The effects of intermittent task parameters on muscle fatigue development during submaximal dynamic exertions
- Authors: King, Josephine Claire
- Date: 2018
- Subjects: Muscles -- Physiology , Muscles -- Wounds and injuries , Fatigue , Human engineering , Occupational diseases
- Language: English
- Type: text , Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/63855 , vital:28498
- Description: The negative effects of localised muscle fatigue on accidents, injuries and poor work performance are well known, as is the realisation that modifying task characteristics can minimise fatigue development. A large amount of literature has investigated the effects of task-dependent factors on localised muscle fatigue, most studies have focussed on prolonged or intermittent static (isometric) exertions. Few studies have investigated muscle fatigue development during more complex tasks, namely those which resemble common work activities and which tend to be intermittent and dynamic in nature. More specifically, the interactions between the main intermittent parameters - duty cycle, force level, and cycle time - during dynamic exertions are poorly understood. The purpose of this study was to investigate the effects of cycle time and combinations of duty cycles and force levels on the development of muscle fatigue during submaximal dynamic exertions while the overall mean muscle load was kept constant. A two-factorial repeated-measures experiment was developed for this study. Nine experimental conditions, each lasting 16 minutes, aimed at inducing muscle fatigue in the middle deltoid muscle via intermittent dynamic shoulder abduction and adduction motions at three cycle times (30, 60, and 120 seconds) and three combinations of duty cycles and force levels. The percentage of muscle activation during one cycle (i.e. the duty cycle) varied depending on the exertion intensity (force level) so that the overall mean muscle load remained consistent throughout all experimental conditions, namely at 20% of maximum force exertion. As a result, the three duty cycle/force level combinations were: 0.8/25% of maximum voluntary force (MVF), 0.5/40%MVF, and 0.4/50%MVF. Muscle fatigue development was inferred by changes in peak torque, total work, average power, local Ratings of Perceived Exertion (RPE), and surface electromyographical (EMG) activity (time domain and frequency domain).Two-factorial analyses of variance with Tukey post-hoc tests were used to identify significant condition effects at p<0.05. All dependent measures showed that muscle fatigue was induced by the 16-minute fatigue protocol. Peak torque, total work, average power, and EMG percentage of maximum showed that cycle time and the duty cycle/force level combination had no effect on the development of muscle fatigue, whereas the measures evaluated during the 16-minute fatigue protocol did. The cycle time of 120 seconds induced the greatest change in six of the eight variables, while the duty cycle/force level combination (0.8/25%) also resulted in the greatest effect in six of the measures. Fatigue was also found to be dependent on the interaction of cycle time and duty cycle/force level combination. The conclusion draws from this study is that shorter cycles and activities with short activation periods, and proportionally longer rest breaks result in the lowest fatigue developments.
- Full Text:
- Date Issued: 2018
- Authors: King, Josephine Claire
- Date: 2018
- Subjects: Muscles -- Physiology , Muscles -- Wounds and injuries , Fatigue , Human engineering , Occupational diseases
- Language: English
- Type: text , Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/63855 , vital:28498
- Description: The negative effects of localised muscle fatigue on accidents, injuries and poor work performance are well known, as is the realisation that modifying task characteristics can minimise fatigue development. A large amount of literature has investigated the effects of task-dependent factors on localised muscle fatigue, most studies have focussed on prolonged or intermittent static (isometric) exertions. Few studies have investigated muscle fatigue development during more complex tasks, namely those which resemble common work activities and which tend to be intermittent and dynamic in nature. More specifically, the interactions between the main intermittent parameters - duty cycle, force level, and cycle time - during dynamic exertions are poorly understood. The purpose of this study was to investigate the effects of cycle time and combinations of duty cycles and force levels on the development of muscle fatigue during submaximal dynamic exertions while the overall mean muscle load was kept constant. A two-factorial repeated-measures experiment was developed for this study. Nine experimental conditions, each lasting 16 minutes, aimed at inducing muscle fatigue in the middle deltoid muscle via intermittent dynamic shoulder abduction and adduction motions at three cycle times (30, 60, and 120 seconds) and three combinations of duty cycles and force levels. The percentage of muscle activation during one cycle (i.e. the duty cycle) varied depending on the exertion intensity (force level) so that the overall mean muscle load remained consistent throughout all experimental conditions, namely at 20% of maximum force exertion. As a result, the three duty cycle/force level combinations were: 0.8/25% of maximum voluntary force (MVF), 0.5/40%MVF, and 0.4/50%MVF. Muscle fatigue development was inferred by changes in peak torque, total work, average power, local Ratings of Perceived Exertion (RPE), and surface electromyographical (EMG) activity (time domain and frequency domain).Two-factorial analyses of variance with Tukey post-hoc tests were used to identify significant condition effects at p<0.05. All dependent measures showed that muscle fatigue was induced by the 16-minute fatigue protocol. Peak torque, total work, average power, and EMG percentage of maximum showed that cycle time and the duty cycle/force level combination had no effect on the development of muscle fatigue, whereas the measures evaluated during the 16-minute fatigue protocol did. The cycle time of 120 seconds induced the greatest change in six of the eight variables, while the duty cycle/force level combination (0.8/25%) also resulted in the greatest effect in six of the measures. Fatigue was also found to be dependent on the interaction of cycle time and duty cycle/force level combination. The conclusion draws from this study is that shorter cycles and activities with short activation periods, and proportionally longer rest breaks result in the lowest fatigue developments.
- Full Text:
- Date Issued: 2018
The effects of monetary policy on output and unemployment
- Authors: Mkhombo, Thabo
- Date: 2018
- Subjects: Monetary policy -- Econometric models , Monetary policy -- South Africa Unemployment -- South Africa
- Language: English
- Type: Thesis , Masters , MCom
- Identifier: http://hdl.handle.net/10948/32783 , vital:32360
- Description: Following the global financial crisis of 2007 and the ensuing global recessionary of 2009, most economies have been concerned with improving economic growth levels as well as lowering levels of unemployment rates. For the case of South Africa, much concern has been placed on the ability of monetary authorities to contribute to such macroeconomics objectives. therefore the primary objective of the study was to investigate the influence of the monetary policy conduct on economic growth and unemployment.
- Full Text: false
- Date Issued: 2018
- Authors: Mkhombo, Thabo
- Date: 2018
- Subjects: Monetary policy -- Econometric models , Monetary policy -- South Africa Unemployment -- South Africa
- Language: English
- Type: Thesis , Masters , MCom
- Identifier: http://hdl.handle.net/10948/32783 , vital:32360
- Description: Following the global financial crisis of 2007 and the ensuing global recessionary of 2009, most economies have been concerned with improving economic growth levels as well as lowering levels of unemployment rates. For the case of South Africa, much concern has been placed on the ability of monetary authorities to contribute to such macroeconomics objectives. therefore the primary objective of the study was to investigate the influence of the monetary policy conduct on economic growth and unemployment.
- Full Text: false
- Date Issued: 2018
The effects of old age grants on poverty alleviation in Dutywa in Eastern Cape of South Africa
- Authors: Lindi, Bomkazi
- Date: 2018
- Subjects: Old age assistance -- South Africa -- Eastern Cape Old age pensions -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , M. Soc. Sci.
- Identifier: http://hdl.handle.net/10353/9599 , vital:34801
- Description: Old age grant was designed to reduce level of poverty in South Africa and according to SASSA (2016), there are 28 981 beneficiaries of old age grant in Dutywa. The study seeks to investigate the effect of old age grant on poverty eradication programme in Dutywa community in Eastern Cape. Three objectives were set for the study that include: to find out the influence of old age grant on poverty alleviation; to examine the challenges faced by old age grant beneficiaries in fighting poverty; to explore coping mechanisms available for old age grant beneficiaries in fighting poverty; to find out if there are any other support services put in place by professionals or agencies such as Social Workers, Nurses, Educators and Traditional leaders in fighting poverty. Both quantitative and qualitative approaches were used to collect data from respondents. A sample of seventy (70) respondents for quantitative approach and sixteen (16) participants for the qualitative approach were purposively selected for the study. The results reveal that old age grant gives beneficiaries an opportunity of spending, which in turn sustains impoverished and vulnerable communities. In this way, the old age grant strengthens existing, deep-rooted informal social protection systems and social networks. In the case of Dutywa community, this is seen in instances where beneficiaries of the old age grant enable many rural grandmothers to take care of their grandchildren and afford beneficiaries’ necessities. It was concluded that old age grant has positively reduced poverty in Dutywa community of Eastern Cape though it does not meet all their necessities. Appropriate recommendations were made in the study.
- Full Text:
- Date Issued: 2018
- Authors: Lindi, Bomkazi
- Date: 2018
- Subjects: Old age assistance -- South Africa -- Eastern Cape Old age pensions -- South Africa -- Eastern Cape
- Language: English
- Type: Thesis , Masters , M. Soc. Sci.
- Identifier: http://hdl.handle.net/10353/9599 , vital:34801
- Description: Old age grant was designed to reduce level of poverty in South Africa and according to SASSA (2016), there are 28 981 beneficiaries of old age grant in Dutywa. The study seeks to investigate the effect of old age grant on poverty eradication programme in Dutywa community in Eastern Cape. Three objectives were set for the study that include: to find out the influence of old age grant on poverty alleviation; to examine the challenges faced by old age grant beneficiaries in fighting poverty; to explore coping mechanisms available for old age grant beneficiaries in fighting poverty; to find out if there are any other support services put in place by professionals or agencies such as Social Workers, Nurses, Educators and Traditional leaders in fighting poverty. Both quantitative and qualitative approaches were used to collect data from respondents. A sample of seventy (70) respondents for quantitative approach and sixteen (16) participants for the qualitative approach were purposively selected for the study. The results reveal that old age grant gives beneficiaries an opportunity of spending, which in turn sustains impoverished and vulnerable communities. In this way, the old age grant strengthens existing, deep-rooted informal social protection systems and social networks. In the case of Dutywa community, this is seen in instances where beneficiaries of the old age grant enable many rural grandmothers to take care of their grandchildren and afford beneficiaries’ necessities. It was concluded that old age grant has positively reduced poverty in Dutywa community of Eastern Cape though it does not meet all their necessities. Appropriate recommendations were made in the study.
- Full Text:
- Date Issued: 2018
The efficacy of multi-track diplomacy in resolving intrastate and internationalised conflicts in Africa: the case of the 2007/2008 post-election violence in Kenya
- Authors: Natolooka, Kepha
- Date: 2018
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/63546 , vital:28434
- Description: Expected release date-April 2019
- Full Text:
- Date Issued: 2018
- Authors: Natolooka, Kepha
- Date: 2018
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/63546 , vital:28434
- Description: Expected release date-April 2019
- Full Text:
- Date Issued: 2018
The energy transition patterns of low-income households in South Africa: an evaluation of energy programme and policy
- Israel-Akinbo, Sylvia O, Snowball, Jeanette D, Fraser, Gavin C G
- Authors: Israel-Akinbo, Sylvia O , Snowball, Jeanette D , Fraser, Gavin C G
- Date: 2018
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/69397 , vital:29518 , https://doi.org/10.17159/2413-3051/2018/v29i3a3310
- Description: The transition to modern energy carriers like electricity is an important way to achieve to eradicate energy poverty. This study investigated energy transition patterns and trends in low-income South African households. The marginal effects of the different determinants on the probability of choosing a specific energy carrier were computed and the influence of some endogenous characteristics in transitioning to modern energy carriers was explored. It was found that energy ladder behaviour exists for cooking while energy stacking was most likely for space heating and the pattern for lighting tended towards energy stacking. Dwelling type, household size and geographical location were among the key determinants of the energy transition pattern. Policies to reduce energy poverty need a multi-pronged approach and not only a focus on electricity access.
- Full Text:
- Date Issued: 2018
- Authors: Israel-Akinbo, Sylvia O , Snowball, Jeanette D , Fraser, Gavin C G
- Date: 2018
- Language: English
- Type: text , article
- Identifier: http://hdl.handle.net/10962/69397 , vital:29518 , https://doi.org/10.17159/2413-3051/2018/v29i3a3310
- Description: The transition to modern energy carriers like electricity is an important way to achieve to eradicate energy poverty. This study investigated energy transition patterns and trends in low-income South African households. The marginal effects of the different determinants on the probability of choosing a specific energy carrier were computed and the influence of some endogenous characteristics in transitioning to modern energy carriers was explored. It was found that energy ladder behaviour exists for cooking while energy stacking was most likely for space heating and the pattern for lighting tended towards energy stacking. Dwelling type, household size and geographical location were among the key determinants of the energy transition pattern. Policies to reduce energy poverty need a multi-pronged approach and not only a focus on electricity access.
- Full Text:
- Date Issued: 2018
The English East India Company and the British Crown: c. 1795-1803, the first occupation at the Cape of Good Hope
- Authors: Jordan, Calvin
- Date: 2018
- Subjects: East India Company , East India Company -- Influence , Cape of Good Hope (Colony) , Cape of Good Hope (South Africa) -- History -- 1795-1872 , Cape of Good Hope (South Africa) -- Politics and government -- 1795-1872 , British -- South Africa -- History -- 19th century , Great Britain -- Colonies -- Commerce , Great Britain -- Colonies -- Administration -- History -- 19th century , Merchant marine -- Great Britain -- History
- Language: English
- Type: text , Thesis , Masters , MA
- Identifier: http://hdl.handle.net/10962/63164 , vital:28369
- Description: My thesis aims to investigate the relationship between the English East India Company (EEIC) and the British colonial administration at the Cape of Good Hope during the first British occupation (1795 to 1803). Studies and literature that concern the EEIC have rarely gone beyond the surface, detailing the presence of the EEIC at the Cape, and neglecting the Company’s involvement in the administration thereof. My thesis draws on prior works but attempts to address both temporal and spatial gaps in this literature on the Atlantic and Indian Ocean, and the history of the EEIC. This study takes note of the seaborne related activity around the ports, bays and islands at the Cape – including the regulation of these spaces and issues related to securing British trade and colonial possessions more generally. I question the framing of the Cape primarily as a constituent of a national unit by locating the colony within a broader global and maritime context. A key interest is to determine the degree to which the EEIC influenced and participated in the British governance of the Cape, particularly by exploring the maritime dimensions of the relationship between the EEIC and colonial governance during this particular period. This involves understanding the embeddedness of the Cape in British (Crown and Company) networks and the constitution of a ‘British maritime zone’. This study uses archival sources drawn from the British colonial government records, Company records, and the private diaries and letters of Lady Anne Barnard that relate to the Cape. It is shown that a uniquely configured governance convention was constituted to secure the mutual commercial and imperial interests of both Crown and Company. By keeping the Cape secure, the British sought to keep their greater seaborne Empire secure. This study reveals that the EEIC was significantly involved in and influenced the way the British administration governed the Cape.
- Full Text:
- Date Issued: 2018
- Authors: Jordan, Calvin
- Date: 2018
- Subjects: East India Company , East India Company -- Influence , Cape of Good Hope (Colony) , Cape of Good Hope (South Africa) -- History -- 1795-1872 , Cape of Good Hope (South Africa) -- Politics and government -- 1795-1872 , British -- South Africa -- History -- 19th century , Great Britain -- Colonies -- Commerce , Great Britain -- Colonies -- Administration -- History -- 19th century , Merchant marine -- Great Britain -- History
- Language: English
- Type: text , Thesis , Masters , MA
- Identifier: http://hdl.handle.net/10962/63164 , vital:28369
- Description: My thesis aims to investigate the relationship between the English East India Company (EEIC) and the British colonial administration at the Cape of Good Hope during the first British occupation (1795 to 1803). Studies and literature that concern the EEIC have rarely gone beyond the surface, detailing the presence of the EEIC at the Cape, and neglecting the Company’s involvement in the administration thereof. My thesis draws on prior works but attempts to address both temporal and spatial gaps in this literature on the Atlantic and Indian Ocean, and the history of the EEIC. This study takes note of the seaborne related activity around the ports, bays and islands at the Cape – including the regulation of these spaces and issues related to securing British trade and colonial possessions more generally. I question the framing of the Cape primarily as a constituent of a national unit by locating the colony within a broader global and maritime context. A key interest is to determine the degree to which the EEIC influenced and participated in the British governance of the Cape, particularly by exploring the maritime dimensions of the relationship between the EEIC and colonial governance during this particular period. This involves understanding the embeddedness of the Cape in British (Crown and Company) networks and the constitution of a ‘British maritime zone’. This study uses archival sources drawn from the British colonial government records, Company records, and the private diaries and letters of Lady Anne Barnard that relate to the Cape. It is shown that a uniquely configured governance convention was constituted to secure the mutual commercial and imperial interests of both Crown and Company. By keeping the Cape secure, the British sought to keep their greater seaborne Empire secure. This study reveals that the EEIC was significantly involved in and influenced the way the British administration governed the Cape.
- Full Text:
- Date Issued: 2018
The environmental imagination in Arthur Nortje’s poetry
- Authors: Kaze, Douglas Eric
- Date: 2018
- Subjects: Nortje, Arthur, 1942-1970 -- Criticism and interpretation , Ecology in literature , Race awareness in literature , South African poetry (English) -- History and criticism , Nature in literature , Transversal postcolonial environmental criticism
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/58024 , vital:27033
- Description: This thesis seeks to contribute to the conversations in the humanities about the treatment of the physical environment in the context of a global ecological fragility and increased scholarly interest in the poetry of Arthur Nortje, a South African poet who wrote in the 1960s. While previous studies on Nortje concentrate on the political, psychic and technical aspects of his poetry, this study particularly explores the representations of the environment in Nortje’s poetic imagination. Writing in the dark period of apartheid in South Africa’s history, Nortje’s poetry articulates a strong interest in the physical environment against the backdrop of official racialization of space and his personal nomadic life and exile. The poetry abounds with constant intersections of nature and culture (industrialism, urbanity and the quotidian), a sense of place and a deep sense of dislocation. The poems, therefore, present a platform from which to reevaluate conventional ecocritical ideas about nature, place-attachment and environmental consciousness. Drawing mainly on Felix Guattari’s ideas of three ecologies and transversality along with other theories, I conduct the study through what I call a transversal postcolonial environmental criticism, which considers the ecological value of the kind of assemblages that Nortje’s works represent. The first chapter focuses on conceptualizing a postcolonial approach to the environment based on Guattari’s concept of transversality to lay the theoretical foundation for the whole work. The second chapter analyses Nortje’s poetic imagination of place and displacement through his treatment of the private-public tension and the motif of exile. While the third chapter examines Nortje’s depiction of nature as both an everyday and urban phenomenon, the fourth chapter turns to his direct treatment of environmental crises handled through his imagination of the Canadian urban spaces, exile memory of apartheid geography, war and ecocide and the human body as a subject of environmental degradation. The fifth chapter, which is the conclusion, takes a brief look at the implication of Nortje’s complex treatment of the environment on postcolonial environmentalism.
- Full Text:
- Date Issued: 2018
- Authors: Kaze, Douglas Eric
- Date: 2018
- Subjects: Nortje, Arthur, 1942-1970 -- Criticism and interpretation , Ecology in literature , Race awareness in literature , South African poetry (English) -- History and criticism , Nature in literature , Transversal postcolonial environmental criticism
- Language: English
- Type: text , Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10962/58024 , vital:27033
- Description: This thesis seeks to contribute to the conversations in the humanities about the treatment of the physical environment in the context of a global ecological fragility and increased scholarly interest in the poetry of Arthur Nortje, a South African poet who wrote in the 1960s. While previous studies on Nortje concentrate on the political, psychic and technical aspects of his poetry, this study particularly explores the representations of the environment in Nortje’s poetic imagination. Writing in the dark period of apartheid in South Africa’s history, Nortje’s poetry articulates a strong interest in the physical environment against the backdrop of official racialization of space and his personal nomadic life and exile. The poetry abounds with constant intersections of nature and culture (industrialism, urbanity and the quotidian), a sense of place and a deep sense of dislocation. The poems, therefore, present a platform from which to reevaluate conventional ecocritical ideas about nature, place-attachment and environmental consciousness. Drawing mainly on Felix Guattari’s ideas of three ecologies and transversality along with other theories, I conduct the study through what I call a transversal postcolonial environmental criticism, which considers the ecological value of the kind of assemblages that Nortje’s works represent. The first chapter focuses on conceptualizing a postcolonial approach to the environment based on Guattari’s concept of transversality to lay the theoretical foundation for the whole work. The second chapter analyses Nortje’s poetic imagination of place and displacement through his treatment of the private-public tension and the motif of exile. While the third chapter examines Nortje’s depiction of nature as both an everyday and urban phenomenon, the fourth chapter turns to his direct treatment of environmental crises handled through his imagination of the Canadian urban spaces, exile memory of apartheid geography, war and ecocide and the human body as a subject of environmental degradation. The fifth chapter, which is the conclusion, takes a brief look at the implication of Nortje’s complex treatment of the environment on postcolonial environmentalism.
- Full Text:
- Date Issued: 2018
The evaluation of potential dietary media, measurement parameters and storage techniques for use in forensic entomotoxicology
- Mbatha, Erica Isabel Tavares Da Silva
- Authors: Mbatha, Erica Isabel Tavares Da Silva
- Date: 2018
- Subjects: Blowflies -- Feeding and feeds , Blowflies -- Larvae , Blowflies -- Physiology , Blowflies -- Collection and preservation , Poisons -- Analysis , Death -- Causes , Forensic pathology , Forensic entomology , Forensic entomotoxicology
- Language: English
- Type: text , Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/63323 , vital:28393
- Description: The term forensic entomotoxicology was coined by Pounder and is used to describe the process of using insects to determine the presence or absence of toxicants in decomposing corpses. Forensic entomotoxicology is most applicable when the orthodox sources of evidence (i.e. blood and urine) are no longer available for testing due to the degree of putrefaction as a result of the decomposition process. As the field is relatively new, various authors have conducted studies to determine the effects of different toxicants on different insects. These studies have all been conducted in the absence of a standardised protocol and we hypothesise that this has led to conflicting results (i.e. two different authors will conduct a study using the same toxicant and model insect and the effects on the insects will differ significantly). The aim of this thesis was to identify the areas which might have led to the artefacts in the results and identify ways in which to standardise them. The three areas selected were the feeding substrates and the measures taken to quantify growth rate, as well as the preservation techniques that should be used for preserving larval flies. The recommendation from the literature review was that artificial diets would be the most appropriate dietary media to use for entomotoxicological studies. An artificial diet was selected and modified for potential used in entomotoxicological studies. Four different diets (no meat treatment, fish, beef and pork artificial diets) were used to rear Chrysomya chloropyga larvae and their growth rates were measured using length and width. The fly larvae reared on the fish and no meat treatment diets did not reach pupation stage. The beef and pork diets produced the largest larvae and the flies in these treatments reached adult stage. The recommendation was that the beef and pork treatments be tested with various toxicants to establish their stability in the matrix and the diet that provides the toxicants with the most stability should be used for future entomotoxicological studies. The two other factors selected for standardisation were the parameters used to quantify growth rate, as well as the preservation techniques used to store empty Chrysomya chloropyga pupal casings and Calliphora croceipalpis third instar larvae. Previous authors have suggested that width be used as an alternative to length to quantify growth rate. The results from this thesis show that length should continue to be used as the standard parameter because the incremental change in length is much larger than the change in width, and these larger increments allow for greater resolution when estimating the age of the larvae. Various authors have also suggested that pupal casings should be stored without any preservative, whereas fly larvae should be stored in concentrations of ethanol >70%. The results in this thesis have shown that the concentration of ethanol does not make any significant difference to the proportional change of length and width of the empty pupal casings and the third instar larvae. The recommendation is that when selecting the preservation technique, the integrity of the specimen for examination of other evidence (i.e. DNA or toxicological extraction) should take precedence. Although this thesis has not completely standardised the protocol for forensic entomotoxicology, it has indicated the areas that need to be focused on in order for standardisation to occur. Future studies should focus on standardisation, as this makes studies more comparable and ultimately makes entomotoxicological evidence admissible in the court of law.
- Full Text:
- Date Issued: 2018
- Authors: Mbatha, Erica Isabel Tavares Da Silva
- Date: 2018
- Subjects: Blowflies -- Feeding and feeds , Blowflies -- Larvae , Blowflies -- Physiology , Blowflies -- Collection and preservation , Poisons -- Analysis , Death -- Causes , Forensic pathology , Forensic entomology , Forensic entomotoxicology
- Language: English
- Type: text , Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10962/63323 , vital:28393
- Description: The term forensic entomotoxicology was coined by Pounder and is used to describe the process of using insects to determine the presence or absence of toxicants in decomposing corpses. Forensic entomotoxicology is most applicable when the orthodox sources of evidence (i.e. blood and urine) are no longer available for testing due to the degree of putrefaction as a result of the decomposition process. As the field is relatively new, various authors have conducted studies to determine the effects of different toxicants on different insects. These studies have all been conducted in the absence of a standardised protocol and we hypothesise that this has led to conflicting results (i.e. two different authors will conduct a study using the same toxicant and model insect and the effects on the insects will differ significantly). The aim of this thesis was to identify the areas which might have led to the artefacts in the results and identify ways in which to standardise them. The three areas selected were the feeding substrates and the measures taken to quantify growth rate, as well as the preservation techniques that should be used for preserving larval flies. The recommendation from the literature review was that artificial diets would be the most appropriate dietary media to use for entomotoxicological studies. An artificial diet was selected and modified for potential used in entomotoxicological studies. Four different diets (no meat treatment, fish, beef and pork artificial diets) were used to rear Chrysomya chloropyga larvae and their growth rates were measured using length and width. The fly larvae reared on the fish and no meat treatment diets did not reach pupation stage. The beef and pork diets produced the largest larvae and the flies in these treatments reached adult stage. The recommendation was that the beef and pork treatments be tested with various toxicants to establish their stability in the matrix and the diet that provides the toxicants with the most stability should be used for future entomotoxicological studies. The two other factors selected for standardisation were the parameters used to quantify growth rate, as well as the preservation techniques used to store empty Chrysomya chloropyga pupal casings and Calliphora croceipalpis third instar larvae. Previous authors have suggested that width be used as an alternative to length to quantify growth rate. The results from this thesis show that length should continue to be used as the standard parameter because the incremental change in length is much larger than the change in width, and these larger increments allow for greater resolution when estimating the age of the larvae. Various authors have also suggested that pupal casings should be stored without any preservative, whereas fly larvae should be stored in concentrations of ethanol >70%. The results in this thesis have shown that the concentration of ethanol does not make any significant difference to the proportional change of length and width of the empty pupal casings and the third instar larvae. The recommendation is that when selecting the preservation technique, the integrity of the specimen for examination of other evidence (i.e. DNA or toxicological extraction) should take precedence. Although this thesis has not completely standardised the protocol for forensic entomotoxicology, it has indicated the areas that need to be focused on in order for standardisation to occur. Future studies should focus on standardisation, as this makes studies more comparable and ultimately makes entomotoxicological evidence admissible in the court of law.
- Full Text:
- Date Issued: 2018
The evolution of fashion discourse: examining vogue magazine’s role as fashion authority
- Authors: Wissink, Emma Seline
- Date: 2018
- Subjects: Fashion -- Research , Fashion -- Forecasting Clothing trade -- Forecasting Advertising -- Fashion Fashion writing
- Language: English
- Type: Thesis , Masters , MTech
- Identifier: http://hdl.handle.net/10948/36026 , vital:33883
- Description: The aim of this study was to investigate the evolution of Vogue magazine’s role as a fashion authority. The methodology of Foucauldian discourse analysis motivated the enquiry into the establishment of Vogue’s fashion authority over time. The corpus of Vogue’s September Point of View editorials between the period of 1960 and 2015 was divided into four epochs using the period of editorship held by the four editors (Jessica Daves, Diana Vreeland, Grace Mirabella and Anna Wintour). Features of Vogue’s discourse were identified in literature and applied to the corpus using a concurrent embedded mixed methods approach, employing the quantitative and qualitative methods of content and discourse analysis respectively. The analysis suggested that Vogue maintained fashion authority through changing its discourse to suit changes occurring in the field of fashion and the evolving needs and perspectives of the reader. Changes in the way Vogue presents itself; addresses the reader; attributes material, commercial, or intellectual features to fashion; addresses concepts of time and novelty; and negotiates the relationship between American fashion and European or global fashion were the focus of the analysis. The findings conceptualise Vogue’s voice as evolving through the four roles of reporting, fictionalizing, translating and connecting fashion. The shift in Vogue’s voice suggests that the conceptualization of fashion in the publication shifts towards a more abstract and general conception of fashion and reader. The results suggest that Vogue’s fashion discourse shifts from a focus on the specific material features of fashion and craft and the conception of fashion as news and Vogue as a reporter towards a focus on the more abstract, general intellectual and commercial properties of fashion and the conception of fashion as commerce promoting Vogue’s role as a facilitating platform.
- Full Text:
- Date Issued: 2018
- Authors: Wissink, Emma Seline
- Date: 2018
- Subjects: Fashion -- Research , Fashion -- Forecasting Clothing trade -- Forecasting Advertising -- Fashion Fashion writing
- Language: English
- Type: Thesis , Masters , MTech
- Identifier: http://hdl.handle.net/10948/36026 , vital:33883
- Description: The aim of this study was to investigate the evolution of Vogue magazine’s role as a fashion authority. The methodology of Foucauldian discourse analysis motivated the enquiry into the establishment of Vogue’s fashion authority over time. The corpus of Vogue’s September Point of View editorials between the period of 1960 and 2015 was divided into four epochs using the period of editorship held by the four editors (Jessica Daves, Diana Vreeland, Grace Mirabella and Anna Wintour). Features of Vogue’s discourse were identified in literature and applied to the corpus using a concurrent embedded mixed methods approach, employing the quantitative and qualitative methods of content and discourse analysis respectively. The analysis suggested that Vogue maintained fashion authority through changing its discourse to suit changes occurring in the field of fashion and the evolving needs and perspectives of the reader. Changes in the way Vogue presents itself; addresses the reader; attributes material, commercial, or intellectual features to fashion; addresses concepts of time and novelty; and negotiates the relationship between American fashion and European or global fashion were the focus of the analysis. The findings conceptualise Vogue’s voice as evolving through the four roles of reporting, fictionalizing, translating and connecting fashion. The shift in Vogue’s voice suggests that the conceptualization of fashion in the publication shifts towards a more abstract and general conception of fashion and reader. The results suggest that Vogue’s fashion discourse shifts from a focus on the specific material features of fashion and craft and the conception of fashion as news and Vogue as a reporter towards a focus on the more abstract, general intellectual and commercial properties of fashion and the conception of fashion as commerce promoting Vogue’s role as a facilitating platform.
- Full Text:
- Date Issued: 2018
The evolution of the role of the orchestral conductor
- Authors: Snyman, Grant
- Date: 2018
- Subjects: Music , Orchestral music Orchestral music -- Interpretation (Phrasing, dynamics, etc.) Conducting
- Language: English
- Type: Thesis , Masters , MMus
- Identifier: http://hdl.handle.net/10948/23153 , vital:30435
- Description: Orchestral conducting is an art form and profession that has existed for over two centuries – but with little detailed documentation. Thus, the core focus of the treatise is to provide a detailed history of the changing role of the orchestral conductor, his role in orchestral music and the future of orchestral conducting as a profession. The treatise describes the periodical history of the orchestra in relation to the need for a conductor that has developed. It discusses four composer-conductors who had a profound and lasting impact on orchestral conducting as a full-time profession. The treatise also highlights two leading international orchestras. These two international orchestras, with the help of their musical directors, were able to reach new musical achievements in the 20th Century. A broad description of the role of the orchestral conductor in South Africa is provided. Moreover, the researcher explores the reasons why classical music, as an established art form, performed by symphony orchestras, has increasingly struggled internationally as a sustainable industry. Finally, the researcher draws on the theoretical framework and his own experience to make recommendations for future development of conductors as well as research in this field.
- Full Text:
- Date Issued: 2018
- Authors: Snyman, Grant
- Date: 2018
- Subjects: Music , Orchestral music Orchestral music -- Interpretation (Phrasing, dynamics, etc.) Conducting
- Language: English
- Type: Thesis , Masters , MMus
- Identifier: http://hdl.handle.net/10948/23153 , vital:30435
- Description: Orchestral conducting is an art form and profession that has existed for over two centuries – but with little detailed documentation. Thus, the core focus of the treatise is to provide a detailed history of the changing role of the orchestral conductor, his role in orchestral music and the future of orchestral conducting as a profession. The treatise describes the periodical history of the orchestra in relation to the need for a conductor that has developed. It discusses four composer-conductors who had a profound and lasting impact on orchestral conducting as a full-time profession. The treatise also highlights two leading international orchestras. These two international orchestras, with the help of their musical directors, were able to reach new musical achievements in the 20th Century. A broad description of the role of the orchestral conductor in South Africa is provided. Moreover, the researcher explores the reasons why classical music, as an established art form, performed by symphony orchestras, has increasingly struggled internationally as a sustainable industry. Finally, the researcher draws on the theoretical framework and his own experience to make recommendations for future development of conductors as well as research in this field.
- Full Text:
- Date Issued: 2018
The experiences of recently diagnosed HIV-positive individuals, as shared on an online forum
- Authors: Wylde, Charlotte Anne
- Date: 2018
- Subjects: HIV-positive persons Social networks , HIV infections Diagnosis Psychological aspects , HIV infections Social aspects , HIV infections Electronic discussion groups , Internet Social aspects , Stigma (Social psychology) , Phenomenological psychology
- Language: English
- Type: text , Thesis , Masters , MA
- Identifier: http://hdl.handle.net/10962/60222 , vital:27756
- Description: An HIV-positive diagnosis can be an overwhelming and traumatic experience. This study explores the experiences of receiving an HIV-positive diagnosis. Employing an Interpretative Phenomenological Analysis (IPA), a sample of the initial posts from threads on an online forum, was collected and explored, in order to determine the dominant themes from the experiences expressed in the posts, as well as the support sought from the forum. The online forum was accessed as an unobtrusive observer, and posts from January to December 2015 were explored. The online forum provides a platform for disclosure following an HIV-positive diagnosis, when anxiety and fear of stigma can impact on an individual’s ability to disclose to their social support network of family and friends. The experiences expressed on the online forum reflect the emotional, mental and physical impact of an HIV-positive diagnosis on an individual. The findings in this study reflected themes of shock, guilt and hopelessness, and concerns and fears regarding disclosure and stigma associated with HIV, as well as the importance of social support for the coping mechanisms of individuals after receiving an HIV-positive diagnosis. This research demonstrates the importance of Internet accessibility for information and support for chronic illnesses, such as HIV, and the role of the online forum platform for providing a safe environment for individuals recently diagnosed HIVpositive.
- Full Text:
- Date Issued: 2018
- Authors: Wylde, Charlotte Anne
- Date: 2018
- Subjects: HIV-positive persons Social networks , HIV infections Diagnosis Psychological aspects , HIV infections Social aspects , HIV infections Electronic discussion groups , Internet Social aspects , Stigma (Social psychology) , Phenomenological psychology
- Language: English
- Type: text , Thesis , Masters , MA
- Identifier: http://hdl.handle.net/10962/60222 , vital:27756
- Description: An HIV-positive diagnosis can be an overwhelming and traumatic experience. This study explores the experiences of receiving an HIV-positive diagnosis. Employing an Interpretative Phenomenological Analysis (IPA), a sample of the initial posts from threads on an online forum, was collected and explored, in order to determine the dominant themes from the experiences expressed in the posts, as well as the support sought from the forum. The online forum was accessed as an unobtrusive observer, and posts from January to December 2015 were explored. The online forum provides a platform for disclosure following an HIV-positive diagnosis, when anxiety and fear of stigma can impact on an individual’s ability to disclose to their social support network of family and friends. The experiences expressed on the online forum reflect the emotional, mental and physical impact of an HIV-positive diagnosis on an individual. The findings in this study reflected themes of shock, guilt and hopelessness, and concerns and fears regarding disclosure and stigma associated with HIV, as well as the importance of social support for the coping mechanisms of individuals after receiving an HIV-positive diagnosis. This research demonstrates the importance of Internet accessibility for information and support for chronic illnesses, such as HIV, and the role of the online forum platform for providing a safe environment for individuals recently diagnosed HIVpositive.
- Full Text:
- Date Issued: 2018
The experiences of secondary traumatic stress among social workers who deal with traumatised populations : a case study of Buffalo City Municipality, Eastern Cape, South Africa
- Authors: Anyi, Marynet Ema Tangwe
- Date: 2018
- Subjects: Secondary traumatic stress Social workers -- Mental health Social service -- Psychological aspects
- Language: English
- Type: Thesis , Masters , Social Work
- Identifier: http://hdl.handle.net/10353/9951 , vital:35207
- Description: The aim of the research study was to investigate the experiences of secondary traumatic stress among social workers who deal with traumatised populations in the Buffalo City Municipality in the province of the Eastern Cape in South Africa. Qualitative research methods were employed to collect data from thirty participants; twenty were interviewed and 10 participated in a focus group discussion. The most significant finding of this study was that there is a high rate of secondary traumatic stress among social workers, particularly among those who practice in nongovernmental organisations (NGOs), especially those social workers who work with children. The intensity of secondary traumatic stress among social workers appears to be growing steadily, owing to either inadequate or a complete lack of supervision and support on the part of the agencies concerned. The study concludes that social workers are highly at risk of experiencing secondary traumatic stress. The study therefore recommends that policies that are there to protect social workers should be implemented and institutions of higher learning which educate and train social workers need to implement courses in their syllabuses which prepare students for the stresses which they will inevitably encounter while working in the field of social work, particularly secondary traumatic stress.
- Full Text:
- Date Issued: 2018
- Authors: Anyi, Marynet Ema Tangwe
- Date: 2018
- Subjects: Secondary traumatic stress Social workers -- Mental health Social service -- Psychological aspects
- Language: English
- Type: Thesis , Masters , Social Work
- Identifier: http://hdl.handle.net/10353/9951 , vital:35207
- Description: The aim of the research study was to investigate the experiences of secondary traumatic stress among social workers who deal with traumatised populations in the Buffalo City Municipality in the province of the Eastern Cape in South Africa. Qualitative research methods were employed to collect data from thirty participants; twenty were interviewed and 10 participated in a focus group discussion. The most significant finding of this study was that there is a high rate of secondary traumatic stress among social workers, particularly among those who practice in nongovernmental organisations (NGOs), especially those social workers who work with children. The intensity of secondary traumatic stress among social workers appears to be growing steadily, owing to either inadequate or a complete lack of supervision and support on the part of the agencies concerned. The study concludes that social workers are highly at risk of experiencing secondary traumatic stress. The study therefore recommends that policies that are there to protect social workers should be implemented and institutions of higher learning which educate and train social workers need to implement courses in their syllabuses which prepare students for the stresses which they will inevitably encounter while working in the field of social work, particularly secondary traumatic stress.
- Full Text:
- Date Issued: 2018
The external factors used to define the perceived success of software projects
- Authors: Coetzee, Jehan Pieter
- Date: 2018
- Subjects: Project management , Management information systems Customer relations -- Management -- Data processing Business information services
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: http://hdl.handle.net/10948/21722 , vital:29741
- Description: The purpose of this quantitative research was to improve the way success of software projects is measured. This was done by identifying and exploring external factors that serve as success criteria. It is postulated that by understanding these factors, organisations will be able to focus their resource efforts on the most prevalent factors that they can use to judge software project success. This will ensure project success and ultimately create a competitive advantage for the organisation. The research started off with a structured literature review. This was followed by a research design based on a quantitative questionnaire presenting embedded units of analysis. The results provided a useful insight into the factors that are used to define the success of software projects. The outcome of the study is in the form of a model which highlights the following variables applied to define software project success: system quality, information quality, user satisfaction, net benefits and the traditional variables of time, budget and specification.
- Full Text:
- Date Issued: 2018
- Authors: Coetzee, Jehan Pieter
- Date: 2018
- Subjects: Project management , Management information systems Customer relations -- Management -- Data processing Business information services
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: http://hdl.handle.net/10948/21722 , vital:29741
- Description: The purpose of this quantitative research was to improve the way success of software projects is measured. This was done by identifying and exploring external factors that serve as success criteria. It is postulated that by understanding these factors, organisations will be able to focus their resource efforts on the most prevalent factors that they can use to judge software project success. This will ensure project success and ultimately create a competitive advantage for the organisation. The research started off with a structured literature review. This was followed by a research design based on a quantitative questionnaire presenting embedded units of analysis. The results provided a useful insight into the factors that are used to define the success of software projects. The outcome of the study is in the form of a model which highlights the following variables applied to define software project success: system quality, information quality, user satisfaction, net benefits and the traditional variables of time, budget and specification.
- Full Text:
- Date Issued: 2018
The extraction, quantification and application of high-value biological compounds from olive oil processing waste
- Authors: Postma-Botha, Marthie
- Date: 2018
- Subjects: Organic compounds , Biochemistry , Biomass energy , Olive oil industry
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10948/34383 , vital:33371
- Description: Olive oil processing waste (pomace) as a by-product of the olive oil industry is regarded as a rich source of high-value biological compounds exhibiting antioxidant potential. The objective of the present work was to obtain a concentrated extract of high-value biological antioxidants from the pomace. The effect of extraction conditions on the concentration of the bioactive compounds in the extracts was investigated. The simultaneous recovery of both hydrophilic and lipophilic high-value biological compounds exhibiting antioxidant potential was achieved through a one-step extraction method under reduced pressure using a non-toxic solvent blend. A multilevel experimental design was implemented with the aim of optimising the recovery of selected compounds, namely, hydroxytyrosol, tyrosol, oleuropein, α-tocopherol and squalene from olive pomace by using solvent blends of n-heptane, d-limonene, ethanol and water. The factors considered were: extraction time, percentage composition of solvent blends and extraction temperature. The results suggested that a good recovery of the hydrophilic polyphenolic compounds, namely, hydroxytyrosol, tyrosol and oleuropein, as well as the lipophilic compounds, α-tocopherol and squalene may be achieved at a solvent temperature of 60°C at 400 mbar with a solvent blend of 30% n-heptane, 50% ethanol and 20% water and an extraction time of two hours. It was found that freeze-drying the pomace before extraction minimised production of artefacts, avoided degradation of biophenols, ensured long term stability of a reproducible sample and achieved better recovery of important hydrophilic and lipophilic bioactive compounds. Since the bioactive compounds are temperature sensitive, the extraction was performed under reduced pressure in order to reduce solvent reflux temperature and to improve extraction efficiency. The quantitative and qualitative determinations of the aforementioned high-value compounds were performed by high-performance liquid chromatography (HPLC), which revealed that the hydrophilic polyphenolic as well as the lipophilic α-tocopherol and squalene were present. In this study hydroxytyrosol, tyrosol, oleuropein, α-tocopherol and squalene were extracted from the pomace of two olive cultivars (Frantoio and Coratina). A comparison among the two cultivars showed quantitative differences between the two cultivars in all five high-value biological compounds and in the antioxidant capacity of the extracts evaluated by measuring the radical scavenging effect on 1,1-diphenyl-2- picrylhydrazyl (DPPH) free radical. Coratina cultivar was found to have a significantly higher antioxidant capacity than Frantoio due to the much greater oleuropein content in the Coratina compared to the Frantoio although Frantoio had a significantly greater amount of hydroxytyrosol. The stability of olive waste extracts stored at four temperatures was also investigated and the results show that increased temperatures caused greater extent of degradation of both the hydrophilic polyphenolic and lipophilic compounds. The proposed optimum storage condition for the olive pomace extracts was found to be at 5°C in the absence of light. The extracts were incorporated into two cosmetic formulations and were found, from a stability study, to be stable at room temperature and optimally stable at 5°C in the absence of light.
- Full Text:
- Date Issued: 2018
- Authors: Postma-Botha, Marthie
- Date: 2018
- Subjects: Organic compounds , Biochemistry , Biomass energy , Olive oil industry
- Language: English
- Type: Thesis , Doctoral , DPhil
- Identifier: http://hdl.handle.net/10948/34383 , vital:33371
- Description: Olive oil processing waste (pomace) as a by-product of the olive oil industry is regarded as a rich source of high-value biological compounds exhibiting antioxidant potential. The objective of the present work was to obtain a concentrated extract of high-value biological antioxidants from the pomace. The effect of extraction conditions on the concentration of the bioactive compounds in the extracts was investigated. The simultaneous recovery of both hydrophilic and lipophilic high-value biological compounds exhibiting antioxidant potential was achieved through a one-step extraction method under reduced pressure using a non-toxic solvent blend. A multilevel experimental design was implemented with the aim of optimising the recovery of selected compounds, namely, hydroxytyrosol, tyrosol, oleuropein, α-tocopherol and squalene from olive pomace by using solvent blends of n-heptane, d-limonene, ethanol and water. The factors considered were: extraction time, percentage composition of solvent blends and extraction temperature. The results suggested that a good recovery of the hydrophilic polyphenolic compounds, namely, hydroxytyrosol, tyrosol and oleuropein, as well as the lipophilic compounds, α-tocopherol and squalene may be achieved at a solvent temperature of 60°C at 400 mbar with a solvent blend of 30% n-heptane, 50% ethanol and 20% water and an extraction time of two hours. It was found that freeze-drying the pomace before extraction minimised production of artefacts, avoided degradation of biophenols, ensured long term stability of a reproducible sample and achieved better recovery of important hydrophilic and lipophilic bioactive compounds. Since the bioactive compounds are temperature sensitive, the extraction was performed under reduced pressure in order to reduce solvent reflux temperature and to improve extraction efficiency. The quantitative and qualitative determinations of the aforementioned high-value compounds were performed by high-performance liquid chromatography (HPLC), which revealed that the hydrophilic polyphenolic as well as the lipophilic α-tocopherol and squalene were present. In this study hydroxytyrosol, tyrosol, oleuropein, α-tocopherol and squalene were extracted from the pomace of two olive cultivars (Frantoio and Coratina). A comparison among the two cultivars showed quantitative differences between the two cultivars in all five high-value biological compounds and in the antioxidant capacity of the extracts evaluated by measuring the radical scavenging effect on 1,1-diphenyl-2- picrylhydrazyl (DPPH) free radical. Coratina cultivar was found to have a significantly higher antioxidant capacity than Frantoio due to the much greater oleuropein content in the Coratina compared to the Frantoio although Frantoio had a significantly greater amount of hydroxytyrosol. The stability of olive waste extracts stored at four temperatures was also investigated and the results show that increased temperatures caused greater extent of degradation of both the hydrophilic polyphenolic and lipophilic compounds. The proposed optimum storage condition for the olive pomace extracts was found to be at 5°C in the absence of light. The extracts were incorporated into two cosmetic formulations and were found, from a stability study, to be stable at room temperature and optimally stable at 5°C in the absence of light.
- Full Text:
- Date Issued: 2018
The factors that affect the low uptake of medical male circumcision among adult males 20-39 years of age in Gauteng Province, South Africa
- Authors: Palmer, Eurica Laetitia
- Date: 2018
- Subjects: Circumcision Circumcision -- South Africa -- Gauteng Initiation rites -- South Africa -- Gauteng
- Language: English
- Type: Thesis , Masters , Public Health
- Identifier: http://hdl.handle.net/10353/10553 , vital:35606
- Description: The objective of this study is to determine the factors that contribute to low MMC uptake with the aim of proposing strategies to improve MMC demand creation for older adult males (20-39 years). By employing a qualitative research methodology, the study explores the factors and barriers that contribute to the low MMC uptake of adult males aged between 20 to 39 years in order to understand the situation from the perspective of the participants. A purposive sampling method was used to select 24 participants. Individual in-depth interviews were conducted with four Provincial Programme Managers from the National and the Gauteng Provincial Department of Health. Two focus-group discussions were also conducted with 20 adult males aged 20 to 39 years. The data collected were analysed, categorised, synthesised and decoded. The results of the research were explained well comprising the narratives of the participants. The main findings show that there are various contextual, individual and community factors contributing to the low MMC uptake. The study also found that the MMC programme does not review MMC communication messages consistently and continuously and demand creation strategies for adult males in the age group 20 to 39 years.
- Full Text:
- Date Issued: 2018
- Authors: Palmer, Eurica Laetitia
- Date: 2018
- Subjects: Circumcision Circumcision -- South Africa -- Gauteng Initiation rites -- South Africa -- Gauteng
- Language: English
- Type: Thesis , Masters , Public Health
- Identifier: http://hdl.handle.net/10353/10553 , vital:35606
- Description: The objective of this study is to determine the factors that contribute to low MMC uptake with the aim of proposing strategies to improve MMC demand creation for older adult males (20-39 years). By employing a qualitative research methodology, the study explores the factors and barriers that contribute to the low MMC uptake of adult males aged between 20 to 39 years in order to understand the situation from the perspective of the participants. A purposive sampling method was used to select 24 participants. Individual in-depth interviews were conducted with four Provincial Programme Managers from the National and the Gauteng Provincial Department of Health. Two focus-group discussions were also conducted with 20 adult males aged 20 to 39 years. The data collected were analysed, categorised, synthesised and decoded. The results of the research were explained well comprising the narratives of the participants. The main findings show that there are various contextual, individual and community factors contributing to the low MMC uptake. The study also found that the MMC programme does not review MMC communication messages consistently and continuously and demand creation strategies for adult males in the age group 20 to 39 years.
- Full Text:
- Date Issued: 2018
The FAST fabric objective measurement properties of commercial worsted apparel fabrics available in South Africa
- Authors: Das, Sweta
- Date: 2018
- Subjects: Textile fabrics -- Testing , Textile fabrics -- Measurement , Textile fibers -- Testing , Textile design
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/17814 , vital:28458
- Description: In the last few decades, there has been a shift globally towards the objective measurement of these textile fibre, yarn and fabric properties which determine processing performance and product quality. This shift is also very apparent in the objective measurement of fabric properties, particularly those relating to handle and making-up into a garment. This study was motivated by the fact that the adoption of fabric objective measurement (FOM), specifically the FAST system, will benefit the South African worsted apparel sector, as it has done in various other countries which produce high quality worsted apparel fabrics and garments. FAST is robust and portable, yet inexpensive. The main objective of the study was to develop a FAST referencing system which can be used for benchmarking by the local apparel industry and, as a basis for encouraging and persuading the industry to adopt this system of fabric quality measurement and assurance and thereby improve their product quality and international competitiveness. To achieve the main objective, involved sourcing and FAST testing a representative cross-section of commercial worsted apparel fabrics with the emphasis on wool and wool blends from the local fabric and clothing manufacturing industry, and determining how the various FAST properties were affected by factors such as fabric weave, fibre blend and weight, since this could impact on the specific nature and validity of the referencing system. A total of some 394 worsted type commercial fabrics, mainly in wool and wool blends, were sourced from, and with the inputs of, local apparel fabric and clothing manufacturers so as to ensure the local fabric and garment representative of the sample population and after which the fabrics were tested on the FAST system. ANOVA (regression analysis) was carried out on each of the FAST parameters in order to determine whether fabric weight, weave, thickness and fibre composition (pure wool and wool blends) had a statistically significant effect on them, since this is an important aspect which needs to be clarified prior to the development of a envisaged meaningful FAST system.
- Full Text:
- Date Issued: 2018
- Authors: Das, Sweta
- Date: 2018
- Subjects: Textile fabrics -- Testing , Textile fabrics -- Measurement , Textile fibers -- Testing , Textile design
- Language: English
- Type: Thesis , Doctoral , PhD
- Identifier: http://hdl.handle.net/10948/17814 , vital:28458
- Description: In the last few decades, there has been a shift globally towards the objective measurement of these textile fibre, yarn and fabric properties which determine processing performance and product quality. This shift is also very apparent in the objective measurement of fabric properties, particularly those relating to handle and making-up into a garment. This study was motivated by the fact that the adoption of fabric objective measurement (FOM), specifically the FAST system, will benefit the South African worsted apparel sector, as it has done in various other countries which produce high quality worsted apparel fabrics and garments. FAST is robust and portable, yet inexpensive. The main objective of the study was to develop a FAST referencing system which can be used for benchmarking by the local apparel industry and, as a basis for encouraging and persuading the industry to adopt this system of fabric quality measurement and assurance and thereby improve their product quality and international competitiveness. To achieve the main objective, involved sourcing and FAST testing a representative cross-section of commercial worsted apparel fabrics with the emphasis on wool and wool blends from the local fabric and clothing manufacturing industry, and determining how the various FAST properties were affected by factors such as fabric weave, fibre blend and weight, since this could impact on the specific nature and validity of the referencing system. A total of some 394 worsted type commercial fabrics, mainly in wool and wool blends, were sourced from, and with the inputs of, local apparel fabric and clothing manufacturers so as to ensure the local fabric and garment representative of the sample population and after which the fabrics were tested on the FAST system. ANOVA (regression analysis) was carried out on each of the FAST parameters in order to determine whether fabric weight, weave, thickness and fibre composition (pure wool and wool blends) had a statistically significant effect on them, since this is an important aspect which needs to be clarified prior to the development of a envisaged meaningful FAST system.
- Full Text:
- Date Issued: 2018
The financial impact on the Nelson Mandela University as a result of excluding international students from the university funding model
- Authors: Bezuidenhout, Janine Ingrid
- Date: 2018
- Subjects: Universities and colleges -- South Africa -- Finance , Student aid -- South Africa Students, Foreign -- Rating of -- South Africa
- Language: English
- Type: Thesis , Masters , MTech
- Identifier: http://hdl.handle.net/10948/23613 , vital:30587
- Description: The higher education sector in South Africa (SA) is currently facing financial constraints due to the admission of an increasing number of students from financially disadvantaged backgrounds. In 2015, students started protesting, demanding free higher education (OECD, 2017). In addition, the unstable political situation and declining economic conditions prevailing in the country also contributes to increased financial pressure on the higher education sector. Despite these conditions, it is important for higher education institutions (HEIs) in SA to respond decisively and efficiently without sacrificing their obligation to the neighbouring countries and their international duty as set forth in the Southern African Development Community (SADC) protocol (Mello, 2013). The South African government subsidies are an important source of income for universities. The SA government subsidises the international students at the same rate as the South African students (Cilliers, 2017). According to Cilliers (2017), no funding policy is currently available, which excludes the international students from the block grant. The research for this study was guided by the question whether the exclusion of international students’ subsidies from the SA government university funding model could have an adverse financial impact on the Nelson Mandela University. This study was conducted by means of the collection and analysis of secondary quantitative data. The SA government subsidies for the international students enrolled at the Nelson Mandela University for the period 2009 to 2015 were calculated in order to answer the research question. It was concluded that if the international students were excluded from the SA government subsidies, the financial impact on the Nelson Mandela University could be approximately R64,5 million in the 2017 academic year. The outcome of this study is to enable the policymakers, government officials and university administrators to realise the financial impact on the universities if the international students were excluded from the SA government subsidies. Although this study focused on the Nelson Mandela University, the impact of the exclusion of the international students from the SA government university funding model would be significant and negative for the universities, international offices, international students and the plans to internationalise teaching, learning and research at the South African universities.
- Full Text:
- Date Issued: 2018
- Authors: Bezuidenhout, Janine Ingrid
- Date: 2018
- Subjects: Universities and colleges -- South Africa -- Finance , Student aid -- South Africa Students, Foreign -- Rating of -- South Africa
- Language: English
- Type: Thesis , Masters , MTech
- Identifier: http://hdl.handle.net/10948/23613 , vital:30587
- Description: The higher education sector in South Africa (SA) is currently facing financial constraints due to the admission of an increasing number of students from financially disadvantaged backgrounds. In 2015, students started protesting, demanding free higher education (OECD, 2017). In addition, the unstable political situation and declining economic conditions prevailing in the country also contributes to increased financial pressure on the higher education sector. Despite these conditions, it is important for higher education institutions (HEIs) in SA to respond decisively and efficiently without sacrificing their obligation to the neighbouring countries and their international duty as set forth in the Southern African Development Community (SADC) protocol (Mello, 2013). The South African government subsidies are an important source of income for universities. The SA government subsidises the international students at the same rate as the South African students (Cilliers, 2017). According to Cilliers (2017), no funding policy is currently available, which excludes the international students from the block grant. The research for this study was guided by the question whether the exclusion of international students’ subsidies from the SA government university funding model could have an adverse financial impact on the Nelson Mandela University. This study was conducted by means of the collection and analysis of secondary quantitative data. The SA government subsidies for the international students enrolled at the Nelson Mandela University for the period 2009 to 2015 were calculated in order to answer the research question. It was concluded that if the international students were excluded from the SA government subsidies, the financial impact on the Nelson Mandela University could be approximately R64,5 million in the 2017 academic year. The outcome of this study is to enable the policymakers, government officials and university administrators to realise the financial impact on the universities if the international students were excluded from the SA government subsidies. Although this study focused on the Nelson Mandela University, the impact of the exclusion of the international students from the SA government university funding model would be significant and negative for the universities, international offices, international students and the plans to internationalise teaching, learning and research at the South African universities.
- Full Text:
- Date Issued: 2018
The foraging ecology of Wedge-tailed Shearwaters (Ardenna Pacifica) in the tropical Western Indian Ocean
- Authors: Keys, Danielle Zuanda
- Date: 2018
- Subjects: Birds of prey -- Behavior -- South Africa -- Western Cape , Animal behavior , Wildlife conservation
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/31251 , vital:31348
- Description: The distribution and abundance of prey largely influences how marine predators forage. Thus, understanding how marine predators respond to such changes becomes imperative when making decisions in marine spatial planning, especially in light of global climate change. Tropical marine systems are known for their relatively low productivity and high unpredictability of prey resources. Compared to higher latitudes, very few studies on seabirds have been implemented in the tropics. The Wedge-tailed Shearwater Ardenna pacifica is an Indo-Pacific tropical seabird with a wide distributional range. However, like many other seabirds, its population numbers are currently declining. Very little is known about the at-sea distribution of Wedge-tailed Shearwaters in the tropical western Indian Ocean. Therefore, this thesis investigates the foraging ecology of Wedge-tailed Shearwaters in the western Indian Ocean by tracking the fine scale movements of individuals at sea. This study was conducted in two different oceanic environments, namely D’Arros Island and Fouquet Island, St Joseph Atoll in the Amirantes Group in Seychelles archipelago as well as Réunion Island in the Mascarene archipelago during the Wedge-tailed Shearwaters breeding seasons. Here I aimed to investigate the foraging distribution of Wedge-tailed Shearwaters on Réunion Island in relation to different stages of the breeding period. I also compared the foraging ecology of all three populations, subjected to different abiotic and biotic factors. Furthermore, I investigated foraging site fidelity in individuals and repeatability within individual flight characteristics. To my knowledge, this is the first study to comprehensively investigate the foraging ecology of Wedge-tailed Shearwaters using global positioning system (GPS) loggers. This study demonstrated that the Wedge-tailed Shearwaters implement flexible foraging strategies throughout different stages of their breeding period and between different islands. In Réunion, during the shearwater breeding season, sexual segregation was prominent during early chick rearing and both sexes implemented dual foraging. As suggested by previous studies, it is likely that long trips were implemented for self-maintenance, whereas multiple short trips were implemented to meet the high energetic demands of the chicks. Several important foraging areas were identified for these Wedge-tailed Shearwaters. During incubation, shearwaters from Réunion faithfully foraged towards the south east of Madagascar near the East Madagascar Current and flew over large areas of the Mascarene Basin. During chick rearing, shearwaters significantly constricted their range closer to the colony and exploited deep waters on the south-west of Réunion Island. Shearwaters concentrated near oceanographic features such as the Pérouse Seamount (which is a known area of high productivity) as well as the Bourdonnais Ridge. There was no clear evidence for spatial or sexual segregation between individuals from the two study colonies in Seychelles during incubation and birds utilized a broader foraging range than birds from Réunion. This is likely to be the result of a large annual phytoplankton bloom which coincides with the shearwater breeding season in Seychelles, providing many foraging opportunities within the Seychelles Basin. The shearwaters from Seychelles exploited the Amirante Basin, East Somali Basin, and parts of the Seychelles archipelago. Shearwaters from D’Arros flew further east and foraged in the Mascarene Basin. Shearwaters from all populations foraged over deep, relatively unproductive waters with relatively high sea surface temperatures which are similar oceanographic features favoured by tuna. Foraging plasticity between individuals from different colonies was observed with varying flight bearings, flight durations and the maximum distances travelled from their respective colonies. Shearwaters displayed dissimilar levels of site fidelity, where shearwaters from Réunion faithfully foraged towards south east Madagascar, while shearwaters from Seychelles foraged over a wide range over the Seychelles Basin. Foraging effort for shearwaters from Fouquet was lower than shearwaters from Reunion and they spent less time at sea and foraged closer to their colony. These difference in behaviour responses between colonies may be advantageous to shearwaters, indicating that they may be able to respond to some level of environmental variability resulting from climate change and anthropogenic pressures. Lastly, during chick rearing, though shearwaters showed low levels of repeatability in flight characterising, foraging site fidelity was high amongst some of the individuals. Here we see that shearwaters continuously rely on permanent features, like seamounts and possibly fish aggregating devices, which are known to attract high abundances of tuna. Shearwaters may to some extent be relying on memory to find prey in a seemingly unpredictable environment. This study has helped us gain valuable insight about the foraging ecology of Wedge-tailed Shearwaters in the western Indian Ocean. Together with similar studies determining the at-sea behaviour of seabirds, better informed recommendations can be made to marine spatial planners as to where much needed pelagic marine protection should be implemented to preserve marine life in this fascinating part of the global ocean.
- Full Text:
- Date Issued: 2018
- Authors: Keys, Danielle Zuanda
- Date: 2018
- Subjects: Birds of prey -- Behavior -- South Africa -- Western Cape , Animal behavior , Wildlife conservation
- Language: English
- Type: Thesis , Masters , MSc
- Identifier: http://hdl.handle.net/10948/31251 , vital:31348
- Description: The distribution and abundance of prey largely influences how marine predators forage. Thus, understanding how marine predators respond to such changes becomes imperative when making decisions in marine spatial planning, especially in light of global climate change. Tropical marine systems are known for their relatively low productivity and high unpredictability of prey resources. Compared to higher latitudes, very few studies on seabirds have been implemented in the tropics. The Wedge-tailed Shearwater Ardenna pacifica is an Indo-Pacific tropical seabird with a wide distributional range. However, like many other seabirds, its population numbers are currently declining. Very little is known about the at-sea distribution of Wedge-tailed Shearwaters in the tropical western Indian Ocean. Therefore, this thesis investigates the foraging ecology of Wedge-tailed Shearwaters in the western Indian Ocean by tracking the fine scale movements of individuals at sea. This study was conducted in two different oceanic environments, namely D’Arros Island and Fouquet Island, St Joseph Atoll in the Amirantes Group in Seychelles archipelago as well as Réunion Island in the Mascarene archipelago during the Wedge-tailed Shearwaters breeding seasons. Here I aimed to investigate the foraging distribution of Wedge-tailed Shearwaters on Réunion Island in relation to different stages of the breeding period. I also compared the foraging ecology of all three populations, subjected to different abiotic and biotic factors. Furthermore, I investigated foraging site fidelity in individuals and repeatability within individual flight characteristics. To my knowledge, this is the first study to comprehensively investigate the foraging ecology of Wedge-tailed Shearwaters using global positioning system (GPS) loggers. This study demonstrated that the Wedge-tailed Shearwaters implement flexible foraging strategies throughout different stages of their breeding period and between different islands. In Réunion, during the shearwater breeding season, sexual segregation was prominent during early chick rearing and both sexes implemented dual foraging. As suggested by previous studies, it is likely that long trips were implemented for self-maintenance, whereas multiple short trips were implemented to meet the high energetic demands of the chicks. Several important foraging areas were identified for these Wedge-tailed Shearwaters. During incubation, shearwaters from Réunion faithfully foraged towards the south east of Madagascar near the East Madagascar Current and flew over large areas of the Mascarene Basin. During chick rearing, shearwaters significantly constricted their range closer to the colony and exploited deep waters on the south-west of Réunion Island. Shearwaters concentrated near oceanographic features such as the Pérouse Seamount (which is a known area of high productivity) as well as the Bourdonnais Ridge. There was no clear evidence for spatial or sexual segregation between individuals from the two study colonies in Seychelles during incubation and birds utilized a broader foraging range than birds from Réunion. This is likely to be the result of a large annual phytoplankton bloom which coincides with the shearwater breeding season in Seychelles, providing many foraging opportunities within the Seychelles Basin. The shearwaters from Seychelles exploited the Amirante Basin, East Somali Basin, and parts of the Seychelles archipelago. Shearwaters from D’Arros flew further east and foraged in the Mascarene Basin. Shearwaters from all populations foraged over deep, relatively unproductive waters with relatively high sea surface temperatures which are similar oceanographic features favoured by tuna. Foraging plasticity between individuals from different colonies was observed with varying flight bearings, flight durations and the maximum distances travelled from their respective colonies. Shearwaters displayed dissimilar levels of site fidelity, where shearwaters from Réunion faithfully foraged towards south east Madagascar, while shearwaters from Seychelles foraged over a wide range over the Seychelles Basin. Foraging effort for shearwaters from Fouquet was lower than shearwaters from Reunion and they spent less time at sea and foraged closer to their colony. These difference in behaviour responses between colonies may be advantageous to shearwaters, indicating that they may be able to respond to some level of environmental variability resulting from climate change and anthropogenic pressures. Lastly, during chick rearing, though shearwaters showed low levels of repeatability in flight characterising, foraging site fidelity was high amongst some of the individuals. Here we see that shearwaters continuously rely on permanent features, like seamounts and possibly fish aggregating devices, which are known to attract high abundances of tuna. Shearwaters may to some extent be relying on memory to find prey in a seemingly unpredictable environment. This study has helped us gain valuable insight about the foraging ecology of Wedge-tailed Shearwaters in the western Indian Ocean. Together with similar studies determining the at-sea behaviour of seabirds, better informed recommendations can be made to marine spatial planners as to where much needed pelagic marine protection should be implemented to preserve marine life in this fascinating part of the global ocean.
- Full Text:
- Date Issued: 2018
The fourth industrial revolution and human capital development
- Authors: Goldschmidt, Kyle
- Date: 2018
- Subjects: Technological innovations -- Economic aspects , Human capital , Intellectual capital , Economic development , Economic development -- Effect of education on , Fourth industrial revolution
- Language: English
- Type: text , Thesis , Masters , MCom
- Identifier: http://hdl.handle.net/10962/62483 , vital:28197
- Description: The focus of the Fourth Industrial Revolution has been on its implications on Human Capital and its need to develop “21st-Century Skills" through education to ensure future labour and capital complementarity. Human Capital combined with 21st-Century Skills, it is claimed, can together generate economic growth, jobs and propel an economy into the next Industrial Revolution. However, Schwab’s (2016) concept of the Fourth Industrial Revolution, make no distinction between the Average Worker and the Knowledge Elite and their relationship to each other and successful economic growth. The different nature of these skills is absent in the literature to date. A critical analysis of literature will be used to examine Schwab’s (2016) claim of a Fourth Industrial Revolution and assess how the Average Worker and the Knowledge Elite relate to the Fourth Industrial Revolution and 21st-Century Skills. The evidence is provided on how both the Average Worker and the Knowledge Elite are key contributors to economic growth and will be important in the Fourth Industrial Revolution.
- Full Text:
- Date Issued: 2018
- Authors: Goldschmidt, Kyle
- Date: 2018
- Subjects: Technological innovations -- Economic aspects , Human capital , Intellectual capital , Economic development , Economic development -- Effect of education on , Fourth industrial revolution
- Language: English
- Type: text , Thesis , Masters , MCom
- Identifier: http://hdl.handle.net/10962/62483 , vital:28197
- Description: The focus of the Fourth Industrial Revolution has been on its implications on Human Capital and its need to develop “21st-Century Skills" through education to ensure future labour and capital complementarity. Human Capital combined with 21st-Century Skills, it is claimed, can together generate economic growth, jobs and propel an economy into the next Industrial Revolution. However, Schwab’s (2016) concept of the Fourth Industrial Revolution, make no distinction between the Average Worker and the Knowledge Elite and their relationship to each other and successful economic growth. The different nature of these skills is absent in the literature to date. A critical analysis of literature will be used to examine Schwab’s (2016) claim of a Fourth Industrial Revolution and assess how the Average Worker and the Knowledge Elite relate to the Fourth Industrial Revolution and 21st-Century Skills. The evidence is provided on how both the Average Worker and the Knowledge Elite are key contributors to economic growth and will be important in the Fourth Industrial Revolution.
- Full Text:
- Date Issued: 2018
The fourth industrial revolution: assessing the intelligences of engineers in the South African automotive industry
- Authors: Kapp, Jaco
- Date: 2018
- Subjects: Technological innovations -- Economic aspects -- South Africa , Artificial intelligence , Emotional intelligence , Automobile industry and trade -- Economic aspects -- South Africa
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: http://hdl.handle.net/10948/22288 , vital:29937
- Description: The Fourth Industrial Revolution (4IR) is a new phenomenon that will impact human society drastically. It is complex, highly dynamic and constantly evolving at an everincreasing pace. To date the majority of research on the topic of the 4IR is focused on technological and scientific topics, with little to no work done on the human behavioural aspects such as intelligence. At the commencement of this paper only one other author published papers on the intelligences that are required to cope with the disruption associated with the 4IR. This paper is therefore the first known study paper which aims to determine the level of physical-, contextual-, emotional- and inspired intelligence of engineers in the South African automotive industry. Two comprehensive literature reviews were performed in this study. The first literature review aimed to create the context of this study by describing the historical significance, impact, drivers, critical emerging technologies and likely manufacturing scenarios of the 4IR. The second literature review investigated the theories of intelligence including the single factor approach as well as the theory of multiple intelligences. Additionally, the 4IR intelligence proposition is described and the application thereof in this study justified. A mixed method empirical study, consisting of 101 respondents, was conducted. Descriptive statistics were used to comprehensively describe the level of awareness, timeframe, emerging technologies and likely manufacturing scenarios. Furthermore, the thematic analysis of open-ended responses was used to identify the potential positive and negative implications associated with the 4IR. After the level and importance of the four intelligence components were established, inferential statistical tests were performed to establish the relationship between the four intelligences as well as to identify any deviance in the responses based on demographic variables. The study concludes by making various managerial recommendations that could be applied by managers in the automotive sector in order for their companies to survive and prosper in the disruption to be caused by the 4IR. As it is clear that the 4IR will have an impact upon the South African automotive industry in the very near future, it is of the utmost importance that this topic be included into the organisations’ strategic dialogues as a matter of urgency. This study found the level of perceived intelligence of South African engineers to be high. Additionally, this cohort indicated a heightened level of awareness and in-depth knowledge surrounding the 4IR. Therefore, this study recommends that organisations leverage these strategic resources to their fullest benefit. Joint 4IR task teams should be setup comprising of engineers and individuals from other departments such as Information Technology (IT) and Human Resources (HR). These teams should spearhead pilot projects in line with the advances associated with the 4IR. Management should further take into cognisance, monitor and pro-actively investigate the possible behavioural and psychological implications associated with the increased use of technology. It is therefore recommended that regular surveys, open dialogues and possible voluntary psychometric evaluations be conducted wherever these new technologies are piloted. This study also found that the 4IR might lead to the loss of unskilled jobs which would have a broader socio-economic impact. In sharp contrast to popular belief, humans will still play an important role in the 4IR and as such organisations should, therefore, openly commit to educating and upskilling their lower skilled employees in line with the needs of the 4IR as this would be mutually beneficial for the organisation and employees. This would demonstrate the companies’ long-term commitment to their lesser skilled employees and reassure them of their job security, thereby reducing the risk of job losses and potential industrial action.
- Full Text:
- Date Issued: 2018
- Authors: Kapp, Jaco
- Date: 2018
- Subjects: Technological innovations -- Economic aspects -- South Africa , Artificial intelligence , Emotional intelligence , Automobile industry and trade -- Economic aspects -- South Africa
- Language: English
- Type: Thesis , Masters , MBA
- Identifier: http://hdl.handle.net/10948/22288 , vital:29937
- Description: The Fourth Industrial Revolution (4IR) is a new phenomenon that will impact human society drastically. It is complex, highly dynamic and constantly evolving at an everincreasing pace. To date the majority of research on the topic of the 4IR is focused on technological and scientific topics, with little to no work done on the human behavioural aspects such as intelligence. At the commencement of this paper only one other author published papers on the intelligences that are required to cope with the disruption associated with the 4IR. This paper is therefore the first known study paper which aims to determine the level of physical-, contextual-, emotional- and inspired intelligence of engineers in the South African automotive industry. Two comprehensive literature reviews were performed in this study. The first literature review aimed to create the context of this study by describing the historical significance, impact, drivers, critical emerging technologies and likely manufacturing scenarios of the 4IR. The second literature review investigated the theories of intelligence including the single factor approach as well as the theory of multiple intelligences. Additionally, the 4IR intelligence proposition is described and the application thereof in this study justified. A mixed method empirical study, consisting of 101 respondents, was conducted. Descriptive statistics were used to comprehensively describe the level of awareness, timeframe, emerging technologies and likely manufacturing scenarios. Furthermore, the thematic analysis of open-ended responses was used to identify the potential positive and negative implications associated with the 4IR. After the level and importance of the four intelligence components were established, inferential statistical tests were performed to establish the relationship between the four intelligences as well as to identify any deviance in the responses based on demographic variables. The study concludes by making various managerial recommendations that could be applied by managers in the automotive sector in order for their companies to survive and prosper in the disruption to be caused by the 4IR. As it is clear that the 4IR will have an impact upon the South African automotive industry in the very near future, it is of the utmost importance that this topic be included into the organisations’ strategic dialogues as a matter of urgency. This study found the level of perceived intelligence of South African engineers to be high. Additionally, this cohort indicated a heightened level of awareness and in-depth knowledge surrounding the 4IR. Therefore, this study recommends that organisations leverage these strategic resources to their fullest benefit. Joint 4IR task teams should be setup comprising of engineers and individuals from other departments such as Information Technology (IT) and Human Resources (HR). These teams should spearhead pilot projects in line with the advances associated with the 4IR. Management should further take into cognisance, monitor and pro-actively investigate the possible behavioural and psychological implications associated with the increased use of technology. It is therefore recommended that regular surveys, open dialogues and possible voluntary psychometric evaluations be conducted wherever these new technologies are piloted. This study also found that the 4IR might lead to the loss of unskilled jobs which would have a broader socio-economic impact. In sharp contrast to popular belief, humans will still play an important role in the 4IR and as such organisations should, therefore, openly commit to educating and upskilling their lower skilled employees in line with the needs of the 4IR as this would be mutually beneficial for the organisation and employees. This would demonstrate the companies’ long-term commitment to their lesser skilled employees and reassure them of their job security, thereby reducing the risk of job losses and potential industrial action.
- Full Text:
- Date Issued: 2018