Development of a reciprocating aerofoil wind energy harvester
- Authors: Phillips, Russell Leslie
- Date: 2008
- Subjects: Windmills , Wind power , Wind turbines
- Language: English
- Type: Thesis , Doctoral , DTech
- Identifier: vital:9622 , http://hdl.handle.net/10948/899 , Windmills , Wind power , Wind turbines
- Description: Cross flow wind turbines are not unique. The performance of Savonius and Darrieus turbines is well documented. Both share the advantage of being able to accept fluid flow from any direction. The Savonius is drag based and hence has poor power output while the Darrieus is lift based. Due to the fact that the Darrieus has fixed blades the fluid flow through the rotor does not result in optimal lift being generated at all points in the rotation circle. A drawback of the Darrieus system is that it has to operate at a high tip-to wind-speed ratio to obtain reasonable performance with the fixed blades. Deviation from a small optimal range of tip speed ratios results in poor performance. The Darrieus also has poor starting torque. The research conducted in this project focused on overcoming the shortcomings of other turbines and developing an effective cross flow turbine capable of good performance. A number of different concepts were experimented with, however all were based on a symmetrical aerofoil presented to the actual relative airflow at an angle that would produce the highest lift force at all times. The lift force was then utilized to generate movement and to do work on an electrical generator. All concepts contemplated were researched to ascertain their appropriateness for the intended application. During development of the final experimental platform and after lodging of a provisional patent (RSA 2007/00927) it was ascertained that the design shared some similarities with an American patent 5503525 dated 28/4/1994. This patent employed complex electronic sensing and control equipment for control of blade angle. This was thought to be overly complex and costly, particularly for small scale wind energy generation applications and a simpler mechanical solution was sought in the design of the final experimental platform used in this project. The design of the mechanical control system was refined in an attempt to make it simpler, more durable and employ the least number of moving parts. Literature studies and patent searches conducted, suggested that the mechanical control system as developed for the final experimental platform was unique. The enormous variation in the power available from the wind at the different wind speeds likely to be encountered by the device necessitated some means of control. In high wind conditions control of the amount of wind power into the device was deemed to be the preferable means of control. A number of different concepts to achieve this were devised and tested. The final concept employed limited the tail angle deflection and hence the lift produced by the aerofoils. This resulted in a seamless “throttle” control allowing the device to be used in any wind strength by adjusting the control to a position that resulted in the device receiving a suitable amount of power from the wind. The outcome of performance tests conducted indicated that the device has the potential to be developed into a viable wind turbine for both small and large scale applications. The ability to control the power input from the wind to the machine from zero to a maximum is considered to be one of the most beneficial outcomes of this project and together with the quiet operation and low speed, are considered the main advantages of the device over existing wind turbine designs. The possibilities of using the device to compress air for energy storage are exciting avenues that warrant further research.
- Full Text:
- Date Issued: 2008
- Authors: Phillips, Russell Leslie
- Date: 2008
- Subjects: Windmills , Wind power , Wind turbines
- Language: English
- Type: Thesis , Doctoral , DTech
- Identifier: vital:9622 , http://hdl.handle.net/10948/899 , Windmills , Wind power , Wind turbines
- Description: Cross flow wind turbines are not unique. The performance of Savonius and Darrieus turbines is well documented. Both share the advantage of being able to accept fluid flow from any direction. The Savonius is drag based and hence has poor power output while the Darrieus is lift based. Due to the fact that the Darrieus has fixed blades the fluid flow through the rotor does not result in optimal lift being generated at all points in the rotation circle. A drawback of the Darrieus system is that it has to operate at a high tip-to wind-speed ratio to obtain reasonable performance with the fixed blades. Deviation from a small optimal range of tip speed ratios results in poor performance. The Darrieus also has poor starting torque. The research conducted in this project focused on overcoming the shortcomings of other turbines and developing an effective cross flow turbine capable of good performance. A number of different concepts were experimented with, however all were based on a symmetrical aerofoil presented to the actual relative airflow at an angle that would produce the highest lift force at all times. The lift force was then utilized to generate movement and to do work on an electrical generator. All concepts contemplated were researched to ascertain their appropriateness for the intended application. During development of the final experimental platform and after lodging of a provisional patent (RSA 2007/00927) it was ascertained that the design shared some similarities with an American patent 5503525 dated 28/4/1994. This patent employed complex electronic sensing and control equipment for control of blade angle. This was thought to be overly complex and costly, particularly for small scale wind energy generation applications and a simpler mechanical solution was sought in the design of the final experimental platform used in this project. The design of the mechanical control system was refined in an attempt to make it simpler, more durable and employ the least number of moving parts. Literature studies and patent searches conducted, suggested that the mechanical control system as developed for the final experimental platform was unique. The enormous variation in the power available from the wind at the different wind speeds likely to be encountered by the device necessitated some means of control. In high wind conditions control of the amount of wind power into the device was deemed to be the preferable means of control. A number of different concepts to achieve this were devised and tested. The final concept employed limited the tail angle deflection and hence the lift produced by the aerofoils. This resulted in a seamless “throttle” control allowing the device to be used in any wind strength by adjusting the control to a position that resulted in the device receiving a suitable amount of power from the wind. The outcome of performance tests conducted indicated that the device has the potential to be developed into a viable wind turbine for both small and large scale applications. The ability to control the power input from the wind to the machine from zero to a maximum is considered to be one of the most beneficial outcomes of this project and together with the quiet operation and low speed, are considered the main advantages of the device over existing wind turbine designs. The possibilities of using the device to compress air for energy storage are exciting avenues that warrant further research.
- Full Text:
- Date Issued: 2008
Development of an integration model for the transport operators in the Nelson Mandela Bay area
- Authors: Pienaar, Jacques Ludolph
- Date: 2008
- Subjects: Urban transportation -- South Africa -- Port Elizabeth , Transportation -- South Africa -- Port Elizabeth -- Planning
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: vital:8722 , http://hdl.handle.net/10948/900 , Urban transportation -- South Africa -- Port Elizabeth , Transportation -- South Africa -- Port Elizabeth -- Planning
- Description: This research paper focuses on developing a model for the integration of the transport operators in the Nelson Mandela Bay area. The motivation for this integration is the Nelson Mandela Bay Municipality’s Public Transport Plan, which has set the goal of developing a new public transport system for the Metropolitan area. This system will integrate the different modes of transport into a single, seamless and scheduled service which will adhere to contractually enforced levels of quality, reliability and safety. In order to achieve this vision, the current bus and taxi operators will need to be unified into a viable and operational entity structure which will provide the required services to the public. The main research problem has therefore been identified as follows: How can the bus and taxi operators in Nelson Mandela Bay be integrated into a single entity, or small number of entities, in order to provide a viable, efficient and sustainable public transport service? This research paper sought to address this problem by conducting a case study of the Nelson Mandela Bay project, which took place over the course of a one year period. The author served as the project manager on the team that was responsible for developing the integration model. Additional research included a study visit to the cities of Bogota and Pereira in Colombia, which have implemented similar transport models, as well as a secondary study focusing on generic organisational integration strategies in existing literature. This paper is fundamentally a qualitative study. In this light, the research data was analysed according to the quasi-judicial method, which was deemed most suitable to the case study format adopted. The findings of the analysis were evaluated, and based on the resultant conclusions, a final integration model was recommended. The fact that this study is based on an actual project that has real world implications and consequences makes the result very relevant, and as such it will serve as a valuable addition to the body of knowledge which can be of assistance to other cities or project teams facing similar challenges in South Africa or even internationally.
- Full Text:
- Date Issued: 2008
- Authors: Pienaar, Jacques Ludolph
- Date: 2008
- Subjects: Urban transportation -- South Africa -- Port Elizabeth , Transportation -- South Africa -- Port Elizabeth -- Planning
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: vital:8722 , http://hdl.handle.net/10948/900 , Urban transportation -- South Africa -- Port Elizabeth , Transportation -- South Africa -- Port Elizabeth -- Planning
- Description: This research paper focuses on developing a model for the integration of the transport operators in the Nelson Mandela Bay area. The motivation for this integration is the Nelson Mandela Bay Municipality’s Public Transport Plan, which has set the goal of developing a new public transport system for the Metropolitan area. This system will integrate the different modes of transport into a single, seamless and scheduled service which will adhere to contractually enforced levels of quality, reliability and safety. In order to achieve this vision, the current bus and taxi operators will need to be unified into a viable and operational entity structure which will provide the required services to the public. The main research problem has therefore been identified as follows: How can the bus and taxi operators in Nelson Mandela Bay be integrated into a single entity, or small number of entities, in order to provide a viable, efficient and sustainable public transport service? This research paper sought to address this problem by conducting a case study of the Nelson Mandela Bay project, which took place over the course of a one year period. The author served as the project manager on the team that was responsible for developing the integration model. Additional research included a study visit to the cities of Bogota and Pereira in Colombia, which have implemented similar transport models, as well as a secondary study focusing on generic organisational integration strategies in existing literature. This paper is fundamentally a qualitative study. In this light, the research data was analysed according to the quasi-judicial method, which was deemed most suitable to the case study format adopted. The findings of the analysis were evaluated, and based on the resultant conclusions, a final integration model was recommended. The fact that this study is based on an actual project that has real world implications and consequences makes the result very relevant, and as such it will serve as a valuable addition to the body of knowledge which can be of assistance to other cities or project teams facing similar challenges in South Africa or even internationally.
- Full Text:
- Date Issued: 2008
Development of methodologies for deploying and implementing local & medium area broadband PLC networks in office and residential electric grids
- Authors: Tinarwo, Loyd
- Date: 2008
- Subjects: Broadband communication systems , Power transmission , Telecommunication lines
- Language: English
- Type: Thesis , Masters , MSc (Computer Science)
- Identifier: vital:11375 , http://hdl.handle.net/10353/83 , Broadband communication systems , Power transmission , Telecommunication lines
- Description: The use of electrical networks for telecommunications has a long history. It has been known since the beginning of the twentieth century [Ahola03]. The idea of using electrical networks for broadband communications arose in the 1990s [Hrasnica et al 04]. Recent and growing research interest has indicated that PowerLine Communications (PLC) is the threshold for achieving broadband delivery particularly in very dispersed and low teledensity areas. Currently, there are numerous PLC trials and commercial deployments underway inside and outside South Africa. Nevertheless, these PLC deployments are very isolated, done without clear methodology and performance remains bound to the physical layout of the electrical network. Because of that high bandwidth broadband PLC systems are prone to poor performance and this in turn limits the acceptance and deployment of this emerging alternative broadband technology. Though, PLC technical challenges are being addressed, there has been little analysis and research work that is focused on the “Development of Methodologies for Deploying and Implementing Local & Medium Area Broadband Power Line in Residential and Office Electric Grids” that would lead to broadband PLC being adopted and be of greater use to non-broadband communities of South Africa. PLC is a term describing several different systems using electrical grid distribution wires for simultaneous distribution of data by superimposing an analog signal [Hrasnica et al 04]. The research proposed and presented broadband PLC methodologies for typical medium voltage and local voltage PLC networks. These methodologieswere implemented and experimented with in configurations which closely mirrored residential and office settings through laboratory and multibuilding experiments using commercial 2nd Generation Mitsubishi Electric PLC technology. Research results presented not only serve to provide insight into broadband PLC but also how it handled broadband applications (communications), competed and compared with other technologies such as Ethernet LAN. In combination with networking communication theories, the research explored and analyzed the extent of PLC in providing broadband communication to residential and office electric grids at the University Fort Hare, Computer Science Department.
- Full Text:
- Date Issued: 2008
- Authors: Tinarwo, Loyd
- Date: 2008
- Subjects: Broadband communication systems , Power transmission , Telecommunication lines
- Language: English
- Type: Thesis , Masters , MSc (Computer Science)
- Identifier: vital:11375 , http://hdl.handle.net/10353/83 , Broadband communication systems , Power transmission , Telecommunication lines
- Description: The use of electrical networks for telecommunications has a long history. It has been known since the beginning of the twentieth century [Ahola03]. The idea of using electrical networks for broadband communications arose in the 1990s [Hrasnica et al 04]. Recent and growing research interest has indicated that PowerLine Communications (PLC) is the threshold for achieving broadband delivery particularly in very dispersed and low teledensity areas. Currently, there are numerous PLC trials and commercial deployments underway inside and outside South Africa. Nevertheless, these PLC deployments are very isolated, done without clear methodology and performance remains bound to the physical layout of the electrical network. Because of that high bandwidth broadband PLC systems are prone to poor performance and this in turn limits the acceptance and deployment of this emerging alternative broadband technology. Though, PLC technical challenges are being addressed, there has been little analysis and research work that is focused on the “Development of Methodologies for Deploying and Implementing Local & Medium Area Broadband Power Line in Residential and Office Electric Grids” that would lead to broadband PLC being adopted and be of greater use to non-broadband communities of South Africa. PLC is a term describing several different systems using electrical grid distribution wires for simultaneous distribution of data by superimposing an analog signal [Hrasnica et al 04]. The research proposed and presented broadband PLC methodologies for typical medium voltage and local voltage PLC networks. These methodologieswere implemented and experimented with in configurations which closely mirrored residential and office settings through laboratory and multibuilding experiments using commercial 2nd Generation Mitsubishi Electric PLC technology. Research results presented not only serve to provide insight into broadband PLC but also how it handled broadband applications (communications), competed and compared with other technologies such as Ethernet LAN. In combination with networking communication theories, the research explored and analyzed the extent of PLC in providing broadband communication to residential and office electric grids at the University Fort Hare, Computer Science Department.
- Full Text:
- Date Issued: 2008
Development of platinum metal specific separating agents
- Authors: Jonck, Heine
- Date: 2008
- Subjects: Platinum , Platinum -- Separation
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10401 , http://hdl.handle.net/10948/712 , Platinum , Platinum -- Separation
- Description: In this dissertation, the aim was to develop a platinum specific resin to be utilized for the early removal of platinum from the industrial feed solution. Efforts were therefore directed towards the syntheses of silica based resins, with active centra, designed for platinum. The large chlorometallate ions present in the feed stream, were characterized in terms of physical parameters relevant to phase distribution, namely distortability (RD), charge density, softness (σ) etc. Matching cations for each of the types were investigated. In order to attempt the design of platinum specific resins, different structural amines were used to aminate the silicone precursor and to subsequently fix these onto the silica framework. Two different solvents namely alcohol and dmf were used in this process, resulting in two sets of resins, with different properties. The design was based on previous experience with these ions, with reference to their behaviour towards different types of cations. The platinum species, PtCl6 2- and PtCl4 2-, as well as the most important contaminants in the feed stream, were typified, bearing in mind size, charge, charge density and distortability. Different types of cationic centra, having differences in charge density, stereochemical crowding and extent of hydrophobicity, were synthesized and tested-both as solvent extractants (where possible) and silica based resins. The results indicated that, partly screened secondary ammonium cationic resin species, which could be regarded as “intermediate”, proved to be satisfactory both in their high percentage extraction for PtCl4 2- and rejection of contaminants like chlororhodates, chloroiridates(III) and FeCl4 -. It was however necessary, to work at a redox potential, where iridium(IV) in the form of IrCl6 2-, was absent. Various 2-aminoalkane resins were prepared, with variation in the length of alkane group and synthesised by the two different solvents. The latter resulted in two sets of resins with not only differing compactness, but also having significantly different properties with reference to platinum specificity, HCl effect and stripping potential. The 2-aminobutane and 2-aminoheptane resins in particular, proved to be very satisfactory platinum specific resins, both with respect to selectivity, platinum capacity and stripping potential. The various physical parameters could be applied to identify the chemical behaviour of anions and assist in the development of anion specificity for the relevant species.
- Full Text:
- Date Issued: 2008
- Authors: Jonck, Heine
- Date: 2008
- Subjects: Platinum , Platinum -- Separation
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10401 , http://hdl.handle.net/10948/712 , Platinum , Platinum -- Separation
- Description: In this dissertation, the aim was to develop a platinum specific resin to be utilized for the early removal of platinum from the industrial feed solution. Efforts were therefore directed towards the syntheses of silica based resins, with active centra, designed for platinum. The large chlorometallate ions present in the feed stream, were characterized in terms of physical parameters relevant to phase distribution, namely distortability (RD), charge density, softness (σ) etc. Matching cations for each of the types were investigated. In order to attempt the design of platinum specific resins, different structural amines were used to aminate the silicone precursor and to subsequently fix these onto the silica framework. Two different solvents namely alcohol and dmf were used in this process, resulting in two sets of resins, with different properties. The design was based on previous experience with these ions, with reference to their behaviour towards different types of cations. The platinum species, PtCl6 2- and PtCl4 2-, as well as the most important contaminants in the feed stream, were typified, bearing in mind size, charge, charge density and distortability. Different types of cationic centra, having differences in charge density, stereochemical crowding and extent of hydrophobicity, were synthesized and tested-both as solvent extractants (where possible) and silica based resins. The results indicated that, partly screened secondary ammonium cationic resin species, which could be regarded as “intermediate”, proved to be satisfactory both in their high percentage extraction for PtCl4 2- and rejection of contaminants like chlororhodates, chloroiridates(III) and FeCl4 -. It was however necessary, to work at a redox potential, where iridium(IV) in the form of IrCl6 2-, was absent. Various 2-aminoalkane resins were prepared, with variation in the length of alkane group and synthesised by the two different solvents. The latter resulted in two sets of resins with not only differing compactness, but also having significantly different properties with reference to platinum specificity, HCl effect and stripping potential. The 2-aminobutane and 2-aminoheptane resins in particular, proved to be very satisfactory platinum specific resins, both with respect to selectivity, platinum capacity and stripping potential. The various physical parameters could be applied to identify the chemical behaviour of anions and assist in the development of anion specificity for the relevant species.
- Full Text:
- Date Issued: 2008
Die liturgiese gebruik van die orrel in 'n post-mordene era: persepsies van kerkmusici en leraars van die Nederduitse Gereformeerde gemeentes in Port Elizabeth
- Authors: Heunis, Sulani
- Date: 2008
- Subjects: Organ music -- South Africa -- Port Elizabeth , Chorale preludes
- Language: Afrikaans
- Type: Thesis , Masters , MMus
- Identifier: vital:8511 , http://hdl.handle.net/10948/787 , Organ music -- South Africa -- Port Elizabeth , Chorale preludes
- Description: In this study the liturgical usage of the organ is investigated within a post-modern society. It focuses specifically on the church services of the Dutch Reformed Congregations of Port Elizabeth with regards to the functionality of the organ during morning and evening services. The objectives of the study are to demonstrate the current situation of musical worship in the Dutch Reformed Congregations of Port Elizabeth. Furthermore it serves as a way to indicate any deficiency in the field, which would need to be addressed. In order to achieve these objectives, both a qualitative and quantitative study is undertaken. The qualitative study investigates existing literature regarding the church service and its music. The quantitative study comprises an analysis of self-administered questionnaires that was handed over for completion by the Dutch Reformed Congregations of Port Elizabeth. The results obtained were electronically processed to percentages and graphic illustrations. In this mini-treatise it is argued that the usage of other music instruments (in the form of music worship groups) during church services could possibly lead to a change in the liturgical function of the organ. It was found that the usage of the organ in the Dutch Reformed Congregations of Port Elizabeth was mainly retained during morning services. During evening services however, the usage of other music instruments was in the majority, which resulted in a decrease of organ usage. It was further discovered that a large group of organists are not involved with music worship groups. Training of organists in a contemporary style of music worship will therefore serve as a significant purpose to fulfil this deficiency.
- Full Text:
- Date Issued: 2008
- Authors: Heunis, Sulani
- Date: 2008
- Subjects: Organ music -- South Africa -- Port Elizabeth , Chorale preludes
- Language: Afrikaans
- Type: Thesis , Masters , MMus
- Identifier: vital:8511 , http://hdl.handle.net/10948/787 , Organ music -- South Africa -- Port Elizabeth , Chorale preludes
- Description: In this study the liturgical usage of the organ is investigated within a post-modern society. It focuses specifically on the church services of the Dutch Reformed Congregations of Port Elizabeth with regards to the functionality of the organ during morning and evening services. The objectives of the study are to demonstrate the current situation of musical worship in the Dutch Reformed Congregations of Port Elizabeth. Furthermore it serves as a way to indicate any deficiency in the field, which would need to be addressed. In order to achieve these objectives, both a qualitative and quantitative study is undertaken. The qualitative study investigates existing literature regarding the church service and its music. The quantitative study comprises an analysis of self-administered questionnaires that was handed over for completion by the Dutch Reformed Congregations of Port Elizabeth. The results obtained were electronically processed to percentages and graphic illustrations. In this mini-treatise it is argued that the usage of other music instruments (in the form of music worship groups) during church services could possibly lead to a change in the liturgical function of the organ. It was found that the usage of the organ in the Dutch Reformed Congregations of Port Elizabeth was mainly retained during morning services. During evening services however, the usage of other music instruments was in the majority, which resulted in a decrease of organ usage. It was further discovered that a large group of organists are not involved with music worship groups. Training of organists in a contemporary style of music worship will therefore serve as a significant purpose to fulfil this deficiency.
- Full Text:
- Date Issued: 2008
Diet and feeding effects of introduced giraffe in the Eastern Cape
- Authors: Jacobs, Evert Philippus
- Date: 2008
- Subjects: Giraffe -- Food -- South Africa -- Eastern Cape , Giraffe -- Ecology -- South Africa -- Eastern Cape , Animal-plant relationships -- South Africa -- Eastern Cape , Introduced mammals -- Ecology -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10703 , http://hdl.handle.net/10948/964 , Giraffe -- Food -- South Africa -- Eastern Cape , Giraffe -- Ecology -- South Africa -- Eastern Cape , Animal-plant relationships -- South Africa -- Eastern Cape , Introduced mammals -- Ecology -- South Africa -- Eastern Cape
- Description: This study presents the results of a study on introduced giraffe diet and feeding effects within the Eastern Cape Province of South Africa. Five sites were selected over a moisture gradient from the mesic east to the arid west of the Eastern Cape to describe giraffe diet and provide baseline data for feeding effect experiments. At each site faecal samples were collected seasonally and diet composition determined by microhistological analysis. Plant species availability was measured using the point intersect method in order to compare plant availability to plant consumption to determine diet preferences. Giraffe diet across the sites showed a unimodal response to rainfall by utilising fewer species in drier areas where plant availability is low and increasing the number of species consumed as the rainfall increases. In higher rainfall areas, giraffe reduced the number of plant species fed upon because of the high availability of important species that reduces the need for a varied diet. Across all sites, plant availability was dominated by woody plant species (more than 90 percent at each site). A total of 57 plants species were recorded as being eaten across the five sites. Several PDI (Principle Diet Items) plant species (Acacia karroo, Schotia afra, Pappea capensis and Euclea undulata) were eaten across sites. Over all the sites, significantly preferred species were Asparagus striatus, Schotia latifolia, Asparagus suaveolens, Commelina benghalensis, Viscum rotundifolium, and Acacia cyclops. Acacia karroo, Schotia afra, Pappea capensis, Rhus crenata, A. tetracantha, and Grewia robusta were utilised in proportion to their availability. Euclea undulata, Rhus longispina and Putterlickia pyracantha were avoided. Feeding effects were tested by erecting exclosures around trees, covering one half of each tree. Ten trees were selected for these manipulative experiments which ran from September 2003 to February 2005. The number of branches, number of leaves, branch orders, branch diameter, branch length, leaf length and leaf width were measured for ten samples per side (enclosed vs. exposed) and analysed using a Wilcoxon matched pairs test and tested for effect size using Cohen’s d. Although no significant differences were detected between the sides measured, the effect size indicated differences in all measurements between sides ranging from low to moderate. Leaf length was greater on the outside of exclosures and showed a moderate difference between the sides in terms of the d-value with the p-value (0.059) tending towards significance. Although leaf width was higher on the inside of exclosures, it only showed a moderate difference for d with no statistical significance. Leaf area was higher on the inside of exclosures and tended to significance (p = 0.059) and similarly the d value indicated moderate differences between the sides in terms of effect size. Similarly branch length was higher on the inside of exclosures although not significantly, the p-value (0.07) approached significance. The effect size for branch length also showed a moderate difference between the sides. The number of branches and the number of leaves showed no statistical differences between the sides although the p-value (0.059) for the number of branches, as well as number of leaves (p = 0.07) approached significance. For both these variables, effect size showed a moderate difference. Giraffe showed diversity in their diet selection across sites but mainly fed upon available species. Some preferred species were however less available and this preference could possibly result in increased pressure on the selected plant species Exclosure experiments showed no significant differences in leaf and shoot characteristics although all measurements showed differences in terms of effect size meriting further investigation. It is concluded that giraffe impact on sites may be reduced if populations are properly managed however, high densities of giraffe could lead to similar vegetation impacts as observed in other areas where giraffe have been introduced and potentially change vegetation structure and plant community composition.
- Full Text:
- Date Issued: 2008
- Authors: Jacobs, Evert Philippus
- Date: 2008
- Subjects: Giraffe -- Food -- South Africa -- Eastern Cape , Giraffe -- Ecology -- South Africa -- Eastern Cape , Animal-plant relationships -- South Africa -- Eastern Cape , Introduced mammals -- Ecology -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10703 , http://hdl.handle.net/10948/964 , Giraffe -- Food -- South Africa -- Eastern Cape , Giraffe -- Ecology -- South Africa -- Eastern Cape , Animal-plant relationships -- South Africa -- Eastern Cape , Introduced mammals -- Ecology -- South Africa -- Eastern Cape
- Description: This study presents the results of a study on introduced giraffe diet and feeding effects within the Eastern Cape Province of South Africa. Five sites were selected over a moisture gradient from the mesic east to the arid west of the Eastern Cape to describe giraffe diet and provide baseline data for feeding effect experiments. At each site faecal samples were collected seasonally and diet composition determined by microhistological analysis. Plant species availability was measured using the point intersect method in order to compare plant availability to plant consumption to determine diet preferences. Giraffe diet across the sites showed a unimodal response to rainfall by utilising fewer species in drier areas where plant availability is low and increasing the number of species consumed as the rainfall increases. In higher rainfall areas, giraffe reduced the number of plant species fed upon because of the high availability of important species that reduces the need for a varied diet. Across all sites, plant availability was dominated by woody plant species (more than 90 percent at each site). A total of 57 plants species were recorded as being eaten across the five sites. Several PDI (Principle Diet Items) plant species (Acacia karroo, Schotia afra, Pappea capensis and Euclea undulata) were eaten across sites. Over all the sites, significantly preferred species were Asparagus striatus, Schotia latifolia, Asparagus suaveolens, Commelina benghalensis, Viscum rotundifolium, and Acacia cyclops. Acacia karroo, Schotia afra, Pappea capensis, Rhus crenata, A. tetracantha, and Grewia robusta were utilised in proportion to their availability. Euclea undulata, Rhus longispina and Putterlickia pyracantha were avoided. Feeding effects were tested by erecting exclosures around trees, covering one half of each tree. Ten trees were selected for these manipulative experiments which ran from September 2003 to February 2005. The number of branches, number of leaves, branch orders, branch diameter, branch length, leaf length and leaf width were measured for ten samples per side (enclosed vs. exposed) and analysed using a Wilcoxon matched pairs test and tested for effect size using Cohen’s d. Although no significant differences were detected between the sides measured, the effect size indicated differences in all measurements between sides ranging from low to moderate. Leaf length was greater on the outside of exclosures and showed a moderate difference between the sides in terms of the d-value with the p-value (0.059) tending towards significance. Although leaf width was higher on the inside of exclosures, it only showed a moderate difference for d with no statistical significance. Leaf area was higher on the inside of exclosures and tended to significance (p = 0.059) and similarly the d value indicated moderate differences between the sides in terms of effect size. Similarly branch length was higher on the inside of exclosures although not significantly, the p-value (0.07) approached significance. The effect size for branch length also showed a moderate difference between the sides. The number of branches and the number of leaves showed no statistical differences between the sides although the p-value (0.059) for the number of branches, as well as number of leaves (p = 0.07) approached significance. For both these variables, effect size showed a moderate difference. Giraffe showed diversity in their diet selection across sites but mainly fed upon available species. Some preferred species were however less available and this preference could possibly result in increased pressure on the selected plant species Exclosure experiments showed no significant differences in leaf and shoot characteristics although all measurements showed differences in terms of effect size meriting further investigation. It is concluded that giraffe impact on sites may be reduced if populations are properly managed however, high densities of giraffe could lead to similar vegetation impacts as observed in other areas where giraffe have been introduced and potentially change vegetation structure and plant community composition.
- Full Text:
- Date Issued: 2008
Drought responses of C3 and C4 (NADP-ME) Panicoid grasses
- Authors: Frole, Kristen Marie
- Date: 2008
- Subjects: Botany -- Research , Grasses -- Physiology -- South Africa , Grasses -- Effect of drought on , Grasses -- Drought tolerance , Plant-water relationships
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4193 , http://hdl.handle.net/10962/d1003762 , Botany -- Research , Grasses -- Physiology -- South Africa , Grasses -- Effect of drought on , Grasses -- Drought tolerance , Plant-water relationships
- Description: The success of C₄ plants lies in their ability to concentrate CO₂ at the site of Rubisco thereby conferring greater efficiencies of light, water and nitrogen. Such characteristics should advantage C₄ plants in arid, hot environments. However, not all C₄ subtypes are drought tolerant. The relative abundance of NADP-ME species declines with increasing aridity. Furthermore, selected species have been demonstrated as being susceptible to severe drought showing metabolic limitations of photosynthesis. However there is a lack of phylogenetic control with many of these studies. The aims of this study were to determine whether the NADP-ME subtype was inherently susceptible to drought by comparing six closely related C₃ and C₄ (NADP-ME) Panicoid grasses. Gas exchange measurements were made during a natural rainless period and a controlled drought / rewatering event. Prior to water stress, the C₄ species had higher assimilation rates (A), and water use efficiencies (WUE[subscript leaf]) than the C₃ species, while transpiration rates (E) and stomatal conductances (g[subscript s]) were similar. At low soil water content, the C₃ species reduced gs by a greater extent than the C₄ species, which maintained higher E during the driest periods. The C₄ species showed proportionally greater reductions in A than the C₃ species and hence lost their WUE[subscript leaf] and photosynthetic advantage. CO₂ response curves showed that metabolic limitation was responsible for a greater decrease in A in the C₄ type than the C₃ type during progressive drought. Upon re-watering, photosynthetic recovery was quicker in the C species than the C₄ species. Results from whole plant measurements showed that the C₄ type had a significant whole plant water use efficiency advantage over the C₃ type under well-watered conditions that was lost during severe drought due to a greater loss of leaf area through leaf mortality rather than reductions in plant level transpiration rates. The C₃ type had xylem characteristics that enhanced water-conducting efficiency, but made them vulnerable to drought. This is in contrast to the safer xylem qualities of the C₄ type, which permitted the endurance of more negative leaf water potentials than the C₃ type during low soil water content. Thus, the vulnerability of photosynthesis to severe drought in NADP-ME species potentially explains why NADP-ME species abundance around the world decreases with decreasing rainfall.
- Full Text:
- Date Issued: 2008
- Authors: Frole, Kristen Marie
- Date: 2008
- Subjects: Botany -- Research , Grasses -- Physiology -- South Africa , Grasses -- Effect of drought on , Grasses -- Drought tolerance , Plant-water relationships
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:4193 , http://hdl.handle.net/10962/d1003762 , Botany -- Research , Grasses -- Physiology -- South Africa , Grasses -- Effect of drought on , Grasses -- Drought tolerance , Plant-water relationships
- Description: The success of C₄ plants lies in their ability to concentrate CO₂ at the site of Rubisco thereby conferring greater efficiencies of light, water and nitrogen. Such characteristics should advantage C₄ plants in arid, hot environments. However, not all C₄ subtypes are drought tolerant. The relative abundance of NADP-ME species declines with increasing aridity. Furthermore, selected species have been demonstrated as being susceptible to severe drought showing metabolic limitations of photosynthesis. However there is a lack of phylogenetic control with many of these studies. The aims of this study were to determine whether the NADP-ME subtype was inherently susceptible to drought by comparing six closely related C₃ and C₄ (NADP-ME) Panicoid grasses. Gas exchange measurements were made during a natural rainless period and a controlled drought / rewatering event. Prior to water stress, the C₄ species had higher assimilation rates (A), and water use efficiencies (WUE[subscript leaf]) than the C₃ species, while transpiration rates (E) and stomatal conductances (g[subscript s]) were similar. At low soil water content, the C₃ species reduced gs by a greater extent than the C₄ species, which maintained higher E during the driest periods. The C₄ species showed proportionally greater reductions in A than the C₃ species and hence lost their WUE[subscript leaf] and photosynthetic advantage. CO₂ response curves showed that metabolic limitation was responsible for a greater decrease in A in the C₄ type than the C₃ type during progressive drought. Upon re-watering, photosynthetic recovery was quicker in the C species than the C₄ species. Results from whole plant measurements showed that the C₄ type had a significant whole plant water use efficiency advantage over the C₃ type under well-watered conditions that was lost during severe drought due to a greater loss of leaf area through leaf mortality rather than reductions in plant level transpiration rates. The C₃ type had xylem characteristics that enhanced water-conducting efficiency, but made them vulnerable to drought. This is in contrast to the safer xylem qualities of the C₄ type, which permitted the endurance of more negative leaf water potentials than the C₃ type during low soil water content. Thus, the vulnerability of photosynthesis to severe drought in NADP-ME species potentially explains why NADP-ME species abundance around the world decreases with decreasing rainfall.
- Full Text:
- Date Issued: 2008
Dumping, antidumping and the future prospects for fair international trade
- Authors: Zvidza, Tinevimbo
- Date: 2008
- Subjects: Dumping -- International trade -- International trade -- Fair trad , Foreign trade regulation -- International cooperation
- Language: English
- Type: Thesis , Masters , LLM
- Identifier: vital:11114 , http://hdl.handle.net/10353/100 , Dumping -- International trade -- International trade -- Fair trad , Foreign trade regulation -- International cooperation
- Description: More than a century has passed since Canada adopted the first antidumping law in 1904. Similar legislation in most of the major trading nations followed the Canadian legislation prior to and after the World War II. Antidumping provisions were later integrated into the General Agreement on Tariffs and Trade (GATT) after the said war. Today, nearly all developed and developing countries have this type of legislation in place within their municipal legal framework. The subject of antidumping has received growing attention in international trade policy and has become a source of tension between trading nations. This is evident in the substantial increase of antidumping actions since the establishment of the WTO. Antidumping policy has emerged as a significant trade barrier because of its misuse by both developed and developing countries. The primary instruments governing antidumping actions are GATT Article VI and the Antidumping Agreement (ADA). The ADA contains both the substantive and procedural rules governing the interpretation and application of the instrument. Its purpose is to ensure that the instrument is used only as a contingency measure judged upon merit and not as a disguised protectionist device. Given the growing number of countries participating more actively in the world trading system and the notorious misuse of antidumping provisions, there is a vital need to critically analyse the key provisions of the said instruments. This study is an attempt at that academic enterprise. It concludes by giving proposals for future reform of both real and potential future reform of the current WTO antidumping regime. Dumping, antidumping, antidumping regulation, antidumping duties, like products, dumping margin, zeroing, facts available, protectionism, ADA.
- Full Text:
- Date Issued: 2008
- Authors: Zvidza, Tinevimbo
- Date: 2008
- Subjects: Dumping -- International trade -- International trade -- Fair trad , Foreign trade regulation -- International cooperation
- Language: English
- Type: Thesis , Masters , LLM
- Identifier: vital:11114 , http://hdl.handle.net/10353/100 , Dumping -- International trade -- International trade -- Fair trad , Foreign trade regulation -- International cooperation
- Description: More than a century has passed since Canada adopted the first antidumping law in 1904. Similar legislation in most of the major trading nations followed the Canadian legislation prior to and after the World War II. Antidumping provisions were later integrated into the General Agreement on Tariffs and Trade (GATT) after the said war. Today, nearly all developed and developing countries have this type of legislation in place within their municipal legal framework. The subject of antidumping has received growing attention in international trade policy and has become a source of tension between trading nations. This is evident in the substantial increase of antidumping actions since the establishment of the WTO. Antidumping policy has emerged as a significant trade barrier because of its misuse by both developed and developing countries. The primary instruments governing antidumping actions are GATT Article VI and the Antidumping Agreement (ADA). The ADA contains both the substantive and procedural rules governing the interpretation and application of the instrument. Its purpose is to ensure that the instrument is used only as a contingency measure judged upon merit and not as a disguised protectionist device. Given the growing number of countries participating more actively in the world trading system and the notorious misuse of antidumping provisions, there is a vital need to critically analyse the key provisions of the said instruments. This study is an attempt at that academic enterprise. It concludes by giving proposals for future reform of both real and potential future reform of the current WTO antidumping regime. Dumping, antidumping, antidumping regulation, antidumping duties, like products, dumping margin, zeroing, facts available, protectionism, ADA.
- Full Text:
- Date Issued: 2008
Ecological role of free-living bacteria in the microbial food web of the temporarily open/closed East Kleinemonde Estuary, South Africa
- Authors: Allan, Elizabeth Louise
- Date: 2008
- Subjects: Bacterial growth -- South Africa -- Eastern Cape , Estuarine ecology -- South Africa -- Eastern Cape , Estuaries -- South Africa -- Eastern Cape , Microbial ecology -- South Africa -- Eastern Cape , Nutrient cycles -- South Africa -- Eastern Cape , Food chains (Ecology)
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5666 , http://hdl.handle.net/10962/d1005351 , Bacterial growth -- South Africa -- Eastern Cape , Estuarine ecology -- South Africa -- Eastern Cape , Estuaries -- South Africa -- Eastern Cape , Microbial ecology -- South Africa -- Eastern Cape , Nutrient cycles -- South Africa -- Eastern Cape , Food chains (Ecology)
- Description: The main aim of this study was to assess the “top-down” and “bottom-up” control of bacterial production in the small temporarily open/closed East Kleinemonde Estuary, situated on the south-eastern coastline of southern Africa. Spatial and temporal patterns in bacterial abundance, biomass and production and the importance of abiotic and biotic factors were investigated over the period May 2006 to April 2007. The trophic interactions between bacteria, phytoplankton, nanoflagellates (< 20 μm), microzooplankton (< 200 μm) and mesozooplankton (< 2 000 μm) were investigated during winter and summer. Bacterial abundance, biomass and production ranged between 1.00 × 10⁹ and 4.93 × 10⁹ cells 1⁻¹, 32.4 and 109 μg C 1⁻¹ and 0.01 and 1.99 μg C 1⁻¹ h⁻¹, respectively. With a few exceptions there were no spatial patterns in the values. Bacterial abundance, biomass and production, however, demonstrated a distinct temporal pattern with the lowest values consistently recorded during the winter months. Nanoflagellate and bacterial abundances were significantly correlated to one another (lower reaches: r = 0.818, p < 0.001; middle reaches: r = 0.628, p < 0.001; upper reaches: r = 0.484, p < 0.05) suggesting a strong predator-prey relationship. The frequency of visibly infected bacterial cells and the mean number of virus particles within each bacterial cell during this study demonstrated no temporal or spatial patterns and ranged from 0.5 to 6.1 % and 12.0 to 37.5 virus particles per bacterium, respectively. Viral infection and lysis was thus a constant source of bacterial mortality throughout the year. The estimated percentage of bacterial production removed by viral lysis ranged between 7.8 and 88.9% of the total which suggests that viral lysis represented a very important source of bacterial mortality during this study. The biological interactions between the selected components of the plankton community demonstrated that among the heterotrophic components of the plankton, the nanoflagellates were identified as the most important consumers of bacteria and small phytoplankton cells (< 20 μm). In the presence of microzooplankton the impact of the nanoflagellates on both the bacteria and phytoplankton was reduced, indicating that larger heterotrophs were preying upon the nanoflagellates. Mesozooplankton, however, appeared to exert the greatest impact on nanoflagellates. In the cascading experiments, the data suggest that mesozooplankton consume nanoflagellates, which resulted in a decrease in the predation impact of these organisms on the bacteria. This result is consistent with predator-prey cascades. The presence of the larger heterotrophs therefore, mediates the interactions between the primary bacterivores, the nanoflagellates, and the bacteria within the temporarily open/closed East Kleinemonde Estuary.
- Full Text:
- Date Issued: 2008
- Authors: Allan, Elizabeth Louise
- Date: 2008
- Subjects: Bacterial growth -- South Africa -- Eastern Cape , Estuarine ecology -- South Africa -- Eastern Cape , Estuaries -- South Africa -- Eastern Cape , Microbial ecology -- South Africa -- Eastern Cape , Nutrient cycles -- South Africa -- Eastern Cape , Food chains (Ecology)
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5666 , http://hdl.handle.net/10962/d1005351 , Bacterial growth -- South Africa -- Eastern Cape , Estuarine ecology -- South Africa -- Eastern Cape , Estuaries -- South Africa -- Eastern Cape , Microbial ecology -- South Africa -- Eastern Cape , Nutrient cycles -- South Africa -- Eastern Cape , Food chains (Ecology)
- Description: The main aim of this study was to assess the “top-down” and “bottom-up” control of bacterial production in the small temporarily open/closed East Kleinemonde Estuary, situated on the south-eastern coastline of southern Africa. Spatial and temporal patterns in bacterial abundance, biomass and production and the importance of abiotic and biotic factors were investigated over the period May 2006 to April 2007. The trophic interactions between bacteria, phytoplankton, nanoflagellates (< 20 μm), microzooplankton (< 200 μm) and mesozooplankton (< 2 000 μm) were investigated during winter and summer. Bacterial abundance, biomass and production ranged between 1.00 × 10⁹ and 4.93 × 10⁹ cells 1⁻¹, 32.4 and 109 μg C 1⁻¹ and 0.01 and 1.99 μg C 1⁻¹ h⁻¹, respectively. With a few exceptions there were no spatial patterns in the values. Bacterial abundance, biomass and production, however, demonstrated a distinct temporal pattern with the lowest values consistently recorded during the winter months. Nanoflagellate and bacterial abundances were significantly correlated to one another (lower reaches: r = 0.818, p < 0.001; middle reaches: r = 0.628, p < 0.001; upper reaches: r = 0.484, p < 0.05) suggesting a strong predator-prey relationship. The frequency of visibly infected bacterial cells and the mean number of virus particles within each bacterial cell during this study demonstrated no temporal or spatial patterns and ranged from 0.5 to 6.1 % and 12.0 to 37.5 virus particles per bacterium, respectively. Viral infection and lysis was thus a constant source of bacterial mortality throughout the year. The estimated percentage of bacterial production removed by viral lysis ranged between 7.8 and 88.9% of the total which suggests that viral lysis represented a very important source of bacterial mortality during this study. The biological interactions between the selected components of the plankton community demonstrated that among the heterotrophic components of the plankton, the nanoflagellates were identified as the most important consumers of bacteria and small phytoplankton cells (< 20 μm). In the presence of microzooplankton the impact of the nanoflagellates on both the bacteria and phytoplankton was reduced, indicating that larger heterotrophs were preying upon the nanoflagellates. Mesozooplankton, however, appeared to exert the greatest impact on nanoflagellates. In the cascading experiments, the data suggest that mesozooplankton consume nanoflagellates, which resulted in a decrease in the predation impact of these organisms on the bacteria. This result is consistent with predator-prey cascades. The presence of the larger heterotrophs therefore, mediates the interactions between the primary bacterivores, the nanoflagellates, and the bacteria within the temporarily open/closed East Kleinemonde Estuary.
- Full Text:
- Date Issued: 2008
Economic valuation of communal rangelands in the Eastern Cape Province of South Africa
- Authors: Gombakomba, Gift
- Date: 2008
- Subjects: Rangelands -- South Africa -- Eastern Cape -- Evaluation , Rural development -- South Africa -- Eastern Cape -- Evaluation , Commons -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc Agric (Agricultural Economics)
- Identifier: vital:11166 , http://hdl.handle.net/10353/351 , Rangelands -- South Africa -- Eastern Cape -- Evaluation , Rural development -- South Africa -- Eastern Cape -- Evaluation , Commons -- South Africa -- Eastern Cape
- Description: The exploitation and conversion of rangeland ecosystems is often explained by economists as being the result of an undervaluation of the goods and services provided by the rangelands. Undervaluation of rangelands may contribute to their mismanagement or their transformation to monoculture, such as livestock or gathering. Similarly, this may lead to inappropriate policy recommendations and prescriptions. This study undertakes a valuation exercise in an effort to address causes of undervaluation. The objective of the study is to estimate the annual direct, indirect and non-use values per household of communal rangelands in the Eastern Cape Province, based on both primary and secondary data. The exercise incorporates the two major direct uses, both marketed and non-marketed, of rangelands - livestock and gathering. Contingent valuation method based on stated preferences by individual household was used to value the indirect and non-use values of the communal rangelands (e.g. erosion protection and burial sites). Data was collected using PRAs, structured questionnaires and interviews by trained enumerators. The study shows that half of the households owned livestock, which is the main economic use of the rangelands and gathering of natural resources also made an economic contribution. Every household was involved in collection of range resources such as fuel wood, wild fruits, thatch grass, building poles, hunting, fishing make a significant contribution to the direct use values: in the case of gathering it shows that there is “hidden harvest” of many of the natural resources from the rangelands. Indirect and non-use values are shown to be important in the communal areas but are difficult to quantify; the results of these are based on qualitative analysis. Keywords: communal rangelands, demand curve, direct use values, indirect use values, individuals’ preferences, non-use values, willingness-to-accept and willingness-to-pay.
- Full Text:
- Date Issued: 2008
- Authors: Gombakomba, Gift
- Date: 2008
- Subjects: Rangelands -- South Africa -- Eastern Cape -- Evaluation , Rural development -- South Africa -- Eastern Cape -- Evaluation , Commons -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc Agric (Agricultural Economics)
- Identifier: vital:11166 , http://hdl.handle.net/10353/351 , Rangelands -- South Africa -- Eastern Cape -- Evaluation , Rural development -- South Africa -- Eastern Cape -- Evaluation , Commons -- South Africa -- Eastern Cape
- Description: The exploitation and conversion of rangeland ecosystems is often explained by economists as being the result of an undervaluation of the goods and services provided by the rangelands. Undervaluation of rangelands may contribute to their mismanagement or their transformation to monoculture, such as livestock or gathering. Similarly, this may lead to inappropriate policy recommendations and prescriptions. This study undertakes a valuation exercise in an effort to address causes of undervaluation. The objective of the study is to estimate the annual direct, indirect and non-use values per household of communal rangelands in the Eastern Cape Province, based on both primary and secondary data. The exercise incorporates the two major direct uses, both marketed and non-marketed, of rangelands - livestock and gathering. Contingent valuation method based on stated preferences by individual household was used to value the indirect and non-use values of the communal rangelands (e.g. erosion protection and burial sites). Data was collected using PRAs, structured questionnaires and interviews by trained enumerators. The study shows that half of the households owned livestock, which is the main economic use of the rangelands and gathering of natural resources also made an economic contribution. Every household was involved in collection of range resources such as fuel wood, wild fruits, thatch grass, building poles, hunting, fishing make a significant contribution to the direct use values: in the case of gathering it shows that there is “hidden harvest” of many of the natural resources from the rangelands. Indirect and non-use values are shown to be important in the communal areas but are difficult to quantify; the results of these are based on qualitative analysis. Keywords: communal rangelands, demand curve, direct use values, indirect use values, individuals’ preferences, non-use values, willingness-to-accept and willingness-to-pay.
- Full Text:
- Date Issued: 2008
Education in the wetlands and wetlands in the education: a case of contextualizing primary/basic education in Tanzania
- Authors: Hogan, Alice Rosemary
- Date: 2008
- Subjects: Education -- Tanzania Environmental education -- Tanzania Education, Rural -- Tanzania Education -- Curricula -- Tanzania Community and school -- Tanzania
- Language: English
- Type: Thesis , Masters , MEd
- Identifier: vital:1504 , http://hdl.handle.net/10962/d1003386
- Description: This dissertation describes an action research case study carried out at a sub-village school at Nyamakurukuru, Utete, Rufiji District, Tanzania. The study was a fully independent research activity funded and led by a female Irish environmental and community specialist who has fifteen years experience of working in rural Tanzania, five of which were in Rufiji District. The aim of the action research was to engage a community of villagers, teachers, students and district officers in a participatory process to adapt a module of a school curriculum to the local context, and teach it in order to describe one way in which contextualization, using local and indigenous knowledge and active discovery teaching-learning processes, can be done. The major research question, which I wished to answer for one specific case, was: Does integrating local environmental cultural knowledge into formal schooling contribute to curriculum relevance? If so, in what way? This document describes the background and context of the research, the motivation and the theoretical basis for the work, the methodology and methods, and the action research process itself. The results are interpreted and discussed in the light of current theoretical perspectives on education and environmental education. The main findings within the case are that: Contextualization improved relevance of education and thus its quality by: • breaking through traditional frames/barriers between teachers and students, students and elders and community and teachers, • allowing formal education to take place outside of the school, • necessitating a change in pedagogy1 to more learner-centered, discovery methods, • allowing indigenous knowledge to come into the classroom, • stimulating creativity and increased confidence, and • bringing local socio-political environmental issues into the classroom. This study provides a case example of how education processes, when engaging local cultural knowledge, can improve the relevance, and thus an aspect of the quality of teaching and learning in school-community contexts, while providing a conduit for integrating environmental education into the formal school curriculum. It provides insights into the key issue of relevance which currently faces educators of children in wetlands in Tanzania. Recommendations were made for the case studied and may be useful beyond the boundaries of the case: • Give more explicit government policy and strategic support for community involvement in educational content–epistemologies and pedagogies. • Weaken framing (hierarchical power positions) to encourage greater partnership between school, home and community to improve relevance. • Investigate the provision of education beyond schools. • Provide practical teacher and community training on use of learner-centered, discovery and active pedagogies. • Provide teacher and community education on biodiversity and the environment. • Provide relevant reference texts and research data on the ecology, biodiversity, vegetation, hydrology, agriculture, sociology, history and other relevant subjects. • Officially nurture a culture that learning should be enjoyable. • Allow the curriculum freedom, in these times of increasing risk for rural tropical wetland communities, to make the curriculum fit the local issues rather than vice versa. • Nurture critical analysis of the curriculum in local pedagogic discourse i.e., at the local contextualization level of the home, community and school.
- Full Text:
- Date Issued: 2008
- Authors: Hogan, Alice Rosemary
- Date: 2008
- Subjects: Education -- Tanzania Environmental education -- Tanzania Education, Rural -- Tanzania Education -- Curricula -- Tanzania Community and school -- Tanzania
- Language: English
- Type: Thesis , Masters , MEd
- Identifier: vital:1504 , http://hdl.handle.net/10962/d1003386
- Description: This dissertation describes an action research case study carried out at a sub-village school at Nyamakurukuru, Utete, Rufiji District, Tanzania. The study was a fully independent research activity funded and led by a female Irish environmental and community specialist who has fifteen years experience of working in rural Tanzania, five of which were in Rufiji District. The aim of the action research was to engage a community of villagers, teachers, students and district officers in a participatory process to adapt a module of a school curriculum to the local context, and teach it in order to describe one way in which contextualization, using local and indigenous knowledge and active discovery teaching-learning processes, can be done. The major research question, which I wished to answer for one specific case, was: Does integrating local environmental cultural knowledge into formal schooling contribute to curriculum relevance? If so, in what way? This document describes the background and context of the research, the motivation and the theoretical basis for the work, the methodology and methods, and the action research process itself. The results are interpreted and discussed in the light of current theoretical perspectives on education and environmental education. The main findings within the case are that: Contextualization improved relevance of education and thus its quality by: • breaking through traditional frames/barriers between teachers and students, students and elders and community and teachers, • allowing formal education to take place outside of the school, • necessitating a change in pedagogy1 to more learner-centered, discovery methods, • allowing indigenous knowledge to come into the classroom, • stimulating creativity and increased confidence, and • bringing local socio-political environmental issues into the classroom. This study provides a case example of how education processes, when engaging local cultural knowledge, can improve the relevance, and thus an aspect of the quality of teaching and learning in school-community contexts, while providing a conduit for integrating environmental education into the formal school curriculum. It provides insights into the key issue of relevance which currently faces educators of children in wetlands in Tanzania. Recommendations were made for the case studied and may be useful beyond the boundaries of the case: • Give more explicit government policy and strategic support for community involvement in educational content–epistemologies and pedagogies. • Weaken framing (hierarchical power positions) to encourage greater partnership between school, home and community to improve relevance. • Investigate the provision of education beyond schools. • Provide practical teacher and community training on use of learner-centered, discovery and active pedagogies. • Provide teacher and community education on biodiversity and the environment. • Provide relevant reference texts and research data on the ecology, biodiversity, vegetation, hydrology, agriculture, sociology, history and other relevant subjects. • Officially nurture a culture that learning should be enjoyable. • Allow the curriculum freedom, in these times of increasing risk for rural tropical wetland communities, to make the curriculum fit the local issues rather than vice versa. • Nurture critical analysis of the curriculum in local pedagogic discourse i.e., at the local contextualization level of the home, community and school.
- Full Text:
- Date Issued: 2008
Educators perceived challenges in dealing with HIV and AIDS orphans and vulnerable children
- Authors: Goba, Linda
- Date: 2008
- Subjects: Children of AIDS patients -- Education -- South Africa , Orphans -- Education -- South Africa , Teachers -- South Africa -- Attitudes
- Language: English
- Type: Thesis , Masters , MEd
- Identifier: vital:9526 , http://hdl.handle.net/10948/963 , Children of AIDS patients -- Education -- South Africa , Orphans -- Education -- South Africa , Teachers -- South Africa -- Attitudes
- Description: The HIV and AIDS pandemic in South Africa has increased the number of orphans and vulnerable children in the school system. Given the prominent role that teachers can play in ensuring that these children receive a quality education so as to maximise their life opportunities, it is important for teachers to be empowered and equipped to enable them to deal with issues surrounding orphans and vulnerable children (OVC) at schools. This study focuses on how teachers are experiencing the impact of HIV and AIDS in schools as a result of having OVC in their classes. The Department of Education has developed training courses to help teachers cope with the impact of HIV and AIDS, but the effectiveness of these programmes has not yet been evaluated. This study aims to establish how teachers who have attended these programmes feel about the assistance rendered to them to deal with OVC related issues. In order to meet this aim, a qualitative enquiry was conducted among a sample of selected teachers from the Eastern Cape. The findings suggest that, while the training has helped to improve the knowledge and attitudes of the teachers, it has not equipped them with the necessary skills to overcome barriers to implement the training programmes at school level. The findings also suggest that there is a need for ongoing support from the Department of Education and the trainers it contracts to ensure that learning from the training is implemented in the schools. Based on the research findings, the study concludes with recommendations that will help teachers to better cope with OVC related issues at school.
- Full Text:
- Date Issued: 2008
- Authors: Goba, Linda
- Date: 2008
- Subjects: Children of AIDS patients -- Education -- South Africa , Orphans -- Education -- South Africa , Teachers -- South Africa -- Attitudes
- Language: English
- Type: Thesis , Masters , MEd
- Identifier: vital:9526 , http://hdl.handle.net/10948/963 , Children of AIDS patients -- Education -- South Africa , Orphans -- Education -- South Africa , Teachers -- South Africa -- Attitudes
- Description: The HIV and AIDS pandemic in South Africa has increased the number of orphans and vulnerable children in the school system. Given the prominent role that teachers can play in ensuring that these children receive a quality education so as to maximise their life opportunities, it is important for teachers to be empowered and equipped to enable them to deal with issues surrounding orphans and vulnerable children (OVC) at schools. This study focuses on how teachers are experiencing the impact of HIV and AIDS in schools as a result of having OVC in their classes. The Department of Education has developed training courses to help teachers cope with the impact of HIV and AIDS, but the effectiveness of these programmes has not yet been evaluated. This study aims to establish how teachers who have attended these programmes feel about the assistance rendered to them to deal with OVC related issues. In order to meet this aim, a qualitative enquiry was conducted among a sample of selected teachers from the Eastern Cape. The findings suggest that, while the training has helped to improve the knowledge and attitudes of the teachers, it has not equipped them with the necessary skills to overcome barriers to implement the training programmes at school level. The findings also suggest that there is a need for ongoing support from the Department of Education and the trainers it contracts to ensure that learning from the training is implemented in the schools. Based on the research findings, the study concludes with recommendations that will help teachers to better cope with OVC related issues at school.
- Full Text:
- Date Issued: 2008
Effect of a South African medicinal plant on antiretroviral drug induced abnormalities in rats
- Authors: Van Gend, Tania Anli
- Date: 2008
- Subjects: Medicinal plants -- South Africa , Antiretroviral agents -- South Africa , Materia medica, Vegetable -- South Africa , HIV infections -- Alternative treatment -- South Africa , Rats as laboratory animals , Rats -- Metabolism
- Language: English
- Type: Thesis , Masters , MTech
- Identifier: vital:10121 , http://hdl.handle.net/10948/1080 , Medicinal plants -- South Africa , Antiretroviral agents -- South Africa , Materia medica, Vegetable -- South Africa , HIV infections -- Alternative treatment -- South Africa , Rats as laboratory animals , Rats -- Metabolism
- Description: The worldwide AIDS epidemic is known to have had a profoundly negative social, economic and personal impact and has taken a heavy toll on existing health care systems, particularly in developing countries. South Africa is experiencing an HIV epidemic with enormous social and economic consequences. Lopinavir/ritonavir antiretroviral treatment has been accredited with having a significantly positive effect and is a key advance in controlling HIV morbidity and mortality. An indigenous South African medicinal plant, Sutherlandia frutescens, known for its anti-diabetic properties and immune-boosting effects, is used for treating HIV positive patients suffering from opportunistic infections. Despite the use of the medicinal plant extract as homeotherapeutic medication, there is little evidence of toxicity testing that identifies its potential for interaction with antiretroviral drugs. However, scientific data relating to the mechanism through which Sutherlandia frutescens acts on the immune system has not been comprehensively documented. The aim of this study was to investigate lopinavir/ritonavir induced metabolic abnormalities in rats and whether the introduction of a plant extract of Sutherlandia frutescens would counteract the side effects of ARV medication. The results indicated that the rodents did not become insulin resistant, however, biochemical analysis indicated that extended ARV drug treatment would have caused insulin resistance. Significant morphological changes were found in the livers, kidneys and pancreases of rats exposed to the lopinavir/ritonavir. Rats exposed to the Sutherlandia frutescens plant extract showed improved histopathology with minimal abnormalities.
- Full Text:
- Date Issued: 2008
- Authors: Van Gend, Tania Anli
- Date: 2008
- Subjects: Medicinal plants -- South Africa , Antiretroviral agents -- South Africa , Materia medica, Vegetable -- South Africa , HIV infections -- Alternative treatment -- South Africa , Rats as laboratory animals , Rats -- Metabolism
- Language: English
- Type: Thesis , Masters , MTech
- Identifier: vital:10121 , http://hdl.handle.net/10948/1080 , Medicinal plants -- South Africa , Antiretroviral agents -- South Africa , Materia medica, Vegetable -- South Africa , HIV infections -- Alternative treatment -- South Africa , Rats as laboratory animals , Rats -- Metabolism
- Description: The worldwide AIDS epidemic is known to have had a profoundly negative social, economic and personal impact and has taken a heavy toll on existing health care systems, particularly in developing countries. South Africa is experiencing an HIV epidemic with enormous social and economic consequences. Lopinavir/ritonavir antiretroviral treatment has been accredited with having a significantly positive effect and is a key advance in controlling HIV morbidity and mortality. An indigenous South African medicinal plant, Sutherlandia frutescens, known for its anti-diabetic properties and immune-boosting effects, is used for treating HIV positive patients suffering from opportunistic infections. Despite the use of the medicinal plant extract as homeotherapeutic medication, there is little evidence of toxicity testing that identifies its potential for interaction with antiretroviral drugs. However, scientific data relating to the mechanism through which Sutherlandia frutescens acts on the immune system has not been comprehensively documented. The aim of this study was to investigate lopinavir/ritonavir induced metabolic abnormalities in rats and whether the introduction of a plant extract of Sutherlandia frutescens would counteract the side effects of ARV medication. The results indicated that the rodents did not become insulin resistant, however, biochemical analysis indicated that extended ARV drug treatment would have caused insulin resistance. Significant morphological changes were found in the livers, kidneys and pancreases of rats exposed to the lopinavir/ritonavir. Rats exposed to the Sutherlandia frutescens plant extract showed improved histopathology with minimal abnormalities.
- Full Text:
- Date Issued: 2008
Effect of salinity on oxygen consumption and growth of juvenile white steenbras, litohognathus lithognathus
- Authors: Kandjou, Kaunahama
- Date: 2008
- Subjects: Lithognathus -- Growth , Salinity
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5275 , http://hdl.handle.net/10962/d1005119 , Lithognathus -- Growth , Salinity
- Description: A stress-induced increase in metabolic rate of fish consumes energy within the metabolic scope of a fish that could otherwise be used for such functions as growth and reproduction. By estimating the degree of the metabolic response under given salinity levels and sudden changes thereof, it could be tested whether growth under given culture conditions could be predicted. Using intermittent respirometers, this study investigated the metabolic response of juvenile Lithognathus lithognathus following gradual acclimation to 5, 25 and 35‰ and, as a result of abrupt change from 35‰ to 5‰ or from 35‰ to 25‰ at 20˚C. The main aim of the study was to establish whether the magnitude of such responses could be used to predict growth of juvenile L. lithognathus under culture conditions. Hence, in addition to the respirometry study, two growth studies were conducted at 5, 10, 25 and 35‰ salinities. The baseline metabolic rates of juvenile L. lithognathus were also determined. Oxygen consumption measurements over 24-hours showed that most fish exhibited a diurnal peak in metabolic rates. The standard and active metabolic rates calculated from juvenile L. lithognathus with a diurnal peak in oxygen consumption were 0.06±0.001mgO₂g⁻¹h⁻¹ (mean±SEM, n = 5), and 0.11±0.01mg O₂g⁻¹h⁻¹, respectively. The standard and active metabolic rates of juvenile L lithognathus showing a nocturnal peak in metabolic activities were 0.04±0.001mgO₂g-1h-1 (n = 1), and 0.12±0.003 mg O₂g⁻¹ h⁻¹, respectively. Routine metabolic rate of these fish calculated over a 3-h measurement period was 0.09±0.005mgO₂g⁻¹h⁻¹ (n = 6). Juvenile L. lithognathus showed a relationship between metabolic rate (mo₂) and body weight (W) following the equation: mo₂ = 0.62 W⁻°·⁵³.
- Full Text:
- Date Issued: 2008
- Authors: Kandjou, Kaunahama
- Date: 2008
- Subjects: Lithognathus -- Growth , Salinity
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:5275 , http://hdl.handle.net/10962/d1005119 , Lithognathus -- Growth , Salinity
- Description: A stress-induced increase in metabolic rate of fish consumes energy within the metabolic scope of a fish that could otherwise be used for such functions as growth and reproduction. By estimating the degree of the metabolic response under given salinity levels and sudden changes thereof, it could be tested whether growth under given culture conditions could be predicted. Using intermittent respirometers, this study investigated the metabolic response of juvenile Lithognathus lithognathus following gradual acclimation to 5, 25 and 35‰ and, as a result of abrupt change from 35‰ to 5‰ or from 35‰ to 25‰ at 20˚C. The main aim of the study was to establish whether the magnitude of such responses could be used to predict growth of juvenile L. lithognathus under culture conditions. Hence, in addition to the respirometry study, two growth studies were conducted at 5, 10, 25 and 35‰ salinities. The baseline metabolic rates of juvenile L. lithognathus were also determined. Oxygen consumption measurements over 24-hours showed that most fish exhibited a diurnal peak in metabolic rates. The standard and active metabolic rates calculated from juvenile L. lithognathus with a diurnal peak in oxygen consumption were 0.06±0.001mgO₂g⁻¹h⁻¹ (mean±SEM, n = 5), and 0.11±0.01mg O₂g⁻¹h⁻¹, respectively. The standard and active metabolic rates of juvenile L lithognathus showing a nocturnal peak in metabolic activities were 0.04±0.001mgO₂g-1h-1 (n = 1), and 0.12±0.003 mg O₂g⁻¹ h⁻¹, respectively. Routine metabolic rate of these fish calculated over a 3-h measurement period was 0.09±0.005mgO₂g⁻¹h⁻¹ (n = 6). Juvenile L. lithognathus showed a relationship between metabolic rate (mo₂) and body weight (W) following the equation: mo₂ = 0.62 W⁻°·⁵³.
- Full Text:
- Date Issued: 2008
Effects of coastal topography on physiology, behaviour and genetics of indigenous (Perna perna) and invasive (Mytilus galloprovincialis) mussels
- Authors: Nicastro, Katy R
- Date: 2008
- Subjects: Mussels -- Ecology -- South Africa , Perna -- Physiology -- South Africa , Perna -- Behavior -- South Africa , Mussels -- Behavior -- Environmental factors -- South Africa , Mussels -- Habitat -- South Africa , Mytilus galloprovincialis , Mytilus galloprovincialis -- Physiology -- South Africa , Mytilus galloprovincialis -- Behavior -- South Africa , Mytilus galloprovincialis -- Genetics -- South Africa , Coastal ecology -- South Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:5833 , http://hdl.handle.net/10962/d1008262
- Description: Organisms inhabit environments that have many dimensions, each of which can vary temporally and spatially. The spatial-temporal variations of environmental stressors and disturbances may have major but different effects on indigenous and invasive species, favouring either of them at different times and places. The invasive mussel Mytilus galloprovincialis invaded the South African coast 30 years ago and, on the south coast of South Africa, it now competes and co-exists with the indigenous Perna perna in the lower eulittoral zone (referred to here as the mussel zone) The invasive and indigenous species dominate the upper and the lower mussel zones respectively, while the two co-exist in the mid-zone. My results show that intertidal mussels experience, and respond to, spatial and temporal fluctuations of several biotic and abiotic stressors. The invasive and the indigenous species adopt different strategies when reacting to environmental factors and their physiological and behavioural responses vary in time and in different habitats as different pressures become of overriding importance. Attachment strength of both species decreased in summer and increased in winter, and was higher on the open coast than in bays for both species, showing a strong positive correlation with wave force in time and space. P. perna had significantly higher attachment strength than M. galloprovincialis but, contrary to previous studies, the difference in gonad index between the two species varied according to the habitat. In bay habitats, M. galloprovincialis had a higher maximum reproductive effort than P. perna, however, on the open coast, there was no significant difference between the two species, suggesting that for the invasive species wave action is a limiting factor not only in terms of the attachment strength but also of energy availability for reproductive tissue development. Major spawning events occurred during periods of low wave action while minor spawning coincided with periods of intense hydrodynamic stress. On the open coast, gonad index was negatively correlated with attachment strength for both species while, in bays, there was no correlation between these two factors for either. The two species also showed different behaviour. In the field, M. galloprovincialis moved significantly more than P. perna over a period of six months. The higher mobility of the invasive species was also confirmed in the laboratory where, in general, M. galloprovincialis formed clumps more readily than P. perna. Taken collectively, these results suggest that channelling more energy into attachment strength limits reproductive tissue development and that, while the indigenous species invests more in byssal production, the invasive species adopts a more dynamic strategy looking for aggregation or a safer arrangement. Higher endolithic infestation and a greater expression of heat shock proteins (Hsps) in mussel populations on the open coast than in bays indicate that this habitat is a more stressful environment not only in terms of wave action. Endolith damaged mussels had significantly lower attachment strengths and condition indices than clean mussels, probably due to the need to channel energy into shell repair. The constant shell repair and expression of Hsps typical of open coast populations are energetically demanding processes. These observations suggest that on the open coast, mussels are subjected to more severe energetic constraints than in bay habitats. Wave and sand stress fluctuated seasonally with the former having a greater effect on mussel mortality on the open coast and the latter a higher impact on bay populations. Overall, mussel mortality rates were higher on the open coast than in bays. My results show that populations on the open coast had fewer private haplotypes and less genetic endemism than those inside bays. Gene flow analysis showed the relatively stable bay habitats act as source populations with greater genetic migration rates out of bays than into them. These differences in genetic structure on scales of las of kilometers show that coastal configuration strongly affects selection, larval dispersal and haplotype diversity. Environmental gradients that are key factors in species distribution over large geographical scales can also be responsible for micro-scale distributions. My results show that M. galloprovincialis colonizes the upper mussel zone where temperature is high, but is less tolerant to this stressor and has to maintain a high expression of Hsps. This suggests that temperature is probably a limiting factor in its invasion towards the sub-tropical east coast. There are inter- and intra-specific differences in responses to the environment which highlight the efforts of M. galloprovincialis and P. perna to optimize resource utilization for survival and reproduction. Determining these differences is crucial to understanding patterns of co-existence between competing indigenous and invasive species.
- Full Text:
- Date Issued: 2008
- Authors: Nicastro, Katy R
- Date: 2008
- Subjects: Mussels -- Ecology -- South Africa , Perna -- Physiology -- South Africa , Perna -- Behavior -- South Africa , Mussels -- Behavior -- Environmental factors -- South Africa , Mussels -- Habitat -- South Africa , Mytilus galloprovincialis , Mytilus galloprovincialis -- Physiology -- South Africa , Mytilus galloprovincialis -- Behavior -- South Africa , Mytilus galloprovincialis -- Genetics -- South Africa , Coastal ecology -- South Africa
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:5833 , http://hdl.handle.net/10962/d1008262
- Description: Organisms inhabit environments that have many dimensions, each of which can vary temporally and spatially. The spatial-temporal variations of environmental stressors and disturbances may have major but different effects on indigenous and invasive species, favouring either of them at different times and places. The invasive mussel Mytilus galloprovincialis invaded the South African coast 30 years ago and, on the south coast of South Africa, it now competes and co-exists with the indigenous Perna perna in the lower eulittoral zone (referred to here as the mussel zone) The invasive and indigenous species dominate the upper and the lower mussel zones respectively, while the two co-exist in the mid-zone. My results show that intertidal mussels experience, and respond to, spatial and temporal fluctuations of several biotic and abiotic stressors. The invasive and the indigenous species adopt different strategies when reacting to environmental factors and their physiological and behavioural responses vary in time and in different habitats as different pressures become of overriding importance. Attachment strength of both species decreased in summer and increased in winter, and was higher on the open coast than in bays for both species, showing a strong positive correlation with wave force in time and space. P. perna had significantly higher attachment strength than M. galloprovincialis but, contrary to previous studies, the difference in gonad index between the two species varied according to the habitat. In bay habitats, M. galloprovincialis had a higher maximum reproductive effort than P. perna, however, on the open coast, there was no significant difference between the two species, suggesting that for the invasive species wave action is a limiting factor not only in terms of the attachment strength but also of energy availability for reproductive tissue development. Major spawning events occurred during periods of low wave action while minor spawning coincided with periods of intense hydrodynamic stress. On the open coast, gonad index was negatively correlated with attachment strength for both species while, in bays, there was no correlation between these two factors for either. The two species also showed different behaviour. In the field, M. galloprovincialis moved significantly more than P. perna over a period of six months. The higher mobility of the invasive species was also confirmed in the laboratory where, in general, M. galloprovincialis formed clumps more readily than P. perna. Taken collectively, these results suggest that channelling more energy into attachment strength limits reproductive tissue development and that, while the indigenous species invests more in byssal production, the invasive species adopts a more dynamic strategy looking for aggregation or a safer arrangement. Higher endolithic infestation and a greater expression of heat shock proteins (Hsps) in mussel populations on the open coast than in bays indicate that this habitat is a more stressful environment not only in terms of wave action. Endolith damaged mussels had significantly lower attachment strengths and condition indices than clean mussels, probably due to the need to channel energy into shell repair. The constant shell repair and expression of Hsps typical of open coast populations are energetically demanding processes. These observations suggest that on the open coast, mussels are subjected to more severe energetic constraints than in bay habitats. Wave and sand stress fluctuated seasonally with the former having a greater effect on mussel mortality on the open coast and the latter a higher impact on bay populations. Overall, mussel mortality rates were higher on the open coast than in bays. My results show that populations on the open coast had fewer private haplotypes and less genetic endemism than those inside bays. Gene flow analysis showed the relatively stable bay habitats act as source populations with greater genetic migration rates out of bays than into them. These differences in genetic structure on scales of las of kilometers show that coastal configuration strongly affects selection, larval dispersal and haplotype diversity. Environmental gradients that are key factors in species distribution over large geographical scales can also be responsible for micro-scale distributions. My results show that M. galloprovincialis colonizes the upper mussel zone where temperature is high, but is less tolerant to this stressor and has to maintain a high expression of Hsps. This suggests that temperature is probably a limiting factor in its invasion towards the sub-tropical east coast. There are inter- and intra-specific differences in responses to the environment which highlight the efforts of M. galloprovincialis and P. perna to optimize resource utilization for survival and reproduction. Determining these differences is crucial to understanding patterns of co-existence between competing indigenous and invasive species.
- Full Text:
- Date Issued: 2008
Effects of sheep kraal manure and intercropping with maize on growth, nutrient uptake and yield of a vegetable Amaranthus accession in the central region of the Eastern Cape, South Africa
- Authors: Mhlontlo, Simphiwe
- Date: 2008
- Subjects: Intercropping , Amaranths , Traditional farming , Manures
- Language: English
- Type: Thesis , Masters , MSc Agric (Crop Science)
- Identifier: vital:11864 , http://hdl.handle.net/10353/76 , Intercropping , Amaranths , Traditional farming , Manures
- Description: Amaranthus is among the nutritious indigenous plant species that are gathered from the wild in the Eastern Cape to prepare a traditional meal known as ‘imifino’ or ‘isigwampa’ to supplement the necessary proteins, vitamins and minerals which are poor in maizebased meals. Amaranthus species are adapted to wild conditions unsuitable for exotic vegetables and could be cultivated but information on its fertility requirements, as sole or intercrop, is the key for its domestication and production as a leafy vegetable, particularly where manure is used. Two dry-land and one glasshouse experiments were conducted to study the effects of sheep kraal manure application rate, intercropping with maize and soil type on growth, fresh and dry matter yields, nutrient uptake and grain yield of a local Amaranthus accession that grows wild in the Eastern Cape. Sheep kraal manure rates ranging from 0 to 10 t ha-1 and an NPK {2:3:4(30) + 0.5% Zn} fertilizer as a positive control, applied at rates recommended for spinach, were tested. In the Gqumahashe experiment, where Amaranthus was grown as a sole crop, low manure rates (≤ 2.5 t ha-1) resulted in plant heights and fresh matter yields which were comparable to those in the unfertilized control, whereas higher rates (5 and 10 t ha-1) and recommended NPK fertilizer had higher levels both at 30 and 60 days after transplanting (DAT) at p < 0.05. At 30 DAT, manure application rates of ≥ 2.5 t ha-1 and the NPK fertilizer treatment, produced greater shoot dry-matter yields (29.35, 30.75 and 37.68 g plant-1) than the unfertilized control (17.11 g plant-1) at p < 0.05. Uptake of N and P in the leaves increased with increase in manure application rate with N uptake reaching a maximum (308 mg plant-1) at a manure rate of 2.5 t ha-1 which corresponded with the maximum dry matter yield. There was no effect of manure rate or fertilizer on residual soil N and Ca, whereas P, K, Mg and Zn increased. In a pot experiment with soils from Ntselamanzi and Gqumahashe Villages, manure rates ≥ 2.5 t ha-1 resulted in plant heights and fresh matter yield that compared well with the NPK fertilizer treatment in the Gqumahashe soil whereas only the 10 t ha-1 manure treatment was comparable to the NPK fertilizer treatment in the Ntselamanzi soil. Only treatments with ≥ 5 t ha-1 manure had stem girth (1.00 and 1.07 cm) that compared well to NPK fertilizer (1.03 cm) in the Ntselamanzi soil whereas in the Gqumahashe soil, all manure levels compared well to NPK fertilizer (1.02 cm). However, no significant difference was observed in plant height and stem girth and fresh matter due to soil type. In both soils, the 1.3-10 t ha-1 manure treatments had dry leaf weight comparable to plants fertilized with NPK fertilizer (3.72 g plant-1 for the Ntselamanzi soil and 3.65 g plant-1 for the Gqumahashe soil) and were bigger than the unfertilized control (2.2 g plant-1 for the Ntselamanzi soil and 1.38 g plant-1 for the Gqumahashe soil) at p < 0.05. Uptake of N, P and K increased as result of manure application but nonetheless, it was less when compared to plants fertilized with NPK fertilizer in both soils. In a field intercropping experiment carried out at Ntselamanzi, growth and yield of sole and intercropped Amaranthus plants grown with manure improved when compared to the unfertilized control and compared well to NPK fertilizer. At 30 days after transplanting (DAT), both sole and intercropped plants grown with ≥ 2.5 t ha-1 manure had fresh and dry matter yield comparable to plants fertilized with NPK fertilizer. At 60 DAT, intercropped plants grown with all manure levels had bigger fresh matter yield when compared to unfertilized control (836.0 g plant-1) whereas for sole cropped plants only those grown with ≥ 2.5 t ha-1 compared to NPK fertilizer (1467.7 g plant-1) at p < 0.05. Uptake of N, P, K, Ca and Mg increased with increase in manure application in both sole and intercropped Amaranthus. Whereas Amaranthus did not suffer from the competition in the intercrop, maize biomass and grain yield were severely reduced with the effects being evident after 60 DAT. Based on results of this study, it is therefore suggested that, if Amaranthus is to be intercropped with maize under dry land conditions of the Central Region of the Eastern Cape, sheep manure should at least be applied at rate of ≥ 2.5 t ha-1 and Amaranthus be harvested at 30 DAT.
- Full Text:
- Date Issued: 2008
- Authors: Mhlontlo, Simphiwe
- Date: 2008
- Subjects: Intercropping , Amaranths , Traditional farming , Manures
- Language: English
- Type: Thesis , Masters , MSc Agric (Crop Science)
- Identifier: vital:11864 , http://hdl.handle.net/10353/76 , Intercropping , Amaranths , Traditional farming , Manures
- Description: Amaranthus is among the nutritious indigenous plant species that are gathered from the wild in the Eastern Cape to prepare a traditional meal known as ‘imifino’ or ‘isigwampa’ to supplement the necessary proteins, vitamins and minerals which are poor in maizebased meals. Amaranthus species are adapted to wild conditions unsuitable for exotic vegetables and could be cultivated but information on its fertility requirements, as sole or intercrop, is the key for its domestication and production as a leafy vegetable, particularly where manure is used. Two dry-land and one glasshouse experiments were conducted to study the effects of sheep kraal manure application rate, intercropping with maize and soil type on growth, fresh and dry matter yields, nutrient uptake and grain yield of a local Amaranthus accession that grows wild in the Eastern Cape. Sheep kraal manure rates ranging from 0 to 10 t ha-1 and an NPK {2:3:4(30) + 0.5% Zn} fertilizer as a positive control, applied at rates recommended for spinach, were tested. In the Gqumahashe experiment, where Amaranthus was grown as a sole crop, low manure rates (≤ 2.5 t ha-1) resulted in plant heights and fresh matter yields which were comparable to those in the unfertilized control, whereas higher rates (5 and 10 t ha-1) and recommended NPK fertilizer had higher levels both at 30 and 60 days after transplanting (DAT) at p < 0.05. At 30 DAT, manure application rates of ≥ 2.5 t ha-1 and the NPK fertilizer treatment, produced greater shoot dry-matter yields (29.35, 30.75 and 37.68 g plant-1) than the unfertilized control (17.11 g plant-1) at p < 0.05. Uptake of N and P in the leaves increased with increase in manure application rate with N uptake reaching a maximum (308 mg plant-1) at a manure rate of 2.5 t ha-1 which corresponded with the maximum dry matter yield. There was no effect of manure rate or fertilizer on residual soil N and Ca, whereas P, K, Mg and Zn increased. In a pot experiment with soils from Ntselamanzi and Gqumahashe Villages, manure rates ≥ 2.5 t ha-1 resulted in plant heights and fresh matter yield that compared well with the NPK fertilizer treatment in the Gqumahashe soil whereas only the 10 t ha-1 manure treatment was comparable to the NPK fertilizer treatment in the Ntselamanzi soil. Only treatments with ≥ 5 t ha-1 manure had stem girth (1.00 and 1.07 cm) that compared well to NPK fertilizer (1.03 cm) in the Ntselamanzi soil whereas in the Gqumahashe soil, all manure levels compared well to NPK fertilizer (1.02 cm). However, no significant difference was observed in plant height and stem girth and fresh matter due to soil type. In both soils, the 1.3-10 t ha-1 manure treatments had dry leaf weight comparable to plants fertilized with NPK fertilizer (3.72 g plant-1 for the Ntselamanzi soil and 3.65 g plant-1 for the Gqumahashe soil) and were bigger than the unfertilized control (2.2 g plant-1 for the Ntselamanzi soil and 1.38 g plant-1 for the Gqumahashe soil) at p < 0.05. Uptake of N, P and K increased as result of manure application but nonetheless, it was less when compared to plants fertilized with NPK fertilizer in both soils. In a field intercropping experiment carried out at Ntselamanzi, growth and yield of sole and intercropped Amaranthus plants grown with manure improved when compared to the unfertilized control and compared well to NPK fertilizer. At 30 days after transplanting (DAT), both sole and intercropped plants grown with ≥ 2.5 t ha-1 manure had fresh and dry matter yield comparable to plants fertilized with NPK fertilizer. At 60 DAT, intercropped plants grown with all manure levels had bigger fresh matter yield when compared to unfertilized control (836.0 g plant-1) whereas for sole cropped plants only those grown with ≥ 2.5 t ha-1 compared to NPK fertilizer (1467.7 g plant-1) at p < 0.05. Uptake of N, P, K, Ca and Mg increased with increase in manure application in both sole and intercropped Amaranthus. Whereas Amaranthus did not suffer from the competition in the intercrop, maize biomass and grain yield were severely reduced with the effects being evident after 60 DAT. Based on results of this study, it is therefore suggested that, if Amaranthus is to be intercropped with maize under dry land conditions of the Central Region of the Eastern Cape, sheep manure should at least be applied at rate of ≥ 2.5 t ha-1 and Amaranthus be harvested at 30 DAT.
- Full Text:
- Date Issued: 2008
Effects of temperature on the development, behaviour and geography of blowflies in a forensic context
- Authors: Richards, Cameron Spencer
- Date: 2008
- Subjects: Blowflies Blowflies -- South Africa Diptera -- South Africa Insects -- Development Insects -- Behavior Forensic entomology
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:5683 , http://hdl.handle.net/10962/d1005369
- Description: The development of immature insects is commonly employed in forensic investigations to estimate time of death, or postmortem interval (PMI), of a corpse on which they are feeding. The bulk of this thesis focuses on factors influencing the accuracy of developmental data, and exploring how and why developmental data differ between studies involving the same species, and between different species. Because carrion feeding insects are ectotherms, temperature may be expected to significantly influence their behaviour, development and distribution, and the remainder of the thesis therefore focuses on the thermal biology and geographical distribution of seven forensically important blowflies. The species include Chrysomya albiceps, C. putoria, C. chloropyga, C. megacephala, C. marginalis, C. inclinata and Calliphora croceipalpis. A robust experimental design for estimating developmental models is outlined and tested. It is recommended that forensic entomologists should involve at least six constant temperatures, starting at about 7°C above the relevant developmental zero (D0) and going to about 10°C above the upper critical temperature, and a temporal sampling interval with a relative precision of about 10%. Using this design, focused experiments consistently provided the most reliable developmental data, while data pooled from different studies yielded inconsistent results. Similarly, developmental data from closely related species differed significantly, and surprisingly so did developmental data from different populations of the same species. Possible explanations for the latter lay in the different methods of data collection but only temporal sampling resolution had a direct influence on the accuracy of developmental data. Consequently, disparities in such data were primarily ascribed to genetic differences and phenotypic plasticity. Comparisons between numerous thermal thresholds of larvae, pupae and adults support this conclusion and suggest a phylogenetic component to the thermal biology of blowflies. Further comparisons were made between these temperature thresholds and the distributions of blowfly species present on two rhinoceros carcasses. These comparisons suggest that blowfly larvae with high upper lethal temperature thresholds dominate in interspecific competition in favorable thermal environments by raising maggot mass temperature above the thresholds of other carrion-feeding blowflies, through maggot-generated heat. Bioclimatic modeling using maximum entropy analysis provided a successful means of predicting whether a species is likely to occur in an area, and whether it would therefore be expected in a local carcass community. It also showed that temperature was less important than moisture in shaping the geographical distribution of African carrion blowflies. Based on these results, several recommendations are made for the practice of forensic entomology.
- Full Text:
- Date Issued: 2008
- Authors: Richards, Cameron Spencer
- Date: 2008
- Subjects: Blowflies Blowflies -- South Africa Diptera -- South Africa Insects -- Development Insects -- Behavior Forensic entomology
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: vital:5683 , http://hdl.handle.net/10962/d1005369
- Description: The development of immature insects is commonly employed in forensic investigations to estimate time of death, or postmortem interval (PMI), of a corpse on which they are feeding. The bulk of this thesis focuses on factors influencing the accuracy of developmental data, and exploring how and why developmental data differ between studies involving the same species, and between different species. Because carrion feeding insects are ectotherms, temperature may be expected to significantly influence their behaviour, development and distribution, and the remainder of the thesis therefore focuses on the thermal biology and geographical distribution of seven forensically important blowflies. The species include Chrysomya albiceps, C. putoria, C. chloropyga, C. megacephala, C. marginalis, C. inclinata and Calliphora croceipalpis. A robust experimental design for estimating developmental models is outlined and tested. It is recommended that forensic entomologists should involve at least six constant temperatures, starting at about 7°C above the relevant developmental zero (D0) and going to about 10°C above the upper critical temperature, and a temporal sampling interval with a relative precision of about 10%. Using this design, focused experiments consistently provided the most reliable developmental data, while data pooled from different studies yielded inconsistent results. Similarly, developmental data from closely related species differed significantly, and surprisingly so did developmental data from different populations of the same species. Possible explanations for the latter lay in the different methods of data collection but only temporal sampling resolution had a direct influence on the accuracy of developmental data. Consequently, disparities in such data were primarily ascribed to genetic differences and phenotypic plasticity. Comparisons between numerous thermal thresholds of larvae, pupae and adults support this conclusion and suggest a phylogenetic component to the thermal biology of blowflies. Further comparisons were made between these temperature thresholds and the distributions of blowfly species present on two rhinoceros carcasses. These comparisons suggest that blowfly larvae with high upper lethal temperature thresholds dominate in interspecific competition in favorable thermal environments by raising maggot mass temperature above the thresholds of other carrion-feeding blowflies, through maggot-generated heat. Bioclimatic modeling using maximum entropy analysis provided a successful means of predicting whether a species is likely to occur in an area, and whether it would therefore be expected in a local carcass community. It also showed that temperature was less important than moisture in shaping the geographical distribution of African carrion blowflies. Based on these results, several recommendations are made for the practice of forensic entomology.
- Full Text:
- Date Issued: 2008
Environmental health work methods and procedures for the surveillance and control of avian influenza in the Eastern Cape Province, South Africa
- Authors: Elie, Sammy Abraham
- Date: 2008
- Subjects: Avian influenza -- Eastern Cape -- South Africa -- Prevention , Environmental health -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MTech
- Identifier: vital:9834 , http://hdl.handle.net/10948/947 , http://hdl.handle.net/10948/d1009648 , Avian influenza -- Eastern Cape -- South Africa -- Prevention , Environmental health -- South Africa -- Eastern Cape
- Description: Avian influenza is an infectious disease of birds caused by the Type A strain of the influenza virus. The disease, which was first identified in Italy more than 100 years ago, occurs worldwide (World Health Organization, 2006a). The current outbreak of the highly pathogenic avian influenza A (H5N1), which began in Southeast Asia in mid-2003, is the largest and most severe on record. Never before in the recorded history of this disease have so many countries been simultaneously affected. Since the last pandemic in 1968-1969, the risk of an influenza pandemic has not been considered greater than at the present time. The importance of intervention strategies had become increasingly evident throughout the world. The World Health Organization provides a generic outline for preparedness plans to assist countries in their preparations to respond to a possible avian influenza pandemic. These guidelines may be modified as the epidemiology of avian influenza evolves. The South African National Department of Health has developed national guidelines in the form of an avian influenza preparedness plan. These draft guidelines do not provide detailed Environmental Health work methods and - procedures for the effective surveillance and control of the disease. The general purpose of this study is to develop a standardised set of Environmental Health work methods and - procedures, which will contribute to the effective surveillance and control of avian influenza in the Eastern Cape province – South Africa. Within the context of the purpose of this study, a qualitative, explorative, descriptive, inductive and deductive research design will be used. The methods of data collection will be documentary research, telephonic as well as in-depth personal interviews. In this study, documentary research will be the primary method of data collection. With a qualitative approach, the researcher will be the human instrument for data analysis. The process of qualitative data analysis will be based on data reduction and interpretation; and will be conducted as an activity simultaneously with data collection, data interpretation and narrative reporting writing.
- Full Text:
- Date Issued: 2008
- Authors: Elie, Sammy Abraham
- Date: 2008
- Subjects: Avian influenza -- Eastern Cape -- South Africa -- Prevention , Environmental health -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MTech
- Identifier: vital:9834 , http://hdl.handle.net/10948/947 , http://hdl.handle.net/10948/d1009648 , Avian influenza -- Eastern Cape -- South Africa -- Prevention , Environmental health -- South Africa -- Eastern Cape
- Description: Avian influenza is an infectious disease of birds caused by the Type A strain of the influenza virus. The disease, which was first identified in Italy more than 100 years ago, occurs worldwide (World Health Organization, 2006a). The current outbreak of the highly pathogenic avian influenza A (H5N1), which began in Southeast Asia in mid-2003, is the largest and most severe on record. Never before in the recorded history of this disease have so many countries been simultaneously affected. Since the last pandemic in 1968-1969, the risk of an influenza pandemic has not been considered greater than at the present time. The importance of intervention strategies had become increasingly evident throughout the world. The World Health Organization provides a generic outline for preparedness plans to assist countries in their preparations to respond to a possible avian influenza pandemic. These guidelines may be modified as the epidemiology of avian influenza evolves. The South African National Department of Health has developed national guidelines in the form of an avian influenza preparedness plan. These draft guidelines do not provide detailed Environmental Health work methods and - procedures for the effective surveillance and control of the disease. The general purpose of this study is to develop a standardised set of Environmental Health work methods and - procedures, which will contribute to the effective surveillance and control of avian influenza in the Eastern Cape province – South Africa. Within the context of the purpose of this study, a qualitative, explorative, descriptive, inductive and deductive research design will be used. The methods of data collection will be documentary research, telephonic as well as in-depth personal interviews. In this study, documentary research will be the primary method of data collection. With a qualitative approach, the researcher will be the human instrument for data analysis. The process of qualitative data analysis will be based on data reduction and interpretation; and will be conducted as an activity simultaneously with data collection, data interpretation and narrative reporting writing.
- Full Text:
- Date Issued: 2008
Equiprime near-rings
- Authors: Mogae, Kabelo
- Date: 2008
- Subjects: Near-rings
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10505 , http://hdl.handle.net/10948/1028 , Near-rings
- Description: Prior to 1990, the only well known ideal-hereditary Kurosh-Amitsur radicals in the variety of zero-symmetric near-rings were the Jacobson type radicals Iv(N) , where ∨∈{2,3} and the Brown-McCoy radical. In 1990, Booth, Groenewald and Veldsman introduced the concept of an equiprime near-ring which leads to an ideal-hereditary Kurosh-Amitsur radical in N∘. The concept of an equiprime near-ring generalizes the concept of a prime ring to near-rings. Although the search for more ideal-hereditary radicals of near-rings was apparently the original motivation for the introduction of equiprime near-rings, it became clear that these near-rings are interesting in their own right. It is our aim in this treatise to give an exposition of the many interesting properties of equiprime near-rings. We begin with a brief reminder of near-ring rudiments; giving basic definitions and elementary results which are necessary for understanding and development of subsequent chapters. With the basics out of the way, our main task begins with a consideration of equiprime, strongly and completely equiprime left ideals. It is noted that any zero-symmetric near-ring can be embedded in an equiprime near-ring. Moreover, the class of equiprime near-rings is shown to be hereditary. Open questions arising out of the study of equiprime near-rings are highlighted along the way. In Chapter 3 we consider well known examples of near-rings and determine when such near-rings are equiprime. This provides more insight into the nature of equiprime near-rings and is a fertile ground for the birth of examples and counterexamples which may be used to close or solve some open question within the literature. We also prove some results which generalize some results of Booth and Hall [10] and Veldsman [29]. These results have not been previously presented elsewhere to the best of our knowledge. vii In Chapter 4, the equiprime near-rings are shown to yield an ideal-hereditary radical in N∘. It is shown that a special radical theory can be built on the equiprime nearrings in much the same way prime rings are used in ring theory to define special radical classes of rings.
- Full Text:
- Date Issued: 2008
- Authors: Mogae, Kabelo
- Date: 2008
- Subjects: Near-rings
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: vital:10505 , http://hdl.handle.net/10948/1028 , Near-rings
- Description: Prior to 1990, the only well known ideal-hereditary Kurosh-Amitsur radicals in the variety of zero-symmetric near-rings were the Jacobson type radicals Iv(N) , where ∨∈{2,3} and the Brown-McCoy radical. In 1990, Booth, Groenewald and Veldsman introduced the concept of an equiprime near-ring which leads to an ideal-hereditary Kurosh-Amitsur radical in N∘. The concept of an equiprime near-ring generalizes the concept of a prime ring to near-rings. Although the search for more ideal-hereditary radicals of near-rings was apparently the original motivation for the introduction of equiprime near-rings, it became clear that these near-rings are interesting in their own right. It is our aim in this treatise to give an exposition of the many interesting properties of equiprime near-rings. We begin with a brief reminder of near-ring rudiments; giving basic definitions and elementary results which are necessary for understanding and development of subsequent chapters. With the basics out of the way, our main task begins with a consideration of equiprime, strongly and completely equiprime left ideals. It is noted that any zero-symmetric near-ring can be embedded in an equiprime near-ring. Moreover, the class of equiprime near-rings is shown to be hereditary. Open questions arising out of the study of equiprime near-rings are highlighted along the way. In Chapter 3 we consider well known examples of near-rings and determine when such near-rings are equiprime. This provides more insight into the nature of equiprime near-rings and is a fertile ground for the birth of examples and counterexamples which may be used to close or solve some open question within the literature. We also prove some results which generalize some results of Booth and Hall [10] and Veldsman [29]. These results have not been previously presented elsewhere to the best of our knowledge. vii In Chapter 4, the equiprime near-rings are shown to yield an ideal-hereditary radical in N∘. It is shown that a special radical theory can be built on the equiprime nearrings in much the same way prime rings are used in ring theory to define special radical classes of rings.
- Full Text:
- Date Issued: 2008
Evaluating service quality at George Municipality : a complaints management systems approach
- Authors: Alcock, Sandra
- Date: 2008
- Subjects: Consumer complaints -- South Africa -- George , Consumer satisfaction -- South Africa -- George , Customer services -- Management , Local government -- South Africa -- George
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: vital:8717 , http://hdl.handle.net/10948/917 , Consumer complaints -- South Africa -- George , Consumer satisfaction -- South Africa -- George , Customer services -- Management , Local government -- South Africa -- George
- Description: The search for service and product quality has come to the forefront of business studies as the most important consumer trend of the past two decades. Studies conducted indicate that the 1990s saw a dramatic change in customer expectations concerning service quality and standards with a corresponding increase in the number of complaints from disgruntled customers. In response to this, many organisations have established customer care and complaints management services to respond to the need of customers. A substantial amount of literature exists on the subject of complaints management and its role in service quality, however, the focus has been on organisations in the private sector. The research undertaken in this paper aimed to investigate the role of complaints management systems (CMS) to evaluate service quality. The focus of this research was on local government with special attention on George Municipality. A literature review was done to establish the importance of service quality for local government as well as to investigate the link between an effective complaints management system and improvement in service quality. Furthermore, it was necessary to investigate the characteristics, design and implementation of an effective complaints management system. A questionnaire was developed in order to obtain primary data from a selected sample group. The data obtained from the questionnaire was statistically analysed and interpreted. The core findings from the analysed questionnaire indicated the following: service quality is relevant in local government; there is no clear method to measure service quality; no formal and structured complaints management system exist, and the implementation of an effective complaints management system will both improve service delivery and provide benefits to all involved. iv This study recommends that: service quality standards and measurement be of strategic importance to local government; customers should be consulted and involved when determining the service quality standards and measurement, and an organised and structured complaints management system that seeks to address all complaints in order to improve the level of service quality to customers be developed. Finally, the success of the CMS will depend on management’s commitment to change on a continuous basis as well as the degree to which management proactively resolves customer complaint through the involvement of the customer.
- Full Text:
- Date Issued: 2008
- Authors: Alcock, Sandra
- Date: 2008
- Subjects: Consumer complaints -- South Africa -- George , Consumer satisfaction -- South Africa -- George , Customer services -- Management , Local government -- South Africa -- George
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: vital:8717 , http://hdl.handle.net/10948/917 , Consumer complaints -- South Africa -- George , Consumer satisfaction -- South Africa -- George , Customer services -- Management , Local government -- South Africa -- George
- Description: The search for service and product quality has come to the forefront of business studies as the most important consumer trend of the past two decades. Studies conducted indicate that the 1990s saw a dramatic change in customer expectations concerning service quality and standards with a corresponding increase in the number of complaints from disgruntled customers. In response to this, many organisations have established customer care and complaints management services to respond to the need of customers. A substantial amount of literature exists on the subject of complaints management and its role in service quality, however, the focus has been on organisations in the private sector. The research undertaken in this paper aimed to investigate the role of complaints management systems (CMS) to evaluate service quality. The focus of this research was on local government with special attention on George Municipality. A literature review was done to establish the importance of service quality for local government as well as to investigate the link between an effective complaints management system and improvement in service quality. Furthermore, it was necessary to investigate the characteristics, design and implementation of an effective complaints management system. A questionnaire was developed in order to obtain primary data from a selected sample group. The data obtained from the questionnaire was statistically analysed and interpreted. The core findings from the analysed questionnaire indicated the following: service quality is relevant in local government; there is no clear method to measure service quality; no formal and structured complaints management system exist, and the implementation of an effective complaints management system will both improve service delivery and provide benefits to all involved. iv This study recommends that: service quality standards and measurement be of strategic importance to local government; customers should be consulted and involved when determining the service quality standards and measurement, and an organised and structured complaints management system that seeks to address all complaints in order to improve the level of service quality to customers be developed. Finally, the success of the CMS will depend on management’s commitment to change on a continuous basis as well as the degree to which management proactively resolves customer complaint through the involvement of the customer.
- Full Text:
- Date Issued: 2008