Integration of indigenous knowledge in the intermediate phase school curriculum in a selected education district in the Eastern Cape, South Africa
- Mkosi, Nkosinathi Ndumiso Lizo
- Authors: Mkosi, Nkosinathi Ndumiso Lizo
- Date: 2019
- Subjects: Education -- Curricula -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10353/16136 , vital:40671
- Description: The aims and principles of the post-apartheid South African school curricula, ranging from the Revised National Curriculum Statement Grades R-9 and the National Curriculum Statement Grades 10-12, to include the Curriculum and Assessment Policy Statements (Grades 1-12), have been aligned with the aims and principles of the South African Constitution. The aims and principles, among others, speak to the establishment of human rights, inclusivity, environmental and social justice, and valuing of indigenous knowledge systems. These are the bedrock of all the subjects and do not necessarily confine themselves to the science subjects only; even though the call of inclusion of indigenous knowledge in the sciences is oversubscribed. There has been concerns raised variously that the integration of indigenous knowledge systems in the curriculum, generally, and in the teaching of the respective subjects, particularly, does not necessarily happen as it should be. Thus, the purpose of this mixed methods approach study that adopted a concurrent triangulation mixed methods design and premised on the postpositivist paradigm investigated the integration of indigenous knowledge in the Intermediate Phase school curriculum in a selected Education District in the Eastern Cape Province, South Africa. The guiding lenses adopted for this study were two-fold. The main primary theoretical framework drew from three integration theories: (a) Huang and Newell’s (2003) Knowledge Integration Processes and Dynamics notions; (b) Beane’s (1995) Curriculum Integration and the Disciplines of Knowledge and (c) Harden’s (2000) Integration ladder: A Tool for Curriculum Planning and Evaluation. The ‘secondary’ lens of analysis, which the researcher named, the ‘supplemental framework’, was constituted by notions and constructs derived from the indigenous knowledge systems discourses and postcolonial notions and constructs. The study revealed, among other findings, that (i) whilst a majority of teachers claimed to integrate IK in their classrooms, a significant number did not, and those who claimed to be integrating were unsure about how to integrate (ii) the majority of teachers, HoDs and Subject Advisors were either poorly trained or did not receive any training in the integration of IK (iii) the support and monitoring of IK integration was poor to non-existent. Thus, the study proposes a model, the Integrative Indigenous Knowledge Integration Support and Monitoring Model (IIKISMM), which may act as a framework for the coordination of the support and monitoring of IK integration in the school curriculum. There are significant recommendations offered by the study to teachers and policy makers with regards the integration of indigenous knowledge systems in the school curriculum. Also offered by the study are possibilities for further research in the integration of indigenous knowledge system in the curriculum.
- Full Text:
- Authors: Mkosi, Nkosinathi Ndumiso Lizo
- Date: 2019
- Subjects: Education -- Curricula -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10353/16136 , vital:40671
- Description: The aims and principles of the post-apartheid South African school curricula, ranging from the Revised National Curriculum Statement Grades R-9 and the National Curriculum Statement Grades 10-12, to include the Curriculum and Assessment Policy Statements (Grades 1-12), have been aligned with the aims and principles of the South African Constitution. The aims and principles, among others, speak to the establishment of human rights, inclusivity, environmental and social justice, and valuing of indigenous knowledge systems. These are the bedrock of all the subjects and do not necessarily confine themselves to the science subjects only; even though the call of inclusion of indigenous knowledge in the sciences is oversubscribed. There has been concerns raised variously that the integration of indigenous knowledge systems in the curriculum, generally, and in the teaching of the respective subjects, particularly, does not necessarily happen as it should be. Thus, the purpose of this mixed methods approach study that adopted a concurrent triangulation mixed methods design and premised on the postpositivist paradigm investigated the integration of indigenous knowledge in the Intermediate Phase school curriculum in a selected Education District in the Eastern Cape Province, South Africa. The guiding lenses adopted for this study were two-fold. The main primary theoretical framework drew from three integration theories: (a) Huang and Newell’s (2003) Knowledge Integration Processes and Dynamics notions; (b) Beane’s (1995) Curriculum Integration and the Disciplines of Knowledge and (c) Harden’s (2000) Integration ladder: A Tool for Curriculum Planning and Evaluation. The ‘secondary’ lens of analysis, which the researcher named, the ‘supplemental framework’, was constituted by notions and constructs derived from the indigenous knowledge systems discourses and postcolonial notions and constructs. The study revealed, among other findings, that (i) whilst a majority of teachers claimed to integrate IK in their classrooms, a significant number did not, and those who claimed to be integrating were unsure about how to integrate (ii) the majority of teachers, HoDs and Subject Advisors were either poorly trained or did not receive any training in the integration of IK (iii) the support and monitoring of IK integration was poor to non-existent. Thus, the study proposes a model, the Integrative Indigenous Knowledge Integration Support and Monitoring Model (IIKISMM), which may act as a framework for the coordination of the support and monitoring of IK integration in the school curriculum. There are significant recommendations offered by the study to teachers and policy makers with regards the integration of indigenous knowledge systems in the school curriculum. Also offered by the study are possibilities for further research in the integration of indigenous knowledge system in the curriculum.
- Full Text:
Investigation of Sexual Relationships among gay students at the University Of Fort Hare (Alice Campus), Eastern Cape.
- Authors: Mbanga , T.Q
- Date: 2019
- Subjects: Gay youth Sex (Psychology)
- Language: English
- Type: Thesis , Masters , MSoc. Sci (Psychology)
- Identifier: http://hdl.handle.net/10353/17619 , vital:41129
- Description: The main aim of the study was to investigate sexual relationships among gay students at the University of Fort Hare (Alice Campus), Eastern Cape. A qualitative research design was followed and semi-structured interview schedules were issued to twelve participants. The queer theory underpinned this study and it is based on the notion that individuals are able to determine their sexual identity and sexual orientation as they are. The participants, aged 18-25 years, were purposively selected to share their sexual behaviour as gays. The ethical principles such as informed consent, confidentiality, privacy and protection from harm, were adhered to, throughout the study. Prior identification of the themes, coding took place. The following themes were very important in the research and they helped to achieve the aim of the study and they are; challenges gay students experience in their relationships, closet partners, social networks sexual partners among gay students, condom use among gay students, sexual agreements among gay students, condom use, condom self-efficacy, honesty and communication, social support, self-esteem, liberal community and non-homophobic, traditional male circumcision, sexual agreements among gay students ,pornography viewing , sexual abuse among gay students, discrimination in residence, religiosity and perception towards marriage among gay students. Based on the findings, it is recommended that there should be communication among gay couples to avoid lot of conflicts. Also, there should be education about homosexuality in communities, schools and tertiary institutions as many people treat gays badly owing to lack of knowledge
- Full Text:
- Authors: Mbanga , T.Q
- Date: 2019
- Subjects: Gay youth Sex (Psychology)
- Language: English
- Type: Thesis , Masters , MSoc. Sci (Psychology)
- Identifier: http://hdl.handle.net/10353/17619 , vital:41129
- Description: The main aim of the study was to investigate sexual relationships among gay students at the University of Fort Hare (Alice Campus), Eastern Cape. A qualitative research design was followed and semi-structured interview schedules were issued to twelve participants. The queer theory underpinned this study and it is based on the notion that individuals are able to determine their sexual identity and sexual orientation as they are. The participants, aged 18-25 years, were purposively selected to share their sexual behaviour as gays. The ethical principles such as informed consent, confidentiality, privacy and protection from harm, were adhered to, throughout the study. Prior identification of the themes, coding took place. The following themes were very important in the research and they helped to achieve the aim of the study and they are; challenges gay students experience in their relationships, closet partners, social networks sexual partners among gay students, condom use among gay students, sexual agreements among gay students, condom use, condom self-efficacy, honesty and communication, social support, self-esteem, liberal community and non-homophobic, traditional male circumcision, sexual agreements among gay students ,pornography viewing , sexual abuse among gay students, discrimination in residence, religiosity and perception towards marriage among gay students. Based on the findings, it is recommended that there should be communication among gay couples to avoid lot of conflicts. Also, there should be education about homosexuality in communities, schools and tertiary institutions as many people treat gays badly owing to lack of knowledge
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Isolation and characterization of extracts of Rosmarinus officinalis l. And comparative evaluation of its antimicrobial activity and selected types of antibiotics against some bacteria species
- Authors: Gbede,Remi
- Date: 2019
- Subjects: Rosmarinus Essences and essential oils Lamiaceae Medicinal plants
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/19142 , vital:39875
- Description: Rosmarinus officinalis L. is known extensively for its multifunctional purposes. The essential oil has been widely used in cosmeceuticals and several ethnopharmacological values. In vitro studies have demonstrated the antibacterial activity of essential oils (EOs) of Rosmarinus officinalis L. against Staphylococcus aureus ATCC 25923, Vibrio cholerae DSM 19283, Escherichia coli ATCC 8739, Pseudomonas aeruginosa ATCC 27853 and Bacillus cereus. These different bacteria were screened against antibiotics such as Tetracycline, Ampicillin Sodium salt, Erythromycin and Amoxicillin, and some standards namely rosmarinic acid, carnosic acid and carnosol, and also against the methanol, acetone, chloroform and dichloromethane extracts of rosemary. The essential oils of Rosmarinus officinalis L. showed significant inhibitory properties compared to antibiotics with various degrees of growth inhibition. The standards exhibited some activities against the organisms. The GC/MS analysis of the essential oil revealed 34 compounds present with most components acting in synergy to bring about antibacterial activities. The antiplasmodial and cytotoxic activities of two leaf extracts of Rosmarinus officinalis (with hexane and dichloromethane as solvents) using standard procedure were studied. The findings justify the claims on the efficacy of plants for therapeutic uses for antifungal, antibacterial and anti-inflammatory properties. Antiplasmodial activity of Rosmarinus officinalis recorded IC50 values of 9.99 µg/ml and 9.76 µg/ml in hexane and dichloromethane respectively.
- Full Text:
- Authors: Gbede,Remi
- Date: 2019
- Subjects: Rosmarinus Essences and essential oils Lamiaceae Medicinal plants
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/19142 , vital:39875
- Description: Rosmarinus officinalis L. is known extensively for its multifunctional purposes. The essential oil has been widely used in cosmeceuticals and several ethnopharmacological values. In vitro studies have demonstrated the antibacterial activity of essential oils (EOs) of Rosmarinus officinalis L. against Staphylococcus aureus ATCC 25923, Vibrio cholerae DSM 19283, Escherichia coli ATCC 8739, Pseudomonas aeruginosa ATCC 27853 and Bacillus cereus. These different bacteria were screened against antibiotics such as Tetracycline, Ampicillin Sodium salt, Erythromycin and Amoxicillin, and some standards namely rosmarinic acid, carnosic acid and carnosol, and also against the methanol, acetone, chloroform and dichloromethane extracts of rosemary. The essential oils of Rosmarinus officinalis L. showed significant inhibitory properties compared to antibiotics with various degrees of growth inhibition. The standards exhibited some activities against the organisms. The GC/MS analysis of the essential oil revealed 34 compounds present with most components acting in synergy to bring about antibacterial activities. The antiplasmodial and cytotoxic activities of two leaf extracts of Rosmarinus officinalis (with hexane and dichloromethane as solvents) using standard procedure were studied. The findings justify the claims on the efficacy of plants for therapeutic uses for antifungal, antibacterial and anti-inflammatory properties. Antiplasmodial activity of Rosmarinus officinalis recorded IC50 values of 9.99 µg/ml and 9.76 µg/ml in hexane and dichloromethane respectively.
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Job engagement, Self-efficacy and Organisational citizenship behaviour among employees in selected insurance companies in the eastern cape province
- Authors: Ntshentshe, Sinazo
- Date: 2019
- Subjects: Organizational behavior -- South Africa -- Eastern Cape Job satisfaction -- South Africa -- Eastern Cape Management -- Employee participation -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MCom (Industrial Psychology)
- Identifier: http://hdl.handle.net/10353/12502 , vital:39269
- Description: The present study investigated “Job engagement, self-efficacy and organisational citizenship behaviour among employees in an insurance company in the Eastern Cape province”. A research issue is emphasized and debated in details methodically. Social exchange theory (SET) and social cognitive theory (SCT were used in the study with the support of variable. Previous studies discovered and established the relationship between job engagement (JE) and organisational citizenship behaviour (OCB); as well as self-efficacy (SE) and organisational citizenship behavior; and all variables combined together. Hypothesis is formulated that used to achieve objectives. The study used quantitative research design. The sample (N=100) of the study consist of the employees in the selected insurance companies in Eastern Cape, province. The data was collected with the use of questionnaire method and analyses was done using Statistical Package for the social science.
- Full Text:
- Authors: Ntshentshe, Sinazo
- Date: 2019
- Subjects: Organizational behavior -- South Africa -- Eastern Cape Job satisfaction -- South Africa -- Eastern Cape Management -- Employee participation -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MCom (Industrial Psychology)
- Identifier: http://hdl.handle.net/10353/12502 , vital:39269
- Description: The present study investigated “Job engagement, self-efficacy and organisational citizenship behaviour among employees in an insurance company in the Eastern Cape province”. A research issue is emphasized and debated in details methodically. Social exchange theory (SET) and social cognitive theory (SCT were used in the study with the support of variable. Previous studies discovered and established the relationship between job engagement (JE) and organisational citizenship behaviour (OCB); as well as self-efficacy (SE) and organisational citizenship behavior; and all variables combined together. Hypothesis is formulated that used to achieve objectives. The study used quantitative research design. The sample (N=100) of the study consist of the employees in the selected insurance companies in Eastern Cape, province. The data was collected with the use of questionnaire method and analyses was done using Statistical Package for the social science.
- Full Text:
Knowledge management practices in a regional economic bloc secretariat: a case of Southern African development community
- Authors: Sikazwe, Dennis
- Date: 2019
- Subjects: Knowledge management
- Language: English
- Type: Thesis , Doctoral , PhD (Library and Information Science)
- Identifier: http://hdl.handle.net/10353/11451 , vital:39073
- Description: The effective application of appropriate Knowledge Management Practices (KMPs) is one of the innovative and creative ways for improving organisational work processes. Having been undertaken in a Regional Economic Bloc (REB) at the SADC Secretariat in Gaborone, Botswana, and at the SPGRC in Lusaka, Zambia, the study assesses KMPs among employees in these worksites. However, not all KMPs adopted can be appropriate. For example, studies show that the western epistemological perspective of knowledge that gives preference to leveraging explicit knowledge at the expense of tacit knowledge seems to be dominant in most organisations, just as evidenced in this study. This study was aimed at achieving to a limited extent exploratory and descriptive goal. The study was solidly grounded on the practice-based approach of knowing and learning in organisations, the OKC-SECI, and the dialogic Communication theories. It was aimed at assessing what, how and to what extent have KMPs utilized among REBs in the course of their day to day operations (SADC secretariat in particular). Using these theories, the study clearly shows how appropriate KMPs help improve secretariat’ work processes in any given REB secretariat’ everchanging work environment, and how it’s tested knowledge is stored, shared and applied as best practices. The study further assessed the conduciveness of the secretariat’s workplace environment in which such practices are carried out, and how appropriate the KM related ICTs available in that environment were. The theoretical underpinnings of the study were used to inform the selection of variables for the study. The approach of the study was firstly to understand what and how knowledge (both explicit and tacit) is generated, stored, shared and applied among the secretariat employees, and the focus was on the above theories. The study made use of the triangulated research approach to adequately capture and analyse both qualitative and quantitative data. By so doing, reliability and validity were enhanced. The copies of the questionnaire were administered to 138 employees of the catchment areas, and only 117 copies of the questionnaire were completed and returned for processing. From the returned copies of the questionnaire, 15 respondents whose responses vi appeared to have addressed the research questions were followed up for in-depth interviews. For qualitative data, the in-depth interviews were used together with the observation of the respondents’ behaviour, workplace environment and the appropriateness of the KM related ICTs available. Data obtained from the study were processed and analysed using SPSS for the quantitative data, while responses from the interviews and observations were sorted and coded. The process of comparing the processed quantitative and qualitative data resulted in the drawing of inferences that resolve the research problem. The study findings clearly show that the SADC secretariat was relatively good in the utilisation of appropriate KLPs; however, this was on average at a very low rate (32, 27.44%; Good), and mostly limited to the management of Information Resource Centres (47, 40.47%; Fair). This was followed by Explicit Knowledge Leveraging Practices (KLPs) (36, 30.75%; Good), while Tacit KLPs were rated the least with a (29, 25.20%; Bad) rating. The study findings further indicated that the conduciveness of the SADC secretariat workplace environment was on average fairly rated (61, 52.55%; Fair), with minimal opportunities for socialisation and collaborative work. The appropriateness of KM-related ICTs available at the secretariat was on average rated moderately at (41, 35.00%) Very good, though they were described as blind to the human, social and cultural aspects of KMPs. Finally, the study findings also revealed that the SADC secretariat was particularly rated bad (54, 45.87%) in finding possible KMP solutions, and was rated very good (51, 43.60%) in identifying the actual major challenges for managing KMPs. The use of a practice-based approach, OKC-SECI and Dialogic Communication theories to underpin the study were found suitable for investigating KMPs from a REB secretariat’s work processes context. The practice-based approach and the Dialogic Communication theory were particularly useful in addressing the issue of interaction, dialogue and sense-making in the workplace while the OKC-SECI theory helped understand knowledge conversion processes at the SADC secretariat. The findings of this study seem to propose that KMPs and KM, in general, can best be studied using a combination of methodologies because of the multi-disciplinary nature of the subject. The study, thus, proposes the “practice – theory – practice “knowledge creation and sharing workplace framework.
- Full Text:
- Authors: Sikazwe, Dennis
- Date: 2019
- Subjects: Knowledge management
- Language: English
- Type: Thesis , Doctoral , PhD (Library and Information Science)
- Identifier: http://hdl.handle.net/10353/11451 , vital:39073
- Description: The effective application of appropriate Knowledge Management Practices (KMPs) is one of the innovative and creative ways for improving organisational work processes. Having been undertaken in a Regional Economic Bloc (REB) at the SADC Secretariat in Gaborone, Botswana, and at the SPGRC in Lusaka, Zambia, the study assesses KMPs among employees in these worksites. However, not all KMPs adopted can be appropriate. For example, studies show that the western epistemological perspective of knowledge that gives preference to leveraging explicit knowledge at the expense of tacit knowledge seems to be dominant in most organisations, just as evidenced in this study. This study was aimed at achieving to a limited extent exploratory and descriptive goal. The study was solidly grounded on the practice-based approach of knowing and learning in organisations, the OKC-SECI, and the dialogic Communication theories. It was aimed at assessing what, how and to what extent have KMPs utilized among REBs in the course of their day to day operations (SADC secretariat in particular). Using these theories, the study clearly shows how appropriate KMPs help improve secretariat’ work processes in any given REB secretariat’ everchanging work environment, and how it’s tested knowledge is stored, shared and applied as best practices. The study further assessed the conduciveness of the secretariat’s workplace environment in which such practices are carried out, and how appropriate the KM related ICTs available in that environment were. The theoretical underpinnings of the study were used to inform the selection of variables for the study. The approach of the study was firstly to understand what and how knowledge (both explicit and tacit) is generated, stored, shared and applied among the secretariat employees, and the focus was on the above theories. The study made use of the triangulated research approach to adequately capture and analyse both qualitative and quantitative data. By so doing, reliability and validity were enhanced. The copies of the questionnaire were administered to 138 employees of the catchment areas, and only 117 copies of the questionnaire were completed and returned for processing. From the returned copies of the questionnaire, 15 respondents whose responses vi appeared to have addressed the research questions were followed up for in-depth interviews. For qualitative data, the in-depth interviews were used together with the observation of the respondents’ behaviour, workplace environment and the appropriateness of the KM related ICTs available. Data obtained from the study were processed and analysed using SPSS for the quantitative data, while responses from the interviews and observations were sorted and coded. The process of comparing the processed quantitative and qualitative data resulted in the drawing of inferences that resolve the research problem. The study findings clearly show that the SADC secretariat was relatively good in the utilisation of appropriate KLPs; however, this was on average at a very low rate (32, 27.44%; Good), and mostly limited to the management of Information Resource Centres (47, 40.47%; Fair). This was followed by Explicit Knowledge Leveraging Practices (KLPs) (36, 30.75%; Good), while Tacit KLPs were rated the least with a (29, 25.20%; Bad) rating. The study findings further indicated that the conduciveness of the SADC secretariat workplace environment was on average fairly rated (61, 52.55%; Fair), with minimal opportunities for socialisation and collaborative work. The appropriateness of KM-related ICTs available at the secretariat was on average rated moderately at (41, 35.00%) Very good, though they were described as blind to the human, social and cultural aspects of KMPs. Finally, the study findings also revealed that the SADC secretariat was particularly rated bad (54, 45.87%) in finding possible KMP solutions, and was rated very good (51, 43.60%) in identifying the actual major challenges for managing KMPs. The use of a practice-based approach, OKC-SECI and Dialogic Communication theories to underpin the study were found suitable for investigating KMPs from a REB secretariat’s work processes context. The practice-based approach and the Dialogic Communication theory were particularly useful in addressing the issue of interaction, dialogue and sense-making in the workplace while the OKC-SECI theory helped understand knowledge conversion processes at the SADC secretariat. The findings of this study seem to propose that KMPs and KM, in general, can best be studied using a combination of methodologies because of the multi-disciplinary nature of the subject. The study, thus, proposes the “practice – theory – practice “knowledge creation and sharing workplace framework.
- Full Text:
Knowledge retention practices among healthcare workers at Cecilia Makiwane Hospital, Eastern Cape Province of South Africa
- Authors: Jonga, Nqabakazi
- Date: 2019
- Subjects: Knowledge management Organizational learning
- Language: English
- Type: Thesis , Masters , M LIS
- Identifier: http://hdl.handle.net/10353/11461 , vital:39074
- Description: Knowledge has transformed to become an economic resource in a knowledge-based society, which determines the proficiency, progress and efficiency of any performed task. However, efficiency can be compromised when the health sector fails to retain the wealth of knowledge from experienced, senior and subject experts who have, or are about to leave or retire from the institution. Knowledge management provides for knowledge acquisition, sharing, transfer and further motivates the creation of influential atmospheres for knowledge sharing in the Public health sector. Healthcare is a knowledge driven process and thus knowledge management and the tools to manage knowledge in the healthcare sector are receiving attention. This study investigated knowledge retention practices in the Public health sector, Eastern Cape Province of South Africa. The study was informed by the Socialisation, Externalization, Combination, Internalization SECI model of knowledge creation and conversion by Nonaka & Takeuchi (1995) and the Knowledge based theory of the firm by Grant (1996). Both theories interpret knowledge sharing and preservation as vital for institutional growth and effective service delivery. The theories advised on the establishment of platforms designated for acquisition of new knowledge, knowledge sharing and retention to assist in future decision making to obtain a competitive edge. The study employed a mixed method approach that is largely quantitative in nature. Self-administered questionnaires were adopted for quantitative data collection and three interviews were conducted with middle management to supplement the quantitative data. The reliability and validity of the research instruments was achieved through adapting, and modifying questions from previously used research instruments from the works of Dewah, (2012); Teffo, (2014) and Tatani, (2015). New questions were further developed and evaluated through expert analysis. The study took place at Cecilia Makiwane Hospital in Mdantsane, Eastern Cape. The population of the study comprised of qualified healthcare workers in the health sector mainly “nurses”. The sample size was 198 and three interviews were conducted with the middle management to obtain qualitative data. xix The findings of the study revealed that the concept of knowledge retention was not dominant in public hospitals such as Cecilia Makiwane; however, certain practices are adopted to stimulate knowledge sharing thus contributing to knowledge retention. Several factors such as budget, ICT use, time allocation, fear of losing the competitive value through knowledge sharing and absence of supporting structures or services have been identified as root causes for reduced knowledge sharing practices among healthcare workers. The study, therefore, recommends the appointment of knowledge officers who would oversee the effective implementation of knowledge management policies and adopt strategies that will assist with knowledge retention. Further recommendations are, effective integration of knowledge management practices into the system, development of an internet based system for effective communication and institutional repositories for knowledge preservation. The study concludes that the development of training programs would assist healthcare workers to be familiar with any new or old invented mechanism.
- Full Text:
- Authors: Jonga, Nqabakazi
- Date: 2019
- Subjects: Knowledge management Organizational learning
- Language: English
- Type: Thesis , Masters , M LIS
- Identifier: http://hdl.handle.net/10353/11461 , vital:39074
- Description: Knowledge has transformed to become an economic resource in a knowledge-based society, which determines the proficiency, progress and efficiency of any performed task. However, efficiency can be compromised when the health sector fails to retain the wealth of knowledge from experienced, senior and subject experts who have, or are about to leave or retire from the institution. Knowledge management provides for knowledge acquisition, sharing, transfer and further motivates the creation of influential atmospheres for knowledge sharing in the Public health sector. Healthcare is a knowledge driven process and thus knowledge management and the tools to manage knowledge in the healthcare sector are receiving attention. This study investigated knowledge retention practices in the Public health sector, Eastern Cape Province of South Africa. The study was informed by the Socialisation, Externalization, Combination, Internalization SECI model of knowledge creation and conversion by Nonaka & Takeuchi (1995) and the Knowledge based theory of the firm by Grant (1996). Both theories interpret knowledge sharing and preservation as vital for institutional growth and effective service delivery. The theories advised on the establishment of platforms designated for acquisition of new knowledge, knowledge sharing and retention to assist in future decision making to obtain a competitive edge. The study employed a mixed method approach that is largely quantitative in nature. Self-administered questionnaires were adopted for quantitative data collection and three interviews were conducted with middle management to supplement the quantitative data. The reliability and validity of the research instruments was achieved through adapting, and modifying questions from previously used research instruments from the works of Dewah, (2012); Teffo, (2014) and Tatani, (2015). New questions were further developed and evaluated through expert analysis. The study took place at Cecilia Makiwane Hospital in Mdantsane, Eastern Cape. The population of the study comprised of qualified healthcare workers in the health sector mainly “nurses”. The sample size was 198 and three interviews were conducted with the middle management to obtain qualitative data. xix The findings of the study revealed that the concept of knowledge retention was not dominant in public hospitals such as Cecilia Makiwane; however, certain practices are adopted to stimulate knowledge sharing thus contributing to knowledge retention. Several factors such as budget, ICT use, time allocation, fear of losing the competitive value through knowledge sharing and absence of supporting structures or services have been identified as root causes for reduced knowledge sharing practices among healthcare workers. The study, therefore, recommends the appointment of knowledge officers who would oversee the effective implementation of knowledge management policies and adopt strategies that will assist with knowledge retention. Further recommendations are, effective integration of knowledge management practices into the system, development of an internet based system for effective communication and institutional repositories for knowledge preservation. The study concludes that the development of training programs would assist healthcare workers to be familiar with any new or old invented mechanism.
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Land Reform and the Challenge of Rural Development in Zimbabwe: The Case of the Fast Track Reform in Mashonaland West Region
- Authors: Chigarira, Tangai Sylvester
- Date: 2019
- Subjects: Land reform -- Zimbabwe Agriculture and state -- Zimbabwe Zimbabwe -- Politics and government
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/18665 , vital:42704
- Description: A largely agricultural country, land remains an important factor of production and a critical element in the livelihoods of rural Zimbabweans. Small-scale farmers rely on land for food and income. The post-independence development of Zimbabwe has been tied to land holding. As such, land reform aimed at addressing colonial racial land inequalities and rural underdevelopment became an imperative. In the post-independence era, Zimbabwe undertook two phases of land reform – the first occurred between 1980 and 1999 and was known as the Land reform and Resettlement Programme (LRRP). This was based on the ‘willing-buyer and willing seller’. The second phase which took place from 2000, known as the Fast Track Land Reform Programme (FTLRP), took a radical approach. However, due to a variety of reasons, including the dominance of small-scale farming and challenges of land reform, agricultural productivity remains low. Moreover, despite land reform, including massive land redistribution, the process appears incomplete and inconclusive. This is so essentially because the land reform neither increased food production nor reduced poverty. Accordingly, sustainable development remains a distant reality, especially among rural small-scale farmers. The study aimed at assessing the impact of the fast track land reform (FTLRP) on poverty reduction and sustainable rural development in Zimbabwe. Despite undertaking one of Southern Africa’s largest post-colonial redistributive land reform to date, the provision of land on its own has not been sufficient to address rural poverty and achieving meaningful rural development. This is so because the land reform has not articulated integrated growth as remoteness and poverty remain endemic, which is connected to the land. So, resolving the land question still remains crucial for sustainable rural development in Zimbabwe.
- Full Text:
- Authors: Chigarira, Tangai Sylvester
- Date: 2019
- Subjects: Land reform -- Zimbabwe Agriculture and state -- Zimbabwe Zimbabwe -- Politics and government
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/18665 , vital:42704
- Description: A largely agricultural country, land remains an important factor of production and a critical element in the livelihoods of rural Zimbabweans. Small-scale farmers rely on land for food and income. The post-independence development of Zimbabwe has been tied to land holding. As such, land reform aimed at addressing colonial racial land inequalities and rural underdevelopment became an imperative. In the post-independence era, Zimbabwe undertook two phases of land reform – the first occurred between 1980 and 1999 and was known as the Land reform and Resettlement Programme (LRRP). This was based on the ‘willing-buyer and willing seller’. The second phase which took place from 2000, known as the Fast Track Land Reform Programme (FTLRP), took a radical approach. However, due to a variety of reasons, including the dominance of small-scale farming and challenges of land reform, agricultural productivity remains low. Moreover, despite land reform, including massive land redistribution, the process appears incomplete and inconclusive. This is so essentially because the land reform neither increased food production nor reduced poverty. Accordingly, sustainable development remains a distant reality, especially among rural small-scale farmers. The study aimed at assessing the impact of the fast track land reform (FTLRP) on poverty reduction and sustainable rural development in Zimbabwe. Despite undertaking one of Southern Africa’s largest post-colonial redistributive land reform to date, the provision of land on its own has not been sufficient to address rural poverty and achieving meaningful rural development. This is so because the land reform has not articulated integrated growth as remoteness and poverty remain endemic, which is connected to the land. So, resolving the land question still remains crucial for sustainable rural development in Zimbabwe.
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Land rental policy and land market in Mashonaland East Province, Zimbabwe: implications on farmer decisions, efficiency and equity under A1 and A2 models
- Authors: Tatsvarei , Simbarashe
- Date: 2019
- Subjects: Farms, Small Agricultural extension work
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/15666 , vital:40501
- Description: Government promulgated the land rental policy starting in the year 2007. The policy required that A1 (market residual) and A2 (indigenous commercial) farmers pay rentals to the state. Since then, there has also been an emerging trend in which farmers have been renting in and out land, resulting in an informal market for land rentals. The study therefore assessed farmers’ perceptions of land rental policy and evaluated the possible association of this policy to farmers’ decision making on land rental markets as well as its implications on farmers’ efficiency and equity. The study was carried out in Mashonaland East Province of Zimbabwe, covering two districts, Goromonzi and Marondera. The focus was specifically on A1 and A2 farmers, as the rental policy was directed at these resettlement models only and much of the informal land rental markets were prevalent among these categories of farmers. Data collection utilised the survey approach. This was supported by key informant interviews and focus group discussions, with a final sample of 339 households selected using multi-stage sampling method. Survey data were transcribed on CsPro 6, and analysed using Stata, SPSS and Frontier 4.1. Results showed that about a third of household respondents was from Marondera and twothirds was from Goromonzi, while 79% and 21% was A1 and A2 farmers respectively. About 80% was male headed households and the remainder was female headed households. About half of the households were not participating in land rental markets while the other half was split almost equally between those renting-in and renting-out land. In general, A2 farmers were better in agricultural productivity than A1 farmers. It was concluded that farmers had a fairly good knowledge of the agricultural land rental policy enunciated in the Finance Bills. A1 farmers were more knowledgeable than A2 farmers, but no vii significant differences were observed between male and female headed households and farmers involved and not involved in land rental markets. Farmers’ attitudes in relation to policy were categorised as fair, with significant differences based on gender and land market participation. Practice scores showed a poor adherence to policy for all categories of farmers. Overall perceptions of farmers on rental policy was inferred as fair with significant differences existing between land rental market participants and non-participants (autarky). The results of a bivariate Tobit model results showed that the decision to rent-in land was significantly influenced by gender, household income, permanent labour, cultivated area, tenure certainty, irrigable land size and crop diversification. On the other hand, age, permanent labour, irrigable land size and crop diversification significantly influenced farmers’ decisions to rent-out land. The conclusion was that household characteristics, land endowments and transaction costs significantly influenced the decision to rent-in land while the former two were strong in influencing renting-out decisions. Results from the linearized Cobb Douglas model showed that economic efficiency for most farmers was above 50%. Farmers renting-out land under A1 were found to be the most economically efficient, followed by those who were renting-in and least efficient were farmers not participating in land rental markets, though the differences were marginal. For the A2 model, renting-in farmers were the most efficient, followed by those in autarky position, while renting-out farmers were the least. Overall, the most efficient farmers were those renting-in, followed by those renting-out while farmers in autarky were the least efficient. Overall efficiency was higher for A2 farmers than for A1 farmers. For farmers not participating in rental markets, the sources of inefficiency were crop type, crop area and labour. For farmers renting-in, it was proportion of irrigable land, size of irrigable land, crop type, crop area and viii labour, while inefficiency drivers for renting-out farmers were crop type and associated area. Equity analysis showed that participation in land rental markets reduced inequality for farmers in the two districts and male and female headed households. Inequality was increased among A1 farmers and remained unchanged among A2 farmers. Overall, the emerging position was that participation in land rental markets resulted in higher efficiency and reduced inequality in land holding among the sampled farmers. It is recommended that government should be consistent on land rental policy and bring into place effective administration of land rental policy. Government may also consider formal acceptance of land rental markets in light of the marginal efficiency and equity benefits shown in the study. However, formalizing land rental markets alone may not be a panacea to improved efficiency and needs to be supported by other productivity measures given the average efficiency values for farmers. Crop and livestock production based on compatibility with the natural regions and defined minimum size of land should be encouraged to improve efficiency
- Full Text:
- Authors: Tatsvarei , Simbarashe
- Date: 2019
- Subjects: Farms, Small Agricultural extension work
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/15666 , vital:40501
- Description: Government promulgated the land rental policy starting in the year 2007. The policy required that A1 (market residual) and A2 (indigenous commercial) farmers pay rentals to the state. Since then, there has also been an emerging trend in which farmers have been renting in and out land, resulting in an informal market for land rentals. The study therefore assessed farmers’ perceptions of land rental policy and evaluated the possible association of this policy to farmers’ decision making on land rental markets as well as its implications on farmers’ efficiency and equity. The study was carried out in Mashonaland East Province of Zimbabwe, covering two districts, Goromonzi and Marondera. The focus was specifically on A1 and A2 farmers, as the rental policy was directed at these resettlement models only and much of the informal land rental markets were prevalent among these categories of farmers. Data collection utilised the survey approach. This was supported by key informant interviews and focus group discussions, with a final sample of 339 households selected using multi-stage sampling method. Survey data were transcribed on CsPro 6, and analysed using Stata, SPSS and Frontier 4.1. Results showed that about a third of household respondents was from Marondera and twothirds was from Goromonzi, while 79% and 21% was A1 and A2 farmers respectively. About 80% was male headed households and the remainder was female headed households. About half of the households were not participating in land rental markets while the other half was split almost equally between those renting-in and renting-out land. In general, A2 farmers were better in agricultural productivity than A1 farmers. It was concluded that farmers had a fairly good knowledge of the agricultural land rental policy enunciated in the Finance Bills. A1 farmers were more knowledgeable than A2 farmers, but no vii significant differences were observed between male and female headed households and farmers involved and not involved in land rental markets. Farmers’ attitudes in relation to policy were categorised as fair, with significant differences based on gender and land market participation. Practice scores showed a poor adherence to policy for all categories of farmers. Overall perceptions of farmers on rental policy was inferred as fair with significant differences existing between land rental market participants and non-participants (autarky). The results of a bivariate Tobit model results showed that the decision to rent-in land was significantly influenced by gender, household income, permanent labour, cultivated area, tenure certainty, irrigable land size and crop diversification. On the other hand, age, permanent labour, irrigable land size and crop diversification significantly influenced farmers’ decisions to rent-out land. The conclusion was that household characteristics, land endowments and transaction costs significantly influenced the decision to rent-in land while the former two were strong in influencing renting-out decisions. Results from the linearized Cobb Douglas model showed that economic efficiency for most farmers was above 50%. Farmers renting-out land under A1 were found to be the most economically efficient, followed by those who were renting-in and least efficient were farmers not participating in land rental markets, though the differences were marginal. For the A2 model, renting-in farmers were the most efficient, followed by those in autarky position, while renting-out farmers were the least. Overall, the most efficient farmers were those renting-in, followed by those renting-out while farmers in autarky were the least efficient. Overall efficiency was higher for A2 farmers than for A1 farmers. For farmers not participating in rental markets, the sources of inefficiency were crop type, crop area and labour. For farmers renting-in, it was proportion of irrigable land, size of irrigable land, crop type, crop area and viii labour, while inefficiency drivers for renting-out farmers were crop type and associated area. Equity analysis showed that participation in land rental markets reduced inequality for farmers in the two districts and male and female headed households. Inequality was increased among A1 farmers and remained unchanged among A2 farmers. Overall, the emerging position was that participation in land rental markets resulted in higher efficiency and reduced inequality in land holding among the sampled farmers. It is recommended that government should be consistent on land rental policy and bring into place effective administration of land rental policy. Government may also consider formal acceptance of land rental markets in light of the marginal efficiency and equity benefits shown in the study. However, formalizing land rental markets alone may not be a panacea to improved efficiency and needs to be supported by other productivity measures given the average efficiency values for farmers. Crop and livestock production based on compatibility with the natural regions and defined minimum size of land should be encouraged to improve efficiency
- Full Text:
Lending technologies and small, micro and medium enterprise borrowing: evidence from the Eastern Cape province of South
- Authors: Mbedzi, Edson
- Date: 2019
- Subjects: Financial services industry -- Information technology Banks and banking -- Information technology Small business -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , PhD (Economics)
- Identifier: http://hdl.handle.net/10353/12621 , vital:39293
- Description: Small, Micro and Medium Enterprises (SMMEs) play a major role in contributing to the development of most economies globally. However, such small firms often lack external financing due to their information opacity. Besides, the small firm size nature of most SMMEs impairs their ability to access finance as motivated by the market power theory. In order to address the information asymmetry problem associated with such small firms, financial institutions use different forms of lending technologies as the basis upon which lending decisions are made, that is, whether to loan or not and if the decision to lend is taken, how the intrinsic credit risks are taken into consideration. In the evaluation of the credit worthiness of small businesses, the decision to lend or not depends on soft or hard information acquired through use of a particular lending technology. Many studies in the literature cite access to credit as the main hindrance to SMMEs success. Lending technologies being the conduits transmitting that credit access, the study hypothesises that more emphasis be placed on the relationship between lending technologies and the success of small firms. Success in this case is measured in two ways; the level of SMME credit rationing that small firms endure and the resultant growth of small businesses if they access funding. However, the use of lending technologies as a measure of SMME finance access is missing in academic literature. Specifically, literature on SMMEs in South Africa only narrate the structure of SMMEs and factors affecting SMMEs funding and growth without providing a link on how these eventually influence lending technologies used that determine the lending process. This study therefore traces types of lending technologies used, factors influencing their usage and the subsequent level of credit rationing and growth of small firms. The study uses only formal and registered small firms that are members of the Border-Kei Chamber of Business and Nelson Mandela Bay Business Chamber and listed in their data bases. The study adopts a mixed methods methodology in a two stage analysis approach. In the first stage, the study identifies types of lending technologies used by funding institutions in the study area and factors lenders take into account in order to extend funding to small vi businesses. Based on interview data gathered from eight financial institutions, the types of lending technologies and factors that influence lending decisions are identified using thematic analysis method. In the second stage, the study then interrogates how lending technologies shape the credit rationing and growth of SMMEs within the Eastern Cape Province in South Africa. A sample of three hundred and twenty one (321) randomly selected SMMEs from Buffalo City and Nelson Mandela Bay metropolitans in the Eastern Cape Province is used. Data collected from SMMEs using questionnaires has been analysed to reveal the extent of credit rationing and firm growth variations among SMMEs based on the main lender and firm characteristics identified in the first stage. Credit rationing is both dichotomous, by the firm being either rationed or not, and categorical, by forms of credit rationing experienced by firms. The analysis therefore uses a combination of binary and multinomial logistic regression to evaluate effects of determinants of lending technologies on credit rationing of firms. Financial efficiency scores of firms are used as the proxy for growth of firms. The financial efficiency score is preferred because in its derivation several firm activities are incorporated as opposed to using only one growth indicator such as sales volume. The efficiency scores are generated using Data Enveloping Analysis based on selected main activity inputs and outputs of sampled firms. Since efficiency scores of a firm representing growth are a scale dependent variable, a two-way factorial analysis is used to determine the effect of lender and firm characteristics on the firm’s growth. Both the main and interaction effects of the lender and firm characteristics are captured in the analysis of both credit rationing and growth of firms. Results show that four classes of financial institutions financed formal and registered SMMEs. These are commercial banks, government-owned development financial institutions, private-owned development financial institutions and microfinance institutions. In addition, four types of lending technologies have been used to finance SMMEs in which financial institutions consider people, firm and financial information vii factors as pillars of financing decisions. Findings indicate extensive discriminatory credit rationing among SMMEs in South Africa and that growth paths followed by firms vary significantly as a result of these characteristics. The study therefore recommends the implementation of a financing framework model that allocates funds to different company structures based on credit rationing risk profiles of enterprises so as to minimize the extent of inequality exhibited in the South African population structures which have historical differences on the basis of enterprise size, ownership structure and race. The study further recommends matching of types of lending technologies with types of lenders in order to minimize overall industry credit rationing level in the SMME sector as a supplementary funding model. However, this may need further research to evaluate its application. This is important given that financial institutions use different lending technologies at the same time and further, not all financing institutions may use all forms of lending technologies. For example, microfinance institutions may not have the capacity to use venture capital lending technologies
- Full Text:
- Authors: Mbedzi, Edson
- Date: 2019
- Subjects: Financial services industry -- Information technology Banks and banking -- Information technology Small business -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Doctoral , PhD (Economics)
- Identifier: http://hdl.handle.net/10353/12621 , vital:39293
- Description: Small, Micro and Medium Enterprises (SMMEs) play a major role in contributing to the development of most economies globally. However, such small firms often lack external financing due to their information opacity. Besides, the small firm size nature of most SMMEs impairs their ability to access finance as motivated by the market power theory. In order to address the information asymmetry problem associated with such small firms, financial institutions use different forms of lending technologies as the basis upon which lending decisions are made, that is, whether to loan or not and if the decision to lend is taken, how the intrinsic credit risks are taken into consideration. In the evaluation of the credit worthiness of small businesses, the decision to lend or not depends on soft or hard information acquired through use of a particular lending technology. Many studies in the literature cite access to credit as the main hindrance to SMMEs success. Lending technologies being the conduits transmitting that credit access, the study hypothesises that more emphasis be placed on the relationship between lending technologies and the success of small firms. Success in this case is measured in two ways; the level of SMME credit rationing that small firms endure and the resultant growth of small businesses if they access funding. However, the use of lending technologies as a measure of SMME finance access is missing in academic literature. Specifically, literature on SMMEs in South Africa only narrate the structure of SMMEs and factors affecting SMMEs funding and growth without providing a link on how these eventually influence lending technologies used that determine the lending process. This study therefore traces types of lending technologies used, factors influencing their usage and the subsequent level of credit rationing and growth of small firms. The study uses only formal and registered small firms that are members of the Border-Kei Chamber of Business and Nelson Mandela Bay Business Chamber and listed in their data bases. The study adopts a mixed methods methodology in a two stage analysis approach. In the first stage, the study identifies types of lending technologies used by funding institutions in the study area and factors lenders take into account in order to extend funding to small vi businesses. Based on interview data gathered from eight financial institutions, the types of lending technologies and factors that influence lending decisions are identified using thematic analysis method. In the second stage, the study then interrogates how lending technologies shape the credit rationing and growth of SMMEs within the Eastern Cape Province in South Africa. A sample of three hundred and twenty one (321) randomly selected SMMEs from Buffalo City and Nelson Mandela Bay metropolitans in the Eastern Cape Province is used. Data collected from SMMEs using questionnaires has been analysed to reveal the extent of credit rationing and firm growth variations among SMMEs based on the main lender and firm characteristics identified in the first stage. Credit rationing is both dichotomous, by the firm being either rationed or not, and categorical, by forms of credit rationing experienced by firms. The analysis therefore uses a combination of binary and multinomial logistic regression to evaluate effects of determinants of lending technologies on credit rationing of firms. Financial efficiency scores of firms are used as the proxy for growth of firms. The financial efficiency score is preferred because in its derivation several firm activities are incorporated as opposed to using only one growth indicator such as sales volume. The efficiency scores are generated using Data Enveloping Analysis based on selected main activity inputs and outputs of sampled firms. Since efficiency scores of a firm representing growth are a scale dependent variable, a two-way factorial analysis is used to determine the effect of lender and firm characteristics on the firm’s growth. Both the main and interaction effects of the lender and firm characteristics are captured in the analysis of both credit rationing and growth of firms. Results show that four classes of financial institutions financed formal and registered SMMEs. These are commercial banks, government-owned development financial institutions, private-owned development financial institutions and microfinance institutions. In addition, four types of lending technologies have been used to finance SMMEs in which financial institutions consider people, firm and financial information vii factors as pillars of financing decisions. Findings indicate extensive discriminatory credit rationing among SMMEs in South Africa and that growth paths followed by firms vary significantly as a result of these characteristics. The study therefore recommends the implementation of a financing framework model that allocates funds to different company structures based on credit rationing risk profiles of enterprises so as to minimize the extent of inequality exhibited in the South African population structures which have historical differences on the basis of enterprise size, ownership structure and race. The study further recommends matching of types of lending technologies with types of lenders in order to minimize overall industry credit rationing level in the SMME sector as a supplementary funding model. However, this may need further research to evaluate its application. This is important given that financial institutions use different lending technologies at the same time and further, not all financing institutions may use all forms of lending technologies. For example, microfinance institutions may not have the capacity to use venture capital lending technologies
- Full Text:
Listeners’ Participation in Community Radio: A Case Study of Forte FM Radio
- Authors: Bamigboye, Foluke Bosede
- Date: 2019
- Subjects: Community radio Radio in community development
- Language: English
- Type: Thesis , Masters , MSoc (Communications)
- Identifier: http://hdl.handle.net/10353/16254 , vital:40703
- Description: This dissertation investigates listeners’ participation in community radio, drawing on Forte FM radio in Nkonkobe Municipality in Alice, Eastern Cape. The aim of the study was therefore to explore how listeners are been involved in the activities of Forte FM radio station. This study adopts qualitative research approach. Convenience, and purposive non-probability samplings techniques were subsequently used to select samples for this study. In-depth interviews was conducted with the radio station manager while one focus group discussion each was held with residents of Golf Course and Ntselamanzi areas with eight participants in each focus group, making a total number of sixteen participants for the focus group discussions. The collected data were interpreted and analyzed thematically. The findings of this research showed a remarkable disparity between the listeners of the radio station and perceptions of participation on one hand, and the listeners’ opinion and perceptions of them vice versa. Also, programming is often conceptualized with little or no community involvement and interaction. Listeners interviewed in the course of carrying out the focus group discussion in the two sampled areas were of the views that they only get connected to Forte FM radio station on social grounds of greetings and “shout outs”, through public spheres and for self-representation in the variety of public spaces of Forte FM radio. Another critical finding of this study indicated that, Forte FM is doing its best towards involving listeners in its programming.
- Full Text:
- Authors: Bamigboye, Foluke Bosede
- Date: 2019
- Subjects: Community radio Radio in community development
- Language: English
- Type: Thesis , Masters , MSoc (Communications)
- Identifier: http://hdl.handle.net/10353/16254 , vital:40703
- Description: This dissertation investigates listeners’ participation in community radio, drawing on Forte FM radio in Nkonkobe Municipality in Alice, Eastern Cape. The aim of the study was therefore to explore how listeners are been involved in the activities of Forte FM radio station. This study adopts qualitative research approach. Convenience, and purposive non-probability samplings techniques were subsequently used to select samples for this study. In-depth interviews was conducted with the radio station manager while one focus group discussion each was held with residents of Golf Course and Ntselamanzi areas with eight participants in each focus group, making a total number of sixteen participants for the focus group discussions. The collected data were interpreted and analyzed thematically. The findings of this research showed a remarkable disparity between the listeners of the radio station and perceptions of participation on one hand, and the listeners’ opinion and perceptions of them vice versa. Also, programming is often conceptualized with little or no community involvement and interaction. Listeners interviewed in the course of carrying out the focus group discussion in the two sampled areas were of the views that they only get connected to Forte FM radio station on social grounds of greetings and “shout outs”, through public spheres and for self-representation in the variety of public spaces of Forte FM radio. Another critical finding of this study indicated that, Forte FM is doing its best towards involving listeners in its programming.
- Full Text:
Listening to silenced voices: The lived experiences of Xhosa mothers during the initiation period of their sons
- Authors: Makupula, Mahlodi
- Date: 2019
- Subjects: Ethnocentrism Circumcision
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/15815 , vital:40529
- Description: The aim of this study was to explore and describe the lived experiences of Xhosa mothers during the initiation period of their sons. The male rite of initiation among the amaXhosa has various taboos that prohibit women from getting involved in decision-making regarding the ritual. This creates a challenge as the number of female-headed households are increasing. The rationale for this study was to give Xhosa mothers a voice to relate their narratives of how they experienced the initiation period of their sons. In order to carry out this aim, the paradigm of Afrocentricity was used to anchor the study. Afrocentricity is a paradigm that supports the agency of African people in a study conducted about their issues. It also aims to give the previously oppressed groups a voice so that they can speak for themselves. Interpretative Phenomenological Analysis (IPA) as set out by Jonathan Smith was used as a qualitative research methodology in this study. Data was generated, recorded and transcribed from semi-structured interviews with eight selected participants. The biological mothers of Xhosa initiates, that experienced the initiation of their sons, took part in this study. The over-arching inclusion criteria were that the mothers gave permission for their sons to be initiated, and that their sons did not experience any major complications during the ritual. They met the inclusion criteria as set out by the researcher. The findings of the study indicated that the mothers’ experiences were multifaceted. They included the spiritual, psychological and emotional experiences, as well as their experiences as women, and, more especially, as mothers. The challenges that mothers faced during this period included lack of feedback regarding the health of their sons. This led to the experiencing of somatic symptoms like lack of sleep, poor appetite, and anxiety. In order to deal with their symptoms, the main coping mechanism that the participants used, was prayer. LISTENING TO SILENCED VOICES ii This study has highlighted the importance of listening to previously silenced voices in order to contribute to local knowledge. It is envisaged that the findings of this study will contribute to policy decisions that affect women, by ensuring the involvement of women in higher decision-making bodies. This is particularly important with the high number of femaleheaded households in the country.
- Full Text:
- Authors: Makupula, Mahlodi
- Date: 2019
- Subjects: Ethnocentrism Circumcision
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/15815 , vital:40529
- Description: The aim of this study was to explore and describe the lived experiences of Xhosa mothers during the initiation period of their sons. The male rite of initiation among the amaXhosa has various taboos that prohibit women from getting involved in decision-making regarding the ritual. This creates a challenge as the number of female-headed households are increasing. The rationale for this study was to give Xhosa mothers a voice to relate their narratives of how they experienced the initiation period of their sons. In order to carry out this aim, the paradigm of Afrocentricity was used to anchor the study. Afrocentricity is a paradigm that supports the agency of African people in a study conducted about their issues. It also aims to give the previously oppressed groups a voice so that they can speak for themselves. Interpretative Phenomenological Analysis (IPA) as set out by Jonathan Smith was used as a qualitative research methodology in this study. Data was generated, recorded and transcribed from semi-structured interviews with eight selected participants. The biological mothers of Xhosa initiates, that experienced the initiation of their sons, took part in this study. The over-arching inclusion criteria were that the mothers gave permission for their sons to be initiated, and that their sons did not experience any major complications during the ritual. They met the inclusion criteria as set out by the researcher. The findings of the study indicated that the mothers’ experiences were multifaceted. They included the spiritual, psychological and emotional experiences, as well as their experiences as women, and, more especially, as mothers. The challenges that mothers faced during this period included lack of feedback regarding the health of their sons. This led to the experiencing of somatic symptoms like lack of sleep, poor appetite, and anxiety. In order to deal with their symptoms, the main coping mechanism that the participants used, was prayer. LISTENING TO SILENCED VOICES ii This study has highlighted the importance of listening to previously silenced voices in order to contribute to local knowledge. It is envisaged that the findings of this study will contribute to policy decisions that affect women, by ensuring the involvement of women in higher decision-making bodies. This is particularly important with the high number of femaleheaded households in the country.
- Full Text:
Local web news as tools for framing food security: the content analysis of four selected Eastern Cape web newspapers
- Metula , Nolukhanyo Theorida
- Authors: Metula , Nolukhanyo Theorida
- Date: 2019
- Subjects: Food security World Wide Web
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/17484 , vital:41080
- Description: This study evaluates how the Eastern Cape local web newspapers frame food security in the Eastern Cape Province. A qualitative content analysis by means of textual analysis was used to evaluate the selected local web newspaper’s content on food security related stories within the period of July-December 2017. The sample was drawn from four Eastern Cape local web newspapers- Daily Dispatch Live, Herald Live, Go and Express and The Talk of the Town. The analysis sought to determine how the selected local web newspapers frame food security concerning food availability, accessibility and affordability in the Eastern Cape Province. Additionally, the study aimed to ascertain the issues about food security that are raised by the Eastern Cape local web newspapers and, to establish the extent to which these Eastern Cape local web newspapers’ framing is helpful in ensuring participation, empowerment and community mobilization for food securing purposes. The results of this study indicate that the local web newspapers frame Eastern Cape Province as untapped food basket. The framing suggests that the Province can leverage its agricultural resources for job creation which will ensure economic growth and food security. The local web newspapers framing suggests that there are numerous channels such as natural food production, livestock production, smallholder farming that can enhance availability and access to affordable food to people in the Eastern Cape Province. The findings revealed that local web newspapers frame increased agricultural production as an important issue that demand serious and urgent attention of the Provincial government as it has the potential of not only ensuring food security but also impacting positively on the income of local farmers. The local web newspapers frame farm attacks, land redistribution and reinstatement as important factors that hinder food production and, ultimately, food security in the Eastern Cape v Province. Furthermore, this study discovered that the frame of references used by the local web newspapers, especially the emphasis on local farming, land redistribution and private sector help to empower and mobilize individuals and communities to participate in food security initiatives. This study concludes that Eastern Cape Local Web Newspapers can be veritable tools to enhance food security channels in the Eastern Cape Province
- Full Text:
- Authors: Metula , Nolukhanyo Theorida
- Date: 2019
- Subjects: Food security World Wide Web
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/17484 , vital:41080
- Description: This study evaluates how the Eastern Cape local web newspapers frame food security in the Eastern Cape Province. A qualitative content analysis by means of textual analysis was used to evaluate the selected local web newspaper’s content on food security related stories within the period of July-December 2017. The sample was drawn from four Eastern Cape local web newspapers- Daily Dispatch Live, Herald Live, Go and Express and The Talk of the Town. The analysis sought to determine how the selected local web newspapers frame food security concerning food availability, accessibility and affordability in the Eastern Cape Province. Additionally, the study aimed to ascertain the issues about food security that are raised by the Eastern Cape local web newspapers and, to establish the extent to which these Eastern Cape local web newspapers’ framing is helpful in ensuring participation, empowerment and community mobilization for food securing purposes. The results of this study indicate that the local web newspapers frame Eastern Cape Province as untapped food basket. The framing suggests that the Province can leverage its agricultural resources for job creation which will ensure economic growth and food security. The local web newspapers framing suggests that there are numerous channels such as natural food production, livestock production, smallholder farming that can enhance availability and access to affordable food to people in the Eastern Cape Province. The findings revealed that local web newspapers frame increased agricultural production as an important issue that demand serious and urgent attention of the Provincial government as it has the potential of not only ensuring food security but also impacting positively on the income of local farmers. The local web newspapers frame farm attacks, land redistribution and reinstatement as important factors that hinder food production and, ultimately, food security in the Eastern Cape v Province. Furthermore, this study discovered that the frame of references used by the local web newspapers, especially the emphasis on local farming, land redistribution and private sector help to empower and mobilize individuals and communities to participate in food security initiatives. This study concludes that Eastern Cape Local Web Newspapers can be veritable tools to enhance food security channels in the Eastern Cape Province
- Full Text:
Male nurses’ occupational experiences and meaning ascribed to dirty work in a female-dominated profession: A case of a hospital in the Eastern Cape Province of South Africa
- Authors: Chikungwa-Everson , Tarisai
- Date: 2019
- Subjects: Quality of work life Occupational prestige
- Language: English
- Type: Thesis , Doctoral , PhD (Industrial Psychology)
- Identifier: http://hdl.handle.net/10353/13314 , vital:39633
- Description: Orientation: Work and individual pursuit for career development have become critical in modern society. Within this, new forms of work and categories of work have emerged. Given these new forms of work and categories of work, there is a need to understand individual sense-making and experiences of transition. Research Purpose: The study explores male nurses’ occupational experiences and meaning ascribed to dirty work in a female-dominated profession. Motivation of the Study: Calls exist within the extant literature to understand modern forms of work and individual transition. One such area is that of dirty work – classified as any form of work with physical, moral or emotional taint. Little research within an Industrial and Organisational Psychology context exists on dirty work. Research Approach, Design/Method: An interpretivist, qualitative research approach using the exploratory research design was utilised to explore male nurse's occupational experiences and meaning ascribed to dirty work in a female-dominated profession. Narrative analysis was used as a basis for analysis using 27 male nurses working within the Eastern Cape Province of South Africa. Main Findings: Based on the analysis of the 27 participants that took part in the study five main narratives emerged. These included: a) a career in nursing as framed as a recursive discourse; b) the experience of a nurse as oscillating as an agentic prowess and a communal assemblage of continued suspicion; c) striving more agentic domains ahead of communal domains in entering and surviving within dirty work; d) male nurses fulfilling a gendered utility role that female nurses cannot occupy and finally, e) male nurses’ ephemeral intention of being in the nursing profession influenced by the conditions of work. ii Practical/Managerial Implications: Based on the findings of the research, interventions are proposed with ramifications for the individual, organisation and career counselling. Contribution/Value-Add: Based on the findings of the research a theoretical framework of dirty work experiences and meaning of work amongst male nurses is proposed. The framework represents a departure away from traditional career theories espoused in the work of Holland and Super as it illustrates the role of intersectionality and marginality in shaping career development. Further, the proposed framework founded from the findings of the research (though supporting modern career models such as the Systems Theory Framework and the Career Construction Theory) uniquely show drivers towards dirty work, b) the processual work accompanying dirty work involvement and finally, c) the meaning ascribed to dirty work. The study becomes the first within a South African context.
- Full Text:
- Authors: Chikungwa-Everson , Tarisai
- Date: 2019
- Subjects: Quality of work life Occupational prestige
- Language: English
- Type: Thesis , Doctoral , PhD (Industrial Psychology)
- Identifier: http://hdl.handle.net/10353/13314 , vital:39633
- Description: Orientation: Work and individual pursuit for career development have become critical in modern society. Within this, new forms of work and categories of work have emerged. Given these new forms of work and categories of work, there is a need to understand individual sense-making and experiences of transition. Research Purpose: The study explores male nurses’ occupational experiences and meaning ascribed to dirty work in a female-dominated profession. Motivation of the Study: Calls exist within the extant literature to understand modern forms of work and individual transition. One such area is that of dirty work – classified as any form of work with physical, moral or emotional taint. Little research within an Industrial and Organisational Psychology context exists on dirty work. Research Approach, Design/Method: An interpretivist, qualitative research approach using the exploratory research design was utilised to explore male nurse's occupational experiences and meaning ascribed to dirty work in a female-dominated profession. Narrative analysis was used as a basis for analysis using 27 male nurses working within the Eastern Cape Province of South Africa. Main Findings: Based on the analysis of the 27 participants that took part in the study five main narratives emerged. These included: a) a career in nursing as framed as a recursive discourse; b) the experience of a nurse as oscillating as an agentic prowess and a communal assemblage of continued suspicion; c) striving more agentic domains ahead of communal domains in entering and surviving within dirty work; d) male nurses fulfilling a gendered utility role that female nurses cannot occupy and finally, e) male nurses’ ephemeral intention of being in the nursing profession influenced by the conditions of work. ii Practical/Managerial Implications: Based on the findings of the research, interventions are proposed with ramifications for the individual, organisation and career counselling. Contribution/Value-Add: Based on the findings of the research a theoretical framework of dirty work experiences and meaning of work amongst male nurses is proposed. The framework represents a departure away from traditional career theories espoused in the work of Holland and Super as it illustrates the role of intersectionality and marginality in shaping career development. Further, the proposed framework founded from the findings of the research (though supporting modern career models such as the Systems Theory Framework and the Career Construction Theory) uniquely show drivers towards dirty work, b) the processual work accompanying dirty work involvement and finally, c) the meaning ascribed to dirty work. The study becomes the first within a South African context.
- Full Text:
Managing personal archives in specialised repositories: a case study of Phillip Valentine Tobias collection(s) at the University of the Witwatersrand
- Authors: Marima, Elizabeth Nakai
- Date: 2019
- Subjects: Archives management , Institutional repositories
- Language: English
- Type: Thesis , Masters , M LIS
- Identifier: http://hdl.handle.net/10353/11473 , vital:39075
- Description: Personal archives are noncurrent records created by individuals that are selected and kept for their enduring value. They are a record of the past and stand as evidence of what transpired. They make part of repository holdings together with public archives in organisational repositories. Public archives document transactions, statutes, procedures, and regulations. Personal archives contain the documentation of individual lives, emotions, values, experiences and human personality. They seek to reflect the character of the individual who created them. Management of personal archives in repositories refers to their acquisition, collection, arrangement, description, preservation, conservation, creation if access and use. Therefore, the main purpose of this study is to investigate the managing of personal archives in specialized repositories: A case study of Phillip Valentine Tobias Collection(s) at the University of the Witwatersrand, Johannesburg. The study sought to investigate the legal framework that regulates managing of personal archives and the experiences, perceptions and expectations of people managing the personal archives. Furthermore, the study sought to identify strategies of improving the management of personal archives at University of the Witwatersrand, Johannesburg. The study was motivated by the archival theory that conceptualizes grouping of records together for their content and contextual value as evidence with the aim of restating the past. The theory further defines personal archives as records of continued value created by an individual which accumulated naturally, impartially and without prejudice in order to accurately witness the past. The study used a qualitative methodology and was guided by the interpretivist research paradigm. Data was collected using open-ended questions to conduct semi-structured interviews. To complement data, a document analysis, focus group and casual observation were also used. The site of study was University of the Witwatersrand. The total population constituted 41 staff members working in six special repositories with the Phillip Tobias collections at University of the Witwatersrand. The sample size was 25 staff members working in three special repositories. The qualitative data was reported verbartim and the Constant Comparative method was used for data analysis. The findings indicated challenges to the archival theory as the contextual grouping of personal archives was distorted. The study also showed that the archives were xv mismanaged due to framework irregularities, lack of top management support and limited resources. The major resources that were limited were infrastructure, archival ICT systems, human resources and training needs. From the interviews, the research identified strategies of improving the management of personal archives. The study recommended that the university benchmark for archival support strategies and to also engage in existence justification initiatives to harness top management’s attention towards the archive. Out of the identified strategies, the study suggested a tailor made strategy, which combined aspects of each strategy in order to avoid associated challenges.
- Full Text:
- Authors: Marima, Elizabeth Nakai
- Date: 2019
- Subjects: Archives management , Institutional repositories
- Language: English
- Type: Thesis , Masters , M LIS
- Identifier: http://hdl.handle.net/10353/11473 , vital:39075
- Description: Personal archives are noncurrent records created by individuals that are selected and kept for their enduring value. They are a record of the past and stand as evidence of what transpired. They make part of repository holdings together with public archives in organisational repositories. Public archives document transactions, statutes, procedures, and regulations. Personal archives contain the documentation of individual lives, emotions, values, experiences and human personality. They seek to reflect the character of the individual who created them. Management of personal archives in repositories refers to their acquisition, collection, arrangement, description, preservation, conservation, creation if access and use. Therefore, the main purpose of this study is to investigate the managing of personal archives in specialized repositories: A case study of Phillip Valentine Tobias Collection(s) at the University of the Witwatersrand, Johannesburg. The study sought to investigate the legal framework that regulates managing of personal archives and the experiences, perceptions and expectations of people managing the personal archives. Furthermore, the study sought to identify strategies of improving the management of personal archives at University of the Witwatersrand, Johannesburg. The study was motivated by the archival theory that conceptualizes grouping of records together for their content and contextual value as evidence with the aim of restating the past. The theory further defines personal archives as records of continued value created by an individual which accumulated naturally, impartially and without prejudice in order to accurately witness the past. The study used a qualitative methodology and was guided by the interpretivist research paradigm. Data was collected using open-ended questions to conduct semi-structured interviews. To complement data, a document analysis, focus group and casual observation were also used. The site of study was University of the Witwatersrand. The total population constituted 41 staff members working in six special repositories with the Phillip Tobias collections at University of the Witwatersrand. The sample size was 25 staff members working in three special repositories. The qualitative data was reported verbartim and the Constant Comparative method was used for data analysis. The findings indicated challenges to the archival theory as the contextual grouping of personal archives was distorted. The study also showed that the archives were xv mismanaged due to framework irregularities, lack of top management support and limited resources. The major resources that were limited were infrastructure, archival ICT systems, human resources and training needs. From the interviews, the research identified strategies of improving the management of personal archives. The study recommended that the university benchmark for archival support strategies and to also engage in existence justification initiatives to harness top management’s attention towards the archive. Out of the identified strategies, the study suggested a tailor made strategy, which combined aspects of each strategy in order to avoid associated challenges.
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Mapping soil factors influencing erosion using machine leaerning algorithms in the t35 d-e catchment in the Eastern Cape Province
- Du Plessis, Casparus Jacobus
- Authors: Du Plessis, Casparus Jacobus
- Date: 2019
- Subjects: Soils -- Analysis Soil erosion
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/17106 , vital:40850
- Description: The need for detailed spatial soil information is increasing in the fields of environmental studies, agriculture as well as engineering practices. Regarding soil erosion in South Africa, border lines between sensitive soil forms in the Duplex soil group and resistant soil forms in the Oxidic soil group need to be mapped to a high accuracy to prevent/manage erosion and major soil losses. In third world countries like South Africa, digital soil mapping (DSM) with the use of machine learning can provide the solutions to fill numerous gaps in these related fields. Local DSM research has been ongoing at the University of the Free State and related institutions for the past eleven years. It has also been used commercially and can therefore be regarded as fruitful. The National Resource Management unit of the Department of Environmental Affairs required a soil map regarding the susceptibility of the soil to erosion for catchment T35 D-E (87 000 hectares) in the Mzimvubu management area of the Eastern Cape, South Africa. Through a DSM approach, machine learning was used to predict the occurrence of soil forms and soil families in accordance with the South African Soil Classification System. A total of 591 soil observations were made at specific points, pre-determined with the conditioned Latin Hypercube sampling (cLHS) method. These pre-determined points were classified into nineteen soil forms and forty eight soil families. The soils were then further divided into nine soil groups, based on their inherent sensitivity to erosion. Outlier observations were omitted from the dataset to create a reliable framework to predict the soil groups as influenced by the SCORPAN factors. These soil groups were mapped and evaluated with an accuracy of 68% and a Kappa statistic value of 0.42 that compare well with other soil maps, both locally and internationally. Mapping soil with an acceptable accuracy with such a high level of detail on catchment scale would be a tremendous advantage to soil scientists and environmental workforces in southern Africa. Future work should focus on DSM training, to broaden the base of DSM skills available in southern Africa. This will ensure that soil information would be included in addressing an increasing amount of real world problems at catchment scales.
- Full Text:
- Authors: Du Plessis, Casparus Jacobus
- Date: 2019
- Subjects: Soils -- Analysis Soil erosion
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/17106 , vital:40850
- Description: The need for detailed spatial soil information is increasing in the fields of environmental studies, agriculture as well as engineering practices. Regarding soil erosion in South Africa, border lines between sensitive soil forms in the Duplex soil group and resistant soil forms in the Oxidic soil group need to be mapped to a high accuracy to prevent/manage erosion and major soil losses. In third world countries like South Africa, digital soil mapping (DSM) with the use of machine learning can provide the solutions to fill numerous gaps in these related fields. Local DSM research has been ongoing at the University of the Free State and related institutions for the past eleven years. It has also been used commercially and can therefore be regarded as fruitful. The National Resource Management unit of the Department of Environmental Affairs required a soil map regarding the susceptibility of the soil to erosion for catchment T35 D-E (87 000 hectares) in the Mzimvubu management area of the Eastern Cape, South Africa. Through a DSM approach, machine learning was used to predict the occurrence of soil forms and soil families in accordance with the South African Soil Classification System. A total of 591 soil observations were made at specific points, pre-determined with the conditioned Latin Hypercube sampling (cLHS) method. These pre-determined points were classified into nineteen soil forms and forty eight soil families. The soils were then further divided into nine soil groups, based on their inherent sensitivity to erosion. Outlier observations were omitted from the dataset to create a reliable framework to predict the soil groups as influenced by the SCORPAN factors. These soil groups were mapped and evaluated with an accuracy of 68% and a Kappa statistic value of 0.42 that compare well with other soil maps, both locally and internationally. Mapping soil with an acceptable accuracy with such a high level of detail on catchment scale would be a tremendous advantage to soil scientists and environmental workforces in southern Africa. Future work should focus on DSM training, to broaden the base of DSM skills available in southern Africa. This will ensure that soil information would be included in addressing an increasing amount of real world problems at catchment scales.
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Medicinal Plants Used to Treat and Manage Respiratory Infections in the Limpopo Province, South Africa: Phytotherapeutic Study of Bapedi Traditional Healers’ Practices
- Authors: Semenya, Sebua Silas
- Date: 2019
- Subjects: Medicinal plants Respiratory infections -- Alternative treatment
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/15716 , vital:40512
- Description: There is paucity of data on South African traditional healers’ (THs) phytotherapeutic practices regarding respiratory infections (RIs). Several people in South Africa are contracting RIs due to prevalence of risk factors. This situation is exacerbated by limited modern health care facilities and associated personnel in some provinces in the country. The primary objectives of this study were twofold. First purpose was to execute a comprehensive social and ethnobotanical surveys aimed at (a) establishing the types of RIs treated by THs and diagnosis techniques used, (b) plants used as therapies for RIs and associated indigenous knowledge practices, (c) source/s of plants used as medicines, (d) harvesting practices, current local availability status, conservation status and threats of indigenous plants as well as the level of conservation knowledge possessed by THs. The second objective was to assess the therapeutic value of the four most frequently used plant species by THs by (a) analysing the phytochemical profile of the plant extracts, (b) their antioxidant activities, and (c) their antibacterial activities. Information linked to the social and ethnobotanical surveys was gathered via a semi-structured questionnaires, supplemented by field observations during face-to-face interview with 240 conveniently selected THs practicing in the municipalities of Capricorn, Sekhukhune and Waterberg districts of the Limpopo Province, South Africa. Data were generally analysed using Microsoft Excel and Statistical Package for the Social Sciences (SPSS). In addition to these softwares, ethnobotanical data were analysed via quantitative ethnobotanical indexes namely use mention (UM), fidelity level (FL), use value (UV) and preference ranking (PR). For laboratory experiments, qualitative phytochemical constitutes of the crude extracts were determined using the standard screening methods. The antioxidant activities of acetone, dichlomethane, hexane, methanol and water crude extracts were evaluated using qualitative and quantitative 2, 2-diphenyl-1-picrylhydrazyl (DPPH) assays. Antibacterial activities of these extracts was assessed using microdilution and bioautography assays. Six types of RIs; tuberculosis (84.1%), sore throat (65%), asthma (58.3%), sinusitis (55%), pneumonia (53.3%) and rhinitis (43.7%) were treated by THs practicing as herbalists (58.7%), herbalists and diviners (40.5%), and diviners (0.4%). The identification of these RIs was based on the patients’ presentation of certain clinical symptoms, with THs practicing both herbalism and divination additionally using bone casting. There was a broad overlap between the clinical signs used to diagnose most of the RIs, and the specificity of symptoms followed when ascertaining an individual infection was low. A total of 224 plant species (83% indigenous and 16.9% exotics) belonging to 177 genera and 85 botanical families, mainly the Fabaceae (25 spp.) and Asteraceae (16 spp.) were used by THs as herbal medicines for the aforesaid RIs and perceived related symptoms (RSs). Most of the documented plant species were used for tuberculosis (82.1%) and asthma (46.4%). Roots (64%) and leaves (13%) formed an important mainstay for medicinal recipes preparations. Different routes of administering these recipes were noted, with oral (75.6%) and nasal (18.8%) being the most preferred. The most widely used species by THs to treat and manage all the six RIs with high UM, FL, UV and PR values included Clerodendrum ternatum, Cryptocarya transvaalensis, Enicostema axillare, Lasiosiphon caffer and Stylochaeton natalensis. Overall larger numbers of species used by Bapedi THs including the mentioned ones are recorded for the first time in scientific literature as remedies for RIs and RSs, thus reflecting a need for more similar studies amongst other ethnic groups of South Africa and elsewhere. The phytochemical screening of four most used plants C. ternatum, C. transvaalensis, E. axillare and L. caffer crude extracts revealed the presence of alkaloids, anthraquinones, cardiac glycosides, flavonoids, phlobatannin, saponins, steroids, tannins and terpenes. All plants including those that did not display any antioxidant activities using qualitative DPPH assay displayed a certain level of scavenging activity when quantified, with the mentioned extracts from E. axillare (water and hexane), L. caffer (water and acetone) and C. ternatum (acetone) showing excellent activity almost comparable to a standard antioxidant drug (ascorbic acid). Plant extracts from all used solvents were active against Mycobacterium smegmatis, Klebsiella pneumoniae, Staphylococcus aureus and Pseudomonas aeruginosa with miniumum bactericidal concentration values ranging between 0.019 and 2.5 mg/ml depending on the plant species. Some of plant extracts exhibited minimum inhibitory concentration values ranging between 0.63 to 2.5 mg/ml. This study showed that most of the diagnosis methods used by Bapedi THs and their herbal medicines have the potential to contribute towards the management and treatment of RIs and RSs. iii | Page Future endeavour should be focused on the following: (a) possibility of collaboration between questioned THs and local western health care practitioners in the treatment of these diseases, and (b) isolation, purification and characterization of the biologically active compounds from extract of the above-stated plants, amongst other inquiries.
- Full Text:
- Authors: Semenya, Sebua Silas
- Date: 2019
- Subjects: Medicinal plants Respiratory infections -- Alternative treatment
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/15716 , vital:40512
- Description: There is paucity of data on South African traditional healers’ (THs) phytotherapeutic practices regarding respiratory infections (RIs). Several people in South Africa are contracting RIs due to prevalence of risk factors. This situation is exacerbated by limited modern health care facilities and associated personnel in some provinces in the country. The primary objectives of this study were twofold. First purpose was to execute a comprehensive social and ethnobotanical surveys aimed at (a) establishing the types of RIs treated by THs and diagnosis techniques used, (b) plants used as therapies for RIs and associated indigenous knowledge practices, (c) source/s of plants used as medicines, (d) harvesting practices, current local availability status, conservation status and threats of indigenous plants as well as the level of conservation knowledge possessed by THs. The second objective was to assess the therapeutic value of the four most frequently used plant species by THs by (a) analysing the phytochemical profile of the plant extracts, (b) their antioxidant activities, and (c) their antibacterial activities. Information linked to the social and ethnobotanical surveys was gathered via a semi-structured questionnaires, supplemented by field observations during face-to-face interview with 240 conveniently selected THs practicing in the municipalities of Capricorn, Sekhukhune and Waterberg districts of the Limpopo Province, South Africa. Data were generally analysed using Microsoft Excel and Statistical Package for the Social Sciences (SPSS). In addition to these softwares, ethnobotanical data were analysed via quantitative ethnobotanical indexes namely use mention (UM), fidelity level (FL), use value (UV) and preference ranking (PR). For laboratory experiments, qualitative phytochemical constitutes of the crude extracts were determined using the standard screening methods. The antioxidant activities of acetone, dichlomethane, hexane, methanol and water crude extracts were evaluated using qualitative and quantitative 2, 2-diphenyl-1-picrylhydrazyl (DPPH) assays. Antibacterial activities of these extracts was assessed using microdilution and bioautography assays. Six types of RIs; tuberculosis (84.1%), sore throat (65%), asthma (58.3%), sinusitis (55%), pneumonia (53.3%) and rhinitis (43.7%) were treated by THs practicing as herbalists (58.7%), herbalists and diviners (40.5%), and diviners (0.4%). The identification of these RIs was based on the patients’ presentation of certain clinical symptoms, with THs practicing both herbalism and divination additionally using bone casting. There was a broad overlap between the clinical signs used to diagnose most of the RIs, and the specificity of symptoms followed when ascertaining an individual infection was low. A total of 224 plant species (83% indigenous and 16.9% exotics) belonging to 177 genera and 85 botanical families, mainly the Fabaceae (25 spp.) and Asteraceae (16 spp.) were used by THs as herbal medicines for the aforesaid RIs and perceived related symptoms (RSs). Most of the documented plant species were used for tuberculosis (82.1%) and asthma (46.4%). Roots (64%) and leaves (13%) formed an important mainstay for medicinal recipes preparations. Different routes of administering these recipes were noted, with oral (75.6%) and nasal (18.8%) being the most preferred. The most widely used species by THs to treat and manage all the six RIs with high UM, FL, UV and PR values included Clerodendrum ternatum, Cryptocarya transvaalensis, Enicostema axillare, Lasiosiphon caffer and Stylochaeton natalensis. Overall larger numbers of species used by Bapedi THs including the mentioned ones are recorded for the first time in scientific literature as remedies for RIs and RSs, thus reflecting a need for more similar studies amongst other ethnic groups of South Africa and elsewhere. The phytochemical screening of four most used plants C. ternatum, C. transvaalensis, E. axillare and L. caffer crude extracts revealed the presence of alkaloids, anthraquinones, cardiac glycosides, flavonoids, phlobatannin, saponins, steroids, tannins and terpenes. All plants including those that did not display any antioxidant activities using qualitative DPPH assay displayed a certain level of scavenging activity when quantified, with the mentioned extracts from E. axillare (water and hexane), L. caffer (water and acetone) and C. ternatum (acetone) showing excellent activity almost comparable to a standard antioxidant drug (ascorbic acid). Plant extracts from all used solvents were active against Mycobacterium smegmatis, Klebsiella pneumoniae, Staphylococcus aureus and Pseudomonas aeruginosa with miniumum bactericidal concentration values ranging between 0.019 and 2.5 mg/ml depending on the plant species. Some of plant extracts exhibited minimum inhibitory concentration values ranging between 0.63 to 2.5 mg/ml. This study showed that most of the diagnosis methods used by Bapedi THs and their herbal medicines have the potential to contribute towards the management and treatment of RIs and RSs. iii | Page Future endeavour should be focused on the following: (a) possibility of collaboration between questioned THs and local western health care practitioners in the treatment of these diseases, and (b) isolation, purification and characterization of the biologically active compounds from extract of the above-stated plants, amongst other inquiries.
- Full Text:
Mobile money adoption: a case study of Zimbaweans residing in South Africa
- Authors: Chimusoro, Anna
- Date: 2019
- Subjects: Mobile commerce Financial institutions
- Language: English
- Type: Thesis , Masters , MCom (Business Management)
- Identifier: http://hdl.handle.net/10353/13326 , vital:39634
- Description: A mobile phone has become an essential tool for both social and economic development in various countries around the world. For Zimbabweans residing in South Africa, a mobile phone is a lifeline to support family and relatives back home through Eco-cash mobile money service. With the assistance of mobile commerce applications, consumers are able to use their devices for financial transactions, taking pictures, videos and accessing social networks. As such, a mobile phone can be used for a myriad of functions other than communication purposes. These innovative technological developments in the telecommunications sector have also empowered businesses to improve on their efficiency and effectiveness. However, the challenge remains for consumers to adopt these innovations. Therefore, the purpose of this study was to determine the factors influencing the adoption of mobile money (Eco-cash) by Zimbabweans residing in South Africa. The study also established if perceived usefulness, perceived ease of use, perceived risk, perceived trust, social influence and facilitating conditions influence the intention to adopt mobile money (Eco-cash). The research adopted the TAM, extended TAM and UTAUT constructs to develop a theoretical model. A quantitative, descriptive research approach was applied to the study. Both primary and secondary sources were utilised in the collection of data. A self-administered questionnaire was distributed to a sample of 377 respondents through convenience and snowballing sampling methods in East London. Statistical Package for Social Sciences (SPSS) version 25 software packages was utilised to analyse the data. Analysis of Variance (ANOVA) and multiple linear regression analysis (MLR) statistical techniques were employed to interpret the findings. The study found significant relationships on perceived ease of use, perceived trust, perceived risk, perceived usefulness, social influence and user intention. No significant relationship was found between facilitating conditions and user intention. The study recommends that MNOs design mobile money systems that are user-friendly and simple to use. Furthermore, MNOs and mobile money agents can offer value added services to attract more consumers to use their services.
- Full Text:
- Authors: Chimusoro, Anna
- Date: 2019
- Subjects: Mobile commerce Financial institutions
- Language: English
- Type: Thesis , Masters , MCom (Business Management)
- Identifier: http://hdl.handle.net/10353/13326 , vital:39634
- Description: A mobile phone has become an essential tool for both social and economic development in various countries around the world. For Zimbabweans residing in South Africa, a mobile phone is a lifeline to support family and relatives back home through Eco-cash mobile money service. With the assistance of mobile commerce applications, consumers are able to use their devices for financial transactions, taking pictures, videos and accessing social networks. As such, a mobile phone can be used for a myriad of functions other than communication purposes. These innovative technological developments in the telecommunications sector have also empowered businesses to improve on their efficiency and effectiveness. However, the challenge remains for consumers to adopt these innovations. Therefore, the purpose of this study was to determine the factors influencing the adoption of mobile money (Eco-cash) by Zimbabweans residing in South Africa. The study also established if perceived usefulness, perceived ease of use, perceived risk, perceived trust, social influence and facilitating conditions influence the intention to adopt mobile money (Eco-cash). The research adopted the TAM, extended TAM and UTAUT constructs to develop a theoretical model. A quantitative, descriptive research approach was applied to the study. Both primary and secondary sources were utilised in the collection of data. A self-administered questionnaire was distributed to a sample of 377 respondents through convenience and snowballing sampling methods in East London. Statistical Package for Social Sciences (SPSS) version 25 software packages was utilised to analyse the data. Analysis of Variance (ANOVA) and multiple linear regression analysis (MLR) statistical techniques were employed to interpret the findings. The study found significant relationships on perceived ease of use, perceived trust, perceived risk, perceived usefulness, social influence and user intention. No significant relationship was found between facilitating conditions and user intention. The study recommends that MNOs design mobile money systems that are user-friendly and simple to use. Furthermore, MNOs and mobile money agents can offer value added services to attract more consumers to use their services.
- Full Text:
Multi-temporal assessment of chlorophyll-a concentration in estuarine waters: a case study of sundays and swartkops estuaries, Eastern Cape Province
- Authors: Gwazani, Nothando
- Date: 2019
- Subjects: Chlorophyll -- South Africa Estuaries -- South Africa
- Language: English
- Type: Thesis , Masters , MSc (Applied Remote Sensing & GIS)
- Identifier: http://hdl.handle.net/10353/11972 , vital:39123
- Description: Estuaries are productive and delicate marine systems, which are of commercial, recreational and aesthetic value as they reflect the land use of a catchment by creating “nutrient traps”, these nutrients are absorbed by water and later released into the coastal oceans. Disturbances in an estuary influence a wide variety of habitats and organisms in a marine ecosystem, for example, high chlorophyll-a affects marine species that utilize calm waters, food and turbid water found in estuaries. The degradation of South African estuaries is an on-going accelerating process; therefore, there is a need for preservation measures for estuarine ecosystems by means of monitoring nutrient flow. This research was aimed at assessing the use of OLCI ocean color products in monitoring chl-a concentration and impacts of the estuaries in Algoa Bay. OLCI on the Sentinel platforms, coupled with OCNN and OC4ME algorithms were employed to assess the distribution of chlorophyll-a in Swartkops and Sunday’s estuaries. OC4Me and OCNN are the default models designed for OLCI data. However, the OLCI resolution was not able to measure the chl-a concentration within these estuaries. Therefore, satellite product assessment was primarily focused on the Algoa bay scale due to the resolution of the available data. SNAP and Matlab were applied for the production of the final products. Accuracy assessment was used to check the agreement between the in situ datasets of chl-a and the final processed satellite products. Results of this investigation point that OCNN did not perform well in the study as compared to OC4Me and it did not produce accurate results in areas with very high biomass concentration. The research concludes by recommending the use of higher resolution data such as Sentinel 2 MSI (10m, 20m, and 60m resolution) for resolving chlorophyll-a within these estuaries.
- Full Text:
- Authors: Gwazani, Nothando
- Date: 2019
- Subjects: Chlorophyll -- South Africa Estuaries -- South Africa
- Language: English
- Type: Thesis , Masters , MSc (Applied Remote Sensing & GIS)
- Identifier: http://hdl.handle.net/10353/11972 , vital:39123
- Description: Estuaries are productive and delicate marine systems, which are of commercial, recreational and aesthetic value as they reflect the land use of a catchment by creating “nutrient traps”, these nutrients are absorbed by water and later released into the coastal oceans. Disturbances in an estuary influence a wide variety of habitats and organisms in a marine ecosystem, for example, high chlorophyll-a affects marine species that utilize calm waters, food and turbid water found in estuaries. The degradation of South African estuaries is an on-going accelerating process; therefore, there is a need for preservation measures for estuarine ecosystems by means of monitoring nutrient flow. This research was aimed at assessing the use of OLCI ocean color products in monitoring chl-a concentration and impacts of the estuaries in Algoa Bay. OLCI on the Sentinel platforms, coupled with OCNN and OC4ME algorithms were employed to assess the distribution of chlorophyll-a in Swartkops and Sunday’s estuaries. OC4Me and OCNN are the default models designed for OLCI data. However, the OLCI resolution was not able to measure the chl-a concentration within these estuaries. Therefore, satellite product assessment was primarily focused on the Algoa bay scale due to the resolution of the available data. SNAP and Matlab were applied for the production of the final products. Accuracy assessment was used to check the agreement between the in situ datasets of chl-a and the final processed satellite products. Results of this investigation point that OCNN did not perform well in the study as compared to OC4Me and it did not produce accurate results in areas with very high biomass concentration. The research concludes by recommending the use of higher resolution data such as Sentinel 2 MSI (10m, 20m, and 60m resolution) for resolving chlorophyll-a within these estuaries.
- Full Text:
Muscle nanostructure and physicochemical characteristics of South African A and AB mutton classes
- Authors: Mdikili, Zizipho
- Date: 2019
- Subjects: Meat -- Quality -- South Africa
- Language: English
- Type: Thesis , Masters , (MSc) (Animal Science)
- Identifier: http://hdl.handle.net/10353/12005 , vital:39126
- Description: Significant variations exist in quality of red meat due to the effect of various intrinsic and extrinsic factors. Research has been conducted in early 1990s to prove that carcasses from A and AB classes differ in meat quality due to age variation. This led to a conclusion that the two should be separated in the South African Red meat Classification System (SARCS). However, an interesting debate arose from a carcass classification workshop that A and AB meat classes have the same quality and thus must be integrated into one class in the carcass classification system. In addition, as much as it can be debated that these classes have the same quality, it is also possible that slight differences exist between the two since they are from different age groups. The current study was therefore developed and two trials were conducted to evaluate the impact of age differences on physicochemical attributes and muscle nanostructure of A and AB classes in sheep. In the first trial a total of ninety (n=90) Dorper sheep of the same sex but different age groups slaughtered at a high throughput abattoir in the Eastern Cape province were used to evaluate meat ultimate pH (pH24), colour (L* , a* , b* , H* , C* ), thawing loss (TL%), cooking loss (CL%) and tenderness (Warner Bratzler Shear Force - WBSF) of A and AB classes, whereas, on the second trial forty (n=40) Dorper sheep were used to evaluate muscle nanostructure and its relationship with tenderness. Meat samples were harvested from the Muscularis longissimuss thoracis et lumborum (LTL) for v meat quality and nanostructure measurements. The results showed significant variations (P<0.05) between the two classes for lean a* , H* and CL%. Significant differences (P<0.01) were observed in pH24, TL% and WBSF between A and AB classes. However, there were no significant differences (P>0.05) observed in meat L*, b* and C * . Ultimate pH was negatively correlated with thawing loss and some colorimetric attributes of lamb such as lightness, yellowness and hue angle. Moreover, tenderness was positively correlated with cooking and thawing losses. Significant differences were not (P>0.05) observed in sarcomere length, myofibrilar diameter and shear force between A and AB classes. Both sarcomere length and myofibrilar diameter were not correlated (P>0.05) with meat tenderness. These results suggest that A and AB classes are the same in nanostructure and that muscle nanostructure of these two classes is not related to meat tenderness. It was concluded that meat from sheep carcasses falling under the A and AB classes in the South African classification system vary greatly in physicochemical quality. Moreover, sheep carcasses from A and AB classes have the same sarcomere lengths and hence, they do not differ in meat tenderness (WBSF). However, when these classes were observed under a microscope, slight differences were noted in sarcomere lengths and myofibrilar diameters, which led to a conclusion that the two should remain as separated classes because their combination would result in the expansion of the non-uniformity of red meat tenderness. Therefore, A and AB classes should not be combined in the South African classification system. Further research is, however, recommended to evaluate the influence of other factors that were not examined in the current study.
- Full Text:
- Authors: Mdikili, Zizipho
- Date: 2019
- Subjects: Meat -- Quality -- South Africa
- Language: English
- Type: Thesis , Masters , (MSc) (Animal Science)
- Identifier: http://hdl.handle.net/10353/12005 , vital:39126
- Description: Significant variations exist in quality of red meat due to the effect of various intrinsic and extrinsic factors. Research has been conducted in early 1990s to prove that carcasses from A and AB classes differ in meat quality due to age variation. This led to a conclusion that the two should be separated in the South African Red meat Classification System (SARCS). However, an interesting debate arose from a carcass classification workshop that A and AB meat classes have the same quality and thus must be integrated into one class in the carcass classification system. In addition, as much as it can be debated that these classes have the same quality, it is also possible that slight differences exist between the two since they are from different age groups. The current study was therefore developed and two trials were conducted to evaluate the impact of age differences on physicochemical attributes and muscle nanostructure of A and AB classes in sheep. In the first trial a total of ninety (n=90) Dorper sheep of the same sex but different age groups slaughtered at a high throughput abattoir in the Eastern Cape province were used to evaluate meat ultimate pH (pH24), colour (L* , a* , b* , H* , C* ), thawing loss (TL%), cooking loss (CL%) and tenderness (Warner Bratzler Shear Force - WBSF) of A and AB classes, whereas, on the second trial forty (n=40) Dorper sheep were used to evaluate muscle nanostructure and its relationship with tenderness. Meat samples were harvested from the Muscularis longissimuss thoracis et lumborum (LTL) for v meat quality and nanostructure measurements. The results showed significant variations (P<0.05) between the two classes for lean a* , H* and CL%. Significant differences (P<0.01) were observed in pH24, TL% and WBSF between A and AB classes. However, there were no significant differences (P>0.05) observed in meat L*, b* and C * . Ultimate pH was negatively correlated with thawing loss and some colorimetric attributes of lamb such as lightness, yellowness and hue angle. Moreover, tenderness was positively correlated with cooking and thawing losses. Significant differences were not (P>0.05) observed in sarcomere length, myofibrilar diameter and shear force between A and AB classes. Both sarcomere length and myofibrilar diameter were not correlated (P>0.05) with meat tenderness. These results suggest that A and AB classes are the same in nanostructure and that muscle nanostructure of these two classes is not related to meat tenderness. It was concluded that meat from sheep carcasses falling under the A and AB classes in the South African classification system vary greatly in physicochemical quality. Moreover, sheep carcasses from A and AB classes have the same sarcomere lengths and hence, they do not differ in meat tenderness (WBSF). However, when these classes were observed under a microscope, slight differences were noted in sarcomere lengths and myofibrilar diameters, which led to a conclusion that the two should remain as separated classes because their combination would result in the expansion of the non-uniformity of red meat tenderness. Therefore, A and AB classes should not be combined in the South African classification system. Further research is, however, recommended to evaluate the influence of other factors that were not examined in the current study.
- Full Text:
Muscle nanostructure, fat colour related fatty acids and Check-All-That-Apply visual profiling of South African A2 beef longissimus
- Authors: Soji, Zimkhitha
- Date: 2019
- Subjects: Meat -- Quality
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/15264 , vital:40332
- Description: The main objective of this study was to determine the effect of muscle nanostructure on tenderness, fat colour related fatty acids and Check-All-That-Apply visual profiling of South African A2 beef longissimus. Fifty two A-class steers (n=52) of five breeds (Bonsmara (n=19), Beef master (n=7), Hereford (n=9) and Simbra (n=17)) typically processed in different South African feedlots were studied. The animals were humanely slaughtered at an abattoir following the commercial standard procedures. Fat colour measurements (CIE b*) were taken at the P8 site on hot carcasses at the abattoir. Carcass mass (warm and cold) was recorded at the slaughter line before chilling (warm) and after chilling (cold) while pH0 and temperature were measured at 45 minutes post-mortem on the Longissimus thoracis et lumborum (LTL) muscle. Thereafter, a 20 g subsection of the LTL muscle on the left side of each carcass was sampled for muscle nanostructure analysis. At 24 hours post-slaughter, ultimate pH (pH24) was measured, further subsections of the LTL muscle (20 g) were harvested for further muscle nanostructure analysis and 2.5 kg of the LTL muscle was also harvested for analysis of tenderness, fatty acids and sensory evaluation. The muscle nanostructure (myofibril diameter (MYD), myofibril spacing (MYS), muscle fibre diameter (MFD), muscle fibre spacing (MFS) and sarcomere length (SL)) was analysed using the scanning electron microscope (SEM) while tenderness was measured using Warner Bratzler Shear Force after 45mins, 24hrs, 3 and 7 days aging period at -20 ºC refrigerator temperature. Some proximate fractions (total extractable intramuscular fat (Fat %), Fat Free Dry matter (FFDM %) and Moisture content) and fatty acid profile were measured using extracted fat and fatty acid indices (desaturase index, atherogenicity index) were calculated. Lastly a Check-All-That-Apply visual profiling method rated by an 80-member consumer panel was done to assess consumer meat preferences and perceptions of Bonsmara, Hereford and Simbra A2 fresh steaks. At 45mins post-slaughter breed affected (P<0.05) MYD and MYS, while at 24hrs breed affected MFD and MFS only. Early post-mortem pH (pH0) had no effect on the muscle nanostructure and tenderness while ultimate pH (pH24) affected MYD and MYS only. Muscle temperature at 45mins affected (P<0.05) the MYD, MFD and MFS, while 24hrs muscle temperature affected (P<0.05) MYD only. Tenderness was not related to the muscle nanostructure early post-mortem and there was no uniformity on the changes in muscle nanostructure and tenderness from early post-mortem to 24hrs against the multifaceted carcass mass, muscle pH and temperature effects. During ageing, breed affected the MYD and MYS at 45mins, while at 24hrs in addition to the myofibril structure breed also had an effect on muscle fibre bundle characteristics (MFD and MFS). The changes in MYD, MYS and MFS became constant on day 3 while variations in the MFD still progressed. There was no uniformity on the SL pattern during ageing and a very weak linear relationship between tenderness, SL, MFD and MFS was observed. Notably there was also no uniformity on how the muscle texture features; including the surface structure, fibre separation, and the mechanism of muscle contraction and relaxation; changed throughout the ageing period across and within the breeds. Moreover, breed had a significant effect on pentadecyclic acid, total saturated fatty acids (SFA) and docosahexanoic acid. Differences (P<0.05) in SFA, monounsaturated fatty acids (MUFA), polyunsaturated fatty acids (PUFA), n-6, n-3, fatty acid ratios, and desaturase index were observed among the white, creamy-white and creamy fat colour. The distribution of fatty acid classes was SFA>MUFA>PUFA in descending order of concentrations of mean values (44.19:40.06:15.75, respectively), while the n-6: n-3 ratio was 12:1. In sensory evaluation, consumers indicated how they would prefer to pay premium for meat with guaranteed muscle and fat colour, low fat content, high marbling and tenderness. Consumers observed breed differences (P<0.05) in muscle fibre separation and muscle colour. The overall liking of each attribute was more on moderate bright cherry red lean colour, moderate yellow fat, very abundant marbling and slight separation of muscle fibres. Differences on discrete liking of each attribute among consumers had an effect on the overall liking of each steak with Hereford steaks being more preferred by consumers. It was concluded that meat from beef animals within the same feeding regime has a different fatty acid composition owing to different breed synthetic pathways and feed ingredients and that meat tenderness is not affected by the muscle nanostructure early post-mortem. However, during ageing, meat tenderness is directly linked to breed related myofibril structure changes in particular the myofibril diameter, spacing between myofibrils and their interaction; while the muscle texture features, fibre diameter, spacing between muscle fibres and sarcomere length explain the non-uniformity of beef tenderness. Also the organoleptic and health related quality of meat assumed more importance among consumers in sensory evaluation. Thus meat classification systems should include more credence aspects or indicators that support credence quality of meat
- Full Text:
- Authors: Soji, Zimkhitha
- Date: 2019
- Subjects: Meat -- Quality
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10353/15264 , vital:40332
- Description: The main objective of this study was to determine the effect of muscle nanostructure on tenderness, fat colour related fatty acids and Check-All-That-Apply visual profiling of South African A2 beef longissimus. Fifty two A-class steers (n=52) of five breeds (Bonsmara (n=19), Beef master (n=7), Hereford (n=9) and Simbra (n=17)) typically processed in different South African feedlots were studied. The animals were humanely slaughtered at an abattoir following the commercial standard procedures. Fat colour measurements (CIE b*) were taken at the P8 site on hot carcasses at the abattoir. Carcass mass (warm and cold) was recorded at the slaughter line before chilling (warm) and after chilling (cold) while pH0 and temperature were measured at 45 minutes post-mortem on the Longissimus thoracis et lumborum (LTL) muscle. Thereafter, a 20 g subsection of the LTL muscle on the left side of each carcass was sampled for muscle nanostructure analysis. At 24 hours post-slaughter, ultimate pH (pH24) was measured, further subsections of the LTL muscle (20 g) were harvested for further muscle nanostructure analysis and 2.5 kg of the LTL muscle was also harvested for analysis of tenderness, fatty acids and sensory evaluation. The muscle nanostructure (myofibril diameter (MYD), myofibril spacing (MYS), muscle fibre diameter (MFD), muscle fibre spacing (MFS) and sarcomere length (SL)) was analysed using the scanning electron microscope (SEM) while tenderness was measured using Warner Bratzler Shear Force after 45mins, 24hrs, 3 and 7 days aging period at -20 ºC refrigerator temperature. Some proximate fractions (total extractable intramuscular fat (Fat %), Fat Free Dry matter (FFDM %) and Moisture content) and fatty acid profile were measured using extracted fat and fatty acid indices (desaturase index, atherogenicity index) were calculated. Lastly a Check-All-That-Apply visual profiling method rated by an 80-member consumer panel was done to assess consumer meat preferences and perceptions of Bonsmara, Hereford and Simbra A2 fresh steaks. At 45mins post-slaughter breed affected (P<0.05) MYD and MYS, while at 24hrs breed affected MFD and MFS only. Early post-mortem pH (pH0) had no effect on the muscle nanostructure and tenderness while ultimate pH (pH24) affected MYD and MYS only. Muscle temperature at 45mins affected (P<0.05) the MYD, MFD and MFS, while 24hrs muscle temperature affected (P<0.05) MYD only. Tenderness was not related to the muscle nanostructure early post-mortem and there was no uniformity on the changes in muscle nanostructure and tenderness from early post-mortem to 24hrs against the multifaceted carcass mass, muscle pH and temperature effects. During ageing, breed affected the MYD and MYS at 45mins, while at 24hrs in addition to the myofibril structure breed also had an effect on muscle fibre bundle characteristics (MFD and MFS). The changes in MYD, MYS and MFS became constant on day 3 while variations in the MFD still progressed. There was no uniformity on the SL pattern during ageing and a very weak linear relationship between tenderness, SL, MFD and MFS was observed. Notably there was also no uniformity on how the muscle texture features; including the surface structure, fibre separation, and the mechanism of muscle contraction and relaxation; changed throughout the ageing period across and within the breeds. Moreover, breed had a significant effect on pentadecyclic acid, total saturated fatty acids (SFA) and docosahexanoic acid. Differences (P<0.05) in SFA, monounsaturated fatty acids (MUFA), polyunsaturated fatty acids (PUFA), n-6, n-3, fatty acid ratios, and desaturase index were observed among the white, creamy-white and creamy fat colour. The distribution of fatty acid classes was SFA>MUFA>PUFA in descending order of concentrations of mean values (44.19:40.06:15.75, respectively), while the n-6: n-3 ratio was 12:1. In sensory evaluation, consumers indicated how they would prefer to pay premium for meat with guaranteed muscle and fat colour, low fat content, high marbling and tenderness. Consumers observed breed differences (P<0.05) in muscle fibre separation and muscle colour. The overall liking of each attribute was more on moderate bright cherry red lean colour, moderate yellow fat, very abundant marbling and slight separation of muscle fibres. Differences on discrete liking of each attribute among consumers had an effect on the overall liking of each steak with Hereford steaks being more preferred by consumers. It was concluded that meat from beef animals within the same feeding regime has a different fatty acid composition owing to different breed synthetic pathways and feed ingredients and that meat tenderness is not affected by the muscle nanostructure early post-mortem. However, during ageing, meat tenderness is directly linked to breed related myofibril structure changes in particular the myofibril diameter, spacing between myofibrils and their interaction; while the muscle texture features, fibre diameter, spacing between muscle fibres and sarcomere length explain the non-uniformity of beef tenderness. Also the organoleptic and health related quality of meat assumed more importance among consumers in sensory evaluation. Thus meat classification systems should include more credence aspects or indicators that support credence quality of meat
- Full Text: