The genesis and controls of gold mineralization south of Rehoboth, Namibia
- Authors: Whitfield, Derek
- Date: 1991
- Subjects: Gold ores -- Geology -- Namibia , Gold ores -- Geology -- Africa, Southern
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4948 , http://hdl.handle.net/10962/d1005560 , Gold ores -- Geology -- Namibia , Gold ores -- Geology -- Africa, Southern
- Description: Gold mineralization is hosted within gossanous quartz-haematite veins in volcano-sedimentary lithologies of the Klein Aub - Rehoboth basin of the Irumide Belt, Namibia. Mineralization and hydrothermal alteration are restricted to deformed lithologies particularly the metasediments. Lithological relationships, geochemistry and metallogenic characteristics of the Irumide Belt suggest an intra-continental rift setting. Copper mineralization is well known along the length of the belt, from Klein Aub in the southwest to Ghanzi in the northeast, whereas gold mineralization appears restricted to the Klein Aub Rehoboth basin. The gold is envisaged as having being leached initially from graben fill sequences during rift closure and basin dewatering. Location of the mineralization is strongly controlled by structure and lithological contact zones. Such zones are percieved as having acted as conduit zones for escaping mineralized fluids during basin closure and deformation. Apart from the lack of an effective mineralizing trap, all features consistent with the development of an ore deposit are present. The largest mineralization traps within the area studied are shear zones followed by lithological contact zones. The Mebi and Blanks gold mines are developed over large shear zones while the Swartmodder and Neuras gold mines are situated over mineralized lithological contacts. The Swartmodder copper mine yielded ore from a mineralized schist enclave within granite. Copper and gold occurrences are attributed to two contrasting styles of mineralization. Copper mineralization is suggested to have developed during initial rifting of the belt (ie. stratabound sedimentary exhalative type), while the gold and minor copper resulted from rift closure and basin dewatering. Although no economical orebody was realized during the course of this study a model is proposed for the development of mineralization within the Irumide basement lithologies as a working hypothesis for future exploration.
- Full Text:
- Date Issued: 1991
- Authors: Whitfield, Derek
- Date: 1991
- Subjects: Gold ores -- Geology -- Namibia , Gold ores -- Geology -- Africa, Southern
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4948 , http://hdl.handle.net/10962/d1005560 , Gold ores -- Geology -- Namibia , Gold ores -- Geology -- Africa, Southern
- Description: Gold mineralization is hosted within gossanous quartz-haematite veins in volcano-sedimentary lithologies of the Klein Aub - Rehoboth basin of the Irumide Belt, Namibia. Mineralization and hydrothermal alteration are restricted to deformed lithologies particularly the metasediments. Lithological relationships, geochemistry and metallogenic characteristics of the Irumide Belt suggest an intra-continental rift setting. Copper mineralization is well known along the length of the belt, from Klein Aub in the southwest to Ghanzi in the northeast, whereas gold mineralization appears restricted to the Klein Aub Rehoboth basin. The gold is envisaged as having being leached initially from graben fill sequences during rift closure and basin dewatering. Location of the mineralization is strongly controlled by structure and lithological contact zones. Such zones are percieved as having acted as conduit zones for escaping mineralized fluids during basin closure and deformation. Apart from the lack of an effective mineralizing trap, all features consistent with the development of an ore deposit are present. The largest mineralization traps within the area studied are shear zones followed by lithological contact zones. The Mebi and Blanks gold mines are developed over large shear zones while the Swartmodder and Neuras gold mines are situated over mineralized lithological contacts. The Swartmodder copper mine yielded ore from a mineralized schist enclave within granite. Copper and gold occurrences are attributed to two contrasting styles of mineralization. Copper mineralization is suggested to have developed during initial rifting of the belt (ie. stratabound sedimentary exhalative type), while the gold and minor copper resulted from rift closure and basin dewatering. Although no economical orebody was realized during the course of this study a model is proposed for the development of mineralization within the Irumide basement lithologies as a working hypothesis for future exploration.
- Full Text:
- Date Issued: 1991
The pineal gland as a model to elucidate the primary mode of action of sympathoactive agents
- Authors: Welman, Alan David
- Date: 1991
- Subjects: Pineal gland , Cythochemistry
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:3876 , http://hdl.handle.net/10962/d1001610
- Description: An attempt was made to use the pineal gland as a model for the study of the primary mode of action of sympathoactive agents. Two drugs were investigated, viz. alpha-methyldopa and ephedrine whose mode of action is not entirely clear. Organ cultures of pineal glands from rats treated chronically with alpha-methyldopa showed enhanced conversion of radioactive serotonin to melatonin (aMT) , as well as its precursor Nacetylserotonin (aHT). This treatment was also found to raise Nacetyltransferase (NAT) activity. These increases associated with alpha-methyldopa treatment were further enhanced by the beta-adrenergic agonist, isoproterenol, suggesting a supersensitivity-type effect occurring at the level of the beta-receptor. A subsequent binding study, however, showed a decrease in beta-receptor binding with exposure to alpha-methyldopa, providing mitigating evidence against the occurrence of a supersensitivity phenomenon. It is possible that a metabolite of alpha-methyldopa acts as an alpha 1 and beta-adrenergic agonist, resulting in greater melatonin (aMT) and N-acetylserotonin (aHT) synthesis than by a beta-adrenergic agonist, isoproterenol. Combined treatment of pineals with alpha-methyldopa and an alphareceptor blocker, phentolamine, resulted in melatonin (aMT) , Nacetylserotonin (aHT) , and N-acetyltransferase (NAT) activity levels which were lower than those obtained with alpha-methyldopa treatment alone, thus confirming the alpha-adrenergic activity of the metabolite of alpha-methyldopa. Additional pineal metabolites were isolated and measured simultaneously in the organ culture experiments. Organ cultures of rat pineal glands treated with ephedrine showed raised levels of melatonin (aMT) and N-acetylserotonin (aHT). Treatment with ephedrine also produced raised N-acetyltransferase activity. A further enhancement of these parameters was induced by norepinephrine, suggesting a supersensitivity-type effect occurring at the level of the beta-adrenergic receptor. Rats were treated with reserpine (a norepinephrine depleter) and the pineals exposed to ephedrine. Endogenous norepinephrine normally released by the action of ephedrine was thus absent, and under these conditions, levels of melatonin (aMT) and N-acetylserotonin (aHT) were reduced. N-acetyltransferase (NAT) activity was also reduced, but maintained levels pointing to substantial adrenergic activity of ephedrine as well as norepinephrine released by virtue of the drug's action. A subsequent binding study showed a decrease in beta-adrenergic receptor binding with exposure to ephedrine and a further decrease in ephedrine treated pineals from reserpine treated rats, thus ruling out the occurrence of a supersensitivity phenomenon. It is possible that both ephedrine and released norepinephrine have alpha- and beta-receptor activity. Additional pineal metabolites were isolated and measured in the organ culture experiments. A 16-hour time profile of the production of melatonin (aMT) and N-acetylserotonin (aHT) with norepinephrine and ephedrine treatment provided useful information regarding the course of action of the two agents. A pineal cell-culture system was developed and exposed to ephedrine and norepinephrine. N-acetyltransferase (NAT) activity levels measured after exposure to these agents were raised, confirming the adrenergic activity of both in the model. Finally, an HPLC system coupled to a UV detector was used in an attempt to measure melatonin (aMT) extracted from pineal organ culture media. The results showed that melatonin could be measured by this method, however, a more sensitive detection system was recommended for future work.
- Full Text:
- Date Issued: 1991
- Authors: Welman, Alan David
- Date: 1991
- Subjects: Pineal gland , Cythochemistry
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:3876 , http://hdl.handle.net/10962/d1001610
- Description: An attempt was made to use the pineal gland as a model for the study of the primary mode of action of sympathoactive agents. Two drugs were investigated, viz. alpha-methyldopa and ephedrine whose mode of action is not entirely clear. Organ cultures of pineal glands from rats treated chronically with alpha-methyldopa showed enhanced conversion of radioactive serotonin to melatonin (aMT) , as well as its precursor Nacetylserotonin (aHT). This treatment was also found to raise Nacetyltransferase (NAT) activity. These increases associated with alpha-methyldopa treatment were further enhanced by the beta-adrenergic agonist, isoproterenol, suggesting a supersensitivity-type effect occurring at the level of the beta-receptor. A subsequent binding study, however, showed a decrease in beta-receptor binding with exposure to alpha-methyldopa, providing mitigating evidence against the occurrence of a supersensitivity phenomenon. It is possible that a metabolite of alpha-methyldopa acts as an alpha 1 and beta-adrenergic agonist, resulting in greater melatonin (aMT) and N-acetylserotonin (aHT) synthesis than by a beta-adrenergic agonist, isoproterenol. Combined treatment of pineals with alpha-methyldopa and an alphareceptor blocker, phentolamine, resulted in melatonin (aMT) , Nacetylserotonin (aHT) , and N-acetyltransferase (NAT) activity levels which were lower than those obtained with alpha-methyldopa treatment alone, thus confirming the alpha-adrenergic activity of the metabolite of alpha-methyldopa. Additional pineal metabolites were isolated and measured simultaneously in the organ culture experiments. Organ cultures of rat pineal glands treated with ephedrine showed raised levels of melatonin (aMT) and N-acetylserotonin (aHT). Treatment with ephedrine also produced raised N-acetyltransferase activity. A further enhancement of these parameters was induced by norepinephrine, suggesting a supersensitivity-type effect occurring at the level of the beta-adrenergic receptor. Rats were treated with reserpine (a norepinephrine depleter) and the pineals exposed to ephedrine. Endogenous norepinephrine normally released by the action of ephedrine was thus absent, and under these conditions, levels of melatonin (aMT) and N-acetylserotonin (aHT) were reduced. N-acetyltransferase (NAT) activity was also reduced, but maintained levels pointing to substantial adrenergic activity of ephedrine as well as norepinephrine released by virtue of the drug's action. A subsequent binding study showed a decrease in beta-adrenergic receptor binding with exposure to ephedrine and a further decrease in ephedrine treated pineals from reserpine treated rats, thus ruling out the occurrence of a supersensitivity phenomenon. It is possible that both ephedrine and released norepinephrine have alpha- and beta-receptor activity. Additional pineal metabolites were isolated and measured in the organ culture experiments. A 16-hour time profile of the production of melatonin (aMT) and N-acetylserotonin (aHT) with norepinephrine and ephedrine treatment provided useful information regarding the course of action of the two agents. A pineal cell-culture system was developed and exposed to ephedrine and norepinephrine. N-acetyltransferase (NAT) activity levels measured after exposure to these agents were raised, confirming the adrenergic activity of both in the model. Finally, an HPLC system coupled to a UV detector was used in an attempt to measure melatonin (aMT) extracted from pineal organ culture media. The results showed that melatonin could be measured by this method, however, a more sensitive detection system was recommended for future work.
- Full Text:
- Date Issued: 1991
The pineal gland as a model to elucidate the primary mode of action of sympathoactive agents
- Authors: Welman, Alan David
- Date: 1991
- Subjects: Pineal gland , Cythochemistry
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4279 , http://hdl.handle.net/10962/d1002005 , Pineal gland
- Description: An attempt was made to use the pineal gland as a model for the study of the primary mode of action of sympathoactive agents. Two drugs were investigated, viz. alpha-methyldopa and ephedrine whose mode of action is not entirely clear. Organ cultures of pineal glands from rats treated chronically with alpha-methyldopa showed enhanced conversion of radioactive serotonin to melatonin (aMT) , as well as its precursor Nacetylserotonin (aHT). This treatment was also found to raise Nacetyltransferase (NAT) activity. These increases associated with alpha-methyldopa treatment were further enhanced by the beta-adrenergic agonist, isoproterenol, suggesting a supersensitivity-type effect occurring at the level of the beta-receptor. A subsequent binding study, however, showed a decrease in beta-receptor binding with exposure to alpha-methyldopa, providing mitigating evidence against the occurrence of a supersensitivity phenomenon. It is possible that a metabolite of alpha-methyldopa acts as an alpha 1 and beta-adrenergic agonist, resulting in greater melatonin (aMT) and N-acetylserotonin (aHT) synthesis than by a beta-adrenergic agonist, isoproterenol. Combined treatment of pineals with alpha-methyldopa and an alphareceptor blocker, phentolamine, resulted in melatonin (aMT) , Nacetylserotonin (aHT) , and N-acetyltransferase (NAT) activity levels which were lower than those obtained with alpha-methyldopa treatment alone, thus confirming the alpha-adrenergic activity of the metabolite of alpha-methyldopa. Additional pineal metabolites were isolated and measured simultaneously in the organ culture experiments. Organ cultures of rat pineal glands treated with ephedrine showed raised levels of melatonin (aMT) and N-acetylserotonin (aHT). Treatment with ephedrine also produced raised N-acetyltransferase activity. A further enhancement of these parameters was induced by norepinephrine, suggesting a supersensitivity-type effect occurring at the level of the beta-adrenergic receptor. Rats were treated with reserpine (a norepinephrine depleter) and the pineals exposed to ephedrine. Endogenous norepinephrine normally released by the action of ephedrine was thus absent, and under these conditions, levels of melatonin (aMT) and N-acetylserotonin (aHT) were reduced. N-acetyltransferase (NAT) activity was also reduced, but maintained levels pointing to substantial adrenergic activity of ephedrine as well as norepinephrine released by virtue of the drug's action. A subsequent binding study showed a decrease in beta-adrenergic receptor binding with exposure to ephedrine and a further decrease in ephedrine treated pineals from reserpine treated rats, thus ruling out the occurrence of a supersensitivity phenomenon. It is possible that both ephedrine and released norepinephrine have alpha- and beta-receptor activity. Additional pineal metabolites were isolated and measured in the organ culture experiments. A 16-hour time profile of the production of melatonin (aMT) and N-acetylserotonin (aHT) with norepinephrine and ephedrine treatment provided useful information regarding the course of action of the two agents. A pineal cell-culture system was developed and exposed to ephedrine and norepinephrine. N-acetyltransferase (NAT) activity levels measured after exposure to these agents were raised, confirming the adrenergic activity of both in the model. Finally, an HPLC system coupled to a UV detector was used in an attempt to measure melatonin (aMT) extracted from pineal organ culture media. The results showed that melatonin could be measured by this method, however, a more sensitive detection system was recommended for future work
- Full Text:
- Date Issued: 1991
- Authors: Welman, Alan David
- Date: 1991
- Subjects: Pineal gland , Cythochemistry
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4279 , http://hdl.handle.net/10962/d1002005 , Pineal gland
- Description: An attempt was made to use the pineal gland as a model for the study of the primary mode of action of sympathoactive agents. Two drugs were investigated, viz. alpha-methyldopa and ephedrine whose mode of action is not entirely clear. Organ cultures of pineal glands from rats treated chronically with alpha-methyldopa showed enhanced conversion of radioactive serotonin to melatonin (aMT) , as well as its precursor Nacetylserotonin (aHT). This treatment was also found to raise Nacetyltransferase (NAT) activity. These increases associated with alpha-methyldopa treatment were further enhanced by the beta-adrenergic agonist, isoproterenol, suggesting a supersensitivity-type effect occurring at the level of the beta-receptor. A subsequent binding study, however, showed a decrease in beta-receptor binding with exposure to alpha-methyldopa, providing mitigating evidence against the occurrence of a supersensitivity phenomenon. It is possible that a metabolite of alpha-methyldopa acts as an alpha 1 and beta-adrenergic agonist, resulting in greater melatonin (aMT) and N-acetylserotonin (aHT) synthesis than by a beta-adrenergic agonist, isoproterenol. Combined treatment of pineals with alpha-methyldopa and an alphareceptor blocker, phentolamine, resulted in melatonin (aMT) , Nacetylserotonin (aHT) , and N-acetyltransferase (NAT) activity levels which were lower than those obtained with alpha-methyldopa treatment alone, thus confirming the alpha-adrenergic activity of the metabolite of alpha-methyldopa. Additional pineal metabolites were isolated and measured simultaneously in the organ culture experiments. Organ cultures of rat pineal glands treated with ephedrine showed raised levels of melatonin (aMT) and N-acetylserotonin (aHT). Treatment with ephedrine also produced raised N-acetyltransferase activity. A further enhancement of these parameters was induced by norepinephrine, suggesting a supersensitivity-type effect occurring at the level of the beta-adrenergic receptor. Rats were treated with reserpine (a norepinephrine depleter) and the pineals exposed to ephedrine. Endogenous norepinephrine normally released by the action of ephedrine was thus absent, and under these conditions, levels of melatonin (aMT) and N-acetylserotonin (aHT) were reduced. N-acetyltransferase (NAT) activity was also reduced, but maintained levels pointing to substantial adrenergic activity of ephedrine as well as norepinephrine released by virtue of the drug's action. A subsequent binding study showed a decrease in beta-adrenergic receptor binding with exposure to ephedrine and a further decrease in ephedrine treated pineals from reserpine treated rats, thus ruling out the occurrence of a supersensitivity phenomenon. It is possible that both ephedrine and released norepinephrine have alpha- and beta-receptor activity. Additional pineal metabolites were isolated and measured in the organ culture experiments. A 16-hour time profile of the production of melatonin (aMT) and N-acetylserotonin (aHT) with norepinephrine and ephedrine treatment provided useful information regarding the course of action of the two agents. A pineal cell-culture system was developed and exposed to ephedrine and norepinephrine. N-acetyltransferase (NAT) activity levels measured after exposure to these agents were raised, confirming the adrenergic activity of both in the model. Finally, an HPLC system coupled to a UV detector was used in an attempt to measure melatonin (aMT) extracted from pineal organ culture media. The results showed that melatonin could be measured by this method, however, a more sensitive detection system was recommended for future work
- Full Text:
- Date Issued: 1991
Land expropriation and labour extraction under Cape colonial rule : the war of 1835 and the "emancipation" of the Fingo
- Authors: Webster, Alan Charles
- Date: 1991
- Subjects: Ayliff, John, 1797-1862 , Fingo (African people) -- History , Frontier War, 1834-1835 , Cape of Good Hope (South Africa) -- History -- 1814-1852 , Xhosa (African people) -- History , Gcaleka (African people) -- History , Bantu-speaking peoples -- Migrations , Rharhabe (African people) -- History , Historiography -- South Africa , D'Urban, Benjamin, Sir, 1777-1849 , Land tenure -- South Africa -- Cape of Good Hope , Working class -- South Africa -- Cape of Good Hope , Eminent domain -- South Africa -- History
- Language: English
- Type: Thesis , Masters , MA
- Identifier: vital:2572 , http://hdl.handle.net/10962/d1002425
- Description: The interpretations of the war of 1835 and the identity of the Fingo that were presented by the English settlers, have remained the mainstays of all subsequent histories. They asserted that the war of 1835 was the fault purely of 'Kaffir' aggression, that it was controlled by Hintza, the paramount chief, and that the ensuing hostilities were justifiable colonial defence and punishment of the Africans. The arrival of the Fingo in the Colony, it was claimed, was unconnected with the war. It was alleged that the seventeen thousand Fingo brought into the Colony in May 1835 were all Natal refugees who had fled south from the devastations of Shaka and the 'mfecane', and who had then become oppressed by their Gca1eka hosts. Both of these 'histories' need to be inverted. The 'irruption' of December 1834 was not unprovoked Rharhabe aggression, but the final response to years of the advance of the Cape Colony. Large areas of Rharhabe land had been expropriated, and their cattle regularly raided. Their women and children had been seized and taken into the Colony as labourers. The attacks were carried out by only a section of the Rharhabe on specific areas in Albany. The damage caused, and stock taken, was vastly exaggerated by the colonists. The Cape Governor, D'Urban, and British troop reinforcements arrived in Albany in January, and the Rharhabe were invaded two months later. D'Urban later invaded the innocent Gcaleka, took cattle, wreaked havoc and killed Hintza after he refused to ally with the Colony. The Fingo made their appearance at this moment. They were not a homogenous group. There were four categories within the term: mission and refugee collaborators (who were given land at Peddie and had chiefs appointed), military auxiliaries, labourers, and later, destitute Rharhabe seeking employment in the Colony. Only a small minority of the total Fingo were from Natal. The majority of the Fingo appear to have been Rharhabe and Gcaleka women and children, captured by the troops during the war and distributed on farms in the eastern districts to ameliorate the chronic labour shortage. Thus, instead of the year 1835 being one of great loss for the eastern Cape, as claimed by the settler apologists, it was a catalyst to the economic development of the area. All Rharhabe land was seized, to be granted as settler farms. Well over sixty thousand Rharhabe and Gcaleka cattle were captured and distributed amongst the colonists. The security threat of the adjacent Rharhabe and the independent Gcaleka was removed. And a large colonial labour supply was ensured.
- Full Text:
- Date Issued: 1991
- Authors: Webster, Alan Charles
- Date: 1991
- Subjects: Ayliff, John, 1797-1862 , Fingo (African people) -- History , Frontier War, 1834-1835 , Cape of Good Hope (South Africa) -- History -- 1814-1852 , Xhosa (African people) -- History , Gcaleka (African people) -- History , Bantu-speaking peoples -- Migrations , Rharhabe (African people) -- History , Historiography -- South Africa , D'Urban, Benjamin, Sir, 1777-1849 , Land tenure -- South Africa -- Cape of Good Hope , Working class -- South Africa -- Cape of Good Hope , Eminent domain -- South Africa -- History
- Language: English
- Type: Thesis , Masters , MA
- Identifier: vital:2572 , http://hdl.handle.net/10962/d1002425
- Description: The interpretations of the war of 1835 and the identity of the Fingo that were presented by the English settlers, have remained the mainstays of all subsequent histories. They asserted that the war of 1835 was the fault purely of 'Kaffir' aggression, that it was controlled by Hintza, the paramount chief, and that the ensuing hostilities were justifiable colonial defence and punishment of the Africans. The arrival of the Fingo in the Colony, it was claimed, was unconnected with the war. It was alleged that the seventeen thousand Fingo brought into the Colony in May 1835 were all Natal refugees who had fled south from the devastations of Shaka and the 'mfecane', and who had then become oppressed by their Gca1eka hosts. Both of these 'histories' need to be inverted. The 'irruption' of December 1834 was not unprovoked Rharhabe aggression, but the final response to years of the advance of the Cape Colony. Large areas of Rharhabe land had been expropriated, and their cattle regularly raided. Their women and children had been seized and taken into the Colony as labourers. The attacks were carried out by only a section of the Rharhabe on specific areas in Albany. The damage caused, and stock taken, was vastly exaggerated by the colonists. The Cape Governor, D'Urban, and British troop reinforcements arrived in Albany in January, and the Rharhabe were invaded two months later. D'Urban later invaded the innocent Gcaleka, took cattle, wreaked havoc and killed Hintza after he refused to ally with the Colony. The Fingo made their appearance at this moment. They were not a homogenous group. There were four categories within the term: mission and refugee collaborators (who were given land at Peddie and had chiefs appointed), military auxiliaries, labourers, and later, destitute Rharhabe seeking employment in the Colony. Only a small minority of the total Fingo were from Natal. The majority of the Fingo appear to have been Rharhabe and Gcaleka women and children, captured by the troops during the war and distributed on farms in the eastern districts to ameliorate the chronic labour shortage. Thus, instead of the year 1835 being one of great loss for the eastern Cape, as claimed by the settler apologists, it was a catalyst to the economic development of the area. All Rharhabe land was seized, to be granted as settler farms. Well over sixty thousand Rharhabe and Gcaleka cattle were captured and distributed amongst the colonists. The security threat of the adjacent Rharhabe and the independent Gcaleka was removed. And a large colonial labour supply was ensured.
- Full Text:
- Date Issued: 1991
The shadowed corners of sunlit ruins: Gothic elements in twentieth century children's adventure fiction
- Authors: Wagenaar, Peter Simon
- Date: 1991
- Subjects: Children's literature -- 20th century -- History and criticism , Gothic literature
- Language: English
- Type: Thesis , Masters , MA
- Identifier: vital:2250 , http://hdl.handle.net/10962/d1002293 , Children's literature -- 20th century -- History and criticism , Gothic literature
- Description: This thesis examines the way in which children's adventure fiction makes use of Gothic features, how these features have been modified for a younger audience and how these modifications have been influenced by other developments in children's and popular fiction: Chapter One sets out to define the nature of Gothic and isolate those aspects of it relevant to the proposed study. It puts forward a theory to account for the movement of Gothic trends into later children's fiction. Chapter Two examines the use of landscape, setting and atmospheric effects in Gothic and the way in which children's fiction has used similar trappings to create similar effects. Children's fiction, emphasising pleasurable excitement rather than fear has, however, muted these effects somewhat and played down the role of the supernatural, so intrinsic to Gothic. Chapter Three emphasises the Gothic's use of stereotypes, focusing on the portrayal of heroes and heroines. Those of children's fiction are portrayed very similarly to those of Gothic and the chapter compares and, on occasion, contrasts them noting, inter alia, their adherence to rigid moral codes and narrowly defined norms of masculine and feminine behaviour. Chapter Four looks at the portrayal of villains and the way in which their appearance defines them as such (as, indeed, does that of heroes and heroines). It examines in some detail their relationship to and interaction with the heroes and heroines, noting, for example, the 'pseudo-parental' role of villains who are characteristically older and in socially approved positions to exert power over heroes and heroines. The Conclusion addresses the fantasy aspect of these novels,referred to several times in passing in the course of earlier chapters, and comments on how the features detailed in Chapters Two, Three and Four all operate within the conventions of a fantasy.
- Full Text:
- Date Issued: 1991
- Authors: Wagenaar, Peter Simon
- Date: 1991
- Subjects: Children's literature -- 20th century -- History and criticism , Gothic literature
- Language: English
- Type: Thesis , Masters , MA
- Identifier: vital:2250 , http://hdl.handle.net/10962/d1002293 , Children's literature -- 20th century -- History and criticism , Gothic literature
- Description: This thesis examines the way in which children's adventure fiction makes use of Gothic features, how these features have been modified for a younger audience and how these modifications have been influenced by other developments in children's and popular fiction: Chapter One sets out to define the nature of Gothic and isolate those aspects of it relevant to the proposed study. It puts forward a theory to account for the movement of Gothic trends into later children's fiction. Chapter Two examines the use of landscape, setting and atmospheric effects in Gothic and the way in which children's fiction has used similar trappings to create similar effects. Children's fiction, emphasising pleasurable excitement rather than fear has, however, muted these effects somewhat and played down the role of the supernatural, so intrinsic to Gothic. Chapter Three emphasises the Gothic's use of stereotypes, focusing on the portrayal of heroes and heroines. Those of children's fiction are portrayed very similarly to those of Gothic and the chapter compares and, on occasion, contrasts them noting, inter alia, their adherence to rigid moral codes and narrowly defined norms of masculine and feminine behaviour. Chapter Four looks at the portrayal of villains and the way in which their appearance defines them as such (as, indeed, does that of heroes and heroines). It examines in some detail their relationship to and interaction with the heroes and heroines, noting, for example, the 'pseudo-parental' role of villains who are characteristically older and in socially approved positions to exert power over heroes and heroines. The Conclusion addresses the fantasy aspect of these novels,referred to several times in passing in the course of earlier chapters, and comments on how the features detailed in Chapters Two, Three and Four all operate within the conventions of a fantasy.
- Full Text:
- Date Issued: 1991
Mzeno
- Venancio Mbande and the Hague Percussion group of Holland, Tracey, Andrew T N
- Authors: Venancio Mbande and the Hague Percussion group of Holland , Tracey, Andrew T N
- Date: 1991
- Subjects: Chopi (African people) -- South Africa , Folk music , Xylophone music , Rattle (Musical instrument) , Europe Holland Hague e-ne
- Language: Chopi
- Type: sound recordings , field recordings , Sound recording material
- Identifier: http://hdl.handle.net/10962/96170 , vital:31247 , International Library of African Music, Rhodes University, Grahamstown, South Africa , ATC047a-04
- Description: This was Venancio Mbande's teaching whilst in Holland to the Hague Percussion group of the Chopi timbila xylophone dance song accompanied by 16 rattle beats
- Full Text: false
- Date Issued: 1991
- Authors: Venancio Mbande and the Hague Percussion group of Holland , Tracey, Andrew T N
- Date: 1991
- Subjects: Chopi (African people) -- South Africa , Folk music , Xylophone music , Rattle (Musical instrument) , Europe Holland Hague e-ne
- Language: Chopi
- Type: sound recordings , field recordings , Sound recording material
- Identifier: http://hdl.handle.net/10962/96170 , vital:31247 , International Library of African Music, Rhodes University, Grahamstown, South Africa , ATC047a-04
- Description: This was Venancio Mbande's teaching whilst in Holland to the Hague Percussion group of the Chopi timbila xylophone dance song accompanied by 16 rattle beats
- Full Text: false
- Date Issued: 1991
Mtsitso
- Venancio Mbande and the Hague Percussion group of Holland, Tracey, Andrew T N
- Authors: Venancio Mbande and the Hague Percussion group of Holland , Tracey, Andrew T N
- Date: 1991
- Subjects: Chopi (African people) -- South Africa , Folk music , Xylophone music , Rattle (Musical instrument) , Europe Holland Hague e-ne
- Language: Chopi
- Type: sound recordings , field recordings , Sound recording material
- Identifier: http://hdl.handle.net/10962/96192 , vital:31249 , International Library of African Music, Rhodes University, Grahamstown, South Africa , ATC047a-05
- Description: This was Venancio Mbande's teaching whilst in Holland to the Hague Percussion group of the Chopi timbila xylophone dance song accompanied by 20 rattle beats and it was also Venancio's favourite and famous one
- Full Text: false
- Date Issued: 1991
- Authors: Venancio Mbande and the Hague Percussion group of Holland , Tracey, Andrew T N
- Date: 1991
- Subjects: Chopi (African people) -- South Africa , Folk music , Xylophone music , Rattle (Musical instrument) , Europe Holland Hague e-ne
- Language: Chopi
- Type: sound recordings , field recordings , Sound recording material
- Identifier: http://hdl.handle.net/10962/96192 , vital:31249 , International Library of African Music, Rhodes University, Grahamstown, South Africa , ATC047a-05
- Description: This was Venancio Mbande's teaching whilst in Holland to the Hague Percussion group of the Chopi timbila xylophone dance song accompanied by 20 rattle beats and it was also Venancio's favourite and famous one
- Full Text: false
- Date Issued: 1991
Mtsitso in Holland 1991 used by a South African composer Hans Roosenschoon in his avante garde piece 'Timbila'
- Venancio Mbande and the Hague Percussion group of Holland, Tracey, Andrew T N
- Authors: Venancio Mbande and the Hague Percussion group of Holland , Tracey, Andrew T N
- Date: 1991
- Subjects: Chopi (African people) -- South Africa , Folk music , Xylophone music , Rattle (Musical instrument) , Europe Holland Hague e-ne
- Language: Chopi
- Type: sound recordings , field recordings , Sound recording material
- Identifier: http://hdl.handle.net/10962/96150 , vital:31244 , International Library of African Music, Rhodes University, Grahamstown, South Africa , ATC047a-02
- Description: This was Venancio Mbande's teaching whilst in Holland to the Hague Percussion group of the Chopi timbila xylophone dance song accompanied by 12 rattle beats
- Full Text: false
- Date Issued: 1991
- Authors: Venancio Mbande and the Hague Percussion group of Holland , Tracey, Andrew T N
- Date: 1991
- Subjects: Chopi (African people) -- South Africa , Folk music , Xylophone music , Rattle (Musical instrument) , Europe Holland Hague e-ne
- Language: Chopi
- Type: sound recordings , field recordings , Sound recording material
- Identifier: http://hdl.handle.net/10962/96150 , vital:31244 , International Library of African Music, Rhodes University, Grahamstown, South Africa , ATC047a-02
- Description: This was Venancio Mbande's teaching whilst in Holland to the Hague Percussion group of the Chopi timbila xylophone dance song accompanied by 12 rattle beats
- Full Text: false
- Date Issued: 1991
Mdano
- Venancio Mbande and the Hague Percussion group of Holland, Tracey, Andrew T N
- Authors: Venancio Mbande and the Hague Percussion group of Holland , Tracey, Andrew T N
- Date: 1991
- Subjects: Chopi (African people) -- South Africa , Folk music , Xylophone music , Rattle (Musical instrument) , Europe Holland Hague e-ne
- Language: Chopi
- Type: sound recordings , field recordings , Sound recording material
- Identifier: http://hdl.handle.net/10962/96154 , vital:31245 , International Library of African Music, Rhodes University, Grahamstown, South Africa , ATC047a-03
- Description: This was Venancio Mbande's teaching whilst in Holland to the Hague Percussion group of the Chopi timbila xylophone dance song accompanied by 8 rattle beats
- Full Text: false
- Date Issued: 1991
- Authors: Venancio Mbande and the Hague Percussion group of Holland , Tracey, Andrew T N
- Date: 1991
- Subjects: Chopi (African people) -- South Africa , Folk music , Xylophone music , Rattle (Musical instrument) , Europe Holland Hague e-ne
- Language: Chopi
- Type: sound recordings , field recordings , Sound recording material
- Identifier: http://hdl.handle.net/10962/96154 , vital:31245 , International Library of African Music, Rhodes University, Grahamstown, South Africa , ATC047a-03
- Description: This was Venancio Mbande's teaching whilst in Holland to the Hague Percussion group of the Chopi timbila xylophone dance song accompanied by 8 rattle beats
- Full Text: false
- Date Issued: 1991
Mtsitso
- Venancio Mbande and the Hague Percussion group of Holland, Tracey, Andrew T N
- Authors: Venancio Mbande and the Hague Percussion group of Holland , Tracey, Andrew T N
- Date: 1991
- Subjects: Chopi (African people) -- South Africa , Folk music , Xylophone music , Rattle (Musical instrument) , Europe Holland Hague e-ne
- Language: Chopi
- Type: sound recordings , field recordings , Sound recording material
- Identifier: http://hdl.handle.net/10962/96141 , vital:31241 , International Library of African Music, Rhodes University, Grahamstown, South Africa , ATC047a-01
- Description: This was Venancio Mbande's teaching whilst in Holland to the Hague Percussion group of the Chopi timbila xylophone dance song accompanied by 20 rattle beats
- Full Text: false
- Date Issued: 1991
- Authors: Venancio Mbande and the Hague Percussion group of Holland , Tracey, Andrew T N
- Date: 1991
- Subjects: Chopi (African people) -- South Africa , Folk music , Xylophone music , Rattle (Musical instrument) , Europe Holland Hague e-ne
- Language: Chopi
- Type: sound recordings , field recordings , Sound recording material
- Identifier: http://hdl.handle.net/10962/96141 , vital:31241 , International Library of African Music, Rhodes University, Grahamstown, South Africa , ATC047a-01
- Description: This was Venancio Mbande's teaching whilst in Holland to the Hague Percussion group of the Chopi timbila xylophone dance song accompanied by 20 rattle beats
- Full Text: false
- Date Issued: 1991
A study of the relationship between personality factors and attitudes towards perceived problem animals in white small-stock farmers of the Eastern Cape
- Authors: Van Rensburg, Eureta Janse
- Date: 1991
- Subjects: Conservation of natural resources -- South Africa Farmers -- Psychology
- Language: English
- Type: Thesis , Masters , MEd
- Identifier: vital:1782 , http://hdl.handle.net/10962/d1003667
- Description: This study explores a possible relationship between personality factors and attitudes towards perceived problem animals in a sample of 17 white, male, full-time small- stock farmers in the Eastern Cape district of Cradock. Personality factors were analysed by means of Cattell's l6 Personality Factor Questionnaire, standardised for South Africa. Attitudes were determined by qualitative analysis of data from semi-structured interviews. Specific personality factors associated with positive and negative attitudes towards 'problem animals', including Lynx Felis caracal, eagles and vultures, were identified. Demographic and situational influences and certain world views associated with environmental attitudes are also discussed. Re-orientation of perspectives are recommended for farmers, conservationists and environmental educators.
- Full Text:
- Date Issued: 1991
- Authors: Van Rensburg, Eureta Janse
- Date: 1991
- Subjects: Conservation of natural resources -- South Africa Farmers -- Psychology
- Language: English
- Type: Thesis , Masters , MEd
- Identifier: vital:1782 , http://hdl.handle.net/10962/d1003667
- Description: This study explores a possible relationship between personality factors and attitudes towards perceived problem animals in a sample of 17 white, male, full-time small- stock farmers in the Eastern Cape district of Cradock. Personality factors were analysed by means of Cattell's l6 Personality Factor Questionnaire, standardised for South Africa. Attitudes were determined by qualitative analysis of data from semi-structured interviews. Specific personality factors associated with positive and negative attitudes towards 'problem animals', including Lynx Felis caracal, eagles and vultures, were identified. Demographic and situational influences and certain world views associated with environmental attitudes are also discussed. Re-orientation of perspectives are recommended for farmers, conservationists and environmental educators.
- Full Text:
- Date Issued: 1991
The concentration of economic power in South Africa
- TURP
- Authors: TURP
- Date: 1991
- Subjects: TURP
- Language: English
- Type: text
- Identifier: http://hdl.handle.net/10962/160931 , vital:40568
- Description: Debate on a post-apartheid economy has once again raised the question of the concentration of economic power in South Africa. It is a known fact that the wealth of South Africa is concentrated in a few hands. For example, it is estimated that 5 % of the population owns 80% of the wealth in the country. At the same time, millions of our people live in poverty. Over half the population in South Africa live below the poverty datum lines (amounts needed for very basic subsistence).
- Full Text:
- Date Issued: 1991
- Authors: TURP
- Date: 1991
- Subjects: TURP
- Language: English
- Type: text
- Identifier: http://hdl.handle.net/10962/160931 , vital:40568
- Description: Debate on a post-apartheid economy has once again raised the question of the concentration of economic power in South Africa. It is a known fact that the wealth of South Africa is concentrated in a few hands. For example, it is estimated that 5 % of the population owns 80% of the wealth in the country. At the same time, millions of our people live in poverty. Over half the population in South Africa live below the poverty datum lines (amounts needed for very basic subsistence).
- Full Text:
- Date Issued: 1991
An existential phenomenological study of the kind of therapeutic self-insight that carries a greater sense of freedom
- Authors: Todres, Leslie Allen
- Date: 1991
- Subjects: Psychotherapy Self-perception Self-actualization (Psychology)
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:3073 , http://hdl.handle.net/10962/d1002582
- Description: The central aim of this study was to contribute to the clarification of the nature of self-insight in psychotherapy by means of a qualitative research design. A pilot study provided direction by suggesting a psychologically relevant focus that was experientially specific; that is, the kind of therapeutic self-insight that carries a greater sense of freedom. A phenomenological research method was used to describe and interpret in depth the experiences of eight clients who had been in psychotherapy. Their experiences were explicated to yield a psychologically relevant general description of the phenomenon. The results indicated ten central constituents of the experience. Such themes included, amongst others, the role of language in providing perspective, the increased understanding of personal agency, the achievement of a more complex self-image, and the ability to express existing desires and motives within a more flexible or creative behavioural context. The general description also indicated how phenomena such as memory, feeling, motive, metaphor, dreams and present behaviour interact in the co-constitution of this kind of therapeutic self-insight. After dialoguing the results of the study with relevant literature, the thesis concluded with reflections on the intrinsic value of therapeutic self-insight, as revealed in this study, in relation to the spirit of technology.
- Full Text:
- Date Issued: 1991
- Authors: Todres, Leslie Allen
- Date: 1991
- Subjects: Psychotherapy Self-perception Self-actualization (Psychology)
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:3073 , http://hdl.handle.net/10962/d1002582
- Description: The central aim of this study was to contribute to the clarification of the nature of self-insight in psychotherapy by means of a qualitative research design. A pilot study provided direction by suggesting a psychologically relevant focus that was experientially specific; that is, the kind of therapeutic self-insight that carries a greater sense of freedom. A phenomenological research method was used to describe and interpret in depth the experiences of eight clients who had been in psychotherapy. Their experiences were explicated to yield a psychologically relevant general description of the phenomenon. The results indicated ten central constituents of the experience. Such themes included, amongst others, the role of language in providing perspective, the increased understanding of personal agency, the achievement of a more complex self-image, and the ability to express existing desires and motives within a more flexible or creative behavioural context. The general description also indicated how phenomena such as memory, feeling, motive, metaphor, dreams and present behaviour interact in the co-constitution of this kind of therapeutic self-insight. After dialoguing the results of the study with relevant literature, the thesis concluded with reflections on the intrinsic value of therapeutic self-insight, as revealed in this study, in relation to the spirit of technology.
- Full Text:
- Date Issued: 1991
Aspects of the biology, ecology and population dynamics of Galeichthys feliceps (Valenciennes) and G. ater (Castelnau) (Pisces: Ariidae) off the south-east coast of South Africa
- Authors: Tilney, Robin Lewis
- Date: 1991
- Subjects: Catfishes -- South Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:5221 , http://hdl.handle.net/10962/d1005064
- Description: This thesis represents a detailed investigation into aspects of the biology, ecology and population dynamics of two endemic ariid species, Galeichthys feliceps and G. ater, off the southeast coast of South Africa. The two species are exploited as a by-catch in the commercial ski-boat fishery off Port Alfred, a fishery dominated by highly fecund sparid and sciaenid species. They collectively constitute approximately 10% of the total annual catch in terms of landed mass G. feliceps outnumber G. ater in the catches by a ratio of 3:1. The investigation was designed to provide the biological data required for stock assessment and to determine optimum management strategies for the two populations. The implications of their K-selected life-history styles for exploitation received particular attention. While the two species were sympatric and had similar depth distributions they were found to be allopatric with respect to their foraging habitats. G. feliceps foraged over sandy and muddy substrata in marine and estuarine environments. G. ater fed only on reef-associated species and did not utilise estuaries. Their feeding-associated morphologies were identical and both species preyed primarily on crustaceans (brachyuran crabs and isopods), echiurids, molluscs and polychaetes. The diet of G. ater was broader in terms of the number of species consumed. The two species are mouth-brooders with low fecundity. G. feliceps and G. ater produced a mean of 49 and 32 eggs each, per annum. The buccal incubation period was determined to be in the region of 140 days for G. feliceps. Embryos hatched after approximately 75-80 days and the young began exogenous feeding thereafter. The young fed intra-buccally on detritus provided by the parent. Adult buccal mucus may also have been used as a food source. Young were released at a total length of ± 55mm. Adult males ceased feeding whilst mouth-brooding. Body musculature, abdominal fat and liver reserves provided energy for basal metabolism and males lost approximately 28% of their body mass during buccal incubation. Females expended less reproductive energy than males. Catches were dominated by mature fish (76% in G. feliceps and 97% in G. ater). Females were significantly more abundant in catches during the spawning and mouth-brooding period. The female to male sex ratios were 1.65:1 and 2.23:1 for G. feliceps and G. ater respectively. Age and growth studies revealed that the two species mature at advanced ages (10 and 9 years for G. feliceps and 9 and 7 years for G. ater males and females respectively). They are long-lived, reaching ages in excess of 18 years in G. feliceps and in excess of 15 years in G. ater. Females live longer than males and grow larger. Yield-per-recruit and spawner biomass-per-recruit analyses demonstrated that G. ater were exploited below FO.1 at a level where spawner biomass-per-recruit was reduced to between 45% and 65% of the unexploited level. The G. ater stock was not adversely affected by current levels of fishing effort. For G. feliceps, both sexes were exploited beyond F₀.₁ where spawner biomass-per-recruit was reduced to between 30% and 22% of the unexploited level. G. feliceps were shown to be sensitive to relatively low levels of exploitation, a phenomenon attributed to their highly Kselected life-history style. Should the species become targeted for in the future, effort restrictions in the form of a closed season during the spawning and mouth-brooding period would prove effective in reducing effort and conserving the population sex ratio.
- Full Text:
- Date Issued: 1991
- Authors: Tilney, Robin Lewis
- Date: 1991
- Subjects: Catfishes -- South Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:5221 , http://hdl.handle.net/10962/d1005064
- Description: This thesis represents a detailed investigation into aspects of the biology, ecology and population dynamics of two endemic ariid species, Galeichthys feliceps and G. ater, off the southeast coast of South Africa. The two species are exploited as a by-catch in the commercial ski-boat fishery off Port Alfred, a fishery dominated by highly fecund sparid and sciaenid species. They collectively constitute approximately 10% of the total annual catch in terms of landed mass G. feliceps outnumber G. ater in the catches by a ratio of 3:1. The investigation was designed to provide the biological data required for stock assessment and to determine optimum management strategies for the two populations. The implications of their K-selected life-history styles for exploitation received particular attention. While the two species were sympatric and had similar depth distributions they were found to be allopatric with respect to their foraging habitats. G. feliceps foraged over sandy and muddy substrata in marine and estuarine environments. G. ater fed only on reef-associated species and did not utilise estuaries. Their feeding-associated morphologies were identical and both species preyed primarily on crustaceans (brachyuran crabs and isopods), echiurids, molluscs and polychaetes. The diet of G. ater was broader in terms of the number of species consumed. The two species are mouth-brooders with low fecundity. G. feliceps and G. ater produced a mean of 49 and 32 eggs each, per annum. The buccal incubation period was determined to be in the region of 140 days for G. feliceps. Embryos hatched after approximately 75-80 days and the young began exogenous feeding thereafter. The young fed intra-buccally on detritus provided by the parent. Adult buccal mucus may also have been used as a food source. Young were released at a total length of ± 55mm. Adult males ceased feeding whilst mouth-brooding. Body musculature, abdominal fat and liver reserves provided energy for basal metabolism and males lost approximately 28% of their body mass during buccal incubation. Females expended less reproductive energy than males. Catches were dominated by mature fish (76% in G. feliceps and 97% in G. ater). Females were significantly more abundant in catches during the spawning and mouth-brooding period. The female to male sex ratios were 1.65:1 and 2.23:1 for G. feliceps and G. ater respectively. Age and growth studies revealed that the two species mature at advanced ages (10 and 9 years for G. feliceps and 9 and 7 years for G. ater males and females respectively). They are long-lived, reaching ages in excess of 18 years in G. feliceps and in excess of 15 years in G. ater. Females live longer than males and grow larger. Yield-per-recruit and spawner biomass-per-recruit analyses demonstrated that G. ater were exploited below FO.1 at a level where spawner biomass-per-recruit was reduced to between 45% and 65% of the unexploited level. The G. ater stock was not adversely affected by current levels of fishing effort. For G. feliceps, both sexes were exploited beyond F₀.₁ where spawner biomass-per-recruit was reduced to between 30% and 22% of the unexploited level. G. feliceps were shown to be sensitive to relatively low levels of exploitation, a phenomenon attributed to their highly Kselected life-history style. Should the species become targeted for in the future, effort restrictions in the form of a closed season during the spawning and mouth-brooding period would prove effective in reducing effort and conserving the population sex ratio.
- Full Text:
- Date Issued: 1991
Evaluating an English department: the use of illuminative evaluation procedures in descriptive and diagnostic analysis of English teaching programmes in high schools
- Authors: Thorpe, Robert Nicholas
- Date: 1991
- Subjects: English language -- Study and teaching (Secondary) -- South Africa English language -- Study and teaching (Secondary) -- Evaluation
- Language: English
- Type: Thesis , Masters , MEd
- Identifier: vital:1522 , http://hdl.handle.net/10962/d1003404
- Description: To evaluate what is actually happening within a High School subject curriculum, the annual parade of marks, percentages and symbol distributions is not by itself adequate, especially in assessing progress towards such English syllabus goals as: That pupils expand their experience of life, gain empathetic understanding of people and develop moral awareness. (3.1. 4 HG) How too, from examination results alone, can a subject head of English assess the success of his objective "to woo his pupils into the reading habit"? (School 1: Goals 1988) Decisions on English department policy and procedures are frequently based on personal hunches and examination results. Few subject departments engage in proper evaluations of their curricula to support decisions made, or to impart meaning upon the countless daily transactions between child and adult, individual and institution in the learning process. This study demonstrates the efficacy of "illuminative evaluation" techniques in opening out an educational innovation (1986 First Language English syllabi of the Cape Education Department) at two High Schools for comment and appraisal. The array of information gathered should be useful in planning and implementing further curricula initiatives. The inherent flexibility of illuminative evaluation procedures and their freedom from large-scale data base requirements needed for 'scientific' models of evaluation are advantageous in investigating the untidy complexities of English teaching. Both 'closed' and 'open' response questionnaires, interviews, and perusal of relevant documents informed the researcher of the views of pupils, parents, English teachers, other subject heads, the two school principals and the education authorities on what waS and ought to be happening in English classes. From the considerable array of information generated, the distress of conscientious English teachers facing unreasonable work-loads emerged clearly. Such teachers are likely to occupy key roles in the non-racial state schools of the future and cannot be regarded as expendable. 'Open schools' present new challenges to existing curricula and the position of English may prove to be critical. Thus it is submitted that English subject heads should be concerned with evaluating their departments so that informed decisions can be taken on future directions. Illuminative evaluation is demonstrably useful in such analyses.
- Full Text:
- Date Issued: 1991
- Authors: Thorpe, Robert Nicholas
- Date: 1991
- Subjects: English language -- Study and teaching (Secondary) -- South Africa English language -- Study and teaching (Secondary) -- Evaluation
- Language: English
- Type: Thesis , Masters , MEd
- Identifier: vital:1522 , http://hdl.handle.net/10962/d1003404
- Description: To evaluate what is actually happening within a High School subject curriculum, the annual parade of marks, percentages and symbol distributions is not by itself adequate, especially in assessing progress towards such English syllabus goals as: That pupils expand their experience of life, gain empathetic understanding of people and develop moral awareness. (3.1. 4 HG) How too, from examination results alone, can a subject head of English assess the success of his objective "to woo his pupils into the reading habit"? (School 1: Goals 1988) Decisions on English department policy and procedures are frequently based on personal hunches and examination results. Few subject departments engage in proper evaluations of their curricula to support decisions made, or to impart meaning upon the countless daily transactions between child and adult, individual and institution in the learning process. This study demonstrates the efficacy of "illuminative evaluation" techniques in opening out an educational innovation (1986 First Language English syllabi of the Cape Education Department) at two High Schools for comment and appraisal. The array of information gathered should be useful in planning and implementing further curricula initiatives. The inherent flexibility of illuminative evaluation procedures and their freedom from large-scale data base requirements needed for 'scientific' models of evaluation are advantageous in investigating the untidy complexities of English teaching. Both 'closed' and 'open' response questionnaires, interviews, and perusal of relevant documents informed the researcher of the views of pupils, parents, English teachers, other subject heads, the two school principals and the education authorities on what waS and ought to be happening in English classes. From the considerable array of information generated, the distress of conscientious English teachers facing unreasonable work-loads emerged clearly. Such teachers are likely to occupy key roles in the non-racial state schools of the future and cannot be regarded as expendable. 'Open schools' present new challenges to existing curricula and the position of English may prove to be critical. Thus it is submitted that English subject heads should be concerned with evaluating their departments so that informed decisions can be taken on future directions. Illuminative evaluation is demonstrably useful in such analyses.
- Full Text:
- Date Issued: 1991
Art and authority : aspects of Russian art since 1917
- Authors: Thompson, Rowan Douglas
- Date: 1991
- Subjects: Authority in art Art, Russian Art, Russian -- 20th century
- Language: English
- Type: Thesis , Masters , MFA
- Identifier: vital:2450 , http://hdl.handle.net/10962/d1007298
- Description: From Introduction: The Artist was denied any role in Plato's Republic because of his ability to impair reason by imitating reality through his works. Aristotle, however, welcomed the artist because of his ability to express ideas about society through artistic form. Ernst Fischer agrees with the latter view, "Art enables man to comprehend reality, and not only helps him to bear it but increases his determination to make it more human and more worthy of mankind. Art is itself a social reality, society needs the artist ... and it has a right to demand of him that he should be conscious of his social function" (Fischer: 1963:46). Fischer adds to Aristotle's view by stating that society has a right to demand a social function from the artist. This issue has been the subject of controversial debate throughout the history of art. In a society based on class, the classes try to recruit art to serve their particular purposes. Art is seen by some as a powerful weapon - a means by which people can be swayed towards certain ideals. At the time of the Counter Reformation Italian artists were given strict instructions by the Jesuits on how to persuade and educate the people with their paintings. Napoleon urged his men of letters, painters and architects to refer to the classical ideals of ancient Greece and Rome to shape the emergent French Republic. The French philosopher, Dennis Diderot, stressed the futility of art unless it expressed great prinCiples or lessons for the spectator. Ideals of justice, courage and patriotism were embodied in the Neo-Classical movement. The didactic paintings of Jacques Louis David portray the above ideals. History records several attempts by those in power to coerce artists into conforming to their idea of society, indicating that authoritative manipulation of the arts is not purely a twentieth century phenomenon. This thesis intends to examine aspects of Russian art since 1917. Because Soviet art was dominated by policies which enabled authorities to determine its content, its history raises ideological issues which are relevant to the study of art. The theories of Suprematism, Constructivism and Socialist Realism will be discussed and conclusions will be drawn as to whether these theories succeeded as art movements which were ostensibly designed for the improvement of mankind. Present attitudes toward the visual arts in Russia will also be examined. However, in order to examine the above it is necessary to place the development of art into historical perspective.
- Full Text:
- Date Issued: 1991
- Authors: Thompson, Rowan Douglas
- Date: 1991
- Subjects: Authority in art Art, Russian Art, Russian -- 20th century
- Language: English
- Type: Thesis , Masters , MFA
- Identifier: vital:2450 , http://hdl.handle.net/10962/d1007298
- Description: From Introduction: The Artist was denied any role in Plato's Republic because of his ability to impair reason by imitating reality through his works. Aristotle, however, welcomed the artist because of his ability to express ideas about society through artistic form. Ernst Fischer agrees with the latter view, "Art enables man to comprehend reality, and not only helps him to bear it but increases his determination to make it more human and more worthy of mankind. Art is itself a social reality, society needs the artist ... and it has a right to demand of him that he should be conscious of his social function" (Fischer: 1963:46). Fischer adds to Aristotle's view by stating that society has a right to demand a social function from the artist. This issue has been the subject of controversial debate throughout the history of art. In a society based on class, the classes try to recruit art to serve their particular purposes. Art is seen by some as a powerful weapon - a means by which people can be swayed towards certain ideals. At the time of the Counter Reformation Italian artists were given strict instructions by the Jesuits on how to persuade and educate the people with their paintings. Napoleon urged his men of letters, painters and architects to refer to the classical ideals of ancient Greece and Rome to shape the emergent French Republic. The French philosopher, Dennis Diderot, stressed the futility of art unless it expressed great prinCiples or lessons for the spectator. Ideals of justice, courage and patriotism were embodied in the Neo-Classical movement. The didactic paintings of Jacques Louis David portray the above ideals. History records several attempts by those in power to coerce artists into conforming to their idea of society, indicating that authoritative manipulation of the arts is not purely a twentieth century phenomenon. This thesis intends to examine aspects of Russian art since 1917. Because Soviet art was dominated by policies which enabled authorities to determine its content, its history raises ideological issues which are relevant to the study of art. The theories of Suprematism, Constructivism and Socialist Realism will be discussed and conclusions will be drawn as to whether these theories succeeded as art movements which were ostensibly designed for the improvement of mankind. Present attitudes toward the visual arts in Russia will also be examined. However, in order to examine the above it is necessary to place the development of art into historical perspective.
- Full Text:
- Date Issued: 1991
Cecil Rhodes, the Glen Grey Act, and the labour question in the politics of the Cape Colony
- Authors: Thompson, Richard James
- Date: 1991
- Subjects: Rhodes, Cecil, 1853-1902 Labor policy -- South Africa -- History Labor supply -- South Africa -- History Black people -- Employment -- South Africa -- History Cape of Good Hope (South Africa) -- History -- 1872-1910 Cape of Good Hope (South Africa) -- Politics and government -- 1872-1910
- Language: English
- Type: Thesis , Masters , MA
- Identifier: vital:2562 , http://hdl.handle.net/10962/d1002415
- Description: Chapter One: The provisions of the Glen Grey Act of 1894 are summarised. The memoirs of contemporaries are discussed and the historical literature on the Act from 1913 to the present is surveyed. The likelihood of the land tenure provisions of the Act forcing the people of Glen Grey (or the people of other districts that came under the operation of the Act) to seek employment is noted. It is evident that there is an increasing emphasis in the literature on labour concerns rather than on the disenfranchising effects and local government provisions of the Act. It is often assumed that the labour force generated by the Act was meant for the Transvaal gold mines. Chapter Two: The relevance of the labour needs of the Indwe collieries is investigated. These mines lay adjacent to Glen Grey and might have been expected to draw their labour thence if the Act had been effective. Rhodes, the author of the Act and prime minister of the Cape, had bought shares in the collieries for De Beers shortly before the Act was passed, which made a possible connection more intriguing. No causal link between De Beers' interests and the Act could be demonstrated; nor do the collieries seem to have employed many people from Glen Grey. Chapter Three: Examines the Cape colonists' complaints about shortage of labour from 1807 to the eve of the Glen Grey Act, and investigates various official measures to promote the labour supply. The Glen Grey Act was not the first labour measure passed at the Cape, and it seems likely, therefore, that the labour needs of the Cape, rather than the Transvaal, were uppermost in the minds of those responsible for the Act. Chapter Four examines Rhodes's political position in the 1890s and shows him to be increasingly dependent on the parliamentary support of the Afrikaner Bond to stay in office. Since the Bond was an agricultural interest group it seems likely that labour for Cape farms, rather than Transvaal gold mines, was what the Act was supposed to provide. With that Rhodes could readily agree, since he wanted to promote the agricultural development of the Cape. However, the Bond wanted to be able to buy land in Glen Grey (and other district in which the Act was proclaimed). Rhodes wanted to keep such districts as 'reservoirs of labour' so he could not give the Bond all of what they wanted, i.e. Glen Grey titles to be alienable. His manoeuvring to keep the Bond supporting the Bill while not making the land readily salable is described. (In the end the land was alienable with the consent of the government -- consent that a Rhodes ministry would not give, but that another might.) Rhodes's desire to obtain the administration of Bechuanaland for his Chartered Company, and his need therefore to reassure the Colonial Office and humanitarian opinion that he could be trusted to rule over blacks, are pointed out as other possible motivations for the Act, which Rhodes tried hard to present as an enlightened piece of legislation. The course of the Act through the Cape parliament, and the opposition of Cape liberals to the Act, is described. Chapter Five: The mentalité of the Cape colonists as regards race, liquor, land tenure and other political issues is described. Chapter Six: The reaction to the Act of Cape blacks and sympathetic whites, British humanitarians and the Colonial Office is described. The contemporary concern with reserving land for blacks is noted, as well as concern over the morality of economically coerced labour. This is in contrast to the modern concentration on labour almost to the exclusion of other issues in regard to the Glen Grey Act. The unsuccessful efforts of Cape blacks and British humanitarians to have the imperial government veto the Act are described. Rhodes's influence over the Colonial Office is described.
- Full Text:
- Date Issued: 1991
- Authors: Thompson, Richard James
- Date: 1991
- Subjects: Rhodes, Cecil, 1853-1902 Labor policy -- South Africa -- History Labor supply -- South Africa -- History Black people -- Employment -- South Africa -- History Cape of Good Hope (South Africa) -- History -- 1872-1910 Cape of Good Hope (South Africa) -- Politics and government -- 1872-1910
- Language: English
- Type: Thesis , Masters , MA
- Identifier: vital:2562 , http://hdl.handle.net/10962/d1002415
- Description: Chapter One: The provisions of the Glen Grey Act of 1894 are summarised. The memoirs of contemporaries are discussed and the historical literature on the Act from 1913 to the present is surveyed. The likelihood of the land tenure provisions of the Act forcing the people of Glen Grey (or the people of other districts that came under the operation of the Act) to seek employment is noted. It is evident that there is an increasing emphasis in the literature on labour concerns rather than on the disenfranchising effects and local government provisions of the Act. It is often assumed that the labour force generated by the Act was meant for the Transvaal gold mines. Chapter Two: The relevance of the labour needs of the Indwe collieries is investigated. These mines lay adjacent to Glen Grey and might have been expected to draw their labour thence if the Act had been effective. Rhodes, the author of the Act and prime minister of the Cape, had bought shares in the collieries for De Beers shortly before the Act was passed, which made a possible connection more intriguing. No causal link between De Beers' interests and the Act could be demonstrated; nor do the collieries seem to have employed many people from Glen Grey. Chapter Three: Examines the Cape colonists' complaints about shortage of labour from 1807 to the eve of the Glen Grey Act, and investigates various official measures to promote the labour supply. The Glen Grey Act was not the first labour measure passed at the Cape, and it seems likely, therefore, that the labour needs of the Cape, rather than the Transvaal, were uppermost in the minds of those responsible for the Act. Chapter Four examines Rhodes's political position in the 1890s and shows him to be increasingly dependent on the parliamentary support of the Afrikaner Bond to stay in office. Since the Bond was an agricultural interest group it seems likely that labour for Cape farms, rather than Transvaal gold mines, was what the Act was supposed to provide. With that Rhodes could readily agree, since he wanted to promote the agricultural development of the Cape. However, the Bond wanted to be able to buy land in Glen Grey (and other district in which the Act was proclaimed). Rhodes wanted to keep such districts as 'reservoirs of labour' so he could not give the Bond all of what they wanted, i.e. Glen Grey titles to be alienable. His manoeuvring to keep the Bond supporting the Bill while not making the land readily salable is described. (In the end the land was alienable with the consent of the government -- consent that a Rhodes ministry would not give, but that another might.) Rhodes's desire to obtain the administration of Bechuanaland for his Chartered Company, and his need therefore to reassure the Colonial Office and humanitarian opinion that he could be trusted to rule over blacks, are pointed out as other possible motivations for the Act, which Rhodes tried hard to present as an enlightened piece of legislation. The course of the Act through the Cape parliament, and the opposition of Cape liberals to the Act, is described. Chapter Five: The mentalité of the Cape colonists as regards race, liquor, land tenure and other political issues is described. Chapter Six: The reaction to the Act of Cape blacks and sympathetic whites, British humanitarians and the Colonial Office is described. The contemporary concern with reserving land for blacks is noted, as well as concern over the morality of economically coerced labour. This is in contrast to the modern concentration on labour almost to the exclusion of other issues in regard to the Glen Grey Act. The unsuccessful efforts of Cape blacks and British humanitarians to have the imperial government veto the Act are described. Rhodes's influence over the Colonial Office is described.
- Full Text:
- Date Issued: 1991
Mineralogy, petrology and geochemistry of the lower and lower critical zones, Northwestern Bushveld Complex
- Authors: Teigler, Bernd
- Date: 1991
- Subjects: Mineralogy -- South Africa -- North-Western Transvaal Petrology -- South Africa -- North-Western Transvaal Geochemistry -- South Africa -- North-Western Transvaal
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:4978 , http://hdl.handle.net/10962/d1005590
- Description: This study of the lower part of the Rustenburg Layered Suite in the Western Bushveld Complex is based mainly on drill core samples from three localities, which are approximately 130 km apart. The NG-sequence, situated in the northwestern sector of the complex (Union Section, R.P.M.) extends from the floor of the complex to the base of the upper Critical Zone. The sequence is ca. 1800 m thick and it comprises mainly ultramafic cumulates, namely pyroxenites, olivine pyroxenites, harzburgites and dunites. Norites and anorthos ites are present only in minor proportion. Within the upper half of the NG-sequence ten prominent chromitite layers are correlated with the LGI MG4-interval. Correlation is also established between published sequences and the two other sequences studied, located 8 km and 55 km, respectively, east of Rustenburg. Whole-rock chemical data (major and trace elements), microprobe and Sr isotope data are presented. Petrographic studies provide modal analyses and measurements of grain size. All petrographic, mineralogical and other geochemical data point to an origin of the cumulates of the NG-sequence by crystallization from liquids of the U-type lineage and derivatives thereof. No evidence is found for the involvement of parental liquids with a distinctly different composition or crystallization order (A-liquids). However, subtle compositional variations of the parental liquids are evident in slight changes of the Cr content in orthopyroxene or in variations of Sr isotope ratio. The NG-sequence is characterized by intervals with reversed fractionation trends caused by repeated influxes of pristine magma (during periods of high magmatic activity) resulting in a high degree of rejuvenation. These intervals are overlain by others with a normal fractionation trend, interpreted as cumulates formed in periods with low or no magmatic activity, in which fractional crystallization controlled bulk composition of the evolving liquid. The Lower Zone in the NG-sequence is dominated by a progressive shift towards more primitive compositions, while in the Critical Zone fractionation was the major operating process in the magma chamber. However, during deposition of the pyroxenitic lower Critical Zone several replenishment events occurred, during which fresh Cr-rich magma was emplaced. Massive chromitite layers were deposited after mixing between the newly emplaced magma and the resident residual liquid shifted bulk compositions into the primary field of chrome-spinel. Cumulus plagioclase crystallized after bulk composition of the residual liquid was driven to the orthopyroxene plagioclase cotectic by continued fractional crystallization; this occurred once in the Lower Zone, yielding a single, thin norite layer, and again in the upper Critical Zone of the NG-sequence. A facies model is proposed based on the stratigraphic and compositional variations along strike in the Western Bushveld Complex. This model explains the variations by means of the position of the sequence with regard to a feeder system. The olivine- and orthopyroxene-rich, but plagioclase-poor NG-sequence represents the proximal facies, while the SF-sequence (poor in ferromagnesian phases, but plagioclase-rich) is developed as a distal facies, close to the Brits graben.
- Full Text:
- Date Issued: 1991
- Authors: Teigler, Bernd
- Date: 1991
- Subjects: Mineralogy -- South Africa -- North-Western Transvaal Petrology -- South Africa -- North-Western Transvaal Geochemistry -- South Africa -- North-Western Transvaal
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:4978 , http://hdl.handle.net/10962/d1005590
- Description: This study of the lower part of the Rustenburg Layered Suite in the Western Bushveld Complex is based mainly on drill core samples from three localities, which are approximately 130 km apart. The NG-sequence, situated in the northwestern sector of the complex (Union Section, R.P.M.) extends from the floor of the complex to the base of the upper Critical Zone. The sequence is ca. 1800 m thick and it comprises mainly ultramafic cumulates, namely pyroxenites, olivine pyroxenites, harzburgites and dunites. Norites and anorthos ites are present only in minor proportion. Within the upper half of the NG-sequence ten prominent chromitite layers are correlated with the LGI MG4-interval. Correlation is also established between published sequences and the two other sequences studied, located 8 km and 55 km, respectively, east of Rustenburg. Whole-rock chemical data (major and trace elements), microprobe and Sr isotope data are presented. Petrographic studies provide modal analyses and measurements of grain size. All petrographic, mineralogical and other geochemical data point to an origin of the cumulates of the NG-sequence by crystallization from liquids of the U-type lineage and derivatives thereof. No evidence is found for the involvement of parental liquids with a distinctly different composition or crystallization order (A-liquids). However, subtle compositional variations of the parental liquids are evident in slight changes of the Cr content in orthopyroxene or in variations of Sr isotope ratio. The NG-sequence is characterized by intervals with reversed fractionation trends caused by repeated influxes of pristine magma (during periods of high magmatic activity) resulting in a high degree of rejuvenation. These intervals are overlain by others with a normal fractionation trend, interpreted as cumulates formed in periods with low or no magmatic activity, in which fractional crystallization controlled bulk composition of the evolving liquid. The Lower Zone in the NG-sequence is dominated by a progressive shift towards more primitive compositions, while in the Critical Zone fractionation was the major operating process in the magma chamber. However, during deposition of the pyroxenitic lower Critical Zone several replenishment events occurred, during which fresh Cr-rich magma was emplaced. Massive chromitite layers were deposited after mixing between the newly emplaced magma and the resident residual liquid shifted bulk compositions into the primary field of chrome-spinel. Cumulus plagioclase crystallized after bulk composition of the residual liquid was driven to the orthopyroxene plagioclase cotectic by continued fractional crystallization; this occurred once in the Lower Zone, yielding a single, thin norite layer, and again in the upper Critical Zone of the NG-sequence. A facies model is proposed based on the stratigraphic and compositional variations along strike in the Western Bushveld Complex. This model explains the variations by means of the position of the sequence with regard to a feeder system. The olivine- and orthopyroxene-rich, but plagioclase-poor NG-sequence represents the proximal facies, while the SF-sequence (poor in ferromagnesian phases, but plagioclase-rich) is developed as a distal facies, close to the Brits graben.
- Full Text:
- Date Issued: 1991
Controlling the burgeoning masses: removals and residential development in Port Elizabeth's black areas, 1800s - 1990
- Authors: Taylor, Beverley J
- Date: 1991
- Subjects: South Africa -- Group Areas Act Black people -- Housing -- South Africa -- Port Elizabeth -- History Black people -- Relocation -- South Africa -- Port Elizabeth -- History South Africa -- Politics and government
- Language: English
- Type: Book , Text
- Identifier: http://hdl.handle.net/10962/1796 , vital:20226 , ISBN 0868102172
- Description: This Working Paper is the culmination of several years of dedicated and meticulous research conducted by Bev Taylor. It represents a comprehensive step into Port Elizabeth's planning past in order to identify the principal events, issues and decisions which were instrumental in forming the city as it is today. The work makes a significant contribution to our understanding of ideological influences on the dynamics of urban form; and, more particularly, of the extent to which these have played a part in the morphology of the apartheid city. It is imperative that future development decision-making should take cognisance of this kind of research in order to avoid making the mistakes of the past and to address the inequities and unfairness of previous urban "development" policies. , Digitised by Rhodes University Library on behalf of the Institute of Social and Economic Research (ISER)
- Full Text:
- Date Issued: 1991
- Authors: Taylor, Beverley J
- Date: 1991
- Subjects: South Africa -- Group Areas Act Black people -- Housing -- South Africa -- Port Elizabeth -- History Black people -- Relocation -- South Africa -- Port Elizabeth -- History South Africa -- Politics and government
- Language: English
- Type: Book , Text
- Identifier: http://hdl.handle.net/10962/1796 , vital:20226 , ISBN 0868102172
- Description: This Working Paper is the culmination of several years of dedicated and meticulous research conducted by Bev Taylor. It represents a comprehensive step into Port Elizabeth's planning past in order to identify the principal events, issues and decisions which were instrumental in forming the city as it is today. The work makes a significant contribution to our understanding of ideological influences on the dynamics of urban form; and, more particularly, of the extent to which these have played a part in the morphology of the apartheid city. It is imperative that future development decision-making should take cognisance of this kind of research in order to avoid making the mistakes of the past and to address the inequities and unfairness of previous urban "development" policies. , Digitised by Rhodes University Library on behalf of the Institute of Social and Economic Research (ISER)
- Full Text:
- Date Issued: 1991
The development of East London through four decades of municipal control, 1873-1914
- Tankard, Keith Peter Tempest
- Authors: Tankard, Keith Peter Tempest
- Date: 1991
- Subjects: East London (South Africa) -- History , East London (South Africa) -- Economic conditions , East London (South Africa) -- Social conditions
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:2560 , http://hdl.handle.net/10962/d1002413 , East London (South Africa) -- History , East London (South Africa) -- Economic conditions , East London (South Africa) -- Social conditions
- Description: This thesis is a study in Urban History which explores the development of East London, a port in the Border region of the Eastern Cape, South Africa, through four decades of municipal control from 1873 to 1914. The town had been established in 1847 as a supply route for the British forces during the War of the Axe (7th Frontier War) but the frontier nature of the port led to economic and physical stagnation during its initial 25 years of existence. Indeed, by the time that the municipality was established in 1873, there were still no streets beyond cart tracks, no established water supply, and sanitary conditions were medieval. The Town Council therefore had much to occupy its attention but lack of positive leadership resulted in failure to capitalise on prosperous economic conditions, while a depression in the 1880's led to a further truncation of growth. It was only in the 1890's that a combination of economic growth and vibrant leadership brought about rapid civic advance, with large-scale expenditure on street construction, as well as the establishment of electricity and a tramway system. The outbreak of the Anglo-Boer War in 1899 slowed progress, however, and a post-war depression placed renewed stress on the municipality. The thesis examines the progress of the town on a broad front, dealing with the issues of economic fluctuations, the growth of the harbour as the heart of the trading sector, the physical advance of the municipality, the search for a viable water supply, the evolution of public health and sanitation, and the establishment of the port as a coastal resort. In addition, it studies the conflict of social attitudes among the townspeople, the evolution of racial segregation, and the effects of the Anglo-Boer War on the town, with the influx of some 5 000 Uitlander refugees and the establishment of a Boer concentration camp. A final chapter attempts an analysis of the reasons behind the Town Council's inability to make the best use of its opportunities to foster the development of East London.
- Full Text:
- Date Issued: 1991
- Authors: Tankard, Keith Peter Tempest
- Date: 1991
- Subjects: East London (South Africa) -- History , East London (South Africa) -- Economic conditions , East London (South Africa) -- Social conditions
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:2560 , http://hdl.handle.net/10962/d1002413 , East London (South Africa) -- History , East London (South Africa) -- Economic conditions , East London (South Africa) -- Social conditions
- Description: This thesis is a study in Urban History which explores the development of East London, a port in the Border region of the Eastern Cape, South Africa, through four decades of municipal control from 1873 to 1914. The town had been established in 1847 as a supply route for the British forces during the War of the Axe (7th Frontier War) but the frontier nature of the port led to economic and physical stagnation during its initial 25 years of existence. Indeed, by the time that the municipality was established in 1873, there were still no streets beyond cart tracks, no established water supply, and sanitary conditions were medieval. The Town Council therefore had much to occupy its attention but lack of positive leadership resulted in failure to capitalise on prosperous economic conditions, while a depression in the 1880's led to a further truncation of growth. It was only in the 1890's that a combination of economic growth and vibrant leadership brought about rapid civic advance, with large-scale expenditure on street construction, as well as the establishment of electricity and a tramway system. The outbreak of the Anglo-Boer War in 1899 slowed progress, however, and a post-war depression placed renewed stress on the municipality. The thesis examines the progress of the town on a broad front, dealing with the issues of economic fluctuations, the growth of the harbour as the heart of the trading sector, the physical advance of the municipality, the search for a viable water supply, the evolution of public health and sanitation, and the establishment of the port as a coastal resort. In addition, it studies the conflict of social attitudes among the townspeople, the evolution of racial segregation, and the effects of the Anglo-Boer War on the town, with the influx of some 5 000 Uitlander refugees and the establishment of a Boer concentration camp. A final chapter attempts an analysis of the reasons behind the Town Council's inability to make the best use of its opportunities to foster the development of East London.
- Full Text:
- Date Issued: 1991