neighborhood size (i.e., horizon radius) constant, emerges to several nonphysical phenomena.
This research aims to reduce the peridynamic computational and imple- mentation costs. A novel refinement approach is introduced. The pro- posed approach takes advantage of the PD flexibility in choosing the shape of the horizon by introducing multiple domains (with no intersections) to the nodes of the refinement zone. It will be shown that no ghost forces will be created when changing the horizon sizes in both subdomains. The approach is applied to both bond-based and state-based peridynamic and verified for a simple wave propagation refinement problem illustrating the efficiency of the method. Further development of the method for higher dimensions proves to have a direct relationship with the mesh sensitivity of the PD. A method for solving the mesh sensitivity of the PD is intro- duced. The application of the method will be examined by solving a crack propagation problem similar to those reported in the literature.
New software architecture is proposed considering both academic and in- dustrial use. The available simulation tools for employing PD will be collected, and their advantages and drawbacks will be addressed. The challenges of implementing any node base nonlocal methods while max- imizing the software flexibility to further development and modification
will be discussed and addressed. A software named Relation-Based Sim- ulator (RBS) is developed for examining the proposed architecture. The exceptional capabilities of RBS will be explored by simulating three dis- tinguished models. RBS is available publicly and open to further develop- ment. The industrial acceptance of the RBS will be tested by targeting its performance on one Mac and two Linux distributions.
Encapsulation-based self-healing concrete (SHC) is the most promising technique for providing a self-healing mechanism to concrete. This is due to its capacity to heal fractures effectively without human interventions, extending the operational life and lowering maintenance costs. The healing mechanism is created by embedding capsules containing the healing agent inside the concrete. The healing agent will be released once the capsules are fractured and the healing occurs in the vicinity of the damaged part. The healing efficiency of the SHC is still not clear and depends on several factors; in the case of microcapsules SHC the fracture of microcapsules is the most important aspect to release the healing agents and hence heal the cracks. This study contributes to verifying the healing efficiency of SHC and the fracture mechanism of the microcapsules. Extended finite element method (XFEM) is a flexible, and powerful discrete crack method that allows crack propagation without the requirement for re-meshing and has been shown high accuracy for modeling fracture in concrete. In this thesis, a computational fracture modeling approach of Encapsulation-based SHC is proposed based on the XFEM and cohesive surface technique (CS) to study the healing efficiency and the potential of fracture and debonding of the microcapsules or the solidified healing agents from the concrete matrix as well. The concrete matrix and a microcapsule shell both are modeled by the XFEM and combined together by CS. The effects of the healed-crack length, the interfacial fracture properties, and microcapsule size on the load carrying capability and fracture pattern of the SHC have been studied. The obtained results are compared to those obtained from the zero thickness cohesive element approach to demonstrate the significant accuracy and the validity of the proposed simulation. The present fracture simulation is developed to study the influence of the capsular clustering on the fracture mechanism by varying the contact surface area of the CS between the microcapsule shell and the concrete matrix. The proposed fracture simulation is expanded to 3D simulations to validate the 2D computational simulations and to estimate the accuracy difference ratio between 2D and 3D simulations. In addition, a proposed design method is developed to design the size of the microcapsules consideration of a sufficient volume of healing agent to heal the expected crack width. This method is based on the configuration of the unit cell (UC), Representative Volume Element (RVE), Periodic Boundary Conditions (PBC), and associated them to the volume fraction (Vf) and the crack width as variables. The proposed microcapsule design is verified through computational fracture simulations.
The current thesis presents research about new methods of citizen participation based on digital technologies. The focus on the research lies on decentralized methods of participation where citizens take the role of co-creators. The research project first conducted a review of the literature on citizen participation, its origins and the different paradigms that have emerged over the years. The literature review also looked at the influence of technologies on participation processes and the theoretical frameworks that have emerged to understand the introduction of technologies in the context of urban development. The literature review generated the conceptual basis for the further development of the thesis.
The research begins with a survey of technology enabled participation applications that examined the roles and structures emerging due to the introduction of technology. The results showed that cities use technology mostly to control and monitor urban infrastructure and are rather reluctant to give citizens the role of co-creators. Based on these findings, three case studies were developed. Digital tools for citizen participation were conceived and introduced for each case study. The adoption and reaction of the citizens were observed using three data collection methods.
The results of the case studies showed consistently that previous participation and engagement with informal citizen participation are a determinining factor in the potential adoption of digital tools for decentralized engagement. Based on these results, the case studies proposed methods and frameworks that can be used for the conception and introduction of technologies for decentralized citizen participation.
Tropical coral reefs, one of the world’s oldest ecosystems which support some of the highest levels of biodiversity on the planet, are currently facing an unprecedented ecological crisis during this massive human-activity-induced period of extinction. Hence, tropical reefs symbolically stand for the destructive effects of human activities on nature [4], [5]. Artificial reefs are excellent examples of how architectural design can be combined with ecosystem regeneration [6], [7], [8]. However, to work at the interface between the artificial and the complex and temporal nature of natural systems presents a challenge, i.a. in respect to the B-rep modelling legacy of computational modelling.
The presented doctorate investigates strategies on how to apply digital practice to realise what is an essential bulwark to retain reefs in impossibly challenging times. Beyond the main question of integrating computational modelling and high precision monitoring strategies in artificial coral reef design, this doctorate explores techniques, methods, and linking frameworks to support future research and practice in ecology led design contexts.
Considering the many existing approaches for artificial coral reefs design, one finds they often fall short in precisely understanding the relationships between architectural and ecological aspects (e.g. how a surface design and material composition can foster coral larvae settlement, or structural three-dimensionality enhance biodiversity) and lack an integrated underwater (UW) monitoring process. Such a process is necessary in order to gather knowledge about the ecosystem and make it available for design, and to learn whether artificial structures contribute to reef regeneration or rather harm the coral reef ecosystem.
For the research, empirical experimental methods were applied: Algorithmic coral reef design, high precision UW monitoring, computational modelling and simulation, and validated through parallel real-world physical experimentation – two Artificial Reef Prototypes (ARPs) in Gili Trawangan, Indonesia (2012–today). Multiple discrete methods and sub techniques were developed in seventeen computational experiments and applied in a way in which many are cross valid and integrated in an overall framework that is offered as a significant contribution to the field. Other main contributions include the Ecosystem-aware design approach, Key Performance Indicators (KPIs) for coral reef design, algorithmic design and fabrication of Biorock cathodes, new high precision UW monitoring strategies, long-term real-world constructed experiments, new digital analysis methods and two new front-end web-based tools for reef design and monitoring reefs. The methodological framework is a finding of the research that has many technical components that were tested and combined in this way for the very first time.
In summary, the thesis responds to the urgency and relevance in preserving marine species in tropical reefs during this massive extinction period by offering a differentiated approach towards artificial coral reefs – demonstrating the feasibility of digitally designing such ‘living architecture’ according to multiple context and performance parameters. It also provides an in-depth critical discussion of computational design and architecture in the context of ecosystem regeneration and Planetary Thinking. In that respect, the thesis functions as both theoretical and practical background for computational design, ecology and marine conservation – not only to foster the design of artificial coral reefs technically but also to provide essential criteria and techniques for conceiving them.
Keywords: Artificial coral reefs, computational modelling, high precision underwater monitoring, ecology in design.
The reduction of the cement clinker content is an important prerequisite for the improvement of the CO2-footprint of concrete. Nevertheless, the durability of such concretes must be sufficient to guarantee a satisfactory service life of structures. Salt frost scaling resistance is a critical factor in this regard, as it is often diminished at increased clinker substitution rates. Furthermore, only insufficient long-term experience for such concretes exists. A high salt frost scaling resistance thus cannot be achieved by applying only descriptive criteria, such as the concrete composition. It is therefore to be expected, that in the long term a performance based service life prediction will replace the descriptive concept.
To achieve the important goal of clinker reduction for concretes also in cold and temperate climates it is important to understand the underlying mechanisms for salt frost scaling. However, conflicting damage theories dominate the current State of the Art. It was consequently derived as the goal of this thesis to evaluate existing damage theories and to examine them experimentally. It was found that only two theories have the potential to describe the salt frost attack satisfactorily – the glue spall theory and the cryogenic suction theory.
The glue spall theory attributes the surface scaling to the interaction of an external ice layer with the concrete surface. Only when moderate amounts of deicing salt are present in the test solution the resulting mechanical properties of the ice can cause scaling. However, the results in this thesis indicate that severe scaling also occurs at deicing salt levels, at which the ice is much too soft to damage concrete. Thus, the inability of the glue spall theory to account for all aspects of salt frost scaling was shown.
The cryogenic suction theory is based on the eutectic behavior of salt solutions, which consist of two phases – water ice and liquid brine – between the freezing point and the eutectic temperature. The liquid brine acts as an additional moisture reservoir, which facilitates the growth of ice lenses in the surface layer of the concrete. The experiments in this thesis confirmed, that the ice formation in hardened cement paste increases due to the suction of brine at sub-zero temperatures. The extent of additional ice formation was influenced mainly by the porosity and by the chloride binding capacity of the hardened cement paste.
Consequently, the cryogenic suction theory plausibly describes the actual generation of scaling, but it has to be expanded by some crucial aspects to represent the salt frost scaling attack completely. The most important aspect is the intensive saturation process, which is ascribed to the so-called micro ice lens pump. Therefore a combined damage theory was proposed, which considers multiple saturation processes. Important aspects of this combined theory were confirmed experimentally.
As a result, the combined damage theory constitutes a good basis to understand the salt frost scaling attack on concrete on a fundamental level. Furthermore, a new approach was identified, to account for the reduced salt frost scaling resistance of concretes with reduced clinker content.
This study deals with design for AI/ML systems, more precisely in the industrial AI context based on case studies from the factory automation field. It therefore touches on core concepts from Human-Centered-Design (HCD), User Experience (UX) and Human Computer Interaction (HCI) on one hand, as well as concepts from Artificial Intelligence (AI), Machine Learning (ML) and the impact of technology on the other. The case studies the research is based on are within the industrial AI domain. However, the final outcomes, the findings, solutions, artifacts and so forth, should be transferable to a wider spectrum of domains. The study’s aim is to examine the role of designers in the age of AI and the factors which are relevant, based on the hypothesis that current AI/ML development lacks the human perspective, which means that there are pitfalls and challenges that design can help resolve. The initial literature review revealed that AI/ML are perceived as a new design material that calls for a new design paradigm. Additional research based on qualitative case study research was conducted to gain an overview of the relevant issues and challenges. From this, 17 themes emerged, which together with explorative expert interviews and a structured literature review, were further analyzed to produce the relevant HCD, UX and HCI themes. It became clear that designers need new processes, methods, and tools in the age of AI/ML in combination with not only design, but also data science and business expertise, which is why the proposed solution in this PhD features process modules for design, data science and business collaboration. There are seven process modules and their related activities and dependencies that serve as guidelines for practitioners who want to design intelligence. A unified framework for collecting use case exemplars was created, based on a workshop with different practitioners and researchers from the area of AI/ML to support and enrich the process modules with concrete projects examples.
The growing complexity of modern engineering problems necessitates development of advanced numerical methods. In particular, methods working directly with discrete structures, and thus, representing exactly some important properties of the solution on a lattice and not just approximating the continuous properties, become more and more popular nowadays. Among others, discrete potential theory and discrete function theory provide a variety of methods, which are discrete counterparts of the classical continuous methods for solving boundary value problems. A lot of results related to the discrete potential and function theories have been presented in recent years. However, these results are related to the discrete theories constructed on square lattices, and, thus, limiting their practical applicability and
potentially leading to higher computational costs while discretising realistic domains.
This thesis presents an extension of the discrete potential theory and discrete function theory to rectangular lattices. As usual in the discrete theories, construction of discrete operators is strongly influenced by a definition of discrete geometric setting. For providing consistent constructions throughout the whole thesis, a detailed discussion on the discrete geometric setting is presented in the beginning. After that, the discrete fundamental solution of the discrete Laplace operator on a rectangular lattice, which is the core of the discrete potential theory, its numerical analysis, and practical calculations are presented. By using the discrete fundamental solution of the discrete Laplace operator on a rectangular lattice, the discrete potential theory is then constructed for interior and exterior settings. Several discrete interior and exterior boundary value problems are then solved. Moreover, discrete transmission problems are introduced and several numerical examples of these problems are discussed. Finally, a discrete fundamental solution of the discrete Cauchy-Riemann operator on a rectangular lattice is constructed, and basics of the discrete function theory on a rectangular lattice are provided. This work indicates that the discrete theories provide
solution methods with very good numerical properties to tackle various boundary value problems, as well as transmission problems coupling interior and exterior problems. The results presented in this thesis provide a basis for further development of discrete theories on irregular lattices.
Im Rahmen dieser Arbeit wird das Charakterisieren struktureller Veränderungen zementgebundener Baustoffe durch zwei auf dem Ultraschall-Transmissionsverfahren beruhenden Methoden der zerstörungsfreien Prüfung (ZfP) mit mechanischen Wellen vorgenommen.
Zur kontinuierlichen Charakterisierung der Erstarrung und Erhärtung frischer zementgebundener Systeme wird ein auf Ultraschallsensoren für Longitudinal- und Scherwellen basierendes Messsystem in Kombination mit zugehörigen Verfahrensweisen zur Datenauswertung konzipiert, charakterisiert und angewandt. Gegenüber der bislang üblichen alleinigen Bewertung der Verfestigung anhand indirekter Ultraschallparameter wie Ausbreitungsgeschwindigkeit, Signalenergie oder Frequenzgehalt der Longitudinalwelle lässt sich damit eine direkte, sensible Erfassung der sich während der Strukturbildung entwickelnden dynamischen elastischen Eigenschaften auf der Basis primärer physikalischer Werkstoffparameter erreichen. Insbesondere Scherwellen und der dynamische Schubmodul sind geeignet, den graduellen Übergang zum Festkörper mit Überschreiten der Perkolationsschwelle sensibel und unabhängig vom Luftgehalt zu erfassen. Die zeitliche Entwicklung der dynamischen elastischen Eigenschaften, die Strukturbildungsraten sowie die daraus extrahierten diskreten Ergebnisparameter ermöglichen eine vergleichende quantitative Charakterisierung der Strukturbildung zementgebundener Baustoffe aus mechanischer Sicht. Dabei lassen sich typische, oft unvermeidbare Unterschiede in der Zusammensetzung der Versuchsmischungen berücksichtigen.
Der Einsatz laserbasierter Methoden zur Anregung und Erfassung von mechanischen Wellen und deren Kombination zu Laser-Ultraschall zielt darauf ab, die mit der Anwendung des konventionellen Ultraschall-Transmissionsverfahrens verbundenen Nachteile zu eliminieren. Diese resultieren aus der Sensorgeometrie, der mechanischen Ankopplung und bei einer Vielzahl von Oberflächenpunkten aus einem hohen prüftechnischen Aufwand. Die laserbasierte, interferometrische Erfassung mechanischer Wellen ist gegenüber Ultraschallsensoren rauschbehaftet und vergleichsweise unsensibel. Als wesentliche Voraussetzung der scannenden Anwendung von Laser-Ultraschall auf zementgebundene Baustoffe erfolgen systematische experimentelle Untersuchungen zur laserinduzierten ablativen Anregung. Diese sollen zum Verständnis des Anregungsmechanismus unmittelbar auf den Oberflächen von zementgebundenen Baustoffen, Gesteinskörnungen und metallischen Werkstoffen beitragen, relevante Einflussfaktoren aus den charakteristischen Materialeigenschaften identifizieren, geeignete Prozessparameter gewinnen und die Verfahrensgrenzen aufzeigen. Unter Einsatz von Longitudinalwellen erfolgt die Anwendung von Laser-Ultraschall zur zeit- und ortsaufgelösten Charakterisierung der Strukturbildung und Homogenität frischer sowie erhärteter Proben zementgebundener Baustoffe. Während der Strukturbildung wird erstmals eine simultane berührungslose Erfassung von Longitudinal- und Scherwellen vorgenommen. Unter Anwendung von tomographischen Methoden (2D-Laufzeit¬tomo¬graphie) werden überlagerungsfreie Informationen zur räumlichen Verteilung struktureller Gefügeveränderungen anhand der longitudinalen Ausbreitungsgeschwindigkeit bzw. des relativen dynamischen Elastizitätsmoduls innerhalb von virtuellen Schnittebenen geschädigter Probekörper gewonnen. Als beton-schädigende Mechanismen werden exemplarisch der kombinierte Frost-Tausalz-Angriff sowie die Alkali-Kieselsäure-Reaktion (AKR) herangezogen.
Die im Rahmen dieser Arbeit entwickelten Verfahren der zerstörungsfreien Prüfung bieten erweiterte Möglichkeiten zur Charakterisierung zementgebundener Baustoffe und deren strukturellen Veränderungen und lassen sich zielgerichtet in der Werkstoffentwicklung, bei der Qualitätssicherung sowie zur Analyse von Schadensprozessen und -ursachen einsetzen.