The use of psychometric test systems as a pre-selection tool for identifying successful harvesting machine operators
- Authors: Schwegman, Kylle
- Date: 2022-04
- Subjects: Port Elizabeth (South Africa) , Eastern Cape (South Africa) , South Africa
- Language: English
- Type: Doctoral theses , text
- Identifier: http://hdl.handle.net/10948/55246 , vital:51102
- Description: A shift towards fully mechanized forest activities, such as harvesting and, more recently, silviculture, has occurred from the early 2 000’s. The reason for mechanizing these activities differs for each country, although for most countries there is concern relating to the health and safety of forest workers. With mechanization in harvesting, the forest worker has moved away from the physical intensity of having to fell, debranch, debark and cross-cut trees into logs using either an axe or chainsaw, to operating a machine. Studies revolving around the human element (operator) have been conducted specifically relating to the ergonomics of the machines and how operators may influence machine productivity. Results showed that due to the repetitive nature of the work, the operators are exposed to associated stresses for longer periods. Typical injuries associated to these kinds of stressors are whole body vibrations (WBVs), repetitive hand and arm movements, non-neutral body postures and manual lifting, which lead to musculoskeletal symptoms in the lower back, neck and shoulders. However, as machine technology improves so does the ergonomic conditions which are experienced by machine operators. Machine productivity can be influenced by various factors, with the most influential being tree volume. However, a recent study showed that over 40% of variation in machine productivity has been observed amongst different machine operators operating similar machines. The specific reason for these differences has yet to be determined. However, decision making, motivation, planning capacity, concentration, memory, motor coordination, pattern recognition, logic reasoning, and spatial perception are abilities that have been described as important for successful harvesting work. The pre-selection of operators using psychometric and cognitive tests is not new to forestry, although very little information is available relating to the aptitude test known as the Vienna test system as well as the best possible demographic associated with successful harvesting operators. The overall aim of this study was to determine whether the high variation found amongst harvesting machine operators could be reduced initially through a preselection process which involves the use of aptitude tests (Vienna Test System) and demographic questionnaires. A study was implemented in Zululand, South Africa, testing whether there were significant productivity differences between nine machine operators. , Thesis (PhD) -- Faculty of Science, School of Natural Resource Management, 2022
- Full Text:
- Date Issued: 2022-04
- Authors: Schwegman, Kylle
- Date: 2022-04
- Subjects: Port Elizabeth (South Africa) , Eastern Cape (South Africa) , South Africa
- Language: English
- Type: Doctoral theses , text
- Identifier: http://hdl.handle.net/10948/55246 , vital:51102
- Description: A shift towards fully mechanized forest activities, such as harvesting and, more recently, silviculture, has occurred from the early 2 000’s. The reason for mechanizing these activities differs for each country, although for most countries there is concern relating to the health and safety of forest workers. With mechanization in harvesting, the forest worker has moved away from the physical intensity of having to fell, debranch, debark and cross-cut trees into logs using either an axe or chainsaw, to operating a machine. Studies revolving around the human element (operator) have been conducted specifically relating to the ergonomics of the machines and how operators may influence machine productivity. Results showed that due to the repetitive nature of the work, the operators are exposed to associated stresses for longer periods. Typical injuries associated to these kinds of stressors are whole body vibrations (WBVs), repetitive hand and arm movements, non-neutral body postures and manual lifting, which lead to musculoskeletal symptoms in the lower back, neck and shoulders. However, as machine technology improves so does the ergonomic conditions which are experienced by machine operators. Machine productivity can be influenced by various factors, with the most influential being tree volume. However, a recent study showed that over 40% of variation in machine productivity has been observed amongst different machine operators operating similar machines. The specific reason for these differences has yet to be determined. However, decision making, motivation, planning capacity, concentration, memory, motor coordination, pattern recognition, logic reasoning, and spatial perception are abilities that have been described as important for successful harvesting work. The pre-selection of operators using psychometric and cognitive tests is not new to forestry, although very little information is available relating to the aptitude test known as the Vienna test system as well as the best possible demographic associated with successful harvesting operators. The overall aim of this study was to determine whether the high variation found amongst harvesting machine operators could be reduced initially through a preselection process which involves the use of aptitude tests (Vienna Test System) and demographic questionnaires. A study was implemented in Zululand, South Africa, testing whether there were significant productivity differences between nine machine operators. , Thesis (PhD) -- Faculty of Science, School of Natural Resource Management, 2022
- Full Text:
- Date Issued: 2022-04
The use of thermal modelling in improving rural subsistence aquaculture
- Authors: Bailey, Dylan Francis
- Date: 2007
- Subjects: Sustainable aquaculture -- South Africa , Aquaculture industry -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10715 , http://hdl.handle.net/10948/473 , Sustainable aquaculture -- South Africa , Aquaculture industry -- South Africa
- Description: There has been a long history of attempts to promote subsistence rural aquaculture within South Africa. Many of these attempts have failed due to inadequate support from government and support agencies. There has been a recent revived interest in promoting rural aquaculture development. Presented in this project are six scenarios demonstrating the potential application of thermal modelling techniques to improving subsistence rural aquaculture. These scenarios were based on a model validated against a real life system, and run with environmental data for the year 2005. Bovine manure, grass thatch, cereal straw and Typha spp. water reeds were tested for thermal performance. These results were then applied to the scenarios. The open and kraal enclosed pond scenarios yielded the widest deviation in temperatures throughout the year, with an average temperature of 3.8oC and 6.0oC above ambient and a temperature range of 10.6oC and 12.4oC for the year respectively. Eliminating solar radiation and reducing wind speed resulted in an average difference of 1.5oC below ambient and a temperature range of 7.5oC for the year. When completely enclosed in a well-sealed traditional Xhosa style hut, the pond had an average difference of 5.6oC below outside ambient temperature, with a range of 7.8oC for the year. A passive solar heating scenario added to the sealed hut scenario, which when run continuously maintained an average difference of 34.7oC above outside ambient temperatures, with a range of 56oC for the year. When a hypothetical 25oC temperature control was included in the model, the system maintained an average of 7.1oC above ambient outside temperatures, with a temperature range of 0.8oC throughout the year. The wider range of temperatures made available through the use of thermal modelling approaches provides a more diverse range of species available for subsistence rural aquaculture at any site, significantly improving its potential.
- Full Text:
- Date Issued: 2007
- Authors: Bailey, Dylan Francis
- Date: 2007
- Subjects: Sustainable aquaculture -- South Africa , Aquaculture industry -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10715 , http://hdl.handle.net/10948/473 , Sustainable aquaculture -- South Africa , Aquaculture industry -- South Africa
- Description: There has been a long history of attempts to promote subsistence rural aquaculture within South Africa. Many of these attempts have failed due to inadequate support from government and support agencies. There has been a recent revived interest in promoting rural aquaculture development. Presented in this project are six scenarios demonstrating the potential application of thermal modelling techniques to improving subsistence rural aquaculture. These scenarios were based on a model validated against a real life system, and run with environmental data for the year 2005. Bovine manure, grass thatch, cereal straw and Typha spp. water reeds were tested for thermal performance. These results were then applied to the scenarios. The open and kraal enclosed pond scenarios yielded the widest deviation in temperatures throughout the year, with an average temperature of 3.8oC and 6.0oC above ambient and a temperature range of 10.6oC and 12.4oC for the year respectively. Eliminating solar radiation and reducing wind speed resulted in an average difference of 1.5oC below ambient and a temperature range of 7.5oC for the year. When completely enclosed in a well-sealed traditional Xhosa style hut, the pond had an average difference of 5.6oC below outside ambient temperature, with a range of 7.8oC for the year. A passive solar heating scenario added to the sealed hut scenario, which when run continuously maintained an average difference of 34.7oC above outside ambient temperatures, with a range of 56oC for the year. When a hypothetical 25oC temperature control was included in the model, the system maintained an average of 7.1oC above ambient outside temperatures, with a temperature range of 0.8oC throughout the year. The wider range of temperatures made available through the use of thermal modelling approaches provides a more diverse range of species available for subsistence rural aquaculture at any site, significantly improving its potential.
- Full Text:
- Date Issued: 2007
The zooplankton of Mngazana estuary
- Authors: Louw, Liezel
- Date: 2007
- Subjects: Marine zooplankton -- South Africa -- Mngazana Estuary , Mngazana Estuary (Eastern Cape, South Africa) , Estuarine ecology -- South Africa -- Mngazana Estuary , Estuarine area conservation -- South Africa -- Mngazana Estuary
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10707 , http://hdl.handle.net/10948/702 , Marine zooplankton -- South Africa -- Mngazana Estuary , Mngazana Estuary (Eastern Cape, South Africa) , Estuarine ecology -- South Africa -- Mngazana Estuary , Estuarine area conservation -- South Africa -- Mngazana Estuary
- Description: The zooplankton community of the main channel of the Mngazana estuary was investigated on six occasions over one year. Spatial and temporal variability in zooplankton abundance and distribution were sampled using two slightly modified WP2 plankton nets of 200 μm mesh and 57 cm mouth diameter. Nets were fitted with calibrated Kahlsico 005 WA 130 flow meters. A set of environmental variables were also measured at each site. The water column of the main channel of Mngazana estuary was stratified in summer but well mixed in winter. Temperature progressively increased from the lower stations to the upper reaches of the estuary. Maximum vertical temperature differences occurred in the middle estuarine reaches. Salinity progressively decreased from the lower reaches to the upper reaches, but was generally above 26 from Station 3 to Station 8. Only during November 2005, were salinity readings low due to heavy rains. Summer salinity values were always lower than the winter salinity values as a result of summer rainfall. A total of 76 zooplankton taxa were identified. The estuarine copepods Acartia natalensis and Pseudodiaptomus hessei dominated the assemblage, with maximum abundances in the middle to upper reaches. Acartia natalensis reached high densities in winter (> 50 000 m-3) although lowest abundances were recorded when maximum rainfall was received (November 2005). Wooldridge (1977) and Deyzel (2004) recorded maximum densities during summer. Pseudodiaptomus hessei reached high densities (> 17 000 m-3) during the highest rainfall month. Previous studies indicated that this pioneer species is able to recover quickly after a flood and subsequently increase rapidly in numbers. The mysid, Mesopodopsis africana reached high densities (> 5 000 m-3) in the middle estuarine reaches during summer. Ichtyofauna, brachyura and anomura were important contributors to the merozooplankton component of the community. The maximum number of species was recorded during winter in the lower estuarine reaches, when vertical differences in salinities were minimal.
- Full Text:
- Date Issued: 2007
- Authors: Louw, Liezel
- Date: 2007
- Subjects: Marine zooplankton -- South Africa -- Mngazana Estuary , Mngazana Estuary (Eastern Cape, South Africa) , Estuarine ecology -- South Africa -- Mngazana Estuary , Estuarine area conservation -- South Africa -- Mngazana Estuary
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10707 , http://hdl.handle.net/10948/702 , Marine zooplankton -- South Africa -- Mngazana Estuary , Mngazana Estuary (Eastern Cape, South Africa) , Estuarine ecology -- South Africa -- Mngazana Estuary , Estuarine area conservation -- South Africa -- Mngazana Estuary
- Description: The zooplankton community of the main channel of the Mngazana estuary was investigated on six occasions over one year. Spatial and temporal variability in zooplankton abundance and distribution were sampled using two slightly modified WP2 plankton nets of 200 μm mesh and 57 cm mouth diameter. Nets were fitted with calibrated Kahlsico 005 WA 130 flow meters. A set of environmental variables were also measured at each site. The water column of the main channel of Mngazana estuary was stratified in summer but well mixed in winter. Temperature progressively increased from the lower stations to the upper reaches of the estuary. Maximum vertical temperature differences occurred in the middle estuarine reaches. Salinity progressively decreased from the lower reaches to the upper reaches, but was generally above 26 from Station 3 to Station 8. Only during November 2005, were salinity readings low due to heavy rains. Summer salinity values were always lower than the winter salinity values as a result of summer rainfall. A total of 76 zooplankton taxa were identified. The estuarine copepods Acartia natalensis and Pseudodiaptomus hessei dominated the assemblage, with maximum abundances in the middle to upper reaches. Acartia natalensis reached high densities in winter (> 50 000 m-3) although lowest abundances were recorded when maximum rainfall was received (November 2005). Wooldridge (1977) and Deyzel (2004) recorded maximum densities during summer. Pseudodiaptomus hessei reached high densities (> 17 000 m-3) during the highest rainfall month. Previous studies indicated that this pioneer species is able to recover quickly after a flood and subsequently increase rapidly in numbers. The mysid, Mesopodopsis africana reached high densities (> 5 000 m-3) in the middle estuarine reaches during summer. Ichtyofauna, brachyura and anomura were important contributors to the merozooplankton component of the community. The maximum number of species was recorded during winter in the lower estuarine reaches, when vertical differences in salinities were minimal.
- Full Text:
- Date Issued: 2007
Thermal degradation of diamond compacts: a TEM investigation
- Authors: Westraadt, Johan Ewald
- Date: 2011
- Subjects: Materials -- Thermal properties Chemical weathering
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/10829 , vital:26827
- Description: Diamond compacts consist of fine diamond grains bonded together by using high pressure and high temperature. In this study transmission electron microscopy (TEM)was used to study thermal degradation of diamond compacts. Three different types of diamond compacts – namely cobalt polycrystalline diamond (PCD), calcium carbonate PCD, and diamond-SiC composites – were investigated with TEM to understand the processes that occur during synthesis. These compacts were then heated in inert atmospheres and the chemical changes studied with TEM. It was found that PCD, using cobalt as a bonding agent, will degrade after exposure to temperatures above 750ºC. The cobalt pools contain tungsten in solid solution. During heat treatment above 700ºC the solid solution tungsten combines with cobalt and dissolved carbon to form η-phase particles at the cobalt/diamond interface. At higher temperatures or insufficient tungsten levels the rate of dissolved carbon, into the cobalt pool, is too high and the excess carbon will form as graphite in the cobalt pool. Increased levels of solid solution tungsten, in the cobalt, is expected to delay the onset of graphitization in the diamond compact, thereby increasing the thermal stability of the diamond compact. Non-metallic PCD using calcium carbonate as a bonding agent was successfully sintered in this study. TEM revealed similar micro-structural features as in cobalt based PCD. No signs of thermal degradation were found after exposure to 1200ºC in vacuum for this PCD. Contaminants introduced during processing prevented a detailed study of the binder in this system. The effect of substitutional metal atoms and plastic deformation of diamond on the thermal stability of diamond-SiC composites were investigated. A piston cylinder press was developed and used to synthesize diamond-SiC composites with different levels of plastically deformed diamond. It was concluded that substitutional metal atoms and plastic deformation of diamond grains play no role in the thermal degradation of diamond compacts at 750ºC. The thermal degradation of cobalt PCD is therefore completely determined by the cobalt/diamond interaction at 750ºC.
- Full Text:
- Date Issued: 2011
- Authors: Westraadt, Johan Ewald
- Date: 2011
- Subjects: Materials -- Thermal properties Chemical weathering
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/10829 , vital:26827
- Description: Diamond compacts consist of fine diamond grains bonded together by using high pressure and high temperature. In this study transmission electron microscopy (TEM)was used to study thermal degradation of diamond compacts. Three different types of diamond compacts – namely cobalt polycrystalline diamond (PCD), calcium carbonate PCD, and diamond-SiC composites – were investigated with TEM to understand the processes that occur during synthesis. These compacts were then heated in inert atmospheres and the chemical changes studied with TEM. It was found that PCD, using cobalt as a bonding agent, will degrade after exposure to temperatures above 750ºC. The cobalt pools contain tungsten in solid solution. During heat treatment above 700ºC the solid solution tungsten combines with cobalt and dissolved carbon to form η-phase particles at the cobalt/diamond interface. At higher temperatures or insufficient tungsten levels the rate of dissolved carbon, into the cobalt pool, is too high and the excess carbon will form as graphite in the cobalt pool. Increased levels of solid solution tungsten, in the cobalt, is expected to delay the onset of graphitization in the diamond compact, thereby increasing the thermal stability of the diamond compact. Non-metallic PCD using calcium carbonate as a bonding agent was successfully sintered in this study. TEM revealed similar micro-structural features as in cobalt based PCD. No signs of thermal degradation were found after exposure to 1200ºC in vacuum for this PCD. Contaminants introduced during processing prevented a detailed study of the binder in this system. The effect of substitutional metal atoms and plastic deformation of diamond on the thermal stability of diamond-SiC composites were investigated. A piston cylinder press was developed and used to synthesize diamond-SiC composites with different levels of plastically deformed diamond. It was concluded that substitutional metal atoms and plastic deformation of diamond grains play no role in the thermal degradation of diamond compacts at 750ºC. The thermal degradation of cobalt PCD is therefore completely determined by the cobalt/diamond interaction at 750ºC.
- Full Text:
- Date Issued: 2011
Thiazole derivatives as potential hiv-1 protease inhibitors
- Authors: Hlongwe, Zola
- Date: 2021-04
- Subjects: Gqeberha (South Africa) , Eastern Cape (South Africa) , Enzyme kinetics
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10948/52116 , vital:43427
- Description: Series of compounds were screened using Schrodinger suite (Maestro). The DFT calculations were used for geometry optimization of the ligands using the B3YLYP functional and 6-31G basis set, and these structures were used for docking studies. Maestro was used to predict the activity of thiazole derivatives against HIV-1 protease. The range of estimated inhibition constants for these thiazole derivatives (65 nM-5 μM) indicate moderate to weak activity against HIV-1 protease, given that the activity of current protease inhibitors is typically found have experimental inhibition constants around 0.1-2.0 nM. Twenty compounds were selected based on the docking results and they were synthesized and characterized by NMR, FT-IR and elemental analysis. The cytotoxicity studies were done at two different concentrations (100 μM and 10 μM), using the brine shrimp bioassay. All compounds were highly toxic at 100 μM, with the percentage mortality between 20 to 75%. Eight compounds were selected for the enzyme bioassay based on the results obtained from lower concentration (10 μM). In the enzyme inhibition studies, the profile of HIV-1 activity was done at different inhibitor concentrations (800 μM – 10 μM) by measuring the cleavage of the synthetic substrate (Abz-Thr-lle-PNO2Phe=Gln-Arg-NH2) at excitation wavelength of 345/490 nm using fluorescence. Ligands 5 (unsubstituted derivative), 7 (4-nitro derivative) and 16 (4-methoxy derivative) gave percentage inhibition of 39, 45 and 42%, and this activity was very low compared to the activity of the positive control ritonavir (85% enzyme inhibition). Ligands 8 (4-methoxy derivative) and 12 (4-methoxy derivative) gave enzyme inhibition of 70% and 75%. These results suggest that the presence of the methoxy substituents ii increases activity of these compounds against HIV-1 protease. Most of the compounds gave good IC50 values between 12.5-42.7 nM. The bromo-substituted ligand 7 gave the lowest IC50 (12.5 nM). Ligand 11 also gave a good IC50 value of 14.86 nM. The bromo-substituted derivatives showed to be very active compared to other types of thiazole derivatives. Enzyme kinetics were carried out to compare the inhibition constants obtained via computational modelling. Ligand 7 (4-methoxy derivatives) binds better in the active site of HIV-1 protease than other compounds in Class B, with Ki = 50 nM, Km = 23.8 Nm and Vmax = 83.3 nM/min. The unsubstituted (L5), 4-bromo (L7) and 4-nitro (L8) substituted compounds gave inhibition constants of 100 to 112 nM. The in vitro testing yielded higher activity than that determined in silico. , Thesis (MSc) -- Faculty of Science, School of Biomolecular and Chemical Sciences, 2021
- Full Text: false
- Date Issued: 2021-04
- Authors: Hlongwe, Zola
- Date: 2021-04
- Subjects: Gqeberha (South Africa) , Eastern Cape (South Africa) , Enzyme kinetics
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10948/52116 , vital:43427
- Description: Series of compounds were screened using Schrodinger suite (Maestro). The DFT calculations were used for geometry optimization of the ligands using the B3YLYP functional and 6-31G basis set, and these structures were used for docking studies. Maestro was used to predict the activity of thiazole derivatives against HIV-1 protease. The range of estimated inhibition constants for these thiazole derivatives (65 nM-5 μM) indicate moderate to weak activity against HIV-1 protease, given that the activity of current protease inhibitors is typically found have experimental inhibition constants around 0.1-2.0 nM. Twenty compounds were selected based on the docking results and they were synthesized and characterized by NMR, FT-IR and elemental analysis. The cytotoxicity studies were done at two different concentrations (100 μM and 10 μM), using the brine shrimp bioassay. All compounds were highly toxic at 100 μM, with the percentage mortality between 20 to 75%. Eight compounds were selected for the enzyme bioassay based on the results obtained from lower concentration (10 μM). In the enzyme inhibition studies, the profile of HIV-1 activity was done at different inhibitor concentrations (800 μM – 10 μM) by measuring the cleavage of the synthetic substrate (Abz-Thr-lle-PNO2Phe=Gln-Arg-NH2) at excitation wavelength of 345/490 nm using fluorescence. Ligands 5 (unsubstituted derivative), 7 (4-nitro derivative) and 16 (4-methoxy derivative) gave percentage inhibition of 39, 45 and 42%, and this activity was very low compared to the activity of the positive control ritonavir (85% enzyme inhibition). Ligands 8 (4-methoxy derivative) and 12 (4-methoxy derivative) gave enzyme inhibition of 70% and 75%. These results suggest that the presence of the methoxy substituents ii increases activity of these compounds against HIV-1 protease. Most of the compounds gave good IC50 values between 12.5-42.7 nM. The bromo-substituted ligand 7 gave the lowest IC50 (12.5 nM). Ligand 11 also gave a good IC50 value of 14.86 nM. The bromo-substituted derivatives showed to be very active compared to other types of thiazole derivatives. Enzyme kinetics were carried out to compare the inhibition constants obtained via computational modelling. Ligand 7 (4-methoxy derivatives) binds better in the active site of HIV-1 protease than other compounds in Class B, with Ki = 50 nM, Km = 23.8 Nm and Vmax = 83.3 nM/min. The unsubstituted (L5), 4-bromo (L7) and 4-nitro (L8) substituted compounds gave inhibition constants of 100 to 112 nM. The in vitro testing yielded higher activity than that determined in silico. , Thesis (MSc) -- Faculty of Science, School of Biomolecular and Chemical Sciences, 2021
- Full Text: false
- Date Issued: 2021-04
Time series models for paired comparisons
- Authors: Sjolander, Morne Rowan
- Date: 2011
- Subjects: Paired comparisons (Statistics)
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:10577 , http://hdl.handle.net/10948/d1012858
- Description: The method of paired comparisons is seen as a technique used to rank a set of objects with respect to an abstract or immeasurable property. To do this, the objects get to be compared two at a time. The results are input into a model, resulting in numbers known as weights being assigned to the objects. The weights are then used to rank the objects. The method of paired comparisons was first used for psychometric investigations. Various other applications of the method are also present, for example economic applications, and applications in sports statistics. This study involves taking paired comparison models and making them time-dependent. Not much research has been done in this area. Three new time series models for paired comparisons are created. Simulations are done to support the evidence obtained, and theoretical as well as practical examples are given to illustrate the results and to verify the efficiency of the new models. A literature study is given on the method of paired comparisons, as well as on the areas in which we apply our models. Our first two time series models for paired comparisons are the Linear-Trend Bradley- Terry Model and the Sinusoidal Bradley-Terry Model. We use the maximum likelihood approach to solve these models. We test our models using exact and randomly simulated data for various time periods and various numbers of objects. We adapt the Linear-Trend Bradley-Terry Model and received our third time series model for paired comparisons, the Log Linear-Trend Bradley-Terry Model. The daily maximum and minimum temperatures were received for Port Elizabeth, Uitenhage and Coega for 2005 until 2009. To evaluate the performance of the Linear-Trend Bradley-Terry Model and the Sinusoidal Bradley-Terry Model on estimating missing temperature data, we artificially remove observations of temperature from Coega’s temperature dataset for 2006 until 2008, and use various forms of these models to estimate the missing data points. The exchange rates for 2005 until 2008 between the following currencies: the Rand, Dollar, Euro, Pound and Yen, were obtained and various forms of our Log Linear-Trend Bradley-Terry Model are used to forecast the exchange rate for one day ahead for each month in 2006 until 2008. One of the features of this study is that we apply our time series models for paired comparisons to areas which comprise non-standard paired comparisons; and we want to encourage the use of the method of paired comparisons in a broader sense than what it is traditionally used for. The results of this study can be used in various other areas, like for example, in sports statistics, to rank the strength of sports players and predict their future scores; in Physics, to calculate weather risks of electricity generation, particularly risks related to nuclear power plants, and so forth, as well as in many other areas. It is hoped that this research will open the door to much more research in combining time series analysis with the method of paired comparisons.
- Full Text:
- Date Issued: 2011
- Authors: Sjolander, Morne Rowan
- Date: 2011
- Subjects: Paired comparisons (Statistics)
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:10577 , http://hdl.handle.net/10948/d1012858
- Description: The method of paired comparisons is seen as a technique used to rank a set of objects with respect to an abstract or immeasurable property. To do this, the objects get to be compared two at a time. The results are input into a model, resulting in numbers known as weights being assigned to the objects. The weights are then used to rank the objects. The method of paired comparisons was first used for psychometric investigations. Various other applications of the method are also present, for example economic applications, and applications in sports statistics. This study involves taking paired comparison models and making them time-dependent. Not much research has been done in this area. Three new time series models for paired comparisons are created. Simulations are done to support the evidence obtained, and theoretical as well as practical examples are given to illustrate the results and to verify the efficiency of the new models. A literature study is given on the method of paired comparisons, as well as on the areas in which we apply our models. Our first two time series models for paired comparisons are the Linear-Trend Bradley- Terry Model and the Sinusoidal Bradley-Terry Model. We use the maximum likelihood approach to solve these models. We test our models using exact and randomly simulated data for various time periods and various numbers of objects. We adapt the Linear-Trend Bradley-Terry Model and received our third time series model for paired comparisons, the Log Linear-Trend Bradley-Terry Model. The daily maximum and minimum temperatures were received for Port Elizabeth, Uitenhage and Coega for 2005 until 2009. To evaluate the performance of the Linear-Trend Bradley-Terry Model and the Sinusoidal Bradley-Terry Model on estimating missing temperature data, we artificially remove observations of temperature from Coega’s temperature dataset for 2006 until 2008, and use various forms of these models to estimate the missing data points. The exchange rates for 2005 until 2008 between the following currencies: the Rand, Dollar, Euro, Pound and Yen, were obtained and various forms of our Log Linear-Trend Bradley-Terry Model are used to forecast the exchange rate for one day ahead for each month in 2006 until 2008. One of the features of this study is that we apply our time series models for paired comparisons to areas which comprise non-standard paired comparisons; and we want to encourage the use of the method of paired comparisons in a broader sense than what it is traditionally used for. The results of this study can be used in various other areas, like for example, in sports statistics, to rank the strength of sports players and predict their future scores; in Physics, to calculate weather risks of electricity generation, particularly risks related to nuclear power plants, and so forth, as well as in many other areas. It is hoped that this research will open the door to much more research in combining time series analysis with the method of paired comparisons.
- Full Text:
- Date Issued: 2011
Time-activity budgets of cape gannets (Morus Capensis) at Bird Island, Algoa Bay
- Authors: Rishworth, Gavin Midgley
- Date: 2014
- Subjects: Birds of prey -- Behavior -- South Africa -- Algoa Bay , Gannets -- South Africa -- Algoa Bay , Birds -- Breeding -- South Africa -- Algoa Bay
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10728 , http://hdl.handle.net/10948/d1021046
- Description: For several decades now, seabirds have been considered to be useful indicators of the state of their prey resources because of how they reflect lower-level trophic variability through proxies such as diet or behaviour. However, collection of appropriate data is often challenging in the marine environment because of logistical or financial constraints. In this study, time-activity budgets were studied in the Cape gannet (Morus capensis), a seabird which has been advocated as a potential bioindicator for local epipelagic prey. VHF transmitters attached to PVC leg-rings were fitted to 50 adult breeding pairs during the 2011/2012 and 2012/2013 breeding seasons at Bird Island, Algoa Bay, to determine whether an automated method of continuously collecting time-activity budget data can replace conventional laborious direct observations. To validate that the foraging trip duration data generated from the automated method was a reflection of foraging effort, Time-Depth Recorders (TDRs) were simultaneously equipped to birds with VHF transmitters for three weeks. In order to assess the influence of factors other than prey availability on parent time-activity budgets, sex, chick age and body condition were measured. Additionally, chick growth and survival were recorded in order to investigate the gender-specific effects of parental time-activity budget variability on these parameters. Attachment of VHF transmitters to leg-rings of adult Cape gannets had no observable negative effects on the adults or their chicks in terms of adult body condition, nest attendance and foraging trip durations, or chick growth and survival. Furthermore, the frequency distribution of behaviour bout (foraging trip and nest attendance) durations was no different between automated and directly observed data. However, the automated method did record shorter behaviour bouts, largely attributed to the increased likelihood of direct observations missing birds returning briefly to their nests during older chick provisioning. Additionally, foraging trip duration was highly correlated to foraging effort in terms of time spent resting on the sea surface, flying and diving. The automated method therefore appears to be a good reflection of direct nest attendance observations and foraging effort. Cape gannet time-activity budgets were related to chick age and parental sex. Especially as chicks neared fledging, females spent significantly longer periods of time foraging than males, with males consequently provisioning their chicks more often. Furthermore, adults departing their nests earlier spent more time away from the nest foraging as more same-day daylight hours were available. Chick growth was a function of parent foraging trip duration and associated prey delivery rates. Chick survival was most strongly affected by the amount of time which chicks were left unattended by both parents and consequently exposed to predation by kelp gulls (Larus dominicanus) or to adverse weather conditions. Additionally, for females (but not males) there appeared to be a trade-off between foraging trip duration and chick survival. The Cape gannet appears to demonstrate a strategy whereby the costs of reproduction to the female are shifted towards male-dominated chick provisioning as the chick nears fledging. Drivers of time-activity budget variability such as chick age and parental sex therefore need to be considered if using data on foraging trip duration as a proxy of foraging effort and prey availability.
- Full Text:
- Date Issued: 2014
- Authors: Rishworth, Gavin Midgley
- Date: 2014
- Subjects: Birds of prey -- Behavior -- South Africa -- Algoa Bay , Gannets -- South Africa -- Algoa Bay , Birds -- Breeding -- South Africa -- Algoa Bay
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10728 , http://hdl.handle.net/10948/d1021046
- Description: For several decades now, seabirds have been considered to be useful indicators of the state of their prey resources because of how they reflect lower-level trophic variability through proxies such as diet or behaviour. However, collection of appropriate data is often challenging in the marine environment because of logistical or financial constraints. In this study, time-activity budgets were studied in the Cape gannet (Morus capensis), a seabird which has been advocated as a potential bioindicator for local epipelagic prey. VHF transmitters attached to PVC leg-rings were fitted to 50 adult breeding pairs during the 2011/2012 and 2012/2013 breeding seasons at Bird Island, Algoa Bay, to determine whether an automated method of continuously collecting time-activity budget data can replace conventional laborious direct observations. To validate that the foraging trip duration data generated from the automated method was a reflection of foraging effort, Time-Depth Recorders (TDRs) were simultaneously equipped to birds with VHF transmitters for three weeks. In order to assess the influence of factors other than prey availability on parent time-activity budgets, sex, chick age and body condition were measured. Additionally, chick growth and survival were recorded in order to investigate the gender-specific effects of parental time-activity budget variability on these parameters. Attachment of VHF transmitters to leg-rings of adult Cape gannets had no observable negative effects on the adults or their chicks in terms of adult body condition, nest attendance and foraging trip durations, or chick growth and survival. Furthermore, the frequency distribution of behaviour bout (foraging trip and nest attendance) durations was no different between automated and directly observed data. However, the automated method did record shorter behaviour bouts, largely attributed to the increased likelihood of direct observations missing birds returning briefly to their nests during older chick provisioning. Additionally, foraging trip duration was highly correlated to foraging effort in terms of time spent resting on the sea surface, flying and diving. The automated method therefore appears to be a good reflection of direct nest attendance observations and foraging effort. Cape gannet time-activity budgets were related to chick age and parental sex. Especially as chicks neared fledging, females spent significantly longer periods of time foraging than males, with males consequently provisioning their chicks more often. Furthermore, adults departing their nests earlier spent more time away from the nest foraging as more same-day daylight hours were available. Chick growth was a function of parent foraging trip duration and associated prey delivery rates. Chick survival was most strongly affected by the amount of time which chicks were left unattended by both parents and consequently exposed to predation by kelp gulls (Larus dominicanus) or to adverse weather conditions. Additionally, for females (but not males) there appeared to be a trade-off between foraging trip duration and chick survival. The Cape gannet appears to demonstrate a strategy whereby the costs of reproduction to the female are shifted towards male-dominated chick provisioning as the chick nears fledging. Drivers of time-activity budget variability such as chick age and parental sex therefore need to be considered if using data on foraging trip duration as a proxy of foraging effort and prey availability.
- Full Text:
- Date Issued: 2014
To investigate the effect of a change in hard gelatin capsule supplier on a phenytoin sodium capsule formulation
- Authors: Marx, Amor
- Date: 2004
- Subjects: Capsules (Pharmacy) , Phenytoin
- Language: English
- Type: Thesis , Masters , MTech (Chemistry)
- Identifier: vital:10984 , http://hdl.handle.net/10948/265 , Capsules (Pharmacy) , Phenytoin
- Description: Stability studies were undertaken at ambient (25ºC/60%RH) and accelerated conditions (40ºC/75%RH) to determine the effect of changing of hard gelatin capsule supplier on a phenytoin sodium (100 mg) capsule formulation. Three hard gelatin capsule suppliers: RP Scherer (Supplier A), Capsugel (supplier B) and Associated Caps (Supplier C) were used in the study. Capsules were analyzed just after filling of the capsules (T0), after 1 month (T1), after 2 months (T2) and after 3 months (T3) after being stored in securitainers under the above-mentioned conditions. The moisture content of the empty shells as well as the capsule contents were analysed at each time-point. The capsule disintegration time was recorded at each time point. Multi-point dissolution testing was performed at each time point to determine the release of the active substance in each case. Based on the achieved results, the best capsule shell supplier was recommended, and other suggestions were made to improve the capsule formulation.
- Full Text:
- Date Issued: 2004
- Authors: Marx, Amor
- Date: 2004
- Subjects: Capsules (Pharmacy) , Phenytoin
- Language: English
- Type: Thesis , Masters , MTech (Chemistry)
- Identifier: vital:10984 , http://hdl.handle.net/10948/265 , Capsules (Pharmacy) , Phenytoin
- Description: Stability studies were undertaken at ambient (25ºC/60%RH) and accelerated conditions (40ºC/75%RH) to determine the effect of changing of hard gelatin capsule supplier on a phenytoin sodium (100 mg) capsule formulation. Three hard gelatin capsule suppliers: RP Scherer (Supplier A), Capsugel (supplier B) and Associated Caps (Supplier C) were used in the study. Capsules were analyzed just after filling of the capsules (T0), after 1 month (T1), after 2 months (T2) and after 3 months (T3) after being stored in securitainers under the above-mentioned conditions. The moisture content of the empty shells as well as the capsule contents were analysed at each time-point. The capsule disintegration time was recorded at each time point. Multi-point dissolution testing was performed at each time point to determine the release of the active substance in each case. Based on the achieved results, the best capsule shell supplier was recommended, and other suggestions were made to improve the capsule formulation.
- Full Text:
- Date Issued: 2004
Tolerance intervals for variance component models using a Bayesian simulation procedure
- Authors: Sarpong, Abeam Danso
- Date: 2013
- Subjects: Bayesian statistical decision theory , Multilevel models (Statistics)
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10583 , http://hdl.handle.net/10948/d1021025
- Description: The estimation of variance components serves as an integral part of the evaluation of variation, and is of interest and required in a variety of applications (Hugo, 2012). Estimation of the among-group variance components is often desired for quantifying the variability and effectively understanding these measurements (Van Der Rijst, 2006). The methodology for determining Bayesian tolerance intervals for the one – way random effects model has originally been proposed by Wolfinger (1998) using both informative and non-informative prior distributions (Hugo, 2012). Wolfinger (1998) also provided relationships with frequentist methodologies. From a Bayesian point of view, it is important to investigate and compare the effect on coverage probabilities if negative variance components are either replaced by zero, or completely disregarded from the simulation process. This research presents a simulation-based approach for determining Bayesian tolerance intervals in variance component models when negative variance components are either replaced by zero, or completely disregarded from the simulation process. This approach handles different kinds of tolerance intervals in a straightforward fashion. It makes use of a computer-generated sample (Monte Carlo process) from the joint posterior distribution of the mean and variance parameters to construct a sample from other relevant posterior distributions. This research makes use of only non-informative Jeffreys‟ prior distributions and uses three Bayesian simulation methods. Comparative results of different tolerance intervals obtained using a method where negative variance components are either replaced by zero or completely disregarded from the simulation process, is investigated and discussed in this research.
- Full Text:
- Date Issued: 2013
- Authors: Sarpong, Abeam Danso
- Date: 2013
- Subjects: Bayesian statistical decision theory , Multilevel models (Statistics)
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10583 , http://hdl.handle.net/10948/d1021025
- Description: The estimation of variance components serves as an integral part of the evaluation of variation, and is of interest and required in a variety of applications (Hugo, 2012). Estimation of the among-group variance components is often desired for quantifying the variability and effectively understanding these measurements (Van Der Rijst, 2006). The methodology for determining Bayesian tolerance intervals for the one – way random effects model has originally been proposed by Wolfinger (1998) using both informative and non-informative prior distributions (Hugo, 2012). Wolfinger (1998) also provided relationships with frequentist methodologies. From a Bayesian point of view, it is important to investigate and compare the effect on coverage probabilities if negative variance components are either replaced by zero, or completely disregarded from the simulation process. This research presents a simulation-based approach for determining Bayesian tolerance intervals in variance component models when negative variance components are either replaced by zero, or completely disregarded from the simulation process. This approach handles different kinds of tolerance intervals in a straightforward fashion. It makes use of a computer-generated sample (Monte Carlo process) from the joint posterior distribution of the mean and variance parameters to construct a sample from other relevant posterior distributions. This research makes use of only non-informative Jeffreys‟ prior distributions and uses three Bayesian simulation methods. Comparative results of different tolerance intervals obtained using a method where negative variance components are either replaced by zero or completely disregarded from the simulation process, is investigated and discussed in this research.
- Full Text:
- Date Issued: 2013
Tolerance of salt marsh ecotone species to salinity and inundation
- Authors: Matabane, Rebotile
- Date: 2018
- Subjects: Geobiology , Plant ecology Plant ecophysiology
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/22409 , vital:29967
- Description: Ecophysiology studies help understand and predict the response of coastal ecosystems to changes in environmental factors and complement modelling and mapping studies that often do not take into account the physiological tolerances of the biota. Along the South African coastline predicted sea level rise will shift the tidal front and result in larger submerged areas. The frequency and magnitude of inundation and subsequent salinity stress is expected to influence the survival and distribution of salt marsh. An understanding of the effects of sea level rise on plant growth and survival is required to predict, manage and adapt to climate change. The aim of this study was to investigate the response of the salt marsh ecotone species Disphyma crassifolium (L.) L. Bol. to salinity and submergence stress and to measure in situ spatial and temporal changes in vegetation cover and its environmental drivers in the Swartkops Estuary in South Africa.Three greenhouse experiments assessed morphological and physiological responses to salinity and inundation treatments on D. crassifolium. The first experiment used three inundation levels (dry, tidal and waterlogged) and five salinity treatments (0, 8, 18, 35 and 45 ppt) and ran for six weeks. The second experiment also had three inundation levels (dry, waterlogged and completely submerged) and five salinity treatments (0, 8, 18, 35 and 45 ppt) and ran for 12 weeks. The third experiment investigated the response of a narrower range of salinity treatments under dry conditions only; namely 0, 5, 10, 15, 20, 25, 30 and 35 ppt and ran for seven weeks. Experiment 1 showed that D. crassifolium growth decreased with an increase in salinity. Optimum growth occurred at lower salinity treatments of 0 to 18 ppt under dry conditions. Plant height and leaf succulence was the highest at 0 ppt (12.4 ± 1.2 cm and 94.9 ± 0.6 % respectively). The number of leaves produced were the highest at 0 ppt (47.7 ± 8.9 number of leaves) and 8 ppt (59.6 ± 6.3 number of leaves). The root/shoot ratio for dry treatment plants was significantly lower (p < 0.005, n=12) than that of waterlogged and tidal-treated plants. This was as a result of more leaves being produced in dry treatments. In Experiment 2 D. crassifolium plants died after one month of submergence regardless of the salinity. Once again optimum growth occurred at salinity of 0 to 18 ppt under the dry treatment. Within the waterlogged treatment, 0 and 8 ppt treated plants developed adventitious roots and started flowering after two weeks.The electrolyte leakage increased with salinity, however the waterlogged plants had significantly higher electrolyte leakage compare to the dry treated plants. Within the waterlogged treatment electrolyte leakage was at the highest at 18 ppt (36.5 ± 4.2 %) and lowest at 0 ppt (26.1 ± 3.3 %). Photosynthetic pigments showed significant difference across the two inundation states. However, chlorophyll and carotenoids concentrations did not differ significantly with an increase in salinity in each treatment. D. crassifolium tolerated stress through accumulation of solutes that increased in concentration with salinity treatment. The proline concentration ranged between 23.1 to 102 mM while the glycinebetaine concentration ranged between 36.6 and 120 mM. Experiment 3 showed that growth was highest at salinity < 20 ppt. The highest growth based on plant height was measured at 0 and 10 ppt. Spatial and temporal changes in the salt marsh terrestrial boundary was investigated in situ at two sites in the Swartkops Estuary using three line transects per site extending from the terrestrial boundary to the supratidal salt marsh. Plant cover abundance was measured seasonally along with sediment moisture content, electrical conductivity, redox potential, organic content and sediment particle size. There were five sampling trips between April 2016 to July 2017, representing autumn, winter and summer. The transects at Sites 1 and 2 were divided into three zones; a Drosanthemum zone (dominated by Drosanthemum parvifolium (Haw.) Schwantes at the beginning of the transect), a Sarcocornia zone (in the middle of the transect and dominated by Sarcocornia pillanssii (Moss) A.J. Scott) and a Disphyma zone at the end of the transect in the supratidal marsh (dominated by Disphyma crassifolium). There was no significant seasonal change in vegetation cover except in Site 1 during Winter 2016 when Isolepis sp. appeared and was dominant in the middle of the transects. Sediment assessed from each of the zones showed physicochemical ranges within the typical ecotone sediment characteristics. Moisture content ranged between 0.6 and 30.9 % at Site 1 and between 3 and 33.8 % at Site 2. Electrical conductivity ranged between 0.9 and 10.2 mS cm-1 at Site 1 and between 1.4 and 17.8 mS cm-1 at Site 2. Organic content ranged between 1.9 and 16 % at Site 1 and between 3.9 and 16.3 % at Site 2. Redox potential ranged between 208 and 406.7 mV at Site 1 and between 202.7 and 389.67 mV at Site 2. Sediment particle size consisted of sand (>70%), silt (>15%) and clay (<10%). The aim of this study was to provide insight on the effects of salinity and inundation on the morphology and physiology of D. crassifolium occurring in the salt marsh terrestrial boundary and to assess its spatial and temporal changes over time. The research suggests that D. crassifolium is more sensitive to inundation than salinity. Furthermore the succulent was found in the field to be dominant in conditions which the glasshouse experiments showed to be its optimum growth. That is, in dry sediments with salinity of < 18 ppt. Therefore, if these conditions change (sediment moisture and salinity), the cover abundance of D. crassifolium could significantly change in the field.
- Full Text:
- Date Issued: 2018
- Authors: Matabane, Rebotile
- Date: 2018
- Subjects: Geobiology , Plant ecology Plant ecophysiology
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/22409 , vital:29967
- Description: Ecophysiology studies help understand and predict the response of coastal ecosystems to changes in environmental factors and complement modelling and mapping studies that often do not take into account the physiological tolerances of the biota. Along the South African coastline predicted sea level rise will shift the tidal front and result in larger submerged areas. The frequency and magnitude of inundation and subsequent salinity stress is expected to influence the survival and distribution of salt marsh. An understanding of the effects of sea level rise on plant growth and survival is required to predict, manage and adapt to climate change. The aim of this study was to investigate the response of the salt marsh ecotone species Disphyma crassifolium (L.) L. Bol. to salinity and submergence stress and to measure in situ spatial and temporal changes in vegetation cover and its environmental drivers in the Swartkops Estuary in South Africa.Three greenhouse experiments assessed morphological and physiological responses to salinity and inundation treatments on D. crassifolium. The first experiment used three inundation levels (dry, tidal and waterlogged) and five salinity treatments (0, 8, 18, 35 and 45 ppt) and ran for six weeks. The second experiment also had three inundation levels (dry, waterlogged and completely submerged) and five salinity treatments (0, 8, 18, 35 and 45 ppt) and ran for 12 weeks. The third experiment investigated the response of a narrower range of salinity treatments under dry conditions only; namely 0, 5, 10, 15, 20, 25, 30 and 35 ppt and ran for seven weeks. Experiment 1 showed that D. crassifolium growth decreased with an increase in salinity. Optimum growth occurred at lower salinity treatments of 0 to 18 ppt under dry conditions. Plant height and leaf succulence was the highest at 0 ppt (12.4 ± 1.2 cm and 94.9 ± 0.6 % respectively). The number of leaves produced were the highest at 0 ppt (47.7 ± 8.9 number of leaves) and 8 ppt (59.6 ± 6.3 number of leaves). The root/shoot ratio for dry treatment plants was significantly lower (p < 0.005, n=12) than that of waterlogged and tidal-treated plants. This was as a result of more leaves being produced in dry treatments. In Experiment 2 D. crassifolium plants died after one month of submergence regardless of the salinity. Once again optimum growth occurred at salinity of 0 to 18 ppt under the dry treatment. Within the waterlogged treatment, 0 and 8 ppt treated plants developed adventitious roots and started flowering after two weeks.The electrolyte leakage increased with salinity, however the waterlogged plants had significantly higher electrolyte leakage compare to the dry treated plants. Within the waterlogged treatment electrolyte leakage was at the highest at 18 ppt (36.5 ± 4.2 %) and lowest at 0 ppt (26.1 ± 3.3 %). Photosynthetic pigments showed significant difference across the two inundation states. However, chlorophyll and carotenoids concentrations did not differ significantly with an increase in salinity in each treatment. D. crassifolium tolerated stress through accumulation of solutes that increased in concentration with salinity treatment. The proline concentration ranged between 23.1 to 102 mM while the glycinebetaine concentration ranged between 36.6 and 120 mM. Experiment 3 showed that growth was highest at salinity < 20 ppt. The highest growth based on plant height was measured at 0 and 10 ppt. Spatial and temporal changes in the salt marsh terrestrial boundary was investigated in situ at two sites in the Swartkops Estuary using three line transects per site extending from the terrestrial boundary to the supratidal salt marsh. Plant cover abundance was measured seasonally along with sediment moisture content, electrical conductivity, redox potential, organic content and sediment particle size. There were five sampling trips between April 2016 to July 2017, representing autumn, winter and summer. The transects at Sites 1 and 2 were divided into three zones; a Drosanthemum zone (dominated by Drosanthemum parvifolium (Haw.) Schwantes at the beginning of the transect), a Sarcocornia zone (in the middle of the transect and dominated by Sarcocornia pillanssii (Moss) A.J. Scott) and a Disphyma zone at the end of the transect in the supratidal marsh (dominated by Disphyma crassifolium). There was no significant seasonal change in vegetation cover except in Site 1 during Winter 2016 when Isolepis sp. appeared and was dominant in the middle of the transects. Sediment assessed from each of the zones showed physicochemical ranges within the typical ecotone sediment characteristics. Moisture content ranged between 0.6 and 30.9 % at Site 1 and between 3 and 33.8 % at Site 2. Electrical conductivity ranged between 0.9 and 10.2 mS cm-1 at Site 1 and between 1.4 and 17.8 mS cm-1 at Site 2. Organic content ranged between 1.9 and 16 % at Site 1 and between 3.9 and 16.3 % at Site 2. Redox potential ranged between 208 and 406.7 mV at Site 1 and between 202.7 and 389.67 mV at Site 2. Sediment particle size consisted of sand (>70%), silt (>15%) and clay (<10%). The aim of this study was to provide insight on the effects of salinity and inundation on the morphology and physiology of D. crassifolium occurring in the salt marsh terrestrial boundary and to assess its spatial and temporal changes over time. The research suggests that D. crassifolium is more sensitive to inundation than salinity. Furthermore the succulent was found in the field to be dominant in conditions which the glasshouse experiments showed to be its optimum growth. That is, in dry sediments with salinity of < 18 ppt. Therefore, if these conditions change (sediment moisture and salinity), the cover abundance of D. crassifolium could significantly change in the field.
- Full Text:
- Date Issued: 2018
Top-down control by grapsoid crabs in South African estuarine salt marshes
- Authors: Smith, Leigh-Ann
- Date: 2023-04
- Subjects: Salt marsh ecology – South Africa , Crabs --South Africa
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10948/61223 , vital:69807
- Description: Salt marshes are one of the most productive ecosystems globally. These ‘blue carbon’ habitats are in many respects resilient to climate change effects, able to track sea level rise and act as carbon sinks. Since salt marshes are economically and ecologically essential habitats (for example providing foraging grounds for invertebrates, fish, birds and humans), understanding the processes that control their structure is crucial to best maintain ecosystem services provided by these habitats. For decades the importance of top-down forces, such as grazing, has not been recognised as being important in controlling salt marsh plant productivity. Rather, bottom-up forces, such as the availability of oxygen, was thought to be the main constraint to primary production. Therefore, a better understanding of salt marsh ecosystem dynamics and whether grazer control exists is needed. Although grazer top-down control has been demonstrated in salt marshes in locations such as the United States, this has not been investigated in South Africa. This is a crucial knowledge gap locally considering the importance of salt marsh ecosystems. The aim of this study was therefore to determine what role consumers play in structuring South Africa’s estuarine salt marsh vegetation, thereby also contextualising this process internationally. In order to achieve this, the abundance of grapsoid crabs was estimated and related to key salt marsh features, such as Spartina maritima stem height and stem density, which was quantified from observational surveys. Sampling took place at the beginning and end of the early-spring and late-summer growth period (September 2021 and April 2022) in the Knysna, Kromme and Swartkops estuaries. If a correlation was observed between crab density and salt marsh features, it was important to determine whether they consume the salt marsh vegetation or if the effect was due to their burrowing activities. Hence, the diet of grapsoid crabs was investigated using stable isotope and gut content analysis. To examine the importance of crab grazing in controlling the growth of salt marsh vegetation, crab abundance was manipulated in situ by means of exclusion cages. This experiment ran for five months in the Kromme Estuary, from November 2021 to March 2022 over the salt marsh growing season. An ex situ feeding experiment was also conducted on 30 crab specimens collected from the Kromme Estuary, during May 2022. These crabs were starved for 48 hours and thereafter fed different components of Spartina (growing and dead blades, and roots and rhizomes). The food consumed was quantified as the change in plant length and dry weight after 48 hours, which gave a maximum grazing rate for the different food sources. It was found that crabs are having a minimal impact on the salt marsh vegetation structure. Spartina maritima does form an important component of the diet of grapsoid crabs, however, this is not their only source of food, and possibly not their preferred source of food. They are however contributing to sediment properties through their burrowing activities. The iii ex situ feeding experiment showed that grapsoid crabs can consume all vegetative components of Spartina, with a significantly greater amount of roots and rhizomes consumed. There was no consistent effect in terms of the exclusion of grazers, indicating that other mitigating factors could be reducing the impacts of grapsoid exclusion in situ. Together, these findings contribute knowledge that can be used to inform conservation by quantifying what the salt marsh risks losing in the absence or overabundance of crabs, as has occurred elsewhere globally. These results influence how salt marshes are managed, and highlight how not recognising the importance of consumers, such as crabs, could misalign management objectives. , Thesis (MSc) -- Faculty of Science, School of Environmental Sciences, 2022
- Full Text:
- Date Issued: 2023-04
- Authors: Smith, Leigh-Ann
- Date: 2023-04
- Subjects: Salt marsh ecology – South Africa , Crabs --South Africa
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10948/61223 , vital:69807
- Description: Salt marshes are one of the most productive ecosystems globally. These ‘blue carbon’ habitats are in many respects resilient to climate change effects, able to track sea level rise and act as carbon sinks. Since salt marshes are economically and ecologically essential habitats (for example providing foraging grounds for invertebrates, fish, birds and humans), understanding the processes that control their structure is crucial to best maintain ecosystem services provided by these habitats. For decades the importance of top-down forces, such as grazing, has not been recognised as being important in controlling salt marsh plant productivity. Rather, bottom-up forces, such as the availability of oxygen, was thought to be the main constraint to primary production. Therefore, a better understanding of salt marsh ecosystem dynamics and whether grazer control exists is needed. Although grazer top-down control has been demonstrated in salt marshes in locations such as the United States, this has not been investigated in South Africa. This is a crucial knowledge gap locally considering the importance of salt marsh ecosystems. The aim of this study was therefore to determine what role consumers play in structuring South Africa’s estuarine salt marsh vegetation, thereby also contextualising this process internationally. In order to achieve this, the abundance of grapsoid crabs was estimated and related to key salt marsh features, such as Spartina maritima stem height and stem density, which was quantified from observational surveys. Sampling took place at the beginning and end of the early-spring and late-summer growth period (September 2021 and April 2022) in the Knysna, Kromme and Swartkops estuaries. If a correlation was observed between crab density and salt marsh features, it was important to determine whether they consume the salt marsh vegetation or if the effect was due to their burrowing activities. Hence, the diet of grapsoid crabs was investigated using stable isotope and gut content analysis. To examine the importance of crab grazing in controlling the growth of salt marsh vegetation, crab abundance was manipulated in situ by means of exclusion cages. This experiment ran for five months in the Kromme Estuary, from November 2021 to March 2022 over the salt marsh growing season. An ex situ feeding experiment was also conducted on 30 crab specimens collected from the Kromme Estuary, during May 2022. These crabs were starved for 48 hours and thereafter fed different components of Spartina (growing and dead blades, and roots and rhizomes). The food consumed was quantified as the change in plant length and dry weight after 48 hours, which gave a maximum grazing rate for the different food sources. It was found that crabs are having a minimal impact on the salt marsh vegetation structure. Spartina maritima does form an important component of the diet of grapsoid crabs, however, this is not their only source of food, and possibly not their preferred source of food. They are however contributing to sediment properties through their burrowing activities. The iii ex situ feeding experiment showed that grapsoid crabs can consume all vegetative components of Spartina, with a significantly greater amount of roots and rhizomes consumed. There was no consistent effect in terms of the exclusion of grazers, indicating that other mitigating factors could be reducing the impacts of grapsoid exclusion in situ. Together, these findings contribute knowledge that can be used to inform conservation by quantifying what the salt marsh risks losing in the absence or overabundance of crabs, as has occurred elsewhere globally. These results influence how salt marshes are managed, and highlight how not recognising the importance of consumers, such as crabs, could misalign management objectives. , Thesis (MSc) -- Faculty of Science, School of Environmental Sciences, 2022
- Full Text:
- Date Issued: 2023-04
Top-soil water retention in organic and conventional farming systems in South Africa’s Southern Cape
- Authors: Eckert, Catherine Jessica
- Date: 2019
- Subjects: Water harvesting , Soil moisture conservation Organic farming Sustainable agriculture
- Language: English
- Type: Thesis , Masters , MTech
- Identifier: http://hdl.handle.net/10948/39885 , vital:35500
- Description: With the world’s growing population and limited natural resources, there is a need to produce more food using less inputs. A major limiting factor to meeting the agricultural production needs of the growing population is fresh water. Water is a critical resource in agriculture and may be more of a limiting factor than other crop growth requirements in some areas. Furthermore, water availability is being impacted by climate change and competition from other industries. Methods of improving crop water use efficiency through conservation of water and the enhancement of crop growth need to be employed to meet the growing demand sustainably. The purpose of the research was to assess the differences in soil water status between organically farmed crops with a grass mulch and conventionally farmed crops without mulch, with a view to making more efficient use of the water resource. This research was conducted at the Mandela long term organic farming systems research trial site at Nelson Mandela University, George campus in the southern Cape, South Africa. It is part of a larger research project (the Mandela Trials) in which various researchers have been involved in different aspects of this trial including agronomy, microbiology and pest and disease control. This research took place over two seasons, namely, 2016-2017 season and 2017-2018 season. The soil water content (SWC) of organic and conventional plots were measured using fixed capacitance probes that recorded continuous data, every half hour, at depths of 10, 30 and 50 cm. A handheld theta probe was also used to measure the SWC in the top 6 cm of the soil at 7 to14 day intervals. The organic treatment had a significantly higher SWC than the conventional treatment over the two seasons in which this research was conducted. In addition, soil carbon was significantly higher in the organic treatment, than the conventional. Organic farming methods preserve and promote an increase in soil organic matter, thus improving the soil structure and increasing the soil’s water holding capacity. From this research, it is concluded that organic farming practices can be used to help conserve SWC, keeping it available to crops for longer and helping farmers make more efficient use of this scarce resource. This is especially relevant for low rainfall areas which are affected by water shortages. The improved SWC availability should be coupled with good agronomic practices to increase productive water losses and the conversion of water to yields, thus increasing water use efficiency. In addition, adding organic matter to the soil will improve resilience of the soil and help sequester carbon and thus help in mitigating climate change.
- Full Text:
- Date Issued: 2019
Top-soil water retention in organic and conventional farming systems in South Africa’s Southern Cape
- Authors: Eckert, Catherine Jessica
- Date: 2019
- Subjects: Water harvesting , Soil moisture conservation Organic farming Sustainable agriculture
- Language: English
- Type: Thesis , Masters , MTech
- Identifier: http://hdl.handle.net/10948/39885 , vital:35500
- Description: With the world’s growing population and limited natural resources, there is a need to produce more food using less inputs. A major limiting factor to meeting the agricultural production needs of the growing population is fresh water. Water is a critical resource in agriculture and may be more of a limiting factor than other crop growth requirements in some areas. Furthermore, water availability is being impacted by climate change and competition from other industries. Methods of improving crop water use efficiency through conservation of water and the enhancement of crop growth need to be employed to meet the growing demand sustainably. The purpose of the research was to assess the differences in soil water status between organically farmed crops with a grass mulch and conventionally farmed crops without mulch, with a view to making more efficient use of the water resource. This research was conducted at the Mandela long term organic farming systems research trial site at Nelson Mandela University, George campus in the southern Cape, South Africa. It is part of a larger research project (the Mandela Trials) in which various researchers have been involved in different aspects of this trial including agronomy, microbiology and pest and disease control. This research took place over two seasons, namely, 2016-2017 season and 2017-2018 season. The soil water content (SWC) of organic and conventional plots were measured using fixed capacitance probes that recorded continuous data, every half hour, at depths of 10, 30 and 50 cm. A handheld theta probe was also used to measure the SWC in the top 6 cm of the soil at 7 to14 day intervals. The organic treatment had a significantly higher SWC than the conventional treatment over the two seasons in which this research was conducted. In addition, soil carbon was significantly higher in the organic treatment, than the conventional. Organic farming methods preserve and promote an increase in soil organic matter, thus improving the soil structure and increasing the soil’s water holding capacity. From this research, it is concluded that organic farming practices can be used to help conserve SWC, keeping it available to crops for longer and helping farmers make more efficient use of this scarce resource. This is especially relevant for low rainfall areas which are affected by water shortages. The improved SWC availability should be coupled with good agronomic practices to increase productive water losses and the conversion of water to yields, thus increasing water use efficiency. In addition, adding organic matter to the soil will improve resilience of the soil and help sequester carbon and thus help in mitigating climate change.
- Full Text:
- Date Issued: 2019
Towards a community based conservation strategy for wetlands in Uganda
- Authors: Barakagira, Alex
- Date: 2018
- Subjects: Conservation of natural resources , Wetland conservation -- Uganda Wetlands -- Uganda -- Management
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10948/23902 , vital:30640
- Description: Conservation of natural resources in Uganda focuses primarily on protected areas, including savannah national parks, mainly for conserving big game and forests, for controlling the harvest of commercially valuable timber resources, with less concern for wetlands. Later, policies and legislation in Uganda favoured agricultural production rather than the conservation of wetlands, a situation that culminated in their degradation. In a bid to counter the effects of wetlands degradation, Wetland Management Agencies were created. These agencies excluded the input of members of the local communities who reside in the wetlands environs. Local communities were not consulted on matters concerning management and conservation strategies, a situation that may have escalated the problem of wetlands degradation. Local knowledge is needed for the effective management and conservation of the wetlands and it is essential that local communities are included in decision making. This research study is more of an initiative for providing information that may be essential for the formulation of a community based conservation strategy for wetlands in Uganda. The study aimed to identify and characterize activities carried out by members of the local communities in wetlands found in central and western Uganda that are responsible for their progressive degradation; to assess the performance of existing Wetlands Management Institutions towards protection and conservation of wetlands in Uganda; to ascertain whether the acts and policies that have been promulgated for the protection of wetlands in Uganda have been adhered to by members of the local communities and to evaluate three community based conservation case studies with two vastly different outcomes in order to come up with the community-based conservation principles Ugandan communities may need to adopt to achieve sustainable utilisation and conservation of wetland resources. To achieve the objectives stated above, the researcher used a multi-disciplinary methodology that required several areas of expertise and sources of information. Hence, to accomplish the study, primary sources of data that included quantitative and qualitative data were collected from the study participants by means of a questionnaire survey, key informant interviews and direct observations. Secondary sources of data centred on published Ugandan acts and policies; textbooks; case study articles and journal articles. The study revealed a host of activities in which members of the local community are involved that have led to the degradation of the wetlands in Uganda. These include but are not limited to crop cultivation, dairy farming and unsustainable wetland resource harvesting. A number of other reasons for the degradation of the wetlands include unclear ownership of the wetlands, unclear wetland boundaries and a lack of awareness of the indirect benefits wetlands provide for members of the local communities. The study disclosed that wetlands management institutions have not been effective in the protection and conservation of wetlands in Uganda, mainly due to political interference and inadequate funding for the institutions’ conservation activities. The acts and policies that were promulgated for the protection and conservation of wetlands have been selectively implemented in some places and in others completely ignored, culminating in the degradation of the wetlands. The study revealed that effective community based conservation of wetlands in Uganda includes: initiation of the planning, implementation, monitoring and evaluation of all wetlands activities being borne by members of the local community; government introducing alternative income-generating activities aimed to reduce over-reliance on wetland resources and education of the local communities regarding the community-based projects’ objectives in order to garner their support. Recommendations emanating from this study are that the Land Act should be amended to specify a particular land tenure system, preferably freehold, which may promote the conservation of wetlands in Uganda; fertilizers (organic) should be introduced in the study area to fertilize the uplands that have reportedly become infertile in order to reduce the pressure the local community members are exerting on the wetlands for agriculture; wetlands management institutions should be empowered financially and political interference in activities aimed at conservation of wetlands in Uganda must cease. There should be uniform implementation of the rules and regulations stipulated in the acts and policies for all members of the public concerning wetlands protection. Lastly, essential community based conservation principles, as stated above, need to be applied carefully and adhered to if effective implementation of community-based conservation of wetlands is to be achieved in Uganda.
- Full Text:
- Date Issued: 2018
- Authors: Barakagira, Alex
- Date: 2018
- Subjects: Conservation of natural resources , Wetland conservation -- Uganda Wetlands -- Uganda -- Management
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10948/23902 , vital:30640
- Description: Conservation of natural resources in Uganda focuses primarily on protected areas, including savannah national parks, mainly for conserving big game and forests, for controlling the harvest of commercially valuable timber resources, with less concern for wetlands. Later, policies and legislation in Uganda favoured agricultural production rather than the conservation of wetlands, a situation that culminated in their degradation. In a bid to counter the effects of wetlands degradation, Wetland Management Agencies were created. These agencies excluded the input of members of the local communities who reside in the wetlands environs. Local communities were not consulted on matters concerning management and conservation strategies, a situation that may have escalated the problem of wetlands degradation. Local knowledge is needed for the effective management and conservation of the wetlands and it is essential that local communities are included in decision making. This research study is more of an initiative for providing information that may be essential for the formulation of a community based conservation strategy for wetlands in Uganda. The study aimed to identify and characterize activities carried out by members of the local communities in wetlands found in central and western Uganda that are responsible for their progressive degradation; to assess the performance of existing Wetlands Management Institutions towards protection and conservation of wetlands in Uganda; to ascertain whether the acts and policies that have been promulgated for the protection of wetlands in Uganda have been adhered to by members of the local communities and to evaluate three community based conservation case studies with two vastly different outcomes in order to come up with the community-based conservation principles Ugandan communities may need to adopt to achieve sustainable utilisation and conservation of wetland resources. To achieve the objectives stated above, the researcher used a multi-disciplinary methodology that required several areas of expertise and sources of information. Hence, to accomplish the study, primary sources of data that included quantitative and qualitative data were collected from the study participants by means of a questionnaire survey, key informant interviews and direct observations. Secondary sources of data centred on published Ugandan acts and policies; textbooks; case study articles and journal articles. The study revealed a host of activities in which members of the local community are involved that have led to the degradation of the wetlands in Uganda. These include but are not limited to crop cultivation, dairy farming and unsustainable wetland resource harvesting. A number of other reasons for the degradation of the wetlands include unclear ownership of the wetlands, unclear wetland boundaries and a lack of awareness of the indirect benefits wetlands provide for members of the local communities. The study disclosed that wetlands management institutions have not been effective in the protection and conservation of wetlands in Uganda, mainly due to political interference and inadequate funding for the institutions’ conservation activities. The acts and policies that were promulgated for the protection and conservation of wetlands have been selectively implemented in some places and in others completely ignored, culminating in the degradation of the wetlands. The study revealed that effective community based conservation of wetlands in Uganda includes: initiation of the planning, implementation, monitoring and evaluation of all wetlands activities being borne by members of the local community; government introducing alternative income-generating activities aimed to reduce over-reliance on wetland resources and education of the local communities regarding the community-based projects’ objectives in order to garner their support. Recommendations emanating from this study are that the Land Act should be amended to specify a particular land tenure system, preferably freehold, which may promote the conservation of wetlands in Uganda; fertilizers (organic) should be introduced in the study area to fertilize the uplands that have reportedly become infertile in order to reduce the pressure the local community members are exerting on the wetlands for agriculture; wetlands management institutions should be empowered financially and political interference in activities aimed at conservation of wetlands in Uganda must cease. There should be uniform implementation of the rules and regulations stipulated in the acts and policies for all members of the public concerning wetlands protection. Lastly, essential community based conservation principles, as stated above, need to be applied carefully and adhered to if effective implementation of community-based conservation of wetlands is to be achieved in Uganda.
- Full Text:
- Date Issued: 2018
Towards a methodology for identifying potential sites for cemeteries
- Authors: Judge, Richard David Eadie
- Date: 2012
- Subjects: Cemeteries , Environmental impact analysis , Groundwater , Pollution
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10649 , http://hdl.handle.net/10948/d1008048 , Cemeteries , Environmental impact analysis , Groundwater , Pollution
- Description: Due to death being an extremely sensitive issue, the topic of cemeteries and associated environmental impacts is often left outside the mainstream environmental critique. However, this is a topic becoming more prevalent as the population numbers and the death rate increases, while the amount of available land decreases. Recent research has indicated that poorly sited cemeteries may pose a significant threat to groundwater resources with the consequential potential for severe health hazards. This has resulted in the need for a method of determining the acceptability of a given area for the establishment of a cemetery in a South African context. Cemeteries should be sited in such a way as to mitigate potential public health and safety concerns, minimise associated environmental impacts and provide a method of body disposal that is economically viable. This study therefore provides an integrated methodology to identify and assess a given area and rank a number of potential sites, ultimately determining a single cemetery site which proves to be acceptable for the establishment of a cemetery. Cemetery site selection should be based on the factors affecting the pollution potential of a proposed cemetery. These factors were identified and quantified based on research into the mechanisms of cemetery site pollution resulting in a number of fatal flaws and criteria deemed decisive when selecting a potential cemetery site. The assessment of a site with regards to these criteria and fatal flaws is undertaken through the use of GIS analysis software utilising data layers containing information on the site selection criteria, by investigating existing studies, literature or reports relating to the relevant area, or through field investigations. Although these criteria are vital when determining the specific characteristics of a site in terms of its pollution potential, a method of assessing a number of potential sites with regards to these criteria is vital. To this end, a multi-criteria ranking matrix has been developed, allowing for an objective method of assessing individual sites and thus indicating which sites are more suited for the establishment of a cemetery. The ranking matrix identifies a range of values for each criterion, therefore identifying a minimum and maximum allowable value. A site is then assessed with regards to these criteria in relation to the values identified in the ranking matrix. Each criteria is assigned a score according to the site conditions. Once the criteria for each site has been assessed and scored, the results can be tallied allowing the sites to be ranked according to which site proved to be the most acceptable for a cemetery based on the findings of the application of the site selection criteria. The methodology developed in this study is unique to previous studies in that it provides an integrated and staged approach to identifying, assessing and applying the criteria affecting the pollution potential of a cemetery. The methodology also provides a means of ranking a number of potential sites so to determine the most suitable. Furthermore, the criteria deemed as decisive in previous investigations were in most cases not quantified by the relevant authors, therefore leaving many of the criteria values up for interpretation. For this methodology to be affective, all criteria must be quantified therefore identifying maximum and minimum allowable limits for each. This study applies minimum and maximum allowable limits to these criteria, therefore aiding in the ranking process. The integrated methodology developed was then applied to a case study where by the effectiveness in identifying a number of potential cemetery sites could be tested. Subsequent to the application of this methodology to a case study, it was concluded that an additional two criteria, not identified in previous investigations, needed to be assessed to more adequately determine the suitability or otherwise of a site for a cemetery. Ultimately, twelve major criteria have been proposed for use as the basis of the methodology. The methodology and pertinent criteria proposed in this study should be compiled as a standard for planning authorities and consultants to use as a method of determining a number of potential environmentally sound cemetery sites.
- Full Text:
- Date Issued: 2012
- Authors: Judge, Richard David Eadie
- Date: 2012
- Subjects: Cemeteries , Environmental impact analysis , Groundwater , Pollution
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10649 , http://hdl.handle.net/10948/d1008048 , Cemeteries , Environmental impact analysis , Groundwater , Pollution
- Description: Due to death being an extremely sensitive issue, the topic of cemeteries and associated environmental impacts is often left outside the mainstream environmental critique. However, this is a topic becoming more prevalent as the population numbers and the death rate increases, while the amount of available land decreases. Recent research has indicated that poorly sited cemeteries may pose a significant threat to groundwater resources with the consequential potential for severe health hazards. This has resulted in the need for a method of determining the acceptability of a given area for the establishment of a cemetery in a South African context. Cemeteries should be sited in such a way as to mitigate potential public health and safety concerns, minimise associated environmental impacts and provide a method of body disposal that is economically viable. This study therefore provides an integrated methodology to identify and assess a given area and rank a number of potential sites, ultimately determining a single cemetery site which proves to be acceptable for the establishment of a cemetery. Cemetery site selection should be based on the factors affecting the pollution potential of a proposed cemetery. These factors were identified and quantified based on research into the mechanisms of cemetery site pollution resulting in a number of fatal flaws and criteria deemed decisive when selecting a potential cemetery site. The assessment of a site with regards to these criteria and fatal flaws is undertaken through the use of GIS analysis software utilising data layers containing information on the site selection criteria, by investigating existing studies, literature or reports relating to the relevant area, or through field investigations. Although these criteria are vital when determining the specific characteristics of a site in terms of its pollution potential, a method of assessing a number of potential sites with regards to these criteria is vital. To this end, a multi-criteria ranking matrix has been developed, allowing for an objective method of assessing individual sites and thus indicating which sites are more suited for the establishment of a cemetery. The ranking matrix identifies a range of values for each criterion, therefore identifying a minimum and maximum allowable value. A site is then assessed with regards to these criteria in relation to the values identified in the ranking matrix. Each criteria is assigned a score according to the site conditions. Once the criteria for each site has been assessed and scored, the results can be tallied allowing the sites to be ranked according to which site proved to be the most acceptable for a cemetery based on the findings of the application of the site selection criteria. The methodology developed in this study is unique to previous studies in that it provides an integrated and staged approach to identifying, assessing and applying the criteria affecting the pollution potential of a cemetery. The methodology also provides a means of ranking a number of potential sites so to determine the most suitable. Furthermore, the criteria deemed as decisive in previous investigations were in most cases not quantified by the relevant authors, therefore leaving many of the criteria values up for interpretation. For this methodology to be affective, all criteria must be quantified therefore identifying maximum and minimum allowable limits for each. This study applies minimum and maximum allowable limits to these criteria, therefore aiding in the ranking process. The integrated methodology developed was then applied to a case study where by the effectiveness in identifying a number of potential cemetery sites could be tested. Subsequent to the application of this methodology to a case study, it was concluded that an additional two criteria, not identified in previous investigations, needed to be assessed to more adequately determine the suitability or otherwise of a site for a cemetery. Ultimately, twelve major criteria have been proposed for use as the basis of the methodology. The methodology and pertinent criteria proposed in this study should be compiled as a standard for planning authorities and consultants to use as a method of determining a number of potential environmentally sound cemetery sites.
- Full Text:
- Date Issued: 2012
Towards an industrial ecology for the Nelson Mandela Bay: Metropolitan area
- Authors: Dalindyebo, Litha
- Date: 2016
- Subjects: Industrial ecology -- South Africa -- Port Elizabeth
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/9263 , vital:26556
- Description: The aim of this study is to formulate a model of industrial ecology for wider application in the Nelson Mandel Bay (NMB) Metropole. To achieve this aim, the following objectives will be pursued: • A theoretical investigation of the concept of industrial ecology – in an attempt to establish its meaning, as well as the implications thereof. • A theoretical investigation of the operational implications of industrial ecology, including existing methodologies, such as Material Flow Analysis (MFA) and Life Cycle Assessment (LCA) that can be applied, in order to develop a system of industrial ecology between different companies. • The formulation of a methodology for application to the case study. • Presenting and discussing the research results produced by the application of the industrial ecology related methodology to the case study. • To present a synthesis of the research results of this study. This objective includes a critical evaluation of the research methodology and results, as well as some recommendations for the facilitation of industrial ecology. The methodology of the research involved conducting semi structured interviews, conducting a Material Flow Analysis and Life Cycle Analysis using SIMAPRO software. There interview with Goodyear management took place (see Appendix A), while the management at Sovereign Foods agreed to an interview however they didn’t honour the agreement. During the interview at Goodyear understanding of the operational process was achieved by conducting the interviews. The three areas that were discussed during the interview process were: 1. How the boiler works; 2. Current Air-Emission results; and 3. The process of steam generation. An MFA and an LCA on the production process of comparing the boiler functionality was conducted, so that there is an adequate understanding of the environmental performance of the two different boilers. The results of the MFA are presented as follows, namely: the goal and scope definition and the inventory results. Coal boiler versus fluidised boiler data where modelled. The modelling is done on comparing the flow of chemicals during steam production process, and which chemicals have a significant environmental impact. The LCA results looked at the basis of the symbiotic approach by identifying sustainable choices of design, production and consumption. The findings of this research have been obtained from the investigation of industrial ecology framework planning at Goodyear SA and Sovereign Foods. The findings have revealed that there is a synergy that exists between the two case-study areas. However, this is based on Goodyear changing the technology of the boiler they use (a boiler creates steam for the tyre-building process). The company will be required to use a fluidised boiler, instead of the current coal boiler. The use of the fluidised boiler will ensure that all waste streams at Goodyear will be reused and recycled, thereby creating the framework for industrial ecology. The results that are firstly drawn out of SIMAPRO is the Life Cycle Inventory. In this research, there is a flow of 1437 chemical materials and substances in the production of steam using both coal boiler and fluidized boiler. Due to the number of substance flow elements, the research has presented only the significant substances that influence the environmental performance of steam production using the two different feeder materials, which are coal and chicken matter (see Figure 4.4). In the coal boiler process, sulfur comprises the largest amount of chemical substance. The other top five chemical components that contribute to the steam production process are: nickel, chromium, arsenic and iodosulfuron-methyl-sodium. The scale of figure 4.4 is reduced to show the various number of chemical flows found in the steam production process through SIMAPRO software. The Life Cycle Assessment (LCA) results were presented looking at namely the following characterization, normalization, weighting, single score and damage assessment (see Figure 4.7 – 4.10 p87 – p90). The figures are presented as taken directly from the reports drawn from the SIMAPRO software. Figure 4.7 gives the characterisation results up to 100%, where 0% has a minimal environmental effect; whereas 100% has the most significant environmental effect. Oxidation of coal is compared versus the oxidation of chicken matter, the coal boiler process has higher environmental impacts. Figure 4.8 shows the normalisation results of the coal boiler versus the fluidised boiler for the functional unit steam production. The environmental degradation under normalisation between the two boilers are measured, based on three parameters, namely: human health, ecosystems and resources. In all three parameters that are measured under normalisation, the production of steam using the coal boiler has the highest impacts. The weighting results in Figure 4.9 show a mirror image of the normalisation results. Finally, a gap analysis of the theoretical requirements for industrial ecology is displayed versus what currently exists in the case study area. The gap analysis will assist in the development of recommendations. These will be presented in the next chapter. A gap analysis of findings is discussed leading into the synthesis. The value of this research is that the baseline data of planning for an industrial ecology create a platform that can be used for implementing an industrial ecology between Goodyear SA and Sovereign Foods. This will, in time, have wider applications for the entire NMB metropole.
- Full Text:
- Date Issued: 2016
- Authors: Dalindyebo, Litha
- Date: 2016
- Subjects: Industrial ecology -- South Africa -- Port Elizabeth
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/9263 , vital:26556
- Description: The aim of this study is to formulate a model of industrial ecology for wider application in the Nelson Mandel Bay (NMB) Metropole. To achieve this aim, the following objectives will be pursued: • A theoretical investigation of the concept of industrial ecology – in an attempt to establish its meaning, as well as the implications thereof. • A theoretical investigation of the operational implications of industrial ecology, including existing methodologies, such as Material Flow Analysis (MFA) and Life Cycle Assessment (LCA) that can be applied, in order to develop a system of industrial ecology between different companies. • The formulation of a methodology for application to the case study. • Presenting and discussing the research results produced by the application of the industrial ecology related methodology to the case study. • To present a synthesis of the research results of this study. This objective includes a critical evaluation of the research methodology and results, as well as some recommendations for the facilitation of industrial ecology. The methodology of the research involved conducting semi structured interviews, conducting a Material Flow Analysis and Life Cycle Analysis using SIMAPRO software. There interview with Goodyear management took place (see Appendix A), while the management at Sovereign Foods agreed to an interview however they didn’t honour the agreement. During the interview at Goodyear understanding of the operational process was achieved by conducting the interviews. The three areas that were discussed during the interview process were: 1. How the boiler works; 2. Current Air-Emission results; and 3. The process of steam generation. An MFA and an LCA on the production process of comparing the boiler functionality was conducted, so that there is an adequate understanding of the environmental performance of the two different boilers. The results of the MFA are presented as follows, namely: the goal and scope definition and the inventory results. Coal boiler versus fluidised boiler data where modelled. The modelling is done on comparing the flow of chemicals during steam production process, and which chemicals have a significant environmental impact. The LCA results looked at the basis of the symbiotic approach by identifying sustainable choices of design, production and consumption. The findings of this research have been obtained from the investigation of industrial ecology framework planning at Goodyear SA and Sovereign Foods. The findings have revealed that there is a synergy that exists between the two case-study areas. However, this is based on Goodyear changing the technology of the boiler they use (a boiler creates steam for the tyre-building process). The company will be required to use a fluidised boiler, instead of the current coal boiler. The use of the fluidised boiler will ensure that all waste streams at Goodyear will be reused and recycled, thereby creating the framework for industrial ecology. The results that are firstly drawn out of SIMAPRO is the Life Cycle Inventory. In this research, there is a flow of 1437 chemical materials and substances in the production of steam using both coal boiler and fluidized boiler. Due to the number of substance flow elements, the research has presented only the significant substances that influence the environmental performance of steam production using the two different feeder materials, which are coal and chicken matter (see Figure 4.4). In the coal boiler process, sulfur comprises the largest amount of chemical substance. The other top five chemical components that contribute to the steam production process are: nickel, chromium, arsenic and iodosulfuron-methyl-sodium. The scale of figure 4.4 is reduced to show the various number of chemical flows found in the steam production process through SIMAPRO software. The Life Cycle Assessment (LCA) results were presented looking at namely the following characterization, normalization, weighting, single score and damage assessment (see Figure 4.7 – 4.10 p87 – p90). The figures are presented as taken directly from the reports drawn from the SIMAPRO software. Figure 4.7 gives the characterisation results up to 100%, where 0% has a minimal environmental effect; whereas 100% has the most significant environmental effect. Oxidation of coal is compared versus the oxidation of chicken matter, the coal boiler process has higher environmental impacts. Figure 4.8 shows the normalisation results of the coal boiler versus the fluidised boiler for the functional unit steam production. The environmental degradation under normalisation between the two boilers are measured, based on three parameters, namely: human health, ecosystems and resources. In all three parameters that are measured under normalisation, the production of steam using the coal boiler has the highest impacts. The weighting results in Figure 4.9 show a mirror image of the normalisation results. Finally, a gap analysis of the theoretical requirements for industrial ecology is displayed versus what currently exists in the case study area. The gap analysis will assist in the development of recommendations. These will be presented in the next chapter. A gap analysis of findings is discussed leading into the synthesis. The value of this research is that the baseline data of planning for an industrial ecology create a platform that can be used for implementing an industrial ecology between Goodyear SA and Sovereign Foods. This will, in time, have wider applications for the entire NMB metropole.
- Full Text:
- Date Issued: 2016
Towards integrated catchment management : challenges surrounding implementation in the Gamtoos River catchment
- Authors: Materechera, Fenji
- Date: 2012
- Subjects: Watershed management -- South Africa , Watershed management -- South Africa -- Citizen participation , Integrated water development -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10664 , http://hdl.handle.net/10948/d1018553
- Description: Water resource management has become a pertinent issue of global environmental concern in response to the conditions of a growing global population, increasing development and a limited freshwater supply. It is against the backdrop of such conditions that effective water resource management has gained popularity in seeking to ensure that the needs of the growing population will be met and secured for future generations. The notion of integrated water resource management (IWRM) is a perspective on water resource management that has evolved out of the global opinion that social and ecological systems are linked and therefore cannot be managed separately. The department of water affairs (DWA) in South Africa highlights the importance of approaching management of water resources from a catchment perspective which forms the basis for a particular integrated approach to management called integrated catchment management (ICM). ICM recognizes the catchment as the correct administrative unit for management. It integrates water resources and the land that forms the catchment area in planning and management. Researchers have described the implementation of ICM as being complicated and difficult. This is no exception to South Africa. Principles of ICM have received widespread prominence in South Africa as they have been incorporated into national water policy. Actual implementation however is still in its infancy. The study is therefore a case study of ICM with respect to factors influencing implementation amongst different stakeholders. The study aims to explore the theme of implementation of ICM within the context of the Gamtoos River Catchment with a view toward identifying and addressing challenges that may be more broadly applicable. The study adopts an inductive, exploratory approach to the connection between theory and practice. A systems-based framework characterized by sequential steps similar to that employed in a case study conducted by Bellamy et al. (2001) in Queensland Australia is used to facilitate the evaluation of ICM in the Gamtoos River Catchment. The evaluation is achieved through a three step process of exploration in the current study. Triangulation is applied to the choice of methods of analysis which involves the use of a global analysis method, the use of learning scenarios and a grounded theory method. Findings reveal seven core themes which help to provide a detailed, contextual understanding relating to the status quo for ICM in the catchment. Results from a grounded theory analysis summarized the main challenges to implementation into five broad categories. Based on this analysis method and the application of the three learning scenarios for the Gamtoos River Catchment, the extent to which these challenges exist was discovered. The state of ICM in the catchment was classified as falling within a condition of a level of success being achieved with room for improvement to a condition of optimal ICM. The study concludes that based on the context of ICM being an example of a Complex Adaptive Systems (CAS), this state of ICM in the Gamtoos River Catchment is subject to change. This therefore necessitates the consideration of approaches to implementation that are adaptive to change. Findings may serve to inform decision making on how ICM can be effectively implemented elsewhere in a South African context.
- Full Text:
- Date Issued: 2012
- Authors: Materechera, Fenji
- Date: 2012
- Subjects: Watershed management -- South Africa , Watershed management -- South Africa -- Citizen participation , Integrated water development -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10664 , http://hdl.handle.net/10948/d1018553
- Description: Water resource management has become a pertinent issue of global environmental concern in response to the conditions of a growing global population, increasing development and a limited freshwater supply. It is against the backdrop of such conditions that effective water resource management has gained popularity in seeking to ensure that the needs of the growing population will be met and secured for future generations. The notion of integrated water resource management (IWRM) is a perspective on water resource management that has evolved out of the global opinion that social and ecological systems are linked and therefore cannot be managed separately. The department of water affairs (DWA) in South Africa highlights the importance of approaching management of water resources from a catchment perspective which forms the basis for a particular integrated approach to management called integrated catchment management (ICM). ICM recognizes the catchment as the correct administrative unit for management. It integrates water resources and the land that forms the catchment area in planning and management. Researchers have described the implementation of ICM as being complicated and difficult. This is no exception to South Africa. Principles of ICM have received widespread prominence in South Africa as they have been incorporated into national water policy. Actual implementation however is still in its infancy. The study is therefore a case study of ICM with respect to factors influencing implementation amongst different stakeholders. The study aims to explore the theme of implementation of ICM within the context of the Gamtoos River Catchment with a view toward identifying and addressing challenges that may be more broadly applicable. The study adopts an inductive, exploratory approach to the connection between theory and practice. A systems-based framework characterized by sequential steps similar to that employed in a case study conducted by Bellamy et al. (2001) in Queensland Australia is used to facilitate the evaluation of ICM in the Gamtoos River Catchment. The evaluation is achieved through a three step process of exploration in the current study. Triangulation is applied to the choice of methods of analysis which involves the use of a global analysis method, the use of learning scenarios and a grounded theory method. Findings reveal seven core themes which help to provide a detailed, contextual understanding relating to the status quo for ICM in the catchment. Results from a grounded theory analysis summarized the main challenges to implementation into five broad categories. Based on this analysis method and the application of the three learning scenarios for the Gamtoos River Catchment, the extent to which these challenges exist was discovered. The state of ICM in the catchment was classified as falling within a condition of a level of success being achieved with room for improvement to a condition of optimal ICM. The study concludes that based on the context of ICM being an example of a Complex Adaptive Systems (CAS), this state of ICM in the Gamtoos River Catchment is subject to change. This therefore necessitates the consideration of approaches to implementation that are adaptive to change. Findings may serve to inform decision making on how ICM can be effectively implemented elsewhere in a South African context.
- Full Text:
- Date Issued: 2012
Towards knowing through doing : improving the societal relevance of systematic conservation assessments
- Authors: Knight, Andrew Thomas
- Date: 2007
- Subjects: Conservation of natural resources -- Planning , Nature conservation -- South Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:10598 , http://hdl.handle.net/10948/711 , Conservation of natural resources -- Planning , Nature conservation -- South Africa
- Description: Systematic conservation assessments are spatially-explicit techniques for prioritising areas for the implementation of conservation action. There has been considerable reference in the peer-reviewed literature as to the usefulness of these tools, which appear to be primarily used by academics for theoretical research. A literature review and author survey reveals the peer-reviewed literature is largely theoretical, although conservation action results more frequently than reported. The effectiveness of these interventions is generally described as only ‘fairly effective’. This general trend, coupled with previous personal failures in translating systematic conservation assessments into effective conservation action triggered an explicit process of social learning implemented as action research. It examined the workings of the Subtropical Thicket Ecosystem Planning (STEP) project, which included development of a systematic conservation assessment. Systematic conservations assessments simply provide information on where action should be implemented, and so are only useful if situated within broader operational models for conservation planning. Most operational models presented in the peer-reviewed literature are primarily focused upon the testing ecological data, not upon the delivery of conservation action. A new operational model for conservation planning is presented which more accurately reflects the ‘real-world’ process of conservation planning. An implementation strategy is an essential complement to a systematic conservation assessment. It describes how specific, explicitly-stated goals will be achieved, who is accountable for undertaking these activities, and the resources required. As the Implementation Specialist for the STEP Project, I co-lead the collaborative development of an implementation strategy with stakeholders that aimed to mobilise resources towards achieving common goals. Whilst the development and initial uptake of the strategy was good, subsequent implementation has flounder. The reasons for this are explored. The ultimate pragmatic goal of a conservation planning process is the establishment of effective social learning institutions. These develop common visions, mobilise collective action, and adaptively learn and refine their conservation activities. Thicket Forum is one xi such institution established through the STEP Project. My involvement with Thicket Forum since 2004 in implementing an adaptive learning approach facilitates collaboration between land managers, government and research organisations. Systematic conservation assessments evolved in response to the ad hoc way in which protected areas were implemented, leaving unrepresentative, biased protected area networks. Most research is theoretical and without an intimate understanding of the social-ecological system of a planning region, notably opportunities and constraints for implementing conservation action. Highlighting the importance of an approach which is flexible, not only in space, but in time, which can capitalise upon implementation opportunities, is important for stemming the myth that opportunism is the nemesis of systematic conservation assessments. To this end, conservation planners have been slow to include factors influencing effective implementation in systematic conservation assessments. Many studies which identify candidate protected area networks, first, fail to identify the specific instrument(s) to be applied, and second, assume all intact land is available. Having mapped the willingness of land managers in the Albany District, South Africa, to sell their land, it is demonstrated the majority of targets fail to be achieved because land managers will not sell. Knowing this, the current focus of gathering ever-more ecological data is misplaced. Human, social and economic factors influence target achievement, efficiency and spatial configuration of priority areas. Selecting important areas for conservation, particularly at the local-scale, requires the mapping of factors which define opportunities for conservation. Land manager willingness to collaborate and participate, entrepreneurial orientation, conservation knowledge, social capital, and local champions were applied using a method of hierarchical clustering to identify land managers who represent conservation opportunities for private land conservation initiatives.
- Full Text:
- Date Issued: 2007
- Authors: Knight, Andrew Thomas
- Date: 2007
- Subjects: Conservation of natural resources -- Planning , Nature conservation -- South Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:10598 , http://hdl.handle.net/10948/711 , Conservation of natural resources -- Planning , Nature conservation -- South Africa
- Description: Systematic conservation assessments are spatially-explicit techniques for prioritising areas for the implementation of conservation action. There has been considerable reference in the peer-reviewed literature as to the usefulness of these tools, which appear to be primarily used by academics for theoretical research. A literature review and author survey reveals the peer-reviewed literature is largely theoretical, although conservation action results more frequently than reported. The effectiveness of these interventions is generally described as only ‘fairly effective’. This general trend, coupled with previous personal failures in translating systematic conservation assessments into effective conservation action triggered an explicit process of social learning implemented as action research. It examined the workings of the Subtropical Thicket Ecosystem Planning (STEP) project, which included development of a systematic conservation assessment. Systematic conservations assessments simply provide information on where action should be implemented, and so are only useful if situated within broader operational models for conservation planning. Most operational models presented in the peer-reviewed literature are primarily focused upon the testing ecological data, not upon the delivery of conservation action. A new operational model for conservation planning is presented which more accurately reflects the ‘real-world’ process of conservation planning. An implementation strategy is an essential complement to a systematic conservation assessment. It describes how specific, explicitly-stated goals will be achieved, who is accountable for undertaking these activities, and the resources required. As the Implementation Specialist for the STEP Project, I co-lead the collaborative development of an implementation strategy with stakeholders that aimed to mobilise resources towards achieving common goals. Whilst the development and initial uptake of the strategy was good, subsequent implementation has flounder. The reasons for this are explored. The ultimate pragmatic goal of a conservation planning process is the establishment of effective social learning institutions. These develop common visions, mobilise collective action, and adaptively learn and refine their conservation activities. Thicket Forum is one xi such institution established through the STEP Project. My involvement with Thicket Forum since 2004 in implementing an adaptive learning approach facilitates collaboration between land managers, government and research organisations. Systematic conservation assessments evolved in response to the ad hoc way in which protected areas were implemented, leaving unrepresentative, biased protected area networks. Most research is theoretical and without an intimate understanding of the social-ecological system of a planning region, notably opportunities and constraints for implementing conservation action. Highlighting the importance of an approach which is flexible, not only in space, but in time, which can capitalise upon implementation opportunities, is important for stemming the myth that opportunism is the nemesis of systematic conservation assessments. To this end, conservation planners have been slow to include factors influencing effective implementation in systematic conservation assessments. Many studies which identify candidate protected area networks, first, fail to identify the specific instrument(s) to be applied, and second, assume all intact land is available. Having mapped the willingness of land managers in the Albany District, South Africa, to sell their land, it is demonstrated the majority of targets fail to be achieved because land managers will not sell. Knowing this, the current focus of gathering ever-more ecological data is misplaced. Human, social and economic factors influence target achievement, efficiency and spatial configuration of priority areas. Selecting important areas for conservation, particularly at the local-scale, requires the mapping of factors which define opportunities for conservation. Land manager willingness to collaborate and participate, entrepreneurial orientation, conservation knowledge, social capital, and local champions were applied using a method of hierarchical clustering to identify land managers who represent conservation opportunities for private land conservation initiatives.
- Full Text:
- Date Issued: 2007
Towards measuring corporate sustainability in the Nelson Mandela Bay automotive manufacturing sector
- Authors: Adams, Abulele
- Date: 2015
- Subjects: Sustainability -- South Africa -- Port Elizabeth Sustainable development -- South Africa -- Port Elizabeth
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/18465 , vital:28648
- Description: This study explored the methods available for measuring corporate sustainability and created an instrument to measure corporate sustainability in the Nelson Mandela Bay (NMB) automotive manufacturing sector. The instrument was created based on three components of sustainability which are environment, society and economy. The study went a step further and added a fourth dimension, current trends to design a measuring instrument. The instrument was then applied on participating companies and further refined to improve it. A total of 16 multi-dimensional indicators to measure corporate sustainability were created and applied to 12 companies in the automotive manufacturing sector. The indicators were used to create a composite corporate sustainability index which can be used to compare the corporate sustainability performance of companies. These indicators were created based on theoretical research and fist hand experience observing the automotive manufacturing sector in the NMB. The indicators were applied to companies as a pilot to test whether they are feasible. Following this, the indicators were refined, improved and applied to more companies to measure corporate sustainability performance. The results of the study were the measuring instrument created, the creation of a composite index as well as the application of the instrument on 12 companies to determine whether the instrument was refined enough to detect differences in the corporate sustainability performance of companies. The results are discussed and further recommendations are made for improvements in the creation and application of the instrument to measure corporate sustainability in the NMB automotive manufacturing sector.
- Full Text:
- Date Issued: 2015
Towards measuring corporate sustainability in the Nelson Mandela Bay automotive manufacturing sector
- Authors: Adams, Abulele
- Date: 2015
- Subjects: Sustainability -- South Africa -- Port Elizabeth Sustainable development -- South Africa -- Port Elizabeth
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/18465 , vital:28648
- Description: This study explored the methods available for measuring corporate sustainability and created an instrument to measure corporate sustainability in the Nelson Mandela Bay (NMB) automotive manufacturing sector. The instrument was created based on three components of sustainability which are environment, society and economy. The study went a step further and added a fourth dimension, current trends to design a measuring instrument. The instrument was then applied on participating companies and further refined to improve it. A total of 16 multi-dimensional indicators to measure corporate sustainability were created and applied to 12 companies in the automotive manufacturing sector. The indicators were used to create a composite corporate sustainability index which can be used to compare the corporate sustainability performance of companies. These indicators were created based on theoretical research and fist hand experience observing the automotive manufacturing sector in the NMB. The indicators were applied to companies as a pilot to test whether they are feasible. Following this, the indicators were refined, improved and applied to more companies to measure corporate sustainability performance. The results of the study were the measuring instrument created, the creation of a composite index as well as the application of the instrument on 12 companies to determine whether the instrument was refined enough to detect differences in the corporate sustainability performance of companies. The results are discussed and further recommendations are made for improvements in the creation and application of the instrument to measure corporate sustainability in the NMB automotive manufacturing sector.
- Full Text:
- Date Issued: 2015
Towards mineral beneficiation: from basic chemistry to applications
- Authors: Tshentu, Zenixole
- Subjects: Metallurgy , Ore-dressing , f-sa
- Language: English
- Type: text , Lectures
- Identifier: http://hdl.handle.net/10948/55783 , vital:53876
- Description: The role of mineral beneficiation in the survival, growth, development and sustainability of a developing economy cannot be overstated. Our development as a human species has always been involvedly linked with the use of mineral resources from the stone, bronze and iron ages through the early modern eras to the present. In the current modern era, characterized by highly technological equipment, fourth industrial revolution (4IR) and new energy technologies, the role of mineral beneficiation has been elevated. Precious metals find use in the fine chemicals and petrochemicals industry, fuel cells, electrical and electronic products, medical and dentistry applications, jewellery, autocatalysts, and glass and ceramics. The markets for precious metals keep growing and the supply does not meet demand. The development of methods for recovery of metal value from feeds of mineral ore solutions, solutions of spent secondary resources and from mining wastewaters remains of great importance. Further beneficiation strategies for utilization of mineral products in other “value-added” applications are also important for the growth of the mineral markets. The usage of platinum, palladium and rhodium in the autocatalyst industry has grown significantly and this has further elevated the importance of platinum group metals (PGMs), but other areas of application of the strategic metals need to be harnessed. The four stages of beneficiation, namely, primary, secondary, tertiary and final stage, provide an opportunity to beneficiate to greater value for domestic or export use. Our own research work is engaged in several of these stages, from hydrometallurgical recovery of base metals and platinum group metals from feeds of primary mining and solutions of waste secondary resources such as spent catalytic converters and e-waste to the use of metals in “value added” products such as metalbased catalysts for the fuel industry and in metallodrugs. Examples of “value added” products include rhodium as a promoter in molybdenum sulfide as a catalyst for hydrodesulfurization of fuel oil, vanadium as a catalyst in oxidative desulfurization of fuel oil, vanadium and palladium as therapeutic agents for diabetes and cancer, respectively. Current and future work involves (i) the development of metal-selective scavengers to recover lost metal value in mining wastewaters, and (ii) the design of metal-based catalytic materials for refinement of bio-based oils to biofuel as well as for production of green LPG through hydroprocessing. Our work centres around both basic and applied chemistry towards mineral beneficiation and with a bias towards greener production.
- Full Text:
- Authors: Tshentu, Zenixole
- Subjects: Metallurgy , Ore-dressing , f-sa
- Language: English
- Type: text , Lectures
- Identifier: http://hdl.handle.net/10948/55783 , vital:53876
- Description: The role of mineral beneficiation in the survival, growth, development and sustainability of a developing economy cannot be overstated. Our development as a human species has always been involvedly linked with the use of mineral resources from the stone, bronze and iron ages through the early modern eras to the present. In the current modern era, characterized by highly technological equipment, fourth industrial revolution (4IR) and new energy technologies, the role of mineral beneficiation has been elevated. Precious metals find use in the fine chemicals and petrochemicals industry, fuel cells, electrical and electronic products, medical and dentistry applications, jewellery, autocatalysts, and glass and ceramics. The markets for precious metals keep growing and the supply does not meet demand. The development of methods for recovery of metal value from feeds of mineral ore solutions, solutions of spent secondary resources and from mining wastewaters remains of great importance. Further beneficiation strategies for utilization of mineral products in other “value-added” applications are also important for the growth of the mineral markets. The usage of platinum, palladium and rhodium in the autocatalyst industry has grown significantly and this has further elevated the importance of platinum group metals (PGMs), but other areas of application of the strategic metals need to be harnessed. The four stages of beneficiation, namely, primary, secondary, tertiary and final stage, provide an opportunity to beneficiate to greater value for domestic or export use. Our own research work is engaged in several of these stages, from hydrometallurgical recovery of base metals and platinum group metals from feeds of primary mining and solutions of waste secondary resources such as spent catalytic converters and e-waste to the use of metals in “value added” products such as metalbased catalysts for the fuel industry and in metallodrugs. Examples of “value added” products include rhodium as a promoter in molybdenum sulfide as a catalyst for hydrodesulfurization of fuel oil, vanadium as a catalyst in oxidative desulfurization of fuel oil, vanadium and palladium as therapeutic agents for diabetes and cancer, respectively. Current and future work involves (i) the development of metal-selective scavengers to recover lost metal value in mining wastewaters, and (ii) the design of metal-based catalytic materials for refinement of bio-based oils to biofuel as well as for production of green LPG through hydroprocessing. Our work centres around both basic and applied chemistry towards mineral beneficiation and with a bias towards greener production.
- Full Text:
Towards social impact assessment of copper-nickel mining in Botswana
- Authors: Mengwe, Moses Seargent
- Date: 2010
- Subjects: Copper mines and mining -- Environmental aspects -- Botswana , Nickel mines and mining -- Environmental aspects -- Botswana , Mineral industry -- Botswana , Mines and mineral resources -- Botswana
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:10644 , http://hdl.handle.net/10948/1443 , Copper mines and mining -- Environmental aspects -- Botswana , Nickel mines and mining -- Environmental aspects -- Botswana , Mineral industry -- Botswana , Mines and mineral resources -- Botswana
- Description: This research study is more of an initiative towards Social Impact Assessment of copper-nickel mining in Botswana. The specific objectives of the study were centred on the assessment of the social impacts of copper-nickel mining in Botswana from the initial mining stage of exploration, surveying and mine site development to mine closure. The study was carried out under the broad hypotheses that mining influences population movement that impact on areas of mining; mining activities have both economic benefits and deleterious social impacts on the local communities found in the areas where mining is taking place; and mine closure has far reaching socio-economic, investment and developmental implications over and above the obvious interests of project owners. To achieve the broad aim as summarised above, the research study used a multi-disciplinary methodology and approach that required several kinds of expertise and sources of information. Hence it used both primary and secondary sources centred on interactive informative interviews, site visits and observations, questionnaires, census data records, mining companies’ publications, published textbooks and journal articles. The research study comprised of three different mines operated by three different mining companies in three varied socio-cultural and ethnic regions of Botswana. First was a detailed Social Impact Assessment of the initial phase of exploration, surveying and mine site development represented by Mowana mine project operated by African Copper in the rural areas of Dugwi and Mosetse. This case study yielded results showing that the social impacts of mining in the area are diverse and extensive. The findings suggest that the impacts relate not only to the possible economic benefits of foreign exchange, employment, the optimal use of available mineral resources and the possible development of Dugwi and Mosetse villages, but extends to the deleterious social impacts. The results also indicated that the social impacts have just begun in the two communities. Hence they point towards a possible disruption within the socio-cultural system of the local people if serious mitigation measures are not put in place; thus suggesting that the early stages of exploration and mine site development results in the most conflict between the mine and the local people. Second was a comprehensive Social Impact Assessment of Tati-Nickel Phoenix mining project in the peri-urban areas of Matshelagabedi and Matsiloje areas representing the mining stage of mine production and expansion. The results from this case study suggest that during vi mine production and expansion, many people were relocated. However, the overriding impression gained from the case study was Tati-Nickel Mining Company’s elaborate corporate policies that suggested good corporate governance and best practices that promote sustainable development. A notable milestone on good corporate governance and best practice that the other two case studies (mining company) could benchmark on is Tati-Nickel’s corporate social responsibility programme that has been designed to ensure that the communities within a fifty kilometre mine radius benefit from the mine. The results from the case study also distinguished the mining stage of production and expansion from the other two because it is associated with the deep entrenchment of the social impacts into the communities near to mining areas. Third was a detailed Social Impact Assessment on Bamangwato Concession Limited mine in the industrial town of Selebi-Phikwe. The case study represented the stage of mine closure. Through the findings of this case study, it became apparent that the economic dependence of Selebi-Phikwe on mining has seen the town developing into a mining town, increasing its vulnerability at mine closure. The results from the case study further suggest that mine closure will degrade the socio-economic sector of the town with ever far reaching socio-economic implications as many people lose their gainful employment, hence suggesting that a possible complete mine closure will be the most traumatic phase leading to major social conflict within the area. Thus the results suggest that at mine closure, the deleterious social impacts will overspill to other areas in Botswana with disastrous effects for the economy of the country. The results yielded through this study established in clear and passionate language that copper-nickel mining in Botswana influences population movements that lead to positive and negative impacts on the communities found in mining areas. Another major finding of the study is that copper-nickel mining activities have both economic benefits and deleterious social impacts on the local communities, hence the recommendation that the copper-nickel mining companies should embrace the concept of sustainable mining for sustainable development to avoid most of the negative impacts of their operations on the local communities.
- Full Text:
- Date Issued: 2010
- Authors: Mengwe, Moses Seargent
- Date: 2010
- Subjects: Copper mines and mining -- Environmental aspects -- Botswana , Nickel mines and mining -- Environmental aspects -- Botswana , Mineral industry -- Botswana , Mines and mineral resources -- Botswana
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:10644 , http://hdl.handle.net/10948/1443 , Copper mines and mining -- Environmental aspects -- Botswana , Nickel mines and mining -- Environmental aspects -- Botswana , Mineral industry -- Botswana , Mines and mineral resources -- Botswana
- Description: This research study is more of an initiative towards Social Impact Assessment of copper-nickel mining in Botswana. The specific objectives of the study were centred on the assessment of the social impacts of copper-nickel mining in Botswana from the initial mining stage of exploration, surveying and mine site development to mine closure. The study was carried out under the broad hypotheses that mining influences population movement that impact on areas of mining; mining activities have both economic benefits and deleterious social impacts on the local communities found in the areas where mining is taking place; and mine closure has far reaching socio-economic, investment and developmental implications over and above the obvious interests of project owners. To achieve the broad aim as summarised above, the research study used a multi-disciplinary methodology and approach that required several kinds of expertise and sources of information. Hence it used both primary and secondary sources centred on interactive informative interviews, site visits and observations, questionnaires, census data records, mining companies’ publications, published textbooks and journal articles. The research study comprised of three different mines operated by three different mining companies in three varied socio-cultural and ethnic regions of Botswana. First was a detailed Social Impact Assessment of the initial phase of exploration, surveying and mine site development represented by Mowana mine project operated by African Copper in the rural areas of Dugwi and Mosetse. This case study yielded results showing that the social impacts of mining in the area are diverse and extensive. The findings suggest that the impacts relate not only to the possible economic benefits of foreign exchange, employment, the optimal use of available mineral resources and the possible development of Dugwi and Mosetse villages, but extends to the deleterious social impacts. The results also indicated that the social impacts have just begun in the two communities. Hence they point towards a possible disruption within the socio-cultural system of the local people if serious mitigation measures are not put in place; thus suggesting that the early stages of exploration and mine site development results in the most conflict between the mine and the local people. Second was a comprehensive Social Impact Assessment of Tati-Nickel Phoenix mining project in the peri-urban areas of Matshelagabedi and Matsiloje areas representing the mining stage of mine production and expansion. The results from this case study suggest that during vi mine production and expansion, many people were relocated. However, the overriding impression gained from the case study was Tati-Nickel Mining Company’s elaborate corporate policies that suggested good corporate governance and best practices that promote sustainable development. A notable milestone on good corporate governance and best practice that the other two case studies (mining company) could benchmark on is Tati-Nickel’s corporate social responsibility programme that has been designed to ensure that the communities within a fifty kilometre mine radius benefit from the mine. The results from the case study also distinguished the mining stage of production and expansion from the other two because it is associated with the deep entrenchment of the social impacts into the communities near to mining areas. Third was a detailed Social Impact Assessment on Bamangwato Concession Limited mine in the industrial town of Selebi-Phikwe. The case study represented the stage of mine closure. Through the findings of this case study, it became apparent that the economic dependence of Selebi-Phikwe on mining has seen the town developing into a mining town, increasing its vulnerability at mine closure. The results from the case study further suggest that mine closure will degrade the socio-economic sector of the town with ever far reaching socio-economic implications as many people lose their gainful employment, hence suggesting that a possible complete mine closure will be the most traumatic phase leading to major social conflict within the area. Thus the results suggest that at mine closure, the deleterious social impacts will overspill to other areas in Botswana with disastrous effects for the economy of the country. The results yielded through this study established in clear and passionate language that copper-nickel mining in Botswana influences population movements that lead to positive and negative impacts on the communities found in mining areas. Another major finding of the study is that copper-nickel mining activities have both economic benefits and deleterious social impacts on the local communities, hence the recommendation that the copper-nickel mining companies should embrace the concept of sustainable mining for sustainable development to avoid most of the negative impacts of their operations on the local communities.
- Full Text:
- Date Issued: 2010