Sediment characteristics and hydrodynamic conditions of the Swartkops estuary, Eastern Cape Province of South Africa
- Best, Lutho https://orcid.org/0000-0001-6400-9061
- Authors: Best, Lutho https://orcid.org/0000-0001-6400-9061
- Date: 2021-11
- Subjects: Geology, Stratigraphic , Estuarine oceanography , Swartkops River Estuary (South Africa)
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22611 , vital:52596
- Description: This study is a part of an environmental research project aimed at providing assessment information to the grain-size distribution, mineral compositions, sedimentary structures and coastal erosion and rehabilitation methods along the Swartkops estuary, a recent developing industry area of South Africa. The methodologies used in this study comprise desk study of literature, field geological investigation and sampling, and laboratory analyses including grainsize analysis, thin section microscope study, XRD mineral composition study and SEM-EDX grain surface texture and composition analyses.The basement and surrounding areas of the Swartkops estuary consist of three formations: the Enon Formation of mainly conglomerate, the Kirkwood Formation of sandstone and mudstone, and the Sundays River Formation of dominantly mudstone with sandstone, which integrated as Uitenhage Group of Cretaceous sequence with modern estuarine sand and alluvial sediments filled in the entire basin. Grain size analysis is a useful tool to assess hydrodynamic environments. The grain size parameters showed that most of the Swartkops estuary sediments are moderately sorted with very few well and poorly sorted, coarse to fine skewed in grain size distribution.Whereas the Bluewater Bay beach sediments are mostly fine grained, well sorted, fine to coarse skewed in grain size distribution. The bivariate scatter plots are an indication of shallow marine environment by beach and coastal processes with the influence of water flow and wind influence during transportation and deposition processes. Mineralogy studies revealed that the Swartkops estuary sediments are dominantly composed of minerals such as: quartz, calcite, feldspar (orthoclase and plagioclase), aragonite, clay minerals (smectite and illite), and salts such as NaCl and MgCl2. Skeletal carbonate minerals (shell fragments) are more than chemical precipitated carbonate minerals. Quartz is the most abundant detrital mineral observed in all the sediments and it comes from inland and transported into the estuary and the beach by fluvial streams, whereas skeletal calcite/aragonite is the most abundant biogenic carbonate derived from sea side and transported by marine currents. The study shows that grain surface textures reveal the existence of several features that reflect the depositional environments. Observed grain surface textures by microscope and SEM include V-shape pits, upturned pits caused by mechanical crashing and corrosion during transportation; crystalline precipitation of calcite, quartz, salt and clay by chemical precipitation and crystallization; dissolution pits and pores formed by dissolution, and burrow and boring by biogenetic activities. The grain surface morphologies are closely linked to different formation mechanisms and depositional environments. Well-developed sedimentary structures have been found in the beach and estuary, including sand dune, sand ridge, straight and sinuous ripple, ripple marks, aeolian nail marks, high angle tabular cross bedding, antidune, rill mark, rhomboid mark, swash line, mud crack, gravel pavement, interfering ripples, flat topped ripple mark, linguiod mark, asymmetric sinuous ripples, dendritic pattern on sandy beach, boring and bioturbation, burrows desiccation cracks and water escape hole. Different sedimentary structures are reflective of different hydrodynamic conditions and depositional environments. Coastal erosion is a major problem for damage of road, bridge and properties in the industrial areas in Swartkops, which is also a task for this study. The author had suggested some practical mitigation-methods to local government, such as groins, revetments, shoreline hardening, planting of vegetation, and vertical walls, bulkheads, sills, which could be useful for the protection of coastal erosion. , Thesis (MSc) -- Faculty of Science and Agriculture, 2021
- Full Text:
- Date Issued: 2021-11
- Authors: Best, Lutho https://orcid.org/0000-0001-6400-9061
- Date: 2021-11
- Subjects: Geology, Stratigraphic , Estuarine oceanography , Swartkops River Estuary (South Africa)
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/22611 , vital:52596
- Description: This study is a part of an environmental research project aimed at providing assessment information to the grain-size distribution, mineral compositions, sedimentary structures and coastal erosion and rehabilitation methods along the Swartkops estuary, a recent developing industry area of South Africa. The methodologies used in this study comprise desk study of literature, field geological investigation and sampling, and laboratory analyses including grainsize analysis, thin section microscope study, XRD mineral composition study and SEM-EDX grain surface texture and composition analyses.The basement and surrounding areas of the Swartkops estuary consist of three formations: the Enon Formation of mainly conglomerate, the Kirkwood Formation of sandstone and mudstone, and the Sundays River Formation of dominantly mudstone with sandstone, which integrated as Uitenhage Group of Cretaceous sequence with modern estuarine sand and alluvial sediments filled in the entire basin. Grain size analysis is a useful tool to assess hydrodynamic environments. The grain size parameters showed that most of the Swartkops estuary sediments are moderately sorted with very few well and poorly sorted, coarse to fine skewed in grain size distribution.Whereas the Bluewater Bay beach sediments are mostly fine grained, well sorted, fine to coarse skewed in grain size distribution. The bivariate scatter plots are an indication of shallow marine environment by beach and coastal processes with the influence of water flow and wind influence during transportation and deposition processes. Mineralogy studies revealed that the Swartkops estuary sediments are dominantly composed of minerals such as: quartz, calcite, feldspar (orthoclase and plagioclase), aragonite, clay minerals (smectite and illite), and salts such as NaCl and MgCl2. Skeletal carbonate minerals (shell fragments) are more than chemical precipitated carbonate minerals. Quartz is the most abundant detrital mineral observed in all the sediments and it comes from inland and transported into the estuary and the beach by fluvial streams, whereas skeletal calcite/aragonite is the most abundant biogenic carbonate derived from sea side and transported by marine currents. The study shows that grain surface textures reveal the existence of several features that reflect the depositional environments. Observed grain surface textures by microscope and SEM include V-shape pits, upturned pits caused by mechanical crashing and corrosion during transportation; crystalline precipitation of calcite, quartz, salt and clay by chemical precipitation and crystallization; dissolution pits and pores formed by dissolution, and burrow and boring by biogenetic activities. The grain surface morphologies are closely linked to different formation mechanisms and depositional environments. Well-developed sedimentary structures have been found in the beach and estuary, including sand dune, sand ridge, straight and sinuous ripple, ripple marks, aeolian nail marks, high angle tabular cross bedding, antidune, rill mark, rhomboid mark, swash line, mud crack, gravel pavement, interfering ripples, flat topped ripple mark, linguiod mark, asymmetric sinuous ripples, dendritic pattern on sandy beach, boring and bioturbation, burrows desiccation cracks and water escape hole. Different sedimentary structures are reflective of different hydrodynamic conditions and depositional environments. Coastal erosion is a major problem for damage of road, bridge and properties in the industrial areas in Swartkops, which is also a task for this study. The author had suggested some practical mitigation-methods to local government, such as groins, revetments, shoreline hardening, planting of vegetation, and vertical walls, bulkheads, sills, which could be useful for the protection of coastal erosion. , Thesis (MSc) -- Faculty of Science and Agriculture, 2021
- Full Text:
- Date Issued: 2021-11
Using spatial explicit capture-recapture model to investigate the demography and spatial dynamics of lion prides in Pilanesberg National Park
- Authors: Bettings, Isabella Aletta
- Date: 2022-12
- Subjects: Lions--Behavior--South Africa , Animals tracks -- Pilanesberg National Park -- North West
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10948/59655 , vital:62318
- Description: Lions are apex predators that play a vital role in the ecosystem. They regulate prey species through predation and other non-consumptive means. Factors that have influenced the decline of lion populations across Africa in the last half century, are loss of habitat, human wildlife conflict and the depletion of prey species. Extensive reintroductions of lions have been conducted across South Africa in order to restore their numbers in protected areas. The Pilanesberg National Park (PNP) was one of many protected areas that reintroduced lions. Their numbers were well documented by management until 2005 where they lost track of the population numbers. During this unfortunate period, there was an observed decline in prey numbers. The aim of this dissertation was to estimate the abundance, movement, and sex ratio of lions, in PNP. Abundance, movement, and sex ratio were determined by a three-month intensive lion survey. The location of each lion encounter was recorded on a mobile device which had an application installed called Cybertracker (v3). Photographs were taken of each Lion to build identification kits. For the data analysis, I used the Bayesian spatial explicit capture-recapture (SECR) model. This model takes time, space, and the robustness of an individual lion into account. Robustness is the measure of how well a lion maintains their functionality, when various stressors are applied (Harmsen, Foster, & Quigley, 2020). The estimated lion population in PNP was 44 lions (>1 year) with a density of 8.8 lions per 100 km2 . The estimated mean home range size of male lions was 279 km2 with a highest probability density (HPD) range of 179 – 385 km2 . The estimated mean home range of female lions was 191 km2 with a HPD range of 135 – 262 km2 . The larger home range size for male lions and smaller home range size for females is found v throughout the African continent in protected areas. The estimated sex ratio was 0.9♀:1♂, which is unexpected as PNP sex ratios between male and female lions is usually 2♀:1♂. A future sampling design for PNP was produced from the completed lion survey dataset. I drove a total of 7350 km and evaluated the influence of varied sampling efforts (i.e., kms driven) on precision estimates and relative bias for abundance, movement, and sex ratio. I found that a minimum of 4 000 km was needed to adequately estimate the lion abundance, movement, and sex ratio in this small fenced protected area. These findings can be used to help guide management to the most cost-effective sampling method and still obtain accurate estimates for monitoring lions. By showing management what is required for appropriate lion surveys this might help improve future monitoring. , Thesis (MSc) -- Faculty of Science, School of Natural Resource Management, 2022
- Full Text:
- Date Issued: 2022-12
- Authors: Bettings, Isabella Aletta
- Date: 2022-12
- Subjects: Lions--Behavior--South Africa , Animals tracks -- Pilanesberg National Park -- North West
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10948/59655 , vital:62318
- Description: Lions are apex predators that play a vital role in the ecosystem. They regulate prey species through predation and other non-consumptive means. Factors that have influenced the decline of lion populations across Africa in the last half century, are loss of habitat, human wildlife conflict and the depletion of prey species. Extensive reintroductions of lions have been conducted across South Africa in order to restore their numbers in protected areas. The Pilanesberg National Park (PNP) was one of many protected areas that reintroduced lions. Their numbers were well documented by management until 2005 where they lost track of the population numbers. During this unfortunate period, there was an observed decline in prey numbers. The aim of this dissertation was to estimate the abundance, movement, and sex ratio of lions, in PNP. Abundance, movement, and sex ratio were determined by a three-month intensive lion survey. The location of each lion encounter was recorded on a mobile device which had an application installed called Cybertracker (v3). Photographs were taken of each Lion to build identification kits. For the data analysis, I used the Bayesian spatial explicit capture-recapture (SECR) model. This model takes time, space, and the robustness of an individual lion into account. Robustness is the measure of how well a lion maintains their functionality, when various stressors are applied (Harmsen, Foster, & Quigley, 2020). The estimated lion population in PNP was 44 lions (>1 year) with a density of 8.8 lions per 100 km2 . The estimated mean home range size of male lions was 279 km2 with a highest probability density (HPD) range of 179 – 385 km2 . The estimated mean home range of female lions was 191 km2 with a HPD range of 135 – 262 km2 . The larger home range size for male lions and smaller home range size for females is found v throughout the African continent in protected areas. The estimated sex ratio was 0.9♀:1♂, which is unexpected as PNP sex ratios between male and female lions is usually 2♀:1♂. A future sampling design for PNP was produced from the completed lion survey dataset. I drove a total of 7350 km and evaluated the influence of varied sampling efforts (i.e., kms driven) on precision estimates and relative bias for abundance, movement, and sex ratio. I found that a minimum of 4 000 km was needed to adequately estimate the lion abundance, movement, and sex ratio in this small fenced protected area. These findings can be used to help guide management to the most cost-effective sampling method and still obtain accurate estimates for monitoring lions. By showing management what is required for appropriate lion surveys this might help improve future monitoring. , Thesis (MSc) -- Faculty of Science, School of Natural Resource Management, 2022
- Full Text:
- Date Issued: 2022-12
The concurrent jurisdiction of the high court and labour court
- Authors: Beyleveld, Dominique
- Date: 2021-04
- Subjects: Gqeberha (South Africa) , Eastern Cape (South Africa) , Labor laws and legislation--South Africa
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10948/51191 , vital:43218
- Description: The words “concurrent jurisdiction” essentially means that there is more than one court which has the power to hear a matter and therefore, a party may choose which forum to approach.1 The High Court (hereinafter referred to as “HC”) may exercise jurisdiction, together with the Labour Court (hereinafter referred to as “LC”), in enforcing purely contractual and other common law claims as well as for breach of fundamental rights to which the Labour Relations Act (LRA)2 (or other labour statutes) do not give effect to.3 However, this is not without limitations. The HC and the LC have concurrent jurisdiction over claims relating to the lawfulness of dismissal or other conduct by the parties, whereas all claims based on fairness falls within the exclusive jurisdiction of the LC.4 The practical implication of the approach taken by the Constitutional Court (hereinafter referred to as “CC”)5 is that jurisdiction may, to a certain extent,6 be based on the pleadings, and a litigant may in fact have simultaneous claims arising from the same circumstances.7 However, where the basis of the action and the relief sought is clearly identifiable as being part of the machinery of the Labour Relations Act (hereinafter referred to as the “LRA”) or other labour legislation, then the HC will not have jurisdiction and it is up to the LC to remedy the wrong and give effect to the primary objects of the LRA , Thesis (LLM) -- Faculty of Law, Mercantile Law, 2021
- Full Text: false
- Date Issued: 2021-04
- Authors: Beyleveld, Dominique
- Date: 2021-04
- Subjects: Gqeberha (South Africa) , Eastern Cape (South Africa) , Labor laws and legislation--South Africa
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10948/51191 , vital:43218
- Description: The words “concurrent jurisdiction” essentially means that there is more than one court which has the power to hear a matter and therefore, a party may choose which forum to approach.1 The High Court (hereinafter referred to as “HC”) may exercise jurisdiction, together with the Labour Court (hereinafter referred to as “LC”), in enforcing purely contractual and other common law claims as well as for breach of fundamental rights to which the Labour Relations Act (LRA)2 (or other labour statutes) do not give effect to.3 However, this is not without limitations. The HC and the LC have concurrent jurisdiction over claims relating to the lawfulness of dismissal or other conduct by the parties, whereas all claims based on fairness falls within the exclusive jurisdiction of the LC.4 The practical implication of the approach taken by the Constitutional Court (hereinafter referred to as “CC”)5 is that jurisdiction may, to a certain extent,6 be based on the pleadings, and a litigant may in fact have simultaneous claims arising from the same circumstances.7 However, where the basis of the action and the relief sought is clearly identifiable as being part of the machinery of the Labour Relations Act (hereinafter referred to as the “LRA”) or other labour legislation, then the HC will not have jurisdiction and it is up to the LC to remedy the wrong and give effect to the primary objects of the LRA , Thesis (LLM) -- Faculty of Law, Mercantile Law, 2021
- Full Text: false
- Date Issued: 2021-04
The impact of Attention-deficit/hyperactivity disorder on the well-being of adults diagnosed with the disorder: a systematic review
- Authors: Bezuidenhout, L Spies
- Date: 2022-07
- Subjects: Attention-deficit hyperactivity disorder , Attention-deficit disorder in adults , Attention-deficit-disordered adults
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/26940 , vital:66204
- Description: The aim of this research is to explore how adults who were diagnosed with Attention-Deficit/Hyperactivity Disorder (ADHD) experience the impact that the disorder has on their wellbeing. Since this research is an exploration of human experience the qualitative paradigm was used to guide the research. The research design was a Systematic Review. Studies for this research were found in the Fort Hare University Databases. The search terms used included a combination of the following and/or their synonyms Positive Psychology, well-being, life satisfaction, impact on life, life experience, coping strategies, and ADHD. There were 10 articles that met the selected inclusion criteria that became the sample. These articles were then further appraised by using the Critical Appraisal Skills Programme (CASP) appraisal tool. Data was extracted from the studies by using Thematic Analysis to provide the results. The themes for the research were identified as: the impact of an ADHD diagnosis, the impact ADHD has on identity, the impact ADHD has on performance and coping with ADHD. These themes best describe the data that was found in the sources. , Thesis (MSoc) -- Faculty of Social Sciences and Humanities, 2022
- Full Text:
- Date Issued: 2022-07
- Authors: Bezuidenhout, L Spies
- Date: 2022-07
- Subjects: Attention-deficit hyperactivity disorder , Attention-deficit disorder in adults , Attention-deficit-disordered adults
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/26940 , vital:66204
- Description: The aim of this research is to explore how adults who were diagnosed with Attention-Deficit/Hyperactivity Disorder (ADHD) experience the impact that the disorder has on their wellbeing. Since this research is an exploration of human experience the qualitative paradigm was used to guide the research. The research design was a Systematic Review. Studies for this research were found in the Fort Hare University Databases. The search terms used included a combination of the following and/or their synonyms Positive Psychology, well-being, life satisfaction, impact on life, life experience, coping strategies, and ADHD. There were 10 articles that met the selected inclusion criteria that became the sample. These articles were then further appraised by using the Critical Appraisal Skills Programme (CASP) appraisal tool. Data was extracted from the studies by using Thematic Analysis to provide the results. The themes for the research were identified as: the impact of an ADHD diagnosis, the impact ADHD has on identity, the impact ADHD has on performance and coping with ADHD. These themes best describe the data that was found in the sources. , Thesis (MSoc) -- Faculty of Social Sciences and Humanities, 2022
- Full Text:
- Date Issued: 2022-07
The design of a ritual precinct for the Zion Christian Church (ZCC) in the Swartkops Nature Reserve, Gqeberha:
- Authors: Bezuidenhout, Lee Vicky
- Date: 2022-04
- Subjects: Church buildings --South Africa --Port Elizabeth-- Designs and plans , Zionist Christian Church
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10948/57425 , vital:57758
- Description: Man and nature have become disconnected over the years, as man relies more on the advances of the technical age and less on connections to the natural world. Through this disconnect, nature is bearing the consequences and is in a state of decay. As part of the cosmos, the natural envi-ronment is inherently imbued with sacredness; this sacred nature often manifesting itself within the very structure of the earth. Importance is then placed on how we po-sition ourselves and our holy places within their natural environment in order to set a precedent for the rest of our built environments. This treatise positions itself within ecology and the sacred. It focuses on the particulars of sacredscapes and pilgrimages within a context of Afri-can landscapes and African religions. This encompasses both the built and unbuilt elements of sacred architecture as well as sacredscapes through the reflection of cosmic rhythms, manifest order and harmony in order to create a holistic living organism aware of both the “real” and the sacred. Through its roots in holistic design, is sacredscapes align very closely to that of the ecological paradigm and the creation of integrated ecosystems. Sacred place often realised through the continuation of ritual practice. These rituals are a crucial part of African religions and most often find themselves in or associated with their natural environment. Thus, this is where the focus of the treatise lies - in the ritual cleansing ceremonies of the Zion Christian Church carried out in the Swartkops River. Ritual precincts and the creation of sacredscapes as a tool to reintegrate nature into the sacred will be explored. The intervention presents itself as an emergent ecosystemic architecture creating a sacred space, at the water’s edge, imbued with the Afro-Christian narrative of the Zion Christian Church. , Thesis (MArch)-- Faculty of Engineering, the Built Environment and Technology, School of Architecture, 2022
- Full Text:
- Date Issued: 2022-04
- Authors: Bezuidenhout, Lee Vicky
- Date: 2022-04
- Subjects: Church buildings --South Africa --Port Elizabeth-- Designs and plans , Zionist Christian Church
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10948/57425 , vital:57758
- Description: Man and nature have become disconnected over the years, as man relies more on the advances of the technical age and less on connections to the natural world. Through this disconnect, nature is bearing the consequences and is in a state of decay. As part of the cosmos, the natural envi-ronment is inherently imbued with sacredness; this sacred nature often manifesting itself within the very structure of the earth. Importance is then placed on how we po-sition ourselves and our holy places within their natural environment in order to set a precedent for the rest of our built environments. This treatise positions itself within ecology and the sacred. It focuses on the particulars of sacredscapes and pilgrimages within a context of Afri-can landscapes and African religions. This encompasses both the built and unbuilt elements of sacred architecture as well as sacredscapes through the reflection of cosmic rhythms, manifest order and harmony in order to create a holistic living organism aware of both the “real” and the sacred. Through its roots in holistic design, is sacredscapes align very closely to that of the ecological paradigm and the creation of integrated ecosystems. Sacred place often realised through the continuation of ritual practice. These rituals are a crucial part of African religions and most often find themselves in or associated with their natural environment. Thus, this is where the focus of the treatise lies - in the ritual cleansing ceremonies of the Zion Christian Church carried out in the Swartkops River. Ritual precincts and the creation of sacredscapes as a tool to reintegrate nature into the sacred will be explored. The intervention presents itself as an emergent ecosystemic architecture creating a sacred space, at the water’s edge, imbued with the Afro-Christian narrative of the Zion Christian Church. , Thesis (MArch)-- Faculty of Engineering, the Built Environment and Technology, School of Architecture, 2022
- Full Text:
- Date Issued: 2022-04
The trade and poverty nexus in South Africa: investigating the transmission mechanism and the associated challenges
- Authors: Bhebhe, Nonceba Fikile
- Date: 2022-10-14
- Subjects: Commerce , Free trade , International trade , Poverty South Africa , Poverty Prevention , South Africa Economic conditions 1991-
- Language: English
- Type: Academic theses , Master's theses , text
- Identifier: http://hdl.handle.net/10962/357515 , vital:64750
- Description: International trade plays an essential role in economic development strategies. In literature, foreign trade is identified as a driver of economic growth. In recent times there has been an expansion in the scope of investigations around the role of international trade to include its links with poverty alleviation. Poverty alleviation is explicitly identified as the first goal on the 2030 agenda for sustainable development under the Sustainable Development Goals and implicitly defined in goal 10. International trade is seen as the engine behind achieving the goal. South Africa records excessive poverty and inequality levels by international standards for a middle-income country. The most recent Poverty Trends Report for 2006 - 2015 reports 55.5% of the population living in poverty. Inequality statistics reported a per capita expenditure Gini coefficient of 0.65 in 2015, evidence that the country has high levels of inequality. The country's severe poverty, unemployment, and inequality prompt policymakers to formulate developmental policies around the underlying structural challenges. Trade openness has increased since the end of the Apartheid era. Despite the increased trade openness, economic growth has been insufficient in reducing the high unemployment and poverty levels, presenting a challenge for economists, who argue that trade openness is pro-growth and pro-poor. In the South African case, the lack of change in the structural challenges of poverty, unemployment and inequality has raised concerns over whether the trade policy reforms made since 1994 interfere with development objectives. This study aims to investigate the impact of trade liberalisation on poverty, using the three channels, namely enterprise, distribution, and government that have been researched within the McCulloch, Winters and Cirera framework. Specifically, it investigates the linkages via the transmission mechanism in which trade affects poverty in South Africa by mapping the transmission mechanisms from trade liberalisation to poverty alleviation, whilst identifying the possible challenges to the transmission mechanisms and lastly, analysing the stylised facts around trade and poverty in South Africa. To answer the question of this study, quantitative data from National Income Dynamic Study (NIDS) was merged longitudinally and aggregated with the industry tariff data sourced from the World Trade Organisation (WTO) and United Nations Conference on Trade and Development (UNCTAD) statistics. A path analysis was undertaken to map the transmission mechanism, whilst descriptive statistics were used to identify the possible associated challenges. The results show that the most significant channel of transmission are the enterprise and distribution channel. However, the effects are of a small margin and a more comprehensive trade policy yield a higher margin of poverty alleviation. , Thesis (MCom) -- Faculty of Commerce, Economics and Economic History, 2022
- Full Text:
- Date Issued: 2022-10-14
- Authors: Bhebhe, Nonceba Fikile
- Date: 2022-10-14
- Subjects: Commerce , Free trade , International trade , Poverty South Africa , Poverty Prevention , South Africa Economic conditions 1991-
- Language: English
- Type: Academic theses , Master's theses , text
- Identifier: http://hdl.handle.net/10962/357515 , vital:64750
- Description: International trade plays an essential role in economic development strategies. In literature, foreign trade is identified as a driver of economic growth. In recent times there has been an expansion in the scope of investigations around the role of international trade to include its links with poverty alleviation. Poverty alleviation is explicitly identified as the first goal on the 2030 agenda for sustainable development under the Sustainable Development Goals and implicitly defined in goal 10. International trade is seen as the engine behind achieving the goal. South Africa records excessive poverty and inequality levels by international standards for a middle-income country. The most recent Poverty Trends Report for 2006 - 2015 reports 55.5% of the population living in poverty. Inequality statistics reported a per capita expenditure Gini coefficient of 0.65 in 2015, evidence that the country has high levels of inequality. The country's severe poverty, unemployment, and inequality prompt policymakers to formulate developmental policies around the underlying structural challenges. Trade openness has increased since the end of the Apartheid era. Despite the increased trade openness, economic growth has been insufficient in reducing the high unemployment and poverty levels, presenting a challenge for economists, who argue that trade openness is pro-growth and pro-poor. In the South African case, the lack of change in the structural challenges of poverty, unemployment and inequality has raised concerns over whether the trade policy reforms made since 1994 interfere with development objectives. This study aims to investigate the impact of trade liberalisation on poverty, using the three channels, namely enterprise, distribution, and government that have been researched within the McCulloch, Winters and Cirera framework. Specifically, it investigates the linkages via the transmission mechanism in which trade affects poverty in South Africa by mapping the transmission mechanisms from trade liberalisation to poverty alleviation, whilst identifying the possible challenges to the transmission mechanisms and lastly, analysing the stylised facts around trade and poverty in South Africa. To answer the question of this study, quantitative data from National Income Dynamic Study (NIDS) was merged longitudinally and aggregated with the industry tariff data sourced from the World Trade Organisation (WTO) and United Nations Conference on Trade and Development (UNCTAD) statistics. A path analysis was undertaken to map the transmission mechanism, whilst descriptive statistics were used to identify the possible associated challenges. The results show that the most significant channel of transmission are the enterprise and distribution channel. However, the effects are of a small margin and a more comprehensive trade policy yield a higher margin of poverty alleviation. , Thesis (MCom) -- Faculty of Commerce, Economics and Economic History, 2022
- Full Text:
- Date Issued: 2022-10-14
Organophosphate flame retardant’s signatures in the Buffalo River Estuary and their removal using modified cyclodextrins
- Authors: Bika, Sinozuko Hope
- Date: 2022-03
- Subjects: Water purification chemicals industry , Organic water pollutants , Rivers
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/27500 , vital:67363
- Description: The increasing scarcity of fresh and clean water in many places around the world is a major concern. Water is a basic need that must be availed to humans, plants and animals at any given time. It is a requirement that each human on earth should get between 20-50 L of fresh, clean and pure water a day. It is very difficult to keep up with this need due to drastic increase in global pollution by emerging contaminants. The increase is due to human activities, modern way of life, industrialization and improper disposal of materials that contain these OPFRs. Organophosphate flame retardants OPFRs are the organic pollutants considered in this study. OPFRs are semi volatile compounds SVOCs that are used in many industries as flame retardants and additives. They were developed because of environmental and health concerns of previously used brominated and chlorinated flame retardants FRs. They show acute toxicity and exhibit adverse effects such as neurotoxicity, they are also carcinogenic to humans and animals. In recent years, some researchers have started investigating the occurrence and distribution of OPFRs in South African rivers. The aim of this study was to identify signatures of OPFRs in the aquatic environment of Buffalo River Estuary, and soil from a nearby dumpsite: and to develop a method for their removal using modified cyclodextrins. In this study, the concentration of OPFRs were investigated in sediments and soil samples collected from Buffalo River Estuary. This estuary is located close to a major port in East London city in the Eastern Cape Province, South Africa. Collection of samples was done across two seasons i.e. winter and spring. OPFRs in sediment and soil samples in this study were extracted using ultrasonic extraction method. Solid-phase extraction SPE was employed for the cleanup of the extracts, in order to reduce potential matrix interference and also for sample purification. The congeners of interest in this study were Tris 2-Choroethyl phosphate TCEP and Tris 1,3-Dicloro-2-propyl phosphate (TDCP). Samples were air dried immediately on arrival at the laboratory after being stored in an ice chest at 4 ℃ and further processed for further analysis.The concentrations of OPFRs were determined using GC-μECD (gas chromatograph coupled with micro electron capture detector) from soil and sediments in that area and they were found high in winter compared to spring owing to high level of discharge of industrial and domestic waste into the aquatic system and also the nearby dumpsite. The total concentrationof OPFRs Ʃ 2OPFRs for sediments and soil for both seasons was 39935±7619 μg/g and 10376±601 μg/g, respectively. The dominant congener in the Buffalo River Estuary was TCEP. The ecological risk assessment was estimated for the study area, and TCEP moderate risk while TDCP presented low risk. From this study, it could be inferred that the Buffalo River Estuary and the nearby dumpsite in East London are polluted by emerging pollutants i.e. OPFRs. Hence, strict control measures should be put in place to monitor all activities contributing to such magnitude of pollution in the estuary, which is of great economic value to the country. Furthermore in this study, an insoluble and hydrophilic polymer EDTA-Cysteine-β-Cyclodextrin was prepared and synthesized for the remediation of OPFRs in soil and sediments. This newly developed method was tested for the removal of TDCP an OPFR congener and it was successful with an average removal rate of 77.49 percent. , Thesis (MSci) -- Faculty of Science and Agriculture, 2022
- Full Text:
- Date Issued: 2022-03
- Authors: Bika, Sinozuko Hope
- Date: 2022-03
- Subjects: Water purification chemicals industry , Organic water pollutants , Rivers
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/27500 , vital:67363
- Description: The increasing scarcity of fresh and clean water in many places around the world is a major concern. Water is a basic need that must be availed to humans, plants and animals at any given time. It is a requirement that each human on earth should get between 20-50 L of fresh, clean and pure water a day. It is very difficult to keep up with this need due to drastic increase in global pollution by emerging contaminants. The increase is due to human activities, modern way of life, industrialization and improper disposal of materials that contain these OPFRs. Organophosphate flame retardants OPFRs are the organic pollutants considered in this study. OPFRs are semi volatile compounds SVOCs that are used in many industries as flame retardants and additives. They were developed because of environmental and health concerns of previously used brominated and chlorinated flame retardants FRs. They show acute toxicity and exhibit adverse effects such as neurotoxicity, they are also carcinogenic to humans and animals. In recent years, some researchers have started investigating the occurrence and distribution of OPFRs in South African rivers. The aim of this study was to identify signatures of OPFRs in the aquatic environment of Buffalo River Estuary, and soil from a nearby dumpsite: and to develop a method for their removal using modified cyclodextrins. In this study, the concentration of OPFRs were investigated in sediments and soil samples collected from Buffalo River Estuary. This estuary is located close to a major port in East London city in the Eastern Cape Province, South Africa. Collection of samples was done across two seasons i.e. winter and spring. OPFRs in sediment and soil samples in this study were extracted using ultrasonic extraction method. Solid-phase extraction SPE was employed for the cleanup of the extracts, in order to reduce potential matrix interference and also for sample purification. The congeners of interest in this study were Tris 2-Choroethyl phosphate TCEP and Tris 1,3-Dicloro-2-propyl phosphate (TDCP). Samples were air dried immediately on arrival at the laboratory after being stored in an ice chest at 4 ℃ and further processed for further analysis.The concentrations of OPFRs were determined using GC-μECD (gas chromatograph coupled with micro electron capture detector) from soil and sediments in that area and they were found high in winter compared to spring owing to high level of discharge of industrial and domestic waste into the aquatic system and also the nearby dumpsite. The total concentrationof OPFRs Ʃ 2OPFRs for sediments and soil for both seasons was 39935±7619 μg/g and 10376±601 μg/g, respectively. The dominant congener in the Buffalo River Estuary was TCEP. The ecological risk assessment was estimated for the study area, and TCEP moderate risk while TDCP presented low risk. From this study, it could be inferred that the Buffalo River Estuary and the nearby dumpsite in East London are polluted by emerging pollutants i.e. OPFRs. Hence, strict control measures should be put in place to monitor all activities contributing to such magnitude of pollution in the estuary, which is of great economic value to the country. Furthermore in this study, an insoluble and hydrophilic polymer EDTA-Cysteine-β-Cyclodextrin was prepared and synthesized for the remediation of OPFRs in soil and sediments. This newly developed method was tested for the removal of TDCP an OPFR congener and it was successful with an average removal rate of 77.49 percent. , Thesis (MSci) -- Faculty of Science and Agriculture, 2022
- Full Text:
- Date Issued: 2022-03
Constructions of Ukuyalwa and marriage satisfaction: experiences of Xhosa couples in the Eastern Cape
- Authors: Bikwe, Siphuxolo
- Date: 2023-03-30
- Subjects: Uncatalogued
- Language: English
- Type: Academic theses , Master's theses , text
- Identifier: http://hdl.handle.net/10962/408805 , vital:70527
- Description: Marital satisfaction may be described as the extent to which one’s expectations, desires and needs are being satisfied in their marriage. Studies that concern marital satisfaction provide us with crucial insights into factors that support or compromise the longevity of long-term, committed relationships. Little work has been done in understanding the role of cultural practices in marital satisfaction particularly in Africa, and South Africa more specifically. Ukuyalwa is a Xhosa ritual that takes place during a Xhosa traditional wedding, whereby the bride is introduced to the (traditional) guiding practices of her new home by the women of the family together with her sisters-in-law. This study informs the practice of African psychology as formulated by Ratele (2017b).Critical African psychology as a framework recognizes the construction of culture alongside political, socioeconomic, and historical matrices. These are acknowledged as an important element in psychological theories, methods, and explanations. This research project aimed to identify the discourses that circulate around ukuyalwa as a Xhosa cultural practice and consider the implications for the marital satisfaction of amaXhosa couples. The study interviewed 3 Xhosa couples of varying ages who had been married for different durations to develop an understanding of their experiences of ukuyalwa and marital satisfaction. Data was analyzed using a Foucauldian Discourse Analysis (FDA) which allowed for the identifications of the discourses that the couples used to construct ukuyalwa and marital satisfaction. The couples discursively constructed marriage as ‘divine unity’, ‘unification of families’ and ‘partnership’. Ukuyalwa was constructed as a ‘gendered process’, ideas of tradition and modernity, and a ‘foundation’ also became apparent. Satisfaction was constructed as ‘open communication’ and ‘work’. The couples’ positions shifted in their conversations, where in some instances they were 'learners’, ‘initiates’, and/or ‘passive’, and in other instances, they were ‘in charge’, ‘knowledgeable’, and ‘experts’. The discourses of culture, religion, and partnership circulated prominently in relation to marriage, ukuyalwa, and marital satisfaction. The findings of the study speak to how the couples’ constructions of marriage and cultural customs such as ukuyalwa are valuable as they often inform how couples behave in their marriage relationships and what they regard as satisfactory to them when it comes to marriage. These insights into what informs the couples’ ideas on marriage and satisfaction can be utilised in informing couples therapy interventions. , Thesis (MA) -- Faculty of Humanities, Psychology, 2023
- Full Text:
- Date Issued: 2023-03-30
- Authors: Bikwe, Siphuxolo
- Date: 2023-03-30
- Subjects: Uncatalogued
- Language: English
- Type: Academic theses , Master's theses , text
- Identifier: http://hdl.handle.net/10962/408805 , vital:70527
- Description: Marital satisfaction may be described as the extent to which one’s expectations, desires and needs are being satisfied in their marriage. Studies that concern marital satisfaction provide us with crucial insights into factors that support or compromise the longevity of long-term, committed relationships. Little work has been done in understanding the role of cultural practices in marital satisfaction particularly in Africa, and South Africa more specifically. Ukuyalwa is a Xhosa ritual that takes place during a Xhosa traditional wedding, whereby the bride is introduced to the (traditional) guiding practices of her new home by the women of the family together with her sisters-in-law. This study informs the practice of African psychology as formulated by Ratele (2017b).Critical African psychology as a framework recognizes the construction of culture alongside political, socioeconomic, and historical matrices. These are acknowledged as an important element in psychological theories, methods, and explanations. This research project aimed to identify the discourses that circulate around ukuyalwa as a Xhosa cultural practice and consider the implications for the marital satisfaction of amaXhosa couples. The study interviewed 3 Xhosa couples of varying ages who had been married for different durations to develop an understanding of their experiences of ukuyalwa and marital satisfaction. Data was analyzed using a Foucauldian Discourse Analysis (FDA) which allowed for the identifications of the discourses that the couples used to construct ukuyalwa and marital satisfaction. The couples discursively constructed marriage as ‘divine unity’, ‘unification of families’ and ‘partnership’. Ukuyalwa was constructed as a ‘gendered process’, ideas of tradition and modernity, and a ‘foundation’ also became apparent. Satisfaction was constructed as ‘open communication’ and ‘work’. The couples’ positions shifted in their conversations, where in some instances they were 'learners’, ‘initiates’, and/or ‘passive’, and in other instances, they were ‘in charge’, ‘knowledgeable’, and ‘experts’. The discourses of culture, religion, and partnership circulated prominently in relation to marriage, ukuyalwa, and marital satisfaction. The findings of the study speak to how the couples’ constructions of marriage and cultural customs such as ukuyalwa are valuable as they often inform how couples behave in their marriage relationships and what they regard as satisfactory to them when it comes to marriage. These insights into what informs the couples’ ideas on marriage and satisfaction can be utilised in informing couples therapy interventions. , Thesis (MA) -- Faculty of Humanities, Psychology, 2023
- Full Text:
- Date Issued: 2023-03-30
Mentoring of women-owning SMEs in the South African construction industry
- Authors: Bingwa, Nelisa
- Date: 2022-04
- Subjects: Construction industry , Small business
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10948/57535 , vital:58059
- Description: Challenges of women-owning small business have been noted in different economic industries globally. This situation is even more prevalent in the construction industry, where women face special challenges connected to their historic exclusion in the industry. Women small and medium enterprises in the construction industry grow slowly, lack crucial skills and industry experience, making it difficult for them to sustain their businesses. In this regard, mentoring has been acknowledged globally as a viable avenue to assist in developing women-owning small businesses and their chosen business careers. Mentoring in South Africa is acknowledged for its ability to develop the skills of small businesses owners. Accordingly, the mentoring approach was embraced by the post-apartheid South African government to eliminate past apartheid-induced socio- economic inequalities to develop women-owning SMEs across complex businesses such as the construction industry. Numerous mentorship policies have been introduced to obviate the challenges experienced by previously discriminated groups such as women to whom small-medium enterprise opportunities in the construction industry were hitherto inaccessible. Despite such ameliorative measures and interventions, women-owning SMEs in the construction industry continue to experience stagnant business growth and relatively higher business failure rates. The purpose of this study, therefore, was to ascertain the enabling conditions necessary for effective mentoring of women-owning small and medium enterprises in the South African construction industry. The study adopted a qualitative interpretivistic approach that provided insights into mentoring experiences and challenges facing women’s small and medium enterprises in the construction industry. Literature was gathered on small businesses with special reference to women small and medium enterprises in construction and by contextualising issues relating to mentoring such enterprises, especially in the construction industry. Data was gathered from interviews with 18 participants using face-to-face interviews and online platforms such as Teams and WhatsApp. Participants included women-owning small businesses whose businesses have been in operation for a minimum of two years and have participated in mentoring at some point during the operation of their business. Data was analysed inductively by means of content and thematic analyses using a combination of manifest, latent and constant comparative content analyse. The results of the interviews showed that the conditions necessary to create an enabling mentoring of women-owning SMEs in the construction industry include: specific policy v development, public and private sector involvement, industry-related mentoring, provision of female role models, increasing public awareness, provision of basic resources to participate, duration of programmes, mentor and mentee commitment and mentors with exceptional characteristics. , Thesis (MA) -- Faculty of Business and Management Sciences, 2022
- Full Text:
- Date Issued: 2022-04
- Authors: Bingwa, Nelisa
- Date: 2022-04
- Subjects: Construction industry , Small business
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10948/57535 , vital:58059
- Description: Challenges of women-owning small business have been noted in different economic industries globally. This situation is even more prevalent in the construction industry, where women face special challenges connected to their historic exclusion in the industry. Women small and medium enterprises in the construction industry grow slowly, lack crucial skills and industry experience, making it difficult for them to sustain their businesses. In this regard, mentoring has been acknowledged globally as a viable avenue to assist in developing women-owning small businesses and their chosen business careers. Mentoring in South Africa is acknowledged for its ability to develop the skills of small businesses owners. Accordingly, the mentoring approach was embraced by the post-apartheid South African government to eliminate past apartheid-induced socio- economic inequalities to develop women-owning SMEs across complex businesses such as the construction industry. Numerous mentorship policies have been introduced to obviate the challenges experienced by previously discriminated groups such as women to whom small-medium enterprise opportunities in the construction industry were hitherto inaccessible. Despite such ameliorative measures and interventions, women-owning SMEs in the construction industry continue to experience stagnant business growth and relatively higher business failure rates. The purpose of this study, therefore, was to ascertain the enabling conditions necessary for effective mentoring of women-owning small and medium enterprises in the South African construction industry. The study adopted a qualitative interpretivistic approach that provided insights into mentoring experiences and challenges facing women’s small and medium enterprises in the construction industry. Literature was gathered on small businesses with special reference to women small and medium enterprises in construction and by contextualising issues relating to mentoring such enterprises, especially in the construction industry. Data was gathered from interviews with 18 participants using face-to-face interviews and online platforms such as Teams and WhatsApp. Participants included women-owning small businesses whose businesses have been in operation for a minimum of two years and have participated in mentoring at some point during the operation of their business. Data was analysed inductively by means of content and thematic analyses using a combination of manifest, latent and constant comparative content analyse. The results of the interviews showed that the conditions necessary to create an enabling mentoring of women-owning SMEs in the construction industry include: specific policy v development, public and private sector involvement, industry-related mentoring, provision of female role models, increasing public awareness, provision of basic resources to participate, duration of programmes, mentor and mentee commitment and mentors with exceptional characteristics. , Thesis (MA) -- Faculty of Business and Management Sciences, 2022
- Full Text:
- Date Issued: 2022-04
An analysis of talent management practices of recently hired employees from the perspective of the psychological contract
- Authors: Bischoff, Olivia Edjegayhu
- Date: 2021-10-29
- Subjects: Gifted persons , Contracts Psychological aspects , Personnel management Psychological aspects , Breach of contract , Psychology, Industrial , Organizational behavior , Industrial relations , Employees Attitudes , Employee retention
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10962/191865 , vital:45173
- Description: This research took the form of an explanatory case study focused within a single organisation to evaluate talent management practices of recently hired employees from the perspective of the psychological contract. The theory underpinning this research is Resource-Based Theory (RBT) in the context of Talent Management. The research aims were: 1) to analyse how talent management practices have affected the psychological contract, 2) to analyse how employees have responded and intend to respond if there has been a breach in the contract and 3) to analyse how employees have responded or intend to respond where psychological contract expectations have been met. The key concepts identified include talent management and the psychological contract. The literature therefore expanded on talent management highlighting the importance of recruiting, attracting and retaining talent, especially in a global context where experience and skills are a source of competitive advantage. Following this, the concept of the psychological contract was used as a lens through which to analyse the experience of individuals, specifically focusing on new employees joining the organisation, to assess their socialisation and onboarding experience. The literature further explored the importance of focusing on new employees, as this is deemed by the literature as a critical time of transition in the shaping of the psychological contract. In further reviewing the literature regarding early onboarding, further review of the literature identified important components, including (1) socialisation and onboarding, (2) performance management and probation, (3) employee development and (4) work conditions. From reviewing the literature four propositions were deduced as follows: • Proposition 1: All integrative processes in early onboarding influence the initial psychological contract of the employee. Proposition 1 was further divided into three sub propositions as follows: Sub Proposition 1a) HR plays a key role in early onboarding, influencing the initial psychological contract; Sub Proposition 1b) Supervisor support plays a key role in early onboarding, influencing the initial psychological contract; and IV Sub Proposition 1c) The work team plays a key role in early onboarding, influencing the initial psychological contract. • Proposition 2 stated: Performance discussions influence the psychological contract. • Proposition 3: Employee development opportunities are a source of motivation in the fulfilment of the psychological contract. • Proposition 4: Employment conditions influence the fulfilment of the psychological contract. The research followed a qualitative approach, using deductive analysis to analyse the data collected from semi-structured interviews. The findings and discussion show that the propositions confirmed the literature and were relevant to the case study at hand. Where there was varying degree of experience regarding the effect of the influence or impact on the psychological contract this was noted and expanded on accordingly. The study also recognised the additional context that presented itself within the findings, namely the context of the COVID-19 pandemic. The research concludes in acknowledging the delimitations and limitations of the study while making suggestions for areas of future studies. To conclude, this research shows that the transition of a new employee in their early stages within the organisation is an opportunity to support in positively influencing and maintaining the psychological contract to support employee satisfaction and motivation. If organisations can also appreciate that the psychological contract is dynamic and can change over time based on changing circumstances or needs, then this can be proactively monitored to support long-term retention of talent. , Thesis (MBA) -- Faculty of Commerce, Rhodes Business School, 2021
- Full Text:
- Date Issued: 2021-10-29
- Authors: Bischoff, Olivia Edjegayhu
- Date: 2021-10-29
- Subjects: Gifted persons , Contracts Psychological aspects , Personnel management Psychological aspects , Breach of contract , Psychology, Industrial , Organizational behavior , Industrial relations , Employees Attitudes , Employee retention
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10962/191865 , vital:45173
- Description: This research took the form of an explanatory case study focused within a single organisation to evaluate talent management practices of recently hired employees from the perspective of the psychological contract. The theory underpinning this research is Resource-Based Theory (RBT) in the context of Talent Management. The research aims were: 1) to analyse how talent management practices have affected the psychological contract, 2) to analyse how employees have responded and intend to respond if there has been a breach in the contract and 3) to analyse how employees have responded or intend to respond where psychological contract expectations have been met. The key concepts identified include talent management and the psychological contract. The literature therefore expanded on talent management highlighting the importance of recruiting, attracting and retaining talent, especially in a global context where experience and skills are a source of competitive advantage. Following this, the concept of the psychological contract was used as a lens through which to analyse the experience of individuals, specifically focusing on new employees joining the organisation, to assess their socialisation and onboarding experience. The literature further explored the importance of focusing on new employees, as this is deemed by the literature as a critical time of transition in the shaping of the psychological contract. In further reviewing the literature regarding early onboarding, further review of the literature identified important components, including (1) socialisation and onboarding, (2) performance management and probation, (3) employee development and (4) work conditions. From reviewing the literature four propositions were deduced as follows: • Proposition 1: All integrative processes in early onboarding influence the initial psychological contract of the employee. Proposition 1 was further divided into three sub propositions as follows: Sub Proposition 1a) HR plays a key role in early onboarding, influencing the initial psychological contract; Sub Proposition 1b) Supervisor support plays a key role in early onboarding, influencing the initial psychological contract; and IV Sub Proposition 1c) The work team plays a key role in early onboarding, influencing the initial psychological contract. • Proposition 2 stated: Performance discussions influence the psychological contract. • Proposition 3: Employee development opportunities are a source of motivation in the fulfilment of the psychological contract. • Proposition 4: Employment conditions influence the fulfilment of the psychological contract. The research followed a qualitative approach, using deductive analysis to analyse the data collected from semi-structured interviews. The findings and discussion show that the propositions confirmed the literature and were relevant to the case study at hand. Where there was varying degree of experience regarding the effect of the influence or impact on the psychological contract this was noted and expanded on accordingly. The study also recognised the additional context that presented itself within the findings, namely the context of the COVID-19 pandemic. The research concludes in acknowledging the delimitations and limitations of the study while making suggestions for areas of future studies. To conclude, this research shows that the transition of a new employee in their early stages within the organisation is an opportunity to support in positively influencing and maintaining the psychological contract to support employee satisfaction and motivation. If organisations can also appreciate that the psychological contract is dynamic and can change over time based on changing circumstances or needs, then this can be proactively monitored to support long-term retention of talent. , Thesis (MBA) -- Faculty of Commerce, Rhodes Business School, 2021
- Full Text:
- Date Issued: 2021-10-29
The determinants of loan delinquency among co-operative financial institutions in South Africa
- Authors: Bixa, Sisipho
- Date: 2022-04
- Subjects: Financial institutions -- South Africa , Loans
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10948/57546 , vital:58064
- Description: The world's attention has been drawn to co-operatives since the 2008 financial crisis because of their resilience and ability to prosper in adverse economic situations. Co-operatives, particularly Co-operative Financial Institutions (CFIs), have increased their participation, proving to be a channel for increasing access to finance for the previously unbanked, poverty reduction, and sustained socioeconomic growth across the African continent. Co-operatives have the potential to be a catalyst for long-term growth, which is especially important in a country like South Africa, yet they have been failing owing to loan default. Loan delinquency is a major threat to CFI's ability to continue granting loans to loan applicants and to grow the business. CFIs are unable to recoup the monies they have provided to loan borrowers, as the default rate has steadily increased. This influences the CFIs' financial obligations. The financial growth of CFIs is vital, and failure to keeping cash in circulation has an impact on their fundamental business. In South Africa, CFIs have observed a surge in loan defaults since 2010. Proper loan appraisals, timely reminders of loan recipients' repayments, and escalation on prompt follow-up on loan defaulters all are priorities for CFI management. Despite the efforts of CFIs to reduce delinquency, it has continuously increased. The objective of this study was to figure out what factors influence loan delinquency among CFIs. The study looked at an average of 47 CFIs in South Africa. Another objective of this study was to investigate the extent of loan delinquency among South African CFIs. The study used a quantitative approach, with secondary data obtained from CBDA. Descriptive statistics were used to evaluate the model's goodness of fit. The computed results show that this study has only one-way cross-sectional effects. In this example, the null hypothesis of the Breusch-Pagan (BP) test of "POLS is appropriate" is rejected. According to the descriptive statistics presented in the following section, the null hypothesis of regularly distributed data is not rejected. Pearson correlation was used to determine whether there was a relationship between the control variables and the dependent variable. The least squares regression output from the study was presented in the final section. Finally, GLS regression with random effects was used to examine the relationship between total loan delinquency and the dependent variables. x The research looked at seven independent variables: share league/affiliation, the proportion of women in total membership, youth savings, interest rates, total account receivables, and loan portfolio. However, the results of youth savings, interest rate, and total savings deposits may not be reliable because they are statistically insignificant. According to the study, financial institutions should provide easily accessible and accurate payment methods to encourage borrowers to pay on time. This can be accomplished by creating a website. In addition, CFIs/credit intuitions use a share league/affiliation method to maximize their responsible ownership and investigate why women's membership leads to lower loan delinquency. , Thesis (MA) -- Faculty of Business and Economic science , 2022
- Full Text:
- Date Issued: 2022-04
- Authors: Bixa, Sisipho
- Date: 2022-04
- Subjects: Financial institutions -- South Africa , Loans
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10948/57546 , vital:58064
- Description: The world's attention has been drawn to co-operatives since the 2008 financial crisis because of their resilience and ability to prosper in adverse economic situations. Co-operatives, particularly Co-operative Financial Institutions (CFIs), have increased their participation, proving to be a channel for increasing access to finance for the previously unbanked, poverty reduction, and sustained socioeconomic growth across the African continent. Co-operatives have the potential to be a catalyst for long-term growth, which is especially important in a country like South Africa, yet they have been failing owing to loan default. Loan delinquency is a major threat to CFI's ability to continue granting loans to loan applicants and to grow the business. CFIs are unable to recoup the monies they have provided to loan borrowers, as the default rate has steadily increased. This influences the CFIs' financial obligations. The financial growth of CFIs is vital, and failure to keeping cash in circulation has an impact on their fundamental business. In South Africa, CFIs have observed a surge in loan defaults since 2010. Proper loan appraisals, timely reminders of loan recipients' repayments, and escalation on prompt follow-up on loan defaulters all are priorities for CFI management. Despite the efforts of CFIs to reduce delinquency, it has continuously increased. The objective of this study was to figure out what factors influence loan delinquency among CFIs. The study looked at an average of 47 CFIs in South Africa. Another objective of this study was to investigate the extent of loan delinquency among South African CFIs. The study used a quantitative approach, with secondary data obtained from CBDA. Descriptive statistics were used to evaluate the model's goodness of fit. The computed results show that this study has only one-way cross-sectional effects. In this example, the null hypothesis of the Breusch-Pagan (BP) test of "POLS is appropriate" is rejected. According to the descriptive statistics presented in the following section, the null hypothesis of regularly distributed data is not rejected. Pearson correlation was used to determine whether there was a relationship between the control variables and the dependent variable. The least squares regression output from the study was presented in the final section. Finally, GLS regression with random effects was used to examine the relationship between total loan delinquency and the dependent variables. x The research looked at seven independent variables: share league/affiliation, the proportion of women in total membership, youth savings, interest rates, total account receivables, and loan portfolio. However, the results of youth savings, interest rate, and total savings deposits may not be reliable because they are statistically insignificant. According to the study, financial institutions should provide easily accessible and accurate payment methods to encourage borrowers to pay on time. This can be accomplished by creating a website. In addition, CFIs/credit intuitions use a share league/affiliation method to maximize their responsible ownership and investigate why women's membership leads to lower loan delinquency. , Thesis (MA) -- Faculty of Business and Economic science , 2022
- Full Text:
- Date Issued: 2022-04
Do budget deficits crowd out private investment?: an analysis of the South African Economy
- Authors: Biza, Rumbidzai Aimee
- Date: 2011
- Subjects: Individual investors -- South Africa , Budget deficits -- South Africa
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/24956 , vital:63750
- Description: This dissertation investigates whether budget deficits crowd out or crowd in private investment in South Africa, using quarterly South African data covering the period 1994 to 2009. South Africa has been experiencing unprecedented budget deficits since the 1960s and the study investigates how this has impacted on the country’s private investment demand. An empirical model linking private investment to its theoretical variables is specified and used to assess the quantitative effects of budget deficits on private investment. This study augments the co-integration and vector auto-regression (VAR) analysis with impulse response and variance decomposition analyses to provide robust long run and short run dynamic effects on private investment. The variables have been found to have a long run relationship with private investment. Results suggest that budget deficits significantly crowds out private investment. These results corroborate the theoretical predictions and are also supported by previous studies. , Thesis (MCom) -- Faculty of Management and Commerce, 2011
- Full Text:
- Date Issued: 2011
- Authors: Biza, Rumbidzai Aimee
- Date: 2011
- Subjects: Individual investors -- South Africa , Budget deficits -- South Africa
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/24956 , vital:63750
- Description: This dissertation investigates whether budget deficits crowd out or crowd in private investment in South Africa, using quarterly South African data covering the period 1994 to 2009. South Africa has been experiencing unprecedented budget deficits since the 1960s and the study investigates how this has impacted on the country’s private investment demand. An empirical model linking private investment to its theoretical variables is specified and used to assess the quantitative effects of budget deficits on private investment. This study augments the co-integration and vector auto-regression (VAR) analysis with impulse response and variance decomposition analyses to provide robust long run and short run dynamic effects on private investment. The variables have been found to have a long run relationship with private investment. Results suggest that budget deficits significantly crowds out private investment. These results corroborate the theoretical predictions and are also supported by previous studies. , Thesis (MCom) -- Faculty of Management and Commerce, 2011
- Full Text:
- Date Issued: 2011
The reported prevalence of aircrew fatigue and the contributing factors within the South African aviation industry
- Authors: Blair, Dylan Ross
- Date: 2022-10-14
- Subjects: Fatigue , Flight crews , Fatigue in the workplace , Sleep deprivation , Sleep-wake cycle , Air travel Safety measures , Airlines South Africa
- Language: English
- Type: Academic theses , Master's theses , text
- Identifier: http://hdl.handle.net/10962/362762 , vital:65360
- Description: Fatigue in aviation results from the complex interaction of various factors (both work and non-work-related) that are important to understand when attempting to manage it. Managing fatigue effectively is important given that it has and continues to influence crew wellness and aviation safety. One of the ways of managing fatigue is through appropriately designed Flight Time Limitations (FTLs) however; in South Africa there have been calls from the unions and the crew to update these in line with the latest science and operational demands and insights. Doing this requires the generation of context specific data, which this thesis aimed to provide as an initial step. Firstly, this study aimed to explore the reported prevalence of fatigue across the South African aviation industry. Secondly, it elucidated what factors (both work and non-work related) crew perceived contributed to fatigue and lastly, the crew‟s perceptions regarding the current FTLs were explored. Methods: To realize the aims of the study, an online survey was developed using existing literature initially, and through consulting with and getting information from aviation industry stakeholders and other experts in the field of aviation and fatigue. This consultation (which occurred over a number of iterations of the survey) ensured that there was a balance between the scientific and the actual operational perspectives on how best to explore crew perceptions around fatigue. The finalized survey was divided into five parts: part one was consent to participate; part two included questions pertaining to the participants‟ demographic information; part three included questions pertaining to the crews‟ perceptions around fatigue (its prevalence, its impact on safety and how it affected crew); part four explored crew‟s perceptions on fatigue contributory factors, both work and non-work related; finally part five included questions pertaining to crew perceptions about the current South African FTLs, specifically their concerns, suggestions for improvement and any aspects they considered as fatigue mitigating. The survey was made available via the South African Civil Aviation Authority‟s (SACAA) website as well as via the industry stakeholder‟s networks that encouraged all crew across the different sectors of the industry to participate. All numerical data collected were analysed descriptively through inferential statistics, while the qualitative data were analysed using thematic analysis. Results: 194 participants completed the survey, 167 were from cockpit and 27 were from the cabin crew. The results of the study highlight that there is a high perceived prevalence of fatigue. The crew also recognized that fatigue is a significant safety risk, but less indicated that fatigue interfered with their ability to do their duties. Crew reported that the length of duties, number of sectors flown, insufficient sleep at night, early sign-on‟s, late sign-offs, working too many consecutive days in a row, inadequate or irregular sleep before and during periods of duty, night flying, bad weather, severe turbulence, having young children or dependents to look after, financial stress, extended commuting to get to and from work, and poor diet were some of the work and non-work-related contributory factors to fatigue. In line with these findings, questions around the perceived concerns about the current FTLs revealed that crew were concerned about unclear definitions of the civil aviation regulations (CARs), the lack of control of disruptive rostering schedules, periods of high workload due to the number of sectors flown per duty, the length of duty periods and effects of being on standby duty, inadequate rest between duties and strings of duty. The crew also had concerns regarding the Flight Duty Periods (FDPs) where the crew were concerned with the flying limits being used as targets by the operators, a lack of science applied to the FDPs, and that the current FDPs are outdated. The recommendations included limiting disruptive rostering schedules by altering standby provisions for the crew, instilling a block roster schedule, disallowing double signing on and off on the same day, and reducing split shifts. The crew also recommended adjusting duty durations by adjusting daily and monthly limits, tapering duty lengths, but also limiting discretionary extensions. Increasing rest provision was another recommendation suggested by the crew and included increasing the number of rest days off as well as the minimum hours of rest between duties needs to be increased. The fatigue mitigating aspects were minimal if any. Conclusion: Overall the study revealed that there is a high perceived prevalence of fatigue within this sample of the South African aviation industry and that the concerns outlined by crew around the contributory factors to fatigue are consistent with previous research, but also reflect the unique operating context of South Africa. This study serves as a base from which to explore more specific areas of the crew working time that are disruptive to sleep. This may help operator‟s roster duties in a more predictable way to limit the incidence of fatigue, while also offering the opportunity for the regulator and other stakeholders to focus their efforts on how to better design the current FTLs to limit the prevalence and risks associated with crew fatigue. , Thesis (MSc) -- Human Kinetics and Ergonomics, 2022
- Full Text:
- Date Issued: 2022-10-14
- Authors: Blair, Dylan Ross
- Date: 2022-10-14
- Subjects: Fatigue , Flight crews , Fatigue in the workplace , Sleep deprivation , Sleep-wake cycle , Air travel Safety measures , Airlines South Africa
- Language: English
- Type: Academic theses , Master's theses , text
- Identifier: http://hdl.handle.net/10962/362762 , vital:65360
- Description: Fatigue in aviation results from the complex interaction of various factors (both work and non-work-related) that are important to understand when attempting to manage it. Managing fatigue effectively is important given that it has and continues to influence crew wellness and aviation safety. One of the ways of managing fatigue is through appropriately designed Flight Time Limitations (FTLs) however; in South Africa there have been calls from the unions and the crew to update these in line with the latest science and operational demands and insights. Doing this requires the generation of context specific data, which this thesis aimed to provide as an initial step. Firstly, this study aimed to explore the reported prevalence of fatigue across the South African aviation industry. Secondly, it elucidated what factors (both work and non-work related) crew perceived contributed to fatigue and lastly, the crew‟s perceptions regarding the current FTLs were explored. Methods: To realize the aims of the study, an online survey was developed using existing literature initially, and through consulting with and getting information from aviation industry stakeholders and other experts in the field of aviation and fatigue. This consultation (which occurred over a number of iterations of the survey) ensured that there was a balance between the scientific and the actual operational perspectives on how best to explore crew perceptions around fatigue. The finalized survey was divided into five parts: part one was consent to participate; part two included questions pertaining to the participants‟ demographic information; part three included questions pertaining to the crews‟ perceptions around fatigue (its prevalence, its impact on safety and how it affected crew); part four explored crew‟s perceptions on fatigue contributory factors, both work and non-work related; finally part five included questions pertaining to crew perceptions about the current South African FTLs, specifically their concerns, suggestions for improvement and any aspects they considered as fatigue mitigating. The survey was made available via the South African Civil Aviation Authority‟s (SACAA) website as well as via the industry stakeholder‟s networks that encouraged all crew across the different sectors of the industry to participate. All numerical data collected were analysed descriptively through inferential statistics, while the qualitative data were analysed using thematic analysis. Results: 194 participants completed the survey, 167 were from cockpit and 27 were from the cabin crew. The results of the study highlight that there is a high perceived prevalence of fatigue. The crew also recognized that fatigue is a significant safety risk, but less indicated that fatigue interfered with their ability to do their duties. Crew reported that the length of duties, number of sectors flown, insufficient sleep at night, early sign-on‟s, late sign-offs, working too many consecutive days in a row, inadequate or irregular sleep before and during periods of duty, night flying, bad weather, severe turbulence, having young children or dependents to look after, financial stress, extended commuting to get to and from work, and poor diet were some of the work and non-work-related contributory factors to fatigue. In line with these findings, questions around the perceived concerns about the current FTLs revealed that crew were concerned about unclear definitions of the civil aviation regulations (CARs), the lack of control of disruptive rostering schedules, periods of high workload due to the number of sectors flown per duty, the length of duty periods and effects of being on standby duty, inadequate rest between duties and strings of duty. The crew also had concerns regarding the Flight Duty Periods (FDPs) where the crew were concerned with the flying limits being used as targets by the operators, a lack of science applied to the FDPs, and that the current FDPs are outdated. The recommendations included limiting disruptive rostering schedules by altering standby provisions for the crew, instilling a block roster schedule, disallowing double signing on and off on the same day, and reducing split shifts. The crew also recommended adjusting duty durations by adjusting daily and monthly limits, tapering duty lengths, but also limiting discretionary extensions. Increasing rest provision was another recommendation suggested by the crew and included increasing the number of rest days off as well as the minimum hours of rest between duties needs to be increased. The fatigue mitigating aspects were minimal if any. Conclusion: Overall the study revealed that there is a high perceived prevalence of fatigue within this sample of the South African aviation industry and that the concerns outlined by crew around the contributory factors to fatigue are consistent with previous research, but also reflect the unique operating context of South Africa. This study serves as a base from which to explore more specific areas of the crew working time that are disruptive to sleep. This may help operator‟s roster duties in a more predictable way to limit the incidence of fatigue, while also offering the opportunity for the regulator and other stakeholders to focus their efforts on how to better design the current FTLs to limit the prevalence and risks associated with crew fatigue. , Thesis (MSc) -- Human Kinetics and Ergonomics, 2022
- Full Text:
- Date Issued: 2022-10-14
The design of a waste recycling facility for the waste pickers of Arlington Landfill, Port Elizabeth: recognising the needs of unacknowledged stakeholders in the circular waste economy
- Authors: Blake, Sean Smit
- Date: 2020-09
- Subjects: Recycling (Waste, etc.) -- Port Elizabeth
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10948/59150 , vital:60268
- Description: At this very moment, this very second, in the backstreets and upon high, vast wastelands, something is in motion. Often on the periphery of our daily thoughts, or not at all, this very motion never ceases to exist- it simply cannot afford to. Waste, our modern day global issue, has reached a critical point, causing us to now venture into uncharted territories. We produce unspeakable amounts of waste per annum creating compounding social and environmental problems, and in the process we create a particular physical object, an altered landscape known as a landfill. The landfill environment is where this treatise chooses to position itself, but looks further into the existing community of individuals who perform the task of recycling. Waste pickers, an unmatched motion and dynamic within our broad waste landscape, remain largely unacknowledged in the role they play in the circular waste economy, subsequently creating the core concern for this treatise. Hence, the building type responsible, a waste recycling facility, that looks to identify and address the needs that these individuals require to safely carry out their pivotal role within the setting of Arlington Landfill in Port Elizabeth. Therefore, this treatise looks to uncover and bring to light a day in the life of a waste picker, through an architectural intervention seeking to become more than an object on the landscape. The treatise looks to break away from a static architectural object by applying the overall lens guided by ‘Anti-Object’ written by Kengo Kuma, therefore concerning itself with an overarching process of creating an emerging anti-object architecture, embodying the subtitles and characteristics of the waste pickers of Arlington Landfill. , Thesis (MA) -- Faculty of Engineering, the Built Environment, and Technology, 2020
- Full Text:
- Date Issued: 2020-09
- Authors: Blake, Sean Smit
- Date: 2020-09
- Subjects: Recycling (Waste, etc.) -- Port Elizabeth
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10948/59150 , vital:60268
- Description: At this very moment, this very second, in the backstreets and upon high, vast wastelands, something is in motion. Often on the periphery of our daily thoughts, or not at all, this very motion never ceases to exist- it simply cannot afford to. Waste, our modern day global issue, has reached a critical point, causing us to now venture into uncharted territories. We produce unspeakable amounts of waste per annum creating compounding social and environmental problems, and in the process we create a particular physical object, an altered landscape known as a landfill. The landfill environment is where this treatise chooses to position itself, but looks further into the existing community of individuals who perform the task of recycling. Waste pickers, an unmatched motion and dynamic within our broad waste landscape, remain largely unacknowledged in the role they play in the circular waste economy, subsequently creating the core concern for this treatise. Hence, the building type responsible, a waste recycling facility, that looks to identify and address the needs that these individuals require to safely carry out their pivotal role within the setting of Arlington Landfill in Port Elizabeth. Therefore, this treatise looks to uncover and bring to light a day in the life of a waste picker, through an architectural intervention seeking to become more than an object on the landscape. The treatise looks to break away from a static architectural object by applying the overall lens guided by ‘Anti-Object’ written by Kengo Kuma, therefore concerning itself with an overarching process of creating an emerging anti-object architecture, embodying the subtitles and characteristics of the waste pickers of Arlington Landfill. , Thesis (MA) -- Faculty of Engineering, the Built Environment, and Technology, 2020
- Full Text:
- Date Issued: 2020-09
Exploring the practices of school management teams (SMT's) in the promotion of quality teaching and learning: A case study of three rural primary schools in King Williams Town District
- Authors: Blie-Musoke, Nondumiso
- Date: 2012-01
- Subjects: School management teams , Effective teaching
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/24671 , vital:63434
- Description: This study sought to investigate the practices that the School Management Teams (SMTs) utilize in promoting and monitoring quality teaching and learning in the rural primary schools. The researcher thought it important due to the fact that such actions form part of their central activities. It also aims to explore the kind of difficulties that may be experienced by these formations in rural settings while supporting quality teaching and learning. The main delineations and limitations of this work was that SMTs are supposed to be operational across the spectrum of schools from the first grade to the last one in the high schools. However, due to time constraints and lack of resources, this study was only carried out in three rural primary schools of the king William’s Town district. SMTs are ideally made up of the Principal, Deputy-Principal and HODs (school heads of Department) of these sampled schools who were interviewed. However, in some of the schools under study, the positions of HOD and deputy-principals had already been abolished. The researcher was informed that this was because they had low numbers of learners. In such instances, Senior Teachers were substituted since they are incorporated in the SMTs of those schools. These educators were purposively selected from the foundation, intermediate and senior phases in each primary school. With the research exploring the practices of the SMTs of three rural primary schools, a case study research design was utilized. The research instruments utilized by the researcher to collect data in this case study were Interviews and Document Analysis. The data collected was put into categories and interpreted into common themes. Sources included responses of the participants, school documents, field notes and other relevant documentation such as minutes of the minutes of the SMTs. Constructs, themes and patterns that speak to the strategies used by SMTs in promoting teaching and learning in schools were explored. Briefly, the main findings indicated that the SMTs of the sampled rural primary schools do understand the Departmental policies, but need to be innovative and create space for the practices that they could employ to promote quality teaching and learning. They seem to be working under difficult circumstances. They are grossly over-loaded as full-time administrators and teachers with many learning areas, as well as being responsible for the school nutrition programme. The vacant posts created by retired caretakers added to the overload. There was a concern about the difficulty they were experiencing in the teaching and learning of Mathematics which is nationally regarded as a scarce skill. As an overview of the researcher’s conclusions, it is noted that the SMTs do support the educators to a certain extent. However, there was no documentation that showed how resolutions were made and implemented to validate the nature of support that they give to them. There seemed to be a lack of meaningful parental involvement in the sampled rural primary schools, possibly due to poverty, lack of education and alcohol abuse in the community. Lastly, it seemed to the researcher that there could be uncertainty and uneasiness about the functionality of the senior teachers. Their job descriptions as members of the SMTs remain vaguely defined. In response to the problem statement posed in this study, six major recommendations were made as follows: • Schools, irrespective of their size, ought to have clerks who are able to deal specifically with office administration and external communications. • The teacher-learner ratio as a means of determining the number of educators a school ought to have, should be reviewed as a matter of urgency, if the vital goal of quality teaching and learning is to be realized. • A clear official mandate concerning the job description of senior teachers ought to be established and their positions advertised in that category. This will ensure their equitable distribution as some schools are having them in excess, while others have none. • The department of Education should work with sister departments in government such as Social Development to enforce the law regarding parental negligence. A data basis of negligence parents should be compiled by the concerned departments and reviewed from time to time. Teachers should attend workshops on various policies that govern their roles in the delivery of quality teaching and learning. They need not be conversant with the subject matter only, but also with the relevant policies as a vehicle that facilitates service delivery in education. The introduction of Mathematics support educators who specialized in the learning area should be introduced in each phase of schooling. Such incumbents would rotate from school to school within a circuit, with special reference to rural schools where they would tackle problematic topics as reported by the educators. , Thesis (MEd) -- Faculty of Education, 2012
- Full Text:
- Date Issued: 2012-01
- Authors: Blie-Musoke, Nondumiso
- Date: 2012-01
- Subjects: School management teams , Effective teaching
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/24671 , vital:63434
- Description: This study sought to investigate the practices that the School Management Teams (SMTs) utilize in promoting and monitoring quality teaching and learning in the rural primary schools. The researcher thought it important due to the fact that such actions form part of their central activities. It also aims to explore the kind of difficulties that may be experienced by these formations in rural settings while supporting quality teaching and learning. The main delineations and limitations of this work was that SMTs are supposed to be operational across the spectrum of schools from the first grade to the last one in the high schools. However, due to time constraints and lack of resources, this study was only carried out in three rural primary schools of the king William’s Town district. SMTs are ideally made up of the Principal, Deputy-Principal and HODs (school heads of Department) of these sampled schools who were interviewed. However, in some of the schools under study, the positions of HOD and deputy-principals had already been abolished. The researcher was informed that this was because they had low numbers of learners. In such instances, Senior Teachers were substituted since they are incorporated in the SMTs of those schools. These educators were purposively selected from the foundation, intermediate and senior phases in each primary school. With the research exploring the practices of the SMTs of three rural primary schools, a case study research design was utilized. The research instruments utilized by the researcher to collect data in this case study were Interviews and Document Analysis. The data collected was put into categories and interpreted into common themes. Sources included responses of the participants, school documents, field notes and other relevant documentation such as minutes of the minutes of the SMTs. Constructs, themes and patterns that speak to the strategies used by SMTs in promoting teaching and learning in schools were explored. Briefly, the main findings indicated that the SMTs of the sampled rural primary schools do understand the Departmental policies, but need to be innovative and create space for the practices that they could employ to promote quality teaching and learning. They seem to be working under difficult circumstances. They are grossly over-loaded as full-time administrators and teachers with many learning areas, as well as being responsible for the school nutrition programme. The vacant posts created by retired caretakers added to the overload. There was a concern about the difficulty they were experiencing in the teaching and learning of Mathematics which is nationally regarded as a scarce skill. As an overview of the researcher’s conclusions, it is noted that the SMTs do support the educators to a certain extent. However, there was no documentation that showed how resolutions were made and implemented to validate the nature of support that they give to them. There seemed to be a lack of meaningful parental involvement in the sampled rural primary schools, possibly due to poverty, lack of education and alcohol abuse in the community. Lastly, it seemed to the researcher that there could be uncertainty and uneasiness about the functionality of the senior teachers. Their job descriptions as members of the SMTs remain vaguely defined. In response to the problem statement posed in this study, six major recommendations were made as follows: • Schools, irrespective of their size, ought to have clerks who are able to deal specifically with office administration and external communications. • The teacher-learner ratio as a means of determining the number of educators a school ought to have, should be reviewed as a matter of urgency, if the vital goal of quality teaching and learning is to be realized. • A clear official mandate concerning the job description of senior teachers ought to be established and their positions advertised in that category. This will ensure their equitable distribution as some schools are having them in excess, while others have none. • The department of Education should work with sister departments in government such as Social Development to enforce the law regarding parental negligence. A data basis of negligence parents should be compiled by the concerned departments and reviewed from time to time. Teachers should attend workshops on various policies that govern their roles in the delivery of quality teaching and learning. They need not be conversant with the subject matter only, but also with the relevant policies as a vehicle that facilitates service delivery in education. The introduction of Mathematics support educators who specialized in the learning area should be introduced in each phase of schooling. Such incumbents would rotate from school to school within a circuit, with special reference to rural schools where they would tackle problematic topics as reported by the educators. , Thesis (MEd) -- Faculty of Education, 2012
- Full Text:
- Date Issued: 2012-01
A sociological study of menstrual hygiene management in schools in the Makana District, Eastern Cape, South Africa
- Authors: Bloem, Sharon Gretchen
- Date: 2021-10-29
- Subjects: Schoolgirls Health and hygiene South Africa Makhanda , Menstruation Social aspects South Africa Makhanda , Health behavior in adolescence South Africa Makhanda , Teenage girls Health and hygiene South Africa Makhanda , Teenage girls Physiology South Africa Makhanda , Life skills South Africa Makhanda
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10962/189974 , vital:44952
- Description: Appropriate menstrual hygiene management is affected by taboos and secrecy surrounding menstruation. Inadequate information and knowledge about menstruation and lack of resources for managing menstruation hygienically have impacted adolescent girls on a psychosocial and physical level. Consequently, the dignity of schoolgirls during the onset of menstruation through puberty and adolescent phases is jeopardised. It is therefore imperative to understand the normal physiological changes that school-going children from Grades 6 to 12 undergo and acknowledge how these changes affect their education within the school environment. In the Makana district, Eastern Cape, South Africa, the topic of menstrual hygiene management is under-researched at schools and, therefore, this research explores school educators’ perceptions of menstrual hygiene management at primary, secondary and private schools in this area. Schools have a responsibility to create a safe environment for learners’ education, which includes the topic of menstruation without discriminating against or labelling menstruating girls. This research found that the topic of menstruation is only discussed in Life Science and Life Orientation subjects and only covers the physiological changes of the body. These subjects, however, exclude the topic of menstrual hygiene management. This study found that several schools in the Makana district are not adequately equipped to provide for the needs of menstruating girls and therefore educators need to be prepared to deal with menstruation in the school context. The educators are also required to go for regular training or workshops to equip them to manage menstruation in a school environment. The infrastructure of a school includes water and sanitation which are components of menstrual hygiene management. The infrastructure at the participating public schools was inadequate and therefore impacted on the menstrual hygiene management for the girls. The unavailability of water, the non-existence of a sick room and lack of a waste disposal system at some public schools presented further challenges for menstrual hygiene management. A qualitative research method was applied in this study and a symbolic interactionism approach was used. , Thesis (MA) -- Faculty of Humanities, Sociology, 2021
- Full Text:
- Date Issued: 2021-10-29
- Authors: Bloem, Sharon Gretchen
- Date: 2021-10-29
- Subjects: Schoolgirls Health and hygiene South Africa Makhanda , Menstruation Social aspects South Africa Makhanda , Health behavior in adolescence South Africa Makhanda , Teenage girls Health and hygiene South Africa Makhanda , Teenage girls Physiology South Africa Makhanda , Life skills South Africa Makhanda
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10962/189974 , vital:44952
- Description: Appropriate menstrual hygiene management is affected by taboos and secrecy surrounding menstruation. Inadequate information and knowledge about menstruation and lack of resources for managing menstruation hygienically have impacted adolescent girls on a psychosocial and physical level. Consequently, the dignity of schoolgirls during the onset of menstruation through puberty and adolescent phases is jeopardised. It is therefore imperative to understand the normal physiological changes that school-going children from Grades 6 to 12 undergo and acknowledge how these changes affect their education within the school environment. In the Makana district, Eastern Cape, South Africa, the topic of menstrual hygiene management is under-researched at schools and, therefore, this research explores school educators’ perceptions of menstrual hygiene management at primary, secondary and private schools in this area. Schools have a responsibility to create a safe environment for learners’ education, which includes the topic of menstruation without discriminating against or labelling menstruating girls. This research found that the topic of menstruation is only discussed in Life Science and Life Orientation subjects and only covers the physiological changes of the body. These subjects, however, exclude the topic of menstrual hygiene management. This study found that several schools in the Makana district are not adequately equipped to provide for the needs of menstruating girls and therefore educators need to be prepared to deal with menstruation in the school context. The educators are also required to go for regular training or workshops to equip them to manage menstruation in a school environment. The infrastructure of a school includes water and sanitation which are components of menstrual hygiene management. The infrastructure at the participating public schools was inadequate and therefore impacted on the menstrual hygiene management for the girls. The unavailability of water, the non-existence of a sick room and lack of a waste disposal system at some public schools presented further challenges for menstrual hygiene management. A qualitative research method was applied in this study and a symbolic interactionism approach was used. , Thesis (MA) -- Faculty of Humanities, Sociology, 2021
- Full Text:
- Date Issued: 2021-10-29
Agro-morphological characterization and investigations into the response of yellow Quality Protein Maize (QPM) genotypes to low soil pH
- Authors: Bobotyana, Simthandile
- Date: 2021-04
- Subjects: Corn as food , Plants--Drought tolerance
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/20528 , vital:46087
- Description: Maize (Zea mays L) is an essential food grain crop in South Africa and is mainly grown under rainfed conditions by small-scale farmers. Quality Protein Maize (QPM) contains a higher level of two essential amino acids, tryptophan, and lysine when equated to normal maize. Therefore, the QPM in communities is a vital cereal where maize is a staple crop. Among the significant abiotic stresses that adversely affect maize productivity, such as soil fertility. Low soil pH or soil acidity results in nutrient deficiencies, as well as the toxicity of minerals such as manganese (Mn), aluminium (Al), and iron (Fe). The objectives of the study were to: (1) Characterize yellow QPM inbred lines and testcross hybrids for agro-morphological variability under optimum conditions, (2) Determine the response of QPM inbred lines and testcross hybrids to Al toxicity, and (3) Estimate the combining ability of QPM genotypes for the tolerance to Al toxicity. The laboratory assessment for tolerance to Al toxicity revealed a negative relationship between relative root growth RRG and hematoxylin staining; among the inbred lines, the genotype 8Y, 17Y, and 7Y had the highest RRG and net root growth (NRG) values and exhibited the highest tolerance to Al tolerance with the least hematoxylin staining. Inbred lines 12Y, 16Y, 19Y, 2Y, 20Y, 24Y, 30Y, 27Y, 34Y, 4Y, and 11Y were moderately tolerant. On the other hand, inbred lines 13Y, 18Y, and QSY5 had the least RRG were susceptible. Forty-four testcross hybrids were generated by crossing 22 QPM inbred lines with two open-pollinated variety (OPV) testers. These hybrids were evaluated together with five checks for different agronomic traits. The hybrids were planted in the summer season of 2017/18 and 2018/19 under rain-fed conditions 7 x 7 alpha lattice design was used. The significant variations among the genotypes for grain yield and most other agronomic traits under optimum, acidic conditions and across environments on combined analysis of variance. The hybrid was 14Y x NC (3.22 t/ha), followed by QSY5 x NC (3.02 t/ha) showed the highest yielding. The mean plant height was 226.23 cm, with ranges 197.60 to 254.85cm. The number of kernels per ear was 35, with a range from 29.45 to 40.25. Conversely, the mean ear length was 19.30 cm with a range of 17.65 to 20.95 cm, and the mean ear diameter ranged from 13,50 to 16,05 cm. The highest yielding hybrid, according to ranking, was 14Y x NC (2,93t/ha), which was ranked number 3, followed by 3Y x NC (2,83 t/ha), which was ranked number 4. Twenty-two yellow QPM inbred lines were evaluated for agro-morphological characteristics. A randomized complete block design with three replicates was used under acidic and normal soil conditions at two locations. The mean performance of inbred lines for grain yield ranged from 1.6 t/ha to 3.1 t/ha under optimum conditions, whereas it ranged from 1.1.t/ha to 1.7 t/ha under an acidic environment. The highest grain yielding genotypes under the optimum environment were 14Y, 7Y, and QSY5, while, in the acidic environment, the highest yielders were 3Y, QSY5, and 17Y. The lowest grain yielder under the optimum environment was 16Y at 1.5 t/ha, whereas 6Y, 7Y, 8Y, and 29Y were the most moderate yielders under the acidic environment. Grain yield displayed positive and significant (p<0,05) correlation with ear height (0.59), plant height (0.55), leaf length (0.18), number of leaves (0.37), number of ears per plot (0,54), number of kernels per row, number of rows per ear and thousand kernel weight. Combined ANOVA revealed that the environment effect was significant for all traits except the number of rows per ear and the number of ears in both environments. A total of 71 genotypes (22 inbred lines, forty-four single crosses, and five checks) were evaluated using a 7 x 7 alpha lattice design with two replications in combining ability. Across environments, the analysis showed a mean grain yield record of hybrids that ranged from 1.78 t/ha to 3.42 t/ha. Combined analysis showed only about 4 percent of the 44 hybrids had better grain yield than hybrid checks, whereas about 11 percent of the 44 hybrids had higher grain yield than two of the five hybrid checks. The highest yielding hybrid was 14Y x NC followed by QSY5 x NC. The Mid-parent heterosis (MPH) for grain yield ranged from -32.70 for 11YxObat to 16.50 percent for 14YxNC among the top-yielding genotypes. The highest positive mid-parent heterosis (MPH) for grain yield was observed in hybrid 14YxNC followed by QSY9xNC, QSY5xOBAT, 3YxNC, 13YxNC and 4YxOBAT, while the remaining hybrids exhibited negative estimates. Inbred lines' proportional contributions to the total variances were much higher than the testers for all traits. Whereas the inbred lines' proportional contribution was lower than the interaction of line x tester except on the number of ears which displayed the highest estimates of variances due to SCA effects, significant variation was observed. The GCA effects on grain yield in both environments generally showed no significant difference among inbred lines except for inbred lines such as QSY5 and 34Y but were positive. The selected crosses showed significant SCA effects in a few agronomic yield-related traits in the combined analysis. Among the hybrids, the only crosses that showed significant and positive SCA effects for grain yield were 25YxNC under optimum and 34YxObat under acidic environment. The inbred lines were assessed for tolerance to Al toxicity under laboratory conditions. Overall, the study identified soil acidity tolerant QPM inbred lines with an excellent combining ability for high-yielding QPM test hybrids, grain yield, and related traits. , Thesis (MSc) (Agriculture, Crop Science) -- University of Fort Hare, 2021
- Full Text:
- Date Issued: 2021-04
- Authors: Bobotyana, Simthandile
- Date: 2021-04
- Subjects: Corn as food , Plants--Drought tolerance
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/20528 , vital:46087
- Description: Maize (Zea mays L) is an essential food grain crop in South Africa and is mainly grown under rainfed conditions by small-scale farmers. Quality Protein Maize (QPM) contains a higher level of two essential amino acids, tryptophan, and lysine when equated to normal maize. Therefore, the QPM in communities is a vital cereal where maize is a staple crop. Among the significant abiotic stresses that adversely affect maize productivity, such as soil fertility. Low soil pH or soil acidity results in nutrient deficiencies, as well as the toxicity of minerals such as manganese (Mn), aluminium (Al), and iron (Fe). The objectives of the study were to: (1) Characterize yellow QPM inbred lines and testcross hybrids for agro-morphological variability under optimum conditions, (2) Determine the response of QPM inbred lines and testcross hybrids to Al toxicity, and (3) Estimate the combining ability of QPM genotypes for the tolerance to Al toxicity. The laboratory assessment for tolerance to Al toxicity revealed a negative relationship between relative root growth RRG and hematoxylin staining; among the inbred lines, the genotype 8Y, 17Y, and 7Y had the highest RRG and net root growth (NRG) values and exhibited the highest tolerance to Al tolerance with the least hematoxylin staining. Inbred lines 12Y, 16Y, 19Y, 2Y, 20Y, 24Y, 30Y, 27Y, 34Y, 4Y, and 11Y were moderately tolerant. On the other hand, inbred lines 13Y, 18Y, and QSY5 had the least RRG were susceptible. Forty-four testcross hybrids were generated by crossing 22 QPM inbred lines with two open-pollinated variety (OPV) testers. These hybrids were evaluated together with five checks for different agronomic traits. The hybrids were planted in the summer season of 2017/18 and 2018/19 under rain-fed conditions 7 x 7 alpha lattice design was used. The significant variations among the genotypes for grain yield and most other agronomic traits under optimum, acidic conditions and across environments on combined analysis of variance. The hybrid was 14Y x NC (3.22 t/ha), followed by QSY5 x NC (3.02 t/ha) showed the highest yielding. The mean plant height was 226.23 cm, with ranges 197.60 to 254.85cm. The number of kernels per ear was 35, with a range from 29.45 to 40.25. Conversely, the mean ear length was 19.30 cm with a range of 17.65 to 20.95 cm, and the mean ear diameter ranged from 13,50 to 16,05 cm. The highest yielding hybrid, according to ranking, was 14Y x NC (2,93t/ha), which was ranked number 3, followed by 3Y x NC (2,83 t/ha), which was ranked number 4. Twenty-two yellow QPM inbred lines were evaluated for agro-morphological characteristics. A randomized complete block design with three replicates was used under acidic and normal soil conditions at two locations. The mean performance of inbred lines for grain yield ranged from 1.6 t/ha to 3.1 t/ha under optimum conditions, whereas it ranged from 1.1.t/ha to 1.7 t/ha under an acidic environment. The highest grain yielding genotypes under the optimum environment were 14Y, 7Y, and QSY5, while, in the acidic environment, the highest yielders were 3Y, QSY5, and 17Y. The lowest grain yielder under the optimum environment was 16Y at 1.5 t/ha, whereas 6Y, 7Y, 8Y, and 29Y were the most moderate yielders under the acidic environment. Grain yield displayed positive and significant (p<0,05) correlation with ear height (0.59), plant height (0.55), leaf length (0.18), number of leaves (0.37), number of ears per plot (0,54), number of kernels per row, number of rows per ear and thousand kernel weight. Combined ANOVA revealed that the environment effect was significant for all traits except the number of rows per ear and the number of ears in both environments. A total of 71 genotypes (22 inbred lines, forty-four single crosses, and five checks) were evaluated using a 7 x 7 alpha lattice design with two replications in combining ability. Across environments, the analysis showed a mean grain yield record of hybrids that ranged from 1.78 t/ha to 3.42 t/ha. Combined analysis showed only about 4 percent of the 44 hybrids had better grain yield than hybrid checks, whereas about 11 percent of the 44 hybrids had higher grain yield than two of the five hybrid checks. The highest yielding hybrid was 14Y x NC followed by QSY5 x NC. The Mid-parent heterosis (MPH) for grain yield ranged from -32.70 for 11YxObat to 16.50 percent for 14YxNC among the top-yielding genotypes. The highest positive mid-parent heterosis (MPH) for grain yield was observed in hybrid 14YxNC followed by QSY9xNC, QSY5xOBAT, 3YxNC, 13YxNC and 4YxOBAT, while the remaining hybrids exhibited negative estimates. Inbred lines' proportional contributions to the total variances were much higher than the testers for all traits. Whereas the inbred lines' proportional contribution was lower than the interaction of line x tester except on the number of ears which displayed the highest estimates of variances due to SCA effects, significant variation was observed. The GCA effects on grain yield in both environments generally showed no significant difference among inbred lines except for inbred lines such as QSY5 and 34Y but were positive. The selected crosses showed significant SCA effects in a few agronomic yield-related traits in the combined analysis. Among the hybrids, the only crosses that showed significant and positive SCA effects for grain yield were 25YxNC under optimum and 34YxObat under acidic environment. The inbred lines were assessed for tolerance to Al toxicity under laboratory conditions. Overall, the study identified soil acidity tolerant QPM inbred lines with an excellent combining ability for high-yielding QPM test hybrids, grain yield, and related traits. , Thesis (MSc) (Agriculture, Crop Science) -- University of Fort Hare, 2021
- Full Text:
- Date Issued: 2021-04
Synthesis and in vitro biological evaluation of 2,3-substituted quinoline derivatives
- Bokosi, Fostino Raphael Bentry
- Authors: Bokosi, Fostino Raphael Bentry
- Date: 2020
- Subjects: Quinoline , Malaria Chemotherapy , Tuberculosis Chemotherapy , African trypanosomiasis Chemotherapy
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10962/163193 , vital:41017
- Description: The urgent need for new systemic pharmacological entities prompted us to report a library of 2,3-substituted quinoline derivatives. Considering the ubiquity of quinoline-containing compounds in pharmacologically active small molecules, synthesized 2,3-substituted quinoline derivatives were in vitro biologically evaluated for their potential antitubercular, antimalarial and antitrypanosomal activities. Quinoline scaffold was achieved by the Vilsmeier-Haack methodology, affording synthetically useful chloro and formyl substituents on C-2 and C-3 respectively. These two substituents acted as handles in expanding the chemical space around the quinoline ring. Target compounds were synthesized in six to seven steps, employing conventional synthetic organic protocols adapted from various literature. The final compounds were accessed in moderate to good yields. The structural identity of each compound was confirmed by common spectroscopic techniques. Aryl quinoline carboxamide derivatives 3.113 – 3.126 were isolated as rotamers, hence, Variable-Temperature Nuclear Magnetic Resonance (VT-NMR) was employed in resolving 1H splitting. At elevated temperature (~328 K); N-methylene carbons were not visible on 13C NMR due to signal line broadening effects. The presence of these nuclei in such cases was, however, supported by 2-dimensional NMR and high-resolution MS data. Most of the compounds achieved in this study displayed promising antimalarial activity against chloroquine-sensitive 3D7 strain of Plasmodium falciparum compared to antitrypanosomal activity against Trypanosoma brucei brucei 427 strain. In particular, compounds 3.80 and 3.108 showed superior activity against chloroquine-sensitive 3D7 P. falciparum strain with IC50 values < 1 μM. More importantly, most of the compounds were non-toxic as determined by HeLa cells, indicating their selectivity towards the parasites. Exploring the space provided on the quinoline scaffold revealed that methoxy incorporation on C-2 is very critical in enhancing antimalarial activity of this class of quinoline compounds. The preliminary SAR of compounds 3.57 – 3.72 showed that compounds containing the 3-cinnamate exhibited enhanced antimalarial activity compared to 2 and 4-cinnamates. Finally, benzamide compounds 3.113 − 3.126 showed poor activity against Mycobacterium tuberculosis H37Rv strain with only compounds 3.113, 3.117 – 3.120 and 3.126 showing appreciable MIC90 values in the range of 40 – 85 μM. , Thesis (MSc) -- Faculty of Science, Chemistry, 2020
- Full Text:
- Date Issued: 2020
- Authors: Bokosi, Fostino Raphael Bentry
- Date: 2020
- Subjects: Quinoline , Malaria Chemotherapy , Tuberculosis Chemotherapy , African trypanosomiasis Chemotherapy
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10962/163193 , vital:41017
- Description: The urgent need for new systemic pharmacological entities prompted us to report a library of 2,3-substituted quinoline derivatives. Considering the ubiquity of quinoline-containing compounds in pharmacologically active small molecules, synthesized 2,3-substituted quinoline derivatives were in vitro biologically evaluated for their potential antitubercular, antimalarial and antitrypanosomal activities. Quinoline scaffold was achieved by the Vilsmeier-Haack methodology, affording synthetically useful chloro and formyl substituents on C-2 and C-3 respectively. These two substituents acted as handles in expanding the chemical space around the quinoline ring. Target compounds were synthesized in six to seven steps, employing conventional synthetic organic protocols adapted from various literature. The final compounds were accessed in moderate to good yields. The structural identity of each compound was confirmed by common spectroscopic techniques. Aryl quinoline carboxamide derivatives 3.113 – 3.126 were isolated as rotamers, hence, Variable-Temperature Nuclear Magnetic Resonance (VT-NMR) was employed in resolving 1H splitting. At elevated temperature (~328 K); N-methylene carbons were not visible on 13C NMR due to signal line broadening effects. The presence of these nuclei in such cases was, however, supported by 2-dimensional NMR and high-resolution MS data. Most of the compounds achieved in this study displayed promising antimalarial activity against chloroquine-sensitive 3D7 strain of Plasmodium falciparum compared to antitrypanosomal activity against Trypanosoma brucei brucei 427 strain. In particular, compounds 3.80 and 3.108 showed superior activity against chloroquine-sensitive 3D7 P. falciparum strain with IC50 values < 1 μM. More importantly, most of the compounds were non-toxic as determined by HeLa cells, indicating their selectivity towards the parasites. Exploring the space provided on the quinoline scaffold revealed that methoxy incorporation on C-2 is very critical in enhancing antimalarial activity of this class of quinoline compounds. The preliminary SAR of compounds 3.57 – 3.72 showed that compounds containing the 3-cinnamate exhibited enhanced antimalarial activity compared to 2 and 4-cinnamates. Finally, benzamide compounds 3.113 − 3.126 showed poor activity against Mycobacterium tuberculosis H37Rv strain with only compounds 3.113, 3.117 – 3.120 and 3.126 showing appreciable MIC90 values in the range of 40 – 85 μM. , Thesis (MSc) -- Faculty of Science, Chemistry, 2020
- Full Text:
- Date Issued: 2020
Bio-utilization of keratinous waste biomass for the production of keratinolytic proteases by Chryseobactreium aquifrigidense isolated from poultry waste dumpsite
- Authors: Bokveld, Amahle
- Date: 2021-02
- Subjects: Keratin
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/20550 , vital:46120
- Description: Keratin is an insoluble and a fibrous protein that is mostly found in feathers, animal wool, and hair, making them mechanically stable. Avian feathers are the most ubiquitously generated keratinous waste biomass from the poultry processing plants. Keratinous waste biomass valorization could produce amino acids and bioactive peptides. Hence, the bio-recycling of keratin-rich wastes bears an advantage over the chemical and thermal means. In recent times, the microbial keratinases continues to gain traction due to the litany of their potential significance in green technology. Consequently, this study assessed chicken feather degrading and keratinase production potentials of bacteria isolated from a local poultry dumpsite. Soil samples were collected from the poultry dumpsite. Bacteria were isolated using basal salt medium and screened for keratinolytic activity. The identification of potent chicken feather degrading bacterial isolates was through 16S rRNA gene sequence analysis. Keratinase production efficiency of isolates on chicken feather constituted medium was optimized. Hydrolysate's amino acid compositions were quantified, and the keratinases produced was characterized. Out of 22 bacteria isolated from the soil samples, 12 showed a varying degree of proteolytic activity on skimmed milk agar. Four (4) isolates, coded as FPS-01, FPS-07, FPS-09, WDS-06, out of the 12 proteolytic strains further displayed remarkable degradation of the intact chicken feather; percentage degradation ranged from 69 percent for FPS-01 to 88 percent for FPS-09. The extracellular keratinase activity ranged from 610.91 ± 56.57 U/mL for WDS-06 and 834.55 ± 66.86 U/mL for FPS-07. Additionally, the sulfhydryl group concentration quantified from the fermentation broth was 2.22 ± 0.37 (mM), 0.22 ± 0.08 (mM), 2.27 ± 0.09 (mM), and 2.76 ± 0.79 (mM) for FPS-01, FPS-07, FPS-09 and WDS-06, respectively. Based on 16S rRNA gene sequencing and phylogenetic analyses, the isolates FPS-07 and FPS-09 were identified as Chryseobacterium aquifrigidense FANN1 and Chryseobacterium aquifrigidense FANN2. Following the optimization process, the improved fermentation conditions were pH 6, inoculum side (4 percent, v/v), temperature (30 oC), and chicken feather (0.5-1.5 percent, w/v) for FANN1. FANN2 optimal fermentation conditions were pH 6, inoculum (5 percent, v/v), temperature (30 oC), and chicken feather (1.5 percent, w/v). Both bacterial isolates showed the highest extracellular keratinase production after 72 h of the fermentation time. Analysis of the hydrolysates generated from the bacteria fermentation showed a high concentration of arginine, serine, glutamic acid, glycine, proline, valine, and leucine at a respective concentration of 1.13, 1.02, 0.83, 0.94, 0.85, 0.84, and 0.86 (g/100g sample) against FANN1. Similarly, FANN2 generated hydrolysate showed high concentrations of glutamic acid, arginine, serine, aspartic acid, and glycine at this respective abundance 2.52, 1.92, 2.12, 2.25 and 1.9 (g/100g sample). Keratinases from FANN1 and FANN2 showed optimal catalytic efficiency at pH 8 and temperature between 40-50 oC. The enzyme was considerably thermostable at 40 oC and 50 oC after 120 min of preheating. Both FANN1 and FANN2 showed variable residual activity in the presence of the different metal ions. Keratinase from FANN1 recorded the following residual activity of Fe3+ (120 ± 5.06 percent), Ca2+ (100 ± 10.33 percent), Na+ (122 ± 2.95 percent), Al3+ (106 ± 10.33 percent). Likewise, FANN2 keratinase showed remarkable stability against Na+ (108 ± 13.71 percent), Ba2+ (102 ± 0.86 percent), Al3+ (105 ± 2.57 percent), and Ca2+ (96 ± 2.99 percent). Keratinase from FANN1 was catalytically activated after 60 min of pre-treatment with the following detergents, Sunlight (129 percent), Ariel (116 percent), MAQ (151 percent), and Surf (143 percent) compared to the control. FANN2 keratinase showed less stability with laundry detergents after 60 min of preincubation. FANN1 keratinase showed remarkable stability in the presence of chemical agents tested, with residual activity of 90 ± 0.18 percent, 105 ± 7.55 percent, 108 ± 4.31 percent, 123 ± 1.44 percent, 132 ± 1.26 percent, 96 ± 7.19 percent, and 101 ± 3.06 percent for DTT, hydrogen peroxide, DMSO, acetonitrile, triton X-100, tween-80, and SDS, respectively. The enzyme activity was also considerably inhibited by PMSF and EDTA, which suggested a mixed type of protease. Furthermore, keratinase from FANN2 was inhibited by EDTA, and such inhibition pattern grouped it as a metallo-type of protease. The enzyme was also stable in the presence of other chemical agents tested. Therefore, the findings suggest the isolates and their enzymes' relevance to sustainable recycling of recalcitrant keratinous wastes into high-value products with immense application potentials. The remarkable stability shown by keratinases from FANN1 and FANN2, post detergent and chemical agents pre-treatment, indicates promise for the biotechnology and industrial sector. , Thesis(MSc) (Microbiology) -- University of Fort Hare, 2021
- Full Text:
- Date Issued: 2021-02
- Authors: Bokveld, Amahle
- Date: 2021-02
- Subjects: Keratin
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10353/20550 , vital:46120
- Description: Keratin is an insoluble and a fibrous protein that is mostly found in feathers, animal wool, and hair, making them mechanically stable. Avian feathers are the most ubiquitously generated keratinous waste biomass from the poultry processing plants. Keratinous waste biomass valorization could produce amino acids and bioactive peptides. Hence, the bio-recycling of keratin-rich wastes bears an advantage over the chemical and thermal means. In recent times, the microbial keratinases continues to gain traction due to the litany of their potential significance in green technology. Consequently, this study assessed chicken feather degrading and keratinase production potentials of bacteria isolated from a local poultry dumpsite. Soil samples were collected from the poultry dumpsite. Bacteria were isolated using basal salt medium and screened for keratinolytic activity. The identification of potent chicken feather degrading bacterial isolates was through 16S rRNA gene sequence analysis. Keratinase production efficiency of isolates on chicken feather constituted medium was optimized. Hydrolysate's amino acid compositions were quantified, and the keratinases produced was characterized. Out of 22 bacteria isolated from the soil samples, 12 showed a varying degree of proteolytic activity on skimmed milk agar. Four (4) isolates, coded as FPS-01, FPS-07, FPS-09, WDS-06, out of the 12 proteolytic strains further displayed remarkable degradation of the intact chicken feather; percentage degradation ranged from 69 percent for FPS-01 to 88 percent for FPS-09. The extracellular keratinase activity ranged from 610.91 ± 56.57 U/mL for WDS-06 and 834.55 ± 66.86 U/mL for FPS-07. Additionally, the sulfhydryl group concentration quantified from the fermentation broth was 2.22 ± 0.37 (mM), 0.22 ± 0.08 (mM), 2.27 ± 0.09 (mM), and 2.76 ± 0.79 (mM) for FPS-01, FPS-07, FPS-09 and WDS-06, respectively. Based on 16S rRNA gene sequencing and phylogenetic analyses, the isolates FPS-07 and FPS-09 were identified as Chryseobacterium aquifrigidense FANN1 and Chryseobacterium aquifrigidense FANN2. Following the optimization process, the improved fermentation conditions were pH 6, inoculum side (4 percent, v/v), temperature (30 oC), and chicken feather (0.5-1.5 percent, w/v) for FANN1. FANN2 optimal fermentation conditions were pH 6, inoculum (5 percent, v/v), temperature (30 oC), and chicken feather (1.5 percent, w/v). Both bacterial isolates showed the highest extracellular keratinase production after 72 h of the fermentation time. Analysis of the hydrolysates generated from the bacteria fermentation showed a high concentration of arginine, serine, glutamic acid, glycine, proline, valine, and leucine at a respective concentration of 1.13, 1.02, 0.83, 0.94, 0.85, 0.84, and 0.86 (g/100g sample) against FANN1. Similarly, FANN2 generated hydrolysate showed high concentrations of glutamic acid, arginine, serine, aspartic acid, and glycine at this respective abundance 2.52, 1.92, 2.12, 2.25 and 1.9 (g/100g sample). Keratinases from FANN1 and FANN2 showed optimal catalytic efficiency at pH 8 and temperature between 40-50 oC. The enzyme was considerably thermostable at 40 oC and 50 oC after 120 min of preheating. Both FANN1 and FANN2 showed variable residual activity in the presence of the different metal ions. Keratinase from FANN1 recorded the following residual activity of Fe3+ (120 ± 5.06 percent), Ca2+ (100 ± 10.33 percent), Na+ (122 ± 2.95 percent), Al3+ (106 ± 10.33 percent). Likewise, FANN2 keratinase showed remarkable stability against Na+ (108 ± 13.71 percent), Ba2+ (102 ± 0.86 percent), Al3+ (105 ± 2.57 percent), and Ca2+ (96 ± 2.99 percent). Keratinase from FANN1 was catalytically activated after 60 min of pre-treatment with the following detergents, Sunlight (129 percent), Ariel (116 percent), MAQ (151 percent), and Surf (143 percent) compared to the control. FANN2 keratinase showed less stability with laundry detergents after 60 min of preincubation. FANN1 keratinase showed remarkable stability in the presence of chemical agents tested, with residual activity of 90 ± 0.18 percent, 105 ± 7.55 percent, 108 ± 4.31 percent, 123 ± 1.44 percent, 132 ± 1.26 percent, 96 ± 7.19 percent, and 101 ± 3.06 percent for DTT, hydrogen peroxide, DMSO, acetonitrile, triton X-100, tween-80, and SDS, respectively. The enzyme activity was also considerably inhibited by PMSF and EDTA, which suggested a mixed type of protease. Furthermore, keratinase from FANN2 was inhibited by EDTA, and such inhibition pattern grouped it as a metallo-type of protease. The enzyme was also stable in the presence of other chemical agents tested. Therefore, the findings suggest the isolates and their enzymes' relevance to sustainable recycling of recalcitrant keratinous wastes into high-value products with immense application potentials. The remarkable stability shown by keratinases from FANN1 and FANN2, post detergent and chemical agents pre-treatment, indicates promise for the biotechnology and industrial sector. , Thesis(MSc) (Microbiology) -- University of Fort Hare, 2021
- Full Text:
- Date Issued: 2021-02
An investigation into the effects of nano-carbons on the negative electrode morphology of lead acid batteries under high rate partial state of capacity cycling
- Authors: Bolo, Lukanyo
- Date: 2021-04
- Subjects: Port Elizabeth (South Africa) , Eastern Cape (South Africa) , South Africa
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10948/53324 , vital:45132
- Description: New technological developments in the field of Hybrid Electric Vehicles (HEV’s), vehicle stop-start applications and electrical power utility devices have brought about new demands on the use of energy storage devices such as the Pb-acid battery. These applications require a new understanding and research into the material chemistry of the battery where it has to functionin a Partial State of Capacity Cycling (PSoCC) or High Rate Partial State of Capacity Cycling (HRPSoCC)duty. The Pb-acid battery is well known for its use in the automotive industry where it had worked for decades as a typical Starter, Lighting and Ignition (SLI) power source. However, the conventional Pb-acid battery is not suitable for the new types of vehicle demands and applications. When the Pb-lead acid battery is subjected to PSoCC conditions, very quickly excessive amount of non-conducting PbSO4crystals are formed on the negative plates of the battery that then drastically reduce its useful life in application. Over the years, researchers have shown that the small addition of certain carbon types to the negative plate active material (NAM) during battery manufacturing can reduce the sulfation effect thereby increasing its use the modern vehicle applications. This study investigated industrial manufactured cells that contained up to 0.5 % by weight two types of carbons in the NAM. These were compared to standard built cells in terms of their standard achievable capacities at various rates, their Cold Cranking Ability (CCA), their Dynamic Charge Acceptance (DCA) and a simplified PSoCC test. The carbons were classified as an activated carbon and a carbon nano-fiber and were included as a dry weight additive during the standard paste manufacturing process of the negative plate. Cells were built with a 9-plate configuration using standard expanded grid positive plates with a nominal rated capacity of 36 Ah. The cells were formed and subjected to a number of electrochemical tests, of which selected negative plates were then studied using Scanning Electron Microscopy (SEM) and Electrochemical in-situ Atomic Force Microscopy (EC-AFM). The microscopic study was then used to try and relate the observed material characteristics of the NAM with the carbons to the electrochemical results observed when testing a built cell. , Thesis (MA) --Faculty of Science, School of Biomolecular and Chemical Sciences, 2021
- Full Text:
- Date Issued: 2021-04
- Authors: Bolo, Lukanyo
- Date: 2021-04
- Subjects: Port Elizabeth (South Africa) , Eastern Cape (South Africa) , South Africa
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10948/53324 , vital:45132
- Description: New technological developments in the field of Hybrid Electric Vehicles (HEV’s), vehicle stop-start applications and electrical power utility devices have brought about new demands on the use of energy storage devices such as the Pb-acid battery. These applications require a new understanding and research into the material chemistry of the battery where it has to functionin a Partial State of Capacity Cycling (PSoCC) or High Rate Partial State of Capacity Cycling (HRPSoCC)duty. The Pb-acid battery is well known for its use in the automotive industry where it had worked for decades as a typical Starter, Lighting and Ignition (SLI) power source. However, the conventional Pb-acid battery is not suitable for the new types of vehicle demands and applications. When the Pb-lead acid battery is subjected to PSoCC conditions, very quickly excessive amount of non-conducting PbSO4crystals are formed on the negative plates of the battery that then drastically reduce its useful life in application. Over the years, researchers have shown that the small addition of certain carbon types to the negative plate active material (NAM) during battery manufacturing can reduce the sulfation effect thereby increasing its use the modern vehicle applications. This study investigated industrial manufactured cells that contained up to 0.5 % by weight two types of carbons in the NAM. These were compared to standard built cells in terms of their standard achievable capacities at various rates, their Cold Cranking Ability (CCA), their Dynamic Charge Acceptance (DCA) and a simplified PSoCC test. The carbons were classified as an activated carbon and a carbon nano-fiber and were included as a dry weight additive during the standard paste manufacturing process of the negative plate. Cells were built with a 9-plate configuration using standard expanded grid positive plates with a nominal rated capacity of 36 Ah. The cells were formed and subjected to a number of electrochemical tests, of which selected negative plates were then studied using Scanning Electron Microscopy (SEM) and Electrochemical in-situ Atomic Force Microscopy (EC-AFM). The microscopic study was then used to try and relate the observed material characteristics of the NAM with the carbons to the electrochemical results observed when testing a built cell. , Thesis (MA) --Faculty of Science, School of Biomolecular and Chemical Sciences, 2021
- Full Text:
- Date Issued: 2021-04