The taxonomic status of dolphins Tursiops spp. and Delphinus in South African waters
- Authors: Ngqulana, Sibusisiwe Gloria
- Date: 2020
- Subjects: Dolphins -- Classification -- South Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/48566 , vital:40891
- Description: There is a need for identifying important sites, taxonomic units or populations and the usual criterion used is species identification. The species is the most important taxonomic unit to define in taxonomy, as it is the primary unit of concern in biodiversity, conservation and other biological issues. Thus, taxonomy plays an important role in conservation biology. Additionally, taxonomy can contribute to the development of analytical systems that will provide information on priorities for reaching defensible targets for established conservation. This poses a problem for cetaceans as basic information is frequently deficient and therefore not suitable for conservation planning purposes. This leads to difficulties in identifying and prioritizing areas for the monitoring, management and for the protection of species or populations. Morphological and geographic data used to be the primary means used by taxonomists to define species and subspecies, and due to this, most extant species have been classified by morphological characteristics. However, in the recent years, molecular analyses have been introduced and subsequently stable isotopes were also included to assist in interpreting results. Thereafter, it became a common approach to use more than one technique or a combination of independent datasets to resolve taxonomic uncertainties. This has resulted to a proposed term known as integrative taxonomy. Integrative taxonomy has recently been used in most studies that deal with taxonomy or population structure. The use of multiple lines of evidence, which is sometimes referred to as integrative taxonomy, raises the level of confidence in clearly delineating species. Cetaceans are the most taxonomically diverse group of aquatic mammals, with 93 living species accepted. Previously, their taxonomy was based on morphological characters. However, cetaceans have recently been subjected to intense phylogenetic investigations using both morphological and molecular data. These problems are not only prevalent in larger whales, but the small toothed whales also have these challenges, particularly family Delphinidae. This family is known to be the most diverse among the toothed whales. This is because this family diverged recently, and the divergence occurred relatively fast. This study aimed to clarify the taxonomic status of Tursiops spp. and Delphinus in the family Delphinidae, inhabiting the South African waters, using a combination of morphological and molecular methods. For skull morphology, geometric morphometrics were used, while for molecular methods, the D-loop region in the mitochondrial DNA was used to detect any differences within each genus. For the genus Tursiops, this study showed the consistency of results in all analyses used to investigate the presence of two species in the genus Tursiops in South African waters. This study only analysed sequences from the mitochondrial D-loop region and has re-confirmed the presence of the two species in South Africa. Skull and external morphology both show T. truncatus to be bigger and more robust, and to have a shorter rostrum compared with T. aduncus. These external observations are helpful when identifying the species in the field. Providing evidence supporting the presence of two Tursiops species in South Africa does not only contribute to the global context of the taxonomy of this genus, but also in the local context. This study also gives insight on the distribution of the two species in the region. For the genus Delphinus, molecular analysis did not reveal any clustering in South African Delphinus specimens, which suggested a single species, D. delphis, and that this species is morphologically highly variable. Both skull and external morphology did not reflect the molecular results, supporting suggestions that morphology in this genus does not reflect genetic differences. It has been shown that morphological variation reflects feeding specialization rather than speciation. This may also reflect local adaptations. Both skull and external morphology in this study showed no significant differences. This study did not investigate the phylogeographic details of the species in South Africa and further molecular work including a larger sample size from the west coast of South Africa is needed. By attempting to unravel the taxonomy of these dolphins in South African waters, the findings of this study will be very useful in the development of effective conservation and management strategies for these dolphins.
- Full Text:
- Date Issued: 2020
- Authors: Ngqulana, Sibusisiwe Gloria
- Date: 2020
- Subjects: Dolphins -- Classification -- South Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/48566 , vital:40891
- Description: There is a need for identifying important sites, taxonomic units or populations and the usual criterion used is species identification. The species is the most important taxonomic unit to define in taxonomy, as it is the primary unit of concern in biodiversity, conservation and other biological issues. Thus, taxonomy plays an important role in conservation biology. Additionally, taxonomy can contribute to the development of analytical systems that will provide information on priorities for reaching defensible targets for established conservation. This poses a problem for cetaceans as basic information is frequently deficient and therefore not suitable for conservation planning purposes. This leads to difficulties in identifying and prioritizing areas for the monitoring, management and for the protection of species or populations. Morphological and geographic data used to be the primary means used by taxonomists to define species and subspecies, and due to this, most extant species have been classified by morphological characteristics. However, in the recent years, molecular analyses have been introduced and subsequently stable isotopes were also included to assist in interpreting results. Thereafter, it became a common approach to use more than one technique or a combination of independent datasets to resolve taxonomic uncertainties. This has resulted to a proposed term known as integrative taxonomy. Integrative taxonomy has recently been used in most studies that deal with taxonomy or population structure. The use of multiple lines of evidence, which is sometimes referred to as integrative taxonomy, raises the level of confidence in clearly delineating species. Cetaceans are the most taxonomically diverse group of aquatic mammals, with 93 living species accepted. Previously, their taxonomy was based on morphological characters. However, cetaceans have recently been subjected to intense phylogenetic investigations using both morphological and molecular data. These problems are not only prevalent in larger whales, but the small toothed whales also have these challenges, particularly family Delphinidae. This family is known to be the most diverse among the toothed whales. This is because this family diverged recently, and the divergence occurred relatively fast. This study aimed to clarify the taxonomic status of Tursiops spp. and Delphinus in the family Delphinidae, inhabiting the South African waters, using a combination of morphological and molecular methods. For skull morphology, geometric morphometrics were used, while for molecular methods, the D-loop region in the mitochondrial DNA was used to detect any differences within each genus. For the genus Tursiops, this study showed the consistency of results in all analyses used to investigate the presence of two species in the genus Tursiops in South African waters. This study only analysed sequences from the mitochondrial D-loop region and has re-confirmed the presence of the two species in South Africa. Skull and external morphology both show T. truncatus to be bigger and more robust, and to have a shorter rostrum compared with T. aduncus. These external observations are helpful when identifying the species in the field. Providing evidence supporting the presence of two Tursiops species in South Africa does not only contribute to the global context of the taxonomy of this genus, but also in the local context. This study also gives insight on the distribution of the two species in the region. For the genus Delphinus, molecular analysis did not reveal any clustering in South African Delphinus specimens, which suggested a single species, D. delphis, and that this species is morphologically highly variable. Both skull and external morphology did not reflect the molecular results, supporting suggestions that morphology in this genus does not reflect genetic differences. It has been shown that morphological variation reflects feeding specialization rather than speciation. This may also reflect local adaptations. Both skull and external morphology in this study showed no significant differences. This study did not investigate the phylogeographic details of the species in South Africa and further molecular work including a larger sample size from the west coast of South Africa is needed. By attempting to unravel the taxonomy of these dolphins in South African waters, the findings of this study will be very useful in the development of effective conservation and management strategies for these dolphins.
- Full Text:
- Date Issued: 2020
Ultra-high precision diamond turning of advanced contact lens polymers
- Authors: Liman, Muhammad Mukhtar
- Date: 2020
- Subjects: Contact lenses , Electrostatic lenses Lenses -- Design and construction
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/46108 , vital:39496
- Description: Contact lens polymer-based materials are extensively used in the optical industry owing to their excellent corrosion resistance, the possibility of mass production and their ability to be processed without external lubrication. Owing to the fast growth in optical industries, contact lens (CL) requires high accuracy and a high surface quality. The demand for high-accuracy and minimal surface roughness drives the development of ultra-high precision machining technology with regard to single point diamond turning (SPDT). Ultra-high precision diamond turning is an advanced manufacturing technique employed in the machining of CLs owing to its capability of producing high optical surfaces with complex shapes and nanometric accuracy. Yet, even with the advances in ultra-high precision machining (UHPM), it is not continuously easy to achieve a highquality surface finish during polymers machining as the adhesion of the tool chip around the tool dictates the presence of electrostatic charges. The electrostatic charges encountered by a cutting tool when turning advanced CLs are important as they reflect the quality and condition of the tool, machine, fixture, and sometimes even the finished surface, which is responsible for tool wear and poor surface quality. This study investigates the role of cutting parameters, namely cutting speed, feed rate and depth of cut on surface roughness (Ra), electrostatic charge (ESC) and material removal rate (MRR), which determines machine economics and the quality of machining contact lens polymers. The experiments were mainly conducted on two different advanced polymeric materials: polymethyl methacrylate (PMMA) and Optimum Extreme (Roflufocon E) CLs. Experimentation was carried out on the Nanoform 250 ultra-grind turning machine with a monocrystalline diamond-cutting tool for machining the PMMA and Roflufocon E CL polymers, covering a wide range of machining parameters. Before conducting the experiments, a design of experiment was conducted according to the response surface methodology (RSM) that is based on the Box-Behnken Design (BBD). In addition, the research study focused on the determination of the optimum cutting conditions leading to minimum Ra and ESC as well as maximum productivity in the SPDT of the PMMA and Roflufocon E CL polymers, using a monocrystalline diamondcutting tool. The optimization was based on RSM together with the desirability function approach. In addition, a mathematical model was developed for Ra, ESC and MRR using a RSM regression analysis for PMMA and Roflufocon E CL polymers by means of Design Expert software. RSM allowed for the optimization of the cutting conditions for minimal Ra and ESC as well as maximal MRR, which provides an effective knowledge base for process parameters to enhance process performance in the SPDT of CL polymers. Furthermore, this study also deals with the development of Ra, ESC and MRR prediction models for the diamond turning of PMMA and Roflufocon E CL polymers, using the fuzzy logic based artificial intelligence (AI) method. The fuzzy logic model has been developed in terms of machining parameters for the prediction of Ra, ESC and MRR. To judge the accuracy and ability of the fuzzy logic model, an average percentage error was used. The comparative evaluation of experiments and the fuzzy logic approach suggested that the obtained average errors of Ra, ESC and MRR using the fuzzy logic system were in agreement with the experimental results. Hence, the developed fuzzy logic rules can be effectively utilized to predict the ESC, Ra and MRR of PMMA and Roflufocon E CL polymers in automated optical manufacturing environments for high accuracy and a reduction of computational cost. Moreover, owing to the brittle nature of optical polymers, the Roflufocon E CL polymer requires ductile-mode machining for improved surface quality. Molecular Dynamics (MD) simulation methods are thus applied to investigate the atomistic reaction at the tool/workpiece surface to clearly study and observe conditions occurring at nanometric scale in polymer machining. This research study is particularly concerned with the comparative analysis of experiments and a MD study of the Roflufocon E optical polymer nano cutting approach to the atomistic visualization of the plastic material flow at the tool/workpiece interface during cutting. The simulated MD acting force, machine stresses, and the temperature at the cutting region were evaluated to access the accuracy of the model. Hence, the nanomachining simulations were found to have a correlation to the experimental machining results.
- Full Text:
- Date Issued: 2020
- Authors: Liman, Muhammad Mukhtar
- Date: 2020
- Subjects: Contact lenses , Electrostatic lenses Lenses -- Design and construction
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/46108 , vital:39496
- Description: Contact lens polymer-based materials are extensively used in the optical industry owing to their excellent corrosion resistance, the possibility of mass production and their ability to be processed without external lubrication. Owing to the fast growth in optical industries, contact lens (CL) requires high accuracy and a high surface quality. The demand for high-accuracy and minimal surface roughness drives the development of ultra-high precision machining technology with regard to single point diamond turning (SPDT). Ultra-high precision diamond turning is an advanced manufacturing technique employed in the machining of CLs owing to its capability of producing high optical surfaces with complex shapes and nanometric accuracy. Yet, even with the advances in ultra-high precision machining (UHPM), it is not continuously easy to achieve a highquality surface finish during polymers machining as the adhesion of the tool chip around the tool dictates the presence of electrostatic charges. The electrostatic charges encountered by a cutting tool when turning advanced CLs are important as they reflect the quality and condition of the tool, machine, fixture, and sometimes even the finished surface, which is responsible for tool wear and poor surface quality. This study investigates the role of cutting parameters, namely cutting speed, feed rate and depth of cut on surface roughness (Ra), electrostatic charge (ESC) and material removal rate (MRR), which determines machine economics and the quality of machining contact lens polymers. The experiments were mainly conducted on two different advanced polymeric materials: polymethyl methacrylate (PMMA) and Optimum Extreme (Roflufocon E) CLs. Experimentation was carried out on the Nanoform 250 ultra-grind turning machine with a monocrystalline diamond-cutting tool for machining the PMMA and Roflufocon E CL polymers, covering a wide range of machining parameters. Before conducting the experiments, a design of experiment was conducted according to the response surface methodology (RSM) that is based on the Box-Behnken Design (BBD). In addition, the research study focused on the determination of the optimum cutting conditions leading to minimum Ra and ESC as well as maximum productivity in the SPDT of the PMMA and Roflufocon E CL polymers, using a monocrystalline diamondcutting tool. The optimization was based on RSM together with the desirability function approach. In addition, a mathematical model was developed for Ra, ESC and MRR using a RSM regression analysis for PMMA and Roflufocon E CL polymers by means of Design Expert software. RSM allowed for the optimization of the cutting conditions for minimal Ra and ESC as well as maximal MRR, which provides an effective knowledge base for process parameters to enhance process performance in the SPDT of CL polymers. Furthermore, this study also deals with the development of Ra, ESC and MRR prediction models for the diamond turning of PMMA and Roflufocon E CL polymers, using the fuzzy logic based artificial intelligence (AI) method. The fuzzy logic model has been developed in terms of machining parameters for the prediction of Ra, ESC and MRR. To judge the accuracy and ability of the fuzzy logic model, an average percentage error was used. The comparative evaluation of experiments and the fuzzy logic approach suggested that the obtained average errors of Ra, ESC and MRR using the fuzzy logic system were in agreement with the experimental results. Hence, the developed fuzzy logic rules can be effectively utilized to predict the ESC, Ra and MRR of PMMA and Roflufocon E CL polymers in automated optical manufacturing environments for high accuracy and a reduction of computational cost. Moreover, owing to the brittle nature of optical polymers, the Roflufocon E CL polymer requires ductile-mode machining for improved surface quality. Molecular Dynamics (MD) simulation methods are thus applied to investigate the atomistic reaction at the tool/workpiece surface to clearly study and observe conditions occurring at nanometric scale in polymer machining. This research study is particularly concerned with the comparative analysis of experiments and a MD study of the Roflufocon E optical polymer nano cutting approach to the atomistic visualization of the plastic material flow at the tool/workpiece interface during cutting. The simulated MD acting force, machine stresses, and the temperature at the cutting region were evaluated to access the accuracy of the model. Hence, the nanomachining simulations were found to have a correlation to the experimental machining results.
- Full Text:
- Date Issued: 2020
Writing and signing to develop written genres : a study of Nigerian hearing-loss students' writing
- Milaham, Rahila Samuel, Lundgren, Berit
- Authors: Milaham, Rahila Samuel , Lundgren, Berit
- Date: 2020
- Subjects: Hearing impaired children -- Nigeria -- Writing
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/47314 , vital:39842
- Description: The competence in writing of students with hearing loss has continued to generate concern among educational administrators, school authorities, teachers and parents (Oyetunde, 2009). Acquisition of written and signed language is vital for effective functioning of students with hearing loss in school. Writing and signing helps students to interact socially, culturally and intellectually with one another and within their social environment. Therefore, this study explores the writing of specific genres by students with hearing loss using signing and the Language Experience Approach, LEA, among Junior Secondary School (JSS 3) in a Nigerian school for the deaf. The study is a qualitative research study which was underpinned by an interpretive paradigm and was theoretically framed by Vygotsky’s (1978) sociocultural theory, semiotic theory (Pierce, 1991) and socio-semiotic theory (Thibault, 2004: Kress, 1988 & Van Leeuwen, 2005). The ideological literacy perspective (Street 1984) and literacy as a social practice have provided a lens to analyse and explore the findings Class observations, students’ signed and written text samples as well as communication with teachers were used as the methods for data collection. The intervention study, which went on for 9 weeks, involved teaching and learning of three genres, namely retelling, narrative and descriptive writing. Twenty six students and two teachers were involved in the study. For the purpose of the analysis, six out of the 26 students’ written, and signed texts were purposively selected and analysed. The students’ signed and written texts were analysed according to the structure and special features of the genres. In the retelling genre, two concepts, breadth and depth vocabulary knowledge as special features, were used for the analysis of the texts. While in the narrative, students’ signed texts and written texts were analysed to know how the students use characters, settings and events in their texts. In the descriptive genre, students’ sign and written texts were analysed to see whether they gave concise descriptions, specifically using adjectives, of the object they identified in their signed text. The findings indicate that the students could retell the contextualized event with signs, using a vocabulary mostly from a breadth perspective. They also used the structure of retelling in a chronological order. In signing the narrative genre, the students were engaged in giving examples of the genre from which they derived the components of the story form such as character and events. Some could include aspects of character vi and events in their text, while others missed one structure or the other. In general, their narrative signed texts were better developed and showed a basic understanding of the storyline. In the descriptive genre, the students could describe some objects in their classroom and school environment. These descriptions were limited to adjectives like colours, as only colours were used in the teacher’s example. In general, their descriptive signed texts were short and seemed to follow a list structure. The students’ signing in descriptive genre showed an initial awareness of the genre. In this study, the teachers scaffolded and modelled the different genres with examples, stories and prompt pictures to a varying extent. The narrative writing had more scaffolding and modelling compared with the other genres. It also generated longer texts and an awareness of the structure. The teachers also supported the students with deeper exploration of examples in the narrative genre than in the retelling and descriptive genre. Data shows teacher’s interactions with the students while signing narratives indicates an understanding on how to develop a text in story form using narrative structures. LEA turned out to be a fruitful start in the retelling genre but was not as central in the teaching practice and meaningful in students’ writing.
- Full Text:
- Date Issued: 2020
- Authors: Milaham, Rahila Samuel , Lundgren, Berit
- Date: 2020
- Subjects: Hearing impaired children -- Nigeria -- Writing
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/47314 , vital:39842
- Description: The competence in writing of students with hearing loss has continued to generate concern among educational administrators, school authorities, teachers and parents (Oyetunde, 2009). Acquisition of written and signed language is vital for effective functioning of students with hearing loss in school. Writing and signing helps students to interact socially, culturally and intellectually with one another and within their social environment. Therefore, this study explores the writing of specific genres by students with hearing loss using signing and the Language Experience Approach, LEA, among Junior Secondary School (JSS 3) in a Nigerian school for the deaf. The study is a qualitative research study which was underpinned by an interpretive paradigm and was theoretically framed by Vygotsky’s (1978) sociocultural theory, semiotic theory (Pierce, 1991) and socio-semiotic theory (Thibault, 2004: Kress, 1988 & Van Leeuwen, 2005). The ideological literacy perspective (Street 1984) and literacy as a social practice have provided a lens to analyse and explore the findings Class observations, students’ signed and written text samples as well as communication with teachers were used as the methods for data collection. The intervention study, which went on for 9 weeks, involved teaching and learning of three genres, namely retelling, narrative and descriptive writing. Twenty six students and two teachers were involved in the study. For the purpose of the analysis, six out of the 26 students’ written, and signed texts were purposively selected and analysed. The students’ signed and written texts were analysed according to the structure and special features of the genres. In the retelling genre, two concepts, breadth and depth vocabulary knowledge as special features, were used for the analysis of the texts. While in the narrative, students’ signed texts and written texts were analysed to know how the students use characters, settings and events in their texts. In the descriptive genre, students’ sign and written texts were analysed to see whether they gave concise descriptions, specifically using adjectives, of the object they identified in their signed text. The findings indicate that the students could retell the contextualized event with signs, using a vocabulary mostly from a breadth perspective. They also used the structure of retelling in a chronological order. In signing the narrative genre, the students were engaged in giving examples of the genre from which they derived the components of the story form such as character and events. Some could include aspects of character vi and events in their text, while others missed one structure or the other. In general, their narrative signed texts were better developed and showed a basic understanding of the storyline. In the descriptive genre, the students could describe some objects in their classroom and school environment. These descriptions were limited to adjectives like colours, as only colours were used in the teacher’s example. In general, their descriptive signed texts were short and seemed to follow a list structure. The students’ signing in descriptive genre showed an initial awareness of the genre. In this study, the teachers scaffolded and modelled the different genres with examples, stories and prompt pictures to a varying extent. The narrative writing had more scaffolding and modelling compared with the other genres. It also generated longer texts and an awareness of the structure. The teachers also supported the students with deeper exploration of examples in the narrative genre than in the retelling and descriptive genre. Data shows teacher’s interactions with the students while signing narratives indicates an understanding on how to develop a text in story form using narrative structures. LEA turned out to be a fruitful start in the retelling genre but was not as central in the teaching practice and meaningful in students’ writing.
- Full Text:
- Date Issued: 2020
"A lean-led-evaluation" of infrastructure development improvement programme in South Africa
- Authors: Monyane, Thabiso Godfrey
- Date: 2019
- Subjects: Construction industry -- South Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/44535 , vital:38131
- Description: A doctoral study was embarked upon with the intentions of addressing cost management problems encountered on Infrastructure Delivery Projects in South Africa. Given that poor cost performance constitute hindrance to the realization of project goals, it is imperative to eliminate it from project delivery. The prevalence of cost overrun in public sector projects is a call to all stakeholders to address cost management issues in the construction industry. The predominance of cost overruns in public sector construction projects in South Africa has been observed. With the decline of the current economic conditions in South Africa, project performance is a great concern that needs attention. In addition, ineffective initiatives to curb the abuse of the procurement processes are directly affecting the outcomes of construction projects, and if these status quo remains, the sector will continue to have a bad image and continued waste of taxpayers’ money will not cease until the public sector remove non-value adding activities in their operations. Study adopted a mixed methods designed that collected both textual and statistical data. Semistructured interviews were undertaken to determine the outcomes of current project management practices in South Africa. In terms of performance of projects, the status quo paints a disconsolate picture. Findings reveal protracted processes, and the use of unqualified and inexperienced contribute to poor performance of public sector projects. Poor performance continues to dominate the construction sector, especially in the public sector. Interviews data were contrasted with evidence from project-related documents. Based on the data, the study produces a vignette of existing cost management frameworks applied to such projects. Encompassing various stages of the project delivery lifecycle, this vignette will enable an identification of the challenges afflicting cost management on projects. Accordingly, this study identified Lean opportunities from existing cost management practices. Such opportunities will enable identification of effective cost management during project delivery. There appears a need for collaborative cost management practices. Lean tools mentioned for improvement include the 5Whys, the big room, target value design, and the integration of design and construction. A collaborative cost management framework was developed through relevant theories to improve the cost management process of public sector projects.
- Full Text:
- Date Issued: 2019
- Authors: Monyane, Thabiso Godfrey
- Date: 2019
- Subjects: Construction industry -- South Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/44535 , vital:38131
- Description: A doctoral study was embarked upon with the intentions of addressing cost management problems encountered on Infrastructure Delivery Projects in South Africa. Given that poor cost performance constitute hindrance to the realization of project goals, it is imperative to eliminate it from project delivery. The prevalence of cost overrun in public sector projects is a call to all stakeholders to address cost management issues in the construction industry. The predominance of cost overruns in public sector construction projects in South Africa has been observed. With the decline of the current economic conditions in South Africa, project performance is a great concern that needs attention. In addition, ineffective initiatives to curb the abuse of the procurement processes are directly affecting the outcomes of construction projects, and if these status quo remains, the sector will continue to have a bad image and continued waste of taxpayers’ money will not cease until the public sector remove non-value adding activities in their operations. Study adopted a mixed methods designed that collected both textual and statistical data. Semistructured interviews were undertaken to determine the outcomes of current project management practices in South Africa. In terms of performance of projects, the status quo paints a disconsolate picture. Findings reveal protracted processes, and the use of unqualified and inexperienced contribute to poor performance of public sector projects. Poor performance continues to dominate the construction sector, especially in the public sector. Interviews data were contrasted with evidence from project-related documents. Based on the data, the study produces a vignette of existing cost management frameworks applied to such projects. Encompassing various stages of the project delivery lifecycle, this vignette will enable an identification of the challenges afflicting cost management on projects. Accordingly, this study identified Lean opportunities from existing cost management practices. Such opportunities will enable identification of effective cost management during project delivery. There appears a need for collaborative cost management practices. Lean tools mentioned for improvement include the 5Whys, the big room, target value design, and the integration of design and construction. A collaborative cost management framework was developed through relevant theories to improve the cost management process of public sector projects.
- Full Text:
- Date Issued: 2019
A comparative study of artificial neural networks and physics models as simulators in evolutionary robotics
- Pretorius, Christiaan Johannes
- Authors: Pretorius, Christiaan Johannes
- Date: 2019
- Subjects: Neural networks (Computer science)
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/30789 , vital:31131
- Description: The Evolutionary Robotics (ER) process is a technique that applies evolutionary optimization algorithms to the task of automatically developing, or evolving, robotic control programs. These control programs, or simply controllers, are evolved in order to allow a robot to perform a required task. During the ER process, use is often made of robotic simulators to evaluate the performance of candidate controllers that are produced in the course of the controller evolution process. Such simulators accelerate and otherwise simplify the controller evolution process, as opposed to the more arduous process of evaluating controllers in the real world without use of simulation. To date, the vast majority of simulators that have been applied in ER are physics- based models which are constructed by taking into account the underlying physics governing the operation of the robotic system in question. An alternative approach to simulator implementation in ER is the usage of Artificial Neural Networks (ANNs) as simulators in the ER process. Such simulators are referred to as Simulator Neural Networks (SNNs). Previous studies have indicated that SNNs can successfully be used as an alter- native to physics-based simulators in the ER process on various robotic platforms. At the commencement of the current study it was not, however, known how this relatively new method of simulation would compare to traditional physics-based simulation approaches in ER. The study presented in this thesis thus endeavoured to quantitatively compare SNNs and physics-based models as simulators in the ER process. In order to con- duct this comparative study, both SNNs and physics simulators were constructed for the modelling of three different robotic platforms: a differentially-steered robot, a wheeled inverted pendulum robot and a hexapod robot. Each of these two types of simulation was then used in simulation-based evolution processes to evolve con- trollers for each robotic platform. During these controller evolution processes, the SNNs and physics models were compared in terms of their accuracy in making pre- dictions of robotic behaviour, their computational efficiency in arriving at these predictions, the human effort required to construct each simulator and, most im- portantly, the real-world performance of controllers evolved by making use of each simulator. The results obtained in this study illustrated experimentally that SNNs were, in the majority of cases, able to make more accurate predictions than the physics- based models and these SNNs were arguably simpler to construct than the physics simulators. Additionally, SNNs were also shown to be a computationally efficient alternative to physics-based simulators in ER and, again in the majority of cases, these SNNs were able to produce controllers which outperformed those evolved in the physics-based simulators, when these controllers were uploaded to the real-world robots. The results of this thesis thus suggest that SNNs are a viable alternative to more commonly-used physics simulators in ER and further investigation of the potential of this simulation technique appears warranted.
- Full Text:
- Date Issued: 2019
- Authors: Pretorius, Christiaan Johannes
- Date: 2019
- Subjects: Neural networks (Computer science)
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/30789 , vital:31131
- Description: The Evolutionary Robotics (ER) process is a technique that applies evolutionary optimization algorithms to the task of automatically developing, or evolving, robotic control programs. These control programs, or simply controllers, are evolved in order to allow a robot to perform a required task. During the ER process, use is often made of robotic simulators to evaluate the performance of candidate controllers that are produced in the course of the controller evolution process. Such simulators accelerate and otherwise simplify the controller evolution process, as opposed to the more arduous process of evaluating controllers in the real world without use of simulation. To date, the vast majority of simulators that have been applied in ER are physics- based models which are constructed by taking into account the underlying physics governing the operation of the robotic system in question. An alternative approach to simulator implementation in ER is the usage of Artificial Neural Networks (ANNs) as simulators in the ER process. Such simulators are referred to as Simulator Neural Networks (SNNs). Previous studies have indicated that SNNs can successfully be used as an alter- native to physics-based simulators in the ER process on various robotic platforms. At the commencement of the current study it was not, however, known how this relatively new method of simulation would compare to traditional physics-based simulation approaches in ER. The study presented in this thesis thus endeavoured to quantitatively compare SNNs and physics-based models as simulators in the ER process. In order to con- duct this comparative study, both SNNs and physics simulators were constructed for the modelling of three different robotic platforms: a differentially-steered robot, a wheeled inverted pendulum robot and a hexapod robot. Each of these two types of simulation was then used in simulation-based evolution processes to evolve con- trollers for each robotic platform. During these controller evolution processes, the SNNs and physics models were compared in terms of their accuracy in making pre- dictions of robotic behaviour, their computational efficiency in arriving at these predictions, the human effort required to construct each simulator and, most im- portantly, the real-world performance of controllers evolved by making use of each simulator. The results obtained in this study illustrated experimentally that SNNs were, in the majority of cases, able to make more accurate predictions than the physics- based models and these SNNs were arguably simpler to construct than the physics simulators. Additionally, SNNs were also shown to be a computationally efficient alternative to physics-based simulators in ER and, again in the majority of cases, these SNNs were able to produce controllers which outperformed those evolved in the physics-based simulators, when these controllers were uploaded to the real-world robots. The results of this thesis thus suggest that SNNs are a viable alternative to more commonly-used physics simulators in ER and further investigation of the potential of this simulation technique appears warranted.
- Full Text:
- Date Issued: 2019
A gatherer’s paradise? early humans and plant foraging on the Cape south coast, South Africa
- Authors: Botha, Maria Susan
- Date: 2019
- Subjects: Plant remains (Archaeology) -- South Africa , Plant physiology Plant ecology Botany -- South Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/37139 , vital:34124
- Description: Humans were driven to refugia during the cold and dry glacial Marine Isotope Stage 6 (MIS6) (~195–125 ka); only a few places, including the Cape south coast, show archaeological evidence of continuous human occupation. It has been hypothesised that the Cape south coast provided the requisite shelter to ensure human’s earliest survival because it provided all the right ingredients. The shores offer abundant shellfish, the land a diverse array of plants, and the climate was ameliorated due to the proximity of the then exposed Palaeo-Agulhas Plain to the warm Agulhas current. The aim of this study is to determine whether the indigenous flora of this region could have provided a sufficient edible resource for early humans. Residents of the Cape south coast have genetic ancestry linking them to the Khoe-San, the original inhabitants of the area, and still have an extensive knowledge of the local edible plants. With their help, I set out to determine a) whether humans have been utilising the same plant species over time, b) what the foraging potential of the edible plants in the region is and c) how resilient these plants are to human foraging. If we know whether the plant species known and used today were the same as those that were utilised by past humans, we can then use the contemporary knowledge to make predictions about past utilisation. To answer this question, I collated two databases: archaeological (all plant species found in archaeological sites [dating 0 to 80,000 BP]) and contemporary (all plant species in the modern-day ethnographic literature [last 400 years]) that occur within the Greater Cape Floristic Region(GCFR). I found a significant number of plant species shared between the two databases, which suggests that at least some plant species have been used by humans over a long period of time. To determine the indigenous plant foraging potential of the region, I foraged for food in the Cape south coast (451 bouts) monthly over a two-year period with the help of local inhabitants. The findings show that edible plant resources are distributed patchily and focusing on specific vegetation types would greatly enhance chances of harvesting 2,000 kcal per day, which is considered the daily calorific requirements for a typical hunter-gatherer. I then sought to understand how resilient these plants [(with an emphasis on plants with an underground storage organ (USO)] would be to human foraging. To do this, I set out plots and harvested all edible foods for three consecutive years with the help of foragers. Results indicate that there was a significant reduction in edible weight only in the third year of consecutive harvesting. In conclusion, using various approaches, this study investigates the plant food potential of the Cape south coast from the perspective of early human consumers. The findings suggest that knowledge regarding useful plants dates back to at least 80,000 BP. Food resources are patchily distributed across the main vegetation types found within the Cape south coast and occur in hotspots, i.e. concentrated areas hosting high densities of edible plant foods, surrounded by areas with very low plant food densities. Foragers could have harvested their daily calorific quota more easily if they focused their harvesting efforts in specific vegetation types found in the Cape south coast. Furthermore, many USOs circumvent climatic fluctuations, herbivory or both by staggering their emergence over multiple years, which implies they have some resilience to human foraging.
- Full Text:
- Date Issued: 2019
- Authors: Botha, Maria Susan
- Date: 2019
- Subjects: Plant remains (Archaeology) -- South Africa , Plant physiology Plant ecology Botany -- South Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/37139 , vital:34124
- Description: Humans were driven to refugia during the cold and dry glacial Marine Isotope Stage 6 (MIS6) (~195–125 ka); only a few places, including the Cape south coast, show archaeological evidence of continuous human occupation. It has been hypothesised that the Cape south coast provided the requisite shelter to ensure human’s earliest survival because it provided all the right ingredients. The shores offer abundant shellfish, the land a diverse array of plants, and the climate was ameliorated due to the proximity of the then exposed Palaeo-Agulhas Plain to the warm Agulhas current. The aim of this study is to determine whether the indigenous flora of this region could have provided a sufficient edible resource for early humans. Residents of the Cape south coast have genetic ancestry linking them to the Khoe-San, the original inhabitants of the area, and still have an extensive knowledge of the local edible plants. With their help, I set out to determine a) whether humans have been utilising the same plant species over time, b) what the foraging potential of the edible plants in the region is and c) how resilient these plants are to human foraging. If we know whether the plant species known and used today were the same as those that were utilised by past humans, we can then use the contemporary knowledge to make predictions about past utilisation. To answer this question, I collated two databases: archaeological (all plant species found in archaeological sites [dating 0 to 80,000 BP]) and contemporary (all plant species in the modern-day ethnographic literature [last 400 years]) that occur within the Greater Cape Floristic Region(GCFR). I found a significant number of plant species shared between the two databases, which suggests that at least some plant species have been used by humans over a long period of time. To determine the indigenous plant foraging potential of the region, I foraged for food in the Cape south coast (451 bouts) monthly over a two-year period with the help of local inhabitants. The findings show that edible plant resources are distributed patchily and focusing on specific vegetation types would greatly enhance chances of harvesting 2,000 kcal per day, which is considered the daily calorific requirements for a typical hunter-gatherer. I then sought to understand how resilient these plants [(with an emphasis on plants with an underground storage organ (USO)] would be to human foraging. To do this, I set out plots and harvested all edible foods for three consecutive years with the help of foragers. Results indicate that there was a significant reduction in edible weight only in the third year of consecutive harvesting. In conclusion, using various approaches, this study investigates the plant food potential of the Cape south coast from the perspective of early human consumers. The findings suggest that knowledge regarding useful plants dates back to at least 80,000 BP. Food resources are patchily distributed across the main vegetation types found within the Cape south coast and occur in hotspots, i.e. concentrated areas hosting high densities of edible plant foods, surrounded by areas with very low plant food densities. Foragers could have harvested their daily calorific quota more easily if they focused their harvesting efforts in specific vegetation types found in the Cape south coast. Furthermore, many USOs circumvent climatic fluctuations, herbivory or both by staggering their emergence over multiple years, which implies they have some resilience to human foraging.
- Full Text:
- Date Issued: 2019
Accountability deficits in local government in South Africa: implications for social and economic development
- Authors: Sepogwane, Pheladi
- Date: 2019
- Subjects: Budget deficits -- South Africa , Local government -- South Africa Local government -- South Africa -- Evaluation South Africa -- Economic conditions Economic development
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/43424 , vital:36879
- Description: Local government faces require that spheres of government provide accountable, effective, transparent, and good governance. Yet local government face challenges that compel a need for mechanisms that will improve the accountability and effective management of municipal resources. There have been concerns among scholars that development is not being coordinated by an evenly powerful formation of fitting accountability regimes (Abata, 2012; Adenuga, 2013). For this reason, the study aims to investigate to what degree and how trends towards local government policymaking and implementation have been matched by correspondent changes and innovations in accountability regimes and practices. In keeping with the distinctions made above, it undertakes research on accountability practices in two domains of politics. It entails a systematic comparative empirical research on accountability regimes surrounding: the municipal mayors, committees and managers in regular policymaking, implementation and crisis management; evaluating the effectiveness of accountability regimes as catalysts of development programmes. The Researcher observed growing concerns on the issues of accountability. Hence an exploratory study on the issue based on qualitative research methodology was undertaken. The method of research is comprised of a case study, observation and interviews that were conducted. The accountability systems that were examined include the political, bureaucratic and professional accountability systems. Yet the two accountability mechanisms that were designed highlight the challenges in the dominance, abuse of powers, non-compliance with the code of conduct, the lack of exemplary behaviour and accountability deficits. The major conclusion that is drawn from the research study is that a multi-dimensional is required to ensure effective accountability systems in municipalities. The recommendations include the enforcement of the legal instruments, codes of conduct; the impartial prosecution of violators; implementing effective policies on training and personnel management and encouraging associations and stakeholders to play a catalytic role in enforcing accountability in municipalities.
- Full Text:
- Date Issued: 2019
- Authors: Sepogwane, Pheladi
- Date: 2019
- Subjects: Budget deficits -- South Africa , Local government -- South Africa Local government -- South Africa -- Evaluation South Africa -- Economic conditions Economic development
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/43424 , vital:36879
- Description: Local government faces require that spheres of government provide accountable, effective, transparent, and good governance. Yet local government face challenges that compel a need for mechanisms that will improve the accountability and effective management of municipal resources. There have been concerns among scholars that development is not being coordinated by an evenly powerful formation of fitting accountability regimes (Abata, 2012; Adenuga, 2013). For this reason, the study aims to investigate to what degree and how trends towards local government policymaking and implementation have been matched by correspondent changes and innovations in accountability regimes and practices. In keeping with the distinctions made above, it undertakes research on accountability practices in two domains of politics. It entails a systematic comparative empirical research on accountability regimes surrounding: the municipal mayors, committees and managers in regular policymaking, implementation and crisis management; evaluating the effectiveness of accountability regimes as catalysts of development programmes. The Researcher observed growing concerns on the issues of accountability. Hence an exploratory study on the issue based on qualitative research methodology was undertaken. The method of research is comprised of a case study, observation and interviews that were conducted. The accountability systems that were examined include the political, bureaucratic and professional accountability systems. Yet the two accountability mechanisms that were designed highlight the challenges in the dominance, abuse of powers, non-compliance with the code of conduct, the lack of exemplary behaviour and accountability deficits. The major conclusion that is drawn from the research study is that a multi-dimensional is required to ensure effective accountability systems in municipalities. The recommendations include the enforcement of the legal instruments, codes of conduct; the impartial prosecution of violators; implementing effective policies on training and personnel management and encouraging associations and stakeholders to play a catalytic role in enforcing accountability in municipalities.
- Full Text:
- Date Issued: 2019
An evaluation and comparison of the plasticiser effects of p -Menthane-3,8-diol-citronellal acetal plasticiser with triethyl citrate and bis(2-ethylhexyl) terephthalate on ethylcellulose films.
- Authors: Marx, Johannes Scheepers
- Date: 2019
- Subjects: Plasticisers
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/44629 , vital:38164
- Description: In recent years, much attention has been focused on research to replace petroleumbased commodity plastics, in a cost-effective manner, with biodegradable materials offering competitive mechanical properties. The use of natural and/or biodegradable plasticisers, with low toxicity and good compatibility with several plastics, resins, rubber and elastomers in substitution of conventional plasticisers, such as phthalates and other synthetic plasticisers attract the market along with the increasing worldwide trend towards the use of bio-polymers. The main research objective entailed the behaviour of the novel bio-plasticiser PMDcitronellal acetal (PMD-CA) and its comparison with other commercial bio-plasticiser, triethyl citrate (TEC) and a non-phthalate plasticiser bis(2-ethylhexyl) terephthalate (DOTP), on ethylcellulose (EC) films to evaluate whether it would be feasible to replace them with PMD-CA. The films were produced by a casting technique and were characterised by mechanical properties, thermoanalysis, Scanning Electron Microscopy, disintegration and Fourier-Transform Infrared (FT-IR) spectroscopy. The addition of any of the three plasticisers to EC film increased the flexibility of the films. The plasticisers PMD-CA and DOTP added to EC formed tougher films as compared to EC films containing TEC shown by the high % elongation at break, strain and displacement. Statistically, it was proved that PMD-CA and DOTP had a more significant effect on % elongation of EC films than TEC, postulated to be due to their similar molecular size and structure. Thermoanalytical studies conducted revealed that the thermal degradation process of EC films proceeded in three basic stages, namely dehydration, depolymerisation and pyrolytic decomposition. Thermoanalytical analysis showed that unplasticised EC films had a higher glass transition value compared to the films containing any of the plasticisers and that PMD-CA and DOTP are more effective plasticisers compared to TEC due to their lower glass transition temperatures. The presence of plasticisers in the polymer matrix did change the surface morphology of polymer films. The addition of hydroxypropyl methylcellulose (HPMC) to EC PMD-CA and EC DOTP films caused more significant globule-like bubbles which were not uniform in size on the surface of these films. Observations were made that the type of plasticiser coating with or without pore former influenced the disintegration properties of films. HPMC, as pore former, played a significant role in the drug release system matrix. EC PMD-CA and EC DOTP polymeric films controlled the disintegration of the films in the acidic and weakly acidic medium. EC and EC TEC films had less significant control on the disintegration rate of the acidic and weakly acidic disintegration media. FT-IR characterisation of the films revealed comparable peaks observed in all the polymer-plasticiser combinations and therefore it was concluded that chemical interactions did not exist between the polymers and plasticisers. Added excipients (plasticisers and pore formers) were found to be compatible with EC films. It was concluded within the scope of this research that EC films plasticised with PMDCA, DOTP or TEC outperformed film properties of those compared to unplasticised EC film. The plasticising properties of the novel bio-plasticiser PMD-CA are similar compared to DOTP, and superior to triethyl citrate and could therefore be considered as an effective bioplasticiser for enteric coating formulations in the pharmaceutical industry.
- Full Text:
- Date Issued: 2019
- Authors: Marx, Johannes Scheepers
- Date: 2019
- Subjects: Plasticisers
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/44629 , vital:38164
- Description: In recent years, much attention has been focused on research to replace petroleumbased commodity plastics, in a cost-effective manner, with biodegradable materials offering competitive mechanical properties. The use of natural and/or biodegradable plasticisers, with low toxicity and good compatibility with several plastics, resins, rubber and elastomers in substitution of conventional plasticisers, such as phthalates and other synthetic plasticisers attract the market along with the increasing worldwide trend towards the use of bio-polymers. The main research objective entailed the behaviour of the novel bio-plasticiser PMDcitronellal acetal (PMD-CA) and its comparison with other commercial bio-plasticiser, triethyl citrate (TEC) and a non-phthalate plasticiser bis(2-ethylhexyl) terephthalate (DOTP), on ethylcellulose (EC) films to evaluate whether it would be feasible to replace them with PMD-CA. The films were produced by a casting technique and were characterised by mechanical properties, thermoanalysis, Scanning Electron Microscopy, disintegration and Fourier-Transform Infrared (FT-IR) spectroscopy. The addition of any of the three plasticisers to EC film increased the flexibility of the films. The plasticisers PMD-CA and DOTP added to EC formed tougher films as compared to EC films containing TEC shown by the high % elongation at break, strain and displacement. Statistically, it was proved that PMD-CA and DOTP had a more significant effect on % elongation of EC films than TEC, postulated to be due to their similar molecular size and structure. Thermoanalytical studies conducted revealed that the thermal degradation process of EC films proceeded in three basic stages, namely dehydration, depolymerisation and pyrolytic decomposition. Thermoanalytical analysis showed that unplasticised EC films had a higher glass transition value compared to the films containing any of the plasticisers and that PMD-CA and DOTP are more effective plasticisers compared to TEC due to their lower glass transition temperatures. The presence of plasticisers in the polymer matrix did change the surface morphology of polymer films. The addition of hydroxypropyl methylcellulose (HPMC) to EC PMD-CA and EC DOTP films caused more significant globule-like bubbles which were not uniform in size on the surface of these films. Observations were made that the type of plasticiser coating with or without pore former influenced the disintegration properties of films. HPMC, as pore former, played a significant role in the drug release system matrix. EC PMD-CA and EC DOTP polymeric films controlled the disintegration of the films in the acidic and weakly acidic medium. EC and EC TEC films had less significant control on the disintegration rate of the acidic and weakly acidic disintegration media. FT-IR characterisation of the films revealed comparable peaks observed in all the polymer-plasticiser combinations and therefore it was concluded that chemical interactions did not exist between the polymers and plasticisers. Added excipients (plasticisers and pore formers) were found to be compatible with EC films. It was concluded within the scope of this research that EC films plasticised with PMDCA, DOTP or TEC outperformed film properties of those compared to unplasticised EC film. The plasticising properties of the novel bio-plasticiser PMD-CA are similar compared to DOTP, and superior to triethyl citrate and could therefore be considered as an effective bioplasticiser for enteric coating formulations in the pharmaceutical industry.
- Full Text:
- Date Issued: 2019
Applying anthropological perspectives in criminal procedures involving murder in Port Elizabeth, 2000-2016
- Authors: Thornton, Jessica Leigh
- Date: 2019
- Subjects: Criminal procedures
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/44688 , vital:38161
- Description: With the spike of annual reported murders in South Africa, the country is continuing to climb the global rank of the world’s most violent countries. In 2016 alone, there were over nineteen thousand reported murders, equalling over fifty murders per day, with the Eastern Cape holding position as the province with the highest murder rate. Studies indicate that Port Elizabeth is the hardest hit by crime, adding up to 60% of all reported crimes in the province and despite the use of a ‘catch and convict’ only approach in criminal proceedings, violence and crime are still highly prevalent. Thus, overall the situation suggests that it may be beyond law enforcement control and even though the South African Police Service have taken some progressive steps in reforming procedures, generally, these have been too little and too late, as the reforms introduced are piecemeal and crisis driven. This thesis, therefore, proposes that additional approaches may be needed to improve investigations of the most pernicious crimes. Here, the focus is on the role of culture and social life in ‘murder-scapes’ with a critical contribution of the ‘habitus’ of murder allowing for the meaningful engagement with criminal acts, policing, sentencing, imprisonment and probation. In this regard, perspectives drawn from anthropology can possibly assist law enforcement officials in their steps of investigating a murder by providing a more ethnographic, holistic and integrated narrative in all areas of a criminal proceeding. An efficacious and constructive interpretation of the different subcultures crime scene processing, profiles development, testimony documentation and participation production with the police force and task teams can assist in redirecting and reappraising current practises that prove incompetent. That is, in attempting to review the current procedures conducted by law enforcers to identify how and where anthropological and ethnographical knowledge can be applied and successfully utilised, an assessment may aid officials in better investigative practises which could have implications for wider lenses making use of action, investigation, containment, prevention and rehabilitation. By advancing a deep understanding of the issue of murder in the South African context, implications for a wider, equally modernising and equally troubled society in the global South can be inferred.
- Full Text:
- Date Issued: 2019
- Authors: Thornton, Jessica Leigh
- Date: 2019
- Subjects: Criminal procedures
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/44688 , vital:38161
- Description: With the spike of annual reported murders in South Africa, the country is continuing to climb the global rank of the world’s most violent countries. In 2016 alone, there were over nineteen thousand reported murders, equalling over fifty murders per day, with the Eastern Cape holding position as the province with the highest murder rate. Studies indicate that Port Elizabeth is the hardest hit by crime, adding up to 60% of all reported crimes in the province and despite the use of a ‘catch and convict’ only approach in criminal proceedings, violence and crime are still highly prevalent. Thus, overall the situation suggests that it may be beyond law enforcement control and even though the South African Police Service have taken some progressive steps in reforming procedures, generally, these have been too little and too late, as the reforms introduced are piecemeal and crisis driven. This thesis, therefore, proposes that additional approaches may be needed to improve investigations of the most pernicious crimes. Here, the focus is on the role of culture and social life in ‘murder-scapes’ with a critical contribution of the ‘habitus’ of murder allowing for the meaningful engagement with criminal acts, policing, sentencing, imprisonment and probation. In this regard, perspectives drawn from anthropology can possibly assist law enforcement officials in their steps of investigating a murder by providing a more ethnographic, holistic and integrated narrative in all areas of a criminal proceeding. An efficacious and constructive interpretation of the different subcultures crime scene processing, profiles development, testimony documentation and participation production with the police force and task teams can assist in redirecting and reappraising current practises that prove incompetent. That is, in attempting to review the current procedures conducted by law enforcers to identify how and where anthropological and ethnographical knowledge can be applied and successfully utilised, an assessment may aid officials in better investigative practises which could have implications for wider lenses making use of action, investigation, containment, prevention and rehabilitation. By advancing a deep understanding of the issue of murder in the South African context, implications for a wider, equally modernising and equally troubled society in the global South can be inferred.
- Full Text:
- Date Issued: 2019
Challenges of subsistence farming in South Africa: a case study of Emjkweni village in Eastern Cape Province
- Authors: Mngqinya, Yoliswa
- Date: 2019
- Subjects: Subsistence agriculture
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/44553 , vital:38142
- Description: Subsistence agriculture plays an important role in the livelihood of Africa’s rural population. Yet in many countries like South Africa, rather than seeing an upward projection of food production with an almost natural shift towards commercialising household production of food, the state of rural agriculture continues to go into decline. Since the advent of South Africa’s new dawn of democracy in 1994, agriculture has been the priority of government for the advancement of subsistence economy and rural development in rural communities. But progress in making a vibrant sustainable economy out of subsistence farming has remained stymied. At a time when there is a need to significantly increase the productivity of subsistence/smallholder agriculture and ensure long-term food security, rural subsistence farmers in the former bread basket of the Eastern Cape Province, have abandoned crop production. Characteristic of contemporary Eastern Cape’s rural landscape is the sight of large tracts of farm land lying uncultivated. Amidst a raging debate in South Africa on land the merits of the debate remain silent in the face of visibly idle crop land. This study has attempted to make a small incision into a growing body of knowledge on land reform with a view to and laying bare current challenges that keep rural folk out of the field, notwithstanding availability of land. Adopting multi-level research techniques, a purposive sample of 83 village respondents in eMjikweni was selected. Through a combination of face-to-face interviews using an open-ended interview instrument; focus group discussions and case studies, information was extracted from the sample to understand the current challenges of subsistence farming that make for poor household crop production, intensified dependence on social grants for income and growing food insecurity. Despite a conducive policy environment, the study findings suggest that as long as political will is absent, the formula for agrarian reform will remain incorrect, further entrenching rural poverty. As an exercise in social enquiry, the study employed a combination of quantitative and qualitative data analysis methods, while being careful to note how methodology impacts on the ability of respondents to narrate their lived experience, which, carefully crafted, can be valuable catalysts to a more bottom-up approach to rural development, sustainable agriculture and enhanced food security in the Eastern Cape. The merit of this study in making the said incision into a growing body of information on land reform is that it provides a glimpse into the life of a rural subsistence farmer. With the launch of the Presidential Panel Report on Land Reform (2019) a few days ago, the voice and experience of those who bear the brunt of land reform becomes critical. They are a people facing enormous challenges to restoring subsistence agriculture as a vibrant contributor to food security at household level and to reduced dependency on the state for its livelihood. They are a people who once created the “bread basket” of the Eastern Cape Province with a vibrant agricultural economy. They are a people who raise children to form part of the significant statistics of migrants to the economic hubs of Gauteng Province in particular in search of employment. They are a people who contribute significantly to the growing numbers of people dependent on the state for social grants. They are a people central to solving land reform for a better South Africa. It is based on their stories that this study’s findings argue for the revitalisation of the subsistence economies of rural communities which recognises the deeply entrenched socio-economic and geo-spatial transformations over time that make it quite complex to return to a past utopia. It is the premise of this thesis that the smallholder and subsistence agricultural sector has the potential to create job opportunities and promote local economic development in rural communities, which in turn would mitigate the triple challenge of poverty, unemployment and inequality facing South African society.
- Full Text:
- Date Issued: 2019
- Authors: Mngqinya, Yoliswa
- Date: 2019
- Subjects: Subsistence agriculture
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/44553 , vital:38142
- Description: Subsistence agriculture plays an important role in the livelihood of Africa’s rural population. Yet in many countries like South Africa, rather than seeing an upward projection of food production with an almost natural shift towards commercialising household production of food, the state of rural agriculture continues to go into decline. Since the advent of South Africa’s new dawn of democracy in 1994, agriculture has been the priority of government for the advancement of subsistence economy and rural development in rural communities. But progress in making a vibrant sustainable economy out of subsistence farming has remained stymied. At a time when there is a need to significantly increase the productivity of subsistence/smallholder agriculture and ensure long-term food security, rural subsistence farmers in the former bread basket of the Eastern Cape Province, have abandoned crop production. Characteristic of contemporary Eastern Cape’s rural landscape is the sight of large tracts of farm land lying uncultivated. Amidst a raging debate in South Africa on land the merits of the debate remain silent in the face of visibly idle crop land. This study has attempted to make a small incision into a growing body of knowledge on land reform with a view to and laying bare current challenges that keep rural folk out of the field, notwithstanding availability of land. Adopting multi-level research techniques, a purposive sample of 83 village respondents in eMjikweni was selected. Through a combination of face-to-face interviews using an open-ended interview instrument; focus group discussions and case studies, information was extracted from the sample to understand the current challenges of subsistence farming that make for poor household crop production, intensified dependence on social grants for income and growing food insecurity. Despite a conducive policy environment, the study findings suggest that as long as political will is absent, the formula for agrarian reform will remain incorrect, further entrenching rural poverty. As an exercise in social enquiry, the study employed a combination of quantitative and qualitative data analysis methods, while being careful to note how methodology impacts on the ability of respondents to narrate their lived experience, which, carefully crafted, can be valuable catalysts to a more bottom-up approach to rural development, sustainable agriculture and enhanced food security in the Eastern Cape. The merit of this study in making the said incision into a growing body of information on land reform is that it provides a glimpse into the life of a rural subsistence farmer. With the launch of the Presidential Panel Report on Land Reform (2019) a few days ago, the voice and experience of those who bear the brunt of land reform becomes critical. They are a people facing enormous challenges to restoring subsistence agriculture as a vibrant contributor to food security at household level and to reduced dependency on the state for its livelihood. They are a people who once created the “bread basket” of the Eastern Cape Province with a vibrant agricultural economy. They are a people who raise children to form part of the significant statistics of migrants to the economic hubs of Gauteng Province in particular in search of employment. They are a people who contribute significantly to the growing numbers of people dependent on the state for social grants. They are a people central to solving land reform for a better South Africa. It is based on their stories that this study’s findings argue for the revitalisation of the subsistence economies of rural communities which recognises the deeply entrenched socio-economic and geo-spatial transformations over time that make it quite complex to return to a past utopia. It is the premise of this thesis that the smallholder and subsistence agricultural sector has the potential to create job opportunities and promote local economic development in rural communities, which in turn would mitigate the triple challenge of poverty, unemployment and inequality facing South African society.
- Full Text:
- Date Issued: 2019
Cheetah Acinonyx jubatus behaviour and resource use in response to other African large carnivores
- Authors: Cornhill, Kristina
- Date: 2019
- Subjects: Cheetahs -- Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/44735 , vital:38169
- Description: Competition occurs between species for shared resources. Subordinate species employ resource selection to shift their resource use away from that of dominant species in order to avoid the negative consequences of competition. Only in Africa is the post-Pleistocene large carnivore guild intact, consisting of lions Panthera leo, spotted hyaenas Crocuta crocuta, leopards Panthera pardus, cheetahs Acinonyx jubatus, and African wild dogs Lycaon pictus. Therefore, only in Africa can we explore how large carnivores co-exist with one another in a diverse community. Cheetahs are a subordinate member of the large carnivore guild due to their small stature and solitary nature. However, we still do not fully understand how competition shapes cheetah behaviour and resource use. I used cheetahs as a model subordinate predator to determine the behavioural responses and resource selection of cheetah in response to assumed competition from other large carnivores. I experimentally explored the behavioural response of cheetah to large carnivore scent sources (scats) and their presence at cheetah scent-marking sites to test for avoidance of such cues. Moreover, using unplanned experiments based on the resource use of cheetahs in the absence and then presence of lions (assessing space and time use by cheetah) and African wild dogs (assessing prey use by both species), I evaluated resource selection by cheetahs as a way to reduce competition with these large carnivores. In addition, I measured spatial and temporal partitioning between cheetahs and all four large carnivores at camera trap sites. Finally, I assessed whether cheetahs responded to competitors using a long term proactive response or a short term reactive response. I found that all four of the other large carnivores in the guild shaped cheetahs resource use, however, all did so on different axes in accordance with the niche complementarity hypothesis. Lions and spotted hyenas were avoided through time, African wild dogs through space and prey use, and lions and leopards on the spatiotemporal axis. Moreover, I show that cheetahs utilize a reactive response to competition that allows them to avoid risk while still obtaining necessary resources.
- Full Text:
- Date Issued: 2019
- Authors: Cornhill, Kristina
- Date: 2019
- Subjects: Cheetahs -- Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/44735 , vital:38169
- Description: Competition occurs between species for shared resources. Subordinate species employ resource selection to shift their resource use away from that of dominant species in order to avoid the negative consequences of competition. Only in Africa is the post-Pleistocene large carnivore guild intact, consisting of lions Panthera leo, spotted hyaenas Crocuta crocuta, leopards Panthera pardus, cheetahs Acinonyx jubatus, and African wild dogs Lycaon pictus. Therefore, only in Africa can we explore how large carnivores co-exist with one another in a diverse community. Cheetahs are a subordinate member of the large carnivore guild due to their small stature and solitary nature. However, we still do not fully understand how competition shapes cheetah behaviour and resource use. I used cheetahs as a model subordinate predator to determine the behavioural responses and resource selection of cheetah in response to assumed competition from other large carnivores. I experimentally explored the behavioural response of cheetah to large carnivore scent sources (scats) and their presence at cheetah scent-marking sites to test for avoidance of such cues. Moreover, using unplanned experiments based on the resource use of cheetahs in the absence and then presence of lions (assessing space and time use by cheetah) and African wild dogs (assessing prey use by both species), I evaluated resource selection by cheetahs as a way to reduce competition with these large carnivores. In addition, I measured spatial and temporal partitioning between cheetahs and all four large carnivores at camera trap sites. Finally, I assessed whether cheetahs responded to competitors using a long term proactive response or a short term reactive response. I found that all four of the other large carnivores in the guild shaped cheetahs resource use, however, all did so on different axes in accordance with the niche complementarity hypothesis. Lions and spotted hyenas were avoided through time, African wild dogs through space and prey use, and lions and leopards on the spatiotemporal axis. Moreover, I show that cheetahs utilize a reactive response to competition that allows them to avoid risk while still obtaining necessary resources.
- Full Text:
- Date Issued: 2019
Construction material logistics management: the case of North-Central Nigeria
- Authors: Alumbugu, Polycarp Olaku
- Date: 2019
- Subjects: Construction industry -- Nigeria
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/44556 , vital:38132
- Description: The Management of Construction Material Logistics Systems plays a significant role in meeting the goals of cost, quality and time to completion of a construction project. Fundamentally, it is accepted that any inefficiency in the delivery of construction material could lead to a time overrun and thus, a rise in construction costs. Therefore addressing the operational performance of logistics would have a positive impact on the goals of a construction project. The aim of this study was to investigate and evaluate the operational performance of material logistics in North-Central Nigeria as there is little specific research conducted on its effectiveness and efficiency. The methodology used included an extensive literature review and a field study conducted on ten quantitative approach that is rooted in the positivist paradigm, and purposive sampling techniques, was adopted. The descriptive method of data analysis was employed, and the findings and interpretations presented through graphs and images. Analysis of the findings led to the conclusion that material logistics did not operate as a system. There was almost no collaboration and integration of the logistics systems to create a synergistic interrelationship between functions in pursuit of higher overall effectiveness and efficiency. Improvement was needed in warehouse and transport operations and processes; technology and automation of logistics operations were absent, and delivery of material to customers was not effective. The implication was that the current materials logistics system did not meet the delivery goals of cost, quality and time of a construction project. The recommendations suggested included the adoption of the framework developed in this study. This would serve as a guide towards effective and efficient logistics management for material manufacturing firms, and for construction professionals.
- Full Text:
- Date Issued: 2019
- Authors: Alumbugu, Polycarp Olaku
- Date: 2019
- Subjects: Construction industry -- Nigeria
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/44556 , vital:38132
- Description: The Management of Construction Material Logistics Systems plays a significant role in meeting the goals of cost, quality and time to completion of a construction project. Fundamentally, it is accepted that any inefficiency in the delivery of construction material could lead to a time overrun and thus, a rise in construction costs. Therefore addressing the operational performance of logistics would have a positive impact on the goals of a construction project. The aim of this study was to investigate and evaluate the operational performance of material logistics in North-Central Nigeria as there is little specific research conducted on its effectiveness and efficiency. The methodology used included an extensive literature review and a field study conducted on ten quantitative approach that is rooted in the positivist paradigm, and purposive sampling techniques, was adopted. The descriptive method of data analysis was employed, and the findings and interpretations presented through graphs and images. Analysis of the findings led to the conclusion that material logistics did not operate as a system. There was almost no collaboration and integration of the logistics systems to create a synergistic interrelationship between functions in pursuit of higher overall effectiveness and efficiency. Improvement was needed in warehouse and transport operations and processes; technology and automation of logistics operations were absent, and delivery of material to customers was not effective. The implication was that the current materials logistics system did not meet the delivery goals of cost, quality and time of a construction project. The recommendations suggested included the adoption of the framework developed in this study. This would serve as a guide towards effective and efficient logistics management for material manufacturing firms, and for construction professionals.
- Full Text:
- Date Issued: 2019
Culturally-informed coping strategies of posttraumatic stress disorders among the black Africans in the greater Accra region of Ghana and black Africans in the eastern cape of South Africa
- Authors: Thompson, Sandra
- Date: 2019
- Subjects: Posttraumatic stress disorder
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/44625 , vital:38154
- Description: The influence of culture in coping with Posttraumatic Stress Disorders (PTSD) has been highlighted in literature. However, these culture specific coping strategies are not as yet, extensively explored. The research sought to explore and describe the culturally - informed coping strategies of PTS D among the black Africans in the Greater Accra Region of Ghana and black Africans in the Eastern Cape of South Africa. A qualitative methodological approach was used to explore the phenomenon under study. Purposive non - probability sampling was employed to obtain access to participants who could inform the objectives of the study. Data was collected using semi - structured interviews with traumatised individuals and focus group discussions with cultural leaders. All interviews were audio - recorded, transcribed, translated and analysed using thematic content analysis to facilitate the description and comparison of the similarities and distinctive features emerging from the two African communities. The findings indicated that a number of cultural factors influence interpretation of symptoms of PTSD and the adopted coping strategies. Participants’ understanding of symptoms of PTSD relied heavily on Christian Religious and African cultural understandings. It was evident that almost all explanations were purely spiritual and minimal knowledge was expressed on cognitive interpretations. A great deal of emphasis by the Ghanaians and isiXhosa of South Africa, was on dreams and such interpretations were deferred to an authoritative individual (especially the traditional healer). An obvious hierarchy for coping emerged with the traditional healer playing a major role for the Ghanaian and isiXhosa participants. Performing rites and the use of plants were essential to healing for these group of individuals. Whereas, the Coloured - Afrikaans made reference to a higher power “God”. An outstanding observation was the extent to which Ghanaian and isiXhosa participants have incorporated Christian and traditional practices (i.e. praying to God, performing rites and using herbs or plants). Even where an individual did not wish to mix practice because of upbringing, they acknowledged the existence and effectiveness of these practices. Colonisation was drawn on as an explanation for such mixed practices. The advent of Christianity was explained as having established Western culture (specifically Christianity) that is incorporated by participants. The Coloured - Afrikaans on the other hand, were consistent with the Christian practices “prayers to God”. A great deal of consistency however existed among all participants. Social support was considered very important. Talking with family and friends were relevant to the healing process as it gets rid of distorted thought patterns and avoids isolation considered as a serious current threat to healing. While there was an element of cognitive understanding, Western based treatment using cognitive restructuring was not a treatment option. Clinical practitioners or Psychologists that come into contact with the black Ghanaians and black South Africans should consider collaborative treatment strategies using the draft checklist as a guide.
- Full Text:
- Date Issued: 2019
- Authors: Thompson, Sandra
- Date: 2019
- Subjects: Posttraumatic stress disorder
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/44625 , vital:38154
- Description: The influence of culture in coping with Posttraumatic Stress Disorders (PTSD) has been highlighted in literature. However, these culture specific coping strategies are not as yet, extensively explored. The research sought to explore and describe the culturally - informed coping strategies of PTS D among the black Africans in the Greater Accra Region of Ghana and black Africans in the Eastern Cape of South Africa. A qualitative methodological approach was used to explore the phenomenon under study. Purposive non - probability sampling was employed to obtain access to participants who could inform the objectives of the study. Data was collected using semi - structured interviews with traumatised individuals and focus group discussions with cultural leaders. All interviews were audio - recorded, transcribed, translated and analysed using thematic content analysis to facilitate the description and comparison of the similarities and distinctive features emerging from the two African communities. The findings indicated that a number of cultural factors influence interpretation of symptoms of PTSD and the adopted coping strategies. Participants’ understanding of symptoms of PTSD relied heavily on Christian Religious and African cultural understandings. It was evident that almost all explanations were purely spiritual and minimal knowledge was expressed on cognitive interpretations. A great deal of emphasis by the Ghanaians and isiXhosa of South Africa, was on dreams and such interpretations were deferred to an authoritative individual (especially the traditional healer). An obvious hierarchy for coping emerged with the traditional healer playing a major role for the Ghanaian and isiXhosa participants. Performing rites and the use of plants were essential to healing for these group of individuals. Whereas, the Coloured - Afrikaans made reference to a higher power “God”. An outstanding observation was the extent to which Ghanaian and isiXhosa participants have incorporated Christian and traditional practices (i.e. praying to God, performing rites and using herbs or plants). Even where an individual did not wish to mix practice because of upbringing, they acknowledged the existence and effectiveness of these practices. Colonisation was drawn on as an explanation for such mixed practices. The advent of Christianity was explained as having established Western culture (specifically Christianity) that is incorporated by participants. The Coloured - Afrikaans on the other hand, were consistent with the Christian practices “prayers to God”. A great deal of consistency however existed among all participants. Social support was considered very important. Talking with family and friends were relevant to the healing process as it gets rid of distorted thought patterns and avoids isolation considered as a serious current threat to healing. While there was an element of cognitive understanding, Western based treatment using cognitive restructuring was not a treatment option. Clinical practitioners or Psychologists that come into contact with the black Ghanaians and black South Africans should consider collaborative treatment strategies using the draft checklist as a guide.
- Full Text:
- Date Issued: 2019
Data quality issues in electronic health records for large-scale databases
- Authors: Saiod, Abdul Kader
- Date: 2019
- Subjects: Healthcare -- Data quality
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/44577 , vital:38145
- Description: Data Quality (DQ) in Electronic Health Records (EHRs) is one of the core functions that play a decisive role to improve the healthcare service quality. The DQ issues in EHRs are a noticeable trend to improve the introduction of an adaptive framework for interoperability and standards in Large-Scale Databases (LSDB) management systems. Therefore, large data communications are challenging in the traditional approaches to satisfy the needs of the consumers, as data is often not capture directly into the Database Management Systems (DBMS) in a seasonably enough fashion to enable their subsequent uses. In addition, large data plays a vital role in containing plenty of treasures for all the fields in the DBMS. EHRs technology provides portfolio management systems that allow HealthCare Organisations (HCOs) to deliver a higher quality of care to their patients than that which is possible with paper-based records. EHRs are in high demand for HCOs to run their daily services as increasing numbers of huge datasets occur every day. Efficient EHR systems reduce the data redundancy as well as the system application failure and increase the possibility to draw all necessary reports. However, one of the main challenges in developing efficient EHR systems is the inherent difficulty to coherently manage data from diverse heterogeneous sources. It is practically challenging to integrate diverse data into a global schema, which satisfies the need of users. The efficient management of EHR systems using an existing DBMS present challenges because of incompatibility and sometimes inconsistency of data structures. As a result, no common methodological approach is currently in existence to effectively solve every data integration problem. The challenges of the DQ issue raised the need to find an efficient way to integrate large EHRs from diverse heterogeneous sources. To handle and align a large dataset efficiently, the hybrid algorithm method with the logical combination of Fuzzy-Ontology along with a large-scale EHRs analysis platform has shown the results in term of improved accuracy. This study investigated and addressed the raised DQ issues to interventions to overcome these barriers and challenges, including the provision of EHRs as they pertain to DQ and has combined features to search, extract, filter, clean and integrate data to ensure that users can coherently create new consistent data sets. The study researched the design of a hybrid method based on Fuzzy-Ontology with performed mathematical simulations based on the Markov Chain Probability Model. The similarity measurement based on dynamic Hungarian algorithm was followed by the Design Science Research (DSR) methodology, which will increase the quality of service over HCOs in adaptive frameworks.
- Full Text:
- Date Issued: 2019
- Authors: Saiod, Abdul Kader
- Date: 2019
- Subjects: Healthcare -- Data quality
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/44577 , vital:38145
- Description: Data Quality (DQ) in Electronic Health Records (EHRs) is one of the core functions that play a decisive role to improve the healthcare service quality. The DQ issues in EHRs are a noticeable trend to improve the introduction of an adaptive framework for interoperability and standards in Large-Scale Databases (LSDB) management systems. Therefore, large data communications are challenging in the traditional approaches to satisfy the needs of the consumers, as data is often not capture directly into the Database Management Systems (DBMS) in a seasonably enough fashion to enable their subsequent uses. In addition, large data plays a vital role in containing plenty of treasures for all the fields in the DBMS. EHRs technology provides portfolio management systems that allow HealthCare Organisations (HCOs) to deliver a higher quality of care to their patients than that which is possible with paper-based records. EHRs are in high demand for HCOs to run their daily services as increasing numbers of huge datasets occur every day. Efficient EHR systems reduce the data redundancy as well as the system application failure and increase the possibility to draw all necessary reports. However, one of the main challenges in developing efficient EHR systems is the inherent difficulty to coherently manage data from diverse heterogeneous sources. It is practically challenging to integrate diverse data into a global schema, which satisfies the need of users. The efficient management of EHR systems using an existing DBMS present challenges because of incompatibility and sometimes inconsistency of data structures. As a result, no common methodological approach is currently in existence to effectively solve every data integration problem. The challenges of the DQ issue raised the need to find an efficient way to integrate large EHRs from diverse heterogeneous sources. To handle and align a large dataset efficiently, the hybrid algorithm method with the logical combination of Fuzzy-Ontology along with a large-scale EHRs analysis platform has shown the results in term of improved accuracy. This study investigated and addressed the raised DQ issues to interventions to overcome these barriers and challenges, including the provision of EHRs as they pertain to DQ and has combined features to search, extract, filter, clean and integrate data to ensure that users can coherently create new consistent data sets. The study researched the design of a hybrid method based on Fuzzy-Ontology with performed mathematical simulations based on the Markov Chain Probability Model. The similarity measurement based on dynamic Hungarian algorithm was followed by the Design Science Research (DSR) methodology, which will increase the quality of service over HCOs in adaptive frameworks.
- Full Text:
- Date Issued: 2019
Development of titanium dioxide for photo-electrochemical hydrogen production
- Authors: Mbulanga, Crispin Munyelele
- Date: 2019
- Subjects: Titanium dioxide , Nanostructured materials Water chemistry Environmental chemistry
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/40735 , vital:36231
- Description: TiO2 is an attractive material for photo electrochemical hydrogen production and in this work the synthesis of this compound by hydrothermal, gel-calcination and one-step templating methods is investigated. Rutile-phase TiO2 rods, which are known to offer direct electrical pathways for photo generated electrons when using TiO2 as a photo anode in a photo-electrochemical hydrogen cell, were prepared on both F:SnO2 (FTO) coated glass and Ti foil substrates. Anatase-phase TiO2 tubes and mixed rutile-anatase-phase TiO2 nanostructured films were developed on FTO-coated glass substrates. Rutile-phase TiO2 rod-like structures, were synthesized hydrothermally at 150 oC for different times (6 – 20 hours) on FTO-coated glass substrate, in an aqueous solution of hydrochloric acid and titanium butoxide. The rod-like structures were found to comprise bundles of crystalline prismatic TiO2 nanorods, each approximately 4 nm in width. Each bundle was tetragonal in shape and highly oriented with respect to the substrate surface. The average diameter of the bundles varied depending on the growth time, and reached a mean diameter of ~175 nm after 20 hours of growth. In terms of Raman scattering, these bundles of nanorods acted as single entities, appearing to act as “larger” crystals to the lattice phonons. Hence, phonon confinement effects could not be observed, because the translational symmetry is preserved at the boundaries between individual rods. Moreover, as the preferential perpendicular orientation of the bundles improved with growth time, an unusual increase in the room and low (77K) temperature Eg/A1g Raman band intensity ratios was observed. The low temperature Raman peak position and peak width data was interpreted as supporting the hypothesis that the bundles of nanorods acting as single entities from the point of view of the lattice phonons. The phonon symmetries and frequencies (in cm-1) of these bundles of rutile-phase TiO2 were found to be consistent with rutile-phase TiO2 phonon symmetries and frequencies. Rutile-phase TiO2 rod-like structures were prepared on Ti foil following a two-step gel-calcination method, which involves a gel-deposition process in 5 M NaOH solution at 76 oC for 24 hours to produce a Na- (and Ti-) based layer of gelatinous material, followed by calcination at 600 oC or 800 oC for 1 hour. It is shown that the use of an alkali-based solution such as NaOH and KOH during gel-deposition, leads to the formation of faceted nanorods of rutile-phase TiO2 upon calcination at high temperature. When a solution that does not contain any alkali element, such as H2O2, was used, the material formed upon calcination at 800 oC were clustered nanoparticles, rather than nanorods. From the experiments it was deduced that the high temperature calcination step converted the Na(or K)-based amorphous gel (formed on the Ti surface during a 24-h soak in NaOH (KOH) solution) into faceted Na-titanate rods, which converted into nanorods of rutile-phase TiO2 when Na(or K) evaporates in the form of an oxide. Anatase-phase TiO2 tube-like structures were produced by a one-step templating solution approach, on FTO-coated glass substrate. ZnO nanorod templates were prepared by chemical bath deposition on FTO-coated glass substrate, and then treated in an aqueous mixture of ammonium hexafluorotitanate and boric acid. To study the effect of the template morphology and deposition processes on the formation of anatase TiO2 tubes, different times (10 – 60 minutes) and concentrations of the precursors are used. Calcination at 550 oC converted the Ti-based material developed on the ZnO rods into TiO2 nanostructures. A 10 minute deposition yielded tubes with dimensions resembling those of the ZnO template. However, the tube walls still contained Zn traces. Based on experimental observations, it was concluded that the production of titanium hydroxide complexes on ZnO surfaces takes place through two competing processes: the development of a Ti-based material and partial dissolution of ZnO along the c-axis. Calcination at 550 oC in air finally yielded anatase TiO2. Mixed rutile-anatase-phase TiO2 nanostructured films on FTO-coated glass substrate were prepared by decorating bundles of crystalline prismatic TiO2 nanorods (prepared hydrothermally) with anatase-phase TiO2 particles, using the same precursors mentioned above. The effect of reaction time and precursor concentrations were investigated. It was found that the precursor concentration ratio and reaction time played key roles in controlling the decoration process. Optimal ratios and decoration times were established based on the density of anatase-phase TiO2 decorating particles on the surface of bundles of rutile-phase TiO2 nanorods. The optical properties of rutile-phase TiO2 rods were investigated. The thickness of the TiO2 layer was calculated from reflectance fringes, and agreed well with the length of rods observed using SEM. The room temperature absorption edge of Eg=2.90 eV extracted from the transmittance spectrum correlated with typical values reported for TiO2. The room temperature absorption edge of the conductive layer of F:SnO2 (Eg=3.56 eV) could also be extracted from the transmittance spectrum. Finally, the absorption of white light by rutile-phase TiO2 rods was confirmed to be enhanced by annealing the rods in either hydrogen or nitrogen at 600 oC. Defects (possibly oxygen vacancies) or disorder in the near surface layers of TiO2 induced during the reduction experiments, created new electronic states in the band gap, as reported in literature.
- Full Text:
- Date Issued: 2019
- Authors: Mbulanga, Crispin Munyelele
- Date: 2019
- Subjects: Titanium dioxide , Nanostructured materials Water chemistry Environmental chemistry
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/40735 , vital:36231
- Description: TiO2 is an attractive material for photo electrochemical hydrogen production and in this work the synthesis of this compound by hydrothermal, gel-calcination and one-step templating methods is investigated. Rutile-phase TiO2 rods, which are known to offer direct electrical pathways for photo generated electrons when using TiO2 as a photo anode in a photo-electrochemical hydrogen cell, were prepared on both F:SnO2 (FTO) coated glass and Ti foil substrates. Anatase-phase TiO2 tubes and mixed rutile-anatase-phase TiO2 nanostructured films were developed on FTO-coated glass substrates. Rutile-phase TiO2 rod-like structures, were synthesized hydrothermally at 150 oC for different times (6 – 20 hours) on FTO-coated glass substrate, in an aqueous solution of hydrochloric acid and titanium butoxide. The rod-like structures were found to comprise bundles of crystalline prismatic TiO2 nanorods, each approximately 4 nm in width. Each bundle was tetragonal in shape and highly oriented with respect to the substrate surface. The average diameter of the bundles varied depending on the growth time, and reached a mean diameter of ~175 nm after 20 hours of growth. In terms of Raman scattering, these bundles of nanorods acted as single entities, appearing to act as “larger” crystals to the lattice phonons. Hence, phonon confinement effects could not be observed, because the translational symmetry is preserved at the boundaries between individual rods. Moreover, as the preferential perpendicular orientation of the bundles improved with growth time, an unusual increase in the room and low (77K) temperature Eg/A1g Raman band intensity ratios was observed. The low temperature Raman peak position and peak width data was interpreted as supporting the hypothesis that the bundles of nanorods acting as single entities from the point of view of the lattice phonons. The phonon symmetries and frequencies (in cm-1) of these bundles of rutile-phase TiO2 were found to be consistent with rutile-phase TiO2 phonon symmetries and frequencies. Rutile-phase TiO2 rod-like structures were prepared on Ti foil following a two-step gel-calcination method, which involves a gel-deposition process in 5 M NaOH solution at 76 oC for 24 hours to produce a Na- (and Ti-) based layer of gelatinous material, followed by calcination at 600 oC or 800 oC for 1 hour. It is shown that the use of an alkali-based solution such as NaOH and KOH during gel-deposition, leads to the formation of faceted nanorods of rutile-phase TiO2 upon calcination at high temperature. When a solution that does not contain any alkali element, such as H2O2, was used, the material formed upon calcination at 800 oC were clustered nanoparticles, rather than nanorods. From the experiments it was deduced that the high temperature calcination step converted the Na(or K)-based amorphous gel (formed on the Ti surface during a 24-h soak in NaOH (KOH) solution) into faceted Na-titanate rods, which converted into nanorods of rutile-phase TiO2 when Na(or K) evaporates in the form of an oxide. Anatase-phase TiO2 tube-like structures were produced by a one-step templating solution approach, on FTO-coated glass substrate. ZnO nanorod templates were prepared by chemical bath deposition on FTO-coated glass substrate, and then treated in an aqueous mixture of ammonium hexafluorotitanate and boric acid. To study the effect of the template morphology and deposition processes on the formation of anatase TiO2 tubes, different times (10 – 60 minutes) and concentrations of the precursors are used. Calcination at 550 oC converted the Ti-based material developed on the ZnO rods into TiO2 nanostructures. A 10 minute deposition yielded tubes with dimensions resembling those of the ZnO template. However, the tube walls still contained Zn traces. Based on experimental observations, it was concluded that the production of titanium hydroxide complexes on ZnO surfaces takes place through two competing processes: the development of a Ti-based material and partial dissolution of ZnO along the c-axis. Calcination at 550 oC in air finally yielded anatase TiO2. Mixed rutile-anatase-phase TiO2 nanostructured films on FTO-coated glass substrate were prepared by decorating bundles of crystalline prismatic TiO2 nanorods (prepared hydrothermally) with anatase-phase TiO2 particles, using the same precursors mentioned above. The effect of reaction time and precursor concentrations were investigated. It was found that the precursor concentration ratio and reaction time played key roles in controlling the decoration process. Optimal ratios and decoration times were established based on the density of anatase-phase TiO2 decorating particles on the surface of bundles of rutile-phase TiO2 nanorods. The optical properties of rutile-phase TiO2 rods were investigated. The thickness of the TiO2 layer was calculated from reflectance fringes, and agreed well with the length of rods observed using SEM. The room temperature absorption edge of Eg=2.90 eV extracted from the transmittance spectrum correlated with typical values reported for TiO2. The room temperature absorption edge of the conductive layer of F:SnO2 (Eg=3.56 eV) could also be extracted from the transmittance spectrum. Finally, the absorption of white light by rutile-phase TiO2 rods was confirmed to be enhanced by annealing the rods in either hydrogen or nitrogen at 600 oC. Defects (possibly oxygen vacancies) or disorder in the near surface layers of TiO2 induced during the reduction experiments, created new electronic states in the band gap, as reported in literature.
- Full Text:
- Date Issued: 2019
Early Jurassic dolerites of the Karoo Large Igneous Province ( KLIP): an analysis of their age and emplacement history from sea level to the Drakensberg Mountains in the Eastern Cape , South Africa Submitted
- Authors: Muedi, Thomas Tshifhiwa
- Date: 2019
- Subjects: Geological time , Geochemistry Geology -- South Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/41908 , vital:36608
- Description: South Africa hosts one of the largest Large Igneous Provinces (LIPs that is likely linked to the early separation of East and West Gondwana. However, despite many studies, the relationship between dolerites and volcanic basalts of this LIP (also known as the Karoo Large Igneous Province or KLIP) remains unsolved, because of poorly linked age dates (timing), geochemistry and emplacement mechanisms. This problem is in part because different unreliable dating techniques with large margin of errors have been applied This study aims to address these issues by performing new geo chemical and high resolution geochronological analyses on a number of dolerites (sills and dykes), volcanic s also referred to in the literature as the Drakensberg flood basalts) and samples from drill cores and field outcrops. This project is focused on dolerites in the Eastern Cape Province and provides results from field mapping of dolerites (sills and dykes) from the sea level to an elevation of circa 1350 metres above sea level (MASL) and their link to the volcanic in the Eastern Cape Province. The dolerite dykes observed trends from metres to hundreds of kilometres and cut across volcanic, which have similar geochemistry. The intrusive dolerites collected from the field and from d rill core samples were likely emplaced by magma infiltration through pre-existing sub vertical brittle fractures and fissures and then emplaced horizontally as sills circa 183 Ma Detailed fracture mapping across host rock to the dolerite was carried out to test if they acted as possible pathways for magmatic emplacements. The dolerite dykes and fractures mapped in the host sedimentary rocks have a dominant NW direction, especially towards volcanic basalts. The project provides tests based on the geochemical relationships of the dolerites and basalts from sixty-six (66) cores and field outcrop samples. The results confirm that the chemical analyses from the volcanic basalts an d dolerites are closely related and reveal that most samples are Ocean Island Basalt OIB), but some also reveal subduction related processes. This is consistent with models that suggest subduction along south west Gondwana may have influenced plumemagmatism derived from the lower mantle that initiated break up of this supercontinent e.g de Wit and Stern 1981 Storey et al , 1992 ; Torsvik et al., 2006 and Burke et al., 2008)
- Full Text:
- Date Issued: 2019
- Authors: Muedi, Thomas Tshifhiwa
- Date: 2019
- Subjects: Geological time , Geochemistry Geology -- South Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/41908 , vital:36608
- Description: South Africa hosts one of the largest Large Igneous Provinces (LIPs that is likely linked to the early separation of East and West Gondwana. However, despite many studies, the relationship between dolerites and volcanic basalts of this LIP (also known as the Karoo Large Igneous Province or KLIP) remains unsolved, because of poorly linked age dates (timing), geochemistry and emplacement mechanisms. This problem is in part because different unreliable dating techniques with large margin of errors have been applied This study aims to address these issues by performing new geo chemical and high resolution geochronological analyses on a number of dolerites (sills and dykes), volcanic s also referred to in the literature as the Drakensberg flood basalts) and samples from drill cores and field outcrops. This project is focused on dolerites in the Eastern Cape Province and provides results from field mapping of dolerites (sills and dykes) from the sea level to an elevation of circa 1350 metres above sea level (MASL) and their link to the volcanic in the Eastern Cape Province. The dolerite dykes observed trends from metres to hundreds of kilometres and cut across volcanic, which have similar geochemistry. The intrusive dolerites collected from the field and from d rill core samples were likely emplaced by magma infiltration through pre-existing sub vertical brittle fractures and fissures and then emplaced horizontally as sills circa 183 Ma Detailed fracture mapping across host rock to the dolerite was carried out to test if they acted as possible pathways for magmatic emplacements. The dolerite dykes and fractures mapped in the host sedimentary rocks have a dominant NW direction, especially towards volcanic basalts. The project provides tests based on the geochemical relationships of the dolerites and basalts from sixty-six (66) cores and field outcrop samples. The results confirm that the chemical analyses from the volcanic basalts an d dolerites are closely related and reveal that most samples are Ocean Island Basalt OIB), but some also reveal subduction related processes. This is consistent with models that suggest subduction along south west Gondwana may have influenced plumemagmatism derived from the lower mantle that initiated break up of this supercontinent e.g de Wit and Stern 1981 Storey et al , 1992 ; Torsvik et al., 2006 and Burke et al., 2008)
- Full Text:
- Date Issued: 2019
Ecological assessment and biogeography of coastal vegetation and flora in southern Mozambique
- Authors: Massingue, Alice Obed
- Date: 2019
- Subjects: Coastal plants -- Mozambique , Coastal plants Marine biodiversity -- Mozambique Coastal biodiversity -- Mozambique
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/40988 , vital:36280
- Description: This study considered aspects of the vegetation of the coastal zone of southern Mozambique, an area with a rich biodiversity. The vegetation and flora were assessed in their current state including the associated anthropogenic pressures. The environmental conditions that determined the distribution of the vegetation were evaluated. A hierarchical classification, description and ecological interpretation of the vegetation and flora of the coastal zone in southern Mozambique are presented. Analysis was based on 242 sample quadrats that were distributed in a stratified manner throughout the study area. The vegetation could be grouped into six distinct types of vegetation: Dune Forest, Coastal Forest, Coastal Grassland, Coastal Miombo, Coastal Savanna and Coastal Woodland. Species diversity was high for the all the vegetation types, particularly in the woody elements. A total of 673 species in 410 genera was recorded. They represented 104 families with Fabaceae and Rubiaceae being the most common. Of these, 6.6% were endemic or near-endemic to the coastal zone of southern Mozambique with Coastal Forest being the habitat with the greatest endemism. All soils from different vegetation types had poor agricultural potential. Soil properties were the strongest defining environmental feature separating the vegetation types: e.g. pH was high in Dune Forest compared to the others. Results from Maxent modelling suggest that the distribution of endemic species is influenced by a combination of climatic and non-climatic variables. Soil type, temperature annual range and precipitation of the driest month were the most important predictor variables. Overlaying the potential distributions of the seven selected species indicated two areas of abundance of endemic species – these should be given attention for conservation. Endemic species are not well protected in southern Mozambique – their sampled and potential habitats are largely outside protected areas. Hence, additional reserves should be created to improve their protection. Most endemic and near-endemics species were found in the south, from Ponta de Ouro (Matutuine, south of Maputo Province) to Manhica district (north of the Maputo Province) forming part of the Maputaland Centre of Endemism. A second concentration of endemism was found in the Inhambane Province, specifically the Inhassoro and Vilanculos districts. This is proposed to be an Important Plants Area (IPA). Because most endemics and near-endemics are found in the Coastal Forest, their main threat is harvesting for charcoal production, although none of the endemic species are specifically targeted for charcoal production. In Inhambane they are also threatened by the tourism industry, agriculture and settlements. The impact of the habitat destruction on endemic species is expected to cause severe declines in the near future. The tourism industry and harvesting of trees for charcoal production and over-frequent fires are the main drivers of vegetation loss in this region. Shifting agriculture, harvesting for firewood and construction materials, cattle grazing (at a minor scale) are also impacts, but these were only observed in a small area of Maputo Province. Although the study was done in coastal zone of southern Mozambique, effective management of whole coastal zone of the country will be required to maintain a functioning and diverse ecosystem. Priorities for management are to ensure that forests are protected, in particular, Dune Forest. Actions are required to minimise degradation of coastal vegetation. Further research on Coastal Forest restoration should be planned, as field observations in this study confirm that forest in the coastal zone of southern Mozambique has resilience.
- Full Text:
- Date Issued: 2019
- Authors: Massingue, Alice Obed
- Date: 2019
- Subjects: Coastal plants -- Mozambique , Coastal plants Marine biodiversity -- Mozambique Coastal biodiversity -- Mozambique
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/40988 , vital:36280
- Description: This study considered aspects of the vegetation of the coastal zone of southern Mozambique, an area with a rich biodiversity. The vegetation and flora were assessed in their current state including the associated anthropogenic pressures. The environmental conditions that determined the distribution of the vegetation were evaluated. A hierarchical classification, description and ecological interpretation of the vegetation and flora of the coastal zone in southern Mozambique are presented. Analysis was based on 242 sample quadrats that were distributed in a stratified manner throughout the study area. The vegetation could be grouped into six distinct types of vegetation: Dune Forest, Coastal Forest, Coastal Grassland, Coastal Miombo, Coastal Savanna and Coastal Woodland. Species diversity was high for the all the vegetation types, particularly in the woody elements. A total of 673 species in 410 genera was recorded. They represented 104 families with Fabaceae and Rubiaceae being the most common. Of these, 6.6% were endemic or near-endemic to the coastal zone of southern Mozambique with Coastal Forest being the habitat with the greatest endemism. All soils from different vegetation types had poor agricultural potential. Soil properties were the strongest defining environmental feature separating the vegetation types: e.g. pH was high in Dune Forest compared to the others. Results from Maxent modelling suggest that the distribution of endemic species is influenced by a combination of climatic and non-climatic variables. Soil type, temperature annual range and precipitation of the driest month were the most important predictor variables. Overlaying the potential distributions of the seven selected species indicated two areas of abundance of endemic species – these should be given attention for conservation. Endemic species are not well protected in southern Mozambique – their sampled and potential habitats are largely outside protected areas. Hence, additional reserves should be created to improve their protection. Most endemic and near-endemics species were found in the south, from Ponta de Ouro (Matutuine, south of Maputo Province) to Manhica district (north of the Maputo Province) forming part of the Maputaland Centre of Endemism. A second concentration of endemism was found in the Inhambane Province, specifically the Inhassoro and Vilanculos districts. This is proposed to be an Important Plants Area (IPA). Because most endemics and near-endemics are found in the Coastal Forest, their main threat is harvesting for charcoal production, although none of the endemic species are specifically targeted for charcoal production. In Inhambane they are also threatened by the tourism industry, agriculture and settlements. The impact of the habitat destruction on endemic species is expected to cause severe declines in the near future. The tourism industry and harvesting of trees for charcoal production and over-frequent fires are the main drivers of vegetation loss in this region. Shifting agriculture, harvesting for firewood and construction materials, cattle grazing (at a minor scale) are also impacts, but these were only observed in a small area of Maputo Province. Although the study was done in coastal zone of southern Mozambique, effective management of whole coastal zone of the country will be required to maintain a functioning and diverse ecosystem. Priorities for management are to ensure that forests are protected, in particular, Dune Forest. Actions are required to minimise degradation of coastal vegetation. Further research on Coastal Forest restoration should be planned, as field observations in this study confirm that forest in the coastal zone of southern Mozambique has resilience.
- Full Text:
- Date Issued: 2019
Elasticity of the South African economy towards portfolio investments in BRICS countries
- Authors: Taonezvi, Lovemore
- Date: 2019
- Subjects: Economic development -- South Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/44537 , vital:38141
- Description: The emerging economies of Brazil, Russia, India, and China (BRIC) have been experiencing high growth rates since the turn of the millennium, whereas economic growth has been elusive in South Africa. As the newest member of BRICS, South Africa is expected to economically benefit through, amongst others, increases in capital flows, foreign investments by local firms, and increases in trade. Such benefits are anticipated to propel the country’s economic growth, thereby helping it to tackle its chronic problems of high unemployment, poverty, and economic inequality. The inclusion of South Africa in BRICS has, however, been viewed by critics as erroneous, since the country has, inter alia, poor economic growth; a small economy and population; and political instability. While foreign portfolio investment (FPI) inflows to South Africa have surged in recent years, economic growth has remained lacklustre. These flows have also faced sudden reversals, especially during the financial crisis of 2007-2009. With the potential to leverage its growth from intra-BRICS FPI inflows, it becomes of paramount significance for policymakers to have knowledge of the South African economy’s responsiveness to such inflows. With a theoretical framework based on the endogenous growth model, an augmented Cobb-Douglas production function was extended in this thesis in order to study the relationship between BRICS growth and intra-BRICS FPI in a dynamic panel data generalised method of moments (GMM) context. Similarly, the South African economy’s elasticity towards intraBRICS FPI was estimated. Vector autoregressive (VAR) analysis was used to evaluate the responsiveness of South Africa’s economy to an innovative shock to intra-BRICS FPI. Annual and quarterly data for the period 2000-2016 were used in panel data and VAR analysis, respectively. It was found that intra-BRICS FPI flows have a positive and statistically significant relationship with BRICS growth, while the elasticity of the South African economy to these flows is estimated at 0.007. Additionally, the efficiency and accessibility dimensions of financial market development do not assist FPI in promoting growth in BRICS, while financial market depth does. South Africa’s BRICS membership has a positive effect on its own growth, while for other BRICS nations, this membership is negative and insignificant. Credit rating downgrades have a negative and insignificant impact on economic growth, while the negative impact for inflation, government expenditure, and total labour employment is significant. Conversely, gross capital formation and trade openness have a positive and significant relationship with BRICS growth. The study also determined that a unit shock on intra-BRICS FPI resulted in negative fluctuations of South Africa’s economy within the first eight quarters before being positive and mostly constant thereafter. By supplementing domestic savings and facilitating the international integration of domestic financial markets, FPI promotes growth in BRICS. The short-term, ease of reversibility, and speculative nature of FPI are amongst some of the reasons for its destabilising effect on South Africa’s economy. Furthermore, inflation is a key determinant of FPI inflows to South Africa. Additional BRIC cooperation in FPI and trade; increased investments in domestic capital; reductions of inflation and corruption; investments in education and skills development; and stock market reforms are some of the recommendations for BRIC, and South Africa in particular. South Africa can consider prudential use of a mix of capital account controls, as well as fiscal and monetary policies to cushion its economy from FPI shocks in the short- to medium-term.
- Full Text:
- Date Issued: 2019
- Authors: Taonezvi, Lovemore
- Date: 2019
- Subjects: Economic development -- South Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/44537 , vital:38141
- Description: The emerging economies of Brazil, Russia, India, and China (BRIC) have been experiencing high growth rates since the turn of the millennium, whereas economic growth has been elusive in South Africa. As the newest member of BRICS, South Africa is expected to economically benefit through, amongst others, increases in capital flows, foreign investments by local firms, and increases in trade. Such benefits are anticipated to propel the country’s economic growth, thereby helping it to tackle its chronic problems of high unemployment, poverty, and economic inequality. The inclusion of South Africa in BRICS has, however, been viewed by critics as erroneous, since the country has, inter alia, poor economic growth; a small economy and population; and political instability. While foreign portfolio investment (FPI) inflows to South Africa have surged in recent years, economic growth has remained lacklustre. These flows have also faced sudden reversals, especially during the financial crisis of 2007-2009. With the potential to leverage its growth from intra-BRICS FPI inflows, it becomes of paramount significance for policymakers to have knowledge of the South African economy’s responsiveness to such inflows. With a theoretical framework based on the endogenous growth model, an augmented Cobb-Douglas production function was extended in this thesis in order to study the relationship between BRICS growth and intra-BRICS FPI in a dynamic panel data generalised method of moments (GMM) context. Similarly, the South African economy’s elasticity towards intraBRICS FPI was estimated. Vector autoregressive (VAR) analysis was used to evaluate the responsiveness of South Africa’s economy to an innovative shock to intra-BRICS FPI. Annual and quarterly data for the period 2000-2016 were used in panel data and VAR analysis, respectively. It was found that intra-BRICS FPI flows have a positive and statistically significant relationship with BRICS growth, while the elasticity of the South African economy to these flows is estimated at 0.007. Additionally, the efficiency and accessibility dimensions of financial market development do not assist FPI in promoting growth in BRICS, while financial market depth does. South Africa’s BRICS membership has a positive effect on its own growth, while for other BRICS nations, this membership is negative and insignificant. Credit rating downgrades have a negative and insignificant impact on economic growth, while the negative impact for inflation, government expenditure, and total labour employment is significant. Conversely, gross capital formation and trade openness have a positive and significant relationship with BRICS growth. The study also determined that a unit shock on intra-BRICS FPI resulted in negative fluctuations of South Africa’s economy within the first eight quarters before being positive and mostly constant thereafter. By supplementing domestic savings and facilitating the international integration of domestic financial markets, FPI promotes growth in BRICS. The short-term, ease of reversibility, and speculative nature of FPI are amongst some of the reasons for its destabilising effect on South Africa’s economy. Furthermore, inflation is a key determinant of FPI inflows to South Africa. Additional BRIC cooperation in FPI and trade; increased investments in domestic capital; reductions of inflation and corruption; investments in education and skills development; and stock market reforms are some of the recommendations for BRIC, and South Africa in particular. South Africa can consider prudential use of a mix of capital account controls, as well as fiscal and monetary policies to cushion its economy from FPI shocks in the short- to medium-term.
- Full Text:
- Date Issued: 2019
Elucidating the Molecular Basis of the Interaction between the β2-integrin, αXβ2, and the low-affinity IgE Receptor, CD23
- Authors: Clarke, Stephen
- Date: 2019
- Subjects: CD23 antigen , Immune response Cellular immunity Molecular immunology
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/37990 , vital:34277
- Description: The low affinity IgE receptor, CD23, is involved in a myriad of immune reactions. It is not only a receptor for IgE, but also functions in the regulation of IgE synthesis, isotype switching in B cells, and induction of the inflammatory response. These effector functions of CD23 arise through its interaction with another leukocyte-specific cell surface receptor – the β2 integrin subfamily. However, this interaction has not been fully described. It has been shown that CD23 is capable of interacting with the β3 and β5 integrin β-subunit of integrins via a basic RKC motif in a metal cation-independent fashion. The currently proposed mechanism for the interaction between CD23 and the integrin superfamily was applied to the β2 integrin subfamily. In this study the interaction was probed for whether or not the RKC motif governs the interaction as well. This was done by performing bioinformatics docking predictions between the CD23 and αXβ2 integrin proteins. This revealed that in the absence of cations, the RKC motif is involved in interaction with the integrin αI domain. However, since physiologically integrin activity has been shown to be regulated by metal cations, docking predictions were also performed in the presence of such cations. This showed the interaction to involve novel acidic motifs within the CD23 protein, GEF and LDL. This same pattern of interaction was seen in docking predictions between CD23 and the β2- and β3I-like domains. To further investigate, recombinant proteins of sCD23 and the αXI domain were produced using E. coli expression systems. The DNA sequence was mutated to produce mutant versions of the CD23 RKC and GEF motifs as well as a high-affinity locked αXI domain. These proteins were used in subsequent SPR spectroscopy analysis of the binding affinity between immobilised integrin and CD23 analyte. It was shown that the mutation within the RKC motif reduced the binding affinity under cation-independence, especially when the Arg172 residue was substituted. However binding was not completely lost. This result was supported by synthetic peptides containing the same RKC motif and substitutions. These showed complete loss in binding in the double RKΔAA substitution, suggesting the involvement of other residues in the RKC-dependent interaction. In contrast, under cation dependence, the RKC motif substitutions showed no effect on binding affinity, while the GEF motif substitution exhibited near complete loss in binding. This same effect on binding was validated by U937 cell-based ELISA using live cells. This showed decreased capture of differentiated U937 cells, expressing the αXβ2 integrin, by immobilised recombinant sCD23 protein. In this study it was noted that, 2 contrary to the SPR analysis, metal cations allowed for a higher titre of cells to be captured in comparison to the cation-free binding.
- Full Text:
- Date Issued: 2019
- Authors: Clarke, Stephen
- Date: 2019
- Subjects: CD23 antigen , Immune response Cellular immunity Molecular immunology
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/37990 , vital:34277
- Description: The low affinity IgE receptor, CD23, is involved in a myriad of immune reactions. It is not only a receptor for IgE, but also functions in the regulation of IgE synthesis, isotype switching in B cells, and induction of the inflammatory response. These effector functions of CD23 arise through its interaction with another leukocyte-specific cell surface receptor – the β2 integrin subfamily. However, this interaction has not been fully described. It has been shown that CD23 is capable of interacting with the β3 and β5 integrin β-subunit of integrins via a basic RKC motif in a metal cation-independent fashion. The currently proposed mechanism for the interaction between CD23 and the integrin superfamily was applied to the β2 integrin subfamily. In this study the interaction was probed for whether or not the RKC motif governs the interaction as well. This was done by performing bioinformatics docking predictions between the CD23 and αXβ2 integrin proteins. This revealed that in the absence of cations, the RKC motif is involved in interaction with the integrin αI domain. However, since physiologically integrin activity has been shown to be regulated by metal cations, docking predictions were also performed in the presence of such cations. This showed the interaction to involve novel acidic motifs within the CD23 protein, GEF and LDL. This same pattern of interaction was seen in docking predictions between CD23 and the β2- and β3I-like domains. To further investigate, recombinant proteins of sCD23 and the αXI domain were produced using E. coli expression systems. The DNA sequence was mutated to produce mutant versions of the CD23 RKC and GEF motifs as well as a high-affinity locked αXI domain. These proteins were used in subsequent SPR spectroscopy analysis of the binding affinity between immobilised integrin and CD23 analyte. It was shown that the mutation within the RKC motif reduced the binding affinity under cation-independence, especially when the Arg172 residue was substituted. However binding was not completely lost. This result was supported by synthetic peptides containing the same RKC motif and substitutions. These showed complete loss in binding in the double RKΔAA substitution, suggesting the involvement of other residues in the RKC-dependent interaction. In contrast, under cation dependence, the RKC motif substitutions showed no effect on binding affinity, while the GEF motif substitution exhibited near complete loss in binding. This same effect on binding was validated by U937 cell-based ELISA using live cells. This showed decreased capture of differentiated U937 cells, expressing the αXβ2 integrin, by immobilised recombinant sCD23 protein. In this study it was noted that, 2 contrary to the SPR analysis, metal cations allowed for a higher titre of cells to be captured in comparison to the cation-free binding.
- Full Text:
- Date Issued: 2019
Employee talent management in the Uganda health sector: a public institutions perspective
- Authors: Nakato, Jamidah
- Date: 2019
- Subjects: Employee retention -- Uganda , Leadership -- Uganda Executives -- Training of Executive ability
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/41751 , vital:36578
- Description: Globally, talent management has been acknowledged as a prime source of employee attraction and retention as well as organisational performance and commitment. Although the health sector plays an important role in the economic development of any country, in Uganda, the management of talented employees still remains a challenge. In this country, many institutions have not incorporated and adopted suitable talent management strategies, thus compromising access to and quality of care. A hypothetical model and measuring instruments were developed to investigate the factors contributing to and the benefits of effective employee talent management in the Ugandan health sector. The following ten independent variables that have the prospect of influencing effective talent management (intervening variable) were identified on the basis of organisational, management and personal factors: talent pool, organisational support, work conditions, social and work environment, reward system, leadership styles, career development, supervisor support, employee engagement and employee personality. In this study, it was also postulated that talent management has potential to effect the dependent variables, namely, talent attraction, employee retention, organisational performance and organisational commitment. In total, fourteen hypotheses were formulated to test relationships between independent, intervening and dependent variables. The study utilised the quantitative research paradigm in order to seek employee perceptions regarding public institutions within the health sector, in Uganda’s Central region. Using stratified random sampling, a sample of 910 participants was drawn from the identified population. A survey was conducted with the aid of a structured, selfadministered questionnaire that was distributed to the seven categories of hospitals and health centres in Central Uganda; 910 questionnaires were distributed to doctors, consultants, dentists, dispensers, nurses, pharmacists, clinical officers, laboratory staff, occupational therapists, allied health staff, environmental health officers, general administrative cadres, cold chain technicians and support staff. Of these, 655 were useable, which indicates a 71% response rate. The data collected was captured and analysed using various statistical analysis techniques. The study findings reveal that organisational support, employee satisfaction, an enabling work environment, a stable working environment and career development effectively influence talent management. However, management in health sector institutions need to realise the importance of facilitating and monitoring job autonomy and personal values in order to effectively enhance talent management. The study results further reveal that talent management has a positive influence on employee retention and holistic development for organisational performance. For optimal talent management, the study recommends that organisations pay attention to cultivating an enabling and stable work environment that is suitable for motivating employees towards improved performance and work commitment. Therefore, health sector management should focus on potential, and not only on performance, by matching individuals with the right positions that can expose their capabilities and potential. It was further recommended that organisations need to accept and show confidence in their employees by allowing them freedom in carrying out their tasks. In addition, it was highlighted that ascertaining and utilising information about the values and principles that employees hold can help explain their behaviours and attitudes at work. This would increase the chances of talented employees realising their full potential and competencies in their jobs. Therefore, this study found that there is a need for public institutions within the health sector to focus on supporting employees by offering a well-defined career development programme, which caters for the needs of individuals and which acts as an incentive for the recruitment of qualified employees. Thus, management will succeed in retaining, attracting and maintaining talented individuals who can perform well. In order to uphold the expected ethical behaviour of conducting research, the researcher obtained approval and ethics clearance from Nelson Mandela University, permission to conduct the study from the Ugandan Ministry of Health, and communicated all the information relevant to the study to the participants.
- Full Text:
- Date Issued: 2019
- Authors: Nakato, Jamidah
- Date: 2019
- Subjects: Employee retention -- Uganda , Leadership -- Uganda Executives -- Training of Executive ability
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/41751 , vital:36578
- Description: Globally, talent management has been acknowledged as a prime source of employee attraction and retention as well as organisational performance and commitment. Although the health sector plays an important role in the economic development of any country, in Uganda, the management of talented employees still remains a challenge. In this country, many institutions have not incorporated and adopted suitable talent management strategies, thus compromising access to and quality of care. A hypothetical model and measuring instruments were developed to investigate the factors contributing to and the benefits of effective employee talent management in the Ugandan health sector. The following ten independent variables that have the prospect of influencing effective talent management (intervening variable) were identified on the basis of organisational, management and personal factors: talent pool, organisational support, work conditions, social and work environment, reward system, leadership styles, career development, supervisor support, employee engagement and employee personality. In this study, it was also postulated that talent management has potential to effect the dependent variables, namely, talent attraction, employee retention, organisational performance and organisational commitment. In total, fourteen hypotheses were formulated to test relationships between independent, intervening and dependent variables. The study utilised the quantitative research paradigm in order to seek employee perceptions regarding public institutions within the health sector, in Uganda’s Central region. Using stratified random sampling, a sample of 910 participants was drawn from the identified population. A survey was conducted with the aid of a structured, selfadministered questionnaire that was distributed to the seven categories of hospitals and health centres in Central Uganda; 910 questionnaires were distributed to doctors, consultants, dentists, dispensers, nurses, pharmacists, clinical officers, laboratory staff, occupational therapists, allied health staff, environmental health officers, general administrative cadres, cold chain technicians and support staff. Of these, 655 were useable, which indicates a 71% response rate. The data collected was captured and analysed using various statistical analysis techniques. The study findings reveal that organisational support, employee satisfaction, an enabling work environment, a stable working environment and career development effectively influence talent management. However, management in health sector institutions need to realise the importance of facilitating and monitoring job autonomy and personal values in order to effectively enhance talent management. The study results further reveal that talent management has a positive influence on employee retention and holistic development for organisational performance. For optimal talent management, the study recommends that organisations pay attention to cultivating an enabling and stable work environment that is suitable for motivating employees towards improved performance and work commitment. Therefore, health sector management should focus on potential, and not only on performance, by matching individuals with the right positions that can expose their capabilities and potential. It was further recommended that organisations need to accept and show confidence in their employees by allowing them freedom in carrying out their tasks. In addition, it was highlighted that ascertaining and utilising information about the values and principles that employees hold can help explain their behaviours and attitudes at work. This would increase the chances of talented employees realising their full potential and competencies in their jobs. Therefore, this study found that there is a need for public institutions within the health sector to focus on supporting employees by offering a well-defined career development programme, which caters for the needs of individuals and which acts as an incentive for the recruitment of qualified employees. Thus, management will succeed in retaining, attracting and maintaining talented individuals who can perform well. In order to uphold the expected ethical behaviour of conducting research, the researcher obtained approval and ethics clearance from Nelson Mandela University, permission to conduct the study from the Ugandan Ministry of Health, and communicated all the information relevant to the study to the participants.
- Full Text:
- Date Issued: 2019