Effect of feeding regimen, temperature and stocking density on growth and survival of juvenile clownfish (Amphiprion percula)
- Authors: Johnston, Gavin
- Date: 2001
- Subjects: Anemonefishes , Fishes -- Feeding and feeds , Fishes -- Growth
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5274 , http://hdl.handle.net/10962/d1005118 , Anemonefishes , Fishes -- Feeding and feeds , Fishes -- Growth
- Description: In aquaculture, a thorough knowledge of the specific environmental requirements of a species is needed in order to maximize growth rate and survival. There is a paucity of data regarding the fundamental environmental requirements for the ongrowing phase of clownfish juveniles. This prompted the design of three experiments to determine the best feeding regimen, temperature and stocking density that maximize growth and survival of Amphiprion percula. Ration size and feeding frequency are important factors for optimizing fish growth during the juvenile grow-out phase. A factorial growth trial was conducted to determine the effect of feeding frequency and ration size on the growth of juvenile clownfish (Amphiprion percula).Three feeding frequencies (1, 2 and 3 times daily) and six rations (2,4,6,8, 10 and 12 % body weight per day (BW.day⁻¹)) were used to test the growth response over a twelve week period. Non-linear regression analysis on the effect of ration, independent of feeding frequency, on growth resulted in a significant (n = 36; r² = 68.7) parabolic model: In y = -0.0302x² + 0.5159x + -4.4377. Maximum growth corresponded to a ration of 8.5% BW.day⁻¹. Survival as a function of ration was significantly lower at 2% BW.day⁻¹. Data were further examined with Analysis of CoVariance (ANCOVA) to determine the effect of ration on growth at each feeding frequency. The combination revealed a maximum growth rate when the fish were fed a ration of 10% BW.day⁻¹ divided into two equal meals. The required ration per meal to maintain maximum growth was also found to decrease as feeding frequency increased. The determination of the best temperature for growth is of great importance due to the direct relationship between fish metabolism and temperature. The thermal preferendum of A. percula has already been estimated at 26 ± 0.7°C but it is not known whether this closely approximates the temperature for maximum growth. Sixteen tanks were set to different temperatures ranging between 21.5 and 30.2 °C. Ten juvenile A. percula were placed in each tank and growth was measured fortnightly over the course of the 10 week experiment. Non-linear regression analysis resulted in significant models for fish length (y = -0.0005x² + 0.00267x - 0.0338; r² = 56.7, n = 11) and weight (y= -0.00016x² + 0.0084x - 0.1073; r² = 61.6, n = 11). These models predict that maximum growth would be at 27.7 and 27.1 °C for length and weight, respectively. Temperature, over the range tested, had no apparent effect on survival. There was no significant difference between the temperatures for maximum growth and the preferred temperature. The effect of stocking densities ranging from 0.2 fish.L¹ to 4.0 fish.L⁻¹ on growth were used in the third experiment. The fish were fed to satiation twice daily and growth was measured fortnightly throughout the 8 week experiment. No effects on growth, survival or coefficient of variation were found within the range of stocking densities tested.
- Full Text:
- Date Issued: 2001
- Authors: Johnston, Gavin
- Date: 2001
- Subjects: Anemonefishes , Fishes -- Feeding and feeds , Fishes -- Growth
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5274 , http://hdl.handle.net/10962/d1005118 , Anemonefishes , Fishes -- Feeding and feeds , Fishes -- Growth
- Description: In aquaculture, a thorough knowledge of the specific environmental requirements of a species is needed in order to maximize growth rate and survival. There is a paucity of data regarding the fundamental environmental requirements for the ongrowing phase of clownfish juveniles. This prompted the design of three experiments to determine the best feeding regimen, temperature and stocking density that maximize growth and survival of Amphiprion percula. Ration size and feeding frequency are important factors for optimizing fish growth during the juvenile grow-out phase. A factorial growth trial was conducted to determine the effect of feeding frequency and ration size on the growth of juvenile clownfish (Amphiprion percula).Three feeding frequencies (1, 2 and 3 times daily) and six rations (2,4,6,8, 10 and 12 % body weight per day (BW.day⁻¹)) were used to test the growth response over a twelve week period. Non-linear regression analysis on the effect of ration, independent of feeding frequency, on growth resulted in a significant (n = 36; r² = 68.7) parabolic model: In y = -0.0302x² + 0.5159x + -4.4377. Maximum growth corresponded to a ration of 8.5% BW.day⁻¹. Survival as a function of ration was significantly lower at 2% BW.day⁻¹. Data were further examined with Analysis of CoVariance (ANCOVA) to determine the effect of ration on growth at each feeding frequency. The combination revealed a maximum growth rate when the fish were fed a ration of 10% BW.day⁻¹ divided into two equal meals. The required ration per meal to maintain maximum growth was also found to decrease as feeding frequency increased. The determination of the best temperature for growth is of great importance due to the direct relationship between fish metabolism and temperature. The thermal preferendum of A. percula has already been estimated at 26 ± 0.7°C but it is not known whether this closely approximates the temperature for maximum growth. Sixteen tanks were set to different temperatures ranging between 21.5 and 30.2 °C. Ten juvenile A. percula were placed in each tank and growth was measured fortnightly over the course of the 10 week experiment. Non-linear regression analysis resulted in significant models for fish length (y = -0.0005x² + 0.00267x - 0.0338; r² = 56.7, n = 11) and weight (y= -0.00016x² + 0.0084x - 0.1073; r² = 61.6, n = 11). These models predict that maximum growth would be at 27.7 and 27.1 °C for length and weight, respectively. Temperature, over the range tested, had no apparent effect on survival. There was no significant difference between the temperatures for maximum growth and the preferred temperature. The effect of stocking densities ranging from 0.2 fish.L¹ to 4.0 fish.L⁻¹ on growth were used in the third experiment. The fish were fed to satiation twice daily and growth was measured fortnightly throughout the 8 week experiment. No effects on growth, survival or coefficient of variation were found within the range of stocking densities tested.
- Full Text:
- Date Issued: 2001
Effect of high energy diets on the productive and reproductive characteristics of young Bonsmara bulls
- Labuschagné, Hermanus Stefanus
- Authors: Labuschagné, Hermanus Stefanus
- Date: 2001
- Subjects: Bonsmara cattle
- Language: English
- Type: Thesis , Masters , MTech (Agricultural Management)
- Identifier: vital:10956 , http://hdl.handle.net/10948/58 , Bonsmara cattle
- Description: A study to evaluate the effect of feeding a high energy diet on the productive and reproductive characteristics of young bulls was carried out at two different locations in the Free State Province. Two trials were conducted with the aim of evaluating the effect of level of dietary energy and age of the bulls on their productive performance and reproductive characteristics. In the first trial, two levels of energy were fed to two groups of young (343 ± days) Bonsmara bulls. The high energy group HE (n=36) bulls were Phase-C performance tested in an official performance testing center and received a high energy diet for 112 days (28 days adaptation and 84 days testing). The medium energy group ME (n=18) bulls were phase-D performance tested and received a medium-energy diet for 140 days (28 days adaptation and 112 days testing). At the end of both performance testing periods, the productive performances and reproductive characteristics of the two groups were compared. The productive parameters compared included final live body weight (FLW), average daily gain (ADG), average daily gain per day of age (ADA) and body condition score (BCS). The reproductive parameters compared between groups included scrotal circumference (SC), semen volume (Vol) and concentration (SConO), mass movement (MV), linear motility (LM), percentage live sperm (LS), as well as percentage of total abnormalities: major (MD) and minor (MinD). The results of this trial indicated that in general, bulls from the HE group showed a significant (p<0.01) higher FLW, BCS, ADG and ADA, but a significant (p<0.01) lower volume and concentration of the ejaculate, lower mass movement and linear motility, lower percentage of live sperm and higher percentage of major defects and significantly (p<0.05) higher percentage of minor defects than the bulls from the ME group. In the second trial, 36 young Bonsmara bulls were divided into two groups according to their age at the arrival at an official Phase-C performance testing center. Older bulls (OB) (n=19) and younger bulls (YB) (n=17) all received a high energy diet for 112 days (28 days adaptation and 84 days testing). At the end of the Phase-C test the productive performances and reproductive characteristics of the two groups were compared. The animals from both groups that did not pass the Phase-C test, either due to poor performance or not meeting the breed standards, were slaughtered at an official abattoir and their scrotums and carcass characteristics were also compared. The productive parameters compared between the two groups included final live body weight (FLW), average daily gain (ADG), average daily gain per day of age (ADA), body condition score (BCS), feed conversion ratio (FCR), carcass weight both warm (CWW) and cold (CWC), as well as dressing percentage (CDP) and fat grade (CFG). The reproductive parameters compared between the two groups included scrotal circumference (SC), total scrotal weight (TSW), scrotal fat (SF), scrotal skin weight (SSW), paired testes weight (PTW), scrotal skin thickness (SST), total testes circumference (TTC), total testicle volume (TTV), weight of epididimis / spermatic cord (WESC), volume of epididymis / spermatic cord (VESC) and the percentage of bulls with depressed spermatogenesis (PBDS), semen concentration (SConO), mass movement (MV), linear motility (LM), percentage live sperm (LS), percentage of total abnormalities: major (MD) and minor(MinD) as well as the percentage of bulls with depressed spermatogenesis (PBDS). The results of this trial indicated that in general, the younger bulls showed a significant (p<0.05) higher ADG, but a significant (p<0.05) lower ADA than the older bulls. Regarding the reproductive organs compared, the younger bulls showed a significantly (p<0.01) higher total scrotal weight, scrotal fat and scrotal skin weight and thickness. No significant differences were observed on the testicular parameters measured between the two groups. In addition, both weight (WECS) and volume (VECS) of the epididymis / spermatic cord were significantly (P<0.05) higher in the older bulls. In general, the younger group showed poorer semen characteristics. A significantly (p<0.01) lower sperm concentration and linear movement and a significantly (p<0.05) higher percentage of major defects were recorded on the younger bulls, when compared to the older bulls. About half of the bulls in each group showed clear signs of depressed spermatogenesis in their seminiferous tubules, during the histological examination of testicular tissue. The results of this study indicates that high energy diets are beneficial for the productive performance of young bulls (growth rate, BCS and carcass characteristics), but have a detrimental effect on the reproductive characteristics of young bulls. The effect of high energy diets on both the productive and reproductive performances of young beef bulls are more pronounced at a younger age. High energy diets resulted in heavier scrotums in the younger bulls when compared to the older bulls, as a direct result of a higher fat deposition in this region without any relevant effect on testicular size. No intra-testicular fat deposition was observed. The scrotal fat observed in high energy fed young bulls accumulated mainly in the neck of the scrotum, although subcutaneously. These fat deposits may impair testicular thermoregulation and negatively affect the spermatogenesis in the seminiferous tubules, reducing both sperm quantity and quality. Further studies on the effect of high energy diets on bull fertility (as well as on rams and buck) are recommended, to evaluate the extension and duration of its detrimental effects on subsequent fertility.
- Full Text:
- Date Issued: 2001
- Authors: Labuschagné, Hermanus Stefanus
- Date: 2001
- Subjects: Bonsmara cattle
- Language: English
- Type: Thesis , Masters , MTech (Agricultural Management)
- Identifier: vital:10956 , http://hdl.handle.net/10948/58 , Bonsmara cattle
- Description: A study to evaluate the effect of feeding a high energy diet on the productive and reproductive characteristics of young bulls was carried out at two different locations in the Free State Province. Two trials were conducted with the aim of evaluating the effect of level of dietary energy and age of the bulls on their productive performance and reproductive characteristics. In the first trial, two levels of energy were fed to two groups of young (343 ± days) Bonsmara bulls. The high energy group HE (n=36) bulls were Phase-C performance tested in an official performance testing center and received a high energy diet for 112 days (28 days adaptation and 84 days testing). The medium energy group ME (n=18) bulls were phase-D performance tested and received a medium-energy diet for 140 days (28 days adaptation and 112 days testing). At the end of both performance testing periods, the productive performances and reproductive characteristics of the two groups were compared. The productive parameters compared included final live body weight (FLW), average daily gain (ADG), average daily gain per day of age (ADA) and body condition score (BCS). The reproductive parameters compared between groups included scrotal circumference (SC), semen volume (Vol) and concentration (SConO), mass movement (MV), linear motility (LM), percentage live sperm (LS), as well as percentage of total abnormalities: major (MD) and minor (MinD). The results of this trial indicated that in general, bulls from the HE group showed a significant (p<0.01) higher FLW, BCS, ADG and ADA, but a significant (p<0.01) lower volume and concentration of the ejaculate, lower mass movement and linear motility, lower percentage of live sperm and higher percentage of major defects and significantly (p<0.05) higher percentage of minor defects than the bulls from the ME group. In the second trial, 36 young Bonsmara bulls were divided into two groups according to their age at the arrival at an official Phase-C performance testing center. Older bulls (OB) (n=19) and younger bulls (YB) (n=17) all received a high energy diet for 112 days (28 days adaptation and 84 days testing). At the end of the Phase-C test the productive performances and reproductive characteristics of the two groups were compared. The animals from both groups that did not pass the Phase-C test, either due to poor performance or not meeting the breed standards, were slaughtered at an official abattoir and their scrotums and carcass characteristics were also compared. The productive parameters compared between the two groups included final live body weight (FLW), average daily gain (ADG), average daily gain per day of age (ADA), body condition score (BCS), feed conversion ratio (FCR), carcass weight both warm (CWW) and cold (CWC), as well as dressing percentage (CDP) and fat grade (CFG). The reproductive parameters compared between the two groups included scrotal circumference (SC), total scrotal weight (TSW), scrotal fat (SF), scrotal skin weight (SSW), paired testes weight (PTW), scrotal skin thickness (SST), total testes circumference (TTC), total testicle volume (TTV), weight of epididimis / spermatic cord (WESC), volume of epididymis / spermatic cord (VESC) and the percentage of bulls with depressed spermatogenesis (PBDS), semen concentration (SConO), mass movement (MV), linear motility (LM), percentage live sperm (LS), percentage of total abnormalities: major (MD) and minor(MinD) as well as the percentage of bulls with depressed spermatogenesis (PBDS). The results of this trial indicated that in general, the younger bulls showed a significant (p<0.05) higher ADG, but a significant (p<0.05) lower ADA than the older bulls. Regarding the reproductive organs compared, the younger bulls showed a significantly (p<0.01) higher total scrotal weight, scrotal fat and scrotal skin weight and thickness. No significant differences were observed on the testicular parameters measured between the two groups. In addition, both weight (WECS) and volume (VECS) of the epididymis / spermatic cord were significantly (P<0.05) higher in the older bulls. In general, the younger group showed poorer semen characteristics. A significantly (p<0.01) lower sperm concentration and linear movement and a significantly (p<0.05) higher percentage of major defects were recorded on the younger bulls, when compared to the older bulls. About half of the bulls in each group showed clear signs of depressed spermatogenesis in their seminiferous tubules, during the histological examination of testicular tissue. The results of this study indicates that high energy diets are beneficial for the productive performance of young bulls (growth rate, BCS and carcass characteristics), but have a detrimental effect on the reproductive characteristics of young bulls. The effect of high energy diets on both the productive and reproductive performances of young beef bulls are more pronounced at a younger age. High energy diets resulted in heavier scrotums in the younger bulls when compared to the older bulls, as a direct result of a higher fat deposition in this region without any relevant effect on testicular size. No intra-testicular fat deposition was observed. The scrotal fat observed in high energy fed young bulls accumulated mainly in the neck of the scrotum, although subcutaneously. These fat deposits may impair testicular thermoregulation and negatively affect the spermatogenesis in the seminiferous tubules, reducing both sperm quantity and quality. Further studies on the effect of high energy diets on bull fertility (as well as on rams and buck) are recommended, to evaluate the extension and duration of its detrimental effects on subsequent fertility.
- Full Text:
- Date Issued: 2001
Effects of discrimination on promotion of women into top managerial positions in the Eastern Cape
- Yona, Noxolo Nondwe Trewhellah
- Authors: Yona, Noxolo Nondwe Trewhellah
- Date: 2001
- Subjects: Sex discrimination against women , Businesswomen
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: vital:10902 , http://hdl.handle.net/10948/57 , Sex discrimination against women , Businesswomen
- Description: The effects of discrimination on promotion of women into top managerial positions is investigated in this study. In order to investigate these effects, the use of a questionnaire for survey was developed. The questionnaire consisted of thirty-one statements in which a response to each question contributed towards the results of this study. The literature study was used as an eye opener to the South African situation with comparison to other countries. The purpose of the empirical study was to determine the effects of discrimination especially in the Eastern Cape. The answers of the respondents were analysed and interpreted with relation to the findings from the literature study. Concluding remarks are provided which could assist firms in the private sector when faced with the challenge of the advancement of women and the implementation of the Labour policies which endorse the equal opportunity programme.
- Full Text:
- Date Issued: 2001
- Authors: Yona, Noxolo Nondwe Trewhellah
- Date: 2001
- Subjects: Sex discrimination against women , Businesswomen
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: vital:10902 , http://hdl.handle.net/10948/57 , Sex discrimination against women , Businesswomen
- Description: The effects of discrimination on promotion of women into top managerial positions is investigated in this study. In order to investigate these effects, the use of a questionnaire for survey was developed. The questionnaire consisted of thirty-one statements in which a response to each question contributed towards the results of this study. The literature study was used as an eye opener to the South African situation with comparison to other countries. The purpose of the empirical study was to determine the effects of discrimination especially in the Eastern Cape. The answers of the respondents were analysed and interpreted with relation to the findings from the literature study. Concluding remarks are provided which could assist firms in the private sector when faced with the challenge of the advancement of women and the implementation of the Labour policies which endorse the equal opportunity programme.
- Full Text:
- Date Issued: 2001
Elements of dream interpretation: laying the foundation of a basic model for clinical practice
- Authors: Schön, Joan
- Date: 2001
- Subjects: Dream interpretation Dreams
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:3050 , http://hdl.handle.net/10962/d1002559
- Description: The study addresses certain paradoxes evident in the theory and practice of dream interpretation. These relate to the considerable value afforded to dreams in psychoanalytic thinking, compared with (1) the surprising dearth of literature, research, and training on dream interpretation in clinical practice, (2) the difficulties voiced by clinicians regarding dream interpretation, and (3) the diversity of keys employed by different schools to unlock the ‘truth’ of dreams. The intention of the study is to examine these paradoxes in order to develop a model fordream interpretation which falls within the ambit of psychodynamic psychotherapy. It is argued that there have been few insights over the century to match the seminal work of Freud (1900/1976), except perhaps the work of Carl Jung. As a result of the 1914 rift between these two, Jung’s insights have been largely ignored in mainstream psychoanalytic thinking and the focus on dreams has given way to other areas of development, such as, unconscious thinking, symbol formation, and interpretation in a general sense. These, it is argued, have contributed to a more comprehensive understanding of dreams and their interpretation. Thus a model would need to consider both Freud and Jung’s work, and later salient developments. It would also need to be informed by local, contemporary practice. The method used in this thesis is one of breaking down the process of dream interpretation into component parts, in order to examine useful contributions from different sources and to compare work with dreams to work with other material. The literature review examines the major theoretical contributions in relation to four elements of dreams interpretation: the nature and function of dreams, methods of dream interpretation, the meaning of dreams, and the goals of dream interpretation. A model which accommodates diverse theories without resorting to eclecticism is then proposed. Dream interpretation is further examined in the light of a multiphase clinical study, designed to provide different perspectives on the topic. The study yielded findingscompatible with the literature reviewed, as well as certain problems in relation to the proposed model. These included shortcomings of the elements used in the literature review, particularly the sequence of these elements, and caveats about affording dreams a special focus in the consulting room. Thus a second configuration was posited, namely the idea of viewing dream-work as a triangular situation, comprising the dream, the dreamer, and the dream interpreter. The final model which is the outcome of the study provides two interrelated methods of addressing dream interpretation which accommodate the theory/practice dichotomy. In the first, the elements of dreams and their interpretation are considered sequentially. This method provides a framework for considering theoretical contributions on dreams, as well as issues of technique, without recourse to the introduction of theory in the consulting room. In the second, dream interpretation is regarded as a triangular situation, comprising the interchange between therapist and patient in relation to the patient’s dream-life. This structure accommodates the alliance which is discernible in practice and draws on Segal’s (1957/1986) notion that the process of symbol formation is a triangular situation. The value of regarding ‘dream-work’ in the consulting room as a triangular situation is threefold: (1) it is akin to symbol formation in terms of the meaning reached; (2) dreams cannot be accurately interpreted in isolation from the contributions of both therapist and patient; and (3) it provides ‘dream-work’ in practice with its own structure, highlighting a perspective that dreams are an element of clinical practice, rather than a focus, a subtext within the broader framework of psychodynamic psychotherapy.
- Full Text:
- Date Issued: 2001
- Authors: Schön, Joan
- Date: 2001
- Subjects: Dream interpretation Dreams
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:3050 , http://hdl.handle.net/10962/d1002559
- Description: The study addresses certain paradoxes evident in the theory and practice of dream interpretation. These relate to the considerable value afforded to dreams in psychoanalytic thinking, compared with (1) the surprising dearth of literature, research, and training on dream interpretation in clinical practice, (2) the difficulties voiced by clinicians regarding dream interpretation, and (3) the diversity of keys employed by different schools to unlock the ‘truth’ of dreams. The intention of the study is to examine these paradoxes in order to develop a model fordream interpretation which falls within the ambit of psychodynamic psychotherapy. It is argued that there have been few insights over the century to match the seminal work of Freud (1900/1976), except perhaps the work of Carl Jung. As a result of the 1914 rift between these two, Jung’s insights have been largely ignored in mainstream psychoanalytic thinking and the focus on dreams has given way to other areas of development, such as, unconscious thinking, symbol formation, and interpretation in a general sense. These, it is argued, have contributed to a more comprehensive understanding of dreams and their interpretation. Thus a model would need to consider both Freud and Jung’s work, and later salient developments. It would also need to be informed by local, contemporary practice. The method used in this thesis is one of breaking down the process of dream interpretation into component parts, in order to examine useful contributions from different sources and to compare work with dreams to work with other material. The literature review examines the major theoretical contributions in relation to four elements of dreams interpretation: the nature and function of dreams, methods of dream interpretation, the meaning of dreams, and the goals of dream interpretation. A model which accommodates diverse theories without resorting to eclecticism is then proposed. Dream interpretation is further examined in the light of a multiphase clinical study, designed to provide different perspectives on the topic. The study yielded findingscompatible with the literature reviewed, as well as certain problems in relation to the proposed model. These included shortcomings of the elements used in the literature review, particularly the sequence of these elements, and caveats about affording dreams a special focus in the consulting room. Thus a second configuration was posited, namely the idea of viewing dream-work as a triangular situation, comprising the dream, the dreamer, and the dream interpreter. The final model which is the outcome of the study provides two interrelated methods of addressing dream interpretation which accommodate the theory/practice dichotomy. In the first, the elements of dreams and their interpretation are considered sequentially. This method provides a framework for considering theoretical contributions on dreams, as well as issues of technique, without recourse to the introduction of theory in the consulting room. In the second, dream interpretation is regarded as a triangular situation, comprising the interchange between therapist and patient in relation to the patient’s dream-life. This structure accommodates the alliance which is discernible in practice and draws on Segal’s (1957/1986) notion that the process of symbol formation is a triangular situation. The value of regarding ‘dream-work’ in the consulting room as a triangular situation is threefold: (1) it is akin to symbol formation in terms of the meaning reached; (2) dreams cannot be accurately interpreted in isolation from the contributions of both therapist and patient; and (3) it provides ‘dream-work’ in practice with its own structure, highlighting a perspective that dreams are an element of clinical practice, rather than a focus, a subtext within the broader framework of psychodynamic psychotherapy.
- Full Text:
- Date Issued: 2001
Environment as integrating organiser: a case study of curriculum 2005 in KwaMhlanga, South Africa
- Authors: Khumalo, Four-Ten Enock
- Date: 2001
- Subjects: Competency-based education -- Research -- South Africa Curriculum planning -- South Africa Environmental education -- Curricula -- South Africa -- Mpumalanga Environmental education -- Curricula
- Language: English
- Type: Thesis , Masters , MEd
- Identifier: vital:1511 , http://hdl.handle.net/10962/d1003393
- Description: Curriculum 2005 is an attempt by the South African government to create and implement a strategic plan to change the formal school curriculum. The new curriculum has 'integration' as one of its focal features. This study is an investigation of the use of' environment' as an integrating' organiser' in the senior phase of Curriculum 2005 in a selection of schools in the Mpumalanga province. While the Curriculum 2005 framework encourages curriculum integration, this is an area which might be neglected during implementation, because there is so little experience among teachers of working in an 'integrated' way. Environmental education is an approach to education which requires and facilitates curriculum integration. This study has the potential to contribute to our understanding of the integration of environmental learning across the new curriculum. Questionnaires and vignettes based on document analysis, follow-up interviews and classroom observations, involving a small group of teachers, were used in conducting the study. The investigation has revealed that participating teachers show a limited understanding of the constructs 'environment' and 'phase organiser'. Teachers do not take or introduce a critical perspective on the nature and causes of environmental issues. They treat the construct 'environment' and associated issues quite superficially when working with learners. Participating teachers generally misunderstood the concept 'phase organisers' and tended to interpret it in concepts associated with the curriculum framework they were used to. Curriculum 2005 also requires teachers to take on a more active curriculum development role. This study looked at four teachers' attempts to develop learning programme units, and at the way in which two teachers implement their curriculum plans focussing on 'environment', in the classroom. It was found that participating teachers do not always follow the same sequence or steps when developing a learning programme. Learning programme units were not considered in developmental sequence, they lacked some form of continuity and links between intended learning outcomes and teaching activities were also lacking. There was inadequate integration between learning areas. Furthermore, integration between knowledge, skills, values and attitudes was also not quite clear among the teachers, and they tended to deal with environmental knowledge in a rather limited way, focussing instead on the awareness and attitudes. These findings are of concern, and they are in keeping with the Curriculum 2005 Review Report, which highlighted the danger of inadequate focus on curriculum content. On overall teachers seem to be struggling with the whole notion of 'integration', even though environment as a phase organiser is meant to assist with curriculum integration. The thesis ends with recommendations on how teachers might be assisted to achieve meaningful curriculum integration, through using learning outcomes as well as content knowledge relevant to environmental learning.
- Full Text:
- Date Issued: 2001
- Authors: Khumalo, Four-Ten Enock
- Date: 2001
- Subjects: Competency-based education -- Research -- South Africa Curriculum planning -- South Africa Environmental education -- Curricula -- South Africa -- Mpumalanga Environmental education -- Curricula
- Language: English
- Type: Thesis , Masters , MEd
- Identifier: vital:1511 , http://hdl.handle.net/10962/d1003393
- Description: Curriculum 2005 is an attempt by the South African government to create and implement a strategic plan to change the formal school curriculum. The new curriculum has 'integration' as one of its focal features. This study is an investigation of the use of' environment' as an integrating' organiser' in the senior phase of Curriculum 2005 in a selection of schools in the Mpumalanga province. While the Curriculum 2005 framework encourages curriculum integration, this is an area which might be neglected during implementation, because there is so little experience among teachers of working in an 'integrated' way. Environmental education is an approach to education which requires and facilitates curriculum integration. This study has the potential to contribute to our understanding of the integration of environmental learning across the new curriculum. Questionnaires and vignettes based on document analysis, follow-up interviews and classroom observations, involving a small group of teachers, were used in conducting the study. The investigation has revealed that participating teachers show a limited understanding of the constructs 'environment' and 'phase organiser'. Teachers do not take or introduce a critical perspective on the nature and causes of environmental issues. They treat the construct 'environment' and associated issues quite superficially when working with learners. Participating teachers generally misunderstood the concept 'phase organisers' and tended to interpret it in concepts associated with the curriculum framework they were used to. Curriculum 2005 also requires teachers to take on a more active curriculum development role. This study looked at four teachers' attempts to develop learning programme units, and at the way in which two teachers implement their curriculum plans focussing on 'environment', in the classroom. It was found that participating teachers do not always follow the same sequence or steps when developing a learning programme. Learning programme units were not considered in developmental sequence, they lacked some form of continuity and links between intended learning outcomes and teaching activities were also lacking. There was inadequate integration between learning areas. Furthermore, integration between knowledge, skills, values and attitudes was also not quite clear among the teachers, and they tended to deal with environmental knowledge in a rather limited way, focussing instead on the awareness and attitudes. These findings are of concern, and they are in keeping with the Curriculum 2005 Review Report, which highlighted the danger of inadequate focus on curriculum content. On overall teachers seem to be struggling with the whole notion of 'integration', even though environment as a phase organiser is meant to assist with curriculum integration. The thesis ends with recommendations on how teachers might be assisted to achieve meaningful curriculum integration, through using learning outcomes as well as content knowledge relevant to environmental learning.
- Full Text:
- Date Issued: 2001
Enzymology of activated sewage sludge during anaerobic treatment of wastewaters : identification, characterisation, isolation and partial purification of proteases
- Tshivhunge, Azwiedziswi Sylvia
- Authors: Tshivhunge, Azwiedziswi Sylvia
- Date: 2001
- Subjects: Sewage sludge , Sewage sludge -- Environmental aspects , Sewage sludge digestion , Anaerobic bacteria
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4012 , http://hdl.handle.net/10962/d1004072 , Sewage sludge , Sewage sludge -- Environmental aspects , Sewage sludge digestion , Anaerobic bacteria
- Description: During anaerobic digestion bacteria inside the digester require a carbon source for their growth and metabolism, sewage sludge was used as a carbon source in this study. The COD content was used to measure the disappearance of the substrate. COD content was reduced by 48.3% and 49% in the methanogenic and sulphidogenic bioreactors, respectively, while sulphate concentration was reduced by 40%, producing 70mg/L of hydrogen sulphide as the end product over the first 5-7 days. Sulphate (which is used as a terminal electron acceptor of sulphur reducing bacteria) has little or no effect on the sulphidogenic and methanogenic proteases. Sulphite and sulphide (the intermediate and end product of sulphate reduction) increased protease activity by 20% and 40%-80%, respectively. Maximum protease activity occurred on day 21 in the methanogenic reactor and on day 9 in the sulphidogenic reactor. The absorbance, which indicates the level of amino acid increased to 2 and 9 for methanogenic and sulphidogenic bioreactors, respectively. Proteases that were active during anaerobic digestion were associated with the pellet (organic particulate matter) of the sewage. These enzymes have an optimum activity at pH 10 and at temperature of 50°C. The proteases that were active at pH 5 and 7, had optimum temperatures at 30°C and 60°C, respectively. Due to their association with organic particulate matter, these enzymes were stable at their optimum temperatures for at least five hours at their respective pH. Inhibition by PMSF, TPCK and 1.10-phenanthroline suggested that proteases inside the anaerobic digester are a mixture of cysteine, serine and metalloproteases. At pH 5, however, EDTA appeared to enhance protease activity by 368% (three-fold). Acetic acid decreased protease activity by 21%, while both propionic and butyric acid at 200 mg/L cause total inhibition of protease activity while these acids at higher pH (where they exist as their corresponding salts) exerted little effect. Copper, iron and zinc inhibited protease activity by 85% at pH 5 with concentrations ranging between 200 and 600 mg/L. On the other hand, nickel, showed an increase in protease activity of nearly 250%. At pH 7 and 10, copper had no effect on protease activity while iron, nickel and zinc inhibited these enzymes by 20-40%. Proteases at pH 7 were extracted from the pellet by sonication, releasing 50% of the total enzymes into the solution. The enzymes were precipitated by ammonium sulphate precipitation, and further purified by ion exchange chromatography and gel filtration. Ion exchange chromatography revealed that most of the enzymes that hydrolyse proteins are negatively charged while gel filtration showed that their molecular weight is approximately 500 kDa.
- Full Text:
- Date Issued: 2001
- Authors: Tshivhunge, Azwiedziswi Sylvia
- Date: 2001
- Subjects: Sewage sludge , Sewage sludge -- Environmental aspects , Sewage sludge digestion , Anaerobic bacteria
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4012 , http://hdl.handle.net/10962/d1004072 , Sewage sludge , Sewage sludge -- Environmental aspects , Sewage sludge digestion , Anaerobic bacteria
- Description: During anaerobic digestion bacteria inside the digester require a carbon source for their growth and metabolism, sewage sludge was used as a carbon source in this study. The COD content was used to measure the disappearance of the substrate. COD content was reduced by 48.3% and 49% in the methanogenic and sulphidogenic bioreactors, respectively, while sulphate concentration was reduced by 40%, producing 70mg/L of hydrogen sulphide as the end product over the first 5-7 days. Sulphate (which is used as a terminal electron acceptor of sulphur reducing bacteria) has little or no effect on the sulphidogenic and methanogenic proteases. Sulphite and sulphide (the intermediate and end product of sulphate reduction) increased protease activity by 20% and 40%-80%, respectively. Maximum protease activity occurred on day 21 in the methanogenic reactor and on day 9 in the sulphidogenic reactor. The absorbance, which indicates the level of amino acid increased to 2 and 9 for methanogenic and sulphidogenic bioreactors, respectively. Proteases that were active during anaerobic digestion were associated with the pellet (organic particulate matter) of the sewage. These enzymes have an optimum activity at pH 10 and at temperature of 50°C. The proteases that were active at pH 5 and 7, had optimum temperatures at 30°C and 60°C, respectively. Due to their association with organic particulate matter, these enzymes were stable at their optimum temperatures for at least five hours at their respective pH. Inhibition by PMSF, TPCK and 1.10-phenanthroline suggested that proteases inside the anaerobic digester are a mixture of cysteine, serine and metalloproteases. At pH 5, however, EDTA appeared to enhance protease activity by 368% (three-fold). Acetic acid decreased protease activity by 21%, while both propionic and butyric acid at 200 mg/L cause total inhibition of protease activity while these acids at higher pH (where they exist as their corresponding salts) exerted little effect. Copper, iron and zinc inhibited protease activity by 85% at pH 5 with concentrations ranging between 200 and 600 mg/L. On the other hand, nickel, showed an increase in protease activity of nearly 250%. At pH 7 and 10, copper had no effect on protease activity while iron, nickel and zinc inhibited these enzymes by 20-40%. Proteases at pH 7 were extracted from the pellet by sonication, releasing 50% of the total enzymes into the solution. The enzymes were precipitated by ammonium sulphate precipitation, and further purified by ion exchange chromatography and gel filtration. Ion exchange chromatography revealed that most of the enzymes that hydrolyse proteins are negatively charged while gel filtration showed that their molecular weight is approximately 500 kDa.
- Full Text:
- Date Issued: 2001
Evaluation of Lewis acid catalysed and other nitration strategies for the selective nitration of cresols
- Van Niekerk, Rudolf Jacob Francois
- Authors: Van Niekerk, Rudolf Jacob Francois
- Date: 2001
- Subjects: Nitration
- Language: English
- Type: Thesis , Masters , MTech (Chemistry)
- Identifier: vital:10957 , http://hdl.handle.net/10948/60 , Nitration
- Description: The nitration of m- and p-cresol was investigated under mild reaction conditions in a number of solvents; the effects of certain nitration catalysts were also evaluated. These different reaction parameters were evaluated in terms of their effect on a number of important reaction responses. Other important factors that were investigated were the manipulation of the isomer ratios by changing reaction parameters, as well as important process chemistry information, such as product distribution, isolation and purification, identification of side products formed, and evaluation of the heat of reaction. Use was made of an experimental design system to evaluate the effect of reaction parameters on the chosen design responses. It was found that the ratio of para to ortho nitrocresol products could be influenced slightly by using low concentrations of nitric acid and low reaction temperatures. A different mechanism for the formation of 2-methyl-1,4-benzoquinone (from mcresol nitration) was proposed (compared with that previously reported), which could explain a “one mole nitric acid” pathway and the fact that only the pbenzoquinone isomer was observed. Reaction side products were identified and found to consist of dimers of cresol and nitrocresol, which were probably the result of oxidation of the cresol, subsequent formation of a quinomethide intermediate and reaction with either the product or the substrate. The heat of nitration was determined for various reaction systems and found to be governed by two factors, namely the actual nitration process and also an oxidation process, which is responsible for the formation of side products.
- Full Text:
- Date Issued: 2001
- Authors: Van Niekerk, Rudolf Jacob Francois
- Date: 2001
- Subjects: Nitration
- Language: English
- Type: Thesis , Masters , MTech (Chemistry)
- Identifier: vital:10957 , http://hdl.handle.net/10948/60 , Nitration
- Description: The nitration of m- and p-cresol was investigated under mild reaction conditions in a number of solvents; the effects of certain nitration catalysts were also evaluated. These different reaction parameters were evaluated in terms of their effect on a number of important reaction responses. Other important factors that were investigated were the manipulation of the isomer ratios by changing reaction parameters, as well as important process chemistry information, such as product distribution, isolation and purification, identification of side products formed, and evaluation of the heat of reaction. Use was made of an experimental design system to evaluate the effect of reaction parameters on the chosen design responses. It was found that the ratio of para to ortho nitrocresol products could be influenced slightly by using low concentrations of nitric acid and low reaction temperatures. A different mechanism for the formation of 2-methyl-1,4-benzoquinone (from mcresol nitration) was proposed (compared with that previously reported), which could explain a “one mole nitric acid” pathway and the fact that only the pbenzoquinone isomer was observed. Reaction side products were identified and found to consist of dimers of cresol and nitrocresol, which were probably the result of oxidation of the cresol, subsequent formation of a quinomethide intermediate and reaction with either the product or the substrate. The heat of nitration was determined for various reaction systems and found to be governed by two factors, namely the actual nitration process and also an oxidation process, which is responsible for the formation of side products.
- Full Text:
- Date Issued: 2001
Expanding the capabilities of the DPS lonosonde system
- Authors: Magnus, Lindsay Gerald
- Date: 2001
- Subjects: Ionosondes
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5560 , http://hdl.handle.net/10962/d1018243
- Description: The Digisonde Portable Sounder (DPS) is a low power pulse ionosonde capable of recording a wealth of scientific information about the ionosphere. The routine vertical incidence mode, that produces the scaled ionospheric parameters, only records limited Doppler and no precise angle of arrival (AoA) information. The drift mode produces precise scientific information but only limited range information. This thesis explains the operation of the DPS and then examines the drift data by first showing the Doppler velocities (V*) calculated for a fixed frequency ionogram as well as the velocities calculated from an interesting ionospheric disturbance measured with a stepped frequency ionogram and second by illustrating the presence of a variation in the AoA of ionospheric echoes at sunrise. The conclusion of the thesis is that a drift vertical incidence mode be developed to allow the simultaneous measurement of the scaled ionospheric parameters and the precise AoA and full Doppler spectrum information.
- Full Text:
- Date Issued: 2001
- Authors: Magnus, Lindsay Gerald
- Date: 2001
- Subjects: Ionosondes
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5560 , http://hdl.handle.net/10962/d1018243
- Description: The Digisonde Portable Sounder (DPS) is a low power pulse ionosonde capable of recording a wealth of scientific information about the ionosphere. The routine vertical incidence mode, that produces the scaled ionospheric parameters, only records limited Doppler and no precise angle of arrival (AoA) information. The drift mode produces precise scientific information but only limited range information. This thesis explains the operation of the DPS and then examines the drift data by first showing the Doppler velocities (V*) calculated for a fixed frequency ionogram as well as the velocities calculated from an interesting ionospheric disturbance measured with a stepped frequency ionogram and second by illustrating the presence of a variation in the AoA of ionospheric echoes at sunrise. The conclusion of the thesis is that a drift vertical incidence mode be developed to allow the simultaneous measurement of the scaled ionospheric parameters and the precise AoA and full Doppler spectrum information.
- Full Text:
- Date Issued: 2001
Exploring job satisfaction amongst government social workers in East London
- Authors: Sela, Michelle
- Date: 2001
- Subjects: Social workers -- Supervision of , Social workers -- Professional ethics , Social workers -- South Africa -- Eastern Cape -- Attitudes , Social service -- Vocational guidance
- Language: English
- Type: Thesis , Masters , MSocSc
- Identifier: vital:705 , http://hdl.handle.net/10962/d1006499 , Social workers -- Supervision of , Social workers -- Professional ethics , Social workers -- South Africa -- Eastern Cape -- Attitudes , Social service -- Vocational guidance
- Description: During this research an attempt was made to gain an understanding of job satisfaction amongst government social workers. To achieve this, twenty social workers employed at the Department of Welfare in East London and Mdantsane were interviewed. South African literature on this topic is limited and it is believed that this study will present a valuable basis to pursue in further research. Literature that was consulted was found to be supportive of the theoretical notion that social work has long been recognised as being a stressful profession and that the nature of social work practice itself can be potentially stressful. The study found that there are many stressors and dissatisfactions which government social workers are currently experiencing. Some of the social workers have indicated a desire to leave the profession as a result of the dissatisfactions. The study findings suggest a need for combining oganisational with individual oriented initiatives to decrease the many stressors the social workers are experiencing. The thesis ends with recommendations of various strategies for addressing the concerns of the social workers in order to increase their job satisfaction
- Full Text:
- Date Issued: 2001
- Authors: Sela, Michelle
- Date: 2001
- Subjects: Social workers -- Supervision of , Social workers -- Professional ethics , Social workers -- South Africa -- Eastern Cape -- Attitudes , Social service -- Vocational guidance
- Language: English
- Type: Thesis , Masters , MSocSc
- Identifier: vital:705 , http://hdl.handle.net/10962/d1006499 , Social workers -- Supervision of , Social workers -- Professional ethics , Social workers -- South Africa -- Eastern Cape -- Attitudes , Social service -- Vocational guidance
- Description: During this research an attempt was made to gain an understanding of job satisfaction amongst government social workers. To achieve this, twenty social workers employed at the Department of Welfare in East London and Mdantsane were interviewed. South African literature on this topic is limited and it is believed that this study will present a valuable basis to pursue in further research. Literature that was consulted was found to be supportive of the theoretical notion that social work has long been recognised as being a stressful profession and that the nature of social work practice itself can be potentially stressful. The study found that there are many stressors and dissatisfactions which government social workers are currently experiencing. Some of the social workers have indicated a desire to leave the profession as a result of the dissatisfactions. The study findings suggest a need for combining oganisational with individual oriented initiatives to decrease the many stressors the social workers are experiencing. The thesis ends with recommendations of various strategies for addressing the concerns of the social workers in order to increase their job satisfaction
- Full Text:
- Date Issued: 2001
Extractives from six species of South African Marine Opisthobranch Molluscs
- Authors: McPhail, Kerry Lee
- Date: 2001
- Subjects: Mollusks -- Nutrition Mollusks -- Anatomy Marine fishes -- South Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:4433 , http://hdl.handle.net/10962/d1007412
- Description: The natural product chemistry of six species of South African opisthobranch molluscs and some of their dietary marine invertebrates was investigated. Nineteen previously undescribed secondary metabolites and twelve known compounds were isolated and their structures determined by a combination of spectroscopic and chemical methods. The circumtropical sea hares Aplysia parvula and A. dactylomela were found to contain halogenated red algal metabolites. 3Z-bromofucin (120), the Z analogue of a known Laurencia CIS acetogenin, was isolated from A. parvula. A. dactylomela yielded a series of novel non-aromatic cuparanes, the algoanes (121-123), the novel tricyclic Iaurane ether ibhayinol (124) and three known chamigrane sesquiterpenes, prepacifenol epoxide (101), pacif-7-enediol (104) and nidificene (125). A variety of new octocoral sesquiterpenes were isolated from the endemic South African arminacean nudibranch Leminda millecra including algoafuran (150), cubebenone (151), 8-hydroxycalamenene (152) and a series of seven triprenylated toluquinones and toluquinols (153-159). L. millecra also yielded the known sesquiterpenes millecrones A (142) and B (143) and isofuranodiene (149). Twenty eight voucher specimens and eighteen crude extracts of South African octocorals collected by the Coral Reef Research Foundation were screened by GC and GC-MS and 142 was found in Alcyonium fauri, while 143, 151 and possibly 149 were present in Leptogorgia palma. An investigation of southern African chromodorids yielded the known macrocyc1e latrunculin B (220) and two new spongiane diterpenes (221) and (222) from Chromodoris hamiltoni, while the known spongiane diterpene (210) was isolated from the endemic nudibranch Glossodoris sp. 4. The endemic nudibranch Hypselodoris capensis contained the known furanosesquiterpenes nakafuran-8 (223) and -9 (224) and the known furanosesterterpenes variabilin (195), 22-deoxyvariabilin (225) and furospinosulin (227) together with the new variant 22-deoxy-23-hydroxymethylvariabilin (226). Compounds 223 and 224 were also found in a Dysidea sponge, while the furanosesterterpenes 195, and 225-227 were present in a Fasciospongia sponge upon which H capensis specimens were found. The Dysidea dietary sponge of H capensis also yielded a new aromatic sesquiterpene, tsitsikarnmafuran (266), whose structure was confirmed by the synthesis of two possible regioisomers.
- Full Text:
- Date Issued: 2001
- Authors: McPhail, Kerry Lee
- Date: 2001
- Subjects: Mollusks -- Nutrition Mollusks -- Anatomy Marine fishes -- South Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:4433 , http://hdl.handle.net/10962/d1007412
- Description: The natural product chemistry of six species of South African opisthobranch molluscs and some of their dietary marine invertebrates was investigated. Nineteen previously undescribed secondary metabolites and twelve known compounds were isolated and their structures determined by a combination of spectroscopic and chemical methods. The circumtropical sea hares Aplysia parvula and A. dactylomela were found to contain halogenated red algal metabolites. 3Z-bromofucin (120), the Z analogue of a known Laurencia CIS acetogenin, was isolated from A. parvula. A. dactylomela yielded a series of novel non-aromatic cuparanes, the algoanes (121-123), the novel tricyclic Iaurane ether ibhayinol (124) and three known chamigrane sesquiterpenes, prepacifenol epoxide (101), pacif-7-enediol (104) and nidificene (125). A variety of new octocoral sesquiterpenes were isolated from the endemic South African arminacean nudibranch Leminda millecra including algoafuran (150), cubebenone (151), 8-hydroxycalamenene (152) and a series of seven triprenylated toluquinones and toluquinols (153-159). L. millecra also yielded the known sesquiterpenes millecrones A (142) and B (143) and isofuranodiene (149). Twenty eight voucher specimens and eighteen crude extracts of South African octocorals collected by the Coral Reef Research Foundation were screened by GC and GC-MS and 142 was found in Alcyonium fauri, while 143, 151 and possibly 149 were present in Leptogorgia palma. An investigation of southern African chromodorids yielded the known macrocyc1e latrunculin B (220) and two new spongiane diterpenes (221) and (222) from Chromodoris hamiltoni, while the known spongiane diterpene (210) was isolated from the endemic nudibranch Glossodoris sp. 4. The endemic nudibranch Hypselodoris capensis contained the known furanosesquiterpenes nakafuran-8 (223) and -9 (224) and the known furanosesterterpenes variabilin (195), 22-deoxyvariabilin (225) and furospinosulin (227) together with the new variant 22-deoxy-23-hydroxymethylvariabilin (226). Compounds 223 and 224 were also found in a Dysidea sponge, while the furanosesterterpenes 195, and 225-227 were present in a Fasciospongia sponge upon which H capensis specimens were found. The Dysidea dietary sponge of H capensis also yielded a new aromatic sesquiterpene, tsitsikarnmafuran (266), whose structure was confirmed by the synthesis of two possible regioisomers.
- Full Text:
- Date Issued: 2001
Failure rather than success : conflict management and resolution in the Democratic Republic of Congo, 1996-1999
- Authors: Munyae, Isaac Muinde
- Date: 2001
- Subjects: Conflict management -- Congo (Democratic Republic) , Dispute resolution (Law) -- Congo (Democratic Republic). , Congo (Democratic Republic) -- History -- 1997-
- Language: English
- Type: Thesis , Masters , MA
- Identifier: vital:2856 , http://hdl.handle.net/10962/d1007427 , Conflict management -- Congo (Democratic Republic) , Dispute resolution (Law) -- Congo (Democratic Republic). , Congo (Democratic Republic) -- History -- 1997-
- Description: History has proven time and time again that conflict is an inevitable aspect of any given society. The seemingly long-standing nature of conflicts in Africa has been changing over time and these conflicts have been either inter-state or intra-state. However, sometimes intrastate wars have escalated into regional conflicts. These scenarios can be seen in the Great Lakes region of Africa where you have the civil war of 1996-7 and the rebellion, which began in 1998 in the Democratic Republic of Congo (DRC). In the DRC there have been at least four stages of conflict. The first is against the Belgians and secondly, the civil strife of the early 1960s. Third, is the civil strife against Mobutu and fourthly, currently against Kabila. The expanding nature of conflict is characterised by power struggles, politicisation of ethnicity, and the impact of external forces. It is noted that the expanding nature of conflict calls for a change in the methods of conflict management and resolution. Initially conflicts were resolved through military intervention. but with the complexity of African wars it has become apparent that peaceful methods are more prudent. With reference to Africa it can be assumed that conflicts need to be increasingly resolved through political means, such as the use of the diplomatic process. The conflict in Chad between 1968 and 1984 is a good example in which military intervention was used but failed, giving way to mediation and negotiation through the use of diplomacy. Both the DRC and Chadian conflicts are similar because they witnessed the influence of external forces (neighbouring countries and non-African states such as France and the US) and African states attempting to find solutions to their own problems. The conflict in the DRC provides a unique example of the changing nature of intra-state conflict in Africa. Thus, the study aims to trace the characteristics of conflict in the DRC and attempts made at conflict management and resolution. The study uses the period bet ween 1996 and 1999 because it highlights this change in the nature and character of conflict.
- Full Text:
- Date Issued: 2001
- Authors: Munyae, Isaac Muinde
- Date: 2001
- Subjects: Conflict management -- Congo (Democratic Republic) , Dispute resolution (Law) -- Congo (Democratic Republic). , Congo (Democratic Republic) -- History -- 1997-
- Language: English
- Type: Thesis , Masters , MA
- Identifier: vital:2856 , http://hdl.handle.net/10962/d1007427 , Conflict management -- Congo (Democratic Republic) , Dispute resolution (Law) -- Congo (Democratic Republic). , Congo (Democratic Republic) -- History -- 1997-
- Description: History has proven time and time again that conflict is an inevitable aspect of any given society. The seemingly long-standing nature of conflicts in Africa has been changing over time and these conflicts have been either inter-state or intra-state. However, sometimes intrastate wars have escalated into regional conflicts. These scenarios can be seen in the Great Lakes region of Africa where you have the civil war of 1996-7 and the rebellion, which began in 1998 in the Democratic Republic of Congo (DRC). In the DRC there have been at least four stages of conflict. The first is against the Belgians and secondly, the civil strife of the early 1960s. Third, is the civil strife against Mobutu and fourthly, currently against Kabila. The expanding nature of conflict is characterised by power struggles, politicisation of ethnicity, and the impact of external forces. It is noted that the expanding nature of conflict calls for a change in the methods of conflict management and resolution. Initially conflicts were resolved through military intervention. but with the complexity of African wars it has become apparent that peaceful methods are more prudent. With reference to Africa it can be assumed that conflicts need to be increasingly resolved through political means, such as the use of the diplomatic process. The conflict in Chad between 1968 and 1984 is a good example in which military intervention was used but failed, giving way to mediation and negotiation through the use of diplomacy. Both the DRC and Chadian conflicts are similar because they witnessed the influence of external forces (neighbouring countries and non-African states such as France and the US) and African states attempting to find solutions to their own problems. The conflict in the DRC provides a unique example of the changing nature of intra-state conflict in Africa. Thus, the study aims to trace the characteristics of conflict in the DRC and attempts made at conflict management and resolution. The study uses the period bet ween 1996 and 1999 because it highlights this change in the nature and character of conflict.
- Full Text:
- Date Issued: 2001
Feeding biology of common and blue duiker
- Authors: Kigozi, Frederick
- Date: 2001
- Subjects: Duikers -- Nutrition -- South Africa -- Eastern Cape , Sylvicapra grimmia -- Nutrition -- South Africa -- Eastern Cape , Herbivores -- Nutrition , Folivores -- Nutrition , Teeth -- Abrasion
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5625 , http://hdl.handle.net/10962/d1004725 , Duikers -- Nutrition -- South Africa -- Eastern Cape , Sylvicapra grimmia -- Nutrition -- South Africa -- Eastern Cape , Herbivores -- Nutrition , Folivores -- Nutrition , Teeth -- Abrasion
- Description: The blue duiker, Philantomba monticola and common or grey duiker, Sylvicapra grimmia represent two of the three duiker genera as well as two of the three species occurring in Southern Africa. The two species have not been adequately studied in their habitats within the Eastern Cape Province of South Africa, and this thesis centres around their biology with focus on diet and dental microwear. Faecal analysis was used to study the diet of blue duiker at Salem in the Albany district, and of common duiker on two farms, one a predominantly cattle farm at Kasouga and the other a farm for cultivation of chicory at Grants valley, both in the Bathurst district. The validity of faecal analysis was reviewed, and its applicability to blue and common duiker assessed. The method was appropriate for diet analysis of both species, as the common duiker is shy and secretive and the blue duiker is a rare and protected species which does not habituate readily. Results showed that the blue duiker was mainly folivorous with a seasonally stable diet of 79 percent dicot foliage and only 17 percent fruit. Common duiker diet at both study sites comprised mostly dicot foliage, with only two monocotyledonous plant species. Twenty-seven and nineteen plant species were identified in the diets of common duiker at Kasouga and Grants valley respectively and the annual percentage occurrences of dicot foliage in the diets were about 99 percent at both study sites. The predominantly browsing common duiker, therefore offered negligible competition for food resources to the grazing cattle on Kasouga farm. Both blue and common duiker fed selectively, with approximately one third of the total number of plant species identified in their diets providing at least 50 percent of the food eaten annually. Ehretia rigida was the most important plant species in the diets of both duiker species. Chicory, Chichorium intybus provided more than one third (35.6 percent) of the winter diet and a substantial proportion (14.4 percent) of the spring diet of common duiker at Grants valley, thereby confirming earlier reports of this species feeding on chicory and other cultivated crops. The diet of common duiker at Kasouga did not vary seasonally but that of common duiker at Grants valley did vary and this was attributed to utilisation of chicory. Results from the dental microwear analyses did not show any significant differences in dental microwear between blue and common duiker, but supported and confirmed that the two were browsing species, characterised by many pits and few scratches on their dental surfaces. A high incidence of pits was found on the dental surfaces of both duiker species, and was attributed to utilisation of fruit in the diet.
- Full Text:
- Date Issued: 2001
- Authors: Kigozi, Frederick
- Date: 2001
- Subjects: Duikers -- Nutrition -- South Africa -- Eastern Cape , Sylvicapra grimmia -- Nutrition -- South Africa -- Eastern Cape , Herbivores -- Nutrition , Folivores -- Nutrition , Teeth -- Abrasion
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5625 , http://hdl.handle.net/10962/d1004725 , Duikers -- Nutrition -- South Africa -- Eastern Cape , Sylvicapra grimmia -- Nutrition -- South Africa -- Eastern Cape , Herbivores -- Nutrition , Folivores -- Nutrition , Teeth -- Abrasion
- Description: The blue duiker, Philantomba monticola and common or grey duiker, Sylvicapra grimmia represent two of the three duiker genera as well as two of the three species occurring in Southern Africa. The two species have not been adequately studied in their habitats within the Eastern Cape Province of South Africa, and this thesis centres around their biology with focus on diet and dental microwear. Faecal analysis was used to study the diet of blue duiker at Salem in the Albany district, and of common duiker on two farms, one a predominantly cattle farm at Kasouga and the other a farm for cultivation of chicory at Grants valley, both in the Bathurst district. The validity of faecal analysis was reviewed, and its applicability to blue and common duiker assessed. The method was appropriate for diet analysis of both species, as the common duiker is shy and secretive and the blue duiker is a rare and protected species which does not habituate readily. Results showed that the blue duiker was mainly folivorous with a seasonally stable diet of 79 percent dicot foliage and only 17 percent fruit. Common duiker diet at both study sites comprised mostly dicot foliage, with only two monocotyledonous plant species. Twenty-seven and nineteen plant species were identified in the diets of common duiker at Kasouga and Grants valley respectively and the annual percentage occurrences of dicot foliage in the diets were about 99 percent at both study sites. The predominantly browsing common duiker, therefore offered negligible competition for food resources to the grazing cattle on Kasouga farm. Both blue and common duiker fed selectively, with approximately one third of the total number of plant species identified in their diets providing at least 50 percent of the food eaten annually. Ehretia rigida was the most important plant species in the diets of both duiker species. Chicory, Chichorium intybus provided more than one third (35.6 percent) of the winter diet and a substantial proportion (14.4 percent) of the spring diet of common duiker at Grants valley, thereby confirming earlier reports of this species feeding on chicory and other cultivated crops. The diet of common duiker at Kasouga did not vary seasonally but that of common duiker at Grants valley did vary and this was attributed to utilisation of chicory. Results from the dental microwear analyses did not show any significant differences in dental microwear between blue and common duiker, but supported and confirmed that the two were browsing species, characterised by many pits and few scratches on their dental surfaces. A high incidence of pits was found on the dental surfaces of both duiker species, and was attributed to utilisation of fruit in the diet.
- Full Text:
- Date Issued: 2001
Feeding ecology of Bathyclarias nyasensis (Siluroidei: Claridae) from Lake Malawi
- Kaunda, Emmanuel Kamlipe Watson Hawkins
- Authors: Kaunda, Emmanuel Kamlipe Watson Hawkins
- Date: 2001
- Subjects: Fishes -- Malawi Fishes -- Nyasa, Lake
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:5282 , http://hdl.handle.net/10962/d1005126
- Description: In Malawi, fish contribute about 60-80% to the country's animal protein supply. The greater proportion (> 50%) comes from Lake Malawi. Bathyclarias nyasensis and other clariid catfish contribute up to > 20% of the total catches. Catches of Bathyclarias nyasensis in the inshore area of the south-east arm of Lake Malawi are declining and a management plan for the fishery is essentially lacking. There is paucity of biological data that precludes the use of any option to manage the species. The principal aim of the thesis was to define the ecological role B. nyasensis, the most abundant and common of the Bathyclarias species. By examining life history characteristics within a food web context, it was hypothesized that the study would provide an insight into the interrelationships between species, and, hence form the basis for the development of a rational exploitation strategy for the species. The study was undertaken in the south-east arm of Lake Malawi (9° 30'S, 14° 30'S). The principal objectives of the study were to investigate the feeding ecology of B. nyasensis by examining morphological characters and structures associated with feeding, diet of B. nyasensis, food assimilated in the species using carbon (∂¹³C) isotope analysis, daily food consumption rate for B. nyasensis; and to relate the feeding ecology to life history traits such as age, growth, and some aspects of the reproductive biology of B. nyasensis. The suitability of sectioned pectoral spines and sagittal otoliths to age B. nyasensis was assessed. Due to reabsorption of growth zones with increasing spine lumen diameter with fish size, and the relatively low number of spines that could be aged reliably, only otoliths were used. The maximum age for B. nyasensis was estimated at 14 vears. Growth was best was described by the four parameter Schnute mc: lt ={42+(81¹·⁸ - 42¹·⁸)x1-e⁻°·°⁵⁽t⁻¹⁾}¹/¹·⁸ over 1-e⁻⁽⁻°·°⁵⁾⁽¹¹⁾ for female, lt={41+(98¹·² - 41¹·²)x 1-e⁻°·°²⁽t⁻¹⁾}¹/¹·² over 1-e⁻⁽⁻°·°²⁾⁽¹³⁾ and for male fish. Age-at-50% maturity for females and males were estimated at 7 years and 4 years, respectively. Typically, fish grew rapidly in the first year, but slower during subsequent years. Smaller fish were found inshore while larger fish were found in offshore regions. It was hypothesised that the rapid growth in the first year and slower growth later is a consequence of change in diet from high quality and abundant food source to a more dilute food and that this may be associated with a shift in habitat. Morphological characters associated with feeding were used to predict the food and feeding behaviour of B. nyasensis. The size of premaxillary, vomerine, pharyngeal dental and palatine teeth and premaxillary and vomerine tooth plates suggested the capability of B. nyasensis to handle both large and small prey, with a propensity towards smaller prey in composition to C. gariepinus. The molariform teeth on the vomerine tooth plate suggested that molluscs form part of the diet. The relative gut length (1.27±0.24) suggested omnivory, with an ability to switch between planktivory and piscivory. Buccal cavity volume and filtering area changed with fish size at 500-600 mm TL upon which it was hypothesised that the fish diet changed to planktivory at this size. Detailed diet analysis provided information upon which the above hypotheses could be accepted. Percent Index of Relative Importance (%IRI) and a multi-way contingency table analysis based on log-linear models were used to analyse diet data. Results showed that B. nyasensis is omnivorous, but with a distinct ontogenetic dietary shift from piscivory to zooplanktivory at 500 - 600 mm TL. The increased buccal cavity volume at the same fish size therefore, suggests that B. nyasensis is well adapted to filter the dilute zooplankton resource. Increased foraging costs of feeding on zooplankton explained the slower growth of larger fish. The dietary shift was finally corroborated by results of the ∂¹³C isotope analysis. A polynomial equation described the change in carbon ratios with fish size: ∂¹³C = - 33.188 + 0.4997L - 0.0045 (total length)² (r² = 0.598, n = 12, p=0.022). The ontogenetic shift in diet was synchronised with a habitat shift postulated in life history studies. In the inshore region, B. nyasensis were predominantly piscivorous (apex predators), and were zooplanktivorous in the offshore region, thereby forming part of the pelagic food web in the latter region. After examining "bottom-up" and trophic cascade theories, it was postulated that perturbations of the B. nyasensis stock would be discernible both at the top and lower trophic levels. As a piscivore and therefore apex predator, effects of overfishing B. nyasensis in the inshore region could cascade to unpredictable ecological changes in inshore areas and, due to the ontogenetic habitat shift, in the offshore regions. Examples of trophic cascade phenomena are provided. On the basis of the feeding study, it was possible to reconstruct the pelagic food web of Lake Malawi. Apart from the lakefly Chaoborus edulis, B. nyasensis is the other predator that preys heavily on zooplankton in the pelagic zone. Perturbations of the B. nyasensis stock could affect size composition of zooplankton which in tum, could affect production of C. edulis, a resource for the top predators in the food web. The findings of the present study contributed to the ongoing debate of introducing a zooplanktivore into the pelagic zone of Lake Malawi. Proponents for the introductions have argued that zooplankton predation by fish is inferior to that of C. edulis. Introduction of a clupeid zooplankton was proposed as a strategy to boost fish production in the lake. The zooplanktivore would either out-compete or prey on C. edulis to extinction. Opponents to this view argued that zooplankton biomass in the pelagic region was too low to support introductions and that the fish biomass in the pelagic region may have been underestimated. Results from the present study suggest that planktivorous fish (including B. nyasensis) might not be inferior to C. edulis in utilising the zooplankton resource; B. nyasensis is well adapted to utilise the dilute zooplankton resource, and by omitting B. nyasensis from previous studies, overall zooplankton predation by fish may have been underestimated by between 7 - 33%. On the basis of the theoretical migratory life history cycle of B. nyasensis, it is recommended that the current interest in increasing fishing effort in offshore areas should proceed with caution. Ecological changes that may have occurred in the inshore areas due to overfishing have probably not been noticed: as the offshore zone has never been fished. The latter zone may have acted as a stock refuge area. Higher fishing intensity in the offshore areas could lead to serious ecological imbalances and instability. The study has shown that life history characteristics studied in the context of the food web, and in the absence of other fisheries information and/or data, strongly advocates the precautionary principle to managing changes in exploitation patterns.
- Full Text:
- Date Issued: 2001
- Authors: Kaunda, Emmanuel Kamlipe Watson Hawkins
- Date: 2001
- Subjects: Fishes -- Malawi Fishes -- Nyasa, Lake
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:5282 , http://hdl.handle.net/10962/d1005126
- Description: In Malawi, fish contribute about 60-80% to the country's animal protein supply. The greater proportion (> 50%) comes from Lake Malawi. Bathyclarias nyasensis and other clariid catfish contribute up to > 20% of the total catches. Catches of Bathyclarias nyasensis in the inshore area of the south-east arm of Lake Malawi are declining and a management plan for the fishery is essentially lacking. There is paucity of biological data that precludes the use of any option to manage the species. The principal aim of the thesis was to define the ecological role B. nyasensis, the most abundant and common of the Bathyclarias species. By examining life history characteristics within a food web context, it was hypothesized that the study would provide an insight into the interrelationships between species, and, hence form the basis for the development of a rational exploitation strategy for the species. The study was undertaken in the south-east arm of Lake Malawi (9° 30'S, 14° 30'S). The principal objectives of the study were to investigate the feeding ecology of B. nyasensis by examining morphological characters and structures associated with feeding, diet of B. nyasensis, food assimilated in the species using carbon (∂¹³C) isotope analysis, daily food consumption rate for B. nyasensis; and to relate the feeding ecology to life history traits such as age, growth, and some aspects of the reproductive biology of B. nyasensis. The suitability of sectioned pectoral spines and sagittal otoliths to age B. nyasensis was assessed. Due to reabsorption of growth zones with increasing spine lumen diameter with fish size, and the relatively low number of spines that could be aged reliably, only otoliths were used. The maximum age for B. nyasensis was estimated at 14 vears. Growth was best was described by the four parameter Schnute mc: lt ={42+(81¹·⁸ - 42¹·⁸)x1-e⁻°·°⁵⁽t⁻¹⁾}¹/¹·⁸ over 1-e⁻⁽⁻°·°⁵⁾⁽¹¹⁾ for female, lt={41+(98¹·² - 41¹·²)x 1-e⁻°·°²⁽t⁻¹⁾}¹/¹·² over 1-e⁻⁽⁻°·°²⁾⁽¹³⁾ and for male fish. Age-at-50% maturity for females and males were estimated at 7 years and 4 years, respectively. Typically, fish grew rapidly in the first year, but slower during subsequent years. Smaller fish were found inshore while larger fish were found in offshore regions. It was hypothesised that the rapid growth in the first year and slower growth later is a consequence of change in diet from high quality and abundant food source to a more dilute food and that this may be associated with a shift in habitat. Morphological characters associated with feeding were used to predict the food and feeding behaviour of B. nyasensis. The size of premaxillary, vomerine, pharyngeal dental and palatine teeth and premaxillary and vomerine tooth plates suggested the capability of B. nyasensis to handle both large and small prey, with a propensity towards smaller prey in composition to C. gariepinus. The molariform teeth on the vomerine tooth plate suggested that molluscs form part of the diet. The relative gut length (1.27±0.24) suggested omnivory, with an ability to switch between planktivory and piscivory. Buccal cavity volume and filtering area changed with fish size at 500-600 mm TL upon which it was hypothesised that the fish diet changed to planktivory at this size. Detailed diet analysis provided information upon which the above hypotheses could be accepted. Percent Index of Relative Importance (%IRI) and a multi-way contingency table analysis based on log-linear models were used to analyse diet data. Results showed that B. nyasensis is omnivorous, but with a distinct ontogenetic dietary shift from piscivory to zooplanktivory at 500 - 600 mm TL. The increased buccal cavity volume at the same fish size therefore, suggests that B. nyasensis is well adapted to filter the dilute zooplankton resource. Increased foraging costs of feeding on zooplankton explained the slower growth of larger fish. The dietary shift was finally corroborated by results of the ∂¹³C isotope analysis. A polynomial equation described the change in carbon ratios with fish size: ∂¹³C = - 33.188 + 0.4997L - 0.0045 (total length)² (r² = 0.598, n = 12, p=0.022). The ontogenetic shift in diet was synchronised with a habitat shift postulated in life history studies. In the inshore region, B. nyasensis were predominantly piscivorous (apex predators), and were zooplanktivorous in the offshore region, thereby forming part of the pelagic food web in the latter region. After examining "bottom-up" and trophic cascade theories, it was postulated that perturbations of the B. nyasensis stock would be discernible both at the top and lower trophic levels. As a piscivore and therefore apex predator, effects of overfishing B. nyasensis in the inshore region could cascade to unpredictable ecological changes in inshore areas and, due to the ontogenetic habitat shift, in the offshore regions. Examples of trophic cascade phenomena are provided. On the basis of the feeding study, it was possible to reconstruct the pelagic food web of Lake Malawi. Apart from the lakefly Chaoborus edulis, B. nyasensis is the other predator that preys heavily on zooplankton in the pelagic zone. Perturbations of the B. nyasensis stock could affect size composition of zooplankton which in tum, could affect production of C. edulis, a resource for the top predators in the food web. The findings of the present study contributed to the ongoing debate of introducing a zooplanktivore into the pelagic zone of Lake Malawi. Proponents for the introductions have argued that zooplankton predation by fish is inferior to that of C. edulis. Introduction of a clupeid zooplankton was proposed as a strategy to boost fish production in the lake. The zooplanktivore would either out-compete or prey on C. edulis to extinction. Opponents to this view argued that zooplankton biomass in the pelagic region was too low to support introductions and that the fish biomass in the pelagic region may have been underestimated. Results from the present study suggest that planktivorous fish (including B. nyasensis) might not be inferior to C. edulis in utilising the zooplankton resource; B. nyasensis is well adapted to utilise the dilute zooplankton resource, and by omitting B. nyasensis from previous studies, overall zooplankton predation by fish may have been underestimated by between 7 - 33%. On the basis of the theoretical migratory life history cycle of B. nyasensis, it is recommended that the current interest in increasing fishing effort in offshore areas should proceed with caution. Ecological changes that may have occurred in the inshore areas due to overfishing have probably not been noticed: as the offshore zone has never been fished. The latter zone may have acted as a stock refuge area. Higher fishing intensity in the offshore areas could lead to serious ecological imbalances and instability. The study has shown that life history characteristics studied in the context of the food web, and in the absence of other fisheries information and/or data, strongly advocates the precautionary principle to managing changes in exploitation patterns.
- Full Text:
- Date Issued: 2001
Formulation and dissolution assessment of a novel repeat action tablet containing a decongestant and an antihistamine
- Authors: Verner, Jennifer Joan
- Date: 2001
- Subjects: Antihistamines , Tablets (Medicine) , Tableting , Ephedrine
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:3798 , http://hdl.handle.net/10962/d1003276 , Antihistamines , Tablets (Medicine) , Tableting , Ephedrine
- Description: Controlled and sustained release dosage forms are the focus of worldwide research. These dosage forms facilitate patient compliance by simplifying the dosage regimen, and decrease the risk of adverse effects by reducing large fluctuations in the plasma concentration of the drug. The objective of this study was to formulate a repeat-action tablet to provide a sustained release dose of pseudoephedrine sulfate (PSS), and an immediate release dose of both PSS and loratadine. The release profile was compared to that of a commercially available preparation, Clarityne-D®. This formulation developed presents a novel mechanism of sustaining the release of PSS. The prototype tablet consisted of a sustained release core coated with an ethylcellulose dispersion to introduce a lag phase into the release profile and a second outer film coat incorporating PSS and loratadine. The core comprised an ethylcellulose granulation of PSS compressed into a hydroxypropyl methylcellulose matrix. The release of PSS from prototypes was assessed using USP Apparatus 3, as this apparatus was more representative of in vivo conditions and discriminated more effectively between the different tablet compositions produced during development. All dissolution samples were analysed for PSS and loratadine using validated highperformance liquid chromatographic methods. The prototype sustained release cores were found to be more resistant than the reference product to elevated temperature and humidity (40°C/87% RH) with fewer observed changes to the release profiles following storage for up to six months. This study was a feasibility study to obtain proof of concept. The release profile obtained from the prototype tablets was similar (f₂ = 50.0) to that of the reference product. Further development and optimisation of this dosage form is necessary, including evaluation of the choice of hydrophobic polymer, the effect of compression force and tablet geometry and characterisation of the release mechanism from the coated matrix. Assessment of these factors is necessary in order to optimise the formulation with respect to the desired therapeutic objectives.
- Full Text:
- Date Issued: 2001
- Authors: Verner, Jennifer Joan
- Date: 2001
- Subjects: Antihistamines , Tablets (Medicine) , Tableting , Ephedrine
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:3798 , http://hdl.handle.net/10962/d1003276 , Antihistamines , Tablets (Medicine) , Tableting , Ephedrine
- Description: Controlled and sustained release dosage forms are the focus of worldwide research. These dosage forms facilitate patient compliance by simplifying the dosage regimen, and decrease the risk of adverse effects by reducing large fluctuations in the plasma concentration of the drug. The objective of this study was to formulate a repeat-action tablet to provide a sustained release dose of pseudoephedrine sulfate (PSS), and an immediate release dose of both PSS and loratadine. The release profile was compared to that of a commercially available preparation, Clarityne-D®. This formulation developed presents a novel mechanism of sustaining the release of PSS. The prototype tablet consisted of a sustained release core coated with an ethylcellulose dispersion to introduce a lag phase into the release profile and a second outer film coat incorporating PSS and loratadine. The core comprised an ethylcellulose granulation of PSS compressed into a hydroxypropyl methylcellulose matrix. The release of PSS from prototypes was assessed using USP Apparatus 3, as this apparatus was more representative of in vivo conditions and discriminated more effectively between the different tablet compositions produced during development. All dissolution samples were analysed for PSS and loratadine using validated highperformance liquid chromatographic methods. The prototype sustained release cores were found to be more resistant than the reference product to elevated temperature and humidity (40°C/87% RH) with fewer observed changes to the release profiles following storage for up to six months. This study was a feasibility study to obtain proof of concept. The release profile obtained from the prototype tablets was similar (f₂ = 50.0) to that of the reference product. Further development and optimisation of this dosage form is necessary, including evaluation of the choice of hydrophobic polymer, the effect of compression force and tablet geometry and characterisation of the release mechanism from the coated matrix. Assessment of these factors is necessary in order to optimise the formulation with respect to the desired therapeutic objectives.
- Full Text:
- Date Issued: 2001
Heads and tales: the effect of mild head injuries of rugby players: cognitive deficit and postconcussive symptoms
- Authors: Border, Michael Anthony
- Date: 2001
- Subjects: Rugby football injuries , Head -- Wounds and injuries -- Psychology , Head -- Wounds and injuries -- Complications , Brain damage
- Language: English
- Type: Thesis , Masters , MSocSc
- Identifier: vital:2937 , http://hdl.handle.net/10962/d1002446 , Rugby football injuries , Head -- Wounds and injuries -- Psychology , Head -- Wounds and injuries -- Complications , Brain damage
- Description: This study investigated the cumulative effect of mild head injuries on rugby players. A comprehensive battery of neuropsychological tests was administered and subjects completed a self-report postconcussive symptom questionnaire. Data were collected for the two rugby groups, Springbok rugby players (n = 26) and Under 21 rugby players (n = 19), and for the control group, national hockey players (n = 21). Group comparisons of the percentage of individuals with deficit or self-reported symptomatology were made between: (i) the contact sport groups and the control group; (ii) the forwards and the backs within each rugby group and the rugby forwards and the control group; and (iii) the Springbok and Under 21 rugby players. Broadly speaking, comparative results on the neuropsychological tests and the self-reported postconcussive symptoms clearly distinguished between contact sport players and non-contact sport players and indicated the presence of diffuse brain damage in the contact sport players. There was also clear evidence of positional variation within the rugby groups, with the forwards (more full contact positions) most susceptible to impairment. Neuropsychological test results revealed deficit in information processing speed, attention and concentration, mental flexibility, visual memory and verbal new learning. The most significant neuropsychiatric complaints were reported in the areas of memory, social contact, sensitivity to noise, lowered frustration tolerance, anxiety and worry, and depression. The most sensitive neuropsychological test used in the present study was the Digit Symbol Substitution test. This test clearly distinguished contact sport players from non-contact sport players, and forwards from backs.
- Full Text:
- Date Issued: 2001
- Authors: Border, Michael Anthony
- Date: 2001
- Subjects: Rugby football injuries , Head -- Wounds and injuries -- Psychology , Head -- Wounds and injuries -- Complications , Brain damage
- Language: English
- Type: Thesis , Masters , MSocSc
- Identifier: vital:2937 , http://hdl.handle.net/10962/d1002446 , Rugby football injuries , Head -- Wounds and injuries -- Psychology , Head -- Wounds and injuries -- Complications , Brain damage
- Description: This study investigated the cumulative effect of mild head injuries on rugby players. A comprehensive battery of neuropsychological tests was administered and subjects completed a self-report postconcussive symptom questionnaire. Data were collected for the two rugby groups, Springbok rugby players (n = 26) and Under 21 rugby players (n = 19), and for the control group, national hockey players (n = 21). Group comparisons of the percentage of individuals with deficit or self-reported symptomatology were made between: (i) the contact sport groups and the control group; (ii) the forwards and the backs within each rugby group and the rugby forwards and the control group; and (iii) the Springbok and Under 21 rugby players. Broadly speaking, comparative results on the neuropsychological tests and the self-reported postconcussive symptoms clearly distinguished between contact sport players and non-contact sport players and indicated the presence of diffuse brain damage in the contact sport players. There was also clear evidence of positional variation within the rugby groups, with the forwards (more full contact positions) most susceptible to impairment. Neuropsychological test results revealed deficit in information processing speed, attention and concentration, mental flexibility, visual memory and verbal new learning. The most significant neuropsychiatric complaints were reported in the areas of memory, social contact, sensitivity to noise, lowered frustration tolerance, anxiety and worry, and depression. The most sensitive neuropsychological test used in the present study was the Digit Symbol Substitution test. This test clearly distinguished contact sport players from non-contact sport players, and forwards from backs.
- Full Text:
- Date Issued: 2001
How can cooperative learning be developed to enhance the teaching of biology at secondary school level?
- Authors: Pillay, Paramasivan
- Date: 2001
- Subjects: Biology -- Study and teaching (Secondary) Group work in education Group work in education -- Evaluation
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:1557 , http://hdl.handle.net/10962/d1003439
- Description: This research was undertaken by a group of practising teachers as a collaborative effort to develop a cooperative approach to the teaching of Biology at Secondary School level. The research focussed on Grade 10 learners at three different schools over a period of one full academic school-year. During this time, four complete cycles within an action research framework were completed and reflected upon. Learners were then surveyed by means of a questionnaire and follow-up interviews. The reflective sessions, together with the responses from the questionnaire and interviews, provided a wealth of information with regard to the development of a cooperative approach to teaching. The cooperative classroom is vastly different from the traditional one. Here, new roles are assumed by both teacher and learner. Learners are largely expected to take charge of their learning experience in the classroom. The teacher, while still responsible for facilitating this learning experience, delegates authority to the learners. It was the experience of the group that the relationship between teacher and learner, as well as between learner and learner, vastly improved in the cooperative class where the participants were more relaxed. Over time, learners became more accountable in terms of their work and learning. Learners’ self-esteem and self-confidence grew, and the majority of learners indicated that their understanding of the work improved. Furthermore, the cooperative structure encouraged and developed self-discipline in the learners. In the early stages of this research, the group did find certain behaviour to be inhibiting: excessive noise, laziness, too much tomfoolery, and absenteeism. These problems were easily addressed within the action research framework, and were nearly non-existent by the end of the research. The group also found that: (i) cooperative lessons required more time than traditional lessons, often at the expense (justifiably) of the syllabus, and that: (ii) cooperative lessons played a major role in reactivating learner interest towards the learning process both in and outside the classroom.
- Full Text:
- Date Issued: 2001
- Authors: Pillay, Paramasivan
- Date: 2001
- Subjects: Biology -- Study and teaching (Secondary) Group work in education Group work in education -- Evaluation
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:1557 , http://hdl.handle.net/10962/d1003439
- Description: This research was undertaken by a group of practising teachers as a collaborative effort to develop a cooperative approach to the teaching of Biology at Secondary School level. The research focussed on Grade 10 learners at three different schools over a period of one full academic school-year. During this time, four complete cycles within an action research framework were completed and reflected upon. Learners were then surveyed by means of a questionnaire and follow-up interviews. The reflective sessions, together with the responses from the questionnaire and interviews, provided a wealth of information with regard to the development of a cooperative approach to teaching. The cooperative classroom is vastly different from the traditional one. Here, new roles are assumed by both teacher and learner. Learners are largely expected to take charge of their learning experience in the classroom. The teacher, while still responsible for facilitating this learning experience, delegates authority to the learners. It was the experience of the group that the relationship between teacher and learner, as well as between learner and learner, vastly improved in the cooperative class where the participants were more relaxed. Over time, learners became more accountable in terms of their work and learning. Learners’ self-esteem and self-confidence grew, and the majority of learners indicated that their understanding of the work improved. Furthermore, the cooperative structure encouraged and developed self-discipline in the learners. In the early stages of this research, the group did find certain behaviour to be inhibiting: excessive noise, laziness, too much tomfoolery, and absenteeism. These problems were easily addressed within the action research framework, and were nearly non-existent by the end of the research. The group also found that: (i) cooperative lessons required more time than traditional lessons, often at the expense (justifiably) of the syllabus, and that: (ii) cooperative lessons played a major role in reactivating learner interest towards the learning process both in and outside the classroom.
- Full Text:
- Date Issued: 2001
Ichthyofaunal community structures in different types of Eastern Cape estuaries
- Authors: Vorwerk, Paul D
- Date: 2001
- Subjects: Estuarine fishes -- South Africa -- Eastern Cape , Estuarine fishes -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5377 , http://hdl.handle.net/10962/d1016241
- Description: This investigation had three major objectives; firstly to document the estuarine fishes from several poorly studied Eastern Cape estuaries, secondly, to identify similarities and differences in the fish communities from permanently open and intermittently open estuaries, and thirdly, to establish which physico-chemical or environmental variables are responsible for the structuring of these communities. The study area incorporated 10 estuaries along a 70 km long stretch of the Eastern Cape coastline between the towns of Seafield (33° 32' 42" S, 27° 03' 05" E) in the south-east and Hamburg (33° 16' 45" S, 27° 29' 50" E) in the north-west. The systems investigated included two permanently open estuaries and eight intermittently open systems of varying sizes. Overall fish abundance and species richness in the study area revealed no significant seasonal variation. A contrast between open and closed estuaries was evident in the dominance of species from different estuarine dependence categories. Open estuaries comprised mainly category Ib, lla and IIb species, with a high proportion of category IV species. Closed estuaries were dominated by category IIa species, with few category IV species represented. Clear longitudinal trends in relative abundance were demonstrated for individual species. Margalefs species richness index for seine net catches, and a combination of the seine and gill net data, were significantly correlated with catchment size, mean annual runoff, estuarine area and linear length. Fish assemblages in the permanently open and intermittently open estuaries were significantly different (p<0.001) when analysed on a community and density basis. Similarly, the communities in large and small intermittently open estuaries differed significantly on a community (p=0.01) and density basis (p<0.001). These differences where caused by changes in abundance of the dominant estuarine resident and marine migrant species. The environmental variable that was dominant in accounting for these differences was the estuary mouth status. Estuarine resident species had smaller overall body lengths when compared with the marine migrant species. In addition, the estuarine resident species had smaller modal size classes in the closed estuaries when compared with the open estuaries. These differences may be linked to the foraging strategies of the species, as well as food availability and different levels of predation in the different estuary types. The marine migrant species did not show any trends in this respect although the closed systems had the largest individuals for all four dominant marine species. This finding may be linked to the inability of these species to breed in closed estuaries, thus channelling reproductive energy resources into somatic growth. In addition, prolonged periods of mouth closure prevent the emigration of large individuals back to the sea. Otter trawling was conducted in fiye estuaries and captured mostly demersal species. The otter trawl data confirmed the seine net community analysis, with significantly different communities identified in the permanently open and intermittently open estuaries (p=0.02), as well as in the small and large intermittently open estuaries (p=0.03). The environmental variables responsible for these community differences were mouth status and variables associated with estuarine size. The identification of estuary mouth status by this study as the most influential environmental factor is compounded by this "ariable affecting or being indicative of numerous other physico-chemical features. The large differences in the fish communities in different estuary types indicate the importance of each estuary type to various species. This should be taken into account before allowing any form of commercial fishing in these important nursery areas.
- Full Text:
- Date Issued: 2001
- Authors: Vorwerk, Paul D
- Date: 2001
- Subjects: Estuarine fishes -- South Africa -- Eastern Cape , Estuarine fishes -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5377 , http://hdl.handle.net/10962/d1016241
- Description: This investigation had three major objectives; firstly to document the estuarine fishes from several poorly studied Eastern Cape estuaries, secondly, to identify similarities and differences in the fish communities from permanently open and intermittently open estuaries, and thirdly, to establish which physico-chemical or environmental variables are responsible for the structuring of these communities. The study area incorporated 10 estuaries along a 70 km long stretch of the Eastern Cape coastline between the towns of Seafield (33° 32' 42" S, 27° 03' 05" E) in the south-east and Hamburg (33° 16' 45" S, 27° 29' 50" E) in the north-west. The systems investigated included two permanently open estuaries and eight intermittently open systems of varying sizes. Overall fish abundance and species richness in the study area revealed no significant seasonal variation. A contrast between open and closed estuaries was evident in the dominance of species from different estuarine dependence categories. Open estuaries comprised mainly category Ib, lla and IIb species, with a high proportion of category IV species. Closed estuaries were dominated by category IIa species, with few category IV species represented. Clear longitudinal trends in relative abundance were demonstrated for individual species. Margalefs species richness index for seine net catches, and a combination of the seine and gill net data, were significantly correlated with catchment size, mean annual runoff, estuarine area and linear length. Fish assemblages in the permanently open and intermittently open estuaries were significantly different (p<0.001) when analysed on a community and density basis. Similarly, the communities in large and small intermittently open estuaries differed significantly on a community (p=0.01) and density basis (p<0.001). These differences where caused by changes in abundance of the dominant estuarine resident and marine migrant species. The environmental variable that was dominant in accounting for these differences was the estuary mouth status. Estuarine resident species had smaller overall body lengths when compared with the marine migrant species. In addition, the estuarine resident species had smaller modal size classes in the closed estuaries when compared with the open estuaries. These differences may be linked to the foraging strategies of the species, as well as food availability and different levels of predation in the different estuary types. The marine migrant species did not show any trends in this respect although the closed systems had the largest individuals for all four dominant marine species. This finding may be linked to the inability of these species to breed in closed estuaries, thus channelling reproductive energy resources into somatic growth. In addition, prolonged periods of mouth closure prevent the emigration of large individuals back to the sea. Otter trawling was conducted in fiye estuaries and captured mostly demersal species. The otter trawl data confirmed the seine net community analysis, with significantly different communities identified in the permanently open and intermittently open estuaries (p=0.02), as well as in the small and large intermittently open estuaries (p=0.03). The environmental variables responsible for these community differences were mouth status and variables associated with estuarine size. The identification of estuary mouth status by this study as the most influential environmental factor is compounded by this "ariable affecting or being indicative of numerous other physico-chemical features. The large differences in the fish communities in different estuary types indicate the importance of each estuary type to various species. This should be taken into account before allowing any form of commercial fishing in these important nursery areas.
- Full Text:
- Date Issued: 2001
In the gaze of God : aspects of the spiritual significance of Rublev's holy trinity
- Authors: Snyman, Desiree
- Date: 2001
- Subjects: Prayer , Spirituality
- Language: English
- Type: Thesis , Bachelor , BDiv
- Identifier: vital:1302 , http://hdl.handle.net/10962/d1016261
- Description: An icon is more than an image. It is a "sacramental form of presence" that makes present that which it signifies (Evdokimov 1976: 167). To come before an icon is to come before the presence of God. To gaze at an icon is to pray. Rublev's Holy Trinity icon (see frontispiece) is a theology in colour. Inspired by the story in Genesis 18, the icon depicts the three hypostases of the Trinity sitting around an altar with a chalice placed on top. The Biblical story is an account of the genuine hospitality that Abraham and Sarah shared with three pilgrims. This theme of hospitality is expressed by the three hypostases in the icon who invite the cosmos to share in their love-life. This research project investigates aspects of the spiritual significance that Rublev's icon has on our Christian living. To this end, an interpretation of the icon is offered in chapter two. Chapter three focuses on the relationship among the three hypostases in the icon. This chapter reflects on the meaning that trinitarian pericheresis could have on our spiritual living in the way we develop our relationships and the type of church and socio-political structures we adopt and support. The research project also explores the meaning that Rublev's icon could have for Methodists. The resource that Wesleyan spirituality offers to those who seek a deepened spirituality is the doctrine of Christian perfection. Perfection, in the Wesleyan model, is sought through the means of grace, nurtured through Christian koinonia and evidenced in social transformation. Christian perfection is discussed with reference to Rublev's icon in chapter four. Chapter five summarises aspects of the spirituality of the icon, postulates some implications that the icon has and unravels key issues arising out of this study.
- Full Text:
- Date Issued: 2001
- Authors: Snyman, Desiree
- Date: 2001
- Subjects: Prayer , Spirituality
- Language: English
- Type: Thesis , Bachelor , BDiv
- Identifier: vital:1302 , http://hdl.handle.net/10962/d1016261
- Description: An icon is more than an image. It is a "sacramental form of presence" that makes present that which it signifies (Evdokimov 1976: 167). To come before an icon is to come before the presence of God. To gaze at an icon is to pray. Rublev's Holy Trinity icon (see frontispiece) is a theology in colour. Inspired by the story in Genesis 18, the icon depicts the three hypostases of the Trinity sitting around an altar with a chalice placed on top. The Biblical story is an account of the genuine hospitality that Abraham and Sarah shared with three pilgrims. This theme of hospitality is expressed by the three hypostases in the icon who invite the cosmos to share in their love-life. This research project investigates aspects of the spiritual significance that Rublev's icon has on our Christian living. To this end, an interpretation of the icon is offered in chapter two. Chapter three focuses on the relationship among the three hypostases in the icon. This chapter reflects on the meaning that trinitarian pericheresis could have on our spiritual living in the way we develop our relationships and the type of church and socio-political structures we adopt and support. The research project also explores the meaning that Rublev's icon could have for Methodists. The resource that Wesleyan spirituality offers to those who seek a deepened spirituality is the doctrine of Christian perfection. Perfection, in the Wesleyan model, is sought through the means of grace, nurtured through Christian koinonia and evidenced in social transformation. Christian perfection is discussed with reference to Rublev's icon in chapter four. Chapter five summarises aspects of the spirituality of the icon, postulates some implications that the icon has and unravels key issues arising out of this study.
- Full Text:
- Date Issued: 2001
In vitro passage of ibuprofen through synthetic and biological membranes
- Authors: Purdon, Carryn Hamilton
- Date: 2001
- Subjects: Ibuprofen , Diffusion processes
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:3786 , http://hdl.handle.net/10962/d1003264 , Ibuprofen , Diffusion processes
- Description: Ibuprofen is a non-steroidal anti-inflammatory drug with three major types of effect: anti-inflammatory, analgesic and antipyretic. Ibuprofen may be administered in a number of different forms via the oral as well as the topical route. Published evidence suggests that topical, unlike oral, non-steroidal anti-inflammatory drugs are associated with few systemic side effects as plasma concentrations are low compared to oral therapy. In some countries it is particularly difficult to obtain human skin for in vitro experimentation and it is therefore important to have alternate biological or synthetic membranes which mimic human skin for diffusion experiments. Synthetic membranes serve as predictive models for topical drug release and in South Africa, shed snake skin is easily obtainable from the many snake parks present in the country. The FDA guidelines were considered when choosing the apparatus to be used in the comparative diffusion study on proprietary ibuprofen-containing topical preparations from three countries and the verification of the usefulness, or otherwise, of shed snake skin as a biological membrane for the assessment of the permeation of ibuprofen. Two diffusion techniques were considered appropriate for the measurement of the amount of ibuprofen released from a topical formulation during in vitro testing. One was the Franz diffusion cell, as modified by Keshary and Chien (88,169) and the other was the European Pharmacopoeia diffusion cell (187). High performance liquid chromatography was used as the analytical technique for the analysis of ibuprofen in aqueous solution using ultraviolet detection at 222 nm. The validated method was applied to the determination of the diffusion of ibuprofen from topical ibuprofen-containing formulations (gels, creams and mousse) through synthetic silicone membrane and shed snake skin biological membrane from four different species. In a study of fifteen topical ibuprofen-containing formulations (gels, creams and mousse) from three countries (South Africa, United Kingdom and France) it was found that there was a trend of products from two countries consistently exhibiting superior diffusion characteristics as well as products from the same two countries consistently exhibiting the lowest diffusion of ibuprofen. Interpretation of the results of these studies demonstrated the importance of employing a combination of statistical analyses and peak integration values when drawing conclusions regarding comparative diffusion characteristics. Shed snake skin has been described as a 'model' membrane, i.e. a membrane which shows similar permeability to human stratum corneum. The results reported here show clearly that, for ibuprofen, the four species of snake produce shed skin with completely different diffusion characteristics when all other conditions are identical. It may well be that there is one particular species of snake which produces shed skin of identical permeability to human stratum corneum, but to describe shed snake skin in general as a model membrane seems incorrect. It is therefore important that if shed snake skin is used as a membrane, the species, skin site and orientation should be reported. The European Pharmacopoeia diffusion apparatus was judged to be the better of the two diffusion techniques assessed for the measurement of the amount of ibuprofen released from a topical formulation during in vitro testing using silicone membranes and for the measurement of the amount of ibuprofen diffusing across the ventral outside orientation of shed skin during in vitro testing, whereas the Franz diffusion apparatus was judged to be better for the measurement of the amount of ibuprofen diffusing across the dorsal outside orientation of shed skin during in vitro testing. However, the choice of this diffusion apparatus must be weighed against the relatively poor reproducibility as compared with the European Pharmacopoeia diffusion apparatus.
- Full Text:
- Date Issued: 2001
- Authors: Purdon, Carryn Hamilton
- Date: 2001
- Subjects: Ibuprofen , Diffusion processes
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:3786 , http://hdl.handle.net/10962/d1003264 , Ibuprofen , Diffusion processes
- Description: Ibuprofen is a non-steroidal anti-inflammatory drug with three major types of effect: anti-inflammatory, analgesic and antipyretic. Ibuprofen may be administered in a number of different forms via the oral as well as the topical route. Published evidence suggests that topical, unlike oral, non-steroidal anti-inflammatory drugs are associated with few systemic side effects as plasma concentrations are low compared to oral therapy. In some countries it is particularly difficult to obtain human skin for in vitro experimentation and it is therefore important to have alternate biological or synthetic membranes which mimic human skin for diffusion experiments. Synthetic membranes serve as predictive models for topical drug release and in South Africa, shed snake skin is easily obtainable from the many snake parks present in the country. The FDA guidelines were considered when choosing the apparatus to be used in the comparative diffusion study on proprietary ibuprofen-containing topical preparations from three countries and the verification of the usefulness, or otherwise, of shed snake skin as a biological membrane for the assessment of the permeation of ibuprofen. Two diffusion techniques were considered appropriate for the measurement of the amount of ibuprofen released from a topical formulation during in vitro testing. One was the Franz diffusion cell, as modified by Keshary and Chien (88,169) and the other was the European Pharmacopoeia diffusion cell (187). High performance liquid chromatography was used as the analytical technique for the analysis of ibuprofen in aqueous solution using ultraviolet detection at 222 nm. The validated method was applied to the determination of the diffusion of ibuprofen from topical ibuprofen-containing formulations (gels, creams and mousse) through synthetic silicone membrane and shed snake skin biological membrane from four different species. In a study of fifteen topical ibuprofen-containing formulations (gels, creams and mousse) from three countries (South Africa, United Kingdom and France) it was found that there was a trend of products from two countries consistently exhibiting superior diffusion characteristics as well as products from the same two countries consistently exhibiting the lowest diffusion of ibuprofen. Interpretation of the results of these studies demonstrated the importance of employing a combination of statistical analyses and peak integration values when drawing conclusions regarding comparative diffusion characteristics. Shed snake skin has been described as a 'model' membrane, i.e. a membrane which shows similar permeability to human stratum corneum. The results reported here show clearly that, for ibuprofen, the four species of snake produce shed skin with completely different diffusion characteristics when all other conditions are identical. It may well be that there is one particular species of snake which produces shed skin of identical permeability to human stratum corneum, but to describe shed snake skin in general as a model membrane seems incorrect. It is therefore important that if shed snake skin is used as a membrane, the species, skin site and orientation should be reported. The European Pharmacopoeia diffusion apparatus was judged to be the better of the two diffusion techniques assessed for the measurement of the amount of ibuprofen released from a topical formulation during in vitro testing using silicone membranes and for the measurement of the amount of ibuprofen diffusing across the ventral outside orientation of shed skin during in vitro testing, whereas the Franz diffusion apparatus was judged to be better for the measurement of the amount of ibuprofen diffusing across the dorsal outside orientation of shed skin during in vitro testing. However, the choice of this diffusion apparatus must be weighed against the relatively poor reproducibility as compared with the European Pharmacopoeia diffusion apparatus.
- Full Text:
- Date Issued: 2001
Investigations to determine the long-term sustainable yield of the Karoo aquifer and the sustained availability of groundwater for small-scale irrigation projects, in Dendera area, Kwekwe District - Zimbabwe
- Authors: Njanike, Joseph Tendayi
- Date: 2001
- Subjects: Groundwater , Irrigation -- Equipement and supplies , Irrigation -- Kwekwe (Zimbabwe)
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5093 , http://hdl.handle.net/10962/d1020853
- Description: In this thesis the long-term sustainable yield of the Karoo sediment aquifer unit occurring in Dendera area of Kwekwe District is investigated, with the object of providing quantitative data on the sustained availability of groundwater for small-scale irrigation projects. Archaean Basement Schists and Pre-Cambrian gneissic granites, the Basement Complex rocks, underlie the entire study area. Overlying these are Upper Karoo sediments. Aeolian Kalahari sands unconformably mantle higher interfluves, while redistributed sands occur along valleys of major rivers and streams. The Karoo sediments, which predominantly consist of loosely cemented, fine- to medium-grained sandstone alternating with red siltstone and mudstone, constitute the main aquifer. The thickness of the Karoo sediment unit ranges from 30m to 80m. The hydraulic parameters of the Karoo sediment aquifer were characterised in the field by constant discharge pumping tests and slug tests. Pumping tests indicated unconfined conditions and thus the Neuman's method of analysis has been used. Transmissivities from pumping tests are within the range 4.7 m²/d to 13.6 m²/d with an average of 8.9m²/d. The low transmissivities seem to be a major limiting factor in the exploitation of the groundwater resources. Thus the sustainable borehole yields tend to be small, mean values ranging from 33 m²/d to 253 m²/d. Specific yield could not be determined from the pumping tests due to the lack of observation boreholes. Low chemical concentrations render the water suitable for irrigation of all crops, while neither total nor any individual concentrations present health hazards to human or livestock. An average recharge value of 47.7 mm/y was inferred from water table fluctuation method. Chloride mass balance technique in the same area indicates recharge value in the order of 67.4 mm/y. Because the chloride mass balance gives a long-term mean annual recharge, the recharge figure of 67.4 mm/y was adopted for the study area. Based on the abstractable proportion of recharge, the sustainably exploitable volume of groundwater of the order of 2.68 x 10⁷ m³/y was established. This volume is more than 100 times the estimated current demand for groundwater (1.35 x 10⁵ m³/d), implying that there are large volumes of surplus water, which can be utilised for irrigation.
- Full Text:
- Date Issued: 2001
- Authors: Njanike, Joseph Tendayi
- Date: 2001
- Subjects: Groundwater , Irrigation -- Equipement and supplies , Irrigation -- Kwekwe (Zimbabwe)
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5093 , http://hdl.handle.net/10962/d1020853
- Description: In this thesis the long-term sustainable yield of the Karoo sediment aquifer unit occurring in Dendera area of Kwekwe District is investigated, with the object of providing quantitative data on the sustained availability of groundwater for small-scale irrigation projects. Archaean Basement Schists and Pre-Cambrian gneissic granites, the Basement Complex rocks, underlie the entire study area. Overlying these are Upper Karoo sediments. Aeolian Kalahari sands unconformably mantle higher interfluves, while redistributed sands occur along valleys of major rivers and streams. The Karoo sediments, which predominantly consist of loosely cemented, fine- to medium-grained sandstone alternating with red siltstone and mudstone, constitute the main aquifer. The thickness of the Karoo sediment unit ranges from 30m to 80m. The hydraulic parameters of the Karoo sediment aquifer were characterised in the field by constant discharge pumping tests and slug tests. Pumping tests indicated unconfined conditions and thus the Neuman's method of analysis has been used. Transmissivities from pumping tests are within the range 4.7 m²/d to 13.6 m²/d with an average of 8.9m²/d. The low transmissivities seem to be a major limiting factor in the exploitation of the groundwater resources. Thus the sustainable borehole yields tend to be small, mean values ranging from 33 m²/d to 253 m²/d. Specific yield could not be determined from the pumping tests due to the lack of observation boreholes. Low chemical concentrations render the water suitable for irrigation of all crops, while neither total nor any individual concentrations present health hazards to human or livestock. An average recharge value of 47.7 mm/y was inferred from water table fluctuation method. Chloride mass balance technique in the same area indicates recharge value in the order of 67.4 mm/y. Because the chloride mass balance gives a long-term mean annual recharge, the recharge figure of 67.4 mm/y was adopted for the study area. Based on the abstractable proportion of recharge, the sustainably exploitable volume of groundwater of the order of 2.68 x 10⁷ m³/y was established. This volume is more than 100 times the estimated current demand for groundwater (1.35 x 10⁵ m³/d), implying that there are large volumes of surplus water, which can be utilised for irrigation.
- Full Text:
- Date Issued: 2001