A comparative study of the comfort related properties of commercial apparel fabrics containing natural and man-made fibres
- Authors: Stoffberg, Marguerite Ester
- Date: 2013
- Subjects: Textile fabrics , Materials -- Thermal properties
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10455 , http://hdl.handle.net/10948/d1020931
- Description: The relationship between the fabric parameters, as independent variables, and the comfort related properties, as dependent variables, of commercial suiting fabrics, containing both natural and man-made fibres, have been studied. The fabric parameters measured in the study were mass, thickness, density, and air permeability. The comfort related properties, tested on a Permetest instrument, included water vapour permeability, water vapour resistance, and thermal resistance, with the moisture permeability index being derived. A total of 26 commercial suiting fabrics, covering a wide range of mass, as well as different fibre types and blends and fabric structures, was tested. The fibres covered, included wool, polyester, viscose, and cotton, while the fabric structures covered were 1x1 plain weave, 2x1 twill and 2x2 twill weave. The objectives of this study were to determine the empirical relationships between the measured fabric properties and the measured comfort related properties, and to determine the role, if any, of fibre type and fabric structure, since many claims are made in practice concerning the relative advantages, in terms of comfort, of a specific fibre type or blend, or fabric structure, over others, some of which being supported by research results. Since the fabrics covered, were commercial and were not engineered so that the different fabric parameters (independent variables) and fibre type and blend, as well as fabric structure could be varied independently of each other, the effects of the various fabric parameters on the fabric comfort related properties were determined and quantified by multiple regression analyses (multi-linear and multi-quadratic), and the best fit regression equations, and contribution of each parameter to the overall fit established. It was found that fabric thickness and fabric mass had the largest effect on the comfort related properties as measured here, fabric mass determining, to a large extent, water vapour permeability, and fabric thickness, thermal resistance. The rest of the fabric parameters included in the study had only a relatively small effect on the measured comfort related properties. The influence of fabric parameters, with particular reference to mass and thickness, on the measured comfort related properties, were much greater than that of fibre type or blend, or fabric structure. It was, therefore, concluded from this study, that the fabric parameters, as opposed to the intrinsic characteristics of a particular fibre, whether natural or man-made, largely determined those fabric comfort related properties measured here.
- Full Text:
- Date Issued: 2013
- Authors: Stoffberg, Marguerite Ester
- Date: 2013
- Subjects: Textile fabrics , Materials -- Thermal properties
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10455 , http://hdl.handle.net/10948/d1020931
- Description: The relationship between the fabric parameters, as independent variables, and the comfort related properties, as dependent variables, of commercial suiting fabrics, containing both natural and man-made fibres, have been studied. The fabric parameters measured in the study were mass, thickness, density, and air permeability. The comfort related properties, tested on a Permetest instrument, included water vapour permeability, water vapour resistance, and thermal resistance, with the moisture permeability index being derived. A total of 26 commercial suiting fabrics, covering a wide range of mass, as well as different fibre types and blends and fabric structures, was tested. The fibres covered, included wool, polyester, viscose, and cotton, while the fabric structures covered were 1x1 plain weave, 2x1 twill and 2x2 twill weave. The objectives of this study were to determine the empirical relationships between the measured fabric properties and the measured comfort related properties, and to determine the role, if any, of fibre type and fabric structure, since many claims are made in practice concerning the relative advantages, in terms of comfort, of a specific fibre type or blend, or fabric structure, over others, some of which being supported by research results. Since the fabrics covered, were commercial and were not engineered so that the different fabric parameters (independent variables) and fibre type and blend, as well as fabric structure could be varied independently of each other, the effects of the various fabric parameters on the fabric comfort related properties were determined and quantified by multiple regression analyses (multi-linear and multi-quadratic), and the best fit regression equations, and contribution of each parameter to the overall fit established. It was found that fabric thickness and fabric mass had the largest effect on the comfort related properties as measured here, fabric mass determining, to a large extent, water vapour permeability, and fabric thickness, thermal resistance. The rest of the fabric parameters included in the study had only a relatively small effect on the measured comfort related properties. The influence of fabric parameters, with particular reference to mass and thickness, on the measured comfort related properties, were much greater than that of fibre type or blend, or fabric structure. It was, therefore, concluded from this study, that the fabric parameters, as opposed to the intrinsic characteristics of a particular fibre, whether natural or man-made, largely determined those fabric comfort related properties measured here.
- Full Text:
- Date Issued: 2013
A mathematical investigation of the effects of sexual orientation and HIV status on HPV transmission and vaccination
- Authors: Holtzhausen, Tresia Louisa
- Date: 2013
- Subjects: Virus diseases -- Mathematical models , Cervix uteri -- Cancer -- Treatment , Sexual orientation , Immune response -- Mathematical models
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/3946 , vital:20494
- Description: The effect of the inclusion of sexual behaviour, particularly three sexual orientation classes, on the transmission dynamics of HPV and cervical cancer incidence was investigated. A comprehensive literature review of mathematical models of HPV transmission and the natural history of cervical cancer was concluded. A mathematical model using ordinary differential equations was developed, which incorporated the three sexual orientation classes, and a sexual mixing algorithm for modelling the transmission dynamics. Reproduction numbers, determined through a simplified version of the developed model, indicated that the bisexual population could form a bridge between the heterosexual and homosexual population. The level of interaction is determined by the selection preferences of a bisexual individual to form a partnership with an individual of the same or opposite sex. The model was simulated, with parameters based on a South African population and HPV type 16/18, to investigate the effects of HIV status, sexual orientation and various vaccination strategies on HPV transmission and cervical cancer incidence. The results indicated that HIV status is a significant factor when determining cervical cancer incidence. The results regarding vaccination strategies agreed with results from the literature review with a two sex before sexual debut and catch up program the most effective, noting that with increased vaccination coverage of females the marginal impact on cervical cancer incidence of this approach diminished.
- Full Text:
- Date Issued: 2013
- Authors: Holtzhausen, Tresia Louisa
- Date: 2013
- Subjects: Virus diseases -- Mathematical models , Cervix uteri -- Cancer -- Treatment , Sexual orientation , Immune response -- Mathematical models
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/3946 , vital:20494
- Description: The effect of the inclusion of sexual behaviour, particularly three sexual orientation classes, on the transmission dynamics of HPV and cervical cancer incidence was investigated. A comprehensive literature review of mathematical models of HPV transmission and the natural history of cervical cancer was concluded. A mathematical model using ordinary differential equations was developed, which incorporated the three sexual orientation classes, and a sexual mixing algorithm for modelling the transmission dynamics. Reproduction numbers, determined through a simplified version of the developed model, indicated that the bisexual population could form a bridge between the heterosexual and homosexual population. The level of interaction is determined by the selection preferences of a bisexual individual to form a partnership with an individual of the same or opposite sex. The model was simulated, with parameters based on a South African population and HPV type 16/18, to investigate the effects of HIV status, sexual orientation and various vaccination strategies on HPV transmission and cervical cancer incidence. The results indicated that HIV status is a significant factor when determining cervical cancer incidence. The results regarding vaccination strategies agreed with results from the literature review with a two sex before sexual debut and catch up program the most effective, noting that with increased vaccination coverage of females the marginal impact on cervical cancer incidence of this approach diminished.
- Full Text:
- Date Issued: 2013
An investigation of short-chain fatty acid profiles and influential gastrointenstinal microbiota associated with irritable bowel syndrome
- Authors: Theunissen, Reza
- Date: 2013
- Subjects: Fatty acids in human nutrition , Gastrointestinal system
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10352 , http://hdl.handle.net/10948/d1020943
- Description: Microbiota are present in large numbers and as a diverse population within the gastrointestinal tract. There are approximately 400 different species of microbiota which may be beneficial, harmful or both, but each play an important role in the regulation and modulation of the hosts’ bowel processes (McOrist et al. 2008; Dethlefsen et al. 2008). Many of these colon microbiota allow for saccharolytic fermentation of non-digestible dietary fibres and carbohydrates into by-products and intermediates, followed by a subsequent conversion into short chain fatty acids (SCFAs) (mainly n-butyric acid, propionic acid and acetic acid) each of which play an important role in maintaining colon homeostasis (Topping & Clifton 2001). A balance of ‘good’ microbiota (e.g., Bacteroides spp./ Bifidobacteria spp.) and ‘bad’ microbiota (e.g., Veilonellae) and the optimal production of various SCFAs within the gut could possibly allow for proper functioning of the large intestine and assist in decreasing the onset of various colonic disorders such as Irritable Bowel Syndrome (IBS). The sample group for the study consists of male and female patients, with an average age of 40 to 50 years old, whom of which have been diagnosed with either constipation IBS (C-IBS) or diarrhoea IBS (D-IBS) via the Rome III criteria system for IBS diagnosis. DNA and SCFA extractions were optimised for human stool, colonic fluid and tissue biopsy sample obtained from the aforementioned patients. Optimization steps allowed for starting material with high analysis integrity. Different methods of microbiota analysis, such as ARISA, were investigated; however, real-time qPCR was selected as the best method to identify and quantify specific microbiota. Extracted SCFAs were separated via gas chromatography and identified and quantified via Mass Spectrometry. Significant changes in microbial content and SCFA profiles were found to be associated with healthy and IBS patients. Results obtained would however be influenced by external factors typical of clinical studies of this nature. This study allows for opportunities for future research into understanding IBS.
- Full Text:
- Date Issued: 2013
- Authors: Theunissen, Reza
- Date: 2013
- Subjects: Fatty acids in human nutrition , Gastrointestinal system
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10352 , http://hdl.handle.net/10948/d1020943
- Description: Microbiota are present in large numbers and as a diverse population within the gastrointestinal tract. There are approximately 400 different species of microbiota which may be beneficial, harmful or both, but each play an important role in the regulation and modulation of the hosts’ bowel processes (McOrist et al. 2008; Dethlefsen et al. 2008). Many of these colon microbiota allow for saccharolytic fermentation of non-digestible dietary fibres and carbohydrates into by-products and intermediates, followed by a subsequent conversion into short chain fatty acids (SCFAs) (mainly n-butyric acid, propionic acid and acetic acid) each of which play an important role in maintaining colon homeostasis (Topping & Clifton 2001). A balance of ‘good’ microbiota (e.g., Bacteroides spp./ Bifidobacteria spp.) and ‘bad’ microbiota (e.g., Veilonellae) and the optimal production of various SCFAs within the gut could possibly allow for proper functioning of the large intestine and assist in decreasing the onset of various colonic disorders such as Irritable Bowel Syndrome (IBS). The sample group for the study consists of male and female patients, with an average age of 40 to 50 years old, whom of which have been diagnosed with either constipation IBS (C-IBS) or diarrhoea IBS (D-IBS) via the Rome III criteria system for IBS diagnosis. DNA and SCFA extractions were optimised for human stool, colonic fluid and tissue biopsy sample obtained from the aforementioned patients. Optimization steps allowed for starting material with high analysis integrity. Different methods of microbiota analysis, such as ARISA, were investigated; however, real-time qPCR was selected as the best method to identify and quantify specific microbiota. Extracted SCFAs were separated via gas chromatography and identified and quantified via Mass Spectrometry. Significant changes in microbial content and SCFA profiles were found to be associated with healthy and IBS patients. Results obtained would however be influenced by external factors typical of clinical studies of this nature. This study allows for opportunities for future research into understanding IBS.
- Full Text:
- Date Issued: 2013
Anchovy and Sardine in Algoa Bay and their relationship with response variables in two threatened avian predators
- Authors: Potter, Cara-Paige
- Date: 2013
- Subjects: Fishes -- Predators of -- South Africa -- Algoa Bay , Anchovies -- South Africa , Sardines -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10730 , http://hdl.handle.net/10948/d1021130
- Description: Huge populations of sardine and anchovy exist in the four major upwelling systems around the world. These fish are both important ecologically and economically. Pelagic fish dominate the mid trophic level and can exert both a top-down control of zooplankton and a bottom-up control on predatory fish and marine top predators. They also make up a substantial contribution of the world catches in seas around the world where they co-exist in upwelling areas. The fluctuations of sardine and anchovy are largely influenced by recruitment from the larval stage and by the physical environmental forces that determine the planktonic compositions upon which they feed. In southern Africa, the biology and behaviour of two threatened seabird species, African penguins (Spheniscus demersus) and Cape gannets (Morus capensis), are directly influenced by the availability of sardine (Sardinops sagax) and anchovy (Engraulis encrasicolus). This study aimed to provide further insight into the fluctuations of sardine and anchovy in relation to the variability of environmental factors such as wind, sea surface temperature, rainfall and plankton abundance, focusing specifically on Algoa Bay in the Eastern Cape, South Africa. Algoa Bay is particularly important as it is home to the world’s largest African penguin colony and the world’s largest gannetry. Therefore, to further investigate the populations of these two seabird species, the fluctuations of their food source were studied.
- Full Text:
- Date Issued: 2013
- Authors: Potter, Cara-Paige
- Date: 2013
- Subjects: Fishes -- Predators of -- South Africa -- Algoa Bay , Anchovies -- South Africa , Sardines -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10730 , http://hdl.handle.net/10948/d1021130
- Description: Huge populations of sardine and anchovy exist in the four major upwelling systems around the world. These fish are both important ecologically and economically. Pelagic fish dominate the mid trophic level and can exert both a top-down control of zooplankton and a bottom-up control on predatory fish and marine top predators. They also make up a substantial contribution of the world catches in seas around the world where they co-exist in upwelling areas. The fluctuations of sardine and anchovy are largely influenced by recruitment from the larval stage and by the physical environmental forces that determine the planktonic compositions upon which they feed. In southern Africa, the biology and behaviour of two threatened seabird species, African penguins (Spheniscus demersus) and Cape gannets (Morus capensis), are directly influenced by the availability of sardine (Sardinops sagax) and anchovy (Engraulis encrasicolus). This study aimed to provide further insight into the fluctuations of sardine and anchovy in relation to the variability of environmental factors such as wind, sea surface temperature, rainfall and plankton abundance, focusing specifically on Algoa Bay in the Eastern Cape, South Africa. Algoa Bay is particularly important as it is home to the world’s largest African penguin colony and the world’s largest gannetry. Therefore, to further investigate the populations of these two seabird species, the fluctuations of their food source were studied.
- Full Text:
- Date Issued: 2013
Clarifying the influence of human-environment interaction in nature-based adventure tourism in the Tsitsikamma, South Africa
- Authors: Giddy, Julia K
- Date: 2013
- Subjects: Human ecology -- South Africa -- Tsitsikammaberge , Tourism -- South Africa -- Tsitsikammaberge
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10674 , http://hdl.handle.net/10948/d1020782
- Description: Adventure tourism (AT), defined as “a broad spectrum of outdoor touristic activities,often commercialized and involving an interaction with the natural environment away from the participants’ home range and containing elements of risk,” (Hall, 1992, p. 143) is currently one of the fastest growing sub-sectors of the tourism industry (Buckley 2010). Because it has emerged relatively recently as a field of study, a number of scholars have called for ongoing research in the area, see Swarbrooke (2003), Pomfret (2006), Buckley (2010), Rogerson (2007), and Williams & Soutar (2005). Much of this research, to date, has focused on marketing, injury caused by AT participation, environmental impacts, and the broad notion of “risk” associated with AT. The problem is that little of this work has focused on the significance of the environment in adventure tourism – an important element inherent in its definition. Thus, this thesis aims to move beyond a general risk-based analysis of AT, and focus on the role of the environment. This is done through a human-environment interaction approach undertaken in Tsitsikamma Village where five adventure tourist operations are based. The first step in operationalizing this approach was to develop a conceptual framework that integrated adventure tourism into a general framework on humanenvironment interaction. The second step was to use a research instrument which enabled one to examine the influence of the environment on human motivations and adventure tourism experiences, and not only the influence of humans on the environment. The former was accomplished through questionnaires based on external, environmental elements that attract adventure tourists as well as inherent personality traits impel such tourists to participate in AT. The latter, based on interviews and participant perceptions, sought to establish the significance of impacts on the environment as well as initiatives taken by AT companies to minimize environmental damage. The findings show that although risk/thrill does play a role, AT motivations and experiences are complex and multidimensional. The environment does significantly influence both motivations and even more so AT experiences. Furthermore, there are distinct differences between the motivations and experiences of participants in different types of AT activities, indicating that generalizing the industry as whole neglects these significant differences. In terms of influences on the environment, the results show that most AT operators in the Tsitsikamma have some consideration for environmental protection and take some initiatives to minimize environmental damage, though the degree to which this occurs differs significantly. Furthermore, activity participants do not believe that the activities have a strong negative impact on the environment, though the majority acknowledge small impacts. The types of impacts observed by participants vary significantly between companies. This thesis demonstrates the manner in which the two-way relationship between humans and the environment manifests itself in the commercial AT industry. The result is a well-rounded examination of the influence of human-environment interaction on AT participants.
- Full Text:
- Date Issued: 2013
- Authors: Giddy, Julia K
- Date: 2013
- Subjects: Human ecology -- South Africa -- Tsitsikammaberge , Tourism -- South Africa -- Tsitsikammaberge
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10674 , http://hdl.handle.net/10948/d1020782
- Description: Adventure tourism (AT), defined as “a broad spectrum of outdoor touristic activities,often commercialized and involving an interaction with the natural environment away from the participants’ home range and containing elements of risk,” (Hall, 1992, p. 143) is currently one of the fastest growing sub-sectors of the tourism industry (Buckley 2010). Because it has emerged relatively recently as a field of study, a number of scholars have called for ongoing research in the area, see Swarbrooke (2003), Pomfret (2006), Buckley (2010), Rogerson (2007), and Williams & Soutar (2005). Much of this research, to date, has focused on marketing, injury caused by AT participation, environmental impacts, and the broad notion of “risk” associated with AT. The problem is that little of this work has focused on the significance of the environment in adventure tourism – an important element inherent in its definition. Thus, this thesis aims to move beyond a general risk-based analysis of AT, and focus on the role of the environment. This is done through a human-environment interaction approach undertaken in Tsitsikamma Village where five adventure tourist operations are based. The first step in operationalizing this approach was to develop a conceptual framework that integrated adventure tourism into a general framework on humanenvironment interaction. The second step was to use a research instrument which enabled one to examine the influence of the environment on human motivations and adventure tourism experiences, and not only the influence of humans on the environment. The former was accomplished through questionnaires based on external, environmental elements that attract adventure tourists as well as inherent personality traits impel such tourists to participate in AT. The latter, based on interviews and participant perceptions, sought to establish the significance of impacts on the environment as well as initiatives taken by AT companies to minimize environmental damage. The findings show that although risk/thrill does play a role, AT motivations and experiences are complex and multidimensional. The environment does significantly influence both motivations and even more so AT experiences. Furthermore, there are distinct differences between the motivations and experiences of participants in different types of AT activities, indicating that generalizing the industry as whole neglects these significant differences. In terms of influences on the environment, the results show that most AT operators in the Tsitsikamma have some consideration for environmental protection and take some initiatives to minimize environmental damage, though the degree to which this occurs differs significantly. Furthermore, activity participants do not believe that the activities have a strong negative impact on the environment, though the majority acknowledge small impacts. The types of impacts observed by participants vary significantly between companies. This thesis demonstrates the manner in which the two-way relationship between humans and the environment manifests itself in the commercial AT industry. The result is a well-rounded examination of the influence of human-environment interaction on AT participants.
- Full Text:
- Date Issued: 2013
Compound distribution models for athletics records
- Authors: Hanly, Erin
- Date: 2013
- Subjects: Athletics , Statistics -- Sports , Forecasting -- Sports
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10105 , http://hdl.handle.net/10948/d1018609
- Description: World records in athletics capture the attention of both the general public and the academic community. Athletics records provide a wealth of quantifiable data, which represent the pinnacle of human ability at the time of the record. This research discusses modelling the progression of athletics world records using a compound distribution model which is found in actuarial statistics. Compound distributions allow for the simultaneous modelling of the frequency of record breaking and of the amount by which the record is improved at each record-breaking performance. A number of assumptions accompany the use of the compound distribution model. This research evaluates the athletics data for adherence to these assumptions, before carrying out distribution-fitting and goodnessof-fit testing. Forecasts of future performance are obtained by means of a simulation method. The forecasts obtained from the compound model are compared to forecasts obtained from non-linear models which have been proposed in literature. This research focuses on short-term forecasts, however, a modification to the compound model which allows for longer-term forecasts is also illustrated.
- Full Text:
- Date Issued: 2013
- Authors: Hanly, Erin
- Date: 2013
- Subjects: Athletics , Statistics -- Sports , Forecasting -- Sports
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10105 , http://hdl.handle.net/10948/d1018609
- Description: World records in athletics capture the attention of both the general public and the academic community. Athletics records provide a wealth of quantifiable data, which represent the pinnacle of human ability at the time of the record. This research discusses modelling the progression of athletics world records using a compound distribution model which is found in actuarial statistics. Compound distributions allow for the simultaneous modelling of the frequency of record breaking and of the amount by which the record is improved at each record-breaking performance. A number of assumptions accompany the use of the compound distribution model. This research evaluates the athletics data for adherence to these assumptions, before carrying out distribution-fitting and goodnessof-fit testing. Forecasts of future performance are obtained by means of a simulation method. The forecasts obtained from the compound model are compared to forecasts obtained from non-linear models which have been proposed in literature. This research focuses on short-term forecasts, however, a modification to the compound model which allows for longer-term forecasts is also illustrated.
- Full Text:
- Date Issued: 2013
Cretaceous dyke swarms and brittle deformation structures in the upper continental crust flanking the Atlantic and Indian margins of Southern Africa, and their relationship to Gondwana break-up
- Authors: Muedi, Thomas Tshifhiwa
- Date: 2013
- Subjects: Dikes (Geology) -- Africa, Southern , Joints (Geology) -- Africa, Southern , Gondwana (Continent)
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10675 , http://hdl.handle.net/10948/d1020896
- Description: Permanent brittle deformation of rocks of the upper crust is often manifested in the growth of fractures, or sliding along fractures, which may subsequently be intruded by magma and other fluids. The brittle deformation structures described here include faults, joints and dykes. Brittle deformation structures along passive continental margins result from continental fragmentation and related uplift, as is seen around the southern African margins in response to Gondwana break-up. In many cases the fragmentation is accompanied by significant magmatic events, for example the Cretaceous mafic dyke swarms that form major components of the South Atlantic Large Igneous Province (LIP) and originated during the break-up of West Gondwana (Africa and South America). The magmatic events accompanying the break-up of Gondwana resulted in crustal extension and the formation of joint systems and dyke swarms that exhibit distinct geometric features that appear to display fractal patterns. This work analyses the relationship between the Henties Bay-Outjo Dyke Swarm (HOD) on the west coast of Namibia, and the Ponta Grossa Dyke Swarm (PG) on the coast of Brazil, both of which formed ca. ~130 Ma, to test for their co-linearity and fractal geometry before and during West Gondwana break-up. This was achieved by reconstructing Gondwana‘s plates that contained the PG and HOD swarms, using ArcGIS and Gplates software. The dyke analyses was complemented with a comparative study of joints of the Table Mountain Group quartzites (TMG, ca. 400 Ma) in the Western Cape Province and Golden Valley Sill (GVS, ca. 180 Ma) in the Eastern Cape Province, to compare their fractal patterns and possible relationship. Mapping of joints was carried out in the field with the use of a compass and GPS. The HOD trend is positioned largely NNE > NE, but a NW dyke trend is also common. The dominant joints in the TMG trend NNW > WSW and the GVS joints trend WNW > NNE and others. The GVS and HOD orientations appear strongly correlated, while TMG shows no simple orientation correlation with GVS and HOD. The lack of correlation is attributed to the TMG‘s formation in different host-rocks with variable anisotropy and/or the presence of different mechanical processes acting at a different time in geological history. All mapped dykes and joints were analysed to test for fractal geometry. The fractal dimension results of about 18605 HOD dykes from microscopic to mega scale (0.1 mm – 100 km) shows fractal patterns that range between Df = 1.1 to 1.9; and the fractal dimension of about 1716 joints in the TMG and about 1026 joints in the GVS at all scales range between ca. Df = 1.6 to 1.9. The similarity of the fractal patterns indicates that joints and dykes may have formed in response to similar tectonic stress events; and similar orientations may indicate that joints pre-dated the dyke intrusions. However, the data also indicate that dykes are not always related to pre-existing joints.
- Full Text:
- Date Issued: 2013
- Authors: Muedi, Thomas Tshifhiwa
- Date: 2013
- Subjects: Dikes (Geology) -- Africa, Southern , Joints (Geology) -- Africa, Southern , Gondwana (Continent)
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10675 , http://hdl.handle.net/10948/d1020896
- Description: Permanent brittle deformation of rocks of the upper crust is often manifested in the growth of fractures, or sliding along fractures, which may subsequently be intruded by magma and other fluids. The brittle deformation structures described here include faults, joints and dykes. Brittle deformation structures along passive continental margins result from continental fragmentation and related uplift, as is seen around the southern African margins in response to Gondwana break-up. In many cases the fragmentation is accompanied by significant magmatic events, for example the Cretaceous mafic dyke swarms that form major components of the South Atlantic Large Igneous Province (LIP) and originated during the break-up of West Gondwana (Africa and South America). The magmatic events accompanying the break-up of Gondwana resulted in crustal extension and the formation of joint systems and dyke swarms that exhibit distinct geometric features that appear to display fractal patterns. This work analyses the relationship between the Henties Bay-Outjo Dyke Swarm (HOD) on the west coast of Namibia, and the Ponta Grossa Dyke Swarm (PG) on the coast of Brazil, both of which formed ca. ~130 Ma, to test for their co-linearity and fractal geometry before and during West Gondwana break-up. This was achieved by reconstructing Gondwana‘s plates that contained the PG and HOD swarms, using ArcGIS and Gplates software. The dyke analyses was complemented with a comparative study of joints of the Table Mountain Group quartzites (TMG, ca. 400 Ma) in the Western Cape Province and Golden Valley Sill (GVS, ca. 180 Ma) in the Eastern Cape Province, to compare their fractal patterns and possible relationship. Mapping of joints was carried out in the field with the use of a compass and GPS. The HOD trend is positioned largely NNE > NE, but a NW dyke trend is also common. The dominant joints in the TMG trend NNW > WSW and the GVS joints trend WNW > NNE and others. The GVS and HOD orientations appear strongly correlated, while TMG shows no simple orientation correlation with GVS and HOD. The lack of correlation is attributed to the TMG‘s formation in different host-rocks with variable anisotropy and/or the presence of different mechanical processes acting at a different time in geological history. All mapped dykes and joints were analysed to test for fractal geometry. The fractal dimension results of about 18605 HOD dykes from microscopic to mega scale (0.1 mm – 100 km) shows fractal patterns that range between Df = 1.1 to 1.9; and the fractal dimension of about 1716 joints in the TMG and about 1026 joints in the GVS at all scales range between ca. Df = 1.6 to 1.9. The similarity of the fractal patterns indicates that joints and dykes may have formed in response to similar tectonic stress events; and similar orientations may indicate that joints pre-dated the dyke intrusions. However, the data also indicate that dykes are not always related to pre-existing joints.
- Full Text:
- Date Issued: 2013
Designing multi-touch tabletop interaction techniques to support co-located Group Information Management
- Authors: Ditta, Mohammed Ali
- Date: 2013
- Subjects: Groupware (Computer software) , Teams in the workplace -- Data processing
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10493 , http://hdl.handle.net/10948/d1020639
- Description: Co-located group information management (GIM) is a form of groupware with the aim of enabling users to collaboratively find, store, maintain, organise and share personal and/or group information in support of a group activity. Existing systems aimed at partially supporting GIM activities have been implemented on single user devices. These systems make use of asynchronous communication that may hinder collaboration by misinterpretation, information leaks, etc. Few systems exist, with limited functionality, that support co-located GIM. Multi-touch tabletop interaction has given rise to a new approach for supporting Computer Supported Cooperative Work (CSCW). Multi-touch tabletops allow multiple users to naturally interact with a computer device using a shared display and gesture interaction. The tabletop environment also enables users to sit in a natural environment and synchronously communicate without bulky desktops or laptops. Multi-touch tabletops provide the hardware necessary to support co-located GIM. Existing multi-touch interaction techniques were analysed and proved insufficient to support the advanced functional requirements of GIM. The goal of this research was therefore to support co-located GIM by designing new multi-touch tabletop interaction techniques. An architecture was proposed to support co-located GIM with new multi-touch interaction techniques. A software prototype was developed based on the proposed architecture to facilitate the main activities of GIM and to collaboratively compile documents. The prototype was named CollaGIM (Colla – collaborative, GIM – group information management). CollaGIM supports the main activities of GIM using natural gesture interaction on a multi-touch tabletop. An evaluation of the software was conducted by means of a user study where 15 teams of two people participated. High task success rates and user satisfaction results were achieved, which showed that CollaGIM was capable of supporting co-located GIM using the new multi-touch tabletop interaction techniques. CollaGIM also positively supported collaboration between users.
- Full Text:
- Date Issued: 2013
- Authors: Ditta, Mohammed Ali
- Date: 2013
- Subjects: Groupware (Computer software) , Teams in the workplace -- Data processing
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10493 , http://hdl.handle.net/10948/d1020639
- Description: Co-located group information management (GIM) is a form of groupware with the aim of enabling users to collaboratively find, store, maintain, organise and share personal and/or group information in support of a group activity. Existing systems aimed at partially supporting GIM activities have been implemented on single user devices. These systems make use of asynchronous communication that may hinder collaboration by misinterpretation, information leaks, etc. Few systems exist, with limited functionality, that support co-located GIM. Multi-touch tabletop interaction has given rise to a new approach for supporting Computer Supported Cooperative Work (CSCW). Multi-touch tabletops allow multiple users to naturally interact with a computer device using a shared display and gesture interaction. The tabletop environment also enables users to sit in a natural environment and synchronously communicate without bulky desktops or laptops. Multi-touch tabletops provide the hardware necessary to support co-located GIM. Existing multi-touch interaction techniques were analysed and proved insufficient to support the advanced functional requirements of GIM. The goal of this research was therefore to support co-located GIM by designing new multi-touch tabletop interaction techniques. An architecture was proposed to support co-located GIM with new multi-touch interaction techniques. A software prototype was developed based on the proposed architecture to facilitate the main activities of GIM and to collaboratively compile documents. The prototype was named CollaGIM (Colla – collaborative, GIM – group information management). CollaGIM supports the main activities of GIM using natural gesture interaction on a multi-touch tabletop. An evaluation of the software was conducted by means of a user study where 15 teams of two people participated. High task success rates and user satisfaction results were achieved, which showed that CollaGIM was capable of supporting co-located GIM using the new multi-touch tabletop interaction techniques. CollaGIM also positively supported collaboration between users.
- Full Text:
- Date Issued: 2013
Diet and foraging distribution of gentoo penguins pygoscelis papua at Cow Bay, Falkland Islands
- Authors: Handley, Jonathan Murray
- Date: 2013
- Subjects: Gentoo penguin -- Food -- Falkland Islands
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10724 , http://hdl.handle.net/10948/d1020377
- Description: Knowledge of diet and distribution in marine top predators is critical in interpreting their ecological role. Furthermore, this information is required for effective management and conservation of these species. For gentoo penguins at the Falkland Islands a previous overlap in dietary items with commercial fisheries was recognised. Despite this the at-sea distribution has been poorly studied and only at a few localities. Therefore, this thesis looks to broaden the knowledge of foraging ecology for gentoo penguins at another site in the archipelago, Cow Bay. The aim was firstly, through stomach content analysis, to determine if diet changed over a large temporal scale (2002/03/04 – 2011/12/13), and between the chick guard and crèche periods of chick rearing. Secondly, through GPS loggers, to assess distribution at sea during the incubation and chick guard periods (2012/13). Additionally, foraging ecology between genders was investigated. Gentoo penguins at Cow Bay foraged primarily on fish (66-99 percent) throughout the entire study period. The principle prey item by mass was Patagonotothen spp., considered previously as discard by fisheries but now an important commercial resource, for all periods (47-78 percent) except that of the 2012/13 crèche period (19 percent). During this period Sprattus fugensis made up the bulk of the diet (52 percent). Cephalopods, particularly Loligo gahi (1-24 percent), were also prominent in the diet and crustaceans contributed negligibly. The diet indicated that gentoo penguins are capable of both a benthic and pelagic feeding strategy which likely reflects changes in local prey abundance. Birds typically conducted foraging activities during daylight hours with greater trip duration, path length, maximum distance and area utilised during the incubation period than the guard. All trips were confined to the continental shelf and within the boundaries of a marine management zone, the Falkland Islands Interim Conservation Zone (FICZ). Males and females fed on the same size and composition of prey items. Trip duration, path length and maximum distance from the colony were not significantly different, although males foraged in a slightly larger area than females marginally to the north. As at-sea distribution was confined within the FICZ this management area provides protection to food resources of gentoo penguins breeding at Cow Bay. At this site, the population is increasing, likely associated with increased prey availability as evidenced by record catches of Patagonotothen spp. in recent years at the Falkland Islands. Continued long term monitoring of gentoo penguin diet and fishery yields to allow detection of possible competition in the future is recommended. As marine sentinels, on-going monitoring of gentoo penguin populations at the Falkland Islands is likely to provide early warning signs of reduced prey availability.
- Full Text:
- Date Issued: 2013
- Authors: Handley, Jonathan Murray
- Date: 2013
- Subjects: Gentoo penguin -- Food -- Falkland Islands
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10724 , http://hdl.handle.net/10948/d1020377
- Description: Knowledge of diet and distribution in marine top predators is critical in interpreting their ecological role. Furthermore, this information is required for effective management and conservation of these species. For gentoo penguins at the Falkland Islands a previous overlap in dietary items with commercial fisheries was recognised. Despite this the at-sea distribution has been poorly studied and only at a few localities. Therefore, this thesis looks to broaden the knowledge of foraging ecology for gentoo penguins at another site in the archipelago, Cow Bay. The aim was firstly, through stomach content analysis, to determine if diet changed over a large temporal scale (2002/03/04 – 2011/12/13), and between the chick guard and crèche periods of chick rearing. Secondly, through GPS loggers, to assess distribution at sea during the incubation and chick guard periods (2012/13). Additionally, foraging ecology between genders was investigated. Gentoo penguins at Cow Bay foraged primarily on fish (66-99 percent) throughout the entire study period. The principle prey item by mass was Patagonotothen spp., considered previously as discard by fisheries but now an important commercial resource, for all periods (47-78 percent) except that of the 2012/13 crèche period (19 percent). During this period Sprattus fugensis made up the bulk of the diet (52 percent). Cephalopods, particularly Loligo gahi (1-24 percent), were also prominent in the diet and crustaceans contributed negligibly. The diet indicated that gentoo penguins are capable of both a benthic and pelagic feeding strategy which likely reflects changes in local prey abundance. Birds typically conducted foraging activities during daylight hours with greater trip duration, path length, maximum distance and area utilised during the incubation period than the guard. All trips were confined to the continental shelf and within the boundaries of a marine management zone, the Falkland Islands Interim Conservation Zone (FICZ). Males and females fed on the same size and composition of prey items. Trip duration, path length and maximum distance from the colony were not significantly different, although males foraged in a slightly larger area than females marginally to the north. As at-sea distribution was confined within the FICZ this management area provides protection to food resources of gentoo penguins breeding at Cow Bay. At this site, the population is increasing, likely associated with increased prey availability as evidenced by record catches of Patagonotothen spp. in recent years at the Falkland Islands. Continued long term monitoring of gentoo penguin diet and fishery yields to allow detection of possible competition in the future is recommended. As marine sentinels, on-going monitoring of gentoo penguin populations at the Falkland Islands is likely to provide early warning signs of reduced prey availability.
- Full Text:
- Date Issued: 2013
Dysfunctional facilities management service provision in an outsource environment
- Authors: Otoo, Ernest Kweku
- Date: 2013
- Subjects: Facility management
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:9725 , http://hdl.handle.net/10948/d1019717
- Full Text:
- Date Issued: 2013
- Authors: Otoo, Ernest Kweku
- Date: 2013
- Subjects: Facility management
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:9725 , http://hdl.handle.net/10948/d1019717
- Full Text:
- Date Issued: 2013
Environmentally friendly dyeing and finishing
- Authors: Dayla, Mackraj
- Date: 2013
- Subjects: Dyes and dyeing -- Knit goods -- South Africa , Textile finishing -- South Africa , Bleaching industry -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10454 , http://hdl.handle.net/10948/d1020776
- Description: The textile industry in South Africa is a significant contributor to the chemical load that public wastewater treatment plants have to process, and the discharge of toxic substances, especially to the aquatic environment. In order to address this issue at factory level, the processes at a textile plant, JMV Textiles were chosen for investigation into the possibilities of minimization of discharges of harmful substances into the environment. The study followed the principles of cleaner production, and the processes that were investigated and revised were: The conventional peroxide bleaching process employed a peroxide stabilizer that did not biodegrade easily. The bleaching process was changed, so that the prevailing conditions in the fabric and dyebath facilitated bleaching without the addition of peroxide stabilizer, and also reduced the alkali and energy requirements. Polyester‐viscose fabric was pretreated by bleaching with hydrogen peroxide, which seemed to be unnecessarily rigorous, because polyester and viscose, unlike natural fibres, are relatively clean and have good whiteness in comparison with natural fibres. The proposed alternate pretreatment was a scour with detergent and alkali. The pretreatment for all polyester‐cotton fabrics was also a hydrogen peroxide bleach. Due to the ability of medium and dark shades to mask the natural tint of cotton fibres, a simpler alternate pretreatment, consisting of an alkaline scour with sequestering agent, was trialled. An unacceptable proportion of the dyeings on polyester was rejected for dye‐stains and dye‐marks. A possible solution exploited the properties of using the finishing auxiliary chemical to alleviate dye‐stains and dye‐marks during the dyeing stage, instead of using the chemical after dyeing. The highly toxic carrier that was used to facilitate level dyeing of polyester fibres that had unacceptable variation in their dyeing properties, was replaced by a less toxic carrier. The formulation for dyeing polyester was simplified to eliminate the auxiliary chemicals that were not essential to the dyeing process. Pale reactive dyed shades on cellulose and polyester‐cellulose were washed off only with hot water instead of detergent. The revised procedures consequential to the study, offered significant environmental benefits by reducing the concentration and volume of effluent produced, substituting a highly toxic carrier with a less toxic one and saving energy and water. Implementation of the suggested changes also offered financial benefits. The management of the factory, however, accepted and implemented some changes, but wanted further investigations for others and a phased approach to the other suggested changes.
- Full Text:
- Date Issued: 2013
- Authors: Dayla, Mackraj
- Date: 2013
- Subjects: Dyes and dyeing -- Knit goods -- South Africa , Textile finishing -- South Africa , Bleaching industry -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10454 , http://hdl.handle.net/10948/d1020776
- Description: The textile industry in South Africa is a significant contributor to the chemical load that public wastewater treatment plants have to process, and the discharge of toxic substances, especially to the aquatic environment. In order to address this issue at factory level, the processes at a textile plant, JMV Textiles were chosen for investigation into the possibilities of minimization of discharges of harmful substances into the environment. The study followed the principles of cleaner production, and the processes that were investigated and revised were: The conventional peroxide bleaching process employed a peroxide stabilizer that did not biodegrade easily. The bleaching process was changed, so that the prevailing conditions in the fabric and dyebath facilitated bleaching without the addition of peroxide stabilizer, and also reduced the alkali and energy requirements. Polyester‐viscose fabric was pretreated by bleaching with hydrogen peroxide, which seemed to be unnecessarily rigorous, because polyester and viscose, unlike natural fibres, are relatively clean and have good whiteness in comparison with natural fibres. The proposed alternate pretreatment was a scour with detergent and alkali. The pretreatment for all polyester‐cotton fabrics was also a hydrogen peroxide bleach. Due to the ability of medium and dark shades to mask the natural tint of cotton fibres, a simpler alternate pretreatment, consisting of an alkaline scour with sequestering agent, was trialled. An unacceptable proportion of the dyeings on polyester was rejected for dye‐stains and dye‐marks. A possible solution exploited the properties of using the finishing auxiliary chemical to alleviate dye‐stains and dye‐marks during the dyeing stage, instead of using the chemical after dyeing. The highly toxic carrier that was used to facilitate level dyeing of polyester fibres that had unacceptable variation in their dyeing properties, was replaced by a less toxic carrier. The formulation for dyeing polyester was simplified to eliminate the auxiliary chemicals that were not essential to the dyeing process. Pale reactive dyed shades on cellulose and polyester‐cellulose were washed off only with hot water instead of detergent. The revised procedures consequential to the study, offered significant environmental benefits by reducing the concentration and volume of effluent produced, substituting a highly toxic carrier with a less toxic one and saving energy and water. Implementation of the suggested changes also offered financial benefits. The management of the factory, however, accepted and implemented some changes, but wanted further investigations for others and a phased approach to the other suggested changes.
- Full Text:
- Date Issued: 2013
Evaluating the effect of microalgae biomass on the combustion of coal
- Authors: Ejesieme, Obialo Vitus
- Date: 2013
- Subjects: Co-combustion , Coal -- Combustion , Biomass -- Combustion
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10435 , http://hdl.handle.net/10948/d1020641
- Description: In this work the combustion characteristics of coal, charcoal, microalgae biomass and blends between these three components were evaluated by means of non-isothermal thermogravimetry. Blends between coal, charcoal and microalgae biomass were made according to the specifications of a D-optimal mixture design so as to be able to model interactions between the three components with maximum precision despite multiple constraints built into the design. These constraints specified that coal can have a minimum value of 70 mass percent in any blend, while microalgae can have a maximum value of 20 mass percent. While coal and charcoal were blended by mixing the two respective dry components, microalgae biomass was incorporated into the blends by first absorbing microalgae onto fine coal from concentrated slurry of the microalgae in water. The microalgae in these blends were therefore intimately associated with the coal. This approach differed substantially from the normal practice of preparing coal – biomass blends (which are usually dry-mixed as for coal – charcoal blends). Proximate analyses of the starting materials showed that the microalgae biomass has a significantly higher volatile matter: fixed carbon content than both coal and charcoal, which should improve the combustion of these materials by providing a more stable combustion flame. Analyses of the thermogravimetric data obtained showed that coal and charcoal have much simpler combustion profiles than microalgae biomass for which five different thermal events could be observed in the DTG combustion profile. Qualitative kinetic analyses showed that the combustion of coal and charcoal follows first-order kinetics, but for microalgae biomass combustion, the first two combustion stages appear to follow first-order kinetics. The TG and DTG profiles for coal, charcoal, microalgae and blends of these three components were used to derive values for the so-called comprehensive combustion property index (S-value), which provides a combined measure of the ease of ignition, rate of combustion, and burn-out temperature. The S-values so obtained were used as response variable for the construction of a response surface model in the experimental domain investigated. Following statistical validation of the response surface model, the model was used to predict an optimum S-value or a blend that would display optimum combustion behaviour. Two optimum blends were obtained from the optimisation process, one in which only charcoal is added to coal, and one in which only microalgae is added to coal. Adding both charcoal and microalgae produced an antagonistic effect compared to when only one of these are used. Qualitative kinetic analyses of the combustion data of blends indicate that blends of coal and charcoal combust in a manner similar to the individual components (hence following first-order kinetics), but blends of coal and microalgae follow more complex kinetics despite the fact that the combustion profile is visibly more simple compared to the combustion profile for microalgae alone.
- Full Text:
- Date Issued: 2013
- Authors: Ejesieme, Obialo Vitus
- Date: 2013
- Subjects: Co-combustion , Coal -- Combustion , Biomass -- Combustion
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10435 , http://hdl.handle.net/10948/d1020641
- Description: In this work the combustion characteristics of coal, charcoal, microalgae biomass and blends between these three components were evaluated by means of non-isothermal thermogravimetry. Blends between coal, charcoal and microalgae biomass were made according to the specifications of a D-optimal mixture design so as to be able to model interactions between the three components with maximum precision despite multiple constraints built into the design. These constraints specified that coal can have a minimum value of 70 mass percent in any blend, while microalgae can have a maximum value of 20 mass percent. While coal and charcoal were blended by mixing the two respective dry components, microalgae biomass was incorporated into the blends by first absorbing microalgae onto fine coal from concentrated slurry of the microalgae in water. The microalgae in these blends were therefore intimately associated with the coal. This approach differed substantially from the normal practice of preparing coal – biomass blends (which are usually dry-mixed as for coal – charcoal blends). Proximate analyses of the starting materials showed that the microalgae biomass has a significantly higher volatile matter: fixed carbon content than both coal and charcoal, which should improve the combustion of these materials by providing a more stable combustion flame. Analyses of the thermogravimetric data obtained showed that coal and charcoal have much simpler combustion profiles than microalgae biomass for which five different thermal events could be observed in the DTG combustion profile. Qualitative kinetic analyses showed that the combustion of coal and charcoal follows first-order kinetics, but for microalgae biomass combustion, the first two combustion stages appear to follow first-order kinetics. The TG and DTG profiles for coal, charcoal, microalgae and blends of these three components were used to derive values for the so-called comprehensive combustion property index (S-value), which provides a combined measure of the ease of ignition, rate of combustion, and burn-out temperature. The S-values so obtained were used as response variable for the construction of a response surface model in the experimental domain investigated. Following statistical validation of the response surface model, the model was used to predict an optimum S-value or a blend that would display optimum combustion behaviour. Two optimum blends were obtained from the optimisation process, one in which only charcoal is added to coal, and one in which only microalgae is added to coal. Adding both charcoal and microalgae produced an antagonistic effect compared to when only one of these are used. Qualitative kinetic analyses of the combustion data of blends indicate that blends of coal and charcoal combust in a manner similar to the individual components (hence following first-order kinetics), but blends of coal and microalgae follow more complex kinetics despite the fact that the combustion profile is visibly more simple compared to the combustion profile for microalgae alone.
- Full Text:
- Date Issued: 2013
Evaluating the training and supply of artisans in the South African construction industry
- Authors: Anugwo, Iruka Chijindu
- Date: 2013
- Subjects: Skilled labor -- South Africa , Skilled labor -- Training -- South Africa , Artisans -- South Africa , Construction industry -- Employees --Training of -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:9672 , http://hdl.handle.net/10948/d1020042
- Description: The study focused on identifying ways in which to improve and increase the quality of training and supply of skilled artisans in the South African construction industry (especially in Gauteng Province) in terms of short and medium term approach. The construction industry is facing a severe skills crisis and this has made it so difficult to recruit competent artisans. This may be as a result of artisans being regarded as the lowest in the hierarchy of construction worker positions. In addition, these artisans warrant less training than those at executive- and managerial levels. This negative attitude towards artisans training has plunged the industry into crisis. Those involved find it difficult to successfully complete projects on time, within budgeted project costs and within the required quality specification due to lack of competent artisans. However, serious attention is required towards enhancing artisan training in the industry. It is imperative and vital to ensure the survival of the industry. The cardinal aim of this research project was to demonstrate a guiding solution towards the skills crisis. Thus, in order to initiate a tremendous change in the skills profile, certain measures are required, e.g. expanding training institutions to local regions; upgrading and aligning facilities in the training institutions to industrial demands and the dissemination of vital information that will ensure the attractiveness of the industry. This will safeguard the construction organisations operating in Gauteng Province. Although the industry is a major player in the economy, there is need for special attention in order to ensure sustainable growth and economic development. The Government, construction industry stakeholders and training institutions personnel should collaborate to salvage the skills crisis by strategically developing programmes (in accordance with industrial requirements) that will benefit prospective learners. The researcher adopted the descriptive- and analytical survey method, which entailed the use of questionnaires and a review of the related literature for gathering relevant data. The methodology used in the research was the quantitative data analysis. The feature findings of the research concluded that the skilled artisans profile is insufficient to meet industry demands. In addition, training institutions and primary- and secondary educational systems are characterized by ninadequacy and incompetency to produce skilled artisans. The situation is exacerbated by the lack of harmonization between the training institutions and the vindustry’s requirements. Furthermore, the majority of the respondents acknowledged that training of their workers is an important aspect to them, but few of these organisations indicated that they make use of formal training institutions such as FET colleges. The recommendation include that all the stakeholders in the construction industry should form collaborations to strategically develop programmes that would upgrade the existing training institutions. This could be done through provision of adequate funds and resources and the dissemination of vital information that is capable to promote the attractiveness of the industry image.
- Full Text:
- Date Issued: 2013
- Authors: Anugwo, Iruka Chijindu
- Date: 2013
- Subjects: Skilled labor -- South Africa , Skilled labor -- Training -- South Africa , Artisans -- South Africa , Construction industry -- Employees --Training of -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:9672 , http://hdl.handle.net/10948/d1020042
- Description: The study focused on identifying ways in which to improve and increase the quality of training and supply of skilled artisans in the South African construction industry (especially in Gauteng Province) in terms of short and medium term approach. The construction industry is facing a severe skills crisis and this has made it so difficult to recruit competent artisans. This may be as a result of artisans being regarded as the lowest in the hierarchy of construction worker positions. In addition, these artisans warrant less training than those at executive- and managerial levels. This negative attitude towards artisans training has plunged the industry into crisis. Those involved find it difficult to successfully complete projects on time, within budgeted project costs and within the required quality specification due to lack of competent artisans. However, serious attention is required towards enhancing artisan training in the industry. It is imperative and vital to ensure the survival of the industry. The cardinal aim of this research project was to demonstrate a guiding solution towards the skills crisis. Thus, in order to initiate a tremendous change in the skills profile, certain measures are required, e.g. expanding training institutions to local regions; upgrading and aligning facilities in the training institutions to industrial demands and the dissemination of vital information that will ensure the attractiveness of the industry. This will safeguard the construction organisations operating in Gauteng Province. Although the industry is a major player in the economy, there is need for special attention in order to ensure sustainable growth and economic development. The Government, construction industry stakeholders and training institutions personnel should collaborate to salvage the skills crisis by strategically developing programmes (in accordance with industrial requirements) that will benefit prospective learners. The researcher adopted the descriptive- and analytical survey method, which entailed the use of questionnaires and a review of the related literature for gathering relevant data. The methodology used in the research was the quantitative data analysis. The feature findings of the research concluded that the skilled artisans profile is insufficient to meet industry demands. In addition, training institutions and primary- and secondary educational systems are characterized by ninadequacy and incompetency to produce skilled artisans. The situation is exacerbated by the lack of harmonization between the training institutions and the vindustry’s requirements. Furthermore, the majority of the respondents acknowledged that training of their workers is an important aspect to them, but few of these organisations indicated that they make use of formal training institutions such as FET colleges. The recommendation include that all the stakeholders in the construction industry should form collaborations to strategically develop programmes that would upgrade the existing training institutions. This could be done through provision of adequate funds and resources and the dissemination of vital information that is capable to promote the attractiveness of the industry image.
- Full Text:
- Date Issued: 2013
Evaluation of eucalyptus citriodora derived p-menthane-3,8-diol-citronellal acetal as a bio-plasticizer for cosmetic application
- Authors: Burger, Kirstin
- Date: 2013
- Subjects: Plasticizers , Eucalyptus citriodora
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10420 , http://hdl.handle.net/10948/d1014080
- Description: Plasticizers are generally added to cosmetic and personal care products to improve the filmforming abilities of the product and increase flexibility of the film formed on the skin or hair surface. For example, plasticizers are present in perfumes to prolong the release of the specific scent, which is the ultimate goal in a good quality perfume. Plasticizers in nail varnishes prevent chipping, improve the aesthetics by adhering to the keratin in the nail which means the coating stays on for much longer, which is the ultimate goal in nail products. Plasticizers improve the gloss, resist chipping and allow quick drying time. Therefore it can be seen that plasticizers play a vital role in personal care products like perfumes and nail varnishes. Certain plasticizers e.g. phthalates, can cause problems associated with human health and can harm the environment. They are easily available and large volumes can be obtained at a low cost. These phthalates, for example, di-butyl phthalate (DBP) have been identified as carcinogenic. Nowadays the occurrence of cancer is rapidly increasing. The plasticizers present in a large number of consumer and personal care products, can possibly be linked to the ever increasing reports of cancer. Therefore a substitute to the traditional phthalate plasticizers must be investigated. The aim of this research is to produce a plasticizer derived from naturally occurring Eucalyptus oil, which can be used to replace the existing plasticizers in cosmetic formulations. Para-menthane-3,8-diol (PMD), occurring naturally in the oil from the tree, Eucalyptus citriodora, forms an acetal with citronellal (PMD, acetal, citronellal all occur naturally in the oil). It has been previously shown that PMD-citronellal acetal will exhibit plasticizing properties similar to conventional plasticizers. The objective was to enhance the formation of the acetal in the Eucalyptus oil by reacting it with excess PMD. An effective synthesis method for the PMD-citronellal acetal enriched oil (~73.8 percent) was determined from optimization experiments. The physical characterisation of the PMD-citronellal acetal enriched oil was done and compared with that of DBP. The acetal-enriched oil had a lower density, slightly higher solubility in water (at 25°C), lower refractive index (Brix percent) and a higher boiling point (350°C) than DBP. The physical characteristics of the Eucalyptus oil source and the acetal-enriched Eucalyptus oil were very similar. This can be expected as the Eucalyptus oil consists of ~84.3 percent Citronellal, ~ 1.3 percent PMD and 2.7 percent PMD-citronellal acetal. In this study the effectiveness of the acetal-enriched Eucalyptus oil (referred to from now on as the bio-plasticizer) was compared to a conventional plasticizer such as di-butyl phthalate (DBP), commonly used in cosmetic products. Two cosmetic formulations were produced: a nail varnish and a perfume formulation. Various tests were performed on these formulations to investigate the plasticizing properties of the bio-plasticizer. The objectives were to determine if the natural plasticizer is as effective as the potentially carcinogenic phthalate plasticizers and can be used as a substitute for the phthalates in personal care products. The results indicate that the bio-plasticizer does behave similarly to di-butyl phthalate, however, the effectiveness of the bio-plasticizer is lower than that of di-butyl phthalate. As the viscosity of the synthesized oil was high, this affected the overall consistency of the products. A more viscous nail varnish and perfume was produced in comparison to the DBP counterpart. The stability of the bio-plasticizer in the cosmetic formulations of nail varnish and perfume was also investigated. The cosmetic products were incubated at 0°C, 25°C and 40°C over a period of two months. Any changes in colour, odour, pH, refractive index, separation and plasticizer peak change in the gas chromatogram trace were recorded. It was determined that the PMD-citronellal acetal-enriched oil was relatively unstable under elevated temperatures and light intensity. Storage under higher temperatures (40°C) tends to increase the acidity. Therefore the bio-plasticizer must be placed in a closed, covered bottle and stored in an environment away from light and elevated temperatures. According to the gas chromatogram peaks, it was clear that both the bio-plasticizer and the DBP were more unstable in the perfume formulation than in the nail polish and were especially sensitive to light when in the perfume. This could possibly be due to the interaction with the fragrance molecule, p-anisaldehyde.
- Full Text:
- Date Issued: 2013
- Authors: Burger, Kirstin
- Date: 2013
- Subjects: Plasticizers , Eucalyptus citriodora
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10420 , http://hdl.handle.net/10948/d1014080
- Description: Plasticizers are generally added to cosmetic and personal care products to improve the filmforming abilities of the product and increase flexibility of the film formed on the skin or hair surface. For example, plasticizers are present in perfumes to prolong the release of the specific scent, which is the ultimate goal in a good quality perfume. Plasticizers in nail varnishes prevent chipping, improve the aesthetics by adhering to the keratin in the nail which means the coating stays on for much longer, which is the ultimate goal in nail products. Plasticizers improve the gloss, resist chipping and allow quick drying time. Therefore it can be seen that plasticizers play a vital role in personal care products like perfumes and nail varnishes. Certain plasticizers e.g. phthalates, can cause problems associated with human health and can harm the environment. They are easily available and large volumes can be obtained at a low cost. These phthalates, for example, di-butyl phthalate (DBP) have been identified as carcinogenic. Nowadays the occurrence of cancer is rapidly increasing. The plasticizers present in a large number of consumer and personal care products, can possibly be linked to the ever increasing reports of cancer. Therefore a substitute to the traditional phthalate plasticizers must be investigated. The aim of this research is to produce a plasticizer derived from naturally occurring Eucalyptus oil, which can be used to replace the existing plasticizers in cosmetic formulations. Para-menthane-3,8-diol (PMD), occurring naturally in the oil from the tree, Eucalyptus citriodora, forms an acetal with citronellal (PMD, acetal, citronellal all occur naturally in the oil). It has been previously shown that PMD-citronellal acetal will exhibit plasticizing properties similar to conventional plasticizers. The objective was to enhance the formation of the acetal in the Eucalyptus oil by reacting it with excess PMD. An effective synthesis method for the PMD-citronellal acetal enriched oil (~73.8 percent) was determined from optimization experiments. The physical characterisation of the PMD-citronellal acetal enriched oil was done and compared with that of DBP. The acetal-enriched oil had a lower density, slightly higher solubility in water (at 25°C), lower refractive index (Brix percent) and a higher boiling point (350°C) than DBP. The physical characteristics of the Eucalyptus oil source and the acetal-enriched Eucalyptus oil were very similar. This can be expected as the Eucalyptus oil consists of ~84.3 percent Citronellal, ~ 1.3 percent PMD and 2.7 percent PMD-citronellal acetal. In this study the effectiveness of the acetal-enriched Eucalyptus oil (referred to from now on as the bio-plasticizer) was compared to a conventional plasticizer such as di-butyl phthalate (DBP), commonly used in cosmetic products. Two cosmetic formulations were produced: a nail varnish and a perfume formulation. Various tests were performed on these formulations to investigate the plasticizing properties of the bio-plasticizer. The objectives were to determine if the natural plasticizer is as effective as the potentially carcinogenic phthalate plasticizers and can be used as a substitute for the phthalates in personal care products. The results indicate that the bio-plasticizer does behave similarly to di-butyl phthalate, however, the effectiveness of the bio-plasticizer is lower than that of di-butyl phthalate. As the viscosity of the synthesized oil was high, this affected the overall consistency of the products. A more viscous nail varnish and perfume was produced in comparison to the DBP counterpart. The stability of the bio-plasticizer in the cosmetic formulations of nail varnish and perfume was also investigated. The cosmetic products were incubated at 0°C, 25°C and 40°C over a period of two months. Any changes in colour, odour, pH, refractive index, separation and plasticizer peak change in the gas chromatogram trace were recorded. It was determined that the PMD-citronellal acetal-enriched oil was relatively unstable under elevated temperatures and light intensity. Storage under higher temperatures (40°C) tends to increase the acidity. Therefore the bio-plasticizer must be placed in a closed, covered bottle and stored in an environment away from light and elevated temperatures. According to the gas chromatogram peaks, it was clear that both the bio-plasticizer and the DBP were more unstable in the perfume formulation than in the nail polish and were especially sensitive to light when in the perfume. This could possibly be due to the interaction with the fragrance molecule, p-anisaldehyde.
- Full Text:
- Date Issued: 2013
Evaluation of plant extracts : artemisia afra and annona muricata for inhibitory activities against mycobacterium tuberculosis and human immunodeficiency virus
- Authors: Pruissen, Megan Colleen
- Date: 2013
- Subjects: Plant extracts , Medicinal plants -- South Africa , Tuberculosis -- Alternative treatment -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10341 , http://hdl.handle.net/10948/d1019845
- Description: Mycobacterium tuberculosis and Human Immuno-Deficiency Virus (HIV) have a high prevalence in South Africa. The development and spread of drug resistant tuberculosis is a serious problem which is exacerbated by tuberculosis (TB) co-infection in HIV patients. Traditional medicinal plants like Annona muricata and Artemisia afra are used for respiratory ailments and antiviral therapies respectively. The aim of this study was to evaluate Annona muricata (ethanolic extract) and Artemisia afra (ethanolic and aqueous extracts) for inhibitory activities against M. tuberculosis and HIV. In vitro bioassays for anti-TB activity included: microplate alamar blue assay (MABA), flow cytometry and ρ-iodonitrotetrazolium chloride assays while anti-HIV activity was determined using an HIV-1 reverse transcriptase colorimetric ELISA kit and an HIV-1 integrase colorimetric immunoassay. Cytotoxicity of plant extracts were assessed by the MTT assay on Chang Liver and HepG2 cells. Potential synergistic effects were determined using the basis of Combination Index. Potential interactions of plant extracts with drug metabolic pathways were evaluated with the Glutathione-S-Transferase assay kit as well as the CYP3A4 assay kit. A. muricata ethanolic extract exhibited anti-TB activity with MIC 125 μg/mL. MABA was shown to be the most sensitive and effective method for the detection of anti-TB activity. Artemisia afra aqueous extract showed HIV-1 reverse transcriptase inhibition exhibiting ˃85 percent inhibition at 1 mg/mL while the ethanolic extracts of A. afra and A. muricata showed inhibition of HIV-1 integrase activity at ˃86.8 percent and ˃88.54 percent respectively at concentrations >0.5 - 4 mg/mL. The aqueous extract of A. afra displayed inhibition of HIV-1 integrase ˃52.16 percent at 0.5 mg/mL increasing to 72.89 percent at 4 mg/ml of the extract. A. muricata was cytotoxic at an IC50 of 30 μg/mL and 77 μg/mL on Chang Liver and HepG2 cells respectively, whilst A. afra aqueous and ethanol extracts were not cytotoxic to both cell lines. The ethanolic extract of A. muricata showed both antagonistic and synergistic properties at various IC values, when used in conjunction with rifampicin. A. afra ethanolic extract interrupted GST activity while aqueous extracts of A. afra and A. muricata had a slight effect. All extracts interrupted CYP3A4 activity, however the ethanolic extracts of A. muricata and A. afra showed greater inhibition than the aqueous extract of A. afra. These extracts should be investigated further as they could be an important source of compounds for treatment of M. tuberculosis and HIV respectively.
- Full Text:
- Date Issued: 2013
- Authors: Pruissen, Megan Colleen
- Date: 2013
- Subjects: Plant extracts , Medicinal plants -- South Africa , Tuberculosis -- Alternative treatment -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10341 , http://hdl.handle.net/10948/d1019845
- Description: Mycobacterium tuberculosis and Human Immuno-Deficiency Virus (HIV) have a high prevalence in South Africa. The development and spread of drug resistant tuberculosis is a serious problem which is exacerbated by tuberculosis (TB) co-infection in HIV patients. Traditional medicinal plants like Annona muricata and Artemisia afra are used for respiratory ailments and antiviral therapies respectively. The aim of this study was to evaluate Annona muricata (ethanolic extract) and Artemisia afra (ethanolic and aqueous extracts) for inhibitory activities against M. tuberculosis and HIV. In vitro bioassays for anti-TB activity included: microplate alamar blue assay (MABA), flow cytometry and ρ-iodonitrotetrazolium chloride assays while anti-HIV activity was determined using an HIV-1 reverse transcriptase colorimetric ELISA kit and an HIV-1 integrase colorimetric immunoassay. Cytotoxicity of plant extracts were assessed by the MTT assay on Chang Liver and HepG2 cells. Potential synergistic effects were determined using the basis of Combination Index. Potential interactions of plant extracts with drug metabolic pathways were evaluated with the Glutathione-S-Transferase assay kit as well as the CYP3A4 assay kit. A. muricata ethanolic extract exhibited anti-TB activity with MIC 125 μg/mL. MABA was shown to be the most sensitive and effective method for the detection of anti-TB activity. Artemisia afra aqueous extract showed HIV-1 reverse transcriptase inhibition exhibiting ˃85 percent inhibition at 1 mg/mL while the ethanolic extracts of A. afra and A. muricata showed inhibition of HIV-1 integrase activity at ˃86.8 percent and ˃88.54 percent respectively at concentrations >0.5 - 4 mg/mL. The aqueous extract of A. afra displayed inhibition of HIV-1 integrase ˃52.16 percent at 0.5 mg/mL increasing to 72.89 percent at 4 mg/ml of the extract. A. muricata was cytotoxic at an IC50 of 30 μg/mL and 77 μg/mL on Chang Liver and HepG2 cells respectively, whilst A. afra aqueous and ethanol extracts were not cytotoxic to both cell lines. The ethanolic extract of A. muricata showed both antagonistic and synergistic properties at various IC values, when used in conjunction with rifampicin. A. afra ethanolic extract interrupted GST activity while aqueous extracts of A. afra and A. muricata had a slight effect. All extracts interrupted CYP3A4 activity, however the ethanolic extracts of A. muricata and A. afra showed greater inhibition than the aqueous extract of A. afra. These extracts should be investigated further as they could be an important source of compounds for treatment of M. tuberculosis and HIV respectively.
- Full Text:
- Date Issued: 2013
Factors affecting the utilisation of a workplace voluntary counselling and testing programme in the Eastern Cape
- Authors: Jusayo, Nomonde
- Date: 2013
- Subjects: HIV infections -- South Africa -- Prevention , HIV infections -- Treatment , Employee health promotion
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:9428 , http://hdl.handle.net/10948/d1010273 , HIV infections -- South Africa -- Prevention , HIV infections -- Treatment , Employee health promotion
- Description: The world has entered the third decade of the HIV and AIDS epidemic under different times in which the epidemic is treatable. The International Labour Organisation (ILO) (2005) declares HIV and AIDS a developmental crisis destroying developmental gains over generations. Since HIV and AIDS affect the most productive segment of the labour force, it is therefore not only a threat to development but also to the world of work without which development will be sacrificed (ILO, 2001). Collaborative response efforts that seek to mitigate the HIV pandemic by government, business and higher education institutions have been fraught with challenges. The main challenge that beset these efforts is that, in the absence of an HIV vaccine, voluntary counselling and testing remains the gateway to access treatment and care. Regrettably, participation in VCT has been confronted by challenges of low utilisation. This precedes the objectives of this study, which were to explore and describe factors that serve as barriers and facilitators of workplace VCT programmes with the objective to improve participation in these programmes. The current study was a product of a qualitative and exploratory-descriptive research design. A nonprobability convenience sampling method was used to sample participants for this study. The targeted population in this study were the non-academic employees of an academic institution in the Eastern Cape. Data was collected by means of focus group discussions and by using semi-structured interviews. The focus group samples comprised of an equal number of men and women with an overall participation of fifty-six participants. Data obtained was transcribed, thematically analysed and coded using Henning, Van Rensburg, and Smit's (2004) qualitative analysis and interpretation method. Findings of this research revealed that factors that facilitate and inhibit voluntary counselling and testing are psychosocial and cultural by nature. At psychosocial level, participants reported factors that facilitate voluntary counselling and testing to include psychological readiness to go for HIV testing, reassurances of confidentiality of HIV test results and normalising HIV testing (making the process more like that for screening and diagnostic testing). Cultural factors included cultural practices and beliefs such as "intonjane" and traditional circumcision - positive cultural nurturers that could facilitate VCT participation. Results of this study showed a lack of basic knowledge about VCT and fear of knowing one's status, fear of breach of confidentiality, fear of being stigmatised and a lack of trust towards health professional as the major psychosocial factors that serve as barriers to VCT participation. The cultural barriers to VCT pointed to hegemonic masculinity as a socially constructed gender identity that encourages gender inequalities and undermines efforts to improve HIV testing. The study suggested that strategies to increase VCT participation should consider leadership support of VCT programmes, incentivisation of VCT programmes, institutionalisation of HIV and AIDS education and the establishment of integrated wellness services for employees.
- Full Text:
- Date Issued: 2013
- Authors: Jusayo, Nomonde
- Date: 2013
- Subjects: HIV infections -- South Africa -- Prevention , HIV infections -- Treatment , Employee health promotion
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:9428 , http://hdl.handle.net/10948/d1010273 , HIV infections -- South Africa -- Prevention , HIV infections -- Treatment , Employee health promotion
- Description: The world has entered the third decade of the HIV and AIDS epidemic under different times in which the epidemic is treatable. The International Labour Organisation (ILO) (2005) declares HIV and AIDS a developmental crisis destroying developmental gains over generations. Since HIV and AIDS affect the most productive segment of the labour force, it is therefore not only a threat to development but also to the world of work without which development will be sacrificed (ILO, 2001). Collaborative response efforts that seek to mitigate the HIV pandemic by government, business and higher education institutions have been fraught with challenges. The main challenge that beset these efforts is that, in the absence of an HIV vaccine, voluntary counselling and testing remains the gateway to access treatment and care. Regrettably, participation in VCT has been confronted by challenges of low utilisation. This precedes the objectives of this study, which were to explore and describe factors that serve as barriers and facilitators of workplace VCT programmes with the objective to improve participation in these programmes. The current study was a product of a qualitative and exploratory-descriptive research design. A nonprobability convenience sampling method was used to sample participants for this study. The targeted population in this study were the non-academic employees of an academic institution in the Eastern Cape. Data was collected by means of focus group discussions and by using semi-structured interviews. The focus group samples comprised of an equal number of men and women with an overall participation of fifty-six participants. Data obtained was transcribed, thematically analysed and coded using Henning, Van Rensburg, and Smit's (2004) qualitative analysis and interpretation method. Findings of this research revealed that factors that facilitate and inhibit voluntary counselling and testing are psychosocial and cultural by nature. At psychosocial level, participants reported factors that facilitate voluntary counselling and testing to include psychological readiness to go for HIV testing, reassurances of confidentiality of HIV test results and normalising HIV testing (making the process more like that for screening and diagnostic testing). Cultural factors included cultural practices and beliefs such as "intonjane" and traditional circumcision - positive cultural nurturers that could facilitate VCT participation. Results of this study showed a lack of basic knowledge about VCT and fear of knowing one's status, fear of breach of confidentiality, fear of being stigmatised and a lack of trust towards health professional as the major psychosocial factors that serve as barriers to VCT participation. The cultural barriers to VCT pointed to hegemonic masculinity as a socially constructed gender identity that encourages gender inequalities and undermines efforts to improve HIV testing. The study suggested that strategies to increase VCT participation should consider leadership support of VCT programmes, incentivisation of VCT programmes, institutionalisation of HIV and AIDS education and the establishment of integrated wellness services for employees.
- Full Text:
- Date Issued: 2013
Foraging ecology of Cape Gannets (Morus Capensis) at Bird Island, Algoa Bay
- Authors: Green, David Bruce
- Date: 2013
- Subjects: Birds of prey -- Behavior -- South Africa -- Algoa Bay , Gannets -- South Africa -- Algoa Bay , Birds -- Breeding -- South Africa -- Algoa Bay
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10725 , http://hdl.handle.net/10948/d1020790
- Description: The Cape gannet has undergone considerable population change and redistribution over the past 50 years. This has been linked to shifts in the abundance and distribution of their dominant prey, sardine and anchovy. Five breeding colonies, along the west coast of Southern Africa, have shown rapid population declines as a result of reduced prey availability. In contrast, a single colony (Bird Island, Algoa Bay) on the south coast of South Africa has, over the same period, grown fivefold and now supports approximately two thirds of the total population. Due to its conservation importance, and isolation from other breeding localities, it is important to assess the health of the Bird Island colony, and determine how foraging distribution relates to the environment to evaluate current measures of protection. This was achieved through two related studies; a long-term dietary analysis spanning 34 years, and a spatial foraging study, which related three years of tracking data to estimates of prey availability, oceanographic features and marine protected areas (MPAs). The results of the dietary study showed that the dietary constituents of Cape gannets breeding at Bird Island have remained similar over the last three decades, but the importance of sardine and anchovy has increased significantly. For sardine, in particular, this reflects an increased availability of this species (as deduced from hydroacoustic surveys) within the foraging range of the Bird Island colony. The dietary abundance of anchovy was found to be negatively correlated with that of sardine. Surprisingly,.the dietary abundance of anchovy was also negatively correlated with estimates of its availability based on acoustic surveys. The latter is likely to be due to sardine being a preferred prey item. Recent decreases in the dietary contribution of sardine (since 2005) suggest that this species is becoming less available to gannets, with profound implications in terms of nutrient gain associated with foraging. However, this has been mediated by an increase in the dietary contribution of anchovy, which now accounts for the vast majority of prey taken. Spatially, the foraging range of the Bird Island colony expanded during the three years of study, indicating an increase in effort. This increase was likely in an effort to track a distributional change of sardine and anchovy, which showed an apparent westward shift during the study period. There was, however, no evidence of birds tracking features associated with high productivity. This may have been partly due to anomalously warm conditions during the summer of 2012/2013, in which an absence of coastal upwelling prevented surface cooling. Nonetheless, low sea surface temperatures and high chlorophyll a concentrations do not seem to be reliable indicators of important Cape gannet foragingareas. Foraging effort was largely concentrated outside of MPAs, indicating that the current MPA network provides little protection for foraging gannets. This could change with the additional protection of the proposed Greater Addo Elephant National Park MPA expansion, as prey species are allowed to recover following the removal of fishing pressure. Overall, the colony appears to be in good condition as the diet is still dominated by live prey items, and the foraging range remains smaller than many of the colonies along the west coast. However, it is important that monitoring be continued, in particular with respect to changes in the availability of sardine and anchovy. Long-term shifts of these species out of the colony‘s foraging range could negatively influence the population in the future. This might be worsened by interspecific competition for prey resources. Considering the conservation importance of this population, maintenance of healthy prey stocks within the home range of breeding Cape gannets should be prioritised in order to prevent declines similar to those observed at west coast colonies.
- Full Text:
- Date Issued: 2013
- Authors: Green, David Bruce
- Date: 2013
- Subjects: Birds of prey -- Behavior -- South Africa -- Algoa Bay , Gannets -- South Africa -- Algoa Bay , Birds -- Breeding -- South Africa -- Algoa Bay
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10725 , http://hdl.handle.net/10948/d1020790
- Description: The Cape gannet has undergone considerable population change and redistribution over the past 50 years. This has been linked to shifts in the abundance and distribution of their dominant prey, sardine and anchovy. Five breeding colonies, along the west coast of Southern Africa, have shown rapid population declines as a result of reduced prey availability. In contrast, a single colony (Bird Island, Algoa Bay) on the south coast of South Africa has, over the same period, grown fivefold and now supports approximately two thirds of the total population. Due to its conservation importance, and isolation from other breeding localities, it is important to assess the health of the Bird Island colony, and determine how foraging distribution relates to the environment to evaluate current measures of protection. This was achieved through two related studies; a long-term dietary analysis spanning 34 years, and a spatial foraging study, which related three years of tracking data to estimates of prey availability, oceanographic features and marine protected areas (MPAs). The results of the dietary study showed that the dietary constituents of Cape gannets breeding at Bird Island have remained similar over the last three decades, but the importance of sardine and anchovy has increased significantly. For sardine, in particular, this reflects an increased availability of this species (as deduced from hydroacoustic surveys) within the foraging range of the Bird Island colony. The dietary abundance of anchovy was found to be negatively correlated with that of sardine. Surprisingly,.the dietary abundance of anchovy was also negatively correlated with estimates of its availability based on acoustic surveys. The latter is likely to be due to sardine being a preferred prey item. Recent decreases in the dietary contribution of sardine (since 2005) suggest that this species is becoming less available to gannets, with profound implications in terms of nutrient gain associated with foraging. However, this has been mediated by an increase in the dietary contribution of anchovy, which now accounts for the vast majority of prey taken. Spatially, the foraging range of the Bird Island colony expanded during the three years of study, indicating an increase in effort. This increase was likely in an effort to track a distributional change of sardine and anchovy, which showed an apparent westward shift during the study period. There was, however, no evidence of birds tracking features associated with high productivity. This may have been partly due to anomalously warm conditions during the summer of 2012/2013, in which an absence of coastal upwelling prevented surface cooling. Nonetheless, low sea surface temperatures and high chlorophyll a concentrations do not seem to be reliable indicators of important Cape gannet foragingareas. Foraging effort was largely concentrated outside of MPAs, indicating that the current MPA network provides little protection for foraging gannets. This could change with the additional protection of the proposed Greater Addo Elephant National Park MPA expansion, as prey species are allowed to recover following the removal of fishing pressure. Overall, the colony appears to be in good condition as the diet is still dominated by live prey items, and the foraging range remains smaller than many of the colonies along the west coast. However, it is important that monitoring be continued, in particular with respect to changes in the availability of sardine and anchovy. Long-term shifts of these species out of the colony‘s foraging range could negatively influence the population in the future. This might be worsened by interspecific competition for prey resources. Considering the conservation importance of this population, maintenance of healthy prey stocks within the home range of breeding Cape gannets should be prioritised in order to prevent declines similar to those observed at west coast colonies.
- Full Text:
- Date Issued: 2013
Improving procurement management practices in the public sector : a study of Eastern Cape Province
- Authors: Xhala, Ncedo Cameron
- Date: 2013
- Subjects: Government purchasing -- South Africa -- Eastern Cape , Government purchasing -- Management
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:9704 , http://hdl.handle.net/10948/d1018640
- Description: The study explored lack of improvement of public procurement management practices in the public sector. The main themes which the study focused on are the following; causes of non-compliance of public procurement and contracts management procedures, factors influencing the selection of appropriate procurement management processes and the main factors for poor implementation of procurement management processes in the public sector. The study aimed to identify the causes of non-compliance; determine factors influencing selection of appropriate procurement management processes, and lastly examine, the main factors leading to poor implementation of monitoring and evaluation in the public sector. The study employed a qualitative design to investigate the problem using the exploratory method. The purposive sampling method was used to select interviewees from three departments, namely, Department of Local government and Traditional Affairs, Public Works and Office of the Premier with 15 participants as a selective sample of the study. The key findings of this study indicate three main problems which are: that lack of properly understood processes of public procurement leads to poor implementation of the system together with alternative strategies of implementing the system. Shortages of skills and lack of training amongst those who get hired within the supply chain management sections or in the procurement management sections of the departments who have little understanding of holistic public procurement management in general affect selection processes. Findings also indicate lack of adequate monitoring and evaluation on procurement management. The study recommends that people who get hired in the procurement management section of these departments should have proper procurement qualifications. Regulations and rules should be made clear to all those who work in the procurement management sections in the public sector, to enable the improvement of best management practices and also to improve public procurement management practices in the public sector.
- Full Text:
- Date Issued: 2013
- Authors: Xhala, Ncedo Cameron
- Date: 2013
- Subjects: Government purchasing -- South Africa -- Eastern Cape , Government purchasing -- Management
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:9704 , http://hdl.handle.net/10948/d1018640
- Description: The study explored lack of improvement of public procurement management practices in the public sector. The main themes which the study focused on are the following; causes of non-compliance of public procurement and contracts management procedures, factors influencing the selection of appropriate procurement management processes and the main factors for poor implementation of procurement management processes in the public sector. The study aimed to identify the causes of non-compliance; determine factors influencing selection of appropriate procurement management processes, and lastly examine, the main factors leading to poor implementation of monitoring and evaluation in the public sector. The study employed a qualitative design to investigate the problem using the exploratory method. The purposive sampling method was used to select interviewees from three departments, namely, Department of Local government and Traditional Affairs, Public Works and Office of the Premier with 15 participants as a selective sample of the study. The key findings of this study indicate three main problems which are: that lack of properly understood processes of public procurement leads to poor implementation of the system together with alternative strategies of implementing the system. Shortages of skills and lack of training amongst those who get hired within the supply chain management sections or in the procurement management sections of the departments who have little understanding of holistic public procurement management in general affect selection processes. Findings also indicate lack of adequate monitoring and evaluation on procurement management. The study recommends that people who get hired in the procurement management section of these departments should have proper procurement qualifications. Regulations and rules should be made clear to all those who work in the procurement management sections in the public sector, to enable the improvement of best management practices and also to improve public procurement management practices in the public sector.
- Full Text:
- Date Issued: 2013
In silico and in vitro screening of marrubiin and marrubiin derivatives for antidiabetic activity on PTP1ß, C2C12 myocytes, chang liver hepatocytes and 3T3-L1 adipocytes
- Authors: Nicholas, Rudi Berto
- Date: 2013
- Subjects: Hypoglycemic agents , Diabetes -- Treatment -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10347 , http://hdl.handle.net/10948/d1020638
- Description: Diabetes mellitus (DM) is a life changing disease which affects a large portion of the population and the economy through high medical costs and loss of productivity. Marrubiin (MAR), a diterpenoid isolated from Leonotis leonurus, a plant indigenous to Southern Africa, is used by traditional healers to alleviate DM symptoms. This study aims to screen the inhibitory potential of MAR and MAR derivatives on PTP1β and glucose uptake properties of Chang liver, C2C12 and 3T3-L1 cells. Marrubiin and 19 of its derivatives were tested to determine the inhibition constants for PTP1β. A Ki of 21 μM and 0.047 μM was detected for oleanolic acid in silico and in vitro, respectively. All other diterpene derivatives did not display substantial levels of inhibition of PTP1β. Treatment of Chang liver cells with the various MAR derivatives (10 μM) did not significantly increase glucose uptake beyond metformin, a known antidiabetic drug. The various treatments showed a protective/proliferative effect on the C2C12 muscle cells with two MAR treatments (DC16 and DC18) significantly increasing glucose uptake as compared to metformin in C2C12 muscle cells. It was noted that DC17, DC18 and MAR significantly increased glucose uptake in 3T3-L1 adipocytes, relative to the control. Contrary to cytotoxicity studies with Chang liver and C2C12 muscle cells, adipocytes displayed no cytotoxicity to treatments while a significant increase in cell viability was seen for DC9 and DC15. To unravel the mechanism of action, Western blotting analysis was completed and an increased expression of PTP1β was observed for treatments with DC17 and DC6 was seen in adipocytes, while DC18 and metformin decreased expression significantly. This correlated with a significant decrease of Ser 612 phosphorylation of insulin receptor substrate (IRS1) for DC17. Real time qPCR of IRS1 and GLUT4 highlighted that DC17 and MAR were able to significantly increase expression of IRS1 and GLUT4, respectively. The results show that MAR and the selected derivatives (DC6, DC17, DC18) have been found to increase glucose uptake in peripheral tissue types with IRS1, GLUT4 and PTP1β being associated with the mechanism of action. However, a complete understanding of the mechanisms is yet to be established.
- Full Text:
- Date Issued: 2013
- Authors: Nicholas, Rudi Berto
- Date: 2013
- Subjects: Hypoglycemic agents , Diabetes -- Treatment -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10347 , http://hdl.handle.net/10948/d1020638
- Description: Diabetes mellitus (DM) is a life changing disease which affects a large portion of the population and the economy through high medical costs and loss of productivity. Marrubiin (MAR), a diterpenoid isolated from Leonotis leonurus, a plant indigenous to Southern Africa, is used by traditional healers to alleviate DM symptoms. This study aims to screen the inhibitory potential of MAR and MAR derivatives on PTP1β and glucose uptake properties of Chang liver, C2C12 and 3T3-L1 cells. Marrubiin and 19 of its derivatives were tested to determine the inhibition constants for PTP1β. A Ki of 21 μM and 0.047 μM was detected for oleanolic acid in silico and in vitro, respectively. All other diterpene derivatives did not display substantial levels of inhibition of PTP1β. Treatment of Chang liver cells with the various MAR derivatives (10 μM) did not significantly increase glucose uptake beyond metformin, a known antidiabetic drug. The various treatments showed a protective/proliferative effect on the C2C12 muscle cells with two MAR treatments (DC16 and DC18) significantly increasing glucose uptake as compared to metformin in C2C12 muscle cells. It was noted that DC17, DC18 and MAR significantly increased glucose uptake in 3T3-L1 adipocytes, relative to the control. Contrary to cytotoxicity studies with Chang liver and C2C12 muscle cells, adipocytes displayed no cytotoxicity to treatments while a significant increase in cell viability was seen for DC9 and DC15. To unravel the mechanism of action, Western blotting analysis was completed and an increased expression of PTP1β was observed for treatments with DC17 and DC6 was seen in adipocytes, while DC18 and metformin decreased expression significantly. This correlated with a significant decrease of Ser 612 phosphorylation of insulin receptor substrate (IRS1) for DC17. Real time qPCR of IRS1 and GLUT4 highlighted that DC17 and MAR were able to significantly increase expression of IRS1 and GLUT4, respectively. The results show that MAR and the selected derivatives (DC6, DC17, DC18) have been found to increase glucose uptake in peripheral tissue types with IRS1, GLUT4 and PTP1β being associated with the mechanism of action. However, a complete understanding of the mechanisms is yet to be established.
- Full Text:
- Date Issued: 2013
Influence of predicted sea-level rise on the salt marsh of the Swartkops, Kromme and Knysna estuaries
- Authors: Schmidt, Jadon
- Date: 2013
- Subjects: Sea-level -- South Africa , Salt marshes -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/3765 , vital:20462
- Description: Salt marshes are coastal wetlands that are highly productive and biologically diverse ecosystems. These systems are under threat from rising sea levels which are predicted to accelerate in the future. Salt marsh habitats of the Swartkops, Kromme and Knysna estuaries were examined to determine their structure along an elevation gradient and how this structure has changed over the past six decades, what the primary drivers of this structure were and whether the salt marsh surface is stable, rising or declining relative to predicted sea level rise. During this study the following main hypothesis was tested: The environmental drivers of salt marsh zonation are elevation above mean sea level (AMSL), soil moisture and soil salinity, all of which will be impacted by the predicted rise in sea level of 1.48 mm.y-1, unless the salt marshes are able to accrete at a rate such that surface elevation gain is sufficient to offset the rate of sea level rise. The results showed that the salt marsh vegetation structure followed a predictable pattern down the elevation gradient with distinct supratidal, intertidal and subtidal habitats identified for each estuary. These three zones occurred between elevations around Mean Sea Level of -0.86 to 2.42 AMSL for Swartkops, -0.3 to 2.95 m AMSL for Kromme and -0.48 to 3.14 m AMSL for Knysna. A floodplain component was also identified in the Swartkops estuary, which was restricted to the upper reaches. During the last 60 years, losses of intertidal and supratidal salt marsh for Swartkops were 74.31 ha and 30.23 ha respectively, 17.01 ha of intertidal and supratidal salt marsh was lost in Kromme while intertidal salt marsh in Knysna has diminished by 168 ha. These losses were mainly attributed to developmental pressure, although there are indications that rising sea levels are becoming more influential in the lower reaches. The main environmental drivers for salt marsh structure in the Swartkops were shown to be soil moisture content and elevation, soil moisture and organic content for Kromme while elevation and soil redox potential were dominant in Knysna. In a comparison of all three systems, soil moisture content and redox potential were found to be the most important drivers of vegetation distribution. Elevation dictates tidal inundation periodicity and frequency, and thus acts to influence all edaphic factors driving vegetation distribution. Results indicated that the salt marsh surface elevation of the lower and middle sections of the Swartkops, Kromme and Knysna estuaries are generally declining relative to current sea level rise. Where increases in surface elevation (relative to current sea level rise) were recorded, the majority of the accretion occurred after episodic flooding in winter 2011. These increases typically occurred in the upper reaches and were attributed to the deposition of fluvial sediments as a result of these floods. Results for Knysna indicate that while a majority of the salt marsh surface is accreting vertically, only three areas are increasing their elevation at a rate at least equal to current sea level rise. In these areas, developmental pressures will prevent a landward transgression of the salt marsh, forming an artificial “coastal squeeze”. Geomorphological limitations (steep hills adjacent to the salt marsh) will prevent any transgression in the upper reaches of the Kromme Estuary. Supratidal habitat in the upper reaches of the Swartkops estuary, if undeveloped, will provide the only viable habitat for the salt marsh to migrate into, given sufficient surface elevation.
- Full Text:
- Date Issued: 2013
- Authors: Schmidt, Jadon
- Date: 2013
- Subjects: Sea-level -- South Africa , Salt marshes -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/3765 , vital:20462
- Description: Salt marshes are coastal wetlands that are highly productive and biologically diverse ecosystems. These systems are under threat from rising sea levels which are predicted to accelerate in the future. Salt marsh habitats of the Swartkops, Kromme and Knysna estuaries were examined to determine their structure along an elevation gradient and how this structure has changed over the past six decades, what the primary drivers of this structure were and whether the salt marsh surface is stable, rising or declining relative to predicted sea level rise. During this study the following main hypothesis was tested: The environmental drivers of salt marsh zonation are elevation above mean sea level (AMSL), soil moisture and soil salinity, all of which will be impacted by the predicted rise in sea level of 1.48 mm.y-1, unless the salt marshes are able to accrete at a rate such that surface elevation gain is sufficient to offset the rate of sea level rise. The results showed that the salt marsh vegetation structure followed a predictable pattern down the elevation gradient with distinct supratidal, intertidal and subtidal habitats identified for each estuary. These three zones occurred between elevations around Mean Sea Level of -0.86 to 2.42 AMSL for Swartkops, -0.3 to 2.95 m AMSL for Kromme and -0.48 to 3.14 m AMSL for Knysna. A floodplain component was also identified in the Swartkops estuary, which was restricted to the upper reaches. During the last 60 years, losses of intertidal and supratidal salt marsh for Swartkops were 74.31 ha and 30.23 ha respectively, 17.01 ha of intertidal and supratidal salt marsh was lost in Kromme while intertidal salt marsh in Knysna has diminished by 168 ha. These losses were mainly attributed to developmental pressure, although there are indications that rising sea levels are becoming more influential in the lower reaches. The main environmental drivers for salt marsh structure in the Swartkops were shown to be soil moisture content and elevation, soil moisture and organic content for Kromme while elevation and soil redox potential were dominant in Knysna. In a comparison of all three systems, soil moisture content and redox potential were found to be the most important drivers of vegetation distribution. Elevation dictates tidal inundation periodicity and frequency, and thus acts to influence all edaphic factors driving vegetation distribution. Results indicated that the salt marsh surface elevation of the lower and middle sections of the Swartkops, Kromme and Knysna estuaries are generally declining relative to current sea level rise. Where increases in surface elevation (relative to current sea level rise) were recorded, the majority of the accretion occurred after episodic flooding in winter 2011. These increases typically occurred in the upper reaches and were attributed to the deposition of fluvial sediments as a result of these floods. Results for Knysna indicate that while a majority of the salt marsh surface is accreting vertically, only three areas are increasing their elevation at a rate at least equal to current sea level rise. In these areas, developmental pressures will prevent a landward transgression of the salt marsh, forming an artificial “coastal squeeze”. Geomorphological limitations (steep hills adjacent to the salt marsh) will prevent any transgression in the upper reaches of the Kromme Estuary. Supratidal habitat in the upper reaches of the Swartkops estuary, if undeveloped, will provide the only viable habitat for the salt marsh to migrate into, given sufficient surface elevation.
- Full Text:
- Date Issued: 2013