Integrating quality management principles into policies and procedures for water and sanitation provision in the Cape Town Metro
- Authors: Madliwa, Nokhanyo
- Date: 2020
- Subjects: Total quality management local government Quality assurance
- Language: English
- Type: Thesis , Doctoral , DPA
- Identifier: http://hdl.handle.net/10353/18882 , vital:42995
- Description: The study aims to find a way of improving water and sanitation services through the standardisation of policies and procedures in Reticulation, Waste Water and Bulk Water. It further aims to develop and test an IQM-based model that improves policy and procedure standardisation for the provision of quality water and sanitation services at municipality level. The researcher regards effective IQMS as one of the possible mechanisms that can contribute to the improvement of standardised policies and procedures in quality water and sanitation provision. This study examined the effects of IQM on the standardisation of policies and procedures for the provision of quality water and sanitation services in the Utility Department of the Cape Town Metro, especially in Reticulation, Waste Water and Bulk Water. The study saw a possible link between the effectiveness of IQM and the effective provisioning of quality water and sanitation. The mixed method approach was used. Quantitative and qualitative methods were both used in order to support each other during data analysis. Furthermore, the mixed method was adopted to provide an interpretative and analytical balance towards a clearer understanding of the phenomena under study. The quantitative phase was completed first, followed by the qualitative phase to explain the results even further. For the quantitative method, survey data was gathered. The quantitative method was used for historical numerical data purposes when explaining the survey results. Survey data was analysed using statistical analysis. The qualitative method utilised interviews, providing clarity and thick descriptions of the findings, where quantitative methods did not. This research found that the three branches of the Utility Department in the Cape Town Metro under study did not fully comply with the IQMS as shown by the results of the hypothesis testing. In other words, there is partial compliance with ISO 140001, ISO 9001 & OHSAS 18001 in relation to the standardisation of policy and procedure design and development (DD), implementation (IP), examination (EP), review (RP) and assessment (AP). This means that components of IQMS were not fully applied to the standardisation of policies and procedures for the provision of water and sanitation services. The partial standardisation of policy and procedure vi design and development accounted for the lack of the following: Firstly, improvement in the management of infrastructure, secondly in monitoring and evaluation for quality water and sanitation services. The partial standardisation of policy and procedure implementation accounted for the lack of improvement in the corrective measures, technical knowledge and public health knowledge for quality water and sanitation services. The partial standardisation of policy and procedure examination accounted for the lack of improvement in the corrective measures, management of infrastructure; and monitoring and evaluation for quality water and sanitation services. The partial standardisation of policy and procedure review accounted for the lack of improvement in the corrective measures, management of infrastructure; monitoring and evaluation, technical knowledge and public health knowledge for quality water and sanitation services. Last but not least, the partial standardisation of policy and procedure assessment accounted for the lack of improvement in the corrective measures, and technical knowledge for quality water and sanitation services
- Full Text:
- Date Issued: 2020
- Authors: Madliwa, Nokhanyo
- Date: 2020
- Subjects: Total quality management local government Quality assurance
- Language: English
- Type: Thesis , Doctoral , DPA
- Identifier: http://hdl.handle.net/10353/18882 , vital:42995
- Description: The study aims to find a way of improving water and sanitation services through the standardisation of policies and procedures in Reticulation, Waste Water and Bulk Water. It further aims to develop and test an IQM-based model that improves policy and procedure standardisation for the provision of quality water and sanitation services at municipality level. The researcher regards effective IQMS as one of the possible mechanisms that can contribute to the improvement of standardised policies and procedures in quality water and sanitation provision. This study examined the effects of IQM on the standardisation of policies and procedures for the provision of quality water and sanitation services in the Utility Department of the Cape Town Metro, especially in Reticulation, Waste Water and Bulk Water. The study saw a possible link between the effectiveness of IQM and the effective provisioning of quality water and sanitation. The mixed method approach was used. Quantitative and qualitative methods were both used in order to support each other during data analysis. Furthermore, the mixed method was adopted to provide an interpretative and analytical balance towards a clearer understanding of the phenomena under study. The quantitative phase was completed first, followed by the qualitative phase to explain the results even further. For the quantitative method, survey data was gathered. The quantitative method was used for historical numerical data purposes when explaining the survey results. Survey data was analysed using statistical analysis. The qualitative method utilised interviews, providing clarity and thick descriptions of the findings, where quantitative methods did not. This research found that the three branches of the Utility Department in the Cape Town Metro under study did not fully comply with the IQMS as shown by the results of the hypothesis testing. In other words, there is partial compliance with ISO 140001, ISO 9001 & OHSAS 18001 in relation to the standardisation of policy and procedure design and development (DD), implementation (IP), examination (EP), review (RP) and assessment (AP). This means that components of IQMS were not fully applied to the standardisation of policies and procedures for the provision of water and sanitation services. The partial standardisation of policy and procedure vi design and development accounted for the lack of the following: Firstly, improvement in the management of infrastructure, secondly in monitoring and evaluation for quality water and sanitation services. The partial standardisation of policy and procedure implementation accounted for the lack of improvement in the corrective measures, technical knowledge and public health knowledge for quality water and sanitation services. The partial standardisation of policy and procedure examination accounted for the lack of improvement in the corrective measures, management of infrastructure; and monitoring and evaluation for quality water and sanitation services. The partial standardisation of policy and procedure review accounted for the lack of improvement in the corrective measures, management of infrastructure; monitoring and evaluation, technical knowledge and public health knowledge for quality water and sanitation services. Last but not least, the partial standardisation of policy and procedure assessment accounted for the lack of improvement in the corrective measures, and technical knowledge for quality water and sanitation services
- Full Text:
- Date Issued: 2020
Integrating sustainability dimensions into construction labour productivity determinants in Zimbabwe
- Authors: Moyo, Tirivavi
- Date: 2020
- Subjects: Construction industry -- Labor productivity -- Zimbabwe , Construction workers -- Zimbabwe Construction industry -- Employees -- Zimbabwe Construction industry -- Management
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10948/46207 , vital:39514
- Description: Low construction labour productivity and inadequate welfare of construction workers is a compound challenge in Zimbabwe. This challenge is due to shortcomings situated in the Decent Work Agenda. Whilst a plethora of contributory factors exists, those that affect the Zimbabwean construction industry were identified for interrogation. Therefore, the study aimed to improve and sustain construction labour productivity in Zimbabwe through fulfilling significant decent work substantive elements, in consideration of demographic variables of stakeholders. A cross-sectional survey research strategy was utilised with quantitative data being collected from selected respondents through the use of questionnaires. The population for the study consisted of randomly selected construction companies registered with the Construction Industry Federation of Zimbabwe and based in Harare, Bulawayo and Shurugwi where site managers’/project managers’ participated. Construction skilled and semi-skilled workers on thirteen (13) construction sites, situated within the same study area, participated in the study. Educators from technical and vocational training institutions and respondents from relevant regulatory bodies were also selected to participate in the study. Quantitative data analysis methods which included Pearson chi-squared tests, Mann-Whitney U tests; Kruskal-Wallis tests, Pearson bivariate correlation method and Regression analysis were utilised. Demographic variables (age, gender, designation, educational levels and experience) were utilised to determine the existence of statistically significant differences in respondents’ perceptions. Construction companies are encouraged to implement corporate social responsibility strategies through equipping workers of different educational levels with knowledge and skills that can be transferred to and benefit themselves and their communities. Adequately trained construction workers best serve their communities through improving their livelihoods, improved safety and health consciousness and quality workmanship. People centred management aspects were found to be fundamental within construction sites as they promote the welfare of workers and should precede any productivity improvement drives. Technical and vocational training institutions need to inculcate sustainability learning objectives within their curricula if any meaning strides in enhancing welfare and productivity of workers is to be achieved. Also, establishing structured on-the-job training that incorporates sustainability learning objectives to achieve workers’ safety on sites is essential. There was a consensus that working conditions must ensure the welfare of workers first before any productivity gains can be realised. Provision of acceptable decent working conditions for different designations and educational levels was encouraged. A comprehensive model was developed for sustaining construction labour productivity that included statistically significant regression models and derived statistically significant demographics from construction labour productivity determinants under study. Validation of the regression models was undertaken through cross-validation and comparison with existing theory. Tenable labour productivity performance measurement and reporting must be inclusive of decent work accomplishments. Short-term interventions that include awareness campaigns and provision of adequate working conditions are required for project-based resolutions whilst, long-term interventions are required where structural reforms within the training of skilled, semi-skilled workers and managers are required, for continuous improvement.
- Full Text:
- Date Issued: 2020
Integrating sustainability dimensions into construction labour productivity determinants in Zimbabwe
- Authors: Moyo, Tirivavi
- Date: 2020
- Subjects: Construction industry -- Labor productivity -- Zimbabwe , Construction workers -- Zimbabwe Construction industry -- Employees -- Zimbabwe Construction industry -- Management
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10948/46207 , vital:39514
- Description: Low construction labour productivity and inadequate welfare of construction workers is a compound challenge in Zimbabwe. This challenge is due to shortcomings situated in the Decent Work Agenda. Whilst a plethora of contributory factors exists, those that affect the Zimbabwean construction industry were identified for interrogation. Therefore, the study aimed to improve and sustain construction labour productivity in Zimbabwe through fulfilling significant decent work substantive elements, in consideration of demographic variables of stakeholders. A cross-sectional survey research strategy was utilised with quantitative data being collected from selected respondents through the use of questionnaires. The population for the study consisted of randomly selected construction companies registered with the Construction Industry Federation of Zimbabwe and based in Harare, Bulawayo and Shurugwi where site managers’/project managers’ participated. Construction skilled and semi-skilled workers on thirteen (13) construction sites, situated within the same study area, participated in the study. Educators from technical and vocational training institutions and respondents from relevant regulatory bodies were also selected to participate in the study. Quantitative data analysis methods which included Pearson chi-squared tests, Mann-Whitney U tests; Kruskal-Wallis tests, Pearson bivariate correlation method and Regression analysis were utilised. Demographic variables (age, gender, designation, educational levels and experience) were utilised to determine the existence of statistically significant differences in respondents’ perceptions. Construction companies are encouraged to implement corporate social responsibility strategies through equipping workers of different educational levels with knowledge and skills that can be transferred to and benefit themselves and their communities. Adequately trained construction workers best serve their communities through improving their livelihoods, improved safety and health consciousness and quality workmanship. People centred management aspects were found to be fundamental within construction sites as they promote the welfare of workers and should precede any productivity improvement drives. Technical and vocational training institutions need to inculcate sustainability learning objectives within their curricula if any meaning strides in enhancing welfare and productivity of workers is to be achieved. Also, establishing structured on-the-job training that incorporates sustainability learning objectives to achieve workers’ safety on sites is essential. There was a consensus that working conditions must ensure the welfare of workers first before any productivity gains can be realised. Provision of acceptable decent working conditions for different designations and educational levels was encouraged. A comprehensive model was developed for sustaining construction labour productivity that included statistically significant regression models and derived statistically significant demographics from construction labour productivity determinants under study. Validation of the regression models was undertaken through cross-validation and comparison with existing theory. Tenable labour productivity performance measurement and reporting must be inclusive of decent work accomplishments. Short-term interventions that include awareness campaigns and provision of adequate working conditions are required for project-based resolutions whilst, long-term interventions are required where structural reforms within the training of skilled, semi-skilled workers and managers are required, for continuous improvement.
- Full Text:
- Date Issued: 2020
Integrative taxonomy reveals hidden diversity in the southern African darters genus Nannocharax Günther 1867 (Characiformes: Distichodontidae):
- Bragança, Pedro H N, Smith, Timothy G, Vreven, Emmanuel J W M N, Chakona, Albert
- Authors: Bragança, Pedro H N , Smith, Timothy G , Vreven, Emmanuel J W M N , Chakona, Albert
- Date: 2020
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/163510 , vital:41044 , https://0-doi.org.wam.seals.ac.za/10.1111/jfb.14535
- Description: The present study explored the diversity of Nannocharax within southern Africa by implementing three species delimitation methods for a data set consisting of 37 mitochondrial cytochrome oxidase subunit I sequences. Two unilocus coalescent methods, the General Mixed Yule Coalescent (GMYC) and the Bayesian implementation of the Poisson Tree Processes (bPTP), and a genetic distance method, the Automatic Barcode Gap Discovery (ABGD), were applied. Both GMYC and bPTP delimited the same operational taxonomic units (OTUs), revealing a higher diversity for the genus in the region than previously recognised, whereas the ABGD failed to delimit the same candidate species.
- Full Text:
- Date Issued: 2020
- Authors: Bragança, Pedro H N , Smith, Timothy G , Vreven, Emmanuel J W M N , Chakona, Albert
- Date: 2020
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/163510 , vital:41044 , https://0-doi.org.wam.seals.ac.za/10.1111/jfb.14535
- Description: The present study explored the diversity of Nannocharax within southern Africa by implementing three species delimitation methods for a data set consisting of 37 mitochondrial cytochrome oxidase subunit I sequences. Two unilocus coalescent methods, the General Mixed Yule Coalescent (GMYC) and the Bayesian implementation of the Poisson Tree Processes (bPTP), and a genetic distance method, the Automatic Barcode Gap Discovery (ABGD), were applied. Both GMYC and bPTP delimited the same operational taxonomic units (OTUs), revealing a higher diversity for the genus in the region than previously recognised, whereas the ABGD failed to delimit the same candidate species.
- Full Text:
- Date Issued: 2020
Integrative taxonomy reveals hidden diversity in the southern African darters genus Nannocharax Günther 1867 (Characiformes: Distichodontidae):
- Bragança, Pedro H N, Smith, Timothy G, Vreven, Emmanuel J W M N, Chakona, Albert
- Authors: Bragança, Pedro H N , Smith, Timothy G , Vreven, Emmanuel J W M N , Chakona, Albert
- Date: 2020
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/163543 , vital:41047 , https://0-doi.org.wam.seals.ac.za/10.1111/jfb.14535
- Description: The present study explored the diversity of Nannocharax within southern Africa by implementing three species delimitation methods for a data set consisting of 37 mitochondrial cytochrome oxidase subunit I sequences. Two unilocus coalescent methods, the General Mixed Yule Coalescent (GMYC) and the Bayesian implementation of the Poisson Tree Processes (bPTP), and a genetic distance method, the Automatic Barcode Gap Discovery (ABGD), were applied. Both GMYC and bPTP delimited the same operational taxonomic units (OTUs), revealing a higher diversity for the genus in the region than previously recognised, whereas the ABGD failed to delimit the same candidate species.
- Full Text:
- Date Issued: 2020
- Authors: Bragança, Pedro H N , Smith, Timothy G , Vreven, Emmanuel J W M N , Chakona, Albert
- Date: 2020
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/163543 , vital:41047 , https://0-doi.org.wam.seals.ac.za/10.1111/jfb.14535
- Description: The present study explored the diversity of Nannocharax within southern Africa by implementing three species delimitation methods for a data set consisting of 37 mitochondrial cytochrome oxidase subunit I sequences. Two unilocus coalescent methods, the General Mixed Yule Coalescent (GMYC) and the Bayesian implementation of the Poisson Tree Processes (bPTP), and a genetic distance method, the Automatic Barcode Gap Discovery (ABGD), were applied. Both GMYC and bPTP delimited the same operational taxonomic units (OTUs), revealing a higher diversity for the genus in the region than previously recognised, whereas the ABGD failed to delimit the same candidate species.
- Full Text:
- Date Issued: 2020
Interaction between different sources of situational probability information to anticipate the bowler’s intention in cricket
- Authors: Lilford, David-John
- Date: 2020
- Subjects: Cricket -- Bowling
- Language: English
- Type: Thesis , Masters , MA
- Identifier: http://hdl.handle.net/10948/46383 , vital:39578
- Description: In elite fastball sports, such as cricket, performance occurs at the limit of human capability as the time constraints of perceiving and acting are severe. Cricket batsmen are therefore required to use the two sources of advanced information (kinematic cues and situational probability) to anticipate an upcoming delivery to negate the effects of the time constraints. The source of information that will be focused on in this study will be situational probability, with the aim being to determine the interaction between bowling sequence and field placement as sources of situational probability used by skilled cricket batsmen to predict a bowler’s intention. Four different conditions were created according to the situational probability information presented to the batsmen, namely no sources, sequence alone, field placement alone, and both sources. Fifteen skilled cricket batsmen were required to face deliveries projected by a bowling machine and make predictions as to where the next delivery outcome was going to pitch based on perceived situational probability information and attempt to make successful bat-ball contact. In order to compare the use and importance of the four conditions of situational probability information,prediction accuracy, response accuracy and the initial movement time of the batsmen were recorded and analysed. Results of the study revealed no significant difference between conditions of situational probability presented to batsmen for prediction accuracy, response accuracy, and initial movement time. However, significant differences were found between categories of congruence for prediction accuracy results. The prediction accuracy results reveal that batsmen equally value each source of situational probability information and that when sources were presented in conjunction with each other, no enhancement in anticipatory performance or interception of the cricket ball occurred.The results of the current study suggest that it is not necessarily the number of sources present, but rather the relevance of the source that is most important for a batsman to predict the outcome of a delivery. The prediction accuracy of batsmen is dependent on the nature of the information presented rather than the amount of information presented. Performers draw upon more pertinent information variables according to the relevance to the task at hand.The response accuracy results reveal that the batsmen have the required action capabilities to make successful bat-ball contact regardless of whether or not they correctly anticipate the upcoming delivery’s landing position.
- Full Text:
- Date Issued: 2020
- Authors: Lilford, David-John
- Date: 2020
- Subjects: Cricket -- Bowling
- Language: English
- Type: Thesis , Masters , MA
- Identifier: http://hdl.handle.net/10948/46383 , vital:39578
- Description: In elite fastball sports, such as cricket, performance occurs at the limit of human capability as the time constraints of perceiving and acting are severe. Cricket batsmen are therefore required to use the two sources of advanced information (kinematic cues and situational probability) to anticipate an upcoming delivery to negate the effects of the time constraints. The source of information that will be focused on in this study will be situational probability, with the aim being to determine the interaction between bowling sequence and field placement as sources of situational probability used by skilled cricket batsmen to predict a bowler’s intention. Four different conditions were created according to the situational probability information presented to the batsmen, namely no sources, sequence alone, field placement alone, and both sources. Fifteen skilled cricket batsmen were required to face deliveries projected by a bowling machine and make predictions as to where the next delivery outcome was going to pitch based on perceived situational probability information and attempt to make successful bat-ball contact. In order to compare the use and importance of the four conditions of situational probability information,prediction accuracy, response accuracy and the initial movement time of the batsmen were recorded and analysed. Results of the study revealed no significant difference between conditions of situational probability presented to batsmen for prediction accuracy, response accuracy, and initial movement time. However, significant differences were found between categories of congruence for prediction accuracy results. The prediction accuracy results reveal that batsmen equally value each source of situational probability information and that when sources were presented in conjunction with each other, no enhancement in anticipatory performance or interception of the cricket ball occurred.The results of the current study suggest that it is not necessarily the number of sources present, but rather the relevance of the source that is most important for a batsman to predict the outcome of a delivery. The prediction accuracy of batsmen is dependent on the nature of the information presented rather than the amount of information presented. Performers draw upon more pertinent information variables according to the relevance to the task at hand.The response accuracy results reveal that the batsmen have the required action capabilities to make successful bat-ball contact regardless of whether or not they correctly anticipate the upcoming delivery’s landing position.
- Full Text:
- Date Issued: 2020
Interaction between situational probability information for cricket batsmen when anticipating a bowler’s intentions
- Authors: Du Preez, Joshua
- Date: 2020
- Subjects: Cricket--Batting
- Language: English
- Type: Thesis , Masters , MA
- Identifier: http://hdl.handle.net/10948/46355 , vital:39570
- Description: The ability to anticipate the bowler’s intention is vital in skilled cricket batting. Two perceptual-cognitive skills used for anticipation include use of kinematic information and the use of situational probability information. This study aims to investigate the interaction between two sources of situational probability (action preferences of bowlers and opposition field placement) used by skilled cricket batsmen to anticipate the bowler’s intention in an in-situ setting. Fifteen skilled cricket batsmen were required to predict the delivery outcome (landing position) of 72 deliveries bowled by a bowling machine before attempting to strike each delivery. These deliveries were divided into four conditions of situational probability: no sources (control trials); field placement alone; action preference alone; and both field placement and action preferences. Data were collected according to batsmen’s prediction accuracy, response accuracy, and initial movement time. In the presence of situational probability information, batsmen were able to predict delivery outcome significantly better than chance level (25%) and control trials. Results revealed significant differences between sources of situational probability in terms of batsmen’s prediction accuracy but not response accuracy or initial movement time. In cricket batting, it appears that some sources of situational probability information are more valuable than others.
- Full Text:
- Date Issued: 2020
- Authors: Du Preez, Joshua
- Date: 2020
- Subjects: Cricket--Batting
- Language: English
- Type: Thesis , Masters , MA
- Identifier: http://hdl.handle.net/10948/46355 , vital:39570
- Description: The ability to anticipate the bowler’s intention is vital in skilled cricket batting. Two perceptual-cognitive skills used for anticipation include use of kinematic information and the use of situational probability information. This study aims to investigate the interaction between two sources of situational probability (action preferences of bowlers and opposition field placement) used by skilled cricket batsmen to anticipate the bowler’s intention in an in-situ setting. Fifteen skilled cricket batsmen were required to predict the delivery outcome (landing position) of 72 deliveries bowled by a bowling machine before attempting to strike each delivery. These deliveries were divided into four conditions of situational probability: no sources (control trials); field placement alone; action preference alone; and both field placement and action preferences. Data were collected according to batsmen’s prediction accuracy, response accuracy, and initial movement time. In the presence of situational probability information, batsmen were able to predict delivery outcome significantly better than chance level (25%) and control trials. Results revealed significant differences between sources of situational probability in terms of batsmen’s prediction accuracy but not response accuracy or initial movement time. In cricket batting, it appears that some sources of situational probability information are more valuable than others.
- Full Text:
- Date Issued: 2020
Intermediate disturbance promotes diversity and the conservation of dung beetles (Scarabaeoidea: Scarabaeidae and Aphodiidae) in the Eastern Cape, South Africa
- Tocco, Claudia, Midgley, John M, Villet, Martin H
- Authors: Tocco, Claudia , Midgley, John M , Villet, Martin H
- Date: 2020
- Subjects: To be catalogued
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/442195 , vital:73966 , https://doi.org/10.1016/j.baae.2020.10.005
- Description: Environmental fluctuations, such as changes in climate, agricultural management and anthropogenic land-use patterns can affect the diversity of organisms inhabiting an area. Losses of biodiversity alter ecosystems processes, eroding their capacity to deliver ecosystem services. Dung beetles are critical ecosystem service providers, making them an ideal ecological indicator to explore the effects of land-use change on biodiversity. Dung beetles were sampled across three land-use types, in the summers of 2015 and 2016 in the Eastern Cape province, South Africa. Game ranching is regarded as a relatively low-intensity land use type. It was compared with cattle ranching (medium intensity) and dairy farming (high intensity) to examine their effect on dung beetle assemblage metrics (abundance, species richness and true Shannon diversity index), guild diversity (as nesting guilds) and spatial turnover. The intermediate grazing intensity of cattle ranching supported a higher abundance and diversity of both whole dung beetle assemblage and the nesting guilds, followed by the game ranches and then dairy farms. Differences between the sampling years were dependent on the beetle nesting guild, and largely correlated with rainfall and temperature. Cattle and game ranches shared a higher number of species than either shared with dairy farms. Whittaker's Beta-diversity index showed the highest species turnover between game ranches and dairy farms. A mix of game and cattle ranching, minimising dairy farming or restricting it to already ecological degraded sites, appears the best alternative for maintenance of dung beetle diversity and their ecosystem services. The year-to-year trends of the data were in general consistent, confirming that dung beetles are reliable ecological indicators; but also suggest that climate change that affects rainfall will result in the reduction of the abundance and diversity of this key ecological group.
- Full Text:
- Date Issued: 2020
- Authors: Tocco, Claudia , Midgley, John M , Villet, Martin H
- Date: 2020
- Subjects: To be catalogued
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/442195 , vital:73966 , https://doi.org/10.1016/j.baae.2020.10.005
- Description: Environmental fluctuations, such as changes in climate, agricultural management and anthropogenic land-use patterns can affect the diversity of organisms inhabiting an area. Losses of biodiversity alter ecosystems processes, eroding their capacity to deliver ecosystem services. Dung beetles are critical ecosystem service providers, making them an ideal ecological indicator to explore the effects of land-use change on biodiversity. Dung beetles were sampled across three land-use types, in the summers of 2015 and 2016 in the Eastern Cape province, South Africa. Game ranching is regarded as a relatively low-intensity land use type. It was compared with cattle ranching (medium intensity) and dairy farming (high intensity) to examine their effect on dung beetle assemblage metrics (abundance, species richness and true Shannon diversity index), guild diversity (as nesting guilds) and spatial turnover. The intermediate grazing intensity of cattle ranching supported a higher abundance and diversity of both whole dung beetle assemblage and the nesting guilds, followed by the game ranches and then dairy farms. Differences between the sampling years were dependent on the beetle nesting guild, and largely correlated with rainfall and temperature. Cattle and game ranches shared a higher number of species than either shared with dairy farms. Whittaker's Beta-diversity index showed the highest species turnover between game ranches and dairy farms. A mix of game and cattle ranching, minimising dairy farming or restricting it to already ecological degraded sites, appears the best alternative for maintenance of dung beetle diversity and their ecosystem services. The year-to-year trends of the data were in general consistent, confirming that dung beetles are reliable ecological indicators; but also suggest that climate change that affects rainfall will result in the reduction of the abundance and diversity of this key ecological group.
- Full Text:
- Date Issued: 2020
Internet use and romantic relationship satisfaction
- Authors: Grundlingh, Nicole
- Date: 2020
- Subjects: Internet addiction
- Language: English
- Type: Thesis , Masters , MA
- Identifier: http://hdl.handle.net/10948/46452 , vital:39574
- Description: In the twenty-first century the internet has become a pervasive part of individuals’ lives and their relationships, changing the way individuals connect, develop and maintain their romantic relationships. The way in which couples use the internet can have a significant impact on their relationship satisfaction, which is often a predictor of the length and success of their relationship. Although the internet is valued for many features, the nature of the internet creates the risk for some individuals to become addicted to the medium which is associated with psychological and relational difficulties. The present study aimed to explore the impact of problematic internet use on individuals’ satisfaction with their offline intimate relationships. A quantitative, non-experimental, cross-sectional, research design was utilised, where participants from Nelson Mandela University completed an online survey (N=388). A non-probability, purposive sampling method was employed with an inclusion criteria which required participants to have daily internet access and to be in a committed romantic relationship. The study analysed four primary variables, namely, online preoccupation, adverse effects of online behaviour, social interactions and general relationship satisfaction. The results of the study were discussed through the lens of the Couple and Family Technology (CFT) framework to explain the processes that underlie the relationship between these variables and indicated that problematic internet use and relationship satisfaction is negatively related. The present study contributes to the body of literature and offers indications for future, in-depth research studies within the field of cyberpsychology.
- Full Text:
- Date Issued: 2020
- Authors: Grundlingh, Nicole
- Date: 2020
- Subjects: Internet addiction
- Language: English
- Type: Thesis , Masters , MA
- Identifier: http://hdl.handle.net/10948/46452 , vital:39574
- Description: In the twenty-first century the internet has become a pervasive part of individuals’ lives and their relationships, changing the way individuals connect, develop and maintain their romantic relationships. The way in which couples use the internet can have a significant impact on their relationship satisfaction, which is often a predictor of the length and success of their relationship. Although the internet is valued for many features, the nature of the internet creates the risk for some individuals to become addicted to the medium which is associated with psychological and relational difficulties. The present study aimed to explore the impact of problematic internet use on individuals’ satisfaction with their offline intimate relationships. A quantitative, non-experimental, cross-sectional, research design was utilised, where participants from Nelson Mandela University completed an online survey (N=388). A non-probability, purposive sampling method was employed with an inclusion criteria which required participants to have daily internet access and to be in a committed romantic relationship. The study analysed four primary variables, namely, online preoccupation, adverse effects of online behaviour, social interactions and general relationship satisfaction. The results of the study were discussed through the lens of the Couple and Family Technology (CFT) framework to explain the processes that underlie the relationship between these variables and indicated that problematic internet use and relationship satisfaction is negatively related. The present study contributes to the body of literature and offers indications for future, in-depth research studies within the field of cyberpsychology.
- Full Text:
- Date Issued: 2020
Intersection of race, gender and class in the interventional life-writings of four selected South African authors
- Ndlovu, Siphatisiwe Patricia
- Authors: Ndlovu, Siphatisiwe Patricia
- Date: 2020
- Subjects: Post-apartheid era -- South Africa , Interventional writing , Fred Khumalo , Malaika wa Azania , Khaya Dlanga , Tumi Morake
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/11260/3414 , vital:43345
- Description: The interventional life writings of second generation life writers (young, black, middleclass South Africans) in post-apartheid South Africa have not attracted much academic debate in spite of the burgeoning of such writings recently. The intersection of race, class and gender in post-apartheid South Africa remains a problem and a rich site of research, hence this research’s reading of four selected life writings by young, black, middle-class South Africans living in post-apartheid South Africa: Fred Khumalo’s Touch My Blood: The Early Years (2006), Malaika Wa Azania’s Memoires of a Born Free: Reflections on the Rainbow Nation (2014), Khaya Dlanga’s To Quote Myself (2015) and Tumi Morake’s And Then Mama Said… Words That Set My Life Alight (2018). Using the intersectional approach, the study explores the lives narrated by second generation South Africans, in a manner similar to the grand narratives because of their historical and social context. The study focalises life/self-writers who have experienced post-apartheid trauma of being racialized, gendered and classed in a democratic country. This is a shift from the staple analysis of lives of political struggle against apartheid, narrated by historical legends such as Nelson Mandela. The study then, by focusing on ‘small voices’ closes a critical gap created by over-attention paid to grand narratives in South African life writing. Self-narrations by young, black, middle-class South Africans emerge not only as a way of narrating history but also as a means of making history. Through the deployment of the intersectional approach (the interconnectedness of inequalities) to analyse the systems of oppression associated with democratic South Africa, the four selected interventional life writers reveal how their experiences and identities are an outcome of constantly renegotiating power relations. , Thesis (MA) -- Faculty of Humanities, Social Sciences and Law, 2020
- Full Text:
- Date Issued: 2020
- Authors: Ndlovu, Siphatisiwe Patricia
- Date: 2020
- Subjects: Post-apartheid era -- South Africa , Interventional writing , Fred Khumalo , Malaika wa Azania , Khaya Dlanga , Tumi Morake
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/11260/3414 , vital:43345
- Description: The interventional life writings of second generation life writers (young, black, middleclass South Africans) in post-apartheid South Africa have not attracted much academic debate in spite of the burgeoning of such writings recently. The intersection of race, class and gender in post-apartheid South Africa remains a problem and a rich site of research, hence this research’s reading of four selected life writings by young, black, middle-class South Africans living in post-apartheid South Africa: Fred Khumalo’s Touch My Blood: The Early Years (2006), Malaika Wa Azania’s Memoires of a Born Free: Reflections on the Rainbow Nation (2014), Khaya Dlanga’s To Quote Myself (2015) and Tumi Morake’s And Then Mama Said… Words That Set My Life Alight (2018). Using the intersectional approach, the study explores the lives narrated by second generation South Africans, in a manner similar to the grand narratives because of their historical and social context. The study focalises life/self-writers who have experienced post-apartheid trauma of being racialized, gendered and classed in a democratic country. This is a shift from the staple analysis of lives of political struggle against apartheid, narrated by historical legends such as Nelson Mandela. The study then, by focusing on ‘small voices’ closes a critical gap created by over-attention paid to grand narratives in South African life writing. Self-narrations by young, black, middle-class South Africans emerge not only as a way of narrating history but also as a means of making history. Through the deployment of the intersectional approach (the interconnectedness of inequalities) to analyse the systems of oppression associated with democratic South Africa, the four selected interventional life writers reveal how their experiences and identities are an outcome of constantly renegotiating power relations. , Thesis (MA) -- Faculty of Humanities, Social Sciences and Law, 2020
- Full Text:
- Date Issued: 2020
Intraspecific mitochondrial gene variation can be as low as that of nuclear rRNA:
- Matumba, Tshifhiwa G, Oliver, Jody, Barker, Nigel P, McQuaid, Christopher D, Teske, Peter R
- Authors: Matumba, Tshifhiwa G , Oliver, Jody , Barker, Nigel P , McQuaid, Christopher D , Teske, Peter R
- Date: 2020
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/160401 , vital:40442 , https://doi.org/10.12688/f1000research.23635.2
- Description: Mitochondrial DNA (mtDNA) has long been used to date historical demographic events. The idea that it is useful for molecular dating rests on the premise that its evolution is neutral. Even though this idea has long been challenged, the evidence against clock-like evolution of mtDNA is often ignored. Here, we present a particularly clear and simple example to illustrate the implications of violations of the assumption of selective neutrality.
- Full Text:
- Date Issued: 2020
- Authors: Matumba, Tshifhiwa G , Oliver, Jody , Barker, Nigel P , McQuaid, Christopher D , Teske, Peter R
- Date: 2020
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/160401 , vital:40442 , https://doi.org/10.12688/f1000research.23635.2
- Description: Mitochondrial DNA (mtDNA) has long been used to date historical demographic events. The idea that it is useful for molecular dating rests on the premise that its evolution is neutral. Even though this idea has long been challenged, the evidence against clock-like evolution of mtDNA is often ignored. Here, we present a particularly clear and simple example to illustrate the implications of violations of the assumption of selective neutrality.
- Full Text:
- Date Issued: 2020
Introduction “New” theory,“post” North-South representations, praxis
- Rodrigues, Cae, Payne, Phillip G, Grange, Lesley L, Carvalho, Isabel C, Steil, Carlos A, Lotz-Sisitka, Heila, Linde-Loubser, Henriette
- Authors: Rodrigues, Cae , Payne, Phillip G , Grange, Lesley L , Carvalho, Isabel C , Steil, Carlos A , Lotz-Sisitka, Heila , Linde-Loubser, Henriette
- Date: 2020
- Subjects: To be catalogued
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/182736 , vital:43858 , xlink:href="https://doi.org/10.1080/00958964.2020.1726265"
- Description: At a recent academic conference in the South, nine of us grappled for four days with these “old” questions and their presence within the “new” discourse of “post” environmental education research. We struggled for an additional six-month period of email exchange to see and feel these questions in our own research. That slow, rich, and deeper academic exchange between us culminated in a research agenda, partially (re)presented in a collectively constructed Mindmap (Figure 1), for critiquing the post/new whose framing is described in the remainder of this Introduction to the politics of knowledge production. That politic of slowly and judiciously engaging a collective form of criticism culminates in identifying the research problem, and questions, of this Special Issue (SI) about the role and place of allegedly new theory in the global discourse of allegedly post environmental education research. This specially assembled issue of The Journal of Environmental Education (JEE) is our best effort to (partially) represent a considerable amount of thought about the challenge presented by “post” and “new” Western thought. In translating our collective thought processes to a SI, we anticipate the reflexivity of the field will be critically advanced through engaging a number of emerging debates (Robottom and Hart, 1993) identified in the following pages of this Introduction, and in three “sample” articles specially written by Isabel Carvalho, Carlos Steil and Francisco Abraão Gonzaga, Louise Sund and Karen Pashby, and Phillip Payne, and an “in process” Conclusion written by Cae Rodrigues. There remains much work to do. This SI is only a start of reengaging overdue debates about the post (Hart, 2005).
- Full Text:
- Date Issued: 2020
- Authors: Rodrigues, Cae , Payne, Phillip G , Grange, Lesley L , Carvalho, Isabel C , Steil, Carlos A , Lotz-Sisitka, Heila , Linde-Loubser, Henriette
- Date: 2020
- Subjects: To be catalogued
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/182736 , vital:43858 , xlink:href="https://doi.org/10.1080/00958964.2020.1726265"
- Description: At a recent academic conference in the South, nine of us grappled for four days with these “old” questions and their presence within the “new” discourse of “post” environmental education research. We struggled for an additional six-month period of email exchange to see and feel these questions in our own research. That slow, rich, and deeper academic exchange between us culminated in a research agenda, partially (re)presented in a collectively constructed Mindmap (Figure 1), for critiquing the post/new whose framing is described in the remainder of this Introduction to the politics of knowledge production. That politic of slowly and judiciously engaging a collective form of criticism culminates in identifying the research problem, and questions, of this Special Issue (SI) about the role and place of allegedly new theory in the global discourse of allegedly post environmental education research. This specially assembled issue of The Journal of Environmental Education (JEE) is our best effort to (partially) represent a considerable amount of thought about the challenge presented by “post” and “new” Western thought. In translating our collective thought processes to a SI, we anticipate the reflexivity of the field will be critically advanced through engaging a number of emerging debates (Robottom and Hart, 1993) identified in the following pages of this Introduction, and in three “sample” articles specially written by Isabel Carvalho, Carlos Steil and Francisco Abraão Gonzaga, Louise Sund and Karen Pashby, and Phillip Payne, and an “in process” Conclusion written by Cae Rodrigues. There remains much work to do. This SI is only a start of reengaging overdue debates about the post (Hart, 2005).
- Full Text:
- Date Issued: 2020
Introduction:
- Authors: Bischoff, Paul, 1954-
- Date: 2020
- Language: English
- Type: text , book
- Identifier: http://hdl.handle.net/10962/161700 , vital:40655 , ISBN 9780367348281 , https://www.routledge.com/African-Foreign-Policies-Selecting-Signifiers-to-Explain-Agency/Bischoff/p/book/9780367348281
- Description: This book explores, at a time when several powers have become serious players on the continent, aspects of African agency, past and present, by African writers on foreign policy, representative of geography, language and state size.
- Full Text:
- Date Issued: 2020
- Authors: Bischoff, Paul, 1954-
- Date: 2020
- Language: English
- Type: text , book
- Identifier: http://hdl.handle.net/10962/161700 , vital:40655 , ISBN 9780367348281 , https://www.routledge.com/African-Foreign-Policies-Selecting-Signifiers-to-Explain-Agency/Bischoff/p/book/9780367348281
- Description: This book explores, at a time when several powers have become serious players on the continent, aspects of African agency, past and present, by African writers on foreign policy, representative of geography, language and state size.
- Full Text:
- Date Issued: 2020
Invalid submission of extension of time claims in the South African construction industry
- Authors: Neethling, Juan Pierre
- Date: 2020
- Subjects: Construction industry -- South Africa , Construction industry -- Management Project management Building -- Superintendence
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/46805 , vital:39663
- Description: Most construction projects are delayed in the construction industry due to internal and/or external influences. Proving delay is not a simple task but rather a time-consuming process, as projects consist of numerous activities and a substantial amount of detail, and they interface with the many stakeholders. Several different methods can be used to prove a delay; however, these are academic and are mainly for simple projects. Proving a delay is often difficult for the contractor, who is consistently dealing with multiple project constraints. Therefore, to be effective with an extension of time claim, the contractor must establish causation and liability, and assist in demonstrating the extent of time-related damages experienced as a direct result of the delay events relied upon. The process of recording the delays is dynamic and requires solid knowledge of contract clauses, the ability to distinguish between different types of delays and the capability to identify what constitutes valid evidence. Therefore, a need arises to establish a framework that would assist contractors by standardising their submission. This would contribute to expediting the evaluation and approval process, thus limiting the negative impacts associated with prolonged delay claims. The research obtains a “lived” view from contractors who have participated with EOT claims, therefore, utilising the qualitative research method. The choice of data collection method was semi-structured one-on one face to face interviews. In deriving the findings of the research, the coding scheme techniques were used throughout the research process to manage both the secondary and primary data. The main factors which cause major problems in EOT claims are contractual knowledge, lack of supporting information, contractual compliance, employer inference and the different philosophies of contracts, which often leads to confusion and misinterpretation. There is a lack of awareness and knowledge of the analysis techniques and strategies which could assist in preparing EOT claims, even though there is a substantial amount of literature available. The concept that the industry needs a standardised submission process was welcomed by the participants; the existence of a common strategy would certainly resolve many problems in the submission process, including reducing the number of disputes. There was a consensus among all participants that there is no standard approach to submitting EOT claims in the South African construction industry and exploring a common approach was an idea that was viewed as reasonable and maybe offered a practical solution to address the submission challenges. There were several delimitations to this study. First, the sample only included individuals within the Eastern Cape region. Since the sample size was relatively small, the researcher was cautious when interpreting and generalising the results. Secondly, the targeted population for this research was selected using the purposive sampling method, as opposed to a random sampling, which means that the results of the study cannot be generally applied to a larger population. Lastly, the research was a qualitative study which relied on the interpretations of the researcher based on his understanding of the data collected.
- Full Text:
- Date Issued: 2020
- Authors: Neethling, Juan Pierre
- Date: 2020
- Subjects: Construction industry -- South Africa , Construction industry -- Management Project management Building -- Superintendence
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/46805 , vital:39663
- Description: Most construction projects are delayed in the construction industry due to internal and/or external influences. Proving delay is not a simple task but rather a time-consuming process, as projects consist of numerous activities and a substantial amount of detail, and they interface with the many stakeholders. Several different methods can be used to prove a delay; however, these are academic and are mainly for simple projects. Proving a delay is often difficult for the contractor, who is consistently dealing with multiple project constraints. Therefore, to be effective with an extension of time claim, the contractor must establish causation and liability, and assist in demonstrating the extent of time-related damages experienced as a direct result of the delay events relied upon. The process of recording the delays is dynamic and requires solid knowledge of contract clauses, the ability to distinguish between different types of delays and the capability to identify what constitutes valid evidence. Therefore, a need arises to establish a framework that would assist contractors by standardising their submission. This would contribute to expediting the evaluation and approval process, thus limiting the negative impacts associated with prolonged delay claims. The research obtains a “lived” view from contractors who have participated with EOT claims, therefore, utilising the qualitative research method. The choice of data collection method was semi-structured one-on one face to face interviews. In deriving the findings of the research, the coding scheme techniques were used throughout the research process to manage both the secondary and primary data. The main factors which cause major problems in EOT claims are contractual knowledge, lack of supporting information, contractual compliance, employer inference and the different philosophies of contracts, which often leads to confusion and misinterpretation. There is a lack of awareness and knowledge of the analysis techniques and strategies which could assist in preparing EOT claims, even though there is a substantial amount of literature available. The concept that the industry needs a standardised submission process was welcomed by the participants; the existence of a common strategy would certainly resolve many problems in the submission process, including reducing the number of disputes. There was a consensus among all participants that there is no standard approach to submitting EOT claims in the South African construction industry and exploring a common approach was an idea that was viewed as reasonable and maybe offered a practical solution to address the submission challenges. There were several delimitations to this study. First, the sample only included individuals within the Eastern Cape region. Since the sample size was relatively small, the researcher was cautious when interpreting and generalising the results. Secondly, the targeted population for this research was selected using the purposive sampling method, as opposed to a random sampling, which means that the results of the study cannot be generally applied to a larger population. Lastly, the research was a qualitative study which relied on the interpretations of the researcher based on his understanding of the data collected.
- Full Text:
- Date Issued: 2020
Invasion status and impact potential of Florida bass Micropterus floridanus in South Africa
- Authors: Khosa, Dumisani
- Date: 2020
- Subjects: Micropterus floridanus , Florida largemouth bass -- South Africa , Black bass -- South Africa , Micropterus floridanus -- South Africa -- Habitat , Florida largemouth bass -- South Africa -- Habitat , Black bass -- South Africa -- Habitat , Introduced fishes -- Environmental aspects -- South Africa
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/165733 , vital:41276
- Description: In South Africa, the introduction of alien fishes was largely driven by the development of recreational fishing opportunities. Government-backed programmes resulted in the introduction of four Black Bass species: Micropterus salmoides, Micropterus dolomieu, Micropterus punctulatus and Micropterus floridanus. These species are regarded as the primary threat to native biota and there is an urgent need to assess their spread and impacts. This thesis focuses on: assessing the current distribution of all four Black Basses; using genetic techniques to establish the extent of hybridisation between M. salmoides and M. floridanus, and using functional responses to assess the impact potential of M. salmoides and M. floridanus under the context dependence of temperatures and habitat complexity. Maximum entropy modelling of habitat suitability for Black Bass highlighted that M. salmoides had broad climatic suitability across South Africa, while suitability for M. dolomieu and M. punctulatus was restricted to the Cape Fold Ecoregion. An extensive area-based invasion debt was observed for all Micropterus spp. To better understand the dynamics of hybridisation between M. salmoides and M. floridanus, 38 species-diagnostic single nucleotide polymorphism was used to screen Black Bass populations from the Breede River and Kowie River catchments. Micropterus salmoides alleles were more prevalent than M. floridanus in both the Breede River catchments (69.1% and 30.9%, respectively) and Kowie River catchments (63.3% and 36.7%, respectively). However, isolated populations found in dams (reservoirs) remained free from hybridisation. To compare resource utilisation (i.e. per capita effects) between M. salmoides and M. floridanus, two experimental chapters were designed. Chapter 4 focuses on how temperature mitigates per capita effects between the two Black Basses. There was a significant decrease in per capita effects for M. salmoides with increasing temperatures, while the converse was true for M. floridanus. Chapter 5 gives an account of the influence of habitat complexity on per capita effects. The results showed that habitat complexity did mitigate per capita effects, specifically on M. floridanus, which showed a significant drop in per capita effects; however, no significant difference was recorded for M. salmoides. In the two experimental chapters, M. floridanus exhibited a superior per capita effect compared to M. salmoides, implying higher predation impact on native biota.
- Full Text:
- Date Issued: 2020
- Authors: Khosa, Dumisani
- Date: 2020
- Subjects: Micropterus floridanus , Florida largemouth bass -- South Africa , Black bass -- South Africa , Micropterus floridanus -- South Africa -- Habitat , Florida largemouth bass -- South Africa -- Habitat , Black bass -- South Africa -- Habitat , Introduced fishes -- Environmental aspects -- South Africa
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/165733 , vital:41276
- Description: In South Africa, the introduction of alien fishes was largely driven by the development of recreational fishing opportunities. Government-backed programmes resulted in the introduction of four Black Bass species: Micropterus salmoides, Micropterus dolomieu, Micropterus punctulatus and Micropterus floridanus. These species are regarded as the primary threat to native biota and there is an urgent need to assess their spread and impacts. This thesis focuses on: assessing the current distribution of all four Black Basses; using genetic techniques to establish the extent of hybridisation between M. salmoides and M. floridanus, and using functional responses to assess the impact potential of M. salmoides and M. floridanus under the context dependence of temperatures and habitat complexity. Maximum entropy modelling of habitat suitability for Black Bass highlighted that M. salmoides had broad climatic suitability across South Africa, while suitability for M. dolomieu and M. punctulatus was restricted to the Cape Fold Ecoregion. An extensive area-based invasion debt was observed for all Micropterus spp. To better understand the dynamics of hybridisation between M. salmoides and M. floridanus, 38 species-diagnostic single nucleotide polymorphism was used to screen Black Bass populations from the Breede River and Kowie River catchments. Micropterus salmoides alleles were more prevalent than M. floridanus in both the Breede River catchments (69.1% and 30.9%, respectively) and Kowie River catchments (63.3% and 36.7%, respectively). However, isolated populations found in dams (reservoirs) remained free from hybridisation. To compare resource utilisation (i.e. per capita effects) between M. salmoides and M. floridanus, two experimental chapters were designed. Chapter 4 focuses on how temperature mitigates per capita effects between the two Black Basses. There was a significant decrease in per capita effects for M. salmoides with increasing temperatures, while the converse was true for M. floridanus. Chapter 5 gives an account of the influence of habitat complexity on per capita effects. The results showed that habitat complexity did mitigate per capita effects, specifically on M. floridanus, which showed a significant drop in per capita effects; however, no significant difference was recorded for M. salmoides. In the two experimental chapters, M. floridanus exhibited a superior per capita effect compared to M. salmoides, implying higher predation impact on native biota.
- Full Text:
- Date Issued: 2020
Invasive alien aquatic plants in South African freshwater ecosystems:
- Hill, Martin P, Coetzee, Julie A, Martin, Grant D, Smith, Rosali, Strange, Emily F
- Authors: Hill, Martin P , Coetzee, Julie A , Martin, Grant D , Smith, Rosali , Strange, Emily F
- Date: 2020
- Language: English
- Type: text , book
- Identifier: http://hdl.handle.net/10962/176271 , vital:42680 , ISBN 978-3-030-32394-3 , 10.1007/978-3-030-32394-3
- Description: South Africa has a long history of managing the establishment and spread of invasive fioating macrophytes. The past thirty years of research and the implementation of nation-wide biological and integrated control programmes has led to widespread control of these species in many degraded freshwater ecosystems. Such initiatives are aimed at restoring access to potable freshwater and maintaining native biodiversity.
- Full Text: false
- Date Issued: 2020
- Authors: Hill, Martin P , Coetzee, Julie A , Martin, Grant D , Smith, Rosali , Strange, Emily F
- Date: 2020
- Language: English
- Type: text , book
- Identifier: http://hdl.handle.net/10962/176271 , vital:42680 , ISBN 978-3-030-32394-3 , 10.1007/978-3-030-32394-3
- Description: South Africa has a long history of managing the establishment and spread of invasive fioating macrophytes. The past thirty years of research and the implementation of nation-wide biological and integrated control programmes has led to widespread control of these species in many degraded freshwater ecosystems. Such initiatives are aimed at restoring access to potable freshwater and maintaining native biodiversity.
- Full Text: false
- Date Issued: 2020
Investigating cannabinoids and endocannabinoid receptors as drug targets for pain and inflammation
- Authors: Marwarwa, Sinobomi Zamachi
- Date: 2020
- Subjects: Cannabinoids , Cannabinoids Receptors , Inflammation Alternative treatment , Pain Alternative treatment , Drug targeting
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10962/164468 , vital:41121
- Description: Cannabinoids and the endocannabinoid system have been studied in the past decades but have yet to be fully understood. An insight into interactions that occur between cannabinoid compounds and their receptors is important for understanding the cannabinoids and the endocannabinoid system. Cannabinoids are natural products found in some cannabis plants, and they have similar effects to endocannabinoids, which are chemicals in the body that are involved many aspects of health from appetite, memory, and movement to pain, inflammation and response to cancer. Cannabinoids have a high impact on the treatment of pain and inflammation, they show different antinociceptive mechanisms to existing drugs like opioids, also, they have antimigraine properties better than those achieved by aspirin. The CB1 and CB2 human receptors have been the most studied cannabinoid receptors. In this project, we used a combination of mass-spectrometry to generate plausible chemical fragments and computational techniques to assess the binding of these fragments to these two main CB receptors. CB1 was adapted from the protein data bank (PBD), file 5U09 and the CB2 model was predicted using the hierarchical protocol I-TASSER, starting from the amino acid sequence in UniProt (P34972 CNR2_HUMAN). The proposed active site for CB1 was reported in a publication accompanying the 5U09 PDB model, which was originally generated with a pre-existing ligand in the active site. However, CB2 had to be built from a homology model and the active site determined using a combination of I-TASSER, Maestro, and CASTp the more favourable binding energies were determined by CASTp, leading to the use of the CASTp coordinates as default for docking in the CB2 human receptor. The molecular docking of cannabinoids THC, CBD, CBDV, CBG and CBN on both the CB1 and CB2 proteins was performed to identify the amino acids that interact with these compounds at their active sites. This would provide a guide to a future fragment-based drug discovery (FBDD) synthesis project. The docking in this work showed adequate accuracy with binding energies between -8.23 kcal/mol and -9.97 kcal/mol for CB1 and between -6.78 kcal/mol and -7.74 kcal/mol for CB2. An observation made was that binding energies of the CB1 human receptor docking were higher than those of the CB2 human receptor, which could support the widely held belief that CB1 is more important in cannabinoid interactions. The cannabinoids were then subjected to collision-induced dissociation to produce fragment structures predicted in chapter 2. These hypothetical fragments were docked in the CB1 and CB2 human receptor, the general trend again being the binding energies for the CB1 receptor was again around 10% higher than those of the CB2 receptor. As expected, larger fragments tended to have better binding, with the fragment proposed from m/z 259 with binding energies -9.62 kcal/mol in CB1 and -6.26 kcal/mol. Those fragments with significant lipophilic side chains or some aromatic moiety also showed good binding or around -6.00 kcal/mol, similar to the intact cannabinoids. In our case, this fragment was proposed from m/z 223 with binding energies -7.71 kcal/mol in CB1 and -6.5 kcal/mol in CB2. The results from the fragment dockings were favourable in that they have binding affinities lower than -6.0 kcal/mol which is good enough for the structures to be leads in the creation of fragment libraries. The docking was performed with Autodock 1.5.6 and data visualization with a discovery studio. , Thesis (MSc) -- Faculty of Science, Chemistry, 2020
- Full Text:
- Date Issued: 2020
- Authors: Marwarwa, Sinobomi Zamachi
- Date: 2020
- Subjects: Cannabinoids , Cannabinoids Receptors , Inflammation Alternative treatment , Pain Alternative treatment , Drug targeting
- Language: English
- Type: Master's theses , text
- Identifier: http://hdl.handle.net/10962/164468 , vital:41121
- Description: Cannabinoids and the endocannabinoid system have been studied in the past decades but have yet to be fully understood. An insight into interactions that occur between cannabinoid compounds and their receptors is important for understanding the cannabinoids and the endocannabinoid system. Cannabinoids are natural products found in some cannabis plants, and they have similar effects to endocannabinoids, which are chemicals in the body that are involved many aspects of health from appetite, memory, and movement to pain, inflammation and response to cancer. Cannabinoids have a high impact on the treatment of pain and inflammation, they show different antinociceptive mechanisms to existing drugs like opioids, also, they have antimigraine properties better than those achieved by aspirin. The CB1 and CB2 human receptors have been the most studied cannabinoid receptors. In this project, we used a combination of mass-spectrometry to generate plausible chemical fragments and computational techniques to assess the binding of these fragments to these two main CB receptors. CB1 was adapted from the protein data bank (PBD), file 5U09 and the CB2 model was predicted using the hierarchical protocol I-TASSER, starting from the amino acid sequence in UniProt (P34972 CNR2_HUMAN). The proposed active site for CB1 was reported in a publication accompanying the 5U09 PDB model, which was originally generated with a pre-existing ligand in the active site. However, CB2 had to be built from a homology model and the active site determined using a combination of I-TASSER, Maestro, and CASTp the more favourable binding energies were determined by CASTp, leading to the use of the CASTp coordinates as default for docking in the CB2 human receptor. The molecular docking of cannabinoids THC, CBD, CBDV, CBG and CBN on both the CB1 and CB2 proteins was performed to identify the amino acids that interact with these compounds at their active sites. This would provide a guide to a future fragment-based drug discovery (FBDD) synthesis project. The docking in this work showed adequate accuracy with binding energies between -8.23 kcal/mol and -9.97 kcal/mol for CB1 and between -6.78 kcal/mol and -7.74 kcal/mol for CB2. An observation made was that binding energies of the CB1 human receptor docking were higher than those of the CB2 human receptor, which could support the widely held belief that CB1 is more important in cannabinoid interactions. The cannabinoids were then subjected to collision-induced dissociation to produce fragment structures predicted in chapter 2. These hypothetical fragments were docked in the CB1 and CB2 human receptor, the general trend again being the binding energies for the CB1 receptor was again around 10% higher than those of the CB2 receptor. As expected, larger fragments tended to have better binding, with the fragment proposed from m/z 259 with binding energies -9.62 kcal/mol in CB1 and -6.26 kcal/mol. Those fragments with significant lipophilic side chains or some aromatic moiety also showed good binding or around -6.00 kcal/mol, similar to the intact cannabinoids. In our case, this fragment was proposed from m/z 223 with binding energies -7.71 kcal/mol in CB1 and -6.5 kcal/mol in CB2. The results from the fragment dockings were favourable in that they have binding affinities lower than -6.0 kcal/mol which is good enough for the structures to be leads in the creation of fragment libraries. The docking was performed with Autodock 1.5.6 and data visualization with a discovery studio. , Thesis (MSc) -- Faculty of Science, Chemistry, 2020
- Full Text:
- Date Issued: 2020
Investigating carcass characteristics, meat quality and ageing effects on physicochemical attributes, lipid oxidation, and degradation of muscle proteins in mature beef and dairy cull cows
- Authors: Mpala, Bukhosi
- Date: 2020
- Subjects: Meat -- Quality Dairy cattle
- Language: English
- Type: Thesis , Masters , MSc (Animal Science )
- Identifier: http://hdl.handle.net/10353/18777 , vital:42732
- Description: This study aimed to examine carcass characteristics, meat quality and postmortem ageing effects on physicochemical properties, lipid oxidation and muscle protein degradation in dairy and beef cull cows. Three cattle genotypes representing dairy {Holstein-Friesian (HF)}, beef {Bonsmara (BON)}, and a mixed purpose genotype {South Devon × Aberdeen Angus crossbreed (SD × AA)} were selected at a commercial abattoir lairage and used for this study. From each genotype, mature cows falling into the C-age class were then randomly chosen consisting of 24 HF, 31 BON and 26 SD × AA. The South African red meat classification system was used to evaluate carcass parameters, while objective measurements associated with meat quality {i.e., pH, colour (CIE L*, a*, b*), water holding capacity (WHC) and Warner-Bratzler shear force (WBSF)} were assessed in the M. longissimus thoracis et lumborum (LTL) muscle. Also, six cows were selected from each genotype within a carcass weight range of 290 ± 5 kg and fat score (FS) and conformation score (CS) of 2 and 3 respectively, and their meat was aged in a 4 ℃ chiller for 1, 7 or 14 days. At each ageing period, steaks were evaluated for pH, colour, WHC, WBSF and lipid oxidation. Furthermore, sub-samples were cut from each aged steak, vacuum-sealed, and stored in a freezer at -20 ℃ until needed for the determination of protein solubility and degradation of myofibrillar and sarcoplasmic proteins. Study results showed that the HF had a significantly (P < 0.05) lower dressing percentage than the BON and SD × AA. A total of 59% of the cull cows yielded lean carcasses, while 33% and 4% had a medium and fat subcutaneous fat score, respectively. The Holstein-Friesian recorded carcasses that had a fat score of 0 (2%) and a fat score of 1 (4%) while the Bonsmara had 20% C2, 16% C3 and 2% C4 carcasses, respectively. Most of the carcasses (78%) had a medium CS with the BON and SD × AA making up to 37% and 30%, respectively. All the measured meat quality attributes showed significant differences (P < 0.05) among the three cattle genotypes, except b*, hue angle and thawing loss. Notably, the HF recorded higher (P < 0.05) L*, a* and drip loss values but had a lower WBSF than the BON. The findings of the present study also showed that meat pH, colour traits, purge loss, lipid oxidation, cooking loss and WBSF were significantly (P < 0.05) influenced by post-mortem ageing and genotype. Except for SD × AA, WBSF only showed a significant decrease after 14 days of ageing. Moreover, significant (P < 0.05) ageing and genotype effects were observed on protein solubility and degradation of sarcoplasmic and myofibrillar proteins. One dimensional gel electrophoresis revealed the presence of several protein bands 4 Final Submission of Thesis, Dissertation or Research Report/Project, Conference or Exam Paper with molecular weights ranges of 16 - 250 kDa and 12.5 – 166.6 kDa in the myofibrillar and sarcoplasmic protein extracts, respectively. The staining intensities of some the protein bands were significantly (P < 0.05) influenced by ageing and cattle genotype. In conclusion, the present study observed that carcass characteristics and meat quality traits vary among cattle genotypes with different production use. The data also revealed that physicochemical characteristics and degradation of muscle proteins is related to both cattle genotype and postmortem ageing. It is recommended that the meat of mature cull cows be aged under vacuum conditions for up to 14 days to improve its tenderness.
- Full Text:
- Date Issued: 2020
- Authors: Mpala, Bukhosi
- Date: 2020
- Subjects: Meat -- Quality Dairy cattle
- Language: English
- Type: Thesis , Masters , MSc (Animal Science )
- Identifier: http://hdl.handle.net/10353/18777 , vital:42732
- Description: This study aimed to examine carcass characteristics, meat quality and postmortem ageing effects on physicochemical properties, lipid oxidation and muscle protein degradation in dairy and beef cull cows. Three cattle genotypes representing dairy {Holstein-Friesian (HF)}, beef {Bonsmara (BON)}, and a mixed purpose genotype {South Devon × Aberdeen Angus crossbreed (SD × AA)} were selected at a commercial abattoir lairage and used for this study. From each genotype, mature cows falling into the C-age class were then randomly chosen consisting of 24 HF, 31 BON and 26 SD × AA. The South African red meat classification system was used to evaluate carcass parameters, while objective measurements associated with meat quality {i.e., pH, colour (CIE L*, a*, b*), water holding capacity (WHC) and Warner-Bratzler shear force (WBSF)} were assessed in the M. longissimus thoracis et lumborum (LTL) muscle. Also, six cows were selected from each genotype within a carcass weight range of 290 ± 5 kg and fat score (FS) and conformation score (CS) of 2 and 3 respectively, and their meat was aged in a 4 ℃ chiller for 1, 7 or 14 days. At each ageing period, steaks were evaluated for pH, colour, WHC, WBSF and lipid oxidation. Furthermore, sub-samples were cut from each aged steak, vacuum-sealed, and stored in a freezer at -20 ℃ until needed for the determination of protein solubility and degradation of myofibrillar and sarcoplasmic proteins. Study results showed that the HF had a significantly (P < 0.05) lower dressing percentage than the BON and SD × AA. A total of 59% of the cull cows yielded lean carcasses, while 33% and 4% had a medium and fat subcutaneous fat score, respectively. The Holstein-Friesian recorded carcasses that had a fat score of 0 (2%) and a fat score of 1 (4%) while the Bonsmara had 20% C2, 16% C3 and 2% C4 carcasses, respectively. Most of the carcasses (78%) had a medium CS with the BON and SD × AA making up to 37% and 30%, respectively. All the measured meat quality attributes showed significant differences (P < 0.05) among the three cattle genotypes, except b*, hue angle and thawing loss. Notably, the HF recorded higher (P < 0.05) L*, a* and drip loss values but had a lower WBSF than the BON. The findings of the present study also showed that meat pH, colour traits, purge loss, lipid oxidation, cooking loss and WBSF were significantly (P < 0.05) influenced by post-mortem ageing and genotype. Except for SD × AA, WBSF only showed a significant decrease after 14 days of ageing. Moreover, significant (P < 0.05) ageing and genotype effects were observed on protein solubility and degradation of sarcoplasmic and myofibrillar proteins. One dimensional gel electrophoresis revealed the presence of several protein bands 4 Final Submission of Thesis, Dissertation or Research Report/Project, Conference or Exam Paper with molecular weights ranges of 16 - 250 kDa and 12.5 – 166.6 kDa in the myofibrillar and sarcoplasmic protein extracts, respectively. The staining intensities of some the protein bands were significantly (P < 0.05) influenced by ageing and cattle genotype. In conclusion, the present study observed that carcass characteristics and meat quality traits vary among cattle genotypes with different production use. The data also revealed that physicochemical characteristics and degradation of muscle proteins is related to both cattle genotype and postmortem ageing. It is recommended that the meat of mature cull cows be aged under vacuum conditions for up to 14 days to improve its tenderness.
- Full Text:
- Date Issued: 2020
Investigating cell culture models for improved understanding of adipose tissue and co-morbidities in vitro
- Authors: Stoffels, Mihlali
- Date: 2020
- Subjects: Uncatalogued
- Language: English
- Type: thesis , text , Masters , MSc
- Identifier: http://hdl.handle.net/10962/164674 , vital:41154
- Description: Thesis (MSc)--Rhodes University, Faculty of Science, Biotechnology Innovation Centre, 2020
- Full Text:
- Date Issued: 2020
- Authors: Stoffels, Mihlali
- Date: 2020
- Subjects: Uncatalogued
- Language: English
- Type: thesis , text , Masters , MSc
- Identifier: http://hdl.handle.net/10962/164674 , vital:41154
- Description: Thesis (MSc)--Rhodes University, Faculty of Science, Biotechnology Innovation Centre, 2020
- Full Text:
- Date Issued: 2020
Investigating conceptual teaching of word problems through visualisation processes: a case of selected Grad 9 mathematics teachers
- Authors: John, Ssennyomo Bernard
- Date: 2020
- Subjects: Mathematics -- Study and teaching (Secondary) -- South Africa , Pythagorean theorem -- Study and teaching (Secondary) , Mathematics teachers -- South Africa , Visualization
- Language: English
- Type: text , Thesis , Masters , MEd
- Identifier: http://hdl.handle.net/10962/167497 , vital:41486
- Description: This study investigated how selected grade 9 mathematics teachers used visualisation strategies to conceptually teach Pythagoras' theorem word problems as a result of an intervention program. This research project is an integral component of the ViProMaths project whose goal is to research the effective use of visualisation strategies in the mathematics classroom in the Southern African region. This case study of mathematics teachers in the John Taolo Gaetsewe (JTG) District in the Northern Cape Province, used a social constructivist theory. The study is grounded within an interpretive paradigm and used an explanatory sequential mixed methods design. It surveyed eighty-seven mathematics teachers from all the secondary schools in the JTG District, focusing on their experiences when using visualisation approaches to teach Pythagoras’ theorem word problems. After the survey, three teachers purposively selected from three different schools in the district took part in the intervention programme. I used a survey questionnaire, classroom observations and interviews to collect the data from the study participants. The data were analysed quantitatively and qualitatively. The findings from survey data revealed that while teachers in the JTG District acknowledge the importance and value of visualisation strategies in the teaching of Pythagoras’ theorem word problems, many of them are either using visuals minimally or not using them at all. Challenges such as lack of resources in schools, time constrains, a lack of support from subject advisers, among others were noted. This thus necessitated a need for an intervention with some teachers in the district, specifically focusing on the use of visualisation tools and skills to teach Pythagoras’ theorem word problems for conceptual understanding. Lessons observations showed that all observed teachers used visual models to generate images and used the models to develop mathematical ideas. The teachers used the images to create platforms for classroom discussions. The discussions were driven by questions which teachers asked both for ascertaining learners’ prior knowledge and for finding out if they understood what the teachers were teaching. Interviews revealed that teachers’ perceptions had changed because they now know how to make and use different models to build on learners’ prior knowledge, extend what they are teaching to real life and make sense of Pythagoras’ proposition in multiple ways and to establish connections among a rich set of mathematics concepts when teaching Pythagoras’ theorem word problems. This study concludes that the use of visual strategies has the potential of enhancing conceptual teaching of Pythagoras’ theorem word problems. The implications for teachers are that learners need to be taught how to create visual representations (both internally and externally) of the relations between objects in a word problem as this will help them in maximising understanding. Furthermore, it is hoped that the results of this study could be used by various stake holders who include inter alia, mathematics subject advisers and teacher training institutions to improve the teaching of Pythagoras’ theorem word problems.
- Full Text:
- Date Issued: 2020
- Authors: John, Ssennyomo Bernard
- Date: 2020
- Subjects: Mathematics -- Study and teaching (Secondary) -- South Africa , Pythagorean theorem -- Study and teaching (Secondary) , Mathematics teachers -- South Africa , Visualization
- Language: English
- Type: text , Thesis , Masters , MEd
- Identifier: http://hdl.handle.net/10962/167497 , vital:41486
- Description: This study investigated how selected grade 9 mathematics teachers used visualisation strategies to conceptually teach Pythagoras' theorem word problems as a result of an intervention program. This research project is an integral component of the ViProMaths project whose goal is to research the effective use of visualisation strategies in the mathematics classroom in the Southern African region. This case study of mathematics teachers in the John Taolo Gaetsewe (JTG) District in the Northern Cape Province, used a social constructivist theory. The study is grounded within an interpretive paradigm and used an explanatory sequential mixed methods design. It surveyed eighty-seven mathematics teachers from all the secondary schools in the JTG District, focusing on their experiences when using visualisation approaches to teach Pythagoras’ theorem word problems. After the survey, three teachers purposively selected from three different schools in the district took part in the intervention programme. I used a survey questionnaire, classroom observations and interviews to collect the data from the study participants. The data were analysed quantitatively and qualitatively. The findings from survey data revealed that while teachers in the JTG District acknowledge the importance and value of visualisation strategies in the teaching of Pythagoras’ theorem word problems, many of them are either using visuals minimally or not using them at all. Challenges such as lack of resources in schools, time constrains, a lack of support from subject advisers, among others were noted. This thus necessitated a need for an intervention with some teachers in the district, specifically focusing on the use of visualisation tools and skills to teach Pythagoras’ theorem word problems for conceptual understanding. Lessons observations showed that all observed teachers used visual models to generate images and used the models to develop mathematical ideas. The teachers used the images to create platforms for classroom discussions. The discussions were driven by questions which teachers asked both for ascertaining learners’ prior knowledge and for finding out if they understood what the teachers were teaching. Interviews revealed that teachers’ perceptions had changed because they now know how to make and use different models to build on learners’ prior knowledge, extend what they are teaching to real life and make sense of Pythagoras’ proposition in multiple ways and to establish connections among a rich set of mathematics concepts when teaching Pythagoras’ theorem word problems. This study concludes that the use of visual strategies has the potential of enhancing conceptual teaching of Pythagoras’ theorem word problems. The implications for teachers are that learners need to be taught how to create visual representations (both internally and externally) of the relations between objects in a word problem as this will help them in maximising understanding. Furthermore, it is hoped that the results of this study could be used by various stake holders who include inter alia, mathematics subject advisers and teacher training institutions to improve the teaching of Pythagoras’ theorem word problems.
- Full Text:
- Date Issued: 2020
Investigating how teacher leadership can be developed among teachers in a rural school Namibia
- Authors: Shapange, Laban
- Date: 2020
- Subjects: Technical education -- South Africa , Vocational education -- South Africa , Educational leadership -- South Africa , Postsecondary education -- South Africa -- Administration
- Language: English
- Type: text , Thesis , Masters , MEd
- Identifier: http://hdl.handle.net/10962/144728 , vital:38374
- Description: In established democracies, the notion of ‘singular’ school leadership practised by the principal has been challenged and a more expansive approach to leadership, which includes teacher leadership, is now widely accepted. However, in Namibia, as with many countries on the African continent, the idea of ‘singular’ school leadership embedded in the position of principal still prevails. Effective leadership is generally accepted as being core to effective school improvement. The evidence from the school improvement literature constantly highlights that productive leaders exercise an indirect influence on a school’s ability and potential to improve and enhance the achievement of learners. This influence does not necessarily come from senior managers only, but partly lies in the strength of middle level leaders and teachers. Research has shown that when teachers assume shared leadership in the redesign of the school, mentor their colleagues, engage in problem solving at the school level and provide professional growth opportunities for their colleagues, they can be effective in bringing about positive change. These findings triggered my interest to study the potential of this approach to teacher leadership development in Namibia. In this context, this study investigated how teacher leadership can be developed among the teachers in a combined school in rural Namibia. The study examined both the understanding of the concept and the practices of teacher leadership among the teachers and school management team and also aimed at bringing about transformation in their practice. The study was a qualitative case study, which took an interventionist approach, framed by Cultural Historical Activity Theory as the theoretical and analytical framework. In addition, the study also used Grant’s Model of Teacher Leadership as an analytical tool. Eleven teachers and three members of the management team took part in the study as research participants and were selected by means of the purposive sampling method. Data were generated from two different phases. The first phase of the study examined perceptions and practices of leadership, while in the second phase of the study, a series of intervention Change Laboratory Workshops were conducted. Document analysis, observations, focus group interviews and closed-ended questionnaires were used as data gathering tools. The study lasted for a period of six weeks. Data were analysed using inductive and abductive approaches. The main findings of the study revealed that teacher leadership is understood as an ability to influence and inspire both learners and other teachers. Furthermore, although the participants demonstrated an understanding of teacher leadership as a concept, their understanding of teacher leaders’ roles was more on classroom management and control of learners. Teacher leadership development was understood as the process of empowering teachers to take-up various roles and delegated functions through school structures such as committees and within the community. The study further revealed a number of cultural-historic contextual tensions that led to constraints of teacher leadership practice in the case study school. For example, school management team members were seen as a barrier to teacher leadership practice and development. Factors such as limited involvement of teachers in decision-making in the school and lack of school-based continuous professional development programmes for teachers emerged as causes that constrained teacher leadership practice and development in the case study school. The Change Laboratory Workshop findings suggested that in the participants’ view, the revival of the different school committees would especially make a positive contribution to teacher leadership practice and development at the case study school.
- Full Text:
- Date Issued: 2020
- Authors: Shapange, Laban
- Date: 2020
- Subjects: Technical education -- South Africa , Vocational education -- South Africa , Educational leadership -- South Africa , Postsecondary education -- South Africa -- Administration
- Language: English
- Type: text , Thesis , Masters , MEd
- Identifier: http://hdl.handle.net/10962/144728 , vital:38374
- Description: In established democracies, the notion of ‘singular’ school leadership practised by the principal has been challenged and a more expansive approach to leadership, which includes teacher leadership, is now widely accepted. However, in Namibia, as with many countries on the African continent, the idea of ‘singular’ school leadership embedded in the position of principal still prevails. Effective leadership is generally accepted as being core to effective school improvement. The evidence from the school improvement literature constantly highlights that productive leaders exercise an indirect influence on a school’s ability and potential to improve and enhance the achievement of learners. This influence does not necessarily come from senior managers only, but partly lies in the strength of middle level leaders and teachers. Research has shown that when teachers assume shared leadership in the redesign of the school, mentor their colleagues, engage in problem solving at the school level and provide professional growth opportunities for their colleagues, they can be effective in bringing about positive change. These findings triggered my interest to study the potential of this approach to teacher leadership development in Namibia. In this context, this study investigated how teacher leadership can be developed among the teachers in a combined school in rural Namibia. The study examined both the understanding of the concept and the practices of teacher leadership among the teachers and school management team and also aimed at bringing about transformation in their practice. The study was a qualitative case study, which took an interventionist approach, framed by Cultural Historical Activity Theory as the theoretical and analytical framework. In addition, the study also used Grant’s Model of Teacher Leadership as an analytical tool. Eleven teachers and three members of the management team took part in the study as research participants and were selected by means of the purposive sampling method. Data were generated from two different phases. The first phase of the study examined perceptions and practices of leadership, while in the second phase of the study, a series of intervention Change Laboratory Workshops were conducted. Document analysis, observations, focus group interviews and closed-ended questionnaires were used as data gathering tools. The study lasted for a period of six weeks. Data were analysed using inductive and abductive approaches. The main findings of the study revealed that teacher leadership is understood as an ability to influence and inspire both learners and other teachers. Furthermore, although the participants demonstrated an understanding of teacher leadership as a concept, their understanding of teacher leaders’ roles was more on classroom management and control of learners. Teacher leadership development was understood as the process of empowering teachers to take-up various roles and delegated functions through school structures such as committees and within the community. The study further revealed a number of cultural-historic contextual tensions that led to constraints of teacher leadership practice in the case study school. For example, school management team members were seen as a barrier to teacher leadership practice and development. Factors such as limited involvement of teachers in decision-making in the school and lack of school-based continuous professional development programmes for teachers emerged as causes that constrained teacher leadership practice and development in the case study school. The Change Laboratory Workshop findings suggested that in the participants’ view, the revival of the different school committees would especially make a positive contribution to teacher leadership practice and development at the case study school.
- Full Text:
- Date Issued: 2020