A model of support for divorced professional nurses in the Eastern Cape, South Africa
- Authors: Murray, Daphne
- Date: 2018
- Subjects: Divorce counseling -- South Africa -- Eastern Cape Divorce -- Social aspects -- South Africa -- Eastern Cape Employees -- Counseling of -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , Nursing
- Identifier: http://hdl.handle.net/10353/10028 , vital:35293
- Description: The purpose of this research study was to develop a support model for divorced professional nurses in the health-care facilities of the Department of Health, Eastern Cape, with guidelines to operationalise the model. Divorce is a process with psychological as well as social implications, and with a series of economic causes it also has implications in terms of the society and culture in which individuals operate. The main causes for divorce are adultery and domestic violence, especially against women and children (Lurea, 2011:99). A need for support from managers in the health-care facilities of the Department of Health, Eastern Cape during the process of divorce was identified by divorced professional nurses, since a lack of support and all the negativity that encompasses divorce could lead to severe depression, which will later have a negative effect on work performance (Abdul Kadir & Bifulco, 2010:858). The literature in this field of study, along with experience, indicates that it is imperative for divorced professional nurses to be supported in the workplace to help them to cope emotionally with their work demands, as prescribed by the South African Nursing Council. An explorative, descriptive and contextual qualitative design with theory generation was used to achieve the purpose of the study. Snowball sampling was employed to select participants, namely divorced professional nurses who were unknown to the researcher. A sample of 21 divorced professional nurses who work in health-care facilities in the Buffalo City Metropolitan Municipality in the Eastern Cape participated in the study. Data was collected by means of individual face-face interviews with divorced professional nurses. The interviews continued until data saturation was reached. Field notes supplemented data that could not be portrayed by audio-taped interviews, such as non- verbal communication in observed interactions. Data analysis was done using Tesch’s approach to open coding in qualitative research. Themes, categories and sub-categories emerged from the data analysis and were fully discussed, becoming fundamental units in the development of the conceptual framework as well as in the model. The researcher did a thorough literature review to conceptualise the identified concepts on which the model was based. The description and evaluation of the model, along with guidelines to operationalise the model, were done in accordance with the method described by Chinn and Kramer (2011:197). The justification of the research, the limitations, and the recommendations for operationalisation of the model of support for divorced professional nurses working in the Buffalo City Metropolitan Municipality of the Department of Health, Eastern Cape Province, and South Africa were indicated accordingly.
- Full Text:
- Date Issued: 2018
- Authors: Murray, Daphne
- Date: 2018
- Subjects: Divorce counseling -- South Africa -- Eastern Cape Divorce -- Social aspects -- South Africa -- Eastern Cape Employees -- Counseling of -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , Nursing
- Identifier: http://hdl.handle.net/10353/10028 , vital:35293
- Description: The purpose of this research study was to develop a support model for divorced professional nurses in the health-care facilities of the Department of Health, Eastern Cape, with guidelines to operationalise the model. Divorce is a process with psychological as well as social implications, and with a series of economic causes it also has implications in terms of the society and culture in which individuals operate. The main causes for divorce are adultery and domestic violence, especially against women and children (Lurea, 2011:99). A need for support from managers in the health-care facilities of the Department of Health, Eastern Cape during the process of divorce was identified by divorced professional nurses, since a lack of support and all the negativity that encompasses divorce could lead to severe depression, which will later have a negative effect on work performance (Abdul Kadir & Bifulco, 2010:858). The literature in this field of study, along with experience, indicates that it is imperative for divorced professional nurses to be supported in the workplace to help them to cope emotionally with their work demands, as prescribed by the South African Nursing Council. An explorative, descriptive and contextual qualitative design with theory generation was used to achieve the purpose of the study. Snowball sampling was employed to select participants, namely divorced professional nurses who were unknown to the researcher. A sample of 21 divorced professional nurses who work in health-care facilities in the Buffalo City Metropolitan Municipality in the Eastern Cape participated in the study. Data was collected by means of individual face-face interviews with divorced professional nurses. The interviews continued until data saturation was reached. Field notes supplemented data that could not be portrayed by audio-taped interviews, such as non- verbal communication in observed interactions. Data analysis was done using Tesch’s approach to open coding in qualitative research. Themes, categories and sub-categories emerged from the data analysis and were fully discussed, becoming fundamental units in the development of the conceptual framework as well as in the model. The researcher did a thorough literature review to conceptualise the identified concepts on which the model was based. The description and evaluation of the model, along with guidelines to operationalise the model, were done in accordance with the method described by Chinn and Kramer (2011:197). The justification of the research, the limitations, and the recommendations for operationalisation of the model of support for divorced professional nurses working in the Buffalo City Metropolitan Municipality of the Department of Health, Eastern Cape Province, and South Africa were indicated accordingly.
- Full Text:
- Date Issued: 2018
A risk based engineering maintenance and spare parts planning model for a generic pharmaceutical company in the Eastern Cape
- Authors: Fourie, Gerhard Claris
- Date: 2018
- Subjects: Pharmaceutical industry -- South Africa -- Eastern Cape , Engineering maintenance Engineering repairs
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: http://hdl.handle.net/10948/29838 , vital:30784
- Description: The Pharmaceutical Industry is facing substantial challenges due to the continuous evolving world of technologies, global competitiveness, price regulation, environmental and safety requirements. In this environment asset maintenance evolved and became increasingly important in business over the last couple of decades. Traditionally industry favoured a reactive maintenance strategy but over the years changed to proactive maintenance strategy due to the advancement of technology and skills of maintenance personnel. With increasing automation and mechanisation, production processes are becoming highly complex and the cost associated with asset maintenance has increased consistently over the decades. Studies have shown that about 15-70% of production costs can be attributed to asset maintenance and one-third of maintenance costs are wasted due to inefficiencies in planning. Furthermore, the selection of an effective maintenance strategy is a challenge due to maintenance output that is difficult to measure and quantify. This treatise will investigate the application of a risk based strategy on asset maintenance planning and spare part management of a pharmaceutical company and compare it to best practices. The theory of risk analysis was reviewed and risk analysis pertaining to maintenance planning and spare part management in the Pharmaceutical industry explored. Questionnaires were sent to selected engineering and relevant departments in order to analyse the challenges and good practices in the company relating to spare part management and maintenance planning. A risk based model for the pharmaceutical company was developed after the information gathered in the research. The recommendations were made in a practical approach by presenting the solution in the form of a flow chart. This model will enable the Maintenance Managers, Inventory Managers and Maintenance Planners to identify critical equipment, optimise maintenance schedules and plan spare parts purchasing more accurately.
- Full Text:
- Date Issued: 2018
- Authors: Fourie, Gerhard Claris
- Date: 2018
- Subjects: Pharmaceutical industry -- South Africa -- Eastern Cape , Engineering maintenance Engineering repairs
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: http://hdl.handle.net/10948/29838 , vital:30784
- Description: The Pharmaceutical Industry is facing substantial challenges due to the continuous evolving world of technologies, global competitiveness, price regulation, environmental and safety requirements. In this environment asset maintenance evolved and became increasingly important in business over the last couple of decades. Traditionally industry favoured a reactive maintenance strategy but over the years changed to proactive maintenance strategy due to the advancement of technology and skills of maintenance personnel. With increasing automation and mechanisation, production processes are becoming highly complex and the cost associated with asset maintenance has increased consistently over the decades. Studies have shown that about 15-70% of production costs can be attributed to asset maintenance and one-third of maintenance costs are wasted due to inefficiencies in planning. Furthermore, the selection of an effective maintenance strategy is a challenge due to maintenance output that is difficult to measure and quantify. This treatise will investigate the application of a risk based strategy on asset maintenance planning and spare part management of a pharmaceutical company and compare it to best practices. The theory of risk analysis was reviewed and risk analysis pertaining to maintenance planning and spare part management in the Pharmaceutical industry explored. Questionnaires were sent to selected engineering and relevant departments in order to analyse the challenges and good practices in the company relating to spare part management and maintenance planning. A risk based model for the pharmaceutical company was developed after the information gathered in the research. The recommendations were made in a practical approach by presenting the solution in the form of a flow chart. This model will enable the Maintenance Managers, Inventory Managers and Maintenance Planners to identify critical equipment, optimise maintenance schedules and plan spare parts purchasing more accurately.
- Full Text:
- Date Issued: 2018
The impact of the LRA amendments 2015 - section 198 on labour flexibility in the nelson Mandela Bay automotive component manufacturing industry
- Authors: Badenhorst, Petri
- Date: 2018
- Subjects: Employment agencies -- South Africa , Labor market -- South Africa -- Nelson Mandela Bay Municipality Labor laws and legislation -- South Africa
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: http://hdl.handle.net/10948/23360 , vital:30535
- Description: For many years businesses have been capitalising on the benefits that employees employed on a temporary basis through temporary employment services (labour brokers) has had to offer in terms of labour flexibility. Following the passing of the amended Labour Relations Act of South Africa in early 2015, much attention has been given to section 198 as this section aims to further regulate the use temporary employment. The main objective of this paper consists in studying the impact that the recent amendments to section 198 of the Labour Relations Act have had on labour flexibility in the Nelson Mandela Bay automotive component manufacturing industry. The paper examines how businesses have historically benefitted from the use of temporary labour, how these benefits are slowly being removed, and how businesses are responding to mitigate the risks associated with this legislative change whilst becoming compliant. As the topic being researched is still very recent, with certain legal aspects remaining to be fully tested in the courts, it is hoped that that this study will provide sufficient information to assist all the stakeholders of businesses to make more informative decisions in the future.
- Full Text:
- Date Issued: 2018
- Authors: Badenhorst, Petri
- Date: 2018
- Subjects: Employment agencies -- South Africa , Labor market -- South Africa -- Nelson Mandela Bay Municipality Labor laws and legislation -- South Africa
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: http://hdl.handle.net/10948/23360 , vital:30535
- Description: For many years businesses have been capitalising on the benefits that employees employed on a temporary basis through temporary employment services (labour brokers) has had to offer in terms of labour flexibility. Following the passing of the amended Labour Relations Act of South Africa in early 2015, much attention has been given to section 198 as this section aims to further regulate the use temporary employment. The main objective of this paper consists in studying the impact that the recent amendments to section 198 of the Labour Relations Act have had on labour flexibility in the Nelson Mandela Bay automotive component manufacturing industry. The paper examines how businesses have historically benefitted from the use of temporary labour, how these benefits are slowly being removed, and how businesses are responding to mitigate the risks associated with this legislative change whilst becoming compliant. As the topic being researched is still very recent, with certain legal aspects remaining to be fully tested in the courts, it is hoped that that this study will provide sufficient information to assist all the stakeholders of businesses to make more informative decisions in the future.
- Full Text:
- Date Issued: 2018
Rethinking urban green infrastructure and ecosystem services from the perspective of sub-Saharan African cities
- Lindley, Sarah, Pauleit, Stephan, Yeshitela, Kumelachew, Cilliers, Sarel, Shackleton, Charlie M
- Authors: Lindley, Sarah , Pauleit, Stephan , Yeshitela, Kumelachew , Cilliers, Sarel , Shackleton, Charlie M
- Date: 2018
- Subjects: To be catalogued
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/398357 , vital:69403 , xlink:href="https://doi.org/10.1016/j.landurbplan.2018.08.016"
- Description: Urban green infrastructure and its ecosystem services are often conceptualised in terms of a predominantly western perspective of cities and their wider social, economic and environmental challenges. However, the benefits which are derived from urban ecosystems are equally – if not more – important in the cities of the developing world. Cities in sub-Saharan Africa are well known to be facing severe pressures. Nevertheless, despite the challenges of rapid population change, high levels of poverty and seemingly chaotic urban development processes, there are also tremendous opportunities. Realising the opportunities around urban green infrastructure and its benefits requires harnessing the inherent local knowledge and community innovation associated with a multitude of inter-connected urban social-ecological systems. Such systems are a powerful driving force shaping urban realities. Associated planning regimes are frequently lambasted as being either absent, weakly enforced, corrupt or wholly inappropriate. Much of this criticism is justified. However, it must also be recognised that decision-makers are frequently working in contexts which lack the scientific foundations through which their decision-making might be made more effective and complementary to bottom-up initiatives. The paucity of research into urban ecosystems in sub-Saharan Africa and the lack of development of context-specific conceptual, theoretical and empirical foundations is a problem which must be addressed. Drawing on papers from a Special Issue centred on urban green infrastructure and urban ecosystem services in sub-Saharan Africa, we consider what concepts and frameworks are in use and what needs to be considered when framing future research. We also synthesise key messages from the Special Issue and draw together themes to help create a new research agenda for the international research community.
- Full Text:
- Date Issued: 2018
- Authors: Lindley, Sarah , Pauleit, Stephan , Yeshitela, Kumelachew , Cilliers, Sarel , Shackleton, Charlie M
- Date: 2018
- Subjects: To be catalogued
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/398357 , vital:69403 , xlink:href="https://doi.org/10.1016/j.landurbplan.2018.08.016"
- Description: Urban green infrastructure and its ecosystem services are often conceptualised in terms of a predominantly western perspective of cities and their wider social, economic and environmental challenges. However, the benefits which are derived from urban ecosystems are equally – if not more – important in the cities of the developing world. Cities in sub-Saharan Africa are well known to be facing severe pressures. Nevertheless, despite the challenges of rapid population change, high levels of poverty and seemingly chaotic urban development processes, there are also tremendous opportunities. Realising the opportunities around urban green infrastructure and its benefits requires harnessing the inherent local knowledge and community innovation associated with a multitude of inter-connected urban social-ecological systems. Such systems are a powerful driving force shaping urban realities. Associated planning regimes are frequently lambasted as being either absent, weakly enforced, corrupt or wholly inappropriate. Much of this criticism is justified. However, it must also be recognised that decision-makers are frequently working in contexts which lack the scientific foundations through which their decision-making might be made more effective and complementary to bottom-up initiatives. The paucity of research into urban ecosystems in sub-Saharan Africa and the lack of development of context-specific conceptual, theoretical and empirical foundations is a problem which must be addressed. Drawing on papers from a Special Issue centred on urban green infrastructure and urban ecosystem services in sub-Saharan Africa, we consider what concepts and frameworks are in use and what needs to be considered when framing future research. We also synthesise key messages from the Special Issue and draw together themes to help create a new research agenda for the international research community.
- Full Text:
- Date Issued: 2018
Assessment of indigenous forest degradation and deforestation along the wild coast, near Port St John’s, Eastern Cape Province, South Africa
- Katende, Lukyamuzi Lucky Fulgentius
- Authors: Katende, Lukyamuzi Lucky Fulgentius
- Date: 2018
- Subjects: Deforestation -- South Africa -- Eastern Cape , Forest degradation -- South Africa -- Eastern Cape Forest management -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/30649 , vital:31006
- Description: Indigenous forests along the Wild Coast of the Eastern Cape Province have experienced both degradation and deforestation over the past decades. In early 2000, steps were taken to rehabilitate some of the degraded areas. Nevertheless, there is no monitoring mechanism in place, so little is known about the extent of degradation and impact of the rehabilitation efforts. The present study assesses the extent to which deforestation and degradation of the indigenous forests have occurred, and evaluates rehabilitation efforts in the study area around Port Saint John’s. Forest degradation was defined as the decrease in forest cover density while deforestation was defined as an increase in the trend of light forests and/ or a decrease in dense forests. The details for this study were obtained from multi – temporal remotely sensed data for a period between 1982 and 2013 (31 years). Multi-temporal Landsat satellite imagery for 1982, 1986, 1989, 2002, 2009 and 2013 was acquired and analysed. On the basis of prior knowledge of the area, the supervised classification approach was used. The Maximum likelihood supervised classification technique was used to extract information from satellite data. The classified images were filtered using a majority filtering procedure to reduce noise. Google Earth (Astrium) ancillary images were used to refine the classification based on expert rules. The derived changes in the degraded and rehabilitated areas were further validated through field visits. The overall image classification accuracy generated from Landsat image data ranged from 80% to 90%. It was noted that the area of dense forest almost doubled between 1986 and 1989, coinciding with a 59% decrease in the light forest. Subsequently, dense forests increased by 14,820 ha while light forests decreased by 16,690 ha between 1989 and 2002. The subsequent reduction in light forest coverage is explained by the establishment of the Participatory Forest Management (PFMA) approach by Department of Water Affairs and Forestry (DWAF) which reversed the degradation trend. However, specific degradation hotspots were identified, particularly where new settlements have been established. The emergence of the non-vegetated area increased gradually from 7% in 1986 to 23.4% in 2013. Notably, dense forest was observed to have experienced higher rates of forest degradation and deforestation than the light forest. The highest number patches were 4 recorded between 2002 and 1998, followed by between 2010 and 2013 and lastly 1986. Based on spatial connectedness of patches, the year 1986 had the highest landscape connectedness of forest vegetation (CONAT = 35.3) followed by 2002 and 1996 while the year 2010 and 2013 had the lowest landscape contiguity. Over the study period, the distribution of patches clearly shows that forest degradation and deforestation rates were lower in the years 1986, 1998 and tremendously increased in the later period of between 2010 and 2013. However, as a result of rehabilitation efforts, dense forest was seen to steadily gain more land than light forest. Finer details of degradation trends could not be easily picked from the images used in the study, given their spatial resolution limitations. That notwithstanding, the trends identified are good for overview decisions. The study has also established that de-agraianisation, forest restoration and rehabilitation greatly contributed to increased forest cover. Therefore, with more use of GIS by forest managers, and imagery of the high resolution being readily available, forests will in future be easily monitored using remote sensing.
- Full Text:
- Date Issued: 2018
- Authors: Katende, Lukyamuzi Lucky Fulgentius
- Date: 2018
- Subjects: Deforestation -- South Africa -- Eastern Cape , Forest degradation -- South Africa -- Eastern Cape Forest management -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/30649 , vital:31006
- Description: Indigenous forests along the Wild Coast of the Eastern Cape Province have experienced both degradation and deforestation over the past decades. In early 2000, steps were taken to rehabilitate some of the degraded areas. Nevertheless, there is no monitoring mechanism in place, so little is known about the extent of degradation and impact of the rehabilitation efforts. The present study assesses the extent to which deforestation and degradation of the indigenous forests have occurred, and evaluates rehabilitation efforts in the study area around Port Saint John’s. Forest degradation was defined as the decrease in forest cover density while deforestation was defined as an increase in the trend of light forests and/ or a decrease in dense forests. The details for this study were obtained from multi – temporal remotely sensed data for a period between 1982 and 2013 (31 years). Multi-temporal Landsat satellite imagery for 1982, 1986, 1989, 2002, 2009 and 2013 was acquired and analysed. On the basis of prior knowledge of the area, the supervised classification approach was used. The Maximum likelihood supervised classification technique was used to extract information from satellite data. The classified images were filtered using a majority filtering procedure to reduce noise. Google Earth (Astrium) ancillary images were used to refine the classification based on expert rules. The derived changes in the degraded and rehabilitated areas were further validated through field visits. The overall image classification accuracy generated from Landsat image data ranged from 80% to 90%. It was noted that the area of dense forest almost doubled between 1986 and 1989, coinciding with a 59% decrease in the light forest. Subsequently, dense forests increased by 14,820 ha while light forests decreased by 16,690 ha between 1989 and 2002. The subsequent reduction in light forest coverage is explained by the establishment of the Participatory Forest Management (PFMA) approach by Department of Water Affairs and Forestry (DWAF) which reversed the degradation trend. However, specific degradation hotspots were identified, particularly where new settlements have been established. The emergence of the non-vegetated area increased gradually from 7% in 1986 to 23.4% in 2013. Notably, dense forest was observed to have experienced higher rates of forest degradation and deforestation than the light forest. The highest number patches were 4 recorded between 2002 and 1998, followed by between 2010 and 2013 and lastly 1986. Based on spatial connectedness of patches, the year 1986 had the highest landscape connectedness of forest vegetation (CONAT = 35.3) followed by 2002 and 1996 while the year 2010 and 2013 had the lowest landscape contiguity. Over the study period, the distribution of patches clearly shows that forest degradation and deforestation rates were lower in the years 1986, 1998 and tremendously increased in the later period of between 2010 and 2013. However, as a result of rehabilitation efforts, dense forest was seen to steadily gain more land than light forest. Finer details of degradation trends could not be easily picked from the images used in the study, given their spatial resolution limitations. That notwithstanding, the trends identified are good for overview decisions. The study has also established that de-agraianisation, forest restoration and rehabilitation greatly contributed to increased forest cover. Therefore, with more use of GIS by forest managers, and imagery of the high resolution being readily available, forests will in future be easily monitored using remote sensing.
- Full Text:
- Date Issued: 2018
Igniting public space at the Chale Wote street art festival in Accra:
- Authors: Simbao, Ruth K
- Date: 2018
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/147048 , vital:38588 , https://theconversation.com/igniting-public-space-at-the-chale-wote-street-art-festival-in-accra-102783
- Description: For the past eight years at the end of every August the James Town suburb of Ghana’s capital Accra has been taken over by the Chale Wote street art festival. During the festival, thousands of people, including local celebrities, artists, musicians, boxers and everyday revellers, move up and down the streets mostly by foot and at times on roller skates or unicycles.
- Full Text:
- Date Issued: 2018
- Authors: Simbao, Ruth K
- Date: 2018
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/147048 , vital:38588 , https://theconversation.com/igniting-public-space-at-the-chale-wote-street-art-festival-in-accra-102783
- Description: For the past eight years at the end of every August the James Town suburb of Ghana’s capital Accra has been taken over by the Chale Wote street art festival. During the festival, thousands of people, including local celebrities, artists, musicians, boxers and everyday revellers, move up and down the streets mostly by foot and at times on roller skates or unicycles.
- Full Text:
- Date Issued: 2018
Livelihood and unemployment transitions : drivers and effects on welfare in Nigeria
- Authors: Fashogbon, Ayodele Emmanuel
- Date: 2018
- Subjects: Social service -- Nigeria Social problems -- Nigeria Nigeria -- Social conditions
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/9176 , vital:34302
- Description: Hunger, unemployment and social crisis are increasing in Nigeria. Statistics supports it that most of the able-bodied youth, both male and female, are not in employment, school or training in Nigeria while poverty rate is as high as a decade ago. A number of research efforts have looked at the micro and macroeconomic paths of the problem with less attention on dynamism of unemployment vis-a-vis the labour market transition, hence this study. This study investigates dynamism of labour market by assessing pattern and transition in labour market and out of labour, as well as determining the effect size of households head’s unemployment on household welfare. To achieve this objective, the General Household Survey (GHS) panel data for 2010/211 and 2012/2013 for Nigeria was used coupled with panel regression analyses to identify determinants of transitions from unemployment to productive sectors, and determinants of transition from productive sectors to unemployment, as well as effect of unemployment on household welfare while controlling for potential endogeneity in unemployment. Across the productive sectors and between 2010 and 2013, the descriptive results of transition show that workforce in the services sector (68 percent) are the most persistent, followed by agriculture (59 percent) and least is mining and manufacturing (44 percent). Transition from nonemployment occurred the most to services sector (22 percent), followed by out-of-labour force (18 percent), agriculture (15 percent) and least to mining and manufacturing (5 percent). Further, the results show that there are both locations and gender differences in the extent of transitions in the labour market. The econometric analyses reveal that job search characteristics, age, educational levels, gender, family ties, locations and time significantly determine transition from unemployment to productive sectors (agriculture or non-agriculture). Likewise, job characteristics, demographic variables, social network, location and time significantly determine switch from one productive sector to another or to unemployment. Moreover, it explicitly reveals as well from the analysis that household head month of unemployment reduces household total consumption and food consumption by 6.4 percent with gender and sectorial differences. The study recommends a combined and swift intervention on three sides: one, there is a need to stimulate education either through scholarship, or adult education from both public and private sectors; two, need to create jobs for youth to reduce potential social and economic crisis; and lastly there is a need to provide social support either in terms of public workfare, skills for jobs and unemployment benefits.
- Full Text:
- Date Issued: 2018
- Authors: Fashogbon, Ayodele Emmanuel
- Date: 2018
- Subjects: Social service -- Nigeria Social problems -- Nigeria Nigeria -- Social conditions
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/9176 , vital:34302
- Description: Hunger, unemployment and social crisis are increasing in Nigeria. Statistics supports it that most of the able-bodied youth, both male and female, are not in employment, school or training in Nigeria while poverty rate is as high as a decade ago. A number of research efforts have looked at the micro and macroeconomic paths of the problem with less attention on dynamism of unemployment vis-a-vis the labour market transition, hence this study. This study investigates dynamism of labour market by assessing pattern and transition in labour market and out of labour, as well as determining the effect size of households head’s unemployment on household welfare. To achieve this objective, the General Household Survey (GHS) panel data for 2010/211 and 2012/2013 for Nigeria was used coupled with panel regression analyses to identify determinants of transitions from unemployment to productive sectors, and determinants of transition from productive sectors to unemployment, as well as effect of unemployment on household welfare while controlling for potential endogeneity in unemployment. Across the productive sectors and between 2010 and 2013, the descriptive results of transition show that workforce in the services sector (68 percent) are the most persistent, followed by agriculture (59 percent) and least is mining and manufacturing (44 percent). Transition from nonemployment occurred the most to services sector (22 percent), followed by out-of-labour force (18 percent), agriculture (15 percent) and least to mining and manufacturing (5 percent). Further, the results show that there are both locations and gender differences in the extent of transitions in the labour market. The econometric analyses reveal that job search characteristics, age, educational levels, gender, family ties, locations and time significantly determine transition from unemployment to productive sectors (agriculture or non-agriculture). Likewise, job characteristics, demographic variables, social network, location and time significantly determine switch from one productive sector to another or to unemployment. Moreover, it explicitly reveals as well from the analysis that household head month of unemployment reduces household total consumption and food consumption by 6.4 percent with gender and sectorial differences. The study recommends a combined and swift intervention on three sides: one, there is a need to stimulate education either through scholarship, or adult education from both public and private sectors; two, need to create jobs for youth to reduce potential social and economic crisis; and lastly there is a need to provide social support either in terms of public workfare, skills for jobs and unemployment benefits.
- Full Text:
- Date Issued: 2018
Universities and their role in the growth and development of cities in changing global context : a case study of East London and its higher education institutions, with special emphasis on the University of Fort Hare
- Authors: Sibanda, Francis
- Date: 2018
- Subjects: Universities and colleges--South Africa--Eastern Cape Education, Higher--Social aspects--zSouth Africa--Eastern Cape Academic-industrial collaboration--Economic aspects
- Language: English
- Type: Thesis , Doctoral , Social Sciences
- Identifier: http://hdl.handle.net/10353/15509 , vital:40414
- Description: This thesis uses the urban growth and development theory in analysing and applying place-based approaches in the growth and development of the city of East London. Globalisation despite its seeming elimination of distance has in fact made geographical locations more necessary as agglomeration acts as a comparative and competitive advantage for growth and development. It is the contention of this study that places and spaces can develop more rapidly if there exists factors that support innovation and clustering. In this case, HEIs in cities are described as catalysts for growth and development within cities. By their presence in cities and their contribution through knowledge creation, production, dissemination and sharing, they become anchors of development in post-industrial cities that no longer depend on heavy industries but are driven by knowledge, hence, the knowledge economy. There are several city development theories, those that advocate for the use of big projects; others for infrastructure development; and some, for industrialization as a way to revitalize and drive city economic growth and development. This study argues that these development strategies have previously been used in the East London case but with very little success. It seeks therefore to propose that in addition to these, an anchor strategy, whereby institutions such as universities and hospitals, can be used by cities for their growth and development.
- Full Text:
- Date Issued: 2018
- Authors: Sibanda, Francis
- Date: 2018
- Subjects: Universities and colleges--South Africa--Eastern Cape Education, Higher--Social aspects--zSouth Africa--Eastern Cape Academic-industrial collaboration--Economic aspects
- Language: English
- Type: Thesis , Doctoral , Social Sciences
- Identifier: http://hdl.handle.net/10353/15509 , vital:40414
- Description: This thesis uses the urban growth and development theory in analysing and applying place-based approaches in the growth and development of the city of East London. Globalisation despite its seeming elimination of distance has in fact made geographical locations more necessary as agglomeration acts as a comparative and competitive advantage for growth and development. It is the contention of this study that places and spaces can develop more rapidly if there exists factors that support innovation and clustering. In this case, HEIs in cities are described as catalysts for growth and development within cities. By their presence in cities and their contribution through knowledge creation, production, dissemination and sharing, they become anchors of development in post-industrial cities that no longer depend on heavy industries but are driven by knowledge, hence, the knowledge economy. There are several city development theories, those that advocate for the use of big projects; others for infrastructure development; and some, for industrialization as a way to revitalize and drive city economic growth and development. This study argues that these development strategies have previously been used in the East London case but with very little success. It seeks therefore to propose that in addition to these, an anchor strategy, whereby institutions such as universities and hospitals, can be used by cities for their growth and development.
- Full Text:
- Date Issued: 2018
E-waste management in the Nelson Mandela Bay households, awareness and their participation in the disposal of electronic and electrical waste
- Authors: Stowman, Grant Michael
- Date: 2018
- Subjects: Electronic waste -- South Africa -- Nelson Mandela Bay Municipality , Electronic waste -- Economic aspects Environmental education -- Research Recycling (Waste, etc.) -- Economic aspects
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: http://hdl.handle.net/10948/35245 , vital:33666
- Description: Over the years there has been an exceptional growth in electrical and electronic products. Technology improved consumer products have become a vital part of mankind’s daily living experiences and development. This has made a significant difference in the standard of living for many people (Okorhi et al., 2015). The same phenomenon has also made a major contribution to science and agricultural activities. However, the by-products belonging to electrical and electronic appliances and the dismantling processes have created huge challenges. The contents of these devices have brought along a visible threat to people and the environment. E-waste contains a multitude of elements which contain certain toxic substances. Exposure to these hazardous substances can be dangerous to humans and the environment (Rajput,2013). The inappropriate handling comes in the form of legal or illegal dumping, crude recycling, improper treatment and using incorrect disposalmethods. On the other hand, e-waste devices have the potential to augment lifestyles by recycling and reusing endof- life devices or extracting elements such as lead, gold, silver etc. (UNEP, 2007). E-waste has been growing rapidly world-wide and has become one of the fastest growing waste streams. This phenomenon has been fuelled by consumers purchasing multiple electrical and electronic products. The high obsolescence rates of these products lead to the dumping of these devices for newer products. The increasing market penetration through technology also receives a boost from social changes such as globalisation and urbanisation (Babu et al., 2007). The main aim of this study is to ascertain the relevance of e-waste management and its consequences in the Nelson Mandela Bay Metropole. World-wide, many countries have or are busy putting together policies and legislation to combat e-waste. South Africa has certain policies and legislation in place regarding hazardous substances. However, the policies and legislation are not specific enough when it comes to the collection, recycling and disposal of e-waste (Dittke, 2007). Against this background, the aim of this study was to investigate certain factors that influence households, when it comes to the management of household e-waste. These factors include the awareness and the participation of households in the management and disposal of electronic and electrical waste in the Nelson Mandela Bay Metropole. A theoretical framework was developed to address the above-mentioned challenges. Three suburbs in the NMBM were purposely selected to conduct this study. These suburbs fell into the lower, middle and high-income areas. The study used the quantitative research method and data was gathered by using questionnaires. A systematic random sampling method was applied to distribute the questionnaires. The data was analysed, and certain conclusions were made. Firstly, there is a wide range of e-waste being indiscriminately disposed of by householders. Secondly, findings indicated a low level of awareness regarding the environmental and harmful effects of e-waste when it comes to humans. Thirdly, the study also revealed that NMBM has no household e-waste management strategy in place. The study recommends the need for meaningful environmental education to uplift community awareness pertaining to e-waste management. Lastly, the NMBM needs to formulate by-laws and guidance policies when it comes to household e-waste disposal. These recommendations will help to preserve our world for future generations.
- Full Text:
- Date Issued: 2018
- Authors: Stowman, Grant Michael
- Date: 2018
- Subjects: Electronic waste -- South Africa -- Nelson Mandela Bay Municipality , Electronic waste -- Economic aspects Environmental education -- Research Recycling (Waste, etc.) -- Economic aspects
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: http://hdl.handle.net/10948/35245 , vital:33666
- Description: Over the years there has been an exceptional growth in electrical and electronic products. Technology improved consumer products have become a vital part of mankind’s daily living experiences and development. This has made a significant difference in the standard of living for many people (Okorhi et al., 2015). The same phenomenon has also made a major contribution to science and agricultural activities. However, the by-products belonging to electrical and electronic appliances and the dismantling processes have created huge challenges. The contents of these devices have brought along a visible threat to people and the environment. E-waste contains a multitude of elements which contain certain toxic substances. Exposure to these hazardous substances can be dangerous to humans and the environment (Rajput,2013). The inappropriate handling comes in the form of legal or illegal dumping, crude recycling, improper treatment and using incorrect disposalmethods. On the other hand, e-waste devices have the potential to augment lifestyles by recycling and reusing endof- life devices or extracting elements such as lead, gold, silver etc. (UNEP, 2007). E-waste has been growing rapidly world-wide and has become one of the fastest growing waste streams. This phenomenon has been fuelled by consumers purchasing multiple electrical and electronic products. The high obsolescence rates of these products lead to the dumping of these devices for newer products. The increasing market penetration through technology also receives a boost from social changes such as globalisation and urbanisation (Babu et al., 2007). The main aim of this study is to ascertain the relevance of e-waste management and its consequences in the Nelson Mandela Bay Metropole. World-wide, many countries have or are busy putting together policies and legislation to combat e-waste. South Africa has certain policies and legislation in place regarding hazardous substances. However, the policies and legislation are not specific enough when it comes to the collection, recycling and disposal of e-waste (Dittke, 2007). Against this background, the aim of this study was to investigate certain factors that influence households, when it comes to the management of household e-waste. These factors include the awareness and the participation of households in the management and disposal of electronic and electrical waste in the Nelson Mandela Bay Metropole. A theoretical framework was developed to address the above-mentioned challenges. Three suburbs in the NMBM were purposely selected to conduct this study. These suburbs fell into the lower, middle and high-income areas. The study used the quantitative research method and data was gathered by using questionnaires. A systematic random sampling method was applied to distribute the questionnaires. The data was analysed, and certain conclusions were made. Firstly, there is a wide range of e-waste being indiscriminately disposed of by householders. Secondly, findings indicated a low level of awareness regarding the environmental and harmful effects of e-waste when it comes to humans. Thirdly, the study also revealed that NMBM has no household e-waste management strategy in place. The study recommends the need for meaningful environmental education to uplift community awareness pertaining to e-waste management. Lastly, the NMBM needs to formulate by-laws and guidance policies when it comes to household e-waste disposal. These recommendations will help to preserve our world for future generations.
- Full Text:
- Date Issued: 2018
Thermoluminescence of the persistent-luminescence phosphor, BaAl2O4: a stuffed tridymite
- Pandey, A, Chithambo, Makaiko L
- Authors: Pandey, A , Chithambo, Makaiko L
- Date: 2018
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/113048 , vital:33693 , hhttps://doi.org/10.1016/j.radmeas.2018.01.004
- Description: BaAl2O4 is a stuffed tridymite used as a long-lasting phosphor. The thermoluminescence of BaAl2O4 prepared by solution-combustion is reported. Analysis of the sample using X-ray diffraction shows that it formed as a single phase compound with a hexagonal structure following annealing at 1200 °C. A broad photoluminescence emission band between 300 and 650 nm was detected due to excitation at 248 nm. The phosphor showed a natural TL peak at 102 °C for measurement at 1 oCs−1 and, when beta irradiated to 100 Gy, two broad peaks at 123 and 318 °C also for heating at 1 oCs−1. The analysis of the main glow peak at 123 °C suggests that it is a combination of several collocated peaks, that is, peaks embedded within each other. We resolved four such components labelled peaks 1 to 4. The thermoluminescence decreases with heating rate in a way consistent with thermal quenching whose activation energy was determined as ∼0.65eV using peak 3. Interestingly, this value of the activation energy for thermal quenching for BaAl2O4, a stuffed derivative of silica, is similar to literature values for quartz (a silica), suggesting that the recombination centre in the two cases may be similar.
- Full Text: false
- Date Issued: 2018
- Authors: Pandey, A , Chithambo, Makaiko L
- Date: 2018
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/113048 , vital:33693 , hhttps://doi.org/10.1016/j.radmeas.2018.01.004
- Description: BaAl2O4 is a stuffed tridymite used as a long-lasting phosphor. The thermoluminescence of BaAl2O4 prepared by solution-combustion is reported. Analysis of the sample using X-ray diffraction shows that it formed as a single phase compound with a hexagonal structure following annealing at 1200 °C. A broad photoluminescence emission band between 300 and 650 nm was detected due to excitation at 248 nm. The phosphor showed a natural TL peak at 102 °C for measurement at 1 oCs−1 and, when beta irradiated to 100 Gy, two broad peaks at 123 and 318 °C also for heating at 1 oCs−1. The analysis of the main glow peak at 123 °C suggests that it is a combination of several collocated peaks, that is, peaks embedded within each other. We resolved four such components labelled peaks 1 to 4. The thermoluminescence decreases with heating rate in a way consistent with thermal quenching whose activation energy was determined as ∼0.65eV using peak 3. Interestingly, this value of the activation energy for thermal quenching for BaAl2O4, a stuffed derivative of silica, is similar to literature values for quartz (a silica), suggesting that the recombination centre in the two cases may be similar.
- Full Text: false
- Date Issued: 2018
Teaching Postcolonial Crime Fiction:
- Authors: Naidu, Samantha
- Date: 2018
- Language: English
- Type: text , book
- Identifier: http://hdl.handle.net/10962/158013 , vital:40139 , ISBN 978-3-319-90608-9
- Description: This chapter is a survey of teaching crime fiction in postcolonial South Africa. After offering a definition and historicisation of postcolonial crime fiction in general, the survey focuses on my third-year undergraduate course, ‘Sleuthing the State: South African Crime and Detective Fiction’. The survey includes a description of the curriculum content, teaching methods, forms of assessment and student evaluation. The chapter also contains theoretical discussion about the practical and ethical implications of teaching crime fiction in a turbulent and transitional socio-political context. To end, the chapter comments on the high points of this teaching experience and on some of the challenges encountered.
- Full Text:
- Date Issued: 2018
- Authors: Naidu, Samantha
- Date: 2018
- Language: English
- Type: text , book
- Identifier: http://hdl.handle.net/10962/158013 , vital:40139 , ISBN 978-3-319-90608-9
- Description: This chapter is a survey of teaching crime fiction in postcolonial South Africa. After offering a definition and historicisation of postcolonial crime fiction in general, the survey focuses on my third-year undergraduate course, ‘Sleuthing the State: South African Crime and Detective Fiction’. The survey includes a description of the curriculum content, teaching methods, forms of assessment and student evaluation. The chapter also contains theoretical discussion about the practical and ethical implications of teaching crime fiction in a turbulent and transitional socio-political context. To end, the chapter comments on the high points of this teaching experience and on some of the challenges encountered.
- Full Text:
- Date Issued: 2018
“I slipped into the pages of a book”: intertextuality and literary solidarities in South African writing about London
- Authors: Thorpe, Andrea
- Date: 2018
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/68402 , vital:29252 , https://doi.org/10.1080/17533171.2018.1482882
- Description: Publisher version , In this article, I argue that London plays a dual role in South African writing, as a “real” city at a particular moment in history, and as a textual, imaginative space. For many South African writers, London comes to stand metonymically for English culture and literature even if their attitude toward Englishness and Empire may be one of ambivalent critique. The intertexts invoked in South African representations of London forge literary solidarities, and foreground belated postcolonial engagements with modernity that are significantly displaced from the “margin” to the “center” of modernism (and Empire) itself.
- Full Text: false
- Date Issued: 2018
- Authors: Thorpe, Andrea
- Date: 2018
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/68402 , vital:29252 , https://doi.org/10.1080/17533171.2018.1482882
- Description: Publisher version , In this article, I argue that London plays a dual role in South African writing, as a “real” city at a particular moment in history, and as a textual, imaginative space. For many South African writers, London comes to stand metonymically for English culture and literature even if their attitude toward Englishness and Empire may be one of ambivalent critique. The intertexts invoked in South African representations of London forge literary solidarities, and foreground belated postcolonial engagements with modernity that are significantly displaced from the “margin” to the “center” of modernism (and Empire) itself.
- Full Text: false
- Date Issued: 2018
Assessing growth response patterns of microalgae to varying environmental conditions using sediments from ephemeral wetlands
- Authors: Mazwane, Sixolile
- Date: 2018
- Subjects: Microalgae -- South Africa , Wetland conservation -- South Africa Landscape ecology -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/22398 , vital:29966
- Description: Ephemeral wetlands serve as habitats for different fauna and flora. Microalgae make up a bulk of primary production in newly inundated wetlands and have a big influence on the aquatic community structure. As ephemeral wetlands have cyclical drying and wetting phases, algal species found in these habitats have evolved adaptations (i.e. dormancy and cysts) to survive during dry periods and become productive upon inundation. Algae have been used as ecological indicators in many aquatic ecosystems including wetlands, particularly associated with water quality and with varying inundation states. Whilst temperature and water level have been shown to affect microalgal biomass independently, this study aims to assess the effects of these two factors simultaneously on microalgal biomass, species diversity and community changes. The aim of the study was to investigate microalgal dynamics using two ephemeral wetlands in the Nelson Mandela Bay Municipality. The growth response patterns of microalgal communities to varying temperatures and inundation levels through experiments using dry temporary wetland sediments was also assessed. Dry sediments were collected from two depression wetlands with different sediment characteristics (1592 and Elephant Wallow (EW)). The study consisted of replicated treatments with three different surface area: volume ratios (SA:V) (Low surface area: volume (LSAV), Medium (MSAV) and High (HSAV)), inundated with distilled water. The microcosms were placed inside a Conviron environmental growth chamber and illuminated at between 106 to 138 μmol.m-2s-1, with a 12:12 light-dark cycle at constant temperatures of 12 °C (mean winter) and 22 °C (mean summer). Physicochemical data were recorded, and biological samples were collected every 4 days over a 28-day inundation period. In the field, Electrical conductivity (EC) and pH showed a gradual increase over the inundation period. The systems were well oxygenated (6-10 mg L-1). Overall, phytoplankton biomass in the field was ~10 μg L-1 whereas benthic biomass (MPB) was significantly higher 10 – 300 mg L-1. Within the experiments, the phytoplankton biomass showed a pattern while MPB biomass increased gradually for both experiments. There were no significant (p>0.05) differences between the 1592 and EW phytoplankton biomass. However, the MPB biomass showed significant (p<0.05) differences between the two sediments (EW high, 1592 low) and the experiments, respectively. In the winter experiment, the 1592 sediment had high phytoplankton biomass compared to EW, the reverse was observed for the MPB biomass. In summer experiment, similar results were observed in terms of phytoplankton biomass. For the MPBs, 1592 had greater biomass for all treatments compared to EW. The phytoplankton community for both field samples and experiments was dominated by chlorophytes (>50 %), followed by cyanophytes and euglenophytes (with cryptophytes in summer experiment) for both field and experiments. The MPB community was dominated by bacillariophytes (55 %) and chlorophytes (25 %) in the 1592 sediments and this was also the case with EW sediments bacillariophytes (70 %), although cyanophytes (15 %) made up the remainder of the MPB community. The 1592 sediments supported higher diatom abundances under the HSAV compared to the same treatment from the EW wetland suggesting that possibly grain size or texture might be responsible. In contrast, sediments from EW under LSAV conditions showed higher diatom cell numbers possibly indicating that increased water depth has the propensity to support greater diatom assemblages compared with the same water level for sediments from 1592. The results indicate that microalgae community is influenced by sediment type more than it is by water level. From this study it was also established that microalgae were able to reemerge from their dormancy state upon inundation and that tank experiments were successful in simulating natural ephemeral wetland conditions. The findings from this study will add to the available baseline data on microalgal dynamics in the ephemeral wetlands in South Africa, especially in semi-arid areas. This information can be valuable in enhancing our understanding regarding the role of microalgae in ephemeral wetlands in order to conserve them.
- Full Text:
- Date Issued: 2018
- Authors: Mazwane, Sixolile
- Date: 2018
- Subjects: Microalgae -- South Africa , Wetland conservation -- South Africa Landscape ecology -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/22398 , vital:29966
- Description: Ephemeral wetlands serve as habitats for different fauna and flora. Microalgae make up a bulk of primary production in newly inundated wetlands and have a big influence on the aquatic community structure. As ephemeral wetlands have cyclical drying and wetting phases, algal species found in these habitats have evolved adaptations (i.e. dormancy and cysts) to survive during dry periods and become productive upon inundation. Algae have been used as ecological indicators in many aquatic ecosystems including wetlands, particularly associated with water quality and with varying inundation states. Whilst temperature and water level have been shown to affect microalgal biomass independently, this study aims to assess the effects of these two factors simultaneously on microalgal biomass, species diversity and community changes. The aim of the study was to investigate microalgal dynamics using two ephemeral wetlands in the Nelson Mandela Bay Municipality. The growth response patterns of microalgal communities to varying temperatures and inundation levels through experiments using dry temporary wetland sediments was also assessed. Dry sediments were collected from two depression wetlands with different sediment characteristics (1592 and Elephant Wallow (EW)). The study consisted of replicated treatments with three different surface area: volume ratios (SA:V) (Low surface area: volume (LSAV), Medium (MSAV) and High (HSAV)), inundated with distilled water. The microcosms were placed inside a Conviron environmental growth chamber and illuminated at between 106 to 138 μmol.m-2s-1, with a 12:12 light-dark cycle at constant temperatures of 12 °C (mean winter) and 22 °C (mean summer). Physicochemical data were recorded, and biological samples were collected every 4 days over a 28-day inundation period. In the field, Electrical conductivity (EC) and pH showed a gradual increase over the inundation period. The systems were well oxygenated (6-10 mg L-1). Overall, phytoplankton biomass in the field was ~10 μg L-1 whereas benthic biomass (MPB) was significantly higher 10 – 300 mg L-1. Within the experiments, the phytoplankton biomass showed a pattern while MPB biomass increased gradually for both experiments. There were no significant (p>0.05) differences between the 1592 and EW phytoplankton biomass. However, the MPB biomass showed significant (p<0.05) differences between the two sediments (EW high, 1592 low) and the experiments, respectively. In the winter experiment, the 1592 sediment had high phytoplankton biomass compared to EW, the reverse was observed for the MPB biomass. In summer experiment, similar results were observed in terms of phytoplankton biomass. For the MPBs, 1592 had greater biomass for all treatments compared to EW. The phytoplankton community for both field samples and experiments was dominated by chlorophytes (>50 %), followed by cyanophytes and euglenophytes (with cryptophytes in summer experiment) for both field and experiments. The MPB community was dominated by bacillariophytes (55 %) and chlorophytes (25 %) in the 1592 sediments and this was also the case with EW sediments bacillariophytes (70 %), although cyanophytes (15 %) made up the remainder of the MPB community. The 1592 sediments supported higher diatom abundances under the HSAV compared to the same treatment from the EW wetland suggesting that possibly grain size or texture might be responsible. In contrast, sediments from EW under LSAV conditions showed higher diatom cell numbers possibly indicating that increased water depth has the propensity to support greater diatom assemblages compared with the same water level for sediments from 1592. The results indicate that microalgae community is influenced by sediment type more than it is by water level. From this study it was also established that microalgae were able to reemerge from their dormancy state upon inundation and that tank experiments were successful in simulating natural ephemeral wetland conditions. The findings from this study will add to the available baseline data on microalgal dynamics in the ephemeral wetlands in South Africa, especially in semi-arid areas. This information can be valuable in enhancing our understanding regarding the role of microalgae in ephemeral wetlands in order to conserve them.
- Full Text:
- Date Issued: 2018
A study on the creative industry as a pillar of sustained growth and diversification: the film and music sectors in Jamaica: lessons from case studies of successful firms and ventures
- Hendrickson, Michael, Stanley Niaah, Sonjah
- Authors: Hendrickson, Michael , Stanley Niaah, Sonjah
- Date: 2018
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/146992 , vital:38583 , https://repositorio.cepal.org/handle/11362/43410
- Description: In 2007 the Caribbean Community (CARICOM) published ‘The Cultural Industries in CARICOM: Trade and Development Challenges’ report, which stated that the film and music industries refer to “aesthetic, identity, and copyrightable goods, services and intellectual property. They represent a wide array of activities that make and circulate sounds, words, and images or a combination of these. It applies to artistic, creative, and copyright works that are for sale, license, commercialisation, or display in some marketplace or public arena.” Using the definition in the CARICOM report, this study will identify the critical success factors that have resulted in the global competitiveness and sustainability of individuals, firms and ventures within the music and film subsectors in Jamaica. To anchor the study of the individual firms and ventures, the study first evaluates the historical evolution and recent trends in the development of the music and film subsectors, including their economic contribution and the main challenges and opportunities for their further development and lessons learned.
- Full Text:
- Date Issued: 2018
- Authors: Hendrickson, Michael , Stanley Niaah, Sonjah
- Date: 2018
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/146992 , vital:38583 , https://repositorio.cepal.org/handle/11362/43410
- Description: In 2007 the Caribbean Community (CARICOM) published ‘The Cultural Industries in CARICOM: Trade and Development Challenges’ report, which stated that the film and music industries refer to “aesthetic, identity, and copyrightable goods, services and intellectual property. They represent a wide array of activities that make and circulate sounds, words, and images or a combination of these. It applies to artistic, creative, and copyright works that are for sale, license, commercialisation, or display in some marketplace or public arena.” Using the definition in the CARICOM report, this study will identify the critical success factors that have resulted in the global competitiveness and sustainability of individuals, firms and ventures within the music and film subsectors in Jamaica. To anchor the study of the individual firms and ventures, the study first evaluates the historical evolution and recent trends in the development of the music and film subsectors, including their economic contribution and the main challenges and opportunities for their further development and lessons learned.
- Full Text:
- Date Issued: 2018
Incidence of bacterial infections and colonisation in patients admitted to a tuberculosis hospital
- Authors: Annear, Dale John
- Date: 2018
- Subjects: Medical microbiology , Microbiology Bacteriology Tuberculosis -- Hospitals -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/21482 , vital:29526
- Description: Patients with drug resistant tuberculosis (TB) are treated with multiple antibiotics including moxifloxacin, linezolid, and meropenem, which puts them at greater risk for colonisation by multi-drug resistant (MDR) bacteria. The objectives of this study were to: (i) assess the antimicrobial prescribing patterns practiced within the hospital by retrospective patient file review; (ii) determine the spectrum of bacterial colonisation in TB patients upon admission and during hospitalisation; (iii) identify bacterial isolates and evaluate antimicrobial susceptibility profiles; (iv) detect antimicrobial resistance genes in the bacterial isolates by PCR and DNA sequencing; and (v) investigate genetic relatedness of Klebsiella pneumoniae isolates using Multi Locus Sequence Typing. Nasal, groin and rectal swabs [for the detection of extended spectrum beta lactamases (EBSLs), carbapenem-resistant Enterobacteriaceae (CRE), vancomycin-resistant enterococci (VRE) and methicillin-resistant Staphylococcus aureus (MRSA)] were analysed from a cohort of patients (n=37) admitted either from the community (n = 28) or from other healthcare facilities (n=9) to a TB hospital. Swab samples were collected at admission and at four week intervals thereafter during hospitalization. Identification and antimicrobial susceptibility testing of bacterial isolates (n=62) were determined at the National Health Laboratory Services (NHLS) by the VITEK-MS and Vitek 2 systems respectively. Additional antimicrobial susceptibility testing was conducted by Sensititre Gram Negative Xtra (GNFX2) MIC plates. PCR and DNA sequencing were used for detection of resistance genes. Patients (n=13/37; 35%) were colonized by MDR bacteria (ESBLs [n=11], MRSA [n=2]) on admission. Colonization rates were lower in patients admitted from the community (9/28; 32%) compared to those transferred from other healthcare facilities (4/9; 44%). All admitted patients who did not exhibit colonization at baseline and who were resident within the hospital for longer than 4 weeks (17/37; 46% of total patients) became colonised by an ESBL-producing Enterobacteriaceae species. No patients acquired MRSA during hospitalisation. Among ESBL Enterobacteriaceae, Escherichia coli (41/62; 66%) and K. pneumoniae [14/62; 23%]) predominated. Nineteen percent (7/37) of patients demised during their hospitalization. Both the Vitek system and Sensititre Gram Negative Xtra (GNFX2) MIC plates susceptibilities were similar for most antimicrobials, however there were discrepancies for tigecycline susceptibility profiles. A high number of isolates exhibited resistance to aminoglycosides and fluoroquinolones. Genes encoding for ESBLs (CTX-M-14, CTX-M-15, SHV-28, OXA-1, and OXY-2-9) were detected among ESBL Enterobacteriaceae. Two Enterobacteriaceae isolates with reduced carbapenem susceptibility did not contain carbapenemase-encoding genes. MLST revealed unique sequence types and genetic diversity among the K. pneumoniae isolates from hospitalised patients. However, the source and colonization routes of these isolates could not be determined, which requires further investigation. This study provides insight into the spectrum of bacterial pathogen colonisation in hospitalised TB patients and suggests a review of infection control programs and practices at the TB hospital.
- Full Text:
- Date Issued: 2018
- Authors: Annear, Dale John
- Date: 2018
- Subjects: Medical microbiology , Microbiology Bacteriology Tuberculosis -- Hospitals -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/21482 , vital:29526
- Description: Patients with drug resistant tuberculosis (TB) are treated with multiple antibiotics including moxifloxacin, linezolid, and meropenem, which puts them at greater risk for colonisation by multi-drug resistant (MDR) bacteria. The objectives of this study were to: (i) assess the antimicrobial prescribing patterns practiced within the hospital by retrospective patient file review; (ii) determine the spectrum of bacterial colonisation in TB patients upon admission and during hospitalisation; (iii) identify bacterial isolates and evaluate antimicrobial susceptibility profiles; (iv) detect antimicrobial resistance genes in the bacterial isolates by PCR and DNA sequencing; and (v) investigate genetic relatedness of Klebsiella pneumoniae isolates using Multi Locus Sequence Typing. Nasal, groin and rectal swabs [for the detection of extended spectrum beta lactamases (EBSLs), carbapenem-resistant Enterobacteriaceae (CRE), vancomycin-resistant enterococci (VRE) and methicillin-resistant Staphylococcus aureus (MRSA)] were analysed from a cohort of patients (n=37) admitted either from the community (n = 28) or from other healthcare facilities (n=9) to a TB hospital. Swab samples were collected at admission and at four week intervals thereafter during hospitalization. Identification and antimicrobial susceptibility testing of bacterial isolates (n=62) were determined at the National Health Laboratory Services (NHLS) by the VITEK-MS and Vitek 2 systems respectively. Additional antimicrobial susceptibility testing was conducted by Sensititre Gram Negative Xtra (GNFX2) MIC plates. PCR and DNA sequencing were used for detection of resistance genes. Patients (n=13/37; 35%) were colonized by MDR bacteria (ESBLs [n=11], MRSA [n=2]) on admission. Colonization rates were lower in patients admitted from the community (9/28; 32%) compared to those transferred from other healthcare facilities (4/9; 44%). All admitted patients who did not exhibit colonization at baseline and who were resident within the hospital for longer than 4 weeks (17/37; 46% of total patients) became colonised by an ESBL-producing Enterobacteriaceae species. No patients acquired MRSA during hospitalisation. Among ESBL Enterobacteriaceae, Escherichia coli (41/62; 66%) and K. pneumoniae [14/62; 23%]) predominated. Nineteen percent (7/37) of patients demised during their hospitalization. Both the Vitek system and Sensititre Gram Negative Xtra (GNFX2) MIC plates susceptibilities were similar for most antimicrobials, however there were discrepancies for tigecycline susceptibility profiles. A high number of isolates exhibited resistance to aminoglycosides and fluoroquinolones. Genes encoding for ESBLs (CTX-M-14, CTX-M-15, SHV-28, OXA-1, and OXY-2-9) were detected among ESBL Enterobacteriaceae. Two Enterobacteriaceae isolates with reduced carbapenem susceptibility did not contain carbapenemase-encoding genes. MLST revealed unique sequence types and genetic diversity among the K. pneumoniae isolates from hospitalised patients. However, the source and colonization routes of these isolates could not be determined, which requires further investigation. This study provides insight into the spectrum of bacterial pathogen colonisation in hospitalised TB patients and suggests a review of infection control programs and practices at the TB hospital.
- Full Text:
- Date Issued: 2018
Effects of an integrated movement programme on motor proficiency, visual motor integration and scholastic achievement in grade one learners of quintile five primary schools in Port Elizabeth
- Authors: Lister, Cassandra
- Date: 2018
- Subjects: Perceptual-motor learning , Motor ability in children -- South Africa -- Port Elizabeth Self-perception in children -- South Africa -- Port Elizabeth
- Language: English
- Type: Thesis , Masters , MA
- Identifier: http://hdl.handle.net/10948/22442 , vital:29970
- Description: Globally, the association between physical fitness, motor proficiency and scholastic achievement has been well researched. However, information concerning the effectiveness of integrated movement programmes in children from various socio-economic disparities, is less well studied. A lack of studies exists on the relationship between perceptual-motor development and scholastic performance in literacy and numeracy in children from low-middle income countries such as in sub-Saharan Africa. Thus, the need exists for educational movement programme implementation in developing countries based on studies of good methodological design, to allow early prevention, identification and rectification of apparent motor deficits in young children. Purpose (Aim): To investigate effects of an integrated movement programme in the classroom setting on motor proficiency, visual-motor integration and scholastic achievement of grade one learners between the ages of six- to nine-years-old in quintile five primary schools in Port Elizabeth. A quasi-experimental research design was used to evaluate the selected dependent variables at baseline assessment on 45 grade one learners from an experimental-and control group in quintile five schools in Port Elizabeth. There were two intervention periods that consisted of a pre-existing classroom-based integrated movement programme (NeuroNet) administered by an internationally accredited teacher to the experimental group. Each intervention period coincided with school terms three and four in 2017 and were a minimum of four weeks long. Pre-test and post-test assessments for all three dependent variables were done at the beginning and end of each term respectively. The learners participated in the integrated movement programme five days per week for 20-minute duration in the classroom. The main two standardised, reliable and valid test batteries used to measure motor proficiency and visual-motor integration were the Bruininks-Oseretsky Test of Motor Proficiency Brief Form (BOT-2 Brief Form) and the Beery-Buktenica Developmental Test of Visual-Motor Integration Full Form sixth edition (Beery VMI). The Beery VMI contained two sub-tests the Beery VMI Visual Perception Test (VMI-VP), and the Beery VMI Motor Coordination Test (VMI-MC), which measured the participants’ visual perception and motor coordination. Scholastic achievement was measured using four domains of the participants’ school reports: numeracy, reading, writing and total scholastic achievement scores. Purposive sampling was used to obtain participants from quintile five primary schools whose principals voluntarily provided consent to undertake the study. Data was collected by trained research assistants and the sole researcher. The Statistica for Windows (StatSoft Incorporated; 2014) software package was used for data analysis. Descriptive data analysis included the means (M) and standard deviations (SD) as measures of central tendency and distribution. Independent t-tests determined between-group differences and the level of significance was set at p<0.05. The magnitude (effect size) of pre-post-intervention differences for both groups was calculated for all variables as Cohen’s d statistic. Subsequent interpretation categories were d<0.20 (insignificant effect), 0.20≤d<0.50 (small effect), 0.50≤d<0.80 (medium effect) and d≥0.80 (large effect) (Gravetter & Wallnau, 2009). The experimental group had statistically significant (p<0.05) higher initial mean values for motor proficiency, visual perception, the reading, writing and total scholastic achievement domains. Motor proficiency showed a mean increase of 10.62±13.97 (24% improvement) in the experimental group compared to a mean increase of 9.63±13.26 (8% improvement) in the control group. A significant final mean between-group difference in motor proficiency was found post-intervention (Diff=16.70, t(43)=3.70, p=0.001; Cohen’s d=1.11: large effect size). Visual-motor integration showed a mean decrease of 5.38±14.34 in the experimental group and a decrease of 8.88±15.39 in the control group. No apparent between-group significant difference occurred for visual-motor integration. Visual perception scores indicated a mean increase of 11.82±18.81 in the experimental group and a mean increase of 15.71±30.03 in the control group. A statistically significant mean between-group difference in visual perception post-intervention was seen (Diff=26.40, t(43) =3.95, p<0.0005; Cohen’s d=1.18: large effect size). Motor coordination showed a mean increase of 20.00±18.45 in the experimental group and decrease of 1.50±23.74 in the control group over the intervention period (Diff=21.50, t(43)=3.36, p=0.002; Cohen’s d=1.00: large effect size). There was a significant between-group mean motor coordination difference post intervention (Diff=19.59, t(43)=2.96, p=0.005; Cohen’s d=0.88: large effect size). The experimental group showed significantly higher mean reading scores pre- 5.67±0.80 and post-intervention 5.43±0.93 compared to the control group pre- 4.13±0.74 and post-intervention 4.63±0.88. Significant between-group differences in reading scores pre- (Diff=1.54, t(43)=6.73, p<0.0005; Cohen’s d=2.01: large effect size) and post-intervention (Diff=0.80, t(43)=2.99, p=0.005; Cohen’s d=0.89: large effect size) were also evident. The experimental group also showed significantly higher mean writing scores pre- 5.62±0.74 and post-intervention 5.05±0.86 compared to the control group pre- 3.83±0.96 and post-intervention 4.21±1.28. A significant between-group difference in writing scores pre- intervention (Diff=1.79, t(43)=6.90, p<0.0005; Cohen’s d=2.06: large effect size) was evident. Total scholastic achievement scores showed an initial significant difference between the experimental- and control group (Diff=1.26, t(43)=6.42, p<0.0005; Cohen’s d=1.92: large effect size). Positive practical significance |r|≥0.300 at (p<0.05) was found between visual-motor integration and reading |r|=0.350; visual perception and writing |r|=0.336; motor coordination and writing |r|=0.318; visual-motor integration and total scholastic achievement |r|=0.330 in the experimental group. In the control group negative practical significance |r|≥0.300 at (p<0.05) was found between visual perception and reading |r|=-0.304, whereas positive practical significance was found between visual perception and writing |r|=0.319; motor coordination and writing |r|=0.340; motor coordination and numeracy |r|=0.378; and motor coordination and total scholastic achievement |r|=0.378 at (p<0.05). The integrated movement programme had significantly positive effects on motor proficiency, visual perception and motor coordination. Motor proficiency had no significant correlation to scholastic achievement domains post-intervention, whereas visual-motor integration significantly correlated to reading and total scholastic achievement; visual perception correlated significantly to writing and negatively to reading; and motor coordination correlated significantly to writing, numeracy and total scholastic achievement. Future longitudinal research incorporating a larger range and scope is needed to fully evaluate the effectiveness of integrated movement programmes on motor proficiency, visual-motor integration and scholastic achievement.
- Full Text:
- Date Issued: 2018
- Authors: Lister, Cassandra
- Date: 2018
- Subjects: Perceptual-motor learning , Motor ability in children -- South Africa -- Port Elizabeth Self-perception in children -- South Africa -- Port Elizabeth
- Language: English
- Type: Thesis , Masters , MA
- Identifier: http://hdl.handle.net/10948/22442 , vital:29970
- Description: Globally, the association between physical fitness, motor proficiency and scholastic achievement has been well researched. However, information concerning the effectiveness of integrated movement programmes in children from various socio-economic disparities, is less well studied. A lack of studies exists on the relationship between perceptual-motor development and scholastic performance in literacy and numeracy in children from low-middle income countries such as in sub-Saharan Africa. Thus, the need exists for educational movement programme implementation in developing countries based on studies of good methodological design, to allow early prevention, identification and rectification of apparent motor deficits in young children. Purpose (Aim): To investigate effects of an integrated movement programme in the classroom setting on motor proficiency, visual-motor integration and scholastic achievement of grade one learners between the ages of six- to nine-years-old in quintile five primary schools in Port Elizabeth. A quasi-experimental research design was used to evaluate the selected dependent variables at baseline assessment on 45 grade one learners from an experimental-and control group in quintile five schools in Port Elizabeth. There were two intervention periods that consisted of a pre-existing classroom-based integrated movement programme (NeuroNet) administered by an internationally accredited teacher to the experimental group. Each intervention period coincided with school terms three and four in 2017 and were a minimum of four weeks long. Pre-test and post-test assessments for all three dependent variables were done at the beginning and end of each term respectively. The learners participated in the integrated movement programme five days per week for 20-minute duration in the classroom. The main two standardised, reliable and valid test batteries used to measure motor proficiency and visual-motor integration were the Bruininks-Oseretsky Test of Motor Proficiency Brief Form (BOT-2 Brief Form) and the Beery-Buktenica Developmental Test of Visual-Motor Integration Full Form sixth edition (Beery VMI). The Beery VMI contained two sub-tests the Beery VMI Visual Perception Test (VMI-VP), and the Beery VMI Motor Coordination Test (VMI-MC), which measured the participants’ visual perception and motor coordination. Scholastic achievement was measured using four domains of the participants’ school reports: numeracy, reading, writing and total scholastic achievement scores. Purposive sampling was used to obtain participants from quintile five primary schools whose principals voluntarily provided consent to undertake the study. Data was collected by trained research assistants and the sole researcher. The Statistica for Windows (StatSoft Incorporated; 2014) software package was used for data analysis. Descriptive data analysis included the means (M) and standard deviations (SD) as measures of central tendency and distribution. Independent t-tests determined between-group differences and the level of significance was set at p<0.05. The magnitude (effect size) of pre-post-intervention differences for both groups was calculated for all variables as Cohen’s d statistic. Subsequent interpretation categories were d<0.20 (insignificant effect), 0.20≤d<0.50 (small effect), 0.50≤d<0.80 (medium effect) and d≥0.80 (large effect) (Gravetter & Wallnau, 2009). The experimental group had statistically significant (p<0.05) higher initial mean values for motor proficiency, visual perception, the reading, writing and total scholastic achievement domains. Motor proficiency showed a mean increase of 10.62±13.97 (24% improvement) in the experimental group compared to a mean increase of 9.63±13.26 (8% improvement) in the control group. A significant final mean between-group difference in motor proficiency was found post-intervention (Diff=16.70, t(43)=3.70, p=0.001; Cohen’s d=1.11: large effect size). Visual-motor integration showed a mean decrease of 5.38±14.34 in the experimental group and a decrease of 8.88±15.39 in the control group. No apparent between-group significant difference occurred for visual-motor integration. Visual perception scores indicated a mean increase of 11.82±18.81 in the experimental group and a mean increase of 15.71±30.03 in the control group. A statistically significant mean between-group difference in visual perception post-intervention was seen (Diff=26.40, t(43) =3.95, p<0.0005; Cohen’s d=1.18: large effect size). Motor coordination showed a mean increase of 20.00±18.45 in the experimental group and decrease of 1.50±23.74 in the control group over the intervention period (Diff=21.50, t(43)=3.36, p=0.002; Cohen’s d=1.00: large effect size). There was a significant between-group mean motor coordination difference post intervention (Diff=19.59, t(43)=2.96, p=0.005; Cohen’s d=0.88: large effect size). The experimental group showed significantly higher mean reading scores pre- 5.67±0.80 and post-intervention 5.43±0.93 compared to the control group pre- 4.13±0.74 and post-intervention 4.63±0.88. Significant between-group differences in reading scores pre- (Diff=1.54, t(43)=6.73, p<0.0005; Cohen’s d=2.01: large effect size) and post-intervention (Diff=0.80, t(43)=2.99, p=0.005; Cohen’s d=0.89: large effect size) were also evident. The experimental group also showed significantly higher mean writing scores pre- 5.62±0.74 and post-intervention 5.05±0.86 compared to the control group pre- 3.83±0.96 and post-intervention 4.21±1.28. A significant between-group difference in writing scores pre- intervention (Diff=1.79, t(43)=6.90, p<0.0005; Cohen’s d=2.06: large effect size) was evident. Total scholastic achievement scores showed an initial significant difference between the experimental- and control group (Diff=1.26, t(43)=6.42, p<0.0005; Cohen’s d=1.92: large effect size). Positive practical significance |r|≥0.300 at (p<0.05) was found between visual-motor integration and reading |r|=0.350; visual perception and writing |r|=0.336; motor coordination and writing |r|=0.318; visual-motor integration and total scholastic achievement |r|=0.330 in the experimental group. In the control group negative practical significance |r|≥0.300 at (p<0.05) was found between visual perception and reading |r|=-0.304, whereas positive practical significance was found between visual perception and writing |r|=0.319; motor coordination and writing |r|=0.340; motor coordination and numeracy |r|=0.378; and motor coordination and total scholastic achievement |r|=0.378 at (p<0.05). The integrated movement programme had significantly positive effects on motor proficiency, visual perception and motor coordination. Motor proficiency had no significant correlation to scholastic achievement domains post-intervention, whereas visual-motor integration significantly correlated to reading and total scholastic achievement; visual perception correlated significantly to writing and negatively to reading; and motor coordination correlated significantly to writing, numeracy and total scholastic achievement. Future longitudinal research incorporating a larger range and scope is needed to fully evaluate the effectiveness of integrated movement programmes on motor proficiency, visual-motor integration and scholastic achievement.
- Full Text:
- Date Issued: 2018
Passive acoustic monitoring of coastal dolphins (Sousa plumbea and Tursiops aduncus) in Plettenberg Bay: temporal patterns and group dynamics
- Authors: Hlati, Kuhle
- Date: 2018
- Subjects: Marine mammals -- Effect of noise on -- Research , Oceanography Aquatic ecology
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/30050 , vital:30813
- Description: In this study, passive acoustic monitoring (PAM) was used to investigate the diel patterns of occurrence and activities of coastal dolphins (Sousa plumbea and Tursiops aduncus) in Plettenberg Bay, during April 2015 - July 2017. Automatic detectors were used to extract dolphin whistles and echolocation clicks from the acoustic recordings. The vocalizations were extracted without identifying the dolphin species due to insufficient visual observation data collected concurrent with the acoustic recordings to conclusively discriminate the two species. The correct detection performance and false alarm rate of the detectors for each acoustic recorder were evaluated and automatic detection protocols were developed. For a recorder that was initially deployed in the study (DSG recorder), the detectors achieved 64 - 80% true detection rates with false alarm rates of 10 - 22%. A more modern recorder (MicroMARS recorder) which replaced this one had a lower signal-to-noise ratio (SNR) and could sample at a higher frequency, the detectors achieved greater than 80% true detection rates and less than 5% false alarm rates. It was evident that SNR and sampling rate influenced the detection performance of the detectors. When acoustic recordings were compared to visual observations which were conducted concurrently with some of the recordings, it was apparent that acoustic recorders performed nearly twice as well as land-based observers in terms of overall detection of dolphin groups. Group size and behaviour affected acoustic detection rates of dolphins; large groups that were visually detected and which were foraging at the time, were more likely to be acoustically detected than small groups or single animals or groups associated travelling at the time. The detection rates of echolocation clicks and whistles showed a diel pattern of occurrence of coastal dolphins in Plettenberg Bay with a higher nighttime than daytime occurrence. The detection rates were higher from midday to midnight with a peak during dusk. The high activity of dolphins in the late afternoon and evening reported in this study was also supported by visual data (afternoons) in the area and acoustic studies in other regions. Comparison of acoustic detection rates and visual data from this study with past observations suggest that the occurrence patterns of T. aduncus in the bay appear to have changed; such a change may be influenced by changes in prey behaviour or distribution, or other factors. The significally higher detection rates of echolocation clicks than whistles and dominant foraging behaviour based on visual data suggest that Robberg may be an important feeding ground for the coastal dolphins that are frequenting Plettenberg Bay. The current study builds on a growing body of literature demonstrating that PAM and automatic detectors are powerful and effective tools for monitoring cetacean species. However, there are several factors that limit the detection of vocalization such as direction of the sound source, distance from hydrophone, sound propagation conditions, low SNR and acoustic masking. Regardless of these limitations, results from PAM showed diel patterns of occurrence of the coastal dolphins in the bay which could have not been achieved from visual monitoring, in particular the high nighttime occurrence patterns. PAM holds potential to be largely utilized in South Africa for dolphin and other cetacean studies. Further research and monitoring using PAM could potentially assist to better understand the drivers of the dolphin occurrence and activity patterns in the bay.
- Full Text:
- Date Issued: 2018
- Authors: Hlati, Kuhle
- Date: 2018
- Subjects: Marine mammals -- Effect of noise on -- Research , Oceanography Aquatic ecology
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/30050 , vital:30813
- Description: In this study, passive acoustic monitoring (PAM) was used to investigate the diel patterns of occurrence and activities of coastal dolphins (Sousa plumbea and Tursiops aduncus) in Plettenberg Bay, during April 2015 - July 2017. Automatic detectors were used to extract dolphin whistles and echolocation clicks from the acoustic recordings. The vocalizations were extracted without identifying the dolphin species due to insufficient visual observation data collected concurrent with the acoustic recordings to conclusively discriminate the two species. The correct detection performance and false alarm rate of the detectors for each acoustic recorder were evaluated and automatic detection protocols were developed. For a recorder that was initially deployed in the study (DSG recorder), the detectors achieved 64 - 80% true detection rates with false alarm rates of 10 - 22%. A more modern recorder (MicroMARS recorder) which replaced this one had a lower signal-to-noise ratio (SNR) and could sample at a higher frequency, the detectors achieved greater than 80% true detection rates and less than 5% false alarm rates. It was evident that SNR and sampling rate influenced the detection performance of the detectors. When acoustic recordings were compared to visual observations which were conducted concurrently with some of the recordings, it was apparent that acoustic recorders performed nearly twice as well as land-based observers in terms of overall detection of dolphin groups. Group size and behaviour affected acoustic detection rates of dolphins; large groups that were visually detected and which were foraging at the time, were more likely to be acoustically detected than small groups or single animals or groups associated travelling at the time. The detection rates of echolocation clicks and whistles showed a diel pattern of occurrence of coastal dolphins in Plettenberg Bay with a higher nighttime than daytime occurrence. The detection rates were higher from midday to midnight with a peak during dusk. The high activity of dolphins in the late afternoon and evening reported in this study was also supported by visual data (afternoons) in the area and acoustic studies in other regions. Comparison of acoustic detection rates and visual data from this study with past observations suggest that the occurrence patterns of T. aduncus in the bay appear to have changed; such a change may be influenced by changes in prey behaviour or distribution, or other factors. The significally higher detection rates of echolocation clicks than whistles and dominant foraging behaviour based on visual data suggest that Robberg may be an important feeding ground for the coastal dolphins that are frequenting Plettenberg Bay. The current study builds on a growing body of literature demonstrating that PAM and automatic detectors are powerful and effective tools for monitoring cetacean species. However, there are several factors that limit the detection of vocalization such as direction of the sound source, distance from hydrophone, sound propagation conditions, low SNR and acoustic masking. Regardless of these limitations, results from PAM showed diel patterns of occurrence of the coastal dolphins in the bay which could have not been achieved from visual monitoring, in particular the high nighttime occurrence patterns. PAM holds potential to be largely utilized in South Africa for dolphin and other cetacean studies. Further research and monitoring using PAM could potentially assist to better understand the drivers of the dolphin occurrence and activity patterns in the bay.
- Full Text:
- Date Issued: 2018
Assessment of the long-term response to rehabilitation of two wetlands in KwaZulu-Natal, South Africa
- Authors: Cowden, Craig
- Date: 2018
- Subjects: Wetlands -- South Africa -- KwaZulu-Natal Wetland restoration -- South Africa -- KwaZulu-Natal Wetland management -- South Africa -- KwaZulu-Natal Wetland conservation -- South Africa -- KwaZulu-Natal Wetland ecology -- South Africa -- KwaZulu-Natal Ecosystem management -- South Africa -- KwaZulu-Natal
- Language: English
- Type: text , Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/60606 , vital:27802
- Description: Assessing the outputs and outcomes of wetland rehabilitation activities is recognised by the 'Working for Wetlands' programme in South Africa as important, but to date has been limited. An assessment of the ecological outcomes and the structural outputs of the Working for Wetlands rehabilitation implemented in the Killarney and Kruisfontein wetlands, KwaZulu-Natal, in 2005 was undertaken. The assessment of outcomes included an evaluation of the changes in terms of ecological integrity and the supply of ecosystem services, using WET-Health and WET- EcoServices assessment techniques respectively, and vegetation composition. Improvements in hydrological and geomorphic integrity were recorded in both wetlands, resulting in improved ecosystem services delivery. However, investigation of vegetation composition using the Wetland Index Value and Floristic Quality Assessment Index showed that, seven years after rehabilitation, KiNamey's vegetation composition had improved, but Kruisfontein's vegetation was still largely dominated by pioneer species and appeared to be stable, but in a severely transformed state. The response of these wetlands has shown that sites for rehabilitation should be screened before work begins, and wetlands requiring intensive management of vegetation recovery should be assessed in terms of the objectives and the anticipated benefits of the project. The assessment of the outputs included an evaluation of structural integrity, survival and cost- effectiveness. Limited issues, mostly relating to deviations from the designs during construction, were identified with regards to the structural outputs at each of the wetlands. However, the spreader canals at both Killarney and Kruisfontein wetlands were not functioning as intended and concentrated flows from the spreader canals were evident in both wetlands. The use of spreader canals should therefore be carefully planned and implemented for future wetland rehabilitation projects. Consideration of ZAR per hectare equivalent re-instated/secured provided a useful initial means of determining the cost-effectiveness of the wetland rehabilitation. However, additional factors need to be considered, such as, the nature of the rehabilitation activities, the type and size of the problem being addressed, rehabilitation of priority wetlands, limitations imposed by funders, and risks that need to be addressed by the rehabilitation strategy. Furthermore, the evaluation of the Killarney and Kruisfontein wetlands highlighted the need to revise the Water Research Commission's Wetland Management Series, especially those documents or guidelines relating to rehabilitation planning (WET-RehabPlan), interventions (WET-RehabMethods), and monitoring and evaluation (WET-RehabEvaluate).
- Full Text:
- Date Issued: 2018
- Authors: Cowden, Craig
- Date: 2018
- Subjects: Wetlands -- South Africa -- KwaZulu-Natal Wetland restoration -- South Africa -- KwaZulu-Natal Wetland management -- South Africa -- KwaZulu-Natal Wetland conservation -- South Africa -- KwaZulu-Natal Wetland ecology -- South Africa -- KwaZulu-Natal Ecosystem management -- South Africa -- KwaZulu-Natal
- Language: English
- Type: text , Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/60606 , vital:27802
- Description: Assessing the outputs and outcomes of wetland rehabilitation activities is recognised by the 'Working for Wetlands' programme in South Africa as important, but to date has been limited. An assessment of the ecological outcomes and the structural outputs of the Working for Wetlands rehabilitation implemented in the Killarney and Kruisfontein wetlands, KwaZulu-Natal, in 2005 was undertaken. The assessment of outcomes included an evaluation of the changes in terms of ecological integrity and the supply of ecosystem services, using WET-Health and WET- EcoServices assessment techniques respectively, and vegetation composition. Improvements in hydrological and geomorphic integrity were recorded in both wetlands, resulting in improved ecosystem services delivery. However, investigation of vegetation composition using the Wetland Index Value and Floristic Quality Assessment Index showed that, seven years after rehabilitation, KiNamey's vegetation composition had improved, but Kruisfontein's vegetation was still largely dominated by pioneer species and appeared to be stable, but in a severely transformed state. The response of these wetlands has shown that sites for rehabilitation should be screened before work begins, and wetlands requiring intensive management of vegetation recovery should be assessed in terms of the objectives and the anticipated benefits of the project. The assessment of the outputs included an evaluation of structural integrity, survival and cost- effectiveness. Limited issues, mostly relating to deviations from the designs during construction, were identified with regards to the structural outputs at each of the wetlands. However, the spreader canals at both Killarney and Kruisfontein wetlands were not functioning as intended and concentrated flows from the spreader canals were evident in both wetlands. The use of spreader canals should therefore be carefully planned and implemented for future wetland rehabilitation projects. Consideration of ZAR per hectare equivalent re-instated/secured provided a useful initial means of determining the cost-effectiveness of the wetland rehabilitation. However, additional factors need to be considered, such as, the nature of the rehabilitation activities, the type and size of the problem being addressed, rehabilitation of priority wetlands, limitations imposed by funders, and risks that need to be addressed by the rehabilitation strategy. Furthermore, the evaluation of the Killarney and Kruisfontein wetlands highlighted the need to revise the Water Research Commission's Wetland Management Series, especially those documents or guidelines relating to rehabilitation planning (WET-RehabPlan), interventions (WET-RehabMethods), and monitoring and evaluation (WET-RehabEvaluate).
- Full Text:
- Date Issued: 2018
Death, suffering and silencing as explored in the book Thief and the devil's arithmetic
- Authors: Coetzer, Ashley
- Date: 2018
- Subjects: Feminist literary criticism War in literature Children's literature, English
- Language: English
- Type: Thesis , Masters , English
- Identifier: http://hdl.handle.net/10353/17116 , vital:40857
- Description: World War II is a devastating event in the world‘s history, which still haunts society today. It was a war in which millions of Jews and others losing their lives because of the Nazi regime‘s prejudiced beliefs. The primary focus of this study is to investigate concepts such as death, suffering, silencing, language and literature, as well as secrecy as evidenced in selected children‘s literature. The project provides a comparative analysis of two texts which fall under the children‘s war literature genre: The Book Thief by Markus Zusak and The Devil’s Arithmetic by Jane Yolen. Death, suffering and silencing were significant aspects of the war which crushed the minds and hearts of millions of human lives. Language and literacy are also important notions in the novels, as the historical context allowed for oppression through these areas. A feminist and cultural studies theoretical framework have been used as paradigms in this study as both address oppression in its many forms. The authors‘ biographical backgrounds as well as the historical context of their novels will be outlined in order to provide a context for the chosen theories. World War II relied on oppression based on race and religion. It is for this reason that I use cultural studies theory for an exploration of the many factors which enforced the oppression of the Jewish race by the Nazi regime. Furthermore, a feminist theoretical framework allows for an investigation of the oppression of women during this historical period. While the extent of suffering can never be completely understood, the novels attempt to honour the millions of lives lost by telling the stories of those forgotten. Teun A. Van Dijk‘s cultural studies theory explores manipulation, discourse and racism which are pertinent to a study of the novels. Within both The Book Thief and The Devil’s Arithmetic, there are oppressed female characters which drive the novel. Feminist studies encourage numerous forms of emancipation from a patriarchal society and these novels provide examples of females finding emancipation through various means. In conclusion, this study seeks to highlight the cultural as well as feminist aspects of the children‘s war literature novels, The Book Thief and The Devil’s Arithmetic. In addition, the concepts which will be analysed in this study allow for an in-depth understanding of the context of war within these novels. While these novels have been analysed individually, there is a gap in the literature as these novels have not yet been compared and contrasted. This study, therefore, aims to broaden and encourage further academic discussion in the field of children‘s war literature.
- Full Text:
- Date Issued: 2018
- Authors: Coetzer, Ashley
- Date: 2018
- Subjects: Feminist literary criticism War in literature Children's literature, English
- Language: English
- Type: Thesis , Masters , English
- Identifier: http://hdl.handle.net/10353/17116 , vital:40857
- Description: World War II is a devastating event in the world‘s history, which still haunts society today. It was a war in which millions of Jews and others losing their lives because of the Nazi regime‘s prejudiced beliefs. The primary focus of this study is to investigate concepts such as death, suffering, silencing, language and literature, as well as secrecy as evidenced in selected children‘s literature. The project provides a comparative analysis of two texts which fall under the children‘s war literature genre: The Book Thief by Markus Zusak and The Devil’s Arithmetic by Jane Yolen. Death, suffering and silencing were significant aspects of the war which crushed the minds and hearts of millions of human lives. Language and literacy are also important notions in the novels, as the historical context allowed for oppression through these areas. A feminist and cultural studies theoretical framework have been used as paradigms in this study as both address oppression in its many forms. The authors‘ biographical backgrounds as well as the historical context of their novels will be outlined in order to provide a context for the chosen theories. World War II relied on oppression based on race and religion. It is for this reason that I use cultural studies theory for an exploration of the many factors which enforced the oppression of the Jewish race by the Nazi regime. Furthermore, a feminist theoretical framework allows for an investigation of the oppression of women during this historical period. While the extent of suffering can never be completely understood, the novels attempt to honour the millions of lives lost by telling the stories of those forgotten. Teun A. Van Dijk‘s cultural studies theory explores manipulation, discourse and racism which are pertinent to a study of the novels. Within both The Book Thief and The Devil’s Arithmetic, there are oppressed female characters which drive the novel. Feminist studies encourage numerous forms of emancipation from a patriarchal society and these novels provide examples of females finding emancipation through various means. In conclusion, this study seeks to highlight the cultural as well as feminist aspects of the children‘s war literature novels, The Book Thief and The Devil’s Arithmetic. In addition, the concepts which will be analysed in this study allow for an in-depth understanding of the context of war within these novels. While these novels have been analysed individually, there is a gap in the literature as these novels have not yet been compared and contrasted. This study, therefore, aims to broaden and encourage further academic discussion in the field of children‘s war literature.
- Full Text:
- Date Issued: 2018
Discontinuous gully erosion as a mechanism of wetland formation: a case study of the Kompanjiesdrif basin, Kromrivier, Eastern Cape, South Africa
- Authors: Lagesse, Juliette V
- Date: 2018
- Subjects: Arroyos -- South Africa -- Kromme River (Eastern Cape) , Arroyos -- Erosion -- South Africa -- Kromme River (Eastern Cape) , Climatic geomorphology -- South Africa -- Kromme River (Eastern Cape) , Sedimentation and deposition -- South Africa -- Kromme River (Eastern Cape) , Alluvial fans -- South Africa -- Kromme River (Eastern Cape) , Wetland ecology -- South Africa -- Kromme River (Eastern Cape) , Rhizophoraceae , Palmiet (Prionium serratum)
- Language: English
- Type: text , Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/60540 , vital:27791
- Description: The Kompanjiesdrif basin is an unchannelled valley bottom palmiet wetland located near the headwaters of the Kromrivier in the Eastern Cape of South Africa. The wetland itself is underlain by Bokkeveld shales with the bordering mountain ranges comprising more resistant Table Mountain Group quarzitic sandstones. The valley is relatively planar and broad in form over a width of approximately 200 m. None of the existing controls that are considered to lead to valley widening and longitudinal slope reduction are immediately apparent. The basin lies on the Post Africa II erosion surface; with no evidence of a resistant lithology which might act as a local base level, limiting rates of vertical erosion and inducing lateral planing in upstream reaches via a meandering channel. The possible role of sagging of the basin due to long term deep chemical weathering of bedrock is discounted as the lithologies in the basin are sedimentary in origin and thus not susceptible to chemical weathering. The degree to which climate and sea level changes affected rates of incision and subsequent slope reduction is unclear, although their potential influence should be acknowledged. This study examined the geomorphic dynamics as discerned from the sedimentary record and morphology of the wetland basin, which provide a snapshot into the long-term processes which lowered the longitudinal slope and widened this valley. Coring within the wetland to depths of 1 - 3.3 m revealed that the sedimentary fill generally comprised an upward fining sequence, with sand or fine sand at the base, grading into silt and clay and organic material in the upper sections of cores. Occasional instances of multiple fine sand layers were observed in a few of the cores. An increase in the organic content of material from the north to the south side of the wetland and the occurrence of multiple thin layers of sand in the stratigraphy, highlighted the role of the northern tributary alluvial fans in influencing valley form. Sediment from north bank alluvial fans seem to periodically, partially impound the wetland basin. Surveyed transects across the wetland basin along with subsurface coring to the depth to refusal, illustrated a localised increase in longitudinal slope downstream of the nodes of tributary alluvial fan deposits, which impinge on the trunk stream basin. Coupled with the presence of deep, drowned, trench-like features (up to 8 m deep) beneath floating mats of palmiet, which were predominantly free of sedimentary fill and found opposite tributary alluvial fans; confirmed that the northern tributaries play a major role in the structure and geomorphic dynamics of the basin. The trench-like features appeared to be remnants of deep, narrow, discontinuous gullies. Dating of sediment from the base of these features (460-7040 BP) confirmed that they were formed prior to European settlement in the area. Therefore, it is suggested that the localised increase in longitudinal slope, caused by sediment deposition on the alluvial fans, transgresses a geomorphic threshold slope and that gully erosion is thus initiated. The process of repeated gully erosion leads to planing of bedrock and longitudinal slope reduction. Gully erosion forms an integral component of a cycle of deposition and incision referred to as “cut-and-fill”. During each iteration of the cycle of cutting and filling, gullies form in novel locations leading to gradual valley widening. Over geological time scales, the planing of bedrock and resultant valley widening creates a broad planar valley with a very low longitudinal slope; producing conditions suitable for unchannelled valley bottom wetland formation.
- Full Text:
- Date Issued: 2018
- Authors: Lagesse, Juliette V
- Date: 2018
- Subjects: Arroyos -- South Africa -- Kromme River (Eastern Cape) , Arroyos -- Erosion -- South Africa -- Kromme River (Eastern Cape) , Climatic geomorphology -- South Africa -- Kromme River (Eastern Cape) , Sedimentation and deposition -- South Africa -- Kromme River (Eastern Cape) , Alluvial fans -- South Africa -- Kromme River (Eastern Cape) , Wetland ecology -- South Africa -- Kromme River (Eastern Cape) , Rhizophoraceae , Palmiet (Prionium serratum)
- Language: English
- Type: text , Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/60540 , vital:27791
- Description: The Kompanjiesdrif basin is an unchannelled valley bottom palmiet wetland located near the headwaters of the Kromrivier in the Eastern Cape of South Africa. The wetland itself is underlain by Bokkeveld shales with the bordering mountain ranges comprising more resistant Table Mountain Group quarzitic sandstones. The valley is relatively planar and broad in form over a width of approximately 200 m. None of the existing controls that are considered to lead to valley widening and longitudinal slope reduction are immediately apparent. The basin lies on the Post Africa II erosion surface; with no evidence of a resistant lithology which might act as a local base level, limiting rates of vertical erosion and inducing lateral planing in upstream reaches via a meandering channel. The possible role of sagging of the basin due to long term deep chemical weathering of bedrock is discounted as the lithologies in the basin are sedimentary in origin and thus not susceptible to chemical weathering. The degree to which climate and sea level changes affected rates of incision and subsequent slope reduction is unclear, although their potential influence should be acknowledged. This study examined the geomorphic dynamics as discerned from the sedimentary record and morphology of the wetland basin, which provide a snapshot into the long-term processes which lowered the longitudinal slope and widened this valley. Coring within the wetland to depths of 1 - 3.3 m revealed that the sedimentary fill generally comprised an upward fining sequence, with sand or fine sand at the base, grading into silt and clay and organic material in the upper sections of cores. Occasional instances of multiple fine sand layers were observed in a few of the cores. An increase in the organic content of material from the north to the south side of the wetland and the occurrence of multiple thin layers of sand in the stratigraphy, highlighted the role of the northern tributary alluvial fans in influencing valley form. Sediment from north bank alluvial fans seem to periodically, partially impound the wetland basin. Surveyed transects across the wetland basin along with subsurface coring to the depth to refusal, illustrated a localised increase in longitudinal slope downstream of the nodes of tributary alluvial fan deposits, which impinge on the trunk stream basin. Coupled with the presence of deep, drowned, trench-like features (up to 8 m deep) beneath floating mats of palmiet, which were predominantly free of sedimentary fill and found opposite tributary alluvial fans; confirmed that the northern tributaries play a major role in the structure and geomorphic dynamics of the basin. The trench-like features appeared to be remnants of deep, narrow, discontinuous gullies. Dating of sediment from the base of these features (460-7040 BP) confirmed that they were formed prior to European settlement in the area. Therefore, it is suggested that the localised increase in longitudinal slope, caused by sediment deposition on the alluvial fans, transgresses a geomorphic threshold slope and that gully erosion is thus initiated. The process of repeated gully erosion leads to planing of bedrock and longitudinal slope reduction. Gully erosion forms an integral component of a cycle of deposition and incision referred to as “cut-and-fill”. During each iteration of the cycle of cutting and filling, gullies form in novel locations leading to gradual valley widening. Over geological time scales, the planing of bedrock and resultant valley widening creates a broad planar valley with a very low longitudinal slope; producing conditions suitable for unchannelled valley bottom wetland formation.
- Full Text:
- Date Issued: 2018