Nature and source of suspended particulate matter and detritus along an austral temperate river–estuary continuum, assessed using stable isotope analysis
- Dalu, Tatenda, Richoux, Nicole B, Froneman, P William
- Authors: Dalu, Tatenda , Richoux, Nicole B , Froneman, P William
- Date: 2016
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/68012 , vital:29181 , https://doi.org/10.1007/s10750-015-2480-1
- Description: Publisher version , Ecologists are interested in the factors that control, and the variability in, the contributions of different sources to mixed organic materials travelling through lotic systems. We hypothesized that the source matter fuelling mixed organic pools in a river–estuary continuum varies over space and time. Samples of the mixed organic pools were collected along a small temperate river (Kowie River) in southern Africa during early and late spring, summer and winter. The C:N ratios of suspended particulate matter (SPM) collected during summer and winter indicated that the lower reaches of the system had similar organic matter contributions. Stable isotope analysis in R revealed that aquatic macrophytes were significant contributors to SPM in the upper reaches. Bulk detritus had large allochthonous matter components in the lower reaches, and contributions of aquatic macrophytes and benthic algae were high (>50%) in the upper to middle reaches. The evaluation of organic matter contributions to SPM and detritus along the river–estuary continuum provided a baseline assessment of the nature and sources of potential food for consumers inhabiting different locations during different seasons. Incorporating SPM and detritus spatio-temporal variations in food web studies will improve our understanding of carbon flow in aquatic systems.
- Full Text: false
- Date Issued: 2016
- Authors: Dalu, Tatenda , Richoux, Nicole B , Froneman, P William
- Date: 2016
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/68012 , vital:29181 , https://doi.org/10.1007/s10750-015-2480-1
- Description: Publisher version , Ecologists are interested in the factors that control, and the variability in, the contributions of different sources to mixed organic materials travelling through lotic systems. We hypothesized that the source matter fuelling mixed organic pools in a river–estuary continuum varies over space and time. Samples of the mixed organic pools were collected along a small temperate river (Kowie River) in southern Africa during early and late spring, summer and winter. The C:N ratios of suspended particulate matter (SPM) collected during summer and winter indicated that the lower reaches of the system had similar organic matter contributions. Stable isotope analysis in R revealed that aquatic macrophytes were significant contributors to SPM in the upper reaches. Bulk detritus had large allochthonous matter components in the lower reaches, and contributions of aquatic macrophytes and benthic algae were high (>50%) in the upper to middle reaches. The evaluation of organic matter contributions to SPM and detritus along the river–estuary continuum provided a baseline assessment of the nature and sources of potential food for consumers inhabiting different locations during different seasons. Incorporating SPM and detritus spatio-temporal variations in food web studies will improve our understanding of carbon flow in aquatic systems.
- Full Text: false
- Date Issued: 2016
Distribution of benthic diatom communities in a permanently open temperate estuary in relation to physico-chemical variables
- Dalu, Tatenda, Richoux, Nicole B, Froneman, P William
- Authors: Dalu, Tatenda , Richoux, Nicole B , Froneman, P William
- Date: 2016
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/67943 , vital:29172 , https://doi.org/10.1016/j.sajb.2015.06.004
- Description: Publisher version , The spatial and temporal patterns in benthic diatom community structure in temperate permanently open estuaries are poorly understood. In this study, we used a combination of multivariate and diversity indices to elucidate environmental factors associated with diatom community structure in the Kowie Estuary, South Africa. Benthic diatom samples were collected from three sites corresponding to the upper, middle and lower reaches of the estuary on four occasions over the period early spring 2012 to winter 2013. Among the 89 benthic diatoms observed, Entomoneis paludosa (W Smith) Reimer, Nitzschia reversa W Smith, Nitzschia closterium (Ehrenberg) W Smith, Pleurosigma elongatum W Smith, P. salinarum (Grunow) Grunow, Staurosira elliptica (Schumann) DM Williams & Round, Surirella brebissonii Krammer & Lange-Bertalot, and Surirella ovalis Brébisson were the numerically dominant species. Principal component analysis demonstrated that the diatom community structure was determined by a variety of factors including nutrient (ammonia, nitrate) concentrations, hydrology (e.g., water depth and flow) and pH. Hierarchical cluster analysis revealed the absence of any distinct spatial patterns, although distinct benthic diatom communities were recorded during the different sampling periods. The species richness was highest in the middle reach, decreasing from early spring to summer in all reaches. The results of the study provide important insights into the various factors that structure benthic diatom community composition within a permanently open temperate southern African estuary.
- Full Text: false
- Date Issued: 2016
- Authors: Dalu, Tatenda , Richoux, Nicole B , Froneman, P William
- Date: 2016
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/67943 , vital:29172 , https://doi.org/10.1016/j.sajb.2015.06.004
- Description: Publisher version , The spatial and temporal patterns in benthic diatom community structure in temperate permanently open estuaries are poorly understood. In this study, we used a combination of multivariate and diversity indices to elucidate environmental factors associated with diatom community structure in the Kowie Estuary, South Africa. Benthic diatom samples were collected from three sites corresponding to the upper, middle and lower reaches of the estuary on four occasions over the period early spring 2012 to winter 2013. Among the 89 benthic diatoms observed, Entomoneis paludosa (W Smith) Reimer, Nitzschia reversa W Smith, Nitzschia closterium (Ehrenberg) W Smith, Pleurosigma elongatum W Smith, P. salinarum (Grunow) Grunow, Staurosira elliptica (Schumann) DM Williams & Round, Surirella brebissonii Krammer & Lange-Bertalot, and Surirella ovalis Brébisson were the numerically dominant species. Principal component analysis demonstrated that the diatom community structure was determined by a variety of factors including nutrient (ammonia, nitrate) concentrations, hydrology (e.g., water depth and flow) and pH. Hierarchical cluster analysis revealed the absence of any distinct spatial patterns, although distinct benthic diatom communities were recorded during the different sampling periods. The species richness was highest in the middle reach, decreasing from early spring to summer in all reaches. The results of the study provide important insights into the various factors that structure benthic diatom community composition within a permanently open temperate southern African estuary.
- Full Text: false
- Date Issued: 2016
Effects of substrate on essential fatty acids produced by phytobenthos in an austral temperate river system
- Dalu, Tatenda, Galloway, Aaron W E, Richoux, Nicole B, Froneman, P William
- Authors: Dalu, Tatenda , Galloway, Aaron W E , Richoux, Nicole B , Froneman, P William
- Date: 2016
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/68002 , vital:29179 , https://doi.org/10.1086/688698
- Description: Publisher version , Aquatic and riparian habitats increasingly are affected by anthropogenic stressors, but the effects of these stressors on the nutritional quality of primary producers are often unknown. We compared essential fatty acids (EFAs) in the phytobenthos (benthic algae) growing on different substrate types (bricks, clay tiles, rocks, macrophytes, and sediments) at 2 river sites subject to differing anthropogenic stressors (using nutrient concentration as a proxy) in a temperate southern hemisphere location. We hypothesized that the fatty acid (FA) content of phytobenthos changes in response to shifts in local nutrient availability but not substrate type. EFA content (18∶2ω6, 18∶3ω3, 20∶4ω6, 20∶5ω3, and 22∶6ω3) in the phytobenthos differed overall among substrates, sites, and seasons and was generally greater in summer than in autumn and winter. EFA content was significantly greater on artificial than natural substrates and was greater at the nutrient-enriched downstream site than at the upstream site. The response of EFA content at the downstream site suggests that land use affected the synthesis of EFAs by phytobenthos and, hence, food quality for aquatic consumers. These findings indicate a potential link between physical factors, such as substrate availability and land management, and the quality of basal food resources available to primary consumers in aquatic food webs.
- Full Text: false
- Date Issued: 2016
- Authors: Dalu, Tatenda , Galloway, Aaron W E , Richoux, Nicole B , Froneman, P William
- Date: 2016
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/68002 , vital:29179 , https://doi.org/10.1086/688698
- Description: Publisher version , Aquatic and riparian habitats increasingly are affected by anthropogenic stressors, but the effects of these stressors on the nutritional quality of primary producers are often unknown. We compared essential fatty acids (EFAs) in the phytobenthos (benthic algae) growing on different substrate types (bricks, clay tiles, rocks, macrophytes, and sediments) at 2 river sites subject to differing anthropogenic stressors (using nutrient concentration as a proxy) in a temperate southern hemisphere location. We hypothesized that the fatty acid (FA) content of phytobenthos changes in response to shifts in local nutrient availability but not substrate type. EFA content (18∶2ω6, 18∶3ω3, 20∶4ω6, 20∶5ω3, and 22∶6ω3) in the phytobenthos differed overall among substrates, sites, and seasons and was generally greater in summer than in autumn and winter. EFA content was significantly greater on artificial than natural substrates and was greater at the nutrient-enriched downstream site than at the upstream site. The response of EFA content at the downstream site suggests that land use affected the synthesis of EFAs by phytobenthos and, hence, food quality for aquatic consumers. These findings indicate a potential link between physical factors, such as substrate availability and land management, and the quality of basal food resources available to primary consumers in aquatic food webs.
- Full Text: false
- Date Issued: 2016
Trophic interactions in an austral temperate ephemeral pond inferred using stable isotope analysis
- Dalu, Tatenda, Weyl, Olaf L F, Froneman, P William, Wasserman, Ryan J
- Authors: Dalu, Tatenda , Weyl, Olaf L F , Froneman, P William , Wasserman, Ryan J
- Date: 2016
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/68022 , vital:29185 , https://doi.org/10.1007/s10750-015-2533-5
- Description: Publisher version , Ephemeral ponds are vulnerable aquatic habitats which are difficult to protect given their dynamic nature and sensitivity to degradation during dry periods. Little information is available on these habitats in austral regions, with almost no information on food-web structure and complexity. The study aimed to assess trophic interactions among dominant organisms in an ephemeral pond food web, and investigate the importance of autochthonous and allochthonous carbon, using 13C and 15N isotopes. Results of the investigation suggest that the food web comprised four trophic levels, with the top predators being Notonectids (Notonecta sp.) and diving beetles (Cybister tripunctatus (Olivier)). Intermediary trophic levels comprised zooplankton (daphniids and copepodids), macroinvertebrates (e.g. micronectids and molluscs) and tadpoles. Generalist feeders dominated the higher trophic levels (>3) with specialists comprising the lower trophic levels (≤3). The consumers preferred autochthonous fine particulate organic matter, epiphyton and submerged macrophyte organic matter sources over allochthonous sources. Autochthonous organic matter was transferred to the food web via zooplankton and select macroinvertebrates including Micronecta sp. and Physa sp. The food-web structure within the pond appeared to reflect the secondary stage of trophic structural complexity in the evolution of ephemeral ponds over the course of their hydro-period.
- Full Text: false
- Date Issued: 2016
- Authors: Dalu, Tatenda , Weyl, Olaf L F , Froneman, P William , Wasserman, Ryan J
- Date: 2016
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/68022 , vital:29185 , https://doi.org/10.1007/s10750-015-2533-5
- Description: Publisher version , Ephemeral ponds are vulnerable aquatic habitats which are difficult to protect given their dynamic nature and sensitivity to degradation during dry periods. Little information is available on these habitats in austral regions, with almost no information on food-web structure and complexity. The study aimed to assess trophic interactions among dominant organisms in an ephemeral pond food web, and investigate the importance of autochthonous and allochthonous carbon, using 13C and 15N isotopes. Results of the investigation suggest that the food web comprised four trophic levels, with the top predators being Notonectids (Notonecta sp.) and diving beetles (Cybister tripunctatus (Olivier)). Intermediary trophic levels comprised zooplankton (daphniids and copepodids), macroinvertebrates (e.g. micronectids and molluscs) and tadpoles. Generalist feeders dominated the higher trophic levels (>3) with specialists comprising the lower trophic levels (≤3). The consumers preferred autochthonous fine particulate organic matter, epiphyton and submerged macrophyte organic matter sources over allochthonous sources. Autochthonous organic matter was transferred to the food web via zooplankton and select macroinvertebrates including Micronecta sp. and Physa sp. The food-web structure within the pond appeared to reflect the secondary stage of trophic structural complexity in the evolution of ephemeral ponds over the course of their hydro-period.
- Full Text: false
- Date Issued: 2016
Assessing authentic leadership and workplace trust amongst managerial government employees in Lesotho
- Authors: Damane, Likeleko
- Date: 2016
- Subjects: Leadership -- Moral and ethical aspects , Industrial management
- Language: English
- Type: Thesis , Masters , MA
- Identifier: http://hdl.handle.net/10948/9033 , vital:26458
- Description: In today‘s world, characterised by highly competitive global economies, organisations have realised the need for a positive approach in order to remain competitive, sustainable and to attract and retain talent. A positive approach to leadership and an organisational environment characterised by trust has been one of the fundamental tools towards achieving this goal. The main objective of the present study was to assess the existence of positive organizational approaches (authentic leadership and workplace trust) within the government of Lesotho, especially at a time when the country was facing difficulties. The study was descriptive in nature, and followed a non-experimental quantitative approach. The survey made use of a sample of 153 civil servants occupying positions from supervisory to senior management. Data was acquired through the use of an electronic questionnaire made up of two scales: one was a self-assessment instrument on authentic leadership adopted from Walumbwa and associates, and the other scale was on workplace trust developed by Natalie Ferres. The analysis of data involved descriptive statistics, t-tests, ANOVA, post hoc tests and Cohen‘s d. The results of the study provided evidence that there were high levels of the authentic leadership and trust in the workplace. Demographic variables were not found to influence the outcome of authentic leadership scores, however, education and managerial level were found to have an influence on organisational trust. The findings of the study provoked the researcher to call for an implementation of policy on positive training for management and for further research in this area.
- Full Text:
- Date Issued: 2016
- Authors: Damane, Likeleko
- Date: 2016
- Subjects: Leadership -- Moral and ethical aspects , Industrial management
- Language: English
- Type: Thesis , Masters , MA
- Identifier: http://hdl.handle.net/10948/9033 , vital:26458
- Description: In today‘s world, characterised by highly competitive global economies, organisations have realised the need for a positive approach in order to remain competitive, sustainable and to attract and retain talent. A positive approach to leadership and an organisational environment characterised by trust has been one of the fundamental tools towards achieving this goal. The main objective of the present study was to assess the existence of positive organizational approaches (authentic leadership and workplace trust) within the government of Lesotho, especially at a time when the country was facing difficulties. The study was descriptive in nature, and followed a non-experimental quantitative approach. The survey made use of a sample of 153 civil servants occupying positions from supervisory to senior management. Data was acquired through the use of an electronic questionnaire made up of two scales: one was a self-assessment instrument on authentic leadership adopted from Walumbwa and associates, and the other scale was on workplace trust developed by Natalie Ferres. The analysis of data involved descriptive statistics, t-tests, ANOVA, post hoc tests and Cohen‘s d. The results of the study provided evidence that there were high levels of the authentic leadership and trust in the workplace. Demographic variables were not found to influence the outcome of authentic leadership scores, however, education and managerial level were found to have an influence on organisational trust. The findings of the study provoked the researcher to call for an implementation of policy on positive training for management and for further research in this area.
- Full Text:
- Date Issued: 2016
The Malarial Exported PFA0660w Is an Hsp40 Co-Chaperone of PfHsp70-x
- Daniyan, Michael O, Boshoff, Aileen, Prinsloo, Earl, Pesce, Eva-Rachele, Blatch, Gregory L
- Authors: Daniyan, Michael O , Boshoff, Aileen , Prinsloo, Earl , Pesce, Eva-Rachele , Blatch, Gregory L
- Date: 2016
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/66098 , vital:28901 , https://doi.org/10.1371/journal.pone.0148517
- Description: publisher version , Plasmodium falciparum, the human pathogen responsible for the most dangerous malaria infection, survives and develops in mature erythrocytes through the export of proteins needed for remodelling of the host cell. Molecular chaperones of the heat shock protein (Hsp) family are prominent members of the exportome, including a number of Hsp40s and a Hsp70. PFA0660w, a type II Hsp40, has been shown to be exported and possibly form a complex with PfHsp70-x in the infected erythrocyte cytosol. However, the chaperone properties of PFA0660w and its interaction with human and parasite Hsp70s are yet to be investigated. Recombinant PFA0660w was found to exist as a monomer in solution, and was able to significantly stimulate the ATPase activity of PfHsp70-x but not that of a second plasmodial Hsp70 (PfHsp70-1) or a human Hsp70 (HSPA1A), indicating a potential specific functional partnership with PfHsp70-x. Protein binding studies in the presence and absence of ATP suggested that the interaction of PFA0660w with PfHsp70-x most likely represented a co-chaperone/chaperone interaction. Also, PFA0660w alone produced a concentration-dependent suppression of rhodanese aggregation, demonstrating its chaperone properties. Overall, we have provided the first biochemical evidence for the possible role of PFA0660w as a chaperone and as co-chaperone of PfHsp70-x. We propose that these chaperones boost the chaperone power of the infected erythrocyte, enabling successful protein trafficking and folding, and thereby making a fundamental contribution to the pathology of malaria. , This work was supported by grants from the National Research Foundation (NRF) and Medical Research Council (MRC) of South Africa. The ProteOn XPR36 IAS was purchased from a National Nanotechnology Equipment Programme grant from the Department of Science and Technology and the NRF of South Africa. Michael O. Daniyan was a recipient of the Education Trust Fund (ETF) Academic Staff Training and Development (AST and D) scholarship of Obafemi Awolowo University, Ile-Ife, Nigeria and a Rhodes University Council research bursary
- Full Text:
- Date Issued: 2016
- Authors: Daniyan, Michael O , Boshoff, Aileen , Prinsloo, Earl , Pesce, Eva-Rachele , Blatch, Gregory L
- Date: 2016
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/66098 , vital:28901 , https://doi.org/10.1371/journal.pone.0148517
- Description: publisher version , Plasmodium falciparum, the human pathogen responsible for the most dangerous malaria infection, survives and develops in mature erythrocytes through the export of proteins needed for remodelling of the host cell. Molecular chaperones of the heat shock protein (Hsp) family are prominent members of the exportome, including a number of Hsp40s and a Hsp70. PFA0660w, a type II Hsp40, has been shown to be exported and possibly form a complex with PfHsp70-x in the infected erythrocyte cytosol. However, the chaperone properties of PFA0660w and its interaction with human and parasite Hsp70s are yet to be investigated. Recombinant PFA0660w was found to exist as a monomer in solution, and was able to significantly stimulate the ATPase activity of PfHsp70-x but not that of a second plasmodial Hsp70 (PfHsp70-1) or a human Hsp70 (HSPA1A), indicating a potential specific functional partnership with PfHsp70-x. Protein binding studies in the presence and absence of ATP suggested that the interaction of PFA0660w with PfHsp70-x most likely represented a co-chaperone/chaperone interaction. Also, PFA0660w alone produced a concentration-dependent suppression of rhodanese aggregation, demonstrating its chaperone properties. Overall, we have provided the first biochemical evidence for the possible role of PFA0660w as a chaperone and as co-chaperone of PfHsp70-x. We propose that these chaperones boost the chaperone power of the infected erythrocyte, enabling successful protein trafficking and folding, and thereby making a fundamental contribution to the pathology of malaria. , This work was supported by grants from the National Research Foundation (NRF) and Medical Research Council (MRC) of South Africa. The ProteOn XPR36 IAS was purchased from a National Nanotechnology Equipment Programme grant from the Department of Science and Technology and the NRF of South Africa. Michael O. Daniyan was a recipient of the Education Trust Fund (ETF) Academic Staff Training and Development (AST and D) scholarship of Obafemi Awolowo University, Ile-Ife, Nigeria and a Rhodes University Council research bursary
- Full Text:
- Date Issued: 2016
Investigating youth perceptions of youth participation in development: a focus on community engagement as a platform for youth/student participation at Rhodes University
- Authors: Dano, Nqaba
- Date: 2016
- Language: English
- Type: Thesis , Masters , MSocSc
- Identifier: http://hdl.handle.net/10962/1444 , vital:20058
- Description: The main objective of the study is to investigate youth perceptions of youth participation in development with a focus on the Rhodes Community Engagement programme as a platform for youth participation. The study was inspired by trying to locate the position that youth put themselves in when they regard their own participation in development. It was further motivated by trying to gain perspectives from the youth themselves because most discourses on youth rarely feature their own voices. The study utilized a qualitative methodology with an interpretive paradigm, which used semi-structured in-depth interviews as a method of data collection. The theoretical framework used was the notion of participatory development. The literature consulted was broken up into participation in development which looked at the history of participation and the need for participation, the importance of participation and the limits of participation and the type of participation. It looked at youth participation, the definition of youth as a group in society and the discourses that surround how youth are defined; lastly it looked at community engage in higher education, the role students place in community engagement and the nature of Rhodes Community engagement. The data was discussed and analysed following the above mentioned themes which were participation in development, youth participation and community engagement. From the data collected it was made evident that if youth are given more spaces and chances to actively participate they could challenge prominent discourses that treat them as irresponsible minors and exclude them from decision-making processes that directly affect them and the society within which they live.
- Full Text:
- Date Issued: 2016
- Authors: Dano, Nqaba
- Date: 2016
- Language: English
- Type: Thesis , Masters , MSocSc
- Identifier: http://hdl.handle.net/10962/1444 , vital:20058
- Description: The main objective of the study is to investigate youth perceptions of youth participation in development with a focus on the Rhodes Community Engagement programme as a platform for youth participation. The study was inspired by trying to locate the position that youth put themselves in when they regard their own participation in development. It was further motivated by trying to gain perspectives from the youth themselves because most discourses on youth rarely feature their own voices. The study utilized a qualitative methodology with an interpretive paradigm, which used semi-structured in-depth interviews as a method of data collection. The theoretical framework used was the notion of participatory development. The literature consulted was broken up into participation in development which looked at the history of participation and the need for participation, the importance of participation and the limits of participation and the type of participation. It looked at youth participation, the definition of youth as a group in society and the discourses that surround how youth are defined; lastly it looked at community engage in higher education, the role students place in community engagement and the nature of Rhodes Community engagement. The data was discussed and analysed following the above mentioned themes which were participation in development, youth participation and community engagement. From the data collected it was made evident that if youth are given more spaces and chances to actively participate they could challenge prominent discourses that treat them as irresponsible minors and exclude them from decision-making processes that directly affect them and the society within which they live.
- Full Text:
- Date Issued: 2016
Internal fingerprint extraction
- Authors: Darlow, Luke Nicholas
- Date: 2016
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/2959 , vital:20347
- Description: Fingerprints are a non-invasive biometric that possess significant advantages. However, they are subject to surface erosion and damage; distortion upon scanning; and are vulnerable to fingerprint spoofing. The internal fingerprint exists as the undulations of the papillary junction - an intermediary layer of skin - and provides a solution to these disadvantages. Optical coherence tomography is used to capture the internal fingerprint. A depth profile of the papillary junction throughout the OCT scans is first constructed using fuzzy c-means clustering and a fine-tuning procedure. This information is then used to define localised regions over which to average pixels for the resultant internal fingerprint. When compared to a ground-truth internal fingerprint zone, the internal fingerprint zone detected automatically is within the measured bounds of human error. With a mean- squared-error of 21.3 and structural similarity of 96.4%, the internal fingerprint zone was successfully found and described. The extracted fingerprints exceed their surface counterparts with respect to orientation certainty and NFIQ scores (both of which are respected fingerprint quality assessment criteria). Internal to surface fingerprint correspondence and internal fingerprint cross correspondence were also measured. A larger scanned region is shown to be advantageous as internal fingerprints extracted from these scans have good surface correspondence (75% had at least one true match with a surface counterpart). It is also evidenced that internal fingerprints can constitute a fingerprint database. 96% of the internal fingerprints extracted had at least one corresponding match with another internal fingerprint. When compared to surface fingerprints cropped to match the internal fingerprints’ representative area and locality, the internal fingerprints outperformed these cropped surface counterparts. The internal fingerprint is an attractive biometric solution. This research develops a novel approach to extracting the internal fingerprint and is an asset to the further development of technologies surrounding fingerprint extraction from OCT scans. No earlier work has extracted or tested the internal fingerprint to the degree that this research has.
- Full Text:
- Date Issued: 2016
- Authors: Darlow, Luke Nicholas
- Date: 2016
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/2959 , vital:20347
- Description: Fingerprints are a non-invasive biometric that possess significant advantages. However, they are subject to surface erosion and damage; distortion upon scanning; and are vulnerable to fingerprint spoofing. The internal fingerprint exists as the undulations of the papillary junction - an intermediary layer of skin - and provides a solution to these disadvantages. Optical coherence tomography is used to capture the internal fingerprint. A depth profile of the papillary junction throughout the OCT scans is first constructed using fuzzy c-means clustering and a fine-tuning procedure. This information is then used to define localised regions over which to average pixels for the resultant internal fingerprint. When compared to a ground-truth internal fingerprint zone, the internal fingerprint zone detected automatically is within the measured bounds of human error. With a mean- squared-error of 21.3 and structural similarity of 96.4%, the internal fingerprint zone was successfully found and described. The extracted fingerprints exceed their surface counterparts with respect to orientation certainty and NFIQ scores (both of which are respected fingerprint quality assessment criteria). Internal to surface fingerprint correspondence and internal fingerprint cross correspondence were also measured. A larger scanned region is shown to be advantageous as internal fingerprints extracted from these scans have good surface correspondence (75% had at least one true match with a surface counterpart). It is also evidenced that internal fingerprints can constitute a fingerprint database. 96% of the internal fingerprints extracted had at least one corresponding match with another internal fingerprint. When compared to surface fingerprints cropped to match the internal fingerprints’ representative area and locality, the internal fingerprints outperformed these cropped surface counterparts. The internal fingerprint is an attractive biometric solution. This research develops a novel approach to extracting the internal fingerprint and is an asset to the further development of technologies surrounding fingerprint extraction from OCT scans. No earlier work has extracted or tested the internal fingerprint to the degree that this research has.
- Full Text:
- Date Issued: 2016
Experiences of midwives caring for mothers who have lost their babies at birth
- Authors: Dasi, Peggy
- Date: 2016
- Subjects: Obstetrics , Midwives , Perinatal death -- Psychological aspects
- Language: English
- Type: Thesis , Masters , MCur
- Identifier: http://hdl.handle.net/10948/9000 , vital:26454
- Description: Midwives working in labour wards usually have the pleasure of delivering a live baby and rejoicing with the mother. However, the delivery could become tragic for the mothers and midwives when the baby dies at birth due to pregnancy related complications. The result is that midwives have to render care and support to mothers who have lost their babies at birth. The objectives of this study were to explore and describe the experiences of midwives caring for mothers who have lost their babies at birth. A qualitative explorative, descriptive and contextual design was used to conduct this research study to gain an understanding of how the midwives experienced caring for mothers who have lost their babies at birth. A purposive criterion based non-probability sampling method was used. Ten semi-structured face-to-face interviews were conducted to collect data. Ethical considerations were observed throughout the research study. Measures of trustworthiness were ensured by using credibility, transferability, dependability and conformability. Data analysis was done using Tesch’s method to make sense out of text and data. Four themes were identified, namely, Midwives shared their diverse experiences relating to caring for mothers who have lost their babies at birth; Midwives expressed how their personal values and beliefs influenced the ways they dealt with babies dying at birth; Midwives described the organizational values and beliefs related to death and dying and how this influences their own experiences and lastly Midwives provided suggestions regarding how they can be assisted in caring for mothers who have lost their babies at birth. Two main guidelines were developed based on the research findings and literature. The study concludes with recommendations made with regard to areas of nursing practice, education and research.
- Full Text:
- Date Issued: 2016
- Authors: Dasi, Peggy
- Date: 2016
- Subjects: Obstetrics , Midwives , Perinatal death -- Psychological aspects
- Language: English
- Type: Thesis , Masters , MCur
- Identifier: http://hdl.handle.net/10948/9000 , vital:26454
- Description: Midwives working in labour wards usually have the pleasure of delivering a live baby and rejoicing with the mother. However, the delivery could become tragic for the mothers and midwives when the baby dies at birth due to pregnancy related complications. The result is that midwives have to render care and support to mothers who have lost their babies at birth. The objectives of this study were to explore and describe the experiences of midwives caring for mothers who have lost their babies at birth. A qualitative explorative, descriptive and contextual design was used to conduct this research study to gain an understanding of how the midwives experienced caring for mothers who have lost their babies at birth. A purposive criterion based non-probability sampling method was used. Ten semi-structured face-to-face interviews were conducted to collect data. Ethical considerations were observed throughout the research study. Measures of trustworthiness were ensured by using credibility, transferability, dependability and conformability. Data analysis was done using Tesch’s method to make sense out of text and data. Four themes were identified, namely, Midwives shared their diverse experiences relating to caring for mothers who have lost their babies at birth; Midwives expressed how their personal values and beliefs influenced the ways they dealt with babies dying at birth; Midwives described the organizational values and beliefs related to death and dying and how this influences their own experiences and lastly Midwives provided suggestions regarding how they can be assisted in caring for mothers who have lost their babies at birth. Two main guidelines were developed based on the research findings and literature. The study concludes with recommendations made with regard to areas of nursing practice, education and research.
- Full Text:
- Date Issued: 2016
Smallholder farmer's adoption decision-making processes in the utilisation of soil conservation practices in South Africa: the case of Qamata Irrigation Scheme, in the Eastern Cape
- Authors: David, Ighodaro Ikponmwosa
- Date: 2016
- Subjects: Qamata Irrigation Scheme (South Africa) Irrigation -- South Africa -- Eastern Cape Farm management -- South Africa -- Decision making , Farms, Small -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/1740 , vital:27554
- Description: The goal of this study was to determine the nature and factors influencing smallholder farmers in their adoption decision-making regarding the use of soil conservation practices introduced by extension practitioners in South Africa, using the case of farming at Qamata Irrigation Scheme, Eastern Cape. Using a central argument (thesis statement), the study argued that an adequate understanding and definition of smallholder farmers’ adoption decision-making process is very crucial to solving the problem of soil erosion/ degradation problem amongst smallholder farmers. Adopting the case study research design, information from 70 crop farmers (in a farmer focus group interviews) form the basis of the study. Basic models of analysis were the multiple, probit and logit, as well as the binary logistic regression analyses. According to the empirical results, perception was found very relevant in adoption decision-making, interacting positively and significantly with eight of the seventeen adoption variables chosen for the study. The indication therefore is that age (p<0.050), education (p<0.0030), and marriage (p<0.036), have more potentials to improve farmers’ perception. Similarly, higher farmer incomes (from crops [p<0.017], off-farm [p<0.038] and overall [p<0.011] income) also have a likelihood to improve farmers’ perception regarding soil conservation, for improved adoption. Further indication is that farmers who are aware (p<0.015) of the soil practices introduced by extension are also those who participate in their use (p<0.041). Employing the binary logistic, probit and logit regression models, results suggest that the nature of adoption decision-making processes of smallholder farmers is complex (not straight), being influenced by multiple factors. While age (p<0.099), gender (p<0.031), total income (p<0.081) impacted positively significant on smallholder farmers’ adoption decision-making, marital status (p<0.025), sources of land (p<0.063), length of continuously farming on same piece of land (p<0.013), and level of crop production (p<0.002) impacted negatively. The indication therefore was that older farmers preferred their own practices to the recommended practices by extension, which is in line with literature. Also as expected, more females preferred their own practices to extension recommended, while more males preferred the recommended practices. Similarly, marriage, land ownership, farming continuously on a spot for a long period, as well as increase in the level of crop production, all had a propensity to influence farmers toward the adoption of extension recommended practices as against farmers’ practices. Further results indicate, that farmers’ education (p<0.032), household size (p<0.37), and income (off-farm [p<0.036] and total [p<0.004]), measures used to measure farmers’ livelihood standards in the study, were positively significant in association with adoption. The indication was that, adoption decision-making is potentially capable of improving education level of farmers; increase the size of household, thus providing easy family labour; and as well improve level of income for the farmer. Based on the foregoing, the suggestion therefore is that any technology intervention programme that will succeed must begin with a clear understanding and analysis of farmers’ adoption process. This is better achieved when the adoption process is seen as a four-stage process, where the farmer first forms a view about the innovation (perception stage), and then decides whether or not to use it (adoption stage), as well as how much of the innovation to adopt (level of adoption stage), and finally how much is this innovation going to affect my livelihood (impact of adoption stage). Also, due to the particular relevance of perception in the adoption decision-making process, technology disseminators (extension), researchers and policy makers alike must never conclude on the rejection of any technology, not until factors determining perception of individuals have been well studied. The notion here is that, even at the confirmation stage of the adoption process of an individual adopter, when a rejection is confirmed, for an example, analysing factors of the adopter’s perception at play at the particular time of the innovation in question, could go a long way to redirecting the course of the adoption process of the said individual.
- Full Text:
- Date Issued: 2016
- Authors: David, Ighodaro Ikponmwosa
- Date: 2016
- Subjects: Qamata Irrigation Scheme (South Africa) Irrigation -- South Africa -- Eastern Cape Farm management -- South Africa -- Decision making , Farms, Small -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/1740 , vital:27554
- Description: The goal of this study was to determine the nature and factors influencing smallholder farmers in their adoption decision-making regarding the use of soil conservation practices introduced by extension practitioners in South Africa, using the case of farming at Qamata Irrigation Scheme, Eastern Cape. Using a central argument (thesis statement), the study argued that an adequate understanding and definition of smallholder farmers’ adoption decision-making process is very crucial to solving the problem of soil erosion/ degradation problem amongst smallholder farmers. Adopting the case study research design, information from 70 crop farmers (in a farmer focus group interviews) form the basis of the study. Basic models of analysis were the multiple, probit and logit, as well as the binary logistic regression analyses. According to the empirical results, perception was found very relevant in adoption decision-making, interacting positively and significantly with eight of the seventeen adoption variables chosen for the study. The indication therefore is that age (p<0.050), education (p<0.0030), and marriage (p<0.036), have more potentials to improve farmers’ perception. Similarly, higher farmer incomes (from crops [p<0.017], off-farm [p<0.038] and overall [p<0.011] income) also have a likelihood to improve farmers’ perception regarding soil conservation, for improved adoption. Further indication is that farmers who are aware (p<0.015) of the soil practices introduced by extension are also those who participate in their use (p<0.041). Employing the binary logistic, probit and logit regression models, results suggest that the nature of adoption decision-making processes of smallholder farmers is complex (not straight), being influenced by multiple factors. While age (p<0.099), gender (p<0.031), total income (p<0.081) impacted positively significant on smallholder farmers’ adoption decision-making, marital status (p<0.025), sources of land (p<0.063), length of continuously farming on same piece of land (p<0.013), and level of crop production (p<0.002) impacted negatively. The indication therefore was that older farmers preferred their own practices to the recommended practices by extension, which is in line with literature. Also as expected, more females preferred their own practices to extension recommended, while more males preferred the recommended practices. Similarly, marriage, land ownership, farming continuously on a spot for a long period, as well as increase in the level of crop production, all had a propensity to influence farmers toward the adoption of extension recommended practices as against farmers’ practices. Further results indicate, that farmers’ education (p<0.032), household size (p<0.37), and income (off-farm [p<0.036] and total [p<0.004]), measures used to measure farmers’ livelihood standards in the study, were positively significant in association with adoption. The indication was that, adoption decision-making is potentially capable of improving education level of farmers; increase the size of household, thus providing easy family labour; and as well improve level of income for the farmer. Based on the foregoing, the suggestion therefore is that any technology intervention programme that will succeed must begin with a clear understanding and analysis of farmers’ adoption process. This is better achieved when the adoption process is seen as a four-stage process, where the farmer first forms a view about the innovation (perception stage), and then decides whether or not to use it (adoption stage), as well as how much of the innovation to adopt (level of adoption stage), and finally how much is this innovation going to affect my livelihood (impact of adoption stage). Also, due to the particular relevance of perception in the adoption decision-making process, technology disseminators (extension), researchers and policy makers alike must never conclude on the rejection of any technology, not until factors determining perception of individuals have been well studied. The notion here is that, even at the confirmation stage of the adoption process of an individual adopter, when a rejection is confirmed, for an example, analysing factors of the adopter’s perception at play at the particular time of the innovation in question, could go a long way to redirecting the course of the adoption process of the said individual.
- Full Text:
- Date Issued: 2016
The design of a new opera house for Port Elizabeth: as a catalyst for a harbour waterfront development
- Authors: Davidson, Michael James
- Date: 2016
- Subjects: Theaters -- South Africa -- Port Elizabeth -- Designs and plans Centers for the performing arts -- South Africa -- Port Elizabeth , Theater architecture -- South Africa -- Port Elizabeth
- Language: English
- Type: Thesis , Masters , MA
- Identifier: http://hdl.handle.net/10948/18696 , vital:28708
- Description: This document records the research and design process the author undertook during the treatise project. The project stems from the author’s interest in the architecture of opera houses and the potential for the design of a new iconic opera house in Port Elizabeth. Initial research begun with an analysis of the historical development of the opera house typology and the underlying principles of contemporary opera houses. Research was then directed towards the possibility of building a new opera house in Port Elizabeth, and what basis there might be for such a venture. This led to an exploration of urban catalyst buildings, particularly those initiating the regeneration of former industrial waterfronts. That Port Elizabeth has a notable industrial harbour, which may potentially be developed into a waterfront precinct was a key informant in choosing to formulate the project as an opera house that would be a catalyst for such a development. The vision for the building is one of beauty and grandeur. As an iconic attractor to the Port Elizabeth harbour, the opera house should delight visitors by its sculptural quality and spatial experience alongside the water’s edge. It should provide positive public space with activities that can be used by non-theatre patrons so that the building will attract large numbers of people, which will stimulate more development, in line with the theory of urban catalytic development.
- Full Text:
- Date Issued: 2016
- Authors: Davidson, Michael James
- Date: 2016
- Subjects: Theaters -- South Africa -- Port Elizabeth -- Designs and plans Centers for the performing arts -- South Africa -- Port Elizabeth , Theater architecture -- South Africa -- Port Elizabeth
- Language: English
- Type: Thesis , Masters , MA
- Identifier: http://hdl.handle.net/10948/18696 , vital:28708
- Description: This document records the research and design process the author undertook during the treatise project. The project stems from the author’s interest in the architecture of opera houses and the potential for the design of a new iconic opera house in Port Elizabeth. Initial research begun with an analysis of the historical development of the opera house typology and the underlying principles of contemporary opera houses. Research was then directed towards the possibility of building a new opera house in Port Elizabeth, and what basis there might be for such a venture. This led to an exploration of urban catalyst buildings, particularly those initiating the regeneration of former industrial waterfronts. That Port Elizabeth has a notable industrial harbour, which may potentially be developed into a waterfront precinct was a key informant in choosing to formulate the project as an opera house that would be a catalyst for such a development. The vision for the building is one of beauty and grandeur. As an iconic attractor to the Port Elizabeth harbour, the opera house should delight visitors by its sculptural quality and spatial experience alongside the water’s edge. It should provide positive public space with activities that can be used by non-theatre patrons so that the building will attract large numbers of people, which will stimulate more development, in line with the theory of urban catalytic development.
- Full Text:
- Date Issued: 2016
The effects of a gradual shift rotation and a split shift nap intervention on cognitive, physiological and subjective responses under simulated night shift settings
- Authors: Davy, Jonathan Patrick
- Date: 2016
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/517 , vital:19966
- Description: Introduction: Shift work, particularly work that occurs at night has been associated with numerous challenges to occupational safety and productivity. This stems from the associated extended wakefulness, circadian disruptions and sleep loss from the inversion of the sleep wake cycle, which predisposes shift workers to reduced alertness, increased fatigue and decrements in performance capacity. These effects may be exacerbated over consecutive night shifts as a result of reductions in sleep length associated with attempting to sleep against the alerting signals of the circadian rhythm during the day. Although a variety of shift work countermeasures exist, new and innovative fatigue management strategies are needed to mitigate the effects of night work. This study proposed two night shift interventions; the Rolling rotation and a split shift nap combination. Aims: The aim of this study was to explore the effects of these interventions to a conventional Fixed night shift arrangement. Selected performance, physiological and subjective measures were applied to track any effects during a five-day shift work study. Methods: The study was laboratory-based and performance was quantified through the application of computer-based perceptual, cognitive and motor tests. Student participants (24 females and 21 males) partook in the study, which adopted a nonrepeated measures design and spanned five consecutive days. During this time, participants were required to perform a simple beading task over five 8-hour shifts. Participants were split according to sex and chronotype between four independent conditions; 1. Fixed night condition required participants to complete one afternoon shift (14h00 – 22h00) and four consecutive night shifts (22h00 - 06h00) 2. Rolling rotation condition gradually “rolled” participants into the night shift by delaying the start and end of an afternoon shift by two hours each day (16h00 – 00h00, 18h00 – 02h00, 20h00 – 04h00, 22h00 – 06h00) until the times matched that of the Fixed night condition. 3. The split shift nap system was made up of two independent groups, both of which completed one afternoon (14h00 to 22h00) and four night shifts. The Nap early condition worked from 20h00 to 08h00, napping between 00h00 and 04h00, while the Nap late condition worked from 00h00 to 12h00 and napped between 04h00 and 08h00 during the night shifts. Napping, the opportunity for which was 200 minutes occurred in the laboratory, but post shift recovery sleep, for all conditions, happened outside the laboratory. During each shift, six test batteries were completed, in which the following measures were taken: 1. Performance: beading output, eye accommodation time, choice reaction time, visual vigilance, simple reaction time, processing speed and object recognition, working memory, motor response time and tracking performance. 2. Physiological: heart rate, heart rate variability (r-MSSD, normalised Low frequency power: LFnu). 3. Self-reported measures: subjective sleepiness and reported sleep length and quality while outside the laboratory. Results: Analyses revealed that: 1. Measures of beading performance, simple reaction time, vigilance and object recognition, working memory, motor response time and control, all physiological measures, except LFnu and subjective sleepiness demonstrated the effects of time of day / fatigue, irrespective of condition. 2. There was no evidence of cumulative fatigue over the four night shifts in the performance and subjective measures and most of the physiological indicators. Beading output decreased significantly over the course of the night shifts, while reported post shift sleep length was significantly reduced with the start of the night shifts, irrespective of condition. 3. The majority of the physiological and performance measures did not differ significantly between conditions. However, there were some effects: the Rolling rotation condition produced the highest beading output compared to the Nap late condition; working memory was significantly lower in the Nap late condition compared to the other conditions. Furthermore, the nap opportunity in both the Nap early and Nap late conditions reduced subjective sleepiness, while napping during the night shift reduced post shift sleep length compared to the Rolling rotation and Fixed night conditions. There was also evidence of sleep inertia following pre-post nap test comparisons, which mainly affected visual perception tasks in both nap conditions. Sleep inertia possibly also accounted for an apparent dissociation between subjective and performance measures. Conclusions: Quantifying and interpreting the effects of night shift work in a laboratory setting has limitations. These stem mainly from the limited ecological validity of the performance outcome measures adopted and the characteristics of the sample that is tested. However, in order to fully understand the efficacy of any shift work countermeasure, the laboratory setting offers a safe, controlled environment in which to do so. The conclusions should thus be considered in light of these limitations. Night shift work negatively affected all elements of human information processing. The combination of reduced physiological arousal, extended wakefulness, increased perceptions of sleepiness and reduced total sleep obtained explained these decrements in performance. While cumulative fatigue has been reported as a challenge associated with night shift work, there was no conclusive evidence of this in the current study. In the case of the Rolling rotation, the gradual introduction to the night shift delayed the inevitable reduction in alertness and performance, which limits the viability of this intervention. The inclusion of the nap interventions was associated with reduced perceptions of sleepiness, which did not translate into improved performance, relative to the Rolling rotation and Fixed night conditions. Apart from considerations of how to manage sleep inertia post nap, the split shift nap intervention can provide an alternative to conventional night shift work arrangements.
- Full Text:
- Date Issued: 2016
- Authors: Davy, Jonathan Patrick
- Date: 2016
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/517 , vital:19966
- Description: Introduction: Shift work, particularly work that occurs at night has been associated with numerous challenges to occupational safety and productivity. This stems from the associated extended wakefulness, circadian disruptions and sleep loss from the inversion of the sleep wake cycle, which predisposes shift workers to reduced alertness, increased fatigue and decrements in performance capacity. These effects may be exacerbated over consecutive night shifts as a result of reductions in sleep length associated with attempting to sleep against the alerting signals of the circadian rhythm during the day. Although a variety of shift work countermeasures exist, new and innovative fatigue management strategies are needed to mitigate the effects of night work. This study proposed two night shift interventions; the Rolling rotation and a split shift nap combination. Aims: The aim of this study was to explore the effects of these interventions to a conventional Fixed night shift arrangement. Selected performance, physiological and subjective measures were applied to track any effects during a five-day shift work study. Methods: The study was laboratory-based and performance was quantified through the application of computer-based perceptual, cognitive and motor tests. Student participants (24 females and 21 males) partook in the study, which adopted a nonrepeated measures design and spanned five consecutive days. During this time, participants were required to perform a simple beading task over five 8-hour shifts. Participants were split according to sex and chronotype between four independent conditions; 1. Fixed night condition required participants to complete one afternoon shift (14h00 – 22h00) and four consecutive night shifts (22h00 - 06h00) 2. Rolling rotation condition gradually “rolled” participants into the night shift by delaying the start and end of an afternoon shift by two hours each day (16h00 – 00h00, 18h00 – 02h00, 20h00 – 04h00, 22h00 – 06h00) until the times matched that of the Fixed night condition. 3. The split shift nap system was made up of two independent groups, both of which completed one afternoon (14h00 to 22h00) and four night shifts. The Nap early condition worked from 20h00 to 08h00, napping between 00h00 and 04h00, while the Nap late condition worked from 00h00 to 12h00 and napped between 04h00 and 08h00 during the night shifts. Napping, the opportunity for which was 200 minutes occurred in the laboratory, but post shift recovery sleep, for all conditions, happened outside the laboratory. During each shift, six test batteries were completed, in which the following measures were taken: 1. Performance: beading output, eye accommodation time, choice reaction time, visual vigilance, simple reaction time, processing speed and object recognition, working memory, motor response time and tracking performance. 2. Physiological: heart rate, heart rate variability (r-MSSD, normalised Low frequency power: LFnu). 3. Self-reported measures: subjective sleepiness and reported sleep length and quality while outside the laboratory. Results: Analyses revealed that: 1. Measures of beading performance, simple reaction time, vigilance and object recognition, working memory, motor response time and control, all physiological measures, except LFnu and subjective sleepiness demonstrated the effects of time of day / fatigue, irrespective of condition. 2. There was no evidence of cumulative fatigue over the four night shifts in the performance and subjective measures and most of the physiological indicators. Beading output decreased significantly over the course of the night shifts, while reported post shift sleep length was significantly reduced with the start of the night shifts, irrespective of condition. 3. The majority of the physiological and performance measures did not differ significantly between conditions. However, there were some effects: the Rolling rotation condition produced the highest beading output compared to the Nap late condition; working memory was significantly lower in the Nap late condition compared to the other conditions. Furthermore, the nap opportunity in both the Nap early and Nap late conditions reduced subjective sleepiness, while napping during the night shift reduced post shift sleep length compared to the Rolling rotation and Fixed night conditions. There was also evidence of sleep inertia following pre-post nap test comparisons, which mainly affected visual perception tasks in both nap conditions. Sleep inertia possibly also accounted for an apparent dissociation between subjective and performance measures. Conclusions: Quantifying and interpreting the effects of night shift work in a laboratory setting has limitations. These stem mainly from the limited ecological validity of the performance outcome measures adopted and the characteristics of the sample that is tested. However, in order to fully understand the efficacy of any shift work countermeasure, the laboratory setting offers a safe, controlled environment in which to do so. The conclusions should thus be considered in light of these limitations. Night shift work negatively affected all elements of human information processing. The combination of reduced physiological arousal, extended wakefulness, increased perceptions of sleepiness and reduced total sleep obtained explained these decrements in performance. While cumulative fatigue has been reported as a challenge associated with night shift work, there was no conclusive evidence of this in the current study. In the case of the Rolling rotation, the gradual introduction to the night shift delayed the inevitable reduction in alertness and performance, which limits the viability of this intervention. The inclusion of the nap interventions was associated with reduced perceptions of sleepiness, which did not translate into improved performance, relative to the Rolling rotation and Fixed night conditions. Apart from considerations of how to manage sleep inertia post nap, the split shift nap intervention can provide an alternative to conventional night shift work arrangements.
- Full Text:
- Date Issued: 2016
Sentential negation in South African Sign Language: A case study
- De Barros, Courtney, Siebörger, Ian
- Authors: De Barros, Courtney , Siebörger, Ian
- Date: 2016
- Subjects: To be catalogued
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/385377 , vital:68013 , xlink:href=" https://hdl.handle.net/10520/EJC-4acb542a9"
- Description: As with other sign languages, South African Sign Language (SASL) expresses negation using both manual and non-manual features. In this case study, naturalistic data provided by two native signers of SASL are analysed to show the syntactic relationship between these two sets of features. Using a Principles and Parameters approach and Government and Binding Theory, we investigate the syntactic scope of negation in our SASL data. We observe that side-to-side headshake, as a non-manual feature, appears to be the chief clausal negator in SASL, with a clause-final manual negative particle, NOT, playing a secondary role. We describe the negative headshake as a featural affix which is base-generated in the head of NegP and triggers V-to- Neg raising. The negative particle NOT appears to be base-generated in the Specifier of NegP. Suggestions for further syntactic research on SASL are provided.
- Full Text:
- Date Issued: 2016
- Authors: De Barros, Courtney , Siebörger, Ian
- Date: 2016
- Subjects: To be catalogued
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/385377 , vital:68013 , xlink:href=" https://hdl.handle.net/10520/EJC-4acb542a9"
- Description: As with other sign languages, South African Sign Language (SASL) expresses negation using both manual and non-manual features. In this case study, naturalistic data provided by two native signers of SASL are analysed to show the syntactic relationship between these two sets of features. Using a Principles and Parameters approach and Government and Binding Theory, we investigate the syntactic scope of negation in our SASL data. We observe that side-to-side headshake, as a non-manual feature, appears to be the chief clausal negator in SASL, with a clause-final manual negative particle, NOT, playing a secondary role. We describe the negative headshake as a featural affix which is base-generated in the head of NegP and triggers V-to- Neg raising. The negative particle NOT appears to be base-generated in the Specifier of NegP. Suggestions for further syntactic research on SASL are provided.
- Full Text:
- Date Issued: 2016
The influence of power distance relationships on the success of lean manufacturing implementations
- Authors: De Beer, Lourens
- Date: 2016
- Subjects: Lean manufacturing , Corporate culture
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: http://hdl.handle.net/10948/6919 , vital:21166
- Description: The research project measured the influence of lean culture elements as well as power distance elements on the success of lean manufacturing implementations. The literature review revealed that lean transformations are not always successful and sustainable since organisation see these as quick win opportunities to improve short term profits. Lean, however, is a long term philosophy that entails not just quick changes but a fundamental change in the way that business is done. The elements that were measured in the study were organisational awareness, employee engagement, managerial consistency, accountability, mutual respect and autocratic behaviour. The study revealed a strong relationship between these factors and the success of lean implementations. The results indicated that there is a positive relationship between lean culture and the other lean elements. The study also indicated that autocratic behaviour has a positive relationship to lean implementation. The study showed that tools that were developed in the past are valid across various industries and that power distance does play a role in lean implementations.
- Full Text:
- Date Issued: 2016
- Authors: De Beer, Lourens
- Date: 2016
- Subjects: Lean manufacturing , Corporate culture
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: http://hdl.handle.net/10948/6919 , vital:21166
- Description: The research project measured the influence of lean culture elements as well as power distance elements on the success of lean manufacturing implementations. The literature review revealed that lean transformations are not always successful and sustainable since organisation see these as quick win opportunities to improve short term profits. Lean, however, is a long term philosophy that entails not just quick changes but a fundamental change in the way that business is done. The elements that were measured in the study were organisational awareness, employee engagement, managerial consistency, accountability, mutual respect and autocratic behaviour. The study revealed a strong relationship between these factors and the success of lean implementations. The results indicated that there is a positive relationship between lean culture and the other lean elements. The study also indicated that autocratic behaviour has a positive relationship to lean implementation. The study showed that tools that were developed in the past are valid across various industries and that power distance does play a role in lean implementations.
- Full Text:
- Date Issued: 2016
Introducing and intervention programme for grade 2 Afrikaans home language learners with reading, comprehension and phonics barriers
- De Jager, Marina, Geldenhuys, Johanna
- Authors: De Jager, Marina , Geldenhuys, Johanna
- Date: 2016
- Subjects: Holistic education -- South Africa , Inclusive education -- South Africa , Remedial teaching -- South Africa , Language and education -- South Africa
- Language: English
- Type: Thesis , Masters , MEd
- Identifier: http://hdl.handle.net/10948/6801 , vital:21143
- Description: This research study was aimed at the Grade 2 Afrikaans Home Language learners who encounter reading, comprehension and phonics barriers in an inclusive classroom. The Grade 2 Curriculum and Assessment Policy Statement (CAPS) Home Language curriculum and pass requirements that the learners have to master in the mainstream, was a major concern. Consequently, seventy per cent of the Grade 2 Afrikaans learners have already failed Grade 1 or 2; and some seemed to be borderline cases; as their pace of development was so slow. The intervention programme was implemented intensively outside normal school hours, through qualitative and quantitative data collection, known as the multi-method. The research approaches were conducted through action research and case-study research. Bronfenbrenner’s model indicated that intrinsic and extrinsic factors cannot be disregarded in the learner’s holistic development; therefore, parent involvement was vital during the research study. As the Individual Learner Support Team (ILST) coordinator at the research school, I have experienced the despair and perplexity of the teachers, when dealing with teaching challenges; but also, that of the learners, who face barriers to learning. A sample of six learners was identified; and one parent in each household was active during the study. The parent’s responses varied from limited to worthy feedback throughout the intervention programme. The learners’ responses were observed during the intervention programme, the classroom situation; and their perceptions during the semi-structured interviews were recorded. The intervention programme links with the Screening, Identification, Assessment and Support of SIAS process; and it involved the assistance of a remedial expert by applying remedial education, without psychometric tests. The findings revealed that the learner must be intrinsically motivated to co-operate fully. And this relates to both intrinsic and extrinsic influences. Recommendations are offered to the various stakeholders, who are directly or indirectly engaged in the learner’s scholastic development, to ensure corrective and supportive measures, which are conducive to learning.
- Full Text:
- Date Issued: 2016
- Authors: De Jager, Marina , Geldenhuys, Johanna
- Date: 2016
- Subjects: Holistic education -- South Africa , Inclusive education -- South Africa , Remedial teaching -- South Africa , Language and education -- South Africa
- Language: English
- Type: Thesis , Masters , MEd
- Identifier: http://hdl.handle.net/10948/6801 , vital:21143
- Description: This research study was aimed at the Grade 2 Afrikaans Home Language learners who encounter reading, comprehension and phonics barriers in an inclusive classroom. The Grade 2 Curriculum and Assessment Policy Statement (CAPS) Home Language curriculum and pass requirements that the learners have to master in the mainstream, was a major concern. Consequently, seventy per cent of the Grade 2 Afrikaans learners have already failed Grade 1 or 2; and some seemed to be borderline cases; as their pace of development was so slow. The intervention programme was implemented intensively outside normal school hours, through qualitative and quantitative data collection, known as the multi-method. The research approaches were conducted through action research and case-study research. Bronfenbrenner’s model indicated that intrinsic and extrinsic factors cannot be disregarded in the learner’s holistic development; therefore, parent involvement was vital during the research study. As the Individual Learner Support Team (ILST) coordinator at the research school, I have experienced the despair and perplexity of the teachers, when dealing with teaching challenges; but also, that of the learners, who face barriers to learning. A sample of six learners was identified; and one parent in each household was active during the study. The parent’s responses varied from limited to worthy feedback throughout the intervention programme. The learners’ responses were observed during the intervention programme, the classroom situation; and their perceptions during the semi-structured interviews were recorded. The intervention programme links with the Screening, Identification, Assessment and Support of SIAS process; and it involved the assistance of a remedial expert by applying remedial education, without psychometric tests. The findings revealed that the learner must be intrinsically motivated to co-operate fully. And this relates to both intrinsic and extrinsic influences. Recommendations are offered to the various stakeholders, who are directly or indirectly engaged in the learner’s scholastic development, to ensure corrective and supportive measures, which are conducive to learning.
- Full Text:
- Date Issued: 2016
The effect of Acacia karroo tree density on grass species composition, forage yield and quality in different rainfall regimes in the Eastern Cape, South Africa
- Authors: De Ridder, Cornelius Henry
- Date: 2016
- Subjects: Grasses -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10948/2858 , vital:20357
- Description: It is widely believed that Acacia karroo Hayne trees compete with and negatively affect the production of grasses in their immediate surroundings. This perception formed as a result of observations by farmers of their veld as well as some research. The complexity of plant interactions in different conditions required that research be done to better explain the extent of grass and tree interactions. In response to this need, the effect of a range of Acacia karroo densities on grass production was tested in areas of differing rainfall. Results emphasize the complexity of such plant interactions but highlight rainfall as influencing the effect of tree density on grass production and grass quality. Study sites were chosen with significant differences in tree density and rainfall and this was found to be concomitant with significant differences in grass yield and crude protein (p < 0.001). Grass yield (mass produced) was negatively correlated with tree density (p < 0.001) and was affected by rainfall. High tree density reduced grass yield at the lower rainfall sites, but a reduction in yield was only recorded during dry conditions in the higher rainfall areas. By contrast, the crude protein content of grasses was positively correlated to tree density (p < 0.001). However, as with yield, rainfall played an important part in the strength of the correlation. Soil properties such as temperature (-) (p = 0.011), phosphorus content (+) (p = 0.006), calcium concentration (+) (p = 0.005), acid saturation (-) (p = 0.018), and soil pH (+) (p = 0.008) were also significantly correlated to tree density. Tree density enriched the soil, subsequently benefitting grass quality. The study sites investigated, had different plant communities and environmental conditions with Cradock, Kubusi Drift and Kei Mouth having unique communities and conditions while Adelaide and Cathcart could not be separated in either. Cradock was the driest site and the vegetation was dominated by both grasses and karroid shrubs, differing in pattern and process from the other sites. The Kubusi Drift site had high tree densities, to the extent that the trees altered the grass species composition. The effects of rainfall on grass yield and quality exceeded that of community composition differences.
- Full Text:
- Date Issued: 2016
- Authors: De Ridder, Cornelius Henry
- Date: 2016
- Subjects: Grasses -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10948/2858 , vital:20357
- Description: It is widely believed that Acacia karroo Hayne trees compete with and negatively affect the production of grasses in their immediate surroundings. This perception formed as a result of observations by farmers of their veld as well as some research. The complexity of plant interactions in different conditions required that research be done to better explain the extent of grass and tree interactions. In response to this need, the effect of a range of Acacia karroo densities on grass production was tested in areas of differing rainfall. Results emphasize the complexity of such plant interactions but highlight rainfall as influencing the effect of tree density on grass production and grass quality. Study sites were chosen with significant differences in tree density and rainfall and this was found to be concomitant with significant differences in grass yield and crude protein (p < 0.001). Grass yield (mass produced) was negatively correlated with tree density (p < 0.001) and was affected by rainfall. High tree density reduced grass yield at the lower rainfall sites, but a reduction in yield was only recorded during dry conditions in the higher rainfall areas. By contrast, the crude protein content of grasses was positively correlated to tree density (p < 0.001). However, as with yield, rainfall played an important part in the strength of the correlation. Soil properties such as temperature (-) (p = 0.011), phosphorus content (+) (p = 0.006), calcium concentration (+) (p = 0.005), acid saturation (-) (p = 0.018), and soil pH (+) (p = 0.008) were also significantly correlated to tree density. Tree density enriched the soil, subsequently benefitting grass quality. The study sites investigated, had different plant communities and environmental conditions with Cradock, Kubusi Drift and Kei Mouth having unique communities and conditions while Adelaide and Cathcart could not be separated in either. Cradock was the driest site and the vegetation was dominated by both grasses and karroid shrubs, differing in pattern and process from the other sites. The Kubusi Drift site had high tree densities, to the extent that the trees altered the grass species composition. The effects of rainfall on grass yield and quality exceeded that of community composition differences.
- Full Text:
- Date Issued: 2016
Investigating the effects of mopane worms (Imbrasia belina) on nutrients, Venetia-Limpopo Nature Reserve, South Africa
- De Swardt, Donovan Barry, O’Connor, Tim
- Authors: De Swardt, Donovan Barry , O’Connor, Tim
- Date: 2016
- Subjects: Herbivores -- Ecology -- South Africa -- Limpopo , Phytophagous insects -- South Africa -- Limpopo , Mopane worm -- South Africa -- Limpopo , Soil fertility -- South Africa -- Limpopo
- Language: English
- Type: Thesis , Masters , MTech
- Identifier: http://hdl.handle.net/10948/9273 , vital:26558
- Description: Ecologists have long been aware that large mammalian herbivores can alter ecosystem functioning in various ways, for example through changing where they defecate and urinate, which consequently affects nutrient cycling. The effects of herbivorous insects on ecosystems, however, have received limited attention until recently. Insects are capable of mass outbreaks, they can consume large volumes of vegetative material and can deposit large quantities of dung (frass), one example being the mopane worm, Imbrasia belina. This study looked at the effect of mopane worm frass on soil fertility in the mopane veld of the Venetia-Limpopo Nature Reserve and neighbouring Haakdoring farm. It found that mopane worms are capable of altering soil nutrient dynamics beneath the trees where they are browsing in three ways. Firstly, they increase the potential amount of nutrients deposited when compared with that deposited through conventional leaf litter. Secondly, they alter the rate of nutrient recycling by depositing nutrients in frass which decomposes more rapidly than conventional leaf litter. Lastly, they increase the amounts of potassium and phosphorus in the soil. While there is no conclusive data from this study that the mopane veld would become extinct if mopane worms were harvested to extinction, it has shown that there is relatively little evidence on how herbivorous insects could affect ecosystem functioning in the landscapes in which they occur. Further research is recommended that investigates how mopane worms influence soil fertility in more detail and over multiple geographical locations.
- Full Text:
- Date Issued: 2016
- Authors: De Swardt, Donovan Barry , O’Connor, Tim
- Date: 2016
- Subjects: Herbivores -- Ecology -- South Africa -- Limpopo , Phytophagous insects -- South Africa -- Limpopo , Mopane worm -- South Africa -- Limpopo , Soil fertility -- South Africa -- Limpopo
- Language: English
- Type: Thesis , Masters , MTech
- Identifier: http://hdl.handle.net/10948/9273 , vital:26558
- Description: Ecologists have long been aware that large mammalian herbivores can alter ecosystem functioning in various ways, for example through changing where they defecate and urinate, which consequently affects nutrient cycling. The effects of herbivorous insects on ecosystems, however, have received limited attention until recently. Insects are capable of mass outbreaks, they can consume large volumes of vegetative material and can deposit large quantities of dung (frass), one example being the mopane worm, Imbrasia belina. This study looked at the effect of mopane worm frass on soil fertility in the mopane veld of the Venetia-Limpopo Nature Reserve and neighbouring Haakdoring farm. It found that mopane worms are capable of altering soil nutrient dynamics beneath the trees where they are browsing in three ways. Firstly, they increase the potential amount of nutrients deposited when compared with that deposited through conventional leaf litter. Secondly, they alter the rate of nutrient recycling by depositing nutrients in frass which decomposes more rapidly than conventional leaf litter. Lastly, they increase the amounts of potassium and phosphorus in the soil. While there is no conclusive data from this study that the mopane veld would become extinct if mopane worms were harvested to extinction, it has shown that there is relatively little evidence on how herbivorous insects could affect ecosystem functioning in the landscapes in which they occur. Further research is recommended that investigates how mopane worms influence soil fertility in more detail and over multiple geographical locations.
- Full Text:
- Date Issued: 2016
Pathogens, disease, and the social-ecological resilience of protected areas
- de Vos, Alta, Cumming, Graeme S, Cumming, David M, Ament, Judith M, Baum, Julia, Clements, Hayley S, Grewar, John D, Maciejewski, Kristine, Moore, Christine
- Authors: de Vos, Alta , Cumming, Graeme S , Cumming, David M , Ament, Judith M , Baum, Julia , Clements, Hayley S , Grewar, John D , Maciejewski, Kristine , Moore, Christine
- Date: 2016
- Subjects: To be catalogued
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/416360 , vital:71341 , xlink:href="http://dx.doi.org/10.5751/ES-07984-210120"
- Description: It is extremely important for biodiversity conservation that protected areas are resilient to a range of potential future perturbations. One of the least studied influences on protected area resilience is that of disease. We argue that wildlife disease (1) is a social-ecological problem that must be approached from an interdisciplinary perspective; (2) has the potential to lead to changes in the identity of protected areas, possibly transforming them; and (3) interacts with conservation both directly (via impacts on wild animals, livestock, and people) and indirectly (via the public, conservation management, and veterinary responses). We use southern African protected areas as a case study to test a framework for exploring the connections between conservation, endemic disease, and socialecological resilience. We first define a set of criteria for the social-ecological identity of protected areas. We then use these criteria to explore the potential impacts of selected diseases (foot-and-mouth disease, anthrax, malaria, rabies, rift valley fever, trypanosomiasis, and canine distemper) on protected area resilience. Although endemic diseases may have a number of direct impacts on both wild animals and domestic animals and people, the indirect pathways by which diseases influence social-ecological resilience also emerge as potentially important. The majority of endemic pathogens found in protected areas do not kill large numbers of wild animals or infect many people, and may even play valuable ecological roles; but occasional disease outbreaks and mortalities can have a large impact on public perceptions and disease management, potentially making protected areas unviable in one or more of their stated aims. Neighboring landowners also have a significant impact on park management decisions. The indirect effects triggered by disease in the human social and economic components of protected areas and surrounding landscapes may ultimately have a greater influence on protected area resilience than the direct ecological perturbations caused by disease.
- Full Text:
- Date Issued: 2016
- Authors: de Vos, Alta , Cumming, Graeme S , Cumming, David M , Ament, Judith M , Baum, Julia , Clements, Hayley S , Grewar, John D , Maciejewski, Kristine , Moore, Christine
- Date: 2016
- Subjects: To be catalogued
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/416360 , vital:71341 , xlink:href="http://dx.doi.org/10.5751/ES-07984-210120"
- Description: It is extremely important for biodiversity conservation that protected areas are resilient to a range of potential future perturbations. One of the least studied influences on protected area resilience is that of disease. We argue that wildlife disease (1) is a social-ecological problem that must be approached from an interdisciplinary perspective; (2) has the potential to lead to changes in the identity of protected areas, possibly transforming them; and (3) interacts with conservation both directly (via impacts on wild animals, livestock, and people) and indirectly (via the public, conservation management, and veterinary responses). We use southern African protected areas as a case study to test a framework for exploring the connections between conservation, endemic disease, and socialecological resilience. We first define a set of criteria for the social-ecological identity of protected areas. We then use these criteria to explore the potential impacts of selected diseases (foot-and-mouth disease, anthrax, malaria, rabies, rift valley fever, trypanosomiasis, and canine distemper) on protected area resilience. Although endemic diseases may have a number of direct impacts on both wild animals and domestic animals and people, the indirect pathways by which diseases influence social-ecological resilience also emerge as potentially important. The majority of endemic pathogens found in protected areas do not kill large numbers of wild animals or infect many people, and may even play valuable ecological roles; but occasional disease outbreaks and mortalities can have a large impact on public perceptions and disease management, potentially making protected areas unviable in one or more of their stated aims. Neighboring landowners also have a significant impact on park management decisions. The indirect effects triggered by disease in the human social and economic components of protected areas and surrounding landscapes may ultimately have a greater influence on protected area resilience than the direct ecological perturbations caused by disease.
- Full Text:
- Date Issued: 2016
Comparative analysis of existing pipelines for assessment of arbuscular mycorrhizal fungal biodiversity in natural and commercial rooibos (aspalathus linearis) and honeybush (cyclopia intermedia) soil samples
- Authors: De Wit, Hermina Johanna
- Date: 2016
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/2915 , vital:20342
- Full Text:
- Date Issued: 2016
- Authors: De Wit, Hermina Johanna
- Date: 2016
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/2915 , vital:20342
- Full Text:
- Date Issued: 2016
Resilience and attachment as mediators impacting upon the psychosocial sequelae of unwanted early sexual experiences
- Defferary,Tanya Elizabeth Michele
- Authors: Defferary,Tanya Elizabeth Michele
- Date: 2016
- Subjects: Resilience (Personality trait) Child sexual abuse , Attachment behaviour , Psychotherapy
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10948/12494 , vital:27074
- Description: Unwanted early sexual experiences (UESE) are traumatic experiences that many children worldwide are exposed to on a daily basis. Some of these victims struggle to adapt to life, whereas others become survivors, exhibiting post-traumatic growth after such an experience. South Africa has some of the highest UESE prevalence rates in the world, highlighting the importance of research conducted within this field in the country. With an overarching psychofortogenic framework, and through the implementation of a convergent parallel mixed methods research design, the study explored and described whether resilience and attachment act as mediators impacting upon the psychosocial sequelae which a UESE survivor might experience. The study was divided into three phases. Phase 1 consisted of a small-scale survey design which was conducted with 304 participants while Phase 2 consisted of nine semi-structure interviews with UESE survivors, who were volunteers from the original sample. Finally, Phase 3 provided an integrated summary of the findings from the first two phases. During Phase 1 significant findings relating to the survivors of UESE, their levels of resilience and attachment relationships were outlined. Of the total sample, 32.43% males and 30.5% females indicated that they had been exposed to a UESE. Most of the perpetrators were known to the survivors with friends being identified as the most common perpetrators. Parental relationships characterised by trust, open communication and less alienation were found to impact upon the degree to which participants reported being bothered by the UESE. Furthermore, parental alienation at the time of the UESE had a significantly negative impact on the survivors’ adult relationship styles. During Phase 2 a number of themes emerged including the manner of disclosure, reasons for delayed disclosure, relationship to the confidant, confidant’s response to disclosure, effects of the response to disclosure, the impact of the UESE upon the survivor, impact of the UESE on relationships, coping/resilience, advice to professionals, the confidant, and the survivor. The final phase confirmed the research hypothesis that resilience and attachment act as mediating factors impacting upon a variety of psychosocial sequelae which a UESE survivor might experience. Serendipitously, disclosure was found to be a mediating factor, securing a significant role within the study. In conclusion a future intervention titled ‘Post-Traumatic Growth: A UESE model of Disclosure, Resilience and Attachment’, was outlined, based on the study’s findings.
- Full Text:
- Date Issued: 2016
- Authors: Defferary,Tanya Elizabeth Michele
- Date: 2016
- Subjects: Resilience (Personality trait) Child sexual abuse , Attachment behaviour , Psychotherapy
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10948/12494 , vital:27074
- Description: Unwanted early sexual experiences (UESE) are traumatic experiences that many children worldwide are exposed to on a daily basis. Some of these victims struggle to adapt to life, whereas others become survivors, exhibiting post-traumatic growth after such an experience. South Africa has some of the highest UESE prevalence rates in the world, highlighting the importance of research conducted within this field in the country. With an overarching psychofortogenic framework, and through the implementation of a convergent parallel mixed methods research design, the study explored and described whether resilience and attachment act as mediators impacting upon the psychosocial sequelae which a UESE survivor might experience. The study was divided into three phases. Phase 1 consisted of a small-scale survey design which was conducted with 304 participants while Phase 2 consisted of nine semi-structure interviews with UESE survivors, who were volunteers from the original sample. Finally, Phase 3 provided an integrated summary of the findings from the first two phases. During Phase 1 significant findings relating to the survivors of UESE, their levels of resilience and attachment relationships were outlined. Of the total sample, 32.43% males and 30.5% females indicated that they had been exposed to a UESE. Most of the perpetrators were known to the survivors with friends being identified as the most common perpetrators. Parental relationships characterised by trust, open communication and less alienation were found to impact upon the degree to which participants reported being bothered by the UESE. Furthermore, parental alienation at the time of the UESE had a significantly negative impact on the survivors’ adult relationship styles. During Phase 2 a number of themes emerged including the manner of disclosure, reasons for delayed disclosure, relationship to the confidant, confidant’s response to disclosure, effects of the response to disclosure, the impact of the UESE upon the survivor, impact of the UESE on relationships, coping/resilience, advice to professionals, the confidant, and the survivor. The final phase confirmed the research hypothesis that resilience and attachment act as mediating factors impacting upon a variety of psychosocial sequelae which a UESE survivor might experience. Serendipitously, disclosure was found to be a mediating factor, securing a significant role within the study. In conclusion a future intervention titled ‘Post-Traumatic Growth: A UESE model of Disclosure, Resilience and Attachment’, was outlined, based on the study’s findings.
- Full Text:
- Date Issued: 2016