Perceptions of Ulwaluko in a Liberal Democratic State: is multiculturalism beneficial to AmaXhosa women in the Eastern Cape province of South Africa?
- Authors: Gogela, Kholisa B
- Date: 2018
- Subjects: Initiation rites -- South Africa -- Eastern Cape , Circumcision -- South Africa -- Eastern Cape , Stigma (Social psychology) -- South Africa -- Eastern Cape , Xhosa (African people) -- South Africa -- Eastern Cape , Women -- Attitudes , Multiculturalism -- South Africa -- Eastern Cape , Women's rights -- South Africa -- Eastern Cape , Male domination (Social structure) -- South Africa -- Eastern Cape , Sex discrimination against women -- South Africa -- Eastern Cape , Ulwaluko
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/61780 , vital:28059
- Description: This exploratory qualitative study sought to investigate the views and perceptions of women on their experiences of ulwaluko, a traditional rite practised by amaXhosa in the Eastern Cape province of South Africa. Ulwaluko is also known as isiko lokwaluka or ukoluka in isiXhosa. The concept refers not only to the act of circumcision that occurs during the initiation ritual but the entire process a boy goes through in observing this practice. Ulwaluko is performed in the belief that it will transform boys into accountable and responsible citizens of the society who are fully committed and dedicated to the tenets and standards of nation building. All amaXhosa boys are expected to undergo this tradition to be considered men. Failure to go to the initiation school usually results in social stigma and complete banishment by the society. There is an abundance of literature on studies that have been conducted on male circumcision (and not ulwaluko) which is performed for hygiene and religious purposes worldwide. With regards to ulwaluko of amaXhosa, research studies that have been conducted appear to lean mainly towards biomedical and public health aspects of the ritual. There seems to be an even bigger proportion of studies whose objective was to examine the relationship between circumcision and HIV/AIDS. From the literature review, it was not difficult to observe the pervasive paucity of research studies on women in relation to initiation (and that of amaXhosa in particular), with regards to their inclusion or exclusion in the practice, their feelings, perceptions, experiences and attitudes towards the custom. It is for this reason that I found it crucial to conduct this study. The main research question I sought to answer in this investigation was: are the human rights and gender equality rights of women, as entrenched in the multicultural principles that underpin South Africa’s liberal, democratic order, adequately protected? In other words, could the individual rights of women (or gender rights) that are endorsed by liberalism, be deferred in the interest of respecting traditions and cultural values associated with ulwaluko? And if they are, I further ask: could the deferral of such rights be legitimate in the face of South Africa’s legal framework? The nature of this study places it in the qualitative paradigm, and interpretive phenomenology was the most appropriate research design to carry out the investigation. Multiculturalism is a principle at the centre of liberalism, and as a framework for this study, I contrast and reconcile it with feminism. While multiculturalism is concerned with protecting traditions and cultures of minority groups, feminism is concerned about women’s emancipation. I used the non-probability purposive sampling to select participants who were rich in information; and I made use of community structures to gain entry into research sites and to seek permission to carry out the investigation. I conducted the pilot study in Mdantsane, a township in the Buffalo City Municipality; and I gathered data in two research sites, namely: Flagstaff in Mpondondoland and Grahamstown in the Makana Local Municipality. I employed two qualitative methods to collect information, namely: focus group discussions (FGDs) and semi-structured in-depth interviews. A total of 70 participants took part in the study. 60 women participated in 8 focus groups and 10 participated in-depth interviews. Their ages ranged between 31 and 82 years. I recorded all the FGDs and semi-structured in-depth interviews that I conducted, for ease of transcription and translation. To interprete and analyze data, I applied the general inductive approach which I later substantiated with the use of NVivo 8, a computer assisted qualitative data analysis (CAQDAS). This resulted in the identification of four themes and their related sub-themes which I compared and contrasted with literature review and the theoretical framework, so as to make sense of the information I generated from the data collection process. I also discussed the results in line with the four goals of the study. The findings of this inquiry suggest a number of factors about ulwaluko, the following being the most significant: that firstly, although the rite is espoused and celebrated by some women as a significant cultural practice among amaXhosa, for others it is synonymous with patriarchy and hegemony. Secondly, women felt largely excluded, claiming that they were relegated to a subordinate position in society. For this reason, as well as because of the biomedical and other socio-political concerns associated with the practice, some women resented the custom. Thirdly, participants were divided about whether the practice should be continued or abolished; and these differences manifested within and between different regions. Fourthly, the results also demonstrated that the norms and values applied in ulwaluko are in contravention of the fundamental principles of a liberal state in that universal human rights are infringed upon through exclusionary practices. In this case the woman’s voice is muted; and this results in the denial of human agency. The study however, also revealed the emergence of shifting patterns in some parts of the province where an effort to include women appears to be taking place. Fifth and last, the enquiry demonstrated that ulwaluko is deeply entrenched among amaXhosa; that it has stood the test of time and is unlikely to be discontinued. Based on the results, I recommend that creative and transformative ways of addressing the evident clash between the provision of individual rights by the state and the recognition of ulwaluko as a cultural practice (which is perceived by some as harmful to women) be sought. To achieve this objective I make the following recommendations: 1) establishment and utilization of gender equality programmes; 2) modification of values and norms of the custom; 3) representation of women in decision-making structures; 4) establishment of collaborative networks; 5) widening of access to services (such as chapter nine institutions and national gender machinery); 6) documentation and sharing of effective and inclusive practices as well as; 7) creating awareness on initiation legislation.
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- Date Issued: 2018
Developing a model for promoting physical fitness and healthy lifestyle of primary school learners in the Eastern Cape Province, South Africa
- Authors: Gomwe, Howard
- Date: 2018
- Subjects: Physical fitness for children -- South Africa Physical education for children Schools -- Health promotion services
- Language: English
- Type: Thesis , Doctoral , Nursing
- Identifier: http://hdl.handle.net/10353/10050 , vital:35307
- Description: The challenge of low level participation in physical activity and, consequently, limited physical fitness has been acknowledged as being a national public health concern in South African schools. The main aim of this study was to develop a behavioural model for promoting physical fitness and healthy lifestyle of primary school learners in the Eastern Cape Province in South Africa. The first thing was to determine their physical fitness level and body composition then develop a behavioural model based on the findings. The study was conducted in three phases. A quantitative, qualitative and theory-generating research design was conducted using questionnaires, deductive and inductive strategies and literature triangulation. The study involved primary school learners: 356 boys and 520 girls aged 9-14 years old, who were randomly selected. Anthropometric assessments were conducted using ISAK (Marfell-Jones et al., 2006) and EUROFIT (1988) test batteries.The following measurements of body mass, stature, skinfolds (triceps and subscapular), waist circumference and gluteal were taken. The percent BF was calculated from a sum of two skinfolds (triceps and subscapular), using Slaughter et al.‘ s (1988) equation to predict body fat. Physical fitness measurements included sit and reach, push-ups, sit-ups and a 20 metre shuttle run. Physical activity level and sedentary behaviour were assessed by means of self-report questionnaires. Demographic, psychological and environmental variables were also measured by a self-report questionnaire. Six focus group discussions were conducted with school learners. The physical fitness levels were categorized as hypoactive, minimal active and inactive. Sedentary behaviours were categorized by number of minutes spent on sedentary activities. Dietary intake was assessed by a Food Frequency Questionnaire (FFQ). Food intake was classified as healthy, unhealthy/junk and traditional food. Body composition was measured by calculating body mass index (BMI) (weight/height2) and waist-to-hip ratio, respectively. Categories: underweight: 0<18, normal weight: 18, 5<25, overweight: 25<30 or obese: 30 and blood pressure measurements were classified as healthy and unhealthy. The main findings were as follows: underweight 60, 25 percent: normal weight 30, 54 percent: overweight 4, 18 percent: and obese 5, 02 percent: for the peri-urban school learners. Underweight 64, 78 percent: normal 31, 52 percent: overweight 2,83 percent: and obesity 0,87 percent:for the rural school learners. 56,25 percent underweight: 36,93 percent normal weight: 5,68 percent overweight: and 1,14 percent obese for the urban school learners. The mean body mass of learners from three locations were urban 40.0±10.185; peri-urban 39.8±10.181 and rural 38.7±10.279, respectively. (Chi-square = 3.3107; P=0.191). The mean values stature of all the three residences are urban; 144.1 ±10.400 peri-urban 144.4±9.187 and rural 143.7±12.617 (Chi-square = 1.2651; P=0.5312). The mean waist circumference for urban was (78.4±9.493), peri-urban (78.4±9.399) and rural was (77.1±10.214), respectively (Z=2.474;p=0.2903). The triceps value (z=21.4565p <.0001). Urban (13.9±5.589), (12.5±6.023) for peri-urban and (12.1±6.390) for rural. Subscapular (z=4.1151;p=0.1278). Urban area had (9.3±5.426), (9.3±5.463) for peri-urban and (8.9±6.381) for rural. The mean systolic blood pressure of urban school learners was (109.2±19.512), (107.9±19.273) for peri-urban and (107.4±19.488) for rural school learners. Lumbar and hamstring flexibility (z= 57.733; p<.0001). (25.3±5.507) for urban, (23.0±6.435) for peri-urban and (26.9±6.854) for rural. Sit-up (z=9.8414;p=0.0073). (18.3±12.571) for urban, (19.7±12.323) for peri-urban and (21.7±13.782) for rural area. Push-ups (z= 37.7591p=<.00001). (15.8±10.285) for urban, (18.5±11.086) for peri-urban and (20.9±9.981) for rural area. Maximal oxygen intake (z= 163.186p=<.0001). (25.0±6.454) for urban, (29.9±7.225) for peri-urban and (35.5±11.085) for rural area. PA enjoyment (4.1±0.698) for urban, (4.0±0.764) for peri-urban, (4.0±0.799) for rural. With regard to health-related physical fitness, the learners in the rural and peri-urban better than those in urban areas. PA attitude (z=7.5507;p=0.0563), (2.5±0.792) for urban area, (2.6±0.802) for peri-urban and (2.7±0.890) for rural area. Parental role modelling in PA (z=0.3083; p=<.000). (3.1±1.008) for urban area, (3.3±0.916) for peri-urban (3.1±0.981) for rural area. Peer encouragement (z=2.5367; p=0.2813) (3.4±0.893) for urban, (3.3±1.064) for peri-urban, (3.3±1.005) for rural area. Parental encouragement (z= 7.2266p=0.027),(3.7±0.985) for urban area, (3.5±0.906) for peri-urban and (3.7±0.774 ) for rural area. Teacher encouragement (z=2.0069p=0.3668).The mean values for three residences are (3.5±0.802) for urban area, (3.4±0.784) for peri-urban, (3.5±0.733) for rural areas. Most of the school learners in all the three residences prefer unhealthy/junky food. Based on the results, an exploratory factor analysis was conducted on data to identify and analyse the factors for model development. The findings indicated that there is evidence of low level of physical fitness and high prevalence of excessive weight and obesity among primary school learners, the study, therefore, suggests the development of the behavioural model to enhance physical fitness and prevent or reduce overweight/obesity among school learners.
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- Date Issued: 2018
Detection of early warning signs of currency crises in South Africa
- Authors: Gondoza, Gladys Nicola Fernandes
- Date: 2018
- Subjects: Financial crises -- 21st century
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/30238 , vital:30905
- Description: In a world characterised by globalisation, particularly increased financial integration and capital mobility, international economic theory stipulates that countries rather maintain a floating exchange rate system than a fixed exchange rate system in order to have less susceptibility to currency crises (Glick & Hutchison, 2011). South Africa, the economic powerhouse of Africa, is an interesting case to examine. It has a floating exchange rate and should thus be more resistant to currency crises due to market adjustment expectations that limit the build-up of pressure in its foreign exchange markets. South Africa’s foreign exchange market is characterised as volatile with recurring turbulent periods with currency crises observed in 1996, 1998, 2001 and 2008, of which the 2007/2008 global financial crisis was the worst the world had experienced since the Great Depression of the 1930s and it had a significant, negative impact on the South African economy and certainly exposed the country’s vulnerably (South African Reserve Bank, 2012). Having experienced these periods of currency crisis in South Africa and with no specific tool adequately tested and developed for the South African economy to accurately detect such an event before its occurrence, this research was an attempt to fill this gap within the economics discipline. The purpose of this thesis was to examine and make use of Early Warning System (EWS) models to ascertain which one best identifies potential early warning signs of a currency crisis in South Africa. To achieve this, the study tested two standard and commonly used EWS models, namely the Signals and probit models. Added to these approaches, two newer EWS models, namely the Markov regime switching model and the artificial neural networks model were tested. To date only two studies on EWS models for currency crises have been conducted in South Africa. Knedlik (2006) used the signals approach and Knedlik and Scheufele (2007) used the signals, probit/logit and Markov regime switching approaches. Both studies recommended that further research was needed. With this in mind, this thesis built on these studies by extending the sample period under observation from 1993/02 to 2017/03 to fully capture the probability of the global financial crisis of 2007/2008. This study separated the sample period into two parts, a first period (1993/02 – 2004/12) catering for the July 1998 and December 2001 crises and a second period (2005/01 – 2017/03) catering for the October 2008 crisis. This was done to separately observe how well the models detected early warning signs of the October 2008 crisis due to its global nature. By exploring the potential of artificial intelligence by employing the non-parametric approach of artificial neural networks, which has not yet been applied in the South African context for the probability prediction of currency crises, and comparing its prediction performance to the signals, the probit and the Markov regime switching EWS models, this thesis fills an existing information gap. This study found that of these four EWS models for predicting the probabilities of currency crises within the 24-month crisis window, the signals model performed better than the other models for the period 1993/02 – 2004/12. However, the final-outcome of the best model in probability prediction of South African currency crises is not straightforward for this period, as the artificial neural network model and Markov regime switching model performed almost as well as the signals model. During the period 2005/01 – 2017/03, the artificial neural networks model outperformed the other three models in capturing the global financial crisis of 2007/2008, specifically with regard to the evaluations of the percentage of pre-crisis periods called correctly and the percentage of tranquil periods called correctly. As the cut-off probability increases, the artificial neural networks model is the superior model and is not closely followed by the other models. The artificial neural network model also indicated a stable / tranquil economy during the period following the global financial crisis (from about 2009 – 2017), which is a true reflection of that period. The findings of this study suggest that the artificial neural network model is a powerful tool in the probability prediction of early warning signs of currency crises in South Africa.
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- Date Issued: 2018
The influence of legislation and regulations on strategy in public entities
- Authors: Govender, Kasavan
- Date: 2018
- Subjects: Government business enterprises -- Law and legislation -- South Africa -- Eastern Cape , Government corporations -- Law and legislation -- South Africa -- Eastern Cape Industrial development projects -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10948/22178 , vital:29866
- Description: While citizens require products and services to meet their needs, government goes about designing systems and processes to meet that need through the setting of goals and objectives. Many methods are adopted for that to happen. However, one of the ways that this occurs is through legislation and regulations and the formation of public entities. On the other hand, strategy is needed to devise techniques and plans to meet needs, goals and aspirations of government in the most efficient manner. At face value it would seem that the enactment of certain legislation and regulations seems to make the need for strategy obsolete especially since there is proliferation of national, provincial and local strategies that only need implementation. The purpose of this research is to determine the influence of legislation and regulations on strategy in public entities focusing on the Eastern Cape Province and using the Eastern Cape Development Corporation as a case study. The study focused on the assessment of the relationship between the public entities and the shareholder through the use of legislation and regulations. The context for the research is prefixed on creating an understanding of the public administrative system and especially the components of the New Public Management approach that deal with the principal-agent and public choice theory. The study assessed the public administrative system and its relationships in order to locate the use of legislation and regulations and public entities to deliver products and services to citizens. Likewise the concept of strategy was examined from three perspectives namely that strategy is about goal consciousness, strategy involves leadership and strategy is multifaceted in its nature. In order to undertake the study a document review was conducted on the legislation and regulations, semi-structured interviews were held with the principal or shareholder and a questionnaire was administered to executives and senior managers in public entities in the Eastern Cape Province. The findings revealed that there is a relationship between legislation and regulations and strategy on the one hand and on the other strategy appears to be ineffective due to a lack of planning, key role players’ involvement in the process, leadership, inflexible compliance and restrictive conditions. The research further found that strategy involves implementation of legislation and regulations which support the rise of the regulatory state. The study proposes a normative model that is built around defining the nature of strategy and predetermining the definition of roles in the system.
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- Date Issued: 2018
The missing ingredient: rethinking the drought disaster risk reduction and climate change adaptation nexus in Chirumhanzu District, Zimbabwe
- Authors: Grey, Mashoko Stephen
- Date: 2018
- Subjects: Climatic changes -- Zimbabwe -- Chirumanzu District , Climatic changes -- Government policy -- Zimbabwe -- Chirumanzu District , Climatic changes -- Economic aspects -- Zimbabwe -- Chirumanzu District , Natural disasters -- Risk assessment -- Zimbabwe -- Chirumanzu District , Drought management -- Zimbabwe -- Chirumanzu District , Hazard mitigation -- Zimbabwe -- Chirumanzu District
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/58298 , vital:27207
- Description: Two of the main challenges facing communities and governments in developing countries are the reduction of risks of hydro-meteorological hazards and adaptation to climate change. As climate variability and change impacts are becoming more visible in the form of disasters, and are negatively affecting climate sensitive livelihoods and eroding communities' ability to fully recover, leading to increased vulnerability to subsequent climate risks. The unpredictability of current weather systems, therefore, makes it very difficult for poor governments and households to deal with adverse impacts of climate change. Furthermore, the fragmented approach to DRR and CCA with regards to practice, policy and organisational frameworks for dealing with climate risks is resulting in coordination challenges for the government departments. This study aimed to explore how local households and communities perceive and are experiencing and coping with climate change and drought, and what that means for integrating hydro-meteorological disaster risk reduction and climate change adaptation. The study was carried out in Chirumhanzu district and the methods used for data collection included: 217 household surveys; six focus group discussions; participatory learning actions methods; key informant's interviews and document review. The majority of households owned low value material assets and had low levels of livelihood capitals and this exposed them to the impacts of climate variability and successive droughts. This low adaptive capacity largely affected their ability to engage effective drought risk reduction and adaptation strategies for their livelihood activities in small-scale farming and livestock rearing. Vulnerability to climate risks was exacerbated by seasonal weather forecasts, which were deemed by some households to be unreliable, inaccurate and not easily understood, while others used of indigenous knowledge. Successive droughts affected households' access to food and cash income for other household demands. Other non-climatic factors that contributed to adverse drought impacts at the household level were an emphasis on reactive humanitarian aid approach and the poor economy in Zimbabwe. Additionally, the policy framework for dealing with climate change and drought hazards is fragmented and weak; and is housed in different government departments making it difficult to coordinate and implement. To improve climate risk management, there is need for the government to appreciate that drought risk reduction and climate change adaptation are all about reducing vulnerability. Understanding this, might assist in improving government focus on addressing the underlying causes of vulnerability and mainstreaming DRR and CCA into development processes through addressing specific and generic adaptive capacities. The thesis argues that as long as rural households are involved in climate sensitive livelihood activities and not getting meaningful intervention to diversity and/or better intensify their livelihood activities, they will continue to be vulnerable to successive climate risks. This fragmented approach to dealing with climate risks, is not yielding any successful results with regards to building resilience, risk reduction or adaptation of rural households.
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- Date Issued: 2018
Roads and their effects in fynbos of the south-eastern Cape: implications for conservation and management of road verge vegetation
- Authors: Grobler, Barend Adriaan
- Date: 2018
- Subjects: Plant ecology -- South Africa , Ecology -- South Africa Ecology -- Research -- South Africa Conservation biology -- South Africa
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10948/30105 , vital:30825
- Description: Roads are some of the most conspicuous and pervasive conduits of human influence in modern landscapes. Over the past three decades, there has been a growing interest in the ecological effects of roads. These effects are numerous and generally deleterious, but much of our current knowledge on the matter stems from research conducted in North America, Britain, and Europe, where the focus has been on animal components of ecosystems. There is, however, a need for a plant dimension in road ecology, especially in those areas where plant biodiversity, and threats to this biodiversity, are concentrated. The research presented in this thesis aimed to further our understanding of road effects on the plant component of fynbos ecosystems in the megadiverse Cape Floristic Region (CFR). The exceptional plant diversity of the Cape and the presence of an extensive road network in the region present an ideal system for studying the interactions of roads and plants. Road verges have been emphasised as valuable habitats for plants. However, to assess the viability of road verges as habitats for fynbos plants, we first need to understand how these communities are influenced by the disturbances that exist in these environments. To this end, I investigated fynbos plant communities along roads and showed that road-mediated changes in the soil environment can bring about subtle changes in their composition while key components of the communities persist in road verges. Even though fynbos community patterns remain intact in road verges, the ecological processes that facilitate the persistence of plant species may be disrupted in these environments. As such, I studied the pollination of an ornithophilous plant in road verges and fynbos fragments of a highly transformed landscape. Here, landscape context was an important determining factor in the visitation rate of birds to plants in verges, with those occurring next to transformed land experiencing reduced visitation rates. Furthermore, I studied the pollination and fecundity of a highly threatened entomophilous plant and showed that, while there were no impacts on reproductive output of plants, road effects bolstered the reproductive growth of plants near the road. ii Finally, I implement the road-effect distances identified in the above studies to estimate the proportion of extant fynbos vegetation that may be impacted by roads. While the proportion of vegetation affected by roads is small, a substantial proportion is in close proximity to roads, potentially rendering large areas vulnerable to road-mediated human impacts. I further highlight the fact that several plant species of conservation concern in the Cape are affected by roads, and that many of these constitute a significant proportion of South Africa’s threatened flora. A case study from the N2 national road in the south-eastern Cape, where vegetation in road verges is in a better condition than that of adjacent, demonstrates the potential conservation value of road verges for fynbos vegetation in the region.
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- Date Issued: 2018
Modelling plant water use of the grassland and thicket biomes in the Eastern Cape, South Africa: towards an improved understanding of the impact of invasive alien plants on soil chemistry, biomass production and evapotranspiration
- Authors: Gwate, Onalenna
- Date: 2018
- Subjects: Grasslands -- South Africa -- Eastern Cape , Invasive plants -- South Africa -- Eastern Cape , Rangelands -- South Africa -- Eastern Cape , Range ecology-- South Africa -- Eastern Cape , Rangelands -- Water-supply , Rangelands -- Weed control , Evapotranspiration , Plant-water relationships
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/54800 , vital:26617
- Description: It is imperative to understand the strong coupling between the carbon capture process and water use to sustainably manage rangelands. Woody encroachment is undermining rangelands grass production. Evapotranspiration (ET) highlights the links between ecosystem carbon capture process and water use. It forms the biggest flux of the hydrological cycle after precipitation yet it is not well understood. The Grassland and the Albany Thicket (AT) biomes in the Eastern Cape, South Africa, provide an interesting space to study the dynamics in rangelands biomass production and the associated water use. Therefore, the main purpose of this study was to contribute towards management of rangelands by understanding the dynamics in rangeland grass production and water use. To achieve this aim, the impact of Acacia mearnsii, an invasive alien plant, on soil chemical properties and rangelands grass production was investigated. This was achieved by analysing the biophysical attributes of A. mearnsii as they related to grass production. Secondly, selected soil variables that could be used as a prognosis for landscape recovery or deterioration were evaluated. In addition, aboveground grass biomass was measured in areas cleared of A. mearnsii and regression equations were prepared to help model aboveground grass biomass in areas cleared of A. mearnsi. The thesis also explored dynamics in water vapour and energy fluxes in these two biomes using an eddy covariance system. Consequently, water vapour and energy fluxes were evaluated in order to understand landscape water use and energy partitioning in the landscape. The study also tested the application of Penman-Monteith equation based algorithms for estimating ET with micrometeorological techniques used for validation. Pursuant to this, the Penman- Monteith-Leuning (PML) and Penman-Monteith-Palmer (PMP) equations were applied. In addition, some effort was devoted to improving the estimates of ET from the PMP by incorporating a direct soil evaporation component. Finally, the influence of local changes in catchment characteristics on ET was explored through the application of a variant of the Budyko framework and investigating dynamics in the evaporative index as well as applying tests for trends and shifts on ET and rainfall data to detect changes in mean quaternary catchment rainfall and ET. Results revealed that A. mearnsii affected soil chemical properties and impaired grass production in rangelands. Hence, thinning of canopies provided an optimal solution for enhanced landscape water use to sequestrate carbon, provide shade, grazing, and also wood fuel. It was also shown that across sites, ET was water limited since differences between reference ET and actual ET were large. ET was largely sensitive to vapour pressure deficit and surface conductance than to net radiation, indicating that the canopies were strongly coupled with the boundary layer. Rangeland ET was successfully simulated and evaporation from the soil was the dominant flux, hence there is scope for reducing the so-called ‘unproductive’ water use. Further, it was shown that the PML was better able to simulate ET compared to the PMP model as revealed by different model evaluation metrics such as the root mean square error, absolute mean square error and the root mean square observations standard deviation ratio. The incorporation of a soil evaporation component in the PMP model improved estimates of ET as revealed by the root mean square error. The results also indicated that both the catchment parameter (w) and the evaporative index were important in highlighting the impacts of land cover change on ET. It was also shown that, despite changes in the local environment such as catchment characteristics, global forces also affected ET at a local scale. Overall, the study demonstrated that combining remote sensing and ground based observations was important to better understand rangeland grass production and water use dynamics.
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- Date Issued: 2018
On high-altitude and high- latitude frost environments
- Authors: Hansen, Christel Dorothee
- Date: 2018
- Subjects: Frost -- Drakensberg Mountains , Frost -- Prince Edward Islands -- Marion Island , Frost -- Antarctica -- Queen Maud Land , Climatic geomorphology -- Southern Hemisphere , Permafrost -- Southern Hemisphere , Periglacial processes -- Southern Hemisphere , Frost environments -- Southern Hemisphere
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/62383 , vital:28169
- Description: Frost environments occur throughout the world, with associated processes occurring across climatic zones. Climatic geomorphology proposes that climatic zones, largely derived from annual average air temperature and precipitation values, have specific landforms and processes active within that zone. This study offers unique insights into the frost environments of three locations in the Southern Hemisphere, namely the Eastern Cape Drakensberg of South Africa, sub-Antarctic Marion Island, and Dronning Maud Land of Antarctica. The Drakensberg ranges from temperate to alpine, Marion Island is hyper-maritime, and Dronning Maud Land a polar desert. Drivers and forcings on the ground frost regime are identified, as are future climatic scenarios. Altitude and latitude were identified as the most important locational drivers, while air temperature showed highest correlation with freezing events. The initiation of a freeze event correlated strongly with maximum ground temperatures. Vegetation cover was found to ameliorate frost cycles, thereby increasing ground temperatures. Dronning Maud Land of Antarctica is characterised by annual frost (permafrost), with limited seasonal thaw in summer. Thawing cycles reflected the depth of the active layer, which ranged from just under 60 cm for Robertskollen (at lowest altitude) to less than 15 cm on Slettfjell (at greatest altitude). Marion Island had the most active frost environment, exhibiting both seasonal frost, and ubiquitous shallow diurnal frost cycles. The Drakensberg were largely frost-free, with limited seasonal frost and few diurnal freeze- thaw events. Diurnal frost processes were found to be azonal, and present at all three study locations. Evidence of landforms derived from diurnal frost processes were evident in each zone. Equifinality/convergence of form was present to a degree. The presence of patterned ground, which was not wholly derived from frost processes, suggests a measure of equifinality. Furthermore, openwork block deposits, of which not all are either blockstreams nor blockfields, are not necessarily the result of frost processes. The periglacial environment is poorly defined and methods to delineate this environment, as well as other climatic zones, should include additional parameters. Delineating zones on annual (and limited) monthly averages based on predominantly temperature, is not sufficient. While concepts of climatic geomorphology may be applied in a general sense, this framework is not suited to working at smaller scales. Specifically, periglacial environments should be delineated using ground moisture, as well as air temperature. Furthermore, vegetation and snow cover are important, as are soil textural properties.
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- Date Issued: 2018
A longitudinal investigation into employability : student transition and experiences from tertiary education into the labour market
- Authors: Harry, Tinashe Timothy
- Date: 2018
- Subjects: Employability Graduate students Labor market
- Language: English
- Type: Thesis , Doctoral , DCom
- Identifier: http://hdl.handle.net/10353/11053 , vital:37015
- Description: Orientation: Several policies have been formulated by the government to redress the inequalities of apartheid. However, the policies have not yielded any positive results as many graduates from Historically Disadvantaged Institutes (HDIs) continue to struggle in the open labour market as compared to graduates from Historically Advantaged Institutes (HAIs). This has been mainly attributed to the legacy of apartheid in several previous studies. As a result, most of these previously disadvantaged individuals (mostly Black Africans) struggle to make the transition from higher education into the world of work. Research Purpose: This study thus explores the journeys of these Black African students from HDIs to understand the transition and experiences from tertiary education into the labour market. Further, the research sought to understand how these transitions and experiences manifest in a context of high unemployment. Finally, the resolution tactics used by students in such a context are given attention. Research approach, design and method: A longitudinal qualitative approach was deemed appropriate for the study as the aim was to understand the changes that occurred over time. The data was collected over a two-year period. A narrative inquiry was utilized as it allowed the participants to share their perceptions without limitations. A total of 30 participants partook in the study. The participants were selected using a purposive sampling to ensure the right participants were involved in the study. The main criteria for selection to participate was that the participants had to be enrolled with a HDI. Main findings: The narratives of the participants led to the formulation of six main themes that were regarded as affecting the transitions and experiences of the Black graduates from HDIs; namely, (1) socio-economic background, (2) education system, (3) labour market experiences, (4) geographical location, (5) social capital and (6) student resolutions to the challenges of employability. A previously disadvantaged background resulted in the participants being recipients of poor education quality, no social networks or information to navigate the labour market and limited access to the labour market due to secluded residential areas. Subsequently, most participants were unable to take responsibility of enhancing their own employability. Contribution: It is not the sole responsibility of the higher education institutes to produce employable graduates, but it's a process that should also involve government, students and employers. As long as the social inequality remains an issue in the country all the efforts to improve employability and transition into the open labour market will be in vain. Furthermore, employers must work together with higher education institutes by offering programs such as internships and career expos to enhance the employability of the graduates. A Graduate Transition Model (GTM) is suggested based on the findings of this research.
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- Date Issued: 2018
“We are white”: oral tradition, documented history and molecular biology of Xhosa clans descended from non-African forebears and their expression of this ancestry through the idiom of ancestor religion
- Authors: Hayward, Janet M
- Date: 2018
- Subjects: Clans -- South Africa -- Eastern Cape , Patrilineal kinship -- South Africa -- Eastern Cape , Xhosa (African people) -- Genealogy , Oral history -- South Africa -- Eastern Cape , Genetic genealogy , Xhosa (African people) -- Rites and ceremonies , Xhosa (African people) -- Race identity
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/62939 , vital:28312
- Description: Xhosa clan membership is symbolised by a clan-name (isiduko) and passed along the male line from father to son. This social indicator has a biological counterpart in Y chromosome DNA that passes through successive generations in the patriline. Both relate specifically to a distant patrilineal forebear or apical ancestor. The present study has involved the collection and documentation of oral-historical information relating to the descent of certain Cape Nguni clans from non-African forebears and (where possible) a review of documented accounts of such origins. The research has also included collection of buccal cells from male research participants and analysis of their Y chromosome DNA. This method indicates whether a man’s patrilineal forebear lived in Africa. Otherwise, it indicates the broad geographical region from which he originated, hence providing an additional, independent source of information relating to ancestry that can confirm or challenge claims made based on oral history. Ethnographic research into the performance of distinctive ancestor rituals by clan members explores the continuing relevance of foreign ancestry in the contemporary context of rural communities in the Eastern Cape, South Africa. The study heeds calls for the decolonisation of scholarship in various ways: methodologically, through transdisciplinary research; ontologically, by questioning the utility of the nature: culture and related dichotomies; and epistemologically, because instead of relying entirely on the western academic tradition, it takes account of other modes of knowledge production. In rejection of the notion that only one side of history is true, it records multiple voices – those of the powerful but also the ordinary. The study deals with race and racial identification, but confirms the superficiality of these constructed differences by offering evidence of their submergence in the unifying power of kinship and descent.
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- Date Issued: 2018
Motivation for landscape stewardship as a driver of change-Garden Route, South Africa
- Authors: Heider, Lisa
- Date: 2018
- Subjects: Social ecology , Environmental psychology Conservation (Psychology)
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10948/30116 , vital:30826
- Description: Stewardship, as portrayed in much of contemporary literature is considered as a key to the sustainability challenges of the biosphere. In disciplines which regard sustainability in the context of Social Ecological Systems (SES), stewardship is associated with the goal of building resilience through the informal governance structures that dictate how the landscape is utilized. These disciplines lack a better integration of individual roles and responsibilities as they relate to their daily interactions with the environment. Formally initiated stewardship can evoke maladaptation, in other words the attempts to conserve a specific natural assets in one particular locality can shift the problem of degradation or exploitation to another place or point in time. This is because the individual, as an inevitable driver of unsustainability, has not been addressed. What is needed is the knowledge of strategies which resolve human disconnection from nature and the biosphere, through a greater focus on the individual motivational scale. In Chapter 2, which consists of a literature review of recent stewardship discourses, I extract alternative theories which consider individual motivation and subjectivity as the underlying drivers of resilience. These include knowledge about Sense of Place, and theories from Conservation Psychology. Basic Human Value theory is also presented as a possible entry point for societal transformation through individual motivation. These ought to inform conservation interventions with mechanisms which truly grasp unsustainability at its roots. This is a place-based, qualitative study where the results assist in interrogating the question: How does individual motivation for stewardship mediate socialecological trajectories of change? The context of the study and the methods used to generate my research findings are presented in Chapter 3 and 4. The Garden Route provides the place-based context for this research and is situated in the Western Cape Province of South Africa. The region is home to diverse cultures representative of Western and indigenous regions who meet and negotiate what it means to care for the environment. The area is biologically rich and ecologically highly sensitive to current trajectories of development, fragmentation and global change. Mixed methods and a qualitative approach was used to answer three sub-questions: (1) Which theories facilitate greater understanding of transformative stewardship pathways? (2) How can a transformative pathway be recognized? and (3) How can transformative pathways be pursued? One method used in this study is a photo-voice technique, which is coupled with self-directed journaling and in-depth interviews. Other sources of data include communication and engagement, observations iii and focus groups. I apply a content analysis to the transcribed qualitative data to resolve the research questions. Research results are presented in Chapter 5. In this empirical chapter I present three competing meanings of stewardship and visions for change held by individuals in the Garden Route. The three meanings are described as: protect nature from human influence (Nature despite People); work together and communicate (Nature for People/Nature and People); and be the change you want to see in this world (People in Nature). The variable which best describes the differences in visions is Critical Connectivity. Resilience in a SES is critically dependent on three levels of connectivity in stewardship. Firstly, individuals’ consciousness of being interrelated and interdependent within a community of life; Secondly, expressions in the physical landscape which promote the connectivity of ecological systems as well as the connectivity between people and nature. Thirdly, Connectedness with the Biosphere, which means that the boundaries of the planet and the functioning of the life-supporting earth system are considered in behaviours. I use Basic Human Value theory to test whether it can explain how the differences between and commonalities within the three groups arise. The results support the theory, suggesting that Basic Human Values underlie individual motivation for stewardship. However, inconsistencies and shortcomings of Basic Human Value theory became evident. I identified new values and value combinations which were not made explicit in the framework. These emerged due to my in-depth qualitative approach, as opposed to the common quantitative uses of the framework. The qualitative approach allows for values to emerge inductively and it elicits nuances of individual value interpretations that the definitions of Basic Human Values do not depict. In the second part of the empirical chapter, I present evidence of maladaptive and transformative stewardship pathways in the Garden Route. A maladaptive pathway is one in which individuals’ expression of care for the environment undermines Critical Connectivity and transfers vulnerabilities in the SES. A transformative pathway is one in which individuals pro-actively invest into Critical Connectivity and enhance resilience. The differences in these pathways are directly related to the differences in motivation. iv The findings of this research reveal that stewardship is the act of ‘place creation’ which is motivated by unique and nuanced differences in basic values and individual consciousness. Recognizable features of transformative and maladaptive stewardship pathways are discussed in Chapter 6. I present a conceptual model that critically evaluates stewardship. This model firstly assists researchers and practitioners to become alert to early warning signs of maladaptive pathways. Secondly, it informs them of potential leverage points for interventions which can induce sustainability transformations. I then apply this model to discuss transformative and maladaptive pathways against the backdrop of my findings and the literature. The elements which emerged as critical in this assessment are risk perceptions, stewardship meaning, connectivity with nature, connectedness with the biosphere, relationship with place, sustenance and identity. Different configurations of each indicator help explain the different pathways. Lastly, I discuss the role of Basic Human Values in each of the pathways. I compare how the motivational orientation towards self-enhancement and self-transcendence, or towards openness to change and conservation, play roles in SES resilience. This discussion brings to the surface the fact that transformative stewardship rests on a combination of these four value categories. In contrast, the absence of self-transcendent values and the presence of power, security and conformity underlie the motivation for maladaptation. I leave the reader with suggestions for interventions which have become relevant as a result of my study. Policy, media, conservation agencies and science shape meanings of stewardship, portray social norms and hence must motivate Critical Connectivity. Transformations can be achieved by targeting changes in values which must include autonomy, universalism, benevolence and spirituality. I discuss how policy and planning, communication, marketing and education can lever transformation through mechanisms identified in my research. Chapter 7 concludes this research with a reflective summary of the academic and practical contributions my study has made for stewardship discourses and for the management of SES resilience in local landscapes. I provide recommendations for further research, as they apply to socio-political change in Post-Apartheid South Africa. I end the concluding chapter by encapsulating my research finding in future scenarios for the Garden Route in the face of change, which namely relate to abrupt and uncertain environmental change, immigration, population growth and implications for spatial planning, and the Garden Route Biosphere Reserve. v In Chapter 8, I provide a reflection of this research. This entails foremost a reflection of how I have accounted for four quality criteria in social research, which are namely dependability, credibility, conformability and transferability. I end the chapter with the limitations and outline of scope of my study..
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- Date Issued: 2018
Design of a dedicated IFT microcontroller
- Authors: Himunzowa, Grayson
- Date: 2018
- Subjects: Feedback control systems , Automatic control , Engineering design -- Data processing
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10948/30017 , vital:30809
- Description: The design of a Dedicated IFT Microcontroller originated from the successful implementation of the Iterative Feedback Tuning (IFT) technique into the Digital Signal Processor microcontroller (DSP56F807C) at the University of Cape Town in 2006. However, implementation of the IFT technique on a general-purpose microcontroller is neither optimal, nor a cost-effective exercise, as most of the microcontroller peripherals remain unused, and drain energy for doing nothing. In addition, microcontrollers and DSPs are software-driven devices whose nature is sequential in executing algorithms, and hence have a significant effect on the bandwidth of the closed-loop control. To mitigate the said problem, the design of a Dedicated IFT Microcontroller is proposed in this thesis. To accomplish this goal, the preliminary task was to explore the IFT theory and its applications, followed by a review of the literature on FPGA design methodology for industrial control systems, Microcontroller design principles, and FPGA theory and trends. Furthermore, a survey of electronic design automation (EDA) tools and other application software was also conducted. After the literature review, the IFT was investigated exhaustively by applying it to three types of plants, namely: a DC motor, an oscillatory plant, and an unstable plant. Each of these plants were tested using three types of initial controllers, namely heavilydamped, critically damped and under-damped initial controllers. The plants were also tested by varying the amplitude of the reference signal, followed by using a single-step signal of constant amplitude of one volt. The intention of exploring all of these possibilities was meant to firmly expose the IFT boundaries of applicability, so that the final product would not be vulnerable to unnecessary post-production discoveries. The design methodology adopted in this research was a popular hierarchical and modular top-down procedure, which is an array of abstraction levels that are detailed as: system level, behavioural level, Register-Transfer Level (RTL) and Gate level. At system level, the Dedicated IFT Microcontroller was defined. Thereafter, at behavioural level, the design was simulated using VHDL, created by porting the LabView IFT code to the Xilinx EDA tool. At the RTL, the synthesisable VHDL code utilising fixed-point number representation was written. The compiled bit file was downloaded onto National Instruments (NI) Digital Electronics FPGA Board featuring iii the Spartan 3 series FPGA. This was tested, using a method known as simulation in the hardware. The key contribution of this thesis is the experimental validation of the IFT technique on FPGA hardware as it has never been published before, the work described in chapter four and five. The other contribution is the analysis of 1DOF IFT technique in terms of limitations of applicability for correct implementation, which is the main work of chapter three. This work could be used to explore other computational methods, like the use of floating-point number representation for high resolution and accuracy in numerical computations. Another avenue that could be exploited is Xilinx's recent Vivado methodology, which has the capacity for traditional programming languages like C or C++, as these have in-built floating-point number capability. Finally, out of this work, two papers have already been published by Springer and IEEE Xplore Publishers, and a journal paper has also been written for publication in the Control Systems Technology journal.
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- Date Issued: 2018
Key considerations for novel aptamer generation and aptasensor platform design: a case study on human α-thrombin and histamine as sensor targets
- Authors: Ho, Lance St John
- Date: 2018
- Subjects: Uncatalogued
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/63534 , vital:28432
- Description: Expected release date-April 2020
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- Date Issued: 2018
The knowledge commons, pan-Africanism, and epistemic inequality: a study of CODESRIA
- Authors: Hoffmann, Nimi
- Date: 2018
- Subjects: Pan-Africanism , Codesria , Equality -- Africa , Social justice -- Africa , Feminist criticism -- Africa , Sex discrimination against women -- Africa , Postcolonialism -- Africa , Women intellectuals -- Africa , Academic freedom -- Africa , Africans -- Intellectual life
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/60303 , vital:27764
- Description: This study is about the Council for the Development of Social Science Research in Africa (CODESRIA). Conceived in 1964 and formalised in 1973, CODESRIA is the longest-standing pan-African intellectual organisation on the continent. It was established with the primary objective of fostering greater collaboration between African scholars, and has acquired a reputation for challenging the marginalisation and fragmentation of African scholarship. However, there has been no systematic account of this important organisation. This study aims to cast light on this organisation and its intellectual contributions in the post-independence period. It examines CODESRIA as a knowledge commons - a community of scholars that creates, manages and shares intellectual goods outside of the state and the market. It asks: what factors have shaped CODESRIA as a pan-African knowledge commons in the context of epistemic inequality? As a way of answering this question, it examines three key debates: the different meanings of pan-Africanism in CODESRIA, CODESRIA’s defence of the academic project during structural adjustment, and African feminists’ struggles to change CODESRIA. These debates exemplify the ways in which different generations of African scholars in the post - independence period have sought to make sense of and respond to the problems of inequality - both outside of CODESRIA and within CODESRIA. This thesis approaches CODESRIA as a case study. It combines a document analysis with semi-structured interviews to construct and critique key intellectuals' understandings of the organisational design and practices of CODESRIA, the nature of its community and intellectual work. It supplements this with a descriptive analysis of CODESRIA’s bibliometric and administrative data. The study finds that CODESRIA has forged a distinctive form of pan-Africanism that offers a non-governmental and intellectual alternative to state-centric and bureaucratic forms of pan-Africanism. As a powerful counter-narrative to prevailing ideas of African intellectual inferiority, pan-Africanism has been an important motivational source for establishing and cohering CODESRIA’s community. Although its pan-African organisational form has been complicated by the enduring influence of colonial frameworks and limited by the the material and institutional weaknesses of African universities, it has nevertheless acted as a mode of collective enquiry for troubling and expanding the colonial conception of Africa. This study further finds that structural adjustment fundamentally reshaped the intellectual and material underpinnings of CODESRIA with complex and ambiguous results. In the short term, CODESRIA’s analysis of structural adjustment led to considerable intellectual and organisational innovation so that it grew in size and influence. In the long-run, however, structural adjustment eroded the public universities upon which CODESRIA relied. This eroded the mechanisms to maintain its intellectual vigour and democratic character, and increased CODESRIA’s dependency on donors. The study also finds that the struggles of feminist scholars to change unequal gender norms in CODESRIA have been a source of significant intellectual and organisational renewal. Contestations over gender inequality within CODESRIA have given rise to a distinctive form of African feminism, which emphasises the historicity of gender relations in ways that reject essentialist and teleological accounts of African societies. Feminist struggles have also given rise to new standards of scholastic excellence that mark a meaningful departure from the skewed standards introduced under colonial rule. Nevertheless, the persistent minoritisation of female scholars in CODESRIA has significantly limited their capacity to effect institutional change, such that the ghettoization of feminist scholarship and the hollowing out of feminist discourses on gender remains a constant threat. The central argument of this study is that inequality can motivate marginalised members to engage in the collective action required to create and reshape knowledge commons, but it can also constrain their collective action and threaten the long-term sustainability of the commons. The collective agency of marginalised individuals is therefore central to the flourishing of knowledge commons. Second, knowledge commons are intimately dependent on public goods, such as universities. Public goods are plausibly the source, and therefore the limit, of knowledge commons’ capacity to flourish over the long-term. As a consequence, it is likely that knowledge commons are complements to public goods provision, rather than substitutes. Rethinking the knowledge commons in terms of the predicaments of African intellectual communities, I contend, provides new ways of understanding the possibilities, constraints and contradictions of knowledge commons in an unequal world. This study contributes to the empirical literature on African intellectual communities. In particular, it provides critical knowledge on a scholarly community that has not only endured, but has managed to thrive in a context of profound economic and political instability. This provides an indication of the institutions, practices, and intellectual resources that are required to ensure that African knowledge systems flourish over the long-term. This study also makes a theoretical contribution to the literature on knowledge commons, which are largely theorised using examples from the global North. It shows how reconceptualising knowledge commons in terms of inequality opens up new lines of empirical investigation. Building on existing commons research, it develops a methodological framework for comparative research on southern knowledge commons, which may also be of use for investigating commons in general.
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- Date Issued: 2018
Naming in Germany in the 20th century: a sociological study of naming in times of social change, with a focus on statistical problems in empirical onomastic research
- Authors: Huschka, Denis
- Date: 2018
- Subjects: Onomastics , Names, Personal -- Germany , Names, German -- Etymology , Names, German -- Social aspects , German language -- Etymology -- Names , German Socio Economic Panel Study (SOEP)
- Language: German , English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/63054 , vital:28359
- Description: In this thesis names are used as social indicators to observe social change in Germany in the 20th century. The German Socio Economic Panel Study (SOEP) offers the rare opportunity to analyse representative survey data of first names. The empirical results of the analyses in this thesis offer a comprehensive picture on how the naming reality in Germany looks like and how naming changed in a period of about 100 years. Names can serve as social indicators. It is demonstrated how chosen names mirror social change in the German society: Name choices have become less traditional and more individual. Over time names from other world regions and cultures have found their way into the German culture. There are more different names in use today than 100 years ago and the names have become more evenly distributed over the population. Today children are less likely to share their names with many of their peers. These are signs of an increasingly individualised, transnationalised modern behaviour of the people in contemporary Germany. Almost all of these developments started earlier and tend to be more pronounced for girl’s names. The secularisation of the German society - however - did not cause substantial changes in naming over time. Christian names still are used to the greatest extent, but – possibly – not because they are regarded as being of Christian origin. The analyses of the social-structural influences on naming touch on some effects of education and status. The analyses of differences in naming between the two German states during the time of division adds some evidence to the real-life experience that naming in the communist East Germany was much more oriented towards the free western hemisphere – a kind of silent protest. Obviously naming was a possibility to distance oneself from an un-loved regime. On a methodological level referring to onomastics, the so-called „Large Number of are Events-Zone (LNRE)“, a feature of the distribution of names that has mostly been handled inappropriately up to now, is discussed with respect to its effects on name statistics when using samples. An alternative approach is proposed for the appropriate handling of this feature. , In der vorliegenden Arbeit werden Vornamen als soziale Indikatoren benutzt, um gesellschaftlichen Wandel im 20. Jahrhundert zu beschreiben. Das Soziooekonomische Panel (SOEP) bietet die seltene Möglichkeit, Umfragedaten über die Vornamen der Deutschen repräsentativ auszuwerten. Die empirischen Ergebnisse der vorliegenden Arbeit bieten einen umfassenden Einblick in die deutsche Vornamensrealität und über die Entwicklungen der Namensvergabe in 100 Jahren. Namen sind soziale Indikatoren. Es wird aufgezeigt, wie die Namensgebung den sozialen Wandel in der deutschen Gesellschaft spiegelt: Namenwahlen weisen über die Zeit weniger traditionelle Bezüge auf, sie wurden individueller. Namen aus anderen Kulturen und Ländern fanden Eingang in die deutsche Kultur. Es werden mehr verschiedene Namen benutzt als vor 100 Jahren und die typischerweise hoch konzentrierten Verteilungen der Vornamen stellen sich über die Zeit etwas weniger konzentriert dar. Heute geborene Kinder teilen ihre Namen mit anteilig weniger anderen Kindern ihrer Kohorte. Dies sind Anzeichen für eine individualisierte, transnational orientierte moderne Gesellschaft. Fast alle dieser Entwicklungen sind für Mädchennamen früher und in deutlicherem Maße zu beobachten. Die Säkularisierung der deutschen Gesellschaft hat hingegen wenig Einfluss auf die Vornamenswahlen genommen. Nach wie vor werden vor allem christliche Namen vergeben, auch wenn der christliche Bezug unter Umständen nicht mehr der maßgebliche Grund für die Auswahl ist. Die Analyse der sozialstrukturellen Einflüsse auf Namenswahlen bestätigt einige Effekte von Bildung und Status der Mütter. Die Analyse der Unterschiede in der Namensgebung der beiden deutschen Staaten während der 40 jährigen Teilung zeigt, dass der lebensweltliche Eindruck einer zunehmenden West-Orientierung der Namenswahlen ostdeutscher Eltern nicht trügt. Offenbar waren westliche Namen eine Möglichkeit, sich vom ungeliebten Regime zu distanzieren. Auf einer statistisch-methodischen Ebene wird eine bislang in der empirischen Onomastik unrichtig gehandhabte Besonderheit von Vornamensverteilungen – die Large Number of Rare Events-Zone (LNRE) – diskutiert und Lösungsvorschläge für den statistisch korrekten Umgang mit dieser Besonderheit in Gruppenvergleichen auf der Basis von Stichproben vorgelegt.
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- Date Issued: 2018
Advanced high speed data and clock transmission over optical fibre for square kilometre telescope array
- Authors: Isoe, George Mosoti
- Date: 2018
- Subjects: Very large array telescopes -- South Africa , Semiconductor lasers Optical communications Optical amplifiers
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/30375 , vital:30935
- Description: There is an ever present need from Internet users for more bandwidth. This is manifested by continuous increase in bandwidth demanding applications such as 5G wireless, new end user consumer links like thunderbolt, video conferencing, high definition video-on-demand transmitted over the Internet and massive data transfers required with and within data centres for backup, storage and data processing in cloud computing. Fibre optic communications technologies are playing a pivotal role in communication, being a major enabling technology in our increasingly Internet-centric society. As network services continue to become more dynamic and diverse, Internet service providers are faced with a challenge of cost reduction in the transmission network, power and spectral efficiency as well as scalability of the optical network infrastructure to support incremental expansions and virtual machines. Intelligent design of terrestrial optical networks to allow for simultaneous signal transmission through shared network infrastructure, and the use of low cost, power efficient, high bandwidth transmitters such as vertical surface emitting lasers (VCSELs) as well as exploitation of spectral efficient in-complex advanced modulation formats is a viable approach to this situation. In this study, techniques for spectral efficiency upgrade and simultaneous transmission of data signal, reference frequency (RF) clock signal and pulse-per-second (PPS) over shared infrastructure have experimentally been optimized in a laboratory environment for adoption in next-generation telescope array networks such as the Square Kilometre Array (SKA), time keeping systems such as banking systems, Coordinated Universal Time(UTC) timing and Global Positioning Systems (GPS), as well as high capacity spectral efficient short reach optical fibre networks such as data centres. This work starts by experimentally optimizing VCSEL technology for simultaneous transmission of 10 Gbps data and 1.712 GHz RF clock signal over a single G. 655 optical fibre of length 24.75 Km at different channel spacing and different propagation direction for implementation in a cost effective next-generation telescope array network. The wavelength tuneability property of VCSEL transmitters allows for wavelength adjustment, a key requirement for simultaneous data and RF clock signal transmission over a single optical fibre. A receiver sensitivity of -19.19 dBm was experimentally achieved at back-to-back analysis. A 24.75 Km of simultaneous data and RF clock signal transmission performed at 0.4 nm channel spacing introduced a transmission penalty of 1.07 dB and 1.63 dB for counter and co-propagation scheme respectively. This work mainly utilized direct modulation and direct detection using a positive intrinsic negative (PIN) due to its simplicity and cost effectiveness. A novel modulation technique for simultaneous data and polarization-based pulse-per-second timing clock signal transmission using a single VCSEL carrier is experimentally demonstrated. Two signal types, a directly modulated 10 Gbps data signal and a polarization-based pulse per second (PPS) clock signal are modulated onto a single mode 10 GHz bandwidth VCSEL carrier at 1310 nm. Spectral efficiency is maximized by exploiting the inherent orthogonal polarization switching of the xiv VCSEL with changing bias in transmission of the PPS signal. A 10 Gbps VCSEL transmission with PPS over 11 Km of G.652 fibre introduced a transmission penalty of 0.52 dB. The contribution of PPS clock signal to this penalty was found to be 0.08 dB. A technique for simultaneous directly modulated data and phase modulated reference clock signal transmission over a signal channel in wavelength division multiplexing (WDM) solutions is experimentally demonstrated. This is to prepare solutions to the ever-increasing demand over gigabit/s, terabit/s and gigahertz capacities in WDM-based terrestrial optical fibre transmission systems such as telescope array networks. a total capacity of 30 Gbps (310 Gbps) data and 12 GHz ( 4 3 GHz) reference clock signal are multiplexed at a channel spacing of 100 GHz and simultaneously transmitted over a single mode G.655 fibre of length 24.73 Km. The recovery of the phase modulated RF clock signal using a differential delay line interferometry technique is experimentally demonstrated. A 625 Gbps (2525 Gbps) DWDM data transmission system is further implemented in simulation by multiplexing 25 channels at 25 Gbps per channel using 50 GHz channel spacing. A four level pulse amplitude modulation (4-PAM) data modulation format employing VCSELs is experimentally demonstrated for adoption in high bitrate networks such as big data science projects and data centre networks. 4-PAM offers a good trade-off between complexity, efficiency, reach, and sensitivity. A software defined digital signal processing (DSP) receiver is designed and implemented in MATLAB to recover the transmitted 4-PAM data signal cost effectively without the necessity of costly receiver hardware. A novel technique for maximizing carrier spectral efficiency through simultaneous 20 Gbps 4-PAM data and phase modulated 2 GHz RF clock signal transmission on a single mode 10 GHz bandwidth VCSEL carrier at 1310 nm is experimentally demonstrated for the first time to the best of our knowledge. Data transmission and clock stability performance of the designed high spectral efficient VCSEL-based link network is evaluated through BER curve plots, phase noise measurements and Allan variance analysis respectively. VCSEL-based Raman amplification is experimentally demonstrated as a viable approach for RF clock signal distribution in extended reach astronomical telescope array networks and other extended reach terrestrial optical fibre network application. This is achieved by adopting two pumping techniques namely forward pumping and backward pumping. A maximum on off gain of 5.7 dB and 1.5 dB was experimentally attained for forward pumping and backward pumping at 24 dBm pump power respectively, while a maximum 100.8 Km fibre transmission achieved experimentally. In summary, this study has successfully demonstrated in-complex, spectral efficient, low cost and power efficient simultaneous data signal, reference frequency (RF) clock signal and pulse-per-second (PPS) transmission techniques over shared network infrastructure. Simultaneous transmission of data, RF clock and PPS timing signal is relevant in nextgeneration telescope array networks such as the Square Kilometre Array (SKA), time keeping systems such as banking systems, Coordinated Universal Time (UTC) timing and Global Positioning Systems (GPS), as well as high capacity spectral efficient short reach optical fibre networks such as data centres.
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- Date Issued: 2018
Energy use patterns and trends: the impact of energy policy in South African low-income households
- Authors: Israel-Akinbo, Sylvia Olawumi
- Date: 2018
- Subjects: Energy policy -- Social aspects -- South Africa , Energy security -- South Africa , Households -- Economic aspects -- South Africa , Poor -- Energy assistance -- South Africa , Poor -- South Africa , University of Cape Town. National Income Dynamics Study , Free Basic Electricity Policy (South Africa) , Income and Expenditure Survey (South Africa)
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/62264 , vital:28148
- Description: Energy poverty is a growing concern especially amongst low-income populations in developing countries. The transition to modern energy carriers is associated with welfare improvement and it is considered as an important developmental goal to achieve, in order to eradicate energy poverty. As such, the South African government has made energy poverty an issue of policy focus. Literature abounds with different measures of energy poverty; energy programmes and policies are also aimed at improving the welfare of the low-income households in terms of basic services such as electricity. As a point of entry into this study, this thesis explored energy use patterns and trends in low-income South African households. The research objectives addressed in the study included investigating the extent of energy poverty through a multidimensional energy poverty index, examining the extent to which the 'energy ladder' and 'energy stacking' models explains energy transition patterns and to examining whether the Free Basic Electricity Policy has impacted on energy choices and energy poverty. In order to contribute to energy poverty and energy policy discussion in South Africa, this study has investigated the dimensions of energy poverty amongst low-income South African households from these three different perspectives (objectives). A positivist approach, by using a quantitative method was used to underpin the study. The study utilised secondary data, which were from the National Income Dynamics Survey and Income and Expenditure Survey. The former was used for the analysis of the multidimensional energy poverty index and energy transition patterns whilst the latter was used for the analysis of the impact of the Free Basic Electricity Policy. The four waves of the National Income Dynamics Survey, with 2008 as the base year and the 2010/2011 version of the Income and Expenditure Survey were used whilst the data were processed through the quantitative software package, STATA version 12. The data were then analysed using the multidimensional energy poverty framework by Nussbaumer et al. (2011) and econometric models, which best fit the objectives. The result of the panel analysis, which assesses the multidimensional energy poverty for low-income households in South Africa showed that low-income households in both urban and rural areas are in a moderate state of energy poverty but different levels. However, the cross-sectional analysis revealed that the percentage of low-income households that are energy poor is reducing for the rural households but increasing for their urban counterparts from 2008 to 2014. The panel and cross-sectional results of the contribution of the energy dimensions in multidimensional energy poverty shows that the low-income households are especially energy poor in terms of heating fuel. The findings from the econometric estimates partly confirmed an energy ladder behaviour for the energy choice for cooking. An energy stacking behaviour was confirmed for the low- income households for these energy services - heating and lighting. Moreover, it was found that with respect to cooking and heating, low-income households living in a modern dwelling, having a small household size and residing in an urban area are less likely to use transitional or traditional energy carriers but most likely to use modern energy carriers. In addition, low-income households are more likely to use modern energy carriers for their cooking and heating in 2010, 2012 and 2014 than in 2008. For lighting energy service, low- income households living in a modern dwelling in an urban settlement are most likely to use modern energy carriers for lighting and less likely to use transitional energy carriers or candles. Only in 2014 were low-income households more likely to use modern energy carriers for lighting than in 2008. The results further showed that modern energy carriers have the highest probability of being preferred for lighting followed by cooking and lastly heating. Also emerging from the findings are that more urban low-income households are receiving the Free Basic Electricity (FBE) grant than their counterparts in the rural areas. The probability of low-income households owning entertainment/education appliance and food preserving appliance is positively influenced by access to Free Basic Electricity. The low- income households living in an urban settlement and in a modern type of dwelling supported this result. However, household size does not seems to support this result should it grow larger.
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- Date Issued: 2018
Co-production of trust for effective local governance: a case study of the Nelson Mandela Bay Municipality
- Authors: Jakoet-Salie, Amina
- Date: 2018
- Subjects: Public participation -- South Africa -- Nelson Mandela Bay Local government -- South Africa -- Nelson Mandela Bay
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/20297 , vital:29227
- Description: The primary aim of this study was to establish whether co-production of public services will lead to trust in service delivery and ultimately to trust in government, with specific reference to the Nelson Mandela Bay Municipality (NMBM). Furthermore, this research investigatedthe fundamental reasons for the mistrust in government, in lieu of the ongoing service delivery protests and officials who are at times not held accountable for their actions. This study acknowledges that there is an underlying problem of lack ofpublic participation and co-production at the sphere of local government.This research is solely based on the assumption thatif co-production is non-existent or problematic and if communities lose trust in the performance of municipalities, any attempts by the government to address these challenges relating to effective governance would be ineffective.The studyprovidesan in-depth theoretical review on co-production, public participation, citizen engagement and trust, with reference to both the national and international context. The study employed both quantitative and qualitative research approaches to validate the research questions and authenticate the problem statement. The triangulation approach allowed the researcher to effectively engage the strengths of both research methodologies. The research findings from the empirical survey were statistically analysed using statistical procedures. The data analysis, derived from the qualitative research approach, involved thematic content analysis. The sample populations for the study comprised councillors selected senior officials and ward committee members. For the quantitative approach, questionnaires were employed for the councillors and the officials. Focus group interviews were conducted with ward committee members as the qualitative component of the study. The findings of the study revealed that as a result of communities’ increasing lack of trust and confidence in local government, service delivery protests are increasing.The study further indicated thatcommunities in the NMBM are generally not well informed about the development plans of the municipality and do not adequately participate in local government activities.The findings from the focus group interviewsconcluded that the working relationship between the ward councillors and ward committee members was somewhat strained and this could have a negative impact on service delivery and ultimately trust levels.Recommendations emanating from the empirical survey and focus group interviews are presented to promote public participation and co-production which essentially could lead to an increase in trust in local government. Legislative prescriptions require that communitiesshould actively participate in the decision-making processes at the local sphere of government. In this regard, a normative model is proposed to further enhance this requirement.
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- Date Issued: 2018
Disputes, relationships and identity: analysing human-human conflicts as a basis for human-wildlife conflicts in the mid-Zambezi valley, northern Zimbabwe
- Authors: Jani, Vincent
- Date: 2018
- Subjects: Environmental geography , Wildlife management Wildlife conservation Human-animal relationships
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/30364 , vital:30934
- Description: This study analysed how human-human conflicts (HHCs) underlie human-wildlife conflicts (HWCs) in Chapoto Ward in the mid-Zambezi valley, northern Zimbabwe. The analytical framework entailed the use of the Levels of Conflict Model (LCM) – a model that seeks to expose different levels of conflict. To gain a rich understanding of the conflicts under investigation, a qualitative research design was employed with triangulation at its core in order to ensure the necessary quality and rigour of the findings. In this case, four different types of data were used, namely, in-depth interviews with heads of households, key informant interviews, focus group sessions, and document analysis. Thematic and content analysis were used to analyse the data which were classified into the following conflict levels: surface level disputes; an intermediate level involving ongoing conflictual relationships; and a deeper level of conflict rooted in identity. Three key findings were generated. Firstly, a substantial number of long-standing disputes were recorded during the ten-year period (2007-2016). Most of these disputes were not resolved because they had a long and complicated history which resulted in previous disputes resurfacing whenever a current one arose. Secondly, the history of unresolved conflict resulted in mistrust and failure to find common ground between the parties involved in the conflict. Lastly, the source of the disputes and unresolved conflicts was traced back to the identity level. This means that the antagonistic relationships among the stakeholders spilled over into the labelling and stigmatisation of all the groups involved in wildlife management. Thus, conflict between people and wildlife in Chapoto Ward was demonstrated to be a complex issue and underlain by HHC. These findings support the new line of thinking that HWC should not be viewed as simply a problem between people and wildlife but as a conflict between stakeholders with divergent views over wildlife management which manifests as HHC. Furthermore, the degree of polarisation between groups is substantial. In light of these findings, four major conclusions are drawn. Firstly, is the need to shift from narrowly focusing on the proximate conflicts between people and wildlife, to fully understand the complexity of conflict in order to arrive at solutions that successfully mitigate conflict between people and wildlife, and to address the underlying and deep-rooted conflict between stakeholders with divergent wildlife management goals. Secondly, the need for concerted efforts to ensure the involvement of all stakeholders, including women, in wildlife management and conservation by developing structures that enhance active participation of the local people in decision-making, v which promotes the success of conservation initiatives. Thirdly, the need to address the underlying and deep-rooted conflicts over wildlife management by building positive relationships and trust between stakeholders through the holding of regular capacity building workshops based on a more respectful and inclusive process. Fourthly, is the need to consider the interests of both ethnic groups, namely the Doma and the Chikunda by gathering information on the preferences of the identity groups in order to increase cooperation among them. Overall, the thesis introduces a new lens through which one can clearly understand the complexity of the conflict between people and wildlife.
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- Date Issued: 2018
The customary law practice of ukuthwala – an antithesis in the South African constitutional order
- Authors: Jokani, Mkhuseli Christopher
- Date: 2018
- Subjects: Customary law -- South Africa , Culture -- Legal status, laws, etc -- South Africa Forced marriage -- Legal status, laws, etc -- South Africa Teenage marriage -- South Africa -- Eastern Cape Xhosa (African people) -- Law and legislation -- Social life and customs
- Language: English
- Type: Thesis , Doctoral , LLD
- Identifier: http://hdl.handle.net/10948/22474 , vital:29973
- Description: The concept of ukuthwala is an age-old customary marriage practice prevalent amongst the Nguni speaking tribes of South Africa. It is a practice whereby, preliminary to a customary marriage, a young man, by force, takes a girl to his home. The SABC and E-tv evening television news coverage of 15th March 2009 reported the prevalence of forced and child marriages of young girls with elderly men in the East Pondoland of the Eastern Cape. The question arose as to whether the custom of ukuthwala could be justified as a legitimate cultural practice in the context of a modern constitutional democracy because some view it as an outdated customary practice that targets girl children, while others view it as a legitimate cultural practice. Since ukuthwala cannot be treated as a unitary phenomenon, variants of the practice must be distinguished. The thesis reveals that there are three variants of ukuthwala, which are ukuthwala ngemvumelwano, ukuthwala kobolawu and ukuthwala okungenamvumelwano. The thesis concludes by drawing a distinction between ukuthwala, forced marriage and child marriage. It proposes that ukuthwala in its traditional form is not synonymous with forced marriage and child marriage. The thesis poses the following main legal questions, namely: does the South African criminal jurisprudence criminalise ukuthwala, and if so, on what charges are perpetrators tried; and how is the inherent conflict between the customary law practice of ukuthwala and the Bill of Rights enshrined in the Constitution, resolved? The thesis responds to these questions as follows. Firstly, it is suggested that ukuthwala in itself is not a formally defined crime, but a customary law practice resorted to by the prospective suitor to force the parents of the young woman into marriage negotiations. However, in recent times the practice has been abused and distorted which borders on the commission of a criminal offence and the violation of the young woman’s human rights. The criminal offences that are committed because of the distorted form of ukuthwala are both in terms of the common and statutory laws of South Africa. The thesis suggests that those found guilty of committing a crime under the pretext of customary law practice of ukuthwala should be punished. South Africa has a number of statutory as well as common law provisions, which can be used to prosecute those found to have committed offences. South Africa does not need to outlaw and criminalise ukuthwala in its entirety but does need to distinguish between the distorted and the traditional forms of ukuthwala. The thesis responds to the second main question as follows. Firstly, the violation of the young woman’s human rights brings to the fore a conflict between the customary law practice of ukuthwala and the Bill of Rights enshrined in the Constitution. The thesis makes a distinction between the three variants of ukuthwala customary practices and concludes that ukuthwala ngemvumelwano is the most acceptable form because it takes place when there is mutual consent between parties. It further proposes that the positive elements within the customary law practice of ukuthwala must be developed and promoted provided that they are consistent with the provisions of the Constitution. However, the negative elements that conflict with provisions of the Constitution should be done away with. The thesis suggests that the latter approach is important to addressing the conflict between ukuthwala customary practice and the Bill of Rights. The thesis concludes by suggesting that the distorted form of subjecting young women and girl children into forced marriages under the pretext of the customary law practice of ukuthwala are unconstitutional and cannot be justified in terms of sections 30 and 31 of the Constitution. Therefore, ukuthwala customary law practice is not free from criticism if one considers the two variants of ukuthwala where there has been no consent from one of the parties concerned. A comparative analysis is undertaken with selected Southern African Development Community countries to establish similarities in practices related to ukuthwala and how the consequent contradictions between customary law and common law have been dealt with. The thesis concludes that ukuthwala is a unique South African customary practice that is different from other customary practices in some selected jurisdictions. Therefore, the comparative analysis has helped in identifying how poverty perpetuates the different but related, customary law practices across the selected jurisdictions. Therefore, in order for Mother Africa to adequately respond to the harmful traditional practices there is a need to address the socio-economic issues particularly in the rural parts of Africa. The harmful traditional practices seem to be more common in the rural parts of the selected jurisdictions rather than in urban and semi-urban areas. The lesson learnt is that social development should have a particular bias towards the rural areas of Africa. The findings, amongst others, are that ukuthwala in its traditional form is a legitimate customary law practice which was often resorted to when obstacles arose in order to force the parents of the young woman to negotiate marriage. Ukuthwala is not synonymous with forced and early marriages. The thesis recommends that South Africa does not need to outlaw ukuthwala despite the fact that it has now been abused and distorted. It is argued that there are sufficient statutory and common laws to respond to the scourge of distorted versions of ukuthwala in South Africa. The thesis recommends that South Africa with its plural legal system should highlight the supremacy of the Constitution aligned with international human rights standards to avoid conflict in legal interpretation and implementation. It is hoped that this will assist in the implementation of the positive aspects of African customary law within the legal system and will remove the negative elements that infringe on the rights of women and children. It is recommended that it would be useful to pursue non-legislative measures to deal comprehensively with the causes of ukuthwala and its consequences by investing in education, training and awareness raising campaigns among sectors of society, most importantly rural people. Education, when employed, should not be an event but a process that will start at school level and extend to post-university. The emphasis should be on the inclusion of gender studies from early grades to undo the mentality of male superiority and entrench an equality attitude between boys and girls from a very early age. The reason for this suggestion is that attitudes manifested in our society always portray girls and women as being weak and therefore not equal to boys and men. It is important to ensure that role-players in the fight against gender-based violence are adequately trained to equip them to handle these cases properly. These role-players include South African Police Service members, National Prosecuting Authority, Judiciary and Non-Governmental Organisations to mitigate secondary victimisation of victims of these distorted cultural practices.
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- Date Issued: 2018