Design and Characterization of a 5 kw Xe-Lamp Solar Simulator
- Authors: Nwodo, Julian Chizoba
- Date: 2019
- Subjects: Solar energy
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/14671 , vital:40042
- Description: The design and characterisation of a 5kW Xenon lamp solar simulator is presented. This was accomplished through considering the design features of an ellipsoidal reflector, Xe lamp characteristics and casing, and power supply; assembly of an ellipsoidal, Xe-lamp simulator; design and building of an automated control system capable of remotely controlling the operating mode of the simulator; establishing the 3 scenarios that must be met to conform to a AAA class simulator; characterization of the simulator in terms of temporal stability, irradiance uniformity and spectral match; and application of the simulator and comparing it with STC rated values. The considerations for the type of material used for housing the components of the solar simulator were made. A 5kW DC power supply and igniter for the Xe-lamp was carefully selected since they provide necessary power for running the simulator. The simulator has the ability to be used in either horizontal or vertical position by adjusting the reflector. An automated control system capable of remotely controlling the operating mode of the simulator was built for this study, this system enables the simulator to be operated in either auto or manual modes. It also incorporates an irradiance, temperature, current and voltage feedback. The characterisation of the solar simulator was over a 2.1 m X 1.6 m test plane. The area under which the characterisation was carried out within the test plane is 110 cm x 129.5 cm. At the end of the steady state large area solar simulator characterisation, a class A spectral match, class A spatial uniformity, and a class B temporal instability was obtained
- Full Text:
- Date Issued: 2019
- Authors: Nwodo, Julian Chizoba
- Date: 2019
- Subjects: Solar energy
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/14671 , vital:40042
- Description: The design and characterisation of a 5kW Xenon lamp solar simulator is presented. This was accomplished through considering the design features of an ellipsoidal reflector, Xe lamp characteristics and casing, and power supply; assembly of an ellipsoidal, Xe-lamp simulator; design and building of an automated control system capable of remotely controlling the operating mode of the simulator; establishing the 3 scenarios that must be met to conform to a AAA class simulator; characterization of the simulator in terms of temporal stability, irradiance uniformity and spectral match; and application of the simulator and comparing it with STC rated values. The considerations for the type of material used for housing the components of the solar simulator were made. A 5kW DC power supply and igniter for the Xe-lamp was carefully selected since they provide necessary power for running the simulator. The simulator has the ability to be used in either horizontal or vertical position by adjusting the reflector. An automated control system capable of remotely controlling the operating mode of the simulator was built for this study, this system enables the simulator to be operated in either auto or manual modes. It also incorporates an irradiance, temperature, current and voltage feedback. The characterisation of the solar simulator was over a 2.1 m X 1.6 m test plane. The area under which the characterisation was carried out within the test plane is 110 cm x 129.5 cm. At the end of the steady state large area solar simulator characterisation, a class A spectral match, class A spatial uniformity, and a class B temporal instability was obtained
- Full Text:
- Date Issued: 2019
Perceptions of climate change and adaptation strategies: the case of smallholder farmers of Raymond Mhlaba, Port Saint Johns’ and Ingquza Hill local municipality in the Eastern Cape.
- Authors: Maya, Okuhle
- Date: 2019
- Subjects: Climatic changes Farms, Small
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/17271 , vital:40871
- Description: Climate change has become indisputable judging from the observed global variations in precipitation, increases in average temperatures, rising average sea levels and melting of ice. The climate phenomenon has since evolved globally and it has been largely documented by scholars. Because of the increases in global temperatures, weather patterns have also changed. This change has resulted in debates on climate change as well as how to respond to it. Various scholars across the world have expressed their opinions about climate change; its causes, impacts and adaptation. In addition, there has been a growing body of literature and studies focusing on smallholder farmers’ perceptions of climate change. Without a doubt, climate change will and has left a group of people, communities and countries vulnerable. In particular, developing countries and poor communities in sub-Saharan Africa are expected to be affected the most by the impacts of climate change. This is mainly because of the region’s dependence on natural resources and their limited capacity to adapt. Literature further adds that vulnerability is on condition of the community’s socioeconomic characteristics and physical surroundings. Climate change variations pose a threat to the agricultural sector and food security of households relying on subsistence farming for survival. Climate variations such as decrease in rainfall and increased hot seasons have been reported to have led to a decline in food production, death of livestock and outbreaks human and animal diseases. The study’s main aim was to determine the smallholder farmers’ perceptions of climate change and adaptation strategies in Raymond Mhlaba, Port Saint Johns’ and Ingquza Hill local municipalities. Particularly, the study looked at the factors influencing these perceptions and the factors affecting the smallholder farmers’ choice of adaptation strategies used in response to climate change. Investigating perception provides insights into the fundamental drivers of behavioural changes in the face of climate change. On their part, adaptation options are greatly shaped by the nature of an individual’s behaviour. The study was carried out in 3 local municipalities (Raymond Mhlaba, Port St Johns’ and Ingquza Hill) in the Eastern Cape, South Africa. The research design applied in this study was cross sectional design where data are collected at a single point in time. Multistage sampling technique was used in selecting respondents from the local municipalities. Stratification was then done to group farmers according to their vi wards and locations. Lastly, purposive sampling was used to select households and smallholder farmers practising crop and livestock production. A total of 211 smallholder farmers constituted the sample size for the study. A close-ended questionnaire was used to conduct structured interviews of household heads. The study utilized both qualitative and quantitative approach. Data collected were coded and entered in Microsoft Excel and transferred to Statistical Package for Social Scientists (SPSS, version 25) for analyses. Descriptive statistics was used to determine the climate change perceptions of smallholder farmers and also to explore the adaptation strategies used by farmers to cope with the impacts of climate change. The findings were explained using frequencies, means and variances. Multinomial Logistic Regression (MNL) was used to determine the factors affecting the choice of adaptation strategies used by smallholder farmers and the probability that a farmer would choose a particular strategy. The results from the study revealed most of the respondents as being able to identify the perceived changes in climate with the environmental changes that they observed. The respondents perceived climate change as an increase in drought period, increase in average temperatures, decrease and variations in rainfall, shortened growing season, crop failure, pests and diseases. However, most of the smallholder farmers disagreed with the frequency of flood incidences as they have not experienced these in their areas. In terms of responses to these changes in climate, the smallholder farmers have used a number of adaptation strategies to cope. Most of the farmers used crop diversification, organic manure, soil and water conservation practices, while others simply did not adapt and some used all the available adaptation strategies identified in this study. The results from the MNL revealed that occupation, household size and years spent in school (education) generally had a positive influence on the choice of adaptation strategy used by smallholder farmers. On the other hand, age; farming systems and membership of a farmers’ association were negatively affecting the smallholder farmers’ choice of adaptation strategy to use in response to climate change. Much support is needed in terms of disseminating information and knowledge among smallholder farmers about climate change and its adaptation strategies. This can be possible through improving extension services, and providing credit to smallholder farmers
- Full Text:
- Date Issued: 2019
- Authors: Maya, Okuhle
- Date: 2019
- Subjects: Climatic changes Farms, Small
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/17271 , vital:40871
- Description: Climate change has become indisputable judging from the observed global variations in precipitation, increases in average temperatures, rising average sea levels and melting of ice. The climate phenomenon has since evolved globally and it has been largely documented by scholars. Because of the increases in global temperatures, weather patterns have also changed. This change has resulted in debates on climate change as well as how to respond to it. Various scholars across the world have expressed their opinions about climate change; its causes, impacts and adaptation. In addition, there has been a growing body of literature and studies focusing on smallholder farmers’ perceptions of climate change. Without a doubt, climate change will and has left a group of people, communities and countries vulnerable. In particular, developing countries and poor communities in sub-Saharan Africa are expected to be affected the most by the impacts of climate change. This is mainly because of the region’s dependence on natural resources and their limited capacity to adapt. Literature further adds that vulnerability is on condition of the community’s socioeconomic characteristics and physical surroundings. Climate change variations pose a threat to the agricultural sector and food security of households relying on subsistence farming for survival. Climate variations such as decrease in rainfall and increased hot seasons have been reported to have led to a decline in food production, death of livestock and outbreaks human and animal diseases. The study’s main aim was to determine the smallholder farmers’ perceptions of climate change and adaptation strategies in Raymond Mhlaba, Port Saint Johns’ and Ingquza Hill local municipalities. Particularly, the study looked at the factors influencing these perceptions and the factors affecting the smallholder farmers’ choice of adaptation strategies used in response to climate change. Investigating perception provides insights into the fundamental drivers of behavioural changes in the face of climate change. On their part, adaptation options are greatly shaped by the nature of an individual’s behaviour. The study was carried out in 3 local municipalities (Raymond Mhlaba, Port St Johns’ and Ingquza Hill) in the Eastern Cape, South Africa. The research design applied in this study was cross sectional design where data are collected at a single point in time. Multistage sampling technique was used in selecting respondents from the local municipalities. Stratification was then done to group farmers according to their vi wards and locations. Lastly, purposive sampling was used to select households and smallholder farmers practising crop and livestock production. A total of 211 smallholder farmers constituted the sample size for the study. A close-ended questionnaire was used to conduct structured interviews of household heads. The study utilized both qualitative and quantitative approach. Data collected were coded and entered in Microsoft Excel and transferred to Statistical Package for Social Scientists (SPSS, version 25) for analyses. Descriptive statistics was used to determine the climate change perceptions of smallholder farmers and also to explore the adaptation strategies used by farmers to cope with the impacts of climate change. The findings were explained using frequencies, means and variances. Multinomial Logistic Regression (MNL) was used to determine the factors affecting the choice of adaptation strategies used by smallholder farmers and the probability that a farmer would choose a particular strategy. The results from the study revealed most of the respondents as being able to identify the perceived changes in climate with the environmental changes that they observed. The respondents perceived climate change as an increase in drought period, increase in average temperatures, decrease and variations in rainfall, shortened growing season, crop failure, pests and diseases. However, most of the smallholder farmers disagreed with the frequency of flood incidences as they have not experienced these in their areas. In terms of responses to these changes in climate, the smallholder farmers have used a number of adaptation strategies to cope. Most of the farmers used crop diversification, organic manure, soil and water conservation practices, while others simply did not adapt and some used all the available adaptation strategies identified in this study. The results from the MNL revealed that occupation, household size and years spent in school (education) generally had a positive influence on the choice of adaptation strategy used by smallholder farmers. On the other hand, age; farming systems and membership of a farmers’ association were negatively affecting the smallholder farmers’ choice of adaptation strategy to use in response to climate change. Much support is needed in terms of disseminating information and knowledge among smallholder farmers about climate change and its adaptation strategies. This can be possible through improving extension services, and providing credit to smallholder farmers
- Full Text:
- Date Issued: 2019
Characterisation of antibacterial compounds produced by Pseudomonas spp. isolated from Hogsback wetlands, Eastern Cape, South Africa
- Authors: Obi, Akudo Odochi
- Date: 2017
- Subjects: Bacteriology -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/15688 , vital:40507
- Description: With microbial pathogens developing resistance against currently existing antimicrobials, there is an earnest need to discover and develop new therapeutic compounds with unique and/or precise modes of action. Natural products have provided the inspiration for most of the active ingredients in medicines and thus are regarded as a potential screening resource lead for discovery of new drugs. Pseudomonads are ubiquitous, Gram-negative, motile bacteria that flourish and inhabit a diversity of environments. Literature has vastly revealed that some members of the genus Pseudomonas are capable of producing a plethora of biologically active metabolites and thus are regarded as “attractive” bacteria for testing as potential sources for new therapeutic compounds. In this regard, this study was undertaken with an aim to isolate and characterize antibacterial compounds produced by Pseudomonas species isolated from aquatic milieu of the Hogsback wetlands, Eastern Cape, South Africa. A total of 12 water samples were aseptically collected from Hogsback wetlands. To ascertain antimicrobial potential of the isolates, 9 test bacterial (sensitive) strains, namely Escherichia coli ATCC 3695, Vibrio fluvialis, Salmonella typhimurium, Salmonella enteritidis, Pseudomonas aeruginosa ATCC 27853, Escherichia coli (2), Listeria ivanovii, Listeria monocytogenes and Enterococcus faecalis ATCC 19433 were used for antimicrobial screening. A total of 500 presumptive Pseudomonas spp. were isolated and screened for the production of antibacterial compound through the Agar-well diffusion method. About 8percent of the presumptive Pseudomonas spp. produced compound with activity against the test bacteria and based on the levels of activity shown, three isolates coded as A53, Y55 and Y138 were selected and identified by 16S rDNA sequence analysis and The Basic Local Alignment Search Tool analysis revealed that the three isolates (A53, Y55 and Y138) belonged to the Pseudomonas genus. Using MEGA6 software, a molecular phylogenetic tree was constructed by Maximum Likelihood Method. The phylogenetic analysis by this method showed that all three isolate codes (A53, Y55 and Y138) formed the same clade with Pseudomonas viridiflava strain P3 (Accession number: AY972186) and Pseudomonas plecoglossicida strain P9 (Accession number: AY972231) at a high bootstrap value of 100percent. Isolate code A53 and Y55 also grouped together at a bootstrap value of 96percent. Factors affecting antibacterial compound production by the three isolates were elucidated. The effect of pH on the three isolates revealed that isolate code A53 and Y55 could produce antibacterial compounds over all pH ranges (pH 4-9), however, antibacterial production was produced optimally at acidic conditions (pH 4) and a less acidic-neutral condition (pH 6) respectively. Isolate Y138 showed optimal production at pH 5. The effect of temperature on all three isolates was studied at different temperatures ranging between 25°C-40°C. Study on effect of temperature variations on antibacterial production revealed that all three isolates are capable of growing and producing antibacterial compounds over all the different temperature ranges, however, maximum/optimum production was observed at temperature of 30°C. In order to establish the role of plasmids in antibacterial production, two curing agents; Sodium dodecyl sulfate (SDS) and Ethidium bromide under different sub-lethal concentrations (1 mg/ml -11mg/ml and 2.5 μg/ml- 125 μg/ml respectively) were used to cure the selected isolates. Plasmid DNA samples of A53, Y55 and Y138, were separated by electrophoresis on a 0.7percent (w/v) agarose. Agarose gel electrophoresis revealed that not all the concentrations used were effective in curing the plasmid. A Quick Load 1 kb Extend DNA ladder marker was used for determining the size of the plasmids. Isolate code A53 and Y138 had a plasmid size of 48.5 kb while isolate Y55 had a plasmid size of approximately 20 kb. Antibacterial activity by agar-well diffusion method after the curing process revealed that antibacterial production was not lost or prevented, but rather increased. Thus, it is suggested that the genes responsible for antibiotic production in this study were chromosomal-encoded and not plasmid-encoded. This study revealed that Hogsback wetlands may represent a previously unexplored environment/source of discovering novel and potent antibacterial compounds.
- Full Text:
- Date Issued: 2017
- Authors: Obi, Akudo Odochi
- Date: 2017
- Subjects: Bacteriology -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/15688 , vital:40507
- Description: With microbial pathogens developing resistance against currently existing antimicrobials, there is an earnest need to discover and develop new therapeutic compounds with unique and/or precise modes of action. Natural products have provided the inspiration for most of the active ingredients in medicines and thus are regarded as a potential screening resource lead for discovery of new drugs. Pseudomonads are ubiquitous, Gram-negative, motile bacteria that flourish and inhabit a diversity of environments. Literature has vastly revealed that some members of the genus Pseudomonas are capable of producing a plethora of biologically active metabolites and thus are regarded as “attractive” bacteria for testing as potential sources for new therapeutic compounds. In this regard, this study was undertaken with an aim to isolate and characterize antibacterial compounds produced by Pseudomonas species isolated from aquatic milieu of the Hogsback wetlands, Eastern Cape, South Africa. A total of 12 water samples were aseptically collected from Hogsback wetlands. To ascertain antimicrobial potential of the isolates, 9 test bacterial (sensitive) strains, namely Escherichia coli ATCC 3695, Vibrio fluvialis, Salmonella typhimurium, Salmonella enteritidis, Pseudomonas aeruginosa ATCC 27853, Escherichia coli (2), Listeria ivanovii, Listeria monocytogenes and Enterococcus faecalis ATCC 19433 were used for antimicrobial screening. A total of 500 presumptive Pseudomonas spp. were isolated and screened for the production of antibacterial compound through the Agar-well diffusion method. About 8percent of the presumptive Pseudomonas spp. produced compound with activity against the test bacteria and based on the levels of activity shown, three isolates coded as A53, Y55 and Y138 were selected and identified by 16S rDNA sequence analysis and The Basic Local Alignment Search Tool analysis revealed that the three isolates (A53, Y55 and Y138) belonged to the Pseudomonas genus. Using MEGA6 software, a molecular phylogenetic tree was constructed by Maximum Likelihood Method. The phylogenetic analysis by this method showed that all three isolate codes (A53, Y55 and Y138) formed the same clade with Pseudomonas viridiflava strain P3 (Accession number: AY972186) and Pseudomonas plecoglossicida strain P9 (Accession number: AY972231) at a high bootstrap value of 100percent. Isolate code A53 and Y55 also grouped together at a bootstrap value of 96percent. Factors affecting antibacterial compound production by the three isolates were elucidated. The effect of pH on the three isolates revealed that isolate code A53 and Y55 could produce antibacterial compounds over all pH ranges (pH 4-9), however, antibacterial production was produced optimally at acidic conditions (pH 4) and a less acidic-neutral condition (pH 6) respectively. Isolate Y138 showed optimal production at pH 5. The effect of temperature on all three isolates was studied at different temperatures ranging between 25°C-40°C. Study on effect of temperature variations on antibacterial production revealed that all three isolates are capable of growing and producing antibacterial compounds over all the different temperature ranges, however, maximum/optimum production was observed at temperature of 30°C. In order to establish the role of plasmids in antibacterial production, two curing agents; Sodium dodecyl sulfate (SDS) and Ethidium bromide under different sub-lethal concentrations (1 mg/ml -11mg/ml and 2.5 μg/ml- 125 μg/ml respectively) were used to cure the selected isolates. Plasmid DNA samples of A53, Y55 and Y138, were separated by electrophoresis on a 0.7percent (w/v) agarose. Agarose gel electrophoresis revealed that not all the concentrations used were effective in curing the plasmid. A Quick Load 1 kb Extend DNA ladder marker was used for determining the size of the plasmids. Isolate code A53 and Y138 had a plasmid size of 48.5 kb while isolate Y55 had a plasmid size of approximately 20 kb. Antibacterial activity by agar-well diffusion method after the curing process revealed that antibacterial production was not lost or prevented, but rather increased. Thus, it is suggested that the genes responsible for antibiotic production in this study were chromosomal-encoded and not plasmid-encoded. This study revealed that Hogsback wetlands may represent a previously unexplored environment/source of discovering novel and potent antibacterial compounds.
- Full Text:
- Date Issued: 2017
The use of behaviour, saliva cortisol and faecal glucocorticoid levels as stress indicators in beef cows
- Authors: Dzviti, Melody
- Date: 2017
- Subjects: Veterinary physiology Beef cattle -- Behavior Glucocorticoids
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/8165 , vital:31634
- Description: The study evaluated the use of saliva as a minimally invasive technique for cortisol level determination. This was done by assessing the relationship between serum and saliva cortisol based on short sampling intervals. In addition, the study also determined the effect of successive handling on faecal glucocorticoid metabolites (FGM), rectal temperature (RT), avoidance distance (AD), chute and crush scores as well as urination, defaecation and vocalization in multiparous cows. For trial one six non-pregnant, clinically healthy Nguni cows were used. They were administered with standardised doses of adrenocorticotropic hormone on treatment days and saline was used as a placebo on alternative days. Simultaneously, blood and saliva samples were collected to quantify cortisol levels. No relationship (r = 0.0131, P>0.05) was observed between serum and saliva cortisol. However, results showed that there was adrenal stimulation in saliva coupled by significant (P<0.05) effects of sampling intervals. For the second study 21 non-pregnant and clinically healthy Nguni cows of one herd were used for the trial. They were divided into parity groups and their weights were used as a covariate in data analysis. For five consecutive weeks, fresh faecal samples were extracted and rectal temperatures measured. In addition, fear of approaching humans was assessed by AD scores and behaviour scores in the crush chute, as well as vocalisation, urination and defaecation were observed. The effect of successive handling significantly (P<0.05) affected the physiological parameters, namely FGM and RT. Contrariwise, Chi-square tests revealed that parities had a significant (χ2 < 0.05) influence on AD and crush scores as well as on the occurrence of excretory behaviour. It was concluded that saliva cortisol can be used as a stress indicator in beef cows. However, plasma cortisol can be significantly volatile thereby becoming less sensitive to changes across time. This can cause a lack of relationship between plasma and saliva cortisol. On the other hand, repetitive handling of beef cows has an influence on faecal stress levels. In addition, beef cows of differing parities behave differently to handling stress.
- Full Text:
- Date Issued: 2017
- Authors: Dzviti, Melody
- Date: 2017
- Subjects: Veterinary physiology Beef cattle -- Behavior Glucocorticoids
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/8165 , vital:31634
- Description: The study evaluated the use of saliva as a minimally invasive technique for cortisol level determination. This was done by assessing the relationship between serum and saliva cortisol based on short sampling intervals. In addition, the study also determined the effect of successive handling on faecal glucocorticoid metabolites (FGM), rectal temperature (RT), avoidance distance (AD), chute and crush scores as well as urination, defaecation and vocalization in multiparous cows. For trial one six non-pregnant, clinically healthy Nguni cows were used. They were administered with standardised doses of adrenocorticotropic hormone on treatment days and saline was used as a placebo on alternative days. Simultaneously, blood and saliva samples were collected to quantify cortisol levels. No relationship (r = 0.0131, P>0.05) was observed between serum and saliva cortisol. However, results showed that there was adrenal stimulation in saliva coupled by significant (P<0.05) effects of sampling intervals. For the second study 21 non-pregnant and clinically healthy Nguni cows of one herd were used for the trial. They were divided into parity groups and their weights were used as a covariate in data analysis. For five consecutive weeks, fresh faecal samples were extracted and rectal temperatures measured. In addition, fear of approaching humans was assessed by AD scores and behaviour scores in the crush chute, as well as vocalisation, urination and defaecation were observed. The effect of successive handling significantly (P<0.05) affected the physiological parameters, namely FGM and RT. Contrariwise, Chi-square tests revealed that parities had a significant (χ2 < 0.05) influence on AD and crush scores as well as on the occurrence of excretory behaviour. It was concluded that saliva cortisol can be used as a stress indicator in beef cows. However, plasma cortisol can be significantly volatile thereby becoming less sensitive to changes across time. This can cause a lack of relationship between plasma and saliva cortisol. On the other hand, repetitive handling of beef cows has an influence on faecal stress levels. In addition, beef cows of differing parities behave differently to handling stress.
- Full Text:
- Date Issued: 2017
Ecological engineering on rocky shores: grazing, predation, nutrient availability and their influence on epifaunal communities
- Authors: Ndhlovu, Aldwin
- Date: 2016
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/3453 , vital:20500
- Description: “Ecosystem engineers modify, create/destroy habitat and directly/indirectly modulate availability of resources to other species by causing physical state changes to biotic and abiotic materials” (Jones et al, 1994, page 1). Previous studies have analysed top-down and bottom-up relationships to determine which form of regulation is key in controlling community composition. This study assessed the direct and indirect effects of top down and bottom up factors on the epifaunal communities of macro-algae. Epifauna are subject to the direct top-down effects of predation and bottom up effects of habitat availability. Habitat availability in turn experiences the direct top down effects of grazing and bottom up effects of nutrient availability due to upwelling. Grazing and upwelling may therefore have indirect effects on macro-algal epifauna. Four treatments (Procedural controls, Controls, Predator or Grazer exclusion) set out in a block design (n = 5) were monitored monthly for algal cover of the substratum for 12 months with the surface area of algal plants and epifaunal species composition and abundances assessed at the end of the experiment. The red alga Gelidium pristoides was selected as the ecosystem engineer as it is common, supports a diverse community of epiphytic animals and acts as a nursery for small epifaunal organisms. The experiment was run at two upwelling sites interspersed with two non-upwelling sites. Sites were separated on scales of 100km along approximately 500km of coastline. Dipping whole algae in dish washing liquid provided a strong relationship between their surface area and the weight of the film of dish washing liquid covering them. Surface area was strongly correlated to dry weight but neither surface area nor dry weight was correlated to algal cover of the substratum. Algal cover was influenced by the interactions of treatment with site (nested in upwelling) and upwelling. At all sites, treatments that allowed access to grazers, Grazer + and Control treatments, showed no significant differences and these two treatments had lower algal cover than Predator + and Closed treatments which did not differ from one another 3 [Grazer + = Control < Predator + = Closed]. A total of 44 epifaunal species were identified, with the predominant orders being Amphipoda and Isopoda. Primer results showed that only site had a significant effect on species composition, with sites that were further apart being more different. Site (nested in upwelling) had an effect on total epifaunal abundances when data were non-normalised. When total epifaunal abundances were normalised for algal cover of the substratum or algal surface area to provide density data, predation had no significant effect. Grazing did have a significant effect, but only when data were normalised to algal surface area, not cover, leading to the conclusion that indirect top-down factors through grazing of the sea weed are important in structuring epifaunal communities depending on how habitat availability is measured.
- Full Text:
- Date Issued: 2016
- Authors: Ndhlovu, Aldwin
- Date: 2016
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/3453 , vital:20500
- Description: “Ecosystem engineers modify, create/destroy habitat and directly/indirectly modulate availability of resources to other species by causing physical state changes to biotic and abiotic materials” (Jones et al, 1994, page 1). Previous studies have analysed top-down and bottom-up relationships to determine which form of regulation is key in controlling community composition. This study assessed the direct and indirect effects of top down and bottom up factors on the epifaunal communities of macro-algae. Epifauna are subject to the direct top-down effects of predation and bottom up effects of habitat availability. Habitat availability in turn experiences the direct top down effects of grazing and bottom up effects of nutrient availability due to upwelling. Grazing and upwelling may therefore have indirect effects on macro-algal epifauna. Four treatments (Procedural controls, Controls, Predator or Grazer exclusion) set out in a block design (n = 5) were monitored monthly for algal cover of the substratum for 12 months with the surface area of algal plants and epifaunal species composition and abundances assessed at the end of the experiment. The red alga Gelidium pristoides was selected as the ecosystem engineer as it is common, supports a diverse community of epiphytic animals and acts as a nursery for small epifaunal organisms. The experiment was run at two upwelling sites interspersed with two non-upwelling sites. Sites were separated on scales of 100km along approximately 500km of coastline. Dipping whole algae in dish washing liquid provided a strong relationship between their surface area and the weight of the film of dish washing liquid covering them. Surface area was strongly correlated to dry weight but neither surface area nor dry weight was correlated to algal cover of the substratum. Algal cover was influenced by the interactions of treatment with site (nested in upwelling) and upwelling. At all sites, treatments that allowed access to grazers, Grazer + and Control treatments, showed no significant differences and these two treatments had lower algal cover than Predator + and Closed treatments which did not differ from one another 3 [Grazer + = Control < Predator + = Closed]. A total of 44 epifaunal species were identified, with the predominant orders being Amphipoda and Isopoda. Primer results showed that only site had a significant effect on species composition, with sites that were further apart being more different. Site (nested in upwelling) had an effect on total epifaunal abundances when data were non-normalised. When total epifaunal abundances were normalised for algal cover of the substratum or algal surface area to provide density data, predation had no significant effect. Grazing did have a significant effect, but only when data were normalised to algal surface area, not cover, leading to the conclusion that indirect top-down factors through grazing of the sea weed are important in structuring epifaunal communities depending on how habitat availability is measured.
- Full Text:
- Date Issued: 2016
Effects of Pteronia incana (Blue bush) invasion on grass biomass production, soil chemical characteristics and peoples' livelihoods in Ngqushwa communal rangelands, Eastern Cape
- Authors: Ntutha, T
- Date: 2016
- Subjects: Invasive plants -- South Africa -- Eastern Cape Shrublands -- South Africa -- Eastern Cape Rangelands -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/4682 , vital:28493
- Description: The objective of the study was to assess the farmers’ knowledge and perceptions of P. incana invasion and impacts on rangeland, livestock production and livelihood in four communal grazing areas. Twenty households per village that own livestock were randomly selected to conduct an interview using an open and closed ended questionnaire. In each household, an old and knowledgeable respondent about P. incana invasion was used as a selection criterion. For scientific assessment of range condition, the experiment was conducted in a 270 m x 100 m trial plots that were established in 2014. The area was divided into 3 open and 3 fenced subplots each having an area of 45 m x 100 m established laid down a slope gradient. Each plot was divided into four equal subplots to apply the control treatments. Therefore, the trial layout was a stratified block experiment of four treatments replicated three times. The four control treatments applied to P. incana invasion were chopping and resting (CR), resting without chopping (RWOC), grazing and chopping (GC), grazing without chopping (GWOC). A step point method was applied in each transect to monitor species composition and P. incana cover. On the fenced plots two exclosures of 1mx1m size were randomly distributed to make sure that resting is maintained. Within exclosures 0.25 m2quadrates in each were put randomly to measure biomass. Density of P. incana was determined from 5 m x 5 m quadrates that were placed randomly within each sub-plot. The density and height of individual shrub plant was measured. All rooted live woody plants were recorded and counted in each quadrate. The results revealed that species composition was not affected (P>0.05) by the treatments applied. The herbage height and basal cover had greater values (P<0.05) under rested plus chopping (CR) treatment followed by grazed plus chopping (GC). Grass biomass production and essential nutrients showed a greater concentration (P<0.05) under CR treatment than any treatments applied. The results on perceptions revealed that goats had the highest mean household holding number than any other livestock species across the selected villages in all the villages. Respondents indicated that both goats and cattle had equal or more importance than sheep. Three out of four villages raised cattle primarily for income generation and secondarily for cultural purposes like slaughtering during weddings ceremonies, amazila and also during woman circumcisions (Ntonjane). Similarly, goats and sheep were primarily raised for cash income generation. The results revealed that livestock population decreased over ten to twenty years (one-two decades) and poor rangeland condition is assumed to be the cause of the situation as feed is the key factor for production. The area was dominated by the grasses rather than by browse woody species so the above results are possible as the P. incana is more competitive than grasses. It was concluded that P. incana is detrimental to both rangeland and animal production. Forage and animal performance as well as farmers’ economic status (livelihoods) were negatively affected by P. incana invasion and the scientific assessment reported it to be detrimental to agriculture. Thus chopping and resting (CR) treatment resulted in a greater improvement of the basal cover, biomass production, soil nutrients as well as grass height than the other treatments applied. Therefore it can be concluded that chopping and resting the veld invaded with P. incana can improve the range and consequently animal production.
- Full Text:
- Date Issued: 2016
- Authors: Ntutha, T
- Date: 2016
- Subjects: Invasive plants -- South Africa -- Eastern Cape Shrublands -- South Africa -- Eastern Cape Rangelands -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/4682 , vital:28493
- Description: The objective of the study was to assess the farmers’ knowledge and perceptions of P. incana invasion and impacts on rangeland, livestock production and livelihood in four communal grazing areas. Twenty households per village that own livestock were randomly selected to conduct an interview using an open and closed ended questionnaire. In each household, an old and knowledgeable respondent about P. incana invasion was used as a selection criterion. For scientific assessment of range condition, the experiment was conducted in a 270 m x 100 m trial plots that were established in 2014. The area was divided into 3 open and 3 fenced subplots each having an area of 45 m x 100 m established laid down a slope gradient. Each plot was divided into four equal subplots to apply the control treatments. Therefore, the trial layout was a stratified block experiment of four treatments replicated three times. The four control treatments applied to P. incana invasion were chopping and resting (CR), resting without chopping (RWOC), grazing and chopping (GC), grazing without chopping (GWOC). A step point method was applied in each transect to monitor species composition and P. incana cover. On the fenced plots two exclosures of 1mx1m size were randomly distributed to make sure that resting is maintained. Within exclosures 0.25 m2quadrates in each were put randomly to measure biomass. Density of P. incana was determined from 5 m x 5 m quadrates that were placed randomly within each sub-plot. The density and height of individual shrub plant was measured. All rooted live woody plants were recorded and counted in each quadrate. The results revealed that species composition was not affected (P>0.05) by the treatments applied. The herbage height and basal cover had greater values (P<0.05) under rested plus chopping (CR) treatment followed by grazed plus chopping (GC). Grass biomass production and essential nutrients showed a greater concentration (P<0.05) under CR treatment than any treatments applied. The results on perceptions revealed that goats had the highest mean household holding number than any other livestock species across the selected villages in all the villages. Respondents indicated that both goats and cattle had equal or more importance than sheep. Three out of four villages raised cattle primarily for income generation and secondarily for cultural purposes like slaughtering during weddings ceremonies, amazila and also during woman circumcisions (Ntonjane). Similarly, goats and sheep were primarily raised for cash income generation. The results revealed that livestock population decreased over ten to twenty years (one-two decades) and poor rangeland condition is assumed to be the cause of the situation as feed is the key factor for production. The area was dominated by the grasses rather than by browse woody species so the above results are possible as the P. incana is more competitive than grasses. It was concluded that P. incana is detrimental to both rangeland and animal production. Forage and animal performance as well as farmers’ economic status (livelihoods) were negatively affected by P. incana invasion and the scientific assessment reported it to be detrimental to agriculture. Thus chopping and resting (CR) treatment resulted in a greater improvement of the basal cover, biomass production, soil nutrients as well as grass height than the other treatments applied. Therefore it can be concluded that chopping and resting the veld invaded with P. incana can improve the range and consequently animal production.
- Full Text:
- Date Issued: 2016
Glycolytic potential and meat quality from dorper and merino sheep slaughtered at a commercial abattoir
- Authors: Stempa, Thuthuzelwa
- Date: 2015
- Subjects: Slaughtering and slaughter-houses Meat -- Quality
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/15310 , vital:40361
- Description: The objective of the study was to determine glycolytic potential and meat quality from Dorper and Merino sheep of both sexes slaughtered at a commercial abattoir. Dorper (n=52) and Merino (n= 48) breeds aged eight years, consisting of 50 intact rams and 50 non-pregnant ewes were used in the study. The sheep used in the study were reared, transported and lairised under identical conditions. Blood samples were collected at exsanguination for the measurement of glucose, lactate and cortisol levels. Samples were also collected from the Muscularis longmissius thoracis et lumborum (LTL) for the measurement glycogen, lactate levels, pH decline and colour. Correlations amongst blood stress indicators, muscle metabolites and meat quality attributes were also determined. Sex and breed had no effect on muscle glycolytic potential, glycogen and lactate levels from Dorper and Merino sheep of both sexes at the abattoir. Although sex and breed had an effect on pre-slaughter stress indicators (lactate and cortisol) collected at exsanguination. Ewes had higher levels of blood lactate (7.4 3 ± 0.49 mmol/L) and cortisol (293.92 ± 14.32 nmol/L) than the rams which had (5.19 ± 0.49 mmol/L) and (179.50 ± 14.32 nmol/L) lactate and cortisol levels, respectively. Furthermore, higher levels of lactate were observed in Dorper (7.54 ± 0.42 mmol/L) compared to the Merino sheep (4.97 ± 0.49 mmol/L). Meat pH decline and colour were also significantly affected by sex and breed. Ewes had higher levels of at pH45 minutes post slaughter (7.05 ± 0.04), pH3 hours (6.45 ± 0.04) , pH24 hours (6.00 ± 0.03), a* (14.31 ± 0.33) , b* (8.84 ± 0.29), H* (31.47 ± 0.73) and C* (16.75 ± 0.24) compared to the rams which had pH45 minutes (6.44 ± 0.04), pH3 hours (6.12 ± 0.04), pH24 hours (5.88 ± 0.03), a* (12.25 ± 0.33), b* (7.00 ± 0.29), H* (29.36 ± 0.73) and C* (14.15 ± 0.42) values. Moreover, Merino sheep had higher levels of L* (38.17 ± 0.48) and H* (31.59 ± 0.74) compared to the Dorper which had (36.39 ± 0.46) and (29.33 ± 0.71) L* and H* values, respectively. Blood cortisol was also positively correlated (P < 0.05) to glucose (r = 0.27), lactate (r = 0.37) but was negatively correlated (P < 0.001) to meat lightness (r = -0.44). Furthermore, blood cortisol was positively correlated (P < 0.001) to pH45 (r = 0.34), pH24 (r =0.22), meat yellowness (r = 0.24) and chroma (r = 0.37), but was negatively correlated to meat lightness (r = -0.47). Glycolytic potential was positively correlated (P < 0.001) to muscle glycogen levels (r = 0.66) and muscle lactate (r = 0.71).
- Full Text:
- Date Issued: 2015
- Authors: Stempa, Thuthuzelwa
- Date: 2015
- Subjects: Slaughtering and slaughter-houses Meat -- Quality
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/15310 , vital:40361
- Description: The objective of the study was to determine glycolytic potential and meat quality from Dorper and Merino sheep of both sexes slaughtered at a commercial abattoir. Dorper (n=52) and Merino (n= 48) breeds aged eight years, consisting of 50 intact rams and 50 non-pregnant ewes were used in the study. The sheep used in the study were reared, transported and lairised under identical conditions. Blood samples were collected at exsanguination for the measurement of glucose, lactate and cortisol levels. Samples were also collected from the Muscularis longmissius thoracis et lumborum (LTL) for the measurement glycogen, lactate levels, pH decline and colour. Correlations amongst blood stress indicators, muscle metabolites and meat quality attributes were also determined. Sex and breed had no effect on muscle glycolytic potential, glycogen and lactate levels from Dorper and Merino sheep of both sexes at the abattoir. Although sex and breed had an effect on pre-slaughter stress indicators (lactate and cortisol) collected at exsanguination. Ewes had higher levels of blood lactate (7.4 3 ± 0.49 mmol/L) and cortisol (293.92 ± 14.32 nmol/L) than the rams which had (5.19 ± 0.49 mmol/L) and (179.50 ± 14.32 nmol/L) lactate and cortisol levels, respectively. Furthermore, higher levels of lactate were observed in Dorper (7.54 ± 0.42 mmol/L) compared to the Merino sheep (4.97 ± 0.49 mmol/L). Meat pH decline and colour were also significantly affected by sex and breed. Ewes had higher levels of at pH45 minutes post slaughter (7.05 ± 0.04), pH3 hours (6.45 ± 0.04) , pH24 hours (6.00 ± 0.03), a* (14.31 ± 0.33) , b* (8.84 ± 0.29), H* (31.47 ± 0.73) and C* (16.75 ± 0.24) compared to the rams which had pH45 minutes (6.44 ± 0.04), pH3 hours (6.12 ± 0.04), pH24 hours (5.88 ± 0.03), a* (12.25 ± 0.33), b* (7.00 ± 0.29), H* (29.36 ± 0.73) and C* (14.15 ± 0.42) values. Moreover, Merino sheep had higher levels of L* (38.17 ± 0.48) and H* (31.59 ± 0.74) compared to the Dorper which had (36.39 ± 0.46) and (29.33 ± 0.71) L* and H* values, respectively. Blood cortisol was also positively correlated (P < 0.05) to glucose (r = 0.27), lactate (r = 0.37) but was negatively correlated (P < 0.001) to meat lightness (r = -0.44). Furthermore, blood cortisol was positively correlated (P < 0.001) to pH45 (r = 0.34), pH24 (r =0.22), meat yellowness (r = 0.24) and chroma (r = 0.37), but was negatively correlated to meat lightness (r = -0.47). Glycolytic potential was positively correlated (P < 0.001) to muscle glycogen levels (r = 0.66) and muscle lactate (r = 0.71).
- Full Text:
- Date Issued: 2015
Microbiological analyses of beef slaughtering process and meat safety knowledge of handlers at selected high and low thoughput abattoirs
- Authors: Nyamakwere, Faith
- Date: 2015
- Subjects: Slaughtering and slaughter-houses -- South Africa -- Eastern Cape Meat industry and trade -- Quality control Beef -- Quality -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/2238 , vital:27712
- Description: The objective of the study was to evaluate meat hygiene practices among meat handlers and microbiological analysis of beef carcasses, slaughtermen hands, equipment and water from low throughput (LTA) and high throughput (HTA) abattoirs in the Eastern Cape Province of South Africa. In stage one of the study, the level of knowledge, practices and attitudes towards meat safety and personal hygiene of slaughtermen were assessed. Forty workers directly involve in beef cattle slaughtering process were surveyed. Data were collected using a structured questionnaire, it contained questions on some of the most important meat safety cues such as knowledge, attitudes, personal hygiene and handling practices. Cross tabulation and Chi-square Test of Association were performed to examine the relationships between the demographic information and the knowledge regarding meat safety using the Statistical Package for Social Sciences (SPSS) version 22. Overall, a significant adherence to basic hygiene practices and a satisfactory level of knowledge were observed. Workers from a HTA yielded comparatively better statistically significant scores. Moreover, knowledge and practices of respondents were significantly associated (P<0.05) due to educational level and professional training. The second stage of the study involved evaluating the level to which cattle carcass, equipment, slaughtermen hands and water were contaminated with Enterobacteriaceae, Salmonella, Escherichia coli and aerobic colony counts (ACC) at different stages during the slaughter process (skinning, evisceration, carcass slitting, inspection, washing and packing). Cattle carcasses were sampled at four sites (rump, neck, flank and brisket) from a LTA (n= 240) and HTA (n= 384) abattoirs. Using conventional biochemical tests, HTA yielded significantly (P<0.05) higher ACC (5.2 log CFU/cm2), E. coli (2.6 log CFU/cm2) and Enterobacteriaceae (2.9 log CFU/cm2) carcass mean scores than LTA after skinning and evisceration. Specific abattoir hygiene differences were noted from washed and chilled carcasses. Salmonella was not detected across all sampled slaughter process stages. In addition, the equipment had bacterial load ranging from 10 to 4 CFU/cm2 for LTA, whereas in HTA this was found to be 7 to 3 CFU/cm2. The bacterial counts for slaughtermen hands were estimated to be 15 to 8 CFU/cm2 in HTA and 10 to 5 CFU/cm2 in LTA. Overall, slaughtermen hands and equipment in the dirty area (skinning and evisceration) yielded more bacterial counts compared to those in the clean area (slitting, inspection, washing and packing) from both abattoirs. For all the sampled carcasses, equipment and slaughtermen hands, HTA yielded comparatively higher (P<0.05) bacterial counts than the LTA. Although the results showed a significant adherence to basic hygiene practices, some aspects such as routine medical examination, health certificates and professional training of slaughtermen still need to be improved. Therefore, these findings show that slaughtermen, equipment and water can be sources of contamination during the slaughter process.
- Full Text:
- Date Issued: 2015
- Authors: Nyamakwere, Faith
- Date: 2015
- Subjects: Slaughtering and slaughter-houses -- South Africa -- Eastern Cape Meat industry and trade -- Quality control Beef -- Quality -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/2238 , vital:27712
- Description: The objective of the study was to evaluate meat hygiene practices among meat handlers and microbiological analysis of beef carcasses, slaughtermen hands, equipment and water from low throughput (LTA) and high throughput (HTA) abattoirs in the Eastern Cape Province of South Africa. In stage one of the study, the level of knowledge, practices and attitudes towards meat safety and personal hygiene of slaughtermen were assessed. Forty workers directly involve in beef cattle slaughtering process were surveyed. Data were collected using a structured questionnaire, it contained questions on some of the most important meat safety cues such as knowledge, attitudes, personal hygiene and handling practices. Cross tabulation and Chi-square Test of Association were performed to examine the relationships between the demographic information and the knowledge regarding meat safety using the Statistical Package for Social Sciences (SPSS) version 22. Overall, a significant adherence to basic hygiene practices and a satisfactory level of knowledge were observed. Workers from a HTA yielded comparatively better statistically significant scores. Moreover, knowledge and practices of respondents were significantly associated (P<0.05) due to educational level and professional training. The second stage of the study involved evaluating the level to which cattle carcass, equipment, slaughtermen hands and water were contaminated with Enterobacteriaceae, Salmonella, Escherichia coli and aerobic colony counts (ACC) at different stages during the slaughter process (skinning, evisceration, carcass slitting, inspection, washing and packing). Cattle carcasses were sampled at four sites (rump, neck, flank and brisket) from a LTA (n= 240) and HTA (n= 384) abattoirs. Using conventional biochemical tests, HTA yielded significantly (P<0.05) higher ACC (5.2 log CFU/cm2), E. coli (2.6 log CFU/cm2) and Enterobacteriaceae (2.9 log CFU/cm2) carcass mean scores than LTA after skinning and evisceration. Specific abattoir hygiene differences were noted from washed and chilled carcasses. Salmonella was not detected across all sampled slaughter process stages. In addition, the equipment had bacterial load ranging from 10 to 4 CFU/cm2 for LTA, whereas in HTA this was found to be 7 to 3 CFU/cm2. The bacterial counts for slaughtermen hands were estimated to be 15 to 8 CFU/cm2 in HTA and 10 to 5 CFU/cm2 in LTA. Overall, slaughtermen hands and equipment in the dirty area (skinning and evisceration) yielded more bacterial counts compared to those in the clean area (slitting, inspection, washing and packing) from both abattoirs. For all the sampled carcasses, equipment and slaughtermen hands, HTA yielded comparatively higher (P<0.05) bacterial counts than the LTA. Although the results showed a significant adherence to basic hygiene practices, some aspects such as routine medical examination, health certificates and professional training of slaughtermen still need to be improved. Therefore, these findings show that slaughtermen, equipment and water can be sources of contamination during the slaughter process.
- Full Text:
- Date Issued: 2015
Gold mineralization in a high grade metamorphic terrane in the Handeni District, Eastern Tanzania
- Bitesigirwe, Godfrey Stephen
- Authors: Bitesigirwe, Godfrey Stephen
- Date: 2014
- Language: English
- Type: text , Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/54756 , vital:26609
- Description: Most orogenic type gold deposits are formed under low greenschist facies to mid amphibolite facies metamorphic conditions and deposition is either structurally or lithologically controlled. A few known gold deposits found in high grade metamorphic terranes include those in the Yilgarn craton in Australia, Renco in Zimbabwe, Hemlo in Canada and the recently discovered Handeni deposit in Tanzania. Within Tanzania, gold deposits are mainly hosted in Archaean low grade metamorphic rocks commonly known as the Lake Victoria greenstone belt. The greenstone belts of Tanzania are of Nyanzian age (> 2.5Ga) and are located to the south and east of Lake Victoria on the Tanzania craton. The Tanzania Craton is surrounded by Usagaran 1.9 Ga rocks (the east African orogenic belt (EAO) better known as the Mozambique belt) to the east and the Ubendian belt to the south and west. Published reports show that the eastern part of the Tanzania Craton is dominated by the fragments of Archaean rocks. Metamorphism along East Africa and the Tanzania Craton is due to several geological events. These geological events include the intrusion of granites in the Archaean Tanzania Craton (3 Ga), subduction of ocean plate resulted to the formation of Usagaran belt (1.9 Ga), opening and closure of Mozambique Ocean, which resulted in the formation of the Mozambique belt between 700 – 800 Ma and the Pan African orogeny at 640 – 620 Ma, which is associated with the formation of Gondwana. It is believed that fragments from the Archaean Tanzania craton were re - metamorphosed during these events. The Handeni project (the focus of this thesis) is located in the northern portion of the eastern part of the Usagaran belt (1.9 Ga) comprising the eastern part of Archaean Tanzania Craton. The area is characterized by Proterozic rocks of basaltic composition. The documented 2.7 Ga rocks at the Kilindi Handeni Superterrane at the northern part of the Usagaran belt correlate well with 2.7 Ga of Nyanzian rocks of Archaean Tanzania craton. The Handeni project area is geologically dominated by metamorphosed and deformed units of quartzofeldspathic gneisses, migmatitic gneiss, garnet silicified rock, garnetiferous amphibolite, garnetiferous granulite, graphitic schist and hornblende pyroxenite. Intensive deformation features that were developed include folds (sheath folds, micro and macro scales), faults, shears and regional thrusts. This thesis focuses on identifying the protolith of the rocks, alteration minerals, and metamorphic assemblages in the project area in order to understand the timing of gold mineralization. Geological investigation of core, ore petrology and mineralogy, mineral composition by using JEOL microprobe analysis and XRF analysis of bulk rocks were utilized. All the analytical work was done at the Geology laboratory, Rhodes University. Petrographic analysis shows that the rocks sampled in the study area are characterized by alteration minerals such as calcite, dolomite and sericite. Sulphide minerals including chalcopyrite, pyrrhotite, pyrite, pentlandite and gersdorffite were identified. Gold mineralization is associated with disseminated sulphides in association with trace amounts of base metals. Four rock types were proposed as host rocks for the mineralization, namely garnet silicified rock with superimposed quartz veins, garnetiferous amphibolite, garnetiferous granulite and hornblende pyroxenite. Fold troughs, filled fractures associated with episodes of folding, quartz veins and shear zones are suggested as gold precipitation sites. The presence of high grade metamorphic rocks containing gold, intermediate to low grade assemblages with sulphides and associated hydrothermal alteration as well as a complex deformation history suggests that the Handeni mineralization took place over an extended time period stretching from a ductile to a brittle environment.
- Full Text:
- Date Issued: 2014
- Authors: Bitesigirwe, Godfrey Stephen
- Date: 2014
- Language: English
- Type: text , Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/54756 , vital:26609
- Description: Most orogenic type gold deposits are formed under low greenschist facies to mid amphibolite facies metamorphic conditions and deposition is either structurally or lithologically controlled. A few known gold deposits found in high grade metamorphic terranes include those in the Yilgarn craton in Australia, Renco in Zimbabwe, Hemlo in Canada and the recently discovered Handeni deposit in Tanzania. Within Tanzania, gold deposits are mainly hosted in Archaean low grade metamorphic rocks commonly known as the Lake Victoria greenstone belt. The greenstone belts of Tanzania are of Nyanzian age (> 2.5Ga) and are located to the south and east of Lake Victoria on the Tanzania craton. The Tanzania Craton is surrounded by Usagaran 1.9 Ga rocks (the east African orogenic belt (EAO) better known as the Mozambique belt) to the east and the Ubendian belt to the south and west. Published reports show that the eastern part of the Tanzania Craton is dominated by the fragments of Archaean rocks. Metamorphism along East Africa and the Tanzania Craton is due to several geological events. These geological events include the intrusion of granites in the Archaean Tanzania Craton (3 Ga), subduction of ocean plate resulted to the formation of Usagaran belt (1.9 Ga), opening and closure of Mozambique Ocean, which resulted in the formation of the Mozambique belt between 700 – 800 Ma and the Pan African orogeny at 640 – 620 Ma, which is associated with the formation of Gondwana. It is believed that fragments from the Archaean Tanzania craton were re - metamorphosed during these events. The Handeni project (the focus of this thesis) is located in the northern portion of the eastern part of the Usagaran belt (1.9 Ga) comprising the eastern part of Archaean Tanzania Craton. The area is characterized by Proterozic rocks of basaltic composition. The documented 2.7 Ga rocks at the Kilindi Handeni Superterrane at the northern part of the Usagaran belt correlate well with 2.7 Ga of Nyanzian rocks of Archaean Tanzania craton. The Handeni project area is geologically dominated by metamorphosed and deformed units of quartzofeldspathic gneisses, migmatitic gneiss, garnet silicified rock, garnetiferous amphibolite, garnetiferous granulite, graphitic schist and hornblende pyroxenite. Intensive deformation features that were developed include folds (sheath folds, micro and macro scales), faults, shears and regional thrusts. This thesis focuses on identifying the protolith of the rocks, alteration minerals, and metamorphic assemblages in the project area in order to understand the timing of gold mineralization. Geological investigation of core, ore petrology and mineralogy, mineral composition by using JEOL microprobe analysis and XRF analysis of bulk rocks were utilized. All the analytical work was done at the Geology laboratory, Rhodes University. Petrographic analysis shows that the rocks sampled in the study area are characterized by alteration minerals such as calcite, dolomite and sericite. Sulphide minerals including chalcopyrite, pyrrhotite, pyrite, pentlandite and gersdorffite were identified. Gold mineralization is associated with disseminated sulphides in association with trace amounts of base metals. Four rock types were proposed as host rocks for the mineralization, namely garnet silicified rock with superimposed quartz veins, garnetiferous amphibolite, garnetiferous granulite and hornblende pyroxenite. Fold troughs, filled fractures associated with episodes of folding, quartz veins and shear zones are suggested as gold precipitation sites. The presence of high grade metamorphic rocks containing gold, intermediate to low grade assemblages with sulphides and associated hydrothermal alteration as well as a complex deformation history suggests that the Handeni mineralization took place over an extended time period stretching from a ductile to a brittle environment.
- Full Text:
- Date Issued: 2014
Mechanisms of luminescence in α-Al₂O₃:C : investigations using time-resolved optical stimulation and thermoluminescence techniques
- Authors: Nyirenda, Angel Newton
- Date: 2013
- Subjects: Thermoluminescence Aluminum oxide Optically stimulated luminescence dating Radiation dosimetry
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5447 , http://hdl.handle.net/10962/d1002961
- Description: Carbon-doped aluminium oxide, α-Al₂O₃:C, is a ultra-sensitive dosimeter of topical research interest. The aim of this project was to investigate the dynamics of luminesce in this material. The methods of investigation consisted of thermoluminescence and time-resolved optical stimulation. Thermoluminescence measurements provide information on trap distribution and kinetic parameters of the traps involved in luminescence whereas time-resolved optical stimulation is a handy technique in investigation of luminescence lifetimes and provides an insight into the charge transitions between traps and recombination centres. Measurements were made on samples annealed at a nominal temperature of 900⁰C for 15 minutes. The material shows the presence of five thermoluminescence peaks at 37⁰C, 160⁰C, 300⁰C 410⁰C, and 480⁰C at a heating rate of 0.03k/s when irradiated to 6.0 Gy of beta. The main peak at 160⁰C, shows a linear dose response for doses between 0.1 Gy and 10 Gy and then goes sublinear above 10 Gy, the peak at 37⁰C shows a sublinear dose response for doses between 0.1 Gy and 10 Gy and appears to saturate thereafter, whereas the dose response of the peak at 300⁰C goes from linear to supralinear then apparently quadratic behaviour in the dose range of 0.1 Gy to 16.0 Gy. The trap depth of the main peak, that is, its activation energy as determined below the conduction band, has been approximated at 1.3 eV with a kinetic order of approximately 1.2. Time-resolved optical stimulation has been used to investigate luminescence lifetimes. The mean luminescence lifetime obtained for the sample at ambient temperatures is 35.0±1.0 ms. The investigations of the dependence of luminescence lifetimes on measurement temperature show that the material suffers from thermal quenching effects at measurement temperatures above 140⁰C with the activation energy of thermal quenching estimated at 1.045±0.002 eV. Shallow traps i.e. traps lying close to the conduction band, seem to elongate the lifetimes of optically stimulated luminescence in the material at temperatures between 30⁰C - 80⁰C due to charge retrapping. The material exhibits both fading and recuperation of the optically stimulated luminescence signal with storage time.
- Full Text:
- Date Issued: 2013
- Authors: Nyirenda, Angel Newton
- Date: 2013
- Subjects: Thermoluminescence Aluminum oxide Optically stimulated luminescence dating Radiation dosimetry
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5447 , http://hdl.handle.net/10962/d1002961
- Description: Carbon-doped aluminium oxide, α-Al₂O₃:C, is a ultra-sensitive dosimeter of topical research interest. The aim of this project was to investigate the dynamics of luminesce in this material. The methods of investigation consisted of thermoluminescence and time-resolved optical stimulation. Thermoluminescence measurements provide information on trap distribution and kinetic parameters of the traps involved in luminescence whereas time-resolved optical stimulation is a handy technique in investigation of luminescence lifetimes and provides an insight into the charge transitions between traps and recombination centres. Measurements were made on samples annealed at a nominal temperature of 900⁰C for 15 minutes. The material shows the presence of five thermoluminescence peaks at 37⁰C, 160⁰C, 300⁰C 410⁰C, and 480⁰C at a heating rate of 0.03k/s when irradiated to 6.0 Gy of beta. The main peak at 160⁰C, shows a linear dose response for doses between 0.1 Gy and 10 Gy and then goes sublinear above 10 Gy, the peak at 37⁰C shows a sublinear dose response for doses between 0.1 Gy and 10 Gy and appears to saturate thereafter, whereas the dose response of the peak at 300⁰C goes from linear to supralinear then apparently quadratic behaviour in the dose range of 0.1 Gy to 16.0 Gy. The trap depth of the main peak, that is, its activation energy as determined below the conduction band, has been approximated at 1.3 eV with a kinetic order of approximately 1.2. Time-resolved optical stimulation has been used to investigate luminescence lifetimes. The mean luminescence lifetime obtained for the sample at ambient temperatures is 35.0±1.0 ms. The investigations of the dependence of luminescence lifetimes on measurement temperature show that the material suffers from thermal quenching effects at measurement temperatures above 140⁰C with the activation energy of thermal quenching estimated at 1.045±0.002 eV. Shallow traps i.e. traps lying close to the conduction band, seem to elongate the lifetimes of optically stimulated luminescence in the material at temperatures between 30⁰C - 80⁰C due to charge retrapping. The material exhibits both fading and recuperation of the optically stimulated luminescence signal with storage time.
- Full Text:
- Date Issued: 2013
On a class of pseudo-differential operators in IRⁿ
- Authors: Matjila, D M
- Date: 1988
- Subjects: Pseudodifferential operators Operator theory
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5392 , http://hdl.handle.net/10962/d1001981
- Description: The class of pseudo-differential operators with symbols from Sm (superscript) po̧̧ (subscipt)(Ωx IRⁿ) has been extensively studied.The main assumption which characterises this class of symbols is that a(x,Ȩ) є Sm (superscript)po̧̧ (subscipt)(Ωx IRⁿ) should have a polynomial growth in the Ȩ variable only. The x-variable is controlled on compact subsets of Ω. A polynomial growth in both the x and Ȩ variables on a C°°(lR²ⁿ) function a(x,Ȩ) gives rise to a different class of symbols and a corresponding class of operators. In this work, such symbols and the action of the operators on the functional spaces S(lRⁿ) , S'(lRⁿ) and the Sobolev spaces Qs (superscript) (lRⁿ) (s є lRⁿ) are studied. A study of the calculus (i.e. transposes, adjoints and compositions) and the functional analysis of these operators is done with special attention to L-boundedness and compactness. The class of hypoelliptic pseudo-differential operators in IRⁿ is introduced as a subclass of those considered earlier.These operators possess the property that they allow a pseudo- inverse or parametrix. In conclusion. the spectral theory of these operators is considered. Since a general spectral theory would be beyond the scope of this work, only some special cases of the pseudo-differential operators in IRⁿ are considered. A few applications of this spectral theory are discussed
- Full Text:
- Date Issued: 1988
- Authors: Matjila, D M
- Date: 1988
- Subjects: Pseudodifferential operators Operator theory
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5392 , http://hdl.handle.net/10962/d1001981
- Description: The class of pseudo-differential operators with symbols from Sm (superscript) po̧̧ (subscipt)(Ωx IRⁿ) has been extensively studied.The main assumption which characterises this class of symbols is that a(x,Ȩ) є Sm (superscript)po̧̧ (subscipt)(Ωx IRⁿ) should have a polynomial growth in the Ȩ variable only. The x-variable is controlled on compact subsets of Ω. A polynomial growth in both the x and Ȩ variables on a C°°(lR²ⁿ) function a(x,Ȩ) gives rise to a different class of symbols and a corresponding class of operators. In this work, such symbols and the action of the operators on the functional spaces S(lRⁿ) , S'(lRⁿ) and the Sobolev spaces Qs (superscript) (lRⁿ) (s є lRⁿ) are studied. A study of the calculus (i.e. transposes, adjoints and compositions) and the functional analysis of these operators is done with special attention to L-boundedness and compactness. The class of hypoelliptic pseudo-differential operators in IRⁿ is introduced as a subclass of those considered earlier.These operators possess the property that they allow a pseudo- inverse or parametrix. In conclusion. the spectral theory of these operators is considered. Since a general spectral theory would be beyond the scope of this work, only some special cases of the pseudo-differential operators in IRⁿ are considered. A few applications of this spectral theory are discussed
- Full Text:
- Date Issued: 1988
A study of the rabbit eye test system to determine the activity of acidic non-steroidal anti-inflammatory agents
- Authors: Wiseman, Ian Charles
- Date: 1977
- Subjects: Nonsteroidal anti-inflammatory agents , Anti-inflammatory agents
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:3855 , http://hdl.handle.net/10962/d1013276
- Description: From introduction : "Inflammation per se, has been defined sufficiently to permit a rational approach to the search for drugs that modify this process, but satisfactory animal models for most rheumatoid diseases are not available". (Swingle 1974) In the search for new meaningful procedures for the detection and evaluation of anti-inflammatory drugs, the rabbit eye as a test system was studied.
- Full Text:
- Date Issued: 1977
- Authors: Wiseman, Ian Charles
- Date: 1977
- Subjects: Nonsteroidal anti-inflammatory agents , Anti-inflammatory agents
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:3855 , http://hdl.handle.net/10962/d1013276
- Description: From introduction : "Inflammation per se, has been defined sufficiently to permit a rational approach to the search for drugs that modify this process, but satisfactory animal models for most rheumatoid diseases are not available". (Swingle 1974) In the search for new meaningful procedures for the detection and evaluation of anti-inflammatory drugs, the rabbit eye as a test system was studied.
- Full Text:
- Date Issued: 1977
A preliminary investigation of the determination of ionic mobilities by conductometric titration
- Authors: Festenstein, Gerald Norman
- Date: 1947
- Subjects: Ionic mobility , Conductometric analysis
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4472 , http://hdl.handle.net/10962/d1011810 , Ionic mobility , Conductometric analysis
- Description: The determination of ionic mobilities by conductometric titration was first suggested by Barker, Rowler and Shuttleworth in discussing the theory of conductometric titration of acids, bases and neutral salts. Intro. p. 1.
- Full Text:
- Date Issued: 1947
- Authors: Festenstein, Gerald Norman
- Date: 1947
- Subjects: Ionic mobility , Conductometric analysis
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4472 , http://hdl.handle.net/10962/d1011810 , Ionic mobility , Conductometric analysis
- Description: The determination of ionic mobilities by conductometric titration was first suggested by Barker, Rowler and Shuttleworth in discussing the theory of conductometric titration of acids, bases and neutral salts. Intro. p. 1.
- Full Text:
- Date Issued: 1947
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