Molecular characterization of streptococcus agalactiae isolated from pregnant women in the Eastern Cape, South Africa and Windhoek, Namibia and antibacterial activities of some medicinal plant extracts on the isolates
- Authors: Mukesi, Munyaradzi
- Date: 2018
- Subjects: Streptococcus Medicinal plants Pregnant women
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/13034 , vital:39437
- Description: Streptococcus agalactiae (S. agalactiae) also known as group B Streptococcus (GBS) is one of the leading causes of bacterial morbidity and mortality among neonates worldwide. It is the cause of invasive Early Onset Disease (EOD), which occurs in the first 7 days of life and characterised by sepsis, pneumonia and meningitis and Late Onset Disease (LOD) occurring between 7 and 89 days of life. Late onset disease is characterised by meningitis and long term neurological sequelae such as cerebral palsy, hearing impairment and cognitive challenges. S. agalactiae does not only infect neonates, it also infects the elderly, immunocompromised individuals and pregnant and non-pregnant women, causing invasive disease. In the world, 10-40 percent of healthy women are rectally or vaginally colonised with GBS and they face the risk of passing it to their babies during the process of childbirth. During parturition, a GBS colonized pregnant woman transfers the bacterium to her new-born as the baby passes through the ruptured membrane, thus infecting the child. However, GBS has been reported to be transferred even without rupture of membranes. Once it infects the membranes, it is transferred into the amniotic fluid and subsequently infects the baby. It can be aspirated into the lungs causing pneumonia or it can infect the blood stream and disseminated round the body causing septicaemia, meningitis and other infections. Once in the neonate’s body, the bacteria is able to evade the immune system as the host immune system is not yet fully developed. Bacterial evasion of the immune system is enhanced by its various virulence factors which are deployed to help it escape the immune system. These include the polysaccharide capsule, haemolysin and the release of complement inactivating factors such C5a peptidase. The World Health Organisation (WHO) (2010) recommends universal screening of pregnant women to identify those colonised and who are at risk of passing the bacterium to their babies during birth. WHO also recommends identification of at risk women and providing Intrapartum Antibiotic Prophylaxis (IAP) using penicillin. However, problems arise in penicillin allergic women and while alternatives for IAP include erythromycin and clindamycin, there is increasing resistance to these drugs thereby limiting therapeutic options. Antimicrobial susceptibility testing is also not always possible in most resource constrained countries due to poor infrastructure, limited access to health care and the logistical problems in implementing the WHO guidelines. Alternative therapeutic options to GBS infection include developing new and potent antibiotics, development of a vaccine, use of medicinal plants and the use of bacteriophage therapy. While these look like better alternatives there is massive scientific work to be carried out to ensure proper characterisation and efficiency of such alternatives. This process should be followed by in vitro diagnostic testing, experiments with animal models and clinical trials. The problems encountered during vaccine development to curtail GBS infection are compounded by the multiplicity of S. agalactiae capsular types which vary in different geographic locations. Medicinal plants are a cheap and convenient option since they are widely used in communities but the phytochemical components of the plants have to be identified and subjected to in vitro testing to evaluate their therapeutic efficacy as antimicrobial agents. This study therefore sought to isolate GBS from pregnant women between 35 and 37 weeks gestation in Windhoek (Namibia) and the Eastern Cape (South Africa), to determine the prevalence of GBS colonisation in the vagina and rectum of the pregnant women, characterise the isolates by molecular techniques, determine the antimicrobial resistance profiles and genes of the isolates and explore the efficacies of medicinal plant extracts as possible candidates for therapeutic options.
- Full Text:
- Date Issued: 2018
- Authors: Mukesi, Munyaradzi
- Date: 2018
- Subjects: Streptococcus Medicinal plants Pregnant women
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/13034 , vital:39437
- Description: Streptococcus agalactiae (S. agalactiae) also known as group B Streptococcus (GBS) is one of the leading causes of bacterial morbidity and mortality among neonates worldwide. It is the cause of invasive Early Onset Disease (EOD), which occurs in the first 7 days of life and characterised by sepsis, pneumonia and meningitis and Late Onset Disease (LOD) occurring between 7 and 89 days of life. Late onset disease is characterised by meningitis and long term neurological sequelae such as cerebral palsy, hearing impairment and cognitive challenges. S. agalactiae does not only infect neonates, it also infects the elderly, immunocompromised individuals and pregnant and non-pregnant women, causing invasive disease. In the world, 10-40 percent of healthy women are rectally or vaginally colonised with GBS and they face the risk of passing it to their babies during the process of childbirth. During parturition, a GBS colonized pregnant woman transfers the bacterium to her new-born as the baby passes through the ruptured membrane, thus infecting the child. However, GBS has been reported to be transferred even without rupture of membranes. Once it infects the membranes, it is transferred into the amniotic fluid and subsequently infects the baby. It can be aspirated into the lungs causing pneumonia or it can infect the blood stream and disseminated round the body causing septicaemia, meningitis and other infections. Once in the neonate’s body, the bacteria is able to evade the immune system as the host immune system is not yet fully developed. Bacterial evasion of the immune system is enhanced by its various virulence factors which are deployed to help it escape the immune system. These include the polysaccharide capsule, haemolysin and the release of complement inactivating factors such C5a peptidase. The World Health Organisation (WHO) (2010) recommends universal screening of pregnant women to identify those colonised and who are at risk of passing the bacterium to their babies during birth. WHO also recommends identification of at risk women and providing Intrapartum Antibiotic Prophylaxis (IAP) using penicillin. However, problems arise in penicillin allergic women and while alternatives for IAP include erythromycin and clindamycin, there is increasing resistance to these drugs thereby limiting therapeutic options. Antimicrobial susceptibility testing is also not always possible in most resource constrained countries due to poor infrastructure, limited access to health care and the logistical problems in implementing the WHO guidelines. Alternative therapeutic options to GBS infection include developing new and potent antibiotics, development of a vaccine, use of medicinal plants and the use of bacteriophage therapy. While these look like better alternatives there is massive scientific work to be carried out to ensure proper characterisation and efficiency of such alternatives. This process should be followed by in vitro diagnostic testing, experiments with animal models and clinical trials. The problems encountered during vaccine development to curtail GBS infection are compounded by the multiplicity of S. agalactiae capsular types which vary in different geographic locations. Medicinal plants are a cheap and convenient option since they are widely used in communities but the phytochemical components of the plants have to be identified and subjected to in vitro testing to evaluate their therapeutic efficacy as antimicrobial agents. This study therefore sought to isolate GBS from pregnant women between 35 and 37 weeks gestation in Windhoek (Namibia) and the Eastern Cape (South Africa), to determine the prevalence of GBS colonisation in the vagina and rectum of the pregnant women, characterise the isolates by molecular techniques, determine the antimicrobial resistance profiles and genes of the isolates and explore the efficacies of medicinal plant extracts as possible candidates for therapeutic options.
- Full Text:
- Date Issued: 2018
Molecular studies on cholera and non-cholera causing vibrio pathogens isolated from some water resources and aquatic animals in Eastern Cape Province, South Africa
- Authors: Abioye, Oluwatayo Emmanuel
- Date: 2018
- Subjects: Vibrio cholerae -- Pathogens Vibrio cholerae
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/9154 , vital:34283
- Description: The global socioeconomic and disease burdens of cholera; a disease caused by Vibrio cholerae have been ongoing since it was first reported in India in 1563. Unfortunately, emerging non-cholera causing Vibrio pathogens have been contributing to the malady of Vibrio genus globally in the recent years. The history of cholera outbreaks in South Africa have been well documented but information regarding other non-cholera Vibrio pathogens, is deficient in the literature. This study evaluated the statuses of aquatic animals including crustaceans, molluscs, and fish as important reservoirs of six key pathogenic Vibrio spp. in some important water resources and fish markets in the Eastern Cape, South Africa, between December 2016 and November 2017. Physiochemical parameters that are vital for water quality assessment were determined for all the water sampling points using standard methods. The parameters include pH, electrical conductivity (EC), total dissolved solids (TDS), salinity, temperature, total dissolved solids, turbidity and biological oxygen demand (BOD5). Vibrio spp. densities in water and aquatic animal samples were determined using membrane filtration and Most Probable NumberPolymerase chain reaction (MPN-PCR) methods respectively. Presumptive Vibrio spp. were recovered from the samples by direct plating of water samples and aliquots of aquatic animal homogenates on thiosulfate-citrate-bile salts-sucrose (TCBS) agar. Where necessary, samples were enriched using alkaline peptone water (APW) for optimum isolation of the targeted Vibrio spp. Presumptive isolates were identified and delineated into the six targeted pathogenic Vibrio spp. using PCR method. The antibiogram fingerprint of selected Vibrio spp. against a panel 18 panels of antibacterial agents were also carried out. Multiple antibiotic resistance phenotypes (MARPs) per set of isolates from water sampling sites and aquatic animal types were determined. Finally, multiple antibiotic resistance indices (MARI) for isolates recovered from the samples were determined. All experiments were done in replicate and data compared using one-way analysis of variance and one-tail t-test as appropriate. Correlation and regression analysis were also carried out as appropriate. Uncontrolled agricultural, industrial and domestic wastewater influxes, as well as run-off intrusions into the water resources investigated, were observed throughout the sampling season. The physicochemical qualities of the water resources varied with seasons. While pH observed for all the water sampling sites complied with South Africa and international standards, most sampling sites did not comply with set standards for one or more of the remaining physicochemical parameters. The parameters that frequently exhibited significant correlation and regression with Vibrio spp. densities were TDS, TSS, turbidity and temperature. The densities of Vibrio spp. in the samples studied varied with season and the highest density per sample types were observed in the summer. The prevalence of Vibrio spp. in freshwater, brackish water and aquatic animal samples were 79 percent, 78 percent and 86 percent respectively. The respective prevalence of V. cholerae, V. mimicus, V. fluvialis, V.alginolyticus, V. vulnificus and V. parahaemolyticus in freshwater samples (18 percent, 3 percent, ~1 percent, ~1 percent, <1 percent, < percent), brackish water(12 percent, 3 percent, 28 percent,~1 percent, ~1 percent, 9 percent) and aquatic animals (9 percent, 1 percent, 17 percent, 1 percent, 1 percent, 17 percent) were observed. All isolates from all the sample types showed very high antibiotic resistance against ampicillin and polymyxin B. Furthermore, MARPs were observed among isolates from the three sample types. Multiple antibiotic resistance indices (MARI) above 0.2 was observed at one site on Kowie River, three on Kubusi River and one on Buffalo River. The findings of this study suggest that most South Africa water-bodies especially freshwater resources are not well protected. This need to be addressed in a country like South Africa where availability of the freshwater resource for human activities is a critical issue. Base on the prevalence of pathogenic Vibrio spp. especially MARPs and sites that exhibited above 0.2 threshold for MARI, environmental base Vibrio species monitoring programs are recommended.
- Full Text:
- Date Issued: 2018
- Authors: Abioye, Oluwatayo Emmanuel
- Date: 2018
- Subjects: Vibrio cholerae -- Pathogens Vibrio cholerae
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/9154 , vital:34283
- Description: The global socioeconomic and disease burdens of cholera; a disease caused by Vibrio cholerae have been ongoing since it was first reported in India in 1563. Unfortunately, emerging non-cholera causing Vibrio pathogens have been contributing to the malady of Vibrio genus globally in the recent years. The history of cholera outbreaks in South Africa have been well documented but information regarding other non-cholera Vibrio pathogens, is deficient in the literature. This study evaluated the statuses of aquatic animals including crustaceans, molluscs, and fish as important reservoirs of six key pathogenic Vibrio spp. in some important water resources and fish markets in the Eastern Cape, South Africa, between December 2016 and November 2017. Physiochemical parameters that are vital for water quality assessment were determined for all the water sampling points using standard methods. The parameters include pH, electrical conductivity (EC), total dissolved solids (TDS), salinity, temperature, total dissolved solids, turbidity and biological oxygen demand (BOD5). Vibrio spp. densities in water and aquatic animal samples were determined using membrane filtration and Most Probable NumberPolymerase chain reaction (MPN-PCR) methods respectively. Presumptive Vibrio spp. were recovered from the samples by direct plating of water samples and aliquots of aquatic animal homogenates on thiosulfate-citrate-bile salts-sucrose (TCBS) agar. Where necessary, samples were enriched using alkaline peptone water (APW) for optimum isolation of the targeted Vibrio spp. Presumptive isolates were identified and delineated into the six targeted pathogenic Vibrio spp. using PCR method. The antibiogram fingerprint of selected Vibrio spp. against a panel 18 panels of antibacterial agents were also carried out. Multiple antibiotic resistance phenotypes (MARPs) per set of isolates from water sampling sites and aquatic animal types were determined. Finally, multiple antibiotic resistance indices (MARI) for isolates recovered from the samples were determined. All experiments were done in replicate and data compared using one-way analysis of variance and one-tail t-test as appropriate. Correlation and regression analysis were also carried out as appropriate. Uncontrolled agricultural, industrial and domestic wastewater influxes, as well as run-off intrusions into the water resources investigated, were observed throughout the sampling season. The physicochemical qualities of the water resources varied with seasons. While pH observed for all the water sampling sites complied with South Africa and international standards, most sampling sites did not comply with set standards for one or more of the remaining physicochemical parameters. The parameters that frequently exhibited significant correlation and regression with Vibrio spp. densities were TDS, TSS, turbidity and temperature. The densities of Vibrio spp. in the samples studied varied with season and the highest density per sample types were observed in the summer. The prevalence of Vibrio spp. in freshwater, brackish water and aquatic animal samples were 79 percent, 78 percent and 86 percent respectively. The respective prevalence of V. cholerae, V. mimicus, V. fluvialis, V.alginolyticus, V. vulnificus and V. parahaemolyticus in freshwater samples (18 percent, 3 percent, ~1 percent, ~1 percent, <1 percent, < percent), brackish water(12 percent, 3 percent, 28 percent,~1 percent, ~1 percent, 9 percent) and aquatic animals (9 percent, 1 percent, 17 percent, 1 percent, 1 percent, 17 percent) were observed. All isolates from all the sample types showed very high antibiotic resistance against ampicillin and polymyxin B. Furthermore, MARPs were observed among isolates from the three sample types. Multiple antibiotic resistance indices (MARI) above 0.2 was observed at one site on Kowie River, three on Kubusi River and one on Buffalo River. The findings of this study suggest that most South Africa water-bodies especially freshwater resources are not well protected. This need to be addressed in a country like South Africa where availability of the freshwater resource for human activities is a critical issue. Base on the prevalence of pathogenic Vibrio spp. especially MARPs and sites that exhibited above 0.2 threshold for MARI, environmental base Vibrio species monitoring programs are recommended.
- Full Text:
- Date Issued: 2018
Movement of coastal fishery species in Southern Africa: research trends, characterisation of behaviours and a case study on fishery implications
- Authors: Maggs, Jade Quinton
- Date: 2018
- Subjects: Fishery management -- Africa, Southern , Fisheries -- Africa, Southern , Fisheries -- Catch effort , Fisheries -- Environmental aspects , Fisheries --Monitoring , Biotelemetry , Sustainable fisheries -- Africa, Southern , Overfishing -- Africa, Southern
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/60574 , vital:27798
- Description: Movement of fishes is an integral part of their daily life, but has significant implications for fishery management. As with nearly all coastal countries, South Africa relies on coastal fisheries as a renewable resource, but many stocks have been overexploited for decades. Although it has long been recognised that an understanding of fish movement is necessary for effective management, it is with some difficulty that the subject has been studied in the past. In recent years, however, improvements in technology have provided the means for more in-depth investigations into fish movement. This research has revealed a range of complex movement behaviours. Movement in fishes occurs on a variety of temporal and spatial scales leading to the characteristic patterns of distribution and abundance observed in marine ecosystems. Fishes move nearly constantly in search of food, shelter or reproductive opportunities. Observations of behaviours such as long-term site fidelity, longdistance migration and natal homing are enabling ecologists to understand patterns of distribution and abundance within a species' range. Fish movement around the South African coast has been studied on numerous occasions but this has largely been confined to studies on single species. Movement behaviour of multiple species has been studied, but this has been limited to spatially localised marine protected area research. There has been little attempt in southern Africa to synthesize interspecific movement behaviour over wide spatial scales.Unprecedented concern over the biological effects of overexploitation, together with rapid technological advances in biotelemetry, have provided the impetus for much research, on a global scale, into the movement of marine animals. I reviewed 101 marine and estuarine fish movement studies from southern Africa, published from 1928 to 2014, with the aim of synthesising research trends and findings. Trends showed an increasing emphasis on fish movement research in publications in the sub-tropical and warm-temperate biogeographic regions along the south and east coasts of southern Africa. Although 63% of publications featured only marine studies, research into fine-scale habitat use in estuaries has been on the increase, concomitant with increasing accessibility of biotelemetry. Overall, 26 fish families were identified in the surveyed literature with regionally endemic sparids featuring in 32% of the publications. Ten movement themes were identified in the surveyed literature, including broad-scale movement patterns, which featured in 68% of studies, followed by fine- scale habitat usage (33%) and protected areas (26%). The most prominent phenomenon, emerging from this research, is that of partial migration, which describes the occurrence of resident and migratory behaviour within a coexisting animal population. Substantial progress has also been made in unravelling the complexities of fine-scale movements in marine reserves and habitat usage in estuaries. While this knowledge has enabled more effective management of South Africa's multi-user, multi-species fisheries, focus should now be directed at improving our understanding of the commonalities in movement behaviour, the associated driving forces behind this behaviour and the extent of movement across reserve boundaries. Mark-recapture data, collected over the past 30 years by the Oceanographic Research Institute’s Cooperative Fish Tagging Project (ORICFTP), were used to investigate broad- scale movement patterns of 30 prominent coastal fishery species (Chapter 4). Fishes were tagged with plastic dart tags along the coastline of southern Africa from Angola to Mozambique. This exercise yielded more than 10000 recaptures. The 30 chosen species represented 14 families, although 12 species belonged to a single family (Sparidae). Overall, 67% of recaptures were reported from the original tagging locality and 73% were recorded within 5 km of the tagging locality. The remaining observations extended from 6-3000 km. Movements were assigned to four distance bins (0-5 km, 6-50km, 51-500km and >500 km) and modelled with an ordinal logistic regression. Species, life-stage (juvenile/adult) and time- at-liberty were included as predictor variables. Model coefficients were then included in a cluster analysis, which produced two primary groupings of species (Category I and II), with two sub-groupings (Category IIa and IIb). Category I species were characterised by wide-ranging movements, greatest median recapture length and highest trophic levels. Category II species were characterised by residency, lower median recapture length and lower trophic levels. These findings have implications for fisheries management. Exploitation of resident species may lead to localised depletion, but their diffuse spatial distribution may offer some resilience. In contrast, even localised targeting of migratory species may pose a population level risk if individuals are known to aggregate. Life-cycle diversity or intra-population variability describes the existence of alternative strategies or tactics among coexisting individuals within an animal population (Chapter 5). Partial migration is a specific case of life-cycle diversity where coexisting groups exhibit either resident or migratory (wide-ranging) behaviour within a single population. Mark- recapture data collected under the auspices of the ORICFTP were used to investigate the occurrence and nature of life-cycle diversity in the movement behaviour of five non- diadromous fish species around the coastline of southern Africa. Among the five species were three teleosts (Category I and IIa) and two elasmobranchs (Category I). A fish was considered to have remained resident if recaptured within 0-5 km after 365 days at liberty. A fish was considered to have undertaken a wide-ranging movement if recaptured more than 50 km away from the release site in 365 days or less. A total of 1848 individuals from the five study species were recaptured during the study, of which 73% of the observations were classified as being resident. Binomial logistic regression confirmed that species, life-stage (juvenile/adult) and ecoregion were significant (p < 0.001) predictors of the probability of wide-ranging behaviour. A Gaussian model confirmed that species and ecoregion were also significant (p < 0.001) predictors of direction and distance of wide-ranging movement. However, the direction and distance of wide-ranging movements in juveniles did not differ significantly (p > 0.05) to that of adults. The median growth rate was mostly greater in wide- ranging individuals; however, this was only statistically significant (p < 0.05) in two cases. These findings provide unequivocal evidence of life-cycle diversity in five fish species, with vastly different life-histories. This ecological phenomenon may provide species resilience at the population level and needs to be considered in fisheries management initiatives. The movement of fishes is a fundamental aspect to consider when designing fishery management regimes. Unfortunately, traditional management strategies have often disregarded movement behaviour to the detriment of fish populations (Chapter 6). As a case study, the management of Lichia amia (Category I: wide-ranging) was evaluated in the context of its movement behaviour. Long-term catch-per-unit-effort (CPUE) datasets were examined for three South African recreational fishery sectors. The CPUE was standardised using generalized linear models (delta-Gamma/hurdle approach) to reduce the effect of factors other than abundance. Factors that were available for this purpose were year, month and locality/zone. Year was included in every model as the primary objective was to detect trends in abundance over time. Although standardised CPUE for all sectors showed an overall long-term decline, there was considerable variability in trends between the different recreational sectors and between datasets. Contrasting trends between competitive shore angling and general shore angling datasets were ascribed to hyperstability in competitive CPUE data. Hyperstability in this case was mostly influenced by rapidly improving technology, techniques and communication networks amongst competitive anglers. Month and locality were significant factors explaining the probability of catching L. amia. This suggests that the predictable aggregatory behaviour of this species could further compound the observed CPUE hyperstability. Although the CPUE responded positively for six years after implementation of the first minimum size and bag limits, and for one year after the decommercialisation of the species, these regulations and their amendments failed to arrest a long-term decline in the CPUE despite the ample evidence for hyperstability. It is clear from this case study that the predictable nature of wide-ranging behaviour in L. amia has made the population vulnerable to exploitation. This has led to the demise in the population, which could have been worse if not for the occurrence of intra-population variability in its movement behaviour, which may provide some measure of resilience.
- Full Text:
- Date Issued: 2018
- Authors: Maggs, Jade Quinton
- Date: 2018
- Subjects: Fishery management -- Africa, Southern , Fisheries -- Africa, Southern , Fisheries -- Catch effort , Fisheries -- Environmental aspects , Fisheries --Monitoring , Biotelemetry , Sustainable fisheries -- Africa, Southern , Overfishing -- Africa, Southern
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/60574 , vital:27798
- Description: Movement of fishes is an integral part of their daily life, but has significant implications for fishery management. As with nearly all coastal countries, South Africa relies on coastal fisheries as a renewable resource, but many stocks have been overexploited for decades. Although it has long been recognised that an understanding of fish movement is necessary for effective management, it is with some difficulty that the subject has been studied in the past. In recent years, however, improvements in technology have provided the means for more in-depth investigations into fish movement. This research has revealed a range of complex movement behaviours. Movement in fishes occurs on a variety of temporal and spatial scales leading to the characteristic patterns of distribution and abundance observed in marine ecosystems. Fishes move nearly constantly in search of food, shelter or reproductive opportunities. Observations of behaviours such as long-term site fidelity, longdistance migration and natal homing are enabling ecologists to understand patterns of distribution and abundance within a species' range. Fish movement around the South African coast has been studied on numerous occasions but this has largely been confined to studies on single species. Movement behaviour of multiple species has been studied, but this has been limited to spatially localised marine protected area research. There has been little attempt in southern Africa to synthesize interspecific movement behaviour over wide spatial scales.Unprecedented concern over the biological effects of overexploitation, together with rapid technological advances in biotelemetry, have provided the impetus for much research, on a global scale, into the movement of marine animals. I reviewed 101 marine and estuarine fish movement studies from southern Africa, published from 1928 to 2014, with the aim of synthesising research trends and findings. Trends showed an increasing emphasis on fish movement research in publications in the sub-tropical and warm-temperate biogeographic regions along the south and east coasts of southern Africa. Although 63% of publications featured only marine studies, research into fine-scale habitat use in estuaries has been on the increase, concomitant with increasing accessibility of biotelemetry. Overall, 26 fish families were identified in the surveyed literature with regionally endemic sparids featuring in 32% of the publications. Ten movement themes were identified in the surveyed literature, including broad-scale movement patterns, which featured in 68% of studies, followed by fine- scale habitat usage (33%) and protected areas (26%). The most prominent phenomenon, emerging from this research, is that of partial migration, which describes the occurrence of resident and migratory behaviour within a coexisting animal population. Substantial progress has also been made in unravelling the complexities of fine-scale movements in marine reserves and habitat usage in estuaries. While this knowledge has enabled more effective management of South Africa's multi-user, multi-species fisheries, focus should now be directed at improving our understanding of the commonalities in movement behaviour, the associated driving forces behind this behaviour and the extent of movement across reserve boundaries. Mark-recapture data, collected over the past 30 years by the Oceanographic Research Institute’s Cooperative Fish Tagging Project (ORICFTP), were used to investigate broad- scale movement patterns of 30 prominent coastal fishery species (Chapter 4). Fishes were tagged with plastic dart tags along the coastline of southern Africa from Angola to Mozambique. This exercise yielded more than 10000 recaptures. The 30 chosen species represented 14 families, although 12 species belonged to a single family (Sparidae). Overall, 67% of recaptures were reported from the original tagging locality and 73% were recorded within 5 km of the tagging locality. The remaining observations extended from 6-3000 km. Movements were assigned to four distance bins (0-5 km, 6-50km, 51-500km and >500 km) and modelled with an ordinal logistic regression. Species, life-stage (juvenile/adult) and time- at-liberty were included as predictor variables. Model coefficients were then included in a cluster analysis, which produced two primary groupings of species (Category I and II), with two sub-groupings (Category IIa and IIb). Category I species were characterised by wide-ranging movements, greatest median recapture length and highest trophic levels. Category II species were characterised by residency, lower median recapture length and lower trophic levels. These findings have implications for fisheries management. Exploitation of resident species may lead to localised depletion, but their diffuse spatial distribution may offer some resilience. In contrast, even localised targeting of migratory species may pose a population level risk if individuals are known to aggregate. Life-cycle diversity or intra-population variability describes the existence of alternative strategies or tactics among coexisting individuals within an animal population (Chapter 5). Partial migration is a specific case of life-cycle diversity where coexisting groups exhibit either resident or migratory (wide-ranging) behaviour within a single population. Mark- recapture data collected under the auspices of the ORICFTP were used to investigate the occurrence and nature of life-cycle diversity in the movement behaviour of five non- diadromous fish species around the coastline of southern Africa. Among the five species were three teleosts (Category I and IIa) and two elasmobranchs (Category I). A fish was considered to have remained resident if recaptured within 0-5 km after 365 days at liberty. A fish was considered to have undertaken a wide-ranging movement if recaptured more than 50 km away from the release site in 365 days or less. A total of 1848 individuals from the five study species were recaptured during the study, of which 73% of the observations were classified as being resident. Binomial logistic regression confirmed that species, life-stage (juvenile/adult) and ecoregion were significant (p < 0.001) predictors of the probability of wide-ranging behaviour. A Gaussian model confirmed that species and ecoregion were also significant (p < 0.001) predictors of direction and distance of wide-ranging movement. However, the direction and distance of wide-ranging movements in juveniles did not differ significantly (p > 0.05) to that of adults. The median growth rate was mostly greater in wide- ranging individuals; however, this was only statistically significant (p < 0.05) in two cases. These findings provide unequivocal evidence of life-cycle diversity in five fish species, with vastly different life-histories. This ecological phenomenon may provide species resilience at the population level and needs to be considered in fisheries management initiatives. The movement of fishes is a fundamental aspect to consider when designing fishery management regimes. Unfortunately, traditional management strategies have often disregarded movement behaviour to the detriment of fish populations (Chapter 6). As a case study, the management of Lichia amia (Category I: wide-ranging) was evaluated in the context of its movement behaviour. Long-term catch-per-unit-effort (CPUE) datasets were examined for three South African recreational fishery sectors. The CPUE was standardised using generalized linear models (delta-Gamma/hurdle approach) to reduce the effect of factors other than abundance. Factors that were available for this purpose were year, month and locality/zone. Year was included in every model as the primary objective was to detect trends in abundance over time. Although standardised CPUE for all sectors showed an overall long-term decline, there was considerable variability in trends between the different recreational sectors and between datasets. Contrasting trends between competitive shore angling and general shore angling datasets were ascribed to hyperstability in competitive CPUE data. Hyperstability in this case was mostly influenced by rapidly improving technology, techniques and communication networks amongst competitive anglers. Month and locality were significant factors explaining the probability of catching L. amia. This suggests that the predictable aggregatory behaviour of this species could further compound the observed CPUE hyperstability. Although the CPUE responded positively for six years after implementation of the first minimum size and bag limits, and for one year after the decommercialisation of the species, these regulations and their amendments failed to arrest a long-term decline in the CPUE despite the ample evidence for hyperstability. It is clear from this case study that the predictable nature of wide-ranging behaviour in L. amia has made the population vulnerable to exploitation. This has led to the demise in the population, which could have been worse if not for the occurrence of intra-population variability in its movement behaviour, which may provide some measure of resilience.
- Full Text:
- Date Issued: 2018
Naming in Germany in the 20th century: a sociological study of naming in times of social change, with a focus on statistical problems in empirical onomastic research
- Authors: Huschka, Denis
- Date: 2018
- Subjects: Onomastics , Names, Personal -- Germany , Names, German -- Etymology , Names, German -- Social aspects , German language -- Etymology -- Names , German Socio Economic Panel Study (SOEP)
- Language: German , English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/63054 , vital:28359
- Description: In this thesis names are used as social indicators to observe social change in Germany in the 20th century. The German Socio Economic Panel Study (SOEP) offers the rare opportunity to analyse representative survey data of first names. The empirical results of the analyses in this thesis offer a comprehensive picture on how the naming reality in Germany looks like and how naming changed in a period of about 100 years. Names can serve as social indicators. It is demonstrated how chosen names mirror social change in the German society: Name choices have become less traditional and more individual. Over time names from other world regions and cultures have found their way into the German culture. There are more different names in use today than 100 years ago and the names have become more evenly distributed over the population. Today children are less likely to share their names with many of their peers. These are signs of an increasingly individualised, transnationalised modern behaviour of the people in contemporary Germany. Almost all of these developments started earlier and tend to be more pronounced for girl’s names. The secularisation of the German society - however - did not cause substantial changes in naming over time. Christian names still are used to the greatest extent, but – possibly – not because they are regarded as being of Christian origin. The analyses of the social-structural influences on naming touch on some effects of education and status. The analyses of differences in naming between the two German states during the time of division adds some evidence to the real-life experience that naming in the communist East Germany was much more oriented towards the free western hemisphere – a kind of silent protest. Obviously naming was a possibility to distance oneself from an un-loved regime. On a methodological level referring to onomastics, the so-called „Large Number of are Events-Zone (LNRE)“, a feature of the distribution of names that has mostly been handled inappropriately up to now, is discussed with respect to its effects on name statistics when using samples. An alternative approach is proposed for the appropriate handling of this feature. , In der vorliegenden Arbeit werden Vornamen als soziale Indikatoren benutzt, um gesellschaftlichen Wandel im 20. Jahrhundert zu beschreiben. Das Soziooekonomische Panel (SOEP) bietet die seltene Möglichkeit, Umfragedaten über die Vornamen der Deutschen repräsentativ auszuwerten. Die empirischen Ergebnisse der vorliegenden Arbeit bieten einen umfassenden Einblick in die deutsche Vornamensrealität und über die Entwicklungen der Namensvergabe in 100 Jahren. Namen sind soziale Indikatoren. Es wird aufgezeigt, wie die Namensgebung den sozialen Wandel in der deutschen Gesellschaft spiegelt: Namenwahlen weisen über die Zeit weniger traditionelle Bezüge auf, sie wurden individueller. Namen aus anderen Kulturen und Ländern fanden Eingang in die deutsche Kultur. Es werden mehr verschiedene Namen benutzt als vor 100 Jahren und die typischerweise hoch konzentrierten Verteilungen der Vornamen stellen sich über die Zeit etwas weniger konzentriert dar. Heute geborene Kinder teilen ihre Namen mit anteilig weniger anderen Kindern ihrer Kohorte. Dies sind Anzeichen für eine individualisierte, transnational orientierte moderne Gesellschaft. Fast alle dieser Entwicklungen sind für Mädchennamen früher und in deutlicherem Maße zu beobachten. Die Säkularisierung der deutschen Gesellschaft hat hingegen wenig Einfluss auf die Vornamenswahlen genommen. Nach wie vor werden vor allem christliche Namen vergeben, auch wenn der christliche Bezug unter Umständen nicht mehr der maßgebliche Grund für die Auswahl ist. Die Analyse der sozialstrukturellen Einflüsse auf Namenswahlen bestätigt einige Effekte von Bildung und Status der Mütter. Die Analyse der Unterschiede in der Namensgebung der beiden deutschen Staaten während der 40 jährigen Teilung zeigt, dass der lebensweltliche Eindruck einer zunehmenden West-Orientierung der Namenswahlen ostdeutscher Eltern nicht trügt. Offenbar waren westliche Namen eine Möglichkeit, sich vom ungeliebten Regime zu distanzieren. Auf einer statistisch-methodischen Ebene wird eine bislang in der empirischen Onomastik unrichtig gehandhabte Besonderheit von Vornamensverteilungen – die Large Number of Rare Events-Zone (LNRE) – diskutiert und Lösungsvorschläge für den statistisch korrekten Umgang mit dieser Besonderheit in Gruppenvergleichen auf der Basis von Stichproben vorgelegt.
- Full Text:
- Date Issued: 2018
- Authors: Huschka, Denis
- Date: 2018
- Subjects: Onomastics , Names, Personal -- Germany , Names, German -- Etymology , Names, German -- Social aspects , German language -- Etymology -- Names , German Socio Economic Panel Study (SOEP)
- Language: German , English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/63054 , vital:28359
- Description: In this thesis names are used as social indicators to observe social change in Germany in the 20th century. The German Socio Economic Panel Study (SOEP) offers the rare opportunity to analyse representative survey data of first names. The empirical results of the analyses in this thesis offer a comprehensive picture on how the naming reality in Germany looks like and how naming changed in a period of about 100 years. Names can serve as social indicators. It is demonstrated how chosen names mirror social change in the German society: Name choices have become less traditional and more individual. Over time names from other world regions and cultures have found their way into the German culture. There are more different names in use today than 100 years ago and the names have become more evenly distributed over the population. Today children are less likely to share their names with many of their peers. These are signs of an increasingly individualised, transnationalised modern behaviour of the people in contemporary Germany. Almost all of these developments started earlier and tend to be more pronounced for girl’s names. The secularisation of the German society - however - did not cause substantial changes in naming over time. Christian names still are used to the greatest extent, but – possibly – not because they are regarded as being of Christian origin. The analyses of the social-structural influences on naming touch on some effects of education and status. The analyses of differences in naming between the two German states during the time of division adds some evidence to the real-life experience that naming in the communist East Germany was much more oriented towards the free western hemisphere – a kind of silent protest. Obviously naming was a possibility to distance oneself from an un-loved regime. On a methodological level referring to onomastics, the so-called „Large Number of are Events-Zone (LNRE)“, a feature of the distribution of names that has mostly been handled inappropriately up to now, is discussed with respect to its effects on name statistics when using samples. An alternative approach is proposed for the appropriate handling of this feature. , In der vorliegenden Arbeit werden Vornamen als soziale Indikatoren benutzt, um gesellschaftlichen Wandel im 20. Jahrhundert zu beschreiben. Das Soziooekonomische Panel (SOEP) bietet die seltene Möglichkeit, Umfragedaten über die Vornamen der Deutschen repräsentativ auszuwerten. Die empirischen Ergebnisse der vorliegenden Arbeit bieten einen umfassenden Einblick in die deutsche Vornamensrealität und über die Entwicklungen der Namensvergabe in 100 Jahren. Namen sind soziale Indikatoren. Es wird aufgezeigt, wie die Namensgebung den sozialen Wandel in der deutschen Gesellschaft spiegelt: Namenwahlen weisen über die Zeit weniger traditionelle Bezüge auf, sie wurden individueller. Namen aus anderen Kulturen und Ländern fanden Eingang in die deutsche Kultur. Es werden mehr verschiedene Namen benutzt als vor 100 Jahren und die typischerweise hoch konzentrierten Verteilungen der Vornamen stellen sich über die Zeit etwas weniger konzentriert dar. Heute geborene Kinder teilen ihre Namen mit anteilig weniger anderen Kindern ihrer Kohorte. Dies sind Anzeichen für eine individualisierte, transnational orientierte moderne Gesellschaft. Fast alle dieser Entwicklungen sind für Mädchennamen früher und in deutlicherem Maße zu beobachten. Die Säkularisierung der deutschen Gesellschaft hat hingegen wenig Einfluss auf die Vornamenswahlen genommen. Nach wie vor werden vor allem christliche Namen vergeben, auch wenn der christliche Bezug unter Umständen nicht mehr der maßgebliche Grund für die Auswahl ist. Die Analyse der sozialstrukturellen Einflüsse auf Namenswahlen bestätigt einige Effekte von Bildung und Status der Mütter. Die Analyse der Unterschiede in der Namensgebung der beiden deutschen Staaten während der 40 jährigen Teilung zeigt, dass der lebensweltliche Eindruck einer zunehmenden West-Orientierung der Namenswahlen ostdeutscher Eltern nicht trügt. Offenbar waren westliche Namen eine Möglichkeit, sich vom ungeliebten Regime zu distanzieren. Auf einer statistisch-methodischen Ebene wird eine bislang in der empirischen Onomastik unrichtig gehandhabte Besonderheit von Vornamensverteilungen – die Large Number of Rare Events-Zone (LNRE) – diskutiert und Lösungsvorschläge für den statistisch korrekten Umgang mit dieser Besonderheit in Gruppenvergleichen auf der Basis von Stichproben vorgelegt.
- Full Text:
- Date Issued: 2018
Narrated experiences of the pre-termination of pregnancy counselling healthcare encounter in the Eastern Cape public health sector
- Mavuso, Jabulile Mary-Jane Jace
- Authors: Mavuso, Jabulile Mary-Jane Jace
- Date: 2018
- Subjects: Abortion counseling -- South Africa -- Eastern Cape , Abortion -- Psychological aspects , Abortion -- Social aspects , Pro-choice movement -- South Africa -- Eastern Cape , Reproductive rights -- South Africa -- Eastern Cape , Women -- Sexual behavior -- South Africa -- Eastern Cape , Women -- South Africa -- Social conditions
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/62928 , vital:28311
- Description: Research that has been conducted about experiences of pre-abortion counselling tends to investigate either womxn's1 or healthcare providers' experiences separately, with research on womxn's experiences of abortion and abortion counselling dominating this area of research. Although some of the studies on womxn's abortion experiences have explored womxn's experiences of interactions between themselves and healthcare providers, these aspects have been underreported. To my knowledge, research that also explores womxn's interactions among themselves in the waiting room has not been done. Furthermore, research that explores the pre-termination of pregnancy healthcare encounter, where womxn's and healthcare providers' experiences of waiting room interactions and of pre-abortion counselling practices are seen as interrelated, has not been conducted. Research that has been conducted among womxn's experiences show that womxn have varying experiences of pre-abortion counselling, with some finding it useful while other womxn have found it to be lacking in relevance to their specific situation or needs. Research conducted among healthcare providers also points to varying experiences, with some healthcare providers stratifying womxn's reasons for abortion according to the acceptability of the request. This study explores health service providers’ and womxn’s narrated experiences of the pre-termination of pregnancy healthcare encounter (waiting room interactions and pre-abortion counselling) in the Eastern Cape public health sector. An African feminist post-structural approach, which enables analysis of how discursive structures and power relations may underpin African womxn's experiences of oppression and resistance, was used. Fusing this approach with a narrative-discursive analysis, enabled an exploration of the discursive resources drawn upon and the power relations referred to by participants when constructing micro-narratives and accounts of their experiences of waiting room interactions and pre-abortion counselling practices. This fusion enabled an understanding of the micro (individual) and macro (social) and how they interact and come to bear on experiences of the pre-abortion counselling healthcare encounter. Womxn's micro-narratives and healthcare providers' accounts were compared for convergences and divergences in the pre-abortion counselling practices they described. The implications of these convergences and divergences and of the power relations referred to by participants for pre-abortion counselling service provision are discussed. The research referred to in this study were conducted in contexts where abortion is legal, although the conditions under which it may be accessed differ across and within contexts. This present study is contextualised by the Choice on Termination of Pregnancy Act No. 92 of 1996 which legalises abortion and stipulates that abortion counselling should be made available to womxn but should be non-mandatory and non-directive. Data were collected at three abortion facilities located in public hospitals in the Eastern Cape. Open-ended, semi-structured interviews were conducted with 30 womxn after they received pre-abortion counselling, and four healthcare providers involved in abortion service provision. Data were analysed using an extended narrative-discursive approach which entailed exploring patterns in and across participants' talk. These patterns took the form of discursive resources (discourses and the subject positions they made available, and canonical narratives), power relations, and micro-narratives and accounts of their experiences of pre-abortion counselling practices and waiting room interactions. Participants described the following pre-abortion counselling practices: information-giving practices, consent practices, administering of LARCs, a waiting period and third-party involvement. In describing these processes, participants drew on an awfulisation of abortion discourse, moralising discourses, pronatalist discourses, and liberal discourses to construct (micro-)narratives in which liberal, pastoral and authoritarian counselling practices and power relations were constructed and referred to. In their micro-narratives, most womxn described the counselling as informative, beneficial and healing whilst also describing shock, hurt, pain and distress at the various kinds of information they received. Healthcare providers drew on discourses and canonical narratives (such as the hero and personal testimony) to justify liberal, pastoral and authoritarian counselling practices which were underpinned by constructing abortion and unintended pregnancy as problematic. The pre-abortion counselling practices that were described were directive in two ways: the coercion of contraceptive uptake post-abortion, and information provision practices which effectively work to delegitimise and persuade womxn against abortion.
- Full Text:
- Date Issued: 2018
- Authors: Mavuso, Jabulile Mary-Jane Jace
- Date: 2018
- Subjects: Abortion counseling -- South Africa -- Eastern Cape , Abortion -- Psychological aspects , Abortion -- Social aspects , Pro-choice movement -- South Africa -- Eastern Cape , Reproductive rights -- South Africa -- Eastern Cape , Women -- Sexual behavior -- South Africa -- Eastern Cape , Women -- South Africa -- Social conditions
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/62928 , vital:28311
- Description: Research that has been conducted about experiences of pre-abortion counselling tends to investigate either womxn's1 or healthcare providers' experiences separately, with research on womxn's experiences of abortion and abortion counselling dominating this area of research. Although some of the studies on womxn's abortion experiences have explored womxn's experiences of interactions between themselves and healthcare providers, these aspects have been underreported. To my knowledge, research that also explores womxn's interactions among themselves in the waiting room has not been done. Furthermore, research that explores the pre-termination of pregnancy healthcare encounter, where womxn's and healthcare providers' experiences of waiting room interactions and of pre-abortion counselling practices are seen as interrelated, has not been conducted. Research that has been conducted among womxn's experiences show that womxn have varying experiences of pre-abortion counselling, with some finding it useful while other womxn have found it to be lacking in relevance to their specific situation or needs. Research conducted among healthcare providers also points to varying experiences, with some healthcare providers stratifying womxn's reasons for abortion according to the acceptability of the request. This study explores health service providers’ and womxn’s narrated experiences of the pre-termination of pregnancy healthcare encounter (waiting room interactions and pre-abortion counselling) in the Eastern Cape public health sector. An African feminist post-structural approach, which enables analysis of how discursive structures and power relations may underpin African womxn's experiences of oppression and resistance, was used. Fusing this approach with a narrative-discursive analysis, enabled an exploration of the discursive resources drawn upon and the power relations referred to by participants when constructing micro-narratives and accounts of their experiences of waiting room interactions and pre-abortion counselling practices. This fusion enabled an understanding of the micro (individual) and macro (social) and how they interact and come to bear on experiences of the pre-abortion counselling healthcare encounter. Womxn's micro-narratives and healthcare providers' accounts were compared for convergences and divergences in the pre-abortion counselling practices they described. The implications of these convergences and divergences and of the power relations referred to by participants for pre-abortion counselling service provision are discussed. The research referred to in this study were conducted in contexts where abortion is legal, although the conditions under which it may be accessed differ across and within contexts. This present study is contextualised by the Choice on Termination of Pregnancy Act No. 92 of 1996 which legalises abortion and stipulates that abortion counselling should be made available to womxn but should be non-mandatory and non-directive. Data were collected at three abortion facilities located in public hospitals in the Eastern Cape. Open-ended, semi-structured interviews were conducted with 30 womxn after they received pre-abortion counselling, and four healthcare providers involved in abortion service provision. Data were analysed using an extended narrative-discursive approach which entailed exploring patterns in and across participants' talk. These patterns took the form of discursive resources (discourses and the subject positions they made available, and canonical narratives), power relations, and micro-narratives and accounts of their experiences of pre-abortion counselling practices and waiting room interactions. Participants described the following pre-abortion counselling practices: information-giving practices, consent practices, administering of LARCs, a waiting period and third-party involvement. In describing these processes, participants drew on an awfulisation of abortion discourse, moralising discourses, pronatalist discourses, and liberal discourses to construct (micro-)narratives in which liberal, pastoral and authoritarian counselling practices and power relations were constructed and referred to. In their micro-narratives, most womxn described the counselling as informative, beneficial and healing whilst also describing shock, hurt, pain and distress at the various kinds of information they received. Healthcare providers drew on discourses and canonical narratives (such as the hero and personal testimony) to justify liberal, pastoral and authoritarian counselling practices which were underpinned by constructing abortion and unintended pregnancy as problematic. The pre-abortion counselling practices that were described were directive in two ways: the coercion of contraceptive uptake post-abortion, and information provision practices which effectively work to delegitimise and persuade womxn against abortion.
- Full Text:
- Date Issued: 2018
On high-altitude and high- latitude frost environments
- Authors: Hansen, Christel Dorothee
- Date: 2018
- Subjects: Frost -- Drakensberg Mountains , Frost -- Prince Edward Islands -- Marion Island , Frost -- Antarctica -- Queen Maud Land , Climatic geomorphology -- Southern Hemisphere , Permafrost -- Southern Hemisphere , Periglacial processes -- Southern Hemisphere , Frost environments -- Southern Hemisphere
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/62383 , vital:28169
- Description: Frost environments occur throughout the world, with associated processes occurring across climatic zones. Climatic geomorphology proposes that climatic zones, largely derived from annual average air temperature and precipitation values, have specific landforms and processes active within that zone. This study offers unique insights into the frost environments of three locations in the Southern Hemisphere, namely the Eastern Cape Drakensberg of South Africa, sub-Antarctic Marion Island, and Dronning Maud Land of Antarctica. The Drakensberg ranges from temperate to alpine, Marion Island is hyper-maritime, and Dronning Maud Land a polar desert. Drivers and forcings on the ground frost regime are identified, as are future climatic scenarios. Altitude and latitude were identified as the most important locational drivers, while air temperature showed highest correlation with freezing events. The initiation of a freeze event correlated strongly with maximum ground temperatures. Vegetation cover was found to ameliorate frost cycles, thereby increasing ground temperatures. Dronning Maud Land of Antarctica is characterised by annual frost (permafrost), with limited seasonal thaw in summer. Thawing cycles reflected the depth of the active layer, which ranged from just under 60 cm for Robertskollen (at lowest altitude) to less than 15 cm on Slettfjell (at greatest altitude). Marion Island had the most active frost environment, exhibiting both seasonal frost, and ubiquitous shallow diurnal frost cycles. The Drakensberg were largely frost-free, with limited seasonal frost and few diurnal freeze- thaw events. Diurnal frost processes were found to be azonal, and present at all three study locations. Evidence of landforms derived from diurnal frost processes were evident in each zone. Equifinality/convergence of form was present to a degree. The presence of patterned ground, which was not wholly derived from frost processes, suggests a measure of equifinality. Furthermore, openwork block deposits, of which not all are either blockstreams nor blockfields, are not necessarily the result of frost processes. The periglacial environment is poorly defined and methods to delineate this environment, as well as other climatic zones, should include additional parameters. Delineating zones on annual (and limited) monthly averages based on predominantly temperature, is not sufficient. While concepts of climatic geomorphology may be applied in a general sense, this framework is not suited to working at smaller scales. Specifically, periglacial environments should be delineated using ground moisture, as well as air temperature. Furthermore, vegetation and snow cover are important, as are soil textural properties.
- Full Text:
- Date Issued: 2018
- Authors: Hansen, Christel Dorothee
- Date: 2018
- Subjects: Frost -- Drakensberg Mountains , Frost -- Prince Edward Islands -- Marion Island , Frost -- Antarctica -- Queen Maud Land , Climatic geomorphology -- Southern Hemisphere , Permafrost -- Southern Hemisphere , Periglacial processes -- Southern Hemisphere , Frost environments -- Southern Hemisphere
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/62383 , vital:28169
- Description: Frost environments occur throughout the world, with associated processes occurring across climatic zones. Climatic geomorphology proposes that climatic zones, largely derived from annual average air temperature and precipitation values, have specific landforms and processes active within that zone. This study offers unique insights into the frost environments of three locations in the Southern Hemisphere, namely the Eastern Cape Drakensberg of South Africa, sub-Antarctic Marion Island, and Dronning Maud Land of Antarctica. The Drakensberg ranges from temperate to alpine, Marion Island is hyper-maritime, and Dronning Maud Land a polar desert. Drivers and forcings on the ground frost regime are identified, as are future climatic scenarios. Altitude and latitude were identified as the most important locational drivers, while air temperature showed highest correlation with freezing events. The initiation of a freeze event correlated strongly with maximum ground temperatures. Vegetation cover was found to ameliorate frost cycles, thereby increasing ground temperatures. Dronning Maud Land of Antarctica is characterised by annual frost (permafrost), with limited seasonal thaw in summer. Thawing cycles reflected the depth of the active layer, which ranged from just under 60 cm for Robertskollen (at lowest altitude) to less than 15 cm on Slettfjell (at greatest altitude). Marion Island had the most active frost environment, exhibiting both seasonal frost, and ubiquitous shallow diurnal frost cycles. The Drakensberg were largely frost-free, with limited seasonal frost and few diurnal freeze- thaw events. Diurnal frost processes were found to be azonal, and present at all three study locations. Evidence of landforms derived from diurnal frost processes were evident in each zone. Equifinality/convergence of form was present to a degree. The presence of patterned ground, which was not wholly derived from frost processes, suggests a measure of equifinality. Furthermore, openwork block deposits, of which not all are either blockstreams nor blockfields, are not necessarily the result of frost processes. The periglacial environment is poorly defined and methods to delineate this environment, as well as other climatic zones, should include additional parameters. Delineating zones on annual (and limited) monthly averages based on predominantly temperature, is not sufficient. While concepts of climatic geomorphology may be applied in a general sense, this framework is not suited to working at smaller scales. Specifically, periglacial environments should be delineated using ground moisture, as well as air temperature. Furthermore, vegetation and snow cover are important, as are soil textural properties.
- Full Text:
- Date Issued: 2018
Parents' experiences with involvement in the education development of children under six years in the Bubi District of Zimbabwe
- Authors: Mhlanga, Sibonginkosi
- Date: 2018
- Subjects: Education -- Parent participation -- Zimbabwe Education, Elementary -- Zimbabwe
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/9467 , vital:34354
- Description: This study on parental involvement in Early Childhood Development in the Bubi district of Zimbabwe investigates parents’ experiences with involvement in the education development of children under six years. Early Childhood Development in Zimbabwe is a community based programme, hence the interest on parents in their involvement in the education and development. To investigate this phenomenon a thorough background of the Bronfenbrenner’s ecological systems theory was employed. The theory is based on the principles of interconnectedness within settings and the linkages between settings that affect individual development. The study focused on the immediate, being the microsystems. The interpretive paradigm and the qualitative approach were employed to explore the parents’ experiences with involvement in the education development of children under six years. Purposive sampling was used to select a small sample of two Heads of schools, four Early Childhood Development teachers and sixteen parents; these were from two schools in the Bubi district of Matabeleland, North Province of Zimbabwe. Obtained results reveal that all the stakeholders involved in the study seem to have limited knowledge of parental involvement. It also emerged that the involvement in the district is biased towards the physical needs of the school only. The results also revealed that there are so many factors that contribute to the non-involvement of parents in their children’s education and development such as poverty, lack of knowledge, culture and attitude, just to mention a few. In view of the findings the study recommends that the Government should provide statutory instruments that clearly state the role of the parents, especially because of the fact that, currently, the programme in the country is community based. The colleges should also empower student teachers during their training on parental involvement.
- Full Text:
- Date Issued: 2018
- Authors: Mhlanga, Sibonginkosi
- Date: 2018
- Subjects: Education -- Parent participation -- Zimbabwe Education, Elementary -- Zimbabwe
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/9467 , vital:34354
- Description: This study on parental involvement in Early Childhood Development in the Bubi district of Zimbabwe investigates parents’ experiences with involvement in the education development of children under six years. Early Childhood Development in Zimbabwe is a community based programme, hence the interest on parents in their involvement in the education and development. To investigate this phenomenon a thorough background of the Bronfenbrenner’s ecological systems theory was employed. The theory is based on the principles of interconnectedness within settings and the linkages between settings that affect individual development. The study focused on the immediate, being the microsystems. The interpretive paradigm and the qualitative approach were employed to explore the parents’ experiences with involvement in the education development of children under six years. Purposive sampling was used to select a small sample of two Heads of schools, four Early Childhood Development teachers and sixteen parents; these were from two schools in the Bubi district of Matabeleland, North Province of Zimbabwe. Obtained results reveal that all the stakeholders involved in the study seem to have limited knowledge of parental involvement. It also emerged that the involvement in the district is biased towards the physical needs of the school only. The results also revealed that there are so many factors that contribute to the non-involvement of parents in their children’s education and development such as poverty, lack of knowledge, culture and attitude, just to mention a few. In view of the findings the study recommends that the Government should provide statutory instruments that clearly state the role of the parents, especially because of the fact that, currently, the programme in the country is community based. The colleges should also empower student teachers during their training on parental involvement.
- Full Text:
- Date Issued: 2018
Perception of climate change impacts, adaptation responses and national response policy outreach by smallholder farmers in Amathole District, South Africa
- Popoola, Oluwaseun Oluwabunmi
- Authors: Popoola, Oluwaseun Oluwabunmi
- Date: 2018
- Subjects: Climatic changes -- South Africa -- Eastern Cape Global environmental change Climate change mitigation
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/9000 , vital:34181
- Description: The climate is changing, with imminent threats. Projections for increased inconsistencies in climatic elements such as rainfall and temperature have continued to raise concerns particularly amongst farmers. The majority of South African smallholder and resource-poor farmers rely heavily on rain-fed agriculture, making them vulnerable to the vagaries of climate change risks. As sustainability is crucial to the continuous survival of this population, this study assessed the farmers’ perceptions of climate change impacts on agricultural production activities as well as their adaptation responses. The South African national climate change response policy was developed and approved in October 2011 in order to institute a responsive intervention system for the moderation of climate change impacts on South Africa’s citizens. Amongst its priorities is building capacity and resilience in the country’s agricultural sector, with the public agricultural extension system as a principal component for climate change sensitisation, education and capacity-building. With current global climate change conditions, the urgency to provide agricultural knowledge on adaptation has risen. Smallholder farmers, in particular, are challenged in this regard, and face numerous restraining factors. Therefore, this study investigated several key issues related to climate change sensitization activities and response. A multistage sampling procedure was used in the selection of the study sample (n = 301) residing in the rural settlements of Mbahashe Local Municipality, in Amathole District Municipality, Eastern Cape Province, South Africa. A cross-sectional household survey was carried out in eighteen villages surrounding the three major towns in the municipality – Idutywa, Elliotdale and Willowvale. Data was collected using semi-structured questionnaires. Descriptive and inferential statistical tools were used for data analysis. Findings revealed a perceived increase in temperature levels and a drastic decline in rainfall; perceived harsh and aggressive climatic conditions, with attendant problems of drought. There is a perceived increased difficulty in production activities as a result of water scarcity. Poor soil conditions, pest infestations and disease infections, poor vegetation and limited grazing, decreased livestock growth rate, reduced livestock weight, milk production and reproduction rates, reduction in quantity of egg production, egg quality and sizes, are amongst many other perceived challenges. There is a growing threat of unsustainable agricultural production, which may in due course increase poverty levels among the smallholder farmers. Adaptation responses were extremely limited. Findings also revealed that there is an extremely low awareness of the national climate change response policy, and a dearth of sensitisation campaigns and capacity-building training of smallholder farmers in the study area. There is also a significant lack of access to agricultural extension services that might disseminate information and build capacity for an appropriate climate change response. Analysis also revealed that public extension services play a minute role in rural farmers’ climate change knowledge; they get their information elsewhere. The most critical constraint to climate change coping and adaptation in the study area was lack of access to agricultural extension services. The study recommends government intervention in the form of appropriate, functional extension services, particularly for carrying out climate change coping and adaptation education and support. It also strongly endorses the tower gardening concept, practised in a number of countries, including parts of South Africa to facilitate an exigent intervention project to curb declining crop production and sustain the livelihoods of farmers, before major intervention schemes are set up by various governing bodies. There is an immense need to buffer the adaptation capacities of livestock smallholder farmers in rural communities through the implementation of adaptation promotional schemes for rural livestock sustainability. Productivity and efficient commercialization of both indigenous and hybrid poultry production should be beefed up by encouraging poultry breeding programs and breed improvement activities, subsidizing commercial feeds to encourage supplementary feeding, provision of better infrastructure for improved housing and the facilitation of health care systems like vaccination programs. This study also recommends that efforts to create awareness, knowledge and skills in relation to climate change be intensified through an enhanced use of all media. In addition, agricultural extension departments functioning at the local level should be financially and technically capacitated to allow for enhanced performance by their field officers.
- Full Text:
- Date Issued: 2018
- Authors: Popoola, Oluwaseun Oluwabunmi
- Date: 2018
- Subjects: Climatic changes -- South Africa -- Eastern Cape Global environmental change Climate change mitigation
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/9000 , vital:34181
- Description: The climate is changing, with imminent threats. Projections for increased inconsistencies in climatic elements such as rainfall and temperature have continued to raise concerns particularly amongst farmers. The majority of South African smallholder and resource-poor farmers rely heavily on rain-fed agriculture, making them vulnerable to the vagaries of climate change risks. As sustainability is crucial to the continuous survival of this population, this study assessed the farmers’ perceptions of climate change impacts on agricultural production activities as well as their adaptation responses. The South African national climate change response policy was developed and approved in October 2011 in order to institute a responsive intervention system for the moderation of climate change impacts on South Africa’s citizens. Amongst its priorities is building capacity and resilience in the country’s agricultural sector, with the public agricultural extension system as a principal component for climate change sensitisation, education and capacity-building. With current global climate change conditions, the urgency to provide agricultural knowledge on adaptation has risen. Smallholder farmers, in particular, are challenged in this regard, and face numerous restraining factors. Therefore, this study investigated several key issues related to climate change sensitization activities and response. A multistage sampling procedure was used in the selection of the study sample (n = 301) residing in the rural settlements of Mbahashe Local Municipality, in Amathole District Municipality, Eastern Cape Province, South Africa. A cross-sectional household survey was carried out in eighteen villages surrounding the three major towns in the municipality – Idutywa, Elliotdale and Willowvale. Data was collected using semi-structured questionnaires. Descriptive and inferential statistical tools were used for data analysis. Findings revealed a perceived increase in temperature levels and a drastic decline in rainfall; perceived harsh and aggressive climatic conditions, with attendant problems of drought. There is a perceived increased difficulty in production activities as a result of water scarcity. Poor soil conditions, pest infestations and disease infections, poor vegetation and limited grazing, decreased livestock growth rate, reduced livestock weight, milk production and reproduction rates, reduction in quantity of egg production, egg quality and sizes, are amongst many other perceived challenges. There is a growing threat of unsustainable agricultural production, which may in due course increase poverty levels among the smallholder farmers. Adaptation responses were extremely limited. Findings also revealed that there is an extremely low awareness of the national climate change response policy, and a dearth of sensitisation campaigns and capacity-building training of smallholder farmers in the study area. There is also a significant lack of access to agricultural extension services that might disseminate information and build capacity for an appropriate climate change response. Analysis also revealed that public extension services play a minute role in rural farmers’ climate change knowledge; they get their information elsewhere. The most critical constraint to climate change coping and adaptation in the study area was lack of access to agricultural extension services. The study recommends government intervention in the form of appropriate, functional extension services, particularly for carrying out climate change coping and adaptation education and support. It also strongly endorses the tower gardening concept, practised in a number of countries, including parts of South Africa to facilitate an exigent intervention project to curb declining crop production and sustain the livelihoods of farmers, before major intervention schemes are set up by various governing bodies. There is an immense need to buffer the adaptation capacities of livestock smallholder farmers in rural communities through the implementation of adaptation promotional schemes for rural livestock sustainability. Productivity and efficient commercialization of both indigenous and hybrid poultry production should be beefed up by encouraging poultry breeding programs and breed improvement activities, subsidizing commercial feeds to encourage supplementary feeding, provision of better infrastructure for improved housing and the facilitation of health care systems like vaccination programs. This study also recommends that efforts to create awareness, knowledge and skills in relation to climate change be intensified through an enhanced use of all media. In addition, agricultural extension departments functioning at the local level should be financially and technically capacitated to allow for enhanced performance by their field officers.
- Full Text:
- Date Issued: 2018
Perceptions of Ulwaluko in a Liberal Democratic State: is multiculturalism beneficial to AmaXhosa women in the Eastern Cape province of South Africa?
- Authors: Gogela, Kholisa B
- Date: 2018
- Subjects: Initiation rites -- South Africa -- Eastern Cape , Circumcision -- South Africa -- Eastern Cape , Stigma (Social psychology) -- South Africa -- Eastern Cape , Xhosa (African people) -- South Africa -- Eastern Cape , Women -- Attitudes , Multiculturalism -- South Africa -- Eastern Cape , Women's rights -- South Africa -- Eastern Cape , Male domination (Social structure) -- South Africa -- Eastern Cape , Sex discrimination against women -- South Africa -- Eastern Cape , Ulwaluko
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/61780 , vital:28059
- Description: This exploratory qualitative study sought to investigate the views and perceptions of women on their experiences of ulwaluko, a traditional rite practised by amaXhosa in the Eastern Cape province of South Africa. Ulwaluko is also known as isiko lokwaluka or ukoluka in isiXhosa. The concept refers not only to the act of circumcision that occurs during the initiation ritual but the entire process a boy goes through in observing this practice. Ulwaluko is performed in the belief that it will transform boys into accountable and responsible citizens of the society who are fully committed and dedicated to the tenets and standards of nation building. All amaXhosa boys are expected to undergo this tradition to be considered men. Failure to go to the initiation school usually results in social stigma and complete banishment by the society. There is an abundance of literature on studies that have been conducted on male circumcision (and not ulwaluko) which is performed for hygiene and religious purposes worldwide. With regards to ulwaluko of amaXhosa, research studies that have been conducted appear to lean mainly towards biomedical and public health aspects of the ritual. There seems to be an even bigger proportion of studies whose objective was to examine the relationship between circumcision and HIV/AIDS. From the literature review, it was not difficult to observe the pervasive paucity of research studies on women in relation to initiation (and that of amaXhosa in particular), with regards to their inclusion or exclusion in the practice, their feelings, perceptions, experiences and attitudes towards the custom. It is for this reason that I found it crucial to conduct this study. The main research question I sought to answer in this investigation was: are the human rights and gender equality rights of women, as entrenched in the multicultural principles that underpin South Africa’s liberal, democratic order, adequately protected? In other words, could the individual rights of women (or gender rights) that are endorsed by liberalism, be deferred in the interest of respecting traditions and cultural values associated with ulwaluko? And if they are, I further ask: could the deferral of such rights be legitimate in the face of South Africa’s legal framework? The nature of this study places it in the qualitative paradigm, and interpretive phenomenology was the most appropriate research design to carry out the investigation. Multiculturalism is a principle at the centre of liberalism, and as a framework for this study, I contrast and reconcile it with feminism. While multiculturalism is concerned with protecting traditions and cultures of minority groups, feminism is concerned about women’s emancipation. I used the non-probability purposive sampling to select participants who were rich in information; and I made use of community structures to gain entry into research sites and to seek permission to carry out the investigation. I conducted the pilot study in Mdantsane, a township in the Buffalo City Municipality; and I gathered data in two research sites, namely: Flagstaff in Mpondondoland and Grahamstown in the Makana Local Municipality. I employed two qualitative methods to collect information, namely: focus group discussions (FGDs) and semi-structured in-depth interviews. A total of 70 participants took part in the study. 60 women participated in 8 focus groups and 10 participated in-depth interviews. Their ages ranged between 31 and 82 years. I recorded all the FGDs and semi-structured in-depth interviews that I conducted, for ease of transcription and translation. To interprete and analyze data, I applied the general inductive approach which I later substantiated with the use of NVivo 8, a computer assisted qualitative data analysis (CAQDAS). This resulted in the identification of four themes and their related sub-themes which I compared and contrasted with literature review and the theoretical framework, so as to make sense of the information I generated from the data collection process. I also discussed the results in line with the four goals of the study. The findings of this inquiry suggest a number of factors about ulwaluko, the following being the most significant: that firstly, although the rite is espoused and celebrated by some women as a significant cultural practice among amaXhosa, for others it is synonymous with patriarchy and hegemony. Secondly, women felt largely excluded, claiming that they were relegated to a subordinate position in society. For this reason, as well as because of the biomedical and other socio-political concerns associated with the practice, some women resented the custom. Thirdly, participants were divided about whether the practice should be continued or abolished; and these differences manifested within and between different regions. Fourthly, the results also demonstrated that the norms and values applied in ulwaluko are in contravention of the fundamental principles of a liberal state in that universal human rights are infringed upon through exclusionary practices. In this case the woman’s voice is muted; and this results in the denial of human agency. The study however, also revealed the emergence of shifting patterns in some parts of the province where an effort to include women appears to be taking place. Fifth and last, the enquiry demonstrated that ulwaluko is deeply entrenched among amaXhosa; that it has stood the test of time and is unlikely to be discontinued. Based on the results, I recommend that creative and transformative ways of addressing the evident clash between the provision of individual rights by the state and the recognition of ulwaluko as a cultural practice (which is perceived by some as harmful to women) be sought. To achieve this objective I make the following recommendations: 1) establishment and utilization of gender equality programmes; 2) modification of values and norms of the custom; 3) representation of women in decision-making structures; 4) establishment of collaborative networks; 5) widening of access to services (such as chapter nine institutions and national gender machinery); 6) documentation and sharing of effective and inclusive practices as well as; 7) creating awareness on initiation legislation.
- Full Text:
- Date Issued: 2018
- Authors: Gogela, Kholisa B
- Date: 2018
- Subjects: Initiation rites -- South Africa -- Eastern Cape , Circumcision -- South Africa -- Eastern Cape , Stigma (Social psychology) -- South Africa -- Eastern Cape , Xhosa (African people) -- South Africa -- Eastern Cape , Women -- Attitudes , Multiculturalism -- South Africa -- Eastern Cape , Women's rights -- South Africa -- Eastern Cape , Male domination (Social structure) -- South Africa -- Eastern Cape , Sex discrimination against women -- South Africa -- Eastern Cape , Ulwaluko
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/61780 , vital:28059
- Description: This exploratory qualitative study sought to investigate the views and perceptions of women on their experiences of ulwaluko, a traditional rite practised by amaXhosa in the Eastern Cape province of South Africa. Ulwaluko is also known as isiko lokwaluka or ukoluka in isiXhosa. The concept refers not only to the act of circumcision that occurs during the initiation ritual but the entire process a boy goes through in observing this practice. Ulwaluko is performed in the belief that it will transform boys into accountable and responsible citizens of the society who are fully committed and dedicated to the tenets and standards of nation building. All amaXhosa boys are expected to undergo this tradition to be considered men. Failure to go to the initiation school usually results in social stigma and complete banishment by the society. There is an abundance of literature on studies that have been conducted on male circumcision (and not ulwaluko) which is performed for hygiene and religious purposes worldwide. With regards to ulwaluko of amaXhosa, research studies that have been conducted appear to lean mainly towards biomedical and public health aspects of the ritual. There seems to be an even bigger proportion of studies whose objective was to examine the relationship between circumcision and HIV/AIDS. From the literature review, it was not difficult to observe the pervasive paucity of research studies on women in relation to initiation (and that of amaXhosa in particular), with regards to their inclusion or exclusion in the practice, their feelings, perceptions, experiences and attitudes towards the custom. It is for this reason that I found it crucial to conduct this study. The main research question I sought to answer in this investigation was: are the human rights and gender equality rights of women, as entrenched in the multicultural principles that underpin South Africa’s liberal, democratic order, adequately protected? In other words, could the individual rights of women (or gender rights) that are endorsed by liberalism, be deferred in the interest of respecting traditions and cultural values associated with ulwaluko? And if they are, I further ask: could the deferral of such rights be legitimate in the face of South Africa’s legal framework? The nature of this study places it in the qualitative paradigm, and interpretive phenomenology was the most appropriate research design to carry out the investigation. Multiculturalism is a principle at the centre of liberalism, and as a framework for this study, I contrast and reconcile it with feminism. While multiculturalism is concerned with protecting traditions and cultures of minority groups, feminism is concerned about women’s emancipation. I used the non-probability purposive sampling to select participants who were rich in information; and I made use of community structures to gain entry into research sites and to seek permission to carry out the investigation. I conducted the pilot study in Mdantsane, a township in the Buffalo City Municipality; and I gathered data in two research sites, namely: Flagstaff in Mpondondoland and Grahamstown in the Makana Local Municipality. I employed two qualitative methods to collect information, namely: focus group discussions (FGDs) and semi-structured in-depth interviews. A total of 70 participants took part in the study. 60 women participated in 8 focus groups and 10 participated in-depth interviews. Their ages ranged between 31 and 82 years. I recorded all the FGDs and semi-structured in-depth interviews that I conducted, for ease of transcription and translation. To interprete and analyze data, I applied the general inductive approach which I later substantiated with the use of NVivo 8, a computer assisted qualitative data analysis (CAQDAS). This resulted in the identification of four themes and their related sub-themes which I compared and contrasted with literature review and the theoretical framework, so as to make sense of the information I generated from the data collection process. I also discussed the results in line with the four goals of the study. The findings of this inquiry suggest a number of factors about ulwaluko, the following being the most significant: that firstly, although the rite is espoused and celebrated by some women as a significant cultural practice among amaXhosa, for others it is synonymous with patriarchy and hegemony. Secondly, women felt largely excluded, claiming that they were relegated to a subordinate position in society. For this reason, as well as because of the biomedical and other socio-political concerns associated with the practice, some women resented the custom. Thirdly, participants were divided about whether the practice should be continued or abolished; and these differences manifested within and between different regions. Fourthly, the results also demonstrated that the norms and values applied in ulwaluko are in contravention of the fundamental principles of a liberal state in that universal human rights are infringed upon through exclusionary practices. In this case the woman’s voice is muted; and this results in the denial of human agency. The study however, also revealed the emergence of shifting patterns in some parts of the province where an effort to include women appears to be taking place. Fifth and last, the enquiry demonstrated that ulwaluko is deeply entrenched among amaXhosa; that it has stood the test of time and is unlikely to be discontinued. Based on the results, I recommend that creative and transformative ways of addressing the evident clash between the provision of individual rights by the state and the recognition of ulwaluko as a cultural practice (which is perceived by some as harmful to women) be sought. To achieve this objective I make the following recommendations: 1) establishment and utilization of gender equality programmes; 2) modification of values and norms of the custom; 3) representation of women in decision-making structures; 4) establishment of collaborative networks; 5) widening of access to services (such as chapter nine institutions and national gender machinery); 6) documentation and sharing of effective and inclusive practices as well as; 7) creating awareness on initiation legislation.
- Full Text:
- Date Issued: 2018
Performance evaluation and cost analysis of subsurface flow constructed wetlands designed for ammonium-nitrogen removal
- Authors: Tebitendwa, Sylvie Muwanga
- Date: 2018
- Subjects: Sewage Purification Nitrogen removal , Constructed wetlands , Bioremediation , Sewage lagoons , Coal mine waste
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/61808 , vital:28062
- Description: Subsurface flow constructed wetlands (SSF CWs) is a low-cost, environmentally friendly sanitation technology for on-site treatment of domestic/municipal sewage. However, these systems are apparently unable to produce treated water of a quality suitable for discharge particularly in terms of nitrogen concentration, which has been attributed to design and operation based on biological oxygen demand as the parameter of choice. The aim of this study was to evaluate the performance, support medium, and techno-economics of a vertical- horizontal (V-H) SSF hybrid CW designed and operated using ammonium-nitrogen (NH4+-N) as the major parameter. Two pilot scale V-H SSF hybrid CWs were designed, constructed, and the performance of each monitored over two seasons and under two phases i.e. an initiation phase, and an optimization phase. Laboratory-scale horizontal SSF CWs were used to evaluate the support medium while the techno-economic study was framed to determine the cost effectiveness of V-H SSF hybrid CWs relative to high rate algal oxidation pond (HRAOP) systems to increase capacity of overloaded and/or under-performing waste stabilization pond (WSP) sewage treatment plants. Results revealed that under optimal operating conditions of hydraulic loading rate, hydraulic retention, and influent NH4+-N loading rate, treated water from the V-H SSF hybrid CWs achieved a quality commensurate with current South African standards for discharge into a surface water resource for all parameters except chemical oxygen demand and faecal coliforms. This suggests that NH4+-N is an important design and operational parameter for SSF CWs treating municipal sewage that is characterised as weak in terms of NH4+-N with a requirement of only simple disinfection such as chlorination to eliminate faecal coliforms. Use of discard coal to replace gravel as support medium in horizontal SSF CWs revealed an overall reduction in elemental composition of the discard coal support medium but without compromising water quality. This result strongly supports use of discard coal as an appropriate substrate for SSF CWs to achieve acceptable water quality. Furthermore, simultaneous degradation of discard coal during wastewater treatment demonstrates the versatility of SSF CWs for use in bio-remediation and pollution control. Finally, a technoeconomic assessment of V-H SSF hybrid CWs and a HRAOP series was carried out to determine the suitability of each process to increase capacity by mitigating dysfunctional and/or overloaded WSP sewage treatment plants. Analysis revealed that the quality of treated water from both systems was within the South African General Authorization standards for discharge to a surface water resource. Even so, each technology system presented its own set of limitations including; the inability to satisfactorily remove NH4+-N and chemical oxygen demand (i.e. for V-H SSF hybrid CWs) and total suspended solids and faecal coliforms (i.e. for HRAOPs), and a requirement for substantial land footprint while, HRAOPs required significantly less capital than V-H SSF hybrid CWs for implementation. The latter suggests that HRAOPs could be preferred over V-H SSF hybrid CWs as a technology of choice to increase the capacity of overloaded WSP sewage treatment plants especially where financial resources are limited. Overall, the results of this thesis indicate the potential to use NH4+-N as a design parameter in constructing SSF CWs treating weak strength municipal sewage (i.e. in terms of NH4+-N concentration) and to supplant gravel as the treatment media with industrial waste material like discard coal to achieve wastewater treatment, bio-remediation, and pollution control. The results of this work are discussed in terms of using SSF CWs as a passive and resilient technology for the treatment of domestic sewage in sub-Saharan Africa.
- Full Text:
- Date Issued: 2018
- Authors: Tebitendwa, Sylvie Muwanga
- Date: 2018
- Subjects: Sewage Purification Nitrogen removal , Constructed wetlands , Bioremediation , Sewage lagoons , Coal mine waste
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/61808 , vital:28062
- Description: Subsurface flow constructed wetlands (SSF CWs) is a low-cost, environmentally friendly sanitation technology for on-site treatment of domestic/municipal sewage. However, these systems are apparently unable to produce treated water of a quality suitable for discharge particularly in terms of nitrogen concentration, which has been attributed to design and operation based on biological oxygen demand as the parameter of choice. The aim of this study was to evaluate the performance, support medium, and techno-economics of a vertical- horizontal (V-H) SSF hybrid CW designed and operated using ammonium-nitrogen (NH4+-N) as the major parameter. Two pilot scale V-H SSF hybrid CWs were designed, constructed, and the performance of each monitored over two seasons and under two phases i.e. an initiation phase, and an optimization phase. Laboratory-scale horizontal SSF CWs were used to evaluate the support medium while the techno-economic study was framed to determine the cost effectiveness of V-H SSF hybrid CWs relative to high rate algal oxidation pond (HRAOP) systems to increase capacity of overloaded and/or under-performing waste stabilization pond (WSP) sewage treatment plants. Results revealed that under optimal operating conditions of hydraulic loading rate, hydraulic retention, and influent NH4+-N loading rate, treated water from the V-H SSF hybrid CWs achieved a quality commensurate with current South African standards for discharge into a surface water resource for all parameters except chemical oxygen demand and faecal coliforms. This suggests that NH4+-N is an important design and operational parameter for SSF CWs treating municipal sewage that is characterised as weak in terms of NH4+-N with a requirement of only simple disinfection such as chlorination to eliminate faecal coliforms. Use of discard coal to replace gravel as support medium in horizontal SSF CWs revealed an overall reduction in elemental composition of the discard coal support medium but without compromising water quality. This result strongly supports use of discard coal as an appropriate substrate for SSF CWs to achieve acceptable water quality. Furthermore, simultaneous degradation of discard coal during wastewater treatment demonstrates the versatility of SSF CWs for use in bio-remediation and pollution control. Finally, a technoeconomic assessment of V-H SSF hybrid CWs and a HRAOP series was carried out to determine the suitability of each process to increase capacity by mitigating dysfunctional and/or overloaded WSP sewage treatment plants. Analysis revealed that the quality of treated water from both systems was within the South African General Authorization standards for discharge to a surface water resource. Even so, each technology system presented its own set of limitations including; the inability to satisfactorily remove NH4+-N and chemical oxygen demand (i.e. for V-H SSF hybrid CWs) and total suspended solids and faecal coliforms (i.e. for HRAOPs), and a requirement for substantial land footprint while, HRAOPs required significantly less capital than V-H SSF hybrid CWs for implementation. The latter suggests that HRAOPs could be preferred over V-H SSF hybrid CWs as a technology of choice to increase the capacity of overloaded WSP sewage treatment plants especially where financial resources are limited. Overall, the results of this thesis indicate the potential to use NH4+-N as a design parameter in constructing SSF CWs treating weak strength municipal sewage (i.e. in terms of NH4+-N concentration) and to supplant gravel as the treatment media with industrial waste material like discard coal to achieve wastewater treatment, bio-remediation, and pollution control. The results of this work are discussed in terms of using SSF CWs as a passive and resilient technology for the treatment of domestic sewage in sub-Saharan Africa.
- Full Text:
- Date Issued: 2018
Play as an indicator of public opinion in online political commentary : a content analysis of online news forums leading up to the 2014 South African General Elections
- Authors: Moyo, Lungisani
- Date: 2018
- Subjects: Online journalism Content analysis (Communication)
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/10678 , vital:35667
- Description: This study seeks to look at play as an indicator of public opinion in online political commentary of online news forums leading to the 2014 South African general elections. A qualitative content analysis was used to analyse viewers’s comments about 2014 South African general elections posted online. The concepts of critical discourse analysis, frame analysis play theory and network analysis were applied to extend and inform the study. A corpus of all commentary appended to 2014 South African general election news reports published online by Media24, Times Media Group, Mail &Guardian, Independent Newspapers, Caxton CTP, and TNA Media were selected. The study employed a purposive sampling technique and 1000 comments were extracted. The sample began four weeks before the election and ended two weeks after the event. NVIVO 11 was utilized to code these readers’ comments into their respective categories. The core findings of this thesis reflect that online readers do not just engage in play but are more interactive and participative on these online public forums and their political discourse echo political affiliations with different political parties, bearing in mind that South Africa has 13 political parties that participated and are represented in parliament. In addition, the findings revealed that, play cannot be parted with and remains inseparable with "what is real"; instead, play renews the real world by giving it sense and meaning. Play does not "re-present" nor falsify certainty but it enunciates certainty. The findings also revealed that most participants identify themselves with the ANC as the ruling party, the DA as the main opposition, the EFF as the most vocal party and then other parties. The findings further revealed that participants have different perspectives on different economic and socio-political matters such as, entertainment, slate politics, and political affiliation, cadre deployment, political bias, economic meltdown, diaspora, and western influence, abuse of power by those in high places, land reform programme, political power struggles, leadership change and corruption.
- Full Text:
- Date Issued: 2018
- Authors: Moyo, Lungisani
- Date: 2018
- Subjects: Online journalism Content analysis (Communication)
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/10678 , vital:35667
- Description: This study seeks to look at play as an indicator of public opinion in online political commentary of online news forums leading to the 2014 South African general elections. A qualitative content analysis was used to analyse viewers’s comments about 2014 South African general elections posted online. The concepts of critical discourse analysis, frame analysis play theory and network analysis were applied to extend and inform the study. A corpus of all commentary appended to 2014 South African general election news reports published online by Media24, Times Media Group, Mail &Guardian, Independent Newspapers, Caxton CTP, and TNA Media were selected. The study employed a purposive sampling technique and 1000 comments were extracted. The sample began four weeks before the election and ended two weeks after the event. NVIVO 11 was utilized to code these readers’ comments into their respective categories. The core findings of this thesis reflect that online readers do not just engage in play but are more interactive and participative on these online public forums and their political discourse echo political affiliations with different political parties, bearing in mind that South Africa has 13 political parties that participated and are represented in parliament. In addition, the findings revealed that, play cannot be parted with and remains inseparable with "what is real"; instead, play renews the real world by giving it sense and meaning. Play does not "re-present" nor falsify certainty but it enunciates certainty. The findings also revealed that most participants identify themselves with the ANC as the ruling party, the DA as the main opposition, the EFF as the most vocal party and then other parties. The findings further revealed that participants have different perspectives on different economic and socio-political matters such as, entertainment, slate politics, and political affiliation, cadre deployment, political bias, economic meltdown, diaspora, and western influence, abuse of power by those in high places, land reform programme, political power struggles, leadership change and corruption.
- Full Text:
- Date Issued: 2018
Preimages for SHA-1
- Authors: Motara, Yusuf Moosa
- Date: 2018
- Subjects: Data encryption (Computer science) , Computer security -- Software , Hashing (Computer science) , Data compression (Computer science) , Preimage , Secure Hash Algorithm 1 (SHA-1)
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/57885 , vital:27004
- Description: This research explores the problem of finding a preimage — an input that, when passed through a particular function, will result in a pre-specified output — for the compression function of the SHA-1 cryptographic hash. This problem is much more difficult than the problem of finding a collision for a hash function, and preimage attacks for very few popular hash functions are known. The research begins by introducing the field and giving an overview of the existing work in the area. A thorough analysis of the compression function is made, resulting in alternative formulations for both parts of the function, and both statistical and theoretical tools to determine the difficulty of the SHA-1 preimage problem. Different representations (And- Inverter Graph, Binary Decision Diagram, Conjunctive Normal Form, Constraint Satisfaction form, and Disjunctive Normal Form) and associated tools to manipulate and/or analyse these representations are then applied and explored, and results are collected and interpreted. In conclusion, the SHA-1 preimage problem remains unsolved and insoluble for the foreseeable future. The primary issue is one of efficient representation; despite a promising theoretical difficulty, both the diffusion characteristics and the depth of the tree stand in the way of efficient search. Despite this, the research served to confirm and quantify the difficulty of the problem both theoretically, using Schaefer's Theorem, and practically, in the context of different representations.
- Full Text:
- Date Issued: 2018
- Authors: Motara, Yusuf Moosa
- Date: 2018
- Subjects: Data encryption (Computer science) , Computer security -- Software , Hashing (Computer science) , Data compression (Computer science) , Preimage , Secure Hash Algorithm 1 (SHA-1)
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/57885 , vital:27004
- Description: This research explores the problem of finding a preimage — an input that, when passed through a particular function, will result in a pre-specified output — for the compression function of the SHA-1 cryptographic hash. This problem is much more difficult than the problem of finding a collision for a hash function, and preimage attacks for very few popular hash functions are known. The research begins by introducing the field and giving an overview of the existing work in the area. A thorough analysis of the compression function is made, resulting in alternative formulations for both parts of the function, and both statistical and theoretical tools to determine the difficulty of the SHA-1 preimage problem. Different representations (And- Inverter Graph, Binary Decision Diagram, Conjunctive Normal Form, Constraint Satisfaction form, and Disjunctive Normal Form) and associated tools to manipulate and/or analyse these representations are then applied and explored, and results are collected and interpreted. In conclusion, the SHA-1 preimage problem remains unsolved and insoluble for the foreseeable future. The primary issue is one of efficient representation; despite a promising theoretical difficulty, both the diffusion characteristics and the depth of the tree stand in the way of efficient search. Despite this, the research served to confirm and quantify the difficulty of the problem both theoretically, using Schaefer's Theorem, and practically, in the context of different representations.
- Full Text:
- Date Issued: 2018
Production and molecular characterization of peroxidases from novel ligninolytic proteobacteria and bacillus strains
- Authors: Falade, Ayodeji Osmund
- Date: 2018
- Subjects: Peroxidase Catalase
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/9702 , vital:34823
- Description: Inadequate quantity is a major impediment to the industrial application of peroxidase and other industrial enzymes. Consequently, efforts are geared towards increasing peroxidase production by searching for new microbes with enhanced production capacity. In this study, three novel ligninolytic bacteria: Raoultella ornithinolytica OKOH-1 (KX640917), Ensifer adhaerens NWODO-2 (KX640918) and Bacillus sp. FALADE-1 (KX640922) were optimized for peroxidase production and their peroxidases characterized using molecular and biochemical approaches. Molecular analysis confirmed the presence of peroxidase genes in the three bacteria. BLAST result and phylogenetic analysis of the deduced amino acid sequences suggested that Raoultella ornithinolytica OKOH-1 peroxidase (RaoPrx) belongs to a DyP-type peroxidase family while peroxidases from Ensifer adhaerens NWODO-2 and Bacillus sp. FALADE-1 are catalase-peroxidases. The peroxidase genes are available in the GenBank with MF370527, MF374336 and MF407314 as respective accession numbers. Upon optimization, Raoultella ornithinolytica OKOH-1 exhibited the highest peroxidase production at pH 5, 35 oC and 150 rpm. Biochemical characterization showed that RaoPrx had a wide substrate specificity as it was able to oxidize all the tested substrates in this study (ABTS, veratryl alcohol, guaiacol and pyrogallol), except 2, 6-Dimethoxyphenol. However, highest activity by the enzyme was recorded with pyrogallol as substrate. The enzyme had an optimum activity at pH 6 and 50 oC and was very stable at high temperatures (50 oC – 70 oC). Its pH stability was over a pH range of 5.0 – 7.0. Moreover, RaoPrx activity was significantly enhanced by Ag+, Cu2+, Zn2+and Fe2+ while Ca2+, Mg2+, Ba2+, Al3+, Co2+, NaN3 and EDTA inhibited the activity of the enzyme. Nevertheless, RaoPrx exhibited a remarkable dye-decolourizing activity on congo red and melanin, indicating the biotechnological potential of the enzyme in dye decolourization and development of cosmetic agent. Generally, the results from this study suggest that ligninolytic bacteria hold a great potential for enhanced peroxidase production that could meet the increasing industrial demand.
- Full Text:
- Date Issued: 2018
- Authors: Falade, Ayodeji Osmund
- Date: 2018
- Subjects: Peroxidase Catalase
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/9702 , vital:34823
- Description: Inadequate quantity is a major impediment to the industrial application of peroxidase and other industrial enzymes. Consequently, efforts are geared towards increasing peroxidase production by searching for new microbes with enhanced production capacity. In this study, three novel ligninolytic bacteria: Raoultella ornithinolytica OKOH-1 (KX640917), Ensifer adhaerens NWODO-2 (KX640918) and Bacillus sp. FALADE-1 (KX640922) were optimized for peroxidase production and their peroxidases characterized using molecular and biochemical approaches. Molecular analysis confirmed the presence of peroxidase genes in the three bacteria. BLAST result and phylogenetic analysis of the deduced amino acid sequences suggested that Raoultella ornithinolytica OKOH-1 peroxidase (RaoPrx) belongs to a DyP-type peroxidase family while peroxidases from Ensifer adhaerens NWODO-2 and Bacillus sp. FALADE-1 are catalase-peroxidases. The peroxidase genes are available in the GenBank with MF370527, MF374336 and MF407314 as respective accession numbers. Upon optimization, Raoultella ornithinolytica OKOH-1 exhibited the highest peroxidase production at pH 5, 35 oC and 150 rpm. Biochemical characterization showed that RaoPrx had a wide substrate specificity as it was able to oxidize all the tested substrates in this study (ABTS, veratryl alcohol, guaiacol and pyrogallol), except 2, 6-Dimethoxyphenol. However, highest activity by the enzyme was recorded with pyrogallol as substrate. The enzyme had an optimum activity at pH 6 and 50 oC and was very stable at high temperatures (50 oC – 70 oC). Its pH stability was over a pH range of 5.0 – 7.0. Moreover, RaoPrx activity was significantly enhanced by Ag+, Cu2+, Zn2+and Fe2+ while Ca2+, Mg2+, Ba2+, Al3+, Co2+, NaN3 and EDTA inhibited the activity of the enzyme. Nevertheless, RaoPrx exhibited a remarkable dye-decolourizing activity on congo red and melanin, indicating the biotechnological potential of the enzyme in dye decolourization and development of cosmetic agent. Generally, the results from this study suggest that ligninolytic bacteria hold a great potential for enhanced peroxidase production that could meet the increasing industrial demand.
- Full Text:
- Date Issued: 2018
Promoting healthy and safe school environments : the role of school governance - a study in the East London and Butterworth educational districts of the Eastern Cape, South Africa
- Authors: Napier, Astrid
- Date: 2018
- Subjects: School children -- Health and hygiene -- South Africa -- Eastern Cape School hygiene -- South Africa Environmental risk assessment -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/9489 , vital:34356
- Description: This thesis investigated how school governance promoted healthy and safe school environments and focussed on elements that make the school environment unhealthy and unsafe. These elements were spatial density, sanitation, ventilation, visibility, the acoustic element of the school environment, the aesthetic element and the psychosocial school environment. These are very important elements, and the neglect thereof could lead to ill health. The study excluded elements such as violence and substance use, as well as HIV/ AIDS. The research was conducted at six schools in the Butterworth and East London Educational Districts, as well as the district office in each of these two educational districts of the Eastern Cape. The design was a case study, and a qualitative methodology was used. The sample consisted of members from the school governing bodies, that is, the principal, one other member of the school governing body and a member of the school management team, as well as one official from each educational district, totalling twenty participants. A non-probability, purposive sampling method was used. The instrument was semi-structured interviews and document analyses. The researcher also made use of photographic evidence. Findings indicated that although support services were in place, promoting a healthy and safe school environment was a challenge at all of the schools. Various contributing factors such as the lack of support from the Department of Basic Education (DBE) for schools and district officials, non – implementation of policies, lack of infrastructure, lack of human and other resources, lack of security personnel and vandalism, prohibited the promotion of healthy and safe school environments. It is recommended that the DBE pays urgent attention to these elements that make the school environment unhealthy and unsafe; that the DBE fills the gap that exists between the national, provincial and district offices that hamper the flow of infrastructure and the supply of human and other resources. There is also a need for workshops on policy writing and implementation thereof. A workshop focussing on these elements that make the school environment unhealthy and unsafe would also be beneficial.
- Full Text:
- Date Issued: 2018
- Authors: Napier, Astrid
- Date: 2018
- Subjects: School children -- Health and hygiene -- South Africa -- Eastern Cape School hygiene -- South Africa Environmental risk assessment -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/9489 , vital:34356
- Description: This thesis investigated how school governance promoted healthy and safe school environments and focussed on elements that make the school environment unhealthy and unsafe. These elements were spatial density, sanitation, ventilation, visibility, the acoustic element of the school environment, the aesthetic element and the psychosocial school environment. These are very important elements, and the neglect thereof could lead to ill health. The study excluded elements such as violence and substance use, as well as HIV/ AIDS. The research was conducted at six schools in the Butterworth and East London Educational Districts, as well as the district office in each of these two educational districts of the Eastern Cape. The design was a case study, and a qualitative methodology was used. The sample consisted of members from the school governing bodies, that is, the principal, one other member of the school governing body and a member of the school management team, as well as one official from each educational district, totalling twenty participants. A non-probability, purposive sampling method was used. The instrument was semi-structured interviews and document analyses. The researcher also made use of photographic evidence. Findings indicated that although support services were in place, promoting a healthy and safe school environment was a challenge at all of the schools. Various contributing factors such as the lack of support from the Department of Basic Education (DBE) for schools and district officials, non – implementation of policies, lack of infrastructure, lack of human and other resources, lack of security personnel and vandalism, prohibited the promotion of healthy and safe school environments. It is recommended that the DBE pays urgent attention to these elements that make the school environment unhealthy and unsafe; that the DBE fills the gap that exists between the national, provincial and district offices that hamper the flow of infrastructure and the supply of human and other resources. There is also a need for workshops on policy writing and implementation thereof. A workshop focussing on these elements that make the school environment unhealthy and unsafe would also be beneficial.
- Full Text:
- Date Issued: 2018
Provision of psychosocial support to vulnerable learners by peer led groups in secondary schools in Amathole West Education District, Eastern Cape
- Authors: Chinyama, Nyarayi
- Date: 2018
- Subjects: Psychosocial support -- Education, Secondary -- South Africa -- Eastern Cape Education, Secondary -- Study and teaching -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/9341 , vital:34333
- Description: This study sought provision of psychosocial support to vulnerable learners by school based peer-led groups in secondary schools. Using the Ecological Systems Theory and the Psychosocial Support Interactive Process Model, the study specifically sought how vulnerable learners were identified, how participants understood vulnerability and psychosocial support, how peer led groups were selected and the strategies used to provide psychosocial support by peer led groups. The study also sought the support and monitoring strategies used by different stakeholders including the department of education inorder to assit the peer led groups in their endevour to provide psychosocial support to vulnerable learners. The study employed qualitative research methods using interviews, focus groups and document analysis. Purposive sampling was used to select a District Education Officer, four principals, four group members and all of whom took part in interviews, then twenty four peer group members who participated in focus group discussions. The study found out that various methods were used to identify vulnerable learners, but these were inadequate due to limited professional support to the peer-led groups. The strategies employed to assist vulnerable learners included the buddy system, scripture unions, boys and girls education movements and home visits. However there were also challenges of shortage of human and material resources such as counselling rooms, transport. Also none cooperation of parents still hampers psychosocial support by peer led groups. Therefore, the study concludes that there are still a lot of vulnerable learners who are not reached by peer-led groups because of the above mentioned challenges. In this light the study proposed a framework for providing psychosocial support. The study therefore, recommends that the psychosocial programme be part of the large school curriculum which has a specific budget to sustain all the identification, support and monitoring needs of the vulnerable learners and to ensure the psychosocial support strategies are successful.
- Full Text:
- Date Issued: 2018
- Authors: Chinyama, Nyarayi
- Date: 2018
- Subjects: Psychosocial support -- Education, Secondary -- South Africa -- Eastern Cape Education, Secondary -- Study and teaching -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/9341 , vital:34333
- Description: This study sought provision of psychosocial support to vulnerable learners by school based peer-led groups in secondary schools. Using the Ecological Systems Theory and the Psychosocial Support Interactive Process Model, the study specifically sought how vulnerable learners were identified, how participants understood vulnerability and psychosocial support, how peer led groups were selected and the strategies used to provide psychosocial support by peer led groups. The study also sought the support and monitoring strategies used by different stakeholders including the department of education inorder to assit the peer led groups in their endevour to provide psychosocial support to vulnerable learners. The study employed qualitative research methods using interviews, focus groups and document analysis. Purposive sampling was used to select a District Education Officer, four principals, four group members and all of whom took part in interviews, then twenty four peer group members who participated in focus group discussions. The study found out that various methods were used to identify vulnerable learners, but these were inadequate due to limited professional support to the peer-led groups. The strategies employed to assist vulnerable learners included the buddy system, scripture unions, boys and girls education movements and home visits. However there were also challenges of shortage of human and material resources such as counselling rooms, transport. Also none cooperation of parents still hampers psychosocial support by peer led groups. Therefore, the study concludes that there are still a lot of vulnerable learners who are not reached by peer-led groups because of the above mentioned challenges. In this light the study proposed a framework for providing psychosocial support. The study therefore, recommends that the psychosocial programme be part of the large school curriculum which has a specific budget to sustain all the identification, support and monitoring needs of the vulnerable learners and to ensure the psychosocial support strategies are successful.
- Full Text:
- Date Issued: 2018
Re-interpreting the history of 'the rural' visual in the Eastern Cape, 1948-1976
- Authors: Steele, Candice Alexandra
- Date: 2018
- Subjects: Medical photography -- South Africa -- Exhibitions Photography in ethnology -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/11064 , vital:37027
- Description: The thesis engages with the photographic collection of Dr Pauline Ingle, an amateur photographer who lived and worked in the former Transkei as a medical doctor from 1948-1976. As a visual history project situated within critical visual studies, the thesis is concerned to attend to the disciplinary optics that have conditioned seeing and constituted genres; but also the ways in which these genres have constituted subjects and corralled them into positions commensurate with the spatialised demarcations of the rural and the urban, and the attendant associations of tradition and modernity. The thesis begins by exploring the biography of Pauline Ingle and tracks the movement of the photographs from a private collection into the public realm and its constitution as an archive. The thesis then moves into a discussion of the key determinants of the ethnographic genre and its entwinement with the discipline of anthropology, as a foundation against which to investigate the limits of reading her images within this genre and the disruptions that are discernible through an aesthetics of proximity and forms of image-making that do not control the visual field. Through a theorisation that proposes the image as an act, various readings are brought to bear on the images through the lens of the social and political. Mobilising the concepts of social acts and acts of citizenship, allows for a reading that breaks with the disciplinary conditioning that has fixed subject positions into ‘the native subject’ and the ‘liberal subject’ and calls into question the construction of the human. By proposing the subject as migrant, is to signal that the question of the human/subject is more complex and convoluted than previously thought.
- Full Text:
- Date Issued: 2018
- Authors: Steele, Candice Alexandra
- Date: 2018
- Subjects: Medical photography -- South Africa -- Exhibitions Photography in ethnology -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/11064 , vital:37027
- Description: The thesis engages with the photographic collection of Dr Pauline Ingle, an amateur photographer who lived and worked in the former Transkei as a medical doctor from 1948-1976. As a visual history project situated within critical visual studies, the thesis is concerned to attend to the disciplinary optics that have conditioned seeing and constituted genres; but also the ways in which these genres have constituted subjects and corralled them into positions commensurate with the spatialised demarcations of the rural and the urban, and the attendant associations of tradition and modernity. The thesis begins by exploring the biography of Pauline Ingle and tracks the movement of the photographs from a private collection into the public realm and its constitution as an archive. The thesis then moves into a discussion of the key determinants of the ethnographic genre and its entwinement with the discipline of anthropology, as a foundation against which to investigate the limits of reading her images within this genre and the disruptions that are discernible through an aesthetics of proximity and forms of image-making that do not control the visual field. Through a theorisation that proposes the image as an act, various readings are brought to bear on the images through the lens of the social and political. Mobilising the concepts of social acts and acts of citizenship, allows for a reading that breaks with the disciplinary conditioning that has fixed subject positions into ‘the native subject’ and the ‘liberal subject’ and calls into question the construction of the human. By proposing the subject as migrant, is to signal that the question of the human/subject is more complex and convoluted than previously thought.
- Full Text:
- Date Issued: 2018
Scale-specific processes underlying the genetic population structure of seabirds in the tropical western Indian Ocean
- Authors: Danckwerts, Daniel Keith
- Date: 2018
- Subjects: Sea birds -- Indian Ocean , Sea birds -- Behavior -- Indian Ocean , Sea birds -- Mortality -- Indian Ocean , Sea birds -- Mortality -- Prevention , Sea birds -- Reproduction , Bird declines -- Indian Ocean , Sea birds -- Indian Ocean -- Effect of human beings on , Sooty tern , Red-footed booby , Pterodroma
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/63944 , vital:28513
- Description: Global seabird populations have declined by 70%, since 1950, largely in response to human mediated threats. Identifying the pressures that the remaining populations face has therefore become a top priority. Many breeding colonies are now monitored annually, though others have been almost completely neglected. Considerable bias also exists towards higher latitude species, while fewer studies have been conducted on tropical groups. Beyond tracking population sizes, numerous knowledge gaps also exist that severely restrict conservation efforts. This includes the understanding of seabird meta-population structure and the processes underlying population divergence. The importance of these studies lies in the fact that the preservation of biodiversity requires the conservation of diversification processes. Generating this knowledge is therefore an important first step towards recognising responses to episodic disturbance and long-term environmental change, as well as recovery potential. In this context, the present study employed microsatellite analysis and ringing information to investigate the processes underlying the metapopulation structure of seabirds in the tropical western Indian Ocean. Three species were selected as proxies to cover a range of population sizes, distributional ranges, and intrinsic behavioural (e.g. migratory behaviour) and morphological (e.g. polymorphism) characteristics. These were the Sooty Tern (Onychoprion fuscatus), Red-footed Booby (Sula sula), and Barau’s Petrel (Pterodorma baraui). The overall objective was to provide insight into the mechanisms underlying divergence across a range of scales. Microsatellite information highlighted that genetic populations of the Red-footed Booby and Barau’s Petrel were weakly, though significantly, structured. For the Barau’s Petrel, this was supported by ringing information that indicated extreme colony fidelity. Some gene flow appears to occur among the breeding colonies of the Red-footed Booby, though the scale and frequency of this remains uncertain as banding information is insufficient at this stage. Nevertheless, though populations of both species were genetically structured, the processes underlying divergence were different. Extreme natal philopatry appears to have driven divergence between the two colonies of the Barau’s Petrel, while local selective forces (e.g. kleptoparasitism risk and/or selection against immigrants) appear to have isolated the three studied breeding colonies of the Red-footed Booby. Conversely, microsatellite information identified a total lack of genetic structure among breeding colonies of the Sooty Tern in the western Indian Ocean, and between colonies in the western Indian and Eastern Pacific Oceans. This accords with banding recoveries, which illustrate considerable inter-colony exchange of individuals among most islands of the Seychelles and between breeding colonies in the western Indian and West Pacific Oceans. The processes underlying the genetic population structure (or, in this case, lack thereof) in the Sooty Tern therefore appear to operate at extremely large scales. The species’ low natal philopatry and high dispersal capabilities, combined with an importance of social stimulation and a reliance on seasonally favourable marine conditions, appears to influence the decisions of where and when individual Sooty Terns choose to breed. Anthropogenic disturbance at breeding sites, particularly that related to egg harvesting activities, also appears to drive dispersal in the Sooty Tern. These results improve our understanding of the mechanisms underlying the genetic population structure in seabirds at low latitudes. However, numerous questions remain unanswered and warrant further study. Clear conservation implications were also identified for the three studied species. Nevertheless, caution should still be applied when extrapolating this information across other species.
- Full Text:
- Date Issued: 2018
- Authors: Danckwerts, Daniel Keith
- Date: 2018
- Subjects: Sea birds -- Indian Ocean , Sea birds -- Behavior -- Indian Ocean , Sea birds -- Mortality -- Indian Ocean , Sea birds -- Mortality -- Prevention , Sea birds -- Reproduction , Bird declines -- Indian Ocean , Sea birds -- Indian Ocean -- Effect of human beings on , Sooty tern , Red-footed booby , Pterodroma
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/63944 , vital:28513
- Description: Global seabird populations have declined by 70%, since 1950, largely in response to human mediated threats. Identifying the pressures that the remaining populations face has therefore become a top priority. Many breeding colonies are now monitored annually, though others have been almost completely neglected. Considerable bias also exists towards higher latitude species, while fewer studies have been conducted on tropical groups. Beyond tracking population sizes, numerous knowledge gaps also exist that severely restrict conservation efforts. This includes the understanding of seabird meta-population structure and the processes underlying population divergence. The importance of these studies lies in the fact that the preservation of biodiversity requires the conservation of diversification processes. Generating this knowledge is therefore an important first step towards recognising responses to episodic disturbance and long-term environmental change, as well as recovery potential. In this context, the present study employed microsatellite analysis and ringing information to investigate the processes underlying the metapopulation structure of seabirds in the tropical western Indian Ocean. Three species were selected as proxies to cover a range of population sizes, distributional ranges, and intrinsic behavioural (e.g. migratory behaviour) and morphological (e.g. polymorphism) characteristics. These were the Sooty Tern (Onychoprion fuscatus), Red-footed Booby (Sula sula), and Barau’s Petrel (Pterodorma baraui). The overall objective was to provide insight into the mechanisms underlying divergence across a range of scales. Microsatellite information highlighted that genetic populations of the Red-footed Booby and Barau’s Petrel were weakly, though significantly, structured. For the Barau’s Petrel, this was supported by ringing information that indicated extreme colony fidelity. Some gene flow appears to occur among the breeding colonies of the Red-footed Booby, though the scale and frequency of this remains uncertain as banding information is insufficient at this stage. Nevertheless, though populations of both species were genetically structured, the processes underlying divergence were different. Extreme natal philopatry appears to have driven divergence between the two colonies of the Barau’s Petrel, while local selective forces (e.g. kleptoparasitism risk and/or selection against immigrants) appear to have isolated the three studied breeding colonies of the Red-footed Booby. Conversely, microsatellite information identified a total lack of genetic structure among breeding colonies of the Sooty Tern in the western Indian Ocean, and between colonies in the western Indian and Eastern Pacific Oceans. This accords with banding recoveries, which illustrate considerable inter-colony exchange of individuals among most islands of the Seychelles and between breeding colonies in the western Indian and West Pacific Oceans. The processes underlying the genetic population structure (or, in this case, lack thereof) in the Sooty Tern therefore appear to operate at extremely large scales. The species’ low natal philopatry and high dispersal capabilities, combined with an importance of social stimulation and a reliance on seasonally favourable marine conditions, appears to influence the decisions of where and when individual Sooty Terns choose to breed. Anthropogenic disturbance at breeding sites, particularly that related to egg harvesting activities, also appears to drive dispersal in the Sooty Tern. These results improve our understanding of the mechanisms underlying the genetic population structure in seabirds at low latitudes. However, numerous questions remain unanswered and warrant further study. Clear conservation implications were also identified for the three studied species. Nevertheless, caution should still be applied when extrapolating this information across other species.
- Full Text:
- Date Issued: 2018
Self-regulation and academic performance in early childhood :an East London study
- Authors: Martin, Glynnis Michelle
- Date: 2018
- Subjects: Self-control in children Early childhood education Child rearing
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/10949 , vital:35969
- Description: Previous research studies have identified various factors as influential in whether one is successful in obtaining the education necessary for effective living within a given society. Early academic performance is consistently linked to later academic performance, which in turn, relates to physical, mental and even financial health outcomes in adulthood. The recognition that competence with the demands of learning and socialization can set up cycles of success or failure, lead to much research interest directed at the key role of self-regulation, as an executive function skill, in early academic performance. Despite this growing body of research, a comprehensive conceptual model for the predictive role and interaction between complex executive functions, socio-emotional competence, learning aptitudes and visuomotor skills, as predictors in early academic success, is still lacking. Knowledge of the integrated functioning of these predictors in the South African context is particularly scarce. This research was designed to address these knowledge gaps through an exploratory descriptive and causal-comparative study. Purposive, non-probability sampling was used to select a group of 183 Grade 1 learners from a low socio-economic area of East London in South Africa. Ages ranged from 6 to 8 years (M = 6.78, SD = 0.54), whilst 40% were female and 60% were male. Predictors of academic success were measured at the start of the first academic term, and a parent-report measure was used to measure socio-emotional competencies. Second term school report cards were used to measure mid-year academic achievement. Relationships between each predictor and their relationships to academic performance were explored through Pearson product-moment correlation coefficients. vii One-way Analysis of Variance with post-hoc Scheffé tests was used to explore differences between groups of Gender, Age, Home Language, Maternal Marital Status, Maternal Age and whether the grade was being Repeated or not. Two priori conceptual models of the relationships between the predictor variables and academic performance were estimated through Structural Equation Modeling. Results indicate various significant relationships between each predictor and specific aspects of academic performance. Visuomotor skills showed the strongest correlation to academic performance, followed by learning abilities and complex executive functions. Social-emotional competence was not practically significantly related to any of the factors and appeared to affect academic performance primarily through a significant relationship to complex executive functions. Interestingly, results indicate subtypes of visuomotor skills that are significantly correlated to the complex executive, as also highly correlated with academic performance. Precision tasks that were not related to complex executive function, was not significantly related to academic performance. Results furthermore identify the significant influence of caregiver factors on visuomotor skills and that of home language on learning abilities. Regression analysis results confirm a significant mediating effect of learning aptitudes in relation to the effects of complex executive function and visuomotor skills on academic performance. Model comparison supported this mediation-model as superior to a no-mediation model in predicting academic success in Grade 1. This study expands on the understanding of the role of the common executive function in relation to factors associated with crystallized intelligence, visuomotor skills and socio-emotional competencies in predicting early academic success. This study presents an innovative integrated mediation model of the relationships between the identified predictors in relation to academic success.
- Full Text:
- Date Issued: 2018
- Authors: Martin, Glynnis Michelle
- Date: 2018
- Subjects: Self-control in children Early childhood education Child rearing
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/10949 , vital:35969
- Description: Previous research studies have identified various factors as influential in whether one is successful in obtaining the education necessary for effective living within a given society. Early academic performance is consistently linked to later academic performance, which in turn, relates to physical, mental and even financial health outcomes in adulthood. The recognition that competence with the demands of learning and socialization can set up cycles of success or failure, lead to much research interest directed at the key role of self-regulation, as an executive function skill, in early academic performance. Despite this growing body of research, a comprehensive conceptual model for the predictive role and interaction between complex executive functions, socio-emotional competence, learning aptitudes and visuomotor skills, as predictors in early academic success, is still lacking. Knowledge of the integrated functioning of these predictors in the South African context is particularly scarce. This research was designed to address these knowledge gaps through an exploratory descriptive and causal-comparative study. Purposive, non-probability sampling was used to select a group of 183 Grade 1 learners from a low socio-economic area of East London in South Africa. Ages ranged from 6 to 8 years (M = 6.78, SD = 0.54), whilst 40% were female and 60% were male. Predictors of academic success were measured at the start of the first academic term, and a parent-report measure was used to measure socio-emotional competencies. Second term school report cards were used to measure mid-year academic achievement. Relationships between each predictor and their relationships to academic performance were explored through Pearson product-moment correlation coefficients. vii One-way Analysis of Variance with post-hoc Scheffé tests was used to explore differences between groups of Gender, Age, Home Language, Maternal Marital Status, Maternal Age and whether the grade was being Repeated or not. Two priori conceptual models of the relationships between the predictor variables and academic performance were estimated through Structural Equation Modeling. Results indicate various significant relationships between each predictor and specific aspects of academic performance. Visuomotor skills showed the strongest correlation to academic performance, followed by learning abilities and complex executive functions. Social-emotional competence was not practically significantly related to any of the factors and appeared to affect academic performance primarily through a significant relationship to complex executive functions. Interestingly, results indicate subtypes of visuomotor skills that are significantly correlated to the complex executive, as also highly correlated with academic performance. Precision tasks that were not related to complex executive function, was not significantly related to academic performance. Results furthermore identify the significant influence of caregiver factors on visuomotor skills and that of home language on learning abilities. Regression analysis results confirm a significant mediating effect of learning aptitudes in relation to the effects of complex executive function and visuomotor skills on academic performance. Model comparison supported this mediation-model as superior to a no-mediation model in predicting academic success in Grade 1. This study expands on the understanding of the role of the common executive function in relation to factors associated with crystallized intelligence, visuomotor skills and socio-emotional competencies in predicting early academic success. This study presents an innovative integrated mediation model of the relationships between the identified predictors in relation to academic success.
- Full Text:
- Date Issued: 2018
Sepedi oral poetry with reference to kiba traditional dance of South Africa
- Authors: Maahlamela, Tebogo David
- Date: 2018
- Subjects: Northern Sotho poetry , Northern Sotho poetry -- History and criticism , Folk songs, Northern Sotho , Sound poetry -- South Africa , Archival materials -- Conservation and restoration , Spiritualism in literature , Cultural appropriation , Folk poetry, Northern Sotho , Kiba traditional dance , Kiba poetry
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/63209 , vital:28381
- Description: Previous studies show that contrary to other African languages of fewer speakers, written poetry in Sepedi/Sesotho sa Leboa’s transition from oral to written did not only lag behind, its development was also slow, with less intense treatment. However, this scarcity is not of the actual oral material, but rather its documented version. Vast untreated material at various repositories such as the South African Broadcasting Corporation (SABC) library and the International Library of African Music (ILAM) are facing a risk of being lost due to limited resources and resourcefulness to digitalise them. Investigation of written poetry from 1906 to 2006 attests to the fact that in its written form, Sepedi/Sesotho sa Leboa poetry is still underdeveloped, dominated by “microwaved” collections aiming at nothing beyond meeting school prescription criteria. Calls have been made from the dominant South African poetry narrative that there are no innovative studies in the field of African languages, especially Sepedi/Sesotho sa Leboa. Musicological studies show that contemporary jazz artists have adopted and adapted kiba poetry into jazz music, which resulted into classics of all times. Intensive studies were conducted on such poetic kiba-influenced jazz, but the primary source remains a grey area. The analysis of selected kiba poems shows that kiba poetry is the richest poetic form in the Sepedi/Sesotho sa Leboa with its creative and artistic merit exceeds all other genres. The study further reveals that kiba poetry is the heart of Bapedi/Basotho ba Leboa spirituality, a heart without which some faith institutions will remain incomplete. Furthermore, kiba poetry embodies, among others, poetic genres rarely explored in the South African poetry milieu such as “sound poetry” and poetry of special metrical schemes, of dramatic and devotional essence. Scholarly attention is, therefore, recommended on this repertoire to explore the field beyond this preliminary study, so as to save as many kiba poems as possible, which will enrich the dwindling written poetry milieu. Literary excellence of the treated poems attests to the fact that the artistic wealth of kiba poetry is worthy of attention, and it has potential to transform not only the face of poetry in Sepedi/Sesotho sa Leboa, but of the entire South African poetry landscape.
- Full Text:
- Date Issued: 2018
- Authors: Maahlamela, Tebogo David
- Date: 2018
- Subjects: Northern Sotho poetry , Northern Sotho poetry -- History and criticism , Folk songs, Northern Sotho , Sound poetry -- South Africa , Archival materials -- Conservation and restoration , Spiritualism in literature , Cultural appropriation , Folk poetry, Northern Sotho , Kiba traditional dance , Kiba poetry
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/63209 , vital:28381
- Description: Previous studies show that contrary to other African languages of fewer speakers, written poetry in Sepedi/Sesotho sa Leboa’s transition from oral to written did not only lag behind, its development was also slow, with less intense treatment. However, this scarcity is not of the actual oral material, but rather its documented version. Vast untreated material at various repositories such as the South African Broadcasting Corporation (SABC) library and the International Library of African Music (ILAM) are facing a risk of being lost due to limited resources and resourcefulness to digitalise them. Investigation of written poetry from 1906 to 2006 attests to the fact that in its written form, Sepedi/Sesotho sa Leboa poetry is still underdeveloped, dominated by “microwaved” collections aiming at nothing beyond meeting school prescription criteria. Calls have been made from the dominant South African poetry narrative that there are no innovative studies in the field of African languages, especially Sepedi/Sesotho sa Leboa. Musicological studies show that contemporary jazz artists have adopted and adapted kiba poetry into jazz music, which resulted into classics of all times. Intensive studies were conducted on such poetic kiba-influenced jazz, but the primary source remains a grey area. The analysis of selected kiba poems shows that kiba poetry is the richest poetic form in the Sepedi/Sesotho sa Leboa with its creative and artistic merit exceeds all other genres. The study further reveals that kiba poetry is the heart of Bapedi/Basotho ba Leboa spirituality, a heart without which some faith institutions will remain incomplete. Furthermore, kiba poetry embodies, among others, poetic genres rarely explored in the South African poetry milieu such as “sound poetry” and poetry of special metrical schemes, of dramatic and devotional essence. Scholarly attention is, therefore, recommended on this repertoire to explore the field beyond this preliminary study, so as to save as many kiba poems as possible, which will enrich the dwindling written poetry milieu. Literary excellence of the treated poems attests to the fact that the artistic wealth of kiba poetry is worthy of attention, and it has potential to transform not only the face of poetry in Sepedi/Sesotho sa Leboa, but of the entire South African poetry landscape.
- Full Text:
- Date Issued: 2018
Servant leadership: antecedent to Quality of Worklife of customer service frontline employees
- Authors: Bedser, Mark Bernard
- Date: 2018
- Subjects: Call center agents Servant leadership Customer Service -- Quality control Employee morale Job satisfaction Quality of work life
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/62144 , vital:28132
- Description: Contact Centre agents operate in closely monitored and highly controlled environments and their work consists of solving service requests or assisting customers with information on products or services. Consequently their work involves a great deal of emotional labour and stress. It is not surprising then, that the working environment of the Contact Centre is reported to have a negative impact on the levels of Quality of Worklife of Contact Centre agents, and that in the Contact Centre context, it is likely that low levels of Quality of Worklife exist. It is argued that it is important for organisations to be particularly aware of the Quality of Worklife perceptions of their employees should they want to address Quality of Worklife levels and benefit from the positive consequences of higher levels of the construct. Numerous variables are reported to play either an antecedent, moderating, mediating, or consequential role in relation to the Quality of Worklife construct. A systems model of Quality of Worklife is developed, which illustrates the inter-relationships of these variables and how they affect and are affected by the Quality of Worklife construct. It is argued that leadership is an important antecedent to Quality of Worklife, and this is the antecedent of interest in this study. It is proposed that it is not just any leadership that will contribute to an improved Quality of Worklife, particularly within a challenging context such as the Contact Centre environment. Rather, it is suggested that certain qualities of leaders will have a greater influence on Quality of Worklife. For example, leaders who focus on relationships and are caring - characteristics associated with servant leaders - are deemed more suitable for the Contact Centre context. The research also proposes that there are close associations between Servant Leadership and Trust, which in turn has the potential to affect Quality of Worklife positively. It is argued, therefore, that Trust mediates the relationship between Servant Leadership and Quality of Worklife in the customer service frontline context. While there is a broad base of literature available on servant leadership that focuses on the senior or executive level of leadership, Van Dierendonck and Nuijten (2011) have argued that it is also relevant at the middle level of management and have validated an eight dimensional measure of servant leadership that is suitable for this management level. The Van Laar, Edwards and Easton (2007) Quality of Worklife model is also argued to be an appropriate model and measure of the Quality of Worklife construct, due to the robustness of the instrument design and the appropriateness of its underlying theory to the context of this research. Research has shown that leadership can have a significant relationship with Quality of Worklife. Moreover, a review of the literature on servant leadership reveals that trust, satisfaction, general well-being, and commitment to their jobs increases when employees are exposed to leadership behaviours associated with servant leadership. There is however, no evidence in the literature of any investigation of the relationship between Servant Leadership and Quality of Worklife, or of research investigating the partial mediating effects of Trust between these two constructs. Research was conducted to test this relationship. A survey questionnaire was administered amongst a sample of 555 Contact Centre agents, who were employed in eight different organisations. Confirmatory factor analysis procedures were conducted in STATA (V15.0), to test and validate the factor structure of Servant Leadership and Quality of Worklife models. The research also produced a Servant Leadership, Trust and Quality of Worklife structural equation model that supported the hypotheses of the relationships between the constructs. Mediation analysis confirmed Trust’s role as a mediator between Servant Leadership and Quality of Worklife. The structural equation model confirmed that synergies between Servant Leadership, Trust and Quality of Worklife exist, and that Trust partially mediates the relationship between Servant Leadership and Quality of Worklife. It is therefore argued that an increase in Servant Leadership behaviour by the manager or supervisor of frontline staff has a positive association with increases of Trust, as well as positive associations with Quality of Worklife experienced by employees in the frontline context. Moreover, it is also posited that the relationship between Servant Leadership and Quality of Worklife is partially mediated by Trust of the supervisor. The implications of these results are discussed, and recommendations made for management practice and further research.
- Full Text:
- Date Issued: 2018
- Authors: Bedser, Mark Bernard
- Date: 2018
- Subjects: Call center agents Servant leadership Customer Service -- Quality control Employee morale Job satisfaction Quality of work life
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/62144 , vital:28132
- Description: Contact Centre agents operate in closely monitored and highly controlled environments and their work consists of solving service requests or assisting customers with information on products or services. Consequently their work involves a great deal of emotional labour and stress. It is not surprising then, that the working environment of the Contact Centre is reported to have a negative impact on the levels of Quality of Worklife of Contact Centre agents, and that in the Contact Centre context, it is likely that low levels of Quality of Worklife exist. It is argued that it is important for organisations to be particularly aware of the Quality of Worklife perceptions of their employees should they want to address Quality of Worklife levels and benefit from the positive consequences of higher levels of the construct. Numerous variables are reported to play either an antecedent, moderating, mediating, or consequential role in relation to the Quality of Worklife construct. A systems model of Quality of Worklife is developed, which illustrates the inter-relationships of these variables and how they affect and are affected by the Quality of Worklife construct. It is argued that leadership is an important antecedent to Quality of Worklife, and this is the antecedent of interest in this study. It is proposed that it is not just any leadership that will contribute to an improved Quality of Worklife, particularly within a challenging context such as the Contact Centre environment. Rather, it is suggested that certain qualities of leaders will have a greater influence on Quality of Worklife. For example, leaders who focus on relationships and are caring - characteristics associated with servant leaders - are deemed more suitable for the Contact Centre context. The research also proposes that there are close associations between Servant Leadership and Trust, which in turn has the potential to affect Quality of Worklife positively. It is argued, therefore, that Trust mediates the relationship between Servant Leadership and Quality of Worklife in the customer service frontline context. While there is a broad base of literature available on servant leadership that focuses on the senior or executive level of leadership, Van Dierendonck and Nuijten (2011) have argued that it is also relevant at the middle level of management and have validated an eight dimensional measure of servant leadership that is suitable for this management level. The Van Laar, Edwards and Easton (2007) Quality of Worklife model is also argued to be an appropriate model and measure of the Quality of Worklife construct, due to the robustness of the instrument design and the appropriateness of its underlying theory to the context of this research. Research has shown that leadership can have a significant relationship with Quality of Worklife. Moreover, a review of the literature on servant leadership reveals that trust, satisfaction, general well-being, and commitment to their jobs increases when employees are exposed to leadership behaviours associated with servant leadership. There is however, no evidence in the literature of any investigation of the relationship between Servant Leadership and Quality of Worklife, or of research investigating the partial mediating effects of Trust between these two constructs. Research was conducted to test this relationship. A survey questionnaire was administered amongst a sample of 555 Contact Centre agents, who were employed in eight different organisations. Confirmatory factor analysis procedures were conducted in STATA (V15.0), to test and validate the factor structure of Servant Leadership and Quality of Worklife models. The research also produced a Servant Leadership, Trust and Quality of Worklife structural equation model that supported the hypotheses of the relationships between the constructs. Mediation analysis confirmed Trust’s role as a mediator between Servant Leadership and Quality of Worklife. The structural equation model confirmed that synergies between Servant Leadership, Trust and Quality of Worklife exist, and that Trust partially mediates the relationship between Servant Leadership and Quality of Worklife. It is therefore argued that an increase in Servant Leadership behaviour by the manager or supervisor of frontline staff has a positive association with increases of Trust, as well as positive associations with Quality of Worklife experienced by employees in the frontline context. Moreover, it is also posited that the relationship between Servant Leadership and Quality of Worklife is partially mediated by Trust of the supervisor. The implications of these results are discussed, and recommendations made for management practice and further research.
- Full Text:
- Date Issued: 2018