Images of black women during the period of slavery: perspectives from selected African American female authored texts
- Authors: Makwela, Nombeko B
- Date: 2022-01
- Subjects: Slavery , Enslaved women , Enslaved persons' writings
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/27117 , vital:66304
- Description: The study sought to interrogate the narratives of Black African-American women during the period of slavery. It analysed three literary works written by women, namely The Color Purple by Alice Walker (1992), Incidents in the Life of a Slave Girl by Harriet Jacobs (1988) and Beloved by Toni Morrison (1987). The plot is on all the horrors, inhumanity, degradation, the sexual abuse, struggles and social injustices that the African-American women were subjected to under slavery. The study employed a case study design, as it analysed the three selected literary works. Critical analysis and close reading were employed to arrive at themes. The study not only illuminated the harsh reality of the experiences of African-American women, but it has also revealed the harrowing conditions that they encountered. These women suffered immensely under the yoke of dual oppression. Their horrors varied in gravity in the form of beatings and lynching, sexual abuse, having their children taken from them to be auctioned off, loss of identity and loss of human dignity among the countless social injustices they experienced. The study used the psychoanalytic feminist theory as a theoretical lens. Through the depiction of women in slavery in the literary works of Toni Morrison, Harriet Jacobs and Alice Walker, the case study approach revealed that women are resilient. Contrary to portrayals of women under the stereotyped labelling of women as wanton or promiscuous, with no virtues or principles, the female characters in the three novels are victims of slavery and patriarchy. In Alice Walker’s The Color Purple, the women characters, namely Celie, Squeak and Shug Avery, are not in the least immoral, nor do they lack virtues or principles; they are, as the analysis shows, self-loving women that have been victims of dual oppression. In Toni Morrison’s Beloved, the love of a mother for her children drives Sethe to commit infanticide, believing this to be the better option than allowing her children to suffer and endure the horrors of slavery. In Incidents in the Life of a Slave Girl, Jacobs chooses to use her feminine sexuality to align herself to one man, Mr Sands, and her intelligence to stay in this relationship is her escape and deterrent strategy against the lecherous sexual exploitations by other white masters. She ends up bearing two children for this same man, reflecting her stability as a self-loving woman who was not wayward. Findings established that even through all the plights of slavery, African-American women made difficult yet relevant choices under the twin yokes of slavery and patriarchy. They may have been subjected or compelled to make morally unsavoury choices or to compromise on their principles for survival or succumb under situations that reduced them to being victims or sacrificial lambs for the satisfaction of the slave owners, but they never lacked principles and they were not promiscuous. The will to survive drove the women in the narratives to design and adopt survival strategies to sustain their livelihoods. , Thesis (MSoc) -- Faculty of Social Sciences and Humanities, 2022
- Full Text:
- Date Issued: 2022-01
- Authors: Makwela, Nombeko B
- Date: 2022-01
- Subjects: Slavery , Enslaved women , Enslaved persons' writings
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/27117 , vital:66304
- Description: The study sought to interrogate the narratives of Black African-American women during the period of slavery. It analysed three literary works written by women, namely The Color Purple by Alice Walker (1992), Incidents in the Life of a Slave Girl by Harriet Jacobs (1988) and Beloved by Toni Morrison (1987). The plot is on all the horrors, inhumanity, degradation, the sexual abuse, struggles and social injustices that the African-American women were subjected to under slavery. The study employed a case study design, as it analysed the three selected literary works. Critical analysis and close reading were employed to arrive at themes. The study not only illuminated the harsh reality of the experiences of African-American women, but it has also revealed the harrowing conditions that they encountered. These women suffered immensely under the yoke of dual oppression. Their horrors varied in gravity in the form of beatings and lynching, sexual abuse, having their children taken from them to be auctioned off, loss of identity and loss of human dignity among the countless social injustices they experienced. The study used the psychoanalytic feminist theory as a theoretical lens. Through the depiction of women in slavery in the literary works of Toni Morrison, Harriet Jacobs and Alice Walker, the case study approach revealed that women are resilient. Contrary to portrayals of women under the stereotyped labelling of women as wanton or promiscuous, with no virtues or principles, the female characters in the three novels are victims of slavery and patriarchy. In Alice Walker’s The Color Purple, the women characters, namely Celie, Squeak and Shug Avery, are not in the least immoral, nor do they lack virtues or principles; they are, as the analysis shows, self-loving women that have been victims of dual oppression. In Toni Morrison’s Beloved, the love of a mother for her children drives Sethe to commit infanticide, believing this to be the better option than allowing her children to suffer and endure the horrors of slavery. In Incidents in the Life of a Slave Girl, Jacobs chooses to use her feminine sexuality to align herself to one man, Mr Sands, and her intelligence to stay in this relationship is her escape and deterrent strategy against the lecherous sexual exploitations by other white masters. She ends up bearing two children for this same man, reflecting her stability as a self-loving woman who was not wayward. Findings established that even through all the plights of slavery, African-American women made difficult yet relevant choices under the twin yokes of slavery and patriarchy. They may have been subjected or compelled to make morally unsavoury choices or to compromise on their principles for survival or succumb under situations that reduced them to being victims or sacrificial lambs for the satisfaction of the slave owners, but they never lacked principles and they were not promiscuous. The will to survive drove the women in the narratives to design and adopt survival strategies to sustain their livelihoods. , Thesis (MSoc) -- Faculty of Social Sciences and Humanities, 2022
- Full Text:
- Date Issued: 2022-01
Soil erodibility indices affecting the development of gully erosion in highly erodible soils of the Tsitsa Catchment in T35D and T35E, Eastern Cape, South Africa
- Kanuka, Gcobisa https://orcid.org/0000-0003-4736-7136
- Authors: Kanuka, Gcobisa https://orcid.org/0000-0003-4736-7136
- Date: 2022-01
- Subjects: Soil erosion , River sediments
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22677 , vital:52642
- Description: This study evaluated soil inherent properties for the development of gullies and their erodibility potential using the holistic field and laboratory sample investigation approach. The potential of negative impact of sedimentation on dam and water infrastructure performance has raised the need to evaluate the factors promoting soil erosion leading to land degradation. The study aimed to assess the relationship among the selected properties of soil and variability among various soil groups. A case study design approach was adopted at the T35D and T35E areas of Tsitsa hydrologic Basin, Eastern Cape, South Africa. The task was accomplished through detailed random soil sampling in the field, soil chemical analysis and comparative analysis of soil variables. Based on the scope of the study soil laboratory analysis included the following: particle size distribution, soil textural analysis, physicochemical parameters analysis, macro-and-micronutrient analysis, and micro-porosity analysis. Further spatial and scenario analysis of soil erodibility was done using selected erodibility indices such as Sodium Adsorption Ratio (SAR), Exchangeable Sodium Percentage (ESP), Dispersivity Ratio (DR), Clay Dispersion Ratio (CDR), Clay Flocculation Index (CFI), Water-Stable Aggregate analysis (WSA), and Soil Erodibility factor analysis (KEF). The findings of the study showed that the catchment hosts sixteen distinct soil forms categorized into seven unique soil groups. The results further indicated that the Katspruit soil form of the gleyic soil group has the highest clay-size particles and a considerably high clay dispersion attribute among others soil forms. It was further deduced that gleyic soil type exhibited the highest soil pH (6.36), a considerably low Ca:Mg ratio (1.43), a substantially high sodium ion (0.50 mg/kg), the highest SAR (0.5), lowest WSA (0.018percent) and a substantially high KEF (0.018ab). Similarly, saprolite soils exhibited the nature of the lixisol with a virtually equal amount of clay (43.63percent) and fine sands (41.68percent), the lowest amount of Ca:Mg ratio (1.35), the highest acid saturation (50.59), the highest ESP (8.39), and a considerably high WSA (38.75). Other remarkable problematic soils identified in the study include the lithic soil and the duplex soil. For instance, the Lithic soil is characterized by the highest fine sand-size texture (61.38percent), considerably low organic carbon (2.63percent), low cation exchange capacity (3.55 cmol(+)/kg), much high DR (0.75), very low WSA (0.027percent), and the highest KEF (0.027a). Whereas, the duplex soil is characterized by the highest DR (0.81), critically high CDR (38.19percent), very low WSA (0.019percent), and a considerably high KEF (0.019a). The relatively stable soils within the catchment are the oxidic, and melanic, where the WSA is highest in oxidic (38.19percent) and relatively high for melanic (36.6percent), CFI is highest in melanic (85.02percent), and oxidic (74.32percent), and KEF is relatively low (0.016b) for both. Correlation of the selected soil erodibility indices shows that CFI shares a perfect inverse relationship with CDR while maintaining a strong significant relationship with DR (R = -0.504). Findings also show that the SAR expectedly produced a robust significant relationship with ESP (R = 0.644), while KEF exhibited a solid inverse relationship with WSA (R = 0.913). The correlation across the physical and chemical properties suggests that DR and CDR can be firmly and positively influenced by dispersive clay. At the same time, the two factors maintain a significantly negative relationship with dispersive sand. Also, clay-sized particles depicted a significant relationship with WSA. Physicochemical and chemical parameters influence only the ESP and SAR. A remarkable finding is the influence of iron and its presence on SAR. On the other hand, ESP was distinguished from SAR due to the inverse influence of potassium. The lithic soils identify as members of the collapsible soil of South Africa, while the gleyic soils identify with duplex and saprolite soils in the class of dispersive soils. The vertic soils characterize as expansive soil, while the Duplex soil also exhibits a soft soil attribute. In general, the study suggests that T35D and T35E areas of Tsitsa catchment vary spatially in soil erodibility potential. T35D area is characterized by dominant oxidic soil cover of relatively stable aggregate whose iron oxide enrichment could be attributed to inculcation of dolerite debris. Overall, the soil erodibility indices showed that the development of gully erosion in Tsitsa catchment is driven by high clay dispersivity ratio of the soil (mean = 0.70; 24percent CV), and poor soil structure relative to the low WSA range (18.1 – 34.0). Erodibility due to high sodicity are associated with saprolite (ESP = 8.02) and gleyic soils (ESP = 7.43) while the high soil dispersion was due to the vertic (46percent), duplex (38percent), cumulic (30percent), and lithic (27percent) soil components. The poor soil aggregates (WSA) were mainly controlled by the lithic (10percent), vertic (27percent), duplex (28percent), cumulic (31percent), and gleyic (34percent) soil components. Meanwhile, the T35E area is dominated by the dispersive and collapsible soils dominated by saprolites and lithic soils. Therefore, the environmental stakeholders are advised to adopt the best management practices within the dam area considering the vulnerability of the catchment to the development of gullies and the potential impact of sedimentation on the adequate performance of Tsitsa dam and its water infrastructures. , Thesis (MSc) -- Faculty of Science and Agriculture, 2022
- Full Text:
- Date Issued: 2022-01
- Authors: Kanuka, Gcobisa https://orcid.org/0000-0003-4736-7136
- Date: 2022-01
- Subjects: Soil erosion , River sediments
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22677 , vital:52642
- Description: This study evaluated soil inherent properties for the development of gullies and their erodibility potential using the holistic field and laboratory sample investigation approach. The potential of negative impact of sedimentation on dam and water infrastructure performance has raised the need to evaluate the factors promoting soil erosion leading to land degradation. The study aimed to assess the relationship among the selected properties of soil and variability among various soil groups. A case study design approach was adopted at the T35D and T35E areas of Tsitsa hydrologic Basin, Eastern Cape, South Africa. The task was accomplished through detailed random soil sampling in the field, soil chemical analysis and comparative analysis of soil variables. Based on the scope of the study soil laboratory analysis included the following: particle size distribution, soil textural analysis, physicochemical parameters analysis, macro-and-micronutrient analysis, and micro-porosity analysis. Further spatial and scenario analysis of soil erodibility was done using selected erodibility indices such as Sodium Adsorption Ratio (SAR), Exchangeable Sodium Percentage (ESP), Dispersivity Ratio (DR), Clay Dispersion Ratio (CDR), Clay Flocculation Index (CFI), Water-Stable Aggregate analysis (WSA), and Soil Erodibility factor analysis (KEF). The findings of the study showed that the catchment hosts sixteen distinct soil forms categorized into seven unique soil groups. The results further indicated that the Katspruit soil form of the gleyic soil group has the highest clay-size particles and a considerably high clay dispersion attribute among others soil forms. It was further deduced that gleyic soil type exhibited the highest soil pH (6.36), a considerably low Ca:Mg ratio (1.43), a substantially high sodium ion (0.50 mg/kg), the highest SAR (0.5), lowest WSA (0.018percent) and a substantially high KEF (0.018ab). Similarly, saprolite soils exhibited the nature of the lixisol with a virtually equal amount of clay (43.63percent) and fine sands (41.68percent), the lowest amount of Ca:Mg ratio (1.35), the highest acid saturation (50.59), the highest ESP (8.39), and a considerably high WSA (38.75). Other remarkable problematic soils identified in the study include the lithic soil and the duplex soil. For instance, the Lithic soil is characterized by the highest fine sand-size texture (61.38percent), considerably low organic carbon (2.63percent), low cation exchange capacity (3.55 cmol(+)/kg), much high DR (0.75), very low WSA (0.027percent), and the highest KEF (0.027a). Whereas, the duplex soil is characterized by the highest DR (0.81), critically high CDR (38.19percent), very low WSA (0.019percent), and a considerably high KEF (0.019a). The relatively stable soils within the catchment are the oxidic, and melanic, where the WSA is highest in oxidic (38.19percent) and relatively high for melanic (36.6percent), CFI is highest in melanic (85.02percent), and oxidic (74.32percent), and KEF is relatively low (0.016b) for both. Correlation of the selected soil erodibility indices shows that CFI shares a perfect inverse relationship with CDR while maintaining a strong significant relationship with DR (R = -0.504). Findings also show that the SAR expectedly produced a robust significant relationship with ESP (R = 0.644), while KEF exhibited a solid inverse relationship with WSA (R = 0.913). The correlation across the physical and chemical properties suggests that DR and CDR can be firmly and positively influenced by dispersive clay. At the same time, the two factors maintain a significantly negative relationship with dispersive sand. Also, clay-sized particles depicted a significant relationship with WSA. Physicochemical and chemical parameters influence only the ESP and SAR. A remarkable finding is the influence of iron and its presence on SAR. On the other hand, ESP was distinguished from SAR due to the inverse influence of potassium. The lithic soils identify as members of the collapsible soil of South Africa, while the gleyic soils identify with duplex and saprolite soils in the class of dispersive soils. The vertic soils characterize as expansive soil, while the Duplex soil also exhibits a soft soil attribute. In general, the study suggests that T35D and T35E areas of Tsitsa catchment vary spatially in soil erodibility potential. T35D area is characterized by dominant oxidic soil cover of relatively stable aggregate whose iron oxide enrichment could be attributed to inculcation of dolerite debris. Overall, the soil erodibility indices showed that the development of gully erosion in Tsitsa catchment is driven by high clay dispersivity ratio of the soil (mean = 0.70; 24percent CV), and poor soil structure relative to the low WSA range (18.1 – 34.0). Erodibility due to high sodicity are associated with saprolite (ESP = 8.02) and gleyic soils (ESP = 7.43) while the high soil dispersion was due to the vertic (46percent), duplex (38percent), cumulic (30percent), and lithic (27percent) soil components. The poor soil aggregates (WSA) were mainly controlled by the lithic (10percent), vertic (27percent), duplex (28percent), cumulic (31percent), and gleyic (34percent) soil components. Meanwhile, the T35E area is dominated by the dispersive and collapsible soils dominated by saprolites and lithic soils. Therefore, the environmental stakeholders are advised to adopt the best management practices within the dam area considering the vulnerability of the catchment to the development of gullies and the potential impact of sedimentation on the adequate performance of Tsitsa dam and its water infrastructures. , Thesis (MSc) -- Faculty of Science and Agriculture, 2022
- Full Text:
- Date Issued: 2022-01
The South African media portrayal of Sindisiwe Manqele’s intimate partner homicide Case of Nkululeko ‘Flabba’ Habedi: A feminist narrative analysis
- Authors: Ntweni, Nosiphiwo
- Date: 2022-01
- Subjects: Homicide -- Psychological aspects , Content analysis (Communication)
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/23787 , vital:60542
- Description: The story construction of intimate partner homicide in the media reflects the inherent influence the media has on the society and the shaping of its attitudes. This study uses an exploratory qualitative research design with the aim that is to investigate how the South African news media constructs and narrates the Intimate Partner Homicide of Nkululeko ‘Flabba’ Habedi by Sindisiwe Manqele. This objective was achieved through feminist narrative analysis of 30 South African media articles, with an underpinning theory of feminist constructionism. Feminist constructionism is a theoretical framework that ties together feminist psychology and social constructionist methods. The main ideas followed by the S.A. media reporters were sub-divided into three main deductive themes; ‘sad/victim’, ‘mad’ and ‘bad’. Overall, Manqele as a character, was demonised and portrayed as a villain, which followed the bad narrative. The ‘sad/victim’ narrative followed, and then the ‘mad’ narrative. The ‘sad/victim’ narrative frames Manqele as a victim of intimate partner violence (IPV). The ‘mad’ narrative showed up in the smallest number of the sample represented her as unstable and irrational. The ‘bad’ Manqele was primarily depicted as wicked and evil manipulator, the jealous, cold-blooded killer, and a promiscuous, sexual deviant. The possibility of history of IPV in the relationship its context was largely ignored. The narrative about rappers made allowances for the use of drugs, living a life of sexual experimentation and living with culture of aggression. , Thesis (MSoc) -- Faculty of Social Sciences and Humanities, 2022
- Full Text:
- Date Issued: 2022-01
- Authors: Ntweni, Nosiphiwo
- Date: 2022-01
- Subjects: Homicide -- Psychological aspects , Content analysis (Communication)
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/23787 , vital:60542
- Description: The story construction of intimate partner homicide in the media reflects the inherent influence the media has on the society and the shaping of its attitudes. This study uses an exploratory qualitative research design with the aim that is to investigate how the South African news media constructs and narrates the Intimate Partner Homicide of Nkululeko ‘Flabba’ Habedi by Sindisiwe Manqele. This objective was achieved through feminist narrative analysis of 30 South African media articles, with an underpinning theory of feminist constructionism. Feminist constructionism is a theoretical framework that ties together feminist psychology and social constructionist methods. The main ideas followed by the S.A. media reporters were sub-divided into three main deductive themes; ‘sad/victim’, ‘mad’ and ‘bad’. Overall, Manqele as a character, was demonised and portrayed as a villain, which followed the bad narrative. The ‘sad/victim’ narrative followed, and then the ‘mad’ narrative. The ‘sad/victim’ narrative frames Manqele as a victim of intimate partner violence (IPV). The ‘mad’ narrative showed up in the smallest number of the sample represented her as unstable and irrational. The ‘bad’ Manqele was primarily depicted as wicked and evil manipulator, the jealous, cold-blooded killer, and a promiscuous, sexual deviant. The possibility of history of IPV in the relationship its context was largely ignored. The narrative about rappers made allowances for the use of drugs, living a life of sexual experimentation and living with culture of aggression. , Thesis (MSoc) -- Faculty of Social Sciences and Humanities, 2022
- Full Text:
- Date Issued: 2022-01
The use of earth observation multi-sensor systems to monitor and model Pastures: a case of Savannah Grasslands in Hluvukani Village, Bushbuckridge Local Municipality, Mpumalanga Province, South Africa
- Nduku, Lwandile https://orcid.org/0000-0001-9168-4548
- Authors: Nduku, Lwandile https://orcid.org/0000-0001-9168-4548
- Date: 2022-01
- Subjects: Climatic changes , Grassland conservation
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22578 , vital:52470
- Description: Grassland degradation associated with climate change and inappropriate grassland management has been characterized as a global environmental concern driving decreased grassland ecosystem's ecological functioning. More than 60% of South African grassland is degraded or permanently transformed to other land uses and nearly 2% properly conserved. Yet, grasslands are a major source of food for livestock grazing and provide material and non-material benefits to many livelihoods. Therefore, grassland above-ground biomass (AGB) estimation is crucial in planning and managing pastoral agriculture and the benefits derived from it. However, current grassland monitoring techniques used in rural smallholder livestock farms rely on conventional methods, which are destructive, labour-intensive, costly, and restricted to small areas. This study investigated the monitoring and modelling of protected grasslands biomass using current Earth observation systems (EOS), an approach, which is non-destructive, cost-effective, cover larger areas and is a time-saving alternative to conventional methods. Hence, the research objectives were: (i) to map the trends and advances in data and models used in the monitoring of grassland (pastures) with Earth observation systems, and (ii) to assess above-ground biomass estimation in semi-arid savannah grassland integrating Sentinel-1 and Sentinel-2 data with Machine-Learning. This goal was to assess if this approach could provide the requisite information, which could contribute to the long-term goal of developing a semi-automated system for data processing, and mapping grassland biomass to benefit local communities. For this investigation, it was crucial to understanding what research had achieved so far in this area of pasture management. An assessment of the Scopus database showed the recent developments in European Union (EU) programs and Sentinel missions, including statistical models and machine learning for monitoring grassland changes at multiple scales. However, Sentinel-1 and Sentinel-2 data, machine learning models, and variable importance techniques were applied for grassland AGB estimation. These techniques have been used in similar studies to determine optimum machine learning models, influential variables, and the capability of integrated Sentinel datasets for mapping grassland AGB, spatial distribution, and abundance. Results showed improved performance with the Random forest regression (RFR) model (R² of 34.7%, RMSE of 9.47 Mg and MAE of 7.68 Mg ). The study also observed optimum sensitivity of Difference Vegetation Index (DVI) and Enhanced Vegetation Index (EVI) in all three machine learning models for modelling grassland AGB estimation in the study area. A further, statistical comparison of all three machine learning models showed an insignificant difference in the predictive capacity for AGB in the study area with Gradient Boosting regression (GBR) model (R² of 27.7, RMSE of 9.97 Mg and MAE of 8.03 Mg ) and Extreme Gradient Boost Regression (XGBR) model (R² of 17.3%, RMSE of 10.66 Mg and MAE of 8.83 Mg ). The study revealed that an integration of Sentinel-1 and Sentinel-2 has improved capabilities for monitoring grassland AGB estimation. This research sheds light on the timely and cost-effective techniques for grassland management strategies to enhance or restore the ecological functioning of grassland ecosystems and promote community sustainability. , Thesis (MSc) -- Faculty of Science and Agriculture, 2022
- Full Text:
- Date Issued: 2022-01
- Authors: Nduku, Lwandile https://orcid.org/0000-0001-9168-4548
- Date: 2022-01
- Subjects: Climatic changes , Grassland conservation
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22578 , vital:52470
- Description: Grassland degradation associated with climate change and inappropriate grassland management has been characterized as a global environmental concern driving decreased grassland ecosystem's ecological functioning. More than 60% of South African grassland is degraded or permanently transformed to other land uses and nearly 2% properly conserved. Yet, grasslands are a major source of food for livestock grazing and provide material and non-material benefits to many livelihoods. Therefore, grassland above-ground biomass (AGB) estimation is crucial in planning and managing pastoral agriculture and the benefits derived from it. However, current grassland monitoring techniques used in rural smallholder livestock farms rely on conventional methods, which are destructive, labour-intensive, costly, and restricted to small areas. This study investigated the monitoring and modelling of protected grasslands biomass using current Earth observation systems (EOS), an approach, which is non-destructive, cost-effective, cover larger areas and is a time-saving alternative to conventional methods. Hence, the research objectives were: (i) to map the trends and advances in data and models used in the monitoring of grassland (pastures) with Earth observation systems, and (ii) to assess above-ground biomass estimation in semi-arid savannah grassland integrating Sentinel-1 and Sentinel-2 data with Machine-Learning. This goal was to assess if this approach could provide the requisite information, which could contribute to the long-term goal of developing a semi-automated system for data processing, and mapping grassland biomass to benefit local communities. For this investigation, it was crucial to understanding what research had achieved so far in this area of pasture management. An assessment of the Scopus database showed the recent developments in European Union (EU) programs and Sentinel missions, including statistical models and machine learning for monitoring grassland changes at multiple scales. However, Sentinel-1 and Sentinel-2 data, machine learning models, and variable importance techniques were applied for grassland AGB estimation. These techniques have been used in similar studies to determine optimum machine learning models, influential variables, and the capability of integrated Sentinel datasets for mapping grassland AGB, spatial distribution, and abundance. Results showed improved performance with the Random forest regression (RFR) model (R² of 34.7%, RMSE of 9.47 Mg and MAE of 7.68 Mg ). The study also observed optimum sensitivity of Difference Vegetation Index (DVI) and Enhanced Vegetation Index (EVI) in all three machine learning models for modelling grassland AGB estimation in the study area. A further, statistical comparison of all three machine learning models showed an insignificant difference in the predictive capacity for AGB in the study area with Gradient Boosting regression (GBR) model (R² of 27.7, RMSE of 9.97 Mg and MAE of 8.03 Mg ) and Extreme Gradient Boost Regression (XGBR) model (R² of 17.3%, RMSE of 10.66 Mg and MAE of 8.83 Mg ). The study revealed that an integration of Sentinel-1 and Sentinel-2 has improved capabilities for monitoring grassland AGB estimation. This research sheds light on the timely and cost-effective techniques for grassland management strategies to enhance or restore the ecological functioning of grassland ecosystems and promote community sustainability. , Thesis (MSc) -- Faculty of Science and Agriculture, 2022
- Full Text:
- Date Issued: 2022-01
Dualistic role of the Employee Relations Office and its influence on labour relations at the University of Fort Hare
- Authors: Mnqayi, Leon M
- Date: 2021-12
- Subjects: Industrial relations--South Africa
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/23416 , vital:57729
- Description: Employee relations are important for the success of any organisation. Maintaining healthy cordial employee relations usually involves creating understanding and harmony between the employees and the employer. However, due to several dynamics within the work environment, employee relations become complex. The employee relations unit in the human resources management department is tasked with handling this complex situation by dealing with different grievances in organisations. In this regard, in organisations like the University of Fort Hare, the employee relations office represents both the employees and employer. The dualistic role assumed by the employee relations office is associated with several challenges, such as employees not trusting the employee relations office. The employee relations office is deemed to be safeguarding the interests of the management, which complicates employee relations at the university. Therefore, this study sought to explore perceptions on the dualistic role of the employee relations office and its influence on labour relations at the University of Fort Hare. The study utilised a qualitative research methodology to find out perceptions of participants on the dualistic role of the employee relations office and its influence on labour relations at the University of Fort Hare. The research used semi-structured interviews to collect data. The participants were purposively selected from the University of Fort Hare. The Human Relations Theory was used as the main theory, and it provided underpinning arguments regarding employee relations at the University of Fort Hare. The data gathered were thematically analysed. The main findings revealed that there are fragmented employee relations at the university, mainly due to lack of clarity about the standard working conditions that should be expected and that are acceptable by the university. Furthermore, the study also established that the employee relations office is largely seen as biased against employees and seems to favour employers most of the times, leading to disputes being taken to an external party. Based on these findings, the study recommends that to improve objectivity, the employee relations office can create an oversight team that independently provides insights on specific issues faced by employees and management. Improving objectivity should include making decisions based on facts or data, focusing on the vision and mission of the institution, increasing the ratio of positive against negative feedback, improving on transparency during decision-making and the creation of an anonymous human resources engagement system. , Thesis (MPA) -- Faculty of Management and Commerce, 2021
- Full Text:
- Date Issued: 2021-12
- Authors: Mnqayi, Leon M
- Date: 2021-12
- Subjects: Industrial relations--South Africa
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/23416 , vital:57729
- Description: Employee relations are important for the success of any organisation. Maintaining healthy cordial employee relations usually involves creating understanding and harmony between the employees and the employer. However, due to several dynamics within the work environment, employee relations become complex. The employee relations unit in the human resources management department is tasked with handling this complex situation by dealing with different grievances in organisations. In this regard, in organisations like the University of Fort Hare, the employee relations office represents both the employees and employer. The dualistic role assumed by the employee relations office is associated with several challenges, such as employees not trusting the employee relations office. The employee relations office is deemed to be safeguarding the interests of the management, which complicates employee relations at the university. Therefore, this study sought to explore perceptions on the dualistic role of the employee relations office and its influence on labour relations at the University of Fort Hare. The study utilised a qualitative research methodology to find out perceptions of participants on the dualistic role of the employee relations office and its influence on labour relations at the University of Fort Hare. The research used semi-structured interviews to collect data. The participants were purposively selected from the University of Fort Hare. The Human Relations Theory was used as the main theory, and it provided underpinning arguments regarding employee relations at the University of Fort Hare. The data gathered were thematically analysed. The main findings revealed that there are fragmented employee relations at the university, mainly due to lack of clarity about the standard working conditions that should be expected and that are acceptable by the university. Furthermore, the study also established that the employee relations office is largely seen as biased against employees and seems to favour employers most of the times, leading to disputes being taken to an external party. Based on these findings, the study recommends that to improve objectivity, the employee relations office can create an oversight team that independently provides insights on specific issues faced by employees and management. Improving objectivity should include making decisions based on facts or data, focusing on the vision and mission of the institution, increasing the ratio of positive against negative feedback, improving on transparency during decision-making and the creation of an anonymous human resources engagement system. , Thesis (MPA) -- Faculty of Management and Commerce, 2021
- Full Text:
- Date Issued: 2021-12
Factors influencing the performance of staff members in a tertiary hospital
- Combrink, Cornelius Johannes
- Authors: Combrink, Cornelius Johannes
- Date: 2021-12
- Subjects: Community health services
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/21642 , vital:51737
- Description: Healthcare services within a hospital setting are the basic aspects for the success of service delivery and staff performance in this regard. The paramount component of human resources makes a positive contribution to a healthcare system. Recently, it has been recognised that the performance of healthcare personnel ought to be a key factor for a sustainable performance system. Nevertheless, it is generally known that healthcare workers fail to accomplish the anticipated outcomes of health interventions. This concept leads to the research question: Why is the public sector known for poor service delivery and poor performance? This study aims to determine the factors that impact on the health worker’s performance in a tertiary hospital in South-Africa. A framework will be carefully constructed and cautiously implemented to improve and develop the performance of healthcare workers in this hospital. The vast scope and population involved in this study make a quantitative research approach most suitable, along with a non-probability purposive sampling method. A survey method using an electronic questionnaire that was circulated via a web survey, and a paper-based questionnaire that was distributed within the hospital were used to obtain a diverse perception of the healthcare workers. Data analysis included determining factors, group differences and correlations using the SPSS-27 program. The target population included all healthcare workers in the tertiary hospital – from junior employees to senior management level staff. Statistical data analysis collected for this study revealed four major factors (politics-related resources, resource, training and socioeconomic) that play a major role in the trends of performance culture at the selected tertiary hospital. These results lead to the understanding that the hospital is currently experiencing inadequate human resources management components such as recognition of employees who perform above expectations; execution of a performance appraisal system; lack in implementing the annual salary increase; unfavourable working conditions (lack of resources); troublesome management skills, and insufficient feedback on performance outcomes. These features are directly associated with the quality and degree of the performance of healthcare personnel. Based on the results, a management framework was proposed. The framework consists of activities that will improve the healthcare profession; strengthen expertise and knowledge; develop management skills; enhance knowledge through research and, ultimately, upgrade the performance of healthcare personnel. , Thesis (MPH) -- Faculty of Health Sciences, Public Health, 2021
- Full Text:
- Date Issued: 2021-12
- Authors: Combrink, Cornelius Johannes
- Date: 2021-12
- Subjects: Community health services
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/21642 , vital:51737
- Description: Healthcare services within a hospital setting are the basic aspects for the success of service delivery and staff performance in this regard. The paramount component of human resources makes a positive contribution to a healthcare system. Recently, it has been recognised that the performance of healthcare personnel ought to be a key factor for a sustainable performance system. Nevertheless, it is generally known that healthcare workers fail to accomplish the anticipated outcomes of health interventions. This concept leads to the research question: Why is the public sector known for poor service delivery and poor performance? This study aims to determine the factors that impact on the health worker’s performance in a tertiary hospital in South-Africa. A framework will be carefully constructed and cautiously implemented to improve and develop the performance of healthcare workers in this hospital. The vast scope and population involved in this study make a quantitative research approach most suitable, along with a non-probability purposive sampling method. A survey method using an electronic questionnaire that was circulated via a web survey, and a paper-based questionnaire that was distributed within the hospital were used to obtain a diverse perception of the healthcare workers. Data analysis included determining factors, group differences and correlations using the SPSS-27 program. The target population included all healthcare workers in the tertiary hospital – from junior employees to senior management level staff. Statistical data analysis collected for this study revealed four major factors (politics-related resources, resource, training and socioeconomic) that play a major role in the trends of performance culture at the selected tertiary hospital. These results lead to the understanding that the hospital is currently experiencing inadequate human resources management components such as recognition of employees who perform above expectations; execution of a performance appraisal system; lack in implementing the annual salary increase; unfavourable working conditions (lack of resources); troublesome management skills, and insufficient feedback on performance outcomes. These features are directly associated with the quality and degree of the performance of healthcare personnel. Based on the results, a management framework was proposed. The framework consists of activities that will improve the healthcare profession; strengthen expertise and knowledge; develop management skills; enhance knowledge through research and, ultimately, upgrade the performance of healthcare personnel. , Thesis (MPH) -- Faculty of Health Sciences, Public Health, 2021
- Full Text:
- Date Issued: 2021-12
The impact of COVID-19 on depression, anxiety, and post-traumatic stress levels in doctors and nurses at a South African health facility
- Authors: Finger-Motsepe, Kelebogile
- Date: 2021-12
- Subjects: COVID-19 (Disease) , Mental health
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/27920 , vital:70880
- Description: Introduction: The emergence of the coronavirus disease of 2019 (Covid-19) has wrought profound and enduring transformations in global health, economic dynamics, and social interactions. However, the comprehensive quantification of the psychological repercussions of the Covid-19 pandemic remains elusive and is poised to compound the preexisting burden of mental health disorders within the general populace. Elevated transmission rates, rapid disease progression within vulnerable demographics, and the absence of definitive curative or preventive measures have collectively contributed to a heightened worldwide state of stress and anxiety. Extensive research has demonstrated that the apprehension and stress associated with Covid-19 are markedly pronounced among healthcare professionals, commonly referred to as front-line workers, in comparison to the general population. The Covid-19-related psychological distress is anticipated to act as a catalyst, exacerbating mental health conditions within high-risk groups. Aims and Objectives: This study endeavours to ascertain the prevalence and severity of depression, anxiety, and post-traumatic stress disorder (PTSD) among medical doctors and nurses employed at a regional hospital in South Africa. Methodology: A cross-sectional investigation was conducted to evaluate the presence of anxiety, depression, and stress symptoms among medical doctors and nurses working at a Regional Hospital situated in the Free State Province of South Africa. A purposive sample of 200 participants, comprising all willing doctors and nurses employed at the study site, was enrolled in the study. Findings: The participants exhibited an average age of 42 years and an average tenure of approximately 72 months at the hospital. The majority of participants were of African descent, with a male-to-female ratio of 1:2.3. Female healthcare workers reported significantly higher instances of PTSD than their male counterparts. In the aggregate, 71.4percent of doctors reported symptoms indicative of depression, 73.2percent reported anxiety-related symptoms, and 19.6percent reported PTSD-related symptoms. Among nurses, 72percent displayed clinically significant symptoms of depression, 81percent exhibited anxiety-related symptoms, and 27.7percent manifested symptoms suggestive of PTSD. A moderately robust positive correlation was discerned between PTSD and Anxiety (p = .000; r = .466) as well as PTSD and Depression (p = .000; r = .315). Additionally, a strong positive correlation was identified between Anxiety and Depression (p = .000; r = .631). A statistically significant disparity (p = .030) in anxiety levels was observed among workers in different risk-prone areas. Nurses reported substantially higher levels of anxiety (p = .039; M = 10.63, sd = 4.03) compared to doctors (M = 9.01, sd = 3.80) and administrators (M = 10.50, sd = 4.32). Moreover, both nurses (M = 27.06, sd = 13.61) and administrators (M = 33.33, sd = 14.44) exhibited significantly higher instances of PTSD (p = .003) than doctors (M = 19.96, sd = 15.03). Conclusions: The healthcare workers under scrutiny reported elevated levels of anxiety and depression attributable to the Covid-19 pandemic, although the prevalence of posttraumatic stress symptoms was comparatively lower within the hospital setting. Furthermore, this study illuminates that depressive, anxiety, and post-traumatic stress symptoms were more prevalent among nurses than doctors. Additionally, healthcare professionals operating in high-risk Covid-19 environments, such as the Covid-19 ward, demonstrated heightened levels of anxiety when juxtaposed with their counterparts stationed in low-risk Covid-19 areas within the healthcare facility. , Thesis (MPH) -- Faculty of Health Sciences, 2022
- Full Text:
- Date Issued: 2021-12
- Authors: Finger-Motsepe, Kelebogile
- Date: 2021-12
- Subjects: COVID-19 (Disease) , Mental health
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/27920 , vital:70880
- Description: Introduction: The emergence of the coronavirus disease of 2019 (Covid-19) has wrought profound and enduring transformations in global health, economic dynamics, and social interactions. However, the comprehensive quantification of the psychological repercussions of the Covid-19 pandemic remains elusive and is poised to compound the preexisting burden of mental health disorders within the general populace. Elevated transmission rates, rapid disease progression within vulnerable demographics, and the absence of definitive curative or preventive measures have collectively contributed to a heightened worldwide state of stress and anxiety. Extensive research has demonstrated that the apprehension and stress associated with Covid-19 are markedly pronounced among healthcare professionals, commonly referred to as front-line workers, in comparison to the general population. The Covid-19-related psychological distress is anticipated to act as a catalyst, exacerbating mental health conditions within high-risk groups. Aims and Objectives: This study endeavours to ascertain the prevalence and severity of depression, anxiety, and post-traumatic stress disorder (PTSD) among medical doctors and nurses employed at a regional hospital in South Africa. Methodology: A cross-sectional investigation was conducted to evaluate the presence of anxiety, depression, and stress symptoms among medical doctors and nurses working at a Regional Hospital situated in the Free State Province of South Africa. A purposive sample of 200 participants, comprising all willing doctors and nurses employed at the study site, was enrolled in the study. Findings: The participants exhibited an average age of 42 years and an average tenure of approximately 72 months at the hospital. The majority of participants were of African descent, with a male-to-female ratio of 1:2.3. Female healthcare workers reported significantly higher instances of PTSD than their male counterparts. In the aggregate, 71.4percent of doctors reported symptoms indicative of depression, 73.2percent reported anxiety-related symptoms, and 19.6percent reported PTSD-related symptoms. Among nurses, 72percent displayed clinically significant symptoms of depression, 81percent exhibited anxiety-related symptoms, and 27.7percent manifested symptoms suggestive of PTSD. A moderately robust positive correlation was discerned between PTSD and Anxiety (p = .000; r = .466) as well as PTSD and Depression (p = .000; r = .315). Additionally, a strong positive correlation was identified between Anxiety and Depression (p = .000; r = .631). A statistically significant disparity (p = .030) in anxiety levels was observed among workers in different risk-prone areas. Nurses reported substantially higher levels of anxiety (p = .039; M = 10.63, sd = 4.03) compared to doctors (M = 9.01, sd = 3.80) and administrators (M = 10.50, sd = 4.32). Moreover, both nurses (M = 27.06, sd = 13.61) and administrators (M = 33.33, sd = 14.44) exhibited significantly higher instances of PTSD (p = .003) than doctors (M = 19.96, sd = 15.03). Conclusions: The healthcare workers under scrutiny reported elevated levels of anxiety and depression attributable to the Covid-19 pandemic, although the prevalence of posttraumatic stress symptoms was comparatively lower within the hospital setting. Furthermore, this study illuminates that depressive, anxiety, and post-traumatic stress symptoms were more prevalent among nurses than doctors. Additionally, healthcare professionals operating in high-risk Covid-19 environments, such as the Covid-19 ward, demonstrated heightened levels of anxiety when juxtaposed with their counterparts stationed in low-risk Covid-19 areas within the healthcare facility. , Thesis (MPH) -- Faculty of Health Sciences, 2022
- Full Text:
- Date Issued: 2021-12
A contingency management framework to mitigate cybersecurity threats to electronic health records in the public health sector in South Africa
- Ngxabane, Mbulelo https://orcid.org/0000-0003-2942-2568
- Authors: Ngxabane, Mbulelo https://orcid.org/0000-0003-2942-2568
- Date: 2021-11
- Subjects: Health services administration--Information technology , Computer Security
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/23427 , vital:57730
- Description: Most developing countries in the African continent, including South Africa, seem to be lagging behind in research, policy development, and how to prevent cybersecurity threats. These findings are evident in the significant number of cyberattacks recorded in the Cost of Data Breach Study and Global Analysis by Ponemon Institute. Research studies are placing the blame on the element of portability in electronic health records (EHRs) that has contributed to numerous vulnerabilities to hospital healthcare data. As a result, the healthcare information of patients in those hospitals that are equipped with interconnected medical devices is exposed to cybersecurity threats. The purpose of the study was to develop a healthcare contingency management framework that can be used by healthcare institutions to mitigate cybersecurity threats to EHRs in the public health sector in South Africa. The integrated systems theory (IST) which amalgamated five different theories relating to information security management was used as a theoretical foundation in this study. In achieving this purpose, the literature review was selected as the research design best suited to answer the question presented in this research study. An expert review was used to refine the framework outcome using interviews and questionnaires. The contribution that will be made by this study will be in a form of a conceptual framework that will be used to mitigate cybersecurity threats concerning EHRs in the public health sector. The healthcare contingency management framework (HCMF) can be adopted by either the National Health Department or Provincial Health Department to be used by healthcare facilities as a guide in reviewing their support function, process management, governance management, and their contingency management. Similar future studies need to be conducted on large scale such as in the whole public sector with the focus on the health sector. , Thesis (MA) -- Faculty of Management and Commerce, 2021
- Full Text:
- Date Issued: 2021-11
- Authors: Ngxabane, Mbulelo https://orcid.org/0000-0003-2942-2568
- Date: 2021-11
- Subjects: Health services administration--Information technology , Computer Security
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/23427 , vital:57730
- Description: Most developing countries in the African continent, including South Africa, seem to be lagging behind in research, policy development, and how to prevent cybersecurity threats. These findings are evident in the significant number of cyberattacks recorded in the Cost of Data Breach Study and Global Analysis by Ponemon Institute. Research studies are placing the blame on the element of portability in electronic health records (EHRs) that has contributed to numerous vulnerabilities to hospital healthcare data. As a result, the healthcare information of patients in those hospitals that are equipped with interconnected medical devices is exposed to cybersecurity threats. The purpose of the study was to develop a healthcare contingency management framework that can be used by healthcare institutions to mitigate cybersecurity threats to EHRs in the public health sector in South Africa. The integrated systems theory (IST) which amalgamated five different theories relating to information security management was used as a theoretical foundation in this study. In achieving this purpose, the literature review was selected as the research design best suited to answer the question presented in this research study. An expert review was used to refine the framework outcome using interviews and questionnaires. The contribution that will be made by this study will be in a form of a conceptual framework that will be used to mitigate cybersecurity threats concerning EHRs in the public health sector. The healthcare contingency management framework (HCMF) can be adopted by either the National Health Department or Provincial Health Department to be used by healthcare facilities as a guide in reviewing their support function, process management, governance management, and their contingency management. Similar future studies need to be conducted on large scale such as in the whole public sector with the focus on the health sector. , Thesis (MA) -- Faculty of Management and Commerce, 2021
- Full Text:
- Date Issued: 2021-11
Assessment of compliance to the maintenance procedure of medical equipment in a selected hospital, Oliver Reginald Tambo District, Eastern Cape Province
- Authors: Mbangata, Mzuyanda
- Date: 2021-11
- Subjects: Equipment health monitoring , Maintenance--Equipment and supplies
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/21871 , vital:51838
- Description: Background Medical equipment assumes a major part in diagnosis, prevention and treatment of diseases as well as illness and rehabilitation of patients. The maintenance of medical equipment is one of the most vital components in quality health care service delivery and it should not be ignored in the hospital. Therefore, it is critical that medical equipment must be maintained, and be in good working condition to ensure it completes its life cycle, also to prevent possible injuries to the patients and clinicians/end-users. Proper maintenance of medical equipment needs compliance with the manufacturer’s recommendations. Inappropriate maintenance of medical equipment leads to medical equipment malfunctioning, decreases the level of medical equipment performance, and wastes money and other resources. The equipment downtime makes health care services not accessible to patients. Maintenance includes the following activities, medical equipment acceptance, preventive maintenance, inspection, calibration and repair following the manufacturer’s recommendations. Aim of the study The purpose of the study was to assess compliance to the maintenance procedures of medical equipment in a selected hospital in Oliver Reginald Tambo District, Eastern Cape Province. Methodology A qualitative descriptive design was used to access information regarding compliance with the maintenance of medical equipment in a selected hospital, in Oliver Reginald Tambo District, Eastern Cape. The compliance was accessed at the selected hospital that has eight departments. The research objectives gave a framework for how the research was to be conducted. The data was collected through semi-structured interviews until data saturation. An open coding Tesch’s qualitative method was used for data analysis. A purposive sampling technique was used to select participants who were knowledgeable and responsible for management of medical equipment maintenance. The participants were experienced clinicians and technicians answerable for medical equipment maintenance and management. The researcher adhered to ethical and trustworthiness principles. Findings The following themes and their related categories emerged as compliance procedures adhered to/applied: i) Determinants of applied procedures; ii) Compliance with maintenance that is facilitate frequent checks, daily regular testing of equipment; iii) Report faulty equipment; iv) Send equipment for repairs; v) Do follow up on repairs; and vi) Keep machines working all the time. Contributory factors to non-compliance included: Unavailability of funds; technical staff shortage; lack of technical training; non-compliance in performance of quality checks; lack of training of end users; lack of set of maintenance plans; and long procurement process. Complications aligned with non-compliance: Inappropriate referral patients; inaccessibility of health care services; and misdiagnosing patients. Recommendations The strengthening of clinical engineering department with human resources (technical staff), finance (funds for spare parts) and physical resources (workspace, testing equipment and tools, service manuals etc.) Prioritise medical equipment maintenance also improvement of maintenance budget allocation and utilization. Provision of training for end users and technical staff. Establishment and implementation of maintenance plan and improvement of procurement processes. Conclusion The selected hospital is partially compliant with the maintenance of medical equipment because the hospital performs only reactive maintenance. It evidently appeared that affected service delivery is initiated by the shortage of technical staff and equipment availability and reliability. The hospital needs to focus and improve on the above mentioned factors affecting medical equipment maintenance. The results showed that improper maintenance of medical equipment contributes to the overcrowding of tertiary hospitals through unnecessary referrals due to medical equipment malfunctioning. The study contributes to improving the maintenance management of medical equipment. , Thesis (MPH) -- Faculty of Health Sciences, 2021
- Full Text:
- Date Issued: 2021-11
- Authors: Mbangata, Mzuyanda
- Date: 2021-11
- Subjects: Equipment health monitoring , Maintenance--Equipment and supplies
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/21871 , vital:51838
- Description: Background Medical equipment assumes a major part in diagnosis, prevention and treatment of diseases as well as illness and rehabilitation of patients. The maintenance of medical equipment is one of the most vital components in quality health care service delivery and it should not be ignored in the hospital. Therefore, it is critical that medical equipment must be maintained, and be in good working condition to ensure it completes its life cycle, also to prevent possible injuries to the patients and clinicians/end-users. Proper maintenance of medical equipment needs compliance with the manufacturer’s recommendations. Inappropriate maintenance of medical equipment leads to medical equipment malfunctioning, decreases the level of medical equipment performance, and wastes money and other resources. The equipment downtime makes health care services not accessible to patients. Maintenance includes the following activities, medical equipment acceptance, preventive maintenance, inspection, calibration and repair following the manufacturer’s recommendations. Aim of the study The purpose of the study was to assess compliance to the maintenance procedures of medical equipment in a selected hospital in Oliver Reginald Tambo District, Eastern Cape Province. Methodology A qualitative descriptive design was used to access information regarding compliance with the maintenance of medical equipment in a selected hospital, in Oliver Reginald Tambo District, Eastern Cape. The compliance was accessed at the selected hospital that has eight departments. The research objectives gave a framework for how the research was to be conducted. The data was collected through semi-structured interviews until data saturation. An open coding Tesch’s qualitative method was used for data analysis. A purposive sampling technique was used to select participants who were knowledgeable and responsible for management of medical equipment maintenance. The participants were experienced clinicians and technicians answerable for medical equipment maintenance and management. The researcher adhered to ethical and trustworthiness principles. Findings The following themes and their related categories emerged as compliance procedures adhered to/applied: i) Determinants of applied procedures; ii) Compliance with maintenance that is facilitate frequent checks, daily regular testing of equipment; iii) Report faulty equipment; iv) Send equipment for repairs; v) Do follow up on repairs; and vi) Keep machines working all the time. Contributory factors to non-compliance included: Unavailability of funds; technical staff shortage; lack of technical training; non-compliance in performance of quality checks; lack of training of end users; lack of set of maintenance plans; and long procurement process. Complications aligned with non-compliance: Inappropriate referral patients; inaccessibility of health care services; and misdiagnosing patients. Recommendations The strengthening of clinical engineering department with human resources (technical staff), finance (funds for spare parts) and physical resources (workspace, testing equipment and tools, service manuals etc.) Prioritise medical equipment maintenance also improvement of maintenance budget allocation and utilization. Provision of training for end users and technical staff. Establishment and implementation of maintenance plan and improvement of procurement processes. Conclusion The selected hospital is partially compliant with the maintenance of medical equipment because the hospital performs only reactive maintenance. It evidently appeared that affected service delivery is initiated by the shortage of technical staff and equipment availability and reliability. The hospital needs to focus and improve on the above mentioned factors affecting medical equipment maintenance. The results showed that improper maintenance of medical equipment contributes to the overcrowding of tertiary hospitals through unnecessary referrals due to medical equipment malfunctioning. The study contributes to improving the maintenance management of medical equipment. , Thesis (MPH) -- Faculty of Health Sciences, 2021
- Full Text:
- Date Issued: 2021-11
Big data use at an automotive manufacturer: a framework to address privacy concerns in Hadoop Technology.
- Authors: Padayachee, Prenisha
- Date: 2021-11
- Subjects: Data protection. , Privacy, Right of. , Computer networks--Security measures.
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22255 , vital:52009
- Description: An automotive manufacturer can generate big data through accessible data points from internal and external Internet of Things (IoT) data sources connected to the production line. Big data analytics needs to be applied to these large and complex datasets to realise the associated opportunities, such as an improved manufacturing process, optimised supply chain management, competitive advantage and business growth. In order to store, manage and process the data, automotive manufacturers are using Apache Hadoop technology. Apache Hadoop is a cost-effective, scalable, and fault-tolerant technology. However, there has been a concern raised regarding the privacy of big data in Apache Hadoop. A key challenge in Hadoop technology is its ineffective security model, making the data susceptible to unauthorised users. Consequently, a breach in data privacy results in automotive manufacturers becoming victims of theft of trade secrets and intellectual property via corporate spies. This theft has a negative impact and results in the loss of company reputation, business competitiveness and business growth in the automotive market. This study investigated a solution to ensure big data privacy when using Hadoop technology. The Selective Organisational Information Privacy and Security Violations Model (SOIPSVM) and the Capability Maturity Model (CMM) provided the theoretical base for this study. The researcher undertook a literature analysis and qualitative study to understand and address the identified research problem. The primary data was collected from ten Information Technology (IT) specialists at a local automotive manufacturer. These specialists participated in an interview session, which also included the completion of a questionnaire. All questions were pre-determined and open-ended, and the participants' responses were recorded. Primary data was analysed using the inductive approach by identifying relevant themes and sub-themes. In contrast, the literature analysis included academic journals, conference proceedings, websites, and books, which were critically discussed in this study. This study's findings indicated various measures to be implemented by the automotive manufacturer to address the research problem. Critical success factors were derived from the identified measures, which addressed significant data privacy issues in using Hadoop technology. The identified critical success factors included: control of internal and external data sources; monitor the value of big data towards improving the automotive manufacturing process and user behaviour; implementation of user authentication; encryption to secure data; disaster recovery and backup plan; execution of authorisation and Access Control List (ACLS); conduct audits and regular reviews of user access to data; apply data masking to sensitive data and tokenization to secure data; build own infrastructure to store and analyse data; install regular security updates and update passwords regularly. Each factor had a purpose that examined big data management, governance and compliance in detail. The identified factors contributed towards ensuring data privacy in the use of Hadoop technology. These factors were categorised into contextual and rule and regulatory conditions adopted from the SOIPSVM. Identified conditions were then aligned to the five-level CMM. Each condition was expanded upon at various maturity levels to form a framework that addressed the main research problem. The framework's application was described as an independent assessment of each critical success factor and provided a guide through various maturity levels. The framework's purpose was to address and overcome big data privacy concerns in using Hadoop technology at a local automotive manufacturer. , Thesis (MCom) (Information Systems) -- University of Fort Hare, 2021
- Full Text:
- Date Issued: 2021-11
- Authors: Padayachee, Prenisha
- Date: 2021-11
- Subjects: Data protection. , Privacy, Right of. , Computer networks--Security measures.
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22255 , vital:52009
- Description: An automotive manufacturer can generate big data through accessible data points from internal and external Internet of Things (IoT) data sources connected to the production line. Big data analytics needs to be applied to these large and complex datasets to realise the associated opportunities, such as an improved manufacturing process, optimised supply chain management, competitive advantage and business growth. In order to store, manage and process the data, automotive manufacturers are using Apache Hadoop technology. Apache Hadoop is a cost-effective, scalable, and fault-tolerant technology. However, there has been a concern raised regarding the privacy of big data in Apache Hadoop. A key challenge in Hadoop technology is its ineffective security model, making the data susceptible to unauthorised users. Consequently, a breach in data privacy results in automotive manufacturers becoming victims of theft of trade secrets and intellectual property via corporate spies. This theft has a negative impact and results in the loss of company reputation, business competitiveness and business growth in the automotive market. This study investigated a solution to ensure big data privacy when using Hadoop technology. The Selective Organisational Information Privacy and Security Violations Model (SOIPSVM) and the Capability Maturity Model (CMM) provided the theoretical base for this study. The researcher undertook a literature analysis and qualitative study to understand and address the identified research problem. The primary data was collected from ten Information Technology (IT) specialists at a local automotive manufacturer. These specialists participated in an interview session, which also included the completion of a questionnaire. All questions were pre-determined and open-ended, and the participants' responses were recorded. Primary data was analysed using the inductive approach by identifying relevant themes and sub-themes. In contrast, the literature analysis included academic journals, conference proceedings, websites, and books, which were critically discussed in this study. This study's findings indicated various measures to be implemented by the automotive manufacturer to address the research problem. Critical success factors were derived from the identified measures, which addressed significant data privacy issues in using Hadoop technology. The identified critical success factors included: control of internal and external data sources; monitor the value of big data towards improving the automotive manufacturing process and user behaviour; implementation of user authentication; encryption to secure data; disaster recovery and backup plan; execution of authorisation and Access Control List (ACLS); conduct audits and regular reviews of user access to data; apply data masking to sensitive data and tokenization to secure data; build own infrastructure to store and analyse data; install regular security updates and update passwords regularly. Each factor had a purpose that examined big data management, governance and compliance in detail. The identified factors contributed towards ensuring data privacy in the use of Hadoop technology. These factors were categorised into contextual and rule and regulatory conditions adopted from the SOIPSVM. Identified conditions were then aligned to the five-level CMM. Each condition was expanded upon at various maturity levels to form a framework that addressed the main research problem. The framework's application was described as an independent assessment of each critical success factor and provided a guide through various maturity levels. The framework's purpose was to address and overcome big data privacy concerns in using Hadoop technology at a local automotive manufacturer. , Thesis (MCom) (Information Systems) -- University of Fort Hare, 2021
- Full Text:
- Date Issued: 2021-11
Cynical evictions and the possessory action in search of an appropriate remedy
- Phillips, Jeremy Alan https://orcid.org/0000-0003-2046-0744
- Authors: Phillips, Jeremy Alan https://orcid.org/0000-0003-2046-0744
- Date: 2021-11
- Subjects: Eviction
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22434 , vital:52285
- Description: A cynical eviction is an unlawful eviction where, in the course of the eviction, the evictee's home is destroyed. They are a notorious brand of eviction which has darkly coloured South Africa's history and social geography. And they persist still to this day. The cynicality of a cynical eviction lies in the fact that because the home, and its composite materials, are destroyed, application of the mandament van spolie is precluded. With the obvious remedy barred, there is academic and judicial disagreement about which remedy should be used instead. Some have argued that, despite the technical difficulties, the mandament van spolie should be relied on, while others insist that the extraordinary constitutional remedy, crafted in the Tswelopele case, is the best option. This dissertation argues that there are obvious shortcomings with both two remedies, and investigates whether a third remedy, the possessory action, might be better-suited. It finds that, while the possessory action has many benefits, it too is deficient in some respects. It ultimately concludes that all three remedies are only, at best, partially appropriate for addressing cynical evictions and that whichever remedy is the most appropriate in the instant cynical eviction should be preferred for that particular case. , Thesis (LLM) -- Faculty of Law, 2021
- Full Text:
- Date Issued: 2021-11
- Authors: Phillips, Jeremy Alan https://orcid.org/0000-0003-2046-0744
- Date: 2021-11
- Subjects: Eviction
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22434 , vital:52285
- Description: A cynical eviction is an unlawful eviction where, in the course of the eviction, the evictee's home is destroyed. They are a notorious brand of eviction which has darkly coloured South Africa's history and social geography. And they persist still to this day. The cynicality of a cynical eviction lies in the fact that because the home, and its composite materials, are destroyed, application of the mandament van spolie is precluded. With the obvious remedy barred, there is academic and judicial disagreement about which remedy should be used instead. Some have argued that, despite the technical difficulties, the mandament van spolie should be relied on, while others insist that the extraordinary constitutional remedy, crafted in the Tswelopele case, is the best option. This dissertation argues that there are obvious shortcomings with both two remedies, and investigates whether a third remedy, the possessory action, might be better-suited. It finds that, while the possessory action has many benefits, it too is deficient in some respects. It ultimately concludes that all three remedies are only, at best, partially appropriate for addressing cynical evictions and that whichever remedy is the most appropriate in the instant cynical eviction should be preferred for that particular case. , Thesis (LLM) -- Faculty of Law, 2021
- Full Text:
- Date Issued: 2021-11
Knowledge, attitudes, and practices of the treatment options for dental caries among the adult patients for dental caries in Buffalo City Metropolitan Municipality, in East London, Eastern Cape, South Africa
- Authors: Veleekizhakethil, Legy
- Date: 2021-11
- Subjects: Dental caries , Periodontics
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22968 , vital:53257
- Description: Dentistry offers several caries-preventive measures, some of which emphasise not only patient’s responsibility to manage their disease, but also how dental professionals should manage it. Consequently, this study aimed to examine the knowledge, attitudes, and practices of adult patients towards treatment options relating to dental caries in the geographical context of Buffalo City Metropolitan Municipality, situated in the Eastern Cape Province of South Africa. Purpose Firstly, this quantitative study set out to assess the existing oral health knowledge, attitudes, and practices among an adult population visiting dental health facilities in Buffalo City Metropolitan Municipality, in East London, Eastern Cape, South Africa. Secondly, it aimed to examine the prevalence of dental caries, periodontal diseases and tooth associated diseases in this specific setting. Furthermore, the study sought to provide baseline data in order to organise a successful dental prevention programme. The data obtained will determine the layout of policies to be put forward to the Department of Health. Methodology The researcher took a quantitative approach and conducted descriptive surveys from November 2019 to March 2020. A close-ended, structured questionnaire for data collection was designed based on the aspects of knowledge, attitudes, practices and behaviour pertaining to the area of dental caries. A clinical examination of dental status was performed using dental probes, dental mirrors and tooth air-drying. All decay, and missing, filled or restored teeth due to dental caries, along with the presence of calculus, gingival, and periodontal lesions were recorded. Results Participants had an average knowledge score of 80percent with a 95percent confidence interval of (76percent; 84percent). The majority knew the importance of cleaning their teeth (88.9percent), were aware of the effects of sugary diets (80.7percent), avoided sugary foods (64.6percent), and lastly were aware of the causes of dental caries (71.3percent). However it is concerning that most had never visited a dentist, as reflected by 69.1percent of participants agreeing or strongly agreeing. At least 70percent of those who responded were satisfied with their dentists in that they ( the dentists) freely share ideas and opinions and provide advice on options for dental care. The study revealed a high prevalence of dental caries with a ratio of 6.23. Conclusions The majority of the participants affirmed the importance of visiting the dentist for a routine dental examination. In addition, the majority are aware that sugary diets are associated with dental caries. However, there is a high prevalence of dental caries among participants in this setting. Therefore, dentists should provide preventive measures, along with professional restorative and plaque removal, to curb the burden of dental caries and periodontal diseases. The type and extent of preventive measures must be adjusted according to the patient’s individual needs. Dental health professionals must collaborate with other health-care providers to promote preventive dental health. , Thesis (MPH) -- Faculty of Health Sciences, 2021
- Full Text:
- Date Issued: 2021-11
- Authors: Veleekizhakethil, Legy
- Date: 2021-11
- Subjects: Dental caries , Periodontics
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22968 , vital:53257
- Description: Dentistry offers several caries-preventive measures, some of which emphasise not only patient’s responsibility to manage their disease, but also how dental professionals should manage it. Consequently, this study aimed to examine the knowledge, attitudes, and practices of adult patients towards treatment options relating to dental caries in the geographical context of Buffalo City Metropolitan Municipality, situated in the Eastern Cape Province of South Africa. Purpose Firstly, this quantitative study set out to assess the existing oral health knowledge, attitudes, and practices among an adult population visiting dental health facilities in Buffalo City Metropolitan Municipality, in East London, Eastern Cape, South Africa. Secondly, it aimed to examine the prevalence of dental caries, periodontal diseases and tooth associated diseases in this specific setting. Furthermore, the study sought to provide baseline data in order to organise a successful dental prevention programme. The data obtained will determine the layout of policies to be put forward to the Department of Health. Methodology The researcher took a quantitative approach and conducted descriptive surveys from November 2019 to March 2020. A close-ended, structured questionnaire for data collection was designed based on the aspects of knowledge, attitudes, practices and behaviour pertaining to the area of dental caries. A clinical examination of dental status was performed using dental probes, dental mirrors and tooth air-drying. All decay, and missing, filled or restored teeth due to dental caries, along with the presence of calculus, gingival, and periodontal lesions were recorded. Results Participants had an average knowledge score of 80percent with a 95percent confidence interval of (76percent; 84percent). The majority knew the importance of cleaning their teeth (88.9percent), were aware of the effects of sugary diets (80.7percent), avoided sugary foods (64.6percent), and lastly were aware of the causes of dental caries (71.3percent). However it is concerning that most had never visited a dentist, as reflected by 69.1percent of participants agreeing or strongly agreeing. At least 70percent of those who responded were satisfied with their dentists in that they ( the dentists) freely share ideas and opinions and provide advice on options for dental care. The study revealed a high prevalence of dental caries with a ratio of 6.23. Conclusions The majority of the participants affirmed the importance of visiting the dentist for a routine dental examination. In addition, the majority are aware that sugary diets are associated with dental caries. However, there is a high prevalence of dental caries among participants in this setting. Therefore, dentists should provide preventive measures, along with professional restorative and plaque removal, to curb the burden of dental caries and periodontal diseases. The type and extent of preventive measures must be adjusted according to the patient’s individual needs. Dental health professionals must collaborate with other health-care providers to promote preventive dental health. , Thesis (MPH) -- Faculty of Health Sciences, 2021
- Full Text:
- Date Issued: 2021-11
Low uptake and early removal of Implanon NXT among women of reproductive age in Limpopo
- Magomani, Nandu Victoria https://orcid.org/ 0000-0001-5473-9984
- Authors: Magomani, Nandu Victoria https://orcid.org/ 0000-0001-5473-9984
- Date: 2021-11
- Subjects: Contraceptive drug implants
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/21849 , vital:51829
- Description: Implanon NXT also referred to as subdermal Implant, is a long-acting subdermal contraceptive method available in the South African public health care system since 2014. The implant was introduced to broaden the choice for women of childbearing age to delay or prevent unwanted pregnancies. Following a surge in popularity, reports of early removals and frequent adverse effects led to a significant decrease in its uptake in the country. Insufficient knowledge on Implanon, poor management of side effects, poor counseling by health care workers, and lack of partner support were the main themes that were picked from the interview, influencing uptake or early removals of the Implanon. The major concerning side effect reported was uncontrolled and irregular heavy bleeding The purpose of the study was to explore the factors associated with low uptake and early removals of Implanon NXT among women of reproductive age in one district in Limpopo province. A qualitative research design was used, primarily as exploratory and descriptive in nature. Participants were identified using non-probable, purposeful voluntary sampling. Data collection was achieved using open-ended structured interviews with sixteen (16) women aged from18-49. Data was analysed using thematic method of organizing data into categories, followed by coding and sorting the data to identify patterns and interpret the meanings and responses. An independent consultant was involved to confirm the thematic areas identified after which consensus discussions took place to finalize the analysed data. From the results, it appeared that there was a need that Implanon should be marketed by use of digital platforms and print media for information sharing. These platforms should be utilized by DOH from the National, provincial, district, facility and community levels. There should be clear protocol on how to manage different kinds of side effects, and this information should be rolled out to the implementation level. Health Care workers should provide client education and counselling services to the clients about the effectiveness of the method. Male partner involvement is crucial to provide support for women on contraceptives and to support their contraceptive choices. Mentorship will help providers to attain their proficiency in Implanon counselling, insertions, and removals. Lastly, availing adequate and effective youth-friendly services to enable young people to open up more about challenges and options that can be explored. For the adolescents and youth, these services should be provided by trained providers not at the general unit, where there is a mixture of adult population and the elderly, but at youth zones to enhance the uptake of Implanon NXT. Recommendations are for clinical practice area, for generic student education as well as for further research. The conclusions confirm that the government need to revitalise the Implanon program, to drive the uptake and reduce early removals. Training of health workers and mentorship should emphasize more comprehensive counselling, provide adequate information on what is to be expected and more importantly, how to treat and manage the side effects. That early removals due to side effects become the last option as information need to be widely available to all users utilising the traditional methods and modern methods such as digital platforms to spread the correct information and create demand for the Implanon. The functional service-provision-based youth-friendly services which will cater for the needs of young women and adolescents is highlighted as it provides a comfortable and conducive environment to provide and receive a comprehensive sexual reproductive health and rights services. , Thesis (MPH) -- Faculty of Health Sciences, 2021
- Full Text:
- Date Issued: 2021-11
- Authors: Magomani, Nandu Victoria https://orcid.org/ 0000-0001-5473-9984
- Date: 2021-11
- Subjects: Contraceptive drug implants
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/21849 , vital:51829
- Description: Implanon NXT also referred to as subdermal Implant, is a long-acting subdermal contraceptive method available in the South African public health care system since 2014. The implant was introduced to broaden the choice for women of childbearing age to delay or prevent unwanted pregnancies. Following a surge in popularity, reports of early removals and frequent adverse effects led to a significant decrease in its uptake in the country. Insufficient knowledge on Implanon, poor management of side effects, poor counseling by health care workers, and lack of partner support were the main themes that were picked from the interview, influencing uptake or early removals of the Implanon. The major concerning side effect reported was uncontrolled and irregular heavy bleeding The purpose of the study was to explore the factors associated with low uptake and early removals of Implanon NXT among women of reproductive age in one district in Limpopo province. A qualitative research design was used, primarily as exploratory and descriptive in nature. Participants were identified using non-probable, purposeful voluntary sampling. Data collection was achieved using open-ended structured interviews with sixteen (16) women aged from18-49. Data was analysed using thematic method of organizing data into categories, followed by coding and sorting the data to identify patterns and interpret the meanings and responses. An independent consultant was involved to confirm the thematic areas identified after which consensus discussions took place to finalize the analysed data. From the results, it appeared that there was a need that Implanon should be marketed by use of digital platforms and print media for information sharing. These platforms should be utilized by DOH from the National, provincial, district, facility and community levels. There should be clear protocol on how to manage different kinds of side effects, and this information should be rolled out to the implementation level. Health Care workers should provide client education and counselling services to the clients about the effectiveness of the method. Male partner involvement is crucial to provide support for women on contraceptives and to support their contraceptive choices. Mentorship will help providers to attain their proficiency in Implanon counselling, insertions, and removals. Lastly, availing adequate and effective youth-friendly services to enable young people to open up more about challenges and options that can be explored. For the adolescents and youth, these services should be provided by trained providers not at the general unit, where there is a mixture of adult population and the elderly, but at youth zones to enhance the uptake of Implanon NXT. Recommendations are for clinical practice area, for generic student education as well as for further research. The conclusions confirm that the government need to revitalise the Implanon program, to drive the uptake and reduce early removals. Training of health workers and mentorship should emphasize more comprehensive counselling, provide adequate information on what is to be expected and more importantly, how to treat and manage the side effects. That early removals due to side effects become the last option as information need to be widely available to all users utilising the traditional methods and modern methods such as digital platforms to spread the correct information and create demand for the Implanon. The functional service-provision-based youth-friendly services which will cater for the needs of young women and adolescents is highlighted as it provides a comfortable and conducive environment to provide and receive a comprehensive sexual reproductive health and rights services. , Thesis (MPH) -- Faculty of Health Sciences, 2021
- Full Text:
- Date Issued: 2021-11
Mass media use and knowledge gap amongst Walter Sisulu University, public relations management students: a content analysis study.
- Authors: Mva, Coceka
- Date: 2021-11
- Subjects: Education, Rural , Mass media--Social aspects , Mass media in education
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/21036 , vital:46916
- Description: Walter Sisulu University recruits students from the deep rural areas as well as students from urban areas all over the Eastern Cape Province. Students coming from rural areas are completely different from students coming from urban areas. The difference is caused by the different quality of infrastructure each area is exposed to. Urban students are exposed to high quality education whereas rural students have very poor infrastructure that they can hardly use to better their education. Urban students are exposed to all kinds of mass media and they are taught how to use and manipulate them. For rural students the exposure to mass media is too rare to the point where only the minority is able to use them. Therefore, this research was done to find out if there are any differences in understanding social and current events between urban and rural students studying public relations management at Walter Sisulu University. The study therefore sought to find out if this came as a result of their differentiated exposure to the mass media. Literature collected shows that rural students do not benefit as much as urban students from the knowledge and information communicated by the mass media. This is because rural areas lack electricity for television and radio usage, they lack quality roads for newspapers to be delivered to rural areas. However, questionnaires and interviews show that when at university, rural students struggle to cope in their first year of studies but their performance becomes better in their second and final year of study. , Thesis (MSoc Sci) (Communication) -- University of Fort Hare, 2021
- Full Text:
- Date Issued: 2021-11
- Authors: Mva, Coceka
- Date: 2021-11
- Subjects: Education, Rural , Mass media--Social aspects , Mass media in education
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/21036 , vital:46916
- Description: Walter Sisulu University recruits students from the deep rural areas as well as students from urban areas all over the Eastern Cape Province. Students coming from rural areas are completely different from students coming from urban areas. The difference is caused by the different quality of infrastructure each area is exposed to. Urban students are exposed to high quality education whereas rural students have very poor infrastructure that they can hardly use to better their education. Urban students are exposed to all kinds of mass media and they are taught how to use and manipulate them. For rural students the exposure to mass media is too rare to the point where only the minority is able to use them. Therefore, this research was done to find out if there are any differences in understanding social and current events between urban and rural students studying public relations management at Walter Sisulu University. The study therefore sought to find out if this came as a result of their differentiated exposure to the mass media. Literature collected shows that rural students do not benefit as much as urban students from the knowledge and information communicated by the mass media. This is because rural areas lack electricity for television and radio usage, they lack quality roads for newspapers to be delivered to rural areas. However, questionnaires and interviews show that when at university, rural students struggle to cope in their first year of studies but their performance becomes better in their second and final year of study. , Thesis (MSoc Sci) (Communication) -- University of Fort Hare, 2021
- Full Text:
- Date Issued: 2021-11
Retrospective analysis of factors contributing to parasuicide among youth in Buffalo City Metropolitan Municipality, Eastern Cape, South Africa
- Authors: Nganto, Yanga
- Date: 2021-11
- Subjects: Parasuicide -- South Africa
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22897 , vital:53181
- Description: Parasuicide is a problem that affects the youth locally and globally. Parasuicide has negative psychological impacts on youth. This study was designed to assess elements of parasuicide in the Buffalo City Metropolitan Municipality of South Africa, using records of patients admitted to Frere and Cecilia Makiwane hospitals between 2016 and 2020. The purpose of the study was to conduct a descriptive retrospective review of parasuicide among youth to determine trends, causes, and contributing factors of committing parasuicide. Methods A retrospective, quantitative and descriptive study was conducted with 200 files of patients aged between 18 and 35 years conveniently sampled. These patients diagnosed as committed parasuicide and were admitted at Frere and Cecilia Makiwane hospitals over a period of four years from 1 April 2016 to 31 March 202. Only record files of patients’ residing in East London and Mdantsane catchment area were selected. Raw data was collected for a period of twelve weeks using a developed data collection tool developed in Ms Excel spreadsheet. Results In this sample, the large number of the patients were under 26 years (60.5%), female (57%), single (92.5%), and Black (99.5%). Furthermore, majority of the patients had attained secondary education (89.5%), were unemployed (83%) and living with their families (59%). There were different methods and agents used by participants to commit parasuicide and reasons differed from person to person. Among patients who reported a suicide attempt, organophosphates were most commonly used agent for self-poisoning (47%, n=94), followed by substances such as use of drugs and alcohol (n=57, 28.5%), violence (n=27, 13.5%), corrosive agents including bleach and Jik (n=11, 5.5%), and hydrogen peroxide including acidic sub-stances like battery acid (n=11, 5.5%). The common reason found in the study and indicates participants had psychiatric disorder (34.5%). Conclusion Limiting access to organophosphate agents and other lethal means is an effective strategy that should be adopted to prevent parasuicide among youth. Timely identification of risks or warning signs, social prevention and immediate intervention at the state level will play an important role in controlling parasuicide among youth. Moreover, improving health care services with psychotherapy support would empower youth with skills that would enhance their self-confidence, self-worth and resilience. Consequently, attainment of these attributes would result in the prevention and control of parasuicide amongst youth. , Thesis (MPH) -- Faculty of Health Sciences, 2021
- Full Text:
- Date Issued: 2021-11
- Authors: Nganto, Yanga
- Date: 2021-11
- Subjects: Parasuicide -- South Africa
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22897 , vital:53181
- Description: Parasuicide is a problem that affects the youth locally and globally. Parasuicide has negative psychological impacts on youth. This study was designed to assess elements of parasuicide in the Buffalo City Metropolitan Municipality of South Africa, using records of patients admitted to Frere and Cecilia Makiwane hospitals between 2016 and 2020. The purpose of the study was to conduct a descriptive retrospective review of parasuicide among youth to determine trends, causes, and contributing factors of committing parasuicide. Methods A retrospective, quantitative and descriptive study was conducted with 200 files of patients aged between 18 and 35 years conveniently sampled. These patients diagnosed as committed parasuicide and were admitted at Frere and Cecilia Makiwane hospitals over a period of four years from 1 April 2016 to 31 March 202. Only record files of patients’ residing in East London and Mdantsane catchment area were selected. Raw data was collected for a period of twelve weeks using a developed data collection tool developed in Ms Excel spreadsheet. Results In this sample, the large number of the patients were under 26 years (60.5%), female (57%), single (92.5%), and Black (99.5%). Furthermore, majority of the patients had attained secondary education (89.5%), were unemployed (83%) and living with their families (59%). There were different methods and agents used by participants to commit parasuicide and reasons differed from person to person. Among patients who reported a suicide attempt, organophosphates were most commonly used agent for self-poisoning (47%, n=94), followed by substances such as use of drugs and alcohol (n=57, 28.5%), violence (n=27, 13.5%), corrosive agents including bleach and Jik (n=11, 5.5%), and hydrogen peroxide including acidic sub-stances like battery acid (n=11, 5.5%). The common reason found in the study and indicates participants had psychiatric disorder (34.5%). Conclusion Limiting access to organophosphate agents and other lethal means is an effective strategy that should be adopted to prevent parasuicide among youth. Timely identification of risks or warning signs, social prevention and immediate intervention at the state level will play an important role in controlling parasuicide among youth. Moreover, improving health care services with psychotherapy support would empower youth with skills that would enhance their self-confidence, self-worth and resilience. Consequently, attainment of these attributes would result in the prevention and control of parasuicide amongst youth. , Thesis (MPH) -- Faculty of Health Sciences, 2021
- Full Text:
- Date Issued: 2021-11
Sediment characteristics and hydrodynamic conditions of the Swartkops estuary, Eastern Cape Province of South Africa
- Best, Lutho https://orcid.org/0000-0001-6400-9061
- Authors: Best, Lutho https://orcid.org/0000-0001-6400-9061
- Date: 2021-11
- Subjects: Geology, Stratigraphic , Estuarine oceanography , Swartkops River Estuary (South Africa)
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22611 , vital:52596
- Description: This study is a part of an environmental research project aimed at providing assessment information to the grain-size distribution, mineral compositions, sedimentary structures and coastal erosion and rehabilitation methods along the Swartkops estuary, a recent developing industry area of South Africa. The methodologies used in this study comprise desk study of literature, field geological investigation and sampling, and laboratory analyses including grainsize analysis, thin section microscope study, XRD mineral composition study and SEM-EDX grain surface texture and composition analyses.The basement and surrounding areas of the Swartkops estuary consist of three formations: the Enon Formation of mainly conglomerate, the Kirkwood Formation of sandstone and mudstone, and the Sundays River Formation of dominantly mudstone with sandstone, which integrated as Uitenhage Group of Cretaceous sequence with modern estuarine sand and alluvial sediments filled in the entire basin. Grain size analysis is a useful tool to assess hydrodynamic environments. The grain size parameters showed that most of the Swartkops estuary sediments are moderately sorted with very few well and poorly sorted, coarse to fine skewed in grain size distribution.Whereas the Bluewater Bay beach sediments are mostly fine grained, well sorted, fine to coarse skewed in grain size distribution. The bivariate scatter plots are an indication of shallow marine environment by beach and coastal processes with the influence of water flow and wind influence during transportation and deposition processes. Mineralogy studies revealed that the Swartkops estuary sediments are dominantly composed of minerals such as: quartz, calcite, feldspar (orthoclase and plagioclase), aragonite, clay minerals (smectite and illite), and salts such as NaCl and MgCl2. Skeletal carbonate minerals (shell fragments) are more than chemical precipitated carbonate minerals. Quartz is the most abundant detrital mineral observed in all the sediments and it comes from inland and transported into the estuary and the beach by fluvial streams, whereas skeletal calcite/aragonite is the most abundant biogenic carbonate derived from sea side and transported by marine currents. The study shows that grain surface textures reveal the existence of several features that reflect the depositional environments. Observed grain surface textures by microscope and SEM include V-shape pits, upturned pits caused by mechanical crashing and corrosion during transportation; crystalline precipitation of calcite, quartz, salt and clay by chemical precipitation and crystallization; dissolution pits and pores formed by dissolution, and burrow and boring by biogenetic activities. The grain surface morphologies are closely linked to different formation mechanisms and depositional environments. Well-developed sedimentary structures have been found in the beach and estuary, including sand dune, sand ridge, straight and sinuous ripple, ripple marks, aeolian nail marks, high angle tabular cross bedding, antidune, rill mark, rhomboid mark, swash line, mud crack, gravel pavement, interfering ripples, flat topped ripple mark, linguiod mark, asymmetric sinuous ripples, dendritic pattern on sandy beach, boring and bioturbation, burrows desiccation cracks and water escape hole. Different sedimentary structures are reflective of different hydrodynamic conditions and depositional environments. Coastal erosion is a major problem for damage of road, bridge and properties in the industrial areas in Swartkops, which is also a task for this study. The author had suggested some practical mitigation-methods to local government, such as groins, revetments, shoreline hardening, planting of vegetation, and vertical walls, bulkheads, sills, which could be useful for the protection of coastal erosion. , Thesis (MSc) -- Faculty of Science and Agriculture, 2021
- Full Text:
- Date Issued: 2021-11
- Authors: Best, Lutho https://orcid.org/0000-0001-6400-9061
- Date: 2021-11
- Subjects: Geology, Stratigraphic , Estuarine oceanography , Swartkops River Estuary (South Africa)
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22611 , vital:52596
- Description: This study is a part of an environmental research project aimed at providing assessment information to the grain-size distribution, mineral compositions, sedimentary structures and coastal erosion and rehabilitation methods along the Swartkops estuary, a recent developing industry area of South Africa. The methodologies used in this study comprise desk study of literature, field geological investigation and sampling, and laboratory analyses including grainsize analysis, thin section microscope study, XRD mineral composition study and SEM-EDX grain surface texture and composition analyses.The basement and surrounding areas of the Swartkops estuary consist of three formations: the Enon Formation of mainly conglomerate, the Kirkwood Formation of sandstone and mudstone, and the Sundays River Formation of dominantly mudstone with sandstone, which integrated as Uitenhage Group of Cretaceous sequence with modern estuarine sand and alluvial sediments filled in the entire basin. Grain size analysis is a useful tool to assess hydrodynamic environments. The grain size parameters showed that most of the Swartkops estuary sediments are moderately sorted with very few well and poorly sorted, coarse to fine skewed in grain size distribution.Whereas the Bluewater Bay beach sediments are mostly fine grained, well sorted, fine to coarse skewed in grain size distribution. The bivariate scatter plots are an indication of shallow marine environment by beach and coastal processes with the influence of water flow and wind influence during transportation and deposition processes. Mineralogy studies revealed that the Swartkops estuary sediments are dominantly composed of minerals such as: quartz, calcite, feldspar (orthoclase and plagioclase), aragonite, clay minerals (smectite and illite), and salts such as NaCl and MgCl2. Skeletal carbonate minerals (shell fragments) are more than chemical precipitated carbonate minerals. Quartz is the most abundant detrital mineral observed in all the sediments and it comes from inland and transported into the estuary and the beach by fluvial streams, whereas skeletal calcite/aragonite is the most abundant biogenic carbonate derived from sea side and transported by marine currents. The study shows that grain surface textures reveal the existence of several features that reflect the depositional environments. Observed grain surface textures by microscope and SEM include V-shape pits, upturned pits caused by mechanical crashing and corrosion during transportation; crystalline precipitation of calcite, quartz, salt and clay by chemical precipitation and crystallization; dissolution pits and pores formed by dissolution, and burrow and boring by biogenetic activities. The grain surface morphologies are closely linked to different formation mechanisms and depositional environments. Well-developed sedimentary structures have been found in the beach and estuary, including sand dune, sand ridge, straight and sinuous ripple, ripple marks, aeolian nail marks, high angle tabular cross bedding, antidune, rill mark, rhomboid mark, swash line, mud crack, gravel pavement, interfering ripples, flat topped ripple mark, linguiod mark, asymmetric sinuous ripples, dendritic pattern on sandy beach, boring and bioturbation, burrows desiccation cracks and water escape hole. Different sedimentary structures are reflective of different hydrodynamic conditions and depositional environments. Coastal erosion is a major problem for damage of road, bridge and properties in the industrial areas in Swartkops, which is also a task for this study. The author had suggested some practical mitigation-methods to local government, such as groins, revetments, shoreline hardening, planting of vegetation, and vertical walls, bulkheads, sills, which could be useful for the protection of coastal erosion. , Thesis (MSc) -- Faculty of Science and Agriculture, 2021
- Full Text:
- Date Issued: 2021-11
Study on the effect of shade net on internal and external quality parameters and chilling injury of fruits of citrus species in the Eastern Cape Province of South Africa
- Moabelo, Phillipine https://orcid.org/0000-0001-9040-1390
- Authors: Moabelo, Phillipine https://orcid.org/0000-0001-9040-1390
- Date: 2021-11
- Subjects: Fruit-culture , Horticulture , Citrus fruits
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22622 , vital:52600
- Description: Pre-harvest technology of shade net is environmental friendly and was found previously to improve fruit growth and yield. In addition, it reduces wind blemishes and sunburn, and effectively act as a buffer against climate fluctuations, such as excessive light, wind and hail damages. However, commercial shade nets are capital intensive; therefore, it is important for farmers to understand its impact on fruit quality that is desired for export market and assess whether the investment is profitable to the industry or not. It was brought to attention that several citrus cultivars grown in Addo, Eastern Cape under 20percent commercial shade net shows sensitivity to chilling injury (CI); however. no information is yet documented about the impact of this technology on fruit quality. To determine the efficacy of 20percent-shade net technology in relation to the control (no shade net), the present study was designed with the objective to compare internal and external quality parameters of ‘Washington and Cambria’ navels, ‘Valley Gold’ mandarin, and ‘Eureka’ lemon fruit grown in shade netted orchards and stored at low temperatures (4 and -0.6°C) for 30 days in Addo area, Eastern Cape. Internal quality attributes assessed includes juice content, °Brixpercent, titratable acid (TA), °Brix:acid ratio and average number of seeds. External quality data assessed include rind colour, and fruit size, firmness/texture and fresh weight loss. For chilling injury, fruits were evaluated by examining the degree of rind pitting and assigning levels of severity namely 0, 1, 2 or 3 where 0 = no pitting detected, 1 = 1 pit, 2 = 2 or more pitting detected and 3 = severe pitting detected. The post-harvest experiments were done on fruits harvested from commercial citrus orchards in Sundays River Valley, between Kirkwood and Addo (33° 34' 0" South, 25° 41' 0" East), in the Eastern Cape Province of South Africa, over two harvesting seasons (2018 and 2019). The ‘Eureka’ lemon and ‘Washington navel’ fruit were collected from Allendale farm; the ‘Cambria’ navel fruits from the Nuwelande and Olifantsbos farms; and the ‘Valley Gold’ mandarin fruits from the Dunbrody/Unifruitti farm. The quality attributes were recorded in the Laboratory of the Citrus Research International (CRI), Port Elizabeth, Eastern Cape, South Africa during Season 1, and in the Horticulture lab of the University of Fort Hare (UFH), Alice, Eastern Cape, South, Africa during Season 2. The experimental layout was a typical pseudo randomised completely block design (RCBD) (not truly randomised) whereby treatments tested were subjected over time (pre-test, post-test). The two treatments i.e. shade vs. control (no shade net) could not be randomly allocated to orchards due to the practical issue of working on a commercial farm, . The sub-factor consisted of three postharvest treatments: Ambiemt temperature (at 0 days storage), 4°C and -0.6°C storages for 30 days. Secondly, an experiment to evaluate the impact of petroleum-based wax mixed with 2-(4-thiazolyl) benzimidazole [thiabendazole (TBZ)] (TBZ: 500 mg.L-1) on shade net vs control fruits was conducted. The fruits were stored at 4°C and - 0.6°C (coated) for 30 days and were evaluated after 7 days storage at room temperature. Shade net did not significantly affect the internal quality attributes of citrus fruits. The 20percent- shade net promoted size of ‘Washington’, ‘Cambria’ navels and ‘Valley Gold’ mandarin, whilst rind colour was not affect. Firmness loss was higher on ‘Eureka’ lemon and ‘Washington’ navel, regardless of the growing conditions and cold storage duration. Rind firmness of ‘Cambria’ navel and ‘Valley Gold’ mandarin were not significantly affected by shade net and storage duration. ‘Eureka’ lemon was found to be more sensitive to CI. However, the application of wax+ TBZ eliminated CI on all 4-cultivars. Therefore, it is recommended to apply wax+ TBZ in packline to eliminate CI and fungal development. , Thesis (MSc) -- Faculty of Science and Agriculture, 2021
- Full Text:
- Date Issued: 2021-11
- Authors: Moabelo, Phillipine https://orcid.org/0000-0001-9040-1390
- Date: 2021-11
- Subjects: Fruit-culture , Horticulture , Citrus fruits
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22622 , vital:52600
- Description: Pre-harvest technology of shade net is environmental friendly and was found previously to improve fruit growth and yield. In addition, it reduces wind blemishes and sunburn, and effectively act as a buffer against climate fluctuations, such as excessive light, wind and hail damages. However, commercial shade nets are capital intensive; therefore, it is important for farmers to understand its impact on fruit quality that is desired for export market and assess whether the investment is profitable to the industry or not. It was brought to attention that several citrus cultivars grown in Addo, Eastern Cape under 20percent commercial shade net shows sensitivity to chilling injury (CI); however. no information is yet documented about the impact of this technology on fruit quality. To determine the efficacy of 20percent-shade net technology in relation to the control (no shade net), the present study was designed with the objective to compare internal and external quality parameters of ‘Washington and Cambria’ navels, ‘Valley Gold’ mandarin, and ‘Eureka’ lemon fruit grown in shade netted orchards and stored at low temperatures (4 and -0.6°C) for 30 days in Addo area, Eastern Cape. Internal quality attributes assessed includes juice content, °Brixpercent, titratable acid (TA), °Brix:acid ratio and average number of seeds. External quality data assessed include rind colour, and fruit size, firmness/texture and fresh weight loss. For chilling injury, fruits were evaluated by examining the degree of rind pitting and assigning levels of severity namely 0, 1, 2 or 3 where 0 = no pitting detected, 1 = 1 pit, 2 = 2 or more pitting detected and 3 = severe pitting detected. The post-harvest experiments were done on fruits harvested from commercial citrus orchards in Sundays River Valley, between Kirkwood and Addo (33° 34' 0" South, 25° 41' 0" East), in the Eastern Cape Province of South Africa, over two harvesting seasons (2018 and 2019). The ‘Eureka’ lemon and ‘Washington navel’ fruit were collected from Allendale farm; the ‘Cambria’ navel fruits from the Nuwelande and Olifantsbos farms; and the ‘Valley Gold’ mandarin fruits from the Dunbrody/Unifruitti farm. The quality attributes were recorded in the Laboratory of the Citrus Research International (CRI), Port Elizabeth, Eastern Cape, South Africa during Season 1, and in the Horticulture lab of the University of Fort Hare (UFH), Alice, Eastern Cape, South, Africa during Season 2. The experimental layout was a typical pseudo randomised completely block design (RCBD) (not truly randomised) whereby treatments tested were subjected over time (pre-test, post-test). The two treatments i.e. shade vs. control (no shade net) could not be randomly allocated to orchards due to the practical issue of working on a commercial farm, . The sub-factor consisted of three postharvest treatments: Ambiemt temperature (at 0 days storage), 4°C and -0.6°C storages for 30 days. Secondly, an experiment to evaluate the impact of petroleum-based wax mixed with 2-(4-thiazolyl) benzimidazole [thiabendazole (TBZ)] (TBZ: 500 mg.L-1) on shade net vs control fruits was conducted. The fruits were stored at 4°C and - 0.6°C (coated) for 30 days and were evaluated after 7 days storage at room temperature. Shade net did not significantly affect the internal quality attributes of citrus fruits. The 20percent- shade net promoted size of ‘Washington’, ‘Cambria’ navels and ‘Valley Gold’ mandarin, whilst rind colour was not affect. Firmness loss was higher on ‘Eureka’ lemon and ‘Washington’ navel, regardless of the growing conditions and cold storage duration. Rind firmness of ‘Cambria’ navel and ‘Valley Gold’ mandarin were not significantly affected by shade net and storage duration. ‘Eureka’ lemon was found to be more sensitive to CI. However, the application of wax+ TBZ eliminated CI on all 4-cultivars. Therefore, it is recommended to apply wax+ TBZ in packline to eliminate CI and fungal development. , Thesis (MSc) -- Faculty of Science and Agriculture, 2021
- Full Text:
- Date Issued: 2021-11
The experiences of youth foster care leavers in Makanda town, Eastern Cape, South Africa
- Maselana, Tembisa https://orcid.org/ 0000-0001-6959-0895
- Authors: Maselana, Tembisa https://orcid.org/ 0000-0001-6959-0895
- Date: 2021-11
- Subjects: Foster children -- Services for , Foster home care
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22368 , vital:52031
- Description: This study sought to explore the experiences of foster care youth who had exited the system within a period of three years in Makhanda Town, Eastern Cape. The coping mechanisms employed by foster care youth after exiting the system, and the policies, legislations and support services available were explored. The study adopted a qualitative research method. Non-probability sampling was employed to recruit 23 foster care youth who had exited the system within three years in Makhanda Town. In addition, 6 professionals dealing with statutory cases, three (3) foster parents and one (1) key informant were selected. Data was collected through the use of face-to-face semistructured individual interviews with foster care youth who had exited the system. The focus group discussion was held with professionals dealing with statutory cases and the ward councillor. The researcher analysed the data thematically. The study findings revealed that long term and comprehensive planning was important so as to provide a consistent and all round support to the fostered youth during the pre and post foster care phases. It was established that for most foster care children, the lack of a complete plan affects their transition from their biological home through the foster care system. Consequently, they come out more vulnerable than when there were initially placed in foster care. The study highlighted the serious need for training and job placement for the youths, a structure that is currently non-existent. The study recommended that the Department of Social Development (DSD) should make it compulsory for statutory social workers within the foster care domain to come up with individualized and personalized plans that outline the needs and deliverables for each child placed in the foster care system. Importantly, DSD must create a framework that is endorsed and accepted by all stakeholders so as to achieve the best interest of the child in all situations. Furthermore, the study recommends that DSD should employ more social workers to address the current human resources shortages in foster care units. Lastly, the study recommends restructuring of placement system to be less paper-work for effective and efficient, integrity, and quality of the service provision. , Thesis (MSW) -- Faculty of Social Sciences and Humanities, 2021
- Full Text:
- Date Issued: 2021-11
- Authors: Maselana, Tembisa https://orcid.org/ 0000-0001-6959-0895
- Date: 2021-11
- Subjects: Foster children -- Services for , Foster home care
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22368 , vital:52031
- Description: This study sought to explore the experiences of foster care youth who had exited the system within a period of three years in Makhanda Town, Eastern Cape. The coping mechanisms employed by foster care youth after exiting the system, and the policies, legislations and support services available were explored. The study adopted a qualitative research method. Non-probability sampling was employed to recruit 23 foster care youth who had exited the system within three years in Makhanda Town. In addition, 6 professionals dealing with statutory cases, three (3) foster parents and one (1) key informant were selected. Data was collected through the use of face-to-face semistructured individual interviews with foster care youth who had exited the system. The focus group discussion was held with professionals dealing with statutory cases and the ward councillor. The researcher analysed the data thematically. The study findings revealed that long term and comprehensive planning was important so as to provide a consistent and all round support to the fostered youth during the pre and post foster care phases. It was established that for most foster care children, the lack of a complete plan affects their transition from their biological home through the foster care system. Consequently, they come out more vulnerable than when there were initially placed in foster care. The study highlighted the serious need for training and job placement for the youths, a structure that is currently non-existent. The study recommended that the Department of Social Development (DSD) should make it compulsory for statutory social workers within the foster care domain to come up with individualized and personalized plans that outline the needs and deliverables for each child placed in the foster care system. Importantly, DSD must create a framework that is endorsed and accepted by all stakeholders so as to achieve the best interest of the child in all situations. Furthermore, the study recommends that DSD should employ more social workers to address the current human resources shortages in foster care units. Lastly, the study recommends restructuring of placement system to be less paper-work for effective and efficient, integrity, and quality of the service provision. , Thesis (MSW) -- Faculty of Social Sciences and Humanities, 2021
- Full Text:
- Date Issued: 2021-11
Assessing the local awareness and perception of invasive alien plants: A case study of Port St Johns Local Municipality, Eastern Cape Province, South Africa
- Authors: Somkala, Avela Abongile
- Date: 2021-10
- Subjects: Alien plants , Invasive plants
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22600 , vital:52595
- Description: Invasive alien plants (IAPs) are introduced species that constitute a self-sustaining population, consistently producing offspring in large numbers and at considerable distances from the parent plants with the potential to spread over a large area. Species invasions are one of the main conservation threats today and have caused modification of ecosystems, particularly in coastal areas. Therefore, Port St Johns Local Municipality (PSJ LM) was an appropriate study site to evaluate the local awareness and perceptions of IAPs. The study investigated the local community’s perceptions of invasive alien plants' uses and ecological impacts. Information about the local awareness and perceptions of invasive alien plant species in PSJ LM was gathered through semi-structured interviews, observation and guided field walks with 120 participants between February and April 2021. The participants included 30 people working on the alien plant eradication project in PSJ LM (Wards 1, 2 and 3) and 90 randomly selected community members. The data collected were entered in Microsoft Excel 2016 programme and analyzed for descriptive statistical patterns using Statistical Package for Social Studies (SPSS) version 22.0. Biological invasion by IAPs was ubiquitously perceived, with participants working on invasive alien plant eradication project in the area exhibiting more scientifically based knowledge on IAPs than ordinary community members. Invasive alien plants in the area appear to have adverse environmental and socio-economic impacts, as the participants are not benefiting from these plant species. Similarly, costs of eradicating these species were also acknowledged. The ability of local community members to identify IAPs is vital in effective management of the spread of these species. A total of seven invasive IAPs were recorded. Evaluating the perceptions of local people towards IAPs provides valuable insights for development planning and future management programmes focusing on biological invasions. The study will provide a basis for an enabling policy and institutional environment that provides a coherent framework for the sustainable management of IAPs in the Eastern Cape Province. , Thesis (MPhil) -- Faculty of Science and Agriculture, 2021
- Full Text:
- Date Issued: 2021-10
- Authors: Somkala, Avela Abongile
- Date: 2021-10
- Subjects: Alien plants , Invasive plants
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22600 , vital:52595
- Description: Invasive alien plants (IAPs) are introduced species that constitute a self-sustaining population, consistently producing offspring in large numbers and at considerable distances from the parent plants with the potential to spread over a large area. Species invasions are one of the main conservation threats today and have caused modification of ecosystems, particularly in coastal areas. Therefore, Port St Johns Local Municipality (PSJ LM) was an appropriate study site to evaluate the local awareness and perceptions of IAPs. The study investigated the local community’s perceptions of invasive alien plants' uses and ecological impacts. Information about the local awareness and perceptions of invasive alien plant species in PSJ LM was gathered through semi-structured interviews, observation and guided field walks with 120 participants between February and April 2021. The participants included 30 people working on the alien plant eradication project in PSJ LM (Wards 1, 2 and 3) and 90 randomly selected community members. The data collected were entered in Microsoft Excel 2016 programme and analyzed for descriptive statistical patterns using Statistical Package for Social Studies (SPSS) version 22.0. Biological invasion by IAPs was ubiquitously perceived, with participants working on invasive alien plant eradication project in the area exhibiting more scientifically based knowledge on IAPs than ordinary community members. Invasive alien plants in the area appear to have adverse environmental and socio-economic impacts, as the participants are not benefiting from these plant species. Similarly, costs of eradicating these species were also acknowledged. The ability of local community members to identify IAPs is vital in effective management of the spread of these species. A total of seven invasive IAPs were recorded. Evaluating the perceptions of local people towards IAPs provides valuable insights for development planning and future management programmes focusing on biological invasions. The study will provide a basis for an enabling policy and institutional environment that provides a coherent framework for the sustainable management of IAPs in the Eastern Cape Province. , Thesis (MPhil) -- Faculty of Science and Agriculture, 2021
- Full Text:
- Date Issued: 2021-10
Barriers to participation in sports among urban adolescents at an International School in Cape Town, South Africa
- Authors: Klaasen, Robyn Jade
- Date: 2021-10
- Subjects: Urban teenagers -- Sports , Sports administration
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22155 , vital:51991
- Description: The benefits of participating in sport have been well documented and great emphasis has been placed on the role that it plays in the development of character and social skills, apart from physical and psychological benefits. Sport represents an optimal means of enabling children and adolescents to meet their daily requirements for physical activity to maintain health. Conversely, despite all of the widely acknowledged benefits, participation in sport among children and adolescents continues to decline throughout the world. Although a great deal of research has been conducted to identify barriers to participation in sport, most of it has concerned poor, rural, disadvantaged, or other marginalised groups. As a consequence, a large proportion of the research has attributed low rates of participation in sport to practical barriers, which usually take the forms of either logistical problems or a lack of resources. The aim of this study was to identify the barriers to participation in sport among adolescents in an affluent, urban setting, at an international school in Cape Town, South Africa. The Barriers to Sport Participation Questionnaire was used to identify the social, personal, and practical barriers that affected 107 adolescents who were enrolled in the school. The data was analysed by means of the SPSS (IBM, Version 27) software package and seven significant barriers were identified. Fear of academic failure, environmental constraints, and lack of interest were identified as the primary barriers, thereby emphasising the significant influence of personal barriers, rather than practical ones. It was also found that the influence of particular barriers was greater on females than their male counterparts and that the respondents who either did not participate in sport themselves or were from households in which other members did not do so were more adversely affected by some barriers than the others. Significant correlations were found between some grades and certain barriers, the most notable being those between respondents in Grades 7, 9, and 10 and the fear of academic failure barrier. In light of these findings, it could be concluded that the global decline in participation in sport among the youth is a complex problem and that particular barriers, which might not have been identified in previous research, could be particularly influential in affluent environments. As it is evident that as barriers can be specific to particular groups and settings, the optimal means of overcoming them is unlikely to be found through the adoption of a one-size-fitsall approach. Instead, further research and customised interventions are required. , Thesis (HMS) -- Faculty of Health Sciences, 2021
- Full Text:
- Date Issued: 2021-10
- Authors: Klaasen, Robyn Jade
- Date: 2021-10
- Subjects: Urban teenagers -- Sports , Sports administration
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22155 , vital:51991
- Description: The benefits of participating in sport have been well documented and great emphasis has been placed on the role that it plays in the development of character and social skills, apart from physical and psychological benefits. Sport represents an optimal means of enabling children and adolescents to meet their daily requirements for physical activity to maintain health. Conversely, despite all of the widely acknowledged benefits, participation in sport among children and adolescents continues to decline throughout the world. Although a great deal of research has been conducted to identify barriers to participation in sport, most of it has concerned poor, rural, disadvantaged, or other marginalised groups. As a consequence, a large proportion of the research has attributed low rates of participation in sport to practical barriers, which usually take the forms of either logistical problems or a lack of resources. The aim of this study was to identify the barriers to participation in sport among adolescents in an affluent, urban setting, at an international school in Cape Town, South Africa. The Barriers to Sport Participation Questionnaire was used to identify the social, personal, and practical barriers that affected 107 adolescents who were enrolled in the school. The data was analysed by means of the SPSS (IBM, Version 27) software package and seven significant barriers were identified. Fear of academic failure, environmental constraints, and lack of interest were identified as the primary barriers, thereby emphasising the significant influence of personal barriers, rather than practical ones. It was also found that the influence of particular barriers was greater on females than their male counterparts and that the respondents who either did not participate in sport themselves or were from households in which other members did not do so were more adversely affected by some barriers than the others. Significant correlations were found between some grades and certain barriers, the most notable being those between respondents in Grades 7, 9, and 10 and the fear of academic failure barrier. In light of these findings, it could be concluded that the global decline in participation in sport among the youth is a complex problem and that particular barriers, which might not have been identified in previous research, could be particularly influential in affluent environments. As it is evident that as barriers can be specific to particular groups and settings, the optimal means of overcoming them is unlikely to be found through the adoption of a one-size-fitsall approach. Instead, further research and customised interventions are required. , Thesis (HMS) -- Faculty of Health Sciences, 2021
- Full Text:
- Date Issued: 2021-10