Fraction-specific geochemistry across the Asbestos Hills BIF of the Transvaal Supergroup, South Africa: implications for the origin of BIF and the history of atmospheric oxygen
- Oonk, Paul Bernardus Hendrikus
- Authors: Oonk, Paul Bernardus Hendrikus
- Date: 2017
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/50721 , vital:26021
- Description: Banded iron formations (BIF), deposited prior to and concurrent with the Great Oxidation Event (GOE) at ca. 2.4 Ga, record changes in oceanic and atmospheric chemistry during this critical time interval. Four previously unstudied drill-cores from the Griqualand West Basin, South Africa, capturing the rhythmically mesobanded, deep-water Kuruman BIF and the overlying granular, shallower Griquatown BIF, were sampled every ca. 10 m along core depth. Mineralogically, these BIFs consist of three iron-bearing fractions: (1) Fe-Ca-Mg-Mn carbonates, (2) magnetite with/without minor hematite and (3) Fe-silicates. These fractions are typically fine-grained on a sub-μm scale and their co-occurrence in varying amounts means that bulk-rock or microanalytical geochemical and stable isotope data are influenced by mineralogy.
- Full Text:
- Date Issued: 2017
- Authors: Oonk, Paul Bernardus Hendrikus
- Date: 2017
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/50721 , vital:26021
- Description: Banded iron formations (BIF), deposited prior to and concurrent with the Great Oxidation Event (GOE) at ca. 2.4 Ga, record changes in oceanic and atmospheric chemistry during this critical time interval. Four previously unstudied drill-cores from the Griqualand West Basin, South Africa, capturing the rhythmically mesobanded, deep-water Kuruman BIF and the overlying granular, shallower Griquatown BIF, were sampled every ca. 10 m along core depth. Mineralogically, these BIFs consist of three iron-bearing fractions: (1) Fe-Ca-Mg-Mn carbonates, (2) magnetite with/without minor hematite and (3) Fe-silicates. These fractions are typically fine-grained on a sub-μm scale and their co-occurrence in varying amounts means that bulk-rock or microanalytical geochemical and stable isotope data are influenced by mineralogy.
- Full Text:
- Date Issued: 2017
Freshwater invertebrate assemblages of the Eastern Cape Karoo region (South Africa) earmarked for shale gas exploration
- Authors: Mabidi, Annah
- Date: 2017
- Subjects: Invertebrates -- South Africa -- Karoo , Shale gas -- Conservation -- South Africa -- Karoo Freshwater animals -- South Africa -- Karoo Stream ecology -- South Africa -- Karoo
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/13713 , vital:27301
- Description: The Eastern Cape Karoo region is semi-arid with highly variable rainfall. This variability in rainfall sustains a mosaic of surface freshwater bodies that range from permanently to temporarily inundated. These waterbodies provide habitats for diverse invertebrate assemblages. The imminent hydraulic fracturing for shale gas has a potential to modify the water regime, with particular risk of salinisation. Accumulation of salts in freshwater wetlands results in loss of biodiversity, as invertebrate species shift from salt intolerant to salt tolerant species. This study therefore aims to expand on existing knowledge and provide new information on the distribution, diversity and structure of macroinvertebrate assemblages associated with various freshwater bodies in the region prior to shale gas exploration. Limnological and ecological aspects of thirty-three waterbodies (rivers, dams and depression wetlands) were investigated between November 2014 and March 2016. An experimental study on the effects of salinity on hatching success of branchiopod resting eggs was also included in the research. Rivers were characterised by high conductivity and depression wetlands by high turbidity, while dams had relatively higher pH than the other two waterbody types. In terms of global phosphorus interpretation guidelines, the results indicate that freshwater systems in the study region are predominantly eutrophic, indicating that agricultural run-off, particularly from livestock dung (goats, cattle and sheep), is an important source of phosphorus in the freshwater systems studied. Our results revealed new distribution records for branchiopod crustaceans in the Eastern Cape region, including the first record of Laevicaudata. Results showed that the sampled variables were unable to explain the variation in physicochemistry and invertebrate assemblage of several sites. Waterbody type, whether a depression wetland or a river, was the only factor that consistently showed an effect on the composition of both physicochemical data and invertebrate data. Depression wetlands ranged from completely bare to being extensively covered by macrophytes. Therefore, the effect of macrophyte cover in structuring macroinvertebrate assemblages was the focus of further investigation. The results indicated that the macrophyte cover gradient had little influence on the structure of the invertebrate assemblages in the depression wetlands, while only the presence/absence of vegetation significantly influenced the structure of the invertebrate assemblages in these systems. Surface area, dissolved inorganic nitrogen and pelagic chlorophyll-a were the environmental variables that best explained the variation in the macroinvertebrate assemblages among the sites. However, the differences in macroinvertebrate richness, abundance and distribution patterns among sites were only weakly influenced by local and regional environmental factors. These findings suggest that invertebrate in temporary wetland systems are adapted to the highly variable nature of temporary habitats, thus the influence of local variables is negligible. Results of the experimental study, on the effect of salinity on hatching success of branchiopod resting eggs, revealed that hatchling abundance and diversity of large branchiopods was significantly reduced at salinities of 2.5 g L−1 and above. Salt-tolerant taxa such as Copepoda and Ostracoda were the only ones to emerge in the highest salinity of 10 g L−1. Thus, should the region continue to experience increasing aridity and possible shale gas development, which all aggravate the salinisation problem, severe loss of branchiopod diversity (Anostraca, Laevicaudata, Spinicaudata and Notostraca) is likely to occur. This may lead to considerable decline in invertebrate diversity in the region, with cascading effects on food webs and ecosystem functions. The findings of this study can potentially be used in comparative studies on wetland invertebrate ecology in other semi-arid regions and in the formulation of policy and strategies for biodiversity conservation.
- Full Text:
- Date Issued: 2017
- Authors: Mabidi, Annah
- Date: 2017
- Subjects: Invertebrates -- South Africa -- Karoo , Shale gas -- Conservation -- South Africa -- Karoo Freshwater animals -- South Africa -- Karoo Stream ecology -- South Africa -- Karoo
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/13713 , vital:27301
- Description: The Eastern Cape Karoo region is semi-arid with highly variable rainfall. This variability in rainfall sustains a mosaic of surface freshwater bodies that range from permanently to temporarily inundated. These waterbodies provide habitats for diverse invertebrate assemblages. The imminent hydraulic fracturing for shale gas has a potential to modify the water regime, with particular risk of salinisation. Accumulation of salts in freshwater wetlands results in loss of biodiversity, as invertebrate species shift from salt intolerant to salt tolerant species. This study therefore aims to expand on existing knowledge and provide new information on the distribution, diversity and structure of macroinvertebrate assemblages associated with various freshwater bodies in the region prior to shale gas exploration. Limnological and ecological aspects of thirty-three waterbodies (rivers, dams and depression wetlands) were investigated between November 2014 and March 2016. An experimental study on the effects of salinity on hatching success of branchiopod resting eggs was also included in the research. Rivers were characterised by high conductivity and depression wetlands by high turbidity, while dams had relatively higher pH than the other two waterbody types. In terms of global phosphorus interpretation guidelines, the results indicate that freshwater systems in the study region are predominantly eutrophic, indicating that agricultural run-off, particularly from livestock dung (goats, cattle and sheep), is an important source of phosphorus in the freshwater systems studied. Our results revealed new distribution records for branchiopod crustaceans in the Eastern Cape region, including the first record of Laevicaudata. Results showed that the sampled variables were unable to explain the variation in physicochemistry and invertebrate assemblage of several sites. Waterbody type, whether a depression wetland or a river, was the only factor that consistently showed an effect on the composition of both physicochemical data and invertebrate data. Depression wetlands ranged from completely bare to being extensively covered by macrophytes. Therefore, the effect of macrophyte cover in structuring macroinvertebrate assemblages was the focus of further investigation. The results indicated that the macrophyte cover gradient had little influence on the structure of the invertebrate assemblages in the depression wetlands, while only the presence/absence of vegetation significantly influenced the structure of the invertebrate assemblages in these systems. Surface area, dissolved inorganic nitrogen and pelagic chlorophyll-a were the environmental variables that best explained the variation in the macroinvertebrate assemblages among the sites. However, the differences in macroinvertebrate richness, abundance and distribution patterns among sites were only weakly influenced by local and regional environmental factors. These findings suggest that invertebrate in temporary wetland systems are adapted to the highly variable nature of temporary habitats, thus the influence of local variables is negligible. Results of the experimental study, on the effect of salinity on hatching success of branchiopod resting eggs, revealed that hatchling abundance and diversity of large branchiopods was significantly reduced at salinities of 2.5 g L−1 and above. Salt-tolerant taxa such as Copepoda and Ostracoda were the only ones to emerge in the highest salinity of 10 g L−1. Thus, should the region continue to experience increasing aridity and possible shale gas development, which all aggravate the salinisation problem, severe loss of branchiopod diversity (Anostraca, Laevicaudata, Spinicaudata and Notostraca) is likely to occur. This may lead to considerable decline in invertebrate diversity in the region, with cascading effects on food webs and ecosystem functions. The findings of this study can potentially be used in comparative studies on wetland invertebrate ecology in other semi-arid regions and in the formulation of policy and strategies for biodiversity conservation.
- Full Text:
- Date Issued: 2017
From dialect to ‘official’ language: towards the intellectualisation of Ndau in Zimbabwe
- Authors: Sithole, Emmanuel
- Date: 2017
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/6086 , vital:21030
- Full Text:
- Date Issued: 2017
- Authors: Sithole, Emmanuel
- Date: 2017
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/6086 , vital:21030
- Full Text:
- Date Issued: 2017
Gang and gang related incidents in selected correctional centres in the Eastern Cape : a behaviour analysis
- Authors: Fitz, Lincoln Gustav
- Date: 2017
- Subjects: Prison gangs -- South Africa Corrections -- South Africa -- Eastern Cape Prisons -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/9297 , vital:34319
- Description: Institutional gangs, also known as the numbers gangs, have become a serious threat to the effective administration of correctional facilities in South Africa. Prior the 1980s, these gangs were active only in correctional centres, but due to modern trends in criminal activity and the gangs’ extensive drug operations, they have become active within communities too. The numbers gangs have a national network that controls activities in all correctional centres across South Africa; this network operates effectively and independently of geographical areas. The numbers gangs contribute a large proportion of all disciplinary offences (e.g., assault, smuggling, escape, sodomy, etc.) that take place in South African correctional centres. The purpose of this study was to explore the social and cultural dynamics of selected correctional centres, in order to understand the extent to which institutional gangs control and manipulate the correctional environment. The study also focussed on the individual-level characteristics of inmates as a contributing factor for deviant behaviour. The social processes that manifest in institutional misconduct and violence in correctional centres have been explained in the literature according to three theoretical perspectives; namely, the importation, deprivation and situational contextual perspectives. To develop a better understanding of the phenomenon of gang activities in correctional centres, this study is grounded in the Social Structure and Social Learning theory to explore the individual, social and cultural dynamics of the centre, making reference to these three perspectives. A mixed research design, comprising both qualitative and quantitative aspects, characterised the methodology used in this study. The data informing the study consisted of primary data (observations, interviews and questionnaires) and secondary data (source documents), with 151 inmates and several centre officials in three Eastern Cape correctional centres participating. This study was substantial for several reasons. It confirmed the findings of prior studies with respect to personal and social characteristics that inmates import into correctional centres, and, in addition, it expanded the existing literature with respect to how and why inmates import their deviant behaviour into correctional centres. It further brought a new element to the field of criminology, in identifying the demographic characteristics of inmates that contribute towards institutional gang membership and violence in correctional centres. The study also expanded upon prior findings regarding risk factors associated with institutional gang membership by developing a prediction model to predict possible gang membership prior to and after incarceration. Finally, this is the first known empirical study to examine the social and cultural contexts of gang membership in correctional centres in South Africa.
- Full Text:
- Date Issued: 2017
- Authors: Fitz, Lincoln Gustav
- Date: 2017
- Subjects: Prison gangs -- South Africa Corrections -- South Africa -- Eastern Cape Prisons -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/9297 , vital:34319
- Description: Institutional gangs, also known as the numbers gangs, have become a serious threat to the effective administration of correctional facilities in South Africa. Prior the 1980s, these gangs were active only in correctional centres, but due to modern trends in criminal activity and the gangs’ extensive drug operations, they have become active within communities too. The numbers gangs have a national network that controls activities in all correctional centres across South Africa; this network operates effectively and independently of geographical areas. The numbers gangs contribute a large proportion of all disciplinary offences (e.g., assault, smuggling, escape, sodomy, etc.) that take place in South African correctional centres. The purpose of this study was to explore the social and cultural dynamics of selected correctional centres, in order to understand the extent to which institutional gangs control and manipulate the correctional environment. The study also focussed on the individual-level characteristics of inmates as a contributing factor for deviant behaviour. The social processes that manifest in institutional misconduct and violence in correctional centres have been explained in the literature according to three theoretical perspectives; namely, the importation, deprivation and situational contextual perspectives. To develop a better understanding of the phenomenon of gang activities in correctional centres, this study is grounded in the Social Structure and Social Learning theory to explore the individual, social and cultural dynamics of the centre, making reference to these three perspectives. A mixed research design, comprising both qualitative and quantitative aspects, characterised the methodology used in this study. The data informing the study consisted of primary data (observations, interviews and questionnaires) and secondary data (source documents), with 151 inmates and several centre officials in three Eastern Cape correctional centres participating. This study was substantial for several reasons. It confirmed the findings of prior studies with respect to personal and social characteristics that inmates import into correctional centres, and, in addition, it expanded the existing literature with respect to how and why inmates import their deviant behaviour into correctional centres. It further brought a new element to the field of criminology, in identifying the demographic characteristics of inmates that contribute towards institutional gang membership and violence in correctional centres. The study also expanded upon prior findings regarding risk factors associated with institutional gang membership by developing a prediction model to predict possible gang membership prior to and after incarceration. Finally, this is the first known empirical study to examine the social and cultural contexts of gang membership in correctional centres in South Africa.
- Full Text:
- Date Issued: 2017
Genetic diversity, evolutionary relationships and conservation of southern African Labeo fishes in relation to water management
- Authors: Ramoejane, Mpho
- Date: 2017
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/5209 , vital:20786
- Description: Labeo spp. are large, herbivorous fishes that are important components of aquatic ecosystems and are a high conservation priority in South Africa. This thesis contributes to determination of conservation priorities for Labeo umbratus (Smith 1841) by resolving the taxonomic status of this species in the evolutionary context of southern African Labeo spp., assessing the presence of unique lineages in historically isolated river basins, and assessing the threat of intra- and interspecific hybridisation associated with introductions. Phylogenetic analyses of five DNA sequence data sets (cytochrome c oxidase subunit I gene [COI], cytochrome b gene [Cyt b], Recombination activating gene 1 [Rag1], COI+Rag1 and COI+Cyt b+Rag1) showed that the Labeo umbratus group (sensu Reid, 1985), which comprises the species Labeo umbratus, Labeo capensis (Smith 1841), Labeo seeberi Gilchrist and Thompson 1911 and Labeo rubromaculatus Gilchrist and Thompson 1913, is monophyletic, morphologically distinct and geographically disjunct from other African Labeo spp. groups except in the Tugela River system were L. rubromaculatus co-occurs with Labeo molybdinus Du Plessis 1963. Phylogeographic analysis of mitochondrial DNA (Cyt b) sequence data demonstrated that the populations of the L. umbratus from the Orange and the southward-flowing river systems are reciprocally monophyletic and were identified as evolutionary significant units. The populations in the southward-flowing river systems were further divided into southwestern (Gourits and Gamtoos) and southeastern (Sundays, Bushmans, Great Fish, Keiskamma, Buffalo and Nahoon) polyp hyletic sublineages. Four management units (Gourits Basin; Gamtoos Basin; Sundays+Bushmans+Great Fish River Basins; and Keiskamma+Buffalo+Nahoon River Basin) were not reciprocally monophyletic but were proposed on the basis of containing unique haplotype frequencies for conservation purposes. To evaluate the threat of hybridisation to the genetic integrity of L. umbratus, the occurrence of Labeo umbratus x L. capensis hybrids was investigated using mtDNA Cyt b and nDNA S7 intron sequence data and morphological data. Genetic evidence for interspecific hybridisation was detected for populations in two impoundments, Hardap Dam (Orange River Basin) and Darlington Dam (Sundays River Basin, Eastern Cape, South Africa). Some putative hybrids were identifiable morphologically on account of intermediacy between the parental species in meristic and morphometric characters. Translocation via direct stocking (Hardap Dam) or via an inter-basin water transfer scheme (Darlington Dam) was identified as a driver for hybridisation. Introductions associated with an inter-basin water transfer scheme has resulted in introgression between the previously isolated Orange River and southern lineages of L. umbratus. Further translocation of fish from these affected areas to non-contaminated river systems and impoundments such as Kat River (Great Fish River) and Slagboom (Sundays River) should be avoided.
- Full Text:
- Date Issued: 2017
- Authors: Ramoejane, Mpho
- Date: 2017
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/5209 , vital:20786
- Description: Labeo spp. are large, herbivorous fishes that are important components of aquatic ecosystems and are a high conservation priority in South Africa. This thesis contributes to determination of conservation priorities for Labeo umbratus (Smith 1841) by resolving the taxonomic status of this species in the evolutionary context of southern African Labeo spp., assessing the presence of unique lineages in historically isolated river basins, and assessing the threat of intra- and interspecific hybridisation associated with introductions. Phylogenetic analyses of five DNA sequence data sets (cytochrome c oxidase subunit I gene [COI], cytochrome b gene [Cyt b], Recombination activating gene 1 [Rag1], COI+Rag1 and COI+Cyt b+Rag1) showed that the Labeo umbratus group (sensu Reid, 1985), which comprises the species Labeo umbratus, Labeo capensis (Smith 1841), Labeo seeberi Gilchrist and Thompson 1911 and Labeo rubromaculatus Gilchrist and Thompson 1913, is monophyletic, morphologically distinct and geographically disjunct from other African Labeo spp. groups except in the Tugela River system were L. rubromaculatus co-occurs with Labeo molybdinus Du Plessis 1963. Phylogeographic analysis of mitochondrial DNA (Cyt b) sequence data demonstrated that the populations of the L. umbratus from the Orange and the southward-flowing river systems are reciprocally monophyletic and were identified as evolutionary significant units. The populations in the southward-flowing river systems were further divided into southwestern (Gourits and Gamtoos) and southeastern (Sundays, Bushmans, Great Fish, Keiskamma, Buffalo and Nahoon) polyp hyletic sublineages. Four management units (Gourits Basin; Gamtoos Basin; Sundays+Bushmans+Great Fish River Basins; and Keiskamma+Buffalo+Nahoon River Basin) were not reciprocally monophyletic but were proposed on the basis of containing unique haplotype frequencies for conservation purposes. To evaluate the threat of hybridisation to the genetic integrity of L. umbratus, the occurrence of Labeo umbratus x L. capensis hybrids was investigated using mtDNA Cyt b and nDNA S7 intron sequence data and morphological data. Genetic evidence for interspecific hybridisation was detected for populations in two impoundments, Hardap Dam (Orange River Basin) and Darlington Dam (Sundays River Basin, Eastern Cape, South Africa). Some putative hybrids were identifiable morphologically on account of intermediacy between the parental species in meristic and morphometric characters. Translocation via direct stocking (Hardap Dam) or via an inter-basin water transfer scheme (Darlington Dam) was identified as a driver for hybridisation. Introductions associated with an inter-basin water transfer scheme has resulted in introgression between the previously isolated Orange River and southern lineages of L. umbratus. Further translocation of fish from these affected areas to non-contaminated river systems and impoundments such as Kat River (Great Fish River) and Slagboom (Sundays River) should be avoided.
- Full Text:
- Date Issued: 2017
Genetically modified (GM) maize cultivation by smallholders in the Eastern Cape Province of South Africa: Effects on target and non-target organisms and adoption challenges
- Authors: Kotey, Daniel Ashie
- Date: 2017
- Subjects: Farms, Small -- South Africa -- Eastern Cape Genetically modified foods -- South Africa -- Eastern Cape Corn -- Biotechnology -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , Degree
- Identifier: http://hdl.handle.net/10353/5161 , vital:29092
- Description: The use of genetically modified (GM) maize technology is subject to compliance with stewardship requirements and the adoption of specific management practices that promote the long-term effectiveness and environmental sustainability of the technology. For smallholders to comply with these requirements and adopt the desired management practices to ultimately benefit from the technology, they require information that creates awareness of the value of these requirements. To determine what information farmers receive about GM maize and how this information is disseminated to farmers, face to face interviews were conducted with 81 extension personnel and 210 smallhoder GM maize farmers in the Eastern Cape Province of South Africa. The effect of Bt maize introduction and management practices in smallholder maize agroecosystems in the Eastern Cape on Bt maize target [Busseola fusca (Fuller) (Lepidoptera: Noctuidae)] and non-target insect pests [Agrotis segetum (Denis & Schiffermüller) (Lepidoptera: Noctuidae), Helicoverpa armigera (Hübner) (Lepidoptera: Noctuidae)] and a snail species, [Cornu aspersum (Müller) (Gastropoda: Helicidae)] was determined through laboratory, field and cage experiments. The effect of smallhoder farmers‟ GM maize cultivation practices on the profitability of GM maize technology was also determined through on-farm trials in different localities of the Eastern Cape identified as hot-spots for stem borer and weed infestation. Results of surveys indicated that extension personnel had a low level of awareness of GM maize technology stewardship requirements. GM maize technology was also largely disseminated to smallholder farmers through non-participatory approaches and print media sourced from GM seed companies. Although farmers had a high level of contact with extension services, they lacked access to information about GM maize technology. Smallholder farmers‟ level of awareness about GM maize and compliance with the requirement for the planting of non-Bt maize refuge areas adjacent to Bt maize was also very low. While Bt maize event (MON810) commonly cultivated by smallholder farmers in the Eastern Cape Province had a variable effect on A. segetum under laboratory conditions, it had no effect on the incidence of plants damaged by A. segetum and C. aspersum under field conditions. The incidence of H. armigera damage on Bt maize plants was however significantly affected by Bt maize. Populations of B. fusca collected from smallholder maize fields in the province were observed to be still highly susceptible to Bt maize. Results of on-farm evaluation of the profitability of GM maize revealed that stem borer pressure, growing conditions, input supplies and market access affect the productivity and profitability of GM maize cultivation. Challenges within the extension and advisory services of the Eastern Cape which can militate against smallholder farmers‟ ability to benefit from GM maize technology and sustain the long-term efficacy of the technology were identified during this study. Given these challenges and the fact that the cultivation of GM maize may not be profitable under typical smallholder maize cultivation conditions and management practices, dissemination approaches that provide farmers the opportunity to evaluate GM maize technology alongside alternate technologies under their conditions, may prove beneficial.
- Full Text:
- Date Issued: 2017
- Authors: Kotey, Daniel Ashie
- Date: 2017
- Subjects: Farms, Small -- South Africa -- Eastern Cape Genetically modified foods -- South Africa -- Eastern Cape Corn -- Biotechnology -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , Degree
- Identifier: http://hdl.handle.net/10353/5161 , vital:29092
- Description: The use of genetically modified (GM) maize technology is subject to compliance with stewardship requirements and the adoption of specific management practices that promote the long-term effectiveness and environmental sustainability of the technology. For smallholders to comply with these requirements and adopt the desired management practices to ultimately benefit from the technology, they require information that creates awareness of the value of these requirements. To determine what information farmers receive about GM maize and how this information is disseminated to farmers, face to face interviews were conducted with 81 extension personnel and 210 smallhoder GM maize farmers in the Eastern Cape Province of South Africa. The effect of Bt maize introduction and management practices in smallholder maize agroecosystems in the Eastern Cape on Bt maize target [Busseola fusca (Fuller) (Lepidoptera: Noctuidae)] and non-target insect pests [Agrotis segetum (Denis & Schiffermüller) (Lepidoptera: Noctuidae), Helicoverpa armigera (Hübner) (Lepidoptera: Noctuidae)] and a snail species, [Cornu aspersum (Müller) (Gastropoda: Helicidae)] was determined through laboratory, field and cage experiments. The effect of smallhoder farmers‟ GM maize cultivation practices on the profitability of GM maize technology was also determined through on-farm trials in different localities of the Eastern Cape identified as hot-spots for stem borer and weed infestation. Results of surveys indicated that extension personnel had a low level of awareness of GM maize technology stewardship requirements. GM maize technology was also largely disseminated to smallholder farmers through non-participatory approaches and print media sourced from GM seed companies. Although farmers had a high level of contact with extension services, they lacked access to information about GM maize technology. Smallholder farmers‟ level of awareness about GM maize and compliance with the requirement for the planting of non-Bt maize refuge areas adjacent to Bt maize was also very low. While Bt maize event (MON810) commonly cultivated by smallholder farmers in the Eastern Cape Province had a variable effect on A. segetum under laboratory conditions, it had no effect on the incidence of plants damaged by A. segetum and C. aspersum under field conditions. The incidence of H. armigera damage on Bt maize plants was however significantly affected by Bt maize. Populations of B. fusca collected from smallholder maize fields in the province were observed to be still highly susceptible to Bt maize. Results of on-farm evaluation of the profitability of GM maize revealed that stem borer pressure, growing conditions, input supplies and market access affect the productivity and profitability of GM maize cultivation. Challenges within the extension and advisory services of the Eastern Cape which can militate against smallholder farmers‟ ability to benefit from GM maize technology and sustain the long-term efficacy of the technology were identified during this study. Given these challenges and the fact that the cultivation of GM maize may not be profitable under typical smallholder maize cultivation conditions and management practices, dissemination approaches that provide farmers the opportunity to evaluate GM maize technology alongside alternate technologies under their conditions, may prove beneficial.
- Full Text:
- Date Issued: 2017
Geomorphological connectivity and sensitivity examined in a recently degraded gravel-bed stream: implications for river-floodplain rehabilitation
- Authors: Powell, Rebecca
- Date: 2017
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/53722 , vital:26313
- Description: The study of river complexity and sensitivity to future human land-use activities and climate change is a fast growing field within the discipline of fluvial geomorphology. Associated with this is a need to improve river rehabilitation and catchment management approach, design and effectiveness. This study aimed to investigate drivers of the recent geomorphological sensitivity of the Baviaanskloof River-floodplain, an upland system in South Africa, by integrating the concepts of geomorphological connectivity and Panarchy. The understanding generated was used to evaluate the approach of the State agency, Working for Wetlands (WfWet), to river-floodplain rehabilitation in the catchment.The concepts of geomorphological connectivity and Panarchy provide useful frameworks for understanding interactions between geomorphological processes and structure across scales of space and time. Geomorphological connectivity explains the degree to which water and sediment is linked in a river landscape, determined by the distribution of erosional and depositional landforms (Brierley et al. 2006; Fryirs et al. 2007a; Fryirs et al. 2007b). Panarchy attempts to explain lagged response to disturbances, non-linear interactions, and sudden shifts in system state, and has been applied largely to ecological systems. Panarchy theory, when combined with the concept of geomorphological connectivity, provides a guiding framework for understanding river complexity in greater depth. The first results chapter of this study investigated river long-term and recent geomorphological history, towards understanding the nature and timing of river geomorphological cycling between erosion and deposition. Optically Stimulated Luminescence dating of alluvial fan and floodplain sedimentary units was conducted, for analysis of river-floodplain long-term history (100s to 1 000s of years). Interviews with 11 local landowners, combined with analysis of historic aerial imagery and river-floodplain topographic surveys, provided a means of describing recent (last few decades) geomorphological dynamics. The results indicated that the Baviaanskloof is naturally a cut- and-fill landscape over scales of several hundred to thousands of years, characterized by the alternation between phases of high fluvial energy and alluvial fan expansion, and low energy conditions associated with floodplain accretion. Recent and widespread river-floodplain degradation was compressed into a short period of approximately 30 years, suggesting that one or more drivers have pushed the system beyond a threshold, resulting in increased water and sediment connectivity. The second results chapter investigated the role of human land-use activities and flooding frequency and magnitude, as drivers of recent river-floodplain degradation. Human impacts were investigated by describing land-use activities for the preceding 80 years, and relating these activities to changes in river-floodplain form and behavior. Temporal trends in flood events of different frequency and magnitude were investigated by analyzing rainfall data, integrated with landowner reports of flood-inducing rainfall magnitudes. The findings indicated that human land-use activities have been an important driver of recent river- floodplain degradation, through the enhancement of water and sediment connectivity across spatial scales of the catchment. Episodic and high magnitude floods synergized with human driven increased connectivity, precipitating stream power and geomorphological threshold breaches, resulting in a shift in river behaviour. The third results chapter investigated the influence of tributary-junction streams and fans on the geomorphological form, behavior and sensitivity of the Baviaanskloof River. Local- scale topographic impacts of tributary fans and streams were described using topographic surveys and geomorphological mapping techniques. Tributary streams form a major control on the behaviour of the river, by influencing the degree of coarse sediment connectivity with the main channel. Although tributary fans buffer the river from disturbances occurring in the wider catchment, they initiate topographic variations along the floodplain, influencing local-scale patterns of deposition and erosion along the river. The main river responds to water and sediment inputs from tributary junction streams by locally adjusting longitudinal slope, maintaining an overall constant slope of 0.0066 m/m. The response of the Baviaanskloof River to tributary junction fans and streams is however variable, and is fashioned by complex interactions between geomorphological and anthropogenic factors. The final two chapters of the thesis evaluate the findings of the study within the context of river-floodplain rehabilitation approaches in South Africa, and within the theoretical, philosophical and methodological context of the research. The first of these two chapters evaluates the approach of the WfWet programme to river-floodplain rehabilitation in the Baviaanskloof. The chapter indicates that the present practice of WfWet is to reinstate a pre-degradation state, which is not suited to the Baviaanskloof River-floodplain, since the river-floodplain has passed a geomorphological threshold, resulting in a new set of interacting processes and landforms. The author presents a conceptual model illustrating the existence of geomorphological adaptive cycles interacting across spatial and temporal scales, thereby attempting to explain a river Panarchy specific to the Baviaanskloof. From this conceptual model, a hierarchical rehabilitation framework, targeting geomorphological processes and structure situated at different spatial and temporal scales of the landscape is suggested. The final chapter discusses the implications of integrating the concepts of geomorphological connectivity and river Panarchy theory in studies of river complexity and sensitivity to geomorphological change. The author suggests that there is scope for further investigation of the application of the two concepts within the discipline of fluvial geomorphology, particularly with regard to developing quantitative approaches to measuring and describing connectivity and Panarchy.
- Full Text:
- Date Issued: 2017
- Authors: Powell, Rebecca
- Date: 2017
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/53722 , vital:26313
- Description: The study of river complexity and sensitivity to future human land-use activities and climate change is a fast growing field within the discipline of fluvial geomorphology. Associated with this is a need to improve river rehabilitation and catchment management approach, design and effectiveness. This study aimed to investigate drivers of the recent geomorphological sensitivity of the Baviaanskloof River-floodplain, an upland system in South Africa, by integrating the concepts of geomorphological connectivity and Panarchy. The understanding generated was used to evaluate the approach of the State agency, Working for Wetlands (WfWet), to river-floodplain rehabilitation in the catchment.The concepts of geomorphological connectivity and Panarchy provide useful frameworks for understanding interactions between geomorphological processes and structure across scales of space and time. Geomorphological connectivity explains the degree to which water and sediment is linked in a river landscape, determined by the distribution of erosional and depositional landforms (Brierley et al. 2006; Fryirs et al. 2007a; Fryirs et al. 2007b). Panarchy attempts to explain lagged response to disturbances, non-linear interactions, and sudden shifts in system state, and has been applied largely to ecological systems. Panarchy theory, when combined with the concept of geomorphological connectivity, provides a guiding framework for understanding river complexity in greater depth. The first results chapter of this study investigated river long-term and recent geomorphological history, towards understanding the nature and timing of river geomorphological cycling between erosion and deposition. Optically Stimulated Luminescence dating of alluvial fan and floodplain sedimentary units was conducted, for analysis of river-floodplain long-term history (100s to 1 000s of years). Interviews with 11 local landowners, combined with analysis of historic aerial imagery and river-floodplain topographic surveys, provided a means of describing recent (last few decades) geomorphological dynamics. The results indicated that the Baviaanskloof is naturally a cut- and-fill landscape over scales of several hundred to thousands of years, characterized by the alternation between phases of high fluvial energy and alluvial fan expansion, and low energy conditions associated with floodplain accretion. Recent and widespread river-floodplain degradation was compressed into a short period of approximately 30 years, suggesting that one or more drivers have pushed the system beyond a threshold, resulting in increased water and sediment connectivity. The second results chapter investigated the role of human land-use activities and flooding frequency and magnitude, as drivers of recent river-floodplain degradation. Human impacts were investigated by describing land-use activities for the preceding 80 years, and relating these activities to changes in river-floodplain form and behavior. Temporal trends in flood events of different frequency and magnitude were investigated by analyzing rainfall data, integrated with landowner reports of flood-inducing rainfall magnitudes. The findings indicated that human land-use activities have been an important driver of recent river- floodplain degradation, through the enhancement of water and sediment connectivity across spatial scales of the catchment. Episodic and high magnitude floods synergized with human driven increased connectivity, precipitating stream power and geomorphological threshold breaches, resulting in a shift in river behaviour. The third results chapter investigated the influence of tributary-junction streams and fans on the geomorphological form, behavior and sensitivity of the Baviaanskloof River. Local- scale topographic impacts of tributary fans and streams were described using topographic surveys and geomorphological mapping techniques. Tributary streams form a major control on the behaviour of the river, by influencing the degree of coarse sediment connectivity with the main channel. Although tributary fans buffer the river from disturbances occurring in the wider catchment, they initiate topographic variations along the floodplain, influencing local-scale patterns of deposition and erosion along the river. The main river responds to water and sediment inputs from tributary junction streams by locally adjusting longitudinal slope, maintaining an overall constant slope of 0.0066 m/m. The response of the Baviaanskloof River to tributary junction fans and streams is however variable, and is fashioned by complex interactions between geomorphological and anthropogenic factors. The final two chapters of the thesis evaluate the findings of the study within the context of river-floodplain rehabilitation approaches in South Africa, and within the theoretical, philosophical and methodological context of the research. The first of these two chapters evaluates the approach of the WfWet programme to river-floodplain rehabilitation in the Baviaanskloof. The chapter indicates that the present practice of WfWet is to reinstate a pre-degradation state, which is not suited to the Baviaanskloof River-floodplain, since the river-floodplain has passed a geomorphological threshold, resulting in a new set of interacting processes and landforms. The author presents a conceptual model illustrating the existence of geomorphological adaptive cycles interacting across spatial and temporal scales, thereby attempting to explain a river Panarchy specific to the Baviaanskloof. From this conceptual model, a hierarchical rehabilitation framework, targeting geomorphological processes and structure situated at different spatial and temporal scales of the landscape is suggested. The final chapter discusses the implications of integrating the concepts of geomorphological connectivity and river Panarchy theory in studies of river complexity and sensitivity to geomorphological change. The author suggests that there is scope for further investigation of the application of the two concepts within the discipline of fluvial geomorphology, particularly with regard to developing quantitative approaches to measuring and describing connectivity and Panarchy.
- Full Text:
- Date Issued: 2017
Girl-child education in marginalised rural communities : a critical study of threats and opportunities to access quality secondary education in Binga District, Zimbabwe
- Authors: Nyamanhare, Eurita
- Date: 2017
- Subjects: Gender identity in education -- Zimbabwe Sex discrimination in education -- Zimbabwe Girls -- Education -- Zimbabwe
- Language: English
- Type: Thesis , Doctoral , Education
- Identifier: http://hdl.handle.net/10353/9213 , vital:34306
- Description: Despite the high ratings of the Zimbabwe’s education system in Africa, the state of secondary education in Binga District epitomises ‘a neglected backyard’ serving to perpetuate secondary education attainment inequalities, with the girl-child fixed at the bottom of the ladder at secondary school level. The prevailing deplorable learning conditions that characterise marginalised rural communities, mainly dominated by minority ethnic groups in Zimbabwe, depict similar conditions under which a girl-child strives to attain quality secondary education in some underdeveloped and developing African countries. Girl-Child Education in Marginalised Rural Communities: A Critical Study of Threats and Opportunities to Access Quality Secondary Education in Binga district, Zimbabwe, adopted a qualitative approach underpinned by a transformative paradigm. Pierre Bourdieu’s cultural capital and Kimberle Crenshaw’s intersectionality theoretical concepts complemented each other providing the theoretical lens that assisted in the unpacking of the whole study. Thus, the adopted theoretical framework helped the researcher to critique the seemingly ‘legitimised’ intergenerational multiple inequalities perpetuated through the education system and the intersecting systems of power (ethnicity, gender, social class) that consequently led to the unpacking of issues that surrounded the girl-child’s access to quality secondary education in Binga District. Intensive literature discussion covered the main themes derived from the study’s research questions, providing the ground from which new knowledge was nourished. With a sufficiently complex phenomenological-emergent research design embedded within critical studies, thick descriptions of lived experiences were gathered from 18 in-depth individual interviews and 6 Focus Group Discussions that involved the girls themselves; all considered to be ‘leaders of opinion’ in this study because of the various social positions and roles they played. Observations, visual materials in the form of photographs, as well as documents and records completed the list of data gathering tools that led to robust trustworthy credible findings from which the main themes of the study emerged. For the girl-child in Binga District, access to quality secondary education was found to be marginalised due to questionable gender responsiveness emanating from the social and infrastructure environments, the girl-child’s negative notions of secondary education underpinned by intersecting barriers, opportunities that are overshadowed by unmatched commitment by the girl-child seemingly underpinned by intersecting unresolved threats exacerbated by distant transitional prospects beyond secondary education. As put by one of the participants, thus, an analogy of ‘an incubator that ceases to work before the eggs hatch’ could be used to describe the state of secondary educational environment under which a girl-child strived to access quality secondary education in Binga District. Thus, using Binga District in Zimbabwe to mirror the state of secondary education in the ‘backyards’ of most of the sub-Saharan African countries, this study urges all African governments to take responsibility as they revise and enforce existing policies in line with the 2015 United Nations Sustainable Development Goals for girl-child secondary education is endowed with unlimited socio-economic benefits to all individual nations, and globally.
- Full Text:
- Date Issued: 2017
- Authors: Nyamanhare, Eurita
- Date: 2017
- Subjects: Gender identity in education -- Zimbabwe Sex discrimination in education -- Zimbabwe Girls -- Education -- Zimbabwe
- Language: English
- Type: Thesis , Doctoral , Education
- Identifier: http://hdl.handle.net/10353/9213 , vital:34306
- Description: Despite the high ratings of the Zimbabwe’s education system in Africa, the state of secondary education in Binga District epitomises ‘a neglected backyard’ serving to perpetuate secondary education attainment inequalities, with the girl-child fixed at the bottom of the ladder at secondary school level. The prevailing deplorable learning conditions that characterise marginalised rural communities, mainly dominated by minority ethnic groups in Zimbabwe, depict similar conditions under which a girl-child strives to attain quality secondary education in some underdeveloped and developing African countries. Girl-Child Education in Marginalised Rural Communities: A Critical Study of Threats and Opportunities to Access Quality Secondary Education in Binga district, Zimbabwe, adopted a qualitative approach underpinned by a transformative paradigm. Pierre Bourdieu’s cultural capital and Kimberle Crenshaw’s intersectionality theoretical concepts complemented each other providing the theoretical lens that assisted in the unpacking of the whole study. Thus, the adopted theoretical framework helped the researcher to critique the seemingly ‘legitimised’ intergenerational multiple inequalities perpetuated through the education system and the intersecting systems of power (ethnicity, gender, social class) that consequently led to the unpacking of issues that surrounded the girl-child’s access to quality secondary education in Binga District. Intensive literature discussion covered the main themes derived from the study’s research questions, providing the ground from which new knowledge was nourished. With a sufficiently complex phenomenological-emergent research design embedded within critical studies, thick descriptions of lived experiences were gathered from 18 in-depth individual interviews and 6 Focus Group Discussions that involved the girls themselves; all considered to be ‘leaders of opinion’ in this study because of the various social positions and roles they played. Observations, visual materials in the form of photographs, as well as documents and records completed the list of data gathering tools that led to robust trustworthy credible findings from which the main themes of the study emerged. For the girl-child in Binga District, access to quality secondary education was found to be marginalised due to questionable gender responsiveness emanating from the social and infrastructure environments, the girl-child’s negative notions of secondary education underpinned by intersecting barriers, opportunities that are overshadowed by unmatched commitment by the girl-child seemingly underpinned by intersecting unresolved threats exacerbated by distant transitional prospects beyond secondary education. As put by one of the participants, thus, an analogy of ‘an incubator that ceases to work before the eggs hatch’ could be used to describe the state of secondary educational environment under which a girl-child strived to access quality secondary education in Binga District. Thus, using Binga District in Zimbabwe to mirror the state of secondary education in the ‘backyards’ of most of the sub-Saharan African countries, this study urges all African governments to take responsibility as they revise and enforce existing policies in line with the 2015 United Nations Sustainable Development Goals for girl-child secondary education is endowed with unlimited socio-economic benefits to all individual nations, and globally.
- Full Text:
- Date Issued: 2017
Guidelines for cybersecurity education campaigns
- Authors: Reid, Rayne
- Date: 2017
- Subjects: Computer security Computer networks -- Security measures
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10948/14091 , vital:27416
- Description: In our technology- and information-infused world, cyberspace is an integral part of modern-day society. As the number of active cyberspace users increases, so too does the chances of a cyber threat finding a vulnerable target increase. All cyber users who are exposed to cyber risks need to be educated about cyber security. Human beings play a key role in the implementation and governing of an entire cybersecurity and cybersafety solution. The effectiveness of any cybersecurity and cybersafety solutions in a societal or individual context is dependent on the human beings involved in the process. If these human beings are either unaware or not knowledgeable about their roles in the security solution they become the weak link in these cybersecurity solutions. It is essential that all users be educated to combat any threats. Children are a particularly vulnerable subgroup within society. They are digital natives and make use of ICT, and online services with increasing frequency, but this does not mean they are knowledgeable about or behaving securely in their cyber activities. Children will be exposed to cyberspace throughout their lifetimes. Therefore, cybersecurity and cybersafety should be taught to children as a life-skill. There is a lack of well-known, comprehensive cybersecurity and cybersafety educational campaigns which target school children. Most existing information security and cybersecurity education campaigns limit their scope. Literature reports mainly on education campaigns focused on primary businesses, government agencies and tertiary education institutions. Additionally, most guidance for the design and implementation of security and safety campaigns: are for an organisational context, only target organisational users, and mostly provide high-level design recommendations. This thesis addressed the lack of guidance for designing and implementing cybersecurity and cybersafety educational campaigns suited to school learners as a target audience. The thesis aimed to offer guidance for designing and implementing education campaigns that educate school learners about cybersecurity and cybersafety. This was done through the implementation of an action research process over a five-year period. The action research process involved cybersecurity and cybersafety educational interventions at multiple schools. A total of 18 actionable guidelines were derived from this research to guide the design and implementation of cybersecurity and cybersafety education campaigns which aim to educate school children.
- Full Text:
- Date Issued: 2017
- Authors: Reid, Rayne
- Date: 2017
- Subjects: Computer security Computer networks -- Security measures
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10948/14091 , vital:27416
- Description: In our technology- and information-infused world, cyberspace is an integral part of modern-day society. As the number of active cyberspace users increases, so too does the chances of a cyber threat finding a vulnerable target increase. All cyber users who are exposed to cyber risks need to be educated about cyber security. Human beings play a key role in the implementation and governing of an entire cybersecurity and cybersafety solution. The effectiveness of any cybersecurity and cybersafety solutions in a societal or individual context is dependent on the human beings involved in the process. If these human beings are either unaware or not knowledgeable about their roles in the security solution they become the weak link in these cybersecurity solutions. It is essential that all users be educated to combat any threats. Children are a particularly vulnerable subgroup within society. They are digital natives and make use of ICT, and online services with increasing frequency, but this does not mean they are knowledgeable about or behaving securely in their cyber activities. Children will be exposed to cyberspace throughout their lifetimes. Therefore, cybersecurity and cybersafety should be taught to children as a life-skill. There is a lack of well-known, comprehensive cybersecurity and cybersafety educational campaigns which target school children. Most existing information security and cybersecurity education campaigns limit their scope. Literature reports mainly on education campaigns focused on primary businesses, government agencies and tertiary education institutions. Additionally, most guidance for the design and implementation of security and safety campaigns: are for an organisational context, only target organisational users, and mostly provide high-level design recommendations. This thesis addressed the lack of guidance for designing and implementing cybersecurity and cybersafety educational campaigns suited to school learners as a target audience. The thesis aimed to offer guidance for designing and implementing education campaigns that educate school learners about cybersecurity and cybersafety. This was done through the implementation of an action research process over a five-year period. The action research process involved cybersecurity and cybersafety educational interventions at multiple schools. A total of 18 actionable guidelines were derived from this research to guide the design and implementation of cybersecurity and cybersafety education campaigns which aim to educate school children.
- Full Text:
- Date Issued: 2017
Hearing the citizens: inequality, access to journalists and the prospects for inclusively mediated spaces of political deliberation in South Africa
- Authors: Oelofsen, Marietjie
- Date: 2017
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/35030 , vital:24309
- Description: This study examines the extent to which material and social inequality in post-apartheid South Africa affect possibilities for poor citizens to gain access to mainstream spaces of mediated political deliberation. Access is problematized in terms of the possibilities that exist for poor citizens to ‘appear’ in these spaces as emancipated citizens with political agency. The study is motivated by a perception that South Africa’s middle-class and privileged citizens have more access to political deliberation because mainstream journalists pay more attention to their political concerns. Because mediated political deliberation provides a space for articulating the political will of citizens it is important that it reflects the multiple, and diverse range of voices that make up South Africa’s polity. If the experience of socioeconomically marginalised citizens is not registered in the same way as the experience of citizens with economic and political power, the balance of political decision-making continues to be skewed against the interests of the poor. Rather than a media-centric approach, the study centres on perceptions and views of poor citizens about their relationship with mainstream journalists. The study combines information from group interviews with citizens from Hangberg, Cape Town with 410 news reports in 18 mainstream newspapers about Hangberg citizens over a 20-year period. The interviews show that poor citizens feel largely excluded from mediated political deliberation; not because they do not appear in the news but because of how they appear in the news. The news reports confirm that mainstream journalists pay more attention to voices with political and economic power than to the voices of poor citizens. Even in news reports about Hangberg citizens, political leaders and non-governmental experts often talk about the problems in Hangberg more than the citizens of Hangberg themselves talk about these problems. Building on a relatively new scholarly interest in ‘active’ and ‘political’ listening in media studies and democratic theory (Bickford 1996, Dreher 2009, Couldry 2009, Dobson 2014, Wasserman 2013, Garman and Malila 2014), I consider listening as a constitutive element of the way in which journalists engage with poor citizens in mediated deliberative spaces. I ask whether different practices of listening can enable journalists to construct narratives that provide marginalised groups with different possibilities for equal access to, and participation in these spaces?
- Full Text:
- Date Issued: 2017
- Authors: Oelofsen, Marietjie
- Date: 2017
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/35030 , vital:24309
- Description: This study examines the extent to which material and social inequality in post-apartheid South Africa affect possibilities for poor citizens to gain access to mainstream spaces of mediated political deliberation. Access is problematized in terms of the possibilities that exist for poor citizens to ‘appear’ in these spaces as emancipated citizens with political agency. The study is motivated by a perception that South Africa’s middle-class and privileged citizens have more access to political deliberation because mainstream journalists pay more attention to their political concerns. Because mediated political deliberation provides a space for articulating the political will of citizens it is important that it reflects the multiple, and diverse range of voices that make up South Africa’s polity. If the experience of socioeconomically marginalised citizens is not registered in the same way as the experience of citizens with economic and political power, the balance of political decision-making continues to be skewed against the interests of the poor. Rather than a media-centric approach, the study centres on perceptions and views of poor citizens about their relationship with mainstream journalists. The study combines information from group interviews with citizens from Hangberg, Cape Town with 410 news reports in 18 mainstream newspapers about Hangberg citizens over a 20-year period. The interviews show that poor citizens feel largely excluded from mediated political deliberation; not because they do not appear in the news but because of how they appear in the news. The news reports confirm that mainstream journalists pay more attention to voices with political and economic power than to the voices of poor citizens. Even in news reports about Hangberg citizens, political leaders and non-governmental experts often talk about the problems in Hangberg more than the citizens of Hangberg themselves talk about these problems. Building on a relatively new scholarly interest in ‘active’ and ‘political’ listening in media studies and democratic theory (Bickford 1996, Dreher 2009, Couldry 2009, Dobson 2014, Wasserman 2013, Garman and Malila 2014), I consider listening as a constitutive element of the way in which journalists engage with poor citizens in mediated deliberative spaces. I ask whether different practices of listening can enable journalists to construct narratives that provide marginalised groups with different possibilities for equal access to, and participation in these spaces?
- Full Text:
- Date Issued: 2017
Identifying growth criteria and sediment movement mechanisms of needle ice using high-frequency environmental and visual monitoring
- Authors: Borg, Carl-Johan
- Date: 2017
- Subjects: Frazil ice , Sediment transport , Ice mechanics , Photography -- Digital techniques , Environmental monitoring
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/17656 , vital:22268
- Description: Environmental growth conditions and mechanisms involved in sediment transport by needle ice have historically been difficult to assess and are poorly documented. The spatial and temporal dynamics that relate to the environment, growth and decay of needle ice are not fully understood. This study monitored needle ice growth, melt and visually identified sediment displacement mechanisms by needle ice, with the aim of revealing environmental growth criteria, timing of growth/melt, ground-surface-air energy balance and sediment displacement mechanisms. Furthermore, the impact of needle ice displacement on vegetation and patterned ground formation was analysed. High-frequency visual monitoring, using three cameras, supplemented by high-frequency measurements of air temperature, soil moisture and wind speed was used to investigate needle ice growth and decay dynamics. Results from visual and environmental monitoring of needle ice growth, showed that the needle ice growing environment was more dynamic, especially in terms of surface temperature, than previously argued. Needle ice growth was observed to occur during surface temperatures from -2.0°C to 2.2°C, soil moisture levels from 0.4% to 37.4% and in winds speeds of 0 m/s to 12.6 m/s. Needle ice initiation was documented a few minutes to hours before or after the onset of surface temperature dropping to below 0°C. Imagery displayed that the depth of ice nucleation was variable within the soil column, possibly relating to the energy balance of radiative cooling, convective heat loss, ground conductivity and latent heat release at the air-surface-ground boundary. Heaving and resettling, toppling and rolling were identified as slope displacement mechanisms when needle ice decayed. Animal trampling and hail were additionally documented as substantial surface altering processes. Furthermore, no impact of needle ice reducing vegetation stability was identified, although a tendency to hinder vegetation expansion was noted. Also, no creation of patterned ground was observed as a result of needle ice decay.
- Full Text:
- Date Issued: 2017
- Authors: Borg, Carl-Johan
- Date: 2017
- Subjects: Frazil ice , Sediment transport , Ice mechanics , Photography -- Digital techniques , Environmental monitoring
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/17656 , vital:22268
- Description: Environmental growth conditions and mechanisms involved in sediment transport by needle ice have historically been difficult to assess and are poorly documented. The spatial and temporal dynamics that relate to the environment, growth and decay of needle ice are not fully understood. This study monitored needle ice growth, melt and visually identified sediment displacement mechanisms by needle ice, with the aim of revealing environmental growth criteria, timing of growth/melt, ground-surface-air energy balance and sediment displacement mechanisms. Furthermore, the impact of needle ice displacement on vegetation and patterned ground formation was analysed. High-frequency visual monitoring, using three cameras, supplemented by high-frequency measurements of air temperature, soil moisture and wind speed was used to investigate needle ice growth and decay dynamics. Results from visual and environmental monitoring of needle ice growth, showed that the needle ice growing environment was more dynamic, especially in terms of surface temperature, than previously argued. Needle ice growth was observed to occur during surface temperatures from -2.0°C to 2.2°C, soil moisture levels from 0.4% to 37.4% and in winds speeds of 0 m/s to 12.6 m/s. Needle ice initiation was documented a few minutes to hours before or after the onset of surface temperature dropping to below 0°C. Imagery displayed that the depth of ice nucleation was variable within the soil column, possibly relating to the energy balance of radiative cooling, convective heat loss, ground conductivity and latent heat release at the air-surface-ground boundary. Heaving and resettling, toppling and rolling were identified as slope displacement mechanisms when needle ice decayed. Animal trampling and hail were additionally documented as substantial surface altering processes. Furthermore, no impact of needle ice reducing vegetation stability was identified, although a tendency to hinder vegetation expansion was noted. Also, no creation of patterned ground was observed as a result of needle ice decay.
- Full Text:
- Date Issued: 2017
Impact of ambient air pollution on human health health in the Nelson Mandela Bay Municipality
- Nodwele, Mzoxolo Patrick, Strumpher, J
- Authors: Nodwele, Mzoxolo Patrick , Strumpher, J
- Date: 2017
- Subjects: Environmental health -- South Africa -- Nelson Mandela Bay Municipality Air -- Pollution -- Meteorological aspects -- South Africa -- Nelson Mandela Bay Municipality
- Language: English
- Type: Thesis , Doctoral , DTech
- Identifier: http://hdl.handle.net/10948/20142 , vital:29134
- Description: The aim of this study was to assess whether ambient-air pollution contributed negatively to ambient-air quality, and subsequently to human health in the Nelson Mandela Bay Municipality (the study area). A research design that is descriptive and explorative in nature was followed. The research methodology conformed to the following procedure. Firstly, an emission inventory of one hundred and fifty (150) emission sources listed on the data base of the Nelson Mandela Bay Municipality was compiled (“N” and “n” = 150) in a quantitative research approach. Emission data from these sources, together with the relevant meteorological data from the weather stations in the study area (“N” and “n” = 5) were collected and used as input into a geographical information system-software program to quantify the contribution of each emission source to ambient air pollution. The said software program was also used to simulate the dispersion of emissions over the study area. The emission inventory was compiled in consultation with a focus group of experts in the field of air-pollution control in a qualitative-research approach. Secondly, health records of the patients who attend the clinics in the said municipality (“N” and “n” = 49) were assessed for air pollution-related health outcomes. Nineteen (19) of the forty-nine (49) clinics were situated in Sub-District A; fifteen (15) clinics were situated in Sub-District B. The last fifteen of the clinics were situated in Sub-District C, which was also the least-industrialised sub-district. Sub-districts A and B were found to be the most industrialised of the three Sub-districts. Air pollution related health statistics were compiled for the following air-pollution-related health outcomes, namely: lower respiratory tract infections in children under five (5) years of age, as well as pneumonia and asthma in the general population.
- Full Text:
- Date Issued: 2017
- Authors: Nodwele, Mzoxolo Patrick , Strumpher, J
- Date: 2017
- Subjects: Environmental health -- South Africa -- Nelson Mandela Bay Municipality Air -- Pollution -- Meteorological aspects -- South Africa -- Nelson Mandela Bay Municipality
- Language: English
- Type: Thesis , Doctoral , DTech
- Identifier: http://hdl.handle.net/10948/20142 , vital:29134
- Description: The aim of this study was to assess whether ambient-air pollution contributed negatively to ambient-air quality, and subsequently to human health in the Nelson Mandela Bay Municipality (the study area). A research design that is descriptive and explorative in nature was followed. The research methodology conformed to the following procedure. Firstly, an emission inventory of one hundred and fifty (150) emission sources listed on the data base of the Nelson Mandela Bay Municipality was compiled (“N” and “n” = 150) in a quantitative research approach. Emission data from these sources, together with the relevant meteorological data from the weather stations in the study area (“N” and “n” = 5) were collected and used as input into a geographical information system-software program to quantify the contribution of each emission source to ambient air pollution. The said software program was also used to simulate the dispersion of emissions over the study area. The emission inventory was compiled in consultation with a focus group of experts in the field of air-pollution control in a qualitative-research approach. Secondly, health records of the patients who attend the clinics in the said municipality (“N” and “n” = 49) were assessed for air pollution-related health outcomes. Nineteen (19) of the forty-nine (49) clinics were situated in Sub-District A; fifteen (15) clinics were situated in Sub-District B. The last fifteen of the clinics were situated in Sub-District C, which was also the least-industrialised sub-district. Sub-districts A and B were found to be the most industrialised of the three Sub-districts. Air pollution related health statistics were compiled for the following air-pollution-related health outcomes, namely: lower respiratory tract infections in children under five (5) years of age, as well as pneumonia and asthma in the general population.
- Full Text:
- Date Issued: 2017
Impact of formulated soil types on growth performance, phytochemical constituents and pharmacological properties of solanum nigurm L. : a wild vegetable in the Eastern Cape Province, South Africa
- Authors: Ogundola, Adijat Funke
- Date: 2017
- Subjects: Solanum Materia medica, Vegetable Medicinal plants -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/8758 , vital:33519
- Description: Solanum nigrum L. is a wild vegetable that is highly recognised for its high nutiritional and therapeutical purposes. However, proper identification of the plant is essential not only to plant scientists but to a wide range of users. Therefore, the plant’s roots, stems and leaves cultivated on different soil types were viewed under the Scanning Electron Microscope while the leaves were further viewed under the Light Microscope. significant increase was observed in densities of stomata, guard and subsidiary cells of leaves of S. nigrum grown on silty clay loam soil. The SEM analysis revealed abundant glandular and non-glandular trichromes on both surfaces of the leaves. The glandular trichome is known to be responsible for the storage of bioactive compounds for which this plant is well known. Cultivation was embarked upon, for the availability of the plant at all times. However, propagation was by seed alone, therefore, quality seed is necessary for cultivation. Study was carried out on seeds extracted from plants growing in the wild in Alice for the seed viability, germination and seedling emergence when subjected to different soil texture types and sowing depths. The seeds were 98.3 percent viable. Highest germination (94.66 percent) was recorded in sand paper scarification, 15, 20 and 25ºC. Continuous darkness and temperatures lower than 5ºC and higher than 35ºCwere detrimental to the seeds. Silty clay loam soil and a depth of 2 cm had the highest seedling emergence 90 percent and recommended as the ideal condition for seedlings emergence. The growth, yield and physiological response of S. nigrum to sandy clay loam, silty clay loam, clay loam, loam soils and control soil (sandy loam) were investigated in the glasshouse in two separate trials. The ANOVA analysed data results indicated that plant samples on silty clay loam significantly increased in height, stem girth, plant root, leaf area, number of leaves, number of branches, number of flowers, number of fruit bunch per plant dry weight, as well as weight of fruit bunch. However, plant samples grown on clay loam and loam soils recorded increased chlorophyll and produced dark green leaves. It is conceivable that silty clay loam soils have a strong ability to support the physiological growth and the yield of S. nigrum. These soils are therefore recommended for the cultivation of this plant. S. nigrum cultivated on these soils was evaluated for proximate compositions, anti-nutrients, vitamins A, C and E and mineral compositions using standard analytical methods. Using the translocation factor, the minerals’ toxicity accumulation levels in the plant were also determined. Accumulation of proximate parameters in the first and second trials are: ash (11.25-12.25 percent and 11.14- 11.54 percent), crude fibre (19.24-19.95 percent and 18.71-19.35 percent), protein (36.72-38.98 percent and 34.47-37.00 percent), phytate (0.84-1.17 and 0.88-1.15 mg/ml), saponnin (94.10-97.00 and 94.17-97.00 percent) and alkaloids (43.03-45.76 and 42.08- 44.10 percent) respectively. Vitamin A ranged between 117 and 137 mg/kg and betweens 108 and 128 mg/kg, vitamin C between 100 and 118 mg/kg and between 96 and 108 mg/kg and vitamin E between 250 and 269 mg/kg and between 227 and 261 mg/kg in the first and second trials respectively. The quantities of macro and micro-nutrients recorded in S. nigrum showed that this plant is a reservoir of nutrients. Plants cultivated on clay loam, silty clay loam and loam soils accumulated elevated nutritients compositions. Investigation was made on the ability of S. nigrum cultivated on different soil texture types to synthesise phytochemicals such as phenol, flavonoid, alkaloid proanthocyanidins, tannins, saponins and antioxidant. Highest concentrations of phenolics (73.87 mg/g), flavonoids (58.41 mg/g), proanthocyanidins (875.74 mg/g), tannins (49.32 mg/g), saponins (875.74 mg/g) and alkaloid (47.50 mg/g) contents were recorded in plant sample cultivated on silty clay loam soil. Also, highest radical scavenging power using DPPH (0.0102 mg/g), ABTS (0.1062 mg/g) and FRAP (0.8395 mg/g) were recorded in plant samples grown on silty clay loam and the next high values were recorded in plant samples grown on clay loam soil. It is showed in this study that silty clay loam soil and clay loam soils are the best soil types for cultivation of S. nigrum for increased antioxidant properties/ oxygen radical scavenging activities. Investigation was made on chemical compositions and antioxidant properties of essential oil extracts of S. nigrum shoot and root cultivated on different soil textures. The Gas Chromatography-Mass Spectrometry (GC-MS) profiling revealed variations in the quality index (QI) and number of chemical constituents of the oil of S. nigrum cultivated on different soil texture types. Geraniol and citronellol were two principal components of high quality common to oil from shoots and roots fromplants cultivated on all soil types. Results of DPPH and ABTS assays of the shoot oil showed that S. nigrum cultivated on clay loam soil had the highest antioxidant power. The presence of citronellol and geraniol among the major compounds is an indicaton of the plant’s role in defensive mechanisms. The work indicated that soil texture has effect on the quality, quantity and chemical compounds synthesised in the shoots and roots of S. nigrum. Antibacterial activities and the efficacy of S. nigrum cultivated on different soil types were carried out on reference strains of 4 gram-positive and 4 gram-negative bacteria. Toxicity evaluation of the plant’s acetone extract and water extract were also assessed on lethality of brine shrimp eggs. Plant water and acetone extracts exhibited strong antibacterial activity against Pseudomona aeruginosa, acetone extracts against Bacillus cereus, Listeria and Escherichia coli. Significantly (p< 0.05) low concentration (0.25 mg/mL) of acetone extracts from plant shoot cultivated on silty clay loam and clay loam soils inhibited B. cereus and P. aeruginosa. Antimicrobial activities of extracts of plant cultivated on clay loam appeared to be more superior to extracs from plants grown on other soil types. Toxicity of the plant extracts (water and acetone) was concentration and time dependent. The LD50 values for all plant extracts were greater than 1000 mg/mL which showed they are non-toxic.
- Full Text:
- Date Issued: 2017
- Authors: Ogundola, Adijat Funke
- Date: 2017
- Subjects: Solanum Materia medica, Vegetable Medicinal plants -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/8758 , vital:33519
- Description: Solanum nigrum L. is a wild vegetable that is highly recognised for its high nutiritional and therapeutical purposes. However, proper identification of the plant is essential not only to plant scientists but to a wide range of users. Therefore, the plant’s roots, stems and leaves cultivated on different soil types were viewed under the Scanning Electron Microscope while the leaves were further viewed under the Light Microscope. significant increase was observed in densities of stomata, guard and subsidiary cells of leaves of S. nigrum grown on silty clay loam soil. The SEM analysis revealed abundant glandular and non-glandular trichromes on both surfaces of the leaves. The glandular trichome is known to be responsible for the storage of bioactive compounds for which this plant is well known. Cultivation was embarked upon, for the availability of the plant at all times. However, propagation was by seed alone, therefore, quality seed is necessary for cultivation. Study was carried out on seeds extracted from plants growing in the wild in Alice for the seed viability, germination and seedling emergence when subjected to different soil texture types and sowing depths. The seeds were 98.3 percent viable. Highest germination (94.66 percent) was recorded in sand paper scarification, 15, 20 and 25ºC. Continuous darkness and temperatures lower than 5ºC and higher than 35ºCwere detrimental to the seeds. Silty clay loam soil and a depth of 2 cm had the highest seedling emergence 90 percent and recommended as the ideal condition for seedlings emergence. The growth, yield and physiological response of S. nigrum to sandy clay loam, silty clay loam, clay loam, loam soils and control soil (sandy loam) were investigated in the glasshouse in two separate trials. The ANOVA analysed data results indicated that plant samples on silty clay loam significantly increased in height, stem girth, plant root, leaf area, number of leaves, number of branches, number of flowers, number of fruit bunch per plant dry weight, as well as weight of fruit bunch. However, plant samples grown on clay loam and loam soils recorded increased chlorophyll and produced dark green leaves. It is conceivable that silty clay loam soils have a strong ability to support the physiological growth and the yield of S. nigrum. These soils are therefore recommended for the cultivation of this plant. S. nigrum cultivated on these soils was evaluated for proximate compositions, anti-nutrients, vitamins A, C and E and mineral compositions using standard analytical methods. Using the translocation factor, the minerals’ toxicity accumulation levels in the plant were also determined. Accumulation of proximate parameters in the first and second trials are: ash (11.25-12.25 percent and 11.14- 11.54 percent), crude fibre (19.24-19.95 percent and 18.71-19.35 percent), protein (36.72-38.98 percent and 34.47-37.00 percent), phytate (0.84-1.17 and 0.88-1.15 mg/ml), saponnin (94.10-97.00 and 94.17-97.00 percent) and alkaloids (43.03-45.76 and 42.08- 44.10 percent) respectively. Vitamin A ranged between 117 and 137 mg/kg and betweens 108 and 128 mg/kg, vitamin C between 100 and 118 mg/kg and between 96 and 108 mg/kg and vitamin E between 250 and 269 mg/kg and between 227 and 261 mg/kg in the first and second trials respectively. The quantities of macro and micro-nutrients recorded in S. nigrum showed that this plant is a reservoir of nutrients. Plants cultivated on clay loam, silty clay loam and loam soils accumulated elevated nutritients compositions. Investigation was made on the ability of S. nigrum cultivated on different soil texture types to synthesise phytochemicals such as phenol, flavonoid, alkaloid proanthocyanidins, tannins, saponins and antioxidant. Highest concentrations of phenolics (73.87 mg/g), flavonoids (58.41 mg/g), proanthocyanidins (875.74 mg/g), tannins (49.32 mg/g), saponins (875.74 mg/g) and alkaloid (47.50 mg/g) contents were recorded in plant sample cultivated on silty clay loam soil. Also, highest radical scavenging power using DPPH (0.0102 mg/g), ABTS (0.1062 mg/g) and FRAP (0.8395 mg/g) were recorded in plant samples grown on silty clay loam and the next high values were recorded in plant samples grown on clay loam soil. It is showed in this study that silty clay loam soil and clay loam soils are the best soil types for cultivation of S. nigrum for increased antioxidant properties/ oxygen radical scavenging activities. Investigation was made on chemical compositions and antioxidant properties of essential oil extracts of S. nigrum shoot and root cultivated on different soil textures. The Gas Chromatography-Mass Spectrometry (GC-MS) profiling revealed variations in the quality index (QI) and number of chemical constituents of the oil of S. nigrum cultivated on different soil texture types. Geraniol and citronellol were two principal components of high quality common to oil from shoots and roots fromplants cultivated on all soil types. Results of DPPH and ABTS assays of the shoot oil showed that S. nigrum cultivated on clay loam soil had the highest antioxidant power. The presence of citronellol and geraniol among the major compounds is an indicaton of the plant’s role in defensive mechanisms. The work indicated that soil texture has effect on the quality, quantity and chemical compounds synthesised in the shoots and roots of S. nigrum. Antibacterial activities and the efficacy of S. nigrum cultivated on different soil types were carried out on reference strains of 4 gram-positive and 4 gram-negative bacteria. Toxicity evaluation of the plant’s acetone extract and water extract were also assessed on lethality of brine shrimp eggs. Plant water and acetone extracts exhibited strong antibacterial activity against Pseudomona aeruginosa, acetone extracts against Bacillus cereus, Listeria and Escherichia coli. Significantly (p< 0.05) low concentration (0.25 mg/mL) of acetone extracts from plant shoot cultivated on silty clay loam and clay loam soils inhibited B. cereus and P. aeruginosa. Antimicrobial activities of extracts of plant cultivated on clay loam appeared to be more superior to extracs from plants grown on other soil types. Toxicity of the plant extracts (water and acetone) was concentration and time dependent. The LD50 values for all plant extracts were greater than 1000 mg/mL which showed they are non-toxic.
- Full Text:
- Date Issued: 2017
Implementation of gender policies to promote gender parity in leadership in academia : a case study of two universities in Bindura Urban Mashonaland Central Province Zimbabwe
- Authors: Mandoga, Edward
- Date: 2017
- Subjects: Women in higher education -- Zimbabwe Education, Higher -- Zimbabwe Sex discrimination in higher education -- Zimbabwe
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/5260 , vital:29178
- Description: The study is premised on the assumptions that the under-representation of women in leadership in academia is aggravated by weak implementation of gender policies. In light of this, the aim of the current study was to assess the nature and extent of the implementation of gender policy frameworks as a way of engendering gender parity in leadership in academia. The study was informed by the socialist-feminist theory and John Rawls’ and David Millers’ theory of social justice. The theories were chosen on the basis of their socialist-scientific approach to gender issues and also because of their resonance with the situation in Zimbabwe’s tertiary institutions. The theories were analysed within the context of Agenda 2063. The relevance of the agenda’s vision for this study is its recognition of gender equality, particularly in leadership in academia, as a critical cog for Africa’s development agenda. The researcher opted to use the qualitative approach which is embedded within the interpretivist research paradigm. The interpretivist approach makes use of qualitative methods of data collection, presentation and analysis. Data were generated from a sample of twenty four lecturers, two vice-chancellors, two pro-vice-chancellors and two registrars from two universities, a private church-run institution and a state university, mainly through interviews. Data were also generated through focus group discussions and document analysis. Data from documents were used to buttress data from the interviews and focus group discussions. The findings of this study showed that the male-management norm dominated in almost every strategic section of the structures of the two institutions. This was attributable to weak implementation of gender policies. The failure of the gender policies to bring a visible change to the institutional landscape in terms of gender equality was a result of an interplay of personal, cultural and organisational factors. Some of the factors that thwarted women’s career progression to leadership positions included, lack of inspiration from role models, lack of support from colleagues, lack of training in leadership, and the Zimbabwe Council of Higher Education’s (ZIMCHE) indiscriminate policy on recruitment of staff members. All the factors however, were encapsulated within the patriarchal stereotypical conception of a women as fit for domesticity. Within the same conception, men were considered to be imbued with the clout and traits consistent with leadership demands. Studies carried out elsewhere in Zimbabwe and outside the boarders of Zimbabwe have yielded similar results. This explains the continuing and relentless nature of gender inequality in academic institutions. In order to increase the participation of women in leadership positions, the study recommends the following: establishment of a monitoring and evaluation exercise designed to audit the effectiveness of the gender policies; establishment of a review of the university programmes with the aim of establishing or intensifying training programmes in academic leadership and management; establishment of a scholarship and research fund to encourage women to undertake higher degrees studies, and the intense application of affirmative action policies and gender mainstreaming in the universities.
- Full Text:
- Date Issued: 2017
- Authors: Mandoga, Edward
- Date: 2017
- Subjects: Women in higher education -- Zimbabwe Education, Higher -- Zimbabwe Sex discrimination in higher education -- Zimbabwe
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/5260 , vital:29178
- Description: The study is premised on the assumptions that the under-representation of women in leadership in academia is aggravated by weak implementation of gender policies. In light of this, the aim of the current study was to assess the nature and extent of the implementation of gender policy frameworks as a way of engendering gender parity in leadership in academia. The study was informed by the socialist-feminist theory and John Rawls’ and David Millers’ theory of social justice. The theories were chosen on the basis of their socialist-scientific approach to gender issues and also because of their resonance with the situation in Zimbabwe’s tertiary institutions. The theories were analysed within the context of Agenda 2063. The relevance of the agenda’s vision for this study is its recognition of gender equality, particularly in leadership in academia, as a critical cog for Africa’s development agenda. The researcher opted to use the qualitative approach which is embedded within the interpretivist research paradigm. The interpretivist approach makes use of qualitative methods of data collection, presentation and analysis. Data were generated from a sample of twenty four lecturers, two vice-chancellors, two pro-vice-chancellors and two registrars from two universities, a private church-run institution and a state university, mainly through interviews. Data were also generated through focus group discussions and document analysis. Data from documents were used to buttress data from the interviews and focus group discussions. The findings of this study showed that the male-management norm dominated in almost every strategic section of the structures of the two institutions. This was attributable to weak implementation of gender policies. The failure of the gender policies to bring a visible change to the institutional landscape in terms of gender equality was a result of an interplay of personal, cultural and organisational factors. Some of the factors that thwarted women’s career progression to leadership positions included, lack of inspiration from role models, lack of support from colleagues, lack of training in leadership, and the Zimbabwe Council of Higher Education’s (ZIMCHE) indiscriminate policy on recruitment of staff members. All the factors however, were encapsulated within the patriarchal stereotypical conception of a women as fit for domesticity. Within the same conception, men were considered to be imbued with the clout and traits consistent with leadership demands. Studies carried out elsewhere in Zimbabwe and outside the boarders of Zimbabwe have yielded similar results. This explains the continuing and relentless nature of gender inequality in academic institutions. In order to increase the participation of women in leadership positions, the study recommends the following: establishment of a monitoring and evaluation exercise designed to audit the effectiveness of the gender policies; establishment of a review of the university programmes with the aim of establishing or intensifying training programmes in academic leadership and management; establishment of a scholarship and research fund to encourage women to undertake higher degrees studies, and the intense application of affirmative action policies and gender mainstreaming in the universities.
- Full Text:
- Date Issued: 2017
Implementation of the policy on religious equity in public schools in the East London Education District : towards a framework for religious diversity
- Makasi, Cordelia Noma-Abysinia
- Authors: Makasi, Cordelia Noma-Abysinia
- Date: 2017
- Subjects: Religious education -- South Africa -- Eastern Cape Religion and state -- South Africa -- Eastern Cape Christianity and politics
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/5014 , vital:28935
- Description: The study sought to establish the implementation of the policy on religious equity in public schools in the East London Education district in the Eastern Cape Province of South Africa. Underpinned by Van Meter and Van Horn (2015) with implementation and conceptual theory and also a theory on opportunity to learn and school performance by Van Der Grift and Houtveen(2006), the study was located in the pragmatist research paradigm and followed a mixed methods approach and concurrent triangulation design. The research sampling technique was random for high school learners in selected schools and purposeful for principals, heads of departments, teachers and provincial education officials. Three methods were employed to collect data from selected public schools and from the provincial office namely; semi-structured interviews, individual interviews and observation. Quantitative data were analysed statistically and presented in the form of descriptive statistics. Qualitative data were analysed using the thematic content analysis technique. Major findings of the study are that teachers and principals understood the concept religious equity and had a fair understanding of the policy on religious equity. Schools were predominantly Christian-oriented in terms of religious practices and there were no recorded cases of religious conflict. Learners of minority religions were not compelled to attend Christian religious functions in schools and were allowed to attend their own religious functions outside school. This was established from the fact that participants cited freedom of religion as being exercised in schools. However, it was further established that there was no strategic monitoring and support for teachers in the implementation of religious equity. There were also no deliberate measures and strategies for the implementation of religious equity suggesting challenges and inconsistencies in the implementation of the policy. While there were notable challenges in the implementation of the policy, due to resistance of stakeholders to change, schools had great opportunities which could be utilized to enhance the implementation of the policy on religious equity. The study concludes by noting that, while key policy implementers had an understanding of religious equity, the situation on the ground revealed challenges and inconsistencies in the implementation of the policy which resulted in a Christian-dominated school environment at the expense of minority religions The study recommends, among other things, that that religious equity be adhered to as enshrined in the Constitution of South Africa of 1996 and the South African Schools Act of 1996. The teaching and learning environment should include Religion Education as per prescription by National Policy on Religion Education of 2003, that monitoring and support of teachers be done, and that community involvement with policy development be considered crucial as well as moral education teaching in schools. A framework for enhancing implementation of the policy on religious equity is also proposed.
- Full Text:
- Date Issued: 2017
- Authors: Makasi, Cordelia Noma-Abysinia
- Date: 2017
- Subjects: Religious education -- South Africa -- Eastern Cape Religion and state -- South Africa -- Eastern Cape Christianity and politics
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/5014 , vital:28935
- Description: The study sought to establish the implementation of the policy on religious equity in public schools in the East London Education district in the Eastern Cape Province of South Africa. Underpinned by Van Meter and Van Horn (2015) with implementation and conceptual theory and also a theory on opportunity to learn and school performance by Van Der Grift and Houtveen(2006), the study was located in the pragmatist research paradigm and followed a mixed methods approach and concurrent triangulation design. The research sampling technique was random for high school learners in selected schools and purposeful for principals, heads of departments, teachers and provincial education officials. Three methods were employed to collect data from selected public schools and from the provincial office namely; semi-structured interviews, individual interviews and observation. Quantitative data were analysed statistically and presented in the form of descriptive statistics. Qualitative data were analysed using the thematic content analysis technique. Major findings of the study are that teachers and principals understood the concept religious equity and had a fair understanding of the policy on religious equity. Schools were predominantly Christian-oriented in terms of religious practices and there were no recorded cases of religious conflict. Learners of minority religions were not compelled to attend Christian religious functions in schools and were allowed to attend their own religious functions outside school. This was established from the fact that participants cited freedom of religion as being exercised in schools. However, it was further established that there was no strategic monitoring and support for teachers in the implementation of religious equity. There were also no deliberate measures and strategies for the implementation of religious equity suggesting challenges and inconsistencies in the implementation of the policy. While there were notable challenges in the implementation of the policy, due to resistance of stakeholders to change, schools had great opportunities which could be utilized to enhance the implementation of the policy on religious equity. The study concludes by noting that, while key policy implementers had an understanding of religious equity, the situation on the ground revealed challenges and inconsistencies in the implementation of the policy which resulted in a Christian-dominated school environment at the expense of minority religions The study recommends, among other things, that that religious equity be adhered to as enshrined in the Constitution of South Africa of 1996 and the South African Schools Act of 1996. The teaching and learning environment should include Religion Education as per prescription by National Policy on Religion Education of 2003, that monitoring and support of teachers be done, and that community involvement with policy development be considered crucial as well as moral education teaching in schools. A framework for enhancing implementation of the policy on religious equity is also proposed.
- Full Text:
- Date Issued: 2017
Improving financial risk management in the petroleum industry of Nigeria
- Authors: Ogulu, Christiana
- Date: 2017
- Subjects: Financial risk management -- Nigeria , Risk management -- Nigeria Petroleum industry and trade -- Nigeria Nigeria -- Economic conditions -- 21st century
- Language: English
- Type: Thesis , Doctoral , DBA
- Identifier: http://hdl.handle.net/10948/19806 , vital:28974
- Description: Petroleum companies are critical to the Nigerian economy, as the petroleum sector is the biggest earner and spender of foreign exchange and the highest employer of labour. The industry is however faced with challenges of unprecedented fluctuation of commodity prices, exchange rates, a series of divestments, host communities’ demands, oil theft, project shelving, and destruction of infrastructure. Workforce cutting and consolidations are also the order of the day and current financial risk management (FRM) systems in companies appear not to be working. FRM systems in Nigerian petroleum companies have failed because risk managers did not have one generally accepted framework to manage financial risks such as fluctuations in commodity prices, exchange rates, interest rates, and in the demand and supply of crude oil and gas. There was a need for an integrated framework that is more descriptive and that does not rely only on mathematical models, separate management of each financial risk, and specific focus on the downside risk and derivatives. Mathematical models have presented weaknesses in the identification of issues, dissemination of information, policy formulation, planning, type and the institution of risk culture or delimitation of authority and in responsibility through the organisational structure. Mathematical models could not fully reduce the identification, communication, structure, and environmental scanning of FRM to mathematical models. The present study was the first attempt at an FRM framework that integrated all the financial risks strategically and took into consideration all the critical success factors that can solve the problems and challenges facing the Nigerian petroleum companies in the long term. The primary objective of the study was therefore to develop an FRM framework for the petroleum industry of Nigeria. The study collected data using a mixed methods approach to generate quantitative and qualitative data regarding financial risks facing the petroleum industry and possible methods of managing these risks effectively. The final sample consisted of 70 top-, middle- and lower-level managers, as well as five experts in the industry. Questionnaires were administered to practitioners in the south-eastern and south-western regions of Nigeria, and semi-structured interviews were conducted with financial risk management experts in the petroleum industry. Descriptive and inferential statistics were used in analysing the data. The study succeeded in developing a framework that: provides a thorough understanding and proper evaluation of the most important financial risks petroleum companies face; identifies the type and extent of top management support needed in a strategic FRM system; identifies and operationalises the financial risk culture that should be fostered to achieve FRM success; identifies the organisational structure that supports the successful achievement of FRM; identifies and operationalises the organisation communication flow that supports the successful achievement of FRM; identifies and operationalises oversight and control to support the successful achievement of FRM; and specifies the amount of training that supports the successful achievement of FRM. By implementing this framework, petroleum organisations in Nigeria will go a long way in successfully managing financial risks in that industry.
- Full Text:
- Date Issued: 2017
- Authors: Ogulu, Christiana
- Date: 2017
- Subjects: Financial risk management -- Nigeria , Risk management -- Nigeria Petroleum industry and trade -- Nigeria Nigeria -- Economic conditions -- 21st century
- Language: English
- Type: Thesis , Doctoral , DBA
- Identifier: http://hdl.handle.net/10948/19806 , vital:28974
- Description: Petroleum companies are critical to the Nigerian economy, as the petroleum sector is the biggest earner and spender of foreign exchange and the highest employer of labour. The industry is however faced with challenges of unprecedented fluctuation of commodity prices, exchange rates, a series of divestments, host communities’ demands, oil theft, project shelving, and destruction of infrastructure. Workforce cutting and consolidations are also the order of the day and current financial risk management (FRM) systems in companies appear not to be working. FRM systems in Nigerian petroleum companies have failed because risk managers did not have one generally accepted framework to manage financial risks such as fluctuations in commodity prices, exchange rates, interest rates, and in the demand and supply of crude oil and gas. There was a need for an integrated framework that is more descriptive and that does not rely only on mathematical models, separate management of each financial risk, and specific focus on the downside risk and derivatives. Mathematical models have presented weaknesses in the identification of issues, dissemination of information, policy formulation, planning, type and the institution of risk culture or delimitation of authority and in responsibility through the organisational structure. Mathematical models could not fully reduce the identification, communication, structure, and environmental scanning of FRM to mathematical models. The present study was the first attempt at an FRM framework that integrated all the financial risks strategically and took into consideration all the critical success factors that can solve the problems and challenges facing the Nigerian petroleum companies in the long term. The primary objective of the study was therefore to develop an FRM framework for the petroleum industry of Nigeria. The study collected data using a mixed methods approach to generate quantitative and qualitative data regarding financial risks facing the petroleum industry and possible methods of managing these risks effectively. The final sample consisted of 70 top-, middle- and lower-level managers, as well as five experts in the industry. Questionnaires were administered to practitioners in the south-eastern and south-western regions of Nigeria, and semi-structured interviews were conducted with financial risk management experts in the petroleum industry. Descriptive and inferential statistics were used in analysing the data. The study succeeded in developing a framework that: provides a thorough understanding and proper evaluation of the most important financial risks petroleum companies face; identifies the type and extent of top management support needed in a strategic FRM system; identifies and operationalises the financial risk culture that should be fostered to achieve FRM success; identifies the organisational structure that supports the successful achievement of FRM; identifies and operationalises the organisation communication flow that supports the successful achievement of FRM; identifies and operationalises oversight and control to support the successful achievement of FRM; and specifies the amount of training that supports the successful achievement of FRM. By implementing this framework, petroleum organisations in Nigeria will go a long way in successfully managing financial risks in that industry.
- Full Text:
- Date Issued: 2017
Improving the supply of subsidised housing in South Africa
- Authors: Bekker, Jakobus Petrus
- Date: 2017
- Subjects: Housing -- South Africa Housing subsidies -- South Africa , Low-income housing -- South Africa Public housing -- South Africa Housing development -- South Africa
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10948/19553 , vital:28893
- Description: Despite South African citizen’s constitutional right to adequate housing, Government’s housing delivery has been described as a complex, multi-stakeholder, multi-phase problem, exacerbated by political interference and corruption. Housing delivery in South Africa is ideologically and politically designed and executed. However, the government subsidised housing sector remains plagued by: huge and increasing backlogs; corruption; quality concerns, and recipient and stakeholder dissatisfaction. This includes the government subsidised housing construction sector, which faces issues such as: established contractors leaving the sector; late and failed completion; substandard quality; rework; cost overruns; late progress payments; and insolvencies. Moreover, government subsidised housing officials, which forms part of this sector, must contend with abandoned projects and appointing new contractors; shoddy workmanship from sub-standard contractors; remedial work, including demolition and rebuilding; and systemic problems such as staff shortages and under qualified staff. The process of Government’s ideological and political designed and execution may therefore not have considered certain practicalities relative to construction principles and practice. It therefore appears that there may be some relationship between the compatibility of Government’s housing ideological and political designed (policy) and execution and general construction principles and practice. It is clear from the related literature that government subsidised housing construction has mostly been investigated as an exercise observing from the outside in, and not from a construction sector perspective. The main purpose of this study is thus to explore housing policy and practice compatibility as a major obstacle to housing delivery in general and assess whether the current housing policy is sufficiently responsive to the requirements of the government subsidised housing sector by specifically describing and exploring the effects of Government’s housing procurement policies relative to the ability of the construction sector to supply government subsidised housing. More specifically, the study describes and explores corruption, quality; contractors and worker competency, and government capacity as specific consequences of housing policy and practice incompatibility, as well as factors contributing to recipient dissatisfaction and the housing backlog. Finally, based on the finding, a proposed framework for improving the supply of subsidised housing in South Africa has been developed. The methodology for this study adopted a post-positivist philosophy, embracing a quantitative approach using questionnaires, which incorporated mainly five-point Likert type scale, but also multiple-choice questions, as instruments for data collection. Three surveys were conducted, starting with a pilot study and followed by a primary study, during which a total of 2 884 potential participants within the construction sector across South Africa were randomly sampled and solicited to participate, of which 284 responded. The respondents consisted of four groups: general contractors (76); government housing officials (34); built environment professionals (137), and built environment suppliers (37). An electronic questionnaire was sent by email to all potential participants and allowed four weeks to complete the survey. Furthermore, a housing recipient survey was conducted among 100 randomly selected recipients of government subsidised housing in the Nelson Mandela Metropolitan area, by means of a structured interview using a paper based questionnaire, over a period of two weeks. The primary outcome measures used for this study were the ranked mean scores for mainly descriptive analysis and the Chi-square test, the 𝑡-test, Cohan’s d test, ANOVA and Scheffé test, using Cronbach's alpha as a measure of internal consistency of scale and validity, for inferential analyses and hypotheses testing. Hypothesis testing was founded upon Government’s worldview that its policies will not influence the operations of the construction sector relative to housing construction, and therefore tested respondents’ perspectives with respect to the impact that government policies have in terms of contractor operations and contractor success, as well as its contribution towards the housing backlog, substandard housing, recipient dissatisfaction and corruption. The following results were obtained by means of the hypothesis testing:Government housing procurement policies are inappropriate for application in the government subsidised housing sector. Respondents therefore disagree with the notion that government policy and practices do not impact contractor operations and contractor success, and thus the supply of houses; The application of government housing procurement policies leads to inadequate quality. Respondents therefore disagree with the notion that government preferential procurement policies do not impact quality; Government’s housing procurement policies inappropriately target emerging contractors. Respondents therefore disagree with the notion that Government’s targeting of emerging contractors does not impact housing supply; Government has inadequate capacity to address subsidised housing construction sector requirements in terms of housing projects. Respondents therefore disagree with the notion that Government has the capacity to address subsidised housing construction sector requirements in the supply of housing, and Government subsidised houses do not meet recipients’ expectations. Respondents therefore disagree with the notion that government subsidised houses do meet recipients’ expectations. It thus became apparent that housing supply is mostly inhibited by Government’s housing procurement policy, contributing to various factors, such as quality capability, contractor capability, systemic and administrative capacity, and resulting in recipient dissatisfaction. Using Pearson’s product moment correlation, a framework model was developed to illustrate the process flow, which revealed definitive statistical and practical relationships between these factors, and indeed reflects complex relationships between factors inhibiting supply and resulting in recipient dissatisfaction. To find an appropriate framework model for the purpose of improving housing supply, various sources were consulted. Based on the research question, together with the aims and objectives for this study, as well as the realisation that the problems associated with housing supply relate to the project management of the construction phase, which requires interventions for improving supply, it was decided that a results framework would be the most appropriate for this purpose. The proposed framework is therefore a graphical depiction of how the research process may be used to identify problems in the government subsidised housing sector, questioning how these may be resolved, setting strategies to improve the situation, evolving hypotheses and testing these hypotheses to establish the critical factors to be considered in the process of resolving the problem in the housing sector, by means of implementation and feedback.
- Full Text:
- Date Issued: 2017
- Authors: Bekker, Jakobus Petrus
- Date: 2017
- Subjects: Housing -- South Africa Housing subsidies -- South Africa , Low-income housing -- South Africa Public housing -- South Africa Housing development -- South Africa
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10948/19553 , vital:28893
- Description: Despite South African citizen’s constitutional right to adequate housing, Government’s housing delivery has been described as a complex, multi-stakeholder, multi-phase problem, exacerbated by political interference and corruption. Housing delivery in South Africa is ideologically and politically designed and executed. However, the government subsidised housing sector remains plagued by: huge and increasing backlogs; corruption; quality concerns, and recipient and stakeholder dissatisfaction. This includes the government subsidised housing construction sector, which faces issues such as: established contractors leaving the sector; late and failed completion; substandard quality; rework; cost overruns; late progress payments; and insolvencies. Moreover, government subsidised housing officials, which forms part of this sector, must contend with abandoned projects and appointing new contractors; shoddy workmanship from sub-standard contractors; remedial work, including demolition and rebuilding; and systemic problems such as staff shortages and under qualified staff. The process of Government’s ideological and political designed and execution may therefore not have considered certain practicalities relative to construction principles and practice. It therefore appears that there may be some relationship between the compatibility of Government’s housing ideological and political designed (policy) and execution and general construction principles and practice. It is clear from the related literature that government subsidised housing construction has mostly been investigated as an exercise observing from the outside in, and not from a construction sector perspective. The main purpose of this study is thus to explore housing policy and practice compatibility as a major obstacle to housing delivery in general and assess whether the current housing policy is sufficiently responsive to the requirements of the government subsidised housing sector by specifically describing and exploring the effects of Government’s housing procurement policies relative to the ability of the construction sector to supply government subsidised housing. More specifically, the study describes and explores corruption, quality; contractors and worker competency, and government capacity as specific consequences of housing policy and practice incompatibility, as well as factors contributing to recipient dissatisfaction and the housing backlog. Finally, based on the finding, a proposed framework for improving the supply of subsidised housing in South Africa has been developed. The methodology for this study adopted a post-positivist philosophy, embracing a quantitative approach using questionnaires, which incorporated mainly five-point Likert type scale, but also multiple-choice questions, as instruments for data collection. Three surveys were conducted, starting with a pilot study and followed by a primary study, during which a total of 2 884 potential participants within the construction sector across South Africa were randomly sampled and solicited to participate, of which 284 responded. The respondents consisted of four groups: general contractors (76); government housing officials (34); built environment professionals (137), and built environment suppliers (37). An electronic questionnaire was sent by email to all potential participants and allowed four weeks to complete the survey. Furthermore, a housing recipient survey was conducted among 100 randomly selected recipients of government subsidised housing in the Nelson Mandela Metropolitan area, by means of a structured interview using a paper based questionnaire, over a period of two weeks. The primary outcome measures used for this study were the ranked mean scores for mainly descriptive analysis and the Chi-square test, the 𝑡-test, Cohan’s d test, ANOVA and Scheffé test, using Cronbach's alpha as a measure of internal consistency of scale and validity, for inferential analyses and hypotheses testing. Hypothesis testing was founded upon Government’s worldview that its policies will not influence the operations of the construction sector relative to housing construction, and therefore tested respondents’ perspectives with respect to the impact that government policies have in terms of contractor operations and contractor success, as well as its contribution towards the housing backlog, substandard housing, recipient dissatisfaction and corruption. The following results were obtained by means of the hypothesis testing:Government housing procurement policies are inappropriate for application in the government subsidised housing sector. Respondents therefore disagree with the notion that government policy and practices do not impact contractor operations and contractor success, and thus the supply of houses; The application of government housing procurement policies leads to inadequate quality. Respondents therefore disagree with the notion that government preferential procurement policies do not impact quality; Government’s housing procurement policies inappropriately target emerging contractors. Respondents therefore disagree with the notion that Government’s targeting of emerging contractors does not impact housing supply; Government has inadequate capacity to address subsidised housing construction sector requirements in terms of housing projects. Respondents therefore disagree with the notion that Government has the capacity to address subsidised housing construction sector requirements in the supply of housing, and Government subsidised houses do not meet recipients’ expectations. Respondents therefore disagree with the notion that government subsidised houses do meet recipients’ expectations. It thus became apparent that housing supply is mostly inhibited by Government’s housing procurement policy, contributing to various factors, such as quality capability, contractor capability, systemic and administrative capacity, and resulting in recipient dissatisfaction. Using Pearson’s product moment correlation, a framework model was developed to illustrate the process flow, which revealed definitive statistical and practical relationships between these factors, and indeed reflects complex relationships between factors inhibiting supply and resulting in recipient dissatisfaction. To find an appropriate framework model for the purpose of improving housing supply, various sources were consulted. Based on the research question, together with the aims and objectives for this study, as well as the realisation that the problems associated with housing supply relate to the project management of the construction phase, which requires interventions for improving supply, it was decided that a results framework would be the most appropriate for this purpose. The proposed framework is therefore a graphical depiction of how the research process may be used to identify problems in the government subsidised housing sector, questioning how these may be resolved, setting strategies to improve the situation, evolving hypotheses and testing these hypotheses to establish the critical factors to be considered in the process of resolving the problem in the housing sector, by means of implementation and feedback.
- Full Text:
- Date Issued: 2017
Indigenous and traditional musics in the school classroom : a re-evaluation of the South African Indigenous African Music (IAM) curriculum
- Authors: McConnachie, Boudina
- Date: 2017
- Subjects: Ethnomusicology , Indigenous people -- Music , Music -- Instruction and study -- Africa , Music -- Instruction and study -- Curricula -- Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:21182 , http://hdl.handle.net/10962/6806
- Description: Musical ideals set by European standards and values, entrenched through colonial oppression and promoted by the continued veneration of Western culture need to be re-evaluated. Despite the intention of the ANC government, through the Department of Basic Education's Curriculum and Assessment Policy Statement music curricula, to integrate Indigenous Knowledge and musics into the South African classroom, evidence shows that opportunities to do so are not seized. With reference to the proclaimed values of an African sensibility in the model of the South African music education curriculum, the history of its development and the current pedagogical movement towards transformation in the production of knowledge and the inclusion of Indigenous Knowledge (IK), this thesis questions why teachers in government schools in South Africa are not executing the Indigenous African Music (IAM) syllabus in the CAPS FET music curriculum. Taking the history of music education and the development of curriculum models and frameworks into account, it interrogates what strategies could improve the application of the current music curriculum in government schools in South Africa. These questions are addressed in the thesis by way of a discussion of the music curriculum and what its praxis in the classroom reveals about its efficacy, through observations and personal experiences, the observations of teachers and student teachers, a comparison with the experience in Zimbabwe, and an analysis of the music curriculum as it is currently devised and implemented. Straddling three methodological approaches, namely the ethnographic, the autoethnographic and the action research approach this study finds that the CAPS FET music curriculum does provide realistic opportunities to engage with African Indigenous and traditional music. This, however, is dependent upon the training of the teacher, facilities available in the classroom and the prior knowledge of the learner. A fundamental flaw of this curriculum is the approach to practical assessment of Indigenous and traditional African musics and the lack of assessment criteria and practical guidelines. In addition, the findings suggest that the fault regarding implementation of the curriculum lies in the training of students (who become teachers) at tertiary level, where an integrated approach to skills development regarding Indigenous African music is suggested.
- Full Text:
- Date Issued: 2017
- Authors: McConnachie, Boudina
- Date: 2017
- Subjects: Ethnomusicology , Indigenous people -- Music , Music -- Instruction and study -- Africa , Music -- Instruction and study -- Curricula -- Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:21182 , http://hdl.handle.net/10962/6806
- Description: Musical ideals set by European standards and values, entrenched through colonial oppression and promoted by the continued veneration of Western culture need to be re-evaluated. Despite the intention of the ANC government, through the Department of Basic Education's Curriculum and Assessment Policy Statement music curricula, to integrate Indigenous Knowledge and musics into the South African classroom, evidence shows that opportunities to do so are not seized. With reference to the proclaimed values of an African sensibility in the model of the South African music education curriculum, the history of its development and the current pedagogical movement towards transformation in the production of knowledge and the inclusion of Indigenous Knowledge (IK), this thesis questions why teachers in government schools in South Africa are not executing the Indigenous African Music (IAM) syllabus in the CAPS FET music curriculum. Taking the history of music education and the development of curriculum models and frameworks into account, it interrogates what strategies could improve the application of the current music curriculum in government schools in South Africa. These questions are addressed in the thesis by way of a discussion of the music curriculum and what its praxis in the classroom reveals about its efficacy, through observations and personal experiences, the observations of teachers and student teachers, a comparison with the experience in Zimbabwe, and an analysis of the music curriculum as it is currently devised and implemented. Straddling three methodological approaches, namely the ethnographic, the autoethnographic and the action research approach this study finds that the CAPS FET music curriculum does provide realistic opportunities to engage with African Indigenous and traditional music. This, however, is dependent upon the training of the teacher, facilities available in the classroom and the prior knowledge of the learner. A fundamental flaw of this curriculum is the approach to practical assessment of Indigenous and traditional African musics and the lack of assessment criteria and practical guidelines. In addition, the findings suggest that the fault regarding implementation of the curriculum lies in the training of students (who become teachers) at tertiary level, where an integrated approach to skills development regarding Indigenous African music is suggested.
- Full Text:
- Date Issued: 2017
Individual-related factors influencing knowledge-sharing intention in knowledge-intensive businesses
- Authors: Van Greunen, Conrad
- Date: 2017
- Subjects: Knowledge management Intellectual capital -- Management , Management -- Information services Organizational learning
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/21274 , vital:29469
- Description: It has become generally accepted to refer to today‟s global economy as a knowledge-based economy, since knowledge has increasingly become the resource, instead of a resource for wealth creation. The ability of businesses to harness the potential of intangible assets such as knowledge has become far more decisive than their ability to manage physical assets. In the implementation of knowledge management activities, knowledge sharing is recognised as an integral task and key enabler of knowledge management. Although knowledge sharing is regarded as one of the most crucial factors in the effective management of knowledge, in knowledge-intensive businesses in particular, it has also been established that most employees are reluctant to share knowledge. Research further confirms that the factors that promote or discourage knowledge-sharing behaviour in businesses are poorly understood and that knowledge management systems fail as a result of the misunderstanding of individual characteristics that could influence knowledge sharing. Moreover, the focus of knowledge-sharing literature, in terms of the unit of analysis, is rarely at an individual/micro level, although the role of individuals in the knowledge-sharing process is critical as tacit knowledge resides within the individual and knowledge sharing starts with individuals. Given the importance of understanding knowledge sharing of individuals in knowledge-intensive businesses – but noting the lack of existing systematic, integrated research that focuses on individual-related factors influencing knowledge sharing – the purpose of this study was to fill the gap in the current literature. As such, the primary objective of this research was to identify and empirically investigate the individual-related factors influencing the Knowledge-sharing intention of individual employees in knowledge-intensive businesses. The literature review revealed twelve constructs, namely Individuals’ awareness, Intrinsic motivation, Extrinsic motivation, Transactional psychological contract breach, Relational psychological contract breach, Relationship conflict, Task conflict, Extraversion, Neuroticism, Openness to experience, Agreeableness and Conscientiousness that could influence the dependent variable Knowledge-sharing intention in knowledge-intensive businesses. Various moderating relationships between the dependent and independent variables were also proposed, while seven demographic variables (Age, Gender, Language, Highest qualification, Ethnic background, Organisational tenure and Job tenure of the respondent) were identified as potential control variables. Each construct in the hypothesised model of individual-related factors influencing Knowledge-sharing intention was defined and operationalised using items sourced from validated measuring instruments in previous studies. Several self-generated items based on secondary sources were also formulated. A structured questionnaire was made available to respondents identified by means of the convenience sampling technique, and the data collected from 597 usable questionnaires was subjected to various statistical analyses. An exploratory factor analysis (EFA) was conducted which confirmed the unique factors present in the data, and Cronbach-alpha coefficients were calculated to confirm the reliability of the measuring instrument. Structural equation modelling (SEM) was the main statistical procedure used to test the significance of the relationships hypothesised between the various independent and dependent variables. A subset of SEM, namely general linear modelling (GLM) was used to determine the influence of selected demographic variables on Knowledge-sharing intention and to assess various moderating relationships as proposed in the hypothesised model. The main findings of this study were that personality traits are strong predictors of individual employees‟ willingness to share knowledge, and that the maturity of individuals, in terms of realising the significance and value of sharing their knowledge with others, and in recognising the intrinsic benefits of sharing, influence Knowledge-sharing intention. The main limitations of the study were the use of a convenience sampling technique to collect the data, as well as the dependence of self-report by respondents, which could lead to response bias. This study has added to the body of knowledge management research, in particular knowledge-sharing research, by investigating selected individual-related factors influencing the Knowledge-sharing intention of individuals in a particular subset of businesses, namely knowledge-intensive businesses, and focusing on a particular type of knowledge, namely tacit knowledge. From a business‟s perspective, this study offers recommendations and suggestions for managing these individual-related factors in such a way as to increase knowledge sharing among employees, and as a result, the effectiveness and competitive advantage of knowledge-intensive businesses.
- Full Text:
- Date Issued: 2017
Individual-related factors influencing knowledge-sharing intention in knowledge-intensive businesses
- Authors: Van Greunen, Conrad
- Date: 2017
- Subjects: Knowledge management Intellectual capital -- Management , Management -- Information services Organizational learning
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/21274 , vital:29469
- Description: It has become generally accepted to refer to today‟s global economy as a knowledge-based economy, since knowledge has increasingly become the resource, instead of a resource for wealth creation. The ability of businesses to harness the potential of intangible assets such as knowledge has become far more decisive than their ability to manage physical assets. In the implementation of knowledge management activities, knowledge sharing is recognised as an integral task and key enabler of knowledge management. Although knowledge sharing is regarded as one of the most crucial factors in the effective management of knowledge, in knowledge-intensive businesses in particular, it has also been established that most employees are reluctant to share knowledge. Research further confirms that the factors that promote or discourage knowledge-sharing behaviour in businesses are poorly understood and that knowledge management systems fail as a result of the misunderstanding of individual characteristics that could influence knowledge sharing. Moreover, the focus of knowledge-sharing literature, in terms of the unit of analysis, is rarely at an individual/micro level, although the role of individuals in the knowledge-sharing process is critical as tacit knowledge resides within the individual and knowledge sharing starts with individuals. Given the importance of understanding knowledge sharing of individuals in knowledge-intensive businesses – but noting the lack of existing systematic, integrated research that focuses on individual-related factors influencing knowledge sharing – the purpose of this study was to fill the gap in the current literature. As such, the primary objective of this research was to identify and empirically investigate the individual-related factors influencing the Knowledge-sharing intention of individual employees in knowledge-intensive businesses. The literature review revealed twelve constructs, namely Individuals’ awareness, Intrinsic motivation, Extrinsic motivation, Transactional psychological contract breach, Relational psychological contract breach, Relationship conflict, Task conflict, Extraversion, Neuroticism, Openness to experience, Agreeableness and Conscientiousness that could influence the dependent variable Knowledge-sharing intention in knowledge-intensive businesses. Various moderating relationships between the dependent and independent variables were also proposed, while seven demographic variables (Age, Gender, Language, Highest qualification, Ethnic background, Organisational tenure and Job tenure of the respondent) were identified as potential control variables. Each construct in the hypothesised model of individual-related factors influencing Knowledge-sharing intention was defined and operationalised using items sourced from validated measuring instruments in previous studies. Several self-generated items based on secondary sources were also formulated. A structured questionnaire was made available to respondents identified by means of the convenience sampling technique, and the data collected from 597 usable questionnaires was subjected to various statistical analyses. An exploratory factor analysis (EFA) was conducted which confirmed the unique factors present in the data, and Cronbach-alpha coefficients were calculated to confirm the reliability of the measuring instrument. Structural equation modelling (SEM) was the main statistical procedure used to test the significance of the relationships hypothesised between the various independent and dependent variables. A subset of SEM, namely general linear modelling (GLM) was used to determine the influence of selected demographic variables on Knowledge-sharing intention and to assess various moderating relationships as proposed in the hypothesised model. The main findings of this study were that personality traits are strong predictors of individual employees‟ willingness to share knowledge, and that the maturity of individuals, in terms of realising the significance and value of sharing their knowledge with others, and in recognising the intrinsic benefits of sharing, influence Knowledge-sharing intention. The main limitations of the study were the use of a convenience sampling technique to collect the data, as well as the dependence of self-report by respondents, which could lead to response bias. This study has added to the body of knowledge management research, in particular knowledge-sharing research, by investigating selected individual-related factors influencing the Knowledge-sharing intention of individuals in a particular subset of businesses, namely knowledge-intensive businesses, and focusing on a particular type of knowledge, namely tacit knowledge. From a business‟s perspective, this study offers recommendations and suggestions for managing these individual-related factors in such a way as to increase knowledge sharing among employees, and as a result, the effectiveness and competitive advantage of knowledge-intensive businesses.
- Full Text:
- Date Issued: 2017
Information and propaganda in the federation of Rhodesia and Nyasaland with special reference to print and radio propaganda for Africans, 1953-1963
- Authors: Zimudzi, Tapiwa Brown
- Date: 2017
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/6957 , vital:21204
- Description: This thesis contributes to the history of the information and propaganda policy and practice of the government of the Federation of Rhodesia and Nyasaland by examining this government's pro-Federation print and radio propaganda for Africans in the Federation. Using a multi-theoretical approach, it analyses the character of this propaganda, highlighting its main methods and themes as well as the policy considerations, plus political and economic circumstances that gave rise to it. It also discusses how Africans in the Federation reacted to this propaganda and assesses its effectiveness in gaining the support of these Africans for Federation and the policies of the Federal government. The thesis argues that Federal government propaganda aimed at gaining the support of Africans for Federation was predominantly panic-driven propaganda and was the product of an information panic that lay at the heart of the very idea of Federation itself. This information panic arose out of the Federal government's belated recognition of the strength of African opposition to Federation and of how this opposition seriously threatened the continued survival of the Federation. It is also argued that this panic-driven pro-Federation propaganda elicited largely hostile reactions from the majority of Africans in the Federation and failed to persuade them to support Federation.
- Full Text:
- Date Issued: 2017
- Authors: Zimudzi, Tapiwa Brown
- Date: 2017
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/6957 , vital:21204
- Description: This thesis contributes to the history of the information and propaganda policy and practice of the government of the Federation of Rhodesia and Nyasaland by examining this government's pro-Federation print and radio propaganda for Africans in the Federation. Using a multi-theoretical approach, it analyses the character of this propaganda, highlighting its main methods and themes as well as the policy considerations, plus political and economic circumstances that gave rise to it. It also discusses how Africans in the Federation reacted to this propaganda and assesses its effectiveness in gaining the support of these Africans for Federation and the policies of the Federal government. The thesis argues that Federal government propaganda aimed at gaining the support of Africans for Federation was predominantly panic-driven propaganda and was the product of an information panic that lay at the heart of the very idea of Federation itself. This information panic arose out of the Federal government's belated recognition of the strength of African opposition to Federation and of how this opposition seriously threatened the continued survival of the Federation. It is also argued that this panic-driven pro-Federation propaganda elicited largely hostile reactions from the majority of Africans in the Federation and failed to persuade them to support Federation.
- Full Text:
- Date Issued: 2017