Application of the Baylis-Hillman reaction in the preparation of quinoline derivatives
- Authors: Pakade, Vusumzi Emmanuel
- Date: 2006 , 2013-06-11
- Subjects: Heterocyclic compounds -- Derivatives , Quinoline
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4442 , http://hdl.handle.net/10962/d1007669 , Heterocyclic compounds -- Derivatives , Quinoline
- Description: The reaction of various 2-nitrobenzaldehyde derivatives with methyl vinyl ketone (MVK) in the presence of 1,4-diazabicyclo[2.2.2]octane (DABCO) has afforded the Baylis-Hillman adducts in moderate to good yield. Dissolution of the catalyst in the solvent before the addition of the aldehyde was observed to improve the yield. Reduction of the Baylis-Hillman adducts was effected by catalytic hydrogenation using a 10% palladium-on- carbon catalyst in ethanol to give quinoline and quinoline-N-oxide derivatives and, in some cases, acyclic reduction products. All products were characterised using NMR and, where appropriate, HRMS methods. Selected quinoline-N-oxides were successfully converted to their corresponding quinoline derivatives using phosphorus tribromide (PBr₃) and DMF as solvent. Conjugate addition of the benzylamine and piperidine nucleophiles to the Baylis-Hillman adducts was also investigated but proved problematic, with one of the substrates undergoing a retro-Baylis-Hillman reaction to afford the aldehyde in ca. 40% yield, but seemingly only traces of the required product. Perkin-type coupling of two 2-methylquinolines with benzaldehyde was successfully effected to afford the desired styrylquinoline derivatives confirming the potential of the Baylis-Hillman approach to the construction of the analogues of known HIV-1 integrase inhibitors. Three ¹³C NMR chemical shift prediction programmes, viz., Chem Window, neural network and HOSE (hierarchically ordered spherical description of environment) methods were applied to selected representative compounds prepared in the project. The results from the three programmes correlated reasonably well with the experimental carbon-13 chemical shift data for each of the selected compounds.
- Full Text:
- Date Issued: 2006
- Authors: Pakade, Vusumzi Emmanuel
- Date: 2006 , 2013-06-11
- Subjects: Heterocyclic compounds -- Derivatives , Quinoline
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4442 , http://hdl.handle.net/10962/d1007669 , Heterocyclic compounds -- Derivatives , Quinoline
- Description: The reaction of various 2-nitrobenzaldehyde derivatives with methyl vinyl ketone (MVK) in the presence of 1,4-diazabicyclo[2.2.2]octane (DABCO) has afforded the Baylis-Hillman adducts in moderate to good yield. Dissolution of the catalyst in the solvent before the addition of the aldehyde was observed to improve the yield. Reduction of the Baylis-Hillman adducts was effected by catalytic hydrogenation using a 10% palladium-on- carbon catalyst in ethanol to give quinoline and quinoline-N-oxide derivatives and, in some cases, acyclic reduction products. All products were characterised using NMR and, where appropriate, HRMS methods. Selected quinoline-N-oxides were successfully converted to their corresponding quinoline derivatives using phosphorus tribromide (PBr₃) and DMF as solvent. Conjugate addition of the benzylamine and piperidine nucleophiles to the Baylis-Hillman adducts was also investigated but proved problematic, with one of the substrates undergoing a retro-Baylis-Hillman reaction to afford the aldehyde in ca. 40% yield, but seemingly only traces of the required product. Perkin-type coupling of two 2-methylquinolines with benzaldehyde was successfully effected to afford the desired styrylquinoline derivatives confirming the potential of the Baylis-Hillman approach to the construction of the analogues of known HIV-1 integrase inhibitors. Three ¹³C NMR chemical shift prediction programmes, viz., Chem Window, neural network and HOSE (hierarchically ordered spherical description of environment) methods were applied to selected representative compounds prepared in the project. The results from the three programmes correlated reasonably well with the experimental carbon-13 chemical shift data for each of the selected compounds.
- Full Text:
- Date Issued: 2006
Biomonitoring in two contrasting catchments
- Authors: Maseti, Pumza Penelope
- Date: 2006
- Subjects: Water quality biological assessment -- South Africa , Water quality management -- South Africa , Rivers -- South Africa , Freshwater fishes -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:6034 , http://hdl.handle.net/10962/d1006175 , Water quality biological assessment -- South Africa , Water quality management -- South Africa , Rivers -- South Africa , Freshwater fishes -- South Africa
- Description: The introduction of instream biological monitoring to water resources management has been an increasing trend world-wide. This monitoring uses biological field assessments of instream biota such as macroinvertebrates, fish and riparian vegetation as an integrated and sensitive tool for diagnosing the condition of the ecosystems and assessing ecological impacts. Biomonitoring information has become an important component in the overall assessment of water resources and is used to drive and direct processes of decision-making and management of water resources. The River Health Programme (RHP) was initiated in South Africa to serve as a source of information regarding the ecological status of river systems, in order to support rational management of these natural resources. In this study, biomonitoring indices (SASS5 and FAII) were used to assess the present ecological status of two rivers located in contrasting catchments of the Eastern Cape. The first river is the Buffalo River located in an urban and industrialized catchment. The second river is the Inxu River draining a rural and afforested catchment. SASS5 was used successfully in both rivers and the results based on water quality and SASS5 indicated that most sites selected on the upper catchment of the Buffalo River have a fair water quality with most sites selected on the lower catchment having a poor water quality. The Inxu River sites (both upper and lower catchment) based on SASS5 and water quality results have a good to fair water quality. The majority of sites sampled on both rivers systems had very low FAII scores and fell within a critically modified water quality category. This result may be due to the fact that these rivers have low fish diversities (either low natural diversity or low diversity due to the presence of alien fish species), poor water quality or inadequate sampling methods. Observations from this study suggest that this index may not be suitable for rivers with low fish diversity. A fish index that is usable to all ecoregions of South Africa with minor adaptations to suit local conditions is still needed, as the present FAII index does not meet these requirements.
- Full Text:
- Date Issued: 2006
- Authors: Maseti, Pumza Penelope
- Date: 2006
- Subjects: Water quality biological assessment -- South Africa , Water quality management -- South Africa , Rivers -- South Africa , Freshwater fishes -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:6034 , http://hdl.handle.net/10962/d1006175 , Water quality biological assessment -- South Africa , Water quality management -- South Africa , Rivers -- South Africa , Freshwater fishes -- South Africa
- Description: The introduction of instream biological monitoring to water resources management has been an increasing trend world-wide. This monitoring uses biological field assessments of instream biota such as macroinvertebrates, fish and riparian vegetation as an integrated and sensitive tool for diagnosing the condition of the ecosystems and assessing ecological impacts. Biomonitoring information has become an important component in the overall assessment of water resources and is used to drive and direct processes of decision-making and management of water resources. The River Health Programme (RHP) was initiated in South Africa to serve as a source of information regarding the ecological status of river systems, in order to support rational management of these natural resources. In this study, biomonitoring indices (SASS5 and FAII) were used to assess the present ecological status of two rivers located in contrasting catchments of the Eastern Cape. The first river is the Buffalo River located in an urban and industrialized catchment. The second river is the Inxu River draining a rural and afforested catchment. SASS5 was used successfully in both rivers and the results based on water quality and SASS5 indicated that most sites selected on the upper catchment of the Buffalo River have a fair water quality with most sites selected on the lower catchment having a poor water quality. The Inxu River sites (both upper and lower catchment) based on SASS5 and water quality results have a good to fair water quality. The majority of sites sampled on both rivers systems had very low FAII scores and fell within a critically modified water quality category. This result may be due to the fact that these rivers have low fish diversities (either low natural diversity or low diversity due to the presence of alien fish species), poor water quality or inadequate sampling methods. Observations from this study suggest that this index may not be suitable for rivers with low fish diversity. A fish index that is usable to all ecoregions of South Africa with minor adaptations to suit local conditions is still needed, as the present FAII index does not meet these requirements.
- Full Text:
- Date Issued: 2006
Community structure and predation impact of carnivorous macrozooplankton in the polar frontal zone (Southern Ocean), with particular reference to chaetognaths
- Authors: Lukáč, Danica
- Date: 2006
- Subjects: Zooplankton -- Antarctic Ocean , Chaetognatha
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5653 , http://hdl.handle.net/10962/d1005336 , Zooplankton -- Antarctic Ocean , Chaetognatha
- Description: The community structure and predation impact of carnivorous macrozooplankton (>2 cm; chaetognaths, medusae, ctenophores and mysids), with particular emphasis on the chaetognaths Eukrohnia hamata and Sagitta gazellae, were investigated during three surveys conducted in late austral summer (April/May) of 2001, 2004 and 2005 in the Polar Frontal Zone in the vicinity of the Prince Edward Islands (46º45’S, 37º50’E), Southern Ocean. The 2001 survey formed part of the Marion Offshore Variability Ecosystem Study (MOVES II), while the 2004 and 2005 surveys formed part of the Dynamics of Eddy Impacts on Marion’s Ecosystem study (DEIMEC III and IV respectively). Macrozooplankton samples were collected using WP-2, RMT-8 and Bongo nets. Results of the hydrographic survey indicated that the region of investigation, the Polar Frontal Zone (PFZ), is an area of high mesoscale variability. During the 2004 survey the Antarctic Polar Front (APF) and the Subantarctic Front (SAF) merged to form an intense frontal feature with subsurface temperature and salinity ranging from 8.5-7.5ºC and 34.15-33.88, respectively. A cyclonic cold core eddy, believed to have been spawned from the APF, was observed during the 2005 survey. Macrozooplankton abundance and biomass ranged from 0 to 43.731 ind. m⁻³, and from 0 to 41.55 mg wwt m⁻³ respectively, during the three surveys. Among the carnivorous macrozooplankton, chaetognaths (Eukrohnia hamata and Sagitta gazellae) were most prominent, contributing up to 85% of the total biomass during all three surveys. Elevated biomass values were found near and within the frontal feature during the 2004 survey, and also along the eddy edge during the 2005 survey. However, hierarchical cluster analysis did not reveal the presence of distinct zooplankton groupings associated with the various water masses encountered during the surveys and this is probably due to the high mesoscale variability in oceanographic conditions that are characteristic of the PFZ. The total average predation impact of the selected carnivorous macrozooplankton during the 2001, 2004 and 2005 surveys accounted for 4.93 ± 6.76%, 0.55 ± 0.51% and 4.88 ± 4.45 of the mesozooplankton standing stock, respectively. S. gazellae had the highest consumption rate in all three surveys, consuming up to 800 g Dwt 1000m⁻³d⁻¹ during the study. Of the two chaetognaths, E. hamata dominated the chaetognath standing stock. The combined abundance and biomass values of E. hamata and S. gazellae ranged from 0 to 43.73 ind. m⁻³ and from 0 to 41.551 mg wwt m⁻³ respectively, during the three surveys. Inter-annual variability in the chaetognath densities was apparent. Highest abundances and biomasses tended to be associated with specific water masses, confirming the existence of a relationship between zooplankton community structure and hydrographic conditions. Generally, about 90% of the chaetognaths contained no food in their guts. S. gazellae consumed a wider variety of prey. Oil droplets occurred in the guts of ≈ 51% of E. hamata. Cannibalism was low in both species, but greater in S. gazellae than E. hamata. During the three surveys, the feeding rate values of E. hamata and S. gazellae went up to 0.48 and 2.099 prey d⁻¹ respectively. S. gazellae also had a greater predation impact on the mesozooplankton standing stock than E. hamata. The mean predation impact of the chaetognaths combined was 0.31 ± 0.291%, 0.52 ± 0.28% and 0.53 ± 0.56% of the mesozooplankton standing stock during the 2001, 2004 and 2005 surveys, respectively. During all three surveys, the majority of individuals (≈ 76%) of the chaetognaths were at stage I maturity, suggesting that during the time of study the chaetognaths were not reproducing. In both species a significant difference (log-linear analysis, p < 0.05) in maturities between the years investigated was observed. In general, there were no differences in lengths and maturities between the different water masses encountered during the surveys. The lengths of E. hamata and S. gazellae ranged from 5 to 24 mm and from 9.4 to 63.6 mm, respectively.
- Full Text:
- Date Issued: 2006
- Authors: Lukáč, Danica
- Date: 2006
- Subjects: Zooplankton -- Antarctic Ocean , Chaetognatha
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5653 , http://hdl.handle.net/10962/d1005336 , Zooplankton -- Antarctic Ocean , Chaetognatha
- Description: The community structure and predation impact of carnivorous macrozooplankton (>2 cm; chaetognaths, medusae, ctenophores and mysids), with particular emphasis on the chaetognaths Eukrohnia hamata and Sagitta gazellae, were investigated during three surveys conducted in late austral summer (April/May) of 2001, 2004 and 2005 in the Polar Frontal Zone in the vicinity of the Prince Edward Islands (46º45’S, 37º50’E), Southern Ocean. The 2001 survey formed part of the Marion Offshore Variability Ecosystem Study (MOVES II), while the 2004 and 2005 surveys formed part of the Dynamics of Eddy Impacts on Marion’s Ecosystem study (DEIMEC III and IV respectively). Macrozooplankton samples were collected using WP-2, RMT-8 and Bongo nets. Results of the hydrographic survey indicated that the region of investigation, the Polar Frontal Zone (PFZ), is an area of high mesoscale variability. During the 2004 survey the Antarctic Polar Front (APF) and the Subantarctic Front (SAF) merged to form an intense frontal feature with subsurface temperature and salinity ranging from 8.5-7.5ºC and 34.15-33.88, respectively. A cyclonic cold core eddy, believed to have been spawned from the APF, was observed during the 2005 survey. Macrozooplankton abundance and biomass ranged from 0 to 43.731 ind. m⁻³, and from 0 to 41.55 mg wwt m⁻³ respectively, during the three surveys. Among the carnivorous macrozooplankton, chaetognaths (Eukrohnia hamata and Sagitta gazellae) were most prominent, contributing up to 85% of the total biomass during all three surveys. Elevated biomass values were found near and within the frontal feature during the 2004 survey, and also along the eddy edge during the 2005 survey. However, hierarchical cluster analysis did not reveal the presence of distinct zooplankton groupings associated with the various water masses encountered during the surveys and this is probably due to the high mesoscale variability in oceanographic conditions that are characteristic of the PFZ. The total average predation impact of the selected carnivorous macrozooplankton during the 2001, 2004 and 2005 surveys accounted for 4.93 ± 6.76%, 0.55 ± 0.51% and 4.88 ± 4.45 of the mesozooplankton standing stock, respectively. S. gazellae had the highest consumption rate in all three surveys, consuming up to 800 g Dwt 1000m⁻³d⁻¹ during the study. Of the two chaetognaths, E. hamata dominated the chaetognath standing stock. The combined abundance and biomass values of E. hamata and S. gazellae ranged from 0 to 43.73 ind. m⁻³ and from 0 to 41.551 mg wwt m⁻³ respectively, during the three surveys. Inter-annual variability in the chaetognath densities was apparent. Highest abundances and biomasses tended to be associated with specific water masses, confirming the existence of a relationship between zooplankton community structure and hydrographic conditions. Generally, about 90% of the chaetognaths contained no food in their guts. S. gazellae consumed a wider variety of prey. Oil droplets occurred in the guts of ≈ 51% of E. hamata. Cannibalism was low in both species, but greater in S. gazellae than E. hamata. During the three surveys, the feeding rate values of E. hamata and S. gazellae went up to 0.48 and 2.099 prey d⁻¹ respectively. S. gazellae also had a greater predation impact on the mesozooplankton standing stock than E. hamata. The mean predation impact of the chaetognaths combined was 0.31 ± 0.291%, 0.52 ± 0.28% and 0.53 ± 0.56% of the mesozooplankton standing stock during the 2001, 2004 and 2005 surveys, respectively. During all three surveys, the majority of individuals (≈ 76%) of the chaetognaths were at stage I maturity, suggesting that during the time of study the chaetognaths were not reproducing. In both species a significant difference (log-linear analysis, p < 0.05) in maturities between the years investigated was observed. In general, there were no differences in lengths and maturities between the different water masses encountered during the surveys. The lengths of E. hamata and S. gazellae ranged from 5 to 24 mm and from 9.4 to 63.6 mm, respectively.
- Full Text:
- Date Issued: 2006
Cytokine signalling functions of human soluble IgE receptors in peripheral blood mononuclear cells from normal and hyper-allergic individuals and in B-lymphoblastoid and monocytic cell lines
- Authors: Askew, Sandra Lyn
- Date: 2006
- Subjects: Ligands , Cell receptors , Cellular signal transduction
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10305 , http://hdl.handle.net/10948/455 , Ligands , Cell receptors , Cellular signal transduction
- Description: CD23 is a multifunctional receptor/ligand, found in a variety of cell types, such as human peripheral blood mononuclear cells (PBMCs), B-lymphoblastoid cell lines, mast cells and basophils. It is also found on a variety of haematopoietic cell lines. As the low-affinity receptor for immunoglobulin E (IgE), CD23 plays a role in antigen-presentation and macrophage activation. As a surface molecule cleaved from the cell membrane, soluble CD23 (sCD23) can act as an adhesion molecule and a cytokine. Perturbances of such molecular interactions may lead to various diseases such as allergies and other inflammatory diseases. It has been speculated that elevated levels of sCD23 may be used to bind secreted IgE, thus preventing it from binding to membrane CD23 on haematopoietic cells, preventing B cells from being activated into IgE producing cells. Signal transduction by sCD23 is dependent on cell subsets, ligands and co-factors required for its function. sCD23 plays a direct role in inducing tumour necrosis factor alpha (TNFα), interleukin-1 alpha (IL-1α) and interleukin-1 beta (IL-1β) and soluble IL-1 receptor from activated human monocytes and PBMCs in vitro. Recombinant forms of 25 and 37 kDa human sCD23 were produced by polymerase chain reaction (PCR)-cloning into pET23a, a bacterial expression vector. The proteins were expressed and refolded, followed by purification by gel filtration chromatography. The purified proteins were biochemically characterized to ensure purity and biological activity, by observing the binding to human IgE both in enzyme-linked immunosorbant assay (ELISA) and surface plasmon resonance (SPR) spectroscopy. ELISA showed KD values of 7.23 x 10-9M and 8.12 x 10-9M for the 25 and 37 kDa proteins, respectively. These values were significantly lower than that of Hibbert et al., (2005). SPR data obtained for the 25 kDa CD23 was not of reliable quality but SPR for the 33kDa sCD23 showed a KD of 1.18 x 10-7M, close to that of Hibbert et al., (2005), J. Exp. Med, 202: 751-760. To test the therapeutic potential of the recombinant molecule, a B-lymphoblastoid cell line (Raji), a pre-monocytic cell line (U937), and PBMCs from normal and hyper-allergic individuals were used. All cells showed no change in production of cytokines. It is essential to investigate further cytokine functions and production implicated by recombinant forms of sCD23, as well as binding of sCD23 to CD21 and CD11b/c, and in vivo IgE regulation before a conclusion can be drawn as to whether recombinant sCD23 is a potential therapeutic target against allergic disease.
- Full Text:
- Date Issued: 2006
- Authors: Askew, Sandra Lyn
- Date: 2006
- Subjects: Ligands , Cell receptors , Cellular signal transduction
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10305 , http://hdl.handle.net/10948/455 , Ligands , Cell receptors , Cellular signal transduction
- Description: CD23 is a multifunctional receptor/ligand, found in a variety of cell types, such as human peripheral blood mononuclear cells (PBMCs), B-lymphoblastoid cell lines, mast cells and basophils. It is also found on a variety of haematopoietic cell lines. As the low-affinity receptor for immunoglobulin E (IgE), CD23 plays a role in antigen-presentation and macrophage activation. As a surface molecule cleaved from the cell membrane, soluble CD23 (sCD23) can act as an adhesion molecule and a cytokine. Perturbances of such molecular interactions may lead to various diseases such as allergies and other inflammatory diseases. It has been speculated that elevated levels of sCD23 may be used to bind secreted IgE, thus preventing it from binding to membrane CD23 on haematopoietic cells, preventing B cells from being activated into IgE producing cells. Signal transduction by sCD23 is dependent on cell subsets, ligands and co-factors required for its function. sCD23 plays a direct role in inducing tumour necrosis factor alpha (TNFα), interleukin-1 alpha (IL-1α) and interleukin-1 beta (IL-1β) and soluble IL-1 receptor from activated human monocytes and PBMCs in vitro. Recombinant forms of 25 and 37 kDa human sCD23 were produced by polymerase chain reaction (PCR)-cloning into pET23a, a bacterial expression vector. The proteins were expressed and refolded, followed by purification by gel filtration chromatography. The purified proteins were biochemically characterized to ensure purity and biological activity, by observing the binding to human IgE both in enzyme-linked immunosorbant assay (ELISA) and surface plasmon resonance (SPR) spectroscopy. ELISA showed KD values of 7.23 x 10-9M and 8.12 x 10-9M for the 25 and 37 kDa proteins, respectively. These values were significantly lower than that of Hibbert et al., (2005). SPR data obtained for the 25 kDa CD23 was not of reliable quality but SPR for the 33kDa sCD23 showed a KD of 1.18 x 10-7M, close to that of Hibbert et al., (2005), J. Exp. Med, 202: 751-760. To test the therapeutic potential of the recombinant molecule, a B-lymphoblastoid cell line (Raji), a pre-monocytic cell line (U937), and PBMCs from normal and hyper-allergic individuals were used. All cells showed no change in production of cytokines. It is essential to investigate further cytokine functions and production implicated by recombinant forms of sCD23, as well as binding of sCD23 to CD21 and CD11b/c, and in vivo IgE regulation before a conclusion can be drawn as to whether recombinant sCD23 is a potential therapeutic target against allergic disease.
- Full Text:
- Date Issued: 2006
Decorating Asterisk : experiments in service creation for a multi-protocol telephony environment using open source tools
- Authors: Hitchcock, Jonathan
- Date: 2006
- Subjects: Asterisk (Computer file) , Internet telephony
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4635 , http://hdl.handle.net/10962/d1006539 , Asterisk (Computer file) , Internet telephony
- Description: As Voice over IP becomes more prevalent, value-adds to the service will become ubiquitous. Voice over IP (VoIP) is no longer a single service application, but an array of marketable services of increasing depth, which are moving into the non-desktop market. In addition, as the range of devices being generally used increases, it will become necessary for all services, including VoIP services, to be accessible from multiple platforms and through varied interfaces. With the recent introduction and growth of the open source software PBX system named Asterisk, the possibility of achieving these goals has become more concrete. In addition to Asterisk, a number of open source systems are being developed which facilitate the development of systems that interoperate over a wide variety of platforms and through multiple interfaces. This thesis investigates Asterisk in terms of its viability to provide the depth of services that will be required in a VoIP environment, as well as a number of other open source systems in terms of what they can offer such a system. In addition, it investigates whether these services can be made available on different devices. Using various systems built as a proof-of-concept, this thesis shows that Asterisk, in conjunction with various other open source projects, such as the Twisted framework provides a concrete tool which can be used to realise flexible and protocol independent telephony solutions for a small to medium enterprise.
- Full Text:
- Date Issued: 2006
- Authors: Hitchcock, Jonathan
- Date: 2006
- Subjects: Asterisk (Computer file) , Internet telephony
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4635 , http://hdl.handle.net/10962/d1006539 , Asterisk (Computer file) , Internet telephony
- Description: As Voice over IP becomes more prevalent, value-adds to the service will become ubiquitous. Voice over IP (VoIP) is no longer a single service application, but an array of marketable services of increasing depth, which are moving into the non-desktop market. In addition, as the range of devices being generally used increases, it will become necessary for all services, including VoIP services, to be accessible from multiple platforms and through varied interfaces. With the recent introduction and growth of the open source software PBX system named Asterisk, the possibility of achieving these goals has become more concrete. In addition to Asterisk, a number of open source systems are being developed which facilitate the development of systems that interoperate over a wide variety of platforms and through multiple interfaces. This thesis investigates Asterisk in terms of its viability to provide the depth of services that will be required in a VoIP environment, as well as a number of other open source systems in terms of what they can offer such a system. In addition, it investigates whether these services can be made available on different devices. Using various systems built as a proof-of-concept, this thesis shows that Asterisk, in conjunction with various other open source projects, such as the Twisted framework provides a concrete tool which can be used to realise flexible and protocol independent telephony solutions for a small to medium enterprise.
- Full Text:
- Date Issued: 2006
Designing for maintenance
- Authors: Syce, Melvin
- Date: 2006
- Subjects: Buildings -- Maintenance -- South Africa , Buildings -- Protection -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:9670 , http://hdl.handle.net/10948/440 , http://hdl.handle.net/10948/d1011924 , Buildings -- Maintenance -- South Africa , Buildings -- Protection -- South Africa
- Description: This treatise is a study of the methodology and the thought processes followed when buildings are designed, in order to determine to what extent, if any, designers consider the need for buildings to be maintained long after they walk off site and part with the project. The concept of taking future maintenance requirements into account as part of the design process is referred to as “designing for maintenance” (DFM). It can be assumed that, from a professional perspective, designers must keep the client’s needs in mind when designing. Facilities managers face the challenge of balancing a budget with maintaining a functional building – a dream building would be a maintenance-free building. Armed with the knowledge of DFM it is hoped that future buildings will be designed in a manner that will facilitate maintenance, thereby achieving significant savings on the life cycle costing of buildings. Buys (2004) suggests that designers should adopt a more open-minded approach toward maintenance during the design stages of buildings. Maintenance, with reference to access, methods, material and funding, could benefit from this approach, with a positive effect on the life cycle costing of a building. In order of priority when starting a building project, the design process is at the top of the list. Because this process happens right at the outset of a project, it is important to address the level of maintenance awareness that goes into designing, at this stage. The research concludes that one of the methods which could have a permanent effect on designers’ awareness of DFM would be to include it in the subjects taught at schools where designers are trained. This idea was discussed with a number of lecturers in this field and they were all in favour of this approach. There is a perception that built environment practitioners and professionals such as architects and contractors in the various fields related to the built environment, often engage in their particular task as if they exist in isolation from the project as a whole and from the rest of the project team. However, it is becoming increasingly evident that all built environment aspects are interwoven and interlinked, and that all are part of a larger context. With reference to the built environment as a whole, no action or element exists in isolation from a larger web of activity. The challenge, to nurture within students an awareness of the range and interconnectedness of elements and processes that contribute to the holistic idea, rests with the educators in the design fields, because it is clear that the final impact of any project relies to a large extent on what was specified by the designers in terms of materials and construction methods. The impact of the world’s six billion inhabitants on the environment is clearly a critical issue but does little to influence the actions of most design professionals. Documented experiences should serve as valuable tools to guide designers towards making more educated decisions on building design. Built environment professionals should educate themselves about the range of issues involved in the analysis, design and production of the built environment and the interaction between these factors.
- Full Text:
- Date Issued: 2006
- Authors: Syce, Melvin
- Date: 2006
- Subjects: Buildings -- Maintenance -- South Africa , Buildings -- Protection -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:9670 , http://hdl.handle.net/10948/440 , http://hdl.handle.net/10948/d1011924 , Buildings -- Maintenance -- South Africa , Buildings -- Protection -- South Africa
- Description: This treatise is a study of the methodology and the thought processes followed when buildings are designed, in order to determine to what extent, if any, designers consider the need for buildings to be maintained long after they walk off site and part with the project. The concept of taking future maintenance requirements into account as part of the design process is referred to as “designing for maintenance” (DFM). It can be assumed that, from a professional perspective, designers must keep the client’s needs in mind when designing. Facilities managers face the challenge of balancing a budget with maintaining a functional building – a dream building would be a maintenance-free building. Armed with the knowledge of DFM it is hoped that future buildings will be designed in a manner that will facilitate maintenance, thereby achieving significant savings on the life cycle costing of buildings. Buys (2004) suggests that designers should adopt a more open-minded approach toward maintenance during the design stages of buildings. Maintenance, with reference to access, methods, material and funding, could benefit from this approach, with a positive effect on the life cycle costing of a building. In order of priority when starting a building project, the design process is at the top of the list. Because this process happens right at the outset of a project, it is important to address the level of maintenance awareness that goes into designing, at this stage. The research concludes that one of the methods which could have a permanent effect on designers’ awareness of DFM would be to include it in the subjects taught at schools where designers are trained. This idea was discussed with a number of lecturers in this field and they were all in favour of this approach. There is a perception that built environment practitioners and professionals such as architects and contractors in the various fields related to the built environment, often engage in their particular task as if they exist in isolation from the project as a whole and from the rest of the project team. However, it is becoming increasingly evident that all built environment aspects are interwoven and interlinked, and that all are part of a larger context. With reference to the built environment as a whole, no action or element exists in isolation from a larger web of activity. The challenge, to nurture within students an awareness of the range and interconnectedness of elements and processes that contribute to the holistic idea, rests with the educators in the design fields, because it is clear that the final impact of any project relies to a large extent on what was specified by the designers in terms of materials and construction methods. The impact of the world’s six billion inhabitants on the environment is clearly a critical issue but does little to influence the actions of most design professionals. Documented experiences should serve as valuable tools to guide designers towards making more educated decisions on building design. Built environment professionals should educate themselves about the range of issues involved in the analysis, design and production of the built environment and the interaction between these factors.
- Full Text:
- Date Issued: 2006
Development and assessment of azithromycin paediatric suppository formulations
- Authors: Mollel, Happiness
- Date: 2006
- Subjects: Azithromycin , Pediatrics , Clinical pharmacology , Pharmacokinetics , Suppositories , Drugs -- Dosage forms
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:3774 , http://hdl.handle.net/10962/d1003252 , Azithromycin , Pediatrics , Clinical pharmacology , Pharmacokinetics , Suppositories , Drugs -- Dosage forms
- Description: The use of the oral route of administration for the treatment of young children with antibiotics can at times be problematic since, factors such as nausea, vomiting, taste and/or smell, in addition to the challenges associated with the administration of suspensions, may contribute to poor patient compliance. In such cases, the use of the rectal route of administration may be appropriate. Therefore, suppositories containing 250 mg azithromycin (AZI) were manufactured and assessed for potential as an antibiotic suppository dosage form. Suppositories, containing AZI dihydrate were manufactured by the fusion method, using different grades of PEG, Witepsol® and Suppocire® bases. The rate and extent of AZI release was evaluated using USP apparatus I, and samples were analyzed using a validated HPLC method. Differences in the rate and extent of AZI release were observed with the greatest amount of AZI being released from PEG formulations. The rate and extent of AZI release from formulations manufactured using fatty bases were influenced by physicochemical properties, such as melting rate and hydroxyl value, of the bases. In addition drug partitioning appeared to favor the lipid phase and had a negative impact on AZI release characteristics. Two different formulation approaches were used in an attempt to increase the rate and extent of AZI release from fatty base formulations. The use of surfactants significantly increased AZI release from formulations manufactured with fatty bases with high hydroxyl values. The use of urea or Povidone K25 in combination with AZI as a physical mixture or solid dispersion did not increase the rate and extent of AZI release from the fatty suppositories, to any significant extent. The mechanism of drug release was evaluated using several mathematical models, including the Higuchi, Korsmeyer- eppas, Zero and, First order models. In addition, in vitro dissolution profiles were characterized by the difference and similarity factors, f1 and f2 and by use of the Gohel similarity factor, Sd. AZI release kinetics were best described by the Higuchi and Korsmeyer-Peppas models and the values of the release exponent, n, revealed that drug release was a consequence of the combined effects of AZI diffusion, rate of melting of the base and partitioning of the drug which can be considered to be anomalous release.
- Full Text:
- Date Issued: 2006
- Authors: Mollel, Happiness
- Date: 2006
- Subjects: Azithromycin , Pediatrics , Clinical pharmacology , Pharmacokinetics , Suppositories , Drugs -- Dosage forms
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:3774 , http://hdl.handle.net/10962/d1003252 , Azithromycin , Pediatrics , Clinical pharmacology , Pharmacokinetics , Suppositories , Drugs -- Dosage forms
- Description: The use of the oral route of administration for the treatment of young children with antibiotics can at times be problematic since, factors such as nausea, vomiting, taste and/or smell, in addition to the challenges associated with the administration of suspensions, may contribute to poor patient compliance. In such cases, the use of the rectal route of administration may be appropriate. Therefore, suppositories containing 250 mg azithromycin (AZI) were manufactured and assessed for potential as an antibiotic suppository dosage form. Suppositories, containing AZI dihydrate were manufactured by the fusion method, using different grades of PEG, Witepsol® and Suppocire® bases. The rate and extent of AZI release was evaluated using USP apparatus I, and samples were analyzed using a validated HPLC method. Differences in the rate and extent of AZI release were observed with the greatest amount of AZI being released from PEG formulations. The rate and extent of AZI release from formulations manufactured using fatty bases were influenced by physicochemical properties, such as melting rate and hydroxyl value, of the bases. In addition drug partitioning appeared to favor the lipid phase and had a negative impact on AZI release characteristics. Two different formulation approaches were used in an attempt to increase the rate and extent of AZI release from fatty base formulations. The use of surfactants significantly increased AZI release from formulations manufactured with fatty bases with high hydroxyl values. The use of urea or Povidone K25 in combination with AZI as a physical mixture or solid dispersion did not increase the rate and extent of AZI release from the fatty suppositories, to any significant extent. The mechanism of drug release was evaluated using several mathematical models, including the Higuchi, Korsmeyer- eppas, Zero and, First order models. In addition, in vitro dissolution profiles were characterized by the difference and similarity factors, f1 and f2 and by use of the Gohel similarity factor, Sd. AZI release kinetics were best described by the Higuchi and Korsmeyer-Peppas models and the values of the release exponent, n, revealed that drug release was a consequence of the combined effects of AZI diffusion, rate of melting of the base and partitioning of the drug which can be considered to be anomalous release.
- Full Text:
- Date Issued: 2006
Development and assessment of propranolol sustained release dosage forms separately and in combination with hydrochlorothiazide
- Authors: Chetty, Prakash
- Date: 2006
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:3749 , http://hdl.handle.net/10962/d1003227
- Description: Hypertension is a chronic illness that is often undiagnosed and untreated leading to high mortality rates in South Africa. The use of diuretics such as hydrochlorothiazide and beta blockers such as propranolol has been advocated as first line therapy for the treatment of hypertension. The study and use of controlled release dosage forms for the treatment of various disease states has gained wide interest over the past two decades. The use of controlled release systems offers improved therapeutic efficiency over conventional immediate release dosage forms, the use of which at times have often led to poor patient adherence and decreased therapeutic efficiencies. The current research objective was to develop a sustained release multi-source product for propranolol such that once daily dosing would be achieved. In addition, the sustained release product was developed using Inderal® LA 80mg capsules as a reference product. In addition the development of a suitable immediate release hydrochlorothiazide tablet was undertaken to produce a combination dosage form. The use of two different technologies, namely direct compression and wet granulation were employed to develop the sustained release dosage form. The release of propranolol from these dosage forms was assessed using USP apparatus 1 with quantitation of the relevant dissolution samples using a validated high performance liquid chromatographic method. The release profiles from the prototype and subsequent products were subjected to model independent and model dependent analyses in order to compare them to the innovator product and to elucidate the mechanisms of drug release respectively. Dissolution test results reveal that dosage forms prepared from wet granulation showed better rate retardation and more appropriate release profiles than those prepared by direct compression techniques. The subsequent model independent and model dependent analysis show that a dosage form that is comparable to the innovator product has been developed, with drug release occurring by a diffusion type mechanism.
- Full Text:
- Date Issued: 2006
- Authors: Chetty, Prakash
- Date: 2006
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:3749 , http://hdl.handle.net/10962/d1003227
- Description: Hypertension is a chronic illness that is often undiagnosed and untreated leading to high mortality rates in South Africa. The use of diuretics such as hydrochlorothiazide and beta blockers such as propranolol has been advocated as first line therapy for the treatment of hypertension. The study and use of controlled release dosage forms for the treatment of various disease states has gained wide interest over the past two decades. The use of controlled release systems offers improved therapeutic efficiency over conventional immediate release dosage forms, the use of which at times have often led to poor patient adherence and decreased therapeutic efficiencies. The current research objective was to develop a sustained release multi-source product for propranolol such that once daily dosing would be achieved. In addition, the sustained release product was developed using Inderal® LA 80mg capsules as a reference product. In addition the development of a suitable immediate release hydrochlorothiazide tablet was undertaken to produce a combination dosage form. The use of two different technologies, namely direct compression and wet granulation were employed to develop the sustained release dosage form. The release of propranolol from these dosage forms was assessed using USP apparatus 1 with quantitation of the relevant dissolution samples using a validated high performance liquid chromatographic method. The release profiles from the prototype and subsequent products were subjected to model independent and model dependent analyses in order to compare them to the innovator product and to elucidate the mechanisms of drug release respectively. Dissolution test results reveal that dosage forms prepared from wet granulation showed better rate retardation and more appropriate release profiles than those prepared by direct compression techniques. The subsequent model independent and model dependent analysis show that a dosage form that is comparable to the innovator product has been developed, with drug release occurring by a diffusion type mechanism.
- Full Text:
- Date Issued: 2006
Email meets issue-tracking: a prototype implementation
- Authors: Kwinana, Zukhanye N
- Date: 2006 , 2013-06-11
- Subjects: Microsoft Visual studio , Electronic mail systems , Computer networks , eXtreme programming , Computer software -- Development
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4614 , http://hdl.handle.net/10962/d1005644 , Microsoft Visual studio , Electronic mail systems , Computer networks , eXtreme programming , Computer software -- Development
- Description: The use of electronic mail (email) has evolved from sending simple messages to task delegation and management. Most mail clients, however, have not kept up with the evolution and as a result have limited task management features available. On the other hand, while issue tracking systems offer useful task management functionality, they are not as widespread as emails and also have a few drawbacks. This thesis reports on the exploration of the integration of the ubiquitous nature of email with the task management features of issue-tracking systems. We explore this using simple ad-hoc as well as semi-automated tasks. With these two working together, tasks can be delegated from email clients without needing to switch between the two environments. It brings some of the benefits of issue tracking systems closer to our email users.The system is developed using Microsoft VisuaI Studio.NET. with the code written in C#. The eXtreme Programming (XP) methodology was used during the development of the proof-of-concept prototype that demonstrates the integration of the two environments, as we were faced at first with vague requirements bound to change, as we better understood the problem domain through our development. XP allowed us to skip an extended and comprehensive initial design process and incrementally develop the system, making refinements and extensions as we encountered the need for them. This alleviated the need to make upfront decisions that were based on minimal knowledge of what to expect during development. This thesis describes the implementation of the prototype and the decisions made with each step taken towards developing an email-based issue tracking system. With the two environments working together, we can now easily track issues from our email clients without needing to switch to another system. , KMBT_363 , Adobe Acrobat 9.54 Paper Capture Plug-in
- Full Text:
- Date Issued: 2006
- Authors: Kwinana, Zukhanye N
- Date: 2006 , 2013-06-11
- Subjects: Microsoft Visual studio , Electronic mail systems , Computer networks , eXtreme programming , Computer software -- Development
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4614 , http://hdl.handle.net/10962/d1005644 , Microsoft Visual studio , Electronic mail systems , Computer networks , eXtreme programming , Computer software -- Development
- Description: The use of electronic mail (email) has evolved from sending simple messages to task delegation and management. Most mail clients, however, have not kept up with the evolution and as a result have limited task management features available. On the other hand, while issue tracking systems offer useful task management functionality, they are not as widespread as emails and also have a few drawbacks. This thesis reports on the exploration of the integration of the ubiquitous nature of email with the task management features of issue-tracking systems. We explore this using simple ad-hoc as well as semi-automated tasks. With these two working together, tasks can be delegated from email clients without needing to switch between the two environments. It brings some of the benefits of issue tracking systems closer to our email users.The system is developed using Microsoft VisuaI Studio.NET. with the code written in C#. The eXtreme Programming (XP) methodology was used during the development of the proof-of-concept prototype that demonstrates the integration of the two environments, as we were faced at first with vague requirements bound to change, as we better understood the problem domain through our development. XP allowed us to skip an extended and comprehensive initial design process and incrementally develop the system, making refinements and extensions as we encountered the need for them. This alleviated the need to make upfront decisions that were based on minimal knowledge of what to expect during development. This thesis describes the implementation of the prototype and the decisions made with each step taken towards developing an email-based issue tracking system. With the two environments working together, we can now easily track issues from our email clients without needing to switch to another system. , KMBT_363 , Adobe Acrobat 9.54 Paper Capture Plug-in
- Full Text:
- Date Issued: 2006
Feeding dynamics and distribution of the hyperiid amphipod, Themisto gaudichaudii (Guérin, 1828) in the polar frontal zone, Southern Ocean
- Authors: Lange, Louise
- Date: 2006
- Subjects: Themisto gaudichaudii -- Antarctic Ocean , Hyperiidae -- Antarctic Ocean , Zooplankton -- Antarctic Ocean
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5696 , http://hdl.handle.net/10962/d1005382 , Themisto gaudichaudii -- Antarctic Ocean , Hyperiidae -- Antarctic Ocean , Zooplankton -- Antarctic Ocean
- Description: The population structure and feeding dynamics of the hyperiid amphipod, Themisto gaudichaudii, was investigated during two cruises of the South African National Antarctic Programme conducted in the Indian sector of the Polar Frontal Zone during austral autumn (April) 2004 and 2005. During the 2004 cruise the frontal features that delimit the PFZ converged to form a single distinctive feature. In 2005, the research cruise was conducted in the vicinity of a cold-core eddy which was spawned from the Antarctic Polar Front. Total mesozooplankton abundance and biomass during the 2004 study ranged from 55.19 to 860.57 ind. m⁻³, and from 2.60 to 38.42 mg dwt m⁻³, respectively. In 2005 the abundance and biomass ranged from 23.1 to 2160.64 ind. m⁻³, and from 0.76 to 35.16 mg dwt m⁻³, respectively. The mesozooplankton community was numerically dominated by copepods, pteropods, and ostracods during both surveys. The abundance and biomass of Themisto gaudichaudii in the region of investigation was < 0.2 ind. m⁻³ (range 0.01 to 0.15 ind. m⁻³) and < 0.06 mg dwt m⁻³ (range 0.02 to 0.06 mg dwt m⁻³) during 2004, while in 2005 the abundance and biomass of the amphipod ranged from < 0.01 to 0.2 ind. m⁻³ and < 0.01 to 0.04 mg dwt m⁻³, respectively. These values correspond to < 1% of the total mesozooplankton abundance and biomass during both surveys. T. gaudichaudii exhibited no significant spatial patterns in abundance, biomass and total length during both 2004 and 2005 (p > 0.05 in all cases). A key feature of the two investigations was the virtual absence of juveniles (total length < 15 mm) among the amphipod population, supporting the suggestion that they exhibit strong seasonal patterns in reproduction. Gut content analysis during both years indicated that for both the male and female amphipods’, copepods were the most prevalent prey species found in stomachs, followed by chaetognaths and pteropods. Results of electivity studies indicate that T. gaudichaudii is an opportunistic predator, generally feeding on the most abundant mesozooplankton prey. Results of in vitro incubations indicated that the total daily feeding rate of T. gaudichaudii during 2004 ranged from 11.45 to 20.90 ind. m⁻³ d⁻¹, which corresponds to between 0.12 and 1.64% of the total mesozooplankton standing stock. In 2005, the feeding rate ranged between 0.1 and 1.73% of the total mesozooplankton standing stock. The low predation impact of T. gaudichaudii during this study can be related to their low abundances and high interannual variability throughout the region of investigation.
- Full Text:
- Date Issued: 2006
- Authors: Lange, Louise
- Date: 2006
- Subjects: Themisto gaudichaudii -- Antarctic Ocean , Hyperiidae -- Antarctic Ocean , Zooplankton -- Antarctic Ocean
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5696 , http://hdl.handle.net/10962/d1005382 , Themisto gaudichaudii -- Antarctic Ocean , Hyperiidae -- Antarctic Ocean , Zooplankton -- Antarctic Ocean
- Description: The population structure and feeding dynamics of the hyperiid amphipod, Themisto gaudichaudii, was investigated during two cruises of the South African National Antarctic Programme conducted in the Indian sector of the Polar Frontal Zone during austral autumn (April) 2004 and 2005. During the 2004 cruise the frontal features that delimit the PFZ converged to form a single distinctive feature. In 2005, the research cruise was conducted in the vicinity of a cold-core eddy which was spawned from the Antarctic Polar Front. Total mesozooplankton abundance and biomass during the 2004 study ranged from 55.19 to 860.57 ind. m⁻³, and from 2.60 to 38.42 mg dwt m⁻³, respectively. In 2005 the abundance and biomass ranged from 23.1 to 2160.64 ind. m⁻³, and from 0.76 to 35.16 mg dwt m⁻³, respectively. The mesozooplankton community was numerically dominated by copepods, pteropods, and ostracods during both surveys. The abundance and biomass of Themisto gaudichaudii in the region of investigation was < 0.2 ind. m⁻³ (range 0.01 to 0.15 ind. m⁻³) and < 0.06 mg dwt m⁻³ (range 0.02 to 0.06 mg dwt m⁻³) during 2004, while in 2005 the abundance and biomass of the amphipod ranged from < 0.01 to 0.2 ind. m⁻³ and < 0.01 to 0.04 mg dwt m⁻³, respectively. These values correspond to < 1% of the total mesozooplankton abundance and biomass during both surveys. T. gaudichaudii exhibited no significant spatial patterns in abundance, biomass and total length during both 2004 and 2005 (p > 0.05 in all cases). A key feature of the two investigations was the virtual absence of juveniles (total length < 15 mm) among the amphipod population, supporting the suggestion that they exhibit strong seasonal patterns in reproduction. Gut content analysis during both years indicated that for both the male and female amphipods’, copepods were the most prevalent prey species found in stomachs, followed by chaetognaths and pteropods. Results of electivity studies indicate that T. gaudichaudii is an opportunistic predator, generally feeding on the most abundant mesozooplankton prey. Results of in vitro incubations indicated that the total daily feeding rate of T. gaudichaudii during 2004 ranged from 11.45 to 20.90 ind. m⁻³ d⁻¹, which corresponds to between 0.12 and 1.64% of the total mesozooplankton standing stock. In 2005, the feeding rate ranged between 0.1 and 1.73% of the total mesozooplankton standing stock. The low predation impact of T. gaudichaudii during this study can be related to their low abundances and high interannual variability throughout the region of investigation.
- Full Text:
- Date Issued: 2006
Feeding ecology, space use and habitat selection of elephants in two enclosed game reserves in the Eastern Cape Province, South Africa
- Authors: Roux, Candice
- Date: 2006
- Subjects: Shamwari Game Reserve (South Africa) , Kwandwe Game Reserve (South Africa) , Elephants -- South Africa -- Eastern Cape , Elephants -- Ecology -- South Africa -- Eastern Cape , Elephants -- Feeding -- South Africa -- Eastern Cape , Elephants -- Nutrition -- South Africa -- Eastern Cape , Elephants -- Behavior -- South Africa -- Eastern Cape , Elephants -- Habitat -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5699 , http://hdl.handle.net/10962/d1005385 , Shamwari Game Reserve (South Africa) , Kwandwe Game Reserve (South Africa) , Elephants -- South Africa -- Eastern Cape , Elephants -- Ecology -- South Africa -- Eastern Cape , Elephants -- Feeding -- South Africa -- Eastern Cape , Elephants -- Nutrition -- South Africa -- Eastern Cape , Elephants -- Behavior -- South Africa -- Eastern Cape , Elephants -- Habitat -- South Africa -- Eastern Cape
- Description: The development of small (<300 km²), private game reserves has become a trend, not only in the Eastern Cape Province, but also elsewhere in South Africa as a result of a shift in land use practise from agriculture to ecotourism. The resultant re-introduction of elephants to many of these reserves has lead to management concerns because of the limited research on small reserves regarding their impact on the vegetation. In this study I assessed the space use, habitat selection, diet and impact of two elephant populations on the vegetation in the Eastern Cape Province between February 2004 and March 2005. Home range sizes were calculated using the kernel utilization distribution method. Home range sizes for elephants on Kwandwe were significantly larger during summer than winter (p<0.05). There was no significant difference between the home range sizes of the herds and males within a season and during summer the elephants utilized about 75 % of the reserve and only 54 % during winter. On Shamwari, the herd utilized about 92 % of the reserve during summer and 83 % during winter; while the males utilized 76 % of the reserve. Core areas for both elephant populations shrank from summer to winter and were concentrated around the permanent water sources on each reserve. Habitat selection was assessed using χ² tests and Bonferroni confidence intervals. On Kwandwe, there was a significant difference between observed and expected use of vegetation types (p<0.05) and karroid shrubland was strongly avoided by both herds during summer and winter. The preferred vegetation types of the males ranged from relatively open (short euphorbia thicket, bushclump karroid thicket and karroid shrubland) to completely open (old lands). On Shamwari, subtropical thicket, bontveld and montane grassland were avoided; while primary and secondary acacia thicket, riverine thicket and cultivated lands were preferred. The predominant vegetation type in the home ranges of herds on Kwandwe and Shamwari was subtropical thicket. The diet was assessed by direct observations over two seasons and dietary preferences were calculated. There was a significant difference in the frequency of occurrence of plants in the diet on the two reserves (p<0.05) and no significant effect of time of day or season (p>0.05). Seventeen woody plant species were utilized on Kwandwe and 23 species were utilized on Shamwari. Grass constituted a significantly greater percentage of the diet in summer than winter (p<0.05). Elephants on Kwandwe showed a selective preference for Ozoroa mucronata, Pappea capensis and Acacia karroo; while on Shamwari, A. karroo was selected. Transects were conducted in two different vegetation types on each reserve so as to assess the impact of elephant on the vegetation and damage scores were then calculated from these data. There was no significant effect of vegetation type or elephant density on mean damage scores in Kwandwe (p>0.05). Five hundred and seventy-eight plants were assessed in the subtropical thicket vegetation type and 225 plants were assessed in the savanna-type vegetation, with more than half the trees showing low levels of damage that could not only be attributed to elephants. Mean damage was highest for Portulacaria afra and Pappea capensis in subtropical thicket and for Rhus spp. in the savanna-type vegetation. On Shamwari, 408 plants were assessed in subtropical thicket and 215 in the savanna-type vegetation, with more than 70 % of trees showing low levels of damage. There was a significant effect of plant species and elephant density on the mean damage scores in subtropical thicket, with Aloe ferox showing more damage than the other plant species (p<0.01). In the savanna-type vegetation, A. karroo was the most severely damaged. Overall, damage was greater in the thicket vegetation type compared to the more open vegetation type on both reserves.
- Full Text:
- Date Issued: 2006
- Authors: Roux, Candice
- Date: 2006
- Subjects: Shamwari Game Reserve (South Africa) , Kwandwe Game Reserve (South Africa) , Elephants -- South Africa -- Eastern Cape , Elephants -- Ecology -- South Africa -- Eastern Cape , Elephants -- Feeding -- South Africa -- Eastern Cape , Elephants -- Nutrition -- South Africa -- Eastern Cape , Elephants -- Behavior -- South Africa -- Eastern Cape , Elephants -- Habitat -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5699 , http://hdl.handle.net/10962/d1005385 , Shamwari Game Reserve (South Africa) , Kwandwe Game Reserve (South Africa) , Elephants -- South Africa -- Eastern Cape , Elephants -- Ecology -- South Africa -- Eastern Cape , Elephants -- Feeding -- South Africa -- Eastern Cape , Elephants -- Nutrition -- South Africa -- Eastern Cape , Elephants -- Behavior -- South Africa -- Eastern Cape , Elephants -- Habitat -- South Africa -- Eastern Cape
- Description: The development of small (<300 km²), private game reserves has become a trend, not only in the Eastern Cape Province, but also elsewhere in South Africa as a result of a shift in land use practise from agriculture to ecotourism. The resultant re-introduction of elephants to many of these reserves has lead to management concerns because of the limited research on small reserves regarding their impact on the vegetation. In this study I assessed the space use, habitat selection, diet and impact of two elephant populations on the vegetation in the Eastern Cape Province between February 2004 and March 2005. Home range sizes were calculated using the kernel utilization distribution method. Home range sizes for elephants on Kwandwe were significantly larger during summer than winter (p<0.05). There was no significant difference between the home range sizes of the herds and males within a season and during summer the elephants utilized about 75 % of the reserve and only 54 % during winter. On Shamwari, the herd utilized about 92 % of the reserve during summer and 83 % during winter; while the males utilized 76 % of the reserve. Core areas for both elephant populations shrank from summer to winter and were concentrated around the permanent water sources on each reserve. Habitat selection was assessed using χ² tests and Bonferroni confidence intervals. On Kwandwe, there was a significant difference between observed and expected use of vegetation types (p<0.05) and karroid shrubland was strongly avoided by both herds during summer and winter. The preferred vegetation types of the males ranged from relatively open (short euphorbia thicket, bushclump karroid thicket and karroid shrubland) to completely open (old lands). On Shamwari, subtropical thicket, bontveld and montane grassland were avoided; while primary and secondary acacia thicket, riverine thicket and cultivated lands were preferred. The predominant vegetation type in the home ranges of herds on Kwandwe and Shamwari was subtropical thicket. The diet was assessed by direct observations over two seasons and dietary preferences were calculated. There was a significant difference in the frequency of occurrence of plants in the diet on the two reserves (p<0.05) and no significant effect of time of day or season (p>0.05). Seventeen woody plant species were utilized on Kwandwe and 23 species were utilized on Shamwari. Grass constituted a significantly greater percentage of the diet in summer than winter (p<0.05). Elephants on Kwandwe showed a selective preference for Ozoroa mucronata, Pappea capensis and Acacia karroo; while on Shamwari, A. karroo was selected. Transects were conducted in two different vegetation types on each reserve so as to assess the impact of elephant on the vegetation and damage scores were then calculated from these data. There was no significant effect of vegetation type or elephant density on mean damage scores in Kwandwe (p>0.05). Five hundred and seventy-eight plants were assessed in the subtropical thicket vegetation type and 225 plants were assessed in the savanna-type vegetation, with more than half the trees showing low levels of damage that could not only be attributed to elephants. Mean damage was highest for Portulacaria afra and Pappea capensis in subtropical thicket and for Rhus spp. in the savanna-type vegetation. On Shamwari, 408 plants were assessed in subtropical thicket and 215 in the savanna-type vegetation, with more than 70 % of trees showing low levels of damage. There was a significant effect of plant species and elephant density on the mean damage scores in subtropical thicket, with Aloe ferox showing more damage than the other plant species (p<0.01). In the savanna-type vegetation, A. karroo was the most severely damaged. Overall, damage was greater in the thicket vegetation type compared to the more open vegetation type on both reserves.
- Full Text:
- Date Issued: 2006
File integrity checking
- Authors: Motara, Yusuf Moosa
- Date: 2006
- Subjects: Linux , Operating systems (Computers) , Database design , Computer security
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4682 , http://hdl.handle.net/10962/d1007701 , Linux , Operating systems (Computers) , Database design , Computer security
- Description: This thesis looks at file execution as an attack vector that leads to the execution of unauthorized code. File integrity checking is examined as a means of removing this attack vector, and the design, implementation, and evaluation of a best-of-breed file integrity checker for the Linux operating system is undertaken. We conclude that the resultant file integrity checker does succeed in removing file execution as an attack vector, does so at a computational cost that is negligible, and displays innovative and useful features that are not currently found in any other Linux file integrity checker.
- Full Text:
- Date Issued: 2006
- Authors: Motara, Yusuf Moosa
- Date: 2006
- Subjects: Linux , Operating systems (Computers) , Database design , Computer security
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4682 , http://hdl.handle.net/10962/d1007701 , Linux , Operating systems (Computers) , Database design , Computer security
- Description: This thesis looks at file execution as an attack vector that leads to the execution of unauthorized code. File integrity checking is examined as a means of removing this attack vector, and the design, implementation, and evaluation of a best-of-breed file integrity checker for the Linux operating system is undertaken. We conclude that the resultant file integrity checker does succeed in removing file execution as an attack vector, does so at a computational cost that is negligible, and displays innovative and useful features that are not currently found in any other Linux file integrity checker.
- Full Text:
- Date Issued: 2006
Horticultural propagation of the threatened species, Syncarpha revurvata (L.f.)B. Nord
- Authors: Swart, Pierre André
- Date: 2006
- Subjects: Horticultural crops -- Propagation , Plant propagation , Horticulture
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10624 , http://hdl.handle.net/10948/613 , Horticultural crops -- Propagation , Plant propagation , Horticulture
- Description: Syncarpha recurvata (L.f.) B. Nord. (Asteraceae, Gnaphalieae) is listed as a vulnerable (intermediate priority) species. The propagation methods of achene germination, stem cuttings, air layering and micropropagation were investigated to obtain an efficient propagation method. Smoke water dilutions of 1:100, 1:50 and 1:10 significantly increased germination, with the 1:100 smoke water dilutions showing the highest germination percentage (22.4 percent). Achenes collected between August and October 2005 showed higher germination and viability than achenes collected between May and July 2006. Fifty percent of the stem cuttings and 32 percent of the airlayered branches rooted. Embryo culture was the only successful culture type out of the four attempted. Two embryos germinated and four became photosynthetic. Two of the germinated embryos also produced callus cells, a medium supplemented with 5 μM IAA may be used to test for a suitable plant regulator for organogenesis or embryogenesis. Syncarpha recurvata plants were also transplanted into pots and 60 percent survived. A growth rate of 1.466 mm y-1 was obtained from total shoot length measurements. In this study, it was found that air-layering branches of transplanted Syncarpha recurvata plants is the most efficient propagation method.
- Full Text:
- Date Issued: 2006
- Authors: Swart, Pierre André
- Date: 2006
- Subjects: Horticultural crops -- Propagation , Plant propagation , Horticulture
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10624 , http://hdl.handle.net/10948/613 , Horticultural crops -- Propagation , Plant propagation , Horticulture
- Description: Syncarpha recurvata (L.f.) B. Nord. (Asteraceae, Gnaphalieae) is listed as a vulnerable (intermediate priority) species. The propagation methods of achene germination, stem cuttings, air layering and micropropagation were investigated to obtain an efficient propagation method. Smoke water dilutions of 1:100, 1:50 and 1:10 significantly increased germination, with the 1:100 smoke water dilutions showing the highest germination percentage (22.4 percent). Achenes collected between August and October 2005 showed higher germination and viability than achenes collected between May and July 2006. Fifty percent of the stem cuttings and 32 percent of the airlayered branches rooted. Embryo culture was the only successful culture type out of the four attempted. Two embryos germinated and four became photosynthetic. Two of the germinated embryos also produced callus cells, a medium supplemented with 5 μM IAA may be used to test for a suitable plant regulator for organogenesis or embryogenesis. Syncarpha recurvata plants were also transplanted into pots and 60 percent survived. A growth rate of 1.466 mm y-1 was obtained from total shoot length measurements. In this study, it was found that air-layering branches of transplanted Syncarpha recurvata plants is the most efficient propagation method.
- Full Text:
- Date Issued: 2006
Impacts of impala on subtropical thicket in the Shamwari Game Reserve, Eastern Cape
- Authors: Gerber, Johann
- Date: 2006
- Subjects: Impala -- Feeding and feeds -- South Africa -- Eastern Cape , Impala -- Habitat -- South Africa -- Eastern Cape , Savannas -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10627 , http://hdl.handle.net/10948/509 , http://hdl.handle.net/10948/d1012011 , Impala -- Feeding and feeds -- South Africa -- Eastern Cape , Impala -- Habitat -- South Africa -- Eastern Cape , Savannas -- South Africa -- Eastern Cape
- Description: Subtropical thicket supports a large variety of indigenous browsing herbivores, such as elephants, black rhino, kudu and bushbuck, but impala historically never occurred in the Eastern Cape. The aim of this study was to determine what impacts extralimital impala (Aepyceros melampus) have on subtropical thicket. The thicket of the Shamwari Game Reserve, Eastern Cape, was used for the study. To quantify the effects of impala, feeding behaviour and diet was investigated during summer and winter. Sixteen impala were also enclosed in a camp of subtropical thicket where they would be limited to feedings on thicket. Vegetation composition and structure were monitored for a period of 12 months in the enclosure. Impala followed the expected high percentage graze and a low percentage browse in thicket in summer. However, the expected was not observed during winter: at this time grazing and browsing were equally important. Field collection of feeding behaviour data showed that impala are attracted to fringes of intact bush clumps or degraded thicket. Analysis of the impala diet confirmed this, with a significantly higher percentage graze (48 percent) than browse (22 percent) during summer. However, during winter, diet analysis indicated grazing to be much higher (36 percent) than browsing (6 percent) with the impala temporarily taking advantage of nutritious grasses still present. The enclosed portion of thicket was originally at 80 percent ecological status but it showed significant changes after addition of 16 impala. Animal trails increased in number and in width, resulting in a trampling effect. Grass cover was significantly different inside the enclosure after 12 months compared to outside. The amount of available browse of the enclosed thicket was also significantly different after addition of the impala. It is concluded that impala have a negative effect on thicket, with trampling the most significant effect. Long term monitoring of the effects of extralimital impala in different types of thicket will be required to accurately quantify their direct effects on subtropical thicket in the Eastern Cape. The main aim of this study was to determine the impacts of impala on Thicket. The study showed significant impacts on Thicket as found in Shamwari, and therefore the aim of the study was achieved.
- Full Text:
- Date Issued: 2006
- Authors: Gerber, Johann
- Date: 2006
- Subjects: Impala -- Feeding and feeds -- South Africa -- Eastern Cape , Impala -- Habitat -- South Africa -- Eastern Cape , Savannas -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10627 , http://hdl.handle.net/10948/509 , http://hdl.handle.net/10948/d1012011 , Impala -- Feeding and feeds -- South Africa -- Eastern Cape , Impala -- Habitat -- South Africa -- Eastern Cape , Savannas -- South Africa -- Eastern Cape
- Description: Subtropical thicket supports a large variety of indigenous browsing herbivores, such as elephants, black rhino, kudu and bushbuck, but impala historically never occurred in the Eastern Cape. The aim of this study was to determine what impacts extralimital impala (Aepyceros melampus) have on subtropical thicket. The thicket of the Shamwari Game Reserve, Eastern Cape, was used for the study. To quantify the effects of impala, feeding behaviour and diet was investigated during summer and winter. Sixteen impala were also enclosed in a camp of subtropical thicket where they would be limited to feedings on thicket. Vegetation composition and structure were monitored for a period of 12 months in the enclosure. Impala followed the expected high percentage graze and a low percentage browse in thicket in summer. However, the expected was not observed during winter: at this time grazing and browsing were equally important. Field collection of feeding behaviour data showed that impala are attracted to fringes of intact bush clumps or degraded thicket. Analysis of the impala diet confirmed this, with a significantly higher percentage graze (48 percent) than browse (22 percent) during summer. However, during winter, diet analysis indicated grazing to be much higher (36 percent) than browsing (6 percent) with the impala temporarily taking advantage of nutritious grasses still present. The enclosed portion of thicket was originally at 80 percent ecological status but it showed significant changes after addition of 16 impala. Animal trails increased in number and in width, resulting in a trampling effect. Grass cover was significantly different inside the enclosure after 12 months compared to outside. The amount of available browse of the enclosed thicket was also significantly different after addition of the impala. It is concluded that impala have a negative effect on thicket, with trampling the most significant effect. Long term monitoring of the effects of extralimital impala in different types of thicket will be required to accurately quantify their direct effects on subtropical thicket in the Eastern Cape. The main aim of this study was to determine the impacts of impala on Thicket. The study showed significant impacts on Thicket as found in Shamwari, and therefore the aim of the study was achieved.
- Full Text:
- Date Issued: 2006
Investigating the viability of a framework for small scale, easily deployable and extensible hotspot management systems
- Authors: Thinyane, Mamello P
- Date: 2006
- Subjects: Local area networks (Computer networks) , Computer networks -- Management , Computer network architectures , Computer network protocols , Wireless communication systems , XML (Document markup language)
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4638 , http://hdl.handle.net/10962/d1006553
- Description: The proliferation of PALs (Public Access Locations) is fuelling the development of new standards, protocols, services, and applications for WLANs (Wireless Local Area Networks). PALs are set up at public locations to meet continually changing, multiservice, multi-protocol user requirements. This research investigates the essential infrastructural requirements that will enable further proliferation of PALs, and consequently facilitate ubiquitous computing. Based on these requirements, an extensible architectural framework for PAL management systems that inherently facilitates the provisioning of multiple services and multiple protocols on PALs is derived. The ensuing framework, which is called Xobogel, is based on the microkernel architectural pattern, and the IPDR (Internet Protocol Data Record) specification. Xobogel takes into consideration and supports the implementation of diverse business models for PALs, in respect of distinct environmental factors. It also facilitates next-generation network service usage accounting through a simple, flexible, and extensible XML based usage record. The framework is subsequently validated for service element extensibility and simplicity through the design, implementation, and experimental deployment of SEHS (Small Extensible Hotspot System), a system based on the framework. The robustness and scalability of the framework is observed to be sufficient for SMME deployment, withstanding the stress testing experiments performed on SEHS. The range of service element and charging modules implemented confirm an acceptable level of flexibility and extensibility within the framework.
- Full Text:
- Date Issued: 2006
- Authors: Thinyane, Mamello P
- Date: 2006
- Subjects: Local area networks (Computer networks) , Computer networks -- Management , Computer network architectures , Computer network protocols , Wireless communication systems , XML (Document markup language)
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4638 , http://hdl.handle.net/10962/d1006553
- Description: The proliferation of PALs (Public Access Locations) is fuelling the development of new standards, protocols, services, and applications for WLANs (Wireless Local Area Networks). PALs are set up at public locations to meet continually changing, multiservice, multi-protocol user requirements. This research investigates the essential infrastructural requirements that will enable further proliferation of PALs, and consequently facilitate ubiquitous computing. Based on these requirements, an extensible architectural framework for PAL management systems that inherently facilitates the provisioning of multiple services and multiple protocols on PALs is derived. The ensuing framework, which is called Xobogel, is based on the microkernel architectural pattern, and the IPDR (Internet Protocol Data Record) specification. Xobogel takes into consideration and supports the implementation of diverse business models for PALs, in respect of distinct environmental factors. It also facilitates next-generation network service usage accounting through a simple, flexible, and extensible XML based usage record. The framework is subsequently validated for service element extensibility and simplicity through the design, implementation, and experimental deployment of SEHS (Small Extensible Hotspot System), a system based on the framework. The robustness and scalability of the framework is observed to be sufficient for SMME deployment, withstanding the stress testing experiments performed on SEHS. The range of service element and charging modules implemented confirm an acceptable level of flexibility and extensibility within the framework.
- Full Text:
- Date Issued: 2006
Ionospheric total electron content variability and its influence in radio astronomy
- Authors: Botai, Ondego Joel
- Date: 2006
- Subjects: Electrons , Global Positioning System , Global Positioning System -- Data processing , Ionosphere , Ionospheric radio wave propagation
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5473 , http://hdl.handle.net/10962/d1005258 , Electrons , Global Positioning System , Global Positioning System -- Data processing , Ionosphere , Ionospheric radio wave propagation
- Description: Ionospheric phase delays of radio signals from Global Positioning System (GPS) satellites have been used to compute ionospheric Total Electron Content (TEC). An extended Chapman profle model is used to estimate the electron density profles and TEC. The Chapman profle that can be used to predict TEC over the mid-latitudes only applies during day time. To model night time TEC variability, a polynomial function is fitted to the night time peak electron density profles derived from the online International Reference Ionosphere (IRI) 2001. The observed and predicted TEC and its variability have been used to study ionospheric in°uence on Radio Astronomy in South Africa region. Di®erential phase delays of the radio signals from Radio Astronomy sources have been simulated using TEC. Using the simulated phase delays, the azimuth and declination o®sets of the radio sources have been estimated. Results indicate that, pointing errors of the order of miliarcseconds (mas) are likely if the ionospheric phase delays are not corrected for. These delays are not uniform and vary over a broad spectrum of timescales. This implies that fast frequency (referencing) switching, closure phases and fringe ¯tting schemes for ionospheric correction in astrometry are not the best option as they do not capture the real state of the ionosphere especially if the switching time is greater than the ionospheric TEC variability. However, advantage can be taken of the GPS satellite data available at intervals of a second from the GPS receiver network in South Africa to derive parameters which could be used to correct for the ionospheric delays. Furthermore GPS data can also be used to monitor the occurrence of scintillations, (which might corrupt radio signals) especially for the proposed, Square Kilometer Array (SKA) stations closer to the equatorial belt during magnetic storms and sub-storms. A 10 minute snapshot of GPS data recorded with the Hermanus [34:420 S, 19:220 E ] dual frequency receiver on 2003-04-11 did not show the occurrence of scintillations. This time scale is however too short and cannot be representative. Longer time scales; hours, days, seasons are needed to monitor the occurrence of scintillations.
- Full Text:
- Date Issued: 2006
- Authors: Botai, Ondego Joel
- Date: 2006
- Subjects: Electrons , Global Positioning System , Global Positioning System -- Data processing , Ionosphere , Ionospheric radio wave propagation
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5473 , http://hdl.handle.net/10962/d1005258 , Electrons , Global Positioning System , Global Positioning System -- Data processing , Ionosphere , Ionospheric radio wave propagation
- Description: Ionospheric phase delays of radio signals from Global Positioning System (GPS) satellites have been used to compute ionospheric Total Electron Content (TEC). An extended Chapman profle model is used to estimate the electron density profles and TEC. The Chapman profle that can be used to predict TEC over the mid-latitudes only applies during day time. To model night time TEC variability, a polynomial function is fitted to the night time peak electron density profles derived from the online International Reference Ionosphere (IRI) 2001. The observed and predicted TEC and its variability have been used to study ionospheric in°uence on Radio Astronomy in South Africa region. Di®erential phase delays of the radio signals from Radio Astronomy sources have been simulated using TEC. Using the simulated phase delays, the azimuth and declination o®sets of the radio sources have been estimated. Results indicate that, pointing errors of the order of miliarcseconds (mas) are likely if the ionospheric phase delays are not corrected for. These delays are not uniform and vary over a broad spectrum of timescales. This implies that fast frequency (referencing) switching, closure phases and fringe ¯tting schemes for ionospheric correction in astrometry are not the best option as they do not capture the real state of the ionosphere especially if the switching time is greater than the ionospheric TEC variability. However, advantage can be taken of the GPS satellite data available at intervals of a second from the GPS receiver network in South Africa to derive parameters which could be used to correct for the ionospheric delays. Furthermore GPS data can also be used to monitor the occurrence of scintillations, (which might corrupt radio signals) especially for the proposed, Square Kilometer Array (SKA) stations closer to the equatorial belt during magnetic storms and sub-storms. A 10 minute snapshot of GPS data recorded with the Hermanus [34:420 S, 19:220 E ] dual frequency receiver on 2003-04-11 did not show the occurrence of scintillations. This time scale is however too short and cannot be representative. Longer time scales; hours, days, seasons are needed to monitor the occurrence of scintillations.
- Full Text:
- Date Issued: 2006
Isolation, purification and characterization of a novel glucose oxidase from Penicillium canescens Tt42
- Authors: Simpson, Clinton
- Date: 2006
- Subjects: Penicillium , Glucose , Oxidases
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:3975 , http://hdl.handle.net/10962/d1004034 , Penicillium , Glucose , Oxidases
- Description: A novel glucose oxidase from Penicillium canescens (Tt42) was isolated, purified and characterised. The P. canescens Tt42 was cultivated using an optimised growth medium from literature, and maximum glucose oxidase activities of 11.5 U/ml and 6.9 U/ml for the intra- and extracellular fractions were obtained. Maximum glucose oxidase production was achieved after 72 hours at 28°C which coincided with glucose depletion. A total of 1104 U (from 60ml) of glucose oxidase was produced with a biomass specific glucose oxidase activity of 1.08 Umg[superscript -1] Four methods of cell disruption were evaluated for release of intracellular glucose oxidase from P. canescens Tt42 cells. These methods were; sonication, French press, Freeze-Thaw and a high pressure cell disrupter (Z-Plus Series) from Constant systems. All the methods were successful in releasing the intracellular glucose oxidase from P. canescens Tt42. The use of the Constant Systems high pressure cell disrupter was preferred, since it was the simplest and most rapid method. Ammonium sulphate precipitation was shown to be effective as an initial purification step for extracellular glucose oxidase from P. canescens Tt42. Comparison of the intra- and extracellular glucose oxidase fractions using isoelectric focusing showed 2 isoenzymes in both fractions. The pI values of the isoenzymes were determined to be 4.30 and 4.67, with the former being dominant. Since both the intra- and extracellular fractions contained the same isoenzymes of glucose oxidase, further purification studies were performed using the extracellular fraction. The glucose oxidase from P. canescens Tt42 was purified using 3 main techniques: ammonium sulphate precipitation (60% - 70% cut), anion exchange chromatography (Super Q 650M) and size exclusion chromatography (Sephadex S200HR). The glucose oxidase was determined to be ±80% pure by size exclusion chromatography. The final purified glucose oxidase was lyophilised, and an overall purification yield of 10.3% was achieved with an 8.6-fold purification. The purified glucose oxidase was confirmed to be catalase free. Glucose oxidase from P. canescens Tt42 was determined to be a dimeric protein (M[subscript r] ±148kDa) likely consisting of 2 equal subunits (M[subscript r] ± 70kDa). The temperature optimum range was shown to be 25-30°C. The optimum pH for the oxidation of β-D-glucose was pH 7. The enzyme was shown to be stable at 25°C for 10 hours, with a half life of approximately 30 minutes at 37°C. The lyophilised enzyme was stable at -20°C for 6 months. The properties of glucose oxidase from Tt42 were comparable to alternative glucose oxidase enzymes from Aspergillus and other Penicillium species. Glucose oxidase from P. canescens Tt42 was shown to have distinct kinetic characteristics. The V[subscript max] and K[subscript m] were shown to be 651 Umg[superscript -1] and 18.4 mM towards β-D-glucose. The catalytic kcat and specificity k[subscript cat]/K[subscript m] constants for glucose oxidase from P. canescens Tt42 were shown to be 791 s[superscript -1] and 40 s[superscript -1]mM[superscript -1] each respectively. The specificity constant (k[subscript cat]/K[subscript m]) of glucose oxidase from P. canescens Tt42 was determined to be 1.3-fold higher than that that of A. niger (Sigma Type VII) and 8.7-fold lower than that of P. amagasakiense (ATCC 28686) from literature.
- Full Text:
- Date Issued: 2006
- Authors: Simpson, Clinton
- Date: 2006
- Subjects: Penicillium , Glucose , Oxidases
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:3975 , http://hdl.handle.net/10962/d1004034 , Penicillium , Glucose , Oxidases
- Description: A novel glucose oxidase from Penicillium canescens (Tt42) was isolated, purified and characterised. The P. canescens Tt42 was cultivated using an optimised growth medium from literature, and maximum glucose oxidase activities of 11.5 U/ml and 6.9 U/ml for the intra- and extracellular fractions were obtained. Maximum glucose oxidase production was achieved after 72 hours at 28°C which coincided with glucose depletion. A total of 1104 U (from 60ml) of glucose oxidase was produced with a biomass specific glucose oxidase activity of 1.08 Umg[superscript -1] Four methods of cell disruption were evaluated for release of intracellular glucose oxidase from P. canescens Tt42 cells. These methods were; sonication, French press, Freeze-Thaw and a high pressure cell disrupter (Z-Plus Series) from Constant systems. All the methods were successful in releasing the intracellular glucose oxidase from P. canescens Tt42. The use of the Constant Systems high pressure cell disrupter was preferred, since it was the simplest and most rapid method. Ammonium sulphate precipitation was shown to be effective as an initial purification step for extracellular glucose oxidase from P. canescens Tt42. Comparison of the intra- and extracellular glucose oxidase fractions using isoelectric focusing showed 2 isoenzymes in both fractions. The pI values of the isoenzymes were determined to be 4.30 and 4.67, with the former being dominant. Since both the intra- and extracellular fractions contained the same isoenzymes of glucose oxidase, further purification studies were performed using the extracellular fraction. The glucose oxidase from P. canescens Tt42 was purified using 3 main techniques: ammonium sulphate precipitation (60% - 70% cut), anion exchange chromatography (Super Q 650M) and size exclusion chromatography (Sephadex S200HR). The glucose oxidase was determined to be ±80% pure by size exclusion chromatography. The final purified glucose oxidase was lyophilised, and an overall purification yield of 10.3% was achieved with an 8.6-fold purification. The purified glucose oxidase was confirmed to be catalase free. Glucose oxidase from P. canescens Tt42 was determined to be a dimeric protein (M[subscript r] ±148kDa) likely consisting of 2 equal subunits (M[subscript r] ± 70kDa). The temperature optimum range was shown to be 25-30°C. The optimum pH for the oxidation of β-D-glucose was pH 7. The enzyme was shown to be stable at 25°C for 10 hours, with a half life of approximately 30 minutes at 37°C. The lyophilised enzyme was stable at -20°C for 6 months. The properties of glucose oxidase from Tt42 were comparable to alternative glucose oxidase enzymes from Aspergillus and other Penicillium species. Glucose oxidase from P. canescens Tt42 was shown to have distinct kinetic characteristics. The V[subscript max] and K[subscript m] were shown to be 651 Umg[superscript -1] and 18.4 mM towards β-D-glucose. The catalytic kcat and specificity k[subscript cat]/K[subscript m] constants for glucose oxidase from P. canescens Tt42 were shown to be 791 s[superscript -1] and 40 s[superscript -1]mM[superscript -1] each respectively. The specificity constant (k[subscript cat]/K[subscript m]) of glucose oxidase from P. canescens Tt42 was determined to be 1.3-fold higher than that that of A. niger (Sigma Type VII) and 8.7-fold lower than that of P. amagasakiense (ATCC 28686) from literature.
- Full Text:
- Date Issued: 2006
Laboratory and field host utilization by established biological control agents of Lantana camara L. in South Africa
- Authors: Heystek, Fritz
- Date: 2006
- Subjects: Lantana camara -- South Africa , Biological pest control agents -- South Africa , Weeds -- Biological control -- South Africa , Invasive plants -- Biological control -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5725 , http://hdl.handle.net/10962/d1005411 , Lantana camara -- South Africa , Biological pest control agents -- South Africa , Weeds -- Biological control -- South Africa , Invasive plants -- Biological control -- South Africa
- Description: Varieties of Lantana camara (lantana) have been introduced into many countries of the world as ornamental plants and have become invasive weeds in many countries including South Africa. In South Africa, it mostly invades the sub-tropical eastern and northern range. Mechanical and chemical control options are expensive and ineffective. A biocontrol programme was initiated in South Africa in 1961. To date, 22 insect species, and a fungus have been introduced, of these 10, and the fungus have established. Three indigenous lepidopteran species and an exotic generalist pest mealybug are also associated with the weed. The variable success of some of the agents released on L. camara worldwide has been ascribed to a few factors. One important aspect is the large range of varieties encountered in the field. It is therefore essential to be able to predict the possible establishment and impact of agents on many varieties. Laboratory trials on five of the established agents showed clear varietal preferences. In the field, most of the biocontrol agents had limited geographic ranges, linked to altitudinal conditions, as higher populations were recorded at low lying warm summer rainfall areas. A pink and orange flower corolla lobe and throat colour combination and plants with few to medium leaf hairs were most abundant in South Africa. Most of the agent species had individual preferences towards different flower colour combinations, as the agents built up different population levels on varieties in the field, within the suitable geographic region for the insect species. Eight agents preferred smooth leaved varieties, while three preferred hairy leaves, and three had no specific preference to leaf hairiness. Varietal preferences thus did play a significant role in agent populations and accompanied impact achieved in the field. New candidate agents need to be proven specific under quarantine conditions and the results extrapolated to predict specificity in the field, while avoiding potential non-target effects. Many authors have questioned the validity of laboratory host specificity trials. The conventional wisdom is that insects portray a far wider host range in the laboratory than what they would do in the field. In other words, laboratory studies measure the physiological host range of an agent and are conservative and usually don’t reflect the ecological host range of agents in the field. To avoid unnecessary rejections of biocontrol agents, this study has made a retrospective study of the host specificity of agents established in the field. Their laboratory and field host ranges were compared and it was found that virtually all the agents reflect similar or less non-target effects in the field than predicted during multiple choice trials. Of the 14 agents, only one introduced species, Teleonemia scrupulosa, and the indigenous species, Hypena laceratalis and Aristea onychote were able to sustain populations on non-target species in the field in the absence of L. camara. Insect populations on non-target species were much reduced compared to that on L. camara. Furthermore non-target effects were only recorded on plant species closely related to the target weed. The multiple choice trials therefore predict field non-target effects accurately. Predictions of non-target effects of candidate agents can therefore be accurately predicted by laboratory studies, in terms of species likely to be affected and to what extent. One field that need further study though is the impact of non-target effects, especially on Lippia species by L. camara biocontrol agents.
- Full Text:
- Date Issued: 2006
- Authors: Heystek, Fritz
- Date: 2006
- Subjects: Lantana camara -- South Africa , Biological pest control agents -- South Africa , Weeds -- Biological control -- South Africa , Invasive plants -- Biological control -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5725 , http://hdl.handle.net/10962/d1005411 , Lantana camara -- South Africa , Biological pest control agents -- South Africa , Weeds -- Biological control -- South Africa , Invasive plants -- Biological control -- South Africa
- Description: Varieties of Lantana camara (lantana) have been introduced into many countries of the world as ornamental plants and have become invasive weeds in many countries including South Africa. In South Africa, it mostly invades the sub-tropical eastern and northern range. Mechanical and chemical control options are expensive and ineffective. A biocontrol programme was initiated in South Africa in 1961. To date, 22 insect species, and a fungus have been introduced, of these 10, and the fungus have established. Three indigenous lepidopteran species and an exotic generalist pest mealybug are also associated with the weed. The variable success of some of the agents released on L. camara worldwide has been ascribed to a few factors. One important aspect is the large range of varieties encountered in the field. It is therefore essential to be able to predict the possible establishment and impact of agents on many varieties. Laboratory trials on five of the established agents showed clear varietal preferences. In the field, most of the biocontrol agents had limited geographic ranges, linked to altitudinal conditions, as higher populations were recorded at low lying warm summer rainfall areas. A pink and orange flower corolla lobe and throat colour combination and plants with few to medium leaf hairs were most abundant in South Africa. Most of the agent species had individual preferences towards different flower colour combinations, as the agents built up different population levels on varieties in the field, within the suitable geographic region for the insect species. Eight agents preferred smooth leaved varieties, while three preferred hairy leaves, and three had no specific preference to leaf hairiness. Varietal preferences thus did play a significant role in agent populations and accompanied impact achieved in the field. New candidate agents need to be proven specific under quarantine conditions and the results extrapolated to predict specificity in the field, while avoiding potential non-target effects. Many authors have questioned the validity of laboratory host specificity trials. The conventional wisdom is that insects portray a far wider host range in the laboratory than what they would do in the field. In other words, laboratory studies measure the physiological host range of an agent and are conservative and usually don’t reflect the ecological host range of agents in the field. To avoid unnecessary rejections of biocontrol agents, this study has made a retrospective study of the host specificity of agents established in the field. Their laboratory and field host ranges were compared and it was found that virtually all the agents reflect similar or less non-target effects in the field than predicted during multiple choice trials. Of the 14 agents, only one introduced species, Teleonemia scrupulosa, and the indigenous species, Hypena laceratalis and Aristea onychote were able to sustain populations on non-target species in the field in the absence of L. camara. Insect populations on non-target species were much reduced compared to that on L. camara. Furthermore non-target effects were only recorded on plant species closely related to the target weed. The multiple choice trials therefore predict field non-target effects accurately. Predictions of non-target effects of candidate agents can therefore be accurately predicted by laboratory studies, in terms of species likely to be affected and to what extent. One field that need further study though is the impact of non-target effects, especially on Lippia species by L. camara biocontrol agents.
- Full Text:
- Date Issued: 2006
Models of internet connectivity for secondary schools in the Grahamstown circuit
- Authors: Brandt, Ingrid Gisélle
- Date: 2006
- Subjects: Internet in education -- South Africa -- Grahamstown , Computer networks -- South Africa -- Grahamstown , Information technology -- Study and teaching (Secondary) -- South Africa -- Grahamstown , Information technology -- South Africa -- Grahamstown , Computer-assisted instruction -- South Africa -- Grahamstown , Telecommunication in education -- South Africa -- Grahamstown , Education, Secondary -- South Africa -- Grahamstown -- Data processing
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4641 , http://hdl.handle.net/10962/d1006566 , Internet in education -- South Africa -- Grahamstown , Computer networks -- South Africa -- Grahamstown , Information technology -- Study and teaching (Secondary) -- South Africa -- Grahamstown , Information technology -- South Africa -- Grahamstown , Computer-assisted instruction -- South Africa -- Grahamstown , Telecommunication in education -- South Africa -- Grahamstown , Education, Secondary -- South Africa -- Grahamstown -- Data processing
- Description: Information and Communication Technologies (ICTs) are becoming more pervasive in South African schools and are increasingly considered valuable tools in education, promoting the development of higher cognitive processes and allowing teachers and learners access to a plethora of information. This study investigates models of Internet connectivity for secondary schools in the Grahamstown Circuit. The various networking technologies currently available to South African schools, or likely to become available to South African schools in the future, are described along with the telecommunications legislation which governs their use in South Africa. Furthermore, current ICT in education projects taking place in South Africa are described together with current ICT in education policy in South Africa. This information forms the backdrop of a detailed schools survey that was conducted at all the 13 secondary schools in the Grahamstown Circuit and enriched with experimental work in the provision of metropolitan network links to selected schools, mostly via Wi-Fi. The result of the investigation is the proposal of a Grahamstown Circuit Metropolitan Education Network.
- Full Text:
- Date Issued: 2006
- Authors: Brandt, Ingrid Gisélle
- Date: 2006
- Subjects: Internet in education -- South Africa -- Grahamstown , Computer networks -- South Africa -- Grahamstown , Information technology -- Study and teaching (Secondary) -- South Africa -- Grahamstown , Information technology -- South Africa -- Grahamstown , Computer-assisted instruction -- South Africa -- Grahamstown , Telecommunication in education -- South Africa -- Grahamstown , Education, Secondary -- South Africa -- Grahamstown -- Data processing
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4641 , http://hdl.handle.net/10962/d1006566 , Internet in education -- South Africa -- Grahamstown , Computer networks -- South Africa -- Grahamstown , Information technology -- Study and teaching (Secondary) -- South Africa -- Grahamstown , Information technology -- South Africa -- Grahamstown , Computer-assisted instruction -- South Africa -- Grahamstown , Telecommunication in education -- South Africa -- Grahamstown , Education, Secondary -- South Africa -- Grahamstown -- Data processing
- Description: Information and Communication Technologies (ICTs) are becoming more pervasive in South African schools and are increasingly considered valuable tools in education, promoting the development of higher cognitive processes and allowing teachers and learners access to a plethora of information. This study investigates models of Internet connectivity for secondary schools in the Grahamstown Circuit. The various networking technologies currently available to South African schools, or likely to become available to South African schools in the future, are described along with the telecommunications legislation which governs their use in South Africa. Furthermore, current ICT in education projects taking place in South Africa are described together with current ICT in education policy in South Africa. This information forms the backdrop of a detailed schools survey that was conducted at all the 13 secondary schools in the Grahamstown Circuit and enriched with experimental work in the provision of metropolitan network links to selected schools, mostly via Wi-Fi. The result of the investigation is the proposal of a Grahamstown Circuit Metropolitan Education Network.
- Full Text:
- Date Issued: 2006
Movement patterns of spotted grunter, Pomadasys commersonnii (Haemulidae), in a highly turbid South African estuary
- Authors: Childs, Amber-Robyn
- Date: 2006
- Subjects: Grunts (Fishes) -- South Africa -- Great Fish River , Pomadasys -- South Africa -- Great Fish River , Freshwater fishes -- South Africa -- Great Fish River , Fishes -- Behavior -- South Africa -- Great Fish River , Estuarine fishes -- South Africa -- Great Fish River , Estaurine ecology -- South Africa -- Great Fish River , Marine ecology -- South Africa -- Great Fish River
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5304 , http://hdl.handle.net/10962/d1005149 , Grunts (Fishes) -- South Africa -- Great Fish River , Pomadasys -- South Africa -- Great Fish River , Freshwater fishes -- South Africa -- Great Fish River , Fishes -- Behavior -- South Africa -- Great Fish River , Estuarine fishes -- South Africa -- Great Fish River , Estaurine ecology -- South Africa -- Great Fish River , Marine ecology -- South Africa -- Great Fish River
- Description: The principal objective of this thesis was to gain an understanding of the movement patterns of spotted grunter Pomadasys commersonnii, an estuarine-dependent fishery species, in the turbid, freshwater dominated Great Fish Estuary. Both manual and automated telemetry methods were used to monitor the movements of spotted grunter during two separate studies conducted in summer and spring 2003 and 2004. Acoustic transmitters were surgically implanted into twenty spotted grunter with lengths between 263 and 387 mm TL in the first study and twenty spotted grunter ranging between 362 and 698 mm TL in the second study. The specific objectives were to gain an understanding of (i) the time spent in the estuarine environment (ii) the space use and home range size, and (iii) the abiotic factors governing the movement patterns of spotted grunter in the estuary. The nursery function of estuarine environments was highlighted in this study as adolescent spotted grunter spent a significantly larger proportion of their time in the estuary than adult fish (p < 0.0001; R² = 0.62). The increased frequency of sea trips, with the onset of sexual maturity, provided testimony of the end of the estuarinedependent phase of their life-cycle. Although considered to be predominantly marine, the adult spotted grunter in the Great Fish Estuary utilised the estuary for considerable periods. Adults are thought to frequent estuaries to forage, seek shelter and to possibly rid themselves of parasites. During this study, the number of sea trips made by tagged fish ranged from 0 to 53, and the duration ranged from 6 hours to 28 days. The tidal phase and time of day had a significant effect (p < 0.05) on the sea trips undertaken by fish. Most tagged spotted grunter left the estuary during the night (84%) on the outgoing tide, and most returned in the evening (77%) during the incoming tide. Sea temperature (p < 0.0001; R² = 0.34), barometric pressure (p = 0.004; R² = 0.19) and wind (p = 0.01) had a significant effect on the number of spotted grunter recorded in the estuary. Spotted grunter were more prone to return to the estuary after high barometric pressure, when low sea temperatures (upwelling events) prevailed. There was a significant positive relationship between home range size and fish length (p = 0.004; R² = 0.20). Small spotted grunter (< 450 mm TL) appeared to be highly resident, with a small home range (mean size = 129 167 m²), that was generally confined to a single core area. Larger individuals (> 450 mm TL) occupied larger home ranges (mean size = 218 435 m²) with numerous core areas. The home ranges of small and large spotted grunter overlapped considerably yielding evidence of two high use areas, situated 1.2 km and 7 km from the mouth of the Great Fish Estuary. Tagged spotted grunter were located in a wide range of salinity, turbidity and temperature, but were found to avoid temperatures below 16 ºC. The daily change in environmental variables (salinity, temperature and turbidity) had a significant effect on the change in fish position in the estuary (p < 0.0001; R² = 0.38). The distribution of tagged spotted grunter, particularly the larger individuals, in the Great Fish Estuary was influenced by the tidal phase (p < 0.05); they moved upriver on the incoming tide and downriver on the outgoing tide. This study provides an understanding of the movement patterns of spotted grunter in the estuary and between the estuarine and marine environments. Consequently, it provides information that will assist in the design of a management plan to promote sustainability of this important fishery species. The techniques used and developed in this study also have direct application for further studies on other important estuarinedependent fishery species.
- Full Text:
- Date Issued: 2006
- Authors: Childs, Amber-Robyn
- Date: 2006
- Subjects: Grunts (Fishes) -- South Africa -- Great Fish River , Pomadasys -- South Africa -- Great Fish River , Freshwater fishes -- South Africa -- Great Fish River , Fishes -- Behavior -- South Africa -- Great Fish River , Estuarine fishes -- South Africa -- Great Fish River , Estaurine ecology -- South Africa -- Great Fish River , Marine ecology -- South Africa -- Great Fish River
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5304 , http://hdl.handle.net/10962/d1005149 , Grunts (Fishes) -- South Africa -- Great Fish River , Pomadasys -- South Africa -- Great Fish River , Freshwater fishes -- South Africa -- Great Fish River , Fishes -- Behavior -- South Africa -- Great Fish River , Estuarine fishes -- South Africa -- Great Fish River , Estaurine ecology -- South Africa -- Great Fish River , Marine ecology -- South Africa -- Great Fish River
- Description: The principal objective of this thesis was to gain an understanding of the movement patterns of spotted grunter Pomadasys commersonnii, an estuarine-dependent fishery species, in the turbid, freshwater dominated Great Fish Estuary. Both manual and automated telemetry methods were used to monitor the movements of spotted grunter during two separate studies conducted in summer and spring 2003 and 2004. Acoustic transmitters were surgically implanted into twenty spotted grunter with lengths between 263 and 387 mm TL in the first study and twenty spotted grunter ranging between 362 and 698 mm TL in the second study. The specific objectives were to gain an understanding of (i) the time spent in the estuarine environment (ii) the space use and home range size, and (iii) the abiotic factors governing the movement patterns of spotted grunter in the estuary. The nursery function of estuarine environments was highlighted in this study as adolescent spotted grunter spent a significantly larger proportion of their time in the estuary than adult fish (p < 0.0001; R² = 0.62). The increased frequency of sea trips, with the onset of sexual maturity, provided testimony of the end of the estuarinedependent phase of their life-cycle. Although considered to be predominantly marine, the adult spotted grunter in the Great Fish Estuary utilised the estuary for considerable periods. Adults are thought to frequent estuaries to forage, seek shelter and to possibly rid themselves of parasites. During this study, the number of sea trips made by tagged fish ranged from 0 to 53, and the duration ranged from 6 hours to 28 days. The tidal phase and time of day had a significant effect (p < 0.05) on the sea trips undertaken by fish. Most tagged spotted grunter left the estuary during the night (84%) on the outgoing tide, and most returned in the evening (77%) during the incoming tide. Sea temperature (p < 0.0001; R² = 0.34), barometric pressure (p = 0.004; R² = 0.19) and wind (p = 0.01) had a significant effect on the number of spotted grunter recorded in the estuary. Spotted grunter were more prone to return to the estuary after high barometric pressure, when low sea temperatures (upwelling events) prevailed. There was a significant positive relationship between home range size and fish length (p = 0.004; R² = 0.20). Small spotted grunter (< 450 mm TL) appeared to be highly resident, with a small home range (mean size = 129 167 m²), that was generally confined to a single core area. Larger individuals (> 450 mm TL) occupied larger home ranges (mean size = 218 435 m²) with numerous core areas. The home ranges of small and large spotted grunter overlapped considerably yielding evidence of two high use areas, situated 1.2 km and 7 km from the mouth of the Great Fish Estuary. Tagged spotted grunter were located in a wide range of salinity, turbidity and temperature, but were found to avoid temperatures below 16 ºC. The daily change in environmental variables (salinity, temperature and turbidity) had a significant effect on the change in fish position in the estuary (p < 0.0001; R² = 0.38). The distribution of tagged spotted grunter, particularly the larger individuals, in the Great Fish Estuary was influenced by the tidal phase (p < 0.05); they moved upriver on the incoming tide and downriver on the outgoing tide. This study provides an understanding of the movement patterns of spotted grunter in the estuary and between the estuarine and marine environments. Consequently, it provides information that will assist in the design of a management plan to promote sustainability of this important fishery species. The techniques used and developed in this study also have direct application for further studies on other important estuarinedependent fishery species.
- Full Text:
- Date Issued: 2006