Disjunctures within conventional knowledge of black male homosexual identity in contemporary South Africa
- Authors: Li, Xinling
- Date: 2010
- Subjects: Mead, George Herbert 1863-1931 , Foucault, Michel, 1926-1984 , Butler, Judith, 1956- , Gay men, Black -- South Africa , Lesbians -- South Africa , Gender identity -- South Africa , Homosexuality -- South Africa , Identity (Psychology) -- South Africa , Gender identity -- Social aspects
- Language: English
- Type: Thesis , Masters , MSocSc
- Identifier: vital:3297 , http://hdl.handle.net/10962/d1003085 , Mead, George Herbert 1863-1931 , Foucault, Michel, 1926-1984 , Butler, Judith, 1956- , Gay men, Black -- South Africa , Lesbians -- South Africa , Gender identity -- South Africa , Homosexuality -- South Africa , Identity (Psychology) -- South Africa , Gender identity -- Social aspects
- Description: This thesis provides a sociological understanding of how conventional knowledge of sexuality negates the identity formation of black gay men in contemporary South Africa. It investigates the coming out experiences of six black gay men in order to reveal the disjunctures between being black and being gay. The theoretical formation of disjuncture is pursued through examining a number of sociological, historical, psychoanalytical, and feminist approaches to identity, sexuality, and society; featuring specifically the theories of George Herbert Mead, Michel Foucault, and Judith Butler. The chosen research paradigm is symbolic interactionism, postulating both „pragmatist‟ and „empiricist‟ trends that lead to both interactionist and structuralist forms of argumentation. The interactionist approach to sexuality is central to the deconstruction of sexual conventions. It involves conceptualising modern sexuality in the landscapes of African colonial history and the global gay and lesbian movement. The prescribed literature on homosexuality is thus reviewed in conjunction with the South African gay and lesbian struggle, so as to spawn themes and perspectives for conducting life story interviews. The use of the life story interview favours the participants‟ own view of the studied phenomenon, yet aims to depict the structural influence on homosexual identification. Following the qualitative research tradition, the data analysis is based on the interpretation of narratives. It illustrates interpersonal relationships and microscopic experiences that lead to the self-acceptance and self-actualisation of homosexuality. Within these processes, various disjunctures that exist between the cultural sanction of lifestyle and individual choice, between parents and children, between religious belief and personal desires, and between gender identity and sexual orientation are disclosed. The findings are associated with the historical transformation of masculinity in South Africa, sex role performance, and the heterosexualisation of desire. The solution to the proposed research problem is discussed through concepts of socialisation and gender conformity.
- Full Text:
- Date Issued: 2010
- Authors: Li, Xinling
- Date: 2010
- Subjects: Mead, George Herbert 1863-1931 , Foucault, Michel, 1926-1984 , Butler, Judith, 1956- , Gay men, Black -- South Africa , Lesbians -- South Africa , Gender identity -- South Africa , Homosexuality -- South Africa , Identity (Psychology) -- South Africa , Gender identity -- Social aspects
- Language: English
- Type: Thesis , Masters , MSocSc
- Identifier: vital:3297 , http://hdl.handle.net/10962/d1003085 , Mead, George Herbert 1863-1931 , Foucault, Michel, 1926-1984 , Butler, Judith, 1956- , Gay men, Black -- South Africa , Lesbians -- South Africa , Gender identity -- South Africa , Homosexuality -- South Africa , Identity (Psychology) -- South Africa , Gender identity -- Social aspects
- Description: This thesis provides a sociological understanding of how conventional knowledge of sexuality negates the identity formation of black gay men in contemporary South Africa. It investigates the coming out experiences of six black gay men in order to reveal the disjunctures between being black and being gay. The theoretical formation of disjuncture is pursued through examining a number of sociological, historical, psychoanalytical, and feminist approaches to identity, sexuality, and society; featuring specifically the theories of George Herbert Mead, Michel Foucault, and Judith Butler. The chosen research paradigm is symbolic interactionism, postulating both „pragmatist‟ and „empiricist‟ trends that lead to both interactionist and structuralist forms of argumentation. The interactionist approach to sexuality is central to the deconstruction of sexual conventions. It involves conceptualising modern sexuality in the landscapes of African colonial history and the global gay and lesbian movement. The prescribed literature on homosexuality is thus reviewed in conjunction with the South African gay and lesbian struggle, so as to spawn themes and perspectives for conducting life story interviews. The use of the life story interview favours the participants‟ own view of the studied phenomenon, yet aims to depict the structural influence on homosexual identification. Following the qualitative research tradition, the data analysis is based on the interpretation of narratives. It illustrates interpersonal relationships and microscopic experiences that lead to the self-acceptance and self-actualisation of homosexuality. Within these processes, various disjunctures that exist between the cultural sanction of lifestyle and individual choice, between parents and children, between religious belief and personal desires, and between gender identity and sexual orientation are disclosed. The findings are associated with the historical transformation of masculinity in South Africa, sex role performance, and the heterosexualisation of desire. The solution to the proposed research problem is discussed through concepts of socialisation and gender conformity.
- Full Text:
- Date Issued: 2010
The effects of booster breaks during a sedentary night shift on physiological, psychomotor, psycho-physiological, and cognitive performance over a 3 night shift habituation phase
- Authors: Lombard, Wesley Ross
- Date: 2010
- Subjects: Night work , Shift systems , Performance , Exercise , Exercise -- Physiological aspects , Exercise -- Psychological aspects , Cognition -- Effect of exercise on , Motor ability
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5116 , http://hdl.handle.net/10962/d1005194 , Night work , Shift systems , Performance , Exercise , Exercise -- Physiological aspects , Exercise -- Psychological aspects , Cognition -- Effect of exercise on , Motor ability
- Description: Despite extensive research into shift work, workers working under rotating shift conditions are still plagued by the effects of the desynchronisation resulting from working against their natural circadian rhythms. Additionally, modern industries are shifting towards tasks requiring greater cognitive demand with less manual labour incorporated into the tasks. Research into operator based tasks, and hence those of a sedentary cognitive base both during day and night shifts, has been focusing on the effectiveness of the standard rest/break schedule. Research indicating that the standard rest break schedule is often ineffective in eliminating operator discomfort and performance deterioration, with these affects argued to be more pronounced during a night shift schedule. Therefore current research set out to investigate alternative rest break schedules, incorporating a short bout of physical activity and stretching exercises which are proposed to enhance performance and subjective mood, while eliminating operator discomfort for sedentary based cognitive tasks. Three conditions were tested during a three day habituation shift cycle within a laboratory, incorporating two night shift groups (control and experimental) and a control day shift group. Twelve subjects made up each group, with the two night shift groups completing the shift schedule together. The control groups followed a typical 8 hour shift schedule while the experimental group performed a booster break (exercise and stretches) activity for 7.5 minutes every hour during the night shift schedule. Over the course of the shift, subjects completed a battery of six tests providing data on physiological measurements (heart rate and temperature), performance criteria (reaction time responses, memory and neurobiological) and subjective measures. Responses obtained for all the different parameters measured indicated a strong circadian influence for the majority of the variables, indicating the course of natural down regulation within physiological and performance criteria over the night shift. The booster break significantly improved reaction time performance, subjective ratings and resulted in a high sustainable activity level. Day shift comparisons indicating that within subjective measures and reaction time performance, the booster break resulted in similar responses to those of the day shift workers, while the control night shift groups reported significantly lowers results. Additionally, the booster break had positive influences during the circadian nadir, significantly improving parameters of performance and subjective ratings of sleepiness. The results of this study indicating which variables are strong predictors and indicators of the oscillations in performance and subjective ratings due to the circadian changes. The booster break interventions had positive effects on subjective ratings and reaction time performance, while also being argued to decrease the burden placed on the cardiac system as a result of increased sympathetic tone during the night shift, while additionally resulting in similar responses to those of day shift workers. Further studies are required, however, to provide conclusive evidence particularly within a working situation over a longer shift schedule.
- Full Text:
- Date Issued: 2010
- Authors: Lombard, Wesley Ross
- Date: 2010
- Subjects: Night work , Shift systems , Performance , Exercise , Exercise -- Physiological aspects , Exercise -- Psychological aspects , Cognition -- Effect of exercise on , Motor ability
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5116 , http://hdl.handle.net/10962/d1005194 , Night work , Shift systems , Performance , Exercise , Exercise -- Physiological aspects , Exercise -- Psychological aspects , Cognition -- Effect of exercise on , Motor ability
- Description: Despite extensive research into shift work, workers working under rotating shift conditions are still plagued by the effects of the desynchronisation resulting from working against their natural circadian rhythms. Additionally, modern industries are shifting towards tasks requiring greater cognitive demand with less manual labour incorporated into the tasks. Research into operator based tasks, and hence those of a sedentary cognitive base both during day and night shifts, has been focusing on the effectiveness of the standard rest/break schedule. Research indicating that the standard rest break schedule is often ineffective in eliminating operator discomfort and performance deterioration, with these affects argued to be more pronounced during a night shift schedule. Therefore current research set out to investigate alternative rest break schedules, incorporating a short bout of physical activity and stretching exercises which are proposed to enhance performance and subjective mood, while eliminating operator discomfort for sedentary based cognitive tasks. Three conditions were tested during a three day habituation shift cycle within a laboratory, incorporating two night shift groups (control and experimental) and a control day shift group. Twelve subjects made up each group, with the two night shift groups completing the shift schedule together. The control groups followed a typical 8 hour shift schedule while the experimental group performed a booster break (exercise and stretches) activity for 7.5 minutes every hour during the night shift schedule. Over the course of the shift, subjects completed a battery of six tests providing data on physiological measurements (heart rate and temperature), performance criteria (reaction time responses, memory and neurobiological) and subjective measures. Responses obtained for all the different parameters measured indicated a strong circadian influence for the majority of the variables, indicating the course of natural down regulation within physiological and performance criteria over the night shift. The booster break significantly improved reaction time performance, subjective ratings and resulted in a high sustainable activity level. Day shift comparisons indicating that within subjective measures and reaction time performance, the booster break resulted in similar responses to those of the day shift workers, while the control night shift groups reported significantly lowers results. Additionally, the booster break had positive influences during the circadian nadir, significantly improving parameters of performance and subjective ratings of sleepiness. The results of this study indicating which variables are strong predictors and indicators of the oscillations in performance and subjective ratings due to the circadian changes. The booster break interventions had positive effects on subjective ratings and reaction time performance, while also being argued to decrease the burden placed on the cardiac system as a result of increased sympathetic tone during the night shift, while additionally resulting in similar responses to those of day shift workers. Further studies are required, however, to provide conclusive evidence particularly within a working situation over a longer shift schedule.
- Full Text:
- Date Issued: 2010
Mental health care practitioners' perceptions of mental illness within the isiXhosa cultural context
- Authors: Lombo, Nocawa Philomina
- Date: 2010
- Subjects: Mental illness -- South Africa , Mental health personnel , Psychiatric nursing , Xhosa (African people) -- Psychology , Xhosa (African people) -- Social life and customs
- Language: English
- Type: Thesis , Masters , MA
- Identifier: vital:9997 , http://hdl.handle.net/10948/1179 , Mental illness -- South Africa , Mental health personnel , Psychiatric nursing , Xhosa (African people) -- Psychology , Xhosa (African people) -- Social life and customs
- Description: This study sought to explore the perceptions of mental health care practitioners’ perceptions on mental illness within the isiXhosa cultural context. A qualitative exploratory descriptive and contextual design was used for the study. A non-probability purposive sampling method was used to select eight participants from Komani Hospital in Queenstown. Data was collected through semi-structured interviews. The services of an Independent Interviewer were used to avoid any bias as interviews took place where the researcher is employed. All interviews were transcribed verbatim and the data collected was analyzed according to Tesch’s eight steps of data analysis as described in Cresswell (1994:155). The researcher utilized services of an Independent Coder who verified the identified major themes. Four major themes emerged from the analysis of the interview: Mental health care practitioner’s perceptions of mental illness, perception of the causes of mental illness within the isiXhosa cultural context, mental health care practitioners’ views in the management and treatment of mental illness and suggestions put forward to improve the services to mental health care users. The major findings of this study were the lack of knowledge of culture of mental health care users. It is recommended that it would be proper if there could be co-operation between mental health care practitioners and traditional healers by working together as a team.
- Full Text:
- Date Issued: 2010
Mental health care practitioners' perceptions of mental illness within the isiXhosa cultural context
- Authors: Lombo, Nocawa Philomina
- Date: 2010
- Subjects: Mental illness -- South Africa , Mental health personnel , Psychiatric nursing , Xhosa (African people) -- Psychology , Xhosa (African people) -- Social life and customs
- Language: English
- Type: Thesis , Masters , MA
- Identifier: vital:9997 , http://hdl.handle.net/10948/1179 , Mental illness -- South Africa , Mental health personnel , Psychiatric nursing , Xhosa (African people) -- Psychology , Xhosa (African people) -- Social life and customs
- Description: This study sought to explore the perceptions of mental health care practitioners’ perceptions on mental illness within the isiXhosa cultural context. A qualitative exploratory descriptive and contextual design was used for the study. A non-probability purposive sampling method was used to select eight participants from Komani Hospital in Queenstown. Data was collected through semi-structured interviews. The services of an Independent Interviewer were used to avoid any bias as interviews took place where the researcher is employed. All interviews were transcribed verbatim and the data collected was analyzed according to Tesch’s eight steps of data analysis as described in Cresswell (1994:155). The researcher utilized services of an Independent Coder who verified the identified major themes. Four major themes emerged from the analysis of the interview: Mental health care practitioner’s perceptions of mental illness, perception of the causes of mental illness within the isiXhosa cultural context, mental health care practitioners’ views in the management and treatment of mental illness and suggestions put forward to improve the services to mental health care users. The major findings of this study were the lack of knowledge of culture of mental health care users. It is recommended that it would be proper if there could be co-operation between mental health care practitioners and traditional healers by working together as a team.
- Full Text:
- Date Issued: 2010
A narrative analysis of young black South African women's stories about the recent divorce of their parents
- Authors: Lotter, Jaclyn Oehley
- Date: 2010
- Subjects: Divorce -- South Africa Divorce -- Psychological aspects -- South Africa Children of divorced parents -- South Africa Families -- South Africa Divorce therapy -- South Africa Adolescent psychotherapy -- South Africa Youth, Black -- Counseling of -- South Africa Psychology -- Biographical methods -- South Africa
- Language: English
- Type: Thesis , Masters , MA
- Identifier: vital:3011 , http://hdl.handle.net/10962/d1002520
- Description: The global rise in divorce since the 1960s has brought into question the idealised view of the nuclear family which has for centuries been awarded special status in western societies and has been regarded as the primary social institution. According to contemporary research parental divorce has become a reality for every one in six children in South Africa. Until recently, little consideration had been given to how divorce affects black South African families, as it was considered to be an occurrence which only took place in white, mainly middle-class, families. The proportion of black South African couples divorcing has been increasing over the past decade, and in 2008 was said to contribute to 35% of all divorce in South Africa. Most research to date on the children of divorce has focused on young white children and adolescents and is largely concerned with those who have found parental divorce particularly difficult, and are manifesting adjustment and other behavioural problems. The research which has been done on the effects of parental divorce on young adults focuses mainly on clinical studies with middle-class families based either in the United States or in the United Kingdom. This research, using an experience-centred, life-story narrative approach, explores the stories which young black South African adult women between the ages of 18 and 25 tell, to give account to the ways in which recent parental divorce has affected their lives, views on family life, and what it has meant to them. The use of an experience-centred, life-story narrative approach allows for a process of rupture, acceptance and re-storying to be accounted for, as the participant’s narrative shifts from past, to present and the future. Five young black women from a South African university each participated in two narratively sequenced semi-structured interviews based on McAdams’ personal narratives protocol, which includes six core themes, namely: Key Events, Significant People, Stresses and Problems, Personal Meanings and Life-Lessons, Future Script, and Life Theme. Crossley’s narrative analysis was then used to identify emergent themes and images in each individual narrative, after which they were woven together into a coherent story linked to previous literature. This study found that divorce involves a highly complex transition and reconfiguration process perhaps not fully accounted for in the existing idea and images associated with it. Despite being young adult women who had moved away from home and were engaged in their own lives, it became apparent that parental divorce was still a difficult and complicated experience, but that it is possible to tell both pessimistic and optimistic stories of parental divorce and its consequences.
- Full Text:
- Date Issued: 2010
- Authors: Lotter, Jaclyn Oehley
- Date: 2010
- Subjects: Divorce -- South Africa Divorce -- Psychological aspects -- South Africa Children of divorced parents -- South Africa Families -- South Africa Divorce therapy -- South Africa Adolescent psychotherapy -- South Africa Youth, Black -- Counseling of -- South Africa Psychology -- Biographical methods -- South Africa
- Language: English
- Type: Thesis , Masters , MA
- Identifier: vital:3011 , http://hdl.handle.net/10962/d1002520
- Description: The global rise in divorce since the 1960s has brought into question the idealised view of the nuclear family which has for centuries been awarded special status in western societies and has been regarded as the primary social institution. According to contemporary research parental divorce has become a reality for every one in six children in South Africa. Until recently, little consideration had been given to how divorce affects black South African families, as it was considered to be an occurrence which only took place in white, mainly middle-class, families. The proportion of black South African couples divorcing has been increasing over the past decade, and in 2008 was said to contribute to 35% of all divorce in South Africa. Most research to date on the children of divorce has focused on young white children and adolescents and is largely concerned with those who have found parental divorce particularly difficult, and are manifesting adjustment and other behavioural problems. The research which has been done on the effects of parental divorce on young adults focuses mainly on clinical studies with middle-class families based either in the United States or in the United Kingdom. This research, using an experience-centred, life-story narrative approach, explores the stories which young black South African adult women between the ages of 18 and 25 tell, to give account to the ways in which recent parental divorce has affected their lives, views on family life, and what it has meant to them. The use of an experience-centred, life-story narrative approach allows for a process of rupture, acceptance and re-storying to be accounted for, as the participant’s narrative shifts from past, to present and the future. Five young black women from a South African university each participated in two narratively sequenced semi-structured interviews based on McAdams’ personal narratives protocol, which includes six core themes, namely: Key Events, Significant People, Stresses and Problems, Personal Meanings and Life-Lessons, Future Script, and Life Theme. Crossley’s narrative analysis was then used to identify emergent themes and images in each individual narrative, after which they were woven together into a coherent story linked to previous literature. This study found that divorce involves a highly complex transition and reconfiguration process perhaps not fully accounted for in the existing idea and images associated with it. Despite being young adult women who had moved away from home and were engaged in their own lives, it became apparent that parental divorce was still a difficult and complicated experience, but that it is possible to tell both pessimistic and optimistic stories of parental divorce and its consequences.
- Full Text:
- Date Issued: 2010
Investigating the benefits of using selected lean techniques at a South African exhaust manufacturer-a case study
- Authors: Louw, Andre
- Date: 2010
- Subjects: Automobile supplies industry , Factories
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: vital:8617 , http://hdl.handle.net/10948/1518 , Automobile supplies industry , Factories
- Description: This study investigates the implementation of supermarket-based scheduling of parts at a South African exhaust manufacturing plant. The study firstly investigates the requirements the manufacturer had to contend with in ensuring a valuable contract was won. The nature of the contract is such that it warrants building of a new facility. The design of the facility and the manufacturing processes is of importance as some Lean techniques are employed during these early stages. The research takes the form of a case study and data is collected mainly through interviews with staff, but also from direct observations on the shop-floor. Interviews were conducted with: - key project leaders responsible for the original design and commissioning of the facility; - production managers and technical staff currently operating the plant; and - shop-floor personnel involved in daily production and logistics operations within the plant. The as-built facility and procedures are compared with literature found on the topic of Lean manufacturing. Various findings are recorded, both on conforming to and not conforming to typical Lean theory. Potential changes are suggested in the following areas: - a Pull strategy is proposed to coincide with the appointment of a so-called pacemaker station; - a pacemaker would need to be further supported by a production leveling strategy; - although quality delivered to the customer is reported as very high, potential improvements are still possible by introducing an "at source" approach to reduce rework; and - finally, a Total Productive Maintenance (TPM) program will serve to reduce downtime even further.
- Full Text:
- Date Issued: 2010
- Authors: Louw, Andre
- Date: 2010
- Subjects: Automobile supplies industry , Factories
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: vital:8617 , http://hdl.handle.net/10948/1518 , Automobile supplies industry , Factories
- Description: This study investigates the implementation of supermarket-based scheduling of parts at a South African exhaust manufacturing plant. The study firstly investigates the requirements the manufacturer had to contend with in ensuring a valuable contract was won. The nature of the contract is such that it warrants building of a new facility. The design of the facility and the manufacturing processes is of importance as some Lean techniques are employed during these early stages. The research takes the form of a case study and data is collected mainly through interviews with staff, but also from direct observations on the shop-floor. Interviews were conducted with: - key project leaders responsible for the original design and commissioning of the facility; - production managers and technical staff currently operating the plant; and - shop-floor personnel involved in daily production and logistics operations within the plant. The as-built facility and procedures are compared with literature found on the topic of Lean manufacturing. Various findings are recorded, both on conforming to and not conforming to typical Lean theory. Potential changes are suggested in the following areas: - a Pull strategy is proposed to coincide with the appointment of a so-called pacemaker station; - a pacemaker would need to be further supported by a production leveling strategy; - although quality delivered to the customer is reported as very high, potential improvements are still possible by introducing an "at source" approach to reduce rework; and - finally, a Total Productive Maintenance (TPM) program will serve to reduce downtime even further.
- Full Text:
- Date Issued: 2010
New platinum and palladium complexes: their anticancer application
- Authors: Louw, Marissa
- Date: 2010
- Subjects: Complex compounds -- Synthesis , Ligands (Biochemistry) , Antineoplastic antibiotics
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10424 , http://hdl.handle.net/10948/d1016218
- Description: Novel non-leaving groups were employed in this dissertation to synthesize platinum complexes which can assist in the understanding or improvement of anticancer action. Emphasis was placed on (NS)-chelate and (NN)-chelate platinum complexes. Bidentate (NS)-donor ligands were used as non-leaving ligands in the synthesis of platinum(II) complexes with iodo, chloro, bromo and oxalato groups as leaving groups. These complexes were synthesized and studied since many questions regarding the interaction of sulfur-donors and platinum still exist. These relate to thermodynamic and kinetic factors and their influence on anticancer action. In this dissertation the properties of novel platinum(II) complexes of a bidentate ligand having an aromatic nitrogen-donor atom in combination with a thioethereal sulfur atom capable of forming a five-membered ring with platinum(II) were studied. The general structure of the (NS)-ligands used was 2-((alkylthio)methyl)pyridine. Alkyl groups used were methyl, ethyl, propyl, benzyl and phenyl. Amine complexes of platinum have been studied extensively in the past. However, attention was given to novel aspects of substituted pyridine and imidazole ligands and their corresponding complexes. Amongst these are 2-(2-methylaminoethyl)pyridine, 1-methyl-2-methylaminoethylimidazole and 1-methyl-2-methylaminobenzylimidazole. The leaving groups included chloro, bromo and oxalato. Mononitroplatinum(IV) complexes were prepared using novel synthetic methods. Selected platinum(II) amine complexes were used as starting materials for this synthesis. Some of these compounds exhibit promising anticancer behaviour. (Trans-(R,R)-1,2-diaminocyclohexane)(oxalato)(mononitrochloro)platinum(IV) is a particularly good anticancer agent and has been patented internationally. All these complexes were characterized using mass spectrometry, chromatography, thermogravimetric analysis, kinetic aspects such as ligand exchange rates and finally their anticancer action against three different cancer cell lines was evaluated via cytotoxicity assays. Some of the compounds exhibited particularly good anticancer potential.
- Full Text:
- Date Issued: 2010
- Authors: Louw, Marissa
- Date: 2010
- Subjects: Complex compounds -- Synthesis , Ligands (Biochemistry) , Antineoplastic antibiotics
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10424 , http://hdl.handle.net/10948/d1016218
- Description: Novel non-leaving groups were employed in this dissertation to synthesize platinum complexes which can assist in the understanding or improvement of anticancer action. Emphasis was placed on (NS)-chelate and (NN)-chelate platinum complexes. Bidentate (NS)-donor ligands were used as non-leaving ligands in the synthesis of platinum(II) complexes with iodo, chloro, bromo and oxalato groups as leaving groups. These complexes were synthesized and studied since many questions regarding the interaction of sulfur-donors and platinum still exist. These relate to thermodynamic and kinetic factors and their influence on anticancer action. In this dissertation the properties of novel platinum(II) complexes of a bidentate ligand having an aromatic nitrogen-donor atom in combination with a thioethereal sulfur atom capable of forming a five-membered ring with platinum(II) were studied. The general structure of the (NS)-ligands used was 2-((alkylthio)methyl)pyridine. Alkyl groups used were methyl, ethyl, propyl, benzyl and phenyl. Amine complexes of platinum have been studied extensively in the past. However, attention was given to novel aspects of substituted pyridine and imidazole ligands and their corresponding complexes. Amongst these are 2-(2-methylaminoethyl)pyridine, 1-methyl-2-methylaminoethylimidazole and 1-methyl-2-methylaminobenzylimidazole. The leaving groups included chloro, bromo and oxalato. Mononitroplatinum(IV) complexes were prepared using novel synthetic methods. Selected platinum(II) amine complexes were used as starting materials for this synthesis. Some of these compounds exhibit promising anticancer behaviour. (Trans-(R,R)-1,2-diaminocyclohexane)(oxalato)(mononitrochloro)platinum(IV) is a particularly good anticancer agent and has been patented internationally. All these complexes were characterized using mass spectrometry, chromatography, thermogravimetric analysis, kinetic aspects such as ligand exchange rates and finally their anticancer action against three different cancer cell lines was evaluated via cytotoxicity assays. Some of the compounds exhibited particularly good anticancer potential.
- Full Text:
- Date Issued: 2010
A critical analysis of the income tax implications of persons ceasing to be a resident of South Africa
- Authors: Loyson, Richard Michael
- Date: 2010
- Subjects: Income tax -- South Africa , Double taxation -- South Africa , Aliens -- Taxation -- South Africa , Capital gains tax -- South Africa , Citizenship -- South Africa , Emigration and immigration law -- South Africa
- Language: English
- Type: Thesis , Masters , MCom
- Identifier: vital:8957 , http://hdl.handle.net/10948/1180 , Income tax -- South Africa , Double taxation -- South Africa , Aliens -- Taxation -- South Africa , Capital gains tax -- South Africa , Citizenship -- South Africa , Emigration and immigration law -- South Africa
- Description: Over the last 10 years the South African fiscus has introduced numerous changes to the Income Tax Act (ITA) which affect the income tax implications of persons ceasing to be a resident of South Africa. The two main changes were: - The introduction of a world-wide basis of taxation for residents - The introduction of capital gains tax (CGT) as part of the ITA The aim of this treatise was to identify the income tax implications of persons ceasing to be a resident of South Africa. Resulting from this research, several issues in the ITA have been identified, and the two major ones are summarised below. Firstly, upon the emigration of the taxpayer, there is a deemed disposal of a taxpayer’s assets in terms of paragraph 12 of the Eighth Schedule. It is submitted that the resulting exit tax may be unconstitutional for individuals. It is recommended that South Africa should adopt the deferral method within its domestic legislation for individuals who are emigrating. The deferral method postpones the liability until the disposal of the asset. Secondly, on the subsequent disposal of assets by former residents where there was no exit charge in terms of the exemption under paragraph 12(2)(a)(i) of the Eighth Schedule. Depending on the specific double tax agreement (DTA) that has been entered into with the foreign country, taxpayers have been given vii the opportunity to minimise or eliminate the tax liability with regard to certain assets. This should be of concern from the point of view of the South African government. Further issues noted in this treatise were the following: - It is submitted that the term ‘place of effective management’ has been incorrectly interpreted by SARS in Interpretation Note 6. - It is further submitted that the interpretation by SARS of paragraph 2(2) of the Eighth Schedule is technically incorrect. The above issues that have been identified present opportunities to emigrants to take advantage of the current tax legislation. It is further recommended that taxpayers who are emigrating need to consider the South African domestic tax law implications, respective DTA’s, as well as the domestic tax laws of the other jurisdiction, not only on the date of emigration but also on the subsequent disposal of the respective assets.
- Full Text:
- Date Issued: 2010
- Authors: Loyson, Richard Michael
- Date: 2010
- Subjects: Income tax -- South Africa , Double taxation -- South Africa , Aliens -- Taxation -- South Africa , Capital gains tax -- South Africa , Citizenship -- South Africa , Emigration and immigration law -- South Africa
- Language: English
- Type: Thesis , Masters , MCom
- Identifier: vital:8957 , http://hdl.handle.net/10948/1180 , Income tax -- South Africa , Double taxation -- South Africa , Aliens -- Taxation -- South Africa , Capital gains tax -- South Africa , Citizenship -- South Africa , Emigration and immigration law -- South Africa
- Description: Over the last 10 years the South African fiscus has introduced numerous changes to the Income Tax Act (ITA) which affect the income tax implications of persons ceasing to be a resident of South Africa. The two main changes were: - The introduction of a world-wide basis of taxation for residents - The introduction of capital gains tax (CGT) as part of the ITA The aim of this treatise was to identify the income tax implications of persons ceasing to be a resident of South Africa. Resulting from this research, several issues in the ITA have been identified, and the two major ones are summarised below. Firstly, upon the emigration of the taxpayer, there is a deemed disposal of a taxpayer’s assets in terms of paragraph 12 of the Eighth Schedule. It is submitted that the resulting exit tax may be unconstitutional for individuals. It is recommended that South Africa should adopt the deferral method within its domestic legislation for individuals who are emigrating. The deferral method postpones the liability until the disposal of the asset. Secondly, on the subsequent disposal of assets by former residents where there was no exit charge in terms of the exemption under paragraph 12(2)(a)(i) of the Eighth Schedule. Depending on the specific double tax agreement (DTA) that has been entered into with the foreign country, taxpayers have been given vii the opportunity to minimise or eliminate the tax liability with regard to certain assets. This should be of concern from the point of view of the South African government. Further issues noted in this treatise were the following: - It is submitted that the term ‘place of effective management’ has been incorrectly interpreted by SARS in Interpretation Note 6. - It is further submitted that the interpretation by SARS of paragraph 2(2) of the Eighth Schedule is technically incorrect. The above issues that have been identified present opportunities to emigrants to take advantage of the current tax legislation. It is further recommended that taxpayers who are emigrating need to consider the South African domestic tax law implications, respective DTA’s, as well as the domestic tax laws of the other jurisdiction, not only on the date of emigration but also on the subsequent disposal of the respective assets.
- Full Text:
- Date Issued: 2010
Democratic leadership and management practices in a rural Namibian secondary school
- Authors: Mabuku, Robert Nalisa
- Date: 2010
- Subjects: Educational leadership -- Namibia -- Case studies School management and organization -- Namibia -- Case studies Education, Secondary -- Namibia -- Case studies Educational change -- Namibia -- Case studies
- Language: English
- Type: Thesis , Masters , MEd
- Identifier: vital:1489 , http://hdl.handle.net/10962/d1003370
- Description: The primary purpose of this research was to investigate the understanding and implementation of democratic leadership and management in schools by school managers and other members of the school community in leadership and management roles as advocated by the policy of Education for all. The study also aimed at identifying any gaps in the understanding and practice of the participants in order to enhance democratic leadership and management in schools. Qualitative research using the interpretive approach was the methodology employed in order to fulfill the intention of the study, namely to investigate the participants` experiences and understanding of democratic education leadership and management. The case study method was appropriate to understand the meanings the participants attached to their practice in their natural setting. Data were collected by using semi-structured interviews, document analysis, and observation. The sample for the study consisted of ten participants: the principal, the head of department, two School Board members, two senior teachers, two Learner Representative Council members and two class captains. The findings suggest that the participants understood and practised democratic ELM in terms of broader participation, open communication, delegation for empowerment, learning organisation, shared decision-making, shared leadership and teamwork. However, the data suggest areas of concern in the participants` understanding and implementation of the policy which could be strengthened to entrench the policy. The study recommends that education policy makers, education managers, school managers, teachers, parents and learners all work towards improving democratic ELM in schools. In order to achieve this objective, policy makers are urged to avoid ambiguity to enable all implementers to fully understand policies. Education managers could ensure school-wide training on the policy while school managers and other stakeholders should engage in self-reflection and introspection and be more proactive towards improving their own understanding and practice.
- Full Text:
- Date Issued: 2010
- Authors: Mabuku, Robert Nalisa
- Date: 2010
- Subjects: Educational leadership -- Namibia -- Case studies School management and organization -- Namibia -- Case studies Education, Secondary -- Namibia -- Case studies Educational change -- Namibia -- Case studies
- Language: English
- Type: Thesis , Masters , MEd
- Identifier: vital:1489 , http://hdl.handle.net/10962/d1003370
- Description: The primary purpose of this research was to investigate the understanding and implementation of democratic leadership and management in schools by school managers and other members of the school community in leadership and management roles as advocated by the policy of Education for all. The study also aimed at identifying any gaps in the understanding and practice of the participants in order to enhance democratic leadership and management in schools. Qualitative research using the interpretive approach was the methodology employed in order to fulfill the intention of the study, namely to investigate the participants` experiences and understanding of democratic education leadership and management. The case study method was appropriate to understand the meanings the participants attached to their practice in their natural setting. Data were collected by using semi-structured interviews, document analysis, and observation. The sample for the study consisted of ten participants: the principal, the head of department, two School Board members, two senior teachers, two Learner Representative Council members and two class captains. The findings suggest that the participants understood and practised democratic ELM in terms of broader participation, open communication, delegation for empowerment, learning organisation, shared decision-making, shared leadership and teamwork. However, the data suggest areas of concern in the participants` understanding and implementation of the policy which could be strengthened to entrench the policy. The study recommends that education policy makers, education managers, school managers, teachers, parents and learners all work towards improving democratic ELM in schools. In order to achieve this objective, policy makers are urged to avoid ambiguity to enable all implementers to fully understand policies. Education managers could ensure school-wide training on the policy while school managers and other stakeholders should engage in self-reflection and introspection and be more proactive towards improving their own understanding and practice.
- Full Text:
- Date Issued: 2010
Neotectonics and its applications for the exploration of groundwater in the fractured Karoo aquifers in the Eastern Cape,South Africa
- Authors: Madi, Kakaba
- Date: 2010
- Subjects: Water well drilling -- South Africa -- Eastern Cape , Aquifers -- South Africa -- Eastern Cape , Water -- supply engineering -- South Africa -- Eastern Cape , Prospecting -- Geophysical methods , Groundwater -- Research -- Methodology
- Language: English
- Type: Thesis , Masters , MSc (Geology)
- Identifier: vital:11523 , http://hdl.handle.net/10353/362 , Water well drilling -- South Africa -- Eastern Cape , Aquifers -- South Africa -- Eastern Cape , Water -- supply engineering -- South Africa -- Eastern Cape , Prospecting -- Geophysical methods , Groundwater -- Research -- Methodology
- Description: This study is part of an NRF sponsored research project entitled “Neotectonics and its applications for the exploration of groundwater in the fractured Karoo aquifers in the Eastern Cape” under the NRF Niche area of Water Resources Management and Sustainable Development in the Eastern Cape Province. The identification of relatively highly productive wells in the Karoo fractured aquifers is extremely difficult. This study aims to identify neotectonic zones and lower stress fields, and apply the results to groundwater exploration in the Eastern Cape Province. The methodologies adopted in this study include: a comprehensive literature review, extensive field mapping and investigation such as road cuts, sampling for laboratory studies, examination of seismic data, study of hot and ordinary springs, and interpretation of aerial photography and satellite images. Three main neotectonic belts were identified in the Eastern Cape (southern neotectonic belt, northern neotectonic belt and eastern neotectonic belt) based on literature review and field interpretations. The southern neotectonic belt (from the Cape Fold Belt to the lower Beaufort Group boundary) is characterized by the reactivation of the Coega-Bavianskloof and Sauer faults, the presence of a hot spring near Fort Beaufort, the slickenlines and discrete slickenlines and specifically the seismic events that were recorded in the Eastern Cape from 1850 to 2007. In this southern neotectonic belt the remote sensing has also revealed the presence of the Fort Beaufort fracture, the quartz veins seen in some dolerites and the different vegetation types along it may indicate that this fracture is possibly a fault; moreover the Quaternary sediments and weathered dolerites indicate that the Fort iii Beaufort fracture is characterized by groundwater circulation and accordingly is a good target for groundwater exploration, this fracture is a post-Karoo structure and possibly a neotectonic feature. In addition, the kaolin deposit, chiefly developed in the Dwyka tillite near Grahamstown is clearly controlled by neotectonic fracture zones. The northern neotectonic belt near the country of Lesotho is marked by the presence of the Senqu seismotectonic regime and hot springs. The Quaternary Amatole-Swaziland (formerly Ciskei-Swaziland) axis of uplift makes the eastern part of the province the third neotectonic zone, the asymmetric meanders of the Mbashe river in the vicinity of Qunu near Mthatha derived possibly from this Quaternary uplift; this asymmetric feature of meanders implies that the river has tried to maintain stability of its valley where tilting occurred. Within these neotectonic belts the central part of the Eastern Cape may be considered a static and inactive belt. A northwesterly trend for the maximum principal compresssional stress predominates in the Eastern Cape and is correlated with the present major structural control of the province. The current stress regime determination was derived from faults, joints and quartz veins only on kaolin deposits. Systematic joints reflect regional tectonic stress trajectories at the time of fracturing. Discharge rates of groundwater from boreholes as provided by the Department of Water and Forestry were used to confirm and predict water exploration targets. The region of Tabankulu (near Kwazulu Natal) in the northern neotectonic belt has remarkable discharge rates of groundwater (11.1 l/s, 4.65 l/s, 6.49 l/s, 42 l/s). The region of Mthatha, nearly surrounding the Amatole-Swaziland axis (former Ciskei-Swaziland iv axis) of uplift which might have generated some new faults, has a number of springs. These two regions should serve as case studies for future research. Apart from these two regions, two others regions can be considered as case studies for future groundwater exploration targets: the Bath Farm hot spring near the Fort Beaufort neotectonic fault and the vicinity of what is known as the Fort Beaufort fracture near Teba and Cimezile villages 20km north west of Fort Beaufort. It is concluded that the study of neotectonics and stress fields may be a useful tool for groundwater exploration in the Karoo fractured aquifers in the Eastern Cape, and in similar regions elsewhere in South Africa and in Africa.
- Full Text:
- Date Issued: 2010
- Authors: Madi, Kakaba
- Date: 2010
- Subjects: Water well drilling -- South Africa -- Eastern Cape , Aquifers -- South Africa -- Eastern Cape , Water -- supply engineering -- South Africa -- Eastern Cape , Prospecting -- Geophysical methods , Groundwater -- Research -- Methodology
- Language: English
- Type: Thesis , Masters , MSc (Geology)
- Identifier: vital:11523 , http://hdl.handle.net/10353/362 , Water well drilling -- South Africa -- Eastern Cape , Aquifers -- South Africa -- Eastern Cape , Water -- supply engineering -- South Africa -- Eastern Cape , Prospecting -- Geophysical methods , Groundwater -- Research -- Methodology
- Description: This study is part of an NRF sponsored research project entitled “Neotectonics and its applications for the exploration of groundwater in the fractured Karoo aquifers in the Eastern Cape” under the NRF Niche area of Water Resources Management and Sustainable Development in the Eastern Cape Province. The identification of relatively highly productive wells in the Karoo fractured aquifers is extremely difficult. This study aims to identify neotectonic zones and lower stress fields, and apply the results to groundwater exploration in the Eastern Cape Province. The methodologies adopted in this study include: a comprehensive literature review, extensive field mapping and investigation such as road cuts, sampling for laboratory studies, examination of seismic data, study of hot and ordinary springs, and interpretation of aerial photography and satellite images. Three main neotectonic belts were identified in the Eastern Cape (southern neotectonic belt, northern neotectonic belt and eastern neotectonic belt) based on literature review and field interpretations. The southern neotectonic belt (from the Cape Fold Belt to the lower Beaufort Group boundary) is characterized by the reactivation of the Coega-Bavianskloof and Sauer faults, the presence of a hot spring near Fort Beaufort, the slickenlines and discrete slickenlines and specifically the seismic events that were recorded in the Eastern Cape from 1850 to 2007. In this southern neotectonic belt the remote sensing has also revealed the presence of the Fort Beaufort fracture, the quartz veins seen in some dolerites and the different vegetation types along it may indicate that this fracture is possibly a fault; moreover the Quaternary sediments and weathered dolerites indicate that the Fort iii Beaufort fracture is characterized by groundwater circulation and accordingly is a good target for groundwater exploration, this fracture is a post-Karoo structure and possibly a neotectonic feature. In addition, the kaolin deposit, chiefly developed in the Dwyka tillite near Grahamstown is clearly controlled by neotectonic fracture zones. The northern neotectonic belt near the country of Lesotho is marked by the presence of the Senqu seismotectonic regime and hot springs. The Quaternary Amatole-Swaziland (formerly Ciskei-Swaziland) axis of uplift makes the eastern part of the province the third neotectonic zone, the asymmetric meanders of the Mbashe river in the vicinity of Qunu near Mthatha derived possibly from this Quaternary uplift; this asymmetric feature of meanders implies that the river has tried to maintain stability of its valley where tilting occurred. Within these neotectonic belts the central part of the Eastern Cape may be considered a static and inactive belt. A northwesterly trend for the maximum principal compresssional stress predominates in the Eastern Cape and is correlated with the present major structural control of the province. The current stress regime determination was derived from faults, joints and quartz veins only on kaolin deposits. Systematic joints reflect regional tectonic stress trajectories at the time of fracturing. Discharge rates of groundwater from boreholes as provided by the Department of Water and Forestry were used to confirm and predict water exploration targets. The region of Tabankulu (near Kwazulu Natal) in the northern neotectonic belt has remarkable discharge rates of groundwater (11.1 l/s, 4.65 l/s, 6.49 l/s, 42 l/s). The region of Mthatha, nearly surrounding the Amatole-Swaziland axis (former Ciskei-Swaziland iv axis) of uplift which might have generated some new faults, has a number of springs. These two regions should serve as case studies for future research. Apart from these two regions, two others regions can be considered as case studies for future groundwater exploration targets: the Bath Farm hot spring near the Fort Beaufort neotectonic fault and the vicinity of what is known as the Fort Beaufort fracture near Teba and Cimezile villages 20km north west of Fort Beaufort. It is concluded that the study of neotectonics and stress fields may be a useful tool for groundwater exploration in the Karoo fractured aquifers in the Eastern Cape, and in similar regions elsewhere in South Africa and in Africa.
- Full Text:
- Date Issued: 2010
Population biology and aspects of the socio-spatial organisation of the woodland dormouse Graphiurus Murinus (Desmaret, 1822) in the Great Fish River Reserve, South Africa
- Madikiza, Zimkitha Josephine Kimberly
- Authors: Madikiza, Zimkitha Josephine Kimberly
- Date: 2010
- Subjects: Dormice , Mice , Muridae , Spatial behavior , Territoriality (Zoology) , Crowding stress
- Language: English
- Type: Thesis , Masters , MSc (Zoology)
- Identifier: vital:11788 , http://hdl.handle.net/10353/443 , Dormice , Mice , Muridae , Spatial behavior , Territoriality (Zoology) , Crowding stress
- Description: The population biology and socio-spatial organisation of the woodland dormouse, Graphiurus murinus (Desmarest, 1822), was investigated in a riverine forest at the Great Fish River Reserve (GFRR), South Africa. Data were collected by means of a monthly live trapping and nestbox monitoring programme. Between February 2006 and June 2007, 75 woodland dormice were trapped and/or found in nestboxes and marked: these were 39 adults (13 males, 21 females, five undetermined) and 36 juveniles (five males, 14 females, 17 undetermined). The population showed a steady increase from June 2006–November 2006 and a peak in December 2006–January 2007 as a result of the influx of juveniles. The minimum number of dormice known to be alive (MNA) varied between 40 in December 2006– January 2007 (summer), and a low of three in June 2007 (winter). The range in population density was therefore between 1.2 and 16 dormice per ha. Winter mortality and/or spring dispersal accounted for the disappearance of 55 percent of juveniles. The overall annual adult:juvenile ratio was 1.08. The overall sex ratio was 1.94 female per one male. In females, reproductive activity was observed from September 2006 to end January 2007. The pattern observed in males was similar, as dormice with descended testes were exclusively found from October to end January. Females gave birth during the second half of October to beginning of February. Litters (n = 11) consisted of an average (± SD) 3.73 ± 0.47 young. Over the study period, 27 dormice were trapped or found in nestboxes more than eight times, thus allowing me to estimate their home range size and the spatial overlap between these individuals. On average, dormouse home range size was 2,514 m2 (range: 319 – 4,863 m2). No difference was recorded between one-year old adults and older adults, or between all adults and juveniles. However, adult male dormice (3,989 m2, n = 5) had home ranges almost twice as large as females (2,091 m2, n = 9). No similar trend was found in juveniles. Intrasexual home range overlap was on average 62 percent in adult males, and 26 percent in adult females. However, females overlapped with more neighbouring female home ranges than did males with neighbouring male home ranges, so that, as for males, only small parts of female home ranges were really exclusive. On average, males overlapped a larger Abstract Ecology of woodland dormice M.Sc. Thesis 16 proportion (48 percent) of female home ranges than did females with neighbouring male home ranges (27 percent). In addition, males overlapped with significantly more female home ranges (7.8) than did females with male home ranges (4.9). Trapping success and nestbox data agree with the socio-ecological model. Females showed increased mobility during summer, more likely to find suitable nesting sites, and food for milk production during the reproductive season. The use of nestboxes, however, was constant throughout the year. In males, both the trapping success and nestbox use were higher during the mating season (spring), when an increased mobility and occupation of nestboxes probably increased the chances to locate and mate with (a) receptive female(s). Hence, food and (artificial) nest sites may constitute an important resource for females, whereas females seem to represent the main resource for males. Although food availability was not determined, a comparison of female and male distribution patterns provided interesting information on the mating system of woodland dormice. In GFRR, the dispersion pattern of female woodland dormice was “rather” clumped, i.e. females were non-territorial. As some females showed a dyadic intrasexual overlap of up to 90 percent, and population density was very high at the study site, this may indicate that food was very abundant and/or renewed rapidly. Based on the wide range of birth dates observed during the study period, females clearly come into oestrus at different times. In such circumstances (asynchronous sexual receptivity in females), the Female in Space and Time Hypothesis (Ims 1987a) predicts that males will be non-territorial and promiscuous. Live-trapping, nestbox use and home range data indeed suggested that male woodland dormice do not defend territories, but search for and aggregate around receptive females during the mating season.
- Full Text:
- Date Issued: 2010
- Authors: Madikiza, Zimkitha Josephine Kimberly
- Date: 2010
- Subjects: Dormice , Mice , Muridae , Spatial behavior , Territoriality (Zoology) , Crowding stress
- Language: English
- Type: Thesis , Masters , MSc (Zoology)
- Identifier: vital:11788 , http://hdl.handle.net/10353/443 , Dormice , Mice , Muridae , Spatial behavior , Territoriality (Zoology) , Crowding stress
- Description: The population biology and socio-spatial organisation of the woodland dormouse, Graphiurus murinus (Desmarest, 1822), was investigated in a riverine forest at the Great Fish River Reserve (GFRR), South Africa. Data were collected by means of a monthly live trapping and nestbox monitoring programme. Between February 2006 and June 2007, 75 woodland dormice were trapped and/or found in nestboxes and marked: these were 39 adults (13 males, 21 females, five undetermined) and 36 juveniles (five males, 14 females, 17 undetermined). The population showed a steady increase from June 2006–November 2006 and a peak in December 2006–January 2007 as a result of the influx of juveniles. The minimum number of dormice known to be alive (MNA) varied between 40 in December 2006– January 2007 (summer), and a low of three in June 2007 (winter). The range in population density was therefore between 1.2 and 16 dormice per ha. Winter mortality and/or spring dispersal accounted for the disappearance of 55 percent of juveniles. The overall annual adult:juvenile ratio was 1.08. The overall sex ratio was 1.94 female per one male. In females, reproductive activity was observed from September 2006 to end January 2007. The pattern observed in males was similar, as dormice with descended testes were exclusively found from October to end January. Females gave birth during the second half of October to beginning of February. Litters (n = 11) consisted of an average (± SD) 3.73 ± 0.47 young. Over the study period, 27 dormice were trapped or found in nestboxes more than eight times, thus allowing me to estimate their home range size and the spatial overlap between these individuals. On average, dormouse home range size was 2,514 m2 (range: 319 – 4,863 m2). No difference was recorded between one-year old adults and older adults, or between all adults and juveniles. However, adult male dormice (3,989 m2, n = 5) had home ranges almost twice as large as females (2,091 m2, n = 9). No similar trend was found in juveniles. Intrasexual home range overlap was on average 62 percent in adult males, and 26 percent in adult females. However, females overlapped with more neighbouring female home ranges than did males with neighbouring male home ranges, so that, as for males, only small parts of female home ranges were really exclusive. On average, males overlapped a larger Abstract Ecology of woodland dormice M.Sc. Thesis 16 proportion (48 percent) of female home ranges than did females with neighbouring male home ranges (27 percent). In addition, males overlapped with significantly more female home ranges (7.8) than did females with male home ranges (4.9). Trapping success and nestbox data agree with the socio-ecological model. Females showed increased mobility during summer, more likely to find suitable nesting sites, and food for milk production during the reproductive season. The use of nestboxes, however, was constant throughout the year. In males, both the trapping success and nestbox use were higher during the mating season (spring), when an increased mobility and occupation of nestboxes probably increased the chances to locate and mate with (a) receptive female(s). Hence, food and (artificial) nest sites may constitute an important resource for females, whereas females seem to represent the main resource for males. Although food availability was not determined, a comparison of female and male distribution patterns provided interesting information on the mating system of woodland dormice. In GFRR, the dispersion pattern of female woodland dormice was “rather” clumped, i.e. females were non-territorial. As some females showed a dyadic intrasexual overlap of up to 90 percent, and population density was very high at the study site, this may indicate that food was very abundant and/or renewed rapidly. Based on the wide range of birth dates observed during the study period, females clearly come into oestrus at different times. In such circumstances (asynchronous sexual receptivity in females), the Female in Space and Time Hypothesis (Ims 1987a) predicts that males will be non-territorial and promiscuous. Live-trapping, nestbox use and home range data indeed suggested that male woodland dormice do not defend territories, but search for and aggregate around receptive females during the mating season.
- Full Text:
- Date Issued: 2010
Suitability of the leaf-mining fly, Pseudonapomyza sp. (Diptera: Agromyzidae), for biological control of Tecoma stans L. (Bignoniaceae) in South Africa
- Authors: Madire, Lulama Gracious
- Date: 2010
- Subjects: Diptera -- Biological control , Bignoniaceae -- Biological control , Plants, Ornamental -- Diseases and pests , Agromyzidae
- Language: English
- Type: Thesis , Masters , MSc (Zoology)
- Identifier: vital:11790 , http://hdl.handle.net/10353/255 , Diptera -- Biological control , Bignoniaceae -- Biological control , Plants, Ornamental -- Diseases and pests , Agromyzidae
- Description: Tecoma stans (L.) Juss. Ex Kunth (Bignoniaceae) also known as yellow bells, has a native distribution from Northern Argentina, central America, Mexico and the Southern USA. In many warm climatic regions of the world, T. stans is commonly planted as an ornamental plant because of its yellow flowers, hence the name yellow bells, and pinnate foliage. As a result, this evergreen shrub has wide distribution in the tropical and subtropical parts of the western hemisphere. As is the case in many other parts of the world, T. stans was introduced into South Africa as an ornamental plant, but escaped cultivation and now invades roadsides, urban open spaces, watercourses, rocky sites in subtropical and tropical areas of five South African provinces; Gauteng, Mpumalanga, Limpopo, KwaZulu-Natal, Eastern Cape and neighboring countries. Tecoma stans has the potential of extending its range because its seeds are easily dispersed by wind. The purpose of this work was to carry out pre-release efficacy studies to determine the host specificity and suitability of Pseudonapomyza sp. (Diptera: Agromyzidae), a leaf-mining fly, as a biological control agent of T. stans. Available information suggests that the fly was brought to South Africa (SA) from Argentina in 2005. In that year a worker collected adult root feeding fleabeetles from T. stans and their eggs by collecting soil around the plants in the Argentinian Province of Jujuy, at San Pedro (24°12’592”S, 64°51’328”W). The soil was brought to the SA quarantine laboratory of the Agricultural Research Council, Plant Protection Research Institute (Weeds Division), Pretoria, and placed in a cage containing T. stans plants for flea-beetle larvae to emerge from the eggs. The Pseudonapomyza sp. flies which emerged from that soil were reared to produce a colony of flies used in the study reported here. The feeding behavior of Pseudonapomyza sp. adults is initiated by females which use their ovipositor to puncture holes in the leaf mesophyll and then they feed on the sap oozing from the holes. Since males have no means of puncturing the leaves, they feed from holes made by females. Eggs are laid singly into the tubular leaf punctures. Soon after hatching, the larva feeds on the leaf mesophyll tissue. As the larva feeds within the leaf it creates mines which eventually coalesce to form large blotches. The damaged leaf area reduces the photosynthetic potential of the plant especially when damaged leaves dry and fall off the plants. The potential of Pseudonapomyza sp. as a biocontrol agent is enhanced by the fact that it has a high level of fecundity and a short life cycle. As a result, its populations can build up rapidly to exert a significant impact on T. stans. Host-specificity tests undertaken on 35 plant species in 12 plant families showed that out of the 35 plant species tested, the fly was able to develop on T. stans only. Although Pseudonapomyza sp. adults fed on T. capensis, a South African indigenous ornamental shrub, no larval mines were observed on this plant. This suggests two possibilities; either females of Pseudonapomyza sp. do not oviposit on T. capensis or oviposition takes place but larvae cannot feed and develop on this plant. These studies indicate that this fly is sufficiently host-specific, and can be released against T. stans without posing any threat to either commercial or indigenous plant species grown in South Africa. Experimental designs simulating high populations of Pseudonapomyza sp. showed that the impact of leaf mining fly on T. stans can cause approximately 56 percent aboveground biomass reduction. Other concurrent studies have also showed that low and high density fly infestations can cause 23 percent and 48 percent belowground biomass reductions, respectively. Based on the available information, it appears that Pseudonapomyza sp. may have the potential to reduce the invasive capacity of T. stans in the affected areas. In order to exert more herbivore pressure on T. stans, it is suggested that agents belonging to other feeding guilds, such as root-, stem- and seed-feeding insects, be considered for release to complement the leaf-feeding of Pseudonapomyza sp. An application to release this fly in SA has been submitted to one of the two regulatory authorities.
- Full Text:
- Date Issued: 2010
- Authors: Madire, Lulama Gracious
- Date: 2010
- Subjects: Diptera -- Biological control , Bignoniaceae -- Biological control , Plants, Ornamental -- Diseases and pests , Agromyzidae
- Language: English
- Type: Thesis , Masters , MSc (Zoology)
- Identifier: vital:11790 , http://hdl.handle.net/10353/255 , Diptera -- Biological control , Bignoniaceae -- Biological control , Plants, Ornamental -- Diseases and pests , Agromyzidae
- Description: Tecoma stans (L.) Juss. Ex Kunth (Bignoniaceae) also known as yellow bells, has a native distribution from Northern Argentina, central America, Mexico and the Southern USA. In many warm climatic regions of the world, T. stans is commonly planted as an ornamental plant because of its yellow flowers, hence the name yellow bells, and pinnate foliage. As a result, this evergreen shrub has wide distribution in the tropical and subtropical parts of the western hemisphere. As is the case in many other parts of the world, T. stans was introduced into South Africa as an ornamental plant, but escaped cultivation and now invades roadsides, urban open spaces, watercourses, rocky sites in subtropical and tropical areas of five South African provinces; Gauteng, Mpumalanga, Limpopo, KwaZulu-Natal, Eastern Cape and neighboring countries. Tecoma stans has the potential of extending its range because its seeds are easily dispersed by wind. The purpose of this work was to carry out pre-release efficacy studies to determine the host specificity and suitability of Pseudonapomyza sp. (Diptera: Agromyzidae), a leaf-mining fly, as a biological control agent of T. stans. Available information suggests that the fly was brought to South Africa (SA) from Argentina in 2005. In that year a worker collected adult root feeding fleabeetles from T. stans and their eggs by collecting soil around the plants in the Argentinian Province of Jujuy, at San Pedro (24°12’592”S, 64°51’328”W). The soil was brought to the SA quarantine laboratory of the Agricultural Research Council, Plant Protection Research Institute (Weeds Division), Pretoria, and placed in a cage containing T. stans plants for flea-beetle larvae to emerge from the eggs. The Pseudonapomyza sp. flies which emerged from that soil were reared to produce a colony of flies used in the study reported here. The feeding behavior of Pseudonapomyza sp. adults is initiated by females which use their ovipositor to puncture holes in the leaf mesophyll and then they feed on the sap oozing from the holes. Since males have no means of puncturing the leaves, they feed from holes made by females. Eggs are laid singly into the tubular leaf punctures. Soon after hatching, the larva feeds on the leaf mesophyll tissue. As the larva feeds within the leaf it creates mines which eventually coalesce to form large blotches. The damaged leaf area reduces the photosynthetic potential of the plant especially when damaged leaves dry and fall off the plants. The potential of Pseudonapomyza sp. as a biocontrol agent is enhanced by the fact that it has a high level of fecundity and a short life cycle. As a result, its populations can build up rapidly to exert a significant impact on T. stans. Host-specificity tests undertaken on 35 plant species in 12 plant families showed that out of the 35 plant species tested, the fly was able to develop on T. stans only. Although Pseudonapomyza sp. adults fed on T. capensis, a South African indigenous ornamental shrub, no larval mines were observed on this plant. This suggests two possibilities; either females of Pseudonapomyza sp. do not oviposit on T. capensis or oviposition takes place but larvae cannot feed and develop on this plant. These studies indicate that this fly is sufficiently host-specific, and can be released against T. stans without posing any threat to either commercial or indigenous plant species grown in South Africa. Experimental designs simulating high populations of Pseudonapomyza sp. showed that the impact of leaf mining fly on T. stans can cause approximately 56 percent aboveground biomass reduction. Other concurrent studies have also showed that low and high density fly infestations can cause 23 percent and 48 percent belowground biomass reductions, respectively. Based on the available information, it appears that Pseudonapomyza sp. may have the potential to reduce the invasive capacity of T. stans in the affected areas. In order to exert more herbivore pressure on T. stans, it is suggested that agents belonging to other feeding guilds, such as root-, stem- and seed-feeding insects, be considered for release to complement the leaf-feeding of Pseudonapomyza sp. An application to release this fly in SA has been submitted to one of the two regulatory authorities.
- Full Text:
- Date Issued: 2010
The global financial crisis and its impact on the South African economy
- Authors: Madubeko, Vongai
- Date: 2010
- Subjects: Globalization -- Economic aspects , Global Financial Crisis, 2008-2009 , South Africa -- Economic conditions
- Language: English
- Type: Thesis , Masters , M Com
- Identifier: vital:11457 , http://hdl.handle.net/10353/363 , Globalization -- Economic aspects , Global Financial Crisis, 2008-2009 , South Africa -- Economic conditions
- Description: This dissertation investigates the effects of the financial crisis on the South African economy. In order to do this, an index which describes the financial conditions of the South African economy is constructed and computed. The index indicates that domestic South African financial conditions have deteriorated substantially during the period under study and so the study investigates how this has impacted on the country’s economic growth. A VAR model with South African variables is specified and used to assess the quantitative effects of the financial crisis on South African real GDP growth. Results suggest that the South African economy was not significantly affected by the crisis, but economic growth was slowed down and may still grow substantially slower in the next few years due to the financial crisis. These results corroborate the theoretical predictions and are also supported by previous studies.
- Full Text:
- Date Issued: 2010
- Authors: Madubeko, Vongai
- Date: 2010
- Subjects: Globalization -- Economic aspects , Global Financial Crisis, 2008-2009 , South Africa -- Economic conditions
- Language: English
- Type: Thesis , Masters , M Com
- Identifier: vital:11457 , http://hdl.handle.net/10353/363 , Globalization -- Economic aspects , Global Financial Crisis, 2008-2009 , South Africa -- Economic conditions
- Description: This dissertation investigates the effects of the financial crisis on the South African economy. In order to do this, an index which describes the financial conditions of the South African economy is constructed and computed. The index indicates that domestic South African financial conditions have deteriorated substantially during the period under study and so the study investigates how this has impacted on the country’s economic growth. A VAR model with South African variables is specified and used to assess the quantitative effects of the financial crisis on South African real GDP growth. Results suggest that the South African economy was not significantly affected by the crisis, but economic growth was slowed down and may still grow substantially slower in the next few years due to the financial crisis. These results corroborate the theoretical predictions and are also supported by previous studies.
- Full Text:
- Date Issued: 2010
Unionism and public service reform in Lesotho: between legislative constraints and apathy
- Authors: Maema, Mapule
- Date: 2010
- Subjects: Civil service -- Lesotho , Labor unions -- Lesotho , Civil service reform -- Lesotho
- Language: English
- Type: Thesis , Masters , MSocSc
- Identifier: vital:3306 , http://hdl.handle.net/10962/d1003094 , Civil service -- Lesotho , Labor unions -- Lesotho , Civil service reform -- Lesotho
- Description: The study focuses on Lesotho‟s Public Service. The aims of this study were to examine the factors that led to the repeal of the Public Service Act No.13 of 1995. This study looks at the legislative constraints and attitudes of civil servants towards unionisation in the Public Service. It also outlines the relevant provisions of the Public Service Act No.1 of 2005; the changes that have occurred since its inception. Findings show that the Public Service Act No.13 of 1995 was repealed in order to reform the Public Service. The Ministry of the Public Service implemented five-year strategic plans to reform the public service. Changes have occurred in the public service since the inception of the 2005 Act; however, they differ from ministry to ministry. The respondents included public officers from the Ministry of the Public Service, Ministry of Justice, Law Office, Ministry of Employment and Labour, Ministry of Planning, the Ombudsman Office, Parliament, different ministries, the International Labour Organisation (ILO), the Congress of the Lesotho Trade Unions (COLETU) and the Lesotho Public Service Staff Association (LEPSSA).
- Full Text:
- Date Issued: 2010
- Authors: Maema, Mapule
- Date: 2010
- Subjects: Civil service -- Lesotho , Labor unions -- Lesotho , Civil service reform -- Lesotho
- Language: English
- Type: Thesis , Masters , MSocSc
- Identifier: vital:3306 , http://hdl.handle.net/10962/d1003094 , Civil service -- Lesotho , Labor unions -- Lesotho , Civil service reform -- Lesotho
- Description: The study focuses on Lesotho‟s Public Service. The aims of this study were to examine the factors that led to the repeal of the Public Service Act No.13 of 1995. This study looks at the legislative constraints and attitudes of civil servants towards unionisation in the Public Service. It also outlines the relevant provisions of the Public Service Act No.1 of 2005; the changes that have occurred since its inception. Findings show that the Public Service Act No.13 of 1995 was repealed in order to reform the Public Service. The Ministry of the Public Service implemented five-year strategic plans to reform the public service. Changes have occurred in the public service since the inception of the 2005 Act; however, they differ from ministry to ministry. The respondents included public officers from the Ministry of the Public Service, Ministry of Justice, Law Office, Ministry of Employment and Labour, Ministry of Planning, the Ombudsman Office, Parliament, different ministries, the International Labour Organisation (ILO), the Congress of the Lesotho Trade Unions (COLETU) and the Lesotho Public Service Staff Association (LEPSSA).
- Full Text:
- Date Issued: 2010
A spectroscopic study of the electronic effects on copper (II) and copper (I) complexes of ligands derived from various substituted benzyaldehyde- and cinnamaldehyde- based schiff bases
- Authors: Magwa, Nomampondo Penelope
- Date: 2010 , 2010-03-19
- Subjects: Copper -- Analysis , Schiff bases , Organometallic compounds
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4407 , http://hdl.handle.net/10962/d1006712 , Copper -- Analysis , Schiff bases , Organometallic compounds
- Description: Several Schiff base ligands, N, N‟-(aryl)benzyaldiimine ligands (R-BEN); N, N‟-(aryl)benzyaldiamine dihydrochloride ligands (R-BENH•2HCl); N, N‟-(aryl)benzyaldiamine ligands (R-BENH); N, N‟-bis(cinnamaldiimine) ligands (R-CA2EN) were synthesized for the investigation of the electronic effect of the substituents at para-position of the Schiff base ligands and their copper complexes. The synthesis of Schiff bases was carried out by reacting a series of para-substituted benzyaldehyde, and para-substituted cinnamaldehyde with ethylenediamine. The imine group of Schiff bases, N, N‟-(aryl)benzyaldiimine ligands and N, N‟-bis(cinnamaldiimine)ligands were reduced to corresponding amines with sodium borohydride in methanol These ligands, N, N‟-(aryl)benzyaldiamine ligands (H-BENH), N, N‟-bis(cinnamaldiimine)ligands (CA2EN) were reacted with copper(II) dihalide and copper(I) monohalide ions respectively to form complexes. The ligands and their complexes were analysed using elemental analyses, FT-IR spectroscopy (mid-IR), UV/vis in aprotic and protic solvents,while mass spectrometry, 1H-NMR and 13C-NMR were used to further analyse the ligands. By using substituent parameters, both the single and dual substituent parameters with the spectroscopic data obtained from the spectroscopic techiques mentioned above, it was hoped to monitor and determine whether the electronic effects (resonance or inductive effcets) was predominantly within the Schiff base ligands and copper complexes. The NMR studies with dual substituent parameters suggest that the effects of the substituents are transimitted through the ligands, via resonance effects and that the phenyl group is nonplanar with the azomethine in N, N‟-(aryl)benzyaldiimine ligands. The presence of an extra double bond in Schiff base {(N, N‟-bis(cinnamaldiimine) ligand)} altered the electron density. The UV/vis studies showed that the symmetry of the N, N‟-bis(4-R-benzyl)-1, 2-diaminoethanedihalidecopper(II) complexes were predominantly tetrahedral for both chloro and bromo complexes. The correlation studies from mid-infrared were beneficial in monitoring the effect experienced by N, N‟-(aryl)benzaldiimine ligands, the studies suggest that the inductive effect is more pronounced at the C=N.
- Full Text:
- Date Issued: 2010
- Authors: Magwa, Nomampondo Penelope
- Date: 2010 , 2010-03-19
- Subjects: Copper -- Analysis , Schiff bases , Organometallic compounds
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4407 , http://hdl.handle.net/10962/d1006712 , Copper -- Analysis , Schiff bases , Organometallic compounds
- Description: Several Schiff base ligands, N, N‟-(aryl)benzyaldiimine ligands (R-BEN); N, N‟-(aryl)benzyaldiamine dihydrochloride ligands (R-BENH•2HCl); N, N‟-(aryl)benzyaldiamine ligands (R-BENH); N, N‟-bis(cinnamaldiimine) ligands (R-CA2EN) were synthesized for the investigation of the electronic effect of the substituents at para-position of the Schiff base ligands and their copper complexes. The synthesis of Schiff bases was carried out by reacting a series of para-substituted benzyaldehyde, and para-substituted cinnamaldehyde with ethylenediamine. The imine group of Schiff bases, N, N‟-(aryl)benzyaldiimine ligands and N, N‟-bis(cinnamaldiimine)ligands were reduced to corresponding amines with sodium borohydride in methanol These ligands, N, N‟-(aryl)benzyaldiamine ligands (H-BENH), N, N‟-bis(cinnamaldiimine)ligands (CA2EN) were reacted with copper(II) dihalide and copper(I) monohalide ions respectively to form complexes. The ligands and their complexes were analysed using elemental analyses, FT-IR spectroscopy (mid-IR), UV/vis in aprotic and protic solvents,while mass spectrometry, 1H-NMR and 13C-NMR were used to further analyse the ligands. By using substituent parameters, both the single and dual substituent parameters with the spectroscopic data obtained from the spectroscopic techiques mentioned above, it was hoped to monitor and determine whether the electronic effects (resonance or inductive effcets) was predominantly within the Schiff base ligands and copper complexes. The NMR studies with dual substituent parameters suggest that the effects of the substituents are transimitted through the ligands, via resonance effects and that the phenyl group is nonplanar with the azomethine in N, N‟-(aryl)benzyaldiimine ligands. The presence of an extra double bond in Schiff base {(N, N‟-bis(cinnamaldiimine) ligand)} altered the electron density. The UV/vis studies showed that the symmetry of the N, N‟-bis(4-R-benzyl)-1, 2-diaminoethanedihalidecopper(II) complexes were predominantly tetrahedral for both chloro and bromo complexes. The correlation studies from mid-infrared were beneficial in monitoring the effect experienced by N, N‟-(aryl)benzaldiimine ligands, the studies suggest that the inductive effect is more pronounced at the C=N.
- Full Text:
- Date Issued: 2010
Application of multiserver queueing to call centres
- Authors: Majakwara, Jacob
- Date: 2010
- Subjects: Call centers , ERLANG (Computer program language) , Queuing theory
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5578 , http://hdl.handle.net/10962/d1015461
- Description: The simplest and most widely used queueing model in call centres is the M/M/k system, sometimes referred to as Erlang-C. For many applications the model is an over-simplification. Erlang-C model ignores among other things busy signals, customer impatience and services that span multiple visits. Although the Erlang-C formula is easily implemented, it is not easy to obtain insight from its answers (for example, to find an approximate answer to questions such as "how many additional agents do I need if the arrival rate doubles?"). An approximation of the Erlang-C formula that gives structural insight into this type of question would be of use to better understand economies of scale in call centre operations. Erlang-C based predictions can also turn out highly inaccurate because of violations of underlying assumptions and these violations are not straightforward to model. For example, non-exponential service times lead one to the M/G/k queue which, in stark contrast to the M/M/k system, is difficult to analyse. This thesis deals mainly with the general M/GI/k model with abandonment. The arrival process conforms to a Poisson process, service durations are independent and identically distributed with a general distribution, there are k servers, and independent and identically distributed customer abandoning times with a general distribution. This thesis will endeavour to analyse call centres using M/GI/k model with abandonment and the data to be used will be simulated using EZSIM-software. The paper by Brown et al. [3] entitled "Statistical Analysis of a Telephone Call Centre: A Queueing-Science Perspective," will be the basis upon which this thesis is built.
- Full Text:
- Date Issued: 2010
- Authors: Majakwara, Jacob
- Date: 2010
- Subjects: Call centers , ERLANG (Computer program language) , Queuing theory
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5578 , http://hdl.handle.net/10962/d1015461
- Description: The simplest and most widely used queueing model in call centres is the M/M/k system, sometimes referred to as Erlang-C. For many applications the model is an over-simplification. Erlang-C model ignores among other things busy signals, customer impatience and services that span multiple visits. Although the Erlang-C formula is easily implemented, it is not easy to obtain insight from its answers (for example, to find an approximate answer to questions such as "how many additional agents do I need if the arrival rate doubles?"). An approximation of the Erlang-C formula that gives structural insight into this type of question would be of use to better understand economies of scale in call centre operations. Erlang-C based predictions can also turn out highly inaccurate because of violations of underlying assumptions and these violations are not straightforward to model. For example, non-exponential service times lead one to the M/G/k queue which, in stark contrast to the M/M/k system, is difficult to analyse. This thesis deals mainly with the general M/GI/k model with abandonment. The arrival process conforms to a Poisson process, service durations are independent and identically distributed with a general distribution, there are k servers, and independent and identically distributed customer abandoning times with a general distribution. This thesis will endeavour to analyse call centres using M/GI/k model with abandonment and the data to be used will be simulated using EZSIM-software. The paper by Brown et al. [3] entitled "Statistical Analysis of a Telephone Call Centre: A Queueing-Science Perspective," will be the basis upon which this thesis is built.
- Full Text:
- Date Issued: 2010
Modeling of arsenic removal from aqueous media using selected coagulants
- Authors: Majavu, Avela
- Date: 2010
- Subjects: Arsenic wastes , Water -- Purification -- Arsenic removal , Coagulation
- Language: English
- Type: Thesis , Masters , MTech
- Identifier: vital:10426 , http://hdl.handle.net/10948/d1017100
- Description: The waste water from the industrial production of the herbicide monosodium methyl arsenate was treated using coagulation. The coagulation process as developed in this research proved to be suitable for arsenic removal in aqueous media using chromium (III), calcium (II), and combination of calcium (II) and chromium (III), and magnesium (II). The results obtained suggest that the coagulation process can be used for the treatment of the waste water from the monosodium methyl arsenate production. Response surface methodology was used to study the effects of the various parameters, namely pH, mole ratios (Cr:As, Ca:As, and Mg:As), concentration of flocculent and initial arsenic concentration. To optimize the process conditions for the maximum removal of arsenic. Central composite and factorial designs were used to study the effects of these variables and to predict the effect of each. ANOVA was used to identify those factors which had significant effects on model quality and performance. The initial arsenic concentration appeared to be the only significant factor. These models were statistically tested and verified by confirmation experiments.
- Full Text:
- Date Issued: 2010
- Authors: Majavu, Avela
- Date: 2010
- Subjects: Arsenic wastes , Water -- Purification -- Arsenic removal , Coagulation
- Language: English
- Type: Thesis , Masters , MTech
- Identifier: vital:10426 , http://hdl.handle.net/10948/d1017100
- Description: The waste water from the industrial production of the herbicide monosodium methyl arsenate was treated using coagulation. The coagulation process as developed in this research proved to be suitable for arsenic removal in aqueous media using chromium (III), calcium (II), and combination of calcium (II) and chromium (III), and magnesium (II). The results obtained suggest that the coagulation process can be used for the treatment of the waste water from the monosodium methyl arsenate production. Response surface methodology was used to study the effects of the various parameters, namely pH, mole ratios (Cr:As, Ca:As, and Mg:As), concentration of flocculent and initial arsenic concentration. To optimize the process conditions for the maximum removal of arsenic. Central composite and factorial designs were used to study the effects of these variables and to predict the effect of each. ANOVA was used to identify those factors which had significant effects on model quality and performance. The initial arsenic concentration appeared to be the only significant factor. These models were statistically tested and verified by confirmation experiments.
- Full Text:
- Date Issued: 2010
Assessing a marketing strategy for an engineering consulting company
- Authors: Maliti, Mbulelo Bruce
- Date: 2010
- Subjects: Construction industry -- Customer services -- Marketing , Consulting engineers -- Customer services -- South Africa , Design services -- Marketing , Project management
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: vital:8626 , http://hdl.handle.net/10948/1489 , Construction industry -- Customer services -- Marketing , Consulting engineers -- Customer services -- South Africa , Design services -- Marketing , Project management
- Description: The engineering consulting industry in South Africa witnessed an overwhelming growth before the 2010 Fifa World Cup. The country had a lot of infrastructural development that needed the services of consulting engineers. A lot of people saw the challenge as a business opportunity and started their own consulting engineering companies. The demand for consulting engineering services was high before the 2010 Fifa World Cup; this changed after the completion of projects that were due for the world cup and some had to close or retrench staff due to scarcity of projects. The completion of 2010 Fifa World Cup projects is not the only challenge faced by the engineering consulting sector; government policies such tendering and procurement procedures that do not acknowledge performance, lack of funding etc. It is therefore important that companies look for better ways of gaining competitiveness in order to get more projects. These companies must not only rely on government projects but do marketing on the private sector as well. The purpose of the research is to assess and develop a marketing strategy for Company X Consulting engineers. A literature study on most successful marketing strategies employed by other service oriented companies was conducted. The literature study also comprised of the perception of marketing amongst consulting engineering companies. From the literature study mentioned above; questionnaires were drawn towards the development of a marketing strategy for Company X consulting engineers. The findings of the questionnaires were analysed and recommendation were made for the development of a marketing strategy for Company X.
- Full Text:
- Date Issued: 2010
- Authors: Maliti, Mbulelo Bruce
- Date: 2010
- Subjects: Construction industry -- Customer services -- Marketing , Consulting engineers -- Customer services -- South Africa , Design services -- Marketing , Project management
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: vital:8626 , http://hdl.handle.net/10948/1489 , Construction industry -- Customer services -- Marketing , Consulting engineers -- Customer services -- South Africa , Design services -- Marketing , Project management
- Description: The engineering consulting industry in South Africa witnessed an overwhelming growth before the 2010 Fifa World Cup. The country had a lot of infrastructural development that needed the services of consulting engineers. A lot of people saw the challenge as a business opportunity and started their own consulting engineering companies. The demand for consulting engineering services was high before the 2010 Fifa World Cup; this changed after the completion of projects that were due for the world cup and some had to close or retrench staff due to scarcity of projects. The completion of 2010 Fifa World Cup projects is not the only challenge faced by the engineering consulting sector; government policies such tendering and procurement procedures that do not acknowledge performance, lack of funding etc. It is therefore important that companies look for better ways of gaining competitiveness in order to get more projects. These companies must not only rely on government projects but do marketing on the private sector as well. The purpose of the research is to assess and develop a marketing strategy for Company X Consulting engineers. A literature study on most successful marketing strategies employed by other service oriented companies was conducted. The literature study also comprised of the perception of marketing amongst consulting engineering companies. From the literature study mentioned above; questionnaires were drawn towards the development of a marketing strategy for Company X consulting engineers. The findings of the questionnaires were analysed and recommendation were made for the development of a marketing strategy for Company X.
- Full Text:
- Date Issued: 2010
Volatility and the risk return relationship on the South African equity market
- Authors: Mandimika, Neville
- Date: 2010
- Subjects: Stock exchanges , Financial risk -- South Africa , Saving and investment -- South Africa
- Language: English
- Type: Thesis , Masters , MCom
- Identifier: vital:1009 , http://hdl.handle.net/10962/d1002744 , Stock exchanges , Financial risk -- South Africa , Saving and investment -- South Africa
- Description: The volatility of stock markets has important implications for investment decision making, financial stability and overall macroeconomic stability. This study examines the risk-return relationship as well as the behaviour of volatility of the South African equity markets using both aggregate, industrial level and sector level data. The study is divided into three parts. The first part investigates the behaviour of volatility in each of the industries, sectors and the benchmark series focussing on whether volatility is symmetric or asymmetric. Subsequently we investigate which, among the GARCH family of models appropriately captured the riskreturn relationship under which distributional assumption. The second part examines the riskreturn relationship on the SA stock market. The third part examines the long term trend of volatility and whether volatility significantly increases during financial crises and during major global shocks. The GARCH-M, EGARCH-M and TARCH-M models under the Gaussian, Student –t and the GED are used. The findings this study makes are as follows: firstly, there is no clear relationship between risk and return. Secondly, volatility is asymmetrical, implying that bad news has a greater effect on volatility than good news in the South African equity market. Thirdly, the TARCH-M model under the GED was found to be the most appropriate model. Fourthly, volatility increases during financial crises and major global shocks. Overall, volatility is generally not priced on the South African equity markets. Thus, both local and international investors need to consider other factors that influence returns such as skewness. The general increase in volatility during financial crises and major global shocks poses a major concern for policy makers as this may cause financial instability. Thus policy makers need to be mindful of the behaviour of volatility in the South African equity market in response to external shocks.
- Full Text:
- Date Issued: 2010
- Authors: Mandimika, Neville
- Date: 2010
- Subjects: Stock exchanges , Financial risk -- South Africa , Saving and investment -- South Africa
- Language: English
- Type: Thesis , Masters , MCom
- Identifier: vital:1009 , http://hdl.handle.net/10962/d1002744 , Stock exchanges , Financial risk -- South Africa , Saving and investment -- South Africa
- Description: The volatility of stock markets has important implications for investment decision making, financial stability and overall macroeconomic stability. This study examines the risk-return relationship as well as the behaviour of volatility of the South African equity markets using both aggregate, industrial level and sector level data. The study is divided into three parts. The first part investigates the behaviour of volatility in each of the industries, sectors and the benchmark series focussing on whether volatility is symmetric or asymmetric. Subsequently we investigate which, among the GARCH family of models appropriately captured the riskreturn relationship under which distributional assumption. The second part examines the riskreturn relationship on the SA stock market. The third part examines the long term trend of volatility and whether volatility significantly increases during financial crises and during major global shocks. The GARCH-M, EGARCH-M and TARCH-M models under the Gaussian, Student –t and the GED are used. The findings this study makes are as follows: firstly, there is no clear relationship between risk and return. Secondly, volatility is asymmetrical, implying that bad news has a greater effect on volatility than good news in the South African equity market. Thirdly, the TARCH-M model under the GED was found to be the most appropriate model. Fourthly, volatility increases during financial crises and major global shocks. Overall, volatility is generally not priced on the South African equity markets. Thus, both local and international investors need to consider other factors that influence returns such as skewness. The general increase in volatility during financial crises and major global shocks poses a major concern for policy makers as this may cause financial instability. Thus policy makers need to be mindful of the behaviour of volatility in the South African equity market in response to external shocks.
- Full Text:
- Date Issued: 2010
The relationship between bank concentration and the interest rate pass through in selected African countries
- Mangwengwende, Tadiwanashe Mukudzeyi
- Authors: Mangwengwende, Tadiwanashe Mukudzeyi
- Date: 2010
- Subjects: Interest rates -- Effect of inflation on -- Africa , Monetary policy -- Africa , Prime rate , Prime rate -- Africa
- Language: English
- Type: Thesis , Masters , MCom
- Identifier: vital:942 , http://hdl.handle.net/10962/d1002675
- Description: Given the importance of monetary policy in the operation of a successful modern economy and the use of official interest rates as tools in its implementation, this study investigates the implications of changing bank concentration on the operation of the Interest Rate Pass Through (IRPT) of official rates to bank lending and deposit rates. This is an issue made more poignant by growing mergers, acquisitions and bank consolidation exercises around the world that have brought interest to their implications for economic performance. However, with contention high in the industrial organisation theory on the likely relationship between bank concentration and the IRPT, and the outcomes of empirical investigations producing conflicting evidence, the desire to investigate the issue in the African context necessitated a thorough empirical investigation of four African countries (South Africa, Botswana, Nigeria and Zambia). This study not only extended the investigation of the issue to the African context, but it merged different IRPT measurement techniques that had not been jointly applied to this particular issue, namely; Symmetric and Asymmetric Error Correction Models, Mean Adjustment Lags, Ordinary Least Squares estimations and Autoregressive Distributed Lag models. These measures of the IRPT were compared with three firm concentration ratios on two different levels of analysis, one, over the entire period and, another, through eight year rolling windows. The results reveal that bank concentration can sometimes be related to the speed and magnitude of the IRPT but that these relationships are not consistent amongst the countries, over the entire sample period or across the two levels of analysis, suggesting reasons why empirical results have arrived at contrasting conclusions. The results revealed more evidence of a relationship between bank concentration and the magnitude of the IRPT than between bank concentration and the speed of the IRPT. Furthermore, where relationships were identified there was evidence supporting both the structure conduct performance hypothesis and the competing efficient market hypothesis as the true representation of the relationship between bank concentration and the IRPT. The key implication of the result for African countries is that increased bank concentration through bank consolidation programmes should not be automatically regarded as detrimental to the effective implementation of monetary policy through the IRPT. Consequently,banking sector regulation need not stifle bank consolidation and growth to preserve monetary policy effectiveness. Rather, since the relationship cannot be neatly represented by a single theory or hypothesis each country must determine its own interaction between bank concentration and its IRPT before policies regarding the banking sector concentration and effective monetary policy, through the use of official interest rates, are determined.
- Full Text:
- Date Issued: 2010
- Authors: Mangwengwende, Tadiwanashe Mukudzeyi
- Date: 2010
- Subjects: Interest rates -- Effect of inflation on -- Africa , Monetary policy -- Africa , Prime rate , Prime rate -- Africa
- Language: English
- Type: Thesis , Masters , MCom
- Identifier: vital:942 , http://hdl.handle.net/10962/d1002675
- Description: Given the importance of monetary policy in the operation of a successful modern economy and the use of official interest rates as tools in its implementation, this study investigates the implications of changing bank concentration on the operation of the Interest Rate Pass Through (IRPT) of official rates to bank lending and deposit rates. This is an issue made more poignant by growing mergers, acquisitions and bank consolidation exercises around the world that have brought interest to their implications for economic performance. However, with contention high in the industrial organisation theory on the likely relationship between bank concentration and the IRPT, and the outcomes of empirical investigations producing conflicting evidence, the desire to investigate the issue in the African context necessitated a thorough empirical investigation of four African countries (South Africa, Botswana, Nigeria and Zambia). This study not only extended the investigation of the issue to the African context, but it merged different IRPT measurement techniques that had not been jointly applied to this particular issue, namely; Symmetric and Asymmetric Error Correction Models, Mean Adjustment Lags, Ordinary Least Squares estimations and Autoregressive Distributed Lag models. These measures of the IRPT were compared with three firm concentration ratios on two different levels of analysis, one, over the entire period and, another, through eight year rolling windows. The results reveal that bank concentration can sometimes be related to the speed and magnitude of the IRPT but that these relationships are not consistent amongst the countries, over the entire sample period or across the two levels of analysis, suggesting reasons why empirical results have arrived at contrasting conclusions. The results revealed more evidence of a relationship between bank concentration and the magnitude of the IRPT than between bank concentration and the speed of the IRPT. Furthermore, where relationships were identified there was evidence supporting both the structure conduct performance hypothesis and the competing efficient market hypothesis as the true representation of the relationship between bank concentration and the IRPT. The key implication of the result for African countries is that increased bank concentration through bank consolidation programmes should not be automatically regarded as detrimental to the effective implementation of monetary policy through the IRPT. Consequently,banking sector regulation need not stifle bank consolidation and growth to preserve monetary policy effectiveness. Rather, since the relationship cannot be neatly represented by a single theory or hypothesis each country must determine its own interaction between bank concentration and its IRPT before policies regarding the banking sector concentration and effective monetary policy, through the use of official interest rates, are determined.
- Full Text:
- Date Issued: 2010
Becoming a business journalist in Malawi: a case study of The Daily Times and The Nation newspapers
- Authors: Manjawira, Ellard Spencer
- Date: 2010 , 2013-07-17
- Subjects: Journalists -- Malawi Journalism -- Study and teaching -- Malawi Journalists -- Training of -- Malawi Journalists -- Education -- Malawi
- Language: English
- Type: Thesis , Masters , MA
- Identifier: vital:3506 , http://hdl.handle.net/10962/d1007440
- Description: In the past few decades, the proportion of business news compared to general news has increased tremendously across all media platforms in Africa. While the critical role played by business journalism is recognised, little is known about the people who write and report such news. Most studies on business reporting have tended to focus on analysing the content of business news, rather than the specific processes through which business journalists are socialized and trained. The findings of this study are drawn mainly from in-depth interviews with business reporters and editors at two leading newspapers in Malawi, The Daily Times and The Nation. Three major findings emerge trom the study data. First, business journalists vary in their educational and professional backgrounds, as well as the reasons for working on this beat. Second, the majority of them have no prerequisite formal education and training in business journalism and, therefore, have little knowledge and skills about what constitute good business journalism. Third, professionalism in the sub-field is constrained by a host of factors, influence of advertisers being the critical one. The study recommends that business reporting become an integral component of journalism education and training programmes to adequately prepare future generations of business journalists. In addition there is need for media houses to devise strategies to counter obstacles that business journalists face for them to effectively contribute to political economy debate. , KMBT_363
- Full Text:
- Date Issued: 2010
- Authors: Manjawira, Ellard Spencer
- Date: 2010 , 2013-07-17
- Subjects: Journalists -- Malawi Journalism -- Study and teaching -- Malawi Journalists -- Training of -- Malawi Journalists -- Education -- Malawi
- Language: English
- Type: Thesis , Masters , MA
- Identifier: vital:3506 , http://hdl.handle.net/10962/d1007440
- Description: In the past few decades, the proportion of business news compared to general news has increased tremendously across all media platforms in Africa. While the critical role played by business journalism is recognised, little is known about the people who write and report such news. Most studies on business reporting have tended to focus on analysing the content of business news, rather than the specific processes through which business journalists are socialized and trained. The findings of this study are drawn mainly from in-depth interviews with business reporters and editors at two leading newspapers in Malawi, The Daily Times and The Nation. Three major findings emerge trom the study data. First, business journalists vary in their educational and professional backgrounds, as well as the reasons for working on this beat. Second, the majority of them have no prerequisite formal education and training in business journalism and, therefore, have little knowledge and skills about what constitute good business journalism. Third, professionalism in the sub-field is constrained by a host of factors, influence of advertisers being the critical one. The study recommends that business reporting become an integral component of journalism education and training programmes to adequately prepare future generations of business journalists. In addition there is need for media houses to devise strategies to counter obstacles that business journalists face for them to effectively contribute to political economy debate. , KMBT_363
- Full Text:
- Date Issued: 2010