Evaluation of some pseudomonas species isolated from Hogsback forest reserve for the production of antibacterial compounds
- Authors: Mkono, Yonela Pelokazi
- Date: 2017
- Subjects: Bacteriology -- South Africa -- Eastern Cape Pseudomonas
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/5961 , vital:29458
- Description: Pseudomonas species are Gram-negative bacteria most abundant in soil and water bodies, with the capacity to thrive in varied environments. They are largely associated with resistant pathogenic bacteria linked to human and plant diseases. Species such as Pseudomonas aeruginosa have been particularly targeted as case studies due to the extremity to which they pose a threat to human health. With more focus directed at using these species for biocontrol and bioremediation purposes, their role in bioactive compound production may be equally important. As the crisis on antimicrobial resistance still persists, the need for effective antimicrobial compounds is ever more urgent and solutions may possibly still be dormant in bacterial species whose potential has not been fully investigated. On a bid to source out potential antimicrobial compound producers, soil samples were collected from Hogback forest reserve in the province of the Eastern Cape, South Africa. For bacterial screening, M1 and R2A agar were used and the cultures grown at 37˚C for a period of seven days. After the presumed Pseudomonas species were identified, antimicrobial production was determined by submerged fermentation method using nutrient broth as media of choice. Active isolates were further studied to determine the optimum conditions which best facilitate for antimicrobial compound production, with parameters such as temperature (25˚C – 40˚C) and pH (4 – 9) considered. The role plasmids play in antimicrobial compound production was also investigated. Each isolate was grown in fermentation media containing Sodium dodecyl sulphate and Ethedium Bromide, at varying concentrations, to facilitate for plasmid curing. With each sample, distinct colonies were identified with varying pigmentations most dominant being a cream colour. The identity of the isolated strains was achieved through sequencing of 16S rDNA. Phylogenetic analysis showed that isolate A16 had 80 percent homology with Pseudomonas plecoglossicida strain P4 and share a close ancestor with isolates Y52 and Y81, also isolate Y89 showed a 90 percent homology with Pseudomonas sp. Co-11a. With the exception of isolate A16, the isolates which were active against Gram-negative bacteria lost activity as the screening processes continued. When looking at temperature variations, isolates Y81 and A16 were highly active with maximum activity observed at 35˚C while Y89 performed best at 25˚C and Y52 showed constant activity across all studied temperatures. The plasmids in all isolates were found to be 48.5 kb in size with the exception of isolate Y89 which was 20 kb. The plasmids were cured at concentrations of (1 mg/ml; 5 mg/ml; 7 mg/ml; 10 mg/ml; 11 mg/ml) SDS and (125 μg/ml; 6.5 μg/ml; 5μg/ml) EtBr. The curing process also showed changes in both the antimicrobial activity of the isolates as well as their physical characteristics. The isolates are the first reported Pseudomonas species from Hogsback forest reserve with the ability to produce antimicrobial compounds which are active against Gram-positive and Gram-negative bacteria. These mesophilic bacteria also show that plasmids do not pay any role in the production of antimicrobial compounds and that the biosynthesis genes are highly likely to be chromosomal borne meaning that the production cannot be linked to horizontal transfer of genes. Therefore, these isolated Pseudomonas species provide a potential reservoir of antimicrobial compounds which may play an important role in the antimicrobial resistance phenomenon.
- Full Text:
- Date Issued: 2017
- Authors: Mkono, Yonela Pelokazi
- Date: 2017
- Subjects: Bacteriology -- South Africa -- Eastern Cape Pseudomonas
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/5961 , vital:29458
- Description: Pseudomonas species are Gram-negative bacteria most abundant in soil and water bodies, with the capacity to thrive in varied environments. They are largely associated with resistant pathogenic bacteria linked to human and plant diseases. Species such as Pseudomonas aeruginosa have been particularly targeted as case studies due to the extremity to which they pose a threat to human health. With more focus directed at using these species for biocontrol and bioremediation purposes, their role in bioactive compound production may be equally important. As the crisis on antimicrobial resistance still persists, the need for effective antimicrobial compounds is ever more urgent and solutions may possibly still be dormant in bacterial species whose potential has not been fully investigated. On a bid to source out potential antimicrobial compound producers, soil samples were collected from Hogback forest reserve in the province of the Eastern Cape, South Africa. For bacterial screening, M1 and R2A agar were used and the cultures grown at 37˚C for a period of seven days. After the presumed Pseudomonas species were identified, antimicrobial production was determined by submerged fermentation method using nutrient broth as media of choice. Active isolates were further studied to determine the optimum conditions which best facilitate for antimicrobial compound production, with parameters such as temperature (25˚C – 40˚C) and pH (4 – 9) considered. The role plasmids play in antimicrobial compound production was also investigated. Each isolate was grown in fermentation media containing Sodium dodecyl sulphate and Ethedium Bromide, at varying concentrations, to facilitate for plasmid curing. With each sample, distinct colonies were identified with varying pigmentations most dominant being a cream colour. The identity of the isolated strains was achieved through sequencing of 16S rDNA. Phylogenetic analysis showed that isolate A16 had 80 percent homology with Pseudomonas plecoglossicida strain P4 and share a close ancestor with isolates Y52 and Y81, also isolate Y89 showed a 90 percent homology with Pseudomonas sp. Co-11a. With the exception of isolate A16, the isolates which were active against Gram-negative bacteria lost activity as the screening processes continued. When looking at temperature variations, isolates Y81 and A16 were highly active with maximum activity observed at 35˚C while Y89 performed best at 25˚C and Y52 showed constant activity across all studied temperatures. The plasmids in all isolates were found to be 48.5 kb in size with the exception of isolate Y89 which was 20 kb. The plasmids were cured at concentrations of (1 mg/ml; 5 mg/ml; 7 mg/ml; 10 mg/ml; 11 mg/ml) SDS and (125 μg/ml; 6.5 μg/ml; 5μg/ml) EtBr. The curing process also showed changes in both the antimicrobial activity of the isolates as well as their physical characteristics. The isolates are the first reported Pseudomonas species from Hogsback forest reserve with the ability to produce antimicrobial compounds which are active against Gram-positive and Gram-negative bacteria. These mesophilic bacteria also show that plasmids do not pay any role in the production of antimicrobial compounds and that the biosynthesis genes are highly likely to be chromosomal borne meaning that the production cannot be linked to horizontal transfer of genes. Therefore, these isolated Pseudomonas species provide a potential reservoir of antimicrobial compounds which may play an important role in the antimicrobial resistance phenomenon.
- Full Text:
- Date Issued: 2017
Evaluation of the physicochemical qualities and heavy metal regimes of the final effluents of some wastewater treatment facilties in Berlin, Alice and Bedford communities in the Eastern Cape, South Africa
- Authors: Agoro, Mojeed Adedoyin
- Date: 2017
- Subjects: Water -- Purification -- South Africa -- Eastern Cape Sewage -- Purification -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/5003 , vital:28924
- Description: Wastewater treatment facilities have been identified as potential source of surface water pollution worldwide. In this study, the physicochemical qualities and heavy metal (including Zinc, Cadmium, Iron, Lead and Copper) concentrations in the final effluents, as well as the reduction efficiencies of three municipal wastewater plants in the Eastern Cape, South Africa were evaluated from September 2015 to February 2016 using standard methods. Wastewater effluent and sludge samples were collected from the selected plants on monthly basis over a period of six months from September 2015 to February 2016. Standard analytical method (Atomic absorption spectroscopy [AAS]) was used to assess the concentration levels of heavy metals. The physicochemical parameters assessed include pH, Temperature, Total Dissolved Solid, Turbidity, Biochemical Oxygen Demand, Chemical Oxygen Demand, Alkalinity, Dissolved Oxygen, Free chlorine, Chloride, Sulphate, Phosphate, Ammonium and Electrical Conductivity. The results of the evaluation showed that temperature ranges from 19 to 36 °C, Electrical Conductivity from 60-1095 mS/m, Alkalinity from 2.6-20.9 mg/L, Nitrate from 0.24-26.5 mg/L, Nitrite from 0.01-90 mg/L, Phosphate from 0.02-5.12 mg/L, Ammonium from 0.06-112 mg/L, Sulphate from 3-72 mg/L, Chloride from 3.25-224 mg/L, Chemical Oxygen Demand from 17-394 mg/L and Turbidity from 1.96-715 NTU. Free chlorine concentrations and dissolved oxygen were within the recommended limits for most part of the sampling period and ranged between 0.17-0.48 mg/L and 0.19-21.9 mg/L respectively. The pH, Phosphate, Sulphate and Free chlorine were within acceptable limits while Electrical Conductivity, Temperature, Total Dissolved Solid, Turbidity, Chemical Oxygen Demand, Chloride, Ammonium, Nitrate and Nitrite were not within specified limits. The reduction efficiencies observed generally ranged between 43.9 and 100 percent at all sampling points while zinc and lead were not detected throughout the sampling period. Cadmium showed low reduction rate ranging from 0 to 11.7 percent, while the rate of Copper reduction ranged from 0 to25 percent in January and February 2016. Zinc, lead and cadmium were generally not detected in the sludge samples except in January and February which could be due to the prevailing atmospheric conditions during the sampling period. Cu and Fe were detected through the sampling months of the study. We conclude that these municipal sewage plants are sources of pollution to their receiving watersheds and threats to public and environmental health.
- Full Text:
- Date Issued: 2017
- Authors: Agoro, Mojeed Adedoyin
- Date: 2017
- Subjects: Water -- Purification -- South Africa -- Eastern Cape Sewage -- Purification -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/5003 , vital:28924
- Description: Wastewater treatment facilities have been identified as potential source of surface water pollution worldwide. In this study, the physicochemical qualities and heavy metal (including Zinc, Cadmium, Iron, Lead and Copper) concentrations in the final effluents, as well as the reduction efficiencies of three municipal wastewater plants in the Eastern Cape, South Africa were evaluated from September 2015 to February 2016 using standard methods. Wastewater effluent and sludge samples were collected from the selected plants on monthly basis over a period of six months from September 2015 to February 2016. Standard analytical method (Atomic absorption spectroscopy [AAS]) was used to assess the concentration levels of heavy metals. The physicochemical parameters assessed include pH, Temperature, Total Dissolved Solid, Turbidity, Biochemical Oxygen Demand, Chemical Oxygen Demand, Alkalinity, Dissolved Oxygen, Free chlorine, Chloride, Sulphate, Phosphate, Ammonium and Electrical Conductivity. The results of the evaluation showed that temperature ranges from 19 to 36 °C, Electrical Conductivity from 60-1095 mS/m, Alkalinity from 2.6-20.9 mg/L, Nitrate from 0.24-26.5 mg/L, Nitrite from 0.01-90 mg/L, Phosphate from 0.02-5.12 mg/L, Ammonium from 0.06-112 mg/L, Sulphate from 3-72 mg/L, Chloride from 3.25-224 mg/L, Chemical Oxygen Demand from 17-394 mg/L and Turbidity from 1.96-715 NTU. Free chlorine concentrations and dissolved oxygen were within the recommended limits for most part of the sampling period and ranged between 0.17-0.48 mg/L and 0.19-21.9 mg/L respectively. The pH, Phosphate, Sulphate and Free chlorine were within acceptable limits while Electrical Conductivity, Temperature, Total Dissolved Solid, Turbidity, Chemical Oxygen Demand, Chloride, Ammonium, Nitrate and Nitrite were not within specified limits. The reduction efficiencies observed generally ranged between 43.9 and 100 percent at all sampling points while zinc and lead were not detected throughout the sampling period. Cadmium showed low reduction rate ranging from 0 to 11.7 percent, while the rate of Copper reduction ranged from 0 to25 percent in January and February 2016. Zinc, lead and cadmium were generally not detected in the sludge samples except in January and February which could be due to the prevailing atmospheric conditions during the sampling period. Cu and Fe were detected through the sampling months of the study. We conclude that these municipal sewage plants are sources of pollution to their receiving watersheds and threats to public and environmental health.
- Full Text:
- Date Issued: 2017
Evaluation of the socio-economic performance of smallholder irrigation schemes in Idutywa Village of the Eastern Cape Province
- Authors: Jiba, Phiwe
- Date: 2017
- Subjects: Irrigation farming -- Economic aspects Farms, Small -- South Africa -- Eastern Cape Agricultural development projects -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/4705 , vital:28497
- Description: South Africa and other African countries are faced with high levels of food insecurity and poverty levels as a result of slow growth of the macro economy and weak or sluggish rural development. Irrigation scheme development is seen as an important strategy to address the challenges faced by households in rural areas and restores growth and enhanced livelihoods. While the international experience shows that Irrigation schemes are potentially transformative of poor communities and have been operational for many years now, there is no marked improvement in living conditions of rural households in terms of livelihoods and income. This raises the question as to whether or not the schemes are viable from a socio-economic perspective and whether or not there are reasons for concern and revision of the policy framework for smallholder irrigation schemes. As a result of that, the broad objective of the study was to evaluate the contribution of smallholder irrigation schemes to household income and food security of rural households in Idutywa village of the Eastern Cape Province in South Africa. Specifically, this research investigated the major factors that influence their performance, impact of irrigation farming on rural livelihood and household food security as well as identifying the possible opportunities of production that would improve their performance. The study was carried out in Idutywa villages of the Eastern Cape Province in South Africa and employed survey data obtained from 107 households. The study employed a cross-sectional research design and the study employed stratified random sampling. The study made use of descriptive and inferential statistics to estimate the central tendency and dispersion as well as testing the hypothesis that there is a difference in the contribution between irrigators and non-irrigators using STATA and SPSS. Probit regression model was used to estimate factors that influenced the performance of smallholder irrigation schemes. The descriptive statistics employed included means, percentages and frequencies on the socio-economic characteristics of households in the study areas. The results show that females were dominant with a representation of 66.7 percent. The majority of households were aged and the mean age was 65 years. High level of illiteracy in the project area was revealed by the data. The average number of years, households spent in school was between 6 years to 10 years in school. Farming was found to be the major agricultural economic activity. Sixty-three (63 percent) were full time farmers. The results further show that household size ranges between 1 to 5 persons. The households were shown to be mostly dependent on social grant with household income hovering around R 1 000. The results from propensity score matching revealed that irrigation exerts a positive impact on household income. This provides sufficient evidence that irrigation schemes do make a contribution to rural livelihoods through their effect on household income and food security. This implies that government should continue investing in irrigation schemes as part of a strategy to grow the rural economy and improve rural livelihoods. This is in line with the Agricultural Policy Action Plan (APAP) and National Development Plan (NDP) of South Africa. Probit analysis suggests that age of the households, household size and market were some of the key determinants that positively influenced households’ decision to participate in smallholder irrigation schemes while access to credit had significant but negative effect on households’ decision to participate in smallholder irrigation schemes. Based on the findings highlighted above, it is recommended that addressing such barriers may create enabling conditions that would encourage households to access and participate more effectively in smallholder irrigation schemes.
- Full Text:
- Date Issued: 2017
- Authors: Jiba, Phiwe
- Date: 2017
- Subjects: Irrigation farming -- Economic aspects Farms, Small -- South Africa -- Eastern Cape Agricultural development projects -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/4705 , vital:28497
- Description: South Africa and other African countries are faced with high levels of food insecurity and poverty levels as a result of slow growth of the macro economy and weak or sluggish rural development. Irrigation scheme development is seen as an important strategy to address the challenges faced by households in rural areas and restores growth and enhanced livelihoods. While the international experience shows that Irrigation schemes are potentially transformative of poor communities and have been operational for many years now, there is no marked improvement in living conditions of rural households in terms of livelihoods and income. This raises the question as to whether or not the schemes are viable from a socio-economic perspective and whether or not there are reasons for concern and revision of the policy framework for smallholder irrigation schemes. As a result of that, the broad objective of the study was to evaluate the contribution of smallholder irrigation schemes to household income and food security of rural households in Idutywa village of the Eastern Cape Province in South Africa. Specifically, this research investigated the major factors that influence their performance, impact of irrigation farming on rural livelihood and household food security as well as identifying the possible opportunities of production that would improve their performance. The study was carried out in Idutywa villages of the Eastern Cape Province in South Africa and employed survey data obtained from 107 households. The study employed a cross-sectional research design and the study employed stratified random sampling. The study made use of descriptive and inferential statistics to estimate the central tendency and dispersion as well as testing the hypothesis that there is a difference in the contribution between irrigators and non-irrigators using STATA and SPSS. Probit regression model was used to estimate factors that influenced the performance of smallholder irrigation schemes. The descriptive statistics employed included means, percentages and frequencies on the socio-economic characteristics of households in the study areas. The results show that females were dominant with a representation of 66.7 percent. The majority of households were aged and the mean age was 65 years. High level of illiteracy in the project area was revealed by the data. The average number of years, households spent in school was between 6 years to 10 years in school. Farming was found to be the major agricultural economic activity. Sixty-three (63 percent) were full time farmers. The results further show that household size ranges between 1 to 5 persons. The households were shown to be mostly dependent on social grant with household income hovering around R 1 000. The results from propensity score matching revealed that irrigation exerts a positive impact on household income. This provides sufficient evidence that irrigation schemes do make a contribution to rural livelihoods through their effect on household income and food security. This implies that government should continue investing in irrigation schemes as part of a strategy to grow the rural economy and improve rural livelihoods. This is in line with the Agricultural Policy Action Plan (APAP) and National Development Plan (NDP) of South Africa. Probit analysis suggests that age of the households, household size and market were some of the key determinants that positively influenced households’ decision to participate in smallholder irrigation schemes while access to credit had significant but negative effect on households’ decision to participate in smallholder irrigation schemes. Based on the findings highlighted above, it is recommended that addressing such barriers may create enabling conditions that would encourage households to access and participate more effectively in smallholder irrigation schemes.
- Full Text:
- Date Issued: 2017
Evolution of Fe-Ti-V oxides from the main magnetite layer, Upper Zone, Bushveld Complex, South Africa: a comparison across the Western, Northern and Eastern Lobes
- Authors: Iorga-Pavel, Adina
- Date: 2017
- Subjects: Magnetite -- South Africa -- Bushveld Complex , Mineralogy -- South Africa -- Bushveld Complex , Oxides
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/7357 , vital:21248
- Description: The Main Magnetite Layer (MML) from the Northern, Eastern and Western lobes of the Bushveld Complex shows significant differences in textures and in mineral chemistry. The MML in the Eastern and Western lobes is massive, with rare, small and altered pyroxene inclusions. By contrast, the MML in the Northern Lobe is more heterogeneous, and it is made of anastomosed and sometimes imbricated, thin layers of magnetitite, magnetite-rich and silicate-rich rocks, where the inclusions in Ti-magnetite are more numerous and consist of mainly altered subhedral and anhedral plagioclase. The comparison of the maximum values of the oxides shows that the MML in the Northern Lobe has the highest content of V2O3 (1.97 wt%), TiO2 (22.49 wt%) and MgO (2.92 wt%), while the MML in the Eastern Lobe has the highest content of Cr2O3 (2.92 wt%) and Al2O3 (9.80 wt%), but lowest V2O3 (0.52 wt%). The lower TiO2 content and higher V2O3 content in the MML of the Northern and Western Lobes suggest lower oxidising conditions during the crystallization of oxides. The MML in all three studied lobes consists of two layers of magnetitite, suggesting that MML was formed by two separate magma influxes, probably on a diverse and complex type of magma chamber floor. The high TiO2 content in magnetite, together with the negative correlation between TiO2 and V2O3 suggest that the maximum V content should represent a “less evolved” and less oxidized melt. In this respect, higher concentrations V2O3 in magnetite can be expected in magnetitite layers with lower TiO2. It can be inferred that the Ti-magetite in the MML from the Eastern Lobe was formed from a more evolved (TiO2 and FeO enriched) and more oxidized (lower V2O3) melt, compared with the MML from the Northern and Western lobes. These findings can be used to illustrate: a) that high fO2 can be responsible for the relatively low V content in magnetite from Fe-Ti oxide ores and b) the vanadium in magnetite decreases significantly in more evolved cumulates, due to a decreasing fO2 with differentiation. Compositional profiles of Ti- magnetite along the stratigraphic height of the MML in the Eastern Lobe (composed of two layers, separated in the outcrop by a parting plane) depicts a cryptic variation with depth in each of the two layers, where each layer can be divided into four sublayers, labelled upwards as A, B, C (with C1, C2, C3 and C4) and D based on Cr, Mg, Ti, Al and V variation. Small scale reversals of the mentioned elements and the repetition of A, B, C and D sub-layers in each layer suggest that MML formed from two successive influxes of magma (indicated by relatively elevated values of MgO), which evolved by crystallization and cooling in a similar manner, to produce the A to D variation. Based on these observations and theoretical considerations, this study dismisses several models for the genesis of the MML: the immiscibility, the increased oxygen fugacity, the relative increase of H2O content of the melt, pressure variation within the magma chamber, magma mixing, and crustal rock contamination. The model proposed here for MML genesis involves the crystallization of both Ti-magnetite and ilmenite from a Fe-Ti-Ca-Al-rich melt (ferro-diorite) along its line of descent, and gravitational settling of oxides in a dynamic regime. The factor which triggered the crystallization of magnetite is a critical saturation of melt in magnetite (attaining saturation of magnetite and ilmenite in the melt after some silicates crystallized). The difference between the nature of silicate inclusions in magnetite and the nature of the magnetite floor, suggest that the Fe-rich magma was not in equilibrium with the cumulates from the present floor, but rather it was emplaced laterally on long distances, the melt being disrupted from its own cumulates. The absence of correlation between the Cr2O3 in magnetite and co-existing ilmenite can indicate than no in-situ fractional crystallization took place at the moment of magnetite accumulation, but rather that magnetite and ilmenite gravitationally accumulated and the grains mechanically mixed from a flowing magma. The model presented herein proposes a five stage model of MML formation: Stage 1 is represented by the intrusion of a Fe-T-Ca-Al-rich magma which expands laterally within a flat and thin magma chamber. Oxides start to crystallize within a dynamic regime of the magma. Stage 2 is given by the accumulation of oxides at the bottom of the new floor. Some plagioclase starts to crystallize (e.g. subhedral plagioclase in the MML of the Northern Lobe). Stage 3 is a short living static regime, where both plagioclase and magnetite crystallized, without fractionation, forming the thin magnetite-anorthosite layer separating the MML into two layers. Stage 4 is represented by a new influx of Fe-Ti-Ca-Al-rich magma which is emplaced above the magnetite-bearing anorthosite, flushing out the liquid which was in equilibrium with the anorthosite. The oxides started crystallizing in a dynamic regime, as in Stage 1. In stage 5, the accumulation of oxides produced the upper layer of the MML. Our interpretation is that the flow of the magma was more dynamic (probably more turbulent on long distances) in the MML of the Northern Lobe, compared to the MML in the Western and Eastern lobes, producing highly heterogeneous and imbricated thin layers of magnetitite and silicates. The presence of olivine corona around orthopyroxene suggests the incongruent melting of orthopyroxene, which points out towards a local re-heating of existing silicate layers, this being a strong argument for multiple injections in generation of MML. Massive crystallization of oxides produced the sulphur saturation of the magma and caused the precipitation of the igneous sulphides, which nucleated on the existing oxides. Later hydrothermal fluids (and/or late magmatic volatiles?) percolated the MML, producing chloritization of the included silicates, remobilization of igneous sulphides and precipitation of hydrothermal sulphides.
- Full Text:
- Date Issued: 2017
- Authors: Iorga-Pavel, Adina
- Date: 2017
- Subjects: Magnetite -- South Africa -- Bushveld Complex , Mineralogy -- South Africa -- Bushveld Complex , Oxides
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/7357 , vital:21248
- Description: The Main Magnetite Layer (MML) from the Northern, Eastern and Western lobes of the Bushveld Complex shows significant differences in textures and in mineral chemistry. The MML in the Eastern and Western lobes is massive, with rare, small and altered pyroxene inclusions. By contrast, the MML in the Northern Lobe is more heterogeneous, and it is made of anastomosed and sometimes imbricated, thin layers of magnetitite, magnetite-rich and silicate-rich rocks, where the inclusions in Ti-magnetite are more numerous and consist of mainly altered subhedral and anhedral plagioclase. The comparison of the maximum values of the oxides shows that the MML in the Northern Lobe has the highest content of V2O3 (1.97 wt%), TiO2 (22.49 wt%) and MgO (2.92 wt%), while the MML in the Eastern Lobe has the highest content of Cr2O3 (2.92 wt%) and Al2O3 (9.80 wt%), but lowest V2O3 (0.52 wt%). The lower TiO2 content and higher V2O3 content in the MML of the Northern and Western Lobes suggest lower oxidising conditions during the crystallization of oxides. The MML in all three studied lobes consists of two layers of magnetitite, suggesting that MML was formed by two separate magma influxes, probably on a diverse and complex type of magma chamber floor. The high TiO2 content in magnetite, together with the negative correlation between TiO2 and V2O3 suggest that the maximum V content should represent a “less evolved” and less oxidized melt. In this respect, higher concentrations V2O3 in magnetite can be expected in magnetitite layers with lower TiO2. It can be inferred that the Ti-magetite in the MML from the Eastern Lobe was formed from a more evolved (TiO2 and FeO enriched) and more oxidized (lower V2O3) melt, compared with the MML from the Northern and Western lobes. These findings can be used to illustrate: a) that high fO2 can be responsible for the relatively low V content in magnetite from Fe-Ti oxide ores and b) the vanadium in magnetite decreases significantly in more evolved cumulates, due to a decreasing fO2 with differentiation. Compositional profiles of Ti- magnetite along the stratigraphic height of the MML in the Eastern Lobe (composed of two layers, separated in the outcrop by a parting plane) depicts a cryptic variation with depth in each of the two layers, where each layer can be divided into four sublayers, labelled upwards as A, B, C (with C1, C2, C3 and C4) and D based on Cr, Mg, Ti, Al and V variation. Small scale reversals of the mentioned elements and the repetition of A, B, C and D sub-layers in each layer suggest that MML formed from two successive influxes of magma (indicated by relatively elevated values of MgO), which evolved by crystallization and cooling in a similar manner, to produce the A to D variation. Based on these observations and theoretical considerations, this study dismisses several models for the genesis of the MML: the immiscibility, the increased oxygen fugacity, the relative increase of H2O content of the melt, pressure variation within the magma chamber, magma mixing, and crustal rock contamination. The model proposed here for MML genesis involves the crystallization of both Ti-magnetite and ilmenite from a Fe-Ti-Ca-Al-rich melt (ferro-diorite) along its line of descent, and gravitational settling of oxides in a dynamic regime. The factor which triggered the crystallization of magnetite is a critical saturation of melt in magnetite (attaining saturation of magnetite and ilmenite in the melt after some silicates crystallized). The difference between the nature of silicate inclusions in magnetite and the nature of the magnetite floor, suggest that the Fe-rich magma was not in equilibrium with the cumulates from the present floor, but rather it was emplaced laterally on long distances, the melt being disrupted from its own cumulates. The absence of correlation between the Cr2O3 in magnetite and co-existing ilmenite can indicate than no in-situ fractional crystallization took place at the moment of magnetite accumulation, but rather that magnetite and ilmenite gravitationally accumulated and the grains mechanically mixed from a flowing magma. The model presented herein proposes a five stage model of MML formation: Stage 1 is represented by the intrusion of a Fe-T-Ca-Al-rich magma which expands laterally within a flat and thin magma chamber. Oxides start to crystallize within a dynamic regime of the magma. Stage 2 is given by the accumulation of oxides at the bottom of the new floor. Some plagioclase starts to crystallize (e.g. subhedral plagioclase in the MML of the Northern Lobe). Stage 3 is a short living static regime, where both plagioclase and magnetite crystallized, without fractionation, forming the thin magnetite-anorthosite layer separating the MML into two layers. Stage 4 is represented by a new influx of Fe-Ti-Ca-Al-rich magma which is emplaced above the magnetite-bearing anorthosite, flushing out the liquid which was in equilibrium with the anorthosite. The oxides started crystallizing in a dynamic regime, as in Stage 1. In stage 5, the accumulation of oxides produced the upper layer of the MML. Our interpretation is that the flow of the magma was more dynamic (probably more turbulent on long distances) in the MML of the Northern Lobe, compared to the MML in the Western and Eastern lobes, producing highly heterogeneous and imbricated thin layers of magnetitite and silicates. The presence of olivine corona around orthopyroxene suggests the incongruent melting of orthopyroxene, which points out towards a local re-heating of existing silicate layers, this being a strong argument for multiple injections in generation of MML. Massive crystallization of oxides produced the sulphur saturation of the magma and caused the precipitation of the igneous sulphides, which nucleated on the existing oxides. Later hydrothermal fluids (and/or late magmatic volatiles?) percolated the MML, producing chloritization of the included silicates, remobilization of igneous sulphides and precipitation of hydrothermal sulphides.
- Full Text:
- Date Issued: 2017
Exploring acyl azides chemistry in continuous flow systems
- Authors: Sagandira, Cloudius Ray
- Date: 2017
- Subjects: Organic compounds -- Synthesis Flow chemistry
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/12065 , vital:27028
- Description: Organic azides are important in the synthesis of many target molecules of great use in fine chemical and pharmaceutical production. The use of this class of compounds is however limited due to their hazardous nature and many safety concerns, as they are highly exothermic. Micro reactors can handle exotherms extremely well, due to the inherent high surface area to volume ratio, unlike the conventional batch process. This dissertation therefore aims to investigate the safe application of micro reactors in acyl azide chemistry.With this in mind, Chapter 1 provides a comprehensive background on organic azides, reaction calorimetric studies, flow chemistry technology (micro reactors) and their theoretical advantages. This chapter also discusses the preparation of organic azides in continuous flow systems and scaling up in continuous flow systems. Chapter 2 illustrates and discusses multivariate optimisation of benzoyl azide synthesis as a model reaction, synthesis of other acyl azides using the model reaction optimised conditions and multistep synthesis of carbamates, amides and amines in continuous flow systems via the Curtius rearrangement of benzoyl azide formed in situ from benzoyl chloride and sodium azide. The chapter also discusses process hazards analysis and evaluation of benzoyl azide synthesis and decomposition using calorimetric studies. It also investigates and discusses the effects of different mixing regimes and channel sizes on scale up. Chapter 3 has comprehensive experimental details for the whole dissertation with Chapter 4 providing the concluding remarks and future work recommendations.
- Full Text:
- Date Issued: 2017
- Authors: Sagandira, Cloudius Ray
- Date: 2017
- Subjects: Organic compounds -- Synthesis Flow chemistry
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/12065 , vital:27028
- Description: Organic azides are important in the synthesis of many target molecules of great use in fine chemical and pharmaceutical production. The use of this class of compounds is however limited due to their hazardous nature and many safety concerns, as they are highly exothermic. Micro reactors can handle exotherms extremely well, due to the inherent high surface area to volume ratio, unlike the conventional batch process. This dissertation therefore aims to investigate the safe application of micro reactors in acyl azide chemistry.With this in mind, Chapter 1 provides a comprehensive background on organic azides, reaction calorimetric studies, flow chemistry technology (micro reactors) and their theoretical advantages. This chapter also discusses the preparation of organic azides in continuous flow systems and scaling up in continuous flow systems. Chapter 2 illustrates and discusses multivariate optimisation of benzoyl azide synthesis as a model reaction, synthesis of other acyl azides using the model reaction optimised conditions and multistep synthesis of carbamates, amides and amines in continuous flow systems via the Curtius rearrangement of benzoyl azide formed in situ from benzoyl chloride and sodium azide. The chapter also discusses process hazards analysis and evaluation of benzoyl azide synthesis and decomposition using calorimetric studies. It also investigates and discusses the effects of different mixing regimes and channel sizes on scale up. Chapter 3 has comprehensive experimental details for the whole dissertation with Chapter 4 providing the concluding remarks and future work recommendations.
- Full Text:
- Date Issued: 2017
Exploring feeding ecology and population growth rate responses of ungulates in Southern African arid biomes
- Authors: Vermeulen, Mika Margaret
- Date: 2017
- Subjects: Ungulates -- South Africa Arid regions -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/15237 , vital:28189
- Description: Limited resources, extreme temperatures and predators are some of the stresses that are faced by ungulates in arid biomes. Understanding how these stressors influence ungulate feeding ecology and population growth rates is important for managers, as these could influence the persistence of ungulates in protected areas. An understanding of these stressors is especially relevant given the significant population declines in ungulate species globally. The Nama Karoo biome and the arid Savanna, an arid form of the Savanna biome, are both arid, but have distinct rainfall seasonality and vegetation structure and represent unique characteristics that need to be properly considered in their own regard. The literature on African ungulate feeding ecology covers a range of species and biomes from southern and east Africa, however, very little is known about ungulate dietary preferences in the Nama Karoo. Unexplained population declines in springbok (Antidorcas marsupialis) and red hartebeest (Alcelaphus buselaphus caama) have occurred at local scales across the Nama Karoo and the arid Savanna, most notably springbok population declines at the Karoo National Park (Karoo NP). This study sought to improve the understanding of ungulate feeding ecology and population growth rate responses in two arid biomes of South Africa. To achieve this, ungulate dietary composition was characterised, in terms of the proportional seasonal contribution of C4 and C3 plant forms, of a range of ungulates in the Nama Karoo, at the Karoo NP and the arid Savanna, at the Tswalu Kalahari Reserve (Tswalu KR), using stable carbon isotope analysis. Fresh faecal samples of ungulate species were collected from both the biomes during the dry, early wet and late wet seasons. Species were categorised per biome into feeding guilds and the effects of season, biome and the interaction thereof on the diets of the ungulate species explored. Furthermore, the findings were interpreted against what is known about diets of the respective species elsewhere in southern and east Africa. Secondly, trends in ungulate population growth rates were assessed within the Karoo NP and the Tswalu KR over the past 12 and14 years respectively. Furthermore, the variables influencing ungulate population growth rates (and generality of trends), with emphasis on ungulate biomass and rainfall, were explored at biome and species level. Population size data were obtained from annual aerial censuses for the period 2002-2015 and used to calculate annual growth rates and biomass for each ungulate species. The contribution of C4 forage to the diets of ungulate species in the arid Savanna was generally higher than in the Nama Karoo,in line with greater relative abundance of C4 grasses in the former. During winter (dry season) C3 intake was higher in the Nama Karoo than in the arid Savanna, reflecting C3 plant growth (C3 grasses and shrubs) and rainfall during winter in the Nama Karoo. Mean population growth rates during the study period were negative in some of the threatened species considered, i.e. mountain reedbuck (Redunca fulvorufula fulvorufula), tsessebe (Damaliscus lunatus lunatus) and Hartmann’s mountain zebra (Equus zebra hartmannae). No evidence for negative density dependent regulation (~intra-/interspecific competition) of ungulate population growth rates was found, whereas bottom up (~rainfall) and positive density dependent (~biomass of the species under investigation) regulatory mechanisms were most influential. The rainfall and biomass variables influenced the population growth rates of smaller ungulate species more than those of larger bodied ungulate species. Knowledge of ungulate diets will enable managers of protected areas to better understand how climate change, and resultant changes in relative abundances of plant growth forms, will influence specific ungulate species. The finding that increased population biomass positively influenced certain ungulate species’ growth rates has potential implications for management intervention as ungulate biomass is a variable that can be manipulated in protected areas. The reinforcement of existing mountain reedbuck, springbok and red hartebeest populations, specifically, at the Karoo NP and the Tswalu KR may counter their current negative growth rates in these two protected areas. Finally, the influence of protected area size and fencing, on ungulate vulnerability to predators (~top down) and forage quality (~bottom up) mechanisms in arid biomes needs to be further explored.
- Full Text:
- Date Issued: 2017
- Authors: Vermeulen, Mika Margaret
- Date: 2017
- Subjects: Ungulates -- South Africa Arid regions -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/15237 , vital:28189
- Description: Limited resources, extreme temperatures and predators are some of the stresses that are faced by ungulates in arid biomes. Understanding how these stressors influence ungulate feeding ecology and population growth rates is important for managers, as these could influence the persistence of ungulates in protected areas. An understanding of these stressors is especially relevant given the significant population declines in ungulate species globally. The Nama Karoo biome and the arid Savanna, an arid form of the Savanna biome, are both arid, but have distinct rainfall seasonality and vegetation structure and represent unique characteristics that need to be properly considered in their own regard. The literature on African ungulate feeding ecology covers a range of species and biomes from southern and east Africa, however, very little is known about ungulate dietary preferences in the Nama Karoo. Unexplained population declines in springbok (Antidorcas marsupialis) and red hartebeest (Alcelaphus buselaphus caama) have occurred at local scales across the Nama Karoo and the arid Savanna, most notably springbok population declines at the Karoo National Park (Karoo NP). This study sought to improve the understanding of ungulate feeding ecology and population growth rate responses in two arid biomes of South Africa. To achieve this, ungulate dietary composition was characterised, in terms of the proportional seasonal contribution of C4 and C3 plant forms, of a range of ungulates in the Nama Karoo, at the Karoo NP and the arid Savanna, at the Tswalu Kalahari Reserve (Tswalu KR), using stable carbon isotope analysis. Fresh faecal samples of ungulate species were collected from both the biomes during the dry, early wet and late wet seasons. Species were categorised per biome into feeding guilds and the effects of season, biome and the interaction thereof on the diets of the ungulate species explored. Furthermore, the findings were interpreted against what is known about diets of the respective species elsewhere in southern and east Africa. Secondly, trends in ungulate population growth rates were assessed within the Karoo NP and the Tswalu KR over the past 12 and14 years respectively. Furthermore, the variables influencing ungulate population growth rates (and generality of trends), with emphasis on ungulate biomass and rainfall, were explored at biome and species level. Population size data were obtained from annual aerial censuses for the period 2002-2015 and used to calculate annual growth rates and biomass for each ungulate species. The contribution of C4 forage to the diets of ungulate species in the arid Savanna was generally higher than in the Nama Karoo,in line with greater relative abundance of C4 grasses in the former. During winter (dry season) C3 intake was higher in the Nama Karoo than in the arid Savanna, reflecting C3 plant growth (C3 grasses and shrubs) and rainfall during winter in the Nama Karoo. Mean population growth rates during the study period were negative in some of the threatened species considered, i.e. mountain reedbuck (Redunca fulvorufula fulvorufula), tsessebe (Damaliscus lunatus lunatus) and Hartmann’s mountain zebra (Equus zebra hartmannae). No evidence for negative density dependent regulation (~intra-/interspecific competition) of ungulate population growth rates was found, whereas bottom up (~rainfall) and positive density dependent (~biomass of the species under investigation) regulatory mechanisms were most influential. The rainfall and biomass variables influenced the population growth rates of smaller ungulate species more than those of larger bodied ungulate species. Knowledge of ungulate diets will enable managers of protected areas to better understand how climate change, and resultant changes in relative abundances of plant growth forms, will influence specific ungulate species. The finding that increased population biomass positively influenced certain ungulate species’ growth rates has potential implications for management intervention as ungulate biomass is a variable that can be manipulated in protected areas. The reinforcement of existing mountain reedbuck, springbok and red hartebeest populations, specifically, at the Karoo NP and the Tswalu KR may counter their current negative growth rates in these two protected areas. Finally, the influence of protected area size and fencing, on ungulate vulnerability to predators (~top down) and forage quality (~bottom up) mechanisms in arid biomes needs to be further explored.
- Full Text:
- Date Issued: 2017
Exploring the attitudes of selected community members on the interplay between incidences of poverty and the escalation of HIV/AIDS in Cofimvaba, Eastern Cape Province, South Africa
- Authors: Mrashula, Zodidi
- Date: 2017
- Subjects: AIDS (Disease) -- South Africa -- Eastern Cape AIDS (Disease) -- Economic aspects Poverty -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/7941 , vital:30987
- Description: Cofimvaba has had a noticeable increase of people who got infected with HIV/AIDS and is one of the poorest of the poor in the Eastern Cape. Hence, the researcher became interested to investigate the interplay between incidences of poverty and the prevalence of HIV/AIDS. The reasons for the continued increase of HIV infection in Cofimvaba were investigated. The study used a qualitative approach, was descriptive and explorative and specifically used a case study as a specific research design. The study investigated 32 participants, nine of whom were infected and diagnosed to be seropositive between the years 2012, and 2014; six community members; twelve from the volunteer care givers who were members from the support group. The study also investigated a number of key informants who included a traditional leader, a care giver, a nurse, a social worker and a community development practitioner. The study used a non-probability sampling methodology, but specifically purposive sampling technique. On data collection, the study triangulated both in-depth interviews and focus group discussions. The findings of the study revealed that people who are infected with HIV/AIDS are unemployed, illiterate and suffer from poverty. The study also found that poor people are more vulnerable to HIV/AIDS infections. The study findings were as follows: There is a lack knowledge about HIV/AIDS that leads to lack of prevention. It has been discovered that there is a high level of poverty and HIV/AIDS in Cofimvaba. High level of unemployment is a contributing factor of poverty and high level of HIV/AIDS in Cofimvaba. Level of unprotected sex as driver of HIV/AIDS has also been identified. There is an inextricable relationship poverty and prevalence of HIV/AIDS. Unreliability of the food parcel on people who are HIV positive leads to poverty. The study findings were also as: Caregivers breaching the ethos and principle of confidentiality leads to people not to to HIV/disclose their HIV/AIDS status. Migration driving vulnerability to HIV/AIDS. It has been insisted that transactional sex drives to HIV/AIDS. Low HIV/AIDS education makes people to be vulnerable to HIVAIDS., The fear of testing makes people unaware of their HIV/AIDS status. Also the excessive alcohol intake as a driver to HIV/AIDS vulnerability. It has also been noted that only women responded to the study and there was a high rate of death revealed on account of HIV/AIDS in Cofimvaba. The researcher has also made the following recommendations to the study: obligatory psychol-social support programs for PLWHA, extension and replication of community based organisation, collaboration between different stakeholders in the HIV/AIDS domain. Widen the horizon of training education and HIV/AIDS awareness campaigns and availability of counselling, job opportunity, social grants and food parcels.
- Full Text:
- Date Issued: 2017
- Authors: Mrashula, Zodidi
- Date: 2017
- Subjects: AIDS (Disease) -- South Africa -- Eastern Cape AIDS (Disease) -- Economic aspects Poverty -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/7941 , vital:30987
- Description: Cofimvaba has had a noticeable increase of people who got infected with HIV/AIDS and is one of the poorest of the poor in the Eastern Cape. Hence, the researcher became interested to investigate the interplay between incidences of poverty and the prevalence of HIV/AIDS. The reasons for the continued increase of HIV infection in Cofimvaba were investigated. The study used a qualitative approach, was descriptive and explorative and specifically used a case study as a specific research design. The study investigated 32 participants, nine of whom were infected and diagnosed to be seropositive between the years 2012, and 2014; six community members; twelve from the volunteer care givers who were members from the support group. The study also investigated a number of key informants who included a traditional leader, a care giver, a nurse, a social worker and a community development practitioner. The study used a non-probability sampling methodology, but specifically purposive sampling technique. On data collection, the study triangulated both in-depth interviews and focus group discussions. The findings of the study revealed that people who are infected with HIV/AIDS are unemployed, illiterate and suffer from poverty. The study also found that poor people are more vulnerable to HIV/AIDS infections. The study findings were as follows: There is a lack knowledge about HIV/AIDS that leads to lack of prevention. It has been discovered that there is a high level of poverty and HIV/AIDS in Cofimvaba. High level of unemployment is a contributing factor of poverty and high level of HIV/AIDS in Cofimvaba. Level of unprotected sex as driver of HIV/AIDS has also been identified. There is an inextricable relationship poverty and prevalence of HIV/AIDS. Unreliability of the food parcel on people who are HIV positive leads to poverty. The study findings were also as: Caregivers breaching the ethos and principle of confidentiality leads to people not to to HIV/disclose their HIV/AIDS status. Migration driving vulnerability to HIV/AIDS. It has been insisted that transactional sex drives to HIV/AIDS. Low HIV/AIDS education makes people to be vulnerable to HIVAIDS., The fear of testing makes people unaware of their HIV/AIDS status. Also the excessive alcohol intake as a driver to HIV/AIDS vulnerability. It has also been noted that only women responded to the study and there was a high rate of death revealed on account of HIV/AIDS in Cofimvaba. The researcher has also made the following recommendations to the study: obligatory psychol-social support programs for PLWHA, extension and replication of community based organisation, collaboration between different stakeholders in the HIV/AIDS domain. Widen the horizon of training education and HIV/AIDS awareness campaigns and availability of counselling, job opportunity, social grants and food parcels.
- Full Text:
- Date Issued: 2017
Exploring the suitability of causal loop diagrams to assess the value chains of aquatic ecosystem services: a case study of the Baviaanskloof, South Africa
- Authors: Rawlins, Jonathan Mark
- Date: 2017
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/4909 , vital:20742
- Description: Healthy, functioning aquatic ecosystems are fundamental to the survival and development of any nation, particularly so for water-stressed countries like South Africa. Aquatic ecosystem services (AESs) are becoming increasingly recognised for their importance to society with regards to the ecological goods and services they provide in terms of health, social, cultural and economic benefits. The development of markets for AESs begins with a clear understanding of the nature and extent of the goods and services provided by aquatic ecosystems. However, an inclusive understanding of AESs and their associated values is currently lacking in South Africa. Although flows of ecosystem services provide a nearly limitless set of valuable properties, a large proportion of their services remain unpriced or inaccurately priced through traditional neo-classical markets. This often results in market failure, as these markets do not reflect the full social costs and/or benefits of ecosystem services. This provides incentive to identify and develop a tool to bridge the gap between ecosystem service valuation and practical, sustainable management recommendations for improving the provision of ecosystem services and their associated markets. This study explores the suitability of causal loop diagrams (CLDs) to assess the value chains of AESs in South Africa within the context of a case study. AESs do not usually have finite market values nor are they traded in formal markets, thus, a traditional approach to value chain analysis is unsuitable. A professional workshop environment was utilised to facilitate a transdisciplinary approach towards identifying relevant AESs and their complex inputs, interactions and trade-offs. Numerous CLDs were developed in an effort to map the complex relationships between these AESs and their associated inputs, which formed the basis to attempt subsequent scenario analyses and 'alternative' value chain analyses. The findings of this study show that CLDs have the potential to qualitatively identify challenges and opportunities within the value chains of AESs. Thus, the use of such 'alternative' value chain analyses can directly contribute towards the development of recommendations for improving sustainable management of aquatic ecosystems.
- Full Text:
- Date Issued: 2017
- Authors: Rawlins, Jonathan Mark
- Date: 2017
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/4909 , vital:20742
- Description: Healthy, functioning aquatic ecosystems are fundamental to the survival and development of any nation, particularly so for water-stressed countries like South Africa. Aquatic ecosystem services (AESs) are becoming increasingly recognised for their importance to society with regards to the ecological goods and services they provide in terms of health, social, cultural and economic benefits. The development of markets for AESs begins with a clear understanding of the nature and extent of the goods and services provided by aquatic ecosystems. However, an inclusive understanding of AESs and their associated values is currently lacking in South Africa. Although flows of ecosystem services provide a nearly limitless set of valuable properties, a large proportion of their services remain unpriced or inaccurately priced through traditional neo-classical markets. This often results in market failure, as these markets do not reflect the full social costs and/or benefits of ecosystem services. This provides incentive to identify and develop a tool to bridge the gap between ecosystem service valuation and practical, sustainable management recommendations for improving the provision of ecosystem services and their associated markets. This study explores the suitability of causal loop diagrams (CLDs) to assess the value chains of AESs in South Africa within the context of a case study. AESs do not usually have finite market values nor are they traded in formal markets, thus, a traditional approach to value chain analysis is unsuitable. A professional workshop environment was utilised to facilitate a transdisciplinary approach towards identifying relevant AESs and their complex inputs, interactions and trade-offs. Numerous CLDs were developed in an effort to map the complex relationships between these AESs and their associated inputs, which formed the basis to attempt subsequent scenario analyses and 'alternative' value chain analyses. The findings of this study show that CLDs have the potential to qualitatively identify challenges and opportunities within the value chains of AESs. Thus, the use of such 'alternative' value chain analyses can directly contribute towards the development of recommendations for improving sustainable management of aquatic ecosystems.
- Full Text:
- Date Issued: 2017
Farm level cost-benefit analysis of conservation agriculture for maize smallholder farners in Okhahlamba Municipality in Kwa-Zulu Natal Province, South Africa
- Authors: Tafa, Sanelise
- Date: 2017
- Subjects: Agriculture -- South Africa -- Cost effectiveness Agricultural conservation -- South Africa -- Kwa-Zulu Natal Land use -- Economic aspects -- South Africa , Sustainable agriculture -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/2809 , vital:28094
- Description: Land degradation is a serious problem that many poor communities face and this worsens their vulnerability and therefore, poses a threat to food security, as it reduces yield, forces farmers to use more inputs, and disproportionately affect the smallholder farmers in remote communities that also suffer diverse infrastructure disadvantages. In response to that, the international development agencies, donors, and Non-Governmental Organizations (NGOs), especially faith-based organizations have turned towards sustainable farming approaches. Much attention has been paid to a combination of sustainable farming measures which are packaged under the “Conservation Agriculture” (CA) banner. The previous work in the KZN Province and elsewhere has demonstrated that CA has the potential to improve the soil structure, thereby reversing the effect of soil degradation. Consequently, many of the farmers in the areas in which these demonstrations have been conducted appreciate the ecological and economic value of adopting CA. However, the on-farm financial benefits of adopting a CA specific tillage practice are not as well known or thought to be as pronounced. By means of integrating field survey, reviewed literature, and econometric analysis, this study assessed the farm level cost-benefit analysis of conservation agriculture for smallholder maize farmers in OLM, specifically in one demonstration village of Bergville town. The analysis is based on the case study of the NGO’s work in which they had selected a community and participating households who received assistance in a number of ways such as maize seed, soil preparation, and CA planters. To analyse the farm level cost-benefit analysis, descriptive, linear regression, gross margin (GM) and appraisal indicators such as Net Present Value (NPV), Benefit Cost Ratio (BCR) and Internal Rate of Return (IRR) were used. The descriptive analysis, used to analyse the factors affecting the extent of adoption of CA revealed that socio-economic characteristics have the influence on the level to which a farmer responds to incentives. Linear regression model used in this study showed that years in farming, involvement in joint farmer’s group, and use of cover crops have the significant effect on the extent of adoption of CA. Moreover, the calculated gross margins of the two tillage systems were different, revealing higher Gross Margins for CA plots than for conventional plots. The major cause of the difference was found to be differences in the variable costs. When using appraisal indicators (NPV, BCR, and IRR) the study projected a 10-year period at 8% and 10.5% discount rates. The study also revealed positive NPVs for both CA and conventional agriculture. The positive sign implies that there are positive pay-offs for investing in both trial and control plots. However, trial plots have larger NPVs compared to control plots, meaning that there are less additional returns for investing in control plots compared to trial plots. Results also reveal that with 10.5% discount rate, the NPVs are lower than with 8% discount rate, showing that lower discount rates are consistent with higher performance over the long term. This therefore means that at lower discount rate, it is more viable to produce maize using CA than using conventional tillage system. In the case of BRC presented in the study, it was revealed that at both low and high discount rates, the trial plots were more viable than the control plots. Finally, the IRR presented in the study reveal that the trial plots would be able to pay their way much faster than the control plots. Overall, the study found that there are incentives to adoption of CA compared to conventional farming. The message from the different results arising from the use of different discount rates is that farmers should receive assistance at low cost of capital in order for their operations to be viable and this works out well over the long term as shown by the 10-year period projections.
- Full Text:
- Date Issued: 2017
- Authors: Tafa, Sanelise
- Date: 2017
- Subjects: Agriculture -- South Africa -- Cost effectiveness Agricultural conservation -- South Africa -- Kwa-Zulu Natal Land use -- Economic aspects -- South Africa , Sustainable agriculture -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/2809 , vital:28094
- Description: Land degradation is a serious problem that many poor communities face and this worsens their vulnerability and therefore, poses a threat to food security, as it reduces yield, forces farmers to use more inputs, and disproportionately affect the smallholder farmers in remote communities that also suffer diverse infrastructure disadvantages. In response to that, the international development agencies, donors, and Non-Governmental Organizations (NGOs), especially faith-based organizations have turned towards sustainable farming approaches. Much attention has been paid to a combination of sustainable farming measures which are packaged under the “Conservation Agriculture” (CA) banner. The previous work in the KZN Province and elsewhere has demonstrated that CA has the potential to improve the soil structure, thereby reversing the effect of soil degradation. Consequently, many of the farmers in the areas in which these demonstrations have been conducted appreciate the ecological and economic value of adopting CA. However, the on-farm financial benefits of adopting a CA specific tillage practice are not as well known or thought to be as pronounced. By means of integrating field survey, reviewed literature, and econometric analysis, this study assessed the farm level cost-benefit analysis of conservation agriculture for smallholder maize farmers in OLM, specifically in one demonstration village of Bergville town. The analysis is based on the case study of the NGO’s work in which they had selected a community and participating households who received assistance in a number of ways such as maize seed, soil preparation, and CA planters. To analyse the farm level cost-benefit analysis, descriptive, linear regression, gross margin (GM) and appraisal indicators such as Net Present Value (NPV), Benefit Cost Ratio (BCR) and Internal Rate of Return (IRR) were used. The descriptive analysis, used to analyse the factors affecting the extent of adoption of CA revealed that socio-economic characteristics have the influence on the level to which a farmer responds to incentives. Linear regression model used in this study showed that years in farming, involvement in joint farmer’s group, and use of cover crops have the significant effect on the extent of adoption of CA. Moreover, the calculated gross margins of the two tillage systems were different, revealing higher Gross Margins for CA plots than for conventional plots. The major cause of the difference was found to be differences in the variable costs. When using appraisal indicators (NPV, BCR, and IRR) the study projected a 10-year period at 8% and 10.5% discount rates. The study also revealed positive NPVs for both CA and conventional agriculture. The positive sign implies that there are positive pay-offs for investing in both trial and control plots. However, trial plots have larger NPVs compared to control plots, meaning that there are less additional returns for investing in control plots compared to trial plots. Results also reveal that with 10.5% discount rate, the NPVs are lower than with 8% discount rate, showing that lower discount rates are consistent with higher performance over the long term. This therefore means that at lower discount rate, it is more viable to produce maize using CA than using conventional tillage system. In the case of BRC presented in the study, it was revealed that at both low and high discount rates, the trial plots were more viable than the control plots. Finally, the IRR presented in the study reveal that the trial plots would be able to pay their way much faster than the control plots. Overall, the study found that there are incentives to adoption of CA compared to conventional farming. The message from the different results arising from the use of different discount rates is that farmers should receive assistance at low cost of capital in order for their operations to be viable and this works out well over the long term as shown by the 10-year period projections.
- Full Text:
- Date Issued: 2017
Forage production, nutritive value and intake rates by goats of pigeon pea (Cajanus cajan (L.) forages grown in the subtropical region of South Africa
- Authors: Buthelezi, Lindokuhle Sizwe
- Date: 2017
- Subjects: Forage Pigeon pea Forage plants
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/7852 , vital:30773
- Description: Different growth stages and drying methods were used to assess forage production, nutritive value and intake of leaves from three Cajanus cajan varieties (ICEAP 00557, ICEAP 01514 and CIMMYT 100/01). In the 2016/17 growing season, three complete randomized block designs (CRBD’s) were conducted. Regrowth parameters were measured during both the both vegetative and flowering stages. The plots were harvested at the flowering stage. Biomass yields were measured at the flowering stage. The harvested leaves were then dried under the two different drying methods. The methods used were shade- and oven-drying at 60 oC. This was used to determine dry matter (DM), crude protein (CP), neutral detergent fibre (NDF), acid detergent fibre (ADF), acid detergent lignin (ADL) and total non-structural carbohydrates (TNC) for the C. cajan varieties. Minerals Ca, Mg, K, Na, K/(Ca+Mg), P and Zn, Cu, Mn and Fe and phytochemicals condensed tannins, phenolic compounds and saponins were also analyzed. The intake rates and in vitro and in sacco ruminal degradabilities were also determined. The survival percentage was significantly different (P<0.05) only across the means of varieties. There was no significant difference (P>0.05) in the number of shoots per plant, stems per shoot and coppice stems produced by the three C. cajan varieties at vegetative and flowering stage. There was a significant difference (P<0.05) in the heights of plants recorded by the varieties only at flowering stage. The yields of fresh biomass in C. cajan was significantly different (P<0.05) across all the varieties harvested in 2016. In all the varieties there was a significant difference (P<0.05) in dry matter yield in both seasons of 2016 and 2017. The effect of browse varieties and drying methods showed a significant effect (P<0.05) on DM, CP, fat, NDIN, ADIN and hemicellulose content of varieties. There was little impact by varieties and drying methods (P<0.05) on ash, NDF, ADF, ADL, TNC and cellulose content of varieties. Varieties and drying method had no effect (P>0.05) on Ca, Mg and K except for Na and P. There was no effect caused by varieties and drying methods (P>0.05) on Zn and Mn with Cu and Fe being the exceptions. Oven drying showed an overall reduction in the tannin concentration on leaves while there was an increase in saponins. The different varieties had no effect (P>0.05) on the IIR, 0.0275±0.0089, 0.0275±0.0077 and 0.0409±0.0109 for Cv1, Cv2 and Cv3, respectively. The day of the trial and browse variety had an effect (P<0.05) on bite rate. However, the day of trial had no significant effect (P>0.05) on both bite size and the instantaneous intake rate. Individual goat had a significant effect (P<0.05) on bite rate. There was a significant difference (P<0.05) in the in vitro and in sacco rapidly degradable fractions (a) of all the three varieties but the drying method had no effect (P>0.05). The slowly degradable fraction (b) and degradation rate constant (c) of all varieties was not significantly different (P>0.05) on both drying methods during IV DaisyII procedure. However, b and c, in all the varieties was significantly different (P<0.05) in both drying methods during the in sacco procedure. There was no significant difference (P>0.05) in the mean potentially degradable fraction (a+b) across all C. cajan varieties during IV DaisyII procedure, however a+c of all varieties was significantly different (P<0.05) in both the drying methods during the in sacco procedure. The effective in vitro and in sacco degradability of the varieties was significantly different (P<0.05) with a rumen outflow rate of 2, 5 and 8 percent per hour. The shade-dried varieties had a higher (P<0.05) ED than the oven-dried materials during IV DaisyII and the in sacco procedures. It was concluded that the decline in yield of C. cajan during the study is a reflection of poor survival, the insufficient regeneration from seed, nutrient depletion over time and the extended dry seasons. Therefore, shade drying is commended method of drying forages.
- Full Text:
- Date Issued: 2017
- Authors: Buthelezi, Lindokuhle Sizwe
- Date: 2017
- Subjects: Forage Pigeon pea Forage plants
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/7852 , vital:30773
- Description: Different growth stages and drying methods were used to assess forage production, nutritive value and intake of leaves from three Cajanus cajan varieties (ICEAP 00557, ICEAP 01514 and CIMMYT 100/01). In the 2016/17 growing season, three complete randomized block designs (CRBD’s) were conducted. Regrowth parameters were measured during both the both vegetative and flowering stages. The plots were harvested at the flowering stage. Biomass yields were measured at the flowering stage. The harvested leaves were then dried under the two different drying methods. The methods used were shade- and oven-drying at 60 oC. This was used to determine dry matter (DM), crude protein (CP), neutral detergent fibre (NDF), acid detergent fibre (ADF), acid detergent lignin (ADL) and total non-structural carbohydrates (TNC) for the C. cajan varieties. Minerals Ca, Mg, K, Na, K/(Ca+Mg), P and Zn, Cu, Mn and Fe and phytochemicals condensed tannins, phenolic compounds and saponins were also analyzed. The intake rates and in vitro and in sacco ruminal degradabilities were also determined. The survival percentage was significantly different (P<0.05) only across the means of varieties. There was no significant difference (P>0.05) in the number of shoots per plant, stems per shoot and coppice stems produced by the three C. cajan varieties at vegetative and flowering stage. There was a significant difference (P<0.05) in the heights of plants recorded by the varieties only at flowering stage. The yields of fresh biomass in C. cajan was significantly different (P<0.05) across all the varieties harvested in 2016. In all the varieties there was a significant difference (P<0.05) in dry matter yield in both seasons of 2016 and 2017. The effect of browse varieties and drying methods showed a significant effect (P<0.05) on DM, CP, fat, NDIN, ADIN and hemicellulose content of varieties. There was little impact by varieties and drying methods (P<0.05) on ash, NDF, ADF, ADL, TNC and cellulose content of varieties. Varieties and drying method had no effect (P>0.05) on Ca, Mg and K except for Na and P. There was no effect caused by varieties and drying methods (P>0.05) on Zn and Mn with Cu and Fe being the exceptions. Oven drying showed an overall reduction in the tannin concentration on leaves while there was an increase in saponins. The different varieties had no effect (P>0.05) on the IIR, 0.0275±0.0089, 0.0275±0.0077 and 0.0409±0.0109 for Cv1, Cv2 and Cv3, respectively. The day of the trial and browse variety had an effect (P<0.05) on bite rate. However, the day of trial had no significant effect (P>0.05) on both bite size and the instantaneous intake rate. Individual goat had a significant effect (P<0.05) on bite rate. There was a significant difference (P<0.05) in the in vitro and in sacco rapidly degradable fractions (a) of all the three varieties but the drying method had no effect (P>0.05). The slowly degradable fraction (b) and degradation rate constant (c) of all varieties was not significantly different (P>0.05) on both drying methods during IV DaisyII procedure. However, b and c, in all the varieties was significantly different (P<0.05) in both drying methods during the in sacco procedure. There was no significant difference (P>0.05) in the mean potentially degradable fraction (a+b) across all C. cajan varieties during IV DaisyII procedure, however a+c of all varieties was significantly different (P<0.05) in both the drying methods during the in sacco procedure. The effective in vitro and in sacco degradability of the varieties was significantly different (P<0.05) with a rumen outflow rate of 2, 5 and 8 percent per hour. The shade-dried varieties had a higher (P<0.05) ED than the oven-dried materials during IV DaisyII and the in sacco procedures. It was concluded that the decline in yield of C. cajan during the study is a reflection of poor survival, the insufficient regeneration from seed, nutrient depletion over time and the extended dry seasons. Therefore, shade drying is commended method of drying forages.
- Full Text:
- Date Issued: 2017
Foraging behaviour and thermal physiology of Cape sugarbirds: sex-specific responses to temperature
- Authors: Molepo, Mokgatla Jerry
- Date: 2017
- Subjects: Sexual dimorphism (Animals) , Sex differences Birds -- Behavior
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/19124 , vital:28775
- Description: Body size (Mb) determines an animal’s energy and water demands for thermoregulation. Sexual dimorphism in Mb is common across many species, but its physiological consequences (e.g. energy and water demands) remain poorly understood. In this study, I determined if the sexually dimorphic Cape Sugarbird (Promerops cafer)–males are up to 15% larger than females, show sex-specific foraging patterns and physiological responses. To determine intraspecific variability behavioural in response to temperature, I compared flower visitation rates between male and female Cape Sugarbirds at different times of the day, and among days that varied in maximum air temperature. A total of 1207 males and 561 females were observed. Female Cape Sugarbirds visited flowers more often and continued to feed especially on hot days. Males generally dominated flower resources throughout the day, except on hot days. I also compared physiological responses in EWL, RMR and Tb between males and females at high air temperatures. There were no significant differences between the two sexes. Aggression which was overlooked appeared to have a high influence on foraging behaviour of Cape Sugarbirds. These results suggest that female Cape Sugarbirds will be more prone to energy and water stress during hot and dry summers in the Fynbos region because of resource dominance by male Cape Sugarbirds. Endemic birds, such as the Cape Sugarbird, warrant a conservation priority, especially since they are the dominant pollinator of the Protea plants in the Fynbos biome. The findings of this study will provide insights into population persistence of Cape Sugarbirds in response to predicted heat waves and rise in global temperatures.
- Full Text:
- Date Issued: 2017
- Authors: Molepo, Mokgatla Jerry
- Date: 2017
- Subjects: Sexual dimorphism (Animals) , Sex differences Birds -- Behavior
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/19124 , vital:28775
- Description: Body size (Mb) determines an animal’s energy and water demands for thermoregulation. Sexual dimorphism in Mb is common across many species, but its physiological consequences (e.g. energy and water demands) remain poorly understood. In this study, I determined if the sexually dimorphic Cape Sugarbird (Promerops cafer)–males are up to 15% larger than females, show sex-specific foraging patterns and physiological responses. To determine intraspecific variability behavioural in response to temperature, I compared flower visitation rates between male and female Cape Sugarbirds at different times of the day, and among days that varied in maximum air temperature. A total of 1207 males and 561 females were observed. Female Cape Sugarbirds visited flowers more often and continued to feed especially on hot days. Males generally dominated flower resources throughout the day, except on hot days. I also compared physiological responses in EWL, RMR and Tb between males and females at high air temperatures. There were no significant differences between the two sexes. Aggression which was overlooked appeared to have a high influence on foraging behaviour of Cape Sugarbirds. These results suggest that female Cape Sugarbirds will be more prone to energy and water stress during hot and dry summers in the Fynbos region because of resource dominance by male Cape Sugarbirds. Endemic birds, such as the Cape Sugarbird, warrant a conservation priority, especially since they are the dominant pollinator of the Protea plants in the Fynbos biome. The findings of this study will provide insights into population persistence of Cape Sugarbirds in response to predicted heat waves and rise in global temperatures.
- Full Text:
- Date Issued: 2017
Formulation, development and evaluation of lipid nanocarriers for minocycline hydrochloride
- Authors: Ranchhod, Janeeta
- Date: 2017
- Language: English
- Type: text , Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/65234 , vital:28712
- Description: Expected release date-May 2019
- Full Text:
- Date Issued: 2017
- Authors: Ranchhod, Janeeta
- Date: 2017
- Language: English
- Type: text , Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/65234 , vital:28712
- Description: Expected release date-May 2019
- Full Text:
- Date Issued: 2017
Geological and geophysical investigations of the reservoir rock properties of the Gamtoos Basin in the Eastern Cape Province of South Africa
- Authors: Mokoele, Salmina Phuthi
- Date: 2017
- Subjects: Petroleum reserves -- Mechanical properties Petroleum reserves -- South Africa -- Eastern Cape Geophysics -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/7863 , vital:30779
- Description: Geological and geophysical studies of the Gamtoos Basin were carried out by using the research methods of stratigraphic analysis, petrographic analysis, sedimentary facies analysis, and geophysical studies. The orientation of the Gamtoos Basin onshore is controlled by the Gamtoos Fault which cuts through the lithologies of the Cape Supergroup on the eastern edge of the basin. Magnetic data and depth slices show the presence of the Cape Supergroup basement on the south east corner of the onshore Kirkwood Formation which is further sitting on the Gamtoos Group basement from the Neoproterozoic extending up to 8860 m in depth. Most previously compiled stratigraphic profiles of the Uitanhage Group revealed the presence of reddish massive conglomerate units from the Enon Formation and massive reddish to greenish alternating units of sandstones, siltstones and mudstones from the Kirkwood Formation. The results obtained from this research also revealed the presence of reddish to whitish massive alternating units of sandstones, mudstones and siltstones from the upper Enon Formation overlaying the reddish massive conglomeritic layers while the alternating reddish to greenish units of sandstones, siltstones and mudstones from the Kirkwood Formation are overlaid by massive reddish to greyish conglomeritic layers. Thirteen types of lithofacies and five types of biofacies were accounted for across the Gamtoos Basin from core logs, field observations and petrographic analysis. The same type of reddish to greyish massive conglomerate facies interbedded with subordinate sandstone lenses were observed on both the Enon (Lower most part) and the Kirkwood (top most part) Formations. Similar reddish to whitish sandstone facies were also observed in both formations except some of the units from the Kirkwood Formation revealed the presence of a lot of sedimentary structures such as laminations, thin beds, tabular cross beds, trough cross beds, convolute structures, load casts and even secondary structures like calcite veins and honey comb structures. Mudstone deposits are divided into reddish laminated facies and whitish massive facies. The whitish mudstone facies of the Enon Formation comprise caliche indicating the process of leaching while the reddish facies contain mudcracks indicating the process of desiccation. The Kirkwood Formation comprises reddish laminated mudstone facies and whitish massive mudstones. Petrographic studies revealed the presence of quartz arenites, lithic arenites, quartz wacke, lithic wacke, pelletic wacke, siltstones and mudstones. The mineral compositions were monocrystalline and polycrystalline quartz, plagioclase, K-feldspar and lithic fragments as the main framework grains. Muscovite and glauconite were identified as accessory minerals along with heavy minerals of hematite spotted on a few occasions. The matrix was composed of clay (mainly kaolinite and smectite), bentonite, illite-sericite and fine quartz silts. Microscope petrography revealed that organic matters occurred in 4 occurrences, i.e. as organic intraclasts, kerogen pellets, organic carbon laminae or stringers, and diagenetic crack-filling organic carbon (asphalt). Density determinations onshore have revealed an average wet density of 2.439 g/cm3 for the Enon Formation sandstones and 2.589 g/cm3 for the Kirkwood Formation sandstones. The average rock density for Borehole Ha-B2 is 2.67 g/cm3 whereas Borehole Ha-G1 rocks show an average density of 2.64 g/cm3. Geophysical data from the offshore boreholes has indicated an increase in the following parameters with depth: bulk density, porosity and geothermal gradient. Data from borehole logs resulted in a linear relationship between bulk density and depth although some boreholes were represented by more than one linear segment in one graph still showing gradual increase of bulk density with depth. The basin was deposited in terrestrial environments (braided fluvial fans and meandering rivers) and marine environments (beach, shallow and deep marine).
- Full Text:
- Date Issued: 2017
- Authors: Mokoele, Salmina Phuthi
- Date: 2017
- Subjects: Petroleum reserves -- Mechanical properties Petroleum reserves -- South Africa -- Eastern Cape Geophysics -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/7863 , vital:30779
- Description: Geological and geophysical studies of the Gamtoos Basin were carried out by using the research methods of stratigraphic analysis, petrographic analysis, sedimentary facies analysis, and geophysical studies. The orientation of the Gamtoos Basin onshore is controlled by the Gamtoos Fault which cuts through the lithologies of the Cape Supergroup on the eastern edge of the basin. Magnetic data and depth slices show the presence of the Cape Supergroup basement on the south east corner of the onshore Kirkwood Formation which is further sitting on the Gamtoos Group basement from the Neoproterozoic extending up to 8860 m in depth. Most previously compiled stratigraphic profiles of the Uitanhage Group revealed the presence of reddish massive conglomerate units from the Enon Formation and massive reddish to greenish alternating units of sandstones, siltstones and mudstones from the Kirkwood Formation. The results obtained from this research also revealed the presence of reddish to whitish massive alternating units of sandstones, mudstones and siltstones from the upper Enon Formation overlaying the reddish massive conglomeritic layers while the alternating reddish to greenish units of sandstones, siltstones and mudstones from the Kirkwood Formation are overlaid by massive reddish to greyish conglomeritic layers. Thirteen types of lithofacies and five types of biofacies were accounted for across the Gamtoos Basin from core logs, field observations and petrographic analysis. The same type of reddish to greyish massive conglomerate facies interbedded with subordinate sandstone lenses were observed on both the Enon (Lower most part) and the Kirkwood (top most part) Formations. Similar reddish to whitish sandstone facies were also observed in both formations except some of the units from the Kirkwood Formation revealed the presence of a lot of sedimentary structures such as laminations, thin beds, tabular cross beds, trough cross beds, convolute structures, load casts and even secondary structures like calcite veins and honey comb structures. Mudstone deposits are divided into reddish laminated facies and whitish massive facies. The whitish mudstone facies of the Enon Formation comprise caliche indicating the process of leaching while the reddish facies contain mudcracks indicating the process of desiccation. The Kirkwood Formation comprises reddish laminated mudstone facies and whitish massive mudstones. Petrographic studies revealed the presence of quartz arenites, lithic arenites, quartz wacke, lithic wacke, pelletic wacke, siltstones and mudstones. The mineral compositions were monocrystalline and polycrystalline quartz, plagioclase, K-feldspar and lithic fragments as the main framework grains. Muscovite and glauconite were identified as accessory minerals along with heavy minerals of hematite spotted on a few occasions. The matrix was composed of clay (mainly kaolinite and smectite), bentonite, illite-sericite and fine quartz silts. Microscope petrography revealed that organic matters occurred in 4 occurrences, i.e. as organic intraclasts, kerogen pellets, organic carbon laminae or stringers, and diagenetic crack-filling organic carbon (asphalt). Density determinations onshore have revealed an average wet density of 2.439 g/cm3 for the Enon Formation sandstones and 2.589 g/cm3 for the Kirkwood Formation sandstones. The average rock density for Borehole Ha-B2 is 2.67 g/cm3 whereas Borehole Ha-G1 rocks show an average density of 2.64 g/cm3. Geophysical data from the offshore boreholes has indicated an increase in the following parameters with depth: bulk density, porosity and geothermal gradient. Data from borehole logs resulted in a linear relationship between bulk density and depth although some boreholes were represented by more than one linear segment in one graph still showing gradual increase of bulk density with depth. The basin was deposited in terrestrial environments (braided fluvial fans and meandering rivers) and marine environments (beach, shallow and deep marine).
- Full Text:
- Date Issued: 2017
Group membership and collective action among small-scale farmers in Nkonkobe Local Municipality, Eastern Cape Province, South Africa
- Authors: Arwari, Margaret Kwamboka
- Date: 2017
- Subjects: Farmers -- South Africa -- Eastern Cape Farms, Small -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/8144 , vital:31535
- Description: In South Africa, the organisation of farmers into groups has been a basic tenet for numerous, small and dispersed small-scale farmers to make their voices heard, address challenges and access support services from the government and other development agencies. However, the literature shows that the South African government promotes inappropriate forms of farmer collective action, i.e. collective production. The government seems to lack knowledge on what forms of collective action to implement and support. It is also noted in the literature that in South Africa, the majority of farmers do not participate in farmer organisations. There is limited research on the determinants of membership in farmer organisations, especially in terms of the role of ‘human agency’. Human agency is a concept which is interrelated with the concept of ‘empowerme nt’, whereby a person with strong agency is someone who is an agent of positive change. Therefore, the study sought to address these gaps. The broad objective of this study was to explore the phenomenon of group membership and collective action among small-scale farmers in Nkonkobe Local Municipality, Eastern Cape Province, South Africa. The study used the mixed method approach where an exploratory design was employed. A mult istage sampling technique was used which employed random, purposive and convenience sampling techniques. Quantitative and qualitative data were collected from 245 farmers using semistructured questionnaires and detailed qualitative data were elicited from 16 farmer organisat ions using interview guides. For the quantitative research, a cross-sectional survey design was employed. After discarded unusable observations, data from 228 farmers were analysed using a combination of descriptive statistics, simple inferential statistics, and econometric analysis. For the qualitative data obtained, thematic analysis was used in line with the study objectives. The study findings show that farmers undertake collective action through farmer organisations. These farmer organisations were categorised into two types, i.e. farmer cooperatives and farmer associations. However, low membership in these farmer organisations is noted and this was attributed to the following: (1) low farmer awareness of the existence of farmer organisations, (2) challenges faced by the organisations that contribute to their ineffectiveness and thus low membership, (3) the prevalence of negative perceptions of farmer organisations due to confusion as to their role, (4) the government’s farmer support approach which compels or encourages farmers to form groups. The results also showed that the following are determinants of participation in farmer organisations: farmer’s age, level of education, human agency, whether a farmer has off-farm income sources, whether a farmer is involved in government supported projects, whether a farmer accesses extension information, the number of visits from extension officers received by a farmer, and the number of adults in a household contributing family labour. The study findings also show that the farmers in farmer organisations have higher human agency compared to those not in farmer organisations. According to the study results, farmer groups offer a number of benefits. For one, farmer organisations are avenues for farmers’ voices to be heard, they lobby government for better access to support services such as credit, input supply, information, and training. In addition, farmers who belong to organisations experience the benefits of collective marketing. Despite the aforementioned benefits of farmer organisations, group challenges are observed. For example, farmer organisations face declining membership, the free rider problem and conflicts between members, have a problem of ineffective, old members and lack of commitment of some group members. It was therefore recommended that there is a need for concerted effort by the government, development agencies, non-governmental organisations, farmers, and farmer organisations to ensure the success of farmer organisations in promoting small-scale agriculture.
- Full Text:
- Date Issued: 2017
- Authors: Arwari, Margaret Kwamboka
- Date: 2017
- Subjects: Farmers -- South Africa -- Eastern Cape Farms, Small -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/8144 , vital:31535
- Description: In South Africa, the organisation of farmers into groups has been a basic tenet for numerous, small and dispersed small-scale farmers to make their voices heard, address challenges and access support services from the government and other development agencies. However, the literature shows that the South African government promotes inappropriate forms of farmer collective action, i.e. collective production. The government seems to lack knowledge on what forms of collective action to implement and support. It is also noted in the literature that in South Africa, the majority of farmers do not participate in farmer organisations. There is limited research on the determinants of membership in farmer organisations, especially in terms of the role of ‘human agency’. Human agency is a concept which is interrelated with the concept of ‘empowerme nt’, whereby a person with strong agency is someone who is an agent of positive change. Therefore, the study sought to address these gaps. The broad objective of this study was to explore the phenomenon of group membership and collective action among small-scale farmers in Nkonkobe Local Municipality, Eastern Cape Province, South Africa. The study used the mixed method approach where an exploratory design was employed. A mult istage sampling technique was used which employed random, purposive and convenience sampling techniques. Quantitative and qualitative data were collected from 245 farmers using semistructured questionnaires and detailed qualitative data were elicited from 16 farmer organisat ions using interview guides. For the quantitative research, a cross-sectional survey design was employed. After discarded unusable observations, data from 228 farmers were analysed using a combination of descriptive statistics, simple inferential statistics, and econometric analysis. For the qualitative data obtained, thematic analysis was used in line with the study objectives. The study findings show that farmers undertake collective action through farmer organisations. These farmer organisations were categorised into two types, i.e. farmer cooperatives and farmer associations. However, low membership in these farmer organisations is noted and this was attributed to the following: (1) low farmer awareness of the existence of farmer organisations, (2) challenges faced by the organisations that contribute to their ineffectiveness and thus low membership, (3) the prevalence of negative perceptions of farmer organisations due to confusion as to their role, (4) the government’s farmer support approach which compels or encourages farmers to form groups. The results also showed that the following are determinants of participation in farmer organisations: farmer’s age, level of education, human agency, whether a farmer has off-farm income sources, whether a farmer is involved in government supported projects, whether a farmer accesses extension information, the number of visits from extension officers received by a farmer, and the number of adults in a household contributing family labour. The study findings also show that the farmers in farmer organisations have higher human agency compared to those not in farmer organisations. According to the study results, farmer groups offer a number of benefits. For one, farmer organisations are avenues for farmers’ voices to be heard, they lobby government for better access to support services such as credit, input supply, information, and training. In addition, farmers who belong to organisations experience the benefits of collective marketing. Despite the aforementioned benefits of farmer organisations, group challenges are observed. For example, farmer organisations face declining membership, the free rider problem and conflicts between members, have a problem of ineffective, old members and lack of commitment of some group members. It was therefore recommended that there is a need for concerted effort by the government, development agencies, non-governmental organisations, farmers, and farmer organisations to ensure the success of farmer organisations in promoting small-scale agriculture.
- Full Text:
- Date Issued: 2017
Gypsum deposits associated with the Whitehill Formation (Ecca Group) in the Steytlerville-Jansenville Area, Southern Karoo, South Africa
- Authors: Almanza, Roberto Daniel
- Date: 2017
- Subjects: Gypsum -- South Africa Concretions -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/15292 , vital:28215
- Description: The Steyterville-Jansenville gypsum field is one of South Africa’s smaller deposits, yet plays host to several gypsum mines, both past and present. This study aims to deconstruct the processes involved in the precipitation of various quantities and grades of gypsum in the lower Ecca Group of the Karoo Supergroup. The calcium and sulphate ions required to form the gypsum mineral (CaSO4•2H2O) are derived from the mid- to lower-shale of the Whitehill Formation, which is carbonate- and pyrite-rich. Gypsum formation is dependent on the availability of pyrite as opposed to calcite, which is in abundance throughout the 30m thick, Early Ufimian (late Permian) Whitehill Formation. Weathered shale, which has been folded and faulted, forms the host environment in which gypsum has precipitated. Folding of the shale occurs as a series of large- and medium-scale anticlines and synclines that strike east to west. These structures, which formed during the Cape Orogeny indicate that stresses were exerted from the south-southwest towards the north-northeast. Folded calcite veins surrounded by amorphous pyrite, observed in thin section suggest that pyrite and calcite were precipitated together prior to a deformation event. Oxidation of pyrite following these deformation events results in the concentration of sulphides within the hinge zones of the folds (weakest zone) and this is where the larger gypsum deposits are found at the surface. Carbonate concretions in the Whitehill Formation up to 5m in length and 3m in width are common in the study area, and suggest a relationship with the deposition of the shale whereby calcium-rich nuclei grew in a concentric fashion during a non-depositional hiatus period. This period is also associated with a higher concentration of pyrite and could explain the occurrence of concretions together with adjacent gypsum-rich shale. Pyrite framboids observed under the Scanning Electron Microscope (SEM) provide evidence to suggest concentric growth of initially deposited microcrystals including nucleation and growth of nodules and concretions observed within the Whitehill Formation. Prerequisites for gypsum formation also include restricted drainage such as a pan, a clay layer in the drainage area and an arid climate where evaporation exceeds precipitation. The preferred surface conditions for gypsum formation would be low-lying areas which are surrounded by gently-sloping topography promoting the concentration of aqueous solutions in a calcite- and pyrite-rich area. Groundwater solution would initially dissolve the calcite and clay minerals, and pyrite and the quartz minerals would remain in the host rock. Areas with greater calcite and clay pores would accommodate more groundwater and thus promote a greater surface area for chemical reactions. This enhances the potential for the oxidation of pyrite to form sulphate ions, which can later combine with calcium ions to precipitate gypsum crystals. Alternatively, the oxidation of pyrite, which produces acidity, dissolves the carbonate host and the calcium- and sulphate-rich solution then precipitates gypsum. The combination of the structural and geomorphological processes is key to the formation of economic gypsum deposits. The potential for extensive gypsum reserves within the Steytlerville-Jansenville field remains valid, provided the target is located over a predominantly weathered Whitehill Formation outcrop, preferably in an area which has undergone extensive deformation (such as a fold hinge zone), and is favourable for the concentration of ground and surface water within a low-lying area.
- Full Text:
- Date Issued: 2017
- Authors: Almanza, Roberto Daniel
- Date: 2017
- Subjects: Gypsum -- South Africa Concretions -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/15292 , vital:28215
- Description: The Steyterville-Jansenville gypsum field is one of South Africa’s smaller deposits, yet plays host to several gypsum mines, both past and present. This study aims to deconstruct the processes involved in the precipitation of various quantities and grades of gypsum in the lower Ecca Group of the Karoo Supergroup. The calcium and sulphate ions required to form the gypsum mineral (CaSO4•2H2O) are derived from the mid- to lower-shale of the Whitehill Formation, which is carbonate- and pyrite-rich. Gypsum formation is dependent on the availability of pyrite as opposed to calcite, which is in abundance throughout the 30m thick, Early Ufimian (late Permian) Whitehill Formation. Weathered shale, which has been folded and faulted, forms the host environment in which gypsum has precipitated. Folding of the shale occurs as a series of large- and medium-scale anticlines and synclines that strike east to west. These structures, which formed during the Cape Orogeny indicate that stresses were exerted from the south-southwest towards the north-northeast. Folded calcite veins surrounded by amorphous pyrite, observed in thin section suggest that pyrite and calcite were precipitated together prior to a deformation event. Oxidation of pyrite following these deformation events results in the concentration of sulphides within the hinge zones of the folds (weakest zone) and this is where the larger gypsum deposits are found at the surface. Carbonate concretions in the Whitehill Formation up to 5m in length and 3m in width are common in the study area, and suggest a relationship with the deposition of the shale whereby calcium-rich nuclei grew in a concentric fashion during a non-depositional hiatus period. This period is also associated with a higher concentration of pyrite and could explain the occurrence of concretions together with adjacent gypsum-rich shale. Pyrite framboids observed under the Scanning Electron Microscope (SEM) provide evidence to suggest concentric growth of initially deposited microcrystals including nucleation and growth of nodules and concretions observed within the Whitehill Formation. Prerequisites for gypsum formation also include restricted drainage such as a pan, a clay layer in the drainage area and an arid climate where evaporation exceeds precipitation. The preferred surface conditions for gypsum formation would be low-lying areas which are surrounded by gently-sloping topography promoting the concentration of aqueous solutions in a calcite- and pyrite-rich area. Groundwater solution would initially dissolve the calcite and clay minerals, and pyrite and the quartz minerals would remain in the host rock. Areas with greater calcite and clay pores would accommodate more groundwater and thus promote a greater surface area for chemical reactions. This enhances the potential for the oxidation of pyrite to form sulphate ions, which can later combine with calcium ions to precipitate gypsum crystals. Alternatively, the oxidation of pyrite, which produces acidity, dissolves the carbonate host and the calcium- and sulphate-rich solution then precipitates gypsum. The combination of the structural and geomorphological processes is key to the formation of economic gypsum deposits. The potential for extensive gypsum reserves within the Steytlerville-Jansenville field remains valid, provided the target is located over a predominantly weathered Whitehill Formation outcrop, preferably in an area which has undergone extensive deformation (such as a fold hinge zone), and is favourable for the concentration of ground and surface water within a low-lying area.
- Full Text:
- Date Issued: 2017
Home ownership in the gap-housing market in South Africa
- Authors: Ludidi, Daniel Dumisa
- Date: 2017
- Subjects: Home ownership -- South Africa Housing -- South Africa , Bond market -- South Africa Real estate investment -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/18299 , vital:28616
- Description: The access to adequate housing is a constitutional right, in terms of Section 26 (1) of the Constitution of the Republic of South Africa, Act 108 of 1996. Access to housing in South Africa is still an ideal and not a reality. The increase in housing prices reduces affordability, which creates a barrier to the housing market for South Africans to fully participate. The South African housing market is divided, based on the affordability of households, with a gap within the property market. The gap-housing market is a market, which does not receive a government subsidy; and furthermore, it does not qualify for bond finance by the private financial institutions. The gap-housing market includes households that earn between R3,500 to R15,000 per month for residential properties valued between R116,703 to R483,481. The problem is a lack of supply in the gap-housing market to meet the demand; and this is also affected by the poor performance of the subsidy-housing market. The gap-housing market is not traded adequately, due to a lack of supply caused by stricter lending criteria from the banks. The study was conducted by means of reviewing the related literature and by an empirical study. A survey was conducted using the quantitative approach through a distribution of research questionnaires to different organizations within the judgement sample population. The objective of the study is to review the gap-housing market and to make recommendations. The descriptive survey was conducted among specialists that are participating in the South African housing market. The findings of the study suggest that there is a relationship between incentive and participation, as well as a relationship between participation – with access, supply and trading in the gap-housing market. This study will contribute to the South African housing market body of knowledge – by addressing the problem of a gap within the housing market.
- Full Text:
- Date Issued: 2017
- Authors: Ludidi, Daniel Dumisa
- Date: 2017
- Subjects: Home ownership -- South Africa Housing -- South Africa , Bond market -- South Africa Real estate investment -- South Africa
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/18299 , vital:28616
- Description: The access to adequate housing is a constitutional right, in terms of Section 26 (1) of the Constitution of the Republic of South Africa, Act 108 of 1996. Access to housing in South Africa is still an ideal and not a reality. The increase in housing prices reduces affordability, which creates a barrier to the housing market for South Africans to fully participate. The South African housing market is divided, based on the affordability of households, with a gap within the property market. The gap-housing market is a market, which does not receive a government subsidy; and furthermore, it does not qualify for bond finance by the private financial institutions. The gap-housing market includes households that earn between R3,500 to R15,000 per month for residential properties valued between R116,703 to R483,481. The problem is a lack of supply in the gap-housing market to meet the demand; and this is also affected by the poor performance of the subsidy-housing market. The gap-housing market is not traded adequately, due to a lack of supply caused by stricter lending criteria from the banks. The study was conducted by means of reviewing the related literature and by an empirical study. A survey was conducted using the quantitative approach through a distribution of research questionnaires to different organizations within the judgement sample population. The objective of the study is to review the gap-housing market and to make recommendations. The descriptive survey was conducted among specialists that are participating in the South African housing market. The findings of the study suggest that there is a relationship between incentive and participation, as well as a relationship between participation – with access, supply and trading in the gap-housing market. This study will contribute to the South African housing market body of knowledge – by addressing the problem of a gap within the housing market.
- Full Text:
- Date Issued: 2017
Household socio-economic characteristics and their effect on livelihood strategy preferences in Shawbury, Qumbu
- Authors: Nongalo, Mwezi Bongile
- Date: 2017
- Subjects: Food security -- South Africa -- Eastern Cape Household surveys -- South Africa -- Eastern Cape Sustainable development -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/12065 , vital:39132
- Description: At the centre of rural development are household livelihood strategies. The livelihoods of South Africa’s rural African poor have long been characterized by diverse activities, and intertwined with urban opportunities. This study describes the livelihood strategies of rural households, identifies the determinants of these livelihood strategies and seeks to identify the role of preferences and household characteristics in changing livelihood strategies in Shawbury in the small town in Qumbu. It also identifies the relationships between household and individual characteristics and livelihood strategies. A random sampling technique was used to select 100 households in Shawbury. Descriptive analysis techniques were used to describe the characteristics of the households and livelihood strategies and to identify the relationships between household characteristics and livelihood strategy preferences, a multinomial logit regression model was used. The livelihood strategies used for the multinomial logit regression were commercial agricultural production/ production for selling; subsistence agricultural production/ production for consumption; non-farm employment; social grants and remittances. For much of the research available for livelihood strategies, tools such as the sustainable livelihoods framework have been the focus for studying the determinants of livelihood strategies; however, these tools have little to no consideration for the aspirations and preferences of the individuals in question. This study highlights some possible tools that could be used to examine the influence of aspirations and preferences on changing livelihood strategies including the consumer choice framework, the domestic development cycle, the social network framework for decision-making, the social systems approach and conjoint analysis. For this study, the actual preferences of livelihood strategies among the households are presented using conjoint analysis. This study finds that households in the same area have different characteristics and that livelihood strategies of Shawbury’s households are primarily non- farm, that include dependency on remittances, social grants and formal employment. It finds that households that generate income from wage employment (non-farm) and farm activities are better off than other households. Analysis of the characteristics of rural households also revealed that age, labour endowment, education, and land size holding are some of the barriers that poor households in rural areas face when attempting to enter into high-return livelihood strategies. The multinomial logit regression model has helped to identify some of the factors that influence the preference of certain livelihood strategies by households, are gender of the household head, age of the household head, size of the land owned, and educational level of the household head, household size, and livestock value. This analysis presents evidence about the relationship between household characteristics contributing to the adoption of certain livelihood strategies by people of Shawbury. The conjoint analysis has helped to identify that the most preferred to the least preferred livelihood activities are non-farm labour activities, crop production, animal production, contact with family/leisure and other natural resource based activities respectively.
- Full Text:
- Date Issued: 2017
- Authors: Nongalo, Mwezi Bongile
- Date: 2017
- Subjects: Food security -- South Africa -- Eastern Cape Household surveys -- South Africa -- Eastern Cape Sustainable development -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/12065 , vital:39132
- Description: At the centre of rural development are household livelihood strategies. The livelihoods of South Africa’s rural African poor have long been characterized by diverse activities, and intertwined with urban opportunities. This study describes the livelihood strategies of rural households, identifies the determinants of these livelihood strategies and seeks to identify the role of preferences and household characteristics in changing livelihood strategies in Shawbury in the small town in Qumbu. It also identifies the relationships between household and individual characteristics and livelihood strategies. A random sampling technique was used to select 100 households in Shawbury. Descriptive analysis techniques were used to describe the characteristics of the households and livelihood strategies and to identify the relationships between household characteristics and livelihood strategy preferences, a multinomial logit regression model was used. The livelihood strategies used for the multinomial logit regression were commercial agricultural production/ production for selling; subsistence agricultural production/ production for consumption; non-farm employment; social grants and remittances. For much of the research available for livelihood strategies, tools such as the sustainable livelihoods framework have been the focus for studying the determinants of livelihood strategies; however, these tools have little to no consideration for the aspirations and preferences of the individuals in question. This study highlights some possible tools that could be used to examine the influence of aspirations and preferences on changing livelihood strategies including the consumer choice framework, the domestic development cycle, the social network framework for decision-making, the social systems approach and conjoint analysis. For this study, the actual preferences of livelihood strategies among the households are presented using conjoint analysis. This study finds that households in the same area have different characteristics and that livelihood strategies of Shawbury’s households are primarily non- farm, that include dependency on remittances, social grants and formal employment. It finds that households that generate income from wage employment (non-farm) and farm activities are better off than other households. Analysis of the characteristics of rural households also revealed that age, labour endowment, education, and land size holding are some of the barriers that poor households in rural areas face when attempting to enter into high-return livelihood strategies. The multinomial logit regression model has helped to identify some of the factors that influence the preference of certain livelihood strategies by households, are gender of the household head, age of the household head, size of the land owned, and educational level of the household head, household size, and livestock value. This analysis presents evidence about the relationship between household characteristics contributing to the adoption of certain livelihood strategies by people of Shawbury. The conjoint analysis has helped to identify that the most preferred to the least preferred livelihood activities are non-farm labour activities, crop production, animal production, contact with family/leisure and other natural resource based activities respectively.
- Full Text:
- Date Issued: 2017
Household socio-economic characteristics and their effect on livelihood strategy preferences in Shawbury, Qumbu
- Authors: Nongalo, Mwezi Bongile
- Date: 2017
- Subjects: Food security -- South Africa -- Eastern Cape Household surveys -- South Africa -- Eastern Cape Rural development -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/12150 , vital:39175
- Description: At the centre of rural development are household livelihood strategies. The livelihoods of South Africa’s rural African poor have long been characterized by diverse activities, and intertwined with urban opportunities. This study describes the livelihood strategies of rural households, identifies the determinants of these livelihood strategies and seeks to identify the role of preferences and household characteristics in changing livelihood strategies in Shawbury in the small town in Qumbu. It also identifies the relationships between household and individual characteristics and livelihood strategies. A random sampling technique was used to select 100 households in Shawbury. Descriptive analysis techniques were used to describe the characteristics of the households and livelihood strategies and to identify the relationships between household characteristics and livelihood strategy preferences, a multinomial logit regression model was used. The livelihood strategies used for the multinomial logit regression were commercial agricultural production/ production for selling; subsistence agricultural production/ production for consumption; non-farm employment; social grants and remittances. For much of the research available for livelihood strategies, tools such as the sustainable livelihoods framework have been the focus for studying the determinants of livelihood strategies; however these tools have little to no consideration for the aspirations and preferences of the individuals in question. This study highlights some possible tools that could be used to examine the influence of aspirations and preferences on changing livelihood strategies including the consumer choice framework, the domestic development cycle, the social network framework for decision making, the social systems approach and conjoint analysis. For this study, the actual preferences of livelihood strategies among the households are presented using conjoint analysis. This study finds that households in the same area have different characteristics and that livelihood strategies of Shawbury’s households are primarily non- farm, that include dependency on remittances, social grants and formal employment. It finds that households that generate income from wage employment (non-farm) and farm activities are better off than other households. Analysis of the characteristics of rural households also revealed that age, labour endowment, education, and land size holding are some of the barriers that poor households in rural areas face when attempting to enter into high-return livelihood strategies. The multinomial logit regression model has helped to identify some of the factors that influence the preference of certain livelihood strategies by households, are gender of the household head, age of the household head, size of the land owned, and educational level of the household head, household size, and livestock value. This analysis presents evidence about the relationship between household characteristics contributing to the adoption of certain livelihood strategies by people of Shawbury. The conjoint analysis has helped to identify that the most preferred to the least preferred livelihood activities are non-farm labour activities, crop production, animal production, contact with family/leisure and other natural resource based activities respectively.
- Full Text:
- Date Issued: 2017
- Authors: Nongalo, Mwezi Bongile
- Date: 2017
- Subjects: Food security -- South Africa -- Eastern Cape Household surveys -- South Africa -- Eastern Cape Rural development -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/12150 , vital:39175
- Description: At the centre of rural development are household livelihood strategies. The livelihoods of South Africa’s rural African poor have long been characterized by diverse activities, and intertwined with urban opportunities. This study describes the livelihood strategies of rural households, identifies the determinants of these livelihood strategies and seeks to identify the role of preferences and household characteristics in changing livelihood strategies in Shawbury in the small town in Qumbu. It also identifies the relationships between household and individual characteristics and livelihood strategies. A random sampling technique was used to select 100 households in Shawbury. Descriptive analysis techniques were used to describe the characteristics of the households and livelihood strategies and to identify the relationships between household characteristics and livelihood strategy preferences, a multinomial logit regression model was used. The livelihood strategies used for the multinomial logit regression were commercial agricultural production/ production for selling; subsistence agricultural production/ production for consumption; non-farm employment; social grants and remittances. For much of the research available for livelihood strategies, tools such as the sustainable livelihoods framework have been the focus for studying the determinants of livelihood strategies; however these tools have little to no consideration for the aspirations and preferences of the individuals in question. This study highlights some possible tools that could be used to examine the influence of aspirations and preferences on changing livelihood strategies including the consumer choice framework, the domestic development cycle, the social network framework for decision making, the social systems approach and conjoint analysis. For this study, the actual preferences of livelihood strategies among the households are presented using conjoint analysis. This study finds that households in the same area have different characteristics and that livelihood strategies of Shawbury’s households are primarily non- farm, that include dependency on remittances, social grants and formal employment. It finds that households that generate income from wage employment (non-farm) and farm activities are better off than other households. Analysis of the characteristics of rural households also revealed that age, labour endowment, education, and land size holding are some of the barriers that poor households in rural areas face when attempting to enter into high-return livelihood strategies. The multinomial logit regression model has helped to identify some of the factors that influence the preference of certain livelihood strategies by households, are gender of the household head, age of the household head, size of the land owned, and educational level of the household head, household size, and livestock value. This analysis presents evidence about the relationship between household characteristics contributing to the adoption of certain livelihood strategies by people of Shawbury. The conjoint analysis has helped to identify that the most preferred to the least preferred livelihood activities are non-farm labour activities, crop production, animal production, contact with family/leisure and other natural resource based activities respectively.
- Full Text:
- Date Issued: 2017
How phase feeding manipulation affects growth, performance, feed cost, carcass characteristics and the quality of meat from broilers
- Authors: Sokanyile, Sanda
- Date: 2017
- Subjects: Animal nutrition Feeds Broilers (Chickens)
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/5565 , vital:29334
- Description: The main objective of the study was to determine how phase feeding manipulation affects growth performance, feed cost, carcass characteristics and quality of meat from broiler chickens. A total of 180 day old un-sexed broiler chicks (Cobb 500) were separated into 3 dietary treatments of 60 birds per treatment and each treatment was replicated 3 times with 20 birds per replicate. The dietary treatments were as follows: T1 (starter 1-7 days; grower 8-21 days; finisher 22-35 days), T2 (starter 1-14 days; grower 15-21 days, finisher 22-35 days) and T3 (starter 1-14 days; grower 15-28 days; finisher 29-35 days). Feed intake and body weight gains were recorded weekly in kilograms. Average daily gain and feed conversion ratio were computed weekly. At day 35, the chickens were slaughtered and 12 representative breast muscles from each treatment were used for the determination of muscle pH (pH1, pH24 and pH48) and colour coordinates (Lightness – L*, redness – a* and yellowness – b*) in triplicate at 1 hour, 24 hours and 48 hours post-mortem.Feed intake (FI), feed conversion ratio (FCR), average daily gain (ADG) and average body weight at slaughter (ABW) were not significant (P>0.05) amongst the treatments. The most cost efficient feed (which accumulated the cheapest cost feed per kg were) T1 (R11.32) and T3 (R11.32) although there was a slight difference in the gross profit of these treatments T1 (R45.71) and T3 (R44.48). Carcass characteristics were the same (P > 0.05) across the treatments except for the wing, thigh, drumstick and the breast (P < 0.05). T2 had the highest wing weight (166.63±8.60), T1 (113.03±8.60) and the lowest in T3 (74.46±8.60). The thigh weight were greater (P<0.05) in T2 (185.69±4.34); T1 (185.54±4.34) compared to T3 (166.97±4.34) which was lower. Treatments 1 (204.17±6.57), T2 (197±6.57) had heavier (P<0.05) breast weights than T3 (186.06±6.57). Dietary treatments had no significant effect (P > 0.05) on pH of the breast meat. No differences were observed in colour during the 1 hour period after slaughter. At 24 hours after slaughter, the L* values were different (P < 0.05) in T1 and T2 (44.3 ± 0.37; 43.7 ± 0.37), respectively, T1 and T3 were the same. The a*-values were different (P < 0.05) at 48 hours after slaughter for T1 and T3 (4.5 ± 0.27; 3.4 ± 0.27), T2 was the same as T1. It was therefore, concluded that since manipulation of starter phase did not have adverse effects on growth performance, gross profit, slight statistical difference in meat quality attributes and carcass characteristics. Therefore, the manipulation of starter diet has the potential to be used in broiler production.
- Full Text:
- Date Issued: 2017
- Authors: Sokanyile, Sanda
- Date: 2017
- Subjects: Animal nutrition Feeds Broilers (Chickens)
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10353/5565 , vital:29334
- Description: The main objective of the study was to determine how phase feeding manipulation affects growth performance, feed cost, carcass characteristics and quality of meat from broiler chickens. A total of 180 day old un-sexed broiler chicks (Cobb 500) were separated into 3 dietary treatments of 60 birds per treatment and each treatment was replicated 3 times with 20 birds per replicate. The dietary treatments were as follows: T1 (starter 1-7 days; grower 8-21 days; finisher 22-35 days), T2 (starter 1-14 days; grower 15-21 days, finisher 22-35 days) and T3 (starter 1-14 days; grower 15-28 days; finisher 29-35 days). Feed intake and body weight gains were recorded weekly in kilograms. Average daily gain and feed conversion ratio were computed weekly. At day 35, the chickens were slaughtered and 12 representative breast muscles from each treatment were used for the determination of muscle pH (pH1, pH24 and pH48) and colour coordinates (Lightness – L*, redness – a* and yellowness – b*) in triplicate at 1 hour, 24 hours and 48 hours post-mortem.Feed intake (FI), feed conversion ratio (FCR), average daily gain (ADG) and average body weight at slaughter (ABW) were not significant (P>0.05) amongst the treatments. The most cost efficient feed (which accumulated the cheapest cost feed per kg were) T1 (R11.32) and T3 (R11.32) although there was a slight difference in the gross profit of these treatments T1 (R45.71) and T3 (R44.48). Carcass characteristics were the same (P > 0.05) across the treatments except for the wing, thigh, drumstick and the breast (P < 0.05). T2 had the highest wing weight (166.63±8.60), T1 (113.03±8.60) and the lowest in T3 (74.46±8.60). The thigh weight were greater (P<0.05) in T2 (185.69±4.34); T1 (185.54±4.34) compared to T3 (166.97±4.34) which was lower. Treatments 1 (204.17±6.57), T2 (197±6.57) had heavier (P<0.05) breast weights than T3 (186.06±6.57). Dietary treatments had no significant effect (P > 0.05) on pH of the breast meat. No differences were observed in colour during the 1 hour period after slaughter. At 24 hours after slaughter, the L* values were different (P < 0.05) in T1 and T2 (44.3 ± 0.37; 43.7 ± 0.37), respectively, T1 and T3 were the same. The a*-values were different (P < 0.05) at 48 hours after slaughter for T1 and T3 (4.5 ± 0.27; 3.4 ± 0.27), T2 was the same as T1. It was therefore, concluded that since manipulation of starter phase did not have adverse effects on growth performance, gross profit, slight statistical difference in meat quality attributes and carcass characteristics. Therefore, the manipulation of starter diet has the potential to be used in broiler production.
- Full Text:
- Date Issued: 2017
Identification and classification of micro-estuaries using selected abiotic and biotic characteristics along the Eastern Cape coast, South Africa
- Authors: Naidoo, Lyndle Sherae
- Date: 2017
- Subjects: Estuarine ecology -- South Africa -- Eastern Cape Estuaries -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/11920 , vital:27007
- Description: Many of the larger estuaries along the South African coastline are highly degraded due to human impacts, highlighting the need to conserve pristine systems. There are approximately 100 micro-estuaries along our coastline which have not yet been identified or classified and hence their ecological functioning is unknown. The aim of this study was to identify and classify micro-estuaries along the Eastern Cape coast. Specific objectives of the study were to: 1) map the distribution of estuarine habitats in a selection of micro-estuaries and assess changes over time; 2) measure the physico-chemical characteristics of the micro-estuaries in the field; 3) investigate the distribution of vegetation, identify macrophyte species and habitat integrity and classify the micro-estuaries sampled using abiotic and botanical characteristics. A total of 30 systems were identified of which 10 were selected for sampling which took place seasonally (2015-2016). A relationship between open water surface area and short term rainfall was only evident in Cunge, Sandy Bottom and Ichabana. In the field it was observed that after heavy rainfall, open water surface area increased and mouth breaching occurred. Salinity was the only water column characteristic that showed differences; salinity increased in response to over wash events. Sand was dominant in all systems and there were no differences in sediment characteristics. A total of 8 macroalgal species, 16 estuarine macrophyte species, six freshwater species and 72 riparian plant species were found. Seed bank reserves were low in all systems despite them being vegetated. Only abiotic characteristics were used for classification using Principle Components Analysis since there were no botanical differences between systems. Micro-estuaries were larger (> 0.03 ha), had a higher salinity (oligohaline, mesohaline and polyhaline conditions) and a constant water body. Micro-outlets were smaller (< 0.03 ha), had a lower salinity (oligohaline conditions were most common) and showed periods of drying. Five micro-estuaries (Shelbertsstroom, Kwesani, Cunge, Mtwendwe and Mtendwe) and five micro-outlets (Stromatolite, Sandy Bottom, Ichabana, Palm Tree and Black Rock) were classified. This study has shown that the micro-estuaries along the Eastern Cape coast are pristine (i.e. intact riparian zone and catchment), untouched and highly dynamic systems (i.e. great variation in water surface area and mouth condition) highlighting their need for protection.
- Full Text:
- Date Issued: 2017
- Authors: Naidoo, Lyndle Sherae
- Date: 2017
- Subjects: Estuarine ecology -- South Africa -- Eastern Cape Estuaries -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/11920 , vital:27007
- Description: Many of the larger estuaries along the South African coastline are highly degraded due to human impacts, highlighting the need to conserve pristine systems. There are approximately 100 micro-estuaries along our coastline which have not yet been identified or classified and hence their ecological functioning is unknown. The aim of this study was to identify and classify micro-estuaries along the Eastern Cape coast. Specific objectives of the study were to: 1) map the distribution of estuarine habitats in a selection of micro-estuaries and assess changes over time; 2) measure the physico-chemical characteristics of the micro-estuaries in the field; 3) investigate the distribution of vegetation, identify macrophyte species and habitat integrity and classify the micro-estuaries sampled using abiotic and botanical characteristics. A total of 30 systems were identified of which 10 were selected for sampling which took place seasonally (2015-2016). A relationship between open water surface area and short term rainfall was only evident in Cunge, Sandy Bottom and Ichabana. In the field it was observed that after heavy rainfall, open water surface area increased and mouth breaching occurred. Salinity was the only water column characteristic that showed differences; salinity increased in response to over wash events. Sand was dominant in all systems and there were no differences in sediment characteristics. A total of 8 macroalgal species, 16 estuarine macrophyte species, six freshwater species and 72 riparian plant species were found. Seed bank reserves were low in all systems despite them being vegetated. Only abiotic characteristics were used for classification using Principle Components Analysis since there were no botanical differences between systems. Micro-estuaries were larger (> 0.03 ha), had a higher salinity (oligohaline, mesohaline and polyhaline conditions) and a constant water body. Micro-outlets were smaller (< 0.03 ha), had a lower salinity (oligohaline conditions were most common) and showed periods of drying. Five micro-estuaries (Shelbertsstroom, Kwesani, Cunge, Mtwendwe and Mtendwe) and five micro-outlets (Stromatolite, Sandy Bottom, Ichabana, Palm Tree and Black Rock) were classified. This study has shown that the micro-estuaries along the Eastern Cape coast are pristine (i.e. intact riparian zone and catchment), untouched and highly dynamic systems (i.e. great variation in water surface area and mouth condition) highlighting their need for protection.
- Full Text:
- Date Issued: 2017