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International Journal of Scientific and Research Publications
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Table of Contents
Study of Insulin Resistance and Lipid Profile in Polycystic Ovarian Syndrome1
Dr.SUDHA AMBIGER.1
Seasonal soil micro-arthropod association in different habitats with special reference to a terrestrial isopod,
Phyloscia javanensis (Rich) ....6
Balamurali R. S, Sanalkumar M.G and Nandakumar S...6
Causes of Tyre failure on Road Traffic Accident; A case study of Takoradi Township ..30
Isaac Edunyah..30
Studies on the infections of Malaria, Human Immunodeficiency Virus and Hepatitis B Virus among
Secondary School Students in Enugu West ..36
Ekeleme Uzochukwu G, Kama Ugochukwu H., Otutu Elijah A, Ajunwa Kelechi V,
Oha Ndubuisi, Onuigbo C. Martin, Ndimele Eugene C...36
Clinical profile and Echocardiographic findings in patients with Atrial Fibrillation ...44
Dr. KBR Sastry, Dr. L Suneel Kumar, Dr. P. Anuradha, Dr. Bhageerath Raj,
Dr. M. A. Mujeeb Afzal...44
Tolerationology .48
Rawaa Mahmoud Hussain..48
Factors Affecting Customer Satisfaction on B2B Portals; A study on Chinese Businesses using online
Portals ...61
Kamran Khan, Syed Karamatullah Hussainy, Habibullah Khan..61
Canine parvovirus infection and pet owners perception: a case study in Cebu, Philippines ..77
Erlah Shermaine L. Roble, Rochelle Haidee D. Ybaez, Ryan S. Yandug III, Adrian P.
Ybaez...77
Knowledge on acute respiratory infection among Mothers of under five year children of Bhaktapur District,
Nepal .85
Meena Gyawali, BN, MPH, Rama Pahari, BN, Safala Maharjan, Bsc Nsg, , Dr Ravi Roshan
Khadka, MS Urology...85
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Determination of First Ionization Energy without Using Shell`S Mechanism of Electrons of All
Elements.93
Nirmalendu Das...93
Effect of different N: P: K ratios on the growth performance of Alternanthera sessilis (Var. Rubra):
implications on ornamental aquatic plant industry .106
A.S. Mahaliyana, M.F.A. Fasmina, G.M.G.M.M. Wickrama and A.M.T.B. Alahakoon...106
Characteristics of Traditional Houses in the Old Town of Kudus City, Indonesia 109
Agung Budi Sardjono, Gagoek Hardiman, Eddy Prianto.109
To Study the Clinical Profile and Etiological Spectrum of Patients with Splenomegaly in a Tertiary Care
Centre of North India ..120
PS Ghalaut, Sudhir Kumar Atri, Naresh Gaur , Suvrit Jain, Arvind Chahal, Isha Pahuja,
Divya Sahni.120
An Overview of Strategic Management: An Analysis of the Concepts and the Importance of Strategic
Management ....124
H.K.S. Hanasini Athapaththu...124
Study of Ambulatory Blood Pressures in Hypertensive medical personnel controlled on Drugs: A cross
sectional observational Study .128
Abhishek Singh, Krishna Kumar Sahani, Akshyaya Pradhan.128
Perspectives of Women on Strategies to Improve the Number of Male Partners Testing for HIV at
the Antenatal Clinic in Western Kenya, 2015 ....133
Elvis O. Oyugi, Walter Otieno, Jane Githuku, Dickens Onyango, Venny C.S. Nyambati.133
Challenges Inhibiting the Flourishing of Entrepreneurial Competencies of MSEs in Jimma Zone, Ethiopia
..137
Shabudin Shenura, Ashenafi Haile, Emnet Negash....137
State Formation in Colonial India: An Analysis of the Formation of Modern State of Jammu and
Kashmir ...153
Sameer Ahmad Bhat..153
Carbon Dioxide: Present Scenario, Future Trends and Techniques to Reduce Co2 Concentration in Air 158
Akash Kaintura, Manish Gusain.158
Bioacoustic Characteristics of Whistle Sounds and behaviour of male Indo-Pacific bottlenose dolphins
(Tursiops aduncus) in Indonesia .163
Muhammad Zainuddin Lubis, Sri Pujiyati, Totok Hestirianoto, Pratiwi Dwi Wulandari163
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Effect of organic manures, inorganic fertilizers and micronutrients on vegetative and floral characters of
tuberose (Polianthes tuberosa L.) cv. Suvasini ...170
T. Suseela, R. Chandrasekha, V. Vijaya Bhaskar, D. R. Salomi Suneetha and K.
Umakrishna...170
The Challenges of Pre-primary Education Organized in Primary Schools of Selected Districts of Jimma
Zone ....201
Temesgen Yadeta Dibaba..201
Rapid, Selective, Rugged and High throughput Simultaneous Method Development and Validation of
Pioglitazone and its Metabolites, M III and M IV in Plasma Using 96 well Plate Solid Phase Extraction and
Liquid Chromatography Coupled with Tandem Mass Spectrometry .214
Tangudu Nagabhusana Rao; Guntuku Girija Sankar; Lade Jyothi Rani...214
Assessment of the Level of Awareness and Limitations on the Use of Building Information Modeling in
Lagos State ..229
Akerele, Adebimpe O, Etiene Moses....229
Single Stage Management of Concomitant Gall Stones and Common Bile Duct Stones in the Laparoscopic
Era ...239
Sandeep Rajta, R.S.Jhobta, A.K.Malhotra, D.K.Verma, A.K.Kaundal, Gopal
Singh....239
The Ameliorative Effect of Ellagic Acid and Rosemarinic Acid against Cardio-nephrotoxicity Induced
by Doxorubicin in Rats ...249
Omar W. Maher, Raslan Y.A, Amany A.E. Ahmed, Eman M. Raafat, Gehan S.
Georgy.249
Shaikh Yaqub Sarfi of Kashmir: A Case Study of his literary and political contribution ..257
Sameer Ahmad Sofi...257
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The role of Change Management in the Implementation of a new system in Nonprofit Organization in
Oman ...262
Ahmed Al-Arafati..262
A Lexicon Based Sentiment Analyzer Framework for Student-Teacher Textual Comments 277
Khin Zezawar Aung...277
A Strategy to Reduce the Waiting Time at the Outpatient Department of the National Hospital in Sri Lanka
..281
P. A. D. Dilrukshi, H. D. I. M. Nirmanamali, G. H. J. Lanel, M. A. S. C. Samarakoon.281
Smoking Status and effects among the Students of Private University ..304
Dr.Khurshida Pervin.304
Estimation Daily Evaporation Employing Neural Network for Abu-garib Station, Baghdad,Iraq 322
Zahraa N. Mohsen.322
Comparative Analysis of Trading Between East Africa Community Member States and Local Markets
by Tanzanian Small and Medium Agro Enterprises ...326
Eliaza Mkuna and Andrew E. Temu...326
Farmers perceptions on climate change impacts in different rice production systems in Morogoro
Tanzania ..334
Victoria Jovin Mugula, and Eliaza Mkuna.334
Culture and Beliefs: Social Implication on Education of Women in Nsukka Local Government Area,
Enugu State, Nigeria ...341
Ewelum, Johnson Nnadi...341
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Government's Role in Improving Corporate Social Responsibility (CSR) Rehabilitation Home
Unlivable (RTLH) Sinarmas in Military Region VII /Wirabuana Makassar in the Perspective of
Governance .346
Deni Iskandar, Haselman, Hasniati, Gita Susanti..346
Execution Management Collaboration between the Government of South Sulawesi Province With
Regional Military Command (Kodam) VII / Wirabuana to Support the Achievement Overstock 2 Million
Tons of Rice ....353
Bachtiar, Sangkala, Haselman, Muhammad Yunus..353
A Comparison of Lung Functions between Supine, Comfortable Sleeping Positions and Uncomfortable
Sleeping Positions in Adult Males ..366
MVG Pinto, Anula Kariyawasam, Bhagya Thenuwara, Prabuddha VB Jayasinghe, Sasika K
Weerabahu, Senani U Dunukearachchi, Dhanoja LR Wijesinghe, AHMAH
Abayasinghe...366
Measuring Customer Loyalty Using Retention, Advocacy and Patronage as Key Denominators .375
Israel Kofi Nyarko, Matthew Opoku Agyeman-Duah, Vincent Asimah..375
Financing Options for Effects of Political Risk in Mining Industry in Kenya ...395
Nassim Salim Hadi.395
Phyto-Chemical Analysis, In-Vitro Antioxidant Potential and GC-MS of Lallemantia royleana Seeds ...407
Fatima Jasmine, Mansoor Shazia, Saadia M. Ali, Rehman Masihur and Mustafa Huma.407
Performance of MFIs and Their Role in Poverty Alleviation: The Case of Selected MFIs in Ethiopia 412
Arega Seyoum Asfaw.412
Assessment of Sexual and Reproductive Health Needs of Young People in Jimma College of Teachers
Education ........425
Temesgen Yadeta Dibaba..425
The importance of Supervisor Support for Employees Affective Commitment: An analysis of Job
Satisfaction ..435
Sadiya Ahmed Mohamed and Maimunah Ali.435
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Measures Implemented by The Troika for overcoming Great Financial Crisis in European Union ..440
Lion.440
Extraction and Characterization of Pectin From Selected Fruit Peel Waste ..447
Ermias Girma and Mr.Teshome Worku.447
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 1
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Assistant Professor, Department of Biochemistry , Universiti Sains Malaysia KLE International Medical Programme.Belgaum 590010,Karnataka.
Abstract- Polycystic ovarian syndrome is most common improper transfer of glucose to intracellular compartment and
endocrine disease and metabolic disorder in adolescence and this result in relative hyperglycemia, in spite of increased insulin
reproductive women. In PCOS women insulin resistance thought producing beta cells. In polycystic ovarian syndrome adipocytes
to be the uniting pathogenic factor in the development of glucose there is significant decrease in number of GLUT4 glucose
intolerance, obesity, lipid abnormalities, HTN and coronary transporters. 4
artery disease .This study is under taken to measure insulin Hyperandrogenism leads to increased hepatic lipase.1.In
resistance in PCOS and to see the relationship of insulin polycystic ovarian syndrome there is increased secretion of
resistance with lipid profile. Case control study was done taking VLDL particle by liver resulting in elevated TG
60 women PCOS and 60 age matched healthy women as concentration.5Insulin resistance and associated dyslipidemia are
controls. In all the subjects, concentrations of fasting plasma independent of obesity markers such as BMI, waist to hip ratio.3.
glucose, serum TG, serum TC and HDL were estimated using Overall prevalence of abnormal OGTT in polycystic ovarian
enzymatic methods in semiautoanalyser. Fasting serum insulin syndrome reproductive age women is 20%. It is probably
and measured by CLIA using Lumax-CLIA microplate reader. beneficial to screen IR in this specific group in order to provide
HOMA IR, serum LDL concentration, were calculated from optimum management.6
estimated parameters. The mean concentrations of all the This study is undertaken to find out prevalence of insulin
parameters were significantly increased in women with resistance in polycystic ovarian syndrome patients and to
polycystic ovarian syndrome when compared with healthy evaluate relationship of HDL-C, LDL-C, TC, TG with insulin
women except serum HDL concentration, which was resistance in polycystic ovarian syndrome patients.
significantly decreased. Insulin resistance was significantly
positively correlated with serum lipid profile and except with II. MATERIALS AND METHOD
serum HDL, which was significantly negatively correlated. This A study will be carried out for a period of one year. The patients
study suggests that insulin resistance in PCOS is associated with will be selected from Chigateri General Hospital and Bapuji
dyslipidemia. Hence in PCOS women if measurement of insulin Hospital, Davangere (both hospitals are attached to the teaching
resistance and serum lipid profile is done early, the disease institute JJM Medical College, Davangere).and private hospital
progression can be prevented and prevent future complications. in and around JJMMC Davangere.
. Study will be carried out in clinically 60 diagnosed cases of
Index Terms- Dyslipidemia, Insulin resistance, Lipid profile & polycystic ovarian syndrome and 60 age matched controls will be
Polycystic ovarian syndrome. selected based on inclusion and exclusion criteria.
Inclusion Criteria:
I. INTRODUCTION
Polycystic ovarian syndrome is most common CASES; patients between age 17-36yrs diagnosed as polycystic
endocrine disease and metabolic disorder in adolescence and ovarian syndrome having clinical features
reproductive women which is first reason for female
infertility 1.According to Rotterdam (2003) polycystic ovarian - oligomenorrea (35days)
syndrome is defined as having any two of following:
1) Oligo/anovulation - amenorrea (6months)
2) Clinical/biochemical signs of hyperandrogenism
3) Polycystic ovaries by scan with exclusion of other - hyperandrogenisum features like acne, hirsuitism, and
related disorder.2
In India polycystic ovarian syndrome affects 5-10% of -diagnosed polycystic ovaries by ultrasound
reproductive age women among them 76.9% manifest insulin
resistance3. Common age of presentation is 17-36 yrs (mean age CONTROLS; 17- 36 years females having normal menstrual
24.8)1. Insulin resistance defined as inability of known quantity cycle.
of exogenous or endogenous insulin to increase glucose uptake
and utilization in individual, as it does in normal individual. 1 Exclusion criteria.
In polycystic ovarian syndrome patients there is relative
inefficiency of insulin receptors binding to insulin which leads to
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 2
ISSN 2250-3153
Patients having history of diabetes mellitus, impaired Table 1: Comparision of Fasting plasma glucose, Fasting
glucose tolerance, serum Insulin and insulin resistance in study groups. Results
Pregnancy, breast feeding ,non fasting expressed as Mean SD.
Patients with untreated hypothyroidism, those on drug
treatment like antihypertensive, antiplatelet, lipid lowering
agents, drug affecting glucose &lipid metabolism, Fasting serum Fasting plasma HOMA-IR
congenital adrenal hyperplasia, cushing syndrome, Insulin glucose mg/dl
ovarian/adrenal androgen secreting tumors. (IU/ml)
After taking informed consent, under all aseptic precautions
about 5 ml of venous blood will be collected in a sterile bulb Control 9.33 3.08 94.3810.36 2.160.67
after overnight fasting of 12 hours. 2ml will be collected in
PCOS Cases 24.50 10.03 114.2030.38 7.294.08
EDTA vial (for plasma), 3ml in plain vial for (for serum) , it will
be subjected for centrifugation serum and plasma will be
p value <0.001 HS <0.001 HS <0.001 HS
separated. Insulin, Serum lipoproteins estimated from serum and
fasting glucose from plasma.
Fasting plasma glucose and Serum triglycerides measured by
Unpaired students t-test; p<0.001: Highly significant; p<0.05:
GOD POD method by Erba mannheim chem5 plus Semi Auto
significant
analyzer.Normal Fasting plasma glucose 70-110mg/dl. Normal
Serum TG levels :- 40-150 mg/dl .Serum Total cholesterol AND Prevalance of insulin resistance in PCOS cases
In insulin sensitive indivials HOMA IR value found to
serum HDL measured by CHOD PAP METHOD .Erba
be <2.77.In this study out of 60 PCOS cases, 45 cases HOMA IR
Mannheim Chem5 plus Semi Auto analyzerNormal Serum TC
value found to be more then 2.77. So prevalance of insulin
levels :- 150 -200 mg/dl, Normal Serum HDL levels :- 35-75
resistant cases in PCOS cases in this study is 45/60 i,e 75%.
mg/dl. serum LDL cholesterol calculated by 7:Friedwalds
The present study shows that the mean serum levels of
formula
LDLcholesterol(mg/dl)=Total cholesterol-HDL cholesterol-[triglycerides] triglycerides, total cholesterol and LDL cholesterol are
5 significantly increased in PCOS cases when compared to healthy
Normal serum LDL cholesterol concentration range: < 130 mg/dl controls (p<0.001,p<0.05&p<0.05 respectively) except the mean
serum fasting insulin estimated by chemiluminescence serum HDL cholesterol level which is significantly decreased
immunoassay. Normal value of fasting insulin: 5-25IU/ml. (p<0.05). (Table 2)
Calculation of insulin resistance by using HOMA model (HOMA Table2: Comparison of serum concentration of
-IR). 8 triglycerides(TG), total cholesterol (TC), HDL cholesterol
and LDL cholesterol among study subjects. Results expressed
HOMA -IR = (fasting plasma glucose in mg/dl x fasting serum insulin in iu/ml) as Mean SD
405
the subject is considered to have insulin resistance if HOMA-IR
HDL LDL
value is more than 2.7. TG(mg/dl) TC (mg/dl)
(mg/dl) (mg/dl)
Statistical analysis was done using SPSS software, version 17.0.
Descriptive data were presented as mean SD and range values. Control 124.9713.87 152.4325.78 53.845.18 73.5927.45
Unpaired student t test used to compare between cases and
controls. Relationship between insulin resistance and serum PCOS 202.4430.15 210.0536.96 33.716.74 135.8538.60
lipoproteins, was assessed by Pearsons correlation coefficient. cases
For all the tests, the probability value (p-value) of less than 0.05
was considered statistically significant. P value <0.001 ,HS <0.05 ,S <0.05,S <0.05,S
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 3
ISSN 2250-3153
200.00 CHOLESTEROL the normal range. However, with time the -cells become
150.00 mg/dl increasingly dysfunctional and fails to secrete enough insulin to
correct the prevailing hyperglycemia , resulting in increased
100.00
glucose level.82
50.00 In 2012 Mandrelle K and co-workers conducted study.
TRIGLYCERIDES
0.00 which aimed to evaluate the prevalence of metabolic syndrome
mg/dl
0.00 10.00 20.00 in women with polycystic ovary syndrome. They found that
hyperinsulinemia and insulin resistance are the common
HOMA IR
underlying metabolic abnormalities seen in PCOS and metabolic
syndrome 13.
Insulin resistance in PCOS is characterized by
DISCUSSION decreased sensitivity to insulin in peripheral tissues, notably
muscle and adipose tissue, but not in liver that is in contrast to
Polycystic ovary syndrome (PCOS) is the most frequent the insulin resistance of type II diabetes where hepatic resistance
endocrine disorder seen in pre-menopausal women, affecting 5 present. Hyperinsulinemia in women with the polycystic ovary
10% of this population. It is characterized by menstrual syndrome appears to reflect the hypersecretion of insulin itself,
irregularities and biochemical and/or clinical hyperandrogenism rather than of proinsulin and its split products.14
such as hirsutism, seborrhoea and acne. Regardless of the The cellular mechanism of insulin resistance in the
presence of obesity, many are also insulin resistant .9 polycystic ovary syndrome remains controversial. It may be
because of reduced binding of insulin to its receptor, whereas
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 4
ISSN 2250-3153
two recent studies using peripheral adipocytes (recognized target glucose and fasting serum insulin along with increased values of
cells for insulin action) have shown normal binding but reduced HOMA IR are seen in these patients when compared to healthy
insulin-mediated glucose transport, suggesting a postr eceptor women. This signifies presence of insulin resistance in women
defect. The mechanism underlying this phenomenon has not been with PCOS.
fully characterized, but decreased expression of the insulin- . Insulin resistance play a role in development of
dependent glucose-transporter protein GLUT-4 has been dyslipidemia in PCOS independent of obesity .The variation in
described. 14 lipoprotein causes a pathological status which may lead to
Quantitative insulin sensitivity check index (QUICKI) damage of tissues, tissue proliferation and cardiovascular
was developed to improve the sensitivity of fasting inflammation. Since dyslipidemia usally associated with insulin
measurements. QUICKI has been well correlated to clamp resistance in PCOS, It is of great clinical importance to
measurements in obese and non-obese patient. QUICKI also determine whether the PCOS patients are combined with insulin
demonstrates correlation with HOMAIR15. Because of resistance and to take treatments for insulin resistance for
infeasibility of euglycemic insulin clamp method, across globe symptom improvement and long-term prognosis in PCOS
HOMA method is regarded as gold standard test for measuring patients. PCOS symptoms can be improved if insulin resistance
insulin resistance in clinical practice and population based is controlled after lifestyle intervention and proper treatment.
research studies .There is a strong positive correlation between
HOMA IR and euglycemic insulin clamp IR.16 ACKNOWLEDGMENT
In a study conducted by Cheung L et al showed that I would like to express my sincere thanks to my guide and
high TG and low HDL-C are the characteristic types of teacher, Dr. Rekha .M M.D., Professor, Department of
dyslipidaemia seen in insulin-resistant subjects although the Biochemistry, J.J.M. Medical College, Davangere for her
presence of obesity exacerbates the insulin resistance state valuable advice, constant guidance and inspiration in the
associated with PCOS, even lean PCOS women have features of preparation of this work.
insulin resistance compared to age matched lean control
subjects17.Both insulin resistance and hyperandrogenemia
contribute to dyslipidemia in PCOS. Testosterone decreases
lipoprotein lipase activity in abdominal fat cells, and insulin
resistance impairs the ability of insulin to exerts its antilipolytic
effects by altering expression of lipoprotein lipase and hepatic
lipase.18 REFERENCES
In a study conducted by Shabir I et al showed that the 1. Xiang S, Hua F, Tang Y, Jiang X, Zhuang Q and Qian F
.Relationship between serum Lipoprptein ratio and insulin resistance
maximum subjects PCOS women as well as family members had
in polycystic ovarian syndrome. International journal of
dyslipidemia in the form of low HDL and high triglycerides.19 Endocrinology .2012;1155/17328
Insulin plays a key role in TG metabolism as it normally 2. Wilson EE .Polycystic ovarian syndrome and Hyperandrogenism .In:
reduces availability of large TGRLs particles, synthesized by a Schorge JO, Schaffer JI ,Hairorson LM ,Hoffman BL ,Bradshaw KD
and Cunningham FG. Williams Gynecoloy. New York: MC Graw
distinct pathway compared with smaller VLDL particles. In
Hill.2008;383-399
insulin resistant subjects, insulin fails to suppress synthesis of 3. Kalra A, Nair S ,Rai L et al. Association of obesity and insulin
large VLDL particles. In addition, insulin resistance is associated resistance with dyslipidemia in Indian women with polycystic ovarian
with increased flow of free fatty acid to liver, increased lipid syndrome. Indian J Med Sci. 2006;60(11):447-53
4. Aradhanna M, Venkatsena ,Dunaif A and Corbould A. Insulin
synthesis in the liver, and decreased clearance of VLDL
resistance in pcos progress & paradoxe. rphr.endojournal .org
particles, all of which increase VLDL concentrations in plasma. 5. Valkenburn O ,Regine P M ,Theuissens ,Huberdina P, Smedts M
Increased secretion of very low density lipoprotein (VLDL) ,Gessje M et al. A more atherogenic serum lipoprotein profile is
particles by the liver results in elevated plasma TG concentration. present in women with Pcos. J Clinical Endocrinal Meta. 2008;vol93:
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Subsequently TGs are exchanged for cholesterol esters by the
6. Wonwananuruk T, Rattanachaiyanont M, Indhavivadhana S et al.
activity of CE transfer protein. This process results in TG Prevalence and clinical predictors of insulin resistance in reproductive
enriched high density lipoprotein (HDL) particle that are aged thai women with polycystic ovary syndrome. International
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7. Nader R, Warnick G. Lipids, lipoproteins, apolipoproteins and other
are converted in to small dense LDL particle. 5,20
cardiovascular risk factors. In: Brutis C, Ashwood E, Bruns D (Edts).
As a consequence insulin resistance contribute to low Teitz Textbook of clinical chemistry and Molecular diagnostics, 4th ed.
HDL, high TG and high LDL. Due to reduced levels of HDL New Delhi: Elsevier. 2006; 903-981.
cholesterol, reverse transport of cholesterol to liver is impaired
leading to its reduced excretion. Therefore these patients have 8. Wallace TM, Levy JC and Mathews DR.Use and abuse of HOMA
modeling .DiabetesCare.2004;27:1487-95.
increased serum levels of total cholesterol. Hyperandrogenism
has been associated with increased hepatic lipase activity5,20. 9. Yilmaz M, Bukan N ,Ersoy R et al. Glucose intolerance, insulin
Thus, dyslipidemia may precede the association with insulin resistance and cardiovascular risk factors in first degree relatives of
resistance and increased risk for CVD.5,20 women with polycystic ovary syndrome. Human Reproduction.
2005;20(9):2414-2420
Conclusion 10. Poretsky L, Cataldo NA, Rosenwaks Z, Giudice LC. TheInsulin
This study shows close relationship between insulin Related Ovarian Regulatory System in Health and Disease. Endocr
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The significantly increased concentrations of fasting plasma
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 5
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15. Traub M. Assessing and treating insulin resistance in women with AUTHORS
polycystic ovarian syndrome. World J Diabetes. 2011;2(3):33-40 First Author
16. Arvind Kumar, poornima Tewari, Sibasis S. Sahoo and Arvind Kumar
Srivastaval .prevalence of insulin resistance:a prospective study in Dr.Sudha Ambiger M.D
north Indian population. Indian Journal of Clinical Biochemistry. Assistant professor,
2005:20:2010-17 Department of biochemistry
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syndrome in hong kong Chinese women with polycystic ovary
syndrome. Human Reproduction. 2008;23(6):1431-1438 Belgaum 590010
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 6
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Abstract- Population density, diversity, and species association of soil groups in general and species association of a soil
isopod Phyloscia javanensis in particular was studied. The monsoon season has maximum soil animal group density followed by post
monsoon and summer. The vertical migration and thermal sensitivity of most of the soil animals contributes to the decrease of
population density of most of the groups in summer in both ecosystems. The species under special study showed maximum
association in monsoon in both ecosystems and least during summer. This species has low association ability when compared with
others micro-arthropod groups. This is because the soft bodied animal often happens to be the prey of many of the soil macro
arthropods and Gastropods. So they always go to the seat of safety in the crevices of pebbles and stones. So their density will be
always low in the collecting samples.
Index Terms- Animal association, seasonal variation, soil macro invertebrates, isopod, Phyloscia
I. INTRODUCTION
T he soil is at the inter phase between the atmosphere and lithosphere. It also has an interphase with water bodies of fresh and salt
(Anderson et.al., 1978). The soil sustains the growth of many plants and animals and forms part of the biosphere. Soil macrofauna
includes vertebrate animals mainly of burrowing types such as mole and rabbits which live partially or wholly underground.
Microfauna represent small invertebrate animals included in the phylum annelida, arthropoda, nematoda and mollusca. The microbiota
includes the soil algae, bacteria, fungi and protophyta
Soil microfauna play an important role in all the decomposition process in the soil. The most important groups involved in
the turnover of organic matter are Arthropods and Annelids. Soil microarthropods include the Isopods, Arachnids Insects and
Myriapods. The more numerous are the mites and many of the insects present as adults and larvae. Mites and spring tails feed on plant
remains and fungi in the litter especially where thick mats build up agricultural land and undisturbed grassland. Their droppings
appear as characteristic pellets in the litter. They may also be found in the large pores. Some species of mites prey on spring tails
(Ulrich and Fiera, 2009, White, 1979,).
Many beetles and insect larvae live in the soil. Some of them feed saprophytically whereas others feed on living tissues and
are serious pests of agricultural crops. The termites have been called the tropical analogue of earth worms and indeed they are
important of all forms of litter-tree trunks, branches and leaves in the forests and especially the seasonal rainfall regions (Savanna) of
the tropics. Most species are surface feeders and build nests called termitaria by packaging and amenting together soil particles with
organic secretions and excrement (Anderson et. al., 1978, Wood, 1988). Millipedes feed on vegetation much of which in the form of
living roots, bulbs and tubers. Earthworms are more important in the consumption of litter than all other invertebrates. Earthworms
feed purely on dead organic matter (Bhatnagar, 1975).
Relevance of soil studies based on the relationship of soil organisms and their association had been a subject of curiosity
among pedologists for long time. Various types of soil organisms interact with each other. This interaction may be either interspecific
or intraspecific in nature (Choudhuri and Roy, 1970). Extensive data in this regard is quite helpful to arrive at conclusions. Present
study assesses the correlative basis for the association among the soil organisms, their density and diversity with special reference to
soil isopod, Phyloscia javanensis (Rich).
Experimental groups
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Soil animal groups of various orders inhabiting along with Phyloscia javanensis were selected for this study. Species
association of different groups in general and association of Phyloscia javanensis in particular were studied.
Collection of samples
Soil samples were collected from eight different sites of Chengannur Taluk of Central Kerala, of which four were grasslands
and other four were agricultural land respectively from 2013 June to 2014 February. Samples were collected in three seasons viz
monsoon (June-August), post monsoon (September- November) and summer (December February). Ten samples of moist surface
soil were collected from each study site using a soil auger (25cm2 area). The collected soil samples were transferred to polythene
cover and brought to the soil laboratory. The soil samples were then taken to the Berlesse funnel apparatus and the animals were
extracted in beakers containing 2% picric acid. After the extraction of animals, they were identified order wise with the help of a
dissection microscope and their numbers counted. The population density (mean SD in m2) of each group was then calculated.
Association study
Ten samples were collected from each habitat during different seasons. Presence or absence data for a pair of group were
considered to find out the association between species. The method described by Robert (1974) was followed to find out association
coefficient (C). The data were arranged in a 22 contingency table and the association coefficient was calculated as follows:
If bc > ad > a then, C = ad bd
(a+b) (a+c)
If ad > bc then, C = ad bc
(a+b) (b+d)
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Table 2
Population density and diversity of soil organisms at different sites in the grassland community during post monsoon
(Mean + SD per m2)
Two way Anova conducted revealed that there is significant difference in the population density of different groups of
animals (F = 60.4254, P< 0.05) and no significant difference between the density of same group of animals at different sites (F =
1.0668, P> 0.05)
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A two way Anova conducted showed that there is significant difference in the population density of different animal groups
(F = 65.232, P< 0.05) whereas no significant difference was found in the density of same animal groups at different sites (F = 0.8955,
P> 0.05)
Table 4
Population density and diversity of soil animals at different sites of agricultural land community during monsoon season
(mean + SD per m2)
A two way Anova conducted showed that there is significant difference in the density of different groups (F = 40.465, P <
0.05) and no significant difference in the density of same groups at different sites (F = 1.419, P> 0.05).
Table 5
Population density and diversity of soil animals at different sites of agricultural land community during post monsoon
(mean + SD per m2)
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Two way anova conducted with this data showed a very significant difference in the population density of different animal
groups (F = 32.115, P<0.05) and no significant difference between the population density of animal groups at different sites (F =
0.148, P> 0.05).
Table 6
Population density and diversity of soil animal groups at different sites in the agricultural land community during summer
(mean + SD per m2)
Two way anova conducted with this data showed a very significant positive difference in the density of different animal
groups (F = 63.21, P< 0.05) and no significant difference in the population density of same animal groups at different sites (F =
1.9365, P>0.05)
SPECIES ASSOCIATION
Table 7
Species association coefficient between different animal groups in the grass -land soil during monsoon season
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Hymenoptera
Collembola
Gastropoda
Coleoptera
Orthoptera
Pauropoda
Diplopoda
Annelida
Isoptera
Isopoda
Acari
Acari - +1 +1 0 +1 +1 -1 -1 -1 0 -1
Diplopoda +1 - +1 0 +1 +1 0 -1 -1 +1 +1
Isopoda +1 +1 - +1 +1 +1 0 0 +1 +1 -1
Annelida 0 0 +1 - +1 +1 0 -1 +1 +1 -1
Collembola +1 +1 +1 +1 - +1 +1 -1 0 -1 +1
Hymenoptera +1 +1 +1 +1 +1 - +1 +1 +1 -1 -1
Isoptera -1 0 0 0 +1 +1 - +1 +1 0 -1
Orthoptera -1 -1 0 -1 -1 +1 +1 - +1 -1 -1
Coleoptera -1 -1 +1 +1 0 +1 +1 +1 - +1 -1
Gastropoda 0 +1 +1 +1 -1 -1 -1 -1 +1 - +1
Pauropoda -1 +1 -1 -1 +1 -1 -1 -1 -1 +1 -
Table 8
Species association coefficient between different animal groups in grassland soil during post monsoon
Hymenoptera
Collembola
Gastropoda
Coleoptera
Orthoptera
Pauropoda
Diplopoda
Annelida
Isoptera
Isopoda
Acari
Acari - +1 +1 +1 +1 0 0 -1 -1 -1 -1
Diplopoda +1 - +1 +1 +1 +1 0 0 0 -1 -1
Isopoda +1 +1 - +1 +1 +1 0 -1 +1 -1 0
Annelida +1 +1 +1 - +1 +1 +1 -1 0 +1 +1
Collembola +1 +1 +1 +1 - 0 0 -1 +1 +1 +1
Hymenoptera 0 +1 +1 +1 0 - 0 -1 -1 0 +1
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Isoptera 0 0 0 +1 0 0 - +1 +1 0 +1
Orthoptera -1 0 -1 -1 -1 -1 +1 - +1 0 +1
Coleoptera -1 0 +1 0 +1 +1 +1 +1 - 0 +1
Gastropoda -1 -1 -1 +1 +1 0 0 0 0 - 0
Pauropoda -1 -1 0 +1 +1 +1 +1 +1 +1 0 -
Table 9
Species association coefficient between different animals groups in grassland soil during summer season
Hymenoptera
Collembola
Gastropoda
Coleoptera
Orthoptera
Pauropoda
Diplopoda
Annelida
Isoptera
Isopoda
Acari
Acari - +1 +1 +1 +1 +1 0 0 +1 0 +1
Diplopoda +1 - +1 +1 +1 +1 +1 0 +1 0 +1
Isopoda +1 +1 - +1 +1 +1 0 0 +1 +1 0
Annelida +1 +1 +1 - +1 +1 +1 0 +1 0 0
Collembola +1 +1 +1 +1 - 0 0 +1 +1 0 -1
Hymenoptera +1 +1 +1 +1 0 - -1 -1 +1 +1 0
Isoptera 0 +1 0 +1 0 -1 - -1 +1 0 -1
Orthoptera 0 0 0 +1 -1 -1 - +1 +1 -1
Coleoptera +1 +1 +1 +1 +1 +1 +1 +1 - +1 -1
Gastropoda 0 0 +1 0 0 +1 0 +1 +1 - +1
Pauropoda +1 +1 0 0 -1 0 -1 -1 -1 +1 -
Table 10
Species association coefficient between different animal groups in agriculture soil during monsoon season
Hymenoptera
Collembola
Gastropoda
Coleoptera
Orthoptera
Pauropoda
Diplopoda
Annelida
Isoptera
Isopoda
Acari
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Acari - +1 +1 +1 +1 +1 -1 -1 0 -1 +1
Diplopoda +1 - +1 +1 +1 +1 +1 0 +1 0 +1
Isopoda +1 +1 - +1 +1 +1 +1 0 +1 +1 +1
Annelida +1 +1 +1 - 0 0 -1 -1 0 0 -1
Collembola +1 +1 +1 0 - +1 +1 -1 0 -1 -1
Hymenoptera +1 +1 +1 0 +1 - +1 -1 0 +1 +1
Isoptera -1 +1 +1 -1 +1 +1 - +1 +1 -1 0
Orthoptera -1 0 0 -1 -1 -1 +1 - +1 0 +1
Coleoptera 0 +1 +1 0 0 0 +1 +1 - 0 -1
Gastropoda -1 0 +1 0 -1 +1 -1 0 0 - -1
Pauropoda +1 +1 +1 -1 -1 +1 -1 +1 +1 -1 -
Table 11
Species association coefficient between different animal groups in the agriculture soil during post monsoon
Hymenoptera
Collembola
Gastropoda
Coleoptera
Orthoptera
Pauropoda
Diplopoda
Annelida
Isoptera
Isopoda
Acari
Acari - +1 +1 +1 +1 +1 +1 +1 +1 +1 +1
Diplopoda +1 - +1 +1 0 0 +1 -1 -1 +1 0
Isopoda +1 +1 - +1 0 0 +1 -1 0 0 -1
Annelida +1 +1 +1 - +1 +1 0 0 +1 -1 0
Collembola +1 0 0 +1 - +1 +1 -1 0 -1 0
Hymenoptera +1 0 0 +1 +1 - -1 -1 -1 -1 +1
Isoptera +1 +1 +1 0 +1 -1 - +1 -1 0 -1
Orthoptera +1 -1 -1 0 -1 0 +1 - +1 0 0
Coleoptera +1 -1 0 +1 0 -1 -1 +1 - +1 -1
Gastropoda +1 +1 0 -1 -1 -1 0 0 +1 - +1
Pauropoda -1 0 -1 0 0 +1 -1 0 -1 +1 -
Table 12
Species association coefficient between different animal groups in the agriculture soil during summer season
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Hymenoptera
Collembola
Gastropoda
Coleoptera
Orthoptera
Pauropoda
Diplopoda
Annelida
Isoptera
Isopoda
Acari
Acari - +1 +1 +1 +1 +1 +1 -1 +1 0 +1
Diplopoda +1 - +1 +1 +1 0 0 +1 +1 0 +1
Isopoda +1 +1 - +1 +1 0 0 +1 +1 0 +1
Annelida +1 +1 +1 - -1 0 -1 +1 0 +1 -1
Collembola +1 +1 +1 -1 - +1 +1 +1 +1 +1 +1
Hymenoptera +1 0 0 0 +1 - +1 0 +1 -1 -1
Isoptera +1 0 0 -1 +1 +1 - +1 0 +1 +1
Orthoptera -1 +1 +1 +1 +1 0 +1 - -1 -1 0
Coleoptera +1 +1 +1 0 +1 +1 0 -1 - +1 0
Gastropoda -1 0 0 +1 -1 -1 +1 -1 +1 - +1
Pauropoda +1 +1 +1 -1 -1 -1 +1 0 0 -1 -
Table 13
Species association of Phyloscia javanensis with others groups during different seasons in the grassland soil
Hymenoptera
Collembola
Gastropoda
Pauropoda
Diplopoda
Annelida
Isoptera
Isopoda
Acari
Phyloscia javanensis
(Monsoon) 0 +1 +1 +1 +1 +1 +1 +1 +1
Phyloscia javanensis
(Post monsoon) +1 0 0 +1 0 -1 +1 -1 -1
Phyloscia javanensis
(Summer) -1 +1 +1 -1 0 -1 -1 0 -1
Agricultural Soil
In the monsoon season Phyloscia has significant positive association with Acari, Isopoda and Hymenoptera. In the post
monsoon Lobella associate positively with Acari, Hymenoptera and Isoptera. In summer it associates with only Acari (Table 14).
Table 14
Species association of Phyloscia javanensis with other groups during different seasons in the agriculture soil
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Hymenoptera
Gastropoda
Orthoptera
Pauropoda
Diplopoda
Annelida
Isoptera
Isopoda
Acari
Phyloscia javanensis
+1 +1 +1 0 0 -1 -1 0 -1
(Monsoon)
Phyloscia javanensis
+1 0 +1 +1 -1 -1 0 0 -1
(Post monsoon)
Phyloscia javanensis
+1 0 0 0 -1 -1 0 -1 0
(Summer)
The population density of most of the soil animal groups was well represented in the grassland soil during monsoon. The low
density of Orthoptera and Isoptera in soil was due to their adult life in air. Diplopodans were highly found during the monsoon, which
is the active feeding time of this group. The young leaves of grasses are the prime food of Diplopodans. (Ellis, 1971).
Post-monsoon temperature of soil favours the reproduction and multiplication of soil micro arthropods (Andren, 1984). This
accounts for the rapid increase in the density of Collembolan during post monsoon. During post monsoon Coleopterans go very deep
into the soil for egg laying (Joffe, 1949). This is the reason for the low population density of this group during post monsoon.
In summer most of the soil animals show vertical migration. They go very deep into the soil to avoid extreme temperature
rise of the top soil. This is the reason for the low population density of soil animal groups in both grasslands and agricultural soil.
Comparatively grassland soils showed more population density of most of these animal groups when compared to
agricultural land soil. This may be due to the undisturbances of the grassland soil when compared to agricultural soil.
The population density of different groups showed drastic variations in the number among different groups but no significant
difference among same groups at different sites as revealed by anova tests. This showed that even distribution of species in the soil
and dominance and over dominance of certain species over the other.
The species association revealed that maximum possible association was found in the monsoon season in both agricultural
land and grass land. This is due to the multiplication and reproductive timing of most of the soil groups (Kuhnelt, 1961). The least
possible maximum association in summer was observed for many of the soil of animal groups. This is due to aestivation and vertical
migration of most of the prominent group of animals. The group Acari and Collembola showed maximum association in all seasons in
both grassland and agricultural soil because both groups can tolerate a wide range of temperature and moisture content of soil (Lal,
1987).
The isopod Phyloscia javanensis is a soft bodied animal showing high degree of vertical migration. The seasonal variation of
this species is also drastic and the reproductive timing coincides with monsoon (Kurup, 1982). This is the reason for maximum
possible positive association of this species with other groups in monsoon at both grassland and agriculture soil and least association
during post monsoon and summer.
REFERENCES
Anderson, R.V., Elliot, E.T., Mc Clellan, J.F., Coleman, D.C. and Cole, C.V. (1978) Trophic interaction in soils as they affect
energy and nutrient dynamics. Microb. Ecol., 4: 361 -371
Andren (1984) Introduction in soil mesofauna of arable land and its significance for decomposition of organic matter. Report No. 16,
Sweedish University of Agricultural Sciences, Dept. of Ecology and Environmental Research, Uppsala, pp. 6-16, In: Advances in
management and conservation of soil fauna (Eds.: G.K. Veeresh, D. Rajagopal and C.A. Viraktamath). Oxford and. IBH Publishing
New Delhi.
Bhatnagar, R. (1975) As mentioned by K.E Lee The Role of soil fauna in Nutrient Cycling In: Advances in management and
conservation of soil fauna (Eds.: G.K. Veeresh, D. Rajagopal and C.A. Viraktamath). Oxford and. IBH Publishing New Delhi
Choudhuri, D.K. and Roy, S (1970) Interactions between Soil Collembola and other Subterranean Arthropods. Sci. and Cult., 36:
280-282.
Ellis, R.J. (1971) Notes on the biology of the isopod Asellus tomalensis Harford in an intermittent pond. Trans. Amer. Microscopical
Soc., 90 (1): 51-61.
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Joffe, J.S. (1949) Pedology, 2 nd Edn. Pedology Publications, New Burnswick, NY, 622p.
Kuhnelt, W. (1961) Soil Biology. Faber, London: 397 pp.
Kurup, N.C. (1982) Some aspects of the reproductive biology of collembola ( Apterygota : Insecta) Ph. D Thesis, University of
Kerala. Trivandrum, India
Lal, R. (1987) Tropical Ecology and Physical Edaphology. John Wiley and Sons, Chichester, NY. 732 pp.
Robert, L. (1974) Ecology and Field Biology. (2ndEdn.) San Francisco: Benjamin/ Cummings. 850 pp.
Ulrich, W. and Fiera, C. (2009) Environmental correlates of species richness of European springtails (Hexapoda: Collembola)., Acta
Oecologica, 35: 45-52.
White, R.E. (1979) Introduction to the Principles and Practice of Soil Science. Blackwell Scientific Publication, UK.
Wood,T.G. (1988) Termites and the soil environment. Biology and Fertility of Soils, 6:228-236.
AUTHORS
First Author Dr. Balamurali R.S., M.Sc., M.Phil., Ph.D.
Postgraduate and Research Department of Zoology, Mahatma Gandhi College, Thiruvananthapuram, Kerala, India
drbala@mgcollegetvm.ac.in
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 17
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Retired Principal, (Associated with International Institute for Development Studies, Kolkata
Abstract- The paper studied that Indias agricultural share in take Salai-i-Martin model (1996) for analysis. We used Johansen
GDP has been steadily declining at the rate of 1.69% per year , (1988) model for cointegration and Johansen (1991,1996) model
the industrial share in GDP in India has been catapulting at the for VAR Analysis. We have done Granger Causality test by
rate of 0.93% per year and the service sector share in GDP in using Granger Model(1969). We have taken data on GDP growth
India has been increasing at the rate of 0.747% per year from rate and the shares in agriculture, manufacture and service sector
1950-51 to 2013-14 which are statistically significant. The in GDP in during 1950-51-2013-14 from the Planning
sectoral shares have weak cointegration but the shares showed Commission of India .Assume , x 1 = agricultural share in GDP ,
the bidirectional causality with growth rate. The VAR model is x 2 = Manufacturing sector share in GDP ,X 3 =share of service
stable showing significant relation with previous period but sector in GDP, y= GDP growth rate.
impulse response functions are diverging and the residuals are
not normal which was tested by Doornik-Hansen normality
test.VECM showed that errors have been correcting speedily and III. LITERATURE REVIEW
the model is stable since AR polynomial roots lie inside the unit Kuznets (1966) examined these three categories in more
root circle. The sectoral shares and GDP growth rate have detail and added the analysis of sectoral shares of GDP and was
significant Beta convergence but insignificant sigma able to empirically demonstrate that growth is brought about by
convergence in India during 1950-51-2013-14 which is not suited changes in sectoral composition. He provided the historical
for sustainable development in India. empires and conceptual framework for the structural
transformation, although he used no econometric techniques.
Index Terms- Sectoral shares,Economic Singariya and Sinha(2015) examined causal relationship
growth,Convergence,Cointegration,VAR,VEC among per capita GDP, agriculture and manufacturing sector
output in India using time series data collected from CSO for the
period 1970 to 2013. It reveals that there exists bidirectional
I. INTRODUCTION causality between agriculture sector and per GDP, while the
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 18
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sector has seen a steep decline during this period. It indicates that backward linkages to the service sector and other sectors of the
some states were able to shift their labour force from low economy.
productivity agriculture to higher productivity industry and For India recent papers reach contradictory conclusions.
service sectors, and to increase productivity within those sectors. Katuria and Raj (2009) examined the engine of growth
Ghate,Glomm and Liu(2012) studied the sectoral allocation of hypothesis at regional level for the recent period and conclude
public infrastructure investments in the agriculture and that more industrialised regions grow more rapidly. On the other
manufacturing sectors in India. In addition to the changing hand, Thomas (2009) concluded that services have been the
employment and output shares of these two sectors, the capital prime mover of growth resurgence in India since the 1990s.
output ratio in agriculture in India has fallen, while it has risen in Chakravarty and Mitra (2009) find that manufacturing is clearly
manufacturing. To match these observations they construct a two one of the determinants of overall growth, but construction and
sector OLG model with Cobb-Douglas technologies in both services also turn out to be important, especially for
sectors. The preferences are semi-linear. They later extend the manufacturing growth.
analysis to allow for a CES production function in the The paper of Mukherjee(2012) shows that services is the
manufacturing sector. They conduct several policy experiments fastest growing sector in India, contributing significantly to GDP,
on the sectoral allocation of infrastructure across agriculture and GDP growth, employment, trade and investment. Labour
manufacturing. They found: 1. The growth maximizing share of productivity in services is the highest and it has increased
public capital going to agricultural is small with about 10%. This overtime. India is a major proponent of liberalizing services both
fraction stays constant even in the face of the relative decline of in the WTO and in its bilateral trade agreements. Economic
the agricultural sector. 2. The optimal funding level for public growth has slowed down. Growth in employment in services has
infrastructure is far bigger than the one suggested by one sector not been commensurate with the share of the sector in GDP.
growth models. 3. Growth rates are decreasing in manufacturing Although India is portrayed as a major exporter of services, its
tax rates and increasing in agricultural tax rate. rank among WTO member countries in services exports is lower
This study of Pais (2014) than that of Chinas and its export competitiveness concentrate in
attempts to understand the growth and structure of the services few sectors and a few markets. The paper identifies a number of
sector in India through the analysis of the subsectors within the s barriers faced by the services sectors and suggests policy
ervices sector at a level of disaggregationthat has so far not been measures, which, if implemented, will lead to inclusive growth,
adequately analysed in the literature. It identifies subsectors wit increased productivity, generate quality employment, increase
hin services that have contributed mainly to GDP growth. trade and investment, and enhance Indias global competitiveness
The study of Hussain and Yik(2012) examines the in services.
contribution of economic sectors to economic growth in India Bharati Singh (2012) stated that till the decade of 1990s
and China by using time series data from 1978 to 2007. Three many studies raised doubts about the sustainability of service-led
economic sectors were analyzed: agricultural sector, growth in India. Most often it was stated that growth in
manufacturing sector and services sector. Augmented Dickey- manufacturing is required to give a boost to services,
Fuller (ADF) unit-root test shows that the time series data are employment growth, income generation, and trade balance. It is
stationary at first difference. Then, correlation analysis indicates now increasingly being realized that the resilience of the Indian
that each economic sector has strong, positive and significant economy is due to the resilience of the services sector. Numerous
linear relationship with economic growth in China and India. In studies since 2000s have shown that services induced growth of
addition, the results of multiple regression analysis show that GDP of India is feasible. The service-led growth model is
agriculture, manufacturing and services sectors have positive sustainable not only from the economic perspective but from
relationship with GDP per capita in China and India. social and environmental perspectives as well. To realize the
Gordon and Gupta(2012) analyzed the factors behind the maximum potential from high growth of services India should
growth of the services sector in India because growth make investment in education, entrepreneurship, technology,
acceleration of the services in the 1990s was mostly due to fast modern means of communication and transportation, and social
growth in communication services, financial services, business development. Policy reforms should be initiated to liberalise the
services (IT) and community services. While factors such as a service sub-sectors like trade (retail and wholesale), financial
high income elasticity of demand for services, increased input services, and software services that will help in faster growth
usage of services by other sectors, and rising exports were through attraction of FDI. So also, labour reforms are desirable to
important in boosting services growth in the 1990s, supply side take advantage of the demographic dividend.
factors including reforms and technological advances also played The paper of Behera (2012) analyses the trends in sectoral
a significant role. The large growth potential of Indian services shares in state domestic product and inter-sectoral linkages in
exports is well known, but the paper finds that there is also Odisha for the period 1980-81 to 2011-12. Results drawn from
considerable scope for future rapid growth in the Indian service Granger causality test suggest that there is a weak linkage
economy provided that deregulation of the services sector between primary and secondary sectors in the growth process. In
continues. The paper shows that employment growth in the the case of primary and tertiary sector services, though the
Indian services sector has been quite modest, thus underscoring primary sector does not show linkages with the tertiary sector as
the importance of industry and agriculture also growing rapidly. a whole, it does have linkages with some important sub-services
Tregenna (2007) analyses the role of manufacturing in like trade, hotel and restaurant services. Between secondary and
South African economic development and concludes that sub-sector of tertiary sectors, there is an independent relationship
manufacturing has been especially important through its strong of industry with trade, hotel and restaurant, and community,
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 19
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social and personal services. However, there is a unidirectional Hamid and Hye(2012) verified that the structural changes of
causality between secondary to finance, insurance, real estate and an economy entail that in the long run, the dynamics of sector
business services on one hand and transport, storage and shares (industrial, agricultural and services) are related to each
communication to secondary sector on the other. The long-run other and to economic growth as well. In this study, the
cointegration results show a strong relationship between hypothesis that there is a long-term relationship between
secondary and TSC services in the economy on one hand and agricultural growth and other economic sectors growth is tested
independent long run relationship within FIRB on the other. for the case of Iran, using autoregressive distributed lag model
However, results based on error correction model indicate a weak (ARDL) and variance decomposition analysis also. The time
association between the sectors in the short run. Though the series data consists of data for the period 1959-2010. The results
linkage is significant between the sectors, but it is not linked with indicate that the long run relationship exists when the variables
three sector analysis where primary sector is completely missing gross domestic product (Y), industrial value added (IN),
for a relatively faster adjustment towards long run equilibrium agricultural value added (AG), services value added (SS) and oil
rate of growth. and gas value added (O and S) remain to be dependent variables.
Vijay Subramaniam and Michael Reed (2009) estimated an The long run elasticity also shows that one percent increase in
econometric model that incorporates the linkages among the value added of IN, AG, SS and Oil and Gas, will cause the gross
sectors (agriculture, manufacturing, and service) using a Vector domestic product to increase by 0.216, 0.091, 0.431 and 0.156
Error Correction Model (VECM). This procedure is employed to percent respectively.
identify the existence of long-run and short-run relationships The study of Ahmed,Amjad and Amber(2013) empirically
among different sectors in the economies of Poland and tested the relationship between sectoral shares and economic
Romania. The empirical findings from the analysis confirm that growth by using the panel data for 20 developed countries. The
the different sectors in the Romanian and Poland economies results of the granger causality suggest that both services and
moved together over the sample period, and for this reason their agriculture sectors do granger cause economic growth, whereas
growth was interdependent. This implies that once the sectors industrial sector does not granger cause growth. Reverse
deviate from the stable, long-run path the sectors have the causality does not hold for any of the three sectors. The results of
tendency to return to the long-run equilibrium. Barro and Non-Barro regressions along with the set of control
Kularatne and Sivarajasingham(2015) studied that the Sri variables have suggested that services sector is negatively
Lankan economy has been undergoing structural changes for the affecting growth, whereas both industrial and agriculture shares
last few decades. The existence of dynamic linkages among the are positively affect economic growth.
three major sectors- agriculture, industry and services of the Sri
Lankan economy are examined in this paper for the period of
1960-2011. They employed graphical analysis including scatter IV. OBSERVATIONS FROM THE ECONOMETRIC MODELS
plot, line graph, Confidence Ellipse and Nearest Neighbor fit to [A] General Econometric relations
identify the basic features and the relationship between selected According to semi log linear model, Indias agricultural
variables. The dynamic sectoral growth linkage results suggested share in GDP has been steadily declining at the rate of 1.69% per
the existence of inter-linkages across different sectors of the year from 1950-51 to 2013-14 which is statistically significant.
economy. ADF test and PP test were used to test the unit root The estimated regression equations are given below. The actual
characteristics of the time series variables. Inter temporal agricultural share and its linear downward trend line are shown in
correlation results show that there exists a high the Fig-1.
positive statistically significant correlation between all sectors. Log(x 1 )=4.025345-0.016972t
Engel-Granger (EG) co-integration test provides further evidence (195.88)* (-31.562)*
for this. Error correction model estimates indicate that short run R2=0.9414 , F=996.1778* ,DW=0.2517 , x 1 = agricultural share
changes in Industry GDP have a positive impact on short run in GDP,* =significant at5%
changes in Agriculture and services GDP. The results of
Granger-causality test suggested that services growth causes Fig-1: Trend line of Indias agricultural share
agricultural and industrial growth significantly. The findings 4.4
.1 3.2
Johnsons co-integration test indicates that there is an existence
of cointegration between GDP and Agriculture Sector. Hence, it .0 2.8
can be inferred that the agriculture sector and GDP have long-run -.1
equilibrium relationship between them. When Granger causality
test is conducted with 2 years of lags and 3 years of lags, there is -.2
55 60 65 70 75 80 85 90 95 00 05 10
an existence of causal relationship in both the directions between
year(t)
GDP and agriculture sector at 10% level of significance. It
indicates that GDP granger cause agriculture sector and at the Residual Actual Fitted
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 20
ISSN 2250-3153
The industrial share in GDP in India has been catapulting at R2=0.1132 , F=7.788* ,DW=1.98, Y= GDP growth rate,X 1 =
the rate of 0.93% per year from 1950-51 to 2013-14 which is agricultural share in GDP,*=significant at 5% level
significant .The estimated semi log linear equation is given
below.The upward linear trend line is shown in Fig-2. Fig-4: Estimated line between agricultural share and GDP
Log(x 2 )=2.8090+0.009364t growth rate
4
(140.2039)*(17.86)*
2
R2=0.8372 ,F=319.04 ,DW=0.2152 ,x 2 = industrial share in 0
GDP,*= significant at 5% level -2
-4
log(x1)
2
log(y)
3.6 -8
0
-2
3.4
-4
3.2 -6
.2
-8
3.0
-10
log(x2)
.1
55 60 65 70 75 80 85 90 95 00 05 10
2.8
.0 year(t)
2.6
-.1 Residual Actual Fitted
-.2
Source-Computed by author
-.3
55 60 65 70 75 80 85 90 95 00 05 10
year(t)
Again ,according to the double log model , it was estimated
that one percent increase in industrial share per year led to
Residual Actual Fitted
4.6147% increase in GDP growth rate per year from 1951-52 to
2013-14 which is statistically significant.The estimated trend line
Source- Computed by author is given in Fig-5.
Similarly, the service sector share in GDP in India has been Log(y)=-12.30655+4.6147log(x 2 )
increasing at the rate of 0.747% per year during 1950-51-2013- (-4.0891)* (4.80517)*
14.The estimated line is significant and is given below.The R2=0.2745 , F=23.089 , DW=2.4405 ,y=GDP growth rate ,
upward trend line is also shown in the Fig-3. x 2 =industrial share in GDP,*=significant at 5% level
Log(x 3 )=3.5075+0.007478t
(287.39)*(23.4149)* Fig-5: Estimated line between growth rate and industrial
R2=0.898 ,F=548.256 ,DW=0.429 ,X 3 = service sector share in share
GDP,*=significant at 5% 4
2
0
Fig-3: Trend line of service sector share in GDP -2
4.2
-4
4
log(x2)
-6
log(y)
4.0
2 -8
3.8 0
-2
3.6
.15
log(x3)
-4
.10 3.4 -6
.05
-8
.00 55 60 65 70 75 80 85 90 95 00 05 10
-.05 year(t)
-.10
Residual Actual Fitted
-.15
55 60 65 70 75 80 85 90 95 00 05 10
year(t)
Source-Computed by author
Residual Actual Fitted
Source-Computed by author And one percent increase in service sector share per year led
to 3.116% increase in GDP growth rate per year during 1951-52-
The sectoral shares have great influence on the GDP growth 2013-14 which is statistically significant and the estimated
rate in India.According to the double log model , it was estimated equation is given below.In Fig-6,it is shown clearly.
that one percent increase in agricultural share led to 1.678% Log(y)=-9.58838+3.11609log(x 3 )
decrease in GDP growth rate from 1951-52 to 2013-14 which is (-1.863)* (2.278)*
statistically significant.The estimated trend line is given in Fig-4. R2=0.078 , F=5.192* ,DW=1.96 ,y= GDP growth rate,X 3 =
service sector share in GDP,*=significant at 5% level
Log(y)=7.95247- 1.67866log(x 1 )
(3.7997)* (-2.7908)*
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 21
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Fig-6:Estimated line between GDP growth rate and service Table-1:Autocorrelation and Partial autocorrelation
sector share
4
2
0
-2
-4
-6
log(x3)
2
log(y)
0 -8
-2
-4
-6
-8
-10
55 60 65 70 75 80 85 90 95 00 05 10
year(t)
Source-Computed by author
Now, if we estimate growth rate of GDP with all the Source-Computed by author
sectoral shares in GDP in India during 1951-52-2013-14 through
multiple double log regression model,we found that one percent Moreover,it has serial correlation problems which was
increase in agricultural share, manufacturing share and service verified by residuals test of Breusch-Godfrey Serial Correlation
sector share per year which might leads to decrease in GDP LM test where nR2=3.105985 which insignificant in F statistic.
growth rate by -4.478% per year ,( insignificant) increase by
3.475% per year(significant) and decrease by -13.400% per year [B] Convergence test
(insignificant) respectively. All the sectoral shares in GDP and the GDP growth rates of
Log(y)=47.6717-4.4787log(x 1 )+6.49394log(x 2 )-13.4007log(x 3 ) India during 1951-52-2013-14 satisfied the Salai-i-Martin(1996)
(1.0665) (-1.162) (3.4752)* (-1.7357) convergence criteria because the estimated regression line of the
R2=0.351 , F=10.64*,DW=2.408,*=significant at 5% level slopes of growth rate of all sectoral shares (Beta)and GDP
growth rates and their 5 year average of initial values showed
The estimated model is shown in Fig-7.This estimation is declining which is shown in Fig-14.
insignificant but the model is stable. =42.87-8.43x
(1.79) (-0.746)
Fig-7.Estimated line through multiple regression R2=0.218 , x= 5 year averages of initial values of variables
4
2 Fig-14: Beta convergence test
0
-2
-4
4 -6
2 -8
0
-2
-4
-6
-8
55 60 65 70 75 80 85 90 95 00 05 10
Source-Computed by author
Residual Actual Fitted
But the sectoral shares and GDPgrowth rates of India during
Source-Computed by author. 1951-52-2013-14 did not satisfy the Sigma convergence
hypothesis of Salai-i-Martin(1996) because the trend line of the
In the Table-1, it is shown that the residuals of this coefficient of variations of the said variables(sigma) during the
regression has Auto correlation and Partial Autocorrelation above period showed upward rising which confirmed that there is
problems and the Q stat are significant up to lag 8. no sigma convergence.It is shown in Fig-16.
Log(z)= -0.8395+0.00415t
(-58.36)* (11.112)*
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 22
ISSN 2250-3153
-.4
[C] Cointegration,Causality and VAR
-.5 Johansen Cointegration Test suggests that Trace Statistic
Log(coefficient of variation)
.3
-.6 showed one cointegrating equation and Max Eigen Statistics
.2 -.7 showed two cointegrating equations which are significant.
-.8 Therefore, the sectoral shares are cointegrated with GDP growth
.1
-.9 rate during 1951-52-2013-14.It is shown in Table-2.
.0
-.1
55 60 65 70 75 80 85 90 95 00 05 10
year
The variables are not cointegrated which was tested by cointegrating equation deterministic constant where tau-statistics and z-
statistic are significant in the H0:series are not cointegrated which is given in the Table-3.
Table-3:Cointegration Test(2)
Granger Causality Test concludes that there are two-way causality among x 1 ,x 2 x 3 and x 1 ,x 3 and y but there is no causality
between x 2 and y which were supported by F statistic using lag 1 and is shown in Table-4.
Table-4: Granger causality Test among sectoral shares and growth rate
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 23
ISSN 2250-3153
Source-Computed by author
Thus agricultural and service sector shares are significantly related with previous period of all sectoral shares as well as GDP
growth rate is significantly related with previous periods sectoral shares.The estimated equations have high R2 and F.
This VAR model satisfies the stability condition because all inverse roots in AR characteristic polynomial lie inside the unit root
circle(values of roots are given below in Table-5). The unit root circle is shown in Fig-8.
Table-5:Value of roots
1.0
0.5
0.0
-0.5
-1.0
-1.5
-1.5 -1.0 -0.5 0.0 0.5 1.0 1.5
Source-Computed by author
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 24
ISSN 2250-3153
Residual test for correlogram confirms that the VAR model has Autocorrelation problem which is shown in Fig-9 below.
.4 .4 .4 .4
.2 .2 .2 .2
.0 .0 .0 .0
.4 .4 .4 .4
.2 .2 .2 .2
.0 .0 .0 .0
.4 .4 .4 .4
.2 .2 .2 .2
.0 .0 .0 .0
.4 .4 .4 .4
.2 .2 .2 .2
.0 .0 .0 .0
Source-Computed by author
VAR residual serial correlation LM test suggests that it has serial correlation which is shown in the Table-6.
Lag 1 2 3 4 5 6 7 8 9 10 11 12
LM stat 21.09 12.37 12.64 12.32 16.74 17.94 11.55 17.76 24.44 5.90 6.25 31.72
Prob 0.17 0.71 0.69 0.72 0.40 0.32 0.77 0.33 0.08 0.98 0.98 0.01
Source-Computed by author
Doornik-Hansen VAR residual normality test showed that the residuals are not multivariate normal because Chi-square
distribution of skewness and kurtosis components are not significant.In Table-7 , this is given.
Table-7:Normality test
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 25
ISSN 2250-3153
2 2 2 2
0 0 0 0
-2 -2 -2 -2
-4 -4 -4 -4
1 2 3 4 5 6 7 8 9 10 1 2 3 4 5 6 7 8 9 10 1 2 3 4 5 6 7 8 9 10 1 2 3 4 5 6 7 8 9 10
Source-Computed by author
The VECM states that the errors have been correcting speedily which are significant except EC 2 and the first difference variables
are not related significantly with previous periods.
The residuals of VECM has three unit roots and other roots are less than one and all lie in the unit circle which state that the
VECM is stable. It is shown in the Table-8.
Table-8:Value of roots
Root Modulus
1.000000 1.000000
1.000000 1.000000
1.000000 1.000000
-0.082326 - 0.418084i 0.426112
-0.082326 + 0.418084i 0.426112
0.360754 0.360754
-0.176347 - 0.023885i 0.177957
-0.176347 + 0.023885i 0.177957
Source-Computed by author
The unit root circle is shown in Fig-11 where all roots lie inside the circle which proves stability.
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 26
ISSN 2250-3153
1.0
0.5
0.0
-0.5
-1.0
-1.5
-1.5 -1.0 -0.5 0.0 0.5 1.0 1.5
Source-Computed by author.
Residual test for correlogram of VECM showed autocorrelation problem which is found from the Fig-12.
Fig-12:Correlogram
Autocorrelations with 2 Std.Err. Bounds
Cor(X1,X1(-i)) Cor(X1,X2(-i)) Cor(X1,X3(-i)) Cor(X1,Y(-i))
.6 .6 .6 .6
.4 .4 .4 .4
.2 .2 .2 .2
.0 .0 .0 .0
.4 .4 .4 .4
.2 .2 .2 .2
.0 .0 .0 .0
.4 .4 .4 .4
.2 .2 .2 .2
.0 .0 .0 .0
.4 .4 .4 .4
.2 .2 .2 .2
.0 .0 .0 .0
Source-Computed by author
Doornik-Hansen VEC residual normality test confirm that Chi-square distribution of components of skewness and kurtosis are not
significant although Chi-square distribution of first and third component of Jarque-Bera are significant.It signify that residuals are not
multivariate normal which is shown in Table-9.
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 27
ISSN 2250-3153
8.853494 4 0.0649
Component Kurtosis Chi-sq Df Prob.
1 4.543969 10.00600 1 0.0016
2 2.943809 0.269511 1 0.6037
3 4.401776 0.561409 1 0.4537
4 3.971826 2.399823 1 0.1213
joint 13.23674 4 0.0102
Component Jarque-Bera Df Prob.
1 10.03643 2 0.0066
2 0.417325 2 0.8117
3 6.816282 2 0.0331
4 4.820195 2 0.0898
Joint 22.09023 8 0.0048
Source-Computed by author
Some of all the impulse response functions are not converging towards zero which implies that the VEC model is not converging.
It is visible in Fig-13.
.4 .4 .4 .4
.0 .0 .0 .0
2 2 2 2
1 1 1 1
0 0 0 0
-1 -1 -1 -1
-2 -2 -2 -2
1 2 3 4 5 6 7 8 9 10 1 2 3 4 5 6 7 8 9 10 1 2 3 4 5 6 7 8 9 10 1 2 3 4 5 6 7 8 9 10
Source-Computed by author.
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 28
ISSN 2250-3153
insignificant sigma convergence in India during 1950-51-2013- [22] .,1996, Likelihood-Based Inference in Cointegrated Vector
Autoregressive Models,2nd edition, Oxford University Press.
14 which are not suited for sustainable development in India.
[23] .. and K.Juselius.,1990,Maximum likelihood estimation and
cointegration with application to the demand of money. Oxford
Bulletin of Economics and Statistics,52(2),169-210.
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Linkages:Empirical Evidence from Odisha.Journal of Regional [25] Kularatne,Thamarasi and S.Sivarajasingham.,2015,Intersectoral
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[5] Chakraborty,S. and A.Mitra.,2009,Is Industry still the engine of Economics.
growth?An Econometric Study of the organized sector employment
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and Way Forward ,Paper presented at the ADB-PIIE Workshop on
[6] Christina,Echevarria.,1997,Changes in sectoral composition Developing the Services Sector as an Engine for Inclusive Growth
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Review,Vol-38,Issue-2,May,431-452 Economics, Washington DC, 29-30 May.
[7] Dasgupta,S.and A.Singh.,2005,Will Service be the new Emgine of [29] Pais,Jesim.,2014, Growth And Structure Of The Services Sector In
Indian Economic Growth?Development and Change,36(6),1035-57 India.Working paper , ,Institute for Studies in Industrial
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intersectoral linkages:The Case of NorthEast India.EPW,Vol- [30] Park,Donghyun and Kwanho Shin.,2012, The Service Sector in
XLVII,No-6,72-76,11February. Asia: Is It an Engine of Growth?ADB Working paper no-
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[10] Engle R.F. and Granger C.W.J., 1987, Cointegration and error Productivity surge:The Mystery of the Indian growth
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[11] Ghate , Chetan.,Gerhard Glomm and Jialu Liu.,2012, Sectoral Economic Growth in India,Growth,Vol-1,No-1,1-9.
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Conference, A Tale of Two Giants: Indias and Chinas capita GDP,Agriculture and Manufacturing sectors in India.Journal
Experience with Reform, November 14-16, International Monetary of Finance and Economics,3(2),36-43.
Fund
[35] Subramaniam,Vijay and Michael Reed.,2009,Agricultural
[13] Granger,C.W.J.,1969,Investigating Causal Relations by Intersectoral Linkages and its contribution to Economic growth in
Econometric Models and Cross Spectral the Transition Countries.Paper presented in the conference of
Methods,Econometrica,37(3),424-438 International Association of Agricultural
[14] ,1986,Forecasting Economic Time Series,Academic Economics,Beijing,August 16-22.
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[15] Hamid,Sepehrdoust and Qazi Muhammad Adnan Hye.,2012,An Relationship between GDP and Agricultural sector. International
Empirical Study of Intersetoral Linkages and Economic Journal of Research and Commerce and Management,Vol-2,Issue
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and multivariate normality. Discussion Paper,Nuffield Economic Growth, Examining Trends, 1959-60 to 2008/9, mimeo,
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[19] .,1991,Estimation of Hypothesis Testing of
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Econometrica 59,Nov,1551-80 AUTHORS
[20] ..,1994, The role of the constant and linear terms in First Author Dr.Debesh Bhowmik (Retired Principal),
cointegration analysis of nonstationary variables. Econometric Associated with International Institute for Development Studies,
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Kolkata
[21] Johansen S., 1995, Likelihood-Based Inference in Cointegrated
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ISSN 2250-3153
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 30
ISSN 2250-3153
Abstract- Tyres are one of the active safety components on industrialisation and motorisation experienced by countries. A
vehicles and also considered an important component in the study conducted by Oduro (2012) indicate that Ghana in recent
legislative instrument in Ghana. As far as safety is concern, years has seen a dramatic increase in vehicular growth. The total
several studies have found out that tyre failure has impact on vehicle population has increased more than 12% from 1.03 to 1.2
road traffic accident. This research looked into causes and effect million between 2009 - 2010. A rough estimate of the service
of tyre failure on road traffic accidents on commercial vehicles in level in Ghana by the national Road Safety Commission (NRSC,
the Takoradi Township in the western region of Ghana as a case report, 2013) indicates that about 22 million passengers and
study. Survey research method was used in collecting data. Four about 122million tons of freight is moved per annum by road.
hundred and fifty (450) questionnaires were personally Road transport passenger services are predominantly provided by
administered to commercial drivers in the study area. The study commercial transport services. By their sheer numbers,
found out that there were four major causes of tyre failure: over- commercial road transport operations are involved in multiple
inflation, under-inflation, wear and overloading of vehicles. The vehicle accidents, which cause high rates of deaths and injuries
result further shows that tyres fail on the road, because more than to other road users. World Health Organisation report indicate
89 percent of drivers in the metropolis are not familiar with tyre that in general, about 1.3 million people die due to road accidents
information and most especially legal requirement on the each year worldwide. The World Health Organisation (WHO)
minimum tyre tread depth in millimetres as enshrined in the and the World Bank estimates that this number could rise by
legislative instrument in Ghana. It is recommended that the 67% until the year 2020 if nothing is done to minimise this
National Road Safety Commission intensify its campaign on the effect. The international feature (IFs) forecasting model also
need for all commercial drivers to understand the importance of anticipates that global traffic deaths will surpass 3 million per
knowing and adhering to the Legislative instrument on tyres and year by 2050 if nothing is done about it. United Nations
how it can reduce Road Traffic Accidents, in order to achieve the Economic Commission for Africa (Report, 2014) also estimates
Vision 2020 which aims to reduce road traffic accident by half that Africa accounts for 9% of world total road accident death.
by the year 2020. Dysfunctional tyres are seen as one of the major factors
contributing to such road traffic death in Ghana according to the
Index Terms- Tyre failure, under inflation, over inflation, over National Road Safety (report, 2013)
loading, wear, vehicle accident
1.1 The pneumatic tyre
Tyres are made to grip the road surface when the vehicle is
I. INTRODUCTION being steered, accelerated, and braked and or negotiating a
corner, and so the ability to control the tyre in relation to its
R oad crashes is an issue of global concern, the cost of road
traffic accidents cannot be overestimated. Oduro (2012)
stated that, the estimated costs as a percentage of the Gross
ground interaction is of fundamental importance to every vehicle
(Heinz,2002).The pneumatic tyre serves two important purpose
Domestic Product (GDP) is about 0.8% in Ethiopia and 1% in on all vehicles; it provides the vehicle with a frictional contact
South Africa, 2.3% in Zambia, 2.7% in Botswana, 5% in Kenya surface upon the road, and minimises the transmission of the
and 1.5 in Ghana. In Ghana, this is translates to US$ 418million road vehicle shocks associated with travelling over rough road
on the management of the consequence of road traffic accident surfaces. Generally, motor vehicle tyres are supplied as either
(NRSC, report 2010). This is exclusive of the pain, suffering and tubed or tubeless (Read, 2000). A tubed tyre has an inner tube
grief of the loss of bread winners and loved ones, and loss of fitted inside the casing whilst tubeless tyres do not have an inner
scarce human resources. Road traffic accident is a public health tube but relies on the bead of the tyre providing an air-tight seal
concern which has to be addressed by concerted effort by all when it is inflated against the rim of the wheel.
stakeholders. National accident data from the Road Safety Depending upon the method of construction, a tyre can be
Commission, (2013-2014 report) revealed that road traffic categorised as either a cross-ply or a radial-ply. (Read, 2000)
accidents had seen a minor decline as compared with the stated that because the ply of a cross-ply tyre can stretch while
previous year, (2012-2013). being pulled in different direction, it makes this tyre strong and
Road traffic accident is a global tragedy; they are major also gives good load-carrying characteristics. However, the
public health concern because of the high number of victims sidewalls of this tyre turns out to be stiff which limits the ability
involved. Increase in road traffic accidents is closely linked with of this tyre to maintain full tread contact with the road surface
the growth of the population, economic development, especially when cornering. In contrast the radial tyre has a
flexible sidewall which enables the tread pattern of the tyre to
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 31
ISSN 2250-3153
remain in contact with the road surface particularly when are many causes of tyre failure leading to road traffic accidents.
cornering, giving it better grip on the road than the cross-ply tyre. This research seeks to find the major causes and effects of tyre
In all circumstances, correct tyre inflation is essential for failure, using commercial drivers within the Secondi Takoradi
optimum performance. Correct tyre inflation ensures that the tyre Metropolis in Ghanas western region as a case study.
has the maximum amount of tread contact with the road
(Reithmaire and Salzinger 2003).
There are several factors that influence the ability of the tyre II. RESEARCH METHOD
to grip the road when being braked, accelerated or steered, Survey research method (questionnaire) was used for data
leading to tyre failure and resulting in road traffic accident. collection. (Floyd and Fowler, 2002) stated that survey research
These may include, the speed of the vehicle, the amount of tyre method has the ability to produce statistics, that is quantitative or
wear, the nature of the road surface and the degree of surface numerical descriptive methods about some aspects of the study
wetness. Research conducted by (Reithmaire and Salzinger, population. Generally, survey research methods also allows the
2003) in Germany indicate that a tyre of a tread depth below researcher to collect data from a fraction of the population. That
3mm will lose about 50% of its available friction as compared to is, a sample, rather than from every member of the population.
a brand new tyre. The study was to find out causes and effects of tyre failure on
Generally as the speed of the vehicle increased the time road traffic accidents. Five hundred (500) questionnaires with
permitted for the tread to ground retardation is reduced so that open ended items divided into about six sections were personally
the co-efficient of grip declines. As the depth of the tread is administered to drivers in the Sekondi-Takoradi Township, but
reduced, the ability for the tread to drain off water is reduced; only four hundred and fifty (450) drivers responded to the
therefore with increased vehicle speed inadequate drainage will questionnaire, representing 90 percent of the respondents.
reduce the grip of the tyre, resulting in a highly dangerous fault Section one sought to find out how many years the drivers had
known as aqua-planning. Aqua-planning is a fault in which the been driving. Section two wanted to find out what the drivers
tyre tread fails to clear the water on the road surface as the tyre think as to which of the tyre problem areas could lead to
contacts the ground Mudd (2009). Tyre failure may result in accidents in other of importance. Section three sought to find out
many types of crashes, often in indirect ways. Failure of the tyre from the drivers how many times in a month they checked their
can potentially result in reduced vehicle handling, increased vehicle tyre pressures. Section four also wanted to find out if the
braking distance and increased likelihood of blowout resulting in drivers agree that tyre failure could lead to road traffic accidents.
Road traffic accidents. Section five enquired if the drivers in the Metropolis knew the
A study conducted by (Reithmaire and Salzinger 2003) minimum legal limit in millimetres that the tyre should be
indicated that between 3% to 7% of road fatalities are as a result discarded and not be used in the country. The last section, section
of tyre failure. Similar research conducted by the National Road six, wanted to know if the drivers are aware that all tyres have an
Safety Commission in Ghana also found out that 15.2 percent of expiry date and if they knew where the expiry date on the tyre
all fatal accidents in the country were as a result of tyre failure could be located.
(NRSC, Report, 2013). Tyres are the vehicles only point of
contact with the road and therefore the condition of a vehicles
tyre is an important safety factor. The shock absorbing qualities III. RESULTS
of a tyre is derived from its deflection under load. Mudd (1991)
stated that the greater the deflection of the tyre the more Age of drivers
comfortable its ride. The rated load per wheel supported by a Four hundred and fifty (450) drivers responded to the
correctly inflated tyre varies from about 35 to 50 times the questionnaire. Figure 1 shows distribution of the age of the
weight of the tyre; this is dependent on the type of vehicle and drivers who responded to the questionnaires.
the construction of the tyre. Several research indicate that there
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160
140
120
100
80
144
60
90 90
40
45 36
20
13 22
10
0
20-24 25-29 30-34 35-39 40-44 45-49 50-54 OVER
55
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depth for a tyre is not less than 1.6 millimetres for all categories
IV. DISCUSSIONS of vehicles.
Tyre information has a tremendous effect on road traffic The use of tyres with thread depths of less than 1.6
accidents. This research looked into the causes and effects of tyre millimetre is thus unlawful and could lead to failure in an
failure on road traffic accidents and found out that 89 percent of emergency situation. Majority of the respondents (88%) in the
the drivers surveyed were not familiar with tyre information as Metropolis were aware that tyres have expiring dates, but 90
provided in the laws of Ghana. percent of them do not know where the expiry date of a tyre
Sixty (60) percent of the respondents were not aware that a could be located, meaning they could not determine if the tyre
tyre with a thread depth of less than 1.6 millimetre should be they were using had expired or not. This confirms the result of a
discarded and not to be used in the country. Ghanas Legislative research done by Ghanas National Road Safety Commission
Instrument, (LI- 2180) Section 62, subsection 1(d) States that, (NRSC, Report, 2013) which found out that more than 50 percent
unless the Licensing Authority permits in writing, the importer of of the drivers in the country were not familiar with tyre
a motor vehicle or trailer shall ensure that; the minimum tread information available to consumers on the sidewall of a tyre. The
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lack of knowledge on vehicle tyre expiry dates could lead to fatal questions so that drivers knowledge on tyre
road traffic accident as a result of tyre failure. information could be ascertained;
One hundred and fifty six (156) of the respondents, the National Road Safety Commission and the DVLA
representing 35 percent believed that tyre failure was as a result should put policies in place to ensure that all vehicle
of worn tyres. (Fig. 4) 150 of the respondents representing 33 users comply with the National standards on tyre tread
percent attributed tyre failure to under-inflation; another 99 of depths of 1.6mm;
the respondents representing 22 percent also believed that tyre The Ghana police service should ensure that the
failure is as a result of over inflation; 45 respondents also standards on tyre tread depths are complied with;
representing 10 percent believed that tyre failure is as a result of The NRSC should intensify its campaign on the
over-loading of the vehicles. importance of tyre information to all vehicle users in the
These responses from the drivers in the Takoradi Takoradi metropolis where this research covered.
Metropolis in Ghana confirm that majority of drivers appear to
know the impact of tyre failure but are indifferent when it comes Law enforcement on tyre tread depth needs to be
to taking action to forestall its occurrence and its effect on road strengthened to ensure compliance with international
traffic accidents. best practice.
V. CONCLUSIONS REFERENCES
This research looked into the causes and effects of tyre [1] Ballas J., (2004) tyres, road surfaces and reducing accidents. A foundation
failure on road traffic accidents, using Takoradi Metropolis as a [2] Gatera, S., (2014). African Action Plan for Road Safety Decade. Ethiopia:
case study and found out that commercial drivers are aware that Industralization &Infrastructure Section-UNECA.
there are four major causes of tyre failures which include, over [3] Heinz, H., (2002). Advance Vehicle Technology . London: Butterworth
inflation, under inflation, overloading and excessive tyre wear. Heinemann.
These failures are as a result of human error on the part of drivers [4] Jacobs, G.D. (1998) A review of global road accident fatalities
who though know of the existence of the problems but fails to [5] Mudd , S. C., (1991). Technology for Motor Mechanics 3. Ibadan: Bounty
Press.
seek knowledge on tyre information. This research confirms a
[6] Mudd, S. C., (2009). Technology for Motor Vehicle Mechanics 4. Ibadan:
research undertaken by Wheat (2005) which stated that 93 Bounty Press.
percent of all road traffic accidents are as a result of human error. [7] National Road Safety Commission (2013).Vehicle tyre and road safety in
Most drivers (90 percent) in the Metropolis are not familiar Ghana
with tyre information which are inscribed on the sidewalls of the [8] Oduro, S. D., (2012). Brake Failure and its effect on Road Traffic Accident
tyres. Also, many drivers ( 60 percent) did not even know that in Kumasi Matropolis. Ghana. International Journal of Science and
technology, 1-6.
tyres which have a thread depth of less than 1.6 millimetres
[9] Reed, P., & Reid, V. (2000). Motor Vehicle Technolohy for Mechanics.
should be discarded and not used according to Ghanas laws (LI Malaysia: Macmillan education limited.
2180). Accordingly, when tread depths are below 1.6millimeters [10] Reithmaire, W., & Salzinger, T., (2003). Motor Vehicle Tyres and Related
road traffic accidents rate are trebled and even increases seven- Aspect. Germany: TUV Automotive.
fold when the tread depths go below 0.5mm.(Bullas, 2004).Tread [11] Road Traffic Regulations (2012) L.I.2180.Ghana
depths below 0.5millmeters could also result in a fault known as [12] Vehicle Tyres and Road Safety in Ghana. (2013). National Road Safety
aquaplaning, a situation where the tyre fails to clear the water on Commission .
the road when the tyre contacts the ground. Mudd (2009). [13] Wheat, A. (2005) Accident investigation training manual
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 37
ISSN 2250-3153
phase and can be associated with diverse range of syndrome, Hepatitis implies injury to the liver characterized by
including severe malaria anemia, metabolic acidosis and shock presence of inflammatory cell in the liver tissue. It can be both
syndrome (Hochman and Kami, 2009). It has been proposed that acute and chronic. It is acute if it lasts less than 6 months and
these syndrome result from differential parasite specificity (for chronic when it persists longer. It runs subclinical cases when the
example organ-specific sequestration) of parasite, Infected Red affected person may not feel ill. The patient becomes unwell and
Blood Cell (iRBC), parasite toxins and the host immune symptomatic when the disease impairs liver functions including
response, (including cytokine and chemokine production and secreting of harmful substances, regulation of blood composition
recruitment and sequestration of inflammatory cells to target and production of bile to help digestion (Riders and Beckingham,
organs) (Dondorp et al., 1999). 2001). Currently, eleven virus are recognized as causing
Pattern of malarial disease vary widely and partly depend Hepatitis. Two are herpes viruses and nine are Hepato-tropic
on the endemicity of the parasite within the geographical setting. viruses that specifically target liver hepatocytes. Of the nine
Where individuals have constant and repeated exposures to human hepato tropic viruses only five are well characterized.
infection, natural immunity develops slowly. This immunity is Hepatitis G and Transfusion Transmitted viruses (TTV) are more
first efficient only against clinical malaria but immunity recently discovered viruses. Hepatitis A and E are transmitted by
strengthens progressively, leading to reduced blood stage parasite oral contamination. The other major types include hepatitis B.
growth. However, even long term immunity can never Hepatitis C and hepatitis D (Etusim et al., 2013). Hepatitis B
completely counter either re-infection or low (subclinical) virus infects the liver of hominoids including human and causes
parasitaemia. This suggests that the pre-erythrocytic stage of the an inflammation called Hepatitis. It is a DNA virus and of many
infection does not induce efficient natural immune responses unrelated virus that cause viral Hepatitis (Etusim et al., 2013).
(Hochman and Kami, 2009). This work is aimed at studying the infections of Malaria, Human
Although the mechanism of how natural immunity Immunodeficiency Virus and Hepatitis B Virus among
develops in malaria are not completely understood, recent studies Secondary School Students in Enugu west.
suggest that the control and inhibition of the development of
malaria parasite in the blood requires the activation of an innate
pathway followed by adequate T and B cell responses. Innate II. MATERIALS AND METHODS
mechanism of immunity involves dendritic and NK cell Study Area
activation, pro-inflammatory cytokine release and the production This study was carried out at the General Hospitals in
of counter regulatory cytokine that can influence the first phase Enugu West. Enugu West district: The constituency is made up
of blood development (Abebe et al., 2013). of five Local Government Areas namely, Aninri, Awgu, Ezeagu,
HIV infects and depletes CD4+ T lymphocytes, putting Oji-River, and Udi Local Government Area. Aninri Local
patients at risk of opportunistic infections and malignancy, the Government Area has an area of 364 km and a population of
major causes of death due to HIV and AIDS. However, it also 133,723. Awgu Local Government Area has a population of
has effects on the systemic inammatory response, causing 390,68. Ezeagu Local Government Area has an area of 633 km
activation and/or apoptosis in a variety of immune cells as well and a population of 169,718. Oji River Local Government Area
as elevated levels of proinammatory cytokines and chemokines has an area of 403 km and a population of 126,587. Udi Local
in plasma and lymph nodes. This immune activation, rather than Government Area has an area of 897 km and a population of
being a reection of antiviral immunity, is associated with HIV-1 234,002.
disease progression (Hochman and Kami, 2009). It is also a
potential means by which HIV affects disease course and
outcome in other infections, such as malaria.
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Ethical Clearance to the antigen selenium colloid and to the antigen at the
Prior to the commencement of the study, ethical clearance patients window, forming a red line at the patients window site.
was sought by writing from the Chief Medical Director (CMD) If antibodies to HIV 1 and/or HIV 2 are absent, the antigen
of General Hospitals in Enugu West. This was done in writing selenium colloid flows past the patients window and no red line
explaining the purpose of the study and seeking for permission to is formed at the patients window site. To ensure validity, a
use the health facilities as well as the co-operation of their staff. procedural colour bar is incorporated in the assay device.
On receiving approval, officers in charge of the Laboratory Expected Result: Two red bars in both the patients
section were also consulted. The following General Hospitals window and control indicated a positive result. One red bar in the
was used (Aninri, Awgu, Ezeagu, Oji-River, and Udi). control window and no red bar in the patients represent a
Subjects negative result. An invalid test occurs when a red bar develops at
The population of Enugu West is predominantly traders the patient window only and none at the control window.
while some are public servant, artisans, farmers, and students.
Students between 11-15, 16-20 and 21-25 years of age were Experiment 2: Prevalence of HBV among the subjects
given special considerations. Procedure: The blood that was collected was placed in a
Sample Size test tube and allowed to coagulate to obtain serum. The test card
An estimated 1500 subjects formed the population size in was placed on a smooth, horizontal clean surface with sticky
which 300 subjects were collected from each of the five Local parts removed to expose the sticky part. The test strip was dipped
Governments,100 subjects from each of the three Secondary into the serum for 10 seconds without exceeding the maximum
Schools from each LGA. The following Schools were sampled: line on the test strip, then they were then read after 15minutes.
In Awgu LGA, Boys Secondary School, Mgbowo; Alpha Expected Result: Two red bars in both the patients region
Secondary School, Awgu; Girls Secondary School, Mmaku. and control region indicate a positive result. One red bar in the
Aninri LGA, Community Secondary School Oduma; Community control region and no red bar in the patients region represent a
Secondary School, Mpu; Comprehensive Secondary School. negative result. When only one line appears on the control(c)
Ezeagu LGA, Community Secondary School Akama Oghe; region only, or one line appears on the test region and non on the
Community Secondary School, Owa; Comprehensive Secondary control region(c) and also when no line appear on the test (T) and
School, Iwollo. Oji-River LGA, Model Secondary School Inyi; control(c), the result is said to be invalid.
Urban Secondary School Oji river; Anglican Grammer School,
Achi. Udi LGA, Paul Secondary School Eke; Community Experiment 3: To study the distribution of malaria among
Secondary School Ngwo; Community Secondary School, the subjects using CareStart malaria HRP2
Amaokwe, Udi. Whole blood was used for the diagnosis of malaria using
Collection of Specimens parallel Malaria Plasmodium falciparum Rapid Test Device
The method of specimen collection employed was (manufactured by Global device, USA and INDR Diagnostica,
venopuncture technique as described by Cheesbrough (2006). A USA). The malaria P.f. Rapid Test Device (Whole Blood) is a
tube tourniquet was used to tie the upper arm of the patient to qualitative, membrane based immunoassay for the detection of
enable the veins to be bulge. The skin was cleaned with ethanol P.f antigen in whole blood.
and allowed to dry. New sterile syringe and needle was used to Principle: The principle is based on a rapid
puncture the vein and the plunger was gently withdrawn. Ten chromatographic immunoassay for the qualitative detection of
milliliters of venous blood was collected. The blood specimens circulating P. falciparum antigen in the whole blood. This
were used for method utilizes Gold conjugate to selectively detect Plasmodium
1. HIV screening based on Nigerian National HIV testing antigen.
algorithm Procedure: The procedure was as described by the
2. Malaria screening using test kit and staining method manufacturer. About 5l of whole blood was added into sample
3. Hepatitis B virus screening using test kit well by using a pipette and 2 drops of assay buffer were added
into assay buffer well. The result was read within 20 minutes.
Experiment 1: Prevalence of HIV among the subjects. Expected Result: The presence of two pink lines at the
Procedure: The Nigerian National HIV testing algorithm region of the control and test sample signified presence of P.
recommended by WHO for resource poor countries was used. falciparum malaria infection while the presence of only one pink
It is a serial testing using 3 rapid test kits (RTKs) namely line in the control region signified absence of P. falciparum. The
Determine, (Inverness, Japan), UniGold (Trinity, Ireland) and test device has inherent quality control that validates the result.
StatPak (Chembo diagnostic system).
General Principle of RTK: It is an Experiment 4: To study the distribution of malaria among
immunochromatographic test for the qualitative detection of the subjects using Giemsa staining of thick blood film
antibodies to HIV 1 and HIV 2. Specimen is added to the The method described by Etusim et al. (2013) and Onuigbo
specimen pad. As the specimen migrates through the conjugate et al. (2015) were used. A thick blood film was made on a grease
pad, it reconstitute and mixes with selenium colloid-antigen free slide. Giemsa stain was poured on the film and allowed to
conjugate. This mixture continues to migrate through the solid stay for 30 minutes on the staining rack; the stain was then
phase to the immobilized recombinant antigens and synthetic washed off with running water. Finally, a drop of oil immersion
peptides at the patients window site. If antibodies to HIV 1 was dropped on the stain and viewed through the objective lens
and/or HIV 2 are present in the specimen, the antibodies bind (x100), when the slide had dried.
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III. STATISTICAL ANALYSES malaria 5(5.0%) in females and 3(3.0%) in males, followed by
Data generated from this study was analyzed using IBM (G) Community Secondary School, Akama Oghe, 3(3.0%) to
SPSS version 10.0 statistical software. The degree of correlation HBV in females, and 2(2%) to HBV in males while the least was
between variables was evaluated by using the Spearman (H) Community Secondary School, Owa, 1(1.0%) to malaria and
correlation analysis method. For all the statistical tests, a two- 0(0.0%) to HBV. at p <0.05, was considered statistically
tailed p-value < 0.05 was considered statistically significant. significant (Table 6).
The distribution of the infections according to Secondary
Schools in Oji-river LGA revealed that (J) Model Secondary
IV. RESULTS School Inyi and (K) Urban Secondary School Oji river were the
most infected to malaria 4(4.0%) and HBV 3(3.0%) in females,
A total of 1500 blood specimens were collected from while the least was (L) Anglican Grammer School, Achi,
Secondary School Students in Enugu West and screened for 0(0.0%) to HBV in males and females and was considered
Infections of Hepatitis B Virus (HBV), Malaria parasite (MP) statistically significant at p <0.05 (Table 7).
and Human Immunodeficiency Virus (HIV). The result revealed The distribution of the infections according to Secondary
that a total of 102 (6.8%) students were positive to all the Schools in Udi LGA revealed that (O) Community Secondary
infections, while malaria parasite was the most prevalent in the School, Amaokwe, Udi was the most infected to malaria 5(5.0%)
study population 63(4.2%), followed by hepatitis B virus in females and 3(3.0%) in males, followed by (M) St. Paul
36(2.4%) and the least infection was HIV 3(0.2%), when Secondary School Eke and (N) Community Secondary School
compared, it was statistically significant at p>0.05 (Table 1). Ngwo 2(2.0%) to malaria, respectively. At p<0.05, was
The age and gender distribution of MP+, HIV+ and HBV+ considered statistically significant (Table 8).
among the study population revealed that the age group of 21-25
years was the most prevalent to the infections (In males,
4(12.1%) were positive to MP, 0(0.0%) to HIV and 2(6.1%) to V. DISCUSSION AND CONCLUSION
HBV, while in females, 2(6.1%) to MP, 3(9.1%) were positive
to HIV, and 1(3.0%) to HBV). The least was the age group of 11- Omalu et al. (2012) reported that malaria, HIV and HBV
15 years, In males, 3(1.2%) to MP, 0(0.0%) to HIV and 3(1.2%) are the three most important infectious diseases and have similar
to HBV, while in females, 6(2.4%) to MP, 0(0.0%) to HIV and global distributions, with the majority of those infected
HBV, respectively. p<0.05 differed significantly when compared individuals lived in countries with constrained resources like sub-
among the age groups and other values are found in table 2. Saharan Africa, the Indian subcontinent, and Southeast Asia.
Distribution of malaria, HIV and HBV according to Local Though malaria and HIV are known to be the most
Government Area (LGA) in Enugu West Senatorial Zone severe of all infections in Nigeria (Omalu et al., 2012).
revealed that Ezeagu and Oji-river LGA were the most infected However, this study was done to evaluate the concomitant
to malaria at a prevalent rate of 15(5.0%), respectively, this was infections of malaria, human immunodeficiency virus and
followed by Agwu and Udi LGA, 12(4.0%) respectively and the hepatitis B virus among Secondary School Students particularly
least was Aninri LGA 9(3.0%), which differed significantly at P in the study area. In this study, the prevalence rate of single
<0.05. In Agwu LGA, 3(1.0%) was positive to HIV and none infection was found to be 4.2% for malaria, 0.2% for HIV and
0(0.0%) to Aninri, Ezeagu, Ojiriver and Udi. In The distribution 2.4% for HBV. It is important to note that while these rates may
of HBV was most prevalent in Agwu, Ezeagu and Ojiriver, be suggesting low endemicity, there is need to appreciate their
9(3.0%) respectively, followed by Aninri 6(2.0%) and Udi public health implication considering the high rate of
3(1.0%). The comparison between the LGA differed urbanization that the state is currently experiencing. This calls for
significantly at p<0.05 (Table 3). public health alertness and proper screening of blood donations
The distribution of the infections according to Secondary for medical emergency purposes including child-cum-parental
Schools in Agwu LGA revealed that (B) Alpha Secondary closeness. The prevalence rate of hepatitis B infection 14(2.7%)
School, Agwu was the most infected to malaria 5(5.0%), for males and 22(2.2%) for females among the subjects observed
followed by (C) Girls Secondary School, Mmaku 3(3.0%), in in this work contrasts with the results of Ejele et al. (2004), who
females respectively, while the least infected to malaria 2(2.0%) recorded 4.9% prevalent rate in Port Harcourt while Siriena et al.
was (A) Boys Secondary School, Mgbowo. HIV 2(2.0%), (2002) recorded 10.3% in Jos.
1(1.0%) and HBV 4(4.0%), 2(2.0%) was most prevalent in B and The age and gender distribution of malaria, HIV+ and
C, respectively and it differed significantly at p <0.05 (Table 4). HBV+ among the study population revealed that the age group of
The distribution of the infections according to Secondary 21-25 years was the most prevalent to the infections (In males,
Schools in Aninri LGA revealed that (D) Community Secondary 4(12.1%) were positive to MP, 0(0.0%) to HIV and 2(6.1%) to
School, Oduma was the most infected to malaria, 2(2.0%) in HBV, while in females, 2(6.1%) to MP, 3(9.1%) were positive
males and females, respectively, followed by (E) Community to HIV, and 1(3.0%) to HBV). The least was the age group of 11-
Secondary School, Mpu, 2(2.0%) to HBV in females while the 15 years, In males, 3(1.2%) to MP, 0(0.0%) to HIV and 3(1.2%)
least was (F) Comprehensive Secondary School, Ndeabor, to HBV, while in females, 6(2.4%) to MP, 0(0.0%) to HIV and
1(1.0%) to malaria. it differed significantly at p<0.05 (Table 5). HBV, respectively. p<0.05 differed significantly when compared
The distribution of the infections according to Secondary among the age groups, which is similar to the work Uko et al.
Schools in Ezeagu LGA revealed that (I) Comprehensive (1998) in Calabar and Etusim et al. (2013). This study is also in
Secondary School, Iwollo, Oduma was the most infected to accordance with Omalu et al. (2012), who studied the
seroprevalence of malaria and hepatitis B (HBsAg) with
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associated risk factors among pregnant women attending areas of stable malaria, transmission is intense and continuous,
antenatal clinic in General Hospital Minna, North-Central although seasonal variations may occur. Immunity develops early
Nigeria and obtained similar results. in life, and young children and pregnant women are at greatest
There were variations in the rate of infection of subjects risk of morbidity and mortality from malaria. In these areas,
according to age group revealed that malaria was found to be HIV-related immunosuppression may increase rates of malaria
higher among the age group of 21-25 years (12.1% for males and infection and clinical malaria disease, but does not increase the
6.1% for females), followed by 1.2%, 2.7% and 1.2%, 2.4% for rates of severe or complicated malaria as reported by
age groups of 16-20yrs and 11-15yrs for males and females, Shankarkumar et al. (2011). Relative risk for parasitemia and
respectively. The highest prevalence of malaria infection among malarial fever increase with decreasing CD4 count and
the age group of 21-25yrs could be as a results of parental increasing viral load. These findings suggest that HIV infection
negligence to the children as they are now grown up or as not only may interfere with parasite control, but also, perhaps
reported by Omalu et al. (2012), who stated that in Nigeria, more important, may cause the loss of antitoxic immunity, which
malaria is one of the most health problems top ranking in the list protects persons with parasitemia from clinical disease. In
of common infectious. However, variations in the prevalent of regions of unstable malaria, transmission is intermittent and less
HBV infection also existed among the males and females and predictable, and epidemics may occur (Shankarkumar et al.,
various age group, 6.1% and 3.0%, 0.7% and 1.7% and 1.2% and 2011).
0.0% for 21-25yrs, 16-20yrs and 11-15yrs, respectively.
Surprisely, the prevalence of 9.1% HIV infection among females
in the age group of 21-25yrs could be as a result of illicit sexual VI. CONCLUSION
interactions, lack of proper sexual awareness and lack of sex The higher prevalence of malaria infection among the age
education among our Secondary Schools. group of 21-25yrs (12.1% for males and 6.1% for females) and
Distribution of malaria, HIV and HBV according to Local the prevalence of 9.1% HIV infection among females in the age
Government Area (LGA) in Enugu West Senatorial Zone group of 21-25yrs, could be as a results of parental negligence to
revealed that Ezeagu and Oji-river LGA were the most infected the children as they are now grown up. The HIV infection could
to malaria at a prevalent rate of 15(5.0%), respectively, this was result from illicit sexual interactions, lack of proper sexual
followed by Agwu and Udi LGA, 12(4.0%) respectively and the awareness and lack of sex education among our Secondary
least was Aninri LGA 9(3.0%), which differed significantly at P Schools. Therefore, an urgent need to institute public health
<0.05. In Agwu LGA, 3(1.0%) was positive to HIV and none measures that will reduce disease burdens and transmission
0(0.0%) to Aninri, Ezeagu, Ojiriver and Udi. In The distribution among Secondary School students. This may include parental
of HBV was most prevalent in Agwu, Ezeagu and Ojiriver, health talks, proper diagnosis, treatment and increased
9(3.0%) respectively, followed by Aninri 6(2.0%) and Udi surveillance activities to protect the populations at risk.
3(1.0%). The comparison between the LGA differed
significantly at P <0.05. Shankarkumar et al. (2011) stated, in
Table 2: Age and Gender distribution of infections among the study population
MALES FEMALES
Age group Total No of MP+ HIV+ HBV+ MP+ HIV+ HBV+
(Yr) subjects (%) (%) (%) (%) (%) (%)
screened
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P <0.05, was considered statistically significant Key: HBV = Hepatitis B Virus, HIV = Human Immunodeficiency Virus, MP =
Malaria Parasite, + = Positive.
Table 3: Distribution of the infections according to LGA in Enugu West Senatorial Zone
P <0.05, was considered statistically significant. Key: HBV = Hepatitis B Virus, HIV = Human Immunodeficiency Virus, MP =
Malaria Parasite, + = Positive, - = Negative.
Males Females
Secondary Total no of MP+ HIV+ HBV+ MP+ HIV+ HBV+ Total no of
Schools subjects (%) (%) (%) (%) (%) (%) subjects
screened positive
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Males Females
Secondary Total no of MP+ HIV+ HBV+ MP+ HIV+ HBV+ Total no of
Schools subjects (%) (%) (%) (%) (%) (%) subjects
screened positive
D 100 2(2.0) 0(0.0) 1(1.0) 2(2.0) 0(0.0) 1(1.0) 6(6.0)
P <0.05, was considered statistically significant. Key: D = Community Secondary School Oduma; E = Community Secondary School,
Mpu; F = Comprehensive Secondary School, Ndeabor; HBV = Hepatitis B Virus, MP = Malaria Parasite, + = Positive.
Males Females
Secondary Total no of MP+ HIV+ HBV+ MP+ HIV+ HBV+ Total no of
Schools subjects (%) (%) (%) (%) (%) (%) subjects
screened positive
G 100 1(1.0) 0(0.0) 2(2.0) 3(3.0) 0(0.0) 3(3.0) 9(9.0)
P <0.05, was considered statistically significant. Key: G= Community Secondary School Akama Oghe; H= Community Secondary
School, Owa; I= Comprehensive Secondary School, Iwollo; HBV = Hepatitis B Virus, MP = Malaria Parasite, + = Positive.
Males Females
Secondary Total no of MP+ HIV+ HBV+ MP+ HIV+ HBV+ Total no of
Schools subjects (%) (%) (%) (%) (%) (%) subjects
screened positive
J 100 2(2.0) 0(0.0) 1(1.0) 4(4.0) 0(0.0) 3(3.0) 10(10.0)
K 100 2(2.0) 0(0.0) 2(2.0) 4(4.0) 0(0.0) 3(3.0) 11(11.0)
L 100 2(2.0) 0(0.0) 0(0.0) 1(1.0) 0(0.0) 0(0.0) 3(3.0)
Total 300 6(2.0) 0(0.0) 3(1.0) 9(3.0) 0(0.0) 6(2.0) 24(8.0)
P <0.05, was considered statistically significant. Key: J= Model Secondary School Inyi; K= Urban Secondary School Oji river; L=
Anglican Grammer School, Achi; HBV = Hepatitis B Virus, MP = Malaria Parasite, + = Positive.
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Males Females
Secondary Total no of MP+ HIV+ HBV+ MP+ HIV+ HBV+ Total no of
Schools subjects (%) (%) (%) (%) (%) (%) subjects
screened positive
M 100 0(0.0) 0(0.0) 0(0.0) 2(2.0) 0(0.0) 0(0.0) 2(2.0)
P <0.05, was considered statistically significant. Key: M= St. Paul Secondary School Eke; N= Community Secondary School Ngwo;
O= Community Secondary School, Amaokwe, Udi; HBV = Hepatitis B Virus, MP = Malaria Parasite, + = Positive.
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Abstract- Introduction: Atrial fibrillation is the most common prone to AF but their risk of stroke is considerably increased
sustained arrhythmia, which is caused by different etiologies and compared with younger patients with AF. The propensity of the
it leads to morbidity and mortality. elderly for stroke may be related to a higher prevalence of
Objectives: To know the various clinical presentations in atrial comorbid conditions and to the dual factors of age and chronicity.
fibrillation and to detect various etiologies of atrial fibrillation. Both increasing age and chronicity of AF correlate strongly with
Materials and methods: 50 cases of atrial fibrillation admitted increased left atrial size1. Up to 40 % of strokes no cause can be
in Gandhi hospital, Secunderabad, Cases are examined in detail, identified even after extensive workup, such cryptogenic strokes
whenever it was found necessary and were subjected to have been caused to good extend by paroxysmal AF2.
echocardiography to know the cause.
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Table 1: Presenting symptoms in atrial fibrillation cases Table 3: Valvular affection in RHD Cases
1.1-3cm2 20 30
S.no. Disease No. of cases Percentage
2 HTN 2 4 C. LA size
The L.A size ranges from 3 cm to 4 cm. Most of the cases L.A
3 IHD 3 6 size between 4-5 cm (56%). Large L.A commonly associated
with regurgitate valvular lesions.
4 HOCM 3 6
Table 5: LA size in 50 cases
5 Pericarditis 2 4
LA size No. of patients Percentage
6 DCM 1 2
< 4 cm 12 24
7 Ebsteins anomaly 2 4
8 Lone AF 1 2 4-5 cm 34 85
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Table 6: Ventricular rate in atrial fibrillation G. Clots in Cardiac chambers L.A / L.V
In this study out of 50 cases 8 cases (16%) have clots. Out of 8
Ventricular rate No. of patients Percentage cases rheumatic etiology seen in 6 cases, remaining cases are
Ebsteins anomaly. All patients of stroke have LA clot.
< 100 10 20
V. DISCUSSION
100 150 25 50
A. AGE AND SEX DISTRIBUTION
>150 15 30 In present study atrial fibrillation is seen more commonly in
patients after 50 yrs. According to Paul wood and Lip Gy,
Golding DJ majority of people fibrillated after 50 years of age,
2. QRS axis
Present study matches to it. RHD is the most common aetiology
for AF in India, IHD and HTN are common in western study3. In
Table 7: QRS axis in AF cases
present study female preponderance is seen, which matches to
Indian studies Lok NS, Lan CP. In one Indian study males are
ECG QRS axis affected more compared to females4, 5.
Pericarditis 2 4
There is significant variations present in incidence of
causes between first 4 and present study. The RHD is the
Haemoptysis 4 8 most common cause of AF in present whereas HTN, IHD
are the most common causes in western studies. In
angina 8 16 valvular heart diseases isolated MS 28.5%, isolated MR
11.42%, 17.14% MS+MR and MS+MR+AR, and for
MS+MR+AS, MS+AR is 11.42%. In our study
combination of lesions are common. Other causes of AF
in present study are DCM 2%, Ebsteins anomaly 4% and
lone AF 2%. In other Indian studies valvular heart disease
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51.51%, DCM 15.15%, HTN 8% are found to be are associated with large left atrial size 4cms.
common causes of AF4,5. Apart from heart diseases
thyrotoxicosis and COPD are other causes of AF.
REFERENCES
C. MVA in RHD associated with MS [1] KANNEL et al-The Framingham Study, epidemiological features of chronic
AF N.E.J.M April 29, 1982, p1018-1022.
In present study MVA ranges from 0.8 sq.cm to 3 sq.cm. [2] Gladstone DJ, Spring M, Dorian P, Panzov V, Thorpe KE, Hall J, et al.
Most cases of AF associated with MVA are between 1 to Atrial Fibrillation in Patients with Cryptogenic Stroke. N Engl J Med. 2014
Jun 26; 370(26):246777.
3 sq.cm. In present study isolated cases of MS seen in
[3] Rajeev Bhardwaj. Atrial fibrillation in a tertiary care institute - A
28.57%, MS and MR seen in 11.42% cases. Patients who prospective study. Indian heart journal 64 (2012)476-478.
presented with stroke have severe MS with chronic [4] Nand Vidya, Gupta AK, Mahmood Syed E, Kulshrestha Malini, Patiyal
duration of SOB. In present study severe MS cases have RK: etiological profile and clinical presentation of patients with atrial
prolonged duration of symptoms and complicated by fibrillation from a rural area of bihar.
CHF. Isolated MS have less MVA as comparatively [5] Dharma Rao V. , Rajaneesh Reddy M. , Srikanth K. , Raj Kumar Prakash B.
associated with other valvular lesions. , Satya Prasad A. & Guru Prasad S.S.: to study the prevalence and clinical
profile of chronic atrial fibrillation in hospitalized patients.
[6] Mazzone C, Carriere C, Grande E, et al; Nonvalvular atrial fibrillation: data
D. Complications in 50 cases of chronic AF from the Observatory of Cardiovascular Diseases in the province of Trieste
(Italy), G Ital Cardiol (Rome). 2015 Jun; 16(6):361-72.
In present study CHF, stroke, angina, and Hemoptysis are the [7] LIP G Y. Golding DJ A survey of atrial fibrillation in general practice.
complications, among these CHF 48% is most common british journal of general practice 47(418) 285-9, may, 1997.
complication. CHF was independent and important complication [8] J, Buch P, Scharling H , Gadsbhioll N, Jensen GB, (2003) Rising rates
hospitalisation for atrial fibrillation Epidemiology 14 (6).
and risk factor for atrial fibrillation according to framing heart
study, which matches with present study4. Followed by angina
16%, stroke (6%), and other complications are Hemoptysis. In all
patients with stroke, etiology is rheumatic and they have severe
stenosis. Hemoptysis seen in 8% of cases, among these one case AUTHORS
was presented after starting anticoagulation. Angina is seen in First Author Dr. KBR Sastry, MBBS, MD, Professor,
patients with IHD. Department of Internal Medicine, Gandhi Hospital, Hyderabad.
Left atrial clot formation found in 10% of cases in our present Email id: sastry_kb@yahoo.in .
study. In one Indian study also found left atrial thrombus in Second Author Dr. L Suneel Kumar, MBBS, MD, Assistant
10.6% of cases. Patients with left atrial dimensions of more than professor, Department of Internal Medicine, Gandhi Hospital,
4 cm had sustained atrial fibrillation. In a study from Trieste, Hyderabad. Email Id: drlsunil@gmail.com.
Italy, 34% of patients with chronic AF had significantly higher Third Author Dr. P. Anurdha, MBBS, MD, Assistant
rates of thromboembolism6. In Lip GY, Golding DJ study the professor, Department of Internal Medicine, Gandhi Hospital,
common complication s are CHF (30.6%) and stroke (18%) 7, 8. Hyderabad. Email Id:panjalaanuradha@gmail.com .
Fourth Author Dr. Bhageerath Raj, MBBS, MD, senior
Resident, Department of Internal Medicine, Gandhi Hospital,
VI. CONCLUSION Hyderabad. Email Id: bhageerath_raj@yahoo.com.
AF is the most common presentation seen in more than 50 yrs age Fifth Author Dr. M. A. Mujeeb Afzal, MBBS, Junior
group people, which matches to western studies. But atrial Resident, Department of Internal Medicine, Gandhi Hospital,
fibrillation most common etiology is RHD despite of improving Hyderabad. Email Id: Mujeeb_afzal@yahoo.co.in.
level of education and life expectancy in Indian citizens. Other
causes like HTN, IHD are common in old age group. Pericarditis Correspondence Author Dr. M. A. Mujeeb Afzal, MBBS,
leading to atrial fibrillation found in young age group. Females Junior Resident, Department of Internal Medicine, Gandhi
are affected more commonly in RHD cases. Congestive heart Hospital, Hyderabad. Email Id: Mujeeb_afzal@yahoo.co.in .
failure is the most frequent complication. Most of the cases (74%)
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Tolerationology
Rawaa Mahmoud Hussain
Prof. Dr. (Islamic Philosophy), Rochester Muslim Community Center (RMCC), Lecturer (Arabic Language), Nazareth College, Rochester, New
York, USA
Abstract- The aim of this article is to launch the way for to better understand the difficulties of toleration. Thus, this
philosophy and human thought to start thinking with toleration as particular conception of toleration should lead us to see what is
a science, which represents one of the basic approaches to more adequate for dealing with the difficulties of toleration. Hu
counter extremism, intolerance, narrow-mindedness and argues for a political conception of toleration, which different
stagnation. In this article, I want to be out with tolerance to the from the attitudinal conception of toleration as being indifferent,
level at which it becomes a science. In order to achieve this or the ethical conception of toleration as respect. It is virtuous for
transformation of toleration to be Tolerationology, I have briefed individual and collective agents to be tolerant. However,
philosophy of toleration history, John Lockes philosophy of toleration is difficult, both in practice and in conceptualization.
toleration. I have submitted the proof that we are all looking for The alternative understanding of toleration do not provide better
toleration, the religious toleration is possible. The article also diagnoses of the difficulties of toleration. The political
contains a discussion of identity, difference, and responsibility. conception of toleration is intended to be grounded on some
moral considerations, not pragmatic purpose. It is political in that
Index Terms- Toleration, Tolerationology, Religion, Philosophy, it recognizes the fact that toleration is essentially practiced to
Identity, Difference deal with a power relationship among the parties of toleration.
Where these is no such power relationship, there is no issue of
toleration. Secondly, this proposed conception of toleration is
I. CONCEPT OF TOLERATION political in the sense that it shall not deal with differences
coming from, to use John Rawlss phrase, the fact of pluralism
T here are many contexts in which we speak of a person or an
institution as being tolerant: a friend tolerates the
weaknesses of another, parents tolerate certain behavior of their
by adopting any comprehensive doctrine such as an ethics of
respect or recognition. 3
children, a monarch tolerates dissent, a state tolerates a minority Tolerance is deferent from another similar concepts and we
religion, a church tolerates sins, a society tolerates deviant realize some socials paradoxes that the tolerance brings. For that
behavior. The term tolerationfrom the Latin tolerare: to put reason, the study of the concept of respect as the fundament of
up with, countenance or suffergenerally refers to the tolerance is the sustain in which the real solidarity and peace are
conditional acceptance of or non-interference with beliefs, establish. 4
actions or practices that one considers to be wrong but still Toleration is not an absolute ethical principle, but one
tolerable, such that they should not be prohibited or among others in the context of a particular moral system. It
constrained. 1 should be given a proper place in the hierarchy of principles.
The etymological root of toleration is the Latin word Understanding toleration as the absolute or even overriding
tolerantia. The general notion of enduring and putting with principle may lead in the face of obvious and directly threatening
various items was what this concept denoted in its early history. wrong to its use as an umbrella for adoptive or escapist behavior.
There are two nouns that exist in contemporary English that As a moral principle toleration is universal, but only in the sense
derived from Latin word tolerantia: tolerance and toleration.
More specifically, tolerance corresponds to a willingness or 3
Hahn Hsu, Toleration, Reason, and Virtue, in:
ability to tolerate: toleration corresponds to the practice of
tolerating. 2 Proceedings of the XXII World Congress of Philosophy 50,
Another argument is that one particular conception of (2008), Social and Political Philosophy, p. 257
toleration is more suitable than others. This conception allows us
4
Lourdes Gordillo explains the principle of tolerance in a
1
Rainer Forst, Toleration, in: Stanford Encyclopedia of double aspect, reference to truth and to the individual. In
Philosophy. First published (Fri Feb 23, 2007); substantive the base of tolerance is respect to the truth and to the
revision (Fri May 4, 2012). Full text is available from: individual. See: Lourdes Gordillo, The Principle of
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that potentially it is addressed to every rational and moral agent. rhetoric. In the theory of rights, virtue, and duty, people who
The question is whether this principle is appropriate in all radically disagree about the analysis and justication of these
situations and what are those moral agents who recognize its concepts can still appeal to a commonly shared repertory of
practical actuality for them? The limits to toleration are given by examples. But with tolerance, it seems that we can nd hardly a
basic and minimal ethical task to resist evil. The principle of single concrete case that would be universally agreed to be a
active opposition to evil by all possible means is prior to the typical object of discussion. Courage and habeas corpus are
principle of toleration. 5 standard cases of virtue. However, our rm belief in the value of
It, understood as moral attitudes and dispositions, helps us tolerance is not matched by analogous theoretical certitude.
understand why deep reconciliation is logically coherent. Perhaps the best indication of the shaky grounds on which the
Dispelling the apparent paradox lies in understanding the role of philosophical discussion of tolerance rests is the intriguing lack
toleration in forming what is called relationships of of agreement on paradigm cases. 8
acknowledgment and forbearance. Societies emerging from Andrew Jason Cohen points out that toleration is considered
severe internal bloodshed along ethnic, racial or religious lines also as noninterference. This is the intuitive notion that most of
face significant problems of reconciliation. Relationships of us share when we only briefly consider the idea. Noninterference
acknowledgement and forbearance overcome elements of enmity seems to be the point of toleration that is, an act is only an act of
and estrangement, and such relationships are necessary, in turn, toleration if noninterference is its intent. Importantly, though, we
for deep reconciliation. A particularly deep form of recognition sometimes tolerate beings that we do not think are autonomous,
between former victims and offenders is necessary to end enmity deserve respect, or have rights. We tolerate nonhuman animals
and achieve solidarity. Yet it appears that deep reconciliation is on occasion, for example. We believe there is value in the natural
logically incoherent as it requires that forgiveness be asked and order of things. We believe, that is, that noninterference with
be given for acts that are inexcusable and unforgivable. 6 nature is itself a value. Asking what should be tolerated without
It usually means putting up with beliefs or actions with being clear about what it is to tolerate seems to put the cart
which one disagrees, and it is practiced because the beliefs or before the horse. Clarity is clearly a virtue when discussing
actions in question are not disagreeable enough to justify issues like this. If we are to say we should (or should not) tolerate
interference. It is usually taken to be a topic for moral and a certain behavior, we need to know what we are prescribing.
political philosophy. Theodicy, on the other hand, is the attempt With further consideration, however, it is clear that intentional
to solve the problem of evil; that is, to explain the origin of noninterference is not satisfactory as a definition of toleration.
suffering and sin in a way that does not make God a moral cause Cohen makes do recognizing several conditions of genuine
of those evils. Theodicy and Toleration seem at first glance to be toleration. One of these is intentional noninterference, as just
an unlikely pair of topics to treat in a single paper. While discussed. But not all intentional noninterference is toleration.
theodicy concerns the notions of good and evil, and could Perhaps the most common suggestions are the following three,
therefore be considered a moral topic, historical and related, possibilities: rights, individual autonomy, and respect.
contemporary discussions of it have been predominantly The idea for each of these is fairly simple. If we oppose
metaphysical and epistemological in scope. Toleration and someones action, but (a) they have a right to do the action, (b)
theodicy would therefore seem to belong to entirely different they must be allowed to act on their autonomy, or (c) they are
spheres of philosophical inquiry. 7 worthy of our respect, then we cannot interfere even though we
Tolerance is a philosophically elusive concept. Indeed, in oppose the action. These can, of course, be easily conflated: we
the liberal ethos of the last three centuries, it has been hailed as respect them because they are autonomous or because they have
one of the fundamental ethical and political values, and it still rights they have rights because they are autonomous, etc. 9
occupies a powerful position in contemporary legal and political It also could be argued that toleration is love to human
beings and other creatures. It is cooperation and a decision in co-
5
Ruben Apressyan, The Principle of Toleration Under What existence with other regardless of being different. The difference
is an essential part of human nature, and history shows that
Conditions? in: Journal of Philosophical Research 37, Issue humanity has been different throughout its history. The solution
for humanitarian difference is in tolerance. The aim of
Supplement (2012), Selected Papers from the XXII World Tolerationology is to launch the way for philosophy and human
Congress of Philosophy, p. 223. DOI: thought to start thinking with toleration as a science, which
represents one of the basic approaches to counter extremism,
10.5840/jpr201237Supplement39. intolerance, narrow-mindedness and stagnation.
Tolerationology means through tolerance we can find solutions
6
Robert Paul Churchill, Moral Toleration and Deep
Reconciliation, in: Philosophy in the Contemporary World 14,
Issue (Spring 2007), pp. 99. DOI: 10.5840/pcw200714122. 8
David Heyd, Toleration: An Elusive Virtue, Princeton
7
Michael W. Hickson, Theodicy and Toleration in Bayles University Press New Jersey, 1996), p. xv.
Dictionary, in: Journal of The History of Philosophy 51, 9
Andrew Jason Cohen, Toleration (Cambridge: Polity, 2014),
Number 1 (January 2013), p. 49. pp. 21, 23.
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to the severe structural imbalances in the nature of individual and toleration individuals who may turn out to be imaginary, in
the structure of society too. any casebut rather the complex historical-intellectual processes
out of which those concepts emerged. It is rarely observed that
the traditional hall of mirrors also reflects a male image or an
II. PHILOSOPHY OF TOLERATION HISTORY exclusively male perspective on political concepts and political
The origin of the history of humanity, as we think, is issues. It has sometimes been observed that the history of
tolerance, peace and coexistence; regardless of the periods in political thought is, figuratively speaking, a hall of mirrors in
which this history has seen witnessing a struggle and a conflict which our present political concerns and preoccupations are
between different social groups in different times and places. reflected back at us, albeit in a slightly distorted form. Several
Research into the concept of toleration has demonstrated scholars have challenged this traditional kind of history: if we
that it did not always connote a positive appreciation and propose to understand the true origins of modern political
treatment of others that could be contrasted with a position of thought, it is argued, then it is a mistake to search for the present
intolerance. Literally, toleration is about some person or group of in the past, or to identify purely contemporary ideas in the works
persons putting up with, or suffering, something undesirable of historical figures. Yet the historian of philosophy who focuses
for the sake of something else, be it sustained peace among rival on male political ideas alone also makes the mistake of failing to
ethnic groups in a nation, financial gain, or family unity. In fact, take into account the precise historical circumstances of pre-
the etymology of the Latin tolerare and its older German modern political thought. This is because women were also
equivalents Leiden and dulden imply that the toleration of active participants in the conflict of opinions that shaped and
someone or something different is the result of circumstances defined modern political philosophy as we know it. The
that make persecution of such difference unappealing to those in historical evidence suggests that the phenomenon of the female
power. Enlightenment discourses about toleration linked the political thinker was not an isolated one, but a recurring feature
concept to political, economic, and social concerns about across the centuries and in different regions of Europe. In
equality and human rights and argued for toleration as a addition to influencing the development of ideas through their
fundamental good within civil society. Nevertheless, critics such practical support and patronage, women themselves discussed
as The post-Enlightenment understanding of toleration as a political ideas and wrote influential political works. 11
public good that is linked to a conception of individual human Voltaire points out that when enlightenment spread, with the
rights is relatively new in the history of the West. Yet scholars renaissance of letters in the fifteenth century, there was a very
have dealt with the concept in a number of different ways and general complaint of abuses, and everybody agrees that the
reached conclusions that bear on questions of public policy, complaint was just. It is said that, since Jesus Christ had never
human rights, and economic equity. Goethe have argued that exacted fees, nor sold dispensations for this world or indulgences
toleration itself is an insult to human dignity if it does not give for the next, one might refuse to pay a foreign prince the price of
way to recognition of the other. Research on toleration in these things. One may, therefore, without blasphemy, admit that
German-speaking lands during the early modern period before the heretics, in proposing to abolish these singular taxes, which
Enlightenment philosophers brought the issue to the fore, will astonish a later age, did not do a very grave wrong to the
however, has lagged behind, especially with respect to negative kingdom, and that they were rather good financiers than bad
attitudes toward religious toleration. Scholars seem to be most subjects. Let us add that they alone knew Greek, and were
interested in finding and doing research on early modern acquainted with antiquity. Let us grant that, in spite of their
historical figures (e.g. Erasmus of Rotterdam, Sebastian Franck, errors, we owe to them the development of the human mind, so
Sebastian Castellio, Hans Denck, and Valentin Weigel) who long buried in the densest barbarism. 12
advocated some kind of religious toleration, albeit not in the Weekend bonito articulates a critical philosophical-
name of enlightened concerns about human rights or individual methodological approach at the heart of which is Mikhail
freedom. While John Marshall devotes attention to early modern Bakhtins dialogical philosophy and the idea of
attitudes of intolerance, he does so with an eye toward vnenakhodimost (outsidedness). According to Mikhail
establishing an early Enlightenment culture of men of letters Epsteins concept of transculture, each culture is incomplete,
who advocated forms of toleration in the 1680s and 1690s. 10 thus needs to transcend its borders in dialogue with other
The true historian of political thought looks not for individual cultures. Transculture is a path of liberation of the individual
originators of modern concepts such as equality, liberty, and
11
Jacqueline Broad and Karen Green, Virtue, Liberty and
10
Adam W. Darlage, Mit was fr Gewissen kan man sie ...? Toleration Political Ideas of European Women 1400 - 1800
Conscience and Toleration in Christoph Andreas Fischers Vier (Dordrecht: Springer, 2007), p. xv.
und funfftzig erhebliche Vrsachen, From: Seminar: A Journal 12
Voltaire, Toleration and Other Essays, translated, with an
of Germanic Studies Introduction, by Joseph McCabe (New York: G.P. Putnams
48, Number 3 (September 2012), Sons, 1912), pp. 16 17.
p. 289. | 10.1353/smr.2012.0023. 12/24/2015. http://oll.libertyfund.org/titles/349.
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from the symbolic dependencies of culture itself and self- how it evolved into the epicenter of early American religious
imposed identities. It is a state of virtual belonging of one pluralism, are complicated and still contentious questions. 14
individual to many cultures. Edward Demenchonok analyzes the Religious liberty in the new United States entailed an
problems of cultural diversity and universality as elaborated in unprecedented commitment to the principle of religious equality,
the concepts of intercultural philosophy (Fornet-Betancourt), or at least substantive gestures in that direction. The American
transculture (Mikhail Epstein), and discourse ethics (Jrgen Revolution in religious liberty was also distinguished by its
Habermas, Karl-Otto Apel, and Seyla Benhabib). In the durability. Changed social customs and formal legal
postmodern theories of culture, there is an internal tension arrangements proved crucial in this regard, as did the relative
between multiculturalism and deconstruction. Edward absence of anticlericalism and secularism. Yet it was the
Demenchonok focuses on Jrgen Habermass analysis of the ineluctable force of widely accepted principles, particularly
problem of cultural identity and diversity in terms of the liberal religious liberty and nonsectarianismthe consistency they
conception of equality and cultural rights. Multiculturalism itself demanded, the equity they extended, and the portability they
is not immune from knowledge/power relations. Its paradox is providedthat made the revolution an enduring phenomenon.
that individual basic liberties are restricted in the name of the The tolerance that prevailed by the 1780s made almost all
securing collective rights of culture groups. Habermas argues previous tolerationist regimes in the Western world, as well as in
that these problems can be solved only from the perspective of North America, look halting and limited. In the late 18th and
the difference-sensitive egalitarian universalism of equal early 19th centuries, European states were just getting around to
rights. Multiculturalism implies an essentialist connection making or expanding policies of toleration. Some of these same
between cultural production and ethnic or physical origin. In states had long traditions of inter-confessional peace, but almost
contrast, there is an argument for a concept of cultural diversity always on the condition of legal inequality. Until the French
free from determinism and representation. Edward Critical Revolutionaries exclusionary establishments were universal.
universality means diversity as a property of a single individual Toleration meant that religious minorities were "dissenters," as
or a single culture insofar as they can include the diversity of they had long been in much of British North America. 15
others. It is viewed as an internal diversity of individuals, their
dialogical openness to others and self-identification primarily as
members of humanity. Attention is paid to David Rasmussens III. LOCKE STATION
analyses of conflict and toleration within the confines of a post- The philosopher John Locke represents one of the important
secular society. Mutual recognition requires a transformation of stations in the history of the idea of toleration in the world. His
interpersonal relations through discourse and public debates over book A Letter Concerning Toleration is considered a leading
identity politics. 13 figure in the attempt to think about Tolerationology. Therefore,
In America, religious diversity emerged in different ways, it is necessary to have a brief idea about the philosophy of Locke
appeared in different degrees, and had different connotations, in toleration.
depending on the local context. Indeed, the one vital lesson in the Traditionally historians of early modern religious toleration
history may be that there are diverse sorts of diversities, each have focused on British intellectual history and connected
with its own peculiar causes and consequences. Pennsylvania is freedom of conscience to sweeping accounts of liberalization and
widely recognized as the front door through which ethnic and modernization, often at the expense of acknowledging the
religious diversity entered America. New York and New Jersey limitations of this tolerance. However, revisionist historiography,
made their contributions as well, but they tend to pale in has approached toleration as a matter of social, rather than
comparison to what could be found in eighteenth-century intellectual, history and has shifted our focus from Britain to all
Pennsylvania. It would not be terribly controversial to assert that, of Europe and her Atlantic colonies. Moreover, revisionist
in the creation of early American ethnic and religious diversity, historians of English religion have usefully questioned whether
Pennsylvania made a very big difference. Perhaps Pennsylvania seventeenth century calls for toleration really advocated either
made the difference. To appreciate the difference that liberty in the modern sense of the word or pluralism. These
Pennsylvania made it is first essential to realize that diversity did innovations have revealed a broad range of tolerant practices in
not just happen. Diversity is a deceptively simple word. There is ordinary life, and they have shown that toleration was often due
no single way to be diverse. Without this critical appreciation of more to a particular concatenation of circumstances than an
diversity we risk taking Pennsylvanias accomplishments for
granted. Exactly why Pennsylvania happened at all, let alone
14
Evan Haefeli, The Pennsylvania Difference: Religious
Diversity on the Delaware before 1683, in: Early American
Studies: An Interdisciplinary Journal 1, Number 1 (Spring
13
Edward Demenchonok, Rethinking Cultural Diversity: From 2003), p. 28 | 10.1353/eam.2007.0054.
Multiculturalism to Transculture and Egalitarian Universalism, 15
Chris Beneke, Americas Whiggish Religious Revolution: An
in: Proceedings of the XXII World Congress of Philosophy 36 Instance in the Progress of History, in: Historically Speaking
(2008), Philosophy of Culture, p. 13. 10, Number 3 (June 2009),p. 31-35 | 10.1353/hsp.0.0042
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evolutionary process. Religious liberty in this period should not In this context, the philosophy of John Locke appeared to the
be confused with a straightforward embrace of equality or public to be one of the main stations of tolerance. His Letter
multiculturalism: while a measure of error or tolerable Concerning Toleration, represented the new trend of tolerance
Differences might be allowed, heresy was still to be which has been growing in Modern European Philosophy.
condemned, and unitywith Christ, with other believers, with Petar Cholakov analyzes the problem of the development of
the statewas held as the ultimate religious goal. John Coffey, John Lockes ideas on toleration, in particular the grounds of
who has tried to renew the connection between civil warera separation of church and state. The relation between Lockes
Puritanism and modern liberalism, has conceded the evidence of views on toleration and political practice explains the shift
many tolerationist pamphlets to his opponents because of these between the three stages. The first part examines Lockes
texts very limited calls for religious freedom. Blair Worden arguments regarding the prerogatives of the magistrate towards
has noted that Puritans sometimes found toleration to be a indifferent things and the religious sphere. Cholakov outlines
dirty word an expedient concession to wickedness, and both two fundamental sets of interdependent arguments that Locke
he and J. C. Davis have emphasized the special meaning of uses for the separation of church and state. The third part is
liberty in early modern toleration tracts: liberty of conscience dedicated to the sphere of the church and the dimensions of the
concerned not a claim to direct or manage ourselves, but a duty of toleration. Cholakov distinguishes between three stages
claim to be free to submit to the governance of God rather than to in the development of Lockes view on toleration: a suspicion
any other authority. 16 toward the plea for it (the Two Tracts); an implicit non-
verbalized distinction between church and state, and support for
toleration (An Essay on Toleration); and toleration as a political
right (A Letter Concerning Toleration, the Two Treatises and the
later letters). The second part focuses on the definition of
commonwealth in A Letter Concerning Toleration. 17
16
Ben LaBreche, Areopagitica and the Limits of Pluralism,
in: Milton Studies 54 (2013), p. 139 |
10.1353/mlt.2013.0006. Colin Jagere indicates that the in: ELH 79, Number 3, (Fall 2012),
advent of religious toleration in England at the end of the pp. 569.| 10.1353/elh.2012.0021.
seventeenth century has long interested political theorists as 17
Petar Cholakov, The Development of John Lockes Ideas on
well as intellectual and literary historians. Many have argued Toleration, in: Balkan Journal of Philosophy 7, Issue 2
that toleration is a movement from below, born of the desire to (2015), p.187. DOI: 10.5840/bjp20157223. Micah
be free. Toleration is among other things a linguistic program, Schwartzman points out that John Lockes theory of toleration
and it turns out that the discourse of toleration mistrusts the has been criticized as having little relevance for politics today
ambiguities of literary language. A careful reading of John because it rests on controversial theological foundations.
Locke and the latitudinarian tradition indicates that toleration Although there have been some recent attempts to develop
originates in raison d'tat arguments, and that the question of secular; or publicly accessible, arguments out of Lockes
state power can be neither historically nor analytically writings, these tend to obscure and distort the religious
detached from it. Two poems by John Dryden, Religio Laici arguments that Locke used to defend toleration. Bracketing the
and To the Pious Memory of the Accomplished Young Lady search for publicly accessible justifications makes it possible to
Mrs Anne Killigrew, push against the limits of toleration appreciate the continued relevance of Lockes religious
discourse; the first, written while Dryden was still an Anglican, arguments for toleration. These efforts ignore the role that
limns the emptiness of a formal commitment to common religious arguments may play in supporting the development of
quiet; the riotous figuration of the second, written the year of a normative consensus on the legitimacy of liberal political
his conversion to Catholicism, points to what Charles Taylor principles. See: Micah Schwartzman, The Relevance of
has called the awkwardness of a multicultural polity trying to Lockes Religious Arguments for Toleration, in: Political
balance its commitments to majority and minority identities. Theory 33, No. 5 (Oct., 2005), p. 678. Stable URL:
See: Colin Jagere, Common Quiet: Tolerance Around 1688, http://www.jstor.org/stable/30038449.
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John Locke inquires what are his Thoughts about the mutual John Locke points out that if the Gospel and the Apostles may be
Toleration of Christians in their different Professions of Religion, credited, no Man can be a Christian without Charity, and
he must needs answer you freely, That he esteems that Toleration without that Faith which works, not by Force, but by Love, then
to be the chief Characteristical Mark of the True Church. For it would indeed be very hard for one that appears careless about
whatsoever some People boast of the Antiquity of Places and his own Salvation, to persuade me that he were extremely
Names, or of the Pomp of their Outward Worship; Others, of the concerned for mine. For it is impossible that those should
Reformation of their Discipline; All, of the Orthodoxy of their heartily and sincerely apply themselves to make other People
Faith; (for every one is Orthodox to himself): these things, and Christians, who have not really embraced the Christian Religion
all others of this nature, are much rather Marks of Men striving in their own Hearts. Locke appeals to the Consciences of those
for Power and Empire over one another, than of the Church of that persecute, destroy, torment, and kill other Men upon
Christ. Whosoever will list himself under the Banner of Christ, pretense of Religion, whether they do it out of Kindness and
must in the first place, and above all things, make War upon his Friendship and towards them, or no: And he shall then indeed,
own Lusts and Vices. It is in vain for any Man to usurp the and not till then, believe they do so, when he shall see those fiery
Name of Christian, without Holiness of Life, Purity of Manners, Zealots correcting, in the same manner, their Friends and familiar
and Benignity and Meekness of Spirit. Let any one have never so Acquaintance, for the manifest Sins they commit against the
true a Claim to all these things, yet if he be destitute of Charity, Precepts of the Gospel; when he shall see them thus express their
Meekness, and Good-will in general towards all Mankind; even Love and Desire of the Salvation of their Souls, by the infliction
to those that are not Christians, he is certainly yet short of being a of Torments, and exercise of all manner of Cruelties; and when
true Christian himself. The Kings of the Gentiles exercise he shall see them prosecute with Fire and Sword the Members of
Lordship over them, said the Savior to his Disciples, but ye shall their own Communion that are tainted with enormous Vices, and
not be so, Luke 22:25. The Business of True Religion is quite without Amendment are in danger of eternal Perdition. For if it
another thing. It is not instituted in order to the erecting of an be out of a Principle of Charity, as they pretend, and Love to
external Pomp, nor to the obtaining of Ecclesiastical Dominion, Mens Souls, that they deprive them of their Estates, maim them
nor to the exercising of Compulsive Force; but to the regulating with corporal Punishments, starve and torment them in noisome
of Mens Lives according to the Rules of Virtue and Piety. 18 Prisons, and in the end even take away their Lives; I say, if all
Toleration is a pragmatic response to the practical need to this be done merely to make Men Christians, and procure their
coexist with others who have different conceptions of the good. Salvation, Why then do they suffer Whore-doom, Fraud, Malice,
Toleration develops out of the recognition that in practice and such like enormities, Romans 1; which (according to the
diversity cannot be eradicated by either philosophical argument Apostle) manifestly relish of Heathenish Corruption, to
or political force. Lockes approach became more clearly defined predominate so much and abound amongst their Flocks and
in the nineteenth century with Mills account of the practical People? These, and such like things, are certainly more contrary
need to tolerate dissenting opinions. Both Locke and Mill base to the Purity of the Church, to the Glory of God, and to the
their argument for toleration upon an account of human Salvation of Souls, than any conscientious Dissent from
psychology and epistemology. Locke argued, for example, that Ecclesiastical Decisions, or Separation from Public Worship,
since it was not practically possible to produce orthodoxy by way whilst accompanied with Innocence of Life. 20
of coercion, the state should tolerate dissent. While Locke rejects John Locke argues that the mind often takes of comparing,
coercion in belief formation, Mill emphasizes that belief in the is the very being of things; when considering any thing as
truth will be stronger if the truth has been tempered by argument existing at any determined time and place, we compare it with
and dissent. Although Mills psychology of belief is similar to itself existing at another time, and thereon form the ideas of
Lockes, his tolerant attitude goes beyond Locke. Mill thus identity and diversity. When therefore we demand, whether any
foreshadows the way in which toleration would develop in the thing be the same or no; it refers always to something that existed
twentieth century. Mill celebrates diversity as such. Today we such a time in such a place, which it was certain at that instant
encounter radical diversity with tolerant eyes opened by the was the same with itself, and no other. From whence it follows,
horrors of those final solutions that have sought to eliminate it. that one thing cannot have two beginnings of existence, nor two
We no longer believe that it is practically possible to unify things one beginning; it being impossible for two things of the
human life under one concept or idea. 19 same kind to be or exist in the same instant, in the very same
place, or one and the same thing in different places. That
therefore that had one beginning, is the same thing; and that
which had a different beginning in time and place from that, is
not the same, but diverse. When we see any thing to be in any
18
John Locke, A Letter concerning Toleration and Other place in any instant of time, we are sure (be it what it will) that it
Writings, edited and with an Introduction by Mark Goldie
(Indianapolis: Liberty Fund, 2010), pp. 7 8. New Series, 16, Number 2 (2002),
12/5/2015. http://oll.libertyfund.org/titles/2375. p. 103| 10.1353/jsp.2002.0011.
19
Andrew G. Fiala, Toleration and Pragmatism, From: The 20
John Locke, A Letter concerning Toleration and Other
Journal of Speculative Philosophy Writings, pp. 8 9.
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is that very thing, and not another, which at that same time exists David M. Rasmussen clarifies the kind of context, which
in another place, how like and undistinguishable sever it may be requires toleration. His point of departure is a characterization of
in all other respects: and in this consists identity, when the ideas modernity that both departs from the classical modern theory of
it is attributed to vary not at all from what they were that moment secularization and draws from the current research on multiple
wherein we consider their former existence, and to which we modernities. This will lead to the definition of conflict and
compare the present. For we never finding, nor conceiving it tolerance within the confines of a post-secular society. The
possible, that two things of the same kind should exist in the philosophical component of the concept of toleration will be
same place at the same time, we rightly conclude, that whatever taken from both Aristotle and Kant in the sense that toleration is
exists any where at any time, excludes all of the same kind, and not only a necessary virtue in modern society, it is also a
is there itself alone. 21 normative notion based on respect for the law. we can no longer
Aaron Lerche indicates that our concern for nonhuman characterize toleration on the basis of a theory of secularization
nature can be justified in terms of a human right to liberty of because of the more or less recent resurgence of religion.
ecological conscience. This right is analogous to the right to Rasmussen concludes that toleration must be conceived of as a
religious liberty, and is equally worthy of recognition as that principle of justice in a society that requires respect not only for
fundamental liberty. The liberty of ecological conscience, like the rights of others but for their cultures as well. 24
religious liberty, is a negative right against interference. Each Catriona McKinnon points out that by countering the claim
ecological conscience supports a claim to protection of the parts that vertical toleration is redundant given a commitment to the
of nonhuman nature that are current or potential sites of its active Rawlsian version of the liberal democratic ideal, and by
pursuit of natural value. Destruction of an object of current or articulating a version of that ideal that shows this claim to be
potential natural value is like destroying a church, mosque, false; the reaffirmation is that the centrality of vertical toleration
temple, or other holy place. This justification for environmental in the Rawlsian liberal account of state-citizen relations. The
conservation is analogous to the standard justification for direct, vertical toleration of certain types of citizen by the
individual negative rights, as upheld by the liberal tradition of Rawlsian liberal state is appropriate and required in
Locke, Mill, and Rawls. 22 circumstances in which these types of citizen pose a threat to the
stability of the state. 25
Maria Rosa Aantognazza argues that neither toleration ad
IV. WE ARE ALL LOOKING FOR TOLERANCE intra nor toleration ad extra is grounded for Leibniz in
Michael Walzer believes that the idea that our choice are not indifference toward the content of revealed religion. On the
determined by a single universalism or universal principal and contrary, Leibniz remained convinced of the objective truth of
that the right choice might not be similarly right there is, strictly the Christian religion as it is handed down by the millennia-old
speaking, a relative to the history and culture of the people whose tradition of the truly universal church. In his view, reasons
lives it will arrange. This seems an obvious point. However, he is internal to the very nature of salvation and to the conception of
advocating an unconstrained relativism, for an arrangement, and God and man explicitly contained in or, at least, in accord with
no feature of an arrangement, is a moral option unless it provides this tradition present religious toleration as the only justifiable
for some version of peaceful coexistence. We choose within answer to the differences among religions. Maria Rosa
limits, but the real disagreement is whether such limit exist, no Aantognazza as one might expect, throughout his life Leibniz
one seriously believes that they dont, but how wide they are. assumed an attitude of religious toleration both ad intra (that is,
The best way to estimate that the width is to describe a range of toward Christians of other confessions) and ad extra (that is,
options and to make the case for plausibility and limitations of toward non-Christians, notably Muslims). Maria Rosa
each within its historical context. 23 Aantognazza aims to uncover the philosophical and theological
foundations of Leibnizs views on this subject. Focusing in
21
John Locke, The Works of John Locke in Nine Volumes,
Vol. 1 (An Essay concerning Human Understanding Part 1
(London: Rivington, 1824 12th ed.). Vol. 1. 12/6/2015, p. 24
David M. Rasmussen, Conflicted Modernity Toleration as a
325. <http://oll.libertyfund.org/titles/761>. Principle of Justice, in: Journal of Philosophical Research 37,
pp. 8 9. Issue Supplement, (2012), Selected Papers from the XXII
22
Aaron Lercher, Liberty of Ecological Conscience, in: World Congress of Philosophy, p. 217. DOI:
Environmental Ethics 28, Issue 3 (Fall 2006), p. 315. DOI: 10.5840/jpr201237Supplement38.
10.5840/enviroethics200628320. 25
Catriona McKinnon, Vertical Toleration as a Liberal Idea,
23
Michael Walzer, On Toleration (Connecticut: Yale University in: Social Theory and Practice 39, Issue 1 (January 2013), p.
Press, 1997), p. 19 20. 1. DOI: 10.5840/soctheorpract20133911.
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particular on his epistolary exchange with the French Catholic including a discussion of the Hindu practice of sati or widow
convert Paul Pellisson-Fontanier. 26 burning. 29
Trudy D. Conway considers the relation between tolerance Toleration means to keep self and other; it is to keep the
and hospitality. Conway situates this discussion in the history of other by giving him the right to exist first, then the consequence
philosophy with reference to a range of thinkers from Homer and of this freedom of choice guaranteed by the right to exist. I exist;
Aristotle to Levinas, Derrida, and Walzer. Hospitality responds therefore I am free. Toleration also keeps other, because he will
to the challenge of what is most needed for re-conceiving how do the same role toward self on the basis of action and re-action,
one might remain committed to the values of one s own and although it is a natural base, but, at the same time, a role of
community while also remaining open to those who do not share human relations. Toleration is a human virtue, this virtue that
these same commitments. Conway argues that the virtue of without it human beings will be courtyard and commodificated,
hospitality is important for negotiating the complexities of our i.e., making them goods in one system, contrary to what is in
contemporary world. 27 natural order. The system of nature is based on several elements,
Edwin Curley points out that Spinozas argument is not such as: diversity, contrast, different in human and natural assets.
limited to religious toleration, but is an argument for freedom of And without toleration; diversity would be destroyed and moving
philosophizing generally. Nevertheless, freedom of people to be engaged in one box, a locked cage or a dark prison.
30
philosophizing in religion is the central case. Curley wants to
know whether any of the arguments philosophers made in favor So, it can be said that the attempts to deepen human
of religious toleration deserved to be effective in bringing about understanding on toleration have not been interrupted since
this transformation. The central thesis of Spinozas Theological- Locke until today. On the contrary, we find that the work is
Political Treatise is that the state not only can permit freedom of continuing in this context, and, therefore, it is very possible and
philosophizing without endangering piety or the public peace, important to get benefit from all attempts to formulate the
but that it must do so if it is not to destroy piety and the public general laws of Tolerationology.
peace. In making such an argument, he contributed greatly
toward the transformation of Western culture with respect to
toleration and religious liberty. Curley wants to understand how V. THE POSSIBILITY OF RELIGIOUS TOLERATION
this transformation came about and what role Spinoza played in Voltaire believes what seems to reason impossiblein other
it. 28 words, he believe what he do not believeand therefore he must
Andrew Fiala discusses one source of toleration: a modest hate those who boast that they believe an absurdity opposed to
recognition of the limits of our ability to imagine the situation of mine. Such is the logicsuch, rather, is the madnessof the
the other. Fiala further connects this with both respect for the superstitious. To worship, love, and serve the Supreme Being,
autonomy of the other and the moral need to engage the other in and to be of use to men, is nothing; it is indeed, according to
dialogue. The conclusion is that toleration is important in light of some, a false virtue, a splendid sin, as they call it. Ever since
the ubiquity of failures of the moral imagination. Fiala considers men made it a sacred duty to dispute about what they cannot
several examples of the failure of the moral imagination, understand, and made virtue consist in the pronunciation of
certain unintelligible words, which every one attempted to
explain, Christian countries have been a theatre of discord and
carnage. Voltaire also believes that God has given you
understanding; he cannot wish that you should pervert it. It is a
fact of daily experience that God, who gives everything, has
given one man more light and more talent than another. No one
can deny that it is possible for God to shower his finest gifts on
26
Maria Rosa Aantognazza, Leibniz and Religious Toleration: one of his works. It does not offend our good sense that he has
chosen to link one man more closely to himself than others; that
The Correspondence with Paul Pellisson-Fontanier, in: he has made him a model of reason or virtue. We may, therefore,
American Catholic Philosophical Quarterly 76, Issue 4 (Fall
2002), p. 601. DOI: 10.5840/acpq200276421.
29
Andrew Fiala, Toleration and the Limits of the Moral
27
Trudy D. Conway, From Tolerance to Hospitality Imagination, in: Philosophy in the Contemporary World 10,
Problematic Limits of a Negative Virtue, in: Philosophy in the Issue 2 (Fall/Winter 2003), p. 33.
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believe in Jesus as one who taught and practised virtue; but let us constraints" is the only regime of toleration that can be
take care that in wishing to go too far beyond that, we do not democratically justified. 34
overturn the whole structure. 31 Religious toleration has long been the paradigm of the
Catholic Encyclopedia defines toleration as Toleration in liberal ideal of toleration of group differences, as reflected in
general signifies patient forbearance in the presence of both the constitutions of the major Western democracies and in
an evil which one is unable or unwilling to prevent. By religious the theoretical literature explaining and justifying these practices.
toleration is understood the magnanimous indulgence which one Article 18 of the Universal Declaration of Human Rights
shows towards religion other than his own, accompanied by the declares, everyone has the right to freedom of thought, con-
moral determination to leave it and its adherents unmolested in science and religion; this right includes freedom, either alone or
private and public, although internally one views it with in community with others and in public or private, to manifest his
complete disapproval as a false faith. 32 religion or belief in teaching, practice, worship and observance.
Evangelical toleration is recovered as a neglected The American Constitution provides that Congress shall make
tradition in early modern political thought with important no law respecting an establishment of religion, or prohibiting the
consequences for contemporary political theory and practice. Not free exercise thereof. The first of the four Fundamental
only were evangelical considerations essential in shaping the Freedoms in the Canadian Charter of Rights and Freedoms is
particular institutions associated with toleration in England and held to be freedom of con- science and religion. As the
America, the varieties of evangelical toleration represented by German Constitution (or Basic Law) provides in Article 4,
Williams and Locke shed significant light on the very different Freedom of faith and of conscience, and freedom to profess a
institutionsand intuitionsgoverning the expression of religious or philosophical creed, shall be inviolable, adding, in a
religious difference in liberal democracies today. Many political separate clause, The undisturbed practice of religion shall be
theorists dismiss the prudential arguments made by proto- guaranteed. 35
liberal thinkers like Roger Williams or John Locke in favor of Catholic Encyclopedia indicates that nowhere is dogmatic
toleration as a necessary precondition for evangelism and intolerance so necessary a rule of life as in the domain of
conversion as intolerant, unacceptably instrumental, and religious belief, since for each individual his eternal salvation is
inessential to their deeper theories. By contrast, critics of at stake. While abstract truth, both profane and religious, asserts
liberalism treat them as smoking gun evidence for an imperial itself victoriously through its impersonal evidence against all
and civilizing mission underlying liberal toleration. Both sides opposition, its human advocate, engaging in personal contest
underestimate evangelical tolerations genealogical and with adversaries of flesh and blood like himself, must have
theoretical importance. 33 recourse to words and writing. Just as there can be no alternative
In a deliberative democracy, accommodations to religious multiplication tables, so there can be but a single true religion,
minorities must be based on transformations in the current which, by the very fact of its existence, protests against all other
reflective equilibrium among the norms that make up the religions as false. But the love of truth requires each man to stand
complex democratic ideal. This is not merely a conceptual forth as the incorruptible advocate of truth and of truth alone.
enterprise of commensuration, since the need for any such Conscious that the truth for which he fights or
transformation in standards of justification is due to changes in in good faith believes he fights, is, by reason of its innate
the nature of the polity itself, changes that in turn modify its nobility, incompatible with any blemish or stain, he will never
regime of toleration. Recent debates about the public or claim license to abuse. Such an ideal champion of truth is
nonpublic character of religious reasons provide a good test case fittingly designated by the English word gentleman. Hence the
and show why liberal deliberative theories are intolerant and fail sharp, yet almost impersonal clash between opposing views of
to live up to democratic obligations to provide justifications to all life, each of which contends for the palm, because each is
members of the deliberative community. Political liberals now thoroughly convinced that it alone is right. But the very devotion
defend what Rawls calls the inclusive view of public reason to truth which supports these convictions determines the kind of
with the appropriate ideal of reasonable pluralism. Against the polemics which each believes himself called on to conduct. He
application of such a liberal conception of toleration to whose sole concern is for truth itself, will never besmirch his
deliberative democracy "the open view of toleration is with no escutcheon by lying or calumny and will refrain from all personal
invective. He may, however, by a fair counter-stroke parry an
31
Voltaire, Toleration and Other Essays, p. 92 96. unjust, malicious, and insulting attack, since his adversary has
no right to employ invective, to falsify history, to practice sordid
32
See: Catholic Encyclopedia, proselytism, etc., and may, therefore, be driven without pity from
from: http://www.catholic.org/encyclopedia/view.php?id=116
09
34
James Bohman, Deliberative Toleration, in: Political
33
Teresa M. Bejan, Evagelical Toleration, in: The Journal of Theory 31, No. 6 (Dec., 2003), p. 757. Stable URL:
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his false position. These principles obtain universally and for all into indifference then toleration seems to have lost its meaning.
men -- for scholars and statesmen, for Catholics and Protestants. Another set of problems arises if we accept some concept of the
36
good as the basis for disapproval. One central problem of this
Voltaire says On Superstition, kind, the so-called paradox of toleration, can be stated as
My Brethren: follows: Normally we count toleration as a virtue in individuals
You are aware that all prominent nations have set up a and a duty in societies. However, where toleration is based on
public cult. Men have at all times assembled to deal with their moral disapproval it implies that the thing tolerated is wrong and
interests and communicate their needs, and it was quite natural ought not to exist. The question which then arises is why. . . it
that they should open these meetings with some expression of the should be thought good to tolerate." If we include the expression
respect and love which they owe to the author of their lives. This of ideas through speech or other media as part of "conduct" then
homage has been compared to the respect which children pay to this will serve us adequately. This tension, however, produces a
their father, and subjects to their sovereign. These are but feeble variety of conceptual puzzles and difficulties that bear on the
images of the worship of God. The relations of man to man have justification and maintenance of the practice itself. Some of the
no proportion to the relation of the creature to the Supreme problems are meta-ethical and arise from questions about the
Being; there is no affinity between them. It would even be status of normativity itself. For example, one common
blasphemy to render homage to God in the form of a monarch. A justification of tolerance is based on skepticism about the good.
ruler of the whole earthif there could be such a person, and all If there is no objective idea of the good then enforcement of
men were so unhappy as to be subject to one manwould be but some subjective concept of it would be unjustified. 38 P37F
a worm of the earth, commanding other worms of the earth; he Tolerance requires us to accept people and permit their
would still be infinitely lower than the Deity. In republics, practices even when we strongly disapprove of them. There are
moreover, which are unquestionably earlier than any monarchy, limits to what we are able to do to prevent these things from
how could God be conceived in the shape of a king? If it be happening, but we need not restrain ourselves out of tolerance for
necessary to represent God in any sensible form, the idea of a these actions as expressions of the perpetrators
father, defective as it is, would seem to be the best fitted to our values. Tolerance thus involves an attitude that is intermediate
weakness. 37 P36F between wholehearted acceptance and unrestrained opposition.
Yes, the religious tolerance is possible, but very possible; it This intermediate status makes tolerance a puzzling attitude.
is an inevitable reality. Religion, in its own nature, and according There are certain things, such as murder, that ought not be
to what it is, cannot be an extremist or fanatic or convulsive. tolerated. 39P38F
Indeed, the religious teachings require tolerance according to Conceptions of equal citizenship or of universal human
their special nature in order to accommodate different people rights can be seen to have protected deep-reaching structures of
intellectually, culturally and socially. inequality and domination that are damaging to women and other
But where intolerance comes from? The main source of subordinate groups. It is now widely acknowledged that social
fanaticism and intolerance and exclusion of the other comes, not pluralismthe presence in a society of distinct traditions and
from religion itself, but from people who hold in themselves ways of lifevastly complicates the project of liberal political
exclusionary, intolerant and convulsive interpretations of thought. The permanent presence of different and often
religion. competing systems of value challenges the ideal of civic culture
on which liberal principle depends. 40 P39F
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they suffer from having done wrong, thereby allowing them to preserved. And if the distributive paradigm could be stretched far
move forward in their lives. There is a strong relationship enough to compensate for asymmetries in public respect, social,
between toleration and forgiveness. Maintaining or perpetuating and opportunities linked to membership of disadvantaged groups,
personal relationships is one of the clearest and most important then the liberal ideal of toleration would be properly fulfilled. 43
ends of forgiveness, though not the only important one. Therefore, tolerationology is a way of thinking in the individual
Forgiving those who wrong us often helps us move beyond and collective responsibility about the importance of tolerance
strong negative emotions which, if allowed to fester, could harm and its extreme necessity for the sustainability of human life and
us psychologically and physically. These ends of forgiveness the continuity of co-existence. Its a responsibility to maintain
may be regarded as in general enabling in the sense that they self-identity on the one hand and to deal with the different
show how forgiveness sometimes helps people move beyond the identity of other in a very sophisticated way so as to promote the
wrongs they endure or cause and the sometimes debilitating values of peace in every place and time.
effects those wrongs have on wrongdoers and victims alike. For
some, forgiveness has these forward-looking benefits because of
the way it transfigures the past. 41 VII. CONCLUSION
Tolerance is a defining value of liberalism, but it is also a 1- The aim of Tolerationology is to launch the way for
nagging an embarrassment and vulnerability, as critics and philosophy and human thought to start thinking with
defenders of liberalism both recognize. Liberals call tolerance toleration as a science, which represents one of the basic
elusive, difficult, unstable, contradictory, and even approaches to counter extremism, intolerance, narrow-
impossible, but they nevertheless regard toleration as an mindedness and stagnation.
indispensable practice not only for believers in the values of self- 2- We consider toleration as love to human beings and
creation and pluralism but also for citizens of whatever other creatures. It is cooperation and a decision in co-
persuasion in a world of cultural, moral, and ideological existence with other regardless of being different.
variety. Many of its advocates acknowledge its flawsfor 3- Tolerationology means through tolerance we can find
example, that tolerance can be condescending, hypocritical, and solutions to the severe structural imbalances in the
insufficiently ambitious in pursuit of justice and equalitybut nature of individual and the structure of society too.
the only thing worse, they agree, is intolerance. Tolerance 4- The difference is an essential part of human nature, and
involves acceptance, sometimes grudging, of beliefs, values, and history shows that humanity has been different
practices with which one disagrees or of which one disapproves, throughout its history. The solution for humanitarian
and that may understandably be felt as something less than the difference is in tolerance.
full recognition and equal treatment that dignity and respect 5- The origin of the history of humanity is tolerance, peace
require. 42 and coexistence; regardless of the periods in which this
The full freedom of expression of individual and group history has seen witnessing a struggle and a conflict
differences in terms of culture, morality, religion, and lifestyle between different social groups in different times and
would be granted, and people would be freed from the burden of places.
their differences and from the disadvantages suffered as members 6- John Locke represents one of the important stations in
of certain groups. Equating contemporary question of toleration the history of toleration in the world. His book A Letter
with issues of distribution, dealt with by the appropriate Concerning Toleration is considered a leading figure in
extension of the distributive paradigm, would love liberal the attempt to think about Tolerationology.
toleration intact as the solution to moral, religious, and 7- The attempts to deepen human understanding on
metaphysical pluralism. Moreover, it would avoid questioning toleration have not been interrupted since Locke until
the principal of state neutrality, and it would neutralize the risk today. On the contrary, we find that the work is
that particular memberships and collective identities might continuing in this context, and, therefore, it is very
trespass into the public domain of citizenship, the ground, possible and important to get benefit from all attempts
indeed, of democratic legitimacy, of the overlapping consensus to formulate the general laws of Tolerationology.
and of public reason s for the liberal democratic order to be 8- The religious tolerance is possible. It is an inevitable
reality. Religion cannot be an extremist or fanatic or
41
Paul M. Hughes, Forgiveness, in: Stanford Encyclopedia of convulsive. Indeed, the religious teachings require
tolerance according to their special nature in order to
Philosophy. First published (Thu May 6, 2010); substantive accommodate different people intellectually, culturally
revision (Tue Dec 23, 2014). Full text is available from: and socially.
9- The main source of fanaticism and intolerance and
http://plato.stanford.edu/entries/forgiveness/. exclusion of the other comes, not from religion itself,
but from people who hold in themselves exclusionary,
42
Paul B. Armstrong, Two Cheers for Tolerance: E. M. intolerant and convulsive interpretations of religion.
Forsters Ironic Liberalism and the Indirections of Style,
in: Modernism/modernity 16, Number 2 (April 2009), p. 281- 43
Anna Elisabetta Galeotti, Toleration as Recognition
299 | 10.1353/mod.0.0079 (Cambridge: Cambridge University Press, 2004), p. 7.
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 59
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Proceedings of the XXII World Congress of Philosophy 20 (2008),
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Princeton University Press. http://www.jstor.org/stable/j.ctt7rttc.9.
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[22] Heyd, David, Toleration: An Elusive Virtue, Princeton University Press
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AUTHORS
First Author Rawaa Mahmoud Hussain,
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Prof. Dr. (Islamic Philosophy), Rochester Muslim Community Rochester, New York, USA, Rawaahussain1@gmail.com
Center (RMCC), Lecturer (Arabic Language), Nazareth College,
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Abstract- E-commerce has strongly emerged as a new pillar of (2005). But there are some shortcomings of using internet as well
International Trade in recent times, not only Business to especially when you are dealing in B2B ecommerce on both ends
Customer (B2C) but also Business to Business (B2B) market weather its a buyer or supplier. A buyer needs a serious security
places have made an impact globally as new channel of revenue of money that is going to lend and as supplier there are many
generation engine. Now Global trade is far more dependent on issues that are involved and making and maintaining satisfaction
such portals which have provided easy access to buyers and levels, some of them we will be discussing in this paper. A
suppliers to interact and trade with each other. Since the industry Supplier when joins B2B portals only think about the benefits or
is new and dependent on advance technology which is changing in business terms one can say is ROI (Return on investment), But
very frequently that is not allowing businesses to maintain the to achieve targets there are certain services needed in order to
required satisfaction levels. This study has made an attempt to have a smooth transaction. E-services are very complex in
identify the potential factors that are affecting the satisfaction of nature, response of inquiries, information security, search
members on Business to Business (B2B) portals. The specific criteria, postings, service delivery issues and most importantly
objective of this study is to analyze the factors affecting the rapid changes in industry. Ba, and Johansson (2006). The
Asian customers of B2B portals and the role of Chinese market situation becomes terrible here because its hard to fix any
in developing B2B portals as a new industry to the world arena. standard and save financial & operational cost and more
Target audience was the paid members of these B2B portals importantly this is linked to customer satisfaction. The interface
which are mostly based in China and they are also the biggest of the websites are not that friendly to allow members to search
source of revenue generation. Primary data was gathered through with specific criteria & only few of them having advertisements
Questionnaire and 25 respondents were interrogated whose that reflects users demography. Accenture (2010). Rightly so, to
responses were further tested. Finally, this study has revealed the customize searches there should be a clear indication on websites
significant evidence with respect to the satisfaction of the that can allows members to search normally or advance searches.
members of these portals and recommendations have also made Oracle (2012); presented interesting results, personalization
about what measures companies should take to ensure their (custom catalogs, micro sites) persuades customers most heavily,
satisfaction level. followed closely by the online catalog and search engine
optimization (SEO). More interestingly Mobile websites and
Index Terms- Business to Business (B2B) Portals, customer applications secure 5th position in the top line up after paid
satisfaction, International Trade advertisements. Services such as online Product Catalog &
Showcase, Alerts, trust point / numbers, Optimization work (Key
words Selection), ads especially Top Ranking, sub accounts,
I. INTRODUCTION Year Count or Associated Tags, social media, Friendly Interface,
Customer Services / Account Management etc are major to
E A. Overview and Background
commerce has become part and parcel now a days, not only
Business to consumer (B2C) but also the phenomena of Business
minor needs of the members depending upon different B2B
portals. Wang, and Benaroch (2002) mentioned the complexities
to Business (B2B) portals have having a significant importance for the suppliers to get the orders in competitive markets, well
in world economy. Heavy investments on these B2B portals by agreed with the authors that if choices are available for the
the members have made this industry a new and strong sector in buyers they can find many suppliers at the same stage. Its easy
a situation where world economy is seriously disturbed. This to promote loyalty online because more information is usually
study is belonging to the role of Factors Affecting the Customer available for customers (Shankar et al, 2002). Partially this
Satisfaction on B2B Portal in Asian businesses as there are many author is right when everything is available it becomes easier to
root causes which influence on customer satisfaction including use but again some steps are need to be explained to customers.
major to minor factors. As the industry has already gets it roots CoE (2007) suggested that American and EU top businesses are
and standing on the strong pillars so there must be some critical transforming to pay advertising online at the expenses of print
factors which are necessary and needs to be highlight for the advertisements. This study also mentioned the role of social
betterment of this sector. media and Search engine Marketing (SEM) and companies
Technology has revolutionized everything including, it interests towards them.
made everything accessible, anything that is required can easily
find on Internet within no time period even businesses are linked B. An Overview of an Organization under Study
to technology. Internet is not an Industry its an Era, Tradekey, Tradekey.com has been launched in end of 2005. Soon after
its launch Tradekey secured 2nd position in worlds B2B portal
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industry after Alibaba. Its a Saudi Based company which is The main objective of this study is to examine the factors
running its operations from Pakistan and competing globally. affecting customer satisfaction on B2B portals. There are some
China Market has the Maximum number of premium members at specific objectives which are also needs to be highlight in this
Tradekey.com which is actually the base of research. Tradekey comprehensive study which are mentioned below;
and other B2B portals believes that it is difficult to make a long
term strategies due to rapid changes in Internet technologies - To identify the Importance of B2B portals for Asian markets.
which itself is a root cause of the factors we will be discussing in - To find out the role of B2B portals in customer satisfaction.
this study. - To find out the role of Customer Services on B2B portals.
- To explore the kind of membership services members needs to
C Rationale behind the Research get success and satisfaction on these portals.
As mention above facts researcher came to know that these - To understand the role of Social media in B2B business.
are the core issues that are directly linked with the satisfaction of - To study supply Chain issues, including order closing, search
member dealing in online B2B portals. Several studies mostly cost, Transportation and sampling procedures.
concerned over supply chain issues of B2B ecommerce. This
paper aims to identify factors that are directly involved in H Hypothesis
satisfaction levels of the members of these b2b portals. The H1 There is a significant relationship between Customer
critical issues and detailed study will be discussed on factors Services and Customer Satisfaction on B2B portals.
associated to supplier's satisfaction; under this prospective this H2 There is a significant relationship between Social Media
study highlights the problems as mentioned below. and Customer Satisfaction on B2B portals.
H3 There is a significant relationship between Membership
D Research Question Services and Customer Satisfaction on B2B portals.
What are the factors influenced on the customer satisfaction H4 There is a significant relationship between
when using the B2B portals for e-commerce trade/business? Advertisements and Customer Satisfaction on B2B portals.
H5 There is a significant relationship between Order
E Significance of the Study Processing and Customer Satisfaction on B2B portals.
This study identify the gapes and highlight the issues related H6 There is a significant relationship between Supply Chain
to customer satisfaction more specifically core and IT related and Customer Satisfaction on B2B portals.
service such as( customer and technical services, membership H7 There is a significant relationship between
services including ads, emails, sign up, multiple account Communication & feedback and Customer Satisfaction on B2B
linkages, interface etc, Social media, Supply Chain, portals.
Communication). This study point out the relevant issues that
may cause the customer satisfaction while using the B2B portals.
The significance of this study is to provide the primary support to II. LITERATURE REVIEW
improve the communication between suppliers and customers in B2B ecommerce is primarily responsible for improving the
an effective manner. Further, this study carried out to provide efficiency of the companies and reduction the overall cost
extensive support for ecommerce business and their involve in the supply chain by automating the system on single
functionalities. or different platform. There were several heads of cost were
involve previously that includes manual systems, labor processes
F Scope of the Study transaction charges etc. What B2B did is, it automates all of
The fundamental and the core cause of this particular study manual process by approving buyer registration, developing
is to let the people know about the real picture of B2B portals online catalogs, and attractive contract based prices and
that can be helpful to use them in an effective way. This study contractual terms and conditions. Further the study explained that
will be helpful for the new researcher to identify the core issues though there is a decline in online purchasing but the growth of
that Asian markets are facing on these B2B portals and helps B2B ecommerce is continuously growing and taking the share
them to understand and work more extensively. This study will from the offline economy which is struggling. Oracle (2011).
also be useful for members of these B2B portals and the buyers Ecommerce provides even faster communication than phone
in a way that they could able understand the limitations of each calls, sending faxes and invoicing system just because human
other and act in a way that could be suitable for both parties. linkages are faster than humans and other means. the profits
For Pakistani markets, the businesses out here can take the coming from multiple sources and it allows companies to bypass
benefits of this modern system of trading online and dealing in some of the processes of value chain, the ecommerce also
B2B which can be a new window to decrease certain operation provides buyers an opportunity to choose the best one as per
costs. requirement, some might required higher quality and others need
Last but not the least and probably the most importantly the lower prices. Standifer, and James (2003).
regulations from Governments & policies & procedures of the A study conducted on Australian agribusiness firms selected
portals management to that ease for both buyers and supplier to a buyer side model in b2b ecommerce which is actually a buyer
deal freely and make secure transactions while using these centric model in nature that suggests the major buying needs
portals. from suppliers who are large or big in size. This model not only
responsible in reduction of buyers costs by viewing the list of
G Objectives of the Study/Purpose of the Study products and services which are offered to them but also it
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increases customer relationships by having instant replies and statistics, standard deviation statistics comes out to be 3.5900 and
strong coordination from suppliers end. Eric (2005). Though the 0.49413 respectively.
use of social media increases the customer empowerment The results suggest p values us .000 which can be write as
significantly, but it has some barriers involve. These could be p<.001. So as per results we can conclude that there are
time, money and most importantly the technical expertise which significant value found between our dependent variable and
are required to target the audience. So one should be well independent variables. In short the null hypotheses are rejected
supported and trained to use social media before implementing and all the alternate hypotheses are accepted to our study.
the social media strategy. Nicole (2013). The Oracle (2002) Pearson correlation is used to study the relation between the
Surveyed on B2B ecommerce and presents their findings in a variables. If the value of correlation coefficient ranges from 0.10
way that it categorize the list of factors that influence on the to 0.29 then it means there is a weak relation between the
revenues the most, these are personalization, online catalog and variable and when the coefficient ranges from 0.30 to 0.49 then it
making as per their requirements on micro sites, the search mean there is a medium relation and when the coefficient ranges
engine optimization, Paid Advertisements, Mobile applications, from 0.50 to 1.00 then it shows there is a strong relation between
social media and other. While there is English is the common the variables. Our study shows that there is a weak relationship
language used in business but there are huge numbers who between the dependent variable customer satisfaction and the
speaks different languages like Spanish or Arabic. So ignoring independent variable customer service which is 0.26, it also
this pool of potential participants ecommerce can missed the shows that the relationship between customer satisfaction and
opportunity. Computers and internet systems can translate but social media is strong which is 0.611 and the relationship
they cant be accurate and make multi-lingual requires human between dependent variable customer satisfaction and the
efforts. Voloper (2008). independent variable membership services is 0.374 which shows
medium relationship between the two. The relationship between
independent variable advertisement and dependent variable
III. METHODOLOGY customer satisfaction is 0.53 which shows strong relation
Data was collected to achieve the purpose, scope and to test between them, there is a weak relationship between the
the hypothesis of the study, primary data has been collected to dependent variable customer satisfaction and the independent
test the hypothesis. The method for conducting inquiries was variable order processing which is 0.284, there is a negative
questionnaire for factors affecting customer satisfaction on B2B linear relationship between independent variable supply chain
portals. The instrument was based on liker scaling to collect and dependent variable customer satisfaction because its value
primary data. Sample covering members of Tradekey.com, which comes out to be -0.038 and the relationship between customer
is a leading B2B portal. Online methods have such as Skype, QQ satisfaction and communication and feed back is 0.163 which is a
and Email have been used to collect the data. One sample and weak relationship.
Correlation has been used to test the hypothesis. The secondary
data has been collected through different sources that include,
research papers, white papers, conference proceedings, survey V. DISCUSSIONS & CONCLUSION
reports. The accuracy of data can be a concerning factor because The affect of factors have been found impressive with
of some limitations, as Tradekey.com is running its operations respective to customer satisfaction on B2B portal. The statistical
from Pakistan, so the data has been collected by sending model has shown that there is a great significant among variables
Questionnaire through online means. Due to financial and time discussed above on the satisfaction of members of these B2B
restraints it was difficult to collect data by visiting personally. portals.
Its is also to note down the behavior of most of the Chinese
sales personnels because they do not have expertise to deal the
IV. DATA ANALYSIS buyers properly. People from different background are
The independent variable customer services mean statistics sometimes involved in tackling the buyers and that is deadly for
and standard deviation comes out to be 4.0533 and 0.58278 the businesses. The other major issue is a language barrier, they
respectively. The independent variable social media mean rarely use calls to contact buyers, and the only possibility is
statistics and standard deviation comes out to be 3.7733 and through emails and chat mediums. Yet some confusion arises
0.73736 respectively. The independent variable membership between buyers and suppliers because of grammatical mistakes
services mean statistics and standard deviation comes out to be and least proficient in English language.
3.9800 and 0.38586 respectively. The independent variable Buyers also need to understand the behavior of Chinese
advertisements mean statistics and standard deviation comes out market in terms of trading and manufacturing since China is way
to be 4.2400 and 0.53755 respectively. The independent variable to different manufacturing market if we compare it from Japan or
order processing mean statistics and standard deviation comes Korea in Asian other region. Industries are as famous by cities
out to be 3.6200 and 0.49540 respectively. The independent and developed by provinces or cities, an example can be quoted
variable supply chain mean statistics and standard deviation as Guangzhou is famous for shoes and handbags, Yiwu is world
comes out to be 3.2200 and 0.54639 respectively. The biggest commodity market, Ningbo is famous for ball bearing &
independent variable communication & feedback mean statistics Tianjin is for steel.
and standard deviation comes out to be 3.7067 and 0.60146 This paper tried to explore the market which is still to be
respectively. The dependent variable customer satisfaction mean discovered with respect to investment, trading and the behavior
involve in buying and selling in B2B terms internationally via
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online medium. This paper can provide the opportunity to those be discovered, the way they behave, the regions they like to deal
researchers who want to check the potential of B2B portal in, their preferences towards any country or any particular buyer,
industry and the buying & selling patterns that prevails. The most the ways that they feel comfortable and so on. The future
interesting factor could be the behavior of Asian business researchers could have their researches in these fields to explore
professionals especially Chinese suppliers. The Chinese more from this market & especially to tackle the challenge of
products are now almost in every part of the world and they are their sales personnels in online business dealings.
so eager to expand more, but many of their approaches are yet to
Appendix
Table 01
One-Sample Statistics
Std. Error
N Mean Std. Deviation
Mean
Customer
25 4.0533 0.58278 0.11656
Services
Social Media 25 3.7733 0.73736 0.14747
Membership
25 3.98 0.38586 0.07717
Services
Advertisements 25 4.24 0.53755 0.10751
Order Processing 25 3.62 0.4954 0.09908
Supply Chain 25 3.22 0.54639 0.10928
Communication
25 3.7067 0.60146 0.12029
& Feedback
Customer
25 3.59 0.49413 0.09883
Satisfaction
Table 02
Test Value = 0
95% Confidence Interval
Sig. (2- Mean of the Difference
T df
tailed) Difference
Lower Upper
Customer Services 34.776 24 0 4.05333 3.8128 4.2939
Social Media 25.587 24 0 3.77333 3.469 4.0777
Membership Services 51.573 24 0 3.98 3.8207 4.1393
Advertisements 39.438 24 0 4.24 4.0181 4.4619
Order Processing 36.536 24 0 3.62 3.4155 3.8245
Supply Chain 29.466 24 0 3.22 2.9945 3.4455
Communication &
30.814 24 0 3.70667 3.4584 3.9549
Feedback
Customer Satisfaction 36.326 24 0 3.59 3.386 3.794
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Table 03
Correlations
Custome Soci Supp
Custom Members Order Communic
r al Advertisem ly
er hip Processin ation &
Satisfacti Med ents Chai
Services Services g Feedback
on ia n
Customer -
0.61
Satisfactio 1 0.26 0.374 0.553 0.284 0.03 0.163
1
n 8
-
Customer 0.06
0.26 1 0.18 0.678 0.434 0.04 0.397
Services 2
9
-
Social
0.611 0.062 1 0.244 0.274 -0.084 0.09 -0.193
Media
5
Membersh -
0.24
ip 0.374 0.18 1 0.15 0.113 0.01 -0.021
Pearson 4
Services 9
Correlatio
-
n Advertise 0.27
0.553 0.678 0.15 1 0.425 0.05 0.404
ments 4
4
Order - -
Processin 0.284 0.434 0.08 0.113 0.425 1 0.01 0.543
g 4 5
-
Supply
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Membersh
ip 25 25 25 25 25 25 25 25
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Abstract- Gypsum is a naturally occurring mineral produced in 13 million tonnes of soil reclamation grade and the rest is
many parts of the India and the world. Chemically it is hydrated unclassified. The total recoverable reserves of all grades of
calcium sulfate. The chemical formula for pure gypsum is gypsum in Rajasthan are of the order of 105.5 million tonnes.
Ca(SO 4 )2(H 2 O). In the chemically pure form, gypsum contains With few exceptions, gypsum in India occurs mostly in thin beds,
23.28% calcium (Ca) and 18.62% sulfur (S) in the readily veins, lenses and as isolated clusters of crystals in various
available sulfate form (SO 4 ). However, the typical gypsum formations. Anhydrite, a common associate of gypsum has not
sources that are commercially available for agricultural often been noticed in the known gypsum deposits in India.
contain impurities which result in a Ca level between 16%-23% However , 99% of Total Indian Production of natural
Ca and 15%-19%.Rajasthan produces 99% of the total mineral Gypsum is from Rajasthan only.In which major production dist.
Gypsum production in India. And most promising depostis are Bikaner, Sri-Ganganagar and Nagaur. They vary in thickness
occurs in Bikaner Distt. As demand is increasing so there is need from a few inches to 10 ft. and over. Reserves have been roughly
for prospecting new promising areas of Gypsum/Gypsite . This estimated to exceed 40 million tons.
research paper would help in meeting the increasing demand of
natural Gypsum with the search of new deposits in Bikaner Uses:
Distt.It would also help in generating revenues to the Govt. It is an essential constituent of cement, though its proportion
is only 4-5 per cent. It is also used in making plaster of Paris,
Index Terms- Mineral Gypsum, new deposits, prospecting moulds in ceramic industry, nitrogen chalk, partition blocks,
works. sheets, tiles, plastics, etc. It is conveniently applied as surface
plaster in agriculture for conserving moisture in the soil and for
aiding nitrogen absorption. Gypsum had many uses in addition to
I. INTRODUCTION agriculture. A partial lis of producs and processes that use
gypsum includes blackboard chalk, cemen, wall board, Plaster of
G ypsum is a hydrated sulphate of calcium which occurs as
white opaque or transparent mineral in beds in Thar desert
of Rajasthan in India. Such deposits are seen in Bikaner area.
paris , dental moulds , paint filler, toothpaste, molds for casting
metals, Tofu coagulation , improving mineral content of brewing
Except this it also occurs in bands in sedimentary formations water, dietary calcium additives in breads and cereals , and
such as limestones, sandstones and shales. In some cases it pharmaceuticals.
occurs as transparent crystals associated with clays
(Gothmanglod deposits of Nagaur).
II. GEOLOGY OF BIKANER
Distribution:- Topographically sediments of Bikaner basin are elongated
Gypsum deposits are known to exist in several parts of in shape and occurs in two distinctly separated areas separated by
India. The more well-known gypsum-bearing regions are in an aranaceous high of Marwar Super gp. Origin. The Tertiary
Rajasthan and in South India, but smaller deposits occur also in sequence contains sediments of continental and marine origin
Tehri-Garhwal, Himachal Pradesh and parts of western India. deposited over the Neoproterozoic Nagaur Group ( Marwar Sup.
The latter have not been fully explored yet. Northern India-Small Gp.) of rocks.It is represented by the Palana , Marh and Jogira
deposits of gypsum as pockets and thin beds are also known to Formations in ascending order having conformable contacts. It is
occur in the Dehra Dun, Nainital and Tehri-Garhwal regions of bound on the north and south by East-West treding faults and
Uttar Pradesh. The reserves are estimated at about 200,000 tons. marked by casement hights at Dulmera and adjoining areas.
Among the other deposits are those in the Sirmur district of The Bikaner basin or the Palana Ganganager shelf , is an East-
Himchal Pradesh, which are estimated to contain about 1 million West treding elongated basin extending for about 200 kms, witht
tons, and small deposits in Bhutan, Kashmir and Rewa (Vindhya a maximum width of about 50 kms in north-surth direction.The
Pradesh) for which no estimates of the reserves are available. basin preserves Palana and Sri Ganganagar embayments ,
Gypsum in veins and thin beds and as crystals distributed in enclosed eastwards, connecting with the Indus basin.The entire
sedimentary strata is also found in Saurashtra and Kutch. The area is under thick wind-blown sand cover of Thar desert.
reserves are estimated at 6.4 million tons. The in situ reserves of
gypsum are estimated at 383 million tonnes. Out of this two
million tonnes are of surgical/plaster grade, 92 million tonnes of
fertilizer/pottery grade, 76 million tonnes of cement/paint grade,
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Tectono
Formation Depositional
Geological Age Depositional
Thickness in (m) Enviornment
System
Pleistocene -
Quartenary Alluvium (80-85) Shallow Water
Recent
Paleocene- Palana & Marh
Tertiary Shallow Marin
Eocnene Formation (20-110) Upliftment
Parh Eqy. Fm (30- Clastic
Cretaceous
35) Dominant
Terrestrial
Lathi Eqy. Fm ( 290- System
Mesozoic Jurrassic
380)
Bap & Badhura Fm (
Permo-Triassic Fluvio - Glacial
55-65)
Up. Carbonate Post rift
Cambrian Transgressive Marine
Fm.(250-600) Clastic
Paleozoic
Nagaur Fm (150- Carbonate
Marginal Marin Clastic System
190)
Hanseran Evaportite Syn rift
Fm ( 160-150) Intertidal Evaporite
Transgressive Marine Clastic
Infra Cambrian Bilara Fm.(50-55)
Proterozoic Carbonate
Jodhpur Fm(25-35) Fluvia System
Pre-Cambrian Malani Ign. Suite Volcanism
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mines producing between 50 thousand tonnes to 1 lakh tonnes cement sector had started moving towards the alternate sources
contributed 7% of total production, 15 mines producing between as well as starting importing their requirement. This imports are
10 thousand to 50 thousand tonnes accounted for 13% of total creating negative impacts on the Indigenous mines and inducing
Production of natural Gypsum is on decreasing Trend by 11 % economic losses to Indian natural Gypsum producers.So there is
per year against it the demand of Gypsum is increasing.The need to find out new promising areas as well as to find the
major deficit in the production of natural gypsum is due to in buyers of low grade natural Gypsum.
consistent quality of natural gypsum.Due to this inconsistency
Production 33 14
in000 207 866 1,089 957 15,89 12,586 million million
(MT) ( MT) (MT)
MINERAL GYPSUM OCCURRENCE IN BIKANER: Total 34 mining leases of Mineral Gypsum are existing in
Bikaner is known for its Gypsum deposits all over India. the Distt. out of which 11 MLs are of Rajasthan Govt. or Central
Out of 8 Tehsils of Bikaner ,4 tehsils are having the deposits of Govt. ownership rest of the 23 Mining Leases are of Private
natural Gypsum. These deposits occurs as horizontal beds at parties. Major mining leases are in Miranwali (Khajuwala) tehsil
several places on the surface.They exits in depressions , Kolayat , Pugal and Bikaner.The Govt. Mining leases are big in
surrounded by sand dunes. They are devoid of any vegetation in extension whereas private MLs are of less than 5 hectares.
the outcrops.These deposits are sometimes found in small parts Prospecting was planned for discovering new potential areas
of depressions while other times occupy entire depression by based on the surface indicators. The samples were drawn from
gypsum bed. These are also termed as gypsites and amorphous in the prospected areas and were tested in Lab by Gravimetric
formation.Thickness of bed varies from 0.20 m to about 2 m.The method.
overburden , mostly sand and clay is a few centimeter only ,
though at placed it is 3-4 m.The gypsum beds in Bikaner are
under lain by loose sand. VI. SAMPLING AND ANALYSIS MEHODOLOGY
The importance of gypsum deposits of Bikaner increased 74 samples were taken from various gypsum mining Leases
from the year 2000 when the rise in Infrastructure projects in areas including farm lands , road cuttings , tube well mud in such
India was seen. Large infra-structure projects started in India and a way that the entire thickness of the deposits might be exposed.
the demand of cement rised. Gypsum is used in cement industry And were tested in the laboratory in Bikaner.
as a retarder upto 5-7% of total production.
Bikaner is having nearly 28,466 sq, kms of Area out of
which about 60% area is having Gypsum / Gypsite deposits. Out VII. METHORD OF ANALYSIS OF GYPSUM PURITY%
of 8 Tehsils 6 are having thick to thin sheet deposits of Gypsites.
The major tehsils are Bikaner, Pugal ,Miranwala, Lunkaransar, The samples were collected in 5 kgs, packets and were
Chattargarh NW parts of Kolayat. tagged as per date of collection & location. The packed samples
were brought in the lab, where it was crushed and Quarter
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Conning was done. By Quarter conning the representative thickness of gypsum bed is about 0.50 mtere to 0.75
sample was reduced to 100 gms standard sample. Then it was de- meter.
moisturized in Hot Air Oven at 40C temperature. Moisture was 7. Bhagu Block :- Bhagu village is located near Khajuwala
detected by re-weighing this 100 gms of representative sample. on Dantaur road.
For analysis of SO3 or Gypsum Purity% one gm is taken out a. About 6 kms away from Khajuwala , gypsum occurs
from this 100 grams. To this one gram of the sample, add 25 ml below 1 meter from surface.Thickness of gypsum bed is
of cold water, and while the mixture is stirred vigorously add 5 about 0.60 meter.Area of gypsum beasing area is
ml of hydrochloric acid. If necessary, heat the solution and grind approx.. 600 m X 400 meter.
the material with flattened end of a glass rod until it is evident b. In the agriculture field of 16 bsd , alpng the Anupgarh
that the decomposition of the cement is complete. Dilute the brach of I.G.canal , gypsum occurs on the surface on
solution to 50 ml and digest for 15 minutes at a temperature just 0.50 meter below surface.Thickness of gypsum bed is 1
below boiling. Filter and wash the residue thoroughly with hot to 1.5 meter.Gypsum bearing area is approx.. 600 X 400
water. Set aside the filter paper with the residue. Dilute the sq. meter.
filtrate to 250 ml and heat to boiling. Add slowly drop by drop, 8. Siyasar Abadi :-A potential gypsum deposit is locatied
10 ml of hot barium chloride (100 g/l) solution and continue the near Siyasar Abadi village.The thicknss of this depost
boiling until the precipitate is well formed. Digest the solution on was explored by the trial pit .The depth of the deposit is
a steam-bath for 4 hours or preferably overnight. Filter the around 0.50 to 1.50 mter .The total gypsum beading
precipitate through a Whatman No. 42 filter paper or equivalent area is approx.. 500X250 sq. km.
and wash the precipitate thoroughly. Place the filter paper and 9. Rawal Ali Talai :-An area of gypsum about 300 mter X
the contents in a weighed platinum or porcelain crucible and 200 mtere on R.H.S of road leading Pugal to Khajuwala
slowly incinerate the paper without inflaming. Then ignite at 800 situated 3 kms from Pugal was obserced.The area is
to 900C, cool in a desiccator and weigh the barium sulphate surrounded by sand dune.Thickens of Gypsum ded wary
obtained, calculate the sulphuric anhydride content of the from 1 meter to 1.50 meter.Gypsum of the area is dirty
material taken for the test. white and earthly. Gypsum is found below 0.25 meter
thick soil cover.
Calculation Calculate the percentage of SO3 as follows: 10. Raola Khera :- This area is located on Pugal Dkodha
SO3 percent = W 34.3 ; PURITY % = 2.5 x SO3. road about 2 kms east of Pugal .Gypsum occurrence is
W = Weight of the sample in g. noted in the depression (Talai) under 0.50 meter thick
W = weight of residue (BaSO4) in g; and soil cover.Thickness of gypsum bed as seen in the pit is
34.3 = molecular ratio of SO3 to BaSO4 1 meter .Gypsum is exposed in 400X200 sq. meter area.
New Potential Areas of Gypsum in Bikaner:- 11. Chogolai Talai :- This area is found potential for
mineral Gypsum in 1 kms X 1.5 kms area.It had become
The most potential gypsum bearing areas in the districts whitish on surface due to salt encrustations.Gypsum
Bikaner are discovered in the north west direction of the City. debris were found around Tanka but thickness of
The details of the area as under.Area having more potentials for gypsum bed was not more than 0.50 meter.
new mining leases and investigated as follows :- 12. Chak 1 ADM :- Gypsum occurences were observed in
Muraba number 186/40 in an area of about 0.50 X 1.50
Sattasar Command Area:- meter cultivable soil. Thus gypsum bearing area is 250
1. 17 SMD and In 12 DKD area , the thickness of Gypsum meter X 100 meter.
bed as explored by the trial pit is around 1 meter and the 13. 10 P.B. Area :- This area is situated about 4 kms west of
thnickness of overburden is 0.5 to 1.5 meter. The total Sattasar bifurcation ( 17 kms from Pugal on Khajuwala
Gypsum bearing area is approx.. 400 X 70 M. rad).Gypsum occureaces was observed in 4 Murabase
Estimated Resserves = 8 lac MT. i.e. 100 bigha around Jallal jaat Ki Dhani in Murabba no
Average Purity tested = 60 to 70% 22,23,24,14 and 1.Thickness of gypum bed is 0.50
2. In 17 LKD area, gypsum is encountered in water taknk meter to 2 meter in the extention of 300 meter X 200
about 2 meter below sand cover. The gypsum is also meter area.
found as float ore in cultivated field. 14. 7 P.B. :- This area is located adjacent o Chak 10 P.B.
3. In the area between 17 LKD and C minor block, Gypusm occureacen was observed near lichhmaram jaat
sufficient deposit of gypsum occurs in an area of about ki Dhani about 4 murrabbase.in this area , thickness of
1.5 kms X 1.7 kms area.In this area no overburden is gypsum bed is 1 X 1.5 meter thick below soil cover of
seen and the gypsum bed occurs on the surface. 0.50 to 1.50 meter.
4. In 16 LKD ara, the total gypsum bearing area is about 15. Near 8 P.B. :-This area is about 3 kms west of Sattasar
500X700 sq. mtr.s The thickness of gypsum bed , bifurcation.Gypsum was observed in an area of about 3
exposed in the pit is about 1 m to 1.5 m and thickness of kms X 550 meter in the west of kumharaon ki
overburden is 0.50 meter. Dhani.Explored thickess of gypsum ded in the trail pit
5. In 13 DKD ara, gypsum also occur on surface.The was 1.60 meter.Quality of gypsum seems to be good.
gypsum bearing area is about 500 X 500 sq. meter. Overburden in the area is 10 to 50 cms.
6. In 6PB area, gypsum occurs in small area of about 16. Chak 2 HWM :-It is located at 12 kms from Khajuwala
150X200 sq. mtere .Gypsum occurs on surface and on Khajuwala to Ballar road.Gypsum occureace is
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 72
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found in 4 Murabbas.In this area, 2 pits in the area of VIII. DISCUSSION AND CONCLUSION
dimension of 100 x 50 m, 80 x 70 m.Gypsum bed of 1 The new areas prospected and discussed above would help
m x 1.5m thick was observed below an overburden of in developing new potential deposits and enhancement of
50 cms soil cover. unexplored natural gypsum deposits.Except this the reserves
17. Ranewala :- This area is situated about 6 kms south estimated would add in serving the various industries using
from Ballar.Gypums occurance was observed in some natural gypsum of Bikaner. The new deposits found would add
parts of 5 Murabbas.Thickness of gypsum bed was not life to the natural gypsum mines of Bikaner, Rajasthan. Except
known becaouse there was no pit in the area.Gypsum this would also help plaster factories of Bikaner which are
was brought to surface due to Ploughing only. striving for the good quality gypsum. But simultaneously we
18. Chak 16 KHM :- An area of gypsum about 300 meter x have to keep watch on the illegal miners so that these identified
100 meter on the R.H.S of Bajju Dantor road.The area areas could be developed.
is surrounded by sand dunes.The thickness of gypsum
bed vary from 0.50 x 1.50 m. Gypsum of the area is
dirty white and earthy.Gypsum is found below 0.25 m ACKNOLEDGEMENT
thick soil cover.There ae 2 pits in the area of dimentions
25x15 meter and 15x20 meter. I would like to express my special thanks of gratitude to my
19. Near 4 & 6 PRM abadi : This area is located near to 4 revered Prof. Dr. Devesh Khandelwal, Dr. Satish Kaushik ( Dept.
and 6 PRM abadi area on Pugal to Dantore of Geology), Sh. Manjeet Singh Huda ( Gujrati Mineral Lab) for
road.Gypsum was observed in an area of about 700x500 helping me in analysis of Gypsum samples in his lab.
meter in north of Abadi area.Gypsum was explored Except this I would also thank my Seniors Sh. Arvind
below an overburden of 50 cms. Khicha ( Sr. V.P. _Shree Cement Ltd.) , Sh. Manmohan Sharma (
20. 17 Chak 23 BLD :- An area of gypsum about 2 kms x 2 Advisor- SCL) and Sh. Shikhar Chaturvedi ( Dy. GM-Raw
kms .On Dantore to Ballar road ( Bhawani Ram Material) Who gave me the golden opportunity to do this
Khumar, Murraba no. 217/1) 8 kms from Ballar.The wonderful project on the topic Gypsum: Resources of Bikaner
thickness of gypsum bed varies from 0.50 to 1.50 and new prospective areas which also helped me in doing a lot
meter.Gypsum is found below 0.30 meter thick soil of research and I came to know about so many new findings. I
cover. am immensely thankful to him for is fruitful and invaluable
21. 13 bld- Bhagu (village)A small pit of Gypsum is seen guidance.
on Dantor to Pugal Road & Left side to road & 15 km
far from Dantor Scl office in NE direction. Estimated
Reserved = 30 lac MT and Avg. Purity% = 45-65%. REFERENCES
22. Kawani (village) : The next sampled area village [1] Roy, A.B. Jakhar S.R., 2002, Geology of Rajasthan ( North Western India)
Kawani is adjacent to RSMM mines & 2 km far in Precambrian to Recent. Scientific Publishers( India, Jodhpur.
NNW direction. This area 33 km far from Bikaner Dist. [2] Singhvi, A,K and Kar, A ( eds), Thar Deserts in Rajasthan-Land,Man and
Enviornment, Geological Soc. OF India, Bangalore,1992,p,186.
Headquarter in NW direction. The almost area is govt
[3] Vishnu-Mittre, Geological Surv.. OF India,Misc. Publ., 1982,49, 113-128.
land & whole area Excavated by Unauthorized mining.
[4] Kar,A.,Desertification and its Contrl in the Thar , Sahara and Suhel Regions
The thickness of gypsum bed is 2.0-3.50 feet & O.B. is ( eds Sen,A.K. and Kar, A.), Scientificl Publishers,, Jodhpur, 1993, pp. 49-
4.0-6.0 feet. 72.
Estimated Resserves = 15 lac MT. [5] H.S.Saini, S.K.Tandon, Lake depsotis of northeastern margind of Thar
Average Purity tested = 50-55% Desert : Holocene Paleoclimatic implications.,Current Science , Vol 88, No.
23. Ranasar (village) 12 June 2005.
[6] Dept. of mines and geology , web site. dmg-raj.org.
The next visited area village Ranasar, Tehsil Kolayat. This
area 75-80 km 33 km far from Bikaner Dist. Headquarter in West
direction. The almost area is govt land & whole area Excavated AUTHORS
by Unauthorized mining. The thickness of gypsum bed is 2.0- First Author Rajat Bhardwaj, Sc.(Geology),PGDMM,R.Q.P.,
3.00 feet & O.B. is 2.0-6.0 feet. Research Scholar Dept. of Geology,Govt. Dungar College,
Estimated Reserves = 10 lac MT. Bikaner, M.G.S.U, Bikaner-334003,E-mail :
Average Purity tested = 50-65% rajat.geologist@yahoo.com, 9929977269.
CORRESPONDENCE ADD.: URMILA ANCHAL, 5-D-80,
HUDCO QUARTERS, JAI NARYAN VYAS COLONY
BIKANER-334003.
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Abstract The identification of disease on the plant is a very laboratory testing. But this method requires satisfactory
important key to prevent a heavy loss of yield and the quantity laboratory conditions along with professional knowledge. The
of agricultural product. The symptoms can be observed on the pathogen detection methods can provide more accurate results.
parts of the plants such as leaf, stems, lesions and fruits. The As the tests are carried out of field the cost may be high and
leaf shows the symptoms by changing colour, showing the could be time consuming.
spots on it. This identification of the disease is done by This paper suggests a system which can provide more
manual observation and pathogen detection which can accurate results related to the identification and classification
consume more time and may prove costly. The aim of the of disease. It tries to replace the need of the experts to certain
project is to identify and classify the disease accurately from extent. Here, the captured image is first preprocessed to resize
the leaf images. The steps required in the process are Pre- it and then converted to HSI color space format by using
processing, Training and Identification. The disease segmentation. The features such as major axis, minor axis,
considered are Powdery Mildew, Downey Mildew which can eccentricity are extracted from the image. In the last step,
cause heavy loss to Grape fruit. For identification of disease these features are given to the classifier to classify the disease
features of leaf such as major axis, minor axis etc. are occurred on the leaf.
extracted from leaf and given to classifier for classification.
II. LITERATURE REVIEW
Keywords disease, features, pathogen, spots. Various techniques of image processing and pattern
recognition have been developed for detection of diseases
I. INTRODUCTION occurring on plant leaves, stems, lesion etc. by the researchers.
Now days, a new concept of smart farming has been The sooner disease appears on the leaf it should be detected,
introduced where the field conditions are controlled and identified and corresponding measures should be taken to
monitored using the self operating systems. The self avoid loss. Hence a fast, accurate and less expensive system
recognition of the disease is based on the identification of the should be developed. The researchers have adopted various
symptoms of disease. So that information about the disease methods for detection and identification of disease accurately.
occurrence could be quickly and accurately provided to the One such system uses thresholding and back propagation
farmers, experts and researchers. This in turn reduces the network. Input is grape leaf image on which thresholding is
monitoring of large field by human being. In disease performed to mask green pixels. Using K-means clustering
recognition from image the key is to extract the characteristic segmented disease portion is obtained. Then ANN is used for
feature of the diseased region. According to the disease the classification [1].The other method uses PCA and ANN.PCA
features may vary. The features that are extracted from the is used to reduce the dimensions of the feature data. to reduce
image are color,shape,texture etc.Sometimes for detection of the no. of neurons in input layer and to increase speed of
the disease more features are extracted and these extracted NN[2].Sometimes threshold cannot be fixed and object in the
feature would increase the hardware as well as software cost. spot image cannot be located. Hence authors proposed
This further causes increase in the complexity and the LTSRG-algorithm for segmentation of image [3]. In cucumber
computation time. Hence it is necessary to reduce the feature leaf disease diagnosis, spectrum based algorithms are used
data.
[4].In the classification of rubber tree disease a device called
The occurrence of the disease on the plant may result in spectrometer is used that measures the light intensity in
significant loss in both quality as well as the quantity of electromagnetic spectrum. For the analysis SPSS is used [5].In
agricultural product. This can produce the negative impact on citrus canker disease detection uses three level system. Global
the countries whose economies are primarily dependent on the descriptor detects diseased lesion. To identify disease from
agriculture. Hence the detection of the disease in the earlier similar disease based regions zone based local descriptor is
stages is very important to avoid the loss in terms of quality, used In last stage two level hierarchical detection structure
quantity and finance. Usually the methods that are adopted for identifies canker lesion [6]. For identification of disease on
monitoring and management of plant leaf disease are manual. plant and stems first segmentation is carried using K-means
One such major approach is naked eye observation. But the clustering. Feature extraction is done by CCM method.
requirement of this method is continuous monitoring of the
Identification is done by using BPNN[7].With relevance to
field by a person having superior knowledge about the plants
grapes, the fruit mostly suffer with tree types of diseases viz
and its corresponding diseases. Moreover, appointing such a
person would may prove costly. Another approach is seeking Powdery Mildew, Downy Mildew and Anthracnose. The two
advice from the expert which may add the cost. Also, the diseases are considered Powdery Mildew and Downy Mildew.
expert must be available in time otherwise it may results in
loss. Diagnosis of disease on plant can also be done in
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 74
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Powdery Mildew: Powdery mildew can infect all green parts The methodology adopted for the system is shown in
of the grapevine. This disease is most easily recognized by the Figure 3 below.
dusty appearance or white powdery growth occurring in
patches on fruit or leaves. The white patches of powdery
mildew produce millions of spores (conidia) which are spread Image Database
by wind to cause more infections. Free moisture is not needed
for secondary infection; temperature is the most important
environmental factor. The image of grape leaf affected with
powdery mildew is shown below in Figure1. Preprocessing
Feature Extraction
Classification
Diagnosis
Figure 1: Leaf infected with Powdery Mildew
Figure 3: Flow of system
Downy Mildew: Early in the season, infected leaves develop
At first the damaged image should be pre-processed. This pre-
yellowish-green lesions on their upper surfaces. As lesions
processing can reduce the influence made by the background.
expand, the affected areas turn brown, necrotic, or mottled.
The image enhancement consists of following steps -
Severely infected leaves may curl and drop from the vine. The
Transformation of the defected image into HSI colour space.
disease also attacks older leaves in late summer and autumn,
Analysing the histogram of the intensity channel to get the
producing a mosaic of small, angular, yellow to red-brown
threshold by which we can increase the contrast of the image.
spots on the upper leaf surface. Downy mildew is favoured by
Adjust the intensity of the image by applying thresholds.
warm, wet growing seasons.The image of leaf infected with
downy mildew is shown below in Figure 2.
C. Feature Extraction
Features are extracted from image using Gabor filtering
method. These features are very important for the colour and
morphology of the leaf spots and they provide critical
information about its visual representation. The features
correspond to colour characteristics are the mean and variance
of the gray level of the red, green and blue channel of the
spots; and other features correspond to morphological and
geometrical characteristics of the spots. It is assumed the
shape of leaf is identical to the ellipse. Ellipse and its
parameters are shown in Figure 4.
Figure2: Leaf Infected with Downy Mildew
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Major and Minor axes length is the length of the major and
Minor axes of the ellipse that has the same normalized second
Inertia moments as the spot, and ratio of principal axes length
is major axis length divided by Minor axis length.
2) Centre of Gravity:
For a spot surface described by function f(x,y) consisting of
N pixels, the centre of gravity coordinates (x,y) can be
calculated as:
1 1
= , =
3) Moments of Inertia:
The moments of inertia for an spot described as f (x,y) can
be defined as: (a) (b)
= ()
where p,q=0.1.2.. in the binary images
4) Orientation:
Orientation is defined as the angle between the major axis
of spot and the horizontal axis. Because the major axis
exhibiting the minimum moment of inertia, it can be
calculated as:
1 21,1
= tan ( )
2 2,0 2,0
5) Eccentricity:
The ratio of the distance between the foci and major axis
length of the ellipse that has the same second-moments as the
spot, also called circularity ratio. Its value is between 0 and 1,
the spot whose eccentricity ratio is 0 is actually a circle, while (c) (D)
the spot whose eccentricity ratio is 1 is a line. Figure 5: Segmentation Results
(a) Original image of Powdery Mildew (b) Segmentation of
D. Classification Powdery Mildew (c) Original image of Downy Mildew and (d)
Segmentation of Downy Mildew
The features extracted are used for classification of the
disease. For classification purpose Artifitial Neural Network is V. CONCLUSION
used. After training the samples in the database the disease is
The use of automated monitoring and management systems
classified as Powdery Mildew or Downy Mildew.
are gaining increasing demand with the technological
advancement. In agricultural field loss of yield mainly occurs
due to widespread of disease. Mostly the detection and
identification of the disease is noticed when the disease
IV. RESULTS OF SEGMENTATION advances to severe stage. Therefore, causing the loss in terms
of yield, time and money. The proposed system is capable of
The segmentation is based on two principles-discontinuity and
detecting the disease at the earlier stage as soon as it occurs on
similarity. Discontinuity extracts the regions having different
the leaf. Hence saving the loss and reducing the dependency
properties like intensity, colour, texture etc. Similarity groups
on the expert to a certain extent is possible. It can provide the
the image pixels into groups with some predefined criteria.
help for a person having less knowledge about the disease.
Based on pixel similarity with the neighbouring pixel, the
Depending on these goals, we have to extract the features
algorithm used is region based. In leaf disease identification,
corresponding to the disease.
segmentation is used to identify the diseased area. From this,
features of a region are computed. Figure 5 shows the results
of the segmentation for extracting spot features. ACKNOWLEDGMENT
A research work of this magnitude has been a journey with
various ups and downs. I extend my sincere & heartfelt
obligation towards all the personages who have helped me in
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this endeavour. I am ineffably indebted to Prof. Dr.
M.P.Satone, Associate Professor, K.K.W.I.E.E.R, for her
conscientious guidance and encouragement to accomplish this
work. Last, but not the least, I would like to thank Department
of Electronics & Telecommunication Engineering of my
institute and all my colleagues who have been my moral
support in the completion of my work.
REFERENCES
[1] Sanjeev S Sannakki, Vijay S Rajpurohit, V B Nargund, Pallavi
KulkarniDiagnosis and Classification of Grape Leaf Diseases using
Neural Networks 4th ICCCNT 2013
[2] Haiguang Wang, Guanlin Li, Zhanhong Ma, XiaolongImage
Recognition of Plant Diseases Based on Principal Component Analysis
and Neural Networks 2012 8th International Conference on Natural
Computation (ICNC 2012)
[3] Jun Pang ,Zhong-ying Bai,Jun-chen Lai,Shao -kun Li Automatic
Segmentation of Crop Leaf Spot Disease Images by Integrating Local
Threshold and Seeded Region Growing 2011 IEEE
[4] Hong-ning Li, Jie Feng, Wei-ping Yang, Xiang-sheng Wu, Ze-dong Li,
Wei Liu Spectrum-based Method for Quantitatively Detecting
Diseases on Cucumber Leaf 2011 IEEE
[5] Hashim H.; Haron M.A.; Osman F.N; Al Junid, S.A.M Classification
of Rubber Tree Leaf Disease Using Spectrometer 2010 IEEE
[6] Min Zhang,Qinggang Meng Citrus canker detection based on leaf
images analysis2010 IEEE
[7 ] Dheeb Al Bashish, Malik Braik, and Sulieman Bani-Ahmad
A Framework for Detection and Classification of Plant Leaf and
Stem Diseases 2010 IEEE
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Abstract- The highly infectious Canine Parvovirus (CPV) is globally known as the leading viral cause of enteritis in domestic dogs. In
the Philippines, clinical signs of infected dogs and information on owners perspective on CPV have not been reported. This study
aimed to describe the clinical features of CPV cases, find significant associations, and qualitatively analyze owner responses on
selected questions about CPV in Cebu, Philippines. A total of 45 CPV-suspected dogs were selected from different veterinary
establishments. Presenting clinical signs were recorded. Hematological examinations, fecalysis and CPV fecal testing using a
commercial immunochromatographic assay (ICA)-based antigen test kit were performed. Owners of CPV-positive dogs (70%) were
subsequently interviewed. The median age of infected dogs was 4 months. Lethargy, inappetence and vomiting were the most
observed clinical signs. Common hematological observations include panleukopenia, neutropenia, anemia and thrombocytopenia.
Case fatality rate was 29%. Multivariate analysis revealed that neutrophil and total WBC counts, age category and vaccination status,
and the presence of lethargy, inappetence and vomiting were found significantly associated. Absolute neutrophil count (p-
value=0.009) was a significant predictor of ICA test result. Half of the owners (51%) claimed to be unaware of the disease and the
vaccinations against it.
Index Terms- Key words: canine parvovirus, clinical signs, owners, Cebu, Philippines
I. INTRODUCTION
Canine Parvovirus (CPV), which targets young mitotic cells, is the leading viral cause of enteritis in immature dogs (1). CPV
infection is believed to occur worldwide, with reported cardinal signs manifested by vomiting, anorexia, lethargy, dehydration,
pyrexia, tachycardia and a distinctively foul-smelling bloody or mucoid diarrhea (2,3,4).
Hematology is a useful parameter in diagnosing and prognosing CPV cases. The hematologic changes are marked and occur
over the course of the illness. Most dogs develop a moderate to severe leukopenia characterized by lymphopenia, monocytopenia, and
granulocytopenia with emphasis on neutropenia (4,5). CPV diagnostic tests may utilize blood samples to detect serum viral titers, but
commercial test kits like immunochromatographic assay (ICA) can utilize fecal samples from CPV-suspected dogs as most clinically
ill dogs shed large quantities of the virus in their feces (5). The use of ICA has also been shown to have no significant difference with
PCR results (6,7).
In the Philippines, CPV cases are commonly encountered in the veterinary practice but actual disease prevalence is yet to be
reported. Moreover, to the best of the authors knowledge, clinical signs of CPV cases in the country have not yet been officially
published. On the other hand, dog owners knowledge and opinion on the disease have not been also investigated. In this study,
suspected CPV infected dogs were tested using commercial ICA-based CPV Antigen (Ag) test kits. Patient profile, clinical signs, and
hematological changes and the presence of enteric parasites were assessed. In addition, respective owners of positive dogs were
interviewed about the CPV infection for qualitative assessment. This study is the first to officially document clinical signs of CPV
infected dogs serologically diagnosed using ICA fecal test, and the knowledge and opinions of the respective owners on the disease.
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City, and Pets in the City Veterinary Center located at Talamban, Cebu City). A total of 45 dogs suspected to be infected with CPV
were selected regardless of age, gender, breed, and vaccination status in Cebu, Philippines. Inclusion criteria included manifestation of
vomiting, hemorrhagic or mucoid diarrhea, inappetence, lethargy/depression, pyrexia, and/or tachycardia. The owners of the CPV-
infected dogs were subsequently interviewed.
Research instruments
Blood and fecal samples were collected in EDTA and plain tubes for complete blood count (CBC) and direct fecalysis,
respectively. Peripheral blood was aseptically collected using a sterile 3 ml syringe. A commercial ICA-based CPV rapid Ag fecal test
kit was utilized to detect CPV in the fecal samples of the research subjects. Relevant data, which include signalment, history, clinical
signs and vaccination history, were obtained using a fixed survey form. For the owners, an individual interview schedule was utilized.
A total of 35 out of the 45 dogs tested positive using the ICA-based test kit. Majority of these dogs (60%) were aged between 6
weeks to 6 months, with a median age of 4 months. This age range is considered very susceptible to CPV infection (1,5). Usually until
6 weeks, puppies from bitches with updated CPV vaccination can have the ability to resist infection due to the presence of antibodies
passed through the milk (8). The maternally acquired antibody titer declines as the puppies grow older and susceptibility to viral
infection increases. Most dogs more than 6 months old acquire natural resistance, and young dogs compared to adults are more likely
to be diagnosed with CPV infection (9), However, this should not rule out CPV infection in older dogs, as the remaining 17.8% of
CPV positive dogs were more than 6 months of age. There were more females and mixed bred dogs that were found infected with
CPV (Table 1).
Most of the CPV-infected dogs also had no vaccination history (57.8%). However, some were also vaccinated, which may
indicate the possibility of a more virulent or different CPV strain, weak immune status or vaccination failures. CPV enteritis in
vaccinated dogs has been reported (10). However, vaccinated CPV infected dogs may have higher chances of recovery than those that
did not receive vaccinations at all. On the other hand, there were more dogs that were never dewormed in the CPV-positive dogs
(Table 1). Only 2 mortalities were associated with concurrent parasitic infection, specifically due to Ancylostoma caninum infection.
Parasitism has been known to increase the severity of CPV enteritis (11).
Lethargy was the most common clinical manifestation of CPV, followed by inappetence, vomiting and dehydration (Table 1).
Melena was only seen in 55.6% (25 of 35) of the CPV-positive dogs, implying that parvoviral infection should not be ruled out even
when no diarrhea is exhibited. Detecting CPV in the fecal samples of both normal and diarrheic dogs is possible (12). Al-Tayib (13)
detected CPV antigens using an ICA-based test kit from a group of unvaccinated puppies, and reported that all CPV positive puppies
(diarrheic or apparently healthy pups) eventually died from the disease.
Hematologic analysis (Table 2) showed leukopenia in most of the CPV infected dogs. Poor prognosis has been associated with
leukopenia (4,14). Neutropenia was observed in most of the infected dogs. Because neutrophils are the most abundant WBC in dog
blood, severe neutropenia can serve as a contributing factor for leukopenia. Thus, neutrophils are the most important leukocyte to
monitor during the course of the disease (14). The demand for WBC, particularly neutrophils, is high in the inflamed gastrointestinal
tract, but due to hematopoietic cell destruction of leukocytes in lymphoproliferative organs like the bone marrow, there is an
inadequate supply of leukocytes leading to several other hematological changes (15). Surprisingly, most of the infected dogs had
normal ranges in their monocyte, lymphocyte, basophil and eosinophil counts. Similar to Shah et al. (3), anemia and
thrombocytopenia (14 of 35) were also observed. This may be due to the cytotoxic effects of the virus leading to myeloid and
erythroid hypoplasia.
Multivariate analysis revealed that neutrophil and total WBC counts, age category and vaccination status, and the presence of lethargy,
inappetence and vomiting were found significant (Table 3). Although further analysis showed the absolute neutrophil count (p-
value=0.009) as a predictor of ICA test result (table not shown), none of the parameters were shown to be significantly associated to
the survivability of test-positive patients. Results indicate that absolute neutrophil counts can be used as a reliable marker in
diagnosing CPV infections similar to the suggestions of Schoeman et al. (16), especially in the absence of available test kits and when
clinical signs are suggestive of the disease. The said parameter has also been considered a valuable predictor of in-hospital mortality
(17), hemodialysis (18) and hypertensive human patients (19). On the other hand, The CPV case fatality rate study was found to be
28.6%. The mortality rate of CPV enteritis may reach up to 91% in puppies while for adult dogs is around 10%. This can be affected
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by the prompt detection of the presence of the disease, restoration of fluid and electrolyte balance and prevention of secondary
bacterial infection (10).
Interview results revealed that 51.4% of owners of the CPV positive dogs have no knowledge of the disease, and the
vaccinations available for it. It has been indicated that very few veterinarians discuss about infectious diseases to pet owners, and
some only do so when asked. The lack of information makes owners less motivated to take the simple procedures necessary to protect
their animals (20, 21, 22). Of the 42.9% of owners that are aware that there is a vaccine, only 8.6% plan to complete and update their
dogs vaccination. Another 8.6% want their dogs vaccinated for rabies only. It appears that owners are more well-informed about
rabies and its vaccination (20) than with CPV. The remaining 5.7% of owners could not complete all their dogs shots due to financial
constraints. The monetary aspects of veterinary care have always been considered a challenge among veterinarians and pet owners
(21,23). An important factor leading to disease is incomplete vaccination of the dog. Twenty-three percent (23%) of dog owners
believed that 1 shot of the vaccine is all that is needed to for a lifetime of immunity. Meanwhile, 17.1% of dog owners do not know
the exact age for a dogs first shot, 5.7% do not know about the interval between vaccination shots, and 11.4% prefer to vaccinate their
dogs when they reach 3 months of age (Table 4). The recommended vaccination protocol using modified-live vaccines starts at 6-8
weeks, then 10-12, and 14-16 week of age, followed by a booster administered 1 year later and then every 3 years (5). In the
Philippines, booster shots are usually given annually. Delays or discontinuation of the routine vaccination program will result to lack
of sufficient seroconversion to the CPV vaccine (10).
Canine parvovirus infection remains to be a threat to dogs, especially to unvaccinated puppies in the Philippines.
Veterinarians and pet owners must be aware of the clinical signs, and should manage the patient when initial signs are seen (even if
only lethargy and inappetence is observed). Complete blood count remains very important in assessing the disease. In this study,
absolute neutrophil count was found to be a good predictor of the disease, which indicates its potential use especially if in-clinic tests
are unavailable. Veterinarians should play a greater role as educators and routinely inform owners about CPV and its prevention,
including vaccination protocols, to safeguard the health of their pet dogs.
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APPENDIX
Table 1. Profile and presenting clinical signs of dogs tested with Canine Parvovirus
immunochromatographic assay (ICA) in Metro Cebu (n=45)
CPV-ICA Test
Parameter Negative Positive
Freq % Freq %
Sex
Male 4 8.89 16 35.56
Female 6 13.33 19 42.22
Vaccination status
Unknown/none 5 11.11 26 57.78
Updated 0 0.00 6 13.33
Completed 5 11.11 3 6.67
Age
Less than 6 weeks 1 2.22 0 0.00
6 weeks to 6 month 1 2.22 27 60.00
Above 6 months 8 17.78 8 17.78
Deworming status
Unknown 4 8.89 21 46.67
Updated 3 6.67 12 26.67
Not updated 3 6.67 2 4.44
Reproductive status
Intact 9 20.00 35 77.78
Neutered 1 2.22 0 0.00
Fecalysisrersults
Negative 5 11.11 24 53.33
with parasite 5 11.11 11 24.44
Outcome after treatment
Dead 1 2.22 10 22.22
Alive 9 20.00 25 55.56
Presenting clinical signs
Vomiting 6 13.33 31 68.89
Bloody diarrhea 9 20.00 25 55.56
Inappetence 7 15.56 33 73.33
Dehydration 10 22.22 30 66.67
Fever 2 4.44 8 17.78
Tachycardia 3 6.67 12 26.67
Lethargy 8 17.78 35 77.78
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Table 2.Hematologic results of Canine Parvovirus immunochromatographic assay (ICA)-positive dogs in Metro Cebu (n=35)
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Table 3. Multivariate analyses of different parameters for CPV-ICA test positivity (n=45)
Parameter F p-value
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Table 4. Responses of dog ownerson their knowledge and opinion onCanine Parvovirus
Question Response Interviewee n (%)
No. I dont know what it is. I didnt know that 8, 10, 15, 18, 21, 23,
18 (51.4)
there are vaccines for dogs. 24, 25, 33, 34, 35, 36,
Do you know what canine 37, 38, 40, 42, 43, 44
parvovirus (PARVO) is? Yes, Ive heard of it but Im not sure what it 1, 3, 4, 6, 11, 12, 13,
12 (34.3)
is. 16, 19, 31, 41, 15
Yes, I know about it. 5, 7, 22, 29, 39 5 (14.3)
No. The only vaccine I know is for Rabies! 1,15, 19 3 (8.6)
Were you aware about
Yes, I know that theres a vaccine for Parvo. 3, 4, 5, 6, 7, 11, 12, 13,
vaccinations against canine
16, 22, 29, 31, 39, 41, 15 (42.9)
parvovirus (PARVO)?
45
I want to vaccinate my dog but I dont know at
3, 11, 12, 16, 41, 45 6 (17.1)
How old should your dog be what age to take them to the vet.
when you give its first shot for I vaccinate my dogs when they reach 3 months
7, 13, 22, 39 4 (11.4)
canine parvovirus (12 weeks) old.
(PARVO)/DHPPLLPi? I vaccinate my dogs when they reach exactly 6-
4, 5, 6, 29, 31 5 (14.3)
8 weeks old.
Only once. I thought one shot is enough. 3, 4, 6, 11,12, 13, 16,
8 (22.9)
22, 41
How many times should you I know my dog needs to complete 3 shots and
vaccinate your dog for canine an annual booster, but I could never afford to 29 1 (2.9)
parvovirus (PARVO), and finish the shots.
do you know the time interval I know my dog needs to complete 3 shots, but I
5, 31 2 (5.7)
between shots? didnt know the interval was only 2 weeks.
I am aware of the 3 shots at 2 weeks interval
7, 39, 25 3 (8.6)
each and annual booster.
ACKNOWLEDGMENT
The authors would like to express their gratitude to the veterinarians and staff of Southwestern University (SWU)-Veterinary
Teaching Hospital, GPY Veterinare Animale, Cebu Dog and Cat Clinic, Pet Doctors Veterinary Center, and Pets in the City
Veterinary Center for their cooperation, Broadchem Philippines Biopharma for the partial financial assistance on the commercial CPV
ICA-based test kits, and the SWU-CVM student clinicians for their assistance.
REFERENCES
[1] Decaro N, Buonavoglia C. Canine parvovirus a review of epidemiological and diagnostic aspects, with emphasis on type 2c. Vet Microbiol 2012; 155(1):1-12.
[2] Meunier PC, Cooper BJ, Appel MJG, Slauson DO. Pathogenesis of canine parvovirus enteritis: the importance of viremia. Vet Pathol 1985; 22:60-71.
[3] Shah SA, Sood NK, Najimana W, Kuldip G, Amarjit S. Haemato-biochemical changes in canine parvoviral infection. Ind J Vet Pathol 2013; 37(2):131-133.
[4] Bastan I, Kurtdede A, zen D. Prognostic usefulness of some parameters in dogs with canine parvovirus. Ankara niversitesi Veteriner Fakltesi Dergisi 2013;
60(1):53-58.
[5] Khan C, Allen D. The Merck Veterinary Manual, 10th ed. Gary Zelko: Merck and Co., Inc., Whitehouse station, N.J., USA: 2010.
[6] Tinky SS, Ambily R, Nair SR, Mini M. Utility of a rapid immunochromatographic strip test in detecting canine parvovirus infection compared with polymerase
chain reaction. Vet World 2015; 8(4):523-526.
[7] Vakili N, Mosallanejad B, Avizeh R, Seyfiabad Shapouri MR, Pourmahdi M. A comparison between PCR and Immunochromatography assay (ICA) in diagnosis
of hemorrhagic gastroenteritis caused by Canine parvovirus. Archives of Razi Institute 2014; 69(1):27-33.
[8] Marulappa SY, Kapil S. Simple test for rapid detection of canine parvovirus antigen and canine parvovirus-specific antibodies. Clin Vaccine Immunol 2009;
16(1):127131.
[9] Glickman LT, Domaski LM, Patronek GJ, Visintainer F. Breed-related risk factor for canine parvovirus enteritis. J Amer Vet Med Assoc 1985; 187(6):589-94.
[10] Nandi S, Kumar M. Vaccine failure against canine parvovirus infections in dogs. Ind J Canine Prac 2014; 6(1):21-30.
[11] Pollock RVH. Experimental canine parvovirus infection in dogs. Cornell Vet J 1982; 72:103-119.
[12] Tupler T, Levy JK, Sabshin SJ, Tucker SJ, Greiner EC, Leutenegger CM. Enteropathogens identified in dogs entering a Florida animal shelter with normal feces
or diarrhea. J Amer Vet Med Assoc 2012; 241(3):338-343.
[13] Al-Tayib O. Simple test kit for rapid detection of the presence of canine parvovirus antigen from dogs feces. Sci J Vet Adv 2014; 3(4):57-64.
[14] Potgieter LND, Jones JB, Patton CS, Webb-Martin TA. Experimental parvovirus infection in dogs. Can J Comp Med 1981; 45(3):212-216.
[15] Goddard A, Leisewitz AL, Christopher MM, Duncan NM, Becker PJ. Prognostic usefulness of blood leukocyte changes in canine parvoviral enteritis. J Vet
Intern Med 2008; 22:309-316.
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[16] Schoeman JP, Goddard A, Leisewitz AL. Biomarkers in canine parvovirus enteritis. New Zealand Veterinary Journal 2013; 61(4):217-222.
[17] Ghaffari S, Nadiri M, Pourafkari L, Sepehrvand N, Movasagpoor A, Rahmatvand N, Saatloo MR, Ahmadi M, Nader ND. The predictive value of total neutrophil
count and neutrophil/lymphocyte ratio in predicting in-hospital mortality and complications after STEMI. J. Cardiovas Thorac Res 2014; 6:35.
[18] Reddan DN, Klassen PS, Szczech LA, Coladonato JA, O'Shea S, Owen Jr WF, Lowrie EG. White blood cells as a novel mortality predictor in haemodialysis
patients. Nephrology Dialysis Transplantation 2003; 18(6):1167-1173.
[19] Tatsukawa Y, Hsu W, Yamada M, Cologne JB, Suzuki G, Yamamoto H, Yamane K, Akahoshi M, Fujiwara S, Kohno N. White blood cell count, especially
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[20] Fontaine RE, Schantz PM. Pet ownership and knowledge of zoonotic diseases in De Kalb County, Georgia. Anthrozos 1989; 3(1):45-49.
[21] Pfukenyi DM, Chipung SL, Dinginya L, Matenga E. A survey of pet ownership, awareness and public knowledge of pet zoonoses with particular reference to
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AUTHORS
First Author Erlah Shermaine L. Roble, Doctor of Veterinary Medicine, Southwestern University, safirelupe2012@gmail.com
Second Author Rochelle Haidee D. Ybaez, Master in Philosophy in Animal and Food Hygiene, Biology and Environmental
Studies Program, Sciences Cluster, University of the Philippines Cebu, rochelledybanez@gmail.com
Third Author Ryan S. Yandug III, Doctor of Veterinary Medicine, Master in Public Health, Southwestern University,
dryandug@yahoo.com
Fourth Author- Adrian P. Ybaez, Doctor of Veterinary Medicine and PhD in Veterinary Sciences, Biology and Environmental
Studies Program, Sciences Cluster, University of the Philippines Cebu, dr.adrianpybanez@gmail.com
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Public Health Department, Purbanchal University, Nepal Institute of Health Science, Kathmandu, Nepal.
Abstract- Background: Acute respiratory infections (ARIs) children aged less than 5 years is estimated to be 0.29 and 0.05
continue to be the leading cause of acute illnesses worldwide and episodes per child-year in developing and industrialized
remain the most important cause of infant and young children countries, respectively, which translates into 151 million and 5
mortality in developing countries like Nepal. million new episodes each year, respectively (2). Pneumonia is
Objectives: To find out the level of knowledge about acute responsible for about 19% of all deaths in children aged less than
respiratory infection among the mothers of under five children. 5 years, of which more than 70% take place in sub-Saharan
Methodology: A cross-sectional study was conducted to Africa and south-east Asia (3).
find out the status of knowledge about acute respiratory infection Lung infections cause more disease than better-recognized
(ARI) among 384 respondents through direct face to face threats to the public's health such as cancer, heart attacks,
interview schedule. Non probability purposive sampling strokes, HIV/AIDS, tuberculosis, or malaria. This persistent and
technique was used to select the sample of the study. pervasive burden of lung infections receives proportionately little
Results: Most of the respondents 52.3% were in between attention from the biomedical and public health communities.
the age group of 25 - 35 years. Majority of respondents 94.5% Lung infections are especially common and severe among the
follows the Hindu religion. Most of the respondent 26.6% poor (4). Only about 1 in 5 caregivers knows the danger signs of
worked at private organization and 49.2% respondent had pneumonia; only about half of children sick with pneumonia
completed their secondary level of education. In the study it receive appropriate medical care; and, according to the limited
showed that 77.9% of women had no opportunity to take part in data available, less than 20 per cent of children with pneumonia
any training related to ARI. Statistically significant relationship received antibiotics, the recommended treatment. (5)
was found on level of knowledge with education of mother In Nepal under-five mortality rate is 76 per 1000 live births,
(p=0.002). The current study revealed that 83.9% of respondent and among them 19% death is due to Pneumonia (WHO, 2001).
had satisfactory level of knowledge and 10.7% had poor level of The Ministry of Health (MoH) has recognized that Acute
knowledge and only 5.5% had excellent level of knowledge Respiratory Infection (ARI) is one of the major public health
regarding ARI. problems in Nepal among children under-5 years (60 months) of
Conclusion: As mothers are the main caretakers of children age. The National Control of ARI Programme is an integral part
and under- five year children are in close contact with their of primary health care. The programme focuses on children
mother, any deviation in the health of children is first recognized under five years because the majority of deaths in this age group
by their mothers. Our study shows that mother has significantly are ARI-related. The programme has recognized the important
better knowledge on ARI with their educational status. So role of mothers and other caretakers in identifying the difference
awareness program using appropriate intervention i.e. radio, between the need for home care and the need for referral to
television, health campaign is necessary to increase the level of health facilities. To fulfill its objective, its strategy is to educate
knowledge of mother. mothers and child caretakers in supportive care strategies and in
recognizing the signs and symptoms of ARI and pneumonia. But
Index Terms- Awareness, Acute Respiratory Tract Infection, still very few mothers are aware about ARI, its sign and
Mortality, Morbidity symptoms, home care and need for referral to health facilities for
treatment. As a result under-five mortality is very high. (6)
I. INTRODUCTION
II. OBJECTIVES
A cute respiratory infection is acute inflammatory changes in
any part of respiratory tract, from nasal mucosa to the
alveoli with an alteration in respiratory physiology (1).
To find out the level of knowledge about acute respiratory
infection among the mothers of under five children.
Acute respiratory infections (ARIs) continue to be the
leading cause of acute illnesses worldwide and remain the most
important cause of infant and young children mortality, III. METHODOLOGY
accounting for about two million deaths each year. The A cross sectional study was carried out to find the level of
populations most at risk for developing a fatal respiratory knowledge about acute respiratory infection among mothers with
infection are the young, the elderly. The incidence of ARIs in children under five. Study area was Bhaktapur district,
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Table 3. Frequency of correctly answered from knowledgeable questions of the knowledge of mother.
Table (4) shows that there is significant association between level of knowledge with selected demographic variables;
education of mother and knowledge about ARI (2=12.458, p>0.05). There is no association between other variables like age of
mother, occupation and type of family.
Age
Less than 25 265(69) 5.699 2 .058
More than 25 119(31)
Education
Illiterate 86(22.4) 12.458 2 .002
Literate 298(77.6)
Occupation
Housewife 78(20.3) 3.580 2 .167
Service holder 306(79.7)
Type of family
Nuclear 197(51.3) 4.128 2 .127
Joint 187(48.7)
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I. INTRODUCTION
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cow
---- sheep
goat+ sheep
. ----- sheep+cow
Figure 2. Difference between emission wavelengths for cow
and sheep milk, excitation spectra is set to 255 nm.
sheep
---- goat
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the samples was 1:1. Currently fluorescence spectroscopy isnt [2] D. J. DAmico 1 and C. W. Donnelly 2010. Microbiological quality of raw
milk used for small-scale artisan cheesenproduction in Vermont: Effect of
tested at different rates of one or other type of milk. It turned out farm characteristics and practices J. Dairy Sci. 93: 134147
that the shift by emission wavelength at various mixes is not so [3] Mamouri, O., Rouissi, H., Dridi, S., Kammoun, M., De Baerdemaeker, J.,
great, as the shift between milk from one cow breed and that & Karoui, R. 2008 Mid infrared attenuated total reflection spectroscopy as a
from several breeds. rapid tool to assess the quality of SiciloSarde ewes milk during the
lactation period after replacing soybean meal with scotch bean in the feed
ration. Food Chemistry. 106: 361368.
goat +cow
[4] Zadi, F., Rouissi, H., Dridi, S., Kammoun, M., De Baerdemaeker, J., &
------ sheep+cow Karoui, R. 2008 Front face fluorescence spectroscopy as a rapid and non
destructive tool for differentiating between SiciloSarde and Comisana
ewes milk during lactation period: A preliminary study. Food and
Bioprocess Technology. 1: 143151
[5] Karoui, R., Dufour, E., & De Baerdemaeker, J. 2007 Monitoring the
molecular changes by front face fluorescence spectroscopy throughout
ripening of a semihard cheese. Food Chemistry. 104: 409420.
[6] Romdhane Karoui, Josse De Baerdemaeker 2007 . A review of the
analytical methods coupled with chemometric tools for the determination of
the quality and identity of dairy products Food Chemistry 102: 621640
[7] K. E. Matak, S. S. Sumner, S. E. Duncan, E. Hovingh, R. W. Worobo, C. R.
Hackney, and M. D. Pierson 2007. Effects of Ultraviolet Irradiation on
Chemical and Sensory Properties of Goat Milk J. Dairy Sci. 90: 31783186
[8] Jana Sadecka and Jana Tothova 2007. Fluorescence spectroscopy and
chemometrics in the food classification a review. Czech J. Food Sci. 25:
159173.
[9] C. Boshard, R. Stephan, and T. Tasara 2006 Application of an F57
Figure 6. Difference between emission wavelengths for Sequence-Based Real-Time PCR Assay for Mycobacterium
paratuberculosis Detection in Bulk Tank Raw Milk and Slaughtered
goat+cow and cow+sheep milk mixtures, excitation spectra is Healthy Dairy Cows Journal of Food Protection, Vol. 69: No. 7. Pages
set to 255 nm. 16621667
[10] Christensen J., Miquel Becker E.M., Frederiksen C.S. 2005 Fluorescence
This means that by mixing equal percentage of milk from spectroscopy and PARAFAC in the analysis of yogurt. Chemometrics and
large and small ruminants is obtained more similar performance Intelligent Laboratory Systems, 75: 201208.
than mixing the milk from different breeds of cattle. [11] Karoui, R., Martin, B., & Dufour, E. 2005 Potentiality of front face
fluorescence spectroscopy to determine the geographic origin of milks from
The fact that mixes are with close wavelengths of HauteLoire department (France). Le Lait. 85: 223236.
fluorescence due to the fact that such indicators have small
fluctuations in the wavelength of fluorescence is that because
they have close indicators of goat's and sheep's milk than cow. AUTHORS
By mixing with cow's milk sheep or goat mix gives such
indicators as only sheep or goat milk separately are with similar First Author Vanya Plachkova M.S. photonics, Technical
indicators. University of Sofia, Branch Plovdiv, Dept. Optoelectronics &
Lasers vania_plachkova@abv.bg
Second Author Alexandra Zhelyazkova Physicist, Emil
IV. CONCLUSIONS Djakov Institute of Electronics, Bulgarian Academy of Sciences,
Sofia, Bulgaria alexandra_jivkova@abv.bg
Optimal wavelength for fluorescence analysis of pure milk Third Author Latchezar Avramov Prof. Dr.Sc. Emil Djakov
from ruminant animals is 255 nm. Suitable for analysis is the Institute of Electronics, Bulgarian Academy of Sciences, Sofia,
method of the classical fluorescence. The fluorescence Bulgaria latchezar.avramov@gmail.com
spectroscopy is suitable for analysis of milk for both selected and Fourth Author Chavdar Zemyarski veterinarian, Technical
mixed animals. The fluorescence method is suitable for detection University of Sofia, Branch Plovdiv, Dept. Optoelectronics &
if milk from a cow breed or mix of several breeds (this would Lasers, ch_zemyarski@abv.bg
represent the interests of farmers who selected their breeds). Fifth Author Petar Petrov physicist engineer, Technical
University of Sofia, Branch Plovdiv, Dept. Optoelectronics &
Lasers, peter_petrov85@abv.bg
REFERENCES
[1] Moncef Hammami, Hamadi Rouissi, Nizar Salah, Houcine Selmi, Mutlag Correspondence Author Vanya Plachkova M.S. photonics,
Al-Otaibi, Christophe Blecker, Romdhane Karoui 2010. Fluorescence
spectroscopy coupled with factorial discriminant analysis technique to
Technical University of Sofia, Branch Plovdiv, Dept.
identify sheep milk from different feeding systems Food Chemistry 122: Optoelectronics & Lasers, 61, blvd. St.Petersbourg. 4000
13441350 Plovdiv vania_plachkova@abv.bg +359896786450
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Abstract- Electronic configurations of the elements already A couple consists of two parallel forces that are equal in
established in the subject of material science. These were magnitude, opposite in sense and do not share a line of action. It
determined by the system of (1s) for Hydrogen (IA group, Period does not produce any translation, only rotation. The resultant
1), Helium (8A or zero group, Period 1), these numbers added to force of a couple is zero. But, the resultant of a couple is not
next to next element with the series of (2s, 2p), (3s, 3p, 3d), (4s, zero; it is a pure moment [4]. In mechanics, a couple is a system
4p, 4d, 4f), (5s, 5p, 5d, 5f), etc. for other elements up to atomic of forces with a resultant moment but no resultant force. A better
number 118. There are huge numbers of electrons with respect to term is force couple or pure moment. Its effect is to
atomic numbers. This system is one of the wonder systems in the create rotation without translation, or more generally without any
modern science. Though here in this script I tried to find the 1st acceleration of the centre of mass. In rigid body mechanics, force
ionization energy by using relative numbers which derived from couples are free vectors, meaning their effects on a body are
couple system [1] and periodic numbers, both are new attempted independent of the point of application [5].
in this field of material science. Relative numbers are very Many coupling may happened which will depend on that
unique, these numbers are able to find the series of Pi [1], series present environment. Here we will proceed to find the series of
of [2], cells functions of mind [3]. There is no relation new numbers by this system. In this system we can find relative
between number of electrons and relative numbers (r 1 and r 2 ), numbers, these numbers are applicable to atomic stage of
although I observed that, [(r 2 2) + r 1 ] = Atomic Number of the elements
elements = Z, [r 2 > r 1 and r 2 = (r 1 + 2)]. For example, relative Couple means together with whichever are we can choose.
number of Hydrogen r 2 = 2 and r 1 = 1, then [(r 2 2) + r 1 ] = [(2 In the case of male 1, (say 1 = r 1 ) and female (2 = r 2 ) when
2) + 1] = 1 = Z. For Helium, r 2 = 2, r 1 = 2, then [(r 2 2) + forms love between them, then love plays roll to make relation
r 1 ] = [(2 2) + 2] = 2 = Z. Therefore, relative number is related (R) and then R will related to r 1 & r 2 automatically. Afterwards
to atomic number of element. Also, relative numbers of element when this series will increase, accordingly r 1 and r 2 will produce
almost of atomic number. next to series & then to next etc. a Figure 1 is given here for
couple system:
Index Terms- Couple System, Relative numbers, Periodic Relative number (R)
numbers, 1st Ionization Energy, Atomic masses.
R
Method to determine the relative numbers by Couple
System: A B
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A+ B+
C D- C+ D
Fig. - 3
Reaction of couple:
If A & B takes place in the form of A+ & B+ in positive zone and C & D takes place in negative zone in the form of D- & C+
related to A+ & B+ in positive zone (Figure 3), then if we dressed it in the form of: R (D- . A + C+ . B+), we can write, D- = - D &
C+ = + C ------ (1) R (C . A + C . A) ------ (2) R 2 CA---- (3)
Description: (1) D is related to A (Fig-3, L.H.S.) and C is related to B (Fig-3, R.H.S.). But the value of A and C will same to the
value of B and D.
D- in L.H.S. means that it is the end of the reaction of problem to form relative number ( R ) acting with C+ in R.H.S. (2) The
original value of D is C; therefore, D reacts with A (arrow sign indicates in figure 3) and forms CA. Similarly, C is the original value
of D, but the original value of B is A. So, C reacts with B and forms CA.
(3) Total couple reaction with respect to R is 2CA. When the value of A, B, C, D., individual, then the result of 2 CA will bring
other number. This system described in reference [1]. A part of this system writing here to get relative numbers of elements that we
can find its activity in the microscopic field of atom, for example, 1st Ionization energy of elements. Periodic Number (P) is another
form of number when it acts with relative number in the form of [ r 2 x r 1 / P], then we get 1st ionization energy.
The coefficient of 3r is (r + 1), since corresponding value of r & 1 are A & B respectively, thus r = A and 1 = B. Let (r + 1) has
relative number R. So, the equation,
Problem (2):
When, (r + M)5 r5 + 5r (r3 + 2r2 + 2r +1) + 15, then, R = r3 + 2r2 + 2r +1, if A, B, C, D represents the corresponding values of r3,
2r , 2r, 1 (Since, these are the real values of (r + 1)5 ) respectively. Then, R will related in Couple Systems as follows:
2
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r3 A
2r2 -
B -
2r2 B
2r C+ +
2r C
Figure 4
1 D- +
1 D
Therefore, the real formation of (r + 1)5 will r5 + 17.5r.4r + 15; this is applicable to odd number of series.
R2 A
3/2r B- -
3/r2 B
1 C+ -
1 C
Figure 5
R (C.[3/2] x r + 1.B) + (B.r2 + [3/2] x r .A)
R (1.[3/2] x r + 1.[3/2] x r ) + ([3/2] x r.r2 + [3/2] x r .r2)
R 2.[3/2] x r + 0 = 3r
(r + 1)4 r4 + 4r.(R) + 14 r4 + 4r. ([3/2] x r) + 14 and R [3/2] x r = 3.r =3r. Now we can get a series in the forms of: (r + 1)4
r4 +15.4r.3r + 14
Similarly, (r + 2)4 r4 +25.4r.3r + 24
(r + 3)4 r4 + 35.4r.3r + 34
(r + 4)4 r4 + 45.4r.3r + 44
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(r + 5)4 r4 + 55.4r.3r + 54
(r + M)4 r4 + M5.4r.3r + M4
When, N = 1, 2, 3, 4, 5 .. We get relative numbers 1r, 2r, 3r, 4r, 5r etc both of even and odd numbers. The equation (A)
obtained by the couple system and is applicable in forming relative numbers with respect to Z of which numbers become odd in series,
when N = 2, 3, 4, 5 .of the equation, M[1 + 2(N 2)].Nr.(N 1)r. On changing the number of Z as Z = [2 + 2(N 2)], we get,
At the time of changing of Z, let, Nr.(N 1)r will change to Nr.(N 2), then, we get a series as:
M[2 + 2(N 2)].Nr.(N 2)r M0. 0 x r.(0 2)r = 0, when N = 0
M[2 + 2(N 2)].Nr.(N 2)r M-1. 1r.(1 2)r = M-1 x 1r x 1 = - M-1 , when N = 1
M[2 + 2(N 2)].Nr.(N 2)r M2. 2r.0xr = 0, when N = 2
M[2 + 2(N 2)].Nr.(N 2)r M4. 3r.1r, when N = 3 etc., N > 2
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When this equation turns to M[2 + 2(N 2)].Nr.Nr (G), when, (N 1)r treated as Nr, then we will get even numbers (Z) of M of the
series. So,
M[2 + 2(N 2)].Nr.Nr M2.2r.2r, when, N = 2, N > 1
M[2 + 2(N 2)].Nr.Nr M4.3r.3r, when, N = 3
M[2 + 2(N 2)].Nr.Nr M6.4r.4r, when, N = 4 etc.
Therefore, when N has tendency to proceed in negative direction, i.e., N = -1, -2, -3, -4 then the deduction (F) & (G) will give
results, the yielded values are listed here in a table (1) and corresponding graph 1.
Table (1):
MZ x r2 x r1 M-Z x -r2 x -r1
(Relative No.) Object part (Relative No.) Image Part
M0 x 1 x 1
M1 x 2 x 1 M-1 x 1 x 0
2
M x 2 x 2 M-2 x 0 x 0
M3 x 3 x 2 M-3 x 0 x -1
4
M x 3 x 3 M-4 x -1 x -1
5
M x 4 x 3 M-5 x -1 x -2
6
M x 4 x 4 M-6 x -2 x -2
7
M x 5 x 4 M-7 x -2 x -3
8
M x 5 x 5 M-8 x -3 x -3
9
M x 6 x 5 M-9 x -3 x -4
10
M x 6 x 6 M-10 x -4 x -4
up to n terms
The figure 6 is representing the values of r 2 (Red line), r 1 (Black line), - r 2 , - r 1 with respect to Z number of MZ in positive and
negative direction both.
6 r2
5 r1
4
3
2 Positive numbers
1
Z- -10-9-8-7-6 -5 -4 -3 -2-10 1 2 3 4 5 6 7 8 9 10 +Z
-2
-3
-4
-5
Negative numbers
Figure 6
If the reaction occurs by acting with M and M-, then M will turn to Z, thus:
1) M1.M-1 (r 2 r 2 ), (r 1 r 1 )
(2 1), (1 0) When, r 2 , r 1 = 2, 1 and r 2 , r 1 = 1, 0
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Or, M0 1, 1
2) M6.M-6 (r 2 r 2 ), (r 1 r 1 )
[4 (2)], [4 (2)] When, r 2 , r 1 = 4, 4 and r 2 , r 1 = 2, 2
Or, M0 6, 6
3) M9.M-9 (r 2 r 2 ), (r 1 r 1 )
[6 (3)], [5 (4)] When, r 2 , r 1 = 6, 5 and r 2 , r 1 = 3, 4
Or, M0 9, 9
The above deductions proves that when the power of positive number of M and power of negative number of M react together, the
power of M becomes zero and finally two Z number of positive number of M are obtained, i.e.,
MZ.M-Z Z, Z or M0 M0.Z.Z . (H)
Now it is possible to react M0.Z.Z with MZ.r 2 . r 1 , and then r 2 , r 1 will change at the rate of (r 2 2) and (r 1 2). But the rate of
change of (r 2 2) and (r 1 2) will not be relative numbers of MZ. The power (Z) of M should differ by 4 steps and MZ will turn to MZ-
4
, then for example, 87 of (Z) number will produce relative numbers to follow the equation (F) as:
M[1 + 2(N 2)].Nr.(N 1)r M87.45.44, when N = 45 and correspondingly for M0 (equation H), M0.Z.Z M0.87.87, now,
M87.45.44 x M0.87.87 M(87 0).(87 44).(87- 45) M87.43.42, these are not the relative number of M87 according to equation
(C), because, when, N = 43, then, the power of M will 83. The difference between 87 & 83 is 4, this 4 difference will come in every
numbers and applicable to all cases. So, general form of this equation will:
MZ.r 2 . r 1 x M0.Z.Z M[Z 4].(Z r 1 ). (Z r 2 ) M[Z 4].( r 1 2). (r 2 2).
We observed in table (1) that when M0.1.1 will react with M-4. 1. 1, M will get exponent 4 (Z = 4) but without relative
numbers, thus,
M0 1,1 . M-4 -1,-1 M-4 0,0 . So, M-4 0,0 . M0 .Z,Z M-4.Z.Z. Now MZ.r 2 . r 1 will react with the new form,
MZ.r 2 . r 1 x M-4.Z.Z M[Z 4].(Z r 1 ). (Z r 2 ) (I)
If we consider, that M is an element of atomic number Z, then this rule is applicable for transmutation of element from one to
another.
This is another application relation between electron, proton, and neutron with corresponding to atomic mass. Here we will discuss on
the subject 1st ionization energy which related to relative numbers and periodic number. Accordingly calculated 1st ionization energy
of all elements is listed here comparing to present experimental results.
Atomic Elements Relative No. Value of Periodic No. Value of 1st Ionization
Numbers & Symbol r2 r1 r 2 x r 1 P r 2 x r 1 / P Potential
(Calculated value (Experimental)
E
e I ) eV [6], eV
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view of couple system. Here we want to find the 1st ionization us try to solve it by calculating relative numbers of elements.
potential of all elements. How we can determine this energy, let
1) 8 (number for Xe) + 4 (number for Kr) = 12, this periodic number for element Rn in 0 group.
2) 4 (number for Kr) + 2 (number for Ar) = 6, this number for element Ca to Cu group from IIA to IB & for Ge, As, Se for IVA, VA,
VIA.
3) 16 (number for above mentioned group) + 2 (number for Ar) = 18, this number used for the elements Ba & Ce to Lu & Pb, Bi.
4) 2 (number for Ar) + 1 (number for Ne) = 3 for the element Mg (IIA), Si (IVA), P (VA) & S (VIA).
5) 8 (number for Xe) + 2 (number for Ar) = 10 for elements Sr to Ag (group IIA to IB) and Sn, Sb, Te group for IVA, VA & VIIA.
6) 8 (number for Xe) + 1 (number for Ne) = 9 for Cd & I of group IIB & VIIA.
7) 16 (number for above mentioned group) + 8 (number for Xe) = 24 for Cs, U in group IA & VIIB.
8) 8 (number for Xe) + 4 (number for Kr) + 2 (number for Ar) = 14 for In, Os, Ir, Pt (group VIII), Au (in gr. IB).
9) 8 (number for Xe) + 4 (number for Kr) + 1 (number for Ne) = 13 only for Hg (group IIB).
10) 4 (number for Kr) + 1 (number for Ne) = 5 for Zn & Br of the group IIB & VIIA.
But, 3 x [8 (number for Xe) + 1 (number for Ne)] = 27 for element Ra (group IIA), Cf (group IIIA) & Rf (group IVB), Db (group
VB).
11) 4 x [8 (number for Xe) + 1 (number for Ne)] = 36 only for Fr in group IA.
This is one type of system to find the periodic number of the elements, because, when we divide [ r 2 x r 1 ] by Periodic Number
(P), we get Ionization Potential or Energy, r 2 & r 1 relative number for each element is different.
More simple way we can find periodic number of following elements: (Table 4)
Period nx0.25with Periodic No. Element & Group When n = For Example (Calculated Value),
I 1x0.25 = 0.25 He 0 n=1 a) Ionization Energy of Helium:
? 2x0.25 = 0.5 ? n=2 = [ (r2xr1)] / P = 25.132
II 2x0.5 = 1 Be (IIA) & Ne (0) n=2 When, [ (r2xr1)] = 6.283, & P = 0.25
III 2x1 =2 Li IA n=2
IV 2x2 =4 Na IA n=2 Experimental Value of He = 24.58741
V 2x4 =8 K IA n=2 b) For Lawrencium (Lr), (Calculated):
VI 2x8 = 16 Rb IA n=2 [(r2xr1)] = 164.926 & P = 32, then,
Actinides 2x16 = 32 Lr VII n=2 [(r2xr1)] / P =5.153
--------------------------------------------------------------------------------- Experimental Value of Lr = 4.9
VII 3x9 = 36 (Maximum) Fr IA n=3 c) Calculated Value of Fr = 3.883
. Experimental Value = 4.0727
When the values of n are considered as 0, - 1, - 2, - 3., then, another set of values for period II will form as listed here:
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(Table 5)
A System of Forming Periodic Numbers: [Equation* (2-n +1), n = 0, 1, 2, 3, 4 ...] (Table 5)
20 + 0 = 2 x 0 + 1 = 1 1 Be IIA
2-1 + 1 = + 1 = 1.5 1.5 Li IA
2-2 + 1 = + 1 = 1.25 1.25 B IIIB
2-3 + 1 = 1/8 + 1 = 1.125 1.125 C IVB
2-4 + 1 = 1/16 + 1 = 1.0625 1.0625 O VIB
2-5 + 1 = 1/32 + 1 = 1.03125 1.03125 N VB
2-6 + 1 = 1/64 + 1 = 1.015625 1.015625 F VIIB
2-7 + 1 = 1/128 + 1 = 1.0078125 1 1.0078125 Ne 0
When the form (2n + 2) is applied to determine the periodic number, then we get,
For actinide series and for other few group, periodic number obtained by using system in form of (25 n) when n = 0, 1, 2, 3, 4
25 0 = 36 36 Fr IA
25 1 = 35 35 - - (Element not yet found the Periodic
25 2 = 34 34 - - ,, Number [P])
25 3 = 33 33 - - ,,
25 4 = 32 32 Lr VIIA
25 5 = 31 31 No VIA
25 6 = 30 30 Md VA
25 7 = 29 29 Fm IVA
25 8 = 28 28 Es IIIA
25 9 = 27 27 Ra, Cf, Rf, Db IIA, IIB, IVB, VB
25 10 = 26 26 Pu, Cm, Bk VIIIB, VIIIB, IB
25 11 = 25 25 Np, Am VIIB, VIIIB
25 12 = 24 24 Cs, U IA, VIB
25 13 = 23 23 Pa VB
25 14 = 22 22 Hf, Tl, Th, IVB, IIIA, IVB
25 15 = 21 21 Ac IIIB
With these periodic numbers and in the form of r 2 x r 1 / P in eV, 1st ionization energy is plotted in a graph against atomic numbers
of corresponding elements comparing with reference 1st ionization energy.
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Figure 7: Calculated values of 1st Ionization Energy plotted against atomic number of the elements.
Ionization energy classified by using shell configuration of electron in the form of (2s, 2p), (3s, 3p, 3d), (4s, 4p, 4d, 4f), (5s, 5p,
5d, 5f), etc. This system depends on the characteristics of electron based on atomic number of elements. The relative numbers are also
plotted against atomic numbers of elements in the form of r 2 x r 1 / P, here P is indicating the periodic number of element. The
calculated result of 1st ionization energy is almost near to experimental value. The produced figure 7 is showing these facts which
tallied to reference figures plotted in side of this figure. Relative number is one type of number which obtained from couple system.
This method is new one in mathematics. If we treated relative number in other fields, we must get some good result which may open
the new door of research to progress in front.
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Figure 8, Graph of Periodic Numbers against Atomic Number of the Elements (Bellow) and values of Relative Numbers r 2 &
r 1 plotted against Atomic Number up to 50 in the form of r 2 x r 1 / P (In R.H.S. Upper Side).
In this figure of periodic number & relative number with few isotopic mass of the elements by using periodic number.
respect to atomic numbers, we observed that these number How we can find this mass, let us try to solve it.
increases with increase of atomic mass. In the case of periodic
number, the elements of 1A group, Li, Na, K, Rb, Cs, Fr takes Determination of atomic mass of elements:
place out of colored position (Green arrow line) with respect to We have the equation [ r 2 x r 1 ] eV. If we divided atomic
periodic number 1.5, 4, 8, 16, 24 & 36. Except Periodic number weight by [ r 2 x r 1 ], then we will get a fractional value as say
of Li, there is symmetry between these even number as 4x2 = 8, Z
F wr = At. Wt. / [ r 2 x r 1 ] with atomic mass unit / eV, where,
Z
4x4 = 16, 4x6 = 24 & 4x9 = 36 (indicated by WHITE Arrow F wr is representing the fractional atomic weight of Z number of
Straight Line). Few relative sizes of atoms given here comparing element.
to periodic numbers. Number increases from He to Rn (12) in
zero group in the form of 0.25 (He) x 4 = 1 (Ne), 0.25 x4 = 2 For example for element He:
(Ar), 2 x 2 = 4 (Kr), 2 x 4 = 8 (Xe), 2 x 6 = 12 (Rn). Few Calculated values of Hydrogen are: [ r 2 x r 1 ] =
elements placed in figure which are not in series (listed in table), 4.44288938 eV, Periodic number (P) = 0.333333333, Ionization
few elements Ca to Cu obeying number 6, similarly, Sr to Ag energy of H is, H IE = 13.328 eV (calculated, experimental value
follows number 10, Ce to Lu follows number 18 in series shown = 13.595 eV) . Atomic weight = 1.00794 amu.
in graph by WHITE straight arrow line from R.H.S. to L.H.S. Now, 1F H = 1.00794 amu / 4.442 eV = 0.226865878 amu /
more examples are there of Periodic Numbers. All numbers eV. Then, 1F H x P x H IE = 0.226865878 amu / eV x
brings the value of 1st ionization energy of the elements acting 0.3333333333 x 13.32864895 eV = 1.007938539 amu.
with relative numbers in the form of ( r 2 x r 1 ) / P, the results Isotopic mass of hydrogen = 2 x 1.007938539 =
are almost near to reference values listed in Table 2. 2.015877078 (experimental = 2.0141017778), having number of
Periodic number is important from the view of new angle of neutron = 1 and Z = 1 [7]. Similarly for other isotopic masses
microscopic particles. Because we can determine the atomic are:
mass of element almost near the atomic mass of elements. There 3 x 1.007938539 = 3.023815617 (experimental =
are many isotopic mass of each elements, it is possible to find 3.0160492777) having 2 neutron, Z = 1
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II. CONCLUSION
AUTHORS
This system proves that the function of relative numbers and
First Author Nirmalendu Das, 1. Indian Science Congress
periodic numbers in microscopic field are there which is
Association, Kolkata, India., 2. THE VON KARMAN SOCIETY
unknown to us. We can use this system in other fields to find
for Advanced Study and Research in Mathematical Sciences
remarkable properties of matter. Many scope are there to do
(VKS), West Bengal, India., Email: nirmalgopa@gmail.com
research on couple system.
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Department of Animal Science, Faculty of Animal Science and Export Agriculture, Uva Wellassa University of Sri Lanka
Abstract- Alternanthera sessilis Var. Rubra is a colourful foliage synthesis, photosynthesis, osmoregulation, stomatal movement,
plant which has a high demand in ornamental aquatic plant energy transfer, phloem translocation, ionic balance and stress
industry. This study investigated the best N: P: K ratio to obtain resistance (Wang et al., 2013). Certain researchers have studied
maximum growth performance of Alternanthera sessilis Var. the effect of different N: P: K ratios on various ornamental plants
Rubra in order to cater the demand by cost-effective application (El-Naggar and El-Nashorty, 2009; Kapugama and Peiris, 2010)
of fertilizer. As per the results obtained (p<0.05), plants treated and have found that alteration of these ratios have a significant
with 2N: P: 2K fertilizer ratio show the highest growth effect on the growth performance of the plant. Hence, the aim of
performance in terms of shoot length, fresh weight of roots, total this work was to determine the best N: P: K ratio to increase the
leaf area and number of leaves. The plants that were treated with growth of Alternanthera sessilis which has currently drawn a
2N:2P: K fertilizer ratio showed the highest growth performance significant importance as an ornamental aquatic plant.
for the growth parameters of root length, fresh weight of shoots
and number of new nodes. Most of the growth parameters that
are important for ornamental aquatic plant industry such as shoot II. MATERIALS AND METHODOLOGY
length, total leaf area and number of leaves were given by the The experiments were conducted in the Aquatic Plant Unit
2N: P: 2K fertilizer ratio. Hence, 2N: P: 2K fertilizer ratio is the (APU) at Uva Wellassa University of Sri Lanka, Badulla.
best for Alternanthera sessilis (Var. Rubra) to obtain optimum Initially, a stock of healthy plants of A. sessilis was obtained
growth performance for ornamental aquatic plant industry. from the Aquatic plant unit of Uva Wellassa University. As
propagules nearly 3 cm shoots with 2 internodes were used. All
Index Terms- Alternanthera sessilis (Var. Rubra), N: P: K ratio, the shoot portions were selected carefully to maintain the
growth performance, ornamental aquatic plant industry uniformity of all propagules. For this purpose, all propagules
were selected as two nodes immediately above the shoot- root
junction. All used propagules were in same shoot diameter and
I. INTRODUCTION contained four leaves. In each propagule, four leaves were
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applied once in two days using a spraying method until the with the plants that were treated with 2N:2P: K ratio while the
potting medium gets saturated. lowest (0.47 cm) was for the control.
Three months after the plant establishment, shoot length, Fresh weight of roots
root length, fresh weight of shoots, fresh weight of roots, number As per the results obtained for fresh weight of roots, there
of leaves, total leaf area and number of new nodes were was no significance difference (p> 0.05) among the different N:
measured. Data were analyzed using the one-way ANOVA P: K ratio treatments on fresh weight of roots of A. sessilis
procedure in the Minitab 17.0 statistical software package. Tukey compare to the control. The highest recorded mean value (1.16
Pairwise Comparisons test was used to identify the significant cm) for fresh root weight of roots was for 2N: P: 2K ratio while
differences among the treatments. the lowest (0.09 cm) for the control.
Total leaf area
The recorded results shown that there is a significant
III. RESULTS AND DISCUSSION difference (p< 0.05) among control and the different N: P: K
Shoot length ratios on the total leaf area of A. sessilis. The recorded highest
The results found that there is a significant effect (p<0.05) mean leaf area (129 cm3) was in 2N: P: 2K treated plants and the
on the length of the shoots of A. sessilis by different fertilizer lowest (26 cm3) was recorded for the control.
treatments with compare to the control. The highest mean shoot Number of leaves
length (19.73 cm) was recorded for 2N: P: 2K ratio while the The highest mean number of leaves (43) was recorded for
lowest (7.83 cm) was recorded in control. In addition the mean the treatment of 2N: P: 2K ratio and the lowest mean number
shoot length of the plants treated with 2N: P: K ratio also showed (8.67) was recorded for the control.
a considerable growth performance (19.73 cm). Number of new nodes
Root length The results found that the highest mean number of new
There is a significant difference (p< 0.05) on the length of nodes (13.67) produced in 2N:2P: K treated plants whereas the
roots when applied different treatments with different N: P: K lowest number (3.33) was recorded for the control.
ratios, comparative to the control. The highest mean root length Foliage Colour
(18.46 cm) was observed in 2N:2P: K ratio treated plants There was no any identifiable colour difference in any of
whereas the lowest (8.37 cm) was recorded for the control. the treatments with compare to the control or among each other.
Fresh weight of shoots This might be due to provision of all the micronutrients in
With comparison to the control treatment, the obtained recommended dosages for all the treatment in same quantities.
value for fresh shoots weight was significantly different (p< Table 1. Mean Shoot Length, Root Length, Fresh weight of
0.05). The maximum recorded fresh shoot weight (4.07 cm) was shoots, Fresh weight of roots, Total leaf area, Number of leaves,
Number of new nodes of A. sessilis with respect to different N:
P: K ratio fertilizer treatments.
*Means that do not share a letter are significantly different for a particular N: P: K ratio fertilizer treatment.
The obtained results show that A. sessilis plants treated addition, addition of high levels of N: P: K fertilizers to plants
with 2N: P: 2K fertilizer ratio show the highest growth can be toxic to them and retard the growth (De Lucia et al,
performance in terms of shoot length, fresh weight of roots, total 2013). Therefore, fertilizer application should have properly
leaf area and number of leaves. The plants that were treated with quantified before the application (Wahundeniya, 2008). The
2N:2P: K fertilizer ratio showed the highest growth performance identification of optimum major nutrient ratio can support the
for the growth parameters of root length, fresh weight of shoots accuracy as well as the effectiveness of this process (Ahamed et
and number of new nodes. Application of fertilizer for leafy al, 2012).
plants by exceeding the recommended dosages can alter the soil In this study it was investigated the effect of artificially
characteristics as well as certain elements in the plant itself. In added N: P: K fertilizers. However, the organic matters in potting
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 108
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media have a vital role in providing as well as make available the [4] Ingels, J. E., 2004. Ornamental horticulture: Science operations &
management. 3rd edition, pp.20-33. State University of New York, College
nutrients to plant roots. Because they provide required space as of Agriculture and Technology Cobleskill, New York.
well as energy for decomposing microorganisms which can [5] Kapugama, D. D. I. and Peiris, S. E., 2010. Identifying a most suitable
ultimately assist in nutrient transformations to readily available growing medium and fertilizer combination for the Anthuriumcv Tropical
forms for plant roots (Maynard and Hochmuth, 2007). Red. National Symposium on Floriculture Research. Department of
However, under this study it was investigated the optimum National Botanical Gardens, Sri Lanka, 76-82.
N: P: K ratio to obtain best growth performance in Alternanthera [6] Maynard, D. N. and Hochmuth, G. J., 2007. Knotts Handbook for
Vegetable Growers, Fifth Edition, John Wiley & Sons.
sessilis (Var. Rubra) as an ornamental aquatic plant. Therefore,
[7] Rademacher, I. F. and Nelson, C.J., 2001. Nitrogen effects on leaf anatomy
most of the growth parameters that are important for ornamental within the intercalary meristems of tall fescue leaf blades. Annals of
aquatic plant industry such as shoot length, total leaf area and Botany, 88(5): 893-903.
number of leaves were given by the 2N: P: 2K fertilizer ratio. [8] Tomaino, A., 2006. Alternanthera sessilis, Invasive species assessment
protocol: US national assessments, 4 pp.
[9] Wahundeniya, K. B. and Kurukulaaarachchi, N., 1999. Cultivation leafy
vegetables, Department of Agriculture, Peradeniya
IV. CONCLUSION
[10] Wahundeniya, K. B., 2008. Crop: Leafy Vegetables, Present Status,
As per the result of this study 2N: P: 2K fertilizer ratio is National accelerated implementation of domestic food, HORDI/ DOA.
the best for Alternanthera sessilis (Var. Rubra) to obtain [11] Wang, M., Zheng, Q., Shen, Q. and Guo, S., 2013. The critical role of
optimum growth performance for ornamental aquatic plant potassium in plant stress response. International Journal of Molecular
Science, 14: 7370-7390.
industry.
ACKNOWLEDGEMENT AUTHORS
Department of Animal Science, Faculty of Animal Science First Author A.S. Mahaliyana, BSc. Sp. Hons, Lecturer,
and Export Agriculture, Uva Wellassa University is Department of Animal Science, Faculty of Animal Science and
acknowledged for the support given. Export Agriculture, Uva Wellassa University of Sri Lanka
Second Author M.F.A. Fasmina, BSc. Sp. Hons,
Demonstrator, Department of Animal Science, Faculty of Animal
REFERENCES Science and Export Agriculture, Uva Wellassa University of Sri
Lanka
[1] Ahmad, I., Ahmad, T., Gulfam, A. and Saleem, M., 2012. Growth and
flowering of gerbera as influenced by various horticultural substrates. Third Author G.M.G.M.M. Wickrama, BSc. Sp. Hons,
Pakistan Journal of Botany, 44, 291-299. Demonstrator, Department of Animal Science, Faculty of Animal
[2] De Lucia, B., Cristiano, G., Vecchietti, L., Rea, E. and Russo, G., 2013. Science and Export Agriculture, Uva Wellassa University of Sri
Nursery growing media: agronomic and environmental quality assessment Lanka
of sewage sludge-based compost. Applied and Environmental Soil Science,
2013.
Fourth Author A.M.T.B. Alahakoon, BSc. Sp. Hons,
[3] El-Naggar, H. and El-Nasharty, A. B., 2009. Effect of growing media and
Demonstrator, Department of Animal Science, Faculty of Animal
mineral fertilization on growth, flowering, bulb productivity and chemical Science and Export Agriculture, Uva Wellassa University of Sri
constituents of Hippeastrum vittatum, herb. American Eurasian Journal of Lanka
Agricultural and Environmental Science, 6(3): 360-371.
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Abstract- The pressures of globalization encourage the search for eliminating the boundaries between countries and unite the whole
local values to achieve specific advantages, this is an attempt to world. In this condition, the local identity to be one of the adding
be able to perform in the global competition. The Nusantara value in the era that led to the universal uniformity. Search local
region has rich in local cultural diversity which specific and have identity through the searching of local culture to be one of the
not been studied and developed. Traditional houses as a basic solutions in the era of globalization (Salura, 2007). Indonesia, an
element of settlement is the result of a culture that is loaded with area with thousands of islands has a wealth of local cultural
local values. Order forms and traditional house are the result of diversity, in accordance with the conditions of each place. But
the fulfillment of the special needs of the local community that is actually in the cultural diversity found in the common cultural
maintained across generations. Kudus is the part of the values that are universal. Pangarsa (2007) said that the diversity
subculture of Java called Pesisiran culture. Cultural traits related of the physical formation of the architecture is the cultural values
to religious aspects as a devout Muslim and livelihoods as a of universal equality. At the universal equality strung local
trader. With the appearance of architecture Kudus traditional diversity. Thus the actual form of globalization in the sense of
houses have the difference in shape and layout of the house from equality and diversity in terms of localization has become a
Java traditional houses. With the understanding that cultural hallmark as well as the local value of culture in the archipelago.
values will be reflected on the cultural product question that The house is a basic human need. Every human being in the
arises is how the characteristic form of Kudus traditional houses. running life takes a place of refuge, perform activities of daily
Research on local culture leads to specific research areas with living and where the process of socialization (Yudohusodo,
limited area. The research took place in the Kudus old town area, 1991). At higher levels the house is also a means to satisfy the
known Kudus Kulon. This area is centered on the Menara human need for self-actualization, the need to show his true
mosque, this is the early development of the city and to this day identity. Research topic is the relationship between the
by local people regarded as an area with a tradition still holds architecture of a particular culture in the community with a focus
strong. In this area of traditional houses are still many with on the dwelling. The house is a core element of the settlement in
relatively settings have not changed much. This study aims to which the interaction between buildings, occupants and the
explore and discover the architectural characteristics of a environment are closely intertwined. On a broader scope,
dwelling house of a given society and how its diversity. To interaction with the community where he lives is reflected in the
achieve these objectives is done by looking at the diversity of form and order of settlement. This formation takes place in a
physical forms of traditional houses, breaks it and compare to long time, lowered and maintained across generations so as to
find the similarities and diversity. Observe how the houses to give a special character, which in turn is a wealth of local values.
accommodate the Kudus people's daily lives. The research One of diverse sub culture in the Northen Coast of Java Island
approaches more emphasis on depth qualitative information. The was known as the Pesisiran Javanese Culture. The culture is
results showed the specificity of form and order in the house that flourished in the towns along the northern coast of the island.
make up the scope of the group and eventually forming Regions that historically were heavily influenced trading activity
settlements. On the other hand, there are still elements of and the spread of Islam. Kudus is one of the cultural centers of
Javanese house. It can be concluded that the Kudus houses were the Eastern Pesisiran (Pesisiran Wetan) (Koentjaraningrat, 1984).
the Javanese traditional houses whose elements are adapted to The old town of Kudus is the area of the city which is the
the natural conditions, history and local culture of the Kudus embryonic development of the Kudus City. The old town covers
communities. an area of the west of the Gelis river. Regional center with an
old mosque minaret called Al-Aqsa, better known as the Menara
Index Terms- housing architecture, traditional houses, heritage Mosque.
building, Javanese houses, Kudus old town. Historically, when the rice trade and pulses reached its peak,
the Kudus Kulon developed into a prosperous society, especially
in the golden age of industry and trade of cigarettes. This
prosperity is realized by the Kudus Kulon community with the
pilgrimage of Hajj, build neighborhood mosques and build a
I. INTRODUCTION magnificent house. When a period of prosperity passed, many
houses and the economy facilities later abandoned. Discord
G lobalization as a result of the rapid technological
developments resulted in distance and time become shorter, between the family descendants homeowners, economic
difficulties and complexities of home care often end up with the
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house sold. On the other hand the uniqueness and splendor of the Kalijogo, Sunan Kudus away from Demak and open settlements
Kudus houses so interesting people outside of the Kudus, even in the Tajug area. Together with Kiai Telingsing, a preacher from
abroad to have it. As a result, over the years there are steadily Yunan, China, Sunan Kudus developing city which later was
decreasing number of traditional houses. In 1983 around the named the Kudus City. Kudus City name comes from the
Kudus City, there are 263 traditional houses. In 1984 the number Arabic Al Quds means holy city. Kudus subsequently developed
was reduced to 169 traditional houses (Wikantari 1995). In 2003 into a center of Islam in Java development. When Sunan Kudus
Archaeological Heritage Conservation Center (BP3) of Central build the city, the first set is a mosque named Al Manaar, now
Java has conducted an inventory and found only 68 houses known as Menara mosque. In front of the mosque there is a field
around the Kudus City. Before the Kudus traditionally already to gather public and the market on the banks of Gelis river.
gone, would highly urge to gain knowledge about the Kudus Sunan Kudus then divided the land around it to the students and
traditional house. his followers. The surrounding areas were expanding rapidly.
The purpose of research is to find the elements that make up a These areas at this time better known as the old town area or
Kudus traditional house characteristics and outlines how sometimes called Menara area. Covering area is approximately
diversity. This study is part of an effort to gain the local culture, 85 ha.
so that the results of research in general are to contribute Kudus communities primarily located in the Kudus Kulon are
knowledge about the distinctive culture of a given society, in this traders and entrepreneurs. Many of those are working
case the architecture of residential buildings. Picture of the independently in the field of small industries such as embroidery,
community culture will provide an overview of the diversity of garment and handicraft carving. Self-reliance and resilience of
cultures in the North Coast of Java, and broader cultural diversity this community is ever delivered as a rich society. Although then
of the archipelago. Knowledge of the Kudus cultures living will recede because of competition from ethnic Chinese businessmen
contribute to conservation efforts in the historic district of old who came later.
Kudus. The results are expected to be a reference to determine The old town area of Kudus is characterized by the presence
the authenticity of a traditional house in Kudus and its of the Menara road and Kiai Telingsing road that ran to the
amendments. northen south direction and intersects with the Sunan Kudus road
which is transverse to the east west direction. At the corner of the
II. RESEARCH METHODS intersection are called Madureksan square (Fig. 1). The Menara
complex consists of a mosque with a famous minaret and ancient
Research conducted as part of research on culture with the graveyard behind it. The Place where Sunan Kudus, his followers
main object of observation residential architecture. In this study and descendants were buried. In the old town area also found
the activity of human factors and knowledge is an important many smaller neighborhood mosques. Almost all mosques
aspect besides architecture. Therefore the research method established neighborhood with architectural taste and good
chosen will go on Post positivistic research paradigm or material. In this neighborhood mosque, the daily male population
sometimes called qualitative research paradigm (Creswell, 2007). of the Kudus Kulon held obligatory prayers in congregation.
Area of research is in the Kudus old town. This area has a Especially at the time of Maghrib, Isya and Subuh. Not all
distinctive character of the building. Prominent activities people mosques held Friday prayers, only mosques which sizable and
associated with religious activities as well as trade and business. located some distance from the Menara mosque who organized
Five interesting cases observed in depth to get an idea of the type Friday prayer.
and variety of Kudus traditional houses. Of the five cases were Food stalls, clothing and souvenirs meet area around the
then studied in three discussion categories: the characteristics of mosque and Madureksan square. Shops also packed Menara road
traditional homes in the site coverage, the coverage of the group corridors and Kiai Telingsing road. On the two sides of this road,
home and the area coverage. In the study of many references mostly shops were developed initially for houses, partially or
about the characteristics associated with traditional Javanese completely. There are also shops along Sunan Kudus road and
house as parent Kudus cultures. KH. Noor Badri road on the South side. On the KH. Asnawi road
and KH. Ahmad Dahlan road there are many madrassas (Islamic
III. RESULTS school) and pondok pesantren (Islamic boarding school). Behind
the shopping mall stand a density houses. Among the yard there
Judging from the vast territory Kudus regency is the smallest are small streets or alleys in the form of a winding hallway. The
regency in Central Java province. Its area is 42 516 ha. Consists alleys are accessible into settlements, connecting between house
of 9 sub-districts, 123 villages and 9 urban villages. Kudus is and other neighborhood facilities. Found in almost no roads big
situated on 110o36' - 110o50'BT and 6o51' - 7o16'BT. Although enough and straight in the neighborhoods in the Kudus Kulon.
its the smallest region, Kudus including the most advanced Behind a high fence, the Kudus Kulon families are living in the
district in Central Java in the field of economy. Its supported by thick religious atmosphere and high spirit entrepreneur.
the presence of large, medium and small industries. Kudus City Discussion of the traditional houses will begin by presenting
itself is one of the sub-districts located in the middle of the the cases observations. There are five cases that will be
Kudus regency, covering an area of 1047 ha, consisting of 28 discussed. Two cases represent individual traditional houses,
villages. Haji Ma'sum family house and Mrs. Kasiati family house. The
In its history, the Kudus City closely associated with the next case is a group houses owned by the grandma Salamah
early development of Islam in Java with an important role as well family. The last two cases are discussed row houses behind the
Walisongo and Demak Kingdom. Because feud with Sunan Menara mosque and houses in the Langgar Dalem village.
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Settlements in the Kudus Kulon will be discussed in more detail reverence about traditional houses in Javanese culture.
at the end. The Javanese traditional houses discussed to give a
A. Pak Ma'sum House in Langgar Dalem. north side room there is a gebyok carved chamber called
Gedongan.
Pak Ma'sum house is an original traditional house type with
Sisir in front of the main building is a newly constructed
the almost complete condition. This house located on the
additional building later. This Sisir was formerly used as a
northeast side of the Menara mosque, surrounded by high
workplace for garment business. But since the house used as a
massive fence. There is a gate-roofed village with two large
boarding school, Sisir used as a bedroom students. In the side of
wooden doors. Building layout in the site consists of a main
Pawon there are openings shaped on doors and large windows
building in the north, Pekiwan (lavatory and well) and additional
with eaves overhang and equipped with a staircase that was
buildings on the south side, mediated by an open courtyard. The
originally used as a shop or a place to do business at home. The
main building is oriented to the south, consisting of Dalem (room
courtyard is an open space located in the middle of the site,
for sleeping and resting), Jogosatru (reception room) and Pawon
mediates the main building in the northern part and the Sisir and
(living room). Dalem roofed by Pencu roof type, Pawon roofed
Pekiwan in the south part. Because the courtyard surrounding
by Kampung roof type and Jogosatru roofed bay Sosoran roof
bay fence, then this yard into the family private yard which do
type. Pekiwan consists of toilet, wells and yard for washing.
not visible from the street.
Additional buildings or called Sisir is used for various activities
(Fig.2). B. Ibu Kasiati House in Langgar Dalem
Dalem has front wall of the timber (called Gebyok),
Ibu Kasiati house is located on Langgar Dalem village,
sometimes carved, likewise Jogosatru wall and the front of the
located in the middle of the settlement and open without fences.
Pawon. Gebyok Jogosatru equipped with a main door (two leaves
Building layout is similar to Pak Ma'sum house, but without
door) in the middle of the room. The right and left main door is
Sisir. There are two Pawon located on the east side and rear
double doors each side. The inside door is Gebyok that can be
Dalem. Jogosatru and Pawon front wall of Gebyok but without
shifted while the outside is a half wall height sliding door with
carving wood. Dalem room wall using bricks plastered. There is
wooden bars. Gebyok Dalem fullycarved and carved translucent
a main door in the center with two leaves and a window on the
in some parts. In the center there is the main door. Dalem floor
right and left of the door. Dalem floor height made same level
supposedly geladakan or wood floors as high as 60 cm from the
with Jogosatru and Pawon floor. On the opposite the main door
Jogosatru floor so as to climb required bancik or pedestal table.
there is a door leading to Pawon behind, so the middle part room
Unfortunately geladakan was faulty and replaced the tile floor as
into circulation space. Bed rooms are located on the right and left
high as Jogosatru floor. On the north side of Dalem room
Dalem (Fig.3).
separated into three rooms used for sleeping and praying. In the
middle is empty and on the south side used for seating space
(called Jogan). According Mrs. Ma'sum, formerly in the middle
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Across the Pawon there are Pekiwan that still complete and absence of this fence also allows one yard pass to reach the
ornate. Pekiwan consists of two bathrooms with Kampung opposite environment. Compared to the first case , there are some
roofed, washing place and well. On the next Pekiwan there was differences that can be explained as follows: in the first case
the yard former warehouse building, a place to store tobacco. Dalem Space is a very sacred because it is the end, the deepest
However, since the tobacco trade is no longer popular, and and highest . In it there is a prayer room Gedongan. In the second
eventually become a dormant warehouse demolished. Because no case, no longer in a position Dalem most sacred, even just room
closed fence plots, Mrs. Kasiati family house can easily be seen to pass. Fence in the first case gives a very strong impression of a
and accessible from the outside. There is a footpath thatconnects closed, is not located in the second case, even homeowners give
the neighborhood street on the west side and east yard. The up home traversed others.
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C. Mbah Salamah Family Houses economic development, mbah Mawardi bought a house in its
western side and then buy the vacant lot next to the west house.
Mbah Salamah family houses located in the Kerjasan village,
Mbah Mawardi not united the plots into one covered plot.
in the north Menara mosque complex. There are three plots
Among the plots are hallways that connect the two roads in the
located lengthwise rows. The middle plot is the first plot owned
neighborhood north and south (Fig.4).
by Haji Mawardi, husband of mbah Salamah, a convection goods
and grocery merchant. As the number of family members and
The main plot is the central plot. This plot is surrounded by a Current plot on the west side has stood the house on the north
high fence with Regol on the west side. The main building is side. The house consists of Dalem, Jogosatru and Pawon on the
roofed by Limasan type. Gebyok Jogosatru is using plain wood. West side. Opposite with Pawon there is small Pekiwan. The rest
Dalem wall using bricks plastered with the main door in the of the yard is still widely used as a daycare for Madrasah
middle and the window in each side of the door. Sisir building in Kudsiah bikes, stalls and volleyball courts. One thing that is
the southern part of the plot was once the warehouse is then interesting about this case is more awareness to the public
changed to a more modern dwelling. Pekiwan in front Pawon interest rather than private interests. The hallways shortcut is
retained its function, but the shape is adapted to the new actually a private plot of land not covered in order to remain
building. There is a breezeway that connects the old and new untapped community.
buildings. In the hallway there are Butulan doors that connect it
D. Row Houses in Kauman
to the hallway and adjacent plot.
Plot in the East is semi-open with a short fence which an Approximately 50 meters north Menara mosque thereise a
opening wall in the West and East side. The northern part group of traditional houses located in rows lengthwise direction
consists of the Dalem with Pawon on the east side and a narrow of east west. It is said that here was once a plot of land owned by
Jogosatru. The wall of Jogosatru, Dalem and Pawon was mbah Penghoeloe Landrat, a religious leader at the Menara
plasteredbrick. The Dalem wall is equipped with the door in the mosque. This group consisted of six houses. Five of them still
middle and window on the right and left. The Jogosatru wall is retain their traditionalpatterns, but only two houses largely
equipped with three double leaf doors with no sliding doors. pristine elements. This group of houses on the western side is
While Pawon equipped with a pair of doors and windows. Dalem characterized by Regol without doors while in the eastern a
roofed Limasan tiered, Pawon roofed Kampung. Southern part of narrow passage between fences. There are two hallways on the
the plot is only there Pekiwan across Pawon. Next to them are north side and three on the south side that cuts the row of houses.
former barn yard. On the west side of the plot, there is a Among the six plots is not there a fence that restricts each plot.
Madrasah, the students often crossed the yard to the school, so The main building houses all located on the north side, consisting
the private courtyard into the environment alley. of Dalem, Jogosatru and Pawon on the right or left, except the
house at the south end of the house that has shaped the present.
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On the South side there Pekiwan in each house, four of which are Sisirs functioned as a place of work while two others rented out
of the Sisir while the 2 house is only a yard and a chicken coop. as residences (Fig.5).
Because of the relative position of each home straight in a Discussion of Javanese traditional house aims to provide an
row and no guardrail between the houses, a central courtyard to overview of the prevailing character of the traditional houses that
form a continuous passage is rather wide. This alley is often more common in areas of Javanese culture. As the center of
crossed by people going to the Menara mosque or to the Menara Javanese culture, inland region such as Yogyakarta and Solo are
road. Within the scope of the group home, the hallway separating being a reference of the Javanese traditional house. Traditional
the main building on the north side of the building supporting Javanese houses can generally be divided into two house type
and complementary on the south side in every home. In the with the two division house and the division house (Tjahjono,
absence of such guardrail that are then mixed private spaces with 1989; Santoso, 1987). The two division house is a generally
public spaces. house. Spatial lay-out covers the outside of the house or the front
and the inside. The outside part called Emperan, these rooms,
E. Houses in Langgar Dalem
shaded by the roof. This space is an intermediate space that
Large houses in Langgar Dalem are located Northeast connects the outer space with the inner space that moreprivate.
approximately 100 meters to the Menara mosque. The Plots have The inner space is called Dalem, an enclosed space with a main
a large size and has a fence. As the plots, the houses in this group entrance in the middle.
are big. There are the large Dalem with double Pawon on the Dalem is divided into two spaces that enclosed space on the
right and left side. A group houses in Langgar Dalem consist of back side called Sentong and space for shared activities called
two neighboring plots. Pak Kaffi houses in the west and pak Aziq Jogan. Sentong divided into three parts, namely Sentong Kiwo
in the east, each bounded by a short fence. Between the two plots (left sentong), Sentong Tengen (right sentong) and Sentong
are separated by rather wide neighborhood streets. However, in Tengah (middle sentong). House with two divisions was roofed
pak Kaffi plot, there are two opposite opening doors so the yard by Kampung or Limasan roof type with Sosoran to front and
can be crossed someone. While pak Aziq plot was only one rear. House with three divisions was found in a bigger house and
entrance. Pak Kaffi and pak Aziq house a big house with two more majestic. Which is consists of the Emperan and Dalem.
Pawon on the right and left Dalem. Dalem , Pawon and Jogosatru Dalem is divided into three, the front, middle and rear Dalem.
paneled with plain Gebyok, even pak Aziq house use only board Dalem roofed Joglo type which is the highest classification for
are arranged vertical (Fig. 6). residential roofing. In a plot, the ideal Javanese traditional house
at least consists of three building units, such Pendopo, Pringgitan
IV. DISCUSSION and Dalem. The additional buildings are Gandok on the right side
and left side of Dalem, Gadri behind.
A. Javanese Traditional House
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The supporting building behind Gadri are Pawon, Pekiwan there is a day-to- day activities of the family. Pawon can be
and well. Pendopo roofed Joglo type roof with no walls. Used for located on the left or right Dalem, even in some houses there are
gathering and organizing large events. Pringgitan is the same three Pawon which the third is located behind Dalem with used
with emperan, roofed Limasan type roof, used to receive guests. exclusively for cooking. In front Dalem there Jogosatru, the
At the time of wayang (ringgit) performance is used for puppet space for receiving guests formally. In front of the main building
and the screen location. Gandok elongated in the right and left there is an open courtyard that is used for outdoor activities. The
side Dalem and roofed Kampung or Limasan. Gandok used for courtyard separated the house with supporting buildings and
everyday family activities. Gadri is located on the back porch complementary building located in the southern part of plot.
Dalem. Limasan roofed and used for the dining room. Pawon Pekiwan as supporting building located across Pawon. Pekiwan
used for cooking. Elongated form and Limasan roofed or consists of the well, washing place and bathroom and toilet. Sisir
Kampung, located behind Gadri. The buildings of the nobles as complementary building does not always present in the plot.
being the orientation of the priyayi and rich people, but there are The building is newly built then as a work-related occupant, or
rules of propriety that the house should not exceed a subordinate for expansion. Sisir can be expanded by taking up space on the
supervisor or person who has a higher degree (Tjahjono, 1989). west or east side of the plot, but still leaving an open courtyard in
the middle.
B. Characteristics of Kudus Traditional Houses
From the shape and placement there is much in common with
Of these cases discussed above, the elements that are the space in the interior of Java. Dalem and Gedongan is the
constructed to, characteristic of traditional houses in the old town same with Dalem and Krobongan. Pringgitan or Emperan equal
area of Kudus. Studies were done by looking at the micro-scope, to Jogosatru, only Jogosatru wider and covered with Gebyok.
on the house itself; mezzo-scope on the house lot and the macro- Pawon can be paired with Gandok beside and behind Gadri .
scope of the settlement environment. To give a broader picture of There are striking differences in the location of Pekiwan and
the discussion will be compared with some traditional Javanese existence of Pendopo. Pekiwan Kudus house located in front of
house that is in the interior. the house. Public assume this bathing and washing is not the
place dirty behind, but a place to clean up when going into the
1. Kudus Traditional Houses house. Pendopo almost never encountered. Possibly because of
In the plot ofthe Kudus traditional housee consists of the Kudus people have never held a wayang or receive visitors in
main building on the north and facing south. This is the direction large numbers.
toward which the rule is still firmly held, very few traditional Dalem roofed Joglo. Order of precedence in the form of the
houses facing north, let alone facing the other direction. The Java Joglo roof is the most prominent to a house (Dakung, 1986).
main building consists of Dalem, Pawon and Jogosatru. Dalem The Joglo Kudus house has Brunjung (roof top) that is higher so
used for rest and sleep. called Joglo Pencu . But it was not all Dalem roof are Joglo,
Inside there is a booth in the middle so-called Gedongan, there is a roofed Kampung or Limasan for Dalem building. As
used to store treasures and places of prayer. Space on the right the division of two types of Java, traditional building with a roof
and left Gedongan are used for sleeping. Next Dalem Pawon or Kampung Limas is a simpler type. Pawon roofed villages with
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high roof angle. The front of the thatched roof sosoran is roof shaped elongated Limasan or Kampung. Pekiwan roofed
connecting with Jogosatru. Jogosatru roof on Kudus traditional Kampung, sometimes fused with a roof Sisir. Sisir sometimes is
house never applies any other form than Sosoran. Several homes applying more modern form that is different from the main
in the Kudus unite Pawon roof, Dalem and Jogosatru under one building.
Main building wall of teak wood. Brick wall with stucco using the wood so it can be assembled without much damage to
sometimes applied to parts of the building directly adjacent to the building materials. Basically house construction similar to the
neighboring lots or the environment street. Gebyok front wall has construction of Java, it's just that in some parts makes
a distinctive look. From the main door in the middle with two adjustments and elaborations that to be a Kudus typical.
doors (Kupu Tarung), equipped with a pair of double sliding Construction on a Dalem was a column (Soko guru) and beam
doors to the right and left. On the side in the form of a slide (Tumpang sari). Tumpang sari beam stratified pretty much in the
Gebyok wall, while the outer side of a wooden sliding grating inner side direction (called Luweng) but only slightly toward the
door as half high as the walls. Pawon wall has a door opening in outside. Wall Gebyok Dalem apparently shifted inside to widen
the form of the two leaves are sometimes also fitted with grating the Jogosatru space. It looks from great belandar above Jogosatru
doors. In a later development, the wooden walls are replaced space. In the center its supported by a pair of console that
with a lot of brick walls because it is durable and easy to flanking the main door.
maintain. Ornamentation has become an important feature in the Kudus
Order of precedence of the room, Dalem is the most traditional house. Ornamentation applied to demonstrate the
important space. It can be seen from the placement height of the beauty and luxury of the building. In order to look more beautiful
floor, as well as the achievement of the closure of the room as well as to demonstrate the economic capability of the owner of
farthest away. Of peil page to Jogosatru rose three rungs trap. the house. Ornamentation applied to timber elements, including:
The same height as the floor Jogosatru Pawon. Of Jogosatru and columns, beams, consoles and most of the Gebyok panel.
Dalem Pawon to rise as high as about 60 cm to 80 cm. Storey Ornamentation is mainly applied in Jogosatru. Ornamental motifs
palace in original condition geladakan or wood plank flooring to stylized the form of plants that originated from Java, Arabes
the construction stage. To enter the Dalem used footing (bancik) geometric shapes the possible influence of the Middle East, the
of wood. Stage construction in the Kudus traditional houses is swastika from China and king crown from Europe.
very interesting. It is not found in the traditional Javanese house Ornamentation is also applied to the ridge tiles of roof and
anywhere, including in Demak, which located close to Kudus. In decorated with gunungan type, crown, wayang and gajahan. This
fact, according Atmadi (1984) Javanese traditional house kind of ornate tiles also often found in traditional houses in
construction is no longer applying the stage construction, though Demak, Pati and Jepara area.
much earlier stage house was known as envisaged in the reliefs
2. Group House
of Borobudur. Too bad almost all the houses in the Kudus now
has eliminated the stage construction. There is the possibility of In conjunction with the other plots or houses, there are
applying the construction stage due to the demands of the basically two kinds of houses, namely: house covered fence and
philosophy that Dalem is the most important room and realized an open house. A house with a fence around the house is often
the floor height. Stage construction, nor in a more simpler house. referred to kilungan house. This type of house is not much in
The main construction of Kudus traditional houses applying touch with neighbors and the surrounding environment. Usually
wood frame construction. All the connections and fastener are there is only one main door (Regol) for guests and a few other
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doors for residents. Among the plots with neighboring plots more lots are located lined pattern on one line. Open courtyard of
sometimes separated an alley or hallway that ran along the side each house forms a continuous open corridor. This space is used
of the plot. Kilungan fence is separating explicitly private as a shortcut either by the occupants or the public. Relationships
activities in the plot with the public activities outside. The fence between plots usually was occurring in the west to the north east
is hiding the appearance Kudus traditional houses in it. House while the south is more rare. In this direction, this usually was
with open plots in the form of row house, can consist of two or occurring through the aisles that ran between the walls.
In the scope of the group would need to propose the major road corridors. Some hallways are then fused to form the
environment mosque role and place of business. Two elements of alley leading to the main road. Main roads open, can be achieved
the settlement are an important role in people's lives. by a variety of people and vehicles. While the more closed
Environment mosque a shared facility that is part of the daily life environment, because it can only be passed by a motorcycle, and
of the community. Every time, especially when Maghrib, Isya only people who are already accustomed to. An open access
and Shubuh prayer time most men will do in their house where commercial area as protective fence for the closed settlements in
mosque close. Shortcuts from the house to mosque seemed to it. Settlement patterns that lined the eastwest direction
have become part of the life of their "home". Second place is a characterizes typical. Although there neatly in a straight line or in
place of business or place of employment. This place can be a a bit random. Existence violated the center of the group homes
shop, workshopstall. As more people devote their lives as and extensive in its coverage of the region that is oriented
entrepreneurs, either as traders or independent entrepreneurs, towards the Menara mosque.
work at home or close to home to be a good option to support
life. Place of business, place of worship became a container for
daily activity groups linked by a network of small streets and
lanes of the settlement.
3. Kudus Kulon Settlements
The character of the groups forming the character of the
settlement in the Kudus Kulon. Settlements are behind the
shopping and commercial building construction in the region's
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REFERENCES
[1] Atmadi, Parmono, 1984, Apa yang Terjadi Pada Arsitektur Jawa,
Lembaga Javanologi, Yogyakarta.
[2] Dakung, Sugiarto, 1986, Arsitektur Tradisional Daerah Istimewa
Yogyakarta, Depdikbud, Yogyakarta.
[3] Creswell, John W., 2007, Qualitative Inquiry & Research Design.
Choosing Among Five Approach, Sage Publication, Thousand
Oaks.
[4] Groat, Linda and Wang, David, 2002, Architectural Research
Methods, John Wiley & Sons, New York.
[5] Koentjaraningrat, 1984, Kebudayaan Jawa, Balai Pustaka, Jakarta.
[6] Oliver, Paul, 2006, Built to Meet Needs, Cultural Issues in
Vernacular Architecture, Elsevier, Oxford.
[7] Sardjono, Agung B., 1996, Rumah-rumah di Kota Lama Kudus,
Thesis Universitas Gadjah Mada, Yogyakarta.
[8] Tjahjono, Gunawan, 1989, Cosmos Centre and Duality In Javanese
Architectural Tradition: The Symbolik Dimention of House Shapes
in Kota Gede and Surroundings, Disertasi, University of California,
Berkeley.
AUTHORS
First Athor: Agung Budi Sardjono, student of Doctoral Program
in Architecture, Department of Architecture, Diponegoro
University, Indonesia, ab.sardjono@gmail.com.
Second Author: Gagoek Hardiman, Professor in Architecture,
Doctoral Program in Architecture, Diponegoro
University,ggkhar@yahoo.de.
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Department of Medicine, Pt B.D. Sharma Post Graduate Institute of Medical Sciences, Rohtak, Haryana-124001,India
Abstract- This cross sectional, observational study was shown Infectious causes and some congestive causes to be more
performed in 170 adult patients with splenomegaly who reported common.
to Department of Medicine, Pt. B. D. Sharma, PGIMS Rohtak A variable clinical profile and etiological spectrum has
from may 2014 to april 2015, over a period of 1 year. The been described in cases of splenomegaly. Inspite of such
patients were evaluated for their complete clinical profile & common finding in patients; there are limited studies in India
etiology of splenomegaly. Grading of splenomegaly was done by regarding the etiological spectrum of splenomegaly. The
Hacket's grading. Thorough relevant investigations were carried different studies have shown different causes for splenomegaly.
out. Most patients were below 45 years of age. Most common Therefore we have planned to study cases with splenomegaly at
etiological category of splenomegaly was hematological (54.7%) Pt. B. D. Sharma, PGIMS, Rohtak to find the clinical profile and
followed by congestive (24.5%), infectious (15.88%) and other etiological spectrum of these cases.
(4.7%) causes. Most common splenomegaly patients belong to
hackets grade II (55%), followed by grade III (28%), grade I
(13%) & grade IV(4%). Among hematological etiology chronic II. MATERIAL & METHODS
myeloid leukemia was most common cause(25.29%). Malaria The study was carried out in the Department of Medicine,
was the commonest etiology among infectious causes. On Pt. B.D. Sharma, Post Graduate Institute of Medical Sciences,
clinical examination pallor was present in 87% cases. 44% of Rohtak. The study was conducted from 1-05-2014 upto 1 year
patients had hepatomegaly, 26% of patients had icterus., duration. Newly reported cases of >14 yrs of age & detected with
lymphadenopathy was present in 13% patients. We compared splenomegaly on per abdominal examination or on USG
the results of our study with other studies & concluded that abdomen craniao-caudal length of spleen >13cm, were selected.
clinical profile & etiological spectrum of splenomegaly varies Grading of splenomegaly was done by hackets garding.2
from region to region. The written informed consent was taken prior to the
enrollment in the study from each patient. All the patients were
Index Terms- splenomegaly, Hackets grading, chronic myeloid subjected to detailed history regarding recent infections like
leukemia, portal hypertension malaria, fever, weight loss, sweating, pruritis, jaundice, abnormal
bleeding/brusing/joint pain, history of alcoholism, trauma,
history of neonatal umbilical sepsis, history of residence and
I. INTRODUCTION travel abroad, high risk sexual behavior, past medical history,
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Class 4 - Spleen palpable below umbilicus but not below a present in 9% of cases. Out of 176 patients most of the patients
horizontal line between umbilicus and pubic symphysis. presented with anemia and pallor was present in 87% cases, 44%
of patients had hepatomegaly, 26% of patients had icterus,
Class 5 - extending more than class 4 lymphadenopathy was present in 13% patients.
Out of 170 patients with splenomegaly Hacketts grade I
Complete hemogram;Red blood cell indices MCV (Mean splenomegaly was present in 13% cases, grade II was in 55%
corpuscular volume), MCH (Mean corpuscular hemoglobin) and cases, grade III in 28% and grade IV in 4% cases. There was no
MCHC (Mean corpuscular hemoglobin concentration), USG case of grade V splenomegaly in our study. Figure 2.
abdomen, chest X ray were performed in every case. Further
specific investigations were performed in cases to find out the Figure-2 Clinical Grading in Patients of Splenomegaly
cause of splenomegaly as warranted by the clinical context and
the results of baseline investigations like Bone Marrow
examination in hematological cases, upper GI endoscopy in cases
of portal hypertension, liver function tests (SGOT, SGPT, SAP,
S.Bilirubin, S.Protein) for hepatitis and chronic liver disease;
serum Iron studies, vitamin B12 & folic acid assays for type of
anemia; anti-nuclear factor (immunofluorescent method) for
autoimmune disorder; serological tests and blood culture for
enteric fever; viral serologies for HIV, hepatitis B virus,
Hepatitis C virus and dengue; immunphenotyping for leukemias
& lymphomas; chest X-ray, montoux test for disseminated TB;
Hb electrophoresis, DCT, ICT, LDH for hemolutic anemias;
BCR-ABL for chronic myeloid leukemia; echocardiography for
cardiac evaluation & other investigations according to history &
clinical examination of patients.
Hematological causes constituted 93(54.5%) of cases,
followed by Congestive causes constituting 42 (24.5%) of cases.
Next in series were patients of Infectious causes accounting for
III. OBSERVATIONS & RESULTS
23(13.5% ) of cases. Other causes included 7(4.%) cases &
The study population consisted of 170 patients with range 5(3%) cases remain idiopathic. Figure:3.
of 14 to 65 years. There were 96 males and 74 females in the
study group with a male to female ratio (M:F) of 1.3:1. Out of Figure:3 Etiological spectrum Of Patients With
170 cases, 39 cases belong to age group 14-25 years, 34 cases in Splenomegaly
age group 26-35 years, 41 cases in age group 36-45 years, 21
cases in age group 46-55years, 21 cases in age group 56- 65
years and 14 cases in age group 66-75 years. Approximately 2/3
cases belong to young age group (14-45 years).
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3(1.76%) cases. Essential thrombocyosis & Polycythemia Vera sake of statistics, these were grouped into congestive causes. A
constituted 1 cases each. study by Konan et al12 shows multifactorial etiology although
Among 42 (24.7%) of 170 cases of congestive etiology 27 this study was conducted on children.
(15.88%) cases were due to alcoholic liver disease with portal Grade II splenomegaly was the commonest finding in
hypertension, 7 (4.11%) cases were due to other causes of present study which accounted for 55% of total cases and this
chronic liver disease with portal hypertension, 3(1.76%) cases was comparable to studies by Varsha S et al3 & J Balaji et al6
were due to non cirrhotic portal fibrosis, 3 (1.76%) cases were (44% & 31% respectively). The most common causes of grade I
due to right heart failure, 1 case was of budd chiari syndrome & splenomegaly were congestive(11.17%) followed by
1 case due to chronic pancreatitis with portal vein thrombosis. hematological & infective(11.4% each). Most common cause of
Among 27 (15.8%) of 170 case of infectious etiology of grade II splenomegaly was hematological disorders(14.7%)
splenomegaly 10 (5.88%) cases were of malaria infection, 6 followed by congestive causes(7.6%), infectious causes(4.1%) &
(3.5%) cases were due to enteric fever, 3 (1.76%) cases were due other causes(3%). Grade III splenomegaly cases(26.4%) were
to disseminated tuberculosis, 3 cases were due to HIV infection, because of hematological diseases only (neoplastic). 16 of 93
2 (1.17%) cases were due to subacute bacterial infective hematological cases belongs to grade I (by Hackets grading),
endocarditis, 2 were due to tropical splenomegaly & 1 case was while 25 were grade II, 45 cases were of grade III & only 7 cases
due to leptospira infection. Among other causes of splenomegaly were associated with grade IV. Next in the series were
3 cases were associated with SLE, 3 cases of rheumatoid arthritis congestive causes in which 19 cases were of grade I & 13 of
1 case of sarcoidosis. In 5 cases the cause of splenomegaly could grade II etiology. In infectious causes 16 cases were of grade I
not be found. etiology whereas 7 cases were of grade II etiology. Other causes
including autoimmune disorders like SLE, sarcoidosis were
associated with 5 cases of grade II & 2 cases of grade III
IV. DISCUSSION splenomegaly.
In this study, maximum cases were in age group of 36-45
years (24.11%). The male: female ratio was 1.3:1. In a study by Figure:4 Correlation between grades of splenomegaly and
Varsha S et al3, the male to female ratio was 1.2:1, that was Etiology
comparable to our study. In the present study, generalised
weakness & fatigue were the commonest clinical symptom seen
in 77 patients followed by abdominal Discomfort (n=48). The
clinical presentation seen in this study is due to higher number of
cases of hematological diseases. Pallor was the most common
clinical finding in our study in 57 cases followed by
hepatomegaly (n=44). These findings were comparable to study
by Shirish S et al4.
In our study the most common cause of splenomegaly was
due to hematological diseases constituted 54.5% of cases which
was comparable to study by O'Reilly et al (57%)5 & Shirish S et
al4 (60%). Infectious causes were most common cause of
splenomegaly in studies by Varsha S et al3 , J Balaji et al6 & Asif
Nadeem et al7 constituting 49% , 41% & 44.6% respectively.
The most common hematological case of splenomegaly in our
study was CML which was comparable to study by J Balaji et
al6. In study by Varsha S et al3 most common hematological
cause was hemolytic anemia & in study by Shirish S et al4 it was
iron deficiency anemia. The most common congestive cause of
splenomegaly in our study was alcoholic liver disease which was V. CONCLUSION
comparable to study by Varsha S et al3. In study by Shirish S et The present study concludes that splenomegaly in a
al4 most common congestive cause was liver cirrhosis whereas in symptomatic person should be properly evaluated. In our study
study by J Balaji et al6 NCPF was the most common congestive Hematological causes(54.7%) outnumbered the non-
cause of splenomegaly. Data from other studies shows that hematological cause(45.3%) of splenomegaly. Among
cirrhosis with portal hypertension is a common cause of hematological causes neoplastic causes (50%) were more
moderate (4-8 cm) splenomegaly8. Among infectious cases of common. The most frequent cause of splenomegaly was chronic
splenomegaly most common cases were of malaria infection myeloid leukemia(25.29%). Among non-hematologic causes
followed by enteric fever that were comparable to all other portal hypertension was most common. This could be due to high
studies. Some studies on dengue fever show splenomegaly in a prevalence of alcoholic liver disease(15.88%) in this area. These
wide range between 8.2% and 60.0%9,10. In one study of eighty were followed by other hematological, congestive & infective
five cases of AIDS, splenomegaly was found in 59 cases (69.4 causes. Some Indian studies (Varsha S et al3 & J Balaji et al6)
%)11. Some cases in present study have multiple etiologies, such reported infectious causes to be most common cause of
as alcoholic liver disease causing liver cirrhosis & portal splenomegaly whereas in our study these were to the extent of
hypertension & associated with hepatitis B or C infection. For 13%. In this comparative analysis of different studies the
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 123
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variation in these findings could be due to regional differences & [12] John. W. Athens. Disorders Primarily involving the Spleen. In: G. Richard
Lee, Thomas C. Bithell, John Foerster, John W. Athens, John N. Lukes:
prevalence of various disease in particular area. Wintrobe's Clinical Hematology 9th edition. Lea and Febiger Publication,
1993. Pg 1704-1721.
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ultrasound. Lancet 1991 ; 338: ( 826-827).
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Tropical Disease. Chamberlaine's symptoms and signs in Clinical medicine: Second Author Sudhir Kumar Atri, email-
12th edition. Butterworth- Heineman, 1997,( 315-324). ssmantri74@yahoo.com
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Splenomegaly. Bombay Hospital Journal;2012;54,10-17.
Forth author Suvrit jain, email- suvritjain@gmail.com
[4] Shirish S Chandanwale, 2Kanika Gupta, 3Vidya Vishwanathan et al.
Fifth author - Arvind Chahal, email
hematologicall profile of splenomegaly- A case study of 50 cases. IJPBS
|Volume 5| Issue 2|APR-JUN|2015|368-378. drarvindchahal@gmail.com
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centre from 1913 to 1995. 1913 to 1962: 2,056 patients. West J Med. Seventh author Divya Sahani, email
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Senior Professor & Head
of Splenectomy on Patients with Hypersplenism. JIACM 2005; 6(4): 291-6. **
Professor
[7] Nadeem A., Ali N., Hussain T. Frequency and etiology of splenomegaly in ***
adults seeking medical in Combined Military Hospital, Attock. JAyub Med Senior Resident
*** *
Coll 2004; 16(4): 44-47. PG Residents
[8] Billinghrust J R. The Big Spleen. British Med J of Hospital Medicine 1978
:413. NAME OF INSTITUTION- Department of Medicine,
[9] Chandrakanta, Kumar R, Garima et al. Changing clinical manifestations of Pt B.D. Sharma PGIMS, Rohtak, Haryana-124001, India.
dengue infection in north India. Dengue Bulletin 2008;32 :118 125.
[10] Sharma S., Sharma SK, Mohan A et al . Clinical Profile of Dengue Correspondence Author Naresh Gaur, PG Resident, email
Haemorrhagic Fever in Adults during 1996 - Outbreak in Delhi, India.
Dengue Bulletin 1998; 22. nareshgaur13@gmail.com, alternate email-
[11] Ansovini R, Barbolini G, Migaldi M et al: AIDS splenomegaly and related nareshagaur2016@gmail.com.
iron problems. Pathologica 1998 ; 90(2): 133-139. Contact no.- 08930635323
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 124
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Department of Commerce, Faculty of Management Studies and Commerce, University of Sri Jayewardanapura
Abstract- To determine the mission and the objectives of an stratego is planning of destroying enemies by effectively using
organization it is very important to understand what are its the resources. Therefore the concepts of strategy have been
current situation and the types of barriers the firm would have to formerly used in the context of military and it is remaining as the
be faced from the existing environment. Through successfully benchmark of all the definitions of strategy.
deploying strategies an organization can realize its mission and After World War ll due to the reason of moving the business
the objectives. So the firms should know about strategic planning from a relatively stable environment to a dynamic and
and strategic management. Strategic planning which requires a competitive environment the need became greater for a concept
great deal of strategic thinking is one of the most important of business strategy which is the strategy related to business.
management tool which helps managers to recognize the Various writers have given various definitions for the concept of
priorities and determine the main actions necessary to realize the business strategy time to time as briefly described below.
mission and objectives of the organization. Nowadays strategic The series of actions which is decided by the firm according
management has become one of the primary topics in to the situation is known as strategy (Neumann and Morgenstern,
management of organizations because of the dynamic business 1947). The first writers who were able to relate the concept of
environment. This paper entails the concepts of strategy, strategic strategy with business were Neumann and Morgenstern (1947).
planning, strategic thinking, strategic management and the Based on this definition many authors developed concepts of
importance of strategic management. business strategy.
Analyzing the present situation and changing if it is
Index Terms- Management Tools, Strategy, Strategic Planning, necessary is known as strategy (Drucker, 1954). According to
Strategic Thinking, Strategic Management this definition its need to find out what are the resources a firm
has or need to acquire to realize its mission and objectives. A
strategy is a guideline for decision making based on the
I. INTRODUCTION determinants market scope, growth rate, competitive advantage,
and synergy ( Ansoff, 1969). According to Alfred D. Chandler
T he function of coordinating the efforts of people to achieve
goals and objectives through efficient and effective use of
resources is known as management. Management involves
(1962), strategy is the formulating basic long term goals and
objectives of an organization and the implementation of course
planning, organizing, staffing, leading and controlling to of actions and the allocation of necessary resources for carrying
accomplish desired aims. Resourcing includes manipulation of out these goals.
human resources, financial resources, technological resources A long term Harvard professor and editor of the Harvard
and natural resources. All the resources are limited in nature. Business Review Kenneth Andrews (1980) has defined the
Strategy is very important for an organization due to the strategy as a pattern of decisions in an organization which
limitation of resources. My objective in this essay is to explain formulates goals, objectives, and purposes and produces
the concepts strategy, strategic planning, strategic thinking, principle policies and plans to achieve those goals and defines
strategic management and the importance of strategic the economic and non-economic contribution it going to make to
management to provide a useful departure point for the its stakeholders.
classroom education of strategic management. The Harvard professor Michel Porter has made a narrow
definition on strategy based on the competition. According to his
definition the strategy is a wide formula which helps an
II. STRATEGY organization to compete, sets goals and decides what policies
will be needed to carry out those goals.
The word strategy has so many meanings itself and all these A strategy can be a plan, a pattern, a perspective, a position
meanings are useful, important and relevant to the people who and also it can be a ploy or a maneuver which can help an
are setting strategy for their organizations and corporations. organization to avoid its competitors (Mintsberg, 1994).
Various authors have drawn their attention on the concept of When all the above definitions taken into consideration there
strategy. Author entailed the past definitions of various scholars are similarities, but despite of the similarities there are some
and proposed a new definition on the term strategy. important differences too. Therefore all these definitions are
The word strategy derives from the Greek word strategos, different opinions and views of different scholars.
the meaning comes from the roots of army. The meaning of
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In this paper the author proposes a new definition for the reduce this gap which is identified by the gap analysis to achieve
strategy as follows. its desired future state.
A strategy is a plan of actions that one use to formulate goals 4th Step: Benchmarking comes under the 4th step. Under this
and objectives and the means of achieving these goals and step organizations performance compare with the industry best
objectives practices. Purpose of this step is to find out a reference point for
Following this definition, the strategy is a plan of actions formulating goals and targets for the organization.
which make the each and every member of the organization can 5th Step: Analyzing and identifying the strategic issues in
understand the reason for the organizations existence. And also consistent with vision and mission is the main consideration
it implies how a given target can be achieved. under this step. The organization should successfully address
these fundamental or strategic issues to achieve its mission and
objectives.
III. STRATEGIC PLANNING 6th Step: Strategic programming is the next step in the
Strategic planning is a road map which gives directions to an strategic planning process. The organization need to develop
organization from now, where to go or where should be in five or strategies to address strategic issues in order to achieve its
ten years. Strategic planning involves multi-year projections mission. At the strategic programming stage organization
which is not very specific like operational planning. It is well formulate goals, develops action plans and tactics.
organized set of activities which helps an organization to 7th Step: At some instances other than the intended
organize the present based on the projections of the target future. strategies, organization must respond to unpredicted or emergent
Strategic plan is very important for an organization to develop strategies. These emergent strategies are always unintended.
the comprehensive plan which includes both long-range and Unpredicted or unintended strategy is a pattern. It is a pattern
strategic elements. which was not realized while planning of the strategy. It is a
The strategic plan should be based on actual current situation series of action which is converging into a consistent pattern
and be simple, clear and written. And also it should have given (Mintzberg, 1994).
enough time to be settled otherwise it will cause problems. 8th Step: To assess the success of strategic planning process,
A. Purpose of Strategic Planning periodic evaluation of strategy is necessary. Evaluation of the
Better serving the needs of stakeholders and establishing the strategy is the next step comes in the strategic planning process.
priorities of the organization to accomplish above needs are more Conducting performance evaluation at least annually is very
important for an organization. A strategic plan guides an much important to assess the effects of a specific action on long
organization in implementing, evaluating and making term status or on the vision and the mission of the organization.
adjustments to the programs when it is necessary. The plan And also it is a must to compare the current performance and the
should be flexible and practical. previous performance of the organization and consider whether
The development of strategic plan requires more discussion its need any change of strategy.
and timing and need to examine the ideas and options of the 9th Step: The final step of the strategic planning process is
leaders. It should be an integrated document which incorporates reviewing the strategic planning process. Here it can make
the organizations objectives, purpose, mission and regulations necessary changes or adjustments to the strategies based on the
with the feelings, thoughts and opinions of the developers. evaluation which was the 8th step of the strategic planning
However, most of the time the development is less complicated process. And again with the revised plan the organization should
than the implementation of it. respond to the emergent strategies which can affect to the
B. Strategic Planning Process organizations intended course.
Most of the times, strategic planning process uniquely
designed to fit the specific needs. Any way all the successful
models include most of the steps. The author discusses the IV. STRATEGIC THINKING
essential steps of a strategic planning process as follows. On one hand strategic thinking can be viewed as a part of
1st Step: The first step of every strategic planning process is strategic planning process, since a great deal of strategic thinking
identifying the vision and the mission of the organization. is required to develop a successful strategic plan. On the other
Having a clear vision and mission is very important for an hand strategic planning and strategic thinking can be viewed as
organization since organization need to be certain to where it is the two sides of the same coin and each one on its own is
headed. necessary. However for an efficient strategic management
2nd Step: After clearly identifying vision and mission an framework both strategic planning and strategic thinking are
environmental scan need to be performed. There are several necessary. Strategic thinking can be defined as a process of
frameworks which can be used for this purpose. Five forces arranging options through an institutional thinking by evaluating
analysis and SWOT analysis are frequently using by the alternatives and decisions to find out best fit among the
organizations to perform environmental analysis. institutions, its resources and the environment (Rowley et al.,
3rd Step: A gap analysis also takes part in the strategic 1997). However according to my view strategic thinking
planning process. An analysis of the gap between the desired encompasses all the actions, since thinking strategically is very
future status and the current status of the organization should be important before every action related to strategy.
performed under this step. Therefore the organizations need to Strategic thinking is a distinct way of individual thinking
allocate adequate resources and develop required strategies to which utilizes creativity and intuition and that builds an
integrated perspective of the enterprise (Mintzberg, 1994).
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Strategic Thinking involves broad or wide thinking focus on the Enhanced communication
organizational future direction on the basis of anticipated a) Dialogue
environmental conditions.
In contrasting strategic thinking from strategic planning,
b) Participation
Minzberg argues that both need different types of thinking.
Strategic planning is a systematic programme which develops an
action plan using pre-identified strategies. On the other hand
strategic thinking is a synthesized process which utilizes intuition
and creativity.
Therefore in general, strategic thinking can be viewed as a
process which involves thinking and acting on the basis of a set Deeper / Improved
of assumptions and anticipated action alternatives. Communication
a) Of others views
b) Of what the firm is
V. STRATEGIC MANAGEMENT
doing/planning and
Strategic Management is a broader term than strategy. And
also it is a process which includes environmental analysis of the Why
organization by the top managers for the purpose of strategy
formulation and the plan of strategy implementation and
controlling.
Strategic management is a collection of ongoing activities of
strategic analysis, strategy creation, implementation and
monitoring. It systematically organizes the resources in align Greater Commitment
with vision, mission and strategy throughout the organization. a) To achieve objects
Strategic management doesnt predict the future, but prepares the
organization for it by knowing the exact steps to implement b) To implement
strategic plan. strategies
Initially strategic management was a part of strategic c) To work Hard
planning which is now a main instrument of it. Strategic planning
is incorporated with strategic management which unites both
planning and management in the same process (Porth, 2002)
Now strategic management has become one of the most
prominent areas of management. It consist a comprehensive
collection of management actions which supports company
managers to keep the organization consistent with the THE RESULT
environment and shows the correct path of development (Jones et All managers and employees
al. 1981). on a mission to helps firm
Strategic management in an organization focuses on the succeed.
issues of creating and sustaining competitive advantage (bowman
et al. 2002). It is a process and a path guiding actions all over the
organization (Dess et al. 2007). It is a collection of actions
consists of organizational analysis, decisions and actions to
create and sustain competitive advantages. These competitive Figure 01: Benefits of Strategic Management
advantages support an organization to explore opportunities and
minimize threats from the environment. Figure 01 illustrates the benefits which can be gained by
Therefore more generally strategic management is a engaging in strategic planning and management. Though
comprehensive ongoing process which involves determining the enhanced communication or through dialogue and participation,
mission and the objectives of the organization within the internal managers and employees can support the organization to
and external environment. successful strategic management. All the firms need to be helped
by employees to successfully determine the mission (Fred, 2011).
A. Benefits of Strategic Management Strategic management process motivates all managers and
Strategic Management makes an organization to be more employees to be dedicated to the organization.
proactive, rather than reactive to initiate and influence activities Very first the communication within the company should be
to control by its own in molding its own future. Today most of developed. Therefore the employees can be able to know what
the organizations has recognized and realized the benefits of the company is doing, how the goals can be achieved and then
strategic management (Fred, 2011). they can make a greater commitment for the organization
Back in history, formulating sound strategies by using success. Then the managers and employees can understand each
systematic, logical and rational approach to strategic choice was other and become more hardworking and creative. With the
the main benefit of the strategic management (Fred, 2011).
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efforts of the all employees the organization can be more responsibilities. Strategic planning process is a very
successful (Fred, 2011). comprehensive process which requires a great deal of strategic
More Precisely the benefits of strategic management are in thinking. Strategic management helps an organization to
two ways; financial benefits and non-financial benefits. All the determine its mission and objectives through creating &
improvements in the sales, profitability and productivity include sustaining competitive advantage. Today the organization has
in financial benefits. A sound strategic management can lead an realized the benefits of strategic management does to an
organization to realize its mission and objectives of the company enterprise. The article has briefly explained the financial and
(Fred, 2011). non-financial benefits of strategic management towards the
There are non-financial benefits too. They are listed as organization.
follows; (Fred, 2011)
It enhances the awareness of competitors strategies
threats from the environment and employee REFERENCES
productivity. [1] Andrews, K., (1980), the concept of corporate strategy (2nd Edition), Dow
Helps to avoid resistance to change and explore more Jones Irwin.
opportunities. [2] Ansoff, H.I., Business Strategy: Selected readings Baltimore, Md: Penguin
Enhances the problem-avoiding ability of the Books 1969.
[3] Bowmal, E., Singh, H. and Thomas, H. The domain of strategic
organization by improving interactions among managers management: History and evolution, Sage, 2002.
at different levels of the hierarchy. [4] Chandler, A. Strategy and structure: Chapters in the history of American
It brings order and discipline to the organization. industrial enterprise. Cambridge Mass: MIT Press, 1962.
It develops a framework to coordinate and control the [5] Dess. G., Lumpkin, G. and Eisher, A., Strategic management, 3rd ed. New
activities in an organization. York, Mc Graw- Hill, 2007.
It enhances the communication and the interaction [6] Drucker, P. The practice of management, New York: Harper and Brothers,
1954.
between managers and employees.
[7] Fred, R.D., Strategic management: Concepts and case, 13th ed., Pearson
It develops the strategic thinking ability of all members Education, Inc, 2011.
in the organization [8] Jones, J., Application of decition support concepts to strategic management,
Journal of management education, 1981.
[9] Mintsberg, Henry, The rise and falls of strategic planning. Basic books,
VI. CONCLUSION 1994.
[10] Porth, S., Strategic management: A cross-functional approach. New Jersey:
Strategy is a very useful concept for an organization, since it Prentice hall, 2002.
has many variations. In this paper it has entailed some definitions [11] Von Neumann, J., Morgenstern, O., Theory of games and economic
of strategy used by different scholars and author has proposed a behavior, 2nd ed., Princeton: Princeton University Press.
new definition for the strategy as A strategy is a plan of actions
that one uses to formulate goals, objectives and means of
achieving those goals and objectives. Strategic planning is a AUTHORS
road map for an organization which helps to manage the
First Author H.K.S. Hansini Athapaththu, A graduate of
enterprise, especially if strategic plan can successfully deploy
University of Sri Jayewardanapura, Nugegoda, Sri Lanka, E
throughout the organization. Strategic thinking and strategic
management are more important aspects of senior managements mail: suseemahansini0077@gmail.com
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 128
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Abstract- Hypertension is diagnosed on the basis of a persistently therapy, In patients with worsening end-organ damage, despite
high blood pressure(140/90). Traditionally, this requires three adequate blood pressure control on office blood pressure
separate sphygmomano-meter measurements at one monthly measurements, To exclude white coat hypertension, To assess
intervals. Ambulatory BP monitoring devices are usually adequacy of blood pressure control over 24 hours in patients at
programmed to take readings at set intervals; 1530 minutes particularly high risk of cardiovascular events, in whom rigorous
during the day and every 3060 minutes at night, to obtain control of blood pressure is essential (e.g. diabetes, past stroke),
numerous measurements while limiting interference with activity In deciding on treatment for elderly patients with hypertension,
or sleep. In patients with suspected syncope or orthostatic hypotension, In
The subjects included in the study were monitored by patients with symptoms or evidence of episodic hypertension, In
ABPM for a continuous period of 24 hrs and their 24 hours mean hypertension in pregnancy.
blood pressure interpretation was categorized into two different Therefore this study was planned to evaluate medical
groups viz high normal (115-130/75-80) and normal (<115/75). personnel who have their blood pressure (as measured by
Comparing the mean ABPM parameters of two groups, it was sphygmomanometer) controlled on antihypertensive drug by
found that Day and Night time average SBP & DBP were ambulatory blood pressure monitoring.
significantly higher in high normal group.
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The first group consist of those whose BP were between III. OBSERVATIONS AND RESULTS
115-130/75-80. This was considered high normal group.[5] A to total of 50 medical personnel (medical and
Second group consist of those whose BP were <115/75. paramedical) age between 18-65 yrs of either sex were recruited
This was considered normal group. and evaluated. Of total, 32 had Normal and 18 had High
Type of the instrument used for clinical blood pressure normal blood pressure with prevalence being 64.0% and 36.0%,
recording- Portable mercury sphygmomanometer with respectively (Fig. 1).
calibration interval of 12 months and check interval of 6 months.
Prevalence of high normal BP
Investigations:
Urinary protein creatinine ratio
Fundus Examination
ECG Normal
Chest X-ray High normal
36.0%
AMBULATORY BLOOD PRESSURE MONITORING
(METHODS AND CRITERIA):
CONTEC 06 C Fully automated ABPM was used to
measure blood pressure in 24-hour cycles. These 24-hour
measurements are stored in the device and are later interpreted by
the physician. These monitors use the oscillometric technique.
The monitors are typically programmed to take readings every l5 64.0%
to 30 minutes throughout the day and night. At the end of the
recording period, the readings are downloaded into a computer. Fig. 1. Prevalence of high normal BP among medical
Standard protocols are used to evaluate the accuracy of the personnel
monitors, and approved devices are usually accurate to within 5
mm Hg of readings taken with a mercury sphygmomanometer. The ambulatory blood pressure monitoring (ABPM)
findings viz. day time avg. BP, night time avg. BP, 24 hrs avg.
Analysis of variables between 2 groups: BP, day time BP load, night time BP load and circadian rhythm
Depending on the ABPM readings, study population was of BP at night of two groups at admission are summarized in
categorized into two groups. Table 1 and also shown graphically in Fig. 2 to Fig. 7,
Those with 24 hours average BP>115-130/75-80 and Those respectively. Comparing the mean ABPM parameters of two
with 24 hours average BP<115/75. groups, t test revealed significantly different and higher day time
These two groups were analyzed for day and night time SBP (117.20 10.56 vs. 127.67 5.08, t=3.94; p<0.001) and
SBP & DBP. DBP (68.30 6.61 vs. 81.97 3.71, t=8.06; p<0.001) in high
normal group as compared to Normal group. Further, the day
Statistical analysis time SBP and DBP in high normal group was 8.2% and 16.7%
Continuous data were summarized as Mean SD while higher respectively as compared to Normal group.
discrete (categorical) in no. and %. Continuous groups were Similarly, the night time SBP (107.37 10.45 vs. 115.64
compared by independent Students t test while categorical 4.72, t=3.17; p=0.003) and DBP (62.03 6.94 vs. 72.95 4.00,
groups were compared by chi-square (2) test. A two-sided (=2) t=6.11; p<0.001) in high normal group was significantly higher
p value less than 0.05 (p<0.05) was considered statistically and 7.2% and 15.0% respectively as compared to Normal group.
significant. All analysis was performed on SPSS (PSAW,
windows version 18.0) software
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 130
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80.00
(6.32 7.41 vs. 21.08 12.09, t=5.37; p<0.001) was 60.00 Normal
significantly higher and 70.0% in high normal group as 40.00 High normal
compared to Normal group. 20.00
The night time mean BP load of both SBP (25.46 23.58 0.00
vs. 58.01 29.02, t=4.31; p<0.001) and DBP (8.69 12.94 vs. SBP DBP
40.40 28.80, t=5.37; p<0.001) was significantly higher and Groups
56.1% and 78.5% respectively in high normal group as compared
to Normal group. ***
p<0.001- as compared to Normal
Fig. 2. Day time avg. BP of two groups.
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 131
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40.00
Mean
60.00
Normal 30.00
40.00 Normal
High normal
20.00 High normal
20.00
0.00 10.00
SBP DBP 0.00
Groups SBP DBP
Groups
**
p<0.01 or
*** ***
p<0.001- as compared to Normal p<0.001- as compared to Normal
Fig. 3. Night time avg. BP of two groups. Fig. 6. Night BP load of two groups
Mean
80.00
6.00
60.00 Normal Normal
40.00 High normal 4.00 High normal
20.00 2.00
0.00 0.00
SBP DBP SBP DBP
Groups Groups
*** ns
p<0.001- as compared to Normal p>0.05- as compared to Normal
Fig. 4. 24 hrs avg. BP of two groups. Fig. 7. Circadian rhythm of BP at night of two groups.
pressure monitoring.
Normal
10.00 A study by Chavanu K, Merkel J, Quan AM[6], showed
High normal
5.00 that Ambulatory blood pressure monitoring is an effective
method for the accurate diagnosis and management of
0.00 hypertension and may positively affect clinical outcomes of
SBP DBP
patients with other risk factors for cardiovascular events as was
Groups
seen in our study which fully evaluated the hypertensive subjects
ns in order of 24 hours averge, day time and night time SBP and
p>0.05 or ***p<0.001- as compared to Normal DBP and the circadian variation in the blood pressure.
Fig. 5. Day BP load of two groups. Echeverria RF, Carbajal HA, Salazar MR, Rioudet B,
Rechifort V and Quaini M[7], showed that the prevalence of
high normal blood pressure was 6.62%, but our study was done
in general population and using clinical blood pressure
instruments while our study was done on medical personnel and
using ambulatory blood pressure monitoring which showed
prevalance of 36% . So more studies has to be done in this field
among the medical personal using Ambulatory blood pressure
monitor.
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 132
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Data regarding blood pressure control (as measured by care: a modelling study ", The Lancet, 24 August 2011. Retrieved 24
August 2011.
ABPM) is very less in our country more so in medical
[3] Joint National Committee on Detection, Evaluation and Treatment of
personnels. We planned this study to answer our question Hypertension. The sixth report of the Joint National Committee. Arch Intern
regarding control of blood pressure (as measured by ABPM) on Med 1997; 157: 2413- 2446.
various drugs and their combination. [4] Guidelines Subcommittee. World Health OrganizationInternational
Society of Hypertension guidelines for the management of hypertension. J
Hypertens 1999; 17: 151-183.
V. CONCLUSION [5] National heart foundation and High blood pressure research council of
Australia Ambulatory blood pressure monitoring consensus committee,
Prevalence of high normal blood pressure (as mesaured by ambulatory blood pressure monitoring retrieved from Australian Family
ABPM) among the hypertensive medical personal controlled on Physcian vol. 40, No. 11, Nov. 2011.
drug was found to be 36%. [6] Chavanu K, Quan AM et al; Role of ambulatory blood pressure monitoring
in the management of hypertension, Am J Health Syst Pharma 2008 Feb1;
Prevalence of normal blood pressure (as mesaured by 65(3):209-18.
ABPM) among the hypertensive medical personal controlled on [7] Echeverria RF, Carbajal HA et al; Prevalence of high normal blood pressure
drug is found to be 64%. and progression to hypertension in a population sample of La Plata;
24 hours average SBP and DBP as well as day time average Medicine (B Aires) 1992;52(2):145-9.
and night time average SBP and DBP was found to be
significantly higher in high normal subjects than the normal
subjects. AUTHORS
Day time mean SBP load and DBP load was found to be First Author Abhishek Singh, Assistant Professor, Department
higher in high normal group than normal group. of Medicine, K.G.M.U., Lucknow., e-mail I.D. :
Night time mean SBP load and DBP load was found to be docabhishek23@rediffmail.com
higher in high normal group than normal group. Second Author Krishna Kumar Sahani, Senior Resident,
The circadian rhythm of both SBP and DBP at night did not Department of Medicine, K.G.M.U., Lucknow. ., e-mail I.D. :
differed between the two groups. krishraj.sahani@gmail.com
Third Author Akshyaya Pradhan, Assistant Professor,
Department of Cardiology, K.G.M.U., Lucknow.
REFERENCES Corresponding Author Akshyaya Pradhan, Assistant
[1] Chobanian AV, Bakris GL, Black HR et al. (December 2003). "Seventh Professor, Department of Cardiology, K.G.M.U., Lucknow., e-
report of the Joint National Committee on Prevention, Detection, mail I.D : akshyaya33@gmail.com
Evaluation, and Treatment of High Blood Pressure". Hypertension 42 (6):
120652.doi:10
[2] Kate Lovibond, Sue Jowett, Pelham Barton, Mark Caulfield et al. "Cost-
effectiveness of options for the diagnosis of high blood pressure in primary
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Abstract- Mother to child transmission of HIV (MTCT) remains and Nyanza region in western Kenya has a HIV prevalence of
a significant public health problem in Western Kenya. Male 15.1% with a high MTCT rate of 15% (2). In Kenya, only 10-
partner testing at the antenatal clinic (ANC) has been cited as a 16% of pregnant women are accompanied by their male partners
key strategy to reduce MTCT. The Western Kenya region has a to the ANC for couple testing (3,4). This figure is even lower in
high MTCT rate of 15% but low rate of testing for men at the the Western part of the country where only 8% of men have been
ANC. We sought to describe the strategies for improving this reported to visit the ANC for couple testing (5).
low level of male partner testing. We conducted a facility-based Some of the socio-demographic reasons cited for this low
cross sectional study in four health centres between February and involvement include women who get into relationships or
April 2015. We interviewed women who were aged 18 years marriage at young age, lack basic education, are unemployed
and had a living child aged 12 months, who were attending with little income or are in marriage or relationship with men
immunization clinic at the four health centers. A pre-tested who lack basic education and have no employment (6,7,8,9).
standardized questionnaire was used to retrospectively collect Health system related factors have also been reported including
information on strategies to improve male partner HIV testing at male unfriendly ANC staff who are predominantly female and
the ANC. Data was analyzed using Epi Info7. We performed who treat the few men visiting ANC in an unpleasant manner and
descriptive statistics and further calculated prevalence odds ratios the fact that men are invited to attend the ANC verbally by their
(PORs) and their 95% confidence intervals (CI) and factors with partners, a process that most men do not take seriously (8,10,11).
p-values 0.05 were considered statistically significant.We Long waiting time at the ANC (12) and scheduling of ANC visits
interviewed 216 participants, whose mean age was 26.1 years during the week days when men are busy at their work places
(5.5 years). There were 119 (55%) who had attained post also discourages their attendance (13,14,15). Cultural ideologies
primary education, 32 (15%) were employed, 189 (87.5%) were have been reported to discourage men from attending the ANC.
married and 204 (94.4%) had attended public health facilities for Many men fear attending ANC to avoid being labelled as weak
ANC services. There were 31 (14%) women whose male partners or dominated by the partner (8,10,14) and they would prefer
had accompanied them to the ANC and undertook a HIV test. testing at alternative sites (4,16). Other men believe their role is
Formal invitation of the men to attend ANC (POR 3.1, CI=1.1- simply to provide financial support to the woman to enable her
8.3) was associated with male partner HIV testing. Few men attend ANC (14), while others believe the womans status will be
tested for HIV at the ANC. Formal invitation of the men to similar to theirs so there would be no additional benefit in them
attend ANC should be implemented as a strategy to improve testing for HIV at the ANC(17,18). Since MTCT is still a
male partner HIV testing at the ANC. significant public health problem in Western Kenya, we
conducted a study with an aim to describe the strategies for
Index Terms- Male involvement, ANC, MTCT, Kenya improving male partner HIV testing.
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the four health centers. Further eligibility criteria required the County Health Management Team to conduct the study in the
woman to have been in a relationship or marriage with an adult selected health facilities. This study had minimal risk to the
male during pregnancy; she should have made at least one ANC participants and we obtained written, informed consent from all
visit during pregnancy and should have been a resident of the participants.
sub-county for the entire period of pregnancy and delivery of the
child.
Sampling Procedures III. RESULTS
The total sample size was calculated using Cochrans We recruited 216 participants. They had a mean age of 26.1
formula for representative sample size for proportions (19). We years (5.5 years). There were 189 (87.5%) who were married,
made the assumptions that: prevalence of male partner with a mean age at time of marriage of 20.9 years (3.8 years).
involvement in EMTCT was 15% (20) with 5% precision of the Majority of the women (94.4%) had attended ANC in public
study and 95% confidence level. After adjusting for 10% non- health facilities. There were 134 (62%) women who were
response rate, we obtained a sample size of 216 participants. Protestants and 50 (23%) were Roman Catholics. There were 31
Systematic random sampling was used to select participants for (14%) women whose male partners had accompanied them to the
interview from the daily entries in the MCH register and exit ANC and agreed to undergo HIV testing
interviews were conducted. The women reported the following as the reasons for the
Data Management and Analysis low male partner HIV testing during the ANC: Fear of HIV test
A pre-tested standardized questionnaire was used to collect among the men was reported by 60(28%) women while 49 (23%)
information on the strategies to improve male partner HIV felt that men dont attend ANC because they believe it is the
testing at the ANC. Data was entered and cleaned in Microsoft womans responsibility and 31 (14%) reported that men were
Excel 2010 and analyzed using Epi Info7. We calculated unable to visit ANC due to busy work schedule. Fifteen (7%)
proportions for categorical variables while means and medians women reported that some staff in the clinics were unfriendly,
were calculated for continuous variables. Using male partner inconsiderate and sometimes harsh to the men while fear of a
testing at during the ANC period as the outcome variable, we positive status among men who have multiple sexual partners
further calculated prevalence odds ratios (ORs) and their 95% was reported by 16 (7%) of the women. Eleven (5%) women
confidence intervals (CI) for the suggested strategies to improve reported that men see no benefit of testing for HIV at the ANC
male partner HIV testing at the ANC and reported factors with p- because they believe the womans status will be similar to theirs,
values 0.05 which were considered to be statistically while 2 (1%) women felt that women need to inform the men and
significant. remind them on the need for them to test for HIV at the ANC.
Ethical Approvals and Considerations There were 32 (15%) women who reported that men dont test at
Ethical clearance for this study was obtained from Jaramogi the ANC because they were ignorant.
Oginga Odinga Teaching and Referral Hospital Ethical Review
Committee. Additional permission was granted by the Kisumu
Table 1: Suggested reasons for low male Partner HIV Testing in Western Kenya, 2015
Reason Frequency Percent
Men fear undergoing HIV test 60 28
Men believe it is the womans responsibility to attend ANC and get tested 49 23
Men are ignorant on need for them to test at the ANC 32 15
Busy work schedule discourages men from visiting ANC 31 14
Men with multiple sexual partners fear they will be found out 16 7
The ANC is not male friendly 15 7
Men believe womans status is a proxy of their ( man) own status 11 5
Some women dont remind the men to attend ANC 2 1
The following strategies were suggested by the women to should be formally invited to the ANC using an invitation card.
improve male partner testing at the ANC. There were 78 (36%) There were 17 (8%) women who suggested that more male staff
who suggested that health promotion targeting men should be should be deployed to the ANC to make it male friendly and 12
provided by community health volunteers so as to improve (6%) suggested that ANC visits should be scheduled during the
awareness among the men and inform them of the need for them evenings or weekends when men are not busy at their work
to visit the ANC with the women and undergo a HIV test. places. The remaining 62 (29%) women gave no suggestion. On
Twenty four women (11%) suggested that couple testing at the bivariate analysis, formal invitation of men using a card (POR
ANC should be promoted and women who are accompanied by 3.1, CI=1.1-8.3) was statistically significant.
the man should be attended to first, while 23 (11%) felt that men
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Abstract- Objective: The objective of this study was to assess adaptation launched for initiating, promoting and maintaining
Challenges inhibiting the flourishing of entrepreneurial economic activities for the production and mobilization of
competencies of MSEs in Jimma zone. monetary resources.
Methods: An enterprise based cross sectional study was For the economic growth and technological changes of any
done using both quantitative and qualitative methods in three country entrepreneur plays an important role social and economic
purposively selected districts/towns of Jimma Zones namely development of the society is directly depends upon the
Agaro, Limu Kossa, and Shebe Sombo. A total of 183 development of the entrepreneur (Kaur & Bains, 2013)
entrepreneurs from both Micro and small enterprises were The strategic role of the entrepreneur as an agent of
randomly sampled for quantitative and 16 FGDs and 9 Key economic transformation in society is visible in employment and
informant interviews were conducted to describe and determine wealth generation, stimulation of indigenous entrepreneurship or
the outcome of interest. The data were analyzed using SPSS 20 promotion of entrepreneurial culture.
and qualitative data was managed by transcribing verbatim on Nowadays entrepreneurial development is considered as the
daily basis. best way to leave recession and if firms can provide the highest
Results: All of the respondents were aged 19 years and degree of value for their costumer, they will both enjoy their own
above with mean age of 26.84.2. 71% of them were male competitive advantage, position themselves in the market, and
managers indicating gender inequality in business leadership of also among their target customers (Hill and Hultman,
micro and small enterprises of the zone. Majority 124(67.8%) of 2006)(Kolabi, Hossein, & Salamzadeh, 2011)
them were from families having no business. With rapid development of economics, entrepreneurs are
The qualitative data reveals that there is poor opportunity, being paid more and more attention too. The famous American
relationship, strategy and commitment competencies among the economist J A Schumpeter has illustrated in the theory of
leaders of MSEs. The logistic regression analysis reveals that Economic Development that, entrepreneurs manage production
many clusters of competencies were affected by factors like with all kinds of factors of production and change their way of
educational qualification, prior experiences, management and combination, which make economics increase quickly. American
technical trainings, particularly, before the start of the business, economic historian Gilbert C Fite also believed that, the U.S.
sex, etc. Majority of the entrepreneurs also identified enterprise couldnt have been the first in the world with enough natural
density, lack of access to appropriate technology, lack of access resources but without organization and management of
to finances, inappropriate location which is specially not entrepreneurs. For those reasons, researchers have changed their
controlled directly by themselves (since the place of work is study direction from an aspect of resources to an aspect of
selected and given to them by MSEDAs), inflation, unfavorable entrepreneurs competence. They do relative research on
market condition and business environment and prior entrepreneurs competence mainly from three aspects: inscape of
experiences as the major roadblocks inhibiting the flourish of entrepreneurs competence, managed action and the relationship
their competencies. Regarding the level of supports extended by between entrepreneurs competence and enterprise performance
MSEDA practitioners, TVET & OCSSCO, majority, 107(58.5%) (Yang Jun, 2005) (Wensong, 2011).
are very much satisfied with the licensing processes, 87(47.4%) Competency as a term has been used in management
with getting place of work, 115(62.9%) with auditing services, literature for a long time now. However, its role and importance
102(55.8%) with the technical training they were provided with has been understood only in the recent decade. It is defined as the
sum of experiences, knowledge, skills and attitude which we
acquire during our life time for effective performance in a task or
I. BACKGROUND OF THE STUDY job. Competency is the concept of knowledge, skills and attitude
of the person. The term competency has a number of definitions
E ntrepreneurship is very important for economic
development. Bheemappa (2003) described entrepreneurship
as the creative and innovative response to the environment,
which depends on the specific task to be performed by
individuals under different conditions. These definitions differ on
which can take place in variety of fields of social endeavor different counts. Boyatzis (1982) conducted a study on
business, industry, agriculture, education, social work and it is approximately 2000 managers and he identified and assessed
potent limiting factors in economic development. Ganeshan hundred potential competencies. He defined competency as: A
(2001) stated that entrepreneurship is the capacity for innovation capacity that exists in a person that leads to behavior that meets
and caliber to introduce innovative techniques in the business the job demands within the parameters of organizational
operations. Thus, entrepreneurship is a purposeful behavioral environment, and that, in turn brings about desired results.
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Spencer & Spencer (1993) define competency as an Micro Enterpriseis defined as an enterprise with
underlying characteristic of an individual that is casually related numbers of its employees (including the owner or family) are not
to criterion referenced effective and/or superior performance in a greater than 5 & total asset is 100,000 ETB for industrial sector
job or situation. This indicates that there are certain identifiable and 50,000 ETB for service sector. In a similar manner, an
traits that constitute a persons characteristics and level of enterprise with 6-30 employees & total asset 100,001
performance in a job situation. Underlying characteristic means 1,500,000 ETB for industrial sector and 50, 0001500,000 ETB
the competency is a fairly deep and enduring part of a persons for service sector is defined as Small Enterprise(FDRE,
personality and can predict behavior in a wide variety of 2013).
situations and job tasks. Casually-related means that a
competency causes or predicts behavior and performance.
Criterion-referenced means that the competency actually predicts III. THE ENTREPRENEUR
who does something well or poorly, as measured on a specific Entrepreneur is a highly respected person in the developed
criterion or standard. world. The word entrepreneurship conjures up visions of active,
It is commonly understood that competency is a purposeful men and women accomplishing significant
combination of knowledge, skills abilities and other achievements. The entrepreneurs are important agents of change
characteristics which are required for successful job in every society, yet they present the most enigmatic characters
performance. in the drama of economic development, particularly in the less
Practically, Competency is a broad concept. It helps a developed world. Although it is an entrepreneur's purposive
person to perform better in practical form. It is the transformation activity that bridges the gap between plan and reality, the precise
of knowledge, skills and attitudes to performance for a particular way that this agent of change acts is often unpredictable. The
task successfully. Competency is helpful in distinguishing the entrepreneur also plays a mediating role between the larger
superior performers from other performers society and his economic unit. Entrepreneurial action is likely to
Entrepreneurial competency is defined as the individual initiate changes for both the economic unit and its environment.
characteristics. Entrepreneur is a person who undertakes risk for Entrepreneur may be either an individual or a group; both are
gaining profit in the business venture. equally significant in the development of less developed
According to Baum & Locke (2004) Entrepreneurs must countries. Entrepreneur generally belongs to a family, a kin
also be willing to experiment different strategies in the pursuit of group, a caste, a religious sect, a political party, and so on. These
profitable outcome because it is the entrepreneurs energy, are certain determinants and constraints, which shape the nature
creativity & motivation that trigger the production of superior of entrepreneurial activity.
product & services. Entrepreneurs identify and develop business and create
Therefore, entrepreneurship requires certain strategic skills opportunities for its success. Entrepreneurs are risk takers. They
for profitable functioning. Entrepreneurship Development are people who recognize the strengths, weaknesses,
Institute of India, Ahmadabad, identified certain factors which opportunities and threats of their enterprise and build opportunity
are required by entrepreneur to give the success to the business for its success.
as well as to the economy of the country. These factors are Their decisions are based on better information and
initiative, see and act on opportunities, persistence, knowing, experience than that of an average observer. What others
concern for high quality of work, commitment to work contract, perceive as risky may not be as great a risk to those who bare
persuasion, efficiency orientation, systematic planning, problem more information and skills. (Colombo Plan Staff College 1998).
solving, self-confidence, assertiveness, use of influence Entrepreneurs are free thinkers, who combine a large
strategies, monitoring and concern of employee welfare. element of creativity and experience. They have knowledge of
Entrepreneurial competency thus becomes critical for an SME to economic, social, psychological and demographic trends. They
become competitive in the globalized world. have experience and are comfortable with new technology and
Entrepreneurs play a very important role for business change. They are the agents of change who can effectively live
survival and its success. For the survival and success of the with uncertainty and stimulate and implement lasting changes
business entrepreneurs required skills and abilities. Bird (1995) (Raj. 1998).
maintains that entrepreneurial competencies are defined as Entrepreneurs are the leaders of industrial development.
underlying characteristics possessed by a person which result in They are necessary to create employment and to contribute to the
new ventures creation, survival, and /or growth. Man, Lau& economic growth.
Chan (2002) refer to these competencies as the total ability of
the entrepreneur to perform this role successfully. Several studies
have found positive relationship between existences of IV. ENTREPRENEURIAL COMPETENCY
competencies and venture performance.(Kaur &Bains, 2013)
A pertinent starting point in conceptualizing entrepreneurial
competencies is to first define competence. (Inyang,
II. CHARACTERISTICS OF MICRO & SMALL ENTERPRISES 2009).Competency as a term has been used in management
literature for a long time now. However, its role and importance
Definitions of micro and small scale enterprises and their has been understood only in the recent decade.
constituent differ among several countries. But, according to the It is defined as the sum of experiences, knowledge, skills
Federal Democratic Republic of Ethiopia, Micro & Small and attitude which we acquire during our life time for effective
Enterprises Agency,
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performance in a task or job. Competency is the concept of understood that competency is a combination of knowledge,
knowledge, skills and attitude of the person. The term skills abilities and other characteristics which are required for
competency has a number of definitions which depends on the successful job performance. Practically, Competency is a broad
specific task to be performed by individuals under different concept. It helps a person to perform better in practical form. It is
conditions. These definitions differ on different counts. Boyatzis the transformation of Knowledge, skills and attitudes to
(1982) conducted a study on approximately 2000 managers and performance for a particular task successfully. Competency is
he identified and assessed hundred potential competencies. He helpful in distinguishing the superior performers from other
defined competency as: A capacity that exists in a person that performers.(Kaur and Bains,2013)
leads to behavior that meets the job demands within the Entrepreneurial competencies therefore, include those
parameters of organizational environment, and that, in turn clusters of related knowledge, attitudes, and skills which an
brings about desired results (Kaur &Bains, 2013) entrepreneur must acquire through managerial training and
Spencer & Spencer (1993) define competency as an development to enable him produce outstanding performance,
underlying characteristic of an individual that is casually related and maximize profit, while managing a business venture or an
to criterion referenced effective and/or superior performance in a enterprise (Inyang, 2009).
job or situation. This indicates that there are certain identifiable Entrepreneurial competency is defined as the individual
traits that constitute a persons characteristics and level of characteristics. Entrepreneur is a person who undertakes risk for
performance in a job situation.(Izquierdo, Deschoolmeester, gaining profit in the business venture.
Salazer, 2005) According to Baum & Locke (2004) Entrepreneurs must
Underlying characteristic means the competency is a fairly also be willing to experiment different strategies in the pursuit of
deep and enduring part of a persons personality and can predict profitable outcome because it is the entrepreneurs energy,
behavior in a wide variety of situations and job tasks. Casually- creativity & motivation that trigger the production of superior
related means that a competency causes or predicts behavior and product & services(Kaur and Bains, 2013).
performance. Criterion-referenced means that the competency
actually predicts who does something well or poorly, as
measured on a specific criterion or standard. It is commonly
MSEs Entrepreneurial Competencies: Conceptual Framework
Opportunity
Factors Individual competency
Enterprise density Characteristics Relationship
Prior Competency
Inflation
Conceptual
Interest rate Program Factors
Experience Competency
Tax Management Organizing Entrepreneurial
Business Business Competency
trainings Competencies
environment Commitment
Access to finance Competency
Technical Strategic
Market Condition Competency
Competition training Learning
Business site location competency
Access to appropriate Competency of
Initiatives
technology
Competency of
Persistence
Competency of
Information
seeking
Concern for
high Quality
Efficiency
orientation
Problem solving
Self Confidence
Assertiveness
Persuasion
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One of the key factors inhibiting SME development is higher interest rate makes dealing with banks to get access to
taxation (Robertson, 2003). If tax rate is high, they reduce the finance very difficult. In this regard a significant number of
profit incentives drastically. The complexity of tax system respondents, 110(60.1%) reported that their business is
further raises the cost of doing business, as many SME dont negatively affected by higher interest rate. The qualitative data
have the capacity to administer tax returns and thus need to indicates the interest rate of the micro finances are very high
consult experts for a fee in order to meet these legal requirements which discourage them to apply for the loans even if they are in
(University of Pretoria, 2009) badly needing it.
116(63.4%) of respondents rate the higher taxation as the
sixth challenge for their business to succeed. On the other hand,
Response
Barrier Yes No
Enterprise density(1) 140(76.5%) 43(23.5%)
Inflation(5) 118(64.5%) 65(35.5%)
Higher Interest rate(7) 110(60.1%) 73(39.9)
Higher tax(6) 116(63.4%) 67(36.6%)
Business environment(5) 118(64.5%) 65(35.5%)
Inaccessibility to finance(4) 125(68.3%) 58(31.7%)
Unfavorable Market Condition(3) 133(72.7%) 50(27.3%)
Fierce competition (4) 125(68.3%) 58(31.7%)
Inappropriate location(2) 135(73.8) 48(26.2%)
Source: Own Calculation from Collected Data set
into valuable knowledge developed through direct experience.
Moreover, respondents were asked to write down some This experience can build reputations that help to secure
other barriers and indicates the following; resources and assets that can be utilized in identifying and
The project involving community participation makes exploiting subsequent ventures. SMEs that start their businesses
us lag behind and consumes lots of our time without any prior business ownership experience have to go
Many enterprises working similar works (this is similar through the costs of gaining entrepreneurial skills while
to the enterprise density discussed above) implementing the idea (University of Pretoria, 2009)
Frequent interruption of power About half of the respondents, 162(88.5%) indicated that prior
Cost of spring development is so low whereas the cost experience is significantly affecting their business to succeed.
labor is high 5.11 Entrepreneurial Supports
Corruption in bidding process Out of the total respondents, 134(73.2%) reported that they
Not being organized with members of same capacity on have got training from their respective Woreda/district Technical
the works of environmental sanitation, & Vocational Educational Training (TVET) center/College
5.9 Access to appropriate technology during the last three years. Out of this, 48.6% got skill training,
Globalization, technological sophistication, access to 3.8% leadership training, 8.7% training on saving, 16.4%
technology and technology and technological discoveries have received all aforementioned trainings (skill, leadership and
seen an increased numbers of businesses built on quality saving).
assurance, high- tech innovations and intellectual property Regarding the supports of Micro and small enterprise
(Nasser, et, al, 2003). SMEs need access to appropriate development agency extended to entrepreneurs, respondents
technology if they are to have competitive advantage (University were asked to indicate their level of satisfaction to some selected
of Pretoria, 2009) entrepreneurial supports. Accordingly, majority, 107(58.5%) are
131(71.6%) of the respondents consider as the major road blocks very much satisfied with the licensing processes, 87(47.4%) with
inhibiting the flourish of entrepreneurial competencies thereby getting place of work, 115(62.9%) with auditing services,
leading to many business shutdowns. 102(55.8%) with the technical training they were provided with
5.10 Prior Experience (table 5)
Entrepreneurial experience may be viewed as a significant
contributor to entrepreneurial human capital, as it can translate
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Table 6: Current competencies of directing & controlling by business start-up experiences, educational qualifications and
technical training before business start-up
business(1First)
Constant -1.438 .453 10.060 1 .002 .237
a. Variable(s) entered on step 1: Business start-ups, educational qualifications, technical training before business
this competency, the extent of the association between the
5.12.2 Thinking & Problem Solving technical training before business engagement and thinking and
This cluster of entrepreneurial competency deals with the problem solving competence is affected by the fact that those
ability of identifying and using logical, step-by- step plans and who took technical training before starting business were more
identifying and applying new and potentially unique ideas to likely to have 2.2 times more than those who didnt take the
reach the goals. According to the logistic regression analysis of training. In addition, the odds of having this competency was 1.3
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times more for those who have business start-ups experiences as (table 7).
compare to those who dont have business start-up expereicnes
Table 7: Current competencies of thinking & problem solving by business start-up experiences, and technical training before
business start-up
experience(Yes)
Constant -.925 .265 12.217 1 .000 .396
a. Variable(s) entered on step 1: P1q11.2, P1q13.
Source: Own Calculation from Collected Data set
probability of having this cluster of competency (need for
5.13 Need for Achievement achievement) 2.6 times more than those who didnt take the
The need for achievement cluster of competency include training. Moreover, those who have business start-up experience
such important competencies like initiatives, seing and acting on were 1.4 times more probalilty of having this cluster of
opportunities, information seeking, concern for high quality, competency than those who dont have. More importantly, the
commitment to work, efficiency orientation and persistence. extent of the association between between the need for
The basic aim of our analysis here is to describe the way in achievement and age group is affected by the fact that those
which the need for achievement vary by management training entrepreneurs falling under the category of young youths (19-24)
before the business, business start-up experience and age group. have the likelihood of possessing the need for achievement
From this analysis, we have come to know that the degree of 1.6times more than those whose age lies between 25-35
association between management training and need for years(table 8)
achievement is affected by the reality that those who took
management training before starting up the business have the
Table 8: Current need for achievement competence by business start-up experiences, management training before business
and age group
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[6] DANNA GREENBERG, KATE MCKONE-SWEET, H. JAMES WILSON, Problems And Policy Issues, The Ethiopian Economy: Structure, Problems
The New Entrepreneurial Leader: Developing Leaders Who Shape Social & And Policy Issues
Economic Opportunity, Published by Berrett-Koehler Publishers, 2011 [30] SZU-JU LIN & HUNG-JUNG CHANG(2011) A Study of Entrepreneurial
[7] DAVID RAE,( 2006) Entrepreneurial Learning: A Conceptual Framework Competence in Micro-Enterprises, TransWorld University, Taiwan
for Technology based Enterprise, Technology Analysis & Strategic
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[31] THOMAS W. ZIMMERER & NORMAN M. SCARBOROUGH,(2013) Ethiopia: Would subsidies matter? African Economic Conference 200911
Essentials of Entrepreneurship and Small Business Management, 5th 13 November,United Nations Conference Centre ,Addis Ababa, Ethiopia
edition, PHI Learning Private Limited
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And Beyond, 5th Edition, Printed In Canada
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AUTHORS
success First Author Shabudin Shenura (MBA), department of
[34] YOSEPH GEBREMARIAM (2011) Achievements and Challenges of Management, Jimma University Jimma, Ethiopia, email
Micro and Small Enterprises in improving the Livelihood of the Poor: the
case of Two Sub Cities of Asella Town
selsebilshihab@gmail.com
[35] ZAFIR MOHD MAKHBUL(2011), Entrepreneurial Success: An
Second Author Ashenafi Haile (MA) department of
Exploratory Study among Entrepreneurs, 43600 UKM Bangi, Selangor, Management, Jimma University Jimma, Ethiopia, email
Malaysia, International Journal of Business and Management Vol. 6, No. 1 ashu21haile@yahoo.com
[36] ZUZANA BRIXIOVA & MTHULI NCUBE (2013), Entrepreneurship and Third Author Emnet Negash (MBA), department of
the Business Environment in Africa: An Application to Ethiopia Management, Jimma University Jimma, Ethiopia, email
[37] ZUZANA BRIXIOVA (2009) Fostering Development in an Era of negashemnet089@gmail.com
Financial and Economic Crises, Modeling determinants of SMEs in
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Abstract- This paper examines the training needs of extension agricultural extension agents to reach farmers scattered around
agents in Iraq agriculture, specifically, the practice of different the country with useful and practical information for increased
extension approaches, activities, methods and principal problems agricultural production. Training in any form is intrinsic to
of extension agents in their fieldwork. Training in any form is organizational effectiveness and efficiency. (B, O. Ovwigho,
intrinsic to organizational effectiveness and efficiency training. 2011) identified two major types of training programs - on the
The type of training given to an individual who is gainfully job training and pre- employment training. The agricultural
employed but requires certain knowledge and skills to improve sector contributes significantly to the building of the national
his efficiency. The purposes of this paper are 1) investigating the economy; as it provides food and jobs for the population, live it
training needs for extension agents to perform their work as almost 45% of the rural population in Iraq, and employs nearly
effectively, 2) suggesting the suitable extension method for the 20 % of the workforce (Ibrahim, 2009).
present agricultural extension service in Iraq, and 3) identifying Agricultural production in Iraq played a significant role, in
the primary functions and major problems of extension agents in achieving food security by implementing an oil-for-food
Iraq 4) identifying the training needs in these study according to agricultural sector, become further now provide sufficient
the areas of studies. In-service training of the Extension Agents quantities of food, to the population of Iraq and supports
is the call of the time. Training needs were assessed using the displaying food generally, especially for food supplies to
Borich Needs Assessment Model, This Model is designed around importing too much, and must be sure that the weight of food
the skills individuals and groups need to be effective in the future supplies and other support systems play, an important role in the
and are used for making human resources decisions. Through lives of the poor and food-insecure populations (Shehu, Patrick
trained Agricultural Extension Agents new agricultural & David, 2013).
technology can easily and favorably be transferred to clientele. Identifying training needs, the diagnostic phase of the
According to the centralized administration, the extension training process, as the doctor could not prescribe treatment
workers have being practicing mostly the training and visit before examining the patient and identify the type of disease, it is
system in a top-down Iraq. Due to the non-involvement of local difficult to identify persons covered by training, training
people in the extension program planning, implementation, and objectives, and program content, and the method can give him
decision-making process, the extension service developed training and objective assessment of the training activity without
inefficiently. Therefore, the extension workers, researchers, and precise and objective training needs. (Omoregbee, 2009).
local farmers should cooperate in the extension work, especially Agricultural extension plays an important role in rural
in the planning, implementation, and evaluation of the extension development; the success of agricultural extension work depends
program to develop the extension service in Iraq Agriculture. The on competency (knowledge & skills) of the extension agent, who
local farmers should be involved in the decision-making process is the critical element in all extension activities. Extension agents
because they are really facing the problems in their field. All should possess professional competencies in many areas, which
extension workers and subject matter specialists are now provide the critical skills and knowledge for them to be able to
interested in implementing PEA in the future in the agricultural perform the work assigned to them. As a result of the continuous
extension service. change in the knowledge and skills, extension agents need to
keep up with this change through training.
Index Terms- Training Needs, Agricultural Extension Officers,
Iraq.
II. AGRICULTURE E XTENSION IN IRAQ
Agricultural Extension saw a definite change after change in
I. INTRODUCTION Iraq 2003, when USA occupation of Iraq, after the restructuring
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recommendations, and solutions to the problems. The seeking training needs in the areas of composting, vermicomposting,
guidance in a simplified, and extended the role of agricultural green manuring/green leaf manuring, and crop rotations. There
extension to extension service includes all aspects of agricultural was no significant relationship between age, educational
production, as well as all matters relating to rural life, targeting qualifications, or service experience with identified training
rural women farmers, and young people (Saleh, 2011). needs. Findings from a study by Christine, Tarquini, Totura, and
Christa (2015) show that free recall questions may provide a less
inflated measure of accessible knowledge learned from school-
III. LITERATURE REVIEW based suicide prevention curricula. Evaluators and programmatic
3.1. Training Needs of Agricultural Extension Agents partners should be cognizant of this methodological issue and
The Extension Agents agreed that they needed training in 8 consider using a mix of assessment methodologies to determine
areas of their job descriptions. These were script writing students actual levels of knowledge after participation in
(M=3.17), audience analysis (M= 2.90), statistical analysis of gatekeeper training. Although gatekeeper training is effective at
field data (M=2.98), teaching/ communication skills (M=2.63), increasing knowledge, some question the effectiveness of these
Participatory Rural Appraisal (M=3.10), techniques for GMO programs due to high pre-training knowledge levels.
foods production ((M=2.60), computer appreciation/skills The top five competencies in need by Agricultural
(M=3.04) and use of multi-media projectors (M=3.27). However, Extension Agents included agricultural waste management
the Block Extension Supervisors excluded statistical analysis of (MWDS = 8.40); participatory technology development (MWDS
field data. Thus the valid training needs were 7. The training = 7.02); water conservation (MWDS = 6.73); integrated crop
needs agreed by both Extension Agents and Block Extension management (MWDS = 6.50); and soil erosion (MWDS = 5.82).
Supervisors should be addressed before any other needs. The human resource development programs should study how
(B.O.Ovwigho, 2011). Indicated overwhelmingly (90%) that they the top in-service areas can be addressed in training workshops.
would be willing to participate in in-service education via (Amirhossein and Zarafshani, 2008). Inducted the study of
distance education, yet few coordinators (22%) are currently (Saleh, 2015) the highest percentage was (94.6%) and (87) for
using distance formats for delivery. Incentives are needed for workers who have studied courses in agricultural extension, and
coordinators to use a wider variety of methods. Training for the lowest was (5.4%), and (5) of the workers who did not study
coordinators and startup funds could be used as incentives to courses in agricultural extension of the total workers, this
support creative and futuristic delivery of in-services, (Nikki L. indicates that the majority of extensions is considered courses in
Conklin, Laryssa L. Hook, Beverly J. Kelbaugh, Ruben D. agricultural extension.
Nieto), (2015). The findings of study (Halilu Emmanuel, 2012), shows that
The most important findings of study are: 1- The animal there is training needs for extension workers in ADP of Gombe
production field came at the first rank followed by bee keeping State, there are problems associated with extension service
and lastly the plant production field for male farmers while delivery. Based on these findings it is recommended that
female farmers rank the plant production as the highest priority extension workers should be encourage attending seminars,
field for training followed by bee keeping and animal production conferences, and additional courses in higher institution. Most of
is the third priority while food processing became the last priority them had favorable attitude towards their profession and majority
for training. 2- With respect to training needs in plant production of them were satisfied with their jobs. Senior officer and
field, the training in vegetables production was the priority of progressive farmers were most frequently used source of
female farmers followed by field crops then fruit trees. While for information. The VLEWs identified 61 training need items from
male farmers the fruit trees ranked firstly followed by vegetables 8 disciplines of which 34 were most important, 26 were
and the field crops were in the last priority. 3- Regarding the important and 1 item was adjusted not important. (Hemanga
priorities of training in animal production field, the poultry came Kumar Kalita, 2014).
first followed by cattle then the sheep for male farmers. While Results study (Mithal A. Salman, et, at,. 2012), showed that
female farmers have priorities were, sheep is the first priority the training needs for extension agents in the preparation of work
followed by poultry and the cattle came as last priority for them.( extension was immense, Also priorities of training needs for
A.N.H. Al Shadiadeh,2007). extension agents were at the center of "knowledge of the
Induct study (Mohammad Chizari, et, at, 2006). The years different type of plan extension work compared with the time,"
of residence in rural areas, educational level, and active as it was ranked first in terms of the need for training of the
participation in training courses influenced the level of training respondents, while the other axis " knowledge of work extension
needed. Training needs were different for native as compared to plan preparation " ranked last in terms of respondents needs. The
non-native extension workers and there was a negative professionals mostly preferred to participate in in-service training
correlation between the length of work tenure and need for courses to develop their competences including situational
training regarding sustainability. According to study (Dinesh analysis, reflective practice, project management, professional
Singh Yadav,et, at. 2013)The results revealed that the majority practice and systematic inquiry, respectively. Therefore, these
of extension workers reported medium to high training needs in courses can ensure their continuous professional development,
seven specific areas: biodynamic farming, homa farming, bio- (Mohammd, et, at, 2011).
rational pest management techniques, biological methods of pest According to (Aamel F. Al-Abassi, et, at,. 2009), it was
control, bio-fertilizer technology, record keeping certification found a need for training the extension workers in all extension
standards, and grading/packing and marketing of organic aspects and there are different priorities in the needs of the two
produce. The majority of extension workers reported low or no Governorate. It was also found that there were no significant
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 148
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differences in the training needs according to: age, race, gender, fruits, vegetable and flowers with the changing lifestyle and
academic level, specialization, position in extension, years of eating habits. (Khan et al., 2012). According (Manish Bajpai1, et,
employment, years of extension employment, place of job, and at,. 2007), the findings of the study indicate that the major areas
previous training. Majority (81%) of the extension agents of training needs of the rice growers were plant protection
reported lack of teaching equipments/facilities, poor linkages measures, seed treatment, fertilizer management and improved
between research and extension organizations (15%) and (3%) varieties of seeds. The study of (Hari Singh and Jeewan Ram Jat,
each reported mobility/funds and dispersion among the farmers 2014) suggest that Farmers may be trained regarding improved
were the major obstacles hampering extension agents in technologies of sesame crop through farmers training, field
developing educational program. The main difficulties identified demonstration and exposer visits etc. and availability of inputs at
by extension agents regarding technical services providing to reasonable cost at village level be ensured. Village level
farmers were lack of resources (29%), poor knowledge (24%) institutions may be strengthening more to boost up the
regarding improved agricultural technologies, illiteracy (16%) production of sesame in arid areas of Rajasthan.
among the farmers and communication problems (11%), The important training need areas identified in order of
(Arshad, et, at, 2010). importance are Soil Science, Entomology, Agronomy, Plant
Findings revealed that the mean age of the respondents was Pathology, Nematology and Horticulture. Correlation analysis
41.7 years. More than half (55.3%) of them holders of National has shown that age, service length, job performance and training
Diploma (ND) and about seventy two percent of the respondents exposure had a negative and significant correlation with training
had been working in extension service for 6 and 7 years. The needs. Thus, variables like age, service length, job performance
tasks performed by the extension staff ranged from advising and training exposure could be considered while conducting
farmers on improving methods of farming to new task on health training as these variables had significant correlation with the
issues such as campaign on HIV/AIDS. The study identified training needs of the respondents. (G. Nongtdu, et, at, 2012).
strong training needs for Edo State extension agents on Regarding assessment of technical competencies (agronomic
communication skills (X= 4.60), planning demonstration practices) needed by agricultural officers in the Punjab out of 14
(X=4.60), evaluation of trials (X= 4.57) and farmers training training needs of AOs the top three (most important) were: (1)
(X=4.56). The correlation analysis showed that education had the ability to describe the agronomic practices of minor crops
significant relationship many areas of the respondents training (DV=0.68) (2) the ability to advise about the plant protection of
needs: farmer identification (r= -0.190, p 0.05), nutrition and minor crops (mean=0.62); and (3) the ability to guide farmers
food utilization (r = 0.339, p 0.05), communication skills (r = about the seed rate of minor crops (DV=0.56). The training needs
0.190, p 0.05), planning demonstration (r = 0.190, p 0.05), with lowest importance levels included: (1) the ability to guide
recording and reporting (r = 0.260, p 0.05), evaluation of trials farmers about the seed rate of major crops (DV=0.21); (2) the
(r = 0.190, p 0.05 ), and rodents and pest control (r = 0.236, p ability to advice about the fertilizer requirement of major crops
0.05 ).( Omoregbee, F.E. and Ajayi, M.T.2009). (DV=0.36); and (3) the ability to guide about the irrigation
requirement of major crops (mean=0.45). (Khan et al., 2007).
3.2. Training needs of skills, knowledge related with Plant The results of (T. M. Madkour, et, at, 2009), showed that
sciences training needs of the vast majority (approximately 84%) of the
According (K. P. S. Rathore, G. S. Bangarva and Arvind respondents in this field were moderate and high. -Results of
Kumar Jhajharia, 2014), reveal that opuim growers required multi-correlation coefficient showed that the independent
more training needs in some of crucial training area viz; Plant variables collectively responsible for explanation 32% of the
protection measures, Method of lancing, New techniques for variation in the training needs of the agricultural Extensionists
latex collection, Opium storage, Quantity and method of respondents, in some of technologies of organic farming The
manure and fertilizer application and Time of lancing. The most important reasons not to apply the technologies of organic
Processing, Weed control management and Post-harvest farming in Kafrelsheikh governorate cold be ranked from top to
technology were least needed training areas of opium growers down as follows: Fragmentation of farm land tenure (60 %.),
about improved opium production technology. According to Lack of awareness of the farmers with these technologies (53%),
(Mohammed, et, at, 2012). Web diagram shows that AEOs Lack of extension activities in this area to educate farmers
urgently need in-service training to enhance their knowledge (40%), High cost of organic farming (30%), Nonexistence the
regarding horticulture. The horticulture is chosen keeping in inputs of organic farming (approximately28%), Difficulty of
view its economic and nutritional value and acute shortage of marketing of organic products (20%).
fruits. Moreover, the secondary data also support this fact (as
indicated by statistics that per hectare availability is less than 3.3. Training needs of skills, knowledge related with
144kgs. The problem is further complicated due to ever smallholders, animals
increasing population growth in the country. It is further According to (A. D. Bekele and G. B. Pillai, 2011), about
recommended that effective measures should be initiated in order 50 to 75% of the training was perceived to be more practical as
to lessen the communication gap between the possessed and the vital part in the training program. As per the model analysis
required level of technical competencies. output, indebtedness and economic motivation positively
Agriculture Extension Officers in Khyber Pakhtunkhwa influenced the perception of members training need; whereas,
should be trained in the horticultural related activities as the knowledge and training undergone in dairy marketing was found
demand for fruits, vegetables and flowers are increasing and to negatively influence training needs at 1% level of significance.
there is an increasing pressure on horticulturist to produce more Irregular supply of milk, long fasting days, lack of transport
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 149
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facilities, absence of training, lack of credit access from the dairy According the study of (Al-Ghamdi and Shanafey,. 2008).
coops(co-operatives) were found to be the basic constraints in The existence of a large proportion of workers in the field of
dairy marketing among members. The findings suggest that co- gardening did not receive training in pest and diseases and
operative policy makers and practitioners should stress in the machines, the training of skills needed in the fight against insects
adoption of participatory co-operative training approach and it and diseases and machines rise for both engineers. For engineers
should be implemented to increase the motivation, sense of and agricultural technicians with the arithmetic mean of the
ownership and shared responsibility among all co-operative average degree of 3.86 for engineers and technicians to 3.83.,
stakeholders. the existence of significant differences between some personal
There have been some studies that have attempted to qualities for Community research and training needs in specific
identify training needs for fish farmers to examine (Kumaran and skills to fight against insects and diseases and machines.
Ponnusamy, 2001) where noted that more training was needed
areas of diseases and their causes, pond construction and 3.5. Training needs of skills, knowledge related with
management, selection of fingerlings and custody, nutrition. Marketing Agricultural
Either (Adekoya, 2005) it was found that the areas of need for Findings from the study(Ogunleye, K.Y, et, at, 2010),
training is the fish feed, fish hatchery, fish diseases, pond revealed 56.2% of the respondents were within the age range of
construction and maintenance, site selection of ponds, pond 31 and 50 years, majority (82.9%) were married and (65.7%) had
water management. Either (Ogunlade, 2007) it has been found primary education. Majority (70.5%) had farming as their
that most need for training farmers is water management, dealing primary occupation with 77.1% having farming experience not
with fingerlings, controlling the jungle, fish diseases, fish less than 11 years. A large percent financed their cassava
feeding. In Iraq it was found (Salman, 2011) most areas need business from their personal savings. Also, substantial
training divisions fish followed by fish feeding, water used for respondents (85.7%) source marketing information from traders.
rearing fish and then create fish ponds. The study (Bassim H. Chi-square analysis revealed that, there was a significant
Kshash,2012), found that the respondents have a medium need relationship between sex (2=11.667; <0.05), Marital status
for training , the field of fish diseases and their causes were most (2=260.571; <0.05), education (250.057; <0.05), primary
in need of training , there's a positive relation between the level occupation, (2=17.610, <0.05), farming experience (2 =71.457;
of training needs and ponds area , and negative with years of <0.05) and marketing extension needs of cassava farmers.
Experience ,training courses and net Profit However, Age (2 =39.33; >0.05), religion (2 =2.752; >0.05) and
With regard to extension officers in animal husbandry cassava association membership (2= 3.438, >0.05) were not
department first, training which includes farming and breeding significant. Therefore, agricultural marketing techniques should
management as well as content delivery is critically needed to be incorporated into agricultural extension delivery packages to
enable Agricultural Extension Officers to become better and ensure continuous farming practices and adoption of innovations.
more relevant in performing their duties (Azizah, 2011). The Training programs have to meet the espoused high training
results of study (Vishal Raina, et, at,. 2014), revealed that a needs found in the training needs assessment. The data show that
majority of farmers needed a medium to high level of training in the standard training resulted in more motivation, perceived
areas like seed treatment, optimum dose of fertilizer, value of the training and knowledge after the training session
identification of insects/disease & their control measures, than virtual training. But with regard to the learning transfer
identification of weeds storage, proper use of rain water and measured by the behavior in a real and complex situation, the
marketing of storage. virtual training was as good as the standard training. Both
The study revealed that majority of the respondents need outperformed the control group. (Johanna Bertram et, at, 2014).
trainings on water quality management (80%). Only 16 and 10%
respondents expressed training need on fish seed handling and
transportation, and fish nutrition and feeding, respectively. IV. TRAINING AND TRAINING NEEDS
Negatively significant correlations were observed between Training is the process of acquiring specific skills to
interest and attitude towards fish farming age and education. perform a job better (Jucious, 1963). It helps people to become
Individual independent characteristic and training needs of the qualified and proficient in doing some jobs (Dahama, 1979).
farmers had negative correlations with education (X2) (p<0.01) Usually an organization facilitates the employees' learning
and attitude (X13) (p<0.05). Positively significant correlation through training so that their modified behaviour contributes to
between possession of pond (X5) and age (X1) (p<0.01), income the attainment of the organization's goals and objectives. Van
(X4) and age (X1) (p<0.01), economic motivation (X7) and age Dersal (1962) defined training as the process of teaching,
(X1) (p<0.01), decision-making ability (X8) and age (X1) informing, or educating people so that (1) they may become as
(p<0.05), attitude (X13) and education (X2) (p<0.05), income well qualified as possible to do their job, and (2) they become
(X4) and main occupation (X3)(p<0.05). The study concluded qualified to perform in positions of greater difficulty and
that before assessing the training needs, the fish growers of the responsibility. Training is the process of acquiring specific skills
district should be made aware of the latest technologies in to perform a job better. It involves the processes of teaching,
aquaculture.( Uttam, et, at,. 2013). informing and educating people (Johanna, et, at, 2014). As
training is an essential part of the extension and is any efforts by
3.4. Training needs of skills, knowledge related with the Organization to help workers to adapt, directs, and training to
agricultural equipment acquire the skills and information, trends and to all employees of
different levels of career guidance and scientific expertise,
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ISSN 2250-3153
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[16] Ibrahim, Mohamed Ibrahim, Hassan Kamal, Salem Saeed Global, Suhail Farmers in Surulere Local Government Area of Oyo State. Ladoke Akintola
Anwar, Yahya Alsaidi. (2009). Adult education in the Arab world, Dar Al- University of Technology, Ogbomoso, Nigeria.
film, 1st Edition. JournalofAgriculturalExtension.Vol.14(1),June2010.
[17] Salman, Methal, et al., (2011): Training needs for fish farmers in the Taji [36] Omoregbee, F.E. and Ajayi, M.T. (2009). Assessment of Training Needs of
area, Baghdad and its relation to certain variables, Journal of agricultural Extension Staff of Agricultural Development Programme (Adp), Edo State,
science, 42 (3) Journal of agricultural science, 42 (3). Nigeria. Department of Agricultural Economics & Extension Services,
[18] T. M. Madkour, R. H. Shalaby , A. I. Elhamoly & Sh. Anwar, (2009). Faculty of Agriculture, University of Benin, PMB 1154, Benin-city, Edo
Training Needs of Agricultural Extension Agents in Some Organic State, Nigeria. ISSN 1119-7455.
Agricultural Technologies at Kafr El-Sheikh Governorate, Department of [37] Mohammad Chizari , Amir Hossein Ali Baygi, Don Breazeale. (2006).
Agric. Economics, Fac. of Agriculture, Kafrelsheikh University. J. Agric. Analysis of the Training Needs of Multi-Functional Extension Agents
Res. Kafer El-Sheikh Univ., 35 (3) 2009. Associated with Sustainability. Department of Agricultural Extension and
[19] TRIS, William. (1991). The design of training and development systems, Education. Tarbiat Modarres University. P.O. Box 14115-111. Tehran, Iran.
translation Saad juicy, the review said Al-show-off, Institute of public E-mail: mchizari@modares.ac.ir.
administration, public policy research, Saudi Arabia. [38] Manish Bajpai, Surya Rathore and Manmeet Kaur, (2007). Training Needs
[20] Sharif, Zeenat Hashim. (2006). The level of knowledge and the of Rice Growers : A Case of Uttarakhand. Indian Res. J. Ext. Edu. 7 (2&3),
implementation of rural women of some of the recommendations of the May & September 2007.
national project for the cultivation of potatoes in the Lake, Ismailia, [39] Mithal A. Salman Bayan A. Ridha, and Ahlam T. Kadhum, (2012).
Research Bulletin No. 270 Research Institute of Agricultural extension and Training Needs for Agricultural Extension of Work in The Preparation of
rural development, Ministry of Agriculture, Giza. The Extension Agents Plan Afield Study in The Central Region of Iraq.
[21] G. Nongtdu, R. Bordoloi, R. Saravanan, R. Singh4, N. U. Singh, (2012). Department of Agricultural Extension / College of Agriculture / University
Training Needs of Agricultural Extension Personnel in Meghalaya. Indian of Baghdad.
Journal of Hill Farming 25(1):1-8. [40] Mohammd Chizari, Razieyeh Namdar, and Gholamreza Pezeshki Rad
,(2011). An analysis of training needs of evaluation professionals of
agricultural and extension programs in Iran. Agricultural Extension and
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Education Department, Faculty of Agriculture, Tarbiat Modares University, Serdang, Malaysia, Tel; +60182690595 E-mails:
Tehran, Iran. African Journal of Business Management Vol. 5(21), pp.
8585-8592, 23 September, 2011.
Jassimsalih8@gmail.com, Email address;
[41] Muhammad Zafarullah Khan, Khalid Nawab, Javidullah, Amir Khatam,
gs40102@student.upm.edu.my
Muhammad Qasim, Gohar Ayub and Naima Nawaz. (2012). Second Author Norsida Man, University Putra Malaysia,
Communication Gap and Training Needs of Pakistans Agricultural Department of Agriculture Technology, 43300 Serdang,
Extension Agents in Horticulture. Department of Agricultural Extension Malaysia
Education & Communication, Agricultural University, Peshawar
Pakistan. Sarhad J. Agric. Vol.28, No.1. Third Author Majeed Hadi Salih, University Putra Malaysia,
[42] Vishal Raina, Rakesh Khajuria and Bharat Bhushan, (2014). Training Department of Agriculture Technology, 43300 Serdang,
Needs of Potato Growers Towards Improved Technologies. Ind. J. Extn. Malaysia
Educ. & R.D. 22 : 10-14, 2014. Fourth Author Salim Hassan, University Putra Malaysia,
[43] Van Dorsal, W. R. (1962). The successful supervisor. New York: Harper Department of Agriculture Technology, 43300 Serdang,
and Row. Malaysia
[44] Uttam Kumar Baruah, Jyotish Barman, Hitu Choudhury and Popiha Fifth Author Nolila Moha Nawi, University Putra Malaysia,
Bordoloi, (2013). Training needs of the freshwater fish growers in Assam,
India. Krishi Vigyan Kendra Goalpara, National Research Centre on Pig, Department of Agriculture Technology, 43300 Serdang,
Indian Council of Agricultural Research, Dudhnoi 783124, Assam, India. Malaysia
Sixth Author Sarah Jasim Mohammed, University Putra
Malaysia, Department of Agriculture Technology, 43300
AUTHORS Serdang, Malaysia
First Author Jasim Mohammed Saleh, University Putra
Malaysia, Department of Agriculture Technology, 43300
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Abstract- Nationalist and Marxist historiography in India have and Kashmir is formed by the signing of treaty of Amritsar
tended to assume that the British colonial politics of land tenure, between Maharaja Gulab Singh and the British
taxation and commercialisation which led the conditions for the 4.1. 1 Origin of Dogra Dynasty in Kashmir:
formation the princely states in Indian Sub-continent. According The Dogras were Indo- Aryan ethnic group of people who
to the available literature, there were about 565 princely states in inhabited, the hilly country between the rivers Chenab and Sutlej,
Colonial India and their administration was run by the British originally between Chenab and Ravi. According to one account
through their appointed agents. Among these princely states, the term Dogra is said to be derived from the Sanskrit words
Kashmir, Hyderabad and Junagarh were the important Princely Do and Garth, meaning two lakes. The names Dugar and Dogra
states. At the time of partition and independence all these states are now applied to the whole area in the outer hills between the
were given the choice either to accede to India or to Pakistan or Ravi and the Chenab, but this use of term is probably of recent
to remain independent. The foundation of Kashmir as a modern origin and dates only from the time when the tract came under
state was laid by the treaty of Amritsar, signed on 16 th March the supremacy of Jammu.
1846, between Maharaja Gulab Singh and the British, by which The ancient capital of the state according to tradition was at
Gulab Singh had to pay seventy Five lakh rupees to the British. Bahu where the ancient fort and a small town still exists, Jammu
Up to 1947 the administration was run by the Dogra descendants having been founded by Jambu- Lochan later on (Sufi, 1974).
on the lines of the British and finally Kashmir was acceded to Fredrick Drew in his book Jammu and Kashmir Territories- a
India by signing the Instrument of Accession on 16th October, Geographical Account has also described about the origin of
1947. The main aim of the paper is to analyse the steps that were Dogra Dynasty. He opines that Raja Ranjit Dev of Jammu, the
taken by the Dogra Maharajas in order to extend their territorial ancestor of Maharaja Gulab Singh had occupied Jammu in 1760
control and also the paper will also focus on Dogra state craft. and ruled for about 40 years and established his dominance over
the Dogra territories which were later followed by his successors.
Index Terms- Dogra, Kashmir, Instrument of Accession, Treaty The Dogra principalities are said to have been founded by Rajput
of Amritsar. adventurers from Oudh and Delhi, about the time of Alexanders
invasion when they moved up north to oppose the Greeks. Raja
Ranjit Dev gave an orderly and peaceful administration to his
I. INTRODUCTION subjects at a time when all around there was chaos and
insecurity. Jammu thus became a trade hub between the Kashmir
D uring the second half of nineteenth century, the British
Imperial rulers speeded up their efforts in order to
consolidate a pan Indian territorial state so that to acquire
valley, Afghanistan, and Centre Asia, and the rest of India
(Bamzai, 1962).
political legitimacy. Their main aim was to sustain their 4.2. Treaty of Amritsar and the Political foundation of
occupation and control over India through their indirect rule, Modern State:
because at that time India was divided into a large number of The two Anglo-Sikh wars led to the final extinction of Sikh
princely states. They Sameer Ahmad Bhat, Ph.D. Research sovereignty in Punjab and the treaties of Lahore and Amritsar
Scholar, Centre of Advanced Study, Department of History, had made the British to take full control over the sovereignty of
Aligarh Muslim University, Aligarh, 202002. thought that an Punjab. Now, with these treaties the political boundaries of the
entity like India is governed by social codes and customary laws British Empire extended up to the Southern part of the State of
and it is easy to govern it. According to The Imperial Gazetteer Jammu and Kashmir. And, now by all accounts, the British set its
of India, published in 1909, there were 693 princely states eyes over the valley. However, due to the transfer of Kashmir to
(Native States) in South Asia, including Nepal and the Shan the Dogras, the nature of its political world changed. From an
states in Burma, and of which majority were estates or Jagirs, earlier continuous topography of coinciding and layered
while three-fifths of the sub-continent was under direct imperial sovereignties, the British now claimed a uniform and territorially
administration, the rest was under the princely rule. These states bound sovereignty, the lesser version of which they vested in
were the parts of Indian Subcontinent which had not been Gulab Singh (Sufi, 1974).
conquered or annexed by the British but were subject to vTreaty of Amritsar (16th March 1846) was concluded
subsidiary alliances and were indirectly ruled by the British between the British Government on the one part and Maharajah
through their agents (Ramusack, 2004). Modern state of Jammu Gulab Singh of Jammu on the other part. The British officials
included Frederick Currie, Esq. and Brevet-Major Henry
Montgomery Lawrence, they were acting under the orders of the
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 154
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Rt. Hon. Sir Henry Hardinge, G.C.B., one of her Britannic military force the British troops when employed within the hills
Majesty's most Honorable Privy Council, Governor-General of or the territories adjoining his possession and on their part British
the East India Company, to direct and control all the affairs in the Government promised to give their aid to Maharaja Gulab Singh
Indian Sub-continent and by Maharajah Gulab Singh in person. in protecting his territories from the external enemies. Gulab
Through the Treaty of Lahore signed on 9th March 1846, Singh had to maintain services for the British troops. According
the Maharaja of Punjab- Maharaja Ranjit Singh agreed to to the experts, it was a well-known fact that Maharaja became
recognize the independent sovereignty of Raja Gulab Singh, in vassal of the British and no resident was appointed in Kashmir
such territories and districts in the hills as may be made over to without permission of the British. 3
the said Raja Gulab Singh, by a separate agreement between him The credit of amalgamation of the modern state of Jammu
and the British Government, a day after the Raja was conferred and Kashmir goes to Kashmiri Dogras (Sundarajan, 2010). Bawa
with the title of Maharaja, the symbol of sovereignty. Satinder Singh in his book Jammu Fox- A Biography of
The present state of Jammu and Kashmir came into Maharaja Gulab Singh of Jammu 1792- 1857, (1988) opines that
existence on the 16th of March 1846 through the Treaty of it was only due to the efforts of Henry Hardinge and Henry
Amritsar which was an offshoot of the Treaty of Lahore signed Lawerence, that the Dogra State was saved from the death blow
between British East India Company and Maharaja Gulab Singh. in the infancy stage and he was given help by the British in order
Various distinct territories like Jammu, Kashmir, Ladakh, Hunza, to consolidate the state because of the mutual friendship ties
Nagar and Gilgit stripped by the company from the Sikh (Bawa, 1988).At the end of treaty Maharaja Gulab Singh
kingdom of Punjab were mended together to bring into being this expressed his gratitude to the then British Viceroy (Sufi, 1974).
state.1 Bhagwan Singh (1973) in the chapter Looking Back of his When Gulab Singh took over the charge of Kashmir, the
book Political Conspiracies of Kashmir opines that it was not conditions in Kashmir were very deplorable. Two thirds to
alone due to the treaty of Amritsar that Maharaja Gulab Singh quarters of the gross product of the land was taken as revenue.
annexed Kashmir to his dominions, but, it was his participation The crops after harvesting were collected in stacks of which half-
in the conquest of Kashmir in 1819 when he helped Maharaja was taken as the government share. And additional amounts were
Ranjit Singh in the final conquest of Kashmir and again in 1846 taken as perquisite of various kinds, leaving one-third or even
for getting actual control over Kashmir by subduing the last Sikh only a quarter with the cultivators. Despite of this revenue was
Governor of Kashmir- Sheikh Imam- ud- Din. Lord Birdwood in also taken in cash. The whole system of assessment and
his book Two Nations and Kashmir is of the view that Gulab collection was extraordinarily intricate and practicable only in
Singh first had to subdue the Last Sikh Governor of Kashmir by the interest corruption officials. Gulab Singh usually remained in
the help of British and after that he got control over Kashmir. the hills and used Sikh means in order to extend his authority
The British thought that it will be difficult to retain Kashmir and over his other Dogra Rajputs (Sufi, 1974).
other hilly portions and occupation of these hilly territories Gulab Singh brought the principle of personal to
would lead to collision with many powerful local chiefs. So, they perfection, says Sir Walter Lawrence and showed the people
transferred them to Maharaja Gulab Singh (Khilnani, 1972). The that he could stand by himself. (The Kashmir Gazetter, 1999;
amount that Gulab Singh agreed to pay was really the indemnity Sufi, 1979).
of one crore rupees on Lahore Durbar, they were unable to pay it. 4.4.1 Revenue and Police Administration under Maharaja
Gulab Singh had to pay rupees sixty immediately and the Gulab Singh:
remaining in installments according to the Article IV and V of The revenue and police administration was recognized into
the treaty. Gulab Singh offered to pay it for the possession of four wazarats or districts. Experienced and trusted officials were
Jammu, Kashmir, Ladakh and Baltistan (Sufi, 1974). placed in charge of key Department like the Audits and
In consideration of this transfer, Maharaja was to pay 75 Accounts, the Dagshawl, commissariate and police. Barbara
lakh rupees annually to the British Government and one horse, Ramusack (2004) in her book The Indian Princes and their
twelve perfect shawl goat of approved breed (Six male and six
female) and three pairs of Kashmir shawls as a token of the 2 th
To quote Article 10 of the treaty Maharaja Gulab Singh
British supremacy.2 He had to accompany with the whole of his
acknowledges the supremacy of the British Government and will
in token of such supremacy present annually to the British
1
According to the Article 1 of the Treaty, the British Government one horse, twelve perfect shawl goats of approved
government transfers and makes over forever, in independent breed (six male and six female) and three pairs of Kashmiri
possession, to Maharaja Gulab Singh and his heirs male of his shawls. For full text of the treaty, see, Kapur, M. L. (1980).
body , all the hilly or mountainous country with its History of Jammu and Kashmir state- the Making of state.
dependencies situated to the east ward of the river Indus and Jammu, Kashmir History Publications.
Westward of the river Ravi, including Chamba and excluding
3
Lahol, being part of the territories ceded to the British As quoted in the Article VII of the treaty Maharaja Gulab
Government by the Lahore state according to the provisions of Singh never to take or retain in his service neither any British
Article IV of the treaty of Lahore dated 9th March, 1846 A. D. subject nor the subject of any European or American State
signed between the British and Maharaja Ranjit Singh. For full without the consent of the British. For full text of the treaty,
text of the treaty, see, Singh, Amrinder. (2010). The Last Sunset- see, Kapur, M. L. (1980). History of Jammu and Kashmir state-
The Rise and Fall of Lahore Durbar. New Delhi, Roli Books. the Making of state. Jammu, Kashmir History Publications.
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 155
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States, Regarding to administration, there was a radical change in shawl weavers were killed, which led to the setback in Kashmir
the government of some princely states in British India such as shawl industry5.
Travancore, Mysore and Baroda. Still, as in British India the 4.5.1 Land Revenue Administration under Maharaja
state administration rarely entered past district governance into Gulab Singh:
villages. Whereas, some states copied the revenue practices and Land revenue system in princely states differed from each
legal system of direct rule such as Kashmir, Hyderabad and other. In case of Kashmir land revenue administration was run by
Junagarh. Maharaja wanted to collect the amount from the people the officials mentioned below:
that was demanded by the British (Ramusack, 2004).
4.4.2 Beggar or Forced Labour: 4.5.2 Tehsildar:
The maharaja also introduced the system of beggar In The person had authority of two to five territorial sub-
Kashmir. The state being surrounded by high mountains and in divisions and exercised supervision over all the accounts of
absence of other transport facilities necessitated the large number Kashmir within district. He had power of punishment and had
of men for carrying essential commodities in or outside the 200- 400 sepoys under him. He was responsible for the governor
valley. As Kashmir felt under tyrant rulers, beggar or forced (Thorp and Hassnain, 1980).
labour developed there. The earliest mention of beggar is in 4.5.3 Thandar:
Rajatrangni, when king Samkaravarman employed large number He was the chief officer over each territorial sub- division.
of men in order to carry the baggage of his soldiers. Later, it He had also the power of punishment and had 40-50 sepoys
received a further boost. The system was first introduced during under him. He made report of all the crops to Tehsildar (Sufi,
the period of Sultan Zain- Ul- Abidin and also during the rule of 1979).
his successors. During Mughal rule it developed as a regular 4.5.4 Kardar:
institution, which was later on continued by Afghans, Sikhs and The chief official who was concerned with the collection of
Dogras. Maharaja Gulab Singh tried to rationalize the system and land produces. All the arrangements were made by the
made some changes in it. The system continued up to 1920, government regarding to full amount collected from the sold
when public opinion developed against it and was totally produces. He had under him a certain number of villages and he
abolished (Bamzai, 1962; Koul, 1963). reported to the Thandar (Thorp and Hassnain, 1980).
4.4.3 Supply of Food Grains to the People: 4.5.5 Share of the Government:
Another important reform undertaken by the Maharaja was With the Treaty of Amritsar concluded in 1846, the
the rationing of rice in the valley, Kashmir, owing to its extreme Kashmir valley was sold to Maharaja Gulab Singh by the British
unapproachability and the insurmountable difficulties of heavy rulers. During Mughal period in Kashmir Raja Todar Mal6 made
transport. It was always liable to sudden famines owing either to revenue settlement of the valley, which in its broad features
failure of the rice crops or the surrounding of the grain market. In forms the basis of the modern revenue system (Kendra, 2007).
order to meet this situation rigid monopoly of rice was The first recommendation of Lawrence was announced the
established and it was sold at a fixed price to the people. cultivators that the new settlement would ensure that only a small
Maharaja established a rigid monopoly of rice and it was sold at part of the land revenue would be taken in cash and partly in kind
a fixed price to citizens. This was necessary because majority of (Bazaz, 1935). Lawrence had fixed the state demand for ten
the people were artisans and shawl weavers who needed to years. To collect the amount that Gulab Singh had paid to the
supply cheap grains to be able to produce the valuable articles for British Government, he made some troublesome demands to his
export on which depended the economy of the valley (Bamzai, subjects like hike in land revenue and excessive taxation. He
1962; Sufi, 1979). continued the revenue system implemented during Sikh rule
4.4.4 Reorganization of Shawl Industry: (Lawerence, 1929). However, in case of newly assigned lands,
The shawl industry in Kashmir was so important that a some concessions were granted to the cultivators. During Gulab
government department had been maintained for long to deal Singhs reign, the system of revenue collection on the Kharif
with it. Before 1833, the duty on shawls was levied according to crops was based on Batai system7 prevalent in Northern India.
the number made and stamped in the year at the rate of three The Government demands consisted of half share of the produce.
annas in the rupee one. This was found unsuitable, and in A.D.
1835 General Mian Singh established the Baj 4, or fixed amount 5
of tax, to be paid by each shop. During sultan Zain- Ul- Abidin 421 years of foreign rue in Kashmir, Available at
shawl industry was recognized as a national industry and there http://www.kashmirnewz.com/a0008.html. Accessed on
was lot of development in it. Kashmiri shawls were exported to 05/11/2014.
6
many countries. As soon as Gulab Singh consolidated his Raja Todar Mal was great revenue and finance minister of
possessions he reorganized the Shawl industry (Chhabra, 2005). Mughal Emperor Akbar. He introduced a new system of revenue
Once in 1865, Shawl weavers went on agitation that is known as known as zabt and a system of taxation called dahshala.
Shawl Bauf Agitation of 1865. Due to oppressive rule the revolt
7
was suppressed and large numbers of subjected masses especially Batai was a system of land revenue system during the time of
Mughal emperor Akbar. In this method of crop sharing the
produce was arranged into heaps and divided into three shares,
one of which was taken by the state. Under this system the
peasant had the choice to pay in cash or kind, but in the case of
4
Baj was tax imposed on shops. cash crops the state demand was mostly in cash.
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 156
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Experts suggest the gross annual revenue from thirty-six India. In 1809 Gulab Singh joined the Army of Maharaja Ranjit
Paraganas (Tehsils) of Kashmir, gained through taxes on grain, Singh. In 1818 Gulab Singh took part in the invasion of Multan
oil and cotton was approximately seventeen lakh rupees in 1848 and rescued some of the Sikh soldiers and in 1819 he received a
(Bamzai, 1962; Thorp, 1980). permission from the Sikh ruler at that time to crush uprisings in
the Jammu hills. During 1820 he was sent to make further
4.6.1 Conquest of the Neighboring Territories by conquests in the hilly areas. In 1820 he seized Rajouri and
Maharaja Gulab Singh and Political Assimilation. Bhimber and in 1821 captured the fort of Basohli (Bawa, 1988).
Maharaja Gulab Singh is recognized as the only ruler in Soon he was allowed make his own army in 1822 as a reward for
Indias long history who could be said to have extended the his conquests and subjugation of other areas like Kishtwar and
geographical boundaries of India to the maximum limits. The Rajouri. Due to these expansions he was made hereditary raja of
conquest and annexation of Ladakh is an achievement which Jammu in a ceremony held by Maharaja Ranjit Singh
made him one of the most remarkable rulers in the history of (Huttenback, 1968; Suri, 2002).
i. Portion a of the map shows the Dogra heartland Maharaja Ranjit Singh with the help of Dogra
under Afghans1752-1808. Afghans secured active brothers (Dhyan Singh, Suchet Singh and Gulab
support of the Sikh Government for operations in Singh) conquered these territories and later they were
Dogra heartland and bound Gulab Singh for their transferred to Gulab Singh by the Treaty of Amritsar
evitable political interests in the Punjab. The Dogra (16th March 1846).
heartland included Jammu Hills. iv. d shows the areas conquered by Dogra feudatories
ii. a and b show the areas conquered by Sikhs and in 1834. It includes Ladakh and Aksai Chin area.
the aid was given by the Dogras in 1808- 18. It was They were also merged into Kashmir.
inclusion of some other parts like Pounch and v. e additional areas conquered in 1840. These
Kishtwar with the Dogra heartland. As Gulab Singh include Baltistan and Skardu.
served in Lahore Durbar as a trooper and he made vi. a and e show areas conquered by the British from
many conquests of the neighbouring territories. Sikhs and then sold to Dogras. The boundary of
iii. c shows areas conquered jointly by Sikhs and Kashmir now extended to some areas of Jammu,
Dogras. The areas included the parts of Kashmir Baltistan and Skardu. These areas were early
Valley like Srinagar, Baramulla and Anantnag. conquered by the British and later were sold to Gulab
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 154
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Singh. After the defeat of Sikhs in Anglo- Sikh wars [7] Khilnani, N. M. (1972). British Power in the Punjab (1839-1858). New
Delhi: Asia Publishing House.
(1845-46), they had to pay war indemnity of one
[8] Lawerence, S. R. (1929). The India we Served. Melbourne: Cassell And
Crore Nanak Shahi Rupees to the British and they Company Ltd.
were unable to pay the whole war indemnity. The [9] Ramusack, B. (2004). The Indian Princes and their States. Cambridge:
remaining war indemnity was paid by Gulab Singh, Cambridge University Press.
due to which Kashmir along with some hilly [10] Singh, B. (1973). Political Conspiracies of Kashmir.
territories was transferred to him. [11] Singh, B. S. (1974). The Jammu Fox: A Biography of Maharaja Gulab
vii. f shows further areas like Gilgit, Baltistan and Singh of Kashmir. New Delhi: Heritage Publishers.
Hunza conquered by Maharaja Gulab Singh with the [12] Sufi, G. M. D. (1979). Islamic Culture in Kashmir. New Delhi: Light
help of the British. and life Publishers.
[13] Sufi, G.M.D. (1974). Kashir Being a History of Kashmir: From the
Earliest Times to Our Own. Delhi: Light and Life Publishers.
[14] Sundararajan, S. 2010. Kashmir Crisis Unholy Anglo-Pak Nexus. Delhi:
REFERENCES Kalpaz Publications.
[1] Bamzai, P. N. K. (1962). A History of Kashmir- Political, Social and [15] Suri, S L. (2002). Umdat-ut-Tawarikh- Daftar III (Part-III). Amritsar:
Cultural from the Earliest Times to the Present Day. New Delhi: Guru Nanak Dev University.
Metropolitan Book Company. [16] Thorp, R. and F.M. Hassnain. (1980). Kashmir Misgovernment. Gulshan
[2] Bazaz, P. N. (1935). Kashmir ka Gandhi. Srinagar: Kashmir Publication Publishers: Jammu
Depot.
[3] Chabra, G. S. (2005). Advance Study in the History of Modern India
(Volume-2: 1803-1920). New Delhi: Lotus Press. AUTHOR
[4] Huttenback, R. A. (1968). Kashmir as an Imperial Factor during the
Reign of Gulab Singh (1846- 57). Journal of Asian Studies, 2 (2), 77- Author: Sameer Ahmad Bhat, Research Scholar, Centre
108.
[5] Kaul, G. L. (1963). Kashmir throughout the Ages- 5000 B. C. to 1965 A.
of Advanced study, Department of History, Aligarh
D. Srinagar: Chronicle Publishing House.
Muslim University, Uttar Pradesh, India, 202002.
[6] Kendra, V. (2007). Kashmir: The Crown of India. Kanyakumari:
Kashmiri Overseas Association. Email.sameerbhat83@gmail.com.
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 158
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Abstract- The problem of emission of greenhouse gases, industrial purposes. This way we can serve the environment
especially carbon dioxide, into the atmosphere is inevitable but along with cost reduction in industrial purposes.
the amount of carbon dioxide prevalent in the atmosphere today
is menacing. The level of carbon dioxide in the atmosphere being
almost 400 ppm is itself a threat to the future generations. The II. WHY INCREASING CARBON DIOXIDE LEVEL IS
world had come together to fight the rising level of co2 but with MENACE TO EXISTENCE OF LIFE IN EARTH
no watershed achievement apart from setting some international Atmosphere has witnessed meteoric rise in co2 level since
forums. The techniques available to us for keeping a check on industrial revolution. The global annual mean concentration of
rising level of carbon dioxide; Scrubbing Towers, Artificial Tree, CO 2 in the atmosphere since then has increased markedly from
Bio char, STEP, have been successful to certain extent but have 280 ppm to 400 ppm as of 2015 [1]. With this rate it is expected
been warped by the capital involved with the particular that concentration is to rise to as much as 500-1000 ppm by the
technique. The funding involved in these techniques is way too year 2100 [2].Averaged over all land and ocean surfaces,
high which has led to the question: What if the non-renewable temperatures warmed roughly 1.53F (0.85C) from 1880 to
source of energy can be used to capture carbon dioxide from the 2012, according to the Intergovernmental Panel on Climate
atmosphere and provide us with a cleaner air? The best answer Change (IPCC).Subsequent and prominent effect of increased
would be the use of solar powered carbon capture device. CO 2 in atmosphere is global warming. As the name suggests it is
the rise in global temperature whose effects can be disastrous in
Index Terms- CO2, PPM (parts per million), DAC (direct air near future. Some of the consequences are enlisted below:
capture), CCS (carbon capture and storage) 1. Rise in sea level.
2. Mutation in agricultural productivity.
3. Change in ecosystem i.e. ecological balance is
I. INTRODUCTION disrupted.
naturally and by humans. Natural processes that produce carbon Table 1: CO 2 CONCENTRATION IN PPM FOR VARIOUS
dioxide include ocean release, plant and animal Respiration, soil YEARS
decomposition, and from volcanoes. Carbon di oxide is one of
the major greenhouse gas and human activities are contributing YEAR C0 2 (PPM)
CO 2 at a high pace. Today average CO 2 concentration in 2014 398.55
atmosphere is about 400 ppm which is above the maximum 2013 396.48
atmospheric concentration of CO 2 for a safe planet. Carbon 2012 393.82
Capture and storage is the technique available which absorbs 2011 391.63
CO 2 from flue gases and thus reduces amount of CO 2 addition to 2010 389.85
the atmosphere. Attempts are also made to absorb CO 2 from 2009 387.37
direct air, but the problem with it is that to absorb CO 2 from 2008 385.59
atmospheric air energy is supplied and while supplying this
energy another amount of CO 2 is generated. It urges us to think 2007 383.76
that if the energy to operate such CO 2 absorption plant is from 2006 381.90
renewable energy source our task to reduce CO 2 from 1997 363.71
atmosphere can be accomplished. Thus we propose use of solar 1992 356.38
energy to run a plant/device that would absorb CO 2 either from
direct air or from the flue gases. This way while operating 1987 349.16
absorption of CO 2 we will not be contributing any CO 2 , thus 1959 315.97
making our effort count. Also, the absorbed CO 2 further could be
separated from the absorbent and can be stored for other
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III. PRESENT AND FUTURE SCENARIO OF CO 2 IN conditions of the world. According to the data as on January 2,
ATMOSPHERE 2016 by National Oceanic and Atmospheric
1.1 PRESENT CONDITION: Administration(NOAA) and Scripps, the average annual
The concentration of Co2 in atmosphere has been concentration of co2 in atmosphere is 402.07 ppm(parts per
increasing at menacing level. The whopping rise of co2 in the million).
atmosphere over the few decades had jeopardised the climatic
steps and adopted policies to control the carbon dioxide and other
1.2 FUTURE SCENARIO: greenhouse gases emission.
The current trend of rise in CO 2 in the atmosphere is
precarious. According to C-ROADS version 3.014 April 22, Some of the important policies are-
2013 based on approval in April 19, 2013 the concentration of 4.1 United Nations Framework Convention on Climate
CO 2 in the atmosphere by 2100 will be more than 800 ppm. Change(UNFCCC)
In 1988 the World Meteorological Organization (WMO)
TABLE 2: Climate interactive CROADS versions 3.014 run and the United Nations Environment Programme (UNEP) set up
April 22, 2013 based on confirmed proposals as of April 19, the Intergovernmental Panel on Climate Change (IPCC), an
2013. expert body that would assess scientific information on climate
change. The UN Framework Convention on Climate
2009 2100 Change (UNFCCC) was adopted in May 1992 and entered into
Global CO 2 36.31 98.96 force in 1994. The convention included the commitment to
Emissions gigatons Gtons Gtons stabilise greenhouse gas emissions at 1990 levels by 2000. The
per year first Convention of the Parties to the UNFCCC (COP 1) was held
Atmospheric CO 2 390.43ppm 882.87 ppm in 1995. Negotiations at this and two subsequent COPs led to
parts per million agreement on the Kyoto Protocol in 1997[4]. The Kyoto
Global Temperature 0.81 Celsius 4.47 Celsius Protocol involved several decisions:
Increase mean 1.46 Fahrenheit 8.04 Fahrenheit By 2012, developed countries would reduce their
projection relative to collective emissions by 5.2% from 1990 levels, each
pre-industrial country being committed to a particular figure.
The emissions covered by the Protocol are not only
carbon dioxide, but also methane, nitrous oxide, hydro
IV. IMPORTANT POLICIES ADOPTED TO CONTROL fluorocarbons, perfluorocarbons and sulfur
CO 2 AND OTHER GREENHOUSE GASES hexafluoride.
It has been only few centuries after the Industrial These commitments would be reckoned on a net basis,
Revolution that climate change had marred the Earth's considering sinks as well as sources, and each country
atmosphere. The emission of greenhouse gases, in which carbon must credibly measure its contribution and meet its
dioxide is the prominent one, is having a global impact. So, in commitment.
order to control this emission of greenhouse gases into Countries may fulfil their commitments jointly (such as
atmosphere the nations all around the globe have taken certain with regional agreements) and they may improve the
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efficiency of compliance through "flexibility air as it flows over them. When CO 2 comes into contact with
mechanisms". sodium hydroxide, it is absorbed, producing a liquid solution of
sodium carbonate. It is that liquid solution that the professor
4.2 International Carbon Action Partnership believes could be piped away, and the time at which the CO 2
The International Carbon Action Partnership is an could be recovered as a concentrated gas in preparation for its
international forum which was founded in 2007 in Lisbon, final storage [9]. The leaves look like sheets of papery plastic and
Portugal by more than 15 nations that have implemented or are are coated in a resin that contains sodium carbonate, which pulls
planning to implement emission trading system (ETS).Its main carbon dioxide out of the air and stores it as bicarbonate (baking
function is to share best practices and create a well functioned soda) on the leaf. To remove the carbon dioxide, the leaves are
global carbon market [5].The trade involving carbon dioxide rinsed in water vapour and can dry naturally in the wind, soaking
which basically caters to meet the obligations specified in Kyoto up more carbon dioxide [10].
Protocol which aimed at reducing the carbon dioxide emission in
atmosphere. 5.3 BIOCHAR
Biochar is a black carbon material produced from the
4.3 UN climate change conference November- decomposition of plant-derived organic matter (biomass) in a low
December 2015, Paris or zero oxygen environment (i.e. pyrolysis or gasification) to
The major emphasis of the COP21 meeting in Paris was on release energy rich gases which are then used for producing
producing a global, binding agreement to cut carbon emissions. liquid fuels or directly for power generation [11]. Plants capture
At the Paris meeting there was clear international agreement that carbon through photosynthesis then the activity of microbes
reducing carbon dioxide emissions was a global priority built on release it back to the atmosphere; there is about three times as
a groundswell of public opinion in many countries, albeit with a much carbon in soil and plants as in the atmosphere. If more
range of different timelines involved. It was agreed to aim for a carbon can be stored in the soil there will be less in the sky [12].
temperature increase below 2C and with the aim of moving to In the natural carbon cycle, plants take up CO 2 from the
1.5 degrees, which suggests that governments will have to atmosphere as they grow, and subsequently CO 2 is emitted when
introduce additional mitigation actions to move more rapidly to the plant matter decomposes rapidly after the plants die. Thus,
low-carbon technologies, especially in electricity generation. the overall natural cycle is carbon neutral. In contrast, pyrolysis
can lock up this atmospheric carbon as biochar for long periods
(e.g., centurial or even millennial time scales). Therefore, the
V. VARIOUS TECHNIQUES AVAILABLE TO biochar approach is an attractive solution to alleviating global
COLLECT CO2 FOR STORAGE AND INDUSTRIAL warming concerns [13].
PURPOSES
5.1 SCRUBBING TOWERS 5.4 STEP
CO 2 scrubbing is a particular form of carbon capture that Solar thermal electrochemical photo (STEP) process
takes place after fossil fuel has been combusted, but before the combines electronic and chemical pathways to convert CO 2 to
exhaust is released into the air [6]. So, the process starts with carbon or to carbon monoxide for subsequent use in synthesizing
CO 2 capture before the flue gas reaches the atmosphere via a a range of industrially relevant products including hydrocarbon
power stations cooling towers [7]. Even though carbon dioxide fuels. STEP uses an electrolysis cell consisting of molten lithium
usually makes up no more than 15 percent of a power plant's carbonate (Li 2 CO 3 ) as the electrolyte. Using the thermal energy
emissions by volume, it's responsible for 60 percent of the of the sunlight, the cell is heated to a temperature above the
greenhouse gas effect [8]. In order to prevent the CO 2 from melting point of lithium carbonate. Atmospheric carbon dioxide
escaping into the atmosphere, post-combustion carbon capture is then bubbled through the cell. The CO 2 reacts with the lithium
(as its name implies) works by isolating CO 2 from the other flue carbonate, and depending on the reaction temperature attained,
gases after combustion [6]. The flue gas first reaches a wet either solid carbon is deposited at the cathode or carbon
scrubber where it is cooled and freed from any residual traces of monoxide is produced. This conversion of carbon dioxide into
sulphur dioxide (SO 2 ) that might weaken CO 2 scrubbing. A fan solid carbon is facilitated by the visible rays of the sun that drive
then transports the flue gas to the absorber, through which it the reaction, when the visible rays are converted to electricity
flows bottom-up. This is where it meets the scrubbing solution, through photovoltaic techniques [14].
an aqueous solution of amines (a group of organic substances),
which is added at the head of the absorber and, in a counter 5.5 Oxy-fuel
current flow, takes up the CO 2 from the flue gas. The low-CO 2 If the fuel like coal, natural gas is burned in atmosphere of
flue gas is scrubbed with water before leaving the absorber to pure oxygen the flue gas formed almost completely consists of
remove any residues of the scrubbing agent, and finally reaches carbon dioxide and water vapours. Water vapours can be
the atmosphere by the normal route via the stack or cooling condensed and left CO 2 can be stored and used.
tower [7].
5.2 ARTIFICIAL TREE
Professor Klaus Lackner, director of the Lenfest Center for VI. SUGGESTION TO TACKLE INCREASING CO2
Sustainable Energy at Columbia University has designed a USING CLEAN ENERGY FROM SUN
synthetic tree, a construction that simulates the function of A device can be made that would have both suction device
natural trees whereby leaves pull carbon dioxide (CO 2 ) out of the as well as fan so that the device/plant could be used for both
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DAC (direct air capture) as well as CCS (carbon capture and efficiency would be increased significantly. The air moving out
storage). The suction device as well as the fan would be driven of the absorption chamber can be pushed back into it again until
by the solar energy. The absorbents can be used to capture co2 by the final air comes out purified and free of co 2 .
chemically reacting with it. This device shall not be bulky and could be installed by the
Replaceable co2 absorbing tubes installed inside scrubber government as mandatory obligation in urban areas in individual
would be replaced after fixed duration and the saturated tubes house roofs especially in the areas having abundance of solar
shall be taken for extracting absorbed co2 and making tubes energy. Such laws can be made to control increasing co2 level in
again available for absorption. the atmosphere. Cities having high co2 content in the air can be
One problem associated with this is efficiency. The installed with such model and it will definitely keep check on the
efficiency of such model is a major issue as co2 captured is in rising amount of co 2 in air.
meager amount. But if we can make a model with closed loop its
VIII. CONCLUSION
VII. SOME IMPORTANT POINTS The per lustration of the carbon dioxide, its present and
1. CO2 absorption by alkanol amine, monoethanolamine future trends as well as the threat it poses to the atmosphere are
(MEA) aqueous solution has been considered as the the area of scrutiny for our present generation. The rate at which
most efficient way and various research activities were carbon dioxide is rising in the atmosphere, it would put the future
conducted by this method and most commercial generation in the perilous condition for sure. To keep this
processes for the bulk removal of CO2 from gaseous alarming levels on check various international policies have been
streams involve the use of amines [15]. adopted in past. This meteoric rise of carbon dioxide needs to be
2. CO2 absorption is proportional to specific surface area checked and the techniques available to us helpful in providing
of packing material and gas-liquid contact time. Pro-Pak that. But major concern is the use of energy and financial capital
when used as packing material shows highest CO2 involved with it. So, it is not feasible to use these techniques.
removal efficiency [15]. Hence, there is an urgent need to change the way we use these
3. The absorption capacity of the amine is increased as its techniques. The use of solar energy can provide an alternative to
concentration increases, but not as great as might be these techniques which would be free of implementation cost.
expected because of the high acid-gas vapor pressure Another merit of this is that it does not add any more carbon
over the solution which increases as the concentration dioxide into the atmosphere unlike some techniques which are
and the temperature of the solution increases [16]. used for cleaning up air but in the process of cleaning rather adds
4. It has been suggested that using high efficiency column up to it. The carbon dioxide and other greenhouse gases emission
packings in absorption and regeneration towers could cannot be overlooked and actions should be taken if we do not
substantially improve the efficiency of the gas treating have to jeopardise the future generation. I don't think we can
process which reduce its capital cost [15] [16]. leave it to future generation to find the solution, can we?
5. Absorption depends on pH of the solvent, temperature
and concentration of both the gas and the solvent. The
rate of absorption increases with the increase in REFERENCES
temperature. [1] NOAA/ESRL. "Annual Mean Carbon Dioxide Data"
[2] IPCC. Climate Change 2007
[3] NOAA-ESRL Data File Created January 6, 2015
[4] http://www.ipcc.ch/
[5] https://icapcarbonaction.com/en/partnership/about
[6] How co2 scrubbing works by Jennifer Horton.
[7] RWE Power- www.rwe.com/rwepower
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[8] U.S. Department Of Energy/Marion Chakma, Process Systems Laboratory, Faculty of Engineering, University
[9] Artificial trees: A green solution? - http://scn.sap.com/docs/DOC-40263 of Regina, Regina, Saskatchewan, Canada S4S 0A2
[10] Sucking co2 from the skies with artificial trees by Gaia Vince
http://www.bbc.com/future/story/20121004-fake-trees-to-clean-the-skies
[11] Biochar, reducing and removing co2 while improving soils : A significant AUTHORS
and sustainable response to climate change - Simon Shackley, Saran Sohi,
Stuart Haszeldine, David Manning and Ondrej Masek. First Author Akash Kaintura, Research Scholar at Department
[12] Biochar 101- James Bruges of Electrical Engineering, THDC Institute of Hydropower
[13] Biochar and carbon sequestration- Illinois sustainable technology center, Engineering and Technology, Email: akaintura11@gmail.com
Prairie Research Institute - http://www.istc.illinois.edu/research/biochar.cfm Second Author Manish Gusain, Research Scholar at
[14] Stuart Licht, Baohui Wang, Susanta Ghosh, Hina Ayub, Dianlu Jiang and Department of Mechanical Engineering, THDC Institute of
Jason Ganley (2010) A New Solar Carbon Capture Process: Solar Thermal
Electrochemical Photo (STEP) Carbon Capture. J. Phys. Chem. Lett.,
Hydropower Engineering and Technology, Tehri, Uttarakhand,
doi:10.1021/jz100829s India. Email: gusain.manish94@gmail.com
[15] ABSORPTION CHARACTERISTIC OF CONTINUOUS
CO2 ABSORPTION PROCESS, Sung-Youl Park, Byoung-Moo Min, Jong-
Sup Lee, Sung-Chan Nam, Keun-Hee Han and Ju-Soo Hyun
[16] Important Factors Affecting Carbon Dioxide Removal Efficiency By Using
Extra-high Concentrated Monoethanolamine Solutions and High-Capacity
Packings, A. Aboudheir, D. deMontigny, P. Tontiwachwuthikul, and A.
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Abstract- Bioacoustics is the science that combines biology and in communication [1]. Whistles that continues unlimited, giving
acoustics and refers to the production of sound, dispersion and signals frequency [8] , with various wide emissions of 800 Hz
reception by/to animals and humans. This study used acoustic and 28.5 KHz [9] often there are harmonic components [8].
and behavioral observations of dolphins to see the different Dolphin hearing ranges from about 50 Hz-150 KHz , with
patterns of sound, and describe behavior physiotherapy pool at somevariation among species [9]. Because the science of
Safari Park Indonesia, Cisarua Bogor. Power Spectral Density acoustics is growing rapidly for dolphins , researchers formerly
(PSD), the frequency range of the whistle sound different from had been exercising records and analysis vocalization [10]. This
one another. The highest intensity values that are at the sound of study aims to analyse and distinguish characteristics of the
the whistle 3 after eat show pool with an intensity value of 25.57 whistle sound of a male bottlenosebottle nose (Tursiops aduncus)
dB at a frequency of 14470 Hz. Test result F before eating in the pool physiotherapy , by using passive recordings and and
physiotherapy pool have in common (Homogeneous) contained behavioral observations.
in the relationship between the time 500 to 600 with the results of
the whistle 1, 2, 3, and 4 are Reject Ho (Fhit> F table). Position
of dolphins in a pool physiotherapy more dominant and often II. TOOLS AND MATERIALS
located in the bottom of the pool. Currently little is known about the bottlenose dolphin sound
type referred to as yelping (burst) , which is characteristized by
Index Terms- Bioacoustic, Male bottlenose dolphins (Tursiops spectral , temporal , and amplitude as a shrill sound pulse whistle
aduncus), Frequency, Intensity type very few researchers have explored. As for early description
in literature, most of it is only qualitative , that reflects
subjective interpretation and classification hearing in [7]. The
I. INTRODUCTION sound of a whistle generally used for echolocation , while the
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Table 1. Time, Minimum intensity, Maximum intensity, Mean Frequency, and Range intensity
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Table 1 showed time, minimum intensity, maximum time of 100 to 200, 200 to 300, 300 400, 400 to 500, and 600 to
intensity, mean frequency, and range intensity. The intensity 700 ms is not uniform by seeing patterns and relationships (F
range that is currently on the whistle 4 at 400 ms, and the low Test).
intensity range is on a whistle 2 at a time of 500 ms. F test based
on Table 2 the sound of the whistle 1 at 100 to 200, 200 to 300
ms, 300 to 400 ms, 400 to 500 ms has a value of P> 0.001, while VII. CHARACTERISTIC OF DOLPHIN SOUND
the sound of the whistle of 500 to 600 ms, 600 to 700 have a Whistle sound is the sound produced dolphins from melon
value of P <0.001 , 2 whistle sound at the time of 100 to 200, 200 (the sound source). The sound produced by the dolphin which is
to 300 ms, 300 ms to 400, 400 to 500 ms, and 600 to 700 ms has usually referred to as a marker signal, and the sound of the
a value of P> 0.001, while the sound of the whistle of 500 to 600 whistle is also used to maintain communications between
ms has a value of P <0.001. 3 whistle sound at the time of 200 to individual dolphins [20]. Whistle sounds produced by dolphins
300 ms, 300 ms to 400, 500 to 600 ms, and 600 to 700 ms has a can reach 17.04 KHz [1]. The original spectrum by analyzing the
value of P> 0.001, while the sound of the whistle 100 to 200, 500 pattern of MATLAB to see the number of existing spectrum
to 600 ms has a value of P <0.001. 4 whistle sounds at 100 to whistle sounds. Whistle sound used is 4-5 sounds in the range
200, 200 to 300 ms, 300 ms to 400, 400 to 500, 500 to 600 ms, within 5 minutes. Original sound of the whistle an original
and 600 to 700 ms has a value of P <0.001. Test results F have in spectrum that has not been done filter. Original Sound whistle at
common (Homogeneous) contained in the relationship between physiotherapy pool can be seen in Figure 1,2,3,4,
the time 500 to 600 with the results of the whistle 1, 2, 3, and 4
are Reject Ho (Fhit> F table), while the sound of a whistle with a
1
Figure 2 Original sound of the whistle 2
Figure 1has obtained the original sound 3 sound patterns that 650 ms, whereas in figure 4 have a sound pattern more than the
are at a time of 50-100 ms, 240-350 ms and 540-600 ms. Figure sound of 1, 2 , 3, the whistle 4 has 5 sound patterns with time is
2 has three very strong pattern of the spectrum which is located 0-50 ms, 150-200 ms, 400-450 ms, 500-550 ms, and the last 600-
at 200-230 ms, 240-300 ms and 500-600 ms. Figure 3 also has a 650. Results of original whistle sound generated at a pool
third voice pattern of how during 10-80 ms, 300-350 ms and 550- physiotherapy and show the treatment before and after meals
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have the same maximum time range is 700 ms, has a number of transmission system. PSD is a variation of the power (energy) as
different patterns and have a different pattern each time. a function of frequency spectrum in the form of density estimated
According to [21], [24], [25] mean duration of the sound of the using FFT, PSD method is one of the modern spectral estimation
whistle on common bottlenose dolphin that was dipenangkaran / technique proposed during this decade [22] Figure 5 shows the
pool which is about 600 ms. Results of this spectrum shows the four whistle sound generated by the value of Power Spectral
original time range sound made by previous research have a Density (PSD), which is found in the highest with 24.30 dB are
range of almost the same time with a difference of 100 ms shown in black color on 4 when the whistle sounds before eating
difference. physiotherapy pool (indicated by black circles). The highest
Power Spectral Density (PSD) function to equalize the intensity value lies in the frequency interval of 14100 Hz, while
number of rows and columns of data matrix m-file from the the lowest value that is located on the second whistle with a
sound recording process. Power spectral density is a useful frequency of 8200 Hz with a value of Power Spectral Density
concept to determine the optimum frequency band of the signal (PSD) 22.70 dB as indicate
d by the blue line.
Figure 6 shows the behavior of dolphins at physiotherapy 4 look the dolphins on the surface. This explains the position of
pool with the sound of the whistle 3 physiotherapy seen dolphins dolphins in a pool physiotherapy more dominant and often
are in the same pool with the surface, while the whistle 1, 2, and located in the bottom of the pool (less doing the movement). The
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 168
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position of the movement and the ecology of common bottlenose [12] McCowan, B., & Reiss, D. (1995a). Quantitative comparison of whistle
repertoires from captive adult bottlenose dolphins (Delphinidae, Tursiops
dolphin whistle to sound produced will affect the frequency truncatus): A re-evaluation of the signature whistle hypothesis. Ethology,
generated by dolphins (Papale et al. 2014). 100, 194-209. doi: 10.1111/j.1439-0310.1995.tb00325.x
[13] McCowan, B., & Reiss, D. (1995b). Whistle contour development in
captive-born infant bottlenose dolphins (Tursiops truncatus): Role of
IX. CONCLUSION learning. Journal of Comparative Psychology, 109, 242-260. doi:
10.1037/0735-7036.109.3.242
Male Indo-Pacific bottlenose dolphins (Tursiops aduncus) in [14] Reiss, D. (1988). Observations on the development of echolocation in
Cisarua, Bogor Indonesia has power Spectral Density (PSD) and young bottlenose dolphins. In P. E. Nachtigall & P. W. B. Moore (Eds.),
frequency range of the whistle sound different from one another. Animal sonar (pp. 121-127). New York: Plenum Publishing.
The highest intensity value is the sound of a whistle 4 with [15] Fripp, D. (2005). Bubblestream whistles are not representative of a
bottlenose dolphins vocal repertoire. Marine Mammal Science, 21, 29-44.
intensity values 23.40 dB at a frequency 14100-14200 Hz. doi: 10.1111/j.1748-7692.2005.tb01206.x
Position of dolphins in a pool physiotherapy more dominant and [16] Brook,D. and R.J. Wynne. 1991. Signal Processing: Principples and
often located in the bottom of the pool. Applications. Edward Arnold, a division of Hodder and Stoughton Limited,
Mill Road, Dunton Green. Great Britain.
[17] Krauss,T.P.,L. Shure and J.N.Little 1995. Signal Processing Toolbox: For
Use with Matlab. The Mathworks, Inc.
ACKNOWLEDGEMENTS
[18] Winn, H.E. 1991. Acoustic Discrimination By The Road FishWith
I express my sincere thanks to the referees for their valuable Comments On Signal System. P 361 381. In Howard E. Winn. Dan Bori J.
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are grateful to the park of safari which already allowed the
[19] Herzing Denise L, 1996 Vocalizations and associated underwater behavior
authors to collect data during the research. The authors also of free-ranging Atlantic spotted dolphins, Stenella frontalis and bottlenose
thanks to lecturers Dr.Ir Sri Pujiyati , Dr. Ir. Totok Hestirianoto dolphins, Tursiops truncates, Aquatic Mammals 1996, 22.2, 61-79. Florida
and research associates Pratiwi Dwi Wulandari BSc in Atlantic University, Biological Sciences, Boca Raton, FL 33431, USA
Department Marine Science and Technology, Bogor Agricultural [20] Cahill, T.2000. Dolphins National Geografic Society. Washington DC.
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Fourth Author Pratiwi Dwi Wulandari, Department of Marine
sources of sound on fishes. Journal of Fish Biology (2009) 75, 455489. Science and Technology Faculty of Fisheries and Marine
[11] Simmonds J. & MacLennan D. 2005. Fisheries Acoustics: Theory and Sciences Bogor Agricultural University Jln. Agatis, Kampus IPB
Practice, second edition. Blackwell. Dramaga Bogor 16680 Indonesia
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Horticultural College and Research Institute, Dr.Y.S.R. Horticultural University, Venkataramannagudem, West Godavari dt., A.P
Abstract- An experiment was laid out with four spacings flowers and the value added products from tuberose, there is a
(30x20cm, 30x30cm, 45x20 cm, 45x30 cm), three bulb sizes need to increase the productivity of this crop.
(<2.0 cm, 2.0-3.0 cm and >3.0 cm) and two depths of planting Fertilizers have great influence on growth and flower
(2.5cm and 6.0cm) in a randomized block design with three production in tuberose. Effect of chemical fertilizers and organic
replications to study their individual and interaction effects on manures on tuberose production has been reported by several
vegetative growth and flower yield in tuberose cv. Suvasini. All authors for different geographical regions [2], [3] and [4].
vegetative growth parameters except total chlorophyll content Nitrogen, phosphorus and potassium have a significant effect on
and all spike quality parameters spike for girth were found spike production and floret quality [5]. Poultry manure is
significantly influenced with wider spacing (45x30cm). excellent organic manure, as it contains high nitrogen,
Longivity of the spike on the field was found significantly phosphorus, potassium and other essential nutrients [6].
maximum (15.77 days) with wider spacing (45x30cm), whereas, Vermicompost has been shown to have high levels of total and
spike yield per plot (107.83) and per hectare (2.72 lakh ha-1) available nitrogen, phosphorus, potassium, micronutrients,
were found significantly maximum with optimum spacing microbial and enzymatic activities and growth regulators [7].
(30x30 cm). The large bulb size (>3.0cm) recorded significant Hence the research work has been done to study the fertilizers,
increase in all growth and spike parameters and spike yield per organic manures and micronutrients on growth and yield of
hectare. Planting the bulbs at shallow depth (2.5cm) resulted in tuberose cv. Suvasini.
the early sprouting, flower spike emergence, floret opening and
spike girth. The length of spike, number of spikes per plot and
hectare and longevity of spike in field increased significantly at II. RESEARCH METHODOLOGIES
deeper depth (6.0 cm). The bigger sized bulbs (more than 3.0 cm) The present investigation was carried out at the
planted at optimum spacing (30x30 cm) and at 6.0 cm depth of Horticultural College and Research Institute,
planting was found best to get maximum commercial advantage Venkataramannagudem, Andhra Pradesh. An experiment was
for achieving higher flower yield. laid out with about 10 treatments as given in the table 1. in a
randomized block design with three replications to study their
Index Terms- Tuberose, organic manures, inorganic fertilizers individual and interaction effects on vegetative growth and
and micronutrients, flower yield. flower yield in tuberose cv. Suvasini.
(Telugu). Tuberose occupies a very selective and special RDF 50% + FYM 25 % + Neem cake 25 %
T2
position among the ornamental bulbous plants which are valued
much by the aesthetic world for their serene beauty of the flower RDF 50% + Vermicompost 25 % + Neem cake25 %
T3
spikes, bright snow-white flowers and delicacy of fragrance to
transform the entire area into a nectarine and joyous one. The RDF 50% + Poultry manure25 % + Neem cake 25 %
T4
lingering delightful fragrance and excellent keeping quality are
the predominant characteristics of this crop. It has a great RDF 50% + FYM 50%
T5
economic potential for cut and loose flower trade and essential
oil industry. The spikes are excellent for vase and other floral RDF 50% + Vermicompost 50%
T6
decorations. The spikes lasts long in vase for 10-15 days [1]. The
natural flower oil of tuberose is one of the most expensive raw RDF 50% + Poultry manure 50%
T7
material for perfume industry. To meet the ever increasing
domestic market demand and to tap the export potential of fresh T8 RDF 100% + Zinc 2% at 30, 60 DAP
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mineralization process to be executed for bringing nitrogen in Therefore, an integrated approach with specific emphasis on
available form. This process is essentially a soil microbiological organic manures along with chemical fertilizers and micro
process carried out by the soil heterotrophic micro flora which is nutrients may be encouraged to produce maximum vegetative
a slow process. As a result the entire nitrogen becomes available growth, spikes with best quality considering soil health in view
to the plants over an extended period of time. These results are in for popularizing the cultivation of tuberose cv. Suvasini.
conformity with the findings of [16] and [11] in rose,[17]
and[10] in tuberose. Maximum number of florets per spike was
recorded by application of RDF 50% in combination with poultry REFERENCES
manure 25% and neem cake 25% might be due to fast release of [1] Sadhu, M. K, and T.K. Bose. 1978. Tuberose for most artistic garlands.
nutrients and increased levels of both macro and micronutrients Indian Journal. Horticulture. 15: 17-20.
and more absorption area. These factors increased the plant [2] Yadav, L. P., Kumar, D. and Maity, R.G. 1985. Response of tuberose
growth and leaf area by which more photosynthates produced (Polianthes tuberosa L.) to nitrogen and phosphorus fertilization,
Progressive Horticulture. 17(2):83-86.
and resulted in production of more number of florets per spike.
[3] Singh, S. R. P., Dhiraj, K., Singh, V. K. and Dwivedi, R. 2005. Effect of
These results were also found to be in conformity with findings NPK fertilizers on growth and flowering of tuberose cv. Single. Haryana
of [18] and [19] in marigold. Journal of Horticulture. 34:84-86.
The increased spike yield could be due to increase in the [4] Shankar, Lal, Lakhawat, S. S. and Choudhary, M. K. 2010. Effect of
yield attributing characters such as number of leaves, leaf area organic manures and bio-fertilizers on growth, flowering and bulb
index, and total chlorophyll content. The increased spike yield production in tuberose. Indian Journal of Horticulture. 64(4): 554-56.
might be due to application of poultry manure in combination [5] Singh, S. R. P., Kumar, D. and Singh, V. K. 2004. Effect of NPK
combinations on growth and flowering of tuberose (Polianthes tuberosa L.)
with chemical fertilizers might be attributed to higher cv. Double, Muzaffamagar, India. Plant Archives. 4(2):515-17.
mineralization of various essential elements due to increased [6] Garg, S. and Bahla, G. S. 2008. Phosphorus availability to maize as
microbial activity and organic colloids resulting in better influenced by organic manures. Bioresearch Technology. 99: 773-77.
availability and uptake of these elements ultimately resulting in [7] Chaoui, I., Zibiliske, M. and Ohno, T. 2003. Effect of earthworm easts and
increased photosynthetic activity. The increased photosynthetic compost on soil microbial activity and plant nutrient availability. Soil
Biology and Biochemistry. 35:295-302.
activity in turn would have increased assimilation of
[8] Kishore, G.R. and Singh, P.V. 2006.Effect of N.P.K. fertilization on
photosynthates resulting in a higher C:N ratio [20]. An increase vegetative growth of tuberose (Polianthes tuberosa L.) cv. Single. Plant
in the higher C: N ration might have helped in increasing number Archives. 6(1): 377-78.
of spikes, number of florets per spike, spike weight and spike [9] Padaganur, V. G, Mokashi, A. N. and Patil, V. S. 2010b. Flowering, flower
yield per plot. Similar results were also reported by [11] as quality and yield of tuberose as influenced by vermicompost and farmyard
reported that poultry litter performed the best in respect of flower manure. Karnataka Journal of Agricultural Sciences. 18:729-34.
characters and flower yield followed by cow dung and [10] Kabir, A. K. M. R., Iman, M. H., Mondal, M. M. A. and Chowdhury, S.
2011. Response of Tuberose to Integrated Nutrient Management. Journal of
vermicompost in tuberose. These results are in accordance with Environmental Science and Natural Resources. 4(2): 55-59.
[17] who reported that poultry litter performed better in flower [11] Singh, A.K., Deepti, S. and Shiva, J. 2006. Response of manures and bio-
yield than cow dung in tuberose. fertilizers on growth and flowering in rose, Journal of Ornamental
In this study the treatment T 1 (100% RDF) and T 10 Horticulture. 9(4): 278-81.
(control) recorded less spike yield. The reduction of spike yield [12] Ndubuaku, U.M. and Kassim, A. 2003. Use of organic and inorganic
may be due to poor initial vegetative growth leading to reduction fertligers to improve the rate of cocoa seedling establishment in the field in
Nigeria. Forest Trees Livelihood. 13(1): 101-06.
in yield attributing characters. Efficacy of the inorganic
[13] Geethapandey, Kumar, S. and Kumar, A. 2010. Effect of integrated nutrient
fertilizers was pronounced when they are combined with organic management on growth and flowering of chrysanthemum (Dendranthema
manures was the probable remedy for this problem. Similar grandiflora Tzvelev.). Journal of Ornamental Horticulture. 13(2): 112-16.
results were obtained by [21] as reported that lowest flower yield [14] Chopde, M.R, Shalini, P. and Bhongle, S. A. 2007. Integrated nutrient
with only chemical fertilizers due to production of fewer florets management in tuberose. Advances in Plant Sciences. 20(2): 443-44.
per spike. [15] Ranjan, S., Preetham, S. P. and Satish, C. 2014. Effect of organic manures
and biofertilizers on vegetative, floral and post harvest attributes in tuberose
The above results revealed that the higher vase life with cv. Shringar. Asian Journal of biological and life sciences. 3(1): 69.
application of 50% RDF in combination with 25% poultry [16] Jat, N.L., Jain, N.K. and Choudhary, G.R. 2006. Integrated nutrient
manure along with 25% neem cake may be attributed to management in fenugreek (Trigonella foenum-graecum L.). Indian Journal
consistent and slow release of nutrients throughout the growing of Agronomy. 51(4): 331-33.
period. Increased nutrient uptake by plants resulted greater water [17] Padaganur, V. G., Mokashi, A. N. and Patil, V. S. 2005. Effect of Growth
conducting tissues which in turn lead to maintaining turgidity. Regulators on Growth and Yield of Tuberose cv. Single. Karnataka Journal
of Agricultural.Science. 18 (2): 469-73.
Similar results were also reported by [22]) and [15] in tuberose.
[18] Bhat, Z. A. and Shepherd, H. 2006. Effect of source and level of nitrogen
on growth, flowering and yield in African marigold (Tagetes erecta L.).
Journal of Ornamental Horticulture. 9(3): 218-20.
IV. CONCLUSION [19] Pooja, G. S. and Kumari D, S. N. 2012. Response of African marigold
(Tagetes erecta L.) to integrated nutrient management. Annals of Biology.
Based on the results of experiment, it could be concluded 28(1): 66-67.
that application of 50% RDF along with poultry manure 50% [20] Smith, 1950. Poultry manure A Fertilizer Digest. 5: 550-657.
was found promising for good growth and higher spike yield [21] Schuphan, W. 1974. Nutritional value of crops as influenced by organic and
with best quality. The above results indicated that there is ample inorganic fertilizers. Results of 12 years experiments with vegetables. Qual.
scope for substitution of inorganic fertilizers with organic Plant- Pl. Fds. Human Nutrition. 23: 233-358.
manures.
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[22] Tripathi, S. K., Malik Sunil, Singh, I.P., Dhyani, B. P., Kumar Vipin, Third Author V. Vijaya Bhaskar, D. R. Salomi Suneetha and
Dhaka, S. S. and Singh, J.P. 2012. Effect of integrated nutrient management
on cut flower production of tuberose (Polianthes tuberosa L.) var. Suvasini.
K. Umakrishna , Assistant Professor, Horticultural College and
Annuals of Horticulture. 5(1):108-15. Research Institute, Dr.Y.S.R.Horticultural University,
Venkataramannagudem, West Godavari dt., Andhra Pradesh
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Abstract- Today the world is highly competitive. In order to be successful in todays world it is essential to be highly productive.
Productivity can be improved in many ways. In this paper the scope for implementation of Overall Equipment Effectiveness (OEE) in
a fabrication industry are presented. Using Overall Equipment Effectiveness one can determine the present condition of the machines,
worker-skill and utilization of machine in the industry and also identify the scope for improvement. Two critical machines have been
identified and studied and the results are presented.
I. INTRODUCTION
T he present work is based on the study conducted in a fabrication industry. The industry specializes in MMU/ Doped emulsion
Pump truck, /Straight Emulsion Pump, Slurry pump trucks, etc. In todays competitive world it very crucial to stay ahead of the
competition to survive. This can be done through effective utilization of resources already available at one disposal. Overall
Equipment Effectiveness is a very useful tool in that respect. The firm under consideration faces a constant problem of low
performance and even lower utilization of available resources. The present work is about increasing the overall equipment
effectiveness of critical machines in the industry.
II. BACKGROUND
The present scenario of the company was studied. The usage of available equipments, difficulties faced by the industry, the
possibilities to overcome the difficulties was also studied. The main purpose of the study was to understand the existing work system
in the industry. Identification of critical machines was also done.
OEE can expressed as the ratio of the actual output of the equipment divided by the maximum output of the equipment under the best
performance condition. OEE is used to determine the overall performance of the equipment and to determine how effectively the
machine is running. OEE depends on three basic components: Availability, Performance and Quality.
OEE is a simple tool that will help to measure the effectiveness of their equipment. It takes the most common and important sources of
productivity loss, which are called six big losses and given in Table I.
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These losses are quantified as availability, performance rate and quality rate in order to estimate OEE as given in equation (1).
C. CASE STUDY
The case study was carried out in a Fabrication industry located in Nagpur. The overall equipment effectiveness has been measured to
know the present situation of the industry. Two critical machines have been identified and studied using overall equipment
effectiveness calculations. OEE of various kinds of machines gives the best understanding of the issues.
Calculation of availability denotes how effectively the machine is operating. Ability of workers and machines can be given by
performance efficiency. Quality rate gives how efficiently the machine is being utilized.
There are many methods that can be used to identify criticality of machines like Grading of Machine, More Cycle Time,
Lowest Output, Employee Suggestion, etc.
E. GRADING OF MACHINE
The five factors which are used to categorize the machine are frequency of operation, volume of operation, failure,
availability of alternatives and cost factor.
The average points above two in each criteria is considered as having a significant effect in deciding the criticality of the
machinery which is shown in Table II and 2 bottle neck machines were found out and shown in Table III. 5 bottleneck
machines were selected based on criteria, all of which comes under the grading of machines criterion.
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Based on the results obtained bending machine and welding machines were identified as critical machines.
Total Production 281 433 421 424 307 265 311 392 403 313 3550
Scrap 8 18 15 16 11 17 16 14 18 13 146
Total Available 420 420 420 420 420 420 420 420 420 420 4200
Time
Scheduled 300 240 240 240 300 300 300 240 240 300 2700
Downtime
Unscheduled Down 23 15 12 18 13 13 15 26 22 14 171
Time
Operating Time 97 165 168 162 107 107 105 154 158 106 1222
Ideal Run Rate/min 4 4 4 4 4 4 4 4 4 4 4
Availability 80.8 91.7 93.3 90.0 89.2 89.2 87.5 85.6 87.8 88.3 88.6
Performance 72.4 65.6 62.6 65.4 71.7 61.9 74 63.6 63.8 73.8 66.8
Quality 97.2 95.8 96.4 96.2 96.4 93.6 94.9 96.4 95.5 95.8 95.9
O.E.E (%) 56.9 57.6 56.4 56.7 61.7 51.7 61.5 52.5 53.5 62.5 56.7
From the data analysis it can be concluded that the OEE of bending machine was 56.7 % from 10 shifts during the month of
November and December.
Data collected during the month of November and December for 10 shifts for welding machine.
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100
80
60
40
20
0
1
100
80
60
40
20
0
1
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V. CONCLUSION
Based on the study conducted it can be concluded that the both the critical machines .i.e. bending machine and welding machine
have scope for improvement in OEE since the existing levels are less than that of world-class OEE levels. It can also be observed that
out of availability, performance and quality factor, performance is the one that is lagging the most and bringing the OEE levels down
in both bending machine and welding machine respectively.
REFERENCES
[1] Soniya Parihar, Sanjay Jain, Dr. Lokesh Bajpai, 2012, Calculation of OEE for an Assembly Process, International Journal of Research in Mechanical Engineering
& Technology, Vol. 2, Issue 2, pp. 25-29.
[2] R. Raguram, 2014 Implementation of Overall Equipment Effectiveness (OEE), Middle-East Journal of Scientific Research Volume 20,issue 5, pp. 567- 576.
[3] S. R.Vijayakumar, S. Gajendran, 2014 Improvement Of Overall Equipment Effectiveness (OEE) In Injection Molding Process Industry, IOSR Journal of
Mechanical and Civil Engineering, e- ISSN: 2278-1684, p-ISSN : 2320334X, pp 47-60.
[4] Disha M Nayak , Vijaya Kumar M N, G. Sreenivasulu Naidu, Veena Shankar, 2013 Evaluation Of OEE In A Continuous Process Industry On An Insulation Line
In A Cable Manufacturing Unit, International Journal of Innovative Research in Science, Engineering and Technology Vol. 2, Issue 5, pp. 1629-1634.
[5] E. Sivaselvam, S. Gajendran, 2014 Improvement of Overall Equipment Effectiveness in a Plastic Injection Moulding Industry, IOSR Journal of Mechanical and
Civil Engineering (IOSR-JMCE), e- ISSN: 2278-1684, p-ISSN: 2320334X, pp. 12-16.
[6] Amit Kumar Gupta, Dr. R. K. Garg, 2012 OEE Improvement by TPM Implementation: A Case Study, International Journal of IT, Engineering and Applied
Sciences Research (IJIEASR), Vol. 1, No.1, pp. 115-124.
AUTHORS
First Author Siddharth S.Ghosh, B.E in Mechanical Engineering, Shri Ramdeobaba College of Engineering and Management,
Siddharth.ghosh97@gmail.com
Second Author Dr. Mahendra M. Gupta, PhD in Mechanical Engineering, Shri Ramdeobaba College of Engineering and
Management, guptamm@rknec.edu.
Correspondence Author Siddharth S.Ghosh,Siddharth.ghosh97@gmail.com, ghoshss1@rknec.edu, +917709012921.
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Abstract- There are many unsolved problems that computers A. Dynamic Programming (DP)
could solve if the appropriate software existed. Many real time
problems are currently unsolvable such as Flight control systems Dynamic programming is a technique for computing optimal
for aircraft, automated manufacturing systems, and sophisticated policies. An optimal policy can, by definition, be used to
avionics systems, not because current computers are too slow or maximize reward, so DP can be very useful under the right
have too little memory, but simply because it is too difficult to circumstances.
determine what the program should do. If a computer could learn
to solve the problems through trial and error, that would be of Drawbacks of Dynamic Programming
great practical value. Reinforcement Learning is an approach to It requires a perfect model of the environment
machine intelligence that combines two disciplines: Dynamic It requires a considerable amount of computation.
Programming and supervised learning to successfully solve
problems that neither discipline can address individually. B. Policy Improvement:
Encouraged by this emerging technique, this document briefly
reviews the basic study of reinforcement learning, its various One of the most basic DP methods is to compute the exact value
techniques and applications of it in various fields. function for a given policy, and then use that value function to
produce a new policy. If we assume that we have a good value
Index Terms- Dynamic Programming, Monte carlo, Temporal function that assigns a value to each state, a sensible policy is
difference often to simply move to the adjacent state with the highest value.
(Adjacent state in this sense is defined as any state that can be
I. INTRODUCTION reached with a single action.) In this way, the policy can be
updated using the improved value function. This technique is
called policy improvement.
Reinforcement learning is one of the more recent fields in
artificial intelligence. Reinforcement learning is an area of Drawback of Policy Improvement:
machine learning in which agent (learner) learns by interaction
with the environment [2]. In this, reward signal is provided to the
The problem with policy improvement is that computing the
agents so it can understand and update performance accordingly.
exact value function can take a considerably long time, since
While there are a few different types of learning, reinforcement it requires iterating many times over every possible state.
learning normally helps adjust our physical actions and motor
Even simple problems can have environments with a number
skills. The actions an organism perform result in feedback,
of states so large that such iteration is realistically impossible.
which in turn is translated into a negative or positive reward for
that action. Reinforcement learning is learning what to do--how
to map situations to actions--so as to maximize a numerical C. Monte Carlo (MC)
reward signal [1]. The learner is not told which actions to take, as Monte Carlo techniques, on the other hand, require no
in most forms of machine learning, but instead must discover knowledge of the environment at all. They are instead based on
which actions yield the most reward by trying them [1]. accumulated experience with the problem. As the name might
Reinforcement learning is used in areas like Robot navigation, suggest, MC is often used to solve problems, such as gambling
Adaptive control, combinatorial optimization, Game playing, games that have large numbers of random elements.
Computational Neuroscience [4]. Like DP, MC centres on learning the value function so that the
policy can be improved. The simplest way of doing this is to
In Section I, basics related to reinforcement learning is average each reward that a given state (or state-action pair, if that
introduced. In section II, various techniques of reinforcement is the type of value function being used) results in. For example,
learning with its drawback is explained. Tic -Tac in a game of poker, there are a finite number of states (based on
the perceptions of the player) that exist. An MC technique would
be to keep track of the rewards received after each state, and then
II.REINFORCEMENT LEARNING TECHNIQUES make the value of each state equal to the average of all the
rewards (money won or lost) encountered following that state (in
There are many different techniques for solving problems using that particular game). Assuming an agent has Royal Flush state
reinforcement learning. had been encountered at all, the value for that state would
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probably be very high. On the other hand, an agent has a estimation of the value of the next state, TD is considered to
worthless hand state would probably have a very low value. predict the next value.
Obviously, accumulating useful value data for states requires TD ( ):
many repeat plays of the game. TD (0) predicts ahead one step. There is a more generalized form
of TD prediction called n-Step TD Prediction, characterized by
Drawback of Monte Carlo: TD (). This uses a mechanism called an eligibility trace that
Since MC learns with experience, many repetittions of keeps track of which states (or state-action pairs) leading upto the
problems are required. current state are responsible for the current state, and then
It is possible to solved problems using MC by exploring updates the values of those states to reflect the extent to which
every possibility and then generating an optimal policy. they made a difference. As Sutton & Barton (1998) point out, the
However, this can take a long time, (the number of generalized MC method can be considered a form of TD() that
variables in a human poker game make the number of states tracks the entire sequence of actions and then updates all the
huge) and for many problems (like black jack), the visited states (without using a discount factor) once a reward has
randomness is so great that, a solution doesnt result in been reached. MC, in other words, can be considered a form of
winning even half the time. TD that is on the opposite end of the spectrum from TD (0). TD
(0) only predicts one state, but MC predicts every state (though
D. Temporal Difference (TD) in this sense prediction refers to learning about past events).
Using TD () in this way results in some of the same problems
One of the problems common to both dynamic programming and
that MC has, in that some information isnt learned about a state
Monte Carlo is that the two techniques often dont produce
until well after that state has been encountered. However, if
information thats useful until a huge number of possible states
multiple episodes are expected in the same environment, the
have been encountered multiple times. It is possible to get over
information learned during one episode will become useful in the
this problem with some DP methods by localizing updates, but in
next episode. Also, if the same state is visited twice, the
that case, the problem remains that DP requires a perfect model
information will be immediately useful. [2]
of the environment.
One solution to these problems lies in the method of temporal
difference (TD), which combines many of the elements of DP
IV. TIC-TAC-TOE GAME
and MC.
Like MC, TD uses experience to update an estimate of the value Consider the familiar child's game of tic-tac-toe. Two players
function over time. Like MC, after a visit to a state or state-action take turns playing on a three-by-three board. One player plays Xs
pair, TD will update the value function based on what happened. and the other Os until one player wins by placing three marks in
However, MC only updates after the run-through of the problem, a row, horizontally, vertically, or diagonally, as the X player has
or episode, has been completed. It is at that point that MC goes in this game:
back and updates the value averages for all the states visited,
based on the reward received at the end of the episode.
TD (0):
TD, on the other hand, updates after every single step taken. The
general methodology for basic TD, sometimes called TD (0), is
to choose an action based on the policy, and then update the
value of the current state based on the sum of the reward given
by the following state and the difference in values between the
current and following state. This sum is often multiplied times a
constant called a step-size parameter. This technique of updating
to new estimates based partly on current estimates is called
Figure 3.1 Tic-tac-toe game[1]
bootstrapping.
TD works well because it allows the agent to explore the
environment and modify its value function while its working on
If the board fills up with neither player getting three in a row, the
the current problem. This means that it can be a much better
game is a draw. Because a skilled player can play so as never to
choice than MC is for problems that have a large number of steps
lose, let us assume that we are playing against an imperfect
in a given episode, since MC only updates after the episode is
player, one whose play is sometimes incorrect and allows us to
completed. Also, if the policy depends partly on the value
win. For the moment, in fact, let us consider draws and losses to
function, the behaviour of the agent should become more
be equally bad for us. Here is how the tic-tac-toe problem would
effective at maximizing reward as updating continues. This is
be approached using reinforcement learning and approximate
called using TD for control (as opposed to simply predicting
value functions. First we set up a table of numbers, one for each
what future value), and there are a number of well-known
possible state of the game. Each number will be the latest
algorithms, such as Sarsa and Q-Learning, that do it.
estimate of the probability of our winning from that state. We
treat this estimate as the state's value, and the whole table is the
TD is often used with state-action pair values rather than simply
learned value function. State A has higher value than state B, or
state values. Since the value of a given state-action pair is an
is considered "better" than state B, if the current estimate of the
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probability of our winning from A is higher than it is from B. is an example of a temporal-difference learning method, so called
Assuming we always play X s, then for all states with three Xs in
because its changes are based on a difference, V ( s ) V ( s ) ,
a row the probability of winning is 1, because we have already
between estimates at two different times.
won. Similarly, for all states with three Os in a row, or that are
The method described above performs quite well on this task.
"filled up," the correct probability is 0, as we cannot win from
For example, if the step-size parameter is reduced properly over
them. We set the initial values of all the other states to 0.5,
time, this method converges, for any fixed opponent, to the true
representing a guess that we have a 50% chance of winning. We
probabilities of winning from each state given optimal play by
play many games against the opponent. To select our moves we
our player. Furthermore, the moves then taken (except on
examine the states that would result from each of our possible
exploratory moves) are in fact the optimal moves against the
moves (one for each blank space on the board) and look up their
opponent. In other words, the method converges to an optimal
current values in the table. Most of the time we move greedily,
policy for playing the game. If the step-size parameter is not
selecting the move that leads to the state with greatest value, that
reduced all the way to zero over time, then this player also plays
is, with the highest estimated probability of winning.
well against opponents that slowly change their way of playing.
Occasionally, however, we select randomly from among the
Although tic-tac-toe is a two-person game, reinforcement
other moves instead. These are called exploratory moves because
learning also applies in the case in which there is no external
they cause us to experience states that we might otherwise never
adversary, that is, in the case of a "game against nature."
see. A sequence of moves made and considered during a game
Reinforcement learning also is not restricted to problems in
can be diagrammed as in Figure 3.2.
which behaviour breaks down into separate episodes, like the
separate games of tic-tac-toe, with reward only at the end of each
episode. It is just as applicable when behaviour continues
indefinitely and when rewards of various magnitudes can be
received at any time [1].
CONCLUSION
The Reinforcement learning can efficiently solve many real time
applications. Unlike supervised learning, reinforcement learning
systems do not require explicit input-output pairs for training. It
can be efficiently used in various applications like robot
navigation, Game playing and for dynamic allocation of
channels. Reinforcement learning is an extension of classical
dynamic programming in that it greatly enlarges the set of
problems that can practically be solved.
REFERENCES
[1] Sutton, R.S. and Barto, A. G. Reinforcement Learning: An
Figure 3.2 A sequence of tic-tac-toe moves [1]. Introduction. MIT Press. 1998.
[2] Albert Robinson.CS242FinalProject: Reinforcement Learning. May 7,
Here, The solid lines represent the moves taken during a game; 2002.pp: 2-6
[3] Mance E. Harmon and Stephanie S. Harmon. Reinforcement
the dashed lines represent moves that we (our reinforcement Learning: A Tutorial. pp:2
learning player) considered but did not make. [4] B. Ravindran. Reinforcement Learning: Learning from Interaction,
While we are playing, we change the values of the states in Winter School on Machine Learning and Vision, 2010.
www.findthatpowerpoint.com/search-31849170hDOC/download-
which we find ourselves during the game. We attempt to make documents ravindran-tutorial.ppt.htm
them more accurate estimates of the probabilities of winning. To [5] S. Rajasekaran and G.A. Vijayalakshmi Pai. Neural Networks, Fuzzy
do this, we "back up" the value of the state after each greedy Logic and Generic Algorithms synthesis and applications, PHI
move to the state before the move, as suggested by the arrows in Learning private limited,Newdelhi,2011.pp:19
Figure 3.2 More precisely; the current value of the earlier state is
adjusted to be closer to the value of the later state. This can be
done by moving the earlier state's value a fraction of the way AUTHORS
toward the value of the later state. If we let s denote the state First Author Siddhi Desai, M.Tech E&C.(Gold medalist),
before the greedy move, and s the state after the move, then the Siddhi_desai@ymail.com
Second Author Kavita Joshi, M.tech-Computer
update to the estimated value of s, denoted v (s ) , can be written Engineering,joshikavita171@gmail.com
as Third Author Bhavik Desai, M.Tech-CAD/CAM,
V ( s ) V ( s ) + [V ( s ) V ( s )] bhavikdesaivapi@gmail.com
(3.1)
Where is a small positive fraction called the step-size
parameter, which influences the rate of learning. This update rule
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Abstract- Internal communication in the public sector is an sensible, and relevant. ONeil and Spurlock (2009) define
important factor in the improvement of service delivery internal corporate communication as utilizing tools such as
especially in institutions of higher education hence this study to suggestion boxes, presentation and dialogue sessions, paper
describe the communication methods used by public universities memo, email, voice mail, corporate email news, webpage,
to disseminate corporate identity messages to employees. The employee newspaper, newsletter, posters and flyers, employee
research was carried out through the mixed methods design articles in corporate newsletters and e-newsletters, notice boards,
which comprised a descriptive survey for the qualitative data, in- and meetings. They note that many organizations are still shying
depth interviews and documentary analysis for qualitative data. away from the new media despite the campaigns to adopt such
The target population consisted of ten public universities in forms of communication.
Kenya. The sample size was 386 participants which included In Kenya, the elevation of fifteen (15) university colleges to
lecturers, administrative staff, registrars and public relation fully-fledged universities has increased the number of public
managers drawn from three older universities and seven recently universities from seven (7) to twenty-two (22) (Commission for
charted universities. The findings indicated that the University Education, 2014). This is in addition to the fourteen
communication methods are top-down and one way. The (14) private universities already in existence. This means that all
recommendation was that universities create a communication these universities are in a bid to attract qualified students and
policy that included a formalized way for information to move members of staff in a highly competitive environment.
from the bottom-up. Furthermore the Universities Act 2012 requires that all student
admissions be based on student preference rather than bed
Index Terms- Corporate Identity (CI), Corporate capacity as was the case earlier. This puts all universities on an
Communication, Public Universities, Employee Communication, equal footing in their bid to compete for students as opposed to
Internal Communication some universities having an upper hand due to their existing
infrastructure. It is highly prudent therefore for these universities
to rally all their obtainable resources and available means to
I. INTRODUCTION communicate their unique identities to the public in order to
grow their profiles and reputation.
V an Riel (1997) in Mohamad, Abubakar& AbdulRahman
(2007) states the three main concepts in corporate
communication that are studied by scholars. The concepts are
corporate identity, corporate reputation and communication II. RESEARCH ELABORATIONS
management. Moreover (Illia & Balmer, 2012) emphasize that This research used a mixed methods approach which
the key to having a corporate communications strategy is the permits the collection of both qualitative and quantitative data in
notion of a corporate identity: the basic profile that an the same study (Creswell, 2009). The mixed methods approach
organization wants to project to all of its important stakeholder was selected for this study as it enabled the researcher to collect
groups and how it aims to be known by these various groups in well rounded and detailed data that was not only numerically
terms of the corporate images and reputations that they hold. descriptive but also enabled the study to gather multiple views
Universities, faced with competition, have realized the role and different perspectives (Creswell, 2009).
of corporate identity as a powerful source of competitive The target population was ten universities comprising of
advantage (Melewar & Akel, 2005). They have thus begun to three older universities and seven recently chartered universities.
develop and implement corporate identity programs as part of The study also used purposive sampling to select the registrars
their competitive strategies (Baker & Balmer, 1997). either academic or administrative and the public relations officers
Sagimo (2002) states that the fundamental purpose of in the selected universities. 3 registrars
organizational communication is to enable employees perform (academic/administration) and 3 public relations officers were
according to the organizations strategic intent. It is assumed that purposively sampled. Purposive sampling was used to select
organizations have the capability to rapidly identify, send, strategic plans and communication policies documents of the
receive, and understand strategic information that is credible, selected universities for accumulation of secondary data.
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The researcher used three types of research instruments; identity in the universities. This research instrument enabled the
questionnaire, an interview schedule and an observation guide. researcher to collect in-depth qualitative data on ways of
The researcher constructed a questionnaire for the university harnessing the corporate identity structure to enhance service
employees who are lecturers and administrative staff which delivery, employee use of corporate identity structure and
collected quantitative data. The questionnaire was appropriate for communication feedback from employees. This information
this large number of respondents. The researcher used structured enhanced the quantitative data collected by the questionnaire.
closed questions as well as the rating scale in the questionnaire. The researcher employed documentary/ content analysis
The closed- ended type of questions facilitated consistency of using observational schedule to extract first-hand information on
certain data across respondents. The rating scale was used to corporate identity structure, communications methods on
measure perception, attitude, values and behavior of the disseminating corporate identity structure and expectations on
respondents (Mugenda & Mugenda, 2003). service delivery on the employees from the university strategic
Interview questions were used to interview the university plans and communication policies. This data would also enhance
registrars and public relations officers because these are the the quantitative data collected by the questionnaire.
officers who are involved in the formulation of corporate identity
and also oversee the implementation of the structure of corporate
III. RESULTS/FINDINGS
Table 1
Use of internal memos (lecturers)
Table 2
Use of internal memos (administrative staff)
Table 1 internal memos for lecturers and table 2 internal CI is the use of internal memos at 136 (74.7%) for lecturers and
memos for administrative staff. The tables above show that 141 (75.8%) for administrative staff. This could be because
universities most common communication method to disseminate universities follow a top-down method of communication.
Table 3
Use of notices (lecturers)
Table 4
Use of notices (administrative staff)
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Table 4 and table 5 above show for lecturers and administrative staff use of notices are at 121 (66.5%) and 128 (68.8%) for
lecturers and administrative staff respectively.
Table 6
Use of E-mail (lecturers)
Table 7
Use of E-mail (administrative staff)
Due to adoption of newer technologies and their advantages such as affordability, accessibility and speed, use of emails is also a
major communication method used in universities as can be seen in tables 6 and 7 above for lecturers and administrative at 94 (51.6%)
and 109 (58.6%) respectively.
Table 8
Use of sms (lecturers)
Table 9
Use of sms (administrative staff)
On the other hand the use of short message service (sms) has not been prevalent as it could be because it does not provide a
sufficient avenue for provision of corporate identity messages hence it has only 63 (34.6%) for lecturers and 48 (25.8%) for
administrative staff as seen in tables 8 and 9 above.
Table 10
Use of meetings (lecturers)
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Table 11
Use of meetings (administrative staff)
Tables 10 and table 12 above shows that meetings as avenues for disseminating corporate identity are also not very common.
This could be because meetings normally have fixed agendas and few are specifically called to advance corporate identity. Lecturers
at 72 (31.6%) and administrative staff at 50 (26.9%).
Table 13
Use of social media (lecturers)
Table 14
Use of newsletters (lecturers)
Table 13 and table 14 show that social media use is 65 (35.7%) and the newsletter is 33 (18.1%) for lecturers. This could be
because newsletters are mostly published quarterly and are not widely available and that lecturers have also embraced new media
technologies especially for communication with students.
Table 15
Use of social media (administrative staff)
Table 16
Use of newsletters (administrative staff)
Table 15 and table 16 show social media use is 32 (17.2%) for administrative staff and newsletter use is 37 (19.9%). These two
methods may not be used so well amongst administrative staff because their communication is mostly instruction oriented and these
two forms do not relay instructions formally.
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Looking further at the communication methods used to disseminate corporate identity respondents were asked to respond to the
statement the channels of communication are effective as seen in table 47 and 48 below for lecturers and administrative staff
respectively.
Table 17
Effectiveness of channels of communication (lecturers)
Table 18
Effectiveness of channels of communication (administrative staff)
For lecturers 53 (29.1%) strongly agreed, 77 (42.3%) agreed, 5 (2.7%) were undecided, 41 (22.5%) disagreed and 6 (3.3%)
strongly disagreed. For administrative staff 51 (27.4%) strongly agreed, 91 (48.9%) agreed, 4 (2.2%) were undecided, 32 (17.2%)
disagreed and 8 (4.3%) strongly disagreed. For both respondents, the majority felt that the communication methods were effective,
this could be because they encounter these communication messages on a regular basis through memos and notices.
Table 19
Mean of effectiveness of channels of communication (lecturers)
Table 20
Mean of effectiveness of channels of communication (administrative staff)
Table 19 and 20 above show the mean mark for lecturers to be at 3.71 as compared to the maximum mean of 5 and the mean
mark of administrators to be at 3.78 as compared to the maximum mean of 5. These marks are on the lower side of the maximum
mean and it could be because the channels are not wholly effective.
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Table 21
Mean of effectiveness of channels of communication
Table 22
Analysis of Variance of Groups
Table 22 shows that there is no significant difference in effectiveness of communication channels between groups at 0.595>0.05.
This could be both respondents perceive that the channels of communication are minimally effective.
Respondents also gave their contribution on the ways to promote the unique identity of the university to the staff members.
Both respondents, lecturers and administrative staff agreed that branding was the most effective way to do this as per table 23 and
24 below. This could be more so for administrative staff who in most universities are provided with branded items such as shirts,
pens, umbrellas for use by the university.
Table 23
Branding as a way of promoting CI to staff members (lecturers)
Table 24
Branding as a way of promoting CI to staff members (administrative staff)
Table 25
Seminars as a way of promoting CI to staff members (lecturers)
Table 25 above shows that lecturers preferred seminars on universitys proposed strategies as an effective mean of promoting the
unique identity while table 26 below shows that administrative staff preferred regular departmental meetings. This could be deduced
as to the different nature of work performed by the respondents whereby lecturers could prefer an ad hoc interactive session as
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opposed to formally scheduled meetings. Table 27 below shows that lectures put meetings at 67 (36.8%) and table 28 shows that
administrative staff put seminars at 58 (31.2%).
Table 26
Meetings as a way of promoting CI to staff members (administrative staff)
Table 27
Meetings as a way of promoting CI to staff members (lecturers)
Table 28
Seminars as a way of promoting CI to staff members (administrative staff)
Both lectures and administrative staff, do not regard informal meetings as an appropriate way for corporate identity dissemination
as can be seen in table 29 and 30 with lecturers at 66 (33.0%) and administrative staff at 57 (30.6%) respectively. This could be
because corporate identity messages usually stem from the top down in a formal structured way.
Table 29
Informal gatherings as a way of promoting CI to staff members (lecturers)
Table 30
Informal gatherings as a way of promoting CI to staff members (administrative staff)
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welcome views from staff members. Another registrar pointed Griffin, Laplonge and Laplonge (2011) describe the
out that job descriptions were also good avenues through which importance of maintaining dialogue at all levels of the
corporate identity messages were disseminated. He also stated organization in order to engage people and create a culture of
that during meetings at all levels of the university, corporate belonging. They exhort managers to talk with employees rather
identity messages were re-emphasized and these also provided a than talk at employees. Lockwood (2007) also identifies
good avenue for dissemination. Statutory documents were also branding as a form of communication strategy that promotes
cited as other methods of communication. One public relation employee engagement as it continually sends a message about
manager also pointed out that these communication methods the company, its mission, values and products to the workforce.
were mostly top down and could even have negative The organizations brand values must be communicated regularly
connotations for instance a memo has come is usually said with and prominently through an organizations communication
a presentiment of bad news. Another PR manager also stated channels.
that feedback options for employees were limited to departmental The use of a wide variety of communication channels is also
meetings. This viewpoint was also reiterated by a registrar who advocated due to the variety of the workforce, Griffin, Laplange
stated that feedback options for employees was in departmental and Laplange (2011) state that rather than taking a one-size-fit-
meetings and maintaining an open door policy where employees all approach, internal communication should segment the
felt they could work and air their views. workforce, identity and target employee segments through an
A PR manager also mentioned websites as good drivers of appropriate selection of communication channels and content to
corporate identity messages as well as emails pointing out that reflect the true diversity of its workforce. These findings also
most staff members had official university e-mails and addresses agree with Tariszka- Semegine (2012) who states that downward
and this could be reached electronically. He also pointed out that communication is more prevalent than upward communication.
e-notices posted on websites were beginning to have the same She also found out that employee satisfaction with upward
response as hard copy notices. Feedback avenues on websites communication tends to be lower than their satisfaction with
were provided although they were not well utilized. downward communication, particularly with the strategies used
End of year appraisals were also cited as means of feedback in upward communications such as survey and complaints
by a registrar as well as end of year parties. They are not just procedures.
for eating, they are opportunities for staff members to contribute
he stated. It was generally acknowledged across the board that
although corporate identity messages were cascaded through IV. CONCLUSIONS
formal means from top to down, there was no established way for The findings indicate that internal memos, notices, emails
employees to give their feedback on the effectiveness or impact are the most prevalent methods for both lecturers and
of the messages. administrative staff. Lecturers found SMS and social media to
One PR said people respond to the messages because they be applicable methods while administrative staff found meetings
come in form of orders not because of understating One to be a better method of cascading CI messages. Newsletters
registrar stated that the university had established a complaints were found not to be very useful in cascading these messages for
committee to handle issues raised, although it was rarely utilized. both the lecturers and administrative staff. The findings also
A PR manager stated that he had established a good rapport with indicate that the channels of communication in place are
members of staff of all cadres and so was often in reception of effective in terms of relaying information from the top-down but,
feedback form employees. He gave an example of where the structures are lacking for conveyance of information from down
university drivers felt neglected in terms of in-service training to top. The findings show that branding is the most ideal way of
which was part of the universitys core values, they explained promoting awareness of CI, lecturers preferred seminars as the
that other workers were periodically being trained on new ways appropriate way of promoting CI messages while administrative
of performing but they had been neglected. Based on this staff found meetings to be more appropriate. This disparity in
information the PR officer approached the transport manager and preferences was found to be because of the nature of their work.
the vice chancellor to kick start the process of training them on The findings also indicate that almost all universities lack a
modern methods of defensive driving. proper communication policy that guides the communication
This situation is reflective of how the lack of a formal structure.
policy on internal communications, leaves employees with few The findings imply that there is a structured recognized way
options of feedback. One registrar said that policy documents of cascading information from the top- down but there is no
are only for serious issues such as intellectual property issues structured way for down-top information. There was also a lack
thus implying that communication is not a serious issue. It was of communication policy document that guides communication,
also observed that out of the ten universities visited, only one meaning effectiveness of existing communication structures is
university had formulated a communications policy that was difficult and also interlinking them to change situations becomes
mostly concerned with top-down communications. difficult. The study recommends that universities also institute
This ties in with a study by Zheng (2009) which found that formal structures of information being relayed from the bottom.
most managers defined information as one way messages, news The study also recommends that communication polices be
about the organization and things employees needed to know to instituted that guide on how internal communication can be
be able to do their work. Horomia (2007) also reiterates that in internally modified to accommodate changing dynamics of
most organizations, there is no template for the governance employees.
structure and content of internal communication.
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Abstract- The purpose of this study was to identify the it is interested to study by researchers. However, traditional
autocorrelation spatial variations of heat Islands of Tehran. For methods were not determining in this matter. Often, in
this purpose, network database of minimum and maximum environmental studies we deal with observations which are not
temperature of Tehran was created. Then, the database was used independence from each other and their dependency is due to the
to consider a 33 years statistical period in daily interval of positions in which observations are located in under study space.
1/1/1983 to 31/12/2013. Based on the present study and a cell Hence, the traditional methods should not be used for this kind of
with dimension of 1818 Kilometres was developed on under observations, because these kinds of data have spatial
study region. The modern methods of spatial static such as global concomitant structure.
method of Moran spatial autocorrelation, and local Anselin Index For this reason, these kinds of data are named spatial data in
of Moran and Hot spots were used to gain with year changing by environmental studies and studying them needs a proper method
programming software of GIS. The results of the study showed to respond of these data behaviour in location and time. [23]
P
that spatial variations of heat Islands of Tehran have up word According to this need and due to the existence of spatial
cluster pattern. Among them , according to the local Index of correlation between the data, common statistical methods cannot
Moran and Hot spots heat Islands have positive spatial be considered as a desirable method to analysis such kind of data. P
[28]
autocorrelation pattern (hot heat Islands) in East and Northeast of P Hence, it is necessary to consider the correlation structure of
Tehran and west and South west parts of Tehran have negative these data in analysing them. [15] For this purpose, spatial
P P
spatial autocorrelation pattern (cold heat Islands). In most cases, statistics can be investigated as a proper alterative to analysis
a large part of province in almost half of total area of province these kinds of data. Spatial statistic is used to various analyses
didnt have any significant pattern or spatial autocorrelation include pattern analysis, shape analysis, surface modelling,
during under study period. Moreover, it was founded that heat surface calculation, locational regression, statistical comparison
Islands are generated and controlled by affecting from two of locational data collection, statistical modelling and estimating
systems: 1- local factors controlling the place (geographic locational interactions. [28] For the needs of close environmental
P P
arrangement of Islands), 2- external factors controlling the time studies, climatic changing has been also posed as an important
(the region of heat Islands). environmental matter in different fields. Subjects such as water
pollution, raining, temperature and have different effect on
Index Terms- Heat Islands, spatial autocorrelation, Moran Index, human life such as accommodation, agriculture products and
Hot Spots Index, Tehran. energy using. Heat Islands that are because of temperature effect
on human health and environment and lead to airflow decreasing,
pollution level increasing and increasing diseases risk and death
I. INTRODUCTION related to the heat.
Since the Ozone of earth surface is generated with light and heat
T emperature is one of the most important climate factors
which its result is some parts of solar radiation energy that is
absorbed by earth surface and changed into heat energy. [3]
increasing, hence Ozone pollution may reach the level that
threats people health, especially children, old men, asthmatic
patients and other vulnerable people. [21] Moreover, heat Islands
P P
[21]
performed with considering traditional statistic study approaches P Therefore, investigating spatial autocorrelation of heat Islands
such as Kendalls test, Spearmans test and linear and multiple can be a proper approach to provide optimized patterns in order
regression tests. [6, 17]
P
to study heat Islands in Scales greater than urban level. The
But in this regard, realizing spatial distribution of heat is present study is the basis of identifying spatial changing of heat
necessary to determine the energy balance of the Earth and Islands of Tehran in a 33 years period.
climatic, evaporation and transpiration studies and for this reason
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The results of this study can be a proper pattern to compare the region in Spain in a period of 54 years (1954-2004) by spatial
results of advances statistic analytical and Modern spatial method patterns statistics and spatial statistics like Gits-overdo-G
with traditional statistics method. The basis of such goals and statistic. Ohioan (2011) has comprised the results of traditional
needs and trends of quantities studies based on geographic and spatial statistics methods by using medium climatic ultra-
information system principles have provided new insights to thermometers and measuring the monthly temperature degrees
climatologists and able them to identify and analyse the elements and minimum and maximum daily temperature of Palestine in a
of climate and spatial patterns. [19] Modern studies of climatology 37 years period. The results of his research showed that the
look for such kinds of modern statistical methods which uncover temperature of under study region follows from a complex
the climate area facts with minimum level of error. In the newest pattern.
methods of environmental phenomenon behaviour, experts and In addition , Dell Rio et al (2011) have used from ordinary least-
scholars have used advances spatial statistics methods to identify square (OLS) method an optimized method to modelling
the autocorrelation of homogeneous regions. Theoretical spatial relationships in spatial statistics to analyse the
foundations of these methods and the way of using them have temperature changing procedure of 473 climate station of Spain
been described in studies related to environmental Sciences. [4] In in a statistical period of 1961-2006. De Lockney et al (2013)
another group of studies, traditional statistic approaches which have investigated the heat fields of Rio de Janerio region in
were common in climatology and environmental science studies Brazil by analysing hot spots. There are numerous cases of such
of last 50 years have been focused which among them, one can kind of studies which among them , one can refer to the studies
refer to the studies of Zhou et al (2009), Jolliffe and Philips of Hummer et al (2010), Ajani et al (2013), Nampak et al (2013)
(2010), Modares and Sir Hadi (2011) and Shahbood et al (2012). and Kim and Sing (2014) as outstanding patterns of this kind of
In Iran most of studies related to temperature were also followed studies. Therefore, according to the importance of the subject,
from the last statistics approach, such as the studies of Masudian this study has investigated the spatial autocorrelation of spatial
(2005) that whit emphasizing on increasing procedure of changing of temperature Islands in Tehran.
temperature has pointed that daily temperature have
approximately increased equal to 0.5 degree of Celsius during II. MATERIALS AND METHODS
recent decades. It can be also referred to the study of Azizi and
Roshani (2008) that have investigated the temperature procedure UNDER STUDY REGION
of southern shores of Caspian Sea by Men-Kendall test. Spatial
statistics have special value in approach of modern Tehran province with the centrality of Tehran city is the capital
environmental science studies, in a way that it has been of Iran and with 12.981 square kilometres area is located
considered as a core subject of studies related to environmental between 34 to 36.5 degree of North latitude and 50 to 53 degree
science topics, especially climatology and temperature studies in of East longitude. This province is surrounded to Mazandaran
recent decade. Latte et al (2009) have used from minimum and province from North to Qum province from south, to MARKAZI
maximum ultra-thermometers of daily temperature of 65 province from Southwest, to Alborz province from west and to
synoptic stations to identify cold and hot sports of Catalonia Semnan province from East.
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monitoring leads to the matter that the generalization of results of error statement in model. Existing great scale changing can be
stations data analysis is not correct for all of area, even with due to the changeability between observation locations. For
increasing the number of stations. This problem is more spatial data, changeability between observations locations are
observable is a case with higher place changing of climatic modelled as a function of distance between observation
elements. For this reason, a net with proper cells was developed locations, because when observation locations are near to each
in under study area and the amount of climatic elements in nodes other, the observed amounts of them are more similar to each
was calculated. This calculations which covered all of the area, other. This similarity is called spatial dependency. In present
were the basis of judgments in this study. Finally, the data of the study, temperature data were modelled by defining linear model
stations were used as observations to evaluate the level of with spatial dependency error and with spatial data of Z(s 1 ), ,
certainty of used analysis results and stations data were Z(s n ) which were observed in locations of {s 1 , , s n } , as
developed to area data with a cell had 18 18 kilometres equation of (2) :
dimensions by Cringing interpolation method and ArcGIS 10.2.2
software. q
In order to select the dimensions of cells, firstly the data of daily Z ( s ) = i xi ( s ) + ( S ) (1)
minimum and maximum temperature of 25 synoptic stations of l =1
Tehran and its neighbour province which had common statistics s D Rd
were collected and then, the matrix of raining data of country
was created by Cringing (common) method. Two statistic Where, {xi(s), i = 1, q} is a grade of non-random descriptive
techniques of R2 and RMSE were used to evaluate the calculating variable of q which can depend on location and S(s) is the error
methods. Among them, the Cringing method with the lowest
process with average of zero and limited variance and it may
level of RMSE (3047) and highest level of R2 (0.82) was
spatial dependency. Different methods have been provided to
identified as a most explicit method among evaluated methods in
spatial pre-finding. In this study, the cricking method was
under study region.
identified as a proper method to pre-finding based on performed
After that, the matrixes with 1.1 kilometre dimensions started. In
investigations and comprising total squares of errors of different
next stage, the average of maximum and minimum temperature
pre-finding models. Therefore all of investigations related to pre-
of Tehran and its neighbourhood provinces were calculated for
finding of data temperature of the province were provided based
each month and the diffract graph of data was drawn. In this
on this method. In fact, this method is the best method for non-
diffract graph, the horizontal axis was the dimensions of cell and diagonal linear pre-finding which is also called, optimized pre-
the vertical axis was the average of raining. The results showed finder. Pre-fonder which is obtained from cringing method is
that diffract graph of raining cells of Iran with dimensions of
linear, non-diagonal and has the lowest level of variance
18*18 square kilometres had the lowest level of diffraction.
compared with all of other non-diagonal linear pre-finders and
Therefore the dimension of 18*18 kilometres was selected to
exists in two forms of usual and common cringing. In usual
zoning the temperature data of Tehran. Since , the information
cringing: s D, R Z ( s ) = + (s)
d
were related to the level of temperature with spatial correlation , is stable and
the model of temperature could be obtained by spatial statistic uncertain.
methods and then desirable prediction could be conducted by n n
cluster and non-cluster statistics and hot spots analysing. Spatial p ( s 0 ) = i z ( s i ) (2) i =1
analysis usually has a set of space or spatial data which includes i =1 i =1
three parts: descriptive analysis of spatial data, spatial modelling s
(change log analysis and determining the model of change log) Where, P (Z; s 0 ) is the pre-finder of Z variable in location of 0
and spatial prediction. [27] The first phase includes descriptive . The condition of total coefficients of linear pre- finder equal to
investigation of spatial data which initial analysis of spatial data 1, ensure the non-diagonally of predictor. In usual cringing
itself includes two parts:
1) Measurement locations analysis and 2) descriptive analysis of R d is considered as unknown content. Common cringing is
under study variable (temperature), the second phase includes: the generalized form of usual cringing, in a way that
spatial modelling. The next stage is appearing the factors changes E[ Z ( s )] = ( s ) (in this equation, E is expectancy) is not
in dependence variable and the level of each variable effect and content value, rather than it is an unknown linear combination of
distinguishing the model of experimental change log. In spatial known functions of {X i (s) X d (s)}. Common cringing is pre-
R R R R
model , changing can be generally related to two factors of mean founded under two consumptions:
structure and spatial dependency structure which changing of q
descriptive variables can be modelled in mean structure and the Z ( s ) = i xi ( s ) + ( S ) sD
changing of spatial dependency can be modelled in spatial l =1 (3)
dependency structure. In the other words, the spatial model of
changing decomposes data in following form: Changing of
Where, = (1..., q ) Rq is an unknown vector of
spatial dependency + changing of mean structure = data
R R P P
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n
In equation (8), z i , is the difference between the amount of
p ( s 0 ) = i z ( s i ) (4)
i =1 condition i with its average of ( xi x ) .
X = x
The condition of X=X is required condition for non- The cluster and outlier analysis which is known as Anselin
diagonally of pre-finder. Modeling the spatial dependency: Local Moran is an optimal pattern to display the statistical
the change log was used to describe the spatial relationship distribution of phenomenon in space. [9, 4]. The value of local P P
between the amounts of a location variable in different Moran index, Z-score and P-value were calculated to cluster
locations. The most nature way to comprise two amounts of and outlier analysis for each condition exists in layer which
Z(S) and Z (Sth) in two locations, one with coordinate of S indicates the significant level of calculated index. The local
and another Sth (which is located in h distance from point S) Moran statistic can be calculated by equation (9):
is to investigate the mathematical expectancy of these two
xi x n
amounts. The non-similarity or change log function of two
points with distance of h is defined as follow:
Ii =
si2
w
j =1, j 1
i, j wi , j ( xi x) (9)
change log relation: regions data are clustered with high or low amounts. The
var( z ( si ) Z ( s j )) = 2 ( si s j )
i j s , s D conceptual framework of this analysis is that if a condition
(6)
has high value, it is important, but it doesnt mean that it is
The classic estimation of half log change is defined as
hot spot. The condition is hot spot that not only itself, but
equation (7):
also its neighbourhoods be significant in the statistical term.
1
2 (h) =
N ( h)
(Z (s ) Z (s
N (h)
i j )) 2 (7) For final output, Z score will obtained when , local sum of
condition and its neighbour can relatively compared with
total sum of conditions. [13] The Getis Ord G I , statistic is
P P R R
Where, the sum of under measurement parameters was done calculated by equation (10):
on N (h) = {(i,j) : S i S j = h }. |N (h)| is the number of
R R R R
n n
distinctive elements of N (h). This is a non-diagonal
estimator. The third phase: pre zoning: the pre-finding of
w j =1
i, j x wi , j
i =1
(10)
Gi* =
temperature on points without existing amount was n n 2
performed after extracting the best half change log model. In [ n wi2, j ( wi , j ) ]
present study, the cringing pre-finder was used to calculate j =1 j =1
S
the variable in location of s 0 . n 1
In above equation, X 1 is the amount of characteristic for
R R
In this study, the local pattern analysis method of Morgan condition of j, W i,j is spatial weight between i and j
R R
was used to better understanding of data and close decision conditions and n is the total number of conditions.
making about the level of statistical confidence. Different
scenarios have been developed about analysing the patterns III. RESULTS
of spatial data in recent decades. For this purpose, one can
refer to index of Global Moran 1. This statistic results a THE OUT PUTS OF MORAN SPATIAL AUTOCORRELATION HAVE
number (called standard score or 2-score) which can be used BEEN PROVIDED IN NUMERICAL FORM IN TABLE (1). GENERALLY,
to measure the level of sporadic or concentration of effects IF MORAN INDEX IS CLOSE TO +1, DATA HAVE SPATIAL
or spatial data. [22, 12]
P
z
s0 2 OF GLOBAL MORAN INDEX WAS HIGHER THAN D.X FOR ALL OF 12
i
i =1 MONTHS OF YEAR. THIS POINT INDICATES THAT IN UNDER STUDY
PERIOD, TEMPERATURE OF TEHRAN HAVE UPWARD CLUSTERING
PATTERN IN THE LEVELS OF %95 AND %99 BASED ON GLOBAL
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MORAN INDEX. THE STATISTIC OF Z FOR ALL OF 12 MONTH OF BETWEEN DATA IN ALL OF 12 MONTHS OF YEAR CAN BE REJECTED
UNDER STUDY STATISTIC PERIOD WAS HIGH AND THE LEVELS OF BASED ON LOW LEVEL OF Z-SCORE AND HIGH LEVEL OF P- VALUE.
14 AND 15. THEREFORE, ACCORDING TO THE GLOBAL MORAN IT NOW, IF TEMPERATURE FOR MONTHS OF YEAR IN TEHRAN WOULD
CAN BE CONCLUDED THAT INTER-YEAR TEMPERATURE OF TEHRAN BE DISTRIBUTED NORMALLY, THEN THE AMOUNT OF -0.007519
FOLLOWS FROM UPWARD CLUSTERING PATTERN. THEREFORE, THE SHOULD BE OBTAINED TO GLOBAL MORAN INDEX.
HYPOTHESIS OF NON-EXISTENCE OF SPATIAL AUTOCORRELATION
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IN SUMMER, THE AREAS OF HIGH AND LOW TEMPERATURES SPATIAL AUTOCORRELATION WERE LIMITED TO VARAMIN REGION
PATTERN HAD THE LOWEST LEVEL OF NUMERICAL FLUCTUATION IN EVERY FOUR SEASON OF YEAR (FIGURE, 2), IT CAN BE
COMPARED WITH PREVIOUS THREE SEASONS. AVERAGELY, IN CONCLUDED THAT LOCAL FACTORS HAVE SIGNIFICANT ROLE IN
THREE MONTHS OF JUNE, AUGUST AND SEPTEMBER, 67.03 SPORADIC DISTRIBUTION OF HEAT ISLANDS IN TEHRAN.
PERCENT OF PROVINCE DIDNT FOLLOW FROM ANY SPATIAL
PATTERN. GENERALLY, SINCE THE AMOUNTS WITH POSITIVE
FIG. 2: THE RESULTS OF THE DISTRIBUTION PATTERN OF LOCAL MORAN HEAT ISLANDS OF TEHRAN
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province had negative spatial autocorrelation (cold temperature months). This value was reduced compared with winter, autumn
Islands) in %37.40, %40.48 and %45.66 of its area. and spring equal to %7.38 and %4.61, respectively. This matter
In summer, the number of regions without significantly was in was because of the lower fluctuation of heat in this season.
lowest level (%37.20 of total area of province in sum of three
Fig. 5: The results of the dispersion model for heat hot spots during the studied (First six months of the year)
Fig. 6: The results of the dispersion model for the hot spot heat in the studied period (the second half of the year)
Table 3: The percentage of area covered by Tehran heat Islands (first six months of the year)
The type of heat Island Jan Feb Mar Apr May Jun
Cold temperature Island at the level of 99% 19.66 20.11 21.08 21.14 22.14 20.14
Cold temperature Island at the level of 95% 7.87 7.47 7.58 7.36 5.78 6.15
Cold temperature Island at the level of 90% 4.22 2.87 2.14 2.14 2.15 2.89
Without significant pattern 38.25 35.59 37.89 38.54 36.87 33.54
Warm temperature Island at the level of 90% 11.22 17.23 16.14 16.65 17.36 24.33
Warm temperature Island at the level of 95% 9.5 13.87 10.9 10.14 12.89 10.52
Warm temperature Island at the level of 99% 9.28 2.73 4.27 4.03 2.81 2.43
The type of heat Island Jul Aug Sep Oct Nov Dec
Cold temperature Island at the level of 99% 18.32 19.36 19.87 20.22 22.14 23.25
Cold temperature Island at the level of 95% 8.21 8.65 6.56 8.67 7.89 6.86
Cold temperature Island at the level of 90% 2.14 2.78 2.89 2.14 2.32 2.47
Without significant pattern 36.21 37.69 33.65 35.51 32.15 32.25
Warm temperature Island at the level of 90% 21.11 16.65 2014 23.43 21.32 20.89
Warm temperature Island at the level of 95% 10.17 10.25 13.35 10.59 12.36 11.58
Warm temperature Island at the level of 99% 3.84 4.62 3.54 2.24 1.82 2.7
IV. CONCLUSSION were located in cities and suburbs and affected by urban weather,
the importance of work was doubled, because it is possible to
According to the increasing important of heat , especially daily realize the fluctuations of heating islands by discovering the heat
heats in human life and since it is necessary to adapt heat studies islands changing. One of the most interesting and developing
, the purpose of this study was to investigate the changing of fields of spatial statistics is spatial autocorrelation .it is related to
spatial autocorrelation of heat islands of Tehran based on the last the relationship between remained amount in the regression line.
performed heat statistics. This kind of study is very important In statistical point of views a strong autocorrelation occurs when
due to the Co2 level increasing of atmosphere, changing in the
R R remained amounts have relationship with each other, in the other
amount of humidity and cloudiness, land use changing and word their changing happen in a regular form. However, a strong
development of urban lands. Since most of under study station autocorrelation will occur when the amounts of a variable are
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 199
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close to each other and are related to each other in geographical [8] Del Ro, S., Herrero, L., Pinto-Gomes, C., & Penas, A.. Spatial analysis of
mean temperature trends in Spain over the period 19612006. Global and
term. As it was said, this study emphasized a spatial Planetary Change, 78(1), 2011, pp. 65-75.
autocorrelation patterns changing of heat islands of Tehran. For [9] Getis A, Aldstadt J, 2004. Constructing the spatial weights matrix using a
this purposes data heat of minimum and maximum value of 27 local statistic. Geogr Anal 36(2), 2004, pp. 90-104.
synoptic stations of Tehran and its neighbour provinces in a [10] Griffith, D,. spatial Autocorrelation: A Primer. Resource Publication in
statistical period of 33 years (1980-2013) were used .in addition Geography, 1987, Association of American geographers.
the global Moran method , local Moran method and hot spots of [11] Homar, V., Ramis, C., Romero, R., Alonso, S,. Recent trends in
GI were used. Then the programming software of GIS was used temperature and precipitation over the Balearic Islands (Spain). Clim
Change 98, 2010, pp. 199211.
to utilize from these methods. The results of global Moran
[12] Illian, J., Penttinen, A., Stoyan, H., and Stoyan, D,. Statistical Analysis and
method showed that spatial autocorrelation changing of heat Modelling of Spatial Point Patterns. John Wiley and Sons, 2008,
islands of Tehran follow from upward clustering pattern .since Chichester.
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[16] Kim, S., & Singh, V. P,. Modeling daily soil temperature using data-driven
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(without significant spatial autocorrelation) in statistical term in 2014, pp. 1-15.
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islands are formed under interaction of local factors and flow M.A,. An investigation of the Iranian climatic changes by considering the
factors in a long term interval, but they have different role. In this precipitation, temperature, and relative humidity parameters, Theoretical
and Applied Climatology, 103, 2010, pp. 321-335.
way, the geographical arrangements of heat islands are formed
[18] Masoudian, A,. Investigating the temperature in the last half century,
by local factors, specially height and latitude. However, the role Geography Research, 54, 2005, pp. 45-29.
of external factors should not be neglected, because external [19] Masoudian, A,. Weather of Iran, Isfahan University, Isfahan, 2005, Iran.
factors, i.e. general flow of atmosphere play role in thermal [20] Mitchell, A,. The ESRI guide to GIS analysis, volume 2: spatial
regime and heat changing in long term. The maps of heat clusters measurements andstatistics. ESRI, 2005, Redlands [CA].
of Tehran show that upward and down heat clusters arent similar [21] Mohammad Rezaie, Sh,. Systematic approach to the analysis of
to each other. This difference is due to the effects of atmosphere ecosystems, Environmental Protection Agency, 2003. Tehran.
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publication, 2011, Tehran.
created and controlled under the effect of two systems: 1) local
[23] Moller, j,. Handbook of Spatial Statistics, John Wiley and Sons, 2008,
factors controlling the location (geographical arrangement of Chichester.
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patterns to other spatial studies of climatic super-thermometers. [25] Nemec, J., Gruber, C., Chimani, B., & Auer, I.,. Trends in extreme
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[1] Ageena, I., Macdonald, N., & Morse, A. P,. Variability of maximum and [27] Pardo Iquzquiza. E,. Comparison of Geostatistical Methods for
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Applied Climatology, 2013, pp. 1-15. Precipitation and Topography, Int. J. Climatology.18. 1998, pp. 1031-
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[29] Rogerson, P.A,. Statistics Methods for Geographers: students Guide,
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[4] Anselin, L., Syabri I, Kho Y,. GeoDa: an introduction to spatial data [30] Shahid, S., Bin Harun, S., & Katimon, A,. Changes in Diurnal
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2008, pp. 28-13. AUTHORS
[6] Braganza K., Karoly, D.J., Arblaster, J. M,. Diurnal temperature range as First Author Lecturer of Climatology, Hakim Sabzevari
an index of global climate change during the twentieth century, University, m.karami08@yahoo.co.uk
Geophysical Research Letters, 31, 2004. L13217.
Second Author PhD Student Urban Climatology, Shahid
[7] De Lucena, A. J., Rotunno Filho, O. C., de Almeida Frana, J. R., de Faria
Peres, L., & Xavier, L. N. R,. Urban climate and clues of heat island Beheshti University, aadhacher@gmail.com
events in the metropolitan area of Rio de Janeiro. Theoretical and applied Third Author PhD Student Agricultural Climatology, Hakim
climatology, 111(3-4), 2013. Pp. 497-511. Sabzevari University, asadimehdi11@yahoo.com
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Jimma University, College of Education and Behavioral Sciences, Department of Teacher Education & Curriculum Studies, Ethiopia
Abstract- The main purpose of the study was to investigate the considered as basic to childrens present state and later life
challenges of preprimary education provided in the primary (Woodfield, 2004)2.
schools of selected districts of Jimma zone. In so doing, Recognizing the crucial position of children in the future of
descriptive survey method was employed as an appropriate the society, preschool education becomes a point of common
methodology. Teachers teaching preprimary classes, primary concern in both developed and developing countries.
school directors, and pertinent experts from districts education Assumptions about its importance have led to rapid expansion of
offices, preprimary classrooms and outdoor play areas were used preschool institutions and in quality of facilities and services
as a source to secure relevant data. Simple random, available (Olatunji, 1990)3. Accordingly in Ethiopia, the issue of
and purposive samplings were employed. Questionnaire, preprimary education in the country is viewed as a component of
observation and interview were the main tools of data collection. a comprehensive services program for children. These can be
Both quantitative and qualitative data analysis techniques were seen from the governments emphasis in Education and Training
employed. The findings revealed that implementing preprimary Policy (TGE, 1994)4 which states: Kindergarten will focus on all
education curriculum in the primary schools, provisions of round development of the child in preparation for formal
adequate classrooms and outdoor spaces, materials and schooling.(Article, 3.2 and sub-article, 3.2.1). Besides, article
equipment supply and organization, acute shortages of 3.4 and sub-article, 3.4.5 states:
professionally skilled and competent teachers, and promoting Teachers starting from kindergarten to higher education will
effective partnerships with parents were the main challenges of be required to have the necessary teaching qualification and
preprimary education organized in all primary schools of the competency in the media of instruction through pre-service and
studied districts. In conclusion, preprimary education organized in-service training.
in primary schools in the studied districts had been a neglected Further, article 3.5 and sub-article, 3.5.3 states, The
branch of education. It had never been considered as an integral language of teacher training for kindergarten and primary
part of formal education. And, not yet received due attention and education will be the nationality language used in the area.
support it deserves. Among the studys recommendations, the Moreover, Ministry of Education (MOE, 2002)5, guarantee
provision of curricular materials, teachers awareness raising, private individuals, non-governmental organizations, and the
organization of classroom and outdoor spaces, materials and community to run preprimary programs that can reduce the
equipment, assignment of qualified teachers, in-service training demands on the government scarce budgets and provide services
for teachers and strengthen the linkage between parents and for the society.
preprimary schools could be mentioned. Likewise in Oromia, based on the Education and Training
Policy of the country, the standard for the preschool has been
Index Terms- Preschool children, curriculum, education, in-door, adopted and serve as a cornerstone to guide basic issues that
out-door organization primary school preschool education should address in the region. Besides, the
government has been committed to address the issue of
childrens early years education through expanding not only
I. INTRODUCTION kindergartens but also by offering educational opportunity in the
formal primary school classrooms. Such being the case, there are
T he development of human resource is a basic pre-requisite
for nation building. Children constitute the most vital base of
human resource endowment. Children are the most valuable
a number of challenges associated with preprimary education
organized in primary schools of Jimma zone. Thus, this study
future citizens of the country. This realization has generated was intended to assess the challenges of preprimary education
immense interest and creative thinking in the field of child provided in primary schools in selected districts of Jimma Zone
development and education (Curtis, 1998)1. The provision of (Jimma town, Manna, Gomma and Kersa).
early childhood education in the organized preschool institutions
have gained a wide recognition that provide desirable educational Statement of the problem
experiences for children aged three to six. It is believed to lay the The quality of experiences in the early years, will impact the
foundation for children to develop fully and contribute to their quality of later life. The initial life experiences may enhance, or
communities in ways that foster economic growth, social retard future development (Chowdhury, & Choudhury, 2002)6.
stability and prosperity. If the foundation is firmly built, then it is By providing a wide range of educational experiences to young
as sound base to benefit both the individuals and the society. children, preschool education, builds background experiences
Thus, satisfying school experiences during early years are that will promote the later attainment of academic, social, and
life skills (Butler, 2001)7.
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In Ethiopia, the demand for preschool education has describe extent to which parent-school relationships
increased due to the growing recognition that the program can were maintained to assist preprimary school childrens
contribute to all aspects of childrens development. learning.
Consequently, the issue of preschool education was given suggest some possible means and ways for further
important place in the Education and Training Policy of the improvement of the situation of preprimary education in
country to address the needs of preschool children. Based on the the primary schools.
policy, in Oromia, kindergarten education as the first formal Significances of the study
setup along the educational pathway is acknowledged to benefit The findings of the study would be significant in the
children aged four to six. However, in reality it becomes difficult following ways.
to have all preschool aged children access to kindergartens 1. To improve the quality of services offered to children
education. As a result, a preprimary education has been attending preprimary education in the primary schools.
organized in the formal primary school classrooms. The 2. To inform school administrative bodies those areas that
justifications for the organization of preprimary education in the seek attention to enhance preprimary education in the primary
primary school classrooms is to bridge the gap between home schools.
and formal school life into which children will enter later. It is 3. To increase the awareness of different levels of education
also intended to prepare children to start formal school life and authorities, such as the districts and zone education offices to
promote academic achievement in schools ahead. ensure that at least minimum levels of program quality in
Though studies are hardly exist in the area, primary school preprimary education is maintained in the primary schools.
classrooms observation in Jimma Zone reveals, various 4. To strengthen parent-school relationships to improve
challenges associated with preprimary education that calls for preprimary school childrens learning.
attention. Hence, early intervention is vital. Therefore, the 5. To serve as a springboard to conduct further and detailed
analysis of the current practice of preprimary education research in the area of preprimary education provided in the
organized in primary school classrooms will serve as an primary schools in the region as a whole.
important source of knowledge and direction for further
improvement of the situation. Hence, this study was intended to Materials and methods
investigate the challenges of preprimary education organized in Research design
the primary schools of selected districts of Jimma Zone (Jimma In order to get relevant and sufficient information on
town, Manna, Gomma and Kersa). In so doing, study would research problem, mixed research design (quantitative and
answer the following basic research questions. qualitative design was used). To this effect, a descriptive survey
1. How far the curriculum of preprimary education was method was employed as an appropriate methodology. The
implemented as recommended in the primary school classrooms? method was selected because it could investigate adequately the
2. How far the classrooms and outdoor spaces organization challenges of preprimary education provided in the primary
in the primary schools were conducive for children attending school classrooms in selected districts of Jimma Zone so that the
preprimary education? intended purpose would be achieved.
3. To what extent the materials and equipment of minimum
requirements were available in the primary school for children Data sources
attending preprimary education? The main source of data for the study consisted of teachers
4. Did teachers have the required professional competence teaching preprimary, primary school directors, and pertinent
in the area of preprimary education? experts from districts education offices. In addition, preprimary
5. To what extent parent-school relationships were classrooms and outdoor play areas were used as a source to
maintained to assist preprimary school childrens learning? secure relevant data. Moreover, relevant national and regional
education policy documents were used as cornerstones of
Objectives of the study references of information for the study.
General objective: -The study was intended to investigate Sampling techniques
the challenges of preprimary education provided in the primary In order to obtain adequate samples for the study simple
schools of selected districts of Jimma Zone. Specifically the random and purposive samplings were employed. Simple random
study was designed to: sampling was used to obtain primary schools providing
find out the extent to which the curriculum of preprimary education that were included in the samples. This was
preprimary education was implemented in the primary done by listing their names and drawing the required sample
school classrooms. using lottery technique. Hence, twenty-three primary schools
identify the suitability of classrooms and outdoor spaces were selected as sources of data. Besides, thirty-five teachers
organization in the primary schools for children teaching primary schools were made to fill the questionnaire.
attending preprimary education. Purposive sampling was used to select informants such as
assess the availability of materials and equipment of primary schools directors, and districts education offices experts
minimum requirements for children attending due to their close duties and responsibilities they hold in the area.
preprimary education in the primary schools. Accordingly, ten directors and four districts level experts were
examine the professional competence of teachers in the interviewed. Further, thirteen classrooms and play areas were
area of preprimary education. observed on purposive basis.
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Respondents in
Objectives of the curriculum No. %
Social development 5 14.3
Intellectual development 19 54.3
Physical development 8 22.8
Emotional development 3 8.6
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revealed that primary schools had been using curricular and 4 (11.4%) selected environmental science, and physical
documents which were beyond the maturity level of the children. education respectively. This demonstrates that the contents of
This had little pedagogical significance. preprimary education in the studied primary schools were
emphasized on languages and mathematics. Whereas, emphasis
1.3. The emphasis of the contents of the curriculum in the areas of physical education, environmental science, and
aesthetic and creative were low.
Table 3: The emphasis of the contents of the curriculum In the studied primary, greater schools emphasis was placed
on languages and mathematics. In fact, introducing children to
Area of learning Responses in letters, numbers, and other language skills will give them easy
No. % entry into primary school. But, when preprimary education are
Aesthetic and creative 6 17.1 much concerned with the teaching of specific subjects, it may
Environmental Science 5 14.3 lead to lack of building background experiences that will
Mathematics 7 20 promote the attainment of academic, social and life skills. As a
Languages 13 37.2 result, the content of the school curriculum lack a broad base of
Physical Education 4 11.4 emphasis on experiences and activities with exposure to a variety
of areas to build a firm foundation for later knowledge, attitudes
As indicated in table 3 above the great majority of and skills of children in the studied primary schools.
respondents 13 (37.2%), selected languages followed by
mathematics 7 (20%). Some respondents 6 (17.1%) selected 1.4. The most commonly used teaching methods
aesthetic and creative. Small number of respondents 5 (14%),
Table 4: The most commonly used teaching methods
Respondents in
Teaching method No. %
Explanation 18 51.4
Question and answer 8 22.9
Discussion 4 11.5
Play 5 14.2
Field trip - -
Learning by doing - -
Role Playing - -
As shown in table 4 above the majority of respondents responsibility, consideration, tolerance and respect for the right
18(51.4%), indicated explanation, followed by question and of all others.
answer 8 (22.9%). Some respondents 5(14.2%), and 4(11.5%) On the other hand, in most of the studied primary schools,
indicated play and discussion respectively. This shows that teacher directed attempt dominate rather than child-initiated
explanation, and question and answer were the most commonly learning that is the education of preprimary school children. The
used teaching methods in most of the preprimary education in the trends seem to become more academic and structured through the
studied primary schools. Whereas, the rest methods were use of more books or specific instructional activities intended to
ignored. Besides, during observation the researcher witnessed in improve childrens achievement in first grade depending solely
most classrooms more direct teaching and specific academic on prescribed material. But, one must be sure that verbal
instruction with emphasis on telling, reading, showing and asking explanation or description does not make much sense to
than the use of other methods. Questions flow from the direction preschool children. Because, at this stage children learn more
of teachers only. Children were not encouraged to ask. Individual from what they can see, hear, feel and do for the fact that the
and cooperative learning were less observed. Children were more senses brought into use, the greater the amount of learning
never included in all activities to the best of their abilities. The that take place.
use of techniques which foster motivation and engagement were It is clear that factual information does not ensure the kind
less observed. Further, the interviewed directors agreed to the of experiences needed for young children in a world of
dominance of explanation, and question and answer; for the lack continuous change. Children need to have a foundation how to
of teaching materials, absence of assistant teachers, lack of understand concepts, apply skills, solve problems, work
knowledge on the part of teachers how to teach young children. cooperatively, and take responsibility for their learning. Thus, the
Hence, the use of child directed methods like play, discussion, current more reliance on explanation and question and answering
role-playing, field trip and learning by doing provide methods more of teacher directed in the studied primary schools,
opportunities for first-hand experiences, activities, discovery, less guarantee to lay firm foundation for children.
exploration, experimentation and multi sensory approaches. 1.5. Utilization of instructional materials by teachers
These methods promote independence, cooperation,
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Respondents in
Degree of utilization No. %
Always 16 47.7
Sometimes 19 52.3
Not at all - -
The above table 5, shows the majority of respondents 19 The utilization of appropriate instructional materials provide
(52.3%), slightly more than half replied they use instructional opportunities for children to broaden and deepen their knowledge
materials utilization sometimes. Whereas, the rest respondents and understanding. Instructional materials support childrens self
16(47.7%), said they use instructional materials always. This initiated learning, stimulates interests, awareness and
implies, they use instructional materials sometimes in most of the imagination. Consequently, the utilization of proper instructional
studied primary schools. However, direct classroom observation materials by teachers in the schools enhances the effective
indicated the researcher, acute shortage of materials and implementation of the curriculum. Thus, the teachers attempt of
teachers dependency on picture reading, sound-letter utilizationing instructional materials seems to be hampered by
association, letter naming and word discrimination from books, acute shortage of essential materials in the schools.
written on the sheet of papers or blackboard. Besides, most of the
interviewed directors were never denied the critical shortage of 1.6. The most commonly used assessment techniques
instructional materials in the schools.
Respondents in
Assessment technique No. %
Test 11 31.4
Observation 6 17.1
Class Participation 6 17.1
Daily attendance 7 20
Writing and drawing work 5 14.2
As depicted in table 6 above the majority of respondents attendance and class participation, provide partial information
11(31.4%), selected test as the most commonly used assessment about childrens performance. For, it never takes into account the
technique followed by daily attendance 7(20%). Class activities of young children, which are equally important in the
participation and observation each accounted equally 6(17.1%) outdoor environment. As a result, it lacks validity and reliability
by respondents respectively. Small number of respondents 5 to identify the interests, needs, and problems of children so that
(14.2%), selected writing and drawing work of children. This appropriate indoors and outdoors activities to individuals and
indicates that test was the most commonly used assessment groups of children, will be planned and provided. Therefore,
technique followed by daily attendance. In contrast, observation, appropriate assessment techniques that provide complete picture
class participation, writing and drawing work of children, daily of children both in the classroom and outdoor environments were
attendance and observation were the least used techniques of not used in most of the studied primary schools in the education
assessment in most of the studied primary schools in the of preprimary children.
education of preprimary children. Further, the use of observation
results in more accurate findings and does not threaten the childs 1.7. The most commonly used childrens record keeping
sense of safety and active exploration. Formal tests do not fit the system
nature of young children. In addition, more reliance on test, daily
Responses in
Types of record No. %
Anecdotal 3 8.6
Admission 4 11.4
Daily attendance 28 80
As revealed in table 7 above, the great majority of anecdotal record. This shows that daily attendance was the main
respondents 28(80%), indicated the use of daily attendance. record keeping system mostly used in the studied primary
Some of the respondents 4(11.4%), indicated admission record, schools in the education of preprimary children. Besides, it was
and very small number of respondents 3(8.6%), indicated also observed by the researcher that in all daily attendance and
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admission record were the only available records about the child. admission records, which provide a very little information about
Daily attendance was used for checking regular attendance of the child and that never, reflect a complete picture of the child.
each child. While admission record, was used for registration The habit of compiling and using records for academic guidance
each child in to the school. Besides, records for each child and to share concerns with parents was not practiced. Therefore;
containing all significant data, concerning assessment, appropriate records containing reliable, accurate, and well
educational plans, special reports and records of progress less organized information were not kept in the education of
prevail. preprimary children in the studied schools. The lack of which
Further, most of the interviewed directors admitted the might make difficult to provide academic guidance, to share
inadequacy of keeping record for each child. The rationale concern with parents, and to achieve continuity in the childrens
behind were the lack of know- how on the part of teachers that educational progress.
made keeping appropriate record for each child difficult in the
school. In the studied primary schools were not accustomed to
keep appropriate records of childrens progress in order to have II. ADEQUACY OF CLASSROOM AND OUTDOOR SPACES,
information ready to transfer with child from year to year. An MATERIALS AND EQUIPMENT, AND ITS ORGANIZATION
individual profile, which includes pertinent information about the 2.1. Adequacy of classroom space, materials and equipment
childs performance in the curriculum areas, estimates of social and its organization
and emotional adjustments, family background and examples of
his/her work were not available. They use daily attendance and
Responses
Item Adequate Inadequate Non-existent
No. % No. % No. %
Space provided per child 9 25.7 26 74.3 - -
Organization of activity centers - - 3 8.6 32 91.4
Supply of materials in the centers - - 5 4.3 30 85.7
Arrangement of materials - - 7 20 28 80
Access for utilization - - 6 17.1 29 82.9
Tables, chairs and shelves 2 5.7 33 94.3 - -
The first item in table 8 above reveals classroom space teachers and children to work with satisfaction. This in turn
provided per child. Then, the majority of respondents 26(74.3%), affects the proper achievement of the objectives of the program.
judged classroom space provided per child was inadequate. The Regarding the organization of activity centers or corners in the
remaining number of respondents 9(25.7%), said adequate. This classroom, table 8 indicates, the great majority of respondents 32
shows that the inadequacy of classroom space provided per child (91.4%), judged the organization of activity centers as non-
in most of the primary schools. Besides, as observed by the existent. The rest very small number of respondents, 3 (8.6%),
researcher, the problem of classroom space differs from school to judged it as inadequate. This reveals that the organization of
school. In some schools such as Hermata, Yebu and Ras Dasta activity centers in most of primary schools non-existent.
large number of children over sixty (60) was observed attending Table 8 also depicts the supply of materials in the centers,
their education. While, in some schools such as Buture and non-existent, for the vast majority of respondents 30(85.7%),
Garuke the rooms were not primarily built for classroom judged it. Only small number of respondents 5(14.3%), judged it
purpose. They were built initially either for office or other as inadequate. This indicates the supply of materials in the
purposes but used as classroom for education of preprimary activity centers in the primary schools was on-existent. The
school children. Amazing in Agaro No. 2 instructional resource researcher also witnessed the fact that in observed primary
centre was used as a classroom. As a result, the classrooms were schools, there were no clearly defined activity centers. Materials
so much compacted and unable to accommodate children. of all sorts such as literary, manipulative, construction, aesthetic,
In the studied primary schools, the classroom space provided per creative and natural materials were lacking. The only available
child was under sized resulting in crowded class either due to materials were; limited number of charts, and small mounted
large number of children in each class above the standard or pictures hang-up or posted on the wall. The habit of collecting
small size of classroom below the standard to accommodate natural objects easily available from local environment was
children. Therefore, it is evident to say that the classroom space minimum. Directors were also interviewed, and they reacted; to
under which both teachers and children work, greatly affects the the financial constraints to supply it with required materials, lack
success of the objectives of the program. Likewise, based on the of interest and know how on the part of teachers to organize the
responses obtained most of the studied primary schools were centers.
unable to provide appropriate classroom working space for the There is no doubt that organization of activity centers and
group of children attending. This likely to limit, childrens supply of adequate materials and equipment in the centers, are
attending and engagement in tasks and creates tensions for both crucial aspect in determining the effectiveness of preschool
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program. It provides ample opportunities for children to gain free movement seems difficult. Therefore, the arrangement of the
experiences and skills in handling materials, try out and develops materials available could not provide easy self serving approach
their creative and explorative urges, discover and test in the studied primary schools.
possibilities of learning that promote the attainment of the The last, but not the least, worth considering in classroom
objectives of the program. organization was the availability of child-sized tables, chairs/
Indeed, the use of carefully resourced activity centers in the benches and shelves. Table 8, depicts where the majority of
classroom promotes the attainment of the objectives of the respondents 33(94.3%), judged tables, benches and shelves as
program. On the contrary, the lack or absence, as in the studied inadequate. The rest number of respondents 2 (33%), judged it as
primary schools, undoubtedly, can retard or inhibit the attainment adequate. This reveals, in most of the studied primary schools,
of objectives of the program as recommended. In general, based chairs/benches, tables and shelves were inadequate. Besides, it
on the results, it would be possible to infer that the organization was observed by the researcher, that in almost all primary
of activity centers and the supply of materials and equipment schools a single bench was shared among three or four children
almost all primary schools were inadequate. This being the case, that were prepared for primary school students. Besides, the
most children were undoubtedly, unfortunate to have wide benches and tables were not appropriate in relation to
opportunities for first-hand experiencing, discovery, exploration, developmental level of children and not comfortable for use.
experimentation and the use of multi sensory approach. Further, Exceptions were noted in Mendera where children were provided
it hampers effective use of appropriate teaching methods and with chair, proper height to children.
assessment techniques, limits the roles of teacher and children as In order to meet the needs of young children in the
well as proper implementation of the curriculum. preprimary education, calls for appropriate kinds of equipment,
As to an orderly arrangement of the available materials and which are essential for the program. Tables, benches / chairs and
equipment in the classroom, table 8 shows, most respondents shelves must be selected to meet the needs of kindergarten
28(80%) judged the arrangement was non-existent. While, the children. They must afford an opportunity for children to sit and
remaining number of respondents 7(20%), judged it as work comfortably. The equipment needs to be suitable for use
inadequate. This shows that the available materials and and adequate for the group of children attending. The inadequacy
equipment in most schools were not arranged properly. of the equipment, as in the most of studied primary schools,
Related to an orderly arrangement of materials and tends usually to create discomfort and fatigue, which invite
equipment table 8 reveals, access to the utilization of the children to lack of attention and concentration to their own
available materials and equipment was found to be inadequate learning. It would also open the door for the occurrence of
for the majority of respondents 29(82.9%) judged it as non- misbehavior. Therefore, appropriate child-sized tables, chairs/
existent. The remaining 6(17.1%) of respondents judged it as benches, and shelves were inadequate in most of the
inadequate. This reveals access to the utilization of the available kindergartens for the childrens attending in the centers. The
materials and equipment in most schools was either non-existent inadequacy might hamper the achievement of educational
or inadequate. It was also observed by the researcher, that the objectives intended in these kindergartens, as recommended.
scarcely available literary materials, toys, and equipment in very
limited schools were not arranged by types of activity, concepts, 2.2. Organization of outdoor space, materials and equipment
and sequentially. These were placed at one corner of the room.
Chairs / benches and tables were arranged in rows, even though
Responses
Item Adequate Inadequate Non-existent
No. % No. % % %
Outdoor space and playground 10 28.6 25 71.4
Safety condition 9 25.7 26 74.3
Supply of equipment 3 8.6 32 91.4
Selection of equipment 2 5.7 33 94.3
Arrangement of equipment 5 14.3 30 85.7 - -
Durability of equipment 7 20 28 80 - -
Regarding outdoor space and playground, table 9 indicates, most of primary schools was not adequate for the preprimary
the majority of respondents 25(71.4%), judged outdoor space and children. As observed by the researcher, except for Mendera
playground as inadequate. Whereas, the remaining number of there was no separate play ground the available for preprimary
respondents 10(28.6%), judged it as adequate. Besides as to, the school children. The safety conditions were also poor for broken
safety conditions of playground, the majority of respondents parts; stones, end edges and other unnecessary materials were
26(74.3%), judged its safety as inadequate. Whereas, the found occupying many spaces. Further, directors were
remaining number of respondents 9 (25.7%), judged it as interviewed and explained the reason for inadequacy of outdoor
adequate. The responses obtained show that outdoor space and space. Then they said that there was lack of clear direction for
playground as well as its safety conditions were inadequate in the organization of separate play ground. They had admitted, the
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problem of safety conditions was due to lack of attention from constraint. So the supply and selection of outdoor play materials
the schools. and equipment were not adequate. As a result, children might be
It is evident that outdoors space and playground as well as found in depressed situations to have their individual and group
its safety have been identified as a powerful tool for play and interests for play never met. This might affect adversely
development of children. The range and qualities offered can childrens opportunities for developing a wide range of social
have significant impact on childrens opportunities for learning. skills, physical coordination and mental discipline as well as
Ideal equipment and materials are of little value without adequate competence.
playground and if children do not feel emotionally safe and
relaxed to explore and move around freely. Hence, there should As to the arrangement of the available outdoor play
be plenty of open space and playground with physical and materials and equipment, table 9 depicts, the greater number of
psychological safety and security for children. Since, children respondents, 30(85.7%) judged the arrangement as inadequate.
need to be protected from danger. Such being the case, the lack Whereas, the remaining number of respondents 5(14.3%), judged
of adequate outdoor space and playground as well as its safety, as it as adequate. Concerning durability of the available outdoor
in most of the studied primary schools, limit childrens play materials and equipment, table 10 shows the great majority
opportunities to investigate and explore their environments; to of respondents 28(80%), judged the durability as inadequate. In
learn to live with peers, to interact freely with materials and contrast, the rest number of respondents 7(20%), judged it as
equipment available. Therefore, the outdoor space and adequate. The responses revealed that both the arrangement and
playground as well as its safety found to be inadequate in almost durability of the available outdoor play equipment were
all primary schools. This would limit childrens possibilities for inadequate in almost all primary schools. It was also observed by
play, to exercise and develop physical skills, to build self- the researcher, the outdoor play materials and equipment was not
confidence, and competence, which are the main goals of available outside. It is known that the arrangement and durability
preprimary school education program. of outdoor play materials and equipment can stimulate play.
With respect to the supply of outdoor materials and When each item is durable children can use it without fear for
equipment, table 9 reveals, almost all respondents 32(91.4%), longer time. When equipment is placed properly children can
judged the supply non-existent. The rest respondents 3(8.6%) play without interfering with other play group. In addition,
judged it as inadequate. In the same vine, table 9 also indicates proper arrangement can make possible for the teacher to give
where the vast majority of respondents 33 (94.3%) judged the help when help is needed and to carryout effective supervision.
selection of outdoor play materials and equipment as non- Therefore, the arrangement and durability of the outdoors play
existent. While, some respondents 2 (5.7%), judged it as materials and equipment was found to be inadequate in most
inadequate. In both cases, the responses indicated that the supply schools.
and selection of outdoor play materials and equipment as
nonexistent or were inadequate. Direct observation of playground
by the researcher, also justified the critical shortage and lack of III. ADEQUACY AND PROFESSIONAL COMPETENCE OF
selection of play equipment in the kindergartens. Equipment of TEACHERS FOR PREPRIMARY CLASSES
minimum essentials like balance, tricycle, crawling tunnels, 3.1. Teachers assignment in to preprimary classes
climbing frames, swinging, etc. were not available in almost all
schools. In addition, the interviewed directors never denied the
acute shortage of outdoor play equipment, but raised budget
Respondents in
The system of assignment No. %
Voluntary assignment 6 17.1
School administration forced school assignment 29 82.9
As shown in table 10 above the great majority of teachers Most teachers were assigned to teach preprimary children
29(82.9) were assigned to teach preprimary school children by without their interests. It is known that the teacher is a key
school administration. Only 6(17.1%) of teachers were assigned person in teaching-learning process. Particularly, teachers
to teach in the preprimary classes based on their interests. interest play vital role to the success of school program.
Respondents were required to write the reason for their 3.2. Training of teachers
assignment. Most of them said that the school administration
assigned them as demotion due ascribing to lack of efficiency.
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No 33 94.3
As indicated in table 11 above, most of the respondents identify the availability of opportunity for in-service training and
33(94.3 %), were not trained for preprimary education. Only 2 refresher courses respondents was asked.
(5.7%) had training in preprimary education. This reveals that
almost all the teachers in the assigned to teach preprimary 3.3. Opportunity for in-service training of teachers
schools were not trained as a teacher in the preprimary education.
Rather they were trained to teach primary schools. Further, to
As revealed in table 12 above, all respondents 35(100%), experiences and at all times. Hence, in-service training is
said there was no an opportunity for in-service training. This expected to equip teachers with newer and better teaching
shows that the absence of opportunity for in-service training or procedures that will help them carry out their professional
refresher courses for all teachers who were assigned to teach responsibilities effectively. However, in the studied primary
preprimary children. Besides, the interviewed directors had schools, an attempt made to improve the professional skills and
expressed the absence of in-service training provided for expertise of teachers through relevant on-going professional
teachers. Directors said that this had created lack of self- development was limited. An effort made to bridge the gap
confidence and feelings of inadequacy in their profession among created due to the absence or shortage of pre-service training to
those teachers who were assigned to teach preprimary school meet childrens need through in-service training was very
children. In-service training is an essential part of the on-going minimal. Teachers hardly had opportunities to upgrade and
work and development of preschool education. Both qualified acquaint themselves with changes and innovations in the system.
and unqualified teachers need to have access to up-to-date Thus, the opportunities for in-service training of teachers were
information that enables them aware of standards required at all minimal and limited. This situation therefore would have a
times. Periodic refresher courses, workshops, seminars, and negative impact on the performance of the teachers, which in
conferences are required so that teachers can keep themselves turn affects childrens learning as a whole in the studied primary
abreast of current trends and research and their application to schools.
understanding of children and curriculum development. In-
service training should not be seen merely as a way of bringing IV. THE EXTENT OF PARENT SCHOOL RELATIONSHIP TO
teachers up-to-date. Training that is worthwhile, will offer more ASSIST CHILDRENS LEARNING
than that. It will allow teachers to look critically at their own 4.1. The existence of parent-school partnership
practice and identify strengths and weaknesses in it along with
ways of moving forward. Preprimary school teachers are
required to be alert to all educational implications in all
As depicted in table 13 above, the great majority of link between parent and school. Thus, they have left every
respondents 23(65.7%), indicated the absence of partnership to responsibility to kindergarten teachers considering themselves as
assist childrens learning. Whereas, the rest respondents 12(34.3 if they cannot contribute anything to education of their children.
%), indicated the existence of partnership. The responses On the other hand, some teachers lacks know- how to work with
revealed the lack of partnership in most of the studied primary parents. For this, they blame their lack of practical training to
schools. In this respect, both directors were interviewed to work with parents in teacher education institutions. Some other
express their views. Directors have admitted the lack of teachers, lack commitment, initiatives, and responsibility to form
partnership to assist childrens learning. As to many directors, on partnership with parents.
one hand, most parents have limited knowledge and experiences It is clear that parent-school partnership in early years, is
about the objectives or purposes and methods of preprimary immense important for childrens overall development.
education. As a result, they did not realize the importance of the Preprimary school working in isolation from parent is impotent.
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Cooperation between both parties will benefit the kindergarten, awareness about the objectives and activities of the school to
the parent and the child. Benefits to the school include, it fosters work together effectively and harmoniously. In addition, some
parents' positive attitudes toward the school so that they can teachers lack training in using effective communication skills and
support the effort of the institution in such ways as fundraisers, strategies to overcome knowledge barriers and gain support from
resource persons, decision makers and implementers. Benefits to parents. Professional commitment to communicate with parents
the parents include they can understand the purposes and and an attempt to share responsibilities for childrens educational
methods of kindergarten and work constructively with teachers. success seems minimal.
They can also have a chance to gain more realistic pictures of Hence, there was a lack of effective parent-school
their childs strengths and weaknesses. Children are also partnership to assist childrens learning in the studied primary
benefited from joint work of institutions for their welfare. It can schools. Working with parents had never been prioritized in most
foster confidence, independence and increases the chance for schools. As a result, getting their full cooperation was a great
greater achievement and stimulates wholesome attitudes toward challenge. The lack of such an essential ingredients might
the teachers and the program. However, in most of the studied contribute to childrens poor adjustment and performance to meet
primary schools, the results indicated the existence of rift their own goals in the studied primary schools.
between parents and schools to maintain proper partnership. 4.2. Means of communication used with parents
Many of the schools failed to promote the idea that parents are an
integral part of childrens education. Parents also lack clear
Table 14: The most commonly used means of communication with parents
Respondents in
Means of communication No. %
A forum for parent education - -
Meetings and discussion -
Telephone calls - --
Parental visits
Conferences
Written letters 1 2.9
Childrens circulating books 2 5.7
Verbal messages 32 91.4
As revealed in table 14 above, most of the respondents develop links in ways that values and respects the contributions
32(91.4%), indicated verbal messages. Childrens circulating of the children, their family and the setting. On the contrary, in
books and written letters were indicated by 2(5.7%), and 1(2.9%) the studied primary schools, the mechanisms through which the
of the respondents respectively. Parental visits, conferences, schools work and underlying values were not a well established
telephone calls, meeting and a forum for parent education were features. An attempt made to use a forum for parent education,
not selected. The responses indicated that a verbal message was conferences, meetings and discussions, parental visits, and the
the most commonly used means of communication in most of the use of childrens circulating books which are very effective
kindergartens. In contrast, childrens circulating books, parental means of communication found to be one of the most difficult
visits, conferences, meetings and discussions, and a forum for aspects of their work. For partnership to be maintained it would
parent education were the least used means of communication for be vital that effective communication strategies to facilitate two
parents to participate. As to many of the interviewed directors, directional communication and support should be used; where
the only available means of communication with parents were both parties share mutual accountability, responsibility and
attendance at annual parents meetings at the beginning and end mutual gains. Therefore, the means of communication used in
of the year. In these meetings, due to time constraints and other almost all schools, for parents to participate were found to be less
reasons, parents were often rushed and enforced teachers passing effective. It never invites parents to play a direct role in the
on information. This leaves little room for discussion or debate education of their children.
and made communication one directional and less effective.
Effective means of communication between parents and 4.3. Parents participation in the management of the school
preprimary school is essential to exchange information and
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As indicated in table 15 above, most of the respondents experiences in preprimary children education. All teachers
32(91.4%), replied that there was no parental participation in the (100%), teaching preprimary children had no opportunity for in-
management aspects of the school. Whereas, small number of service training or refresher courses to improve or up-date their
respondents 3(8.6%), replied the existence of parental professional skills and expertise to work effectively in the
participation. The responses revealed that in most of the studied preprimary education. An assistant teachers were not available in
primary schools, there was no parental participation in the all (100%), primary schools.
management system of the school. In addition, most of the D. The extent of parent-school relationships to assist
interviewed directors, clarified the absence of parental childrens learning in the studied primary schools was found to
involvement in the management aspects of many preprimary be low. The findings demonstrated that there was a lack of
education was due to much emphasis given to primary school effective parent-school partnerships (65.7%), to assist childrens
education and lack of encouragement from the schools. It is learning. Childrens circulating books, written letter, parental
obvious that the government has legislated for parents to be on visits, conferences, telephone calls, meeting and a forum for
the governing bodies and to be partners in the business of parent education were the least used; that could invite parents to
running their childrens schools. Such partnership although in play a direct role in the education of their children. Parental
theory ideal, had not been realized to any great extent in practice participation or involvement in the management aspects of the
in most of the primary schools. school systems was almost non-existent (8.6%).
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learning experiences from childrens environment which made available to them to work harmoniously and
are meaningful, functional, and adaptable building on and constructively with the primary schools.
creating interests in children rather than using grade one e) Districts Education Office should provide strong
syllabi. supportive services in raising the awareness of the
3. Provision of preprimary education syllabi calls for community, placing on the agenda that parent,
concomitant teachers awareness raising in teaching communities, and schools are an integral part to
materials, methods, assessment techniques, and record work cooperatively for ultimate success of
keeping systems. Therefore, districts Education Office preprimary education.
should familiarize teachers in the proper utilization of 8. Districts Education Office bears enormous responsibilities
teaching materials, methods, assessment, and record in running preprimary education. Therefore, it should
keeping systems through workshops, seminars, strictly make sure that a minimal level of requirement in
conferences, etc, as soon as possible. preprimary education program qualities maintained in all
4. The organization of classroom and outdoor spaces, primary schools.
materials and equipment, play an important part in helping Finally, the writer recommends a more detailed and
children to acquire the skills and competencies associated comprehensive studies in the same area to investigate and further
with preprimary education provision. Therefore, the school strengthen the practices of preprimary education organized in
administrative bodies should provide the minimum primary schools of the zone as a whole.
requirements of spaces and safety conditions for
preprimary children. Besides, teachers initiatives,
ingenuity and commitment should be strengthened to REFERENCES
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itself should be encouraged. Further, mobilization of the [2] Althouse, R. (1988). Investigating Science with Young Children. New
York: Teachers College Press.
community to effectively contribute with the available
[3] Beaty, J. (1988). Skills for Preschool Teachers (3rd ed.). New York:
knowledge, skills, and fund could do much to minimize MacMillan Publishing Company.
the problems. [4] Bruce, T. (1997). Early Childhood Education (2nd ed.). Hodder and
5. Qualified teachers are indispensable to a sound educational Stoughton Publishing Group.
program. Therefore, the training of teachers should [5] Butler, A. (2001). Preschool Education. The Encyclopedia of America.
deserve thoughtful attention from Regional Education Durban: Grolier Publisher.PP.553-555.
Bureau. [6] Chowdhury, A & Choudhury, R. (2002). Preschool Children: Development,
6. In-service training would go a long way in improving the Care and Education. New Delhi: New Age International (P) Publisher.
professional competencies of teachers. So, districts [7] Christine, H & Jill, F. (1999). A Practical Guide to Activities of Young
Children. London: Nelson Thornes Ltd.
Education Office should organize ongoing workshops,
[8] CMEC. (1998). Preparation for Learning: Preschool Education. Toronto:
seminars, conferences, and otherwise to enhance the Ontario Ministry of Education and Training.
professional competence of preprimary education teachers. [9] Curtis, A. (1998). A Curriculum for Preschool Children: Learning to Learn
Besides, teachers by their own commitment, initiatives and (2nd ed.). London: Rutledge Publisher.
concerns should have to look forward to a better [10] Decker, C & Decker, J. (1988). Planning and Administering Early
professional life and never cease to learn. Childhood Programs (4th ed.). Toronto: Merrill Publishing Company.
7. Effective parent-school relationship is one of the major [11] Garrick, R .(2004). Playing Outdoors in the Early Years. London:
Continuum International Publishing Group.
features of preschool education. Opportunities for
[12] Heffernan, H & Todd, E.(1960). The Kindergarten Teacher. Boston: D.C.
childrens learning are strengthened as the connections Heath and Company.
across the parents; school and community are
[13] Hespe, D. (2002). Early Childhood Education Program Expectations:
acknowledged and respected. Therefore, to strengthen the Standard of Quality. Trenton: New Jersey Department of Education.
bond between parents and preprimary education organized [14] IDRC. (1983). The Relationship between Preschool and Primary Education.
in primary schools: Proceedings of Workshop on Preschool Research. Ottawa Ministry of
a) Emphasis on community oriented and greater Education and Training.PP.18-50.
parental participation should be adopted in the all [15] Isenberg, J & Jalongo, M. (1993). Creative Expression and Play in the Early
Childhood Education. New York: Macmillan Publishing Company.
primary schools.
[16] Kuppuswamy, B. (1980). A Textbook of Child Behavior and Development
b) Effective strategies for working with parents based (2nd ed.). New Delhi: Vikas Publishing House Pvt. Ltd.
on the realities of local environment should be [17] Kurian, T. (1988). Preschool Education. World Education of Encyclopedia.
employed by all primary schools. New York: Facts on Publications. V.1. PP.377-388.
c) Continuous efforts should be made by primary [18] Miller, P. & McDowelle, J. (1993). Administering Preschool Programs in
school administration to strengthen the partnership Public Schools: Practitioners Handbook. California: Singular Publishing
with parents. To this effect, a forum for parent Group, Inc.
education, meetings and discussions, conferences, [19] MOE. (2002). Education Sector Development Program II (ESDPII). Addis
Ababa: MOE.
home visits, etc, are recommended.
[20] (2002). The Education and Training Policy and its Implementation. Addis
d) Parents should also take full advantages of all Ababa: MOE.
formal and informal means of communication
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Abstract- A high throughput, sensitive, selective, and rugged extensively metabolized by hydroxylation and oxidation.
liquid chromatography coupled with mass spectrometry (LC- Metabolites M-III (keto derivative of pioglitazone) and M-IV
MS/MS) method for the quantification of Pioglitazone and its (hydroxy derivative of pioglitazone) are pharmacologically
active metabolites, M III and M IV, in human plasma was active in animal models of type 2 diabetes [1-10]. Analysis of
developed and validated. The analytes were extracted from PIO and its metabolites in biological fluids by high performance
plasma by solid phase extraction technique using Waters Oasis liquid chromatography (HPLC) with ultraviolet detection and
HLB 96 well plate 30 m (10 mg). Isocratic elution of mass spectrometry has appeared in the literature [11-13].
Pioglitazone and its metabolites were achieved in 5.5 min However, these HPLC assays lack specificity, sufficient
using Denali, C18, 4.6 X 150mm, 5 column having a mobile sensitivity (LLOQ: 50 ng/ml using a sample volume of 0.2 to 0.5
phase of 10mM Ammonium acetate buffer (pH 6.5 0.3): ml) and require long analytical run times (over 20 min), which
Acetonitrile 50: 50 v/v. The flow rate was 1 mL/min at a column make the LC-UV method impractical for routine analysis of large
temperature of 35 5C. Electron spray ionization technique in numbers of clinical samples. Very few LC-MS/MS methods have
negative mode was selected to improve the selectivity and been reported using Liquid Liquid extraction techniques for
sensitivity required for this application. The retention times of sample extraction [14]. Therefore, this paper describes a
Pioglitazone and metabolites M III and M IV were 4.0, 2.35, and sensitive, specific, and rapid LC-MS/MS method for the
1.80 min, respectively. The method was validated for linearity, simultaneous determination of PIO and its two active metabolites
precision, accuracy, specificity, sensitivity, matrix effect, dilution (M-III and M-IV) in human plasma using Solid phase extraction
integrity, ruggedness, reinjection reproducibility, and stability. technique in 96 well plate format and the validation as per the
The assay produced quadratic calibration curves over the US FDA guidelines [15].
concentration range for Pioglitazone, M III and M IV in the
ranges of 20.2002003.400, 5.010501.270, and 10.100-1005.6
ng/mL with correlation coefficients greater than 0.9987, 0.9988,
and 0.9990, respectively, and by using a 1/x2 weighted least
square regression analysis of standard plots associated with nine-
point calibration standards. The precision and mean accuracy
were within the acceptable limits.
Fig 1: Structure of Pioglitazone
Index Terms- Pioglitazone, M III, M IV, Solid Phase Extraction
and Waters Oasis HLB 96 well plate
I. INTRODUCTION
P ioglitazone hydrochloride,(9/)-5-{4-[2-(5-ethyl-2-
pyridyl)ethoxy] benzyl}-2,4-hiazolidinedione hydrochloride
salt, is prescription oral antidiabetic drug of thiazolidinedione Fig 2: Structure of Pioglitazone M III
(TZD) class with hypoglycemic action to treat diabetes. It has
been shown to affect abnormal glucose and lipid metabolism
associated with insulin resistance by enhancing insulin action on
peripheral tissues in animal models. Pioglitazone (PIO) is
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MRM conditions
Dwell Time DP
Parameters Q1 (amu) Q3 (amu) CE (volts) CXP (volts) EP (volts)
(msec) (volts)
Preparation of calibration standards and quality control concentration of 1mg/mL. Working solutions of analyte
samples (Mixture) were prepared by appropriate dilution of their stock
Standard stock solutions of Pioglitazone, M III, M IV and solutions in 50:50 v/v DMSO: Acetonitrile. All the solutions
internal standard (Glyburide) were prepared by dissolving their were stored in refrigerator at below 10C and were brought to
accurately weighed amounts in DMSO to give a nal room temperature before use. Working solution of internal
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standard (Glyburide, 50 ng/mL) was prepared daily in 50% working solutions (5%) prepared from independent stock
acetonitrile and was stored at room temperature. weightings. Calibration standards and quality controls were
Calibration standards and quality control (QC) samples were prepared in plasma at following concentrations:
prepared by spiking K 2 EDTA human blank plasma with the
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extraction samples (blank extracts spiked after extraction) against acceptable when the coefcient of variation for response ratios
the peak responses of equivalent aqueous samples prepared in was less than 4.0%.
mobile phase. Internal standard normalized matrix factor in each
lot was later evaluated by comparing the matrix factor of analyte
and internal standard. III. RESULTS AND DISCUSSION
Stability of analytes in both solutions and in biological matrix Method development
was evaluated after subjecting to different conditions and For consistent and reliable estimation of analytes it was
temperatures that could encounter during regular analysis. necessary to give equal importance for optimization of extraction
Stability in plasma was evaluated in terms of freezethaw procedure along with chromatographic and mass spectrometric
stability, bench top stability, long-term stability, and extracted conditions. Analytes and ISTD were tuned in negative polarity
sample stability. Freezethaw stability was evaluated after seven mode using electrospray ionization technique. The Q1 and the
freeze (at -70C) thaw (at room temperature) cycles. Bench top MSMS scans were made in infusion mode and further compound
stability was assessed at room temperature and the long-term and gas parameters were optimized in ow injection analysis.
stability was evaluated at both -70 C and -20 C. Stability of The [M-H] peaks were observed at m/z of 355.1, 369.0, 370.9,
extracted samples was determined after reconstitution (in-injector 492.2 for Pioglitazone, M III, M IV and Glyburide respectively.
stability at 4C). Reinjection reproducibility was proved for 49 Most abundant product ions were found at m/z of 312.1, 326.1,
Hrs 51 min. All the stability assessments were made at LQC and 328.0, 169.9 for Pioglitazone, M III, M IV and Glyburide
HQC level by comparing the stability samples against freshly respectively (Fig. 5 to 8) by applying sufcient collision
prepared samples. activated dissociation gas and collision energy. Increase in
Stability of analytes in stock solutions and in working source temperature beyond 400C augmented the intensity. A 5%
solutions was assessed at room temperature (short-term stability) change in ionspray voltage and gas parameters did not affect the
and at 2-8C (long-term stability). All comparisons were made signal intensity.
against freshly prepared stock solutions or working solutions.
Before each analytical run, system suitability was evaluated by
injecting six replicates of MQC sample to check the system
precision and chromatography. System suitability was considered
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Linearity and sensitivity curves using weighted (1/X2) quadratic regression analysis. The
The linearity of each calibration curve was determined by observed mean back calculated concentrations with accuracy (%
plotting the peak area ratio (y) of analytes to ISTD versus the Nominal) and precision (%CV) are presented in Table 1. The
nominal concentration (x) of analyte. Calibration curves were lower limit of quantitation (LLOQ) for determination of analytes
linear in the range of 20.2002003.400, 5.010501.270, and was found to be 20.2, 5.010 and 10.100 ng/mL respectively for
10.100-1005.6 ng/mL for Pioglitazone, M III and M IV Pioglitazone, M III and M IV. At LLOQ (n = 6) accuracy (%
respectively. The r values were more than 0.9987, 0.9988, and Nominal) was 106.7%, 104.9% and 97.9% with a %CV of 4.5%,
0.9990 for Pioglitazone, M III and M IV respectively. The r 3.2% and 7.8% respectively for Pioglitazone, M III and M IV.
values were calculated from three intra and inter day calibration
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Precision and accuracy for Pioglitazone, M III and M IV respectively. The inter batch
Precision and accuracy was evaluated using three intra and precision was between 1.3 to 5.6 %, 2.3 to 3.7 % and 3.5 to 5.3
inter day precision and accuracy runs, with each batch consisting % with % Nominal between 99.6 to 101.3, 94.7 to 103.5 and 95.7
of six replicates of quality control samples at four concentration to 100.2 for Pioglitazone, M III and M IV respectively. Results
levels (LLOQ, LQC, MQC and HQC). The intra batch precision of precision and accuracy are presented in Table 2.
was between 1.3 to 5.9 %, 2.5 to 3.9 %, and 2.7 to 7.8 % with %
Nominal between 100.1 to 106.7, 94.1 to 104.9, and 95.9 to 98.5
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LQC HQC
MF of ISTD Normalized
Lot # Analyte MF of ISTD Factor MF of Analyte MF of ISTD ISTD Normalized Factor
1 1.032 0.994 1.038 0.925 0.955 0.968
2 0.989 0.970 1.020 0.923 0.957 0.964
3 1.013 1.028 0.985 0.915 0.924 0.990
4 0.892 0.964 0.925 0.936 0.944 0.991
5 1.033 1.045 0.988 0.919 0.958 0.959
6 0.979 0.957 1.023 0.950 0.986 0.963
Mean 0.9965 0.9727
SD 0.04068 0.01421
% CV - 4.1 1.5
N 6 6
MF: Matrix Factor
LQC HQC
MF of ISTD Normalized
Lot # Analyte MF of ISTD Factor MF of Analyte MF of ISTD ISTD Normalized Factor
1 0.997 1.000 0.997 1.069 0.965 1.108
2 0.962 0.992 0.969 1.053 0.988 1.066
3 1.068 1.091 0.979 0.998 0.905 1.103
4 1.057 1.111 0.951 1.073 0.995 1.078
5 1.207 1.180 1.022 1.029 0.927 1.110
6 1.075 1.148 0.936 1.108 1.022 1.084
Mean 0.9757 1.0915
SD 0.03111 0.01789
- -
% CV 3.2 1.6
N 6 6
MF: Matrix Factor
LQC HQC
Lot # MF of Analyte MF of ISTD ISTD Normalized Factor MF of Analyte MF of ISTD ISTD Normalized Factor
1 1.036 1.004 1.032 1.029 0.885 1.162
2 0.960 0.950 1.011 1.042 0.886 1.176
3 1.039 1.035 1.003 0.951 0.800 1.189
4 1.020 0.985 1.035 1.005 0.881 1.141
5 1.171 1.199 0.977 0.963 0.845 1.139
6 0.992 0.846 1.172 1.040 0.929 1.120
- -
Mean 1.0382 1.1545
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SD 0.06892 0.02589
% CV 6.6 2.2
N 6 6
MF: Matrix Factor
Table 6: Recovery
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Bench Top Stability at Pioglitazone LQC 54.6433 2.2 55.3088 2.7 -1.2
room Temperature
(28 hrs) HQC 1405.1865 1.9 1398.3146 1.1 0.5
Auto sampler stability Pioglitazone LQC 56.7789 3.9 55.3088 2.7 2.7
(47 hrs)
HQC 1452.7811 3.1 1398.3146 1.1 3.9
Long term stability for Pioglitazone LQC 58.9941 4.2 61.8648 3.3 -4.6
121 days (below -
50C) HQC 1576.2217 3.1 1541.0984 1.7 2.3
Long term stability for Pioglitazone LQC 60.2655 5.7 61.8648 3.3 -2.6
121 days (below - www.ijsrp.org
20C) HQC 1568.8407 1.5 1541.0984 1.7 1.8
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[4] T.M. Willson, J.E. Cobb, D.J. Cowan, R.W. Wiethe, I.D. Correa, S.R.
Prakash, K.D. Beck, L.B. Moore, S.A. Kliewer, and J.M. Lehmann (1996).
IV. CONCLUSION The structure- activity relationship between peroxisome proliferator-
The experiments performed during the validation concluded activated receptor gamma agonism and the ant hyperglycemic activity of
thiazolidinediones. J. Med. Chem. 39: 66568.
that the method is validated for the simultaneous quantitation of
[5] D.A. Eckland and M. Danhof (2000) Clinical pharmacokinetics of
Pioglitazone, Pioglitazone M III and Pioglitazone M IV in human pioglitazaone. Exp. Clin. Endocrinol. Diabetes 108: 23442.
plasma over the concentration range of 20.2002003.400, 5.010 [6] Scheen, AJ (2012) "Outcomes and lessons from the Proactive study."
501.270 and 10.100-1005.6 ng/mL respectively, using Diabetes research and clinical practice 98 (2): 17586
glyburide as an internal standard. The precision and mean [7] C. Hofmann, C.W. Edwards, III, R.M. Hillman, J.R. Colca (1992)
accuracy are within the acceptable limits. Consistent recoveries Treatment of insulin-resistant mice with the oral antidiabetic agent
were observed for LQC, MQC and HQC. The method is specific pioglitazone: evaluation of liver GLUT2 and phosphoenolpyruvate
carboxykinase expression. Endocrinology 130 (2):735-40.
enough in the presence of K2EDTA anticoagulant. The method is
[8] G. Belcher, C. Lambert, G. Edwards, et al (2005) Safety and tolerability of
precise and accurate enough to dilute samples, if necessary. The pioglitazone, metformin, and gliclazide in the treatment of type 2 diabetes.
stability experiments were performed during the validation Diabetes Res. Clin. Pract., 70 : 5362
concluded that the intended analyte and metabolites were stable [9] J.M. Olefsky (2000) Treatment of insulin resistance with peroxisome
at different conditions like autosampler (47 hrs) bench top proliferator-activated receptor gamma agonists. J. Clin. Invest 106 : 467
472
stability (28 hrs), autosampler stability (47 hrs), and eight freeze
[10] Y. Miyazaki, A. Mahankali, M. Matsuda, et al (2001) Improved glycemic
and thaw cycles. The analyte, metabolites and ISTD stock control and enhanced insulin sensitivity in type 2 diabetic subjects treated
solutions were stable at room temperature for 7 hr. with pioglitazone. Diabetes Care 24 :710719
Reinjection reproducibility was proved for 49 hr 51 min. The [11] Zhong WZ, Lakings DB (1989) Determination of Pioglitazone in dog serum
method was proved to be rugged by different column. The using solid-phase extraction and high-performance liquid chromatography
extended Precision and accuracy batch was proved with 75 QC with ultraviolet (229 nm) detection. Chromatogr. B Biomed. Sci. Appl.
490(2): 377-385.
samples.
[12] Zhong WZ, Williams MG (1996) Simultaneous quantitation of
A rapid, sensitive, high throughput and accurate liquid Pioglitazone and its metabolites in human serum by liquid chromatography
chromatography with electrospray ionization tandem mass and solid phase extraction. J. Pharm. Biomed. Anal. 14: 465-473.
spectrometry method was developed for determination of [13] Yamashita K, Murakami H, Okuda T, Motohashi M (1996)
Pioglitazone, Pioglitazone M III and Pioglitazone M IV in human Highperformance liquid chromatographic determination of Pioglitazone and
plasma. The extraction method utilizes a low sample volume of its metabolites in human serum and urine. J. Chromatogr. B 677: 141-146.
100L and shown consistent and reproducible recoveries for [14] Lin ZJ, Ji W, Desai-Krieger D, Shum L (2003). Simultaneous determination
of Pioglitazone and its two active metabolites in human plasma by LC
analyte and ISTD with minimum plasma interference and matrix MS/MS. J. Pharm. Biomed. Anal. 33(1): 101-108.
effect. The validated method can be successfully used to a [15] Guidance for Industry*/Bioanalytical Method Validation, US Department
clinical and tox studies. The method was validated and of Health and Human Services, Food and Drug Administration, Center for
demonstrated to be robust with high precision and accuracy. The Drug Evaluation and Research (CDER) and Center for Veterinary Medicine
(CVM), May 2001, http://www.fda.gov/cder/guidance/index
high throughput method can reduce overall processing time and
allowing to process and analyze more number of samples in short
duration.
AUTHORS
First Author: T. Nagabhusana Rao, M. Pharmacy, College of
REFERENCES Pharmaceutical Sciences, Andhra University, Visakhapatnam,
[1] J. Chilcott, P. Tappenden, M.L. Jones, and J.P. Wight (2001) A systematic tangudur@gmail.com
review of the clinical effectiveness of pioglitazone in the treatment of type 2 Second Author: Guntuku Girija Sankar, M. Pharmacy, Ph.D.
diabetes mellitus. Clin. Ther. 23: 17921823. College of Pharmaceutical Sciences, Andhra University,
[2] J. Waugh, G.M. keating, G.L. Plosker, S. Easthope, and D.M. Robinson Visakhapatnam, gsankar7@rediffmail.com
(2006) Pioglitazone: a review of its use in type 2 diabetes mellitus. Drugs
66: 85109. Third Author: Lade Jyothi Rani, M. Pharmacy, Mallareddy
[3] J.M. Lehmann, L.B. Moore, T.A. Smith-Oliver, W.O. Wilkison, T.M. Institute of Pharmaceutical Sciences, Dhulapally,
Willson, and S.A. Kliewer (1995) An antidibetic thiazolidinedione is a high Secunderabad,ladejyothirani@gmail.com
affinity ligand for peroxisome proliferator-activated receptor gamma (PPAR
gamma). J. Biol. Chem. 270: 1295356.
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Abstract- Building Information Modeling represents the (2012), the level of awareness and adoption of BIM in Nigerias
development and use of computer-generated n-dimensional (n-D) private, public sector and amongst different building
models to simulate the planning, design, construction and professionals has been very slow considering the numerous
operation of a facility. It represents a new paradigm within the benefits enjoyed by the various countries that have adopted it
construction industry, one that encourages integration of the roles fully. He therefore suggested the promotion of BIMs adoption in
of all stakeholders on a project allowing the architects, engineers Nigeria by increasing public awareness on the technique, the
and constructors to visualize what is to be built in a simulated tools employed and the benefit associated with its use. To this
environment and to identify potential design, construction or end, this study is conducted to investigate the various means of
operational issues. promoting its adoption within Nigerian Building Construction
This study assessed the level of awareness on the use of Industry.
BIM by professionals in the Nigerian Building Construction According to Eastman, Teicholz, Sacks, and Liston (2011),
Industry at the design, construction, and post construction phases Building Information Modeling involves the creation of a digital
of a project with a view of increasing the awareness level, and parametric model which represents the physical and functional
promoting its adoption in Nigeria. It also identified the factors characteristics of a building in full detail and further shared
that has militated against its adoption in Nigeria and further knowledge pool which can be used to take reliable decisions
highlighted the factors that will encourage its adoption in the during the design, construction and throughout the lifecycle of
country. A total of fifty Questionnaires were distributed to the building project. Gayathar and Himal (2013) also described
professionals practicing in the Lagos State. However, forty seven BIM as an Information Technology solution for the integration of
were returned and these were analyzed using descriptive analysis software application and Information Technology tools to design
and the relative importance index methods. It was revealed that a building in a common platform which affords the diverse
there is a generally low level of awareness about the use of BIM professionals involved in the construction of a building the
among professionals in the Nigerian construction Industry. This, opportunity to make decisions putting into consideration the
it was, however revealed can be resolved by increasing constructability, buildability and maintainability of the building.
awareness on its use and benefits, and through increased Furthermore, Ibrahim and Bishir (2012) opined that the basic
government support for its use, professional bodies premise of BIM is collaboration by different stakeholders during
involvement, training and retraining by both private and public different phases of project life cycle which makes it possible to
organizations for project delivery in the country. This study insert, extract, update or modify information in the BIM process
concluded by recommending that appropriate means be adopted to support and reflect the roles of the stakeholders. Alufohai
to increase the awareness level about BIM in Nigeria as this will (2012) further highlighted increased speed of delivery, better
encourage its adoption in project delivery. coordination, decreased costs, greater productivity, reduction of
errors, higher quality of work, and better facility operations as
Index Terms- Building Information Modeling (BIM), the key advantages and benefits of BIM.
Information, Technology, This appraisal however become imperative following
Ibrahim and Bishir (2012) and Alufohai (2012), suggestions that
research studies be conducted to establish the extent to which
I. INTRODUCTION BIM concept is known and applied in building construction
projects within the Nigerian Construction Industry.
R ecent performance studies conducted on building projects by
governmental bodies, corporate organizations and some
professional individuals around the world have revealed an
The Government and Construction Industry BIM
programme existent in the United Kingdom came into being with
alarming rate of clients dissatisfaction concerning time and cost the aim to promote the adoption of BIM technology by both
overrun. This according to Mbachu and Nkado (2005) usually public and private sector organizations involved in the
resulted from the use of inefficient procurement and project procurement and delivery of buildings and infrastructure with the
delivery, poor project management, incomplete documentation, view to reduce asset costs and achieve greater operational
discord between the design and construction teams, and frequent efficiency, facilitate greater efficiency and effectiveness of
design change. Hence, leading to the development and construction supply chains, and to assist in the creation of a
subsequent adoption of Building Information Modeling by some forward-thinking sector (Wix and Nicholas, 2008).
countries around the world. However, according to Alufohai In Nigeria however, the reverse is the case as according to
the findings of Ibrahim and Bishir (2012), there is no government
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support on the adoption of BIM in the execution of construction (Eastman et al. 2011). According to Harding (2008) Building
projects, private clients are oblivious of it, and the professional Information Modeling is not just a tool but it is a process. It is
bodies relevant in the construction industry have not taken steps not only using three-dimensional modeling software but also
for the training and retraining of its members on its use and implementing a new way of thinking as certain processes that
application. This, Alufohai (2012) has attributed to the low level have made perfect sense for CAD-type technology now do not
of knowledge and use of BIM as it is mainly used by architects in seem to be as efficient. Smith (2007) also opined that the concept
Nigeria for design presentations. Furthermore, Ibrahim and of Building Information Modeling is to build a building virtually,
Bishir (2012) stated that there is the need for studies into the prior to building it physically, in order to work out problems,
level of knowledge and use of BIM in Nigeria in order to simulate and analyze potential impacts. In addition to this,
promote its adoption through increased awareness on the Kymmel (2008) opined that virtual building implies that it is
technique, the tools employed and the benefits of its adoption. possible to practice construction, to experiment, and to make
The aim of this study is to assess the level of awareness on the adjustments in the project before it is actualized. He also,
use of BIM amongst the professionals in the Nigerian Building described the Building Information Model as a virtual
Construction Industry with a view of increasing the level of representation of a building, potentially containing all the
knowledge of its uses, and to promote its adoption in Nigeria. To information required to construct the building, using computers
achieve the said aim, the following objectives are set: and software. The term generally refers to both the model(s)
1. To assess the level of awareness on the use of BIM by representing the physical characteristics of the project and to all
the professionals in the Nigerian Building Construction the information contained in and attached to the component of
Industry. these models. A Building Information Model therefore may
2. To assess the perceived factors affecting the adoption of include any of or all the Two Dimensional, Three Dimensional,
BIM in the Nigerian Building Construction Industry. Four Dimensional (time element-scheduling), Five Dimensional
3. To identify the factors that will encourage the adoption (cost information), or nDimensional (energy, sustainability,
of BIM in the Nigerian Building Construction Industry. facilities management, etc., information) represents of a project
Recommendations herein will encourage the Government created using suitable Building Information Modeling tools.
through the legislative arm to enact laws, making the application Elvin (2007) further explained that the Building Information
of BIM in construction projects a necessity in order for quality, Model provide Two Dimensional and Three Dimensional
reduced cost, elimination of corruption and compliance with due drawing with non graphical information including specifications,
process. Furthermore, it will encourage the relevant regulatory cost data, scope data, and schedules. Most importantly, it creates
bodies vested with overseeing the activities of engineers and an object-oriented database, meaning that it is made up of
construction workers in Nigeria to ensure the training and re- intelligent objects, for example representation of doors, windows,
training of stakeholders in construction industry on the use of and walls which are capable of storing both quantitative and
BIM. qualitative information about the project.
Application of BIM as an information system in the
construction industry is really a re-engineering factor to the
II. REVIEW OF LITERATURE sector. Improved profitability in the construction business and
The need for coherent information flow among the building more successful delivery of projects to clients are benefits of
construction team to address problems associated with late applying BIM in construction industry. The factors responsible
delivery of projects, cost overruns, quality and general for late delivery of projects, overruns of cost estimate, risk
management of the facility throughout its lifecycle has led to the management, safety and even compromise in quality are grossly
development of Building Information Modeling, which taken care of by the application of BIM. Considering this
according to Ibrahim & Bishir (2012), offers the building benefits, the fact that BIM is not being used in the Nigerian
construction management team, the best ways to communicate Construction Industry is of a great cause for concern (Alufohai,
all information required by all the different stakeholders in 2012). Chewlos, Benbasat, and Albert (2001) identified; private
discharging their professional duties with much ease and high clients not mandating the use of BIM due the generally low level
accuracy. Therefore the desired goal of the construction industry, of awareness on its application and lack of knowledge on use, the
which is to be able to successfully deliver projects to clients general conception that the current technology in use is enough
within agreed time frame, estimated cost and according to the and the lack of inter-agency collaboration for the adoption and
designed quality becomes realistic, which makes it imperative to use of BIM as the factors militating against the use of BIM.
improve awareness on the subject-BIM- in Nigeria. According to Other identified factors include: lack of Government
American Institute of Architects (2007), Building Information support for the adoption of BIM; high cost of implementation;
Modeling (BIM) is defined as a digital, three-dimensional model concerns about its complexity; lack of educational facilities to
linked to a database of project information. It is identified as one support its use and lack of laws and policies mandating the
of the most powerful tools to support Integrated Project Delivery application of BIM. Andy, Francis and Abid (2011) concluded
(IPD). Because BIM can combine, among other things, the that Governments support is a major driving force towards
design, fabrication information, erection instructions, and project higher utilization of BIM in developing countries as supported by
management logistics in one database, it provides a platform for the findings of Alufohai, 2012. However, according to Ibrahim
collaboration throughout the projects design and construction. and Bishir (2012) this is the bane of BIMs adoption in Nigeria
As a tool, it is a modeling technology and associated set of as there is no government support for the adoption of BIM in
processes to produce, communicate, and analyze building models Nigeria. The establishment of laws and policies making the use
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of BIM a necessity according to Ibrahim and Bishir (2012) is one barriers and factors that will encourage the adoption of BIM in
of the factors that will drive the adoption of BIM in any country. Nigeria. The RII for each factor was computed from the analysis
In Nigeria however, this is not in existence as there is no law or of the rating indicated by the respondents with the use of five
policy regarding the application of BIM in the execution of point likert scale.
projects. Alufohai (2012) corroborated this as He cited the
Construction Real Estate Network (CORENET) e-PLAN check
system launched in Singapore which provided automated IV. RESEARCH FINDINGS
compliance checking against building codes. The data collected for this study were analyzed statistically
Furthermore, Andy et al. (2011) in His comparison of the and is as presented below:
implementation of BIM in some countries including; Finland, Characteristics of Respondents: The characteristics of the
Denmark, Norway, Singapore etc. observed that the support of respondents were measured in terms of six basic facts:
the central government towards BIM implementation can be profession, professional body, grade of membership, highest
regarded as the driving force towards higher utilization of BIM in level of education, area of professional practice, and number of
those countries. He noted that if the support is strong it would years of experience of respondents. The information collected
create a uniform environment for nation- wide acceptance of revealed that all respondents are members of their respective
BIM and its requirement. Also, He suggested that a strong professional bodies, majorities (31.9 %) of the respondents are
government support would also create an active environment for Architects with 19.2% in the fellow cadre and 21.3% are PhD
research and development in BIM. Situations to this scenario, He holders, 14.9% are Builders, 6.4 % are Mechanical Engineers ,
noted, can be observed from the implementation of BIM in 10.6% are Estate Surveyors and Valuers, 8.5% are Quantity
Finland, Denmark, and Norway and to certain extent in Surveyors, 19.1 % are Structural /Civil Engineers, 4.3% are
Singapore where the support of public sector is significant. He Estimators, and 4.3 % are Electrical Engineers. 38.3 % of the
further argued that if the government support for BIM respondents are into contracting, 42.6% into consulting and 17%
implementation in a country is not strong then market forces are employers representatives. It was also revealed that 19.1%
could be dominant in BIM implementation. However, this of the respondents have 0-5 years experience, 31.9 % have 5-10
scenario could result in uncertain outcomes. Even if the market years experience, 21.3% have 10-15 years experience while
conditions depict a booming economy especially in the building 12.8% have 15-20 years experience and only 14.9 % have above
sector, there would be non-uniformities in the nationwide 20 years experience.
implementation of BIM as each market stakeholder would Assessment of the Level of Awareness on the Use of BIM
implement its own BIM system. Also, Ibrahim and Bishir (2012) in the Nigerian Building Construction Industry: The mean
suggests; that the Federal Government through the legislative score, ranking method was used to assess the level of awareness
arm should enact a law, making the application of BIM in on the uses of BIM by professionals at the different stages of the
construction projects a necessity, construction companies should project lifecycle. Table 1 shows the mean scores and ranking of
embark on training and retraining of their staff and engineers the identified uses of BIM at the design, construction and post
abroad so that skills and construction methods like BIM and construction phases of a project. From the table, it can be
virtual reality can be acquired , construction companies and inferred from the low mean scores that there is a generally low
relevant government agencies and parastatals in Nigeria should level of awareness about the use of BIM in the Nigerian Building
procure all necessary software for BIM and there should be Construction Industry. At the Design Stage, Construction
increased research and development in evolving construction planning ranked first with a mean score of 2.55 from the analysis
methods like BIM in order to promote the adoption of BIM in of the data followed by Visualization, 3D Coordination and Cost
Nigeria Estimation which ranked 2nd and 3rd respectively with mean
scores of 2.53 and 2.43. Prefabrication and Constructability
Analysis both ranked 4th with a mean score of 2.34 while
III. RESEACH METHODOLOGY sequencing ranked 6th with a mean score of 2.17. This reveals
The research work is aimed at assessing the awareness level that the respondents are most aware of the use of BIM in
on the use of Building Information Modeling in the Nigerian Construction planning and are least aware of its use in
Building Construction Industry. Well structured questionnaires Sequencing at the Design stage. At the Construction Stage,
evaluating the perceived factors affecting its adoption of BIM in Construction Monitoring ranked 1st with a mean score of 2.28
Nigeria, and identifying the factors that will encourage the while Construction Modeling and Fabrication ranked 2nd with a
adoption of BIM in the Nigerian Building Construction Industry mean score of 2.23. From this, it can be inferred that the
were administered to the Construction industry professionals respondents are mostly aware of the use of BIM in Construction
practicing in Lagos State viz Architects, Builders, Monitoring at the Construction stage. The results show that the
Civil/Structural Engineers, Mechanical Engineers, Electrical respondents are most aware of the use of BIM in Construction
Engineers, Estate Surveyors and Valuers, Quantity Surveyors, Monitoring at the Construction stage. At the Post Construction
and Estimators practicing in Lagos State through the use of stage, Maintenance Scheduling ranked 1st with a mean score of
simple random sampling technique. 85% of the questionnaires 2.21 while Building System Analysis and Asset Management
distributed to professionals practicing in the Lagos State were ranked 2nd with a mean score of 2.02 while Record Modeling
retrieved and analyzed using descriptive analysis i.e. frequency, ranked 3rd with a mean score of 1.83. This reveals that the
percent and cumulative percent and the relative importance index respondents most aware of the use of BIM in Maintenance
methods to determine the relative importance of the perceived
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Assessment of the Perceived Barriers to the Adoption of BIM in the Nigerian Building Construction Industry: Table 2
shows the relative importance index of barriers to the adoption of BIM in the Nigerian Building Construction Industry.
It shows that lack of awareness on the use of BIM, lack of lack of laws and policies mandating its use all rank are amongst
government support for the adoption, lack of educational the least important.
facilities to support its use and high cost of implementation Encouragements on the adoption of BIM: Increased
respectively are the most important barriers to the adoption of the awareness on the use and benefit of BIM through increased
use of BIM followed by inadequate research and development, research and development, increased government support and
relevant professional bodies ensuring the training of its members
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with indigenous companies ensuring the training and retraining Visualization. The general low level of its awareness can be
of their staff will encourage the adoption of BIM in the country. increased through increased awareness on its uses and benefits
These are as evident in Table 3. The Nigerian Construction and also through government supporting the use of BIM in
Industry stakeholders have a fair knowledge of the use of BIM project delivery in the country.
being mostly aware of its use in Construction planning and
Table 3: Identifying the factors that will encourage the adoption of BIM in the Nigerian Building Industry.
[5] Eastman, C., Teicholz, P., Sacks, R, and Liston, K. (2008). BIM Handbook:
A Guide to Building Information Modeling for Owners, Managers,
V. CONCLUSION AND RECOMMENDATION Designers, Engineers and Contractors, John Wiley and Sons, NY, 2008.
Based on the result of this study, it can be concluded that: [6] Elvin G. (2007) Integrated Practice in Architecture: Matering Design-
there is a generally low level of awareness on the use of BIM Build, Fast-Track, and Building Information modelling John Wiley and
Sons, Inc. New jersey
among professionals in the Nigerian Building Construction
[7] Gayathri, N., Himal, S. (2013). Building Information Modelling And Future
Industry; major factor contributing to the low level of awareness Quantity Surveyorss Practice In Sri Lankan Consturction Industry. The
on the use of BIM is the lack of awareness on the its use of and Second World Construction Symposium 2013: Socio-Economic
the lack of governmental support for its adoption in Nigeria. In Sustainability in Construction 14 15 June 2013, Colombo, Sri Lanka
driving for the adoption of BIM in the Nigerian Building [8] Harding, K. (2008). 10 Trends Reshaping the Talent Quest. Design
Construction Industry, increasing awareness on its use and Intelligence, 15, 5259.
benefits is the first and most important step through government [9] Ibrahim S., Birshir I.,(2012) Review of Using Building Information
Modeling in Nigerian Construction Industry Journal of Environmental
intervention, training and re-training of construction industry Sciences and Policy Evaluation Vol. 2, Number 2 InsrudercAcademic
professionals and involvement of the various professional bodies Publisher
in the field of construction. [10] Kymmel W. (2008) Building Information Modeling: Planning and
Increased awareness of the use of BIM should be made Managing
using means suitable and putting into consideration the [11] Construction Projects with 4D CAD and Simulations. The Mc-Graw Hill
Companies
peculiarities of the Nigerian Construction Industry; relevant
[12] Smith, S. (2007). Using BIM for sustainable design. Retrieved May 7, 2007,
bodies, agencies, organizations should inform the government on from
the benefits of the use of BIM and together as a team support the http://www10.aeccafe.com/nbc/articles/view_weekly.php?articleid=386029.
adoption of BIM in Nigeria. [13] Wix, J. and Nicholas, N. (2008) Stdy into the Business Case for
Interoperable Building Information Modeling (BIM): The Internal Journal
of Construction Information Technology
REFERENCES
[1] Alufohai, J. (2012) Adoption of Building Information Modelling and
Nigeria's Quest for Project Cost Management. Knowing to manage the AUTHORS
territory, protect the environment, evaluate the cultural heritage , pp. 1-7.
Rome, Italy, 6-10 May 2012 First Author kerele, Adebimpe O. M.Sc. (Construction
[2] American Institute of Architects. (2007) Integrated Project Delivery: A Management), Member: Nigerian Institute of Building.
Practical Guide. Retrieved from bimpeakerele@gmail.com
http://www.aia.org/documents/pdf/aiab083423.pdf Second Author Etiene Moses, H.N.D. (Building Technology).
[3] Andy, W., Francis, W. and Abid, N. (2011) Government Roles in Etienemoses25@gmail.com
Implementing Building Information Modeling Systems Comparison
between Hong Kong and the United State Construction Innovation Vol. 11,
Number 1. Emerald Group Publishing Limited Correspondence Author Akerele, Adebimpe O.
[4] Chewlos, P., Benbasat, I., & Albert, S. 2001. Research report: Emperical bimpeakerele@gmail.com Alternate email
test off an EDI AdoptionModel. Information System Research 12, (3):304- (akerelekolajo@gmail.com). +234(1)8188214861
321.
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Abstract- An important aspect of localizing the user interface of computer program binary image is also facilitated. The
any interactive application in a computer system is the translation localization kit also provides tools to test and verify the localized
of a large amount of text, usually English language text, version of the target computer program product. The system
consisting of words, phrases and sentences that occur as part of disclosed also provides a framework wherein new localization
the interaction. As can be expected there is a lot of commonality tools can be easily incorporated into the overall process.
in these text items across applications and even across platforms.
Automated assistance in the generation/translation of these text
items would enable and encourage more localization efforts. In II. FEATURES OF SYSTEM
this paper, the description of a multiple language such as English The basic idea is to make the translation faster and
Hindi, Hindi English system that can be used to provide such consistent by making use of this automated user interface. the
automated assistance. It is a common desktop application which translator has to search for the text item in the system and obtain
is simple to use, extensible and scalable to other languages as the equivalent item in the target language. This kind of dictionary
well. can also play an important role when more than one translator
and localization engineer are involved in localizing a single
Index Terms- Localization, Internationalization, Parser, system or a suite of applications .it will help in maintaining
Translation, Automated , Multilingual consistency in translation / localization. The system has the
following capabilities :
1) It can search fast
I. INTRODUCTION 2) It can add or remove terms easily
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D. Implementation Module
The software application can be implemented by
maintaining the Database , defining basic terminology, designing
GUI.
After the 3 modules, start to localize the software
application.
User interface localization can be performed with the
support of a localization tool or even by translating string
resource files. FIGURE 1 : SYSTEM ARCHITECTURE
Localization tools works the same way as translation tools
works. It works with the segmentation rules applying to the user
interface strings rather to the sentences. A complete localization IV. RESULT
is only achieved if all controls (button labels, tooltips, menus, In our project Automated user interface localization using
field labels and system messages) are translated. initial databases with all words , phrases , etc and also using
Finally test the correctness of the translated texts unicode characters encoding for displaying multiple language
The interface is been designed by using Visual Studio .Net text, localization tools are being used which will give us an
(Visual Basic). The .Net framework is a Multilanguage efficient result.
environment for building , deploying , and running web services The expected outcome of this software application is
and applications . accurate and reliable maintenance in lesser time than older
system used to take.
V. CONCLUSION
Translation of messages is an important step in software
localization, which is emerging to be a new paradigm for
software development .We can provide automated tools in order
to do so. It can be extended for use in a technical literature
machine translation system. The localization process includes
analysis, assessment, creation and maintenance, translation,
adaptation, media localization, testing, quality assurance and
project delivery. As part of conclusion we conclude the number
of points that have to be considered, in order to effectively
localize a software product or website.
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[2] http://en.wikipedia.org/wiki/Internationalization_and_local
ACKNOWLEDGMENT ization
[3] http://searchcio.techtarget.com/definition/localization
We would like to acknowledge the support provided by
[4] http://blog.adaquest.com/2011/09/23/g11n-i18n-l10ntranslation-%
our mentor and my colleagues for successfully carrying out this E2%80%93-sure-you-know-
work. We would like to thank the institution for all the facilities [5] what-these-mean-or-feeling-gilty-because-you-needclarification-
and infrastructure they have provided us 2/
[6] http://www.compassrosetech.com/services/i18n.html
[7] http://philip.pristine.net/glit/en/
REFERENCES [8] http://www.sdl.com/technology/language-technology/whatis-
[1] http://www.studymode.com/essays/Localization software-localization.html
1659610.html [9] http://www.translatortips.net/tranfreearchive/tf10-
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Abstract- Objective: To determine the efficacy, safety and was reserved for patients who failed endoscopic retrograde
outcome of the single stage management of gall stones and cholangiopancreatography.
common bile duct stones in the laparoscopic era. During the era of open cholecystectomy the management of
Material and method: From 1st June, 2014 to 31st May, choledocholithiasis was relatively straight forward but with the
2015, we treated 20 patients with cholelithiasis and advent of laparoscopic cholecystectomy the treatment of
choledocholithiasis with laparoscopic cholecystectomy and common bile duct (CBD) stones, whether recognized
laparoscopic common bile duct exploration. Laparoscopic preoperatively or per-operatively remains controversial.
common bile duct exploration was done via choledochotomy in Although the treatment of common bile duct stones has changed
all patients. The male/female ratio was 6/14, with a mean age during the last decade it still seems to be controversial. Currently
53.50 years (range 20 to 70 years). Preoperative evaluation was there are three methods of treatment for choledocholithiasis.
done through medical history, biochemical tests, ultrasonography The first method is one stage open cholecystectomy with
and magnetic resonance cholangiopanceatography(MRCP). common bile duct exploration. The second one is a two stage
Intraoperative findings, postoperative complications and hospital procedure of endoscopic retrograde cholangiopancreatography
stay were analyzed. followed by laparoscopic cholecystectomy. The third way is one
Results: One stage stone clearance was successful in all stage laparoscopic cholecystectomy with common bile duct
patients. The mean time taken for procedure was 111.75 minutes exploration.
and the average gas (CO2) consumed was 92.3 litres. Following the introduction of laparoscopic
Postoperative complications were observed in 2 (10%) patients. cholecystectomy5 there has been a gradual increase in
In 2 (10%) patients completion of the procedure was achieved by laparoscopic common bile duct exploration which has been
conversion to open choledocholithotomy. Mean hospital stay was shown by a few enthusiasts to be as effective as common bile
6.75 days. T-tube was inserted in 4(20%) patients. Post operative duct clearance and associated with reduced hospital stay
hospital stay was shorter in the primary closure group than in the compared to preoperative endoscopic retrograde
T-tube group. cholangiopancreatography followed by laparoscopic
Conclusions: Laparoscopic management of comcomitant cholecystectomy.6,7,8,9
gall stones and common bile duct stones has definitely shown However laparoscopic common bile duct exploration, either
decreased post operative discomfort, decreased requirement of using the transcystic route or via a choledochotomy, does involve
post operative analgesia, better cosmesis and early return to work more advanced laparoscopic skills, often including flexible
and less morbidity. choledochoscope and as a result the default procedures in many
hospitals remain to be endoscopic retrograde
Index Terms- alkaline phosphatase (ALP), common bile duct cholangiopancreatography either before or after laparoscopic
(CBD), endoscopic retrograde cholangiopancreatography cholecystectomy. Such is the reliance upon endoscopic
(ERCP), magnatic resonance cholangiopancreatography retrograde cholangiopancreatography that in some centres
(MRCP) surgery for common bile duct stones is now considered a lost
art.10
Endoscopic retrograde cholangiopancreatography places the
I. INTRODUCTION patient at risk of the complications of sphincterotomy including
pancreatitis, perforation and bleeding.11,12,13,14 The morbidity of
T
of
he incidence of choledocholithiasis in patients with
cholelithiasis is reported at 5%-10%, with 4%-5% incidence
unsuspected choledocholithiasis when routine
endoscopic retrograde cholangiopancreato-graphy
endoscopic sphincterotomy has been described as around 10%
with
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II. MATERIAL AND METHODS Age, Gender, Height, Weight, BMI (body mass index)
This study was conducted in the department of surgery at Routine blood investigations: CHG, FBS, RFT, Serum
I.G.M.C., Shimla from 1st June, 2014 to 31st May, 2015 and electrolytes.
included patients with cholelithiasis and common bile duct Study-specific investigations: LFT, ultrasound abdomen and
stones. The study protocol was approved by the Ethics M.R.C.P.
Committee of the same institution. Patient consent for
laparoscopic surgery and research was obtained before the
procedure was started. VI. THE TECHNIQUE OF LAPAROSCOPIC
CHOLESYCSTECTOMY WITH COMMON BILE
DUCT EXPLORATION
III. STUDY POPULATION Overnight the patients were kept nil orally prior to surgery.
20 patients were selected with symptomatic ultrasonography Same premedication and anesthetic protocol was followed for all
proved common bile duct stones and cholelithiasis. Various patients.
parameters were studied pre-operatively, intra-operatively and All patients were operated on under general anaesthesia in a
post-operatively. reverse Trendelenburg position.
Pneumoperitoneum was established with CO 2 using veress
needle and insufflator.
IV. INCLUSION CRITERIA The intra abdominal pressure of 12-13mm of Hg was kept
during surgery.
The following patients were included in the study The first 10mm trocar was introduced by Hassons
1. All age groups technique below the umbilicus for insufflation of carbon dioxide
1) H/O biliary colic pain and obstructive jaundice. and for insertion of a 30 degree angled laparoscope. Other trocars
2) Patient presenting at least four weeks after the acute were placed under direct vision, the second 10mm trocar was
symptoms. introduced in the epigastric region left to the falciform ligament ,
3) CBD stones detected by ultrasonography and/or the third 5mm trocar in the right anterior axillary line in right
MRCP(Magnetic hypochondrium, the fourth 5mm trocar in the midaxillary line
ResonanceCholangiopancreaticography) with and the last fifth 5mm trocar below the coastal margin, 1-3cm
CBD diameter 8mm medial to the midclavicular line. Midclavicular trocar was used
4) Intrahepatic duct dilation as determined by for cholangioscopy of common bile duct.
ultrasonography and MRCP After dissection of the calot triangle, liga clips were applied
5) Alkaline phosphatase or gamma glutamyle transferase on the cystic duct to prevent spillage of stones into the common
level more than 1.5 times over the limit of bile duct. The anterior surface of the supraduodenal common bile
normal at the first reference duct was dissected carefully. Common bile duct exploration was
6) Big and multiple CBD stones without any anatomical performed with an incision at the distal part of common hepatic
anomalies on MRCP. duct just before the junction with the cystic duct. The
7) ASA grade I-III. longitudinal incision of total length 6-7mm was started on the
anterior surface of the common hepatic duct(2-3mm) towards the
common bile duct (4-5mm) using the cold knife. Incision was
V. EXCLUSION CRITERIA extended to 10-15mm depending upon the size of the stones.
The following patients were excluded from the study Choledochoscopy was performed using a flexible
1) Clinical, radiological or biochemical evidence of choledochoscope (Karl Storz make) with instrument channel of
cholangitis and pancreatitis 7Fr, working length 35cm and outer diameter 15.5Fr.
2) Evidence of cirrhosis, intrahepatic gall bladder, liver Stones were extracted after flushing with saline with a
mass, abscess andneoplasm dormia basket, fogarty catheter, atraumatic forcep or a milking
3) Gall bladder empyema and perforation technique was used. Single 2-8mm stones were removed with
4) Pregnancy forceps through trocar in epigastric port. Large and multiple
5) Recurrent choledocholithiasis stones were placed in a bag made of latex glove and removed
6) Previous upper gastrointestinal surgery through trocar in epigastric port. After all stones were extracted,
7) Patients with contraindications to general anesthesia.. a check cholangioscopy of hepatic ducts and common bile duct
8) ASA grade IV-V. was performed to ensure clearance of the biliary system.
9) Complete history was taken and patients were There were two types of common bile duct closure after
assessed for any other co-morbid condition. choledochotomy: primary closure or T-tube drainage.
Patients were explained about the procedure and Primary closure with interrupted absorbable suture (vicryl
informed consent were taken before any procedure. 3-0) was used.T-tube drainage was used in cases where distal
patency was not ensured. Then cholecystectomy was performed.
PREOPERATIVE EVALUATION The operated area was drained with a 16-18Fr ryles tube.
The patients were evaluated pre-operatively on the following Umbilical and other ports were closed with port closure
parameters : suture(vicryl no.1);skin was closed with staplers. Adequate and
similar analgesia (Inj.dicloaqua75mg) was given postoperatively
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to all patients as and when required. The duration of surgery was e) Acute pancreatitis
counted from port incision to skin closure. The carbon dioxide f) Retained stones
volume was measured from putting of veress needle to the
completion of the procedure. In case of T-tube drainage a check
cholangiography was performed on 7th post operative day. In VII. RESULTS
case of no residual stones, T-tube was removed on 10th post Twenty (20) selected cases of cholelithiasis and
operative day. In case of residual stones, distal obstruction or choledocholithiasis admitted in Department of Surgery, Indira
continuous bile leak patients underwent endoscopic retrograde Gandhi Medical College, Shimla w.e.f. 1st June, 2014 to 31st
cholangiopancreato- graphy with sphincterotomy. Patients with May, 2015 were evaluated in this study.
primary closure of the common bile duct were discharged on post
operative day 3-7. Age & Sex
The age of patients in the present study ranged from 20
The following post operative complications were analyzed: years to 70 years. The mean age of the patients was 53.50 years.
a) Bile leak Out of 20 cases, 6 (30%) were male and 14(70%) were female
b) Wound infection (Table-1).
c) Paralytic ileus/intestinal obstruction
d) Duration of hospital stay
Table-1
Age Group and Sex
Table 2
BMI and Mean Operative Time
Operative Complications
None of our patients under study had any per-operative Conversion to Open Common Bile Duct Exploration
complications like pneumo-omentum, subcutaneous emphysema, In 2 (10%) cases, Laparoscopic Common Bile Duct
pneumothorax, bleeding from abdominal wall, GIT perforation, Exploration had to be completed by converting to open common
solid visceral injury, major vascular injury which have been bile duct exploration. One of the patient had dense adhesions and
otherwise reported in literature. No post-operative complications difficult anatomy making the dissection impossible and
like port site infection, abscess or deep vein thrombosis were conversion to open surgery was inevitable. In another case the
seen in any patient.
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common bile duct was grossly dilated with impacted large stone 05 18
which made the grasping and removal difficult. 6 - 10 1
11 15 1
Drainage Tube
A drainage tube (14F Ryles tube) was kept in Morrisons T-tube
space in all (100%) of these cases. This tube was kept for Kehers T-tube(14F) was inserted in 2(10%) out of 20
minimum of 3 days and maximum of 15days. Mean duration of patients under study.
drainage in all (20) patients was 4.6 days (Table 3).
Gas (CO 2 ) Consumed
Table 3 On an average 92.3 litres of gas (CO 2 ) per case was used in
Duration of Drainage Tube (In Days) this series. The consumption ranged from 60 litres to 120 litres in
this series. (Table 4)
Days No of Patients
Table 4
CO 2 Consumed (On Average in Every Four Cases)
1 2 3 4 5
Time Taken for Operation the completion of laparoscopic common bile duct exploration
The time taken for completion of the procedure was counted was 111.75 minutes. Mean time taken for first 4 cases was
from insertion of Hassan trocar up to the closure of last port. 131.25 minutes. (Table 5)
Maximum time taken in the present study was 150 minutes and
minimum time taken was 90 minutes. The mean time taken for
Table-5
Mean Time (Minutes) For Each Four Cases (Duration of Surgery)
Postoperative Complications bile leak through ryles tube or into the abdominal cavity was
Out of 20 patients 2 had bile leak (one had bile leak through due to disruption of sutures at choledochotomy site for which
the abdominal drain and other had persistent bile leakage through laparotomy was done on 7th postoperative day and resuturing of
the T-tube). Bile coming out of t-tube was due to stricture in common bile duct was done over T-tube. Later on endoscopic
lower common bile duct which was diagnosed on t-tube retrograde cholangiopancreatography with common bile duct
cholangiogram done on 7th postoperative day, for which stenting with sphincterotomy was done because t-tube was
endoscopic retrograde pancreatocholangiography with draining more than 600ml of bile per day. T-tube was removed
sphincterotomy with common bile duct stanting was done on 9th after 3 days as the drain output decreased after stenting (Table
postoperative day. After this bile leak through t-tube gradually no. 6). None of the patients had paralytic ileus in our study.
decreased over 3-4 days and t-tube was removed. In another case
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Table-6
Postoperative Complications
Table-7
Hospital Stay in Days
No. of days 3-4 days 5-6 days 7-8 days >8 days Total
No. of patients 3 11 3 3 20
Stone Size 1.342cms.The stone was removed in all cases within single
All cases under study were having a single or multiple operation. (Table 8).
stones in common bile duct. The smallest stone was 0.5cm. and
the largest stone was 2.5 cms. in size. The average stone size was
Table 8
Stone Size and Average Size (In cms.)
1.5-2.49 4 2
Total 20 1.31
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Variation in time taken for surgery in different cases in the could return to work as soon as they felt normal. This resulted in
present series can be ascribed to the various factors like initial to an overall cosmetic procedure for the patient and cost effective
teething troubles, modern technique, non-availability of trained for the patient as well as for the society in the long run.
regular supporting staff familiar with the technique, though all This procedure will have positive economic impact since
were familiar with the basics of the laparoscopy and of course most of the patients undergoing laparoscopic common bile duct
the learning curve of the procedure. It was the initial stage of the exploration can be discharged from the hospital tolerating oral
procedure in this institution and none of the operating team solids on the third or fourth postoperative day. The potential for
members had any hands on experience. reducing the cost of treatment is evident. The decreased
On an average 92.3 litres of gas (CO2) per case was used in hospitalization presently may result in lower hospital costs, but
this series, ranging from 60 to 120 liters. No such reports are the savings will be currently offset by high cost of the equipment
available in the literature regarding the amount of CO2 and non availability of expertise. With time these costs will
consumed. In the present series 2(10%) of our cases were diminish as the equipment becomes rapidly available and less
converted into open choledocholithotomy. However, there is expensive and more and more people are trained in the
wide variation in open conversion rate in literature. M Jameel et procedure.
al20 observed open conversion rate of 7%. Alexis Sanchez et al21
did a study on 16 patients who underwent laparoscopic common
bile duct exploration and observed conversion rate of 12.5%. IX. CONCLUSIONS
One of the patients under study had pericholecystic adhesions This procedure has definitely shown decreased post-
and was converted to open procedure due to distorted anatomy. operative discomfort, decreased requirement of post-operative
One patient was converted to open due to impacted stone at analgesia, better cosmesis, decreased post-operative stay and
lower end of common bile duct. These instances of conversion to early return to work and less morbidity. Laparoscopic
an open procedure should not be considered as a failure but only choledochotomy with primary closure is as effective and safe as
completion, because in each instance this course was chosen by T-tube drainage approach. Single stage procedure(LC+LCBDE)
the operating surgeon as safest for the patient.Although it is has less post operative complications then two stage
considered to be a sterile procedure, there is certainly chance of procedure(ERCP/EST) . In single stage (LC+LCBDE) procedure,
infection. In the present series none of the patients had wound anatomy of Ampulla of Vater is not distorted.
(port /incision site) infection, abscess formation, prolonged ileus
or deep vein thrombosis as reported in literature. Out of 20
patients, 2 had bile leak post-operatively through t-tube and REFERENCES
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One of the patients had to be hospitalized for 20 days as a result duct stones. World Journal of Gastroenterology, vol. 18, no. 24, pp. 3156
of prolonged postoperative drainage. 3166, 2012.
The patients in the present study were hospitalized for one [8] L. K. Nathanson, N. A. ORourke, I. J. Martin . Postoperative ERCP versus
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patients, who came from far flung and distant hilly areas. The bile duct exploration and cholecystectomy versus two-stage endoscopic
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the T-tube group. All cases in the present series underwent post- concomitant gallbladder stones and common bile duct stones. A randomized
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2014.
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[11] Ponsky JL, Scheeres DE, Simon I. Endoscopic retrograde cholangioscopy. stage laparoscopic cholecystectomy and bile duct exploration. Videosurgery
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[13] Bergman JJ, van der Mey S, Rauws EA. Longterm follow-up after [19] Dag Arvidsson, Ulf Berggren, Ulf Haglund. Laparoscopic common bile
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years of age. Gastrointest Endosc 1996; 44(6): 643-9. [20] M Jameel, B Darmas, A L Baker . Trend towards primary closure
[14] Neoptolemos JP, London N, Bailey I . The role of clinical and biochemical following laparoscopic exploration of the common bile duct. Ann R Coll
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diagnosis of common bile duct stones in acute pancreatitis. Surgery 1986; [21] Alexis Sanchez, Omaira Rodriguez, Omar Bellorn, Renata Sanchez,
100(4): 732-42. Gustavo Bentez . Laparoscopic Common Bile Duct Exploration in Patients
[15] Cotton PB, Lehman G, Vennes. Endoscopic sphincterotomy complications With Gallstones and Choledocholithiasis . JSLS (2010)14:246 250.
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[16] Chung-Ngai Tang,Wing-Tai Siu, Chun-Hanchan, Michael Ka-Wah Li.
Laparoscopic exploration of common bile duct. A solution to difficult AUTHORS
choledocholithiasis. Ann.Coll.Surg. H.K. 2001;5:104-9.
First Author Sandeep Rajta, IGMC , Shimla (HP), India
[17] Eryk Naumowicz1 , Jacek Biaecki1 , Krzysztof Koomecki. Results of
treatment of patients with gallstone disease and ductal calculi by single-
E.mail: drsandy07@gmail.com
9418141949
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Abstract- Trans urethral resection of prostate (TURP) is the most was diagnosed in less than 10% of patients who undergo benign
frequently performed surgical treatment for patients diagnosed prostatic hyperplasia-related surgery. (9-11)
with benign prostate hyperplasia. This retrospective Carcinoma prostate exhibits wide range of clinico-
observational study was design to evaluate the occurrence and pathological behavior and most to be symptomatic in advanced
the characteristics of incidental prostate cancer (IPC), in patients disease stage, hence detection of incidental prostate cancer might
underwent TURP for clinically benign disease. In histopathology be able to forward more candidates for further curative therapy.
of TURP specimens 14.9% showed incidental prostatic Along with this shift in incidental prostate cancer distribution
carcinoma concluding that TURP has additional benefit of early with the introduction of PSA, fewer traditional TURPs are being
diagnosing of prostatic carcinoma. performed as newer techniques, such as laser vaporization, are
being adopted (12). These new technologies do not always
Index Terms- Incidental prostate carcinoma, Trans urethral provide tissue for pathological examination leading to potentially
resection of prostate, Histopathology of prostate specimens, missed cancers. Some incidental prostate cancers have been
Gleason score. shown to be clinically relevant, specifically tumors with a higher
Gleason score and stage pT1b (13).
Prostate cancer is also given a grade called a Gleason score,
I. INTRODUCTION which is based on how much the cancer looks like healthy tissue
when viewed under a microscope. Less dangerous tumors
P rostate cancer is the most common cancer affecting men (1).
Similarly, benign prostatic hyperplasia (BPH) is the most
frequent benign tumor, and about 90% of the men are affected by
generally look more like healthy tissue, and more dangerous
tumors that are likely to grow and spread to other parts of the
the ninth decade of life.(2)No definitive causes of prostate cancer body look less like healthy tissue. The Gleason Scoring System
(PCa) have been identified but, increasing age, a positive family is the most common prostate cancer grading system used. The
history and sub-Saharan African ancestry are strongly linked to pathologist looks at how the cancer cells are arranged in the
its development (3-5) prostate and assigns a score on a scale of 1 to 5.
Despite the recent introduction of minimally invasive The objective was to evaluate the occurrence and the
surgical methods of treating BPH, Trans Urethral Resection of characteristics of incidental prostate cancer (IPC), in patients
Prostate (TURP) has been recognized as the gold standard in undergoing Trans Urethral Resection of Prostate for clinically
treatment of BPH. TURP is safe and feasible even in a large benign disease.
prostate, and it can replace open prostectomy. However, the
detection rate of prostate cancer after TURP has rarely been
addressed in Asian publications. II. PATIENTS AND METHOD
The main preoperative diagnostic tools to confirm prostate Retrospective observational study was conducted in
cancer include serum concentration of prostate-specific antigen histopathological examinations performed on biopsy specimens
(PSA), digital rectal examination (DRE), and imaging modalities. of TURPs from January 2005 to January 2010 in Teaching
PSA is considered a better predictor of cancer than DRE or Trans Hospital Peradeniya. The study sample included the patients with
rectal ultrasound,(6) and it can be complemented with lower urinary tract symptoms and prostatomegaly who came to
parameters, such as PSA velocity, PSA density, and free/total the genitourinary clinic. There were 444 males who underwent
ratio which is considered to be the best of the available surgical treatment as TURP due to the PBH. Their
investigations.(7) histopathology records were collected from the Department of
Clinical T1 or incidental prostate cancer is defined as Pathology, Faculty of Medicine University of Peradeniya.
clinically in apparent tumor that is neither palpable nor visible by In the preoperative period, all patients were evaluated
imaging. Clinical T1a and T1b prostate cancer are diagnosed at through Digital Rectal examination (DRE), serum PSA and
the time of TURP for benign prostatic disease. T1a disease Ultrasound abdomen to determine the prostate volume.
involves 5% or less of the resected tissue, whereas T1b disease In our study, all patients were treated surgically through
involves more than 5% of the resected tissue. TURP and indications for surgery included the presence of
Incidental carcinoma of the prostate (ICP) refers to well severe lower urinary tract symptoms that was unresponsive to
differentiated tumors that grow in a transitional zone and are pharmacological treatment and Urinary retention.
eventually found during TURP and Open Prostectomy.(8) ICP
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Their demographic details, DRE finding (done by the LUTS. Therefore in our population we have to educate regarding
consultant urological surgeon) and Prostate specific antigen the LUTS and the prostate cancer.
(PSA) levels were collected according to the corresponding The mean age was 64 years. The great majority of the
histology reports and Urology clinic number. patients presented as unsuspected digital rectal examination and
Patients with known prostate malignancy, a positive digital PSA level also not favorable for prostate cancer.
rectal examination for malignancy and those with high Prostate The natural history of incidental prostate cancer has been
Specific Antigen (PSA > 4ng/ml) were excluded from the study. studied. Early studies showed that T1a lesions were usually less
Then the pre operatively unsuspected, but the histologically aggressive than T1b lesions (16). In their long-term follow up of
positive prostate carcinomas data were statistically analyzed with patients with incidental prostate cancer, Tombal et al. showed
SPSS 20. that T1b lesions are associated with a higher Gleason score and a
higher risk of progression (17).
Several studies have compared incidental prostate cancer
III. RESULTS rates between pre-PSA era. First, Tombal et al. reported a
The study sample composed of 444 patients with mean age decrease rate of incidental prostate cancer from 27% to 9% when
of 64(SD=6.3) years. comparing their pre PSA era to PSA era.
Out of the sample 14.9 % (n=66) were found to have
incidental prostate carcinoma, 83.8 % (n=372) were Benign
Prostatic Hyperplasia, 61.5 % (n=273) exhibits intra prostatic V. CONCLUSION
inflammation, 1.6 % (n=7) were Prostatic Intraepithelial Considerable numbers of patients were found to have
Neoplasia (PIN) and 10.4% (n=46) had squamous metaplasia. incidental prostate carcinoma and most of them were found to
In the cancer group with a mean age of 66.3(SD=8.9) years, have favorable Gleason grade. In comparison incidence of IPC in
16.7% coexisted with chronic prostatitis, 4.5% and 3.1% Sri Lanka is higher than the other Asian countries and similar to
coexisted with PIN and squamous metaplasia respectively. the western countries. Identification of such cases and evaluating
Of the prostate cancer the Gleason grading was favorable (2-6) in the characteristics that may aid in the earlier identification of IPC
66.7% cases, 19.7% had intermediate Gleason grade (7) and can improve the outcome of curative treatment for prostate
13.7% had unfavorable Gleason grade (8-9). carcinoma.
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Abstract- This study aimed to evaluate the possible ameliorative between free radicals and antioxidants. The disturbance in
effect of ellagic acid, and rosemarinic acid on doxorubicin- oxidant-antioxidant systems which has been demonstrated with
induced cardiotoxicity and nephrotoxicity in rats. Therefore, lipid peroxidation and protein oxidation resulted in tissue injury
male Sprague Dawley rats were divided into eight groups, (Karaman et al., 2006). Free radicals production and/or NO
control group, ellagic acid (10mg/kg, p.o.) group, rosemarinic release induced by DOX are entirely responsible for the DOX-
acid (75mg/kg, p.o.) group, combined ellagic and rosemarinic induced toxicity (Radi et al., 1991). Mitochondria have been
acid for 14 days. Cardio-nephrotoxicity was induced by defined as one of the targets in DOX-induced subcellular damage
doxorubicin injection (5mg/kg, i.p.) every 3 days. Doxorubicin in the tissue. DOX cytotoxic effect on malignant cells, as well as,
administration started on the fourth day of ellagic or/and its toxic effects on various organs is thought to be related to its
rosemarinic acids treatment. Animals were scarified on 15th day. DNA intercalation and cell membrane lipid binding activities. It
As a result of doxorubicin administration serum lactate has been suggested, that DOX-induced apoptosis may be an
dehydrogenase, creatinine kinase-MB, troponin-I, urea, and integral component of the cellular mechanism of action
creatinine were significantly elevated. Cardiac, as well as, renal responsible for its therapeutic effects, toxicities, or both
glutathione and catalase were significantly decreased, while (Priestman, 2008).
tissue lipid peroxidation, tumor necrosis factor-, caspase-3 were Ellagic acid (EA) is a naturally polyphenolic phytonutrient
significantly increased. Administration of ellagic acid and found in wide varieties of fruits, berries and nuts. EA has
rosemarinic acid either alone or in combination significantly received particular attention because of its extensive array of
improved all measured parameters. Histopathological biological properties including potent antioxidant, anticancer and
examination confirmed the biochemical results. In conculison, antimutagen (Atessahin et al., 2007). Ellagic acid showed free
ellagic acid, rosemarinic acid and their combination possess radical scavenging action, chemopreventive, antiapoptotic, anti-
promising protective effects against doxorubicin-induced cardio- inflammatory, gastroprotective, anti-cataractogenetic,
nephrotoxicity; effects that might be attributed to their cardioprotective ulcer healing, antifibrotic, antidiabetic,
antioxidant activities. hypolipidemic, antiatherosclerotic and estrogenic/antiestrogenic
properties (Warpe et al., 2015). Although the exact molecular
Index Terms- cardiotoxicity, doxorubicin, ellagic acid, mechanism of EA is unknown, its potent scavenging action on
neophrotoxicity, rosemarinic acid. OH might be responsible for these effects (Priyadarsini et al.,
2002) polyphenols of EA have attracted considerable attention as
agents that protect cells or molecules from oxidative myocardial
I. INTRODUCTION injury.
Rosmarinic acid (RA) is a naturally occurring hydroxylated
D oxorubicin (DOX) is an anticancer drug which belongs to
anthracycline antibiotics and is being used widely for
treatment of various hematological and solid tumor malignancies.
compound widely distributed in Labiatae herbs, which include
rosemary, sweet basil, and perilla. Rosmarinic acid is an ester of
The clinical use of this drug has been seriously limited by caffeic acid and 3,4- dihydroxy-phenyl acetic acid. It is
undesirable side effects especially dose-dependent myocardial commonly found in Boraginaceae species and in the Nepetoideae
injury, leading to potentially lethal congestive heart failure (Choi subfamily of the Lamiaceae. It is also found in species of other
et al., 2007). In addition to limited use due to its cardiac, renal, higher plant families, and in some fern and hornwort species
pulmonary, testicular, and hematological toxicities (Singal et al., (Petersenand, 2003). Rosmarinic acid has a number of
1987, Fadillioglu et al., 2003). interesting biological activities, for example, antioxidant,
Free radical generation and mitochondrial dysfunction iron- antimutagen, antibacterial, and antiviral effects (Gamaro et al.,
dependent oxidative damage of biological macromolecules, and 2011).This work aimed at evaluation of the possible ameliorative
protein oxidation are thought to contribute to DOX-induced effect of EA, RA or its combination on the cardiotoxicity and
cardiac failure and renal injury (Hiona et al., 2011, Liu et al., nephrotoxicity induced by DOX.
2007). DOX induced renal injury in rats manifested by increased
glomerular capillary permeability and tubular atrophy (Wapstra
et al., 1999). Administration of DOX caused an imbalance
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II. MATERIAL AND METHODS creatinine (Cr) was measured according to the method of (Bower
Animals et al., 1980) (Biodiagnostics, Cairo, Egypt).
Adult male Sprague-dawley rats (200-250g) were obtained Determination of oxidative stress markers in heart and
from National Organization for Drug Control and Research kidney
(NODCAR). Animals were maintained under standard conditions Lipid peroxidation (MDA) was measured according to the
of humidity with regular light dark cycles and free access to food method of (Satoh, 1978).Tissue glutathione (GSH) was
and water. measured according to the method of (Beutler et al., 1963).
Drugs and Chemicals Catalase (CAT) was measured according to the method of (Aebi
Doxorubicin vial (50mg/25ml) was purchased from Ebewe 1983). (Bio diagnostics, Cairo, Egypt).
Pharma, Austria Company and used in dose (5mg/kg day i.p Determination of TNF- and caspase-3 in heart and
every 3 days 4 times) (Jensen et al., 1984). Ellagic acid (LKT kidney
Laboratories, INK) was used in dose (10mg/kg/day p.o for 14 Tumor necrosis factor- (TNF- ) was measured according
days) (Girish et al., 2014). Rosemarinic acid (Carbo Synth to the method of (Taylor, 2001) (Assaypro, LLC). Caspase-3
Company, Berkshire, UK) was used in dose (75mg/kg/day p.o was measured according to the method of (Chang et al., 2003)
for 14 days) (Tavafi et al., 2011). (Glory Science, USA).
Experimental design
Eighty male adult Sprague-Dawley rats were divided Histopathological Examination of heart and kidney
randomly into eight groups as follow: Autopsy samples were taken from the heart and kidney of
Group (A) received corn oil orally as a vehicle. rats in different groups and fixed in 10% formaldehyde saline for
Group (B) received ellagic acid (EA) (10mg/kg, p.o.) for 14 24 hours. Washing was done in tap water then serial dilutions of
days. alcohol (methyl, ethyl and absolute ethyl) were used for
Group (C) received rosemarinic acid (RA) (75mg/kg, p.o.) dehydration. Specimens were cleared in xylene and embedded in
for 14 days. paraffin at 56 degree in hot air oven for twenty four hours.
Group (D) received EA (10mg/kg, p.o.) and RA (75mg/kg, Paraffin bees wax tissue blocks were prepared for sectioning at 4
p.o.) for 14 days. microns thickness by slidge microtome. The obtained tissue
Group (E) received doxorubicin (DOX) injection (5mg/kg, sections were collected on glass slides, deparaffinized and
i.p.) every 3 days for 14 days. stained by hematoxylin & eosin stain for routine examination
Group (F) received EA (10mg/kg, p.o.) for 14 days and DOX through the light electric microscope (Bancroft et al., 1996).
(5mg/kg, i.p.) every 3 days started in fourth day of ellagic acid
administration. Statistical analysis
Group (G) received RA (75mg/kg, p.o.) for 14 days and Data were expressed as the mean SEM, statistical analysis
DOX (5mg/kg, i.p.) every 3 days started in fourth day of was carried out by one-way ANOVA followed by Tukey Kramer
rosemarinic acid administration. multiple comparison test using Graph Pad Prism version 5
Group (H) received EA(10mg/kg, p.o.) with RA (75mg/kg, (GraphPad Software Inc., La Jolla, CA, USA). The p value was
p.o.) for 14 days and DOX injection (5mg/kg, i.p.) every 3 days considered significant when p< 0.05.
started in fourth day of ellagic and rosemarinic acids
administration.
III. RESULTS
Serum and Tissue Preparation Effect on cardio-renal biomarkers
Twenty four hours after the last treatment, the blood was Rats treated with DOX showed a significant (p < 0.05)
collected from retero-orbital plexus of animals was allowed to increase in serum levels of LDH, CK-MB, and troponin-I,
collected by leaving at undistributed at room temperature (15-30 compared to the corn oil control rats. On the other hand, oral
min), then centrifuged, serum were collected for biochemical treatment with either EA, RA or their combination significantly
investigation. The animals were sacrificed, hearts and kidneys (p < 0.05) decreased the elevated levels of serum LDH, CK-MB
were removed, washed in ice saline and divided into two and troponin-I when compared to DOX group (Table 1). DOX
portions, and one was kept in 10% formalin for histopathological treated rats showed a significant (p < 0.05) increase in serum
examination while the other in -80 C for estimating the other levels of BUN and Cr, when compared to the corn oil control
parameters. rats. On the other hand, oral treatment with EA, RA, and their
combination significantly (p < 0.05) decreased the elevated level
Cardiac and renal biomarkers of BUN and Cr when compared to DOX group (Table 1).
Lactate dehydrogenase (LDH) was measured according to
the method of (Heiden et al., 1994) Creatine kinase-MB (CK- Effect on tissue oxidative stress parameters
MB) was measured according to the method of Gerhardt Table 2 showed that DOX treated rats showed a significant
(Gerhardt et al., 1979), standards commercial kits provided increase (p < 0.05) in tissues lipid peroxidation when compared
from (CHRONOLAB, SPAIN). Troponin-I were determined to the corn oil control rats. On the other hand, oral treatment with
using the method of (Arad et al., 2005), a standard commercial EA, RA, and their combination significantly (p < 0.05) decreased
kit from (Glory Science, USA). Serum urea (BUN) was the elevated level of MDA when compared to DOX group. DOX
measured according to the method of (Tobacco et al., 1979) and treated rats showed a significant reduction (p < 0.05) in GSH
content, as well as, CAT activity in tissue homogenates when
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compared to the corn oil control rats. Treatment with EA and RA mechanism, augmenting membrane lipid peroxidation and free
significantly (p < 0.05) elevated both GSH and CAT when radicals formation. Moreover the impairment of oxidant-
compared to DOX group (Table 2). antioxidant system, initiates peroxidation of membrane bound
polyunsaturated fatty acid and protein oxidation, lead to
Effect on tissue TNF- and caspase-3 alterations in permeability of myocytes and nephrons,
Doxorubicin treated rats showed a significant increase (p < intracellular calcium overload causing finally irreversible
0.05) in TNF- and caspase-3 levels in the heart, as well as, damage to tissue. Two different mechanisms have been
kidney compared to the corn oil control rats. Oral treatment with identified; the first one is formation of semiquinone type free
EA, RA, or their combination significantly (p < 0.05) decreased radical molecules leading to ROS generation (Jadhav et al.,
the elevated level of TNF- and caspase-3 levels in both organs 2013). The second pathway includes a non-enzymatic reaction,
compared to DOX group (Figure 1). involving DOX-iron reaction (Injac et al., 2008). The reduced
GSH level might be due to GSH consumption in DOX-induced
Histopathological finding lipid peroxidation (Ashour et al., 2011). In the present study, the
Concerning heart, corn oil control, EA, RA, and their TNF- and caspase-3 elevation in the target organs by DOX
combination treated rats showed normal histopathological treatment are in agreement with (Mantawy et al. 2014, Hassan
structure (A, B, C & D). Section of heart of DOX treated rat (E) et al., 2014). The production of ROS induces apoptosis and
showed focal necrotic hyalinization in some myocardial bundles cytochrome-c release in the cytosol of the DOX-treated animals
with lose of striation and appeared as homogenous deeply which interacts with procaspase-9, leading to the generation of
eosinophilic. Heart microscopic section of DOX group treated active caspase-9, then, caspase-3 (Green et al., 1998). Herein,
with EA (F) showed some improvement with mild congestion in cardiotoxicity and nephrotoxicity induced by DOX is manifested
the blood vessels. Administration of RA in DOX-treated group by altered histopathological features including focal necrotic
resulted in normal histopathological structure (G). Finally, EA hyalinization in some myocardial bundles, as well as,
and RA combination in DOX treated rats (H) showed some degenerative change in the lining epithelium of the cortex
improvement in myocardial bundles appearance (Figure 2). tubules, these findings agreed with (Jadhav et al., 2013, Argun
Concerning kidney, corn oil control, EA, RA, and their et al., 2015).
combination treated rats showed normal histopathological In the current study, concomitant administration of EA and
structure (A, B, C & D). Microscopic section of heart of DOX DOX significantly reduced serum LDH, CK-MB, troponin-I.
treated rat (E) showed degenerative change and noticed necrosis Decreased levels of serum troponin-I by EA indicates its
in the lining epithelium of the tubules at the cortex associated protective effect on the myocardium by reducing the extent of the
with focal haemorrhage in between. Kidney microscopic section myocardial damage (Kannan and Quine, 2011, Yce et al.,
of DOX group treated with EA (F) showed mild congestion was 2007). Serum BUN, Cr, as well as, tissue MDA, TNF- and
noticed in the glomerular tufts. Administration of RA in DOX- caspase-3 were also decreased by EA, confirming the studies of
treated group resulted in cortical tubules showed degeneration in (Atessahin et al., 2007, Lin et al., 2013, El-Garhy et al., 2014).
the lining epithelium (G). Finally, EA and RA combination in In contrast, it caused significant rise in GSH and catalase
DOX treated rats (H) improved the histological appearance of activities and histopatological examinations, therefore, protect
kidney except for mild congestion in the cortical blood vessels cells against cardiotoxicity and nephrotoxicity.
(Figure 3). The mechanism of EA responsible for these effects may be
due to its potent scavenging action on both superoxide anion and
hydroxyl anion as mentioned by Iino et al., 2001. The antioxidant
IV. DISSCUSION effect of EA may be involving dual actions: direct action on free
Doxorubicin is a widely used anticancer. Its chief dose- radical scavenging and indirect action through the induction of
limiting side effects are myocardial and renal injuries which antioxidant enzymes (Palani et al., 2015). In addition, EA could
require a reduction of dose or discontinuation of the treatment. inhibit PGE2 produced and reduced the COX-2, thus, decreased
The present study was designed to investigate whether EA or/& TNF- level (Mansouri et al., 2015).
RA administration before DOX could afford a protection against In the same manner, concomitant administration of RA with
DOX induced cardio-nephrotoxicity. DOX significantly adjust cardio-nephrotoxicity biomarkers, these
In the present study, DOX induced significant elevation in results were supported by Chlopckov et al. 2004, Azab et al.
serum CK-MB, LDH, troponin-I, as well as, BUN and Cr. These 2014 and Rasha et al. 2010. In addition, RA improved the
results were in agreement with (Mantawy et al. 2014, Saparano histological alterations caused by DOX in both heart and kidney.
et al., 2002) who mentioned that the magnitude of CK-MB, LDH The observed results with RA were shown by (Rasha and
and troponin-I activities in blood after myocardial injury reflects Abdella, 2010) in heart and kidney. The major proposal for
the extent of damage in its musculature. The elevated serum action of RA is to intercept free radicals and protect cellular
BUN and Cr levels suggested the reduction of glomerular molecules from oxidative damage through stimulation of the
filtration rate (Hassan et al., 2014). endogenous antioxidant defense system and the ability to donate
In the present work, DOX administration led to a significant electrons to reactive radicals, converting them to more stable
increment in MDA level, reduction in GSH content and CAT form (Sancheti et al., 2007, Moreno et al., 2006). RA can
activity in both organs. These results agreeed with (Jadhav et inhibit lipoxygenase, cyclooxygenases, and interfere with the
al., 2013) who mentioned that, DOX induced heart and kidney complement cascade, thus, inhibiting the expression of
damage was caused by disturbing antioxidants defense inflammatory cytokines (Gamaro et al., 2011). The
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 252
ISSN 2250-3153
antiapoptotic activity of RA is through the reduction of active [15] Gerhardt, W., J. Waldenstrm, 1979. Creatine kinase B-subunit activity in
serum after immunoinhibition of M-subunit activity. Clin. Chem.,
caspase-3 expression (Rasha and Abdella, 2010). 25(7):1274-1280.
[16] Girish, C., O. Shweta, V. Raj, S. Balakrishnan, R.G. Varghese, 2014.
Ellagic acid modulates sodium valproate induced reproductive toxicity in
V. CONCLUSION male Wistar rats. Indian. J. Physiol. pharmacol., 58(4):416-422.
[17] Green, D. and G. Kroemer, 1998. The central executioners of apoptosis:
In conclusion, EA or/and RA protected heart and kidney caspases or mitochondria? Trends Cell. Biol., 8:267-271.
tissues in rats through their antioxidant, anti-inflammatory and [18] Hassan , M.H., M. Ghobara, G.M. Abd-Allah, 2014. Modulator effects of
antiapoptotic activities. Thus, they represent a potential candidate meloxicam against doxorubicin-induced nephrotoxicity in mice. J.
to protect against cardio-nephrotoxicity, which is a major dose- Biochem. Mol. Toxicol., 28(8): 337-346
limiting problem during DOX therapy. [19] Heiden, C.V.D., B. Ais, W. GerhArdt, I. Rosallsis, 1994. Approved
recommendation on IFCC methods for the measurement of catalytic
concentration of enzymes. Part 8. IFCC method for LDH. Eur. J. Clin.
Biochem., 32(8):639-655.
ACKNOWLEDGMENT [20] Hiona A., A.S. Lee, J. Nagendran, X. Xie, A.J. Connolly, R.C. Robbins,
We thank Professor Dr. Adel B. Kholoussy, Department of J.C. Wu, 2011. Pretreatment with angiotensin-converting enzyme inhibitor
improves doxorubicin-induced cardiomyopathy via preservation of
Pathology, Faculty of Veterinary Medicine, Cairo University, for mitochondrial function. J. Thorac. Cardiovasc. Surg.,142(2):396-403-393.
his kind help in performing histopathological results. [21] Iino, T., K. Nakahara, W. Miki, Y. Kiso, Y. Ogawa, S. Kato, K. Takeuchi,
2001. Less damaging effect of whisky in rat stomachs in comparison with
pure ethanol. Role of ellagic acid, the nonalcoholic component. Digestion.,
64(4):214-221.
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FIGURE 1. Effect of Ellagic acid (EA), Rosemaneric acid (RA) and their combination on tissue TNF- and caspase-3 in rats
treated with Doxorubicin (DOX). Data were expressed as the mean SEM, a: means significant with control, b: mean
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significant with DOX, c: mean significant with DOX +EA+ RA (p < 0.05). Statistical analysis was carried out by one-way
ANOVA followed by Tukey's multiple comparison test (n=10).
FIGURE 2. Heart samples of the groups (A,B,C,D), shows normal histological structure, (E) showing focal necrosis in some
myocardial bundles with lose of striation, (F) showing congestion in the blood vessels, (G) showing normal histopathological
structure, (H) Zenkers hyalinization was detected in focal manner of some myocardial bundles.
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FIGURE 3. Kidney samples (groups A,B,C,D), shows normal histological structure, (E) showing degeneration and necrosis in
lining epithelium of the tubules associated with focal haemorrhage in between (F) Mild congestion in glomerular tufts (G)
cortical tubules showed degeneration in the lining epithelium (H) mild congestion in the cortical blood vessels.
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TABLE 1. Effect of administration of Ellagic acid, Rosemaneric acid and their combinations on serum levels of LDH, CK-MB,
Troponine-I, urea and creatinine in rats treated with Doxorubicin.
Control 652.6 6.39 49.00 0.96 19.99 0.66 26.62 0.07 0.650 0.011
EA 651.0 1.00 47.40 1.05 18.99 0.45 25.06 0.47 0.642 0.020
RA 651.6 1.25 48.68 0.75 19.74 0.27 25.45 0.17 0.632 0.022
EA +RA 644.1 1.48 45.81 0.63 18.56 0.32 24.56 0.12 0.611 0.015
DOX 1335 1.11a 144.1 1.11a 36.71 0.20a 52.33 0.77a 3.206 0.054a
DOX + EA 979.9 2.60a,b,c 85.49 1.96a,b,c 26.99 0.31a,b,c 39.99 0.37a,b,c 1.954 0.031a,b,c
DOX + RA 987.3 1.19a,b,c 89.11 0.45a,b,c 27.80 0.16a,b,c 40.41 0.70a,b,c 1.893 0.039a,b,c
DOX+EA+RA 902.4 1.36a,b 69.64 1.82a,b 24.97 0.05a,b 37.62 0.50a,b 1.624 0.016a,b
Data are expressed as means SEM of eight rats per group. a: means significant compared to control, b: means significant compared
to DOX, c: means significant compared to DOX+EA+RA (p < 0.05). Statistical analysis was carried out by one-way ANOVA
followed by Tukey's multiple comparison test.
TABLE 2. Effect of administration of Ellagic acid, Rosemaneric acid and their combinations on tissue levels of MDA, GSH
and CAT in rats treated with Doxorubicin
DOX+EA 13.960.75a,b,c
P 18.310.14a,b,cP 0.3490.011a,b,c
P 12.99 0.29a,b,c
P 18.220.21a,b,c
P 0.3480.015a,b,c
P
DOX+RA 14.010.52a,b,c
P 18.880.37a,b,cP 0.3390.010a,b,c
P 13.17 0.17a,b,c
P 18.680.37a,b,c
P 0.3390.000a,b,c
P
Data are expressed as means SEM of ten rats per group. a: means significant compared to control, b: mean significant compared to
DOX, c: mean significant compared to DOX+EA+RA (p < 0.05). Statistical analysis was carried out by one-way ANOVA followed
by Tukey's Kramer multiple comparison test.
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Abstract- Kashmir since the establishment of Muslim rule had Shaikh Yaqub Sarfi belonged to the Ganai family of
remained an important Centre of Sufism. It acquired fame as Kashmir. He was born in 928 A.H/ 1521 A.D in Srinagar. 5 His P4F P
Raeshwar (valley of Rishis). Among the sufi saints of Medieval fathers name was Shaikh Hassan Ganai 6 who belonged to the
P5F P
Kashmir, Shaikh Yaqub Sarfi occupies an important place. He Asami clan. The Asami clan traces its descent from Asim, A son
was a man of international repute for his learning, scholarship of Caliph Umar (PBUH) and it was because of this he was also
and piety. The present paper throws a brief light on the life and called as Asmi. 7
P6F P
pious man. 1 Modern scholars call him Shaikh-ul-Islam.2 He himself given a clue in one of his verse 9 P8F P
Shaikh Yaqub Sarfi was the most prominent Sufi saints of throughout the world to quench his thirst for acquiring
sixteenth century belonging to the Kubarwiya order. 4 The knowledge. He visited the places like Sialkot, Lahore, Kabul,
Kubarwiya order had its remarkable influence on the different Samarqand, Mashhad, Mecca, Medina etc. 11 P10F
aspects of the life of Kashmiris. People in the various walks of Shaikh Yaqub Sarfi became the spiritual successor of the
life used to practice Sufi-value system including sama as great master Shaikh Hussain of Khawarizm and acquired honour
ascribed by this famous order and work for the betterment of
humanity irrespective of any consideration. 5
Khawaja M. Azam Diddamari, Wakiat-i-Kashmir (Urdu
translation by Hameed Yazdani), Srinagar, 1998, p. 224
6
The literal meaning of Ganai is learned man, His family was
since centuries well learned and that is why they came to be
known as Ganai, for details, see, Shaikh Yaqub Sarfi, Dewan-i-
1
Abdul Qadir Badauni, Muntakhab-ut-Tawarikh, Vol. III (tr. W. Sarfi, With an introduction by Mir Habibullah Kamli,
Haig), Patna, 1973, p. 200. S.P.College Library, Srinagar, (1387 A.H), p. 2.
2 7
Peerzada Muhammad Tayyab Hussain Kashmiri, Auliya e Ibid
8
Kashmir, Nazir Publishers, Lahore, 1988, p. 38 Diddamari, op. cit., p. 224; Dewan-i-Sarfi, op. cit., p.3;
3 9
Auliya e Kashmir, op. cit., p. 38 Dewan-i-Sarfi, op. cit., p. 3
4 10
A.Q.Rafiqi, Sufism in Kashmir from the Fourteenth to the Diddamari, op. cit., p. 224; Dewan-i-Sarfi, op. cit., p.3;
11
sixteenth Century, Bharatiya Publishing House, Delhi, 1984, p. Dewan-i-Sarfi, op. cit., p.3; G.M.D Sufi, Kashir : Being A
114 History of Kashmir from Earliest Times to Our Own, p. 360
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 258
ISSN 2250-3153
by performing the pilgrimages to the two great holy places of also the teachings of Kubarwiya order from Sheikh Yaqub
Islam (Mecca and Medina) twice in his life. 12 He received from Sarfi. 20
P19F
Shaikh Ibn Hajar a license to give instructions in the traditions of Shaikh was a great sufi of his age. At the age of just seven,
Muhammad (PBUH) and clad in the robes of a Shaikh. He Shaikh memorized the whole Quran. 21 Abul Fazl also considers P20F P
travelled much and visited most of the Shaikhs of Arabia and him as the greatest authority on religious matters22 He was also a P21F P
Persia and profited much by his intercourse with them and great poet of his age. He himself writes in his Diwan that he was
received the authority to assume prerogatives of a religious just eight years of age when he started writing poetry in
teacher and spiritual guide and as such he had many disciples Persian. 23 P2F P
They both exchanged the views of their respective orders. Sheikh Sarfi 25 Mulla Abdul Qadir Badauni who was a close associate
P24F P
Salim taught him the teachings of Chasti order and learnt from of Sheikh Yaqub Sarfi praised him and says that he was among
him the teachings of Kubarwiya order. 14 Shaikh Yaqub Sarfi was the great personalities of the age. He was illustrious and relied
also well versed with the writings of Ibn-ul-Arabi. upon as an authority on all brancehes of learning which are
Apart from worldly knowledge, Sheikh Yaqub Sarfi was deeply treated of in Arabic, such as Quranic commentaries, the
interested in the spiritual knowledge and for this; he spent a lot of traditions of Prophet and Sufism. He was an authorized religious
time in the Khankah of Mir Syed Ali Hamdani in Srinagar. 15 In P14F P leader. 26 When Sarfi departed from Lahore to Kashmir, He wrote
P25F P
the Khankah, Mir Syed Ali Hamdani appeared in his dream and a letter to Badauni from the other side of the river Ravi in which
asked him to go to Khawarizm and visit Makhdoom Ali Shaikh Sheikh writes, I hope you will not entirely efface the memory of
Kamaluddin Hussain Khawarizmi. After this Sheikh Yaqub Sarfi me from the margin of your heart and that you will adopt the
left for Khawarizm via Sialkot, Lahore and Kabul and presented graceful habit of remembering the absent. If you should have any
himself before Sheikh Khawarizmi. Sheikh Khawarizm was one need of Kashmiri paper for rough notes and drafts, I hope that
of the great sufi saints of Kubarwiya order. He received Sheikh you will inform me of the fact so that I may send you from
Yaqub Sarfi with great respect and assigned him the work to Kashmir, the rough copy of my commentaries, the writing of
bring wood for the langarkhana of Khankah. 16 After some time P15F P which can be washed from the paper with water so completely
Sheikh Khawarizmi gave him the permission to return back to that no traces of ink will remain, as you yourself have seen.27 P26F P
Kashmir and perform the religious duties and was asked to look On reaching Kashmir, Sheikh wrote another letter to Badauni
after his parents. 17 After some time he revisited Khawarizm for
P16F P which was his last letter to him. In this letter Sheikh wrote, I
the second time and from there he went to Meshhad, Khotan, hope that whenever you sit in Nawab Faizis apartment of
Mecca and Medina. From Mecca, he received sannad and the fragrant grass (khas khana) on the floor, with its matting cooler
necessary license to give instructions in the traditions of Hadith than the breezes of Kashmir, in the midday heat of summer,
from Sheikh ibn Hajjar Makki who was a renowned Sheikh and drinking the water which, though originally warm, has been
the great teacher of Hadith. 18 Sheikh Yaqub Sarfi also visited
P17F P cooled with ice and listening to sublime talk and witty
many of the cities of Hindustan like Ahmedabad, Surat etc. conversation, you will think of me, the captive of the hardships
where he met many of the sufi saints and obtained spiritual of disappointment. 28 P27F
knowledge from them about which he wrote. 19 P18F P It is an established fact that Kashmir has never been able to
produce a man, a religious scholar, a sufi saint or a poet who can
equal the place of Sheikh Yaqub Sarfi in History. He possessed a
vast worldly and spiritual knowledge and it was because of this
he is famous as Jami al Kalimat Souri wal Masnavi. 29 P28F P
and foremost among them are Sheikh Ahmad Sirhindi also wonderful belief on him and conferred distinction on him by
known as Mujaddid Alfi Sani (reformer of the second
millennium). He studied the traditions of Prophet and Tafsir and 20
Dewan-i-Sarfi, op. cit., p. 5
21
Ibid, p. 3; Diddamari, op. cit., p. 224
12 22
Diddamari, op. cit., p. 224 Abul Fazl, op. cit., Ain i-Akbari, III Volumes, Vol. I, (tr.
13
Badauni, Muntakhab-ut-Tawarikh, III volumes, Vol. III, Blochman), Low Price Publications, Calcutta, 2011, p. 191
23
(translated and edited by Sir W. Haig), Academica Asiatica, Dewan-i-Sarfi, op. cit., p. 3
24
Patna, 1973, p. 200 Ain-i-Akbari, vol,I, op. cit., p. 651
14 25
Dewan-i-Sarfi, op. cit., p. 4. Badauni, op. cit., p. 200
15 26
Dewan-i-Sarfi, op. cit., p. 4. Ibid
16 27
Diddamari, op. cit., p. 224; Dewan-i-Sarfi, op. cit.,p. 4. Badauni, Muntakhab-ut-Tawarikh, p. 202.
17 28
Diddamari, op. cit, p. 225 Ibid, p. 203
18 29
For details see, Dewan-i-Sarfi, op. cit., p. 4. Dewan-i-Sarfi, op. cit., p. 6.
19 30
Ibid, p. 5. Ibid
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admitting him to the honour of their society, regarded him with Baba Daud Khaki, Baba Ismail Anchari and Baba Mehdi
gracious favour, so that he was held in high estimation and much Suharwardi went to the court of the Mughal Emperor Akbar at
honoured. He was generous and open handed beyond anything Agra, requesting him to send an army to Kashmir and overthrow
that can be imagined of his contemporaries. 31 the Chak rule. 39 In their audience with Akbar, Shaikh Yaqub
The number of literary works by Sheikh Yaqub Sarfi is not Sarfi and his companions insisted that after Akbar took over the
known and neither all of them are available. Some of the famous administration of Kashmir, he should ensure full freedom of
works include- Sawati-ul-Ilham (it is an Arabic taqriz/ religion to all its people That there should be no interference
introduction to Faizis Tafsir-ul-Quran), completed a Khamsa, 32 with local commerce and trade That no Kashmiri should be
Manasik-i-Hajj, 33 Sharah-Sahih al Bukhari 34, Kunz-al-Jawahir, enslaved That the practice of beggar or compulsory labour be
Risala e Azkar. 35 Apart from that Sheikh Yaqub Safri is also abolished and that those who had been associated with the Chak
credited with a number of works like Diwan-i-Sarfi 36, Treatises regime should be divested of their powers. 40 Akbar gave his
on the art of composing engimas and also Quatrains (Rubaiyat) consent to these conditions, and then dispatched an army under
on the mysticism of sufi with a Tafsir/commentary37 Mirza Shah Rukh against Chak ruler, in December 1585.41
Sheikh Yaqub Sarfi occupied an important place in the Sheikh Yaqub Sarfi himself accompanied this army. 42 The
political history of Kashmir. He was the pivotal figure behind the Mughal invasion was more a reaction in anger than a seriously
Mughal conquest of Kashmir. In 1557, when Shaikh Yaqub Sarfi thought-out plan, neither the season was suitable nor was the
was thirty-five, the Shah Miri dynasty was overthrown by the internal conditions suitable for launching such an attack. The
Chaks. The Chaks traced their origins to Baltistan. Being from leaders of the army had urge to wait for some months till the
outside Kashmir, they were not particularly concerned about the roads are cleared of snow and should enter Kashmir through
welfare of the people of Kashmir. The Chak rulers persecuted the Bhimber which was relatively a better route but Akber in haste
Sunni subjects. This caused several Sunni scholars to leave ordered them to march through the Pakhli route. 43 The Chaks
Kashmir and seek shelter elsewhere. 38 As an important Sunni fought valiantly and defeated the Mughals. Then, in 1586, Akbar
leader and scholar, Shaikh Yaqub Sarfi is said to have been a sent a larger army to Kashmir, under Mirza Qasim Khan, which
thorn in the Sultans flesh, and therefore, a conspiracy was inflicted a decisive defeat on the Chaks, and Yaqub Shah Chak
plotted to have him killed. When the Shaikh heard about the was forced to flee to Kishtwar, where he died in 1592. In this
conspiracy, he left Kashmir, and went on a long journey that took way, the last independent Kashmiri dynasty came to an end, and
him to Samarqand, Iran and then finally to the holy cities of Kashmir was made a part of the Mughal Empire.
Mecca and Medina, where he spent several months in the With the Mughal takeover of Kashmir, some Sunnis are said to
company of accomplished Islamic scholars, studying various have launched stern reprisals against the Shias. Shaikh Yaqub
Quranic commentaries (tafasir) and the Traditions of the Prophet Sarfi is said to have bitterly protested against this, and is credited
(hadith). When he finally returned to Kashmir, the political with having made efforts to restore peace and communal
situation was grim, with the Sunnis labouring under considerable harmony.
oppression under Chak rule. Sheikh Yaqub Sarfi tried his best to
normalize the situation but that was never possible under those
circumstances. A royal decree was issued ordering that Azan/ II. CONCLUSION
callto prayer should be offered in shia manner and the name of Sheikh Yaqub Sarfi occupies a place of prominence in the
Hazrat Ali should be mentioned. Qazi Musa was killed for not history of Medieval Kashmir. He had acquired international
mentioning the name of Hazrat Ali in the callto prayer (azan) and reputation for his learning, scholarship and piety. He was
his body was tied to the tail of an elephant and dragged through displayed with the accomplishments of learning and perfect
the streets of Srinagar. This provoked the Sunnis of the town, qualities that distinguish him as the greatest sufi of his age. He
who rose up in protest. In order to put an end to the persecution was the greatest authority of religious matters. He traveled
of the Sunnis, Shaikh Yaqub Sarfi and a group of his companions throughout the world to quench his thirst for knowledge. He was
the author of many sublime and beautiful works including
31
Badauni, op. cit., p. 201. Khamsa, Commentaries of Quran and Hadith, Treatises,
32
Khamsa is a series of five Masnavis also known as Panj-Gunj Quatrains etc. He devoted his life to normalize the sectarian
which includes Masalik ul Akhyar, Wamiq-i-Uzra, Laila- tensions between the Shias and Sunnis of Kashmir. When the
Majnun, Makhaz un Nabi and Muqamat Murshid. These five situation was out of control he himself along with his
works were written in imitation of Khamsa-i-Nizami Jami), companions went to the court of Akbar and assured him of
See Badauni, Muntakhab-ut-Tawarikh, p. 200 n., Diddamari, necessary support for the invasion of Kashmir and when Akbar
op. cit.,p. 226.
33
Manasik-i-Hajj, It is written in Arabic prose and explains the
39
rules and regulations of the pilgrimage. Auliya-e-Kashmir, op. cit., p. 39; see also P.N.K.Bamzai, A
34
It is a Persian commentary in prose on the Sahih-al-Bukhari of History of Kashmir: Political, Social and Cultural, Delhi,
Muhammad bin Ismail Bukhari. 1962, p. 346
35 40
This work is devoted to the importance of the Zikr and to the P.N.K.Bamzai, Op. Cit., 353
41
legality of Zikr-i-Jahr. Abul Fazl, Ain-i-Akbari, Vol. I, (Blochman), op. cit., p. 479.
36 42
It is a collection of Ghazals and Rubaiyat Abul Fazl. Akbarnama, vol. III, (tr. H. Beveridge), Low price
37
For details see Dewan-i-Sarfi, p. 6 Publications, delhi, 1939, p. 715
38 43
Diddamari, op. cit., p. 225. Abul Fazl. Akbarnama, vol. III, op. cit., pp. 722-23.
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44
Dewan-i-Sarfi, p.9
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Plate
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Abstract- The aim of this paper is to evaluate the role of change about for example the escalation of hostilities in the Middle East
management when implementing Customers Relationship and war on terrorism following 11/9/2001 (Robbins 2003).
Management (CRM) system in Nonprofit Organization in Oman. So as it is seen that the change is necessary in some
In this research we are going to take Information Technology situation and the organization should be flexible and able to act
Authority (ITA) as an example of Nonprofit Organization in fast and ready for any change could be happen. To support the
Oman. Change Management when changed happening, there are
strategies that could be used to make the change happen
Index Terms- Change Management, CRM, Nonprofit successfully and easily, and these strategies are divided in three
Organization, Oman phases which in before the change, during the change and after
the change. In the first phase which the change happened and in
the early stage, the team who responsible for the change or the
I. INTRODUCTION change management should keep in the mind the benefits of the
change which make the organization in it is early stage in the
T he aim of this paper is to evaluate the role of change
management when implementing Customers Relationship
Management (CRM) system in Nonprofit Organization in Oman.
change, know and agreement of the benefits that could be gain
from the change. Also the team should be sure about the
In this research we are going to take Information Technology Readiness Assessment which this helps the organization ready to
Authority (ITA) as an example of Nonprofit Organization in adopt the changes required by making the change happened and
Oman. transfer the plan to the reality when for example implementing
the new software. In addition, the Resistance Management is
very important especially in the early stages because this could
II. CHANGE MANAGEMENT LITERATURE REVIEW be significant barrier to have the successful and easy change if
there any type of the employee resistance (Pmis c 2005)
To have a perfect change in the organization, there are five The second phase is during the change, the team should be
elements for successful change, if one of them is missing the aware from some main points for example: the communication
change process may fail, the first is the Idea which is about an plan which is about structuring the communications plans and
internal creativity and inventions. The second is the need where describes to anyone who involved in the change about the change
there is "a gap between actual performance and desired plan and how it may have an effect to them. Also when the team
performance ". The third is adoption to make the change easily or the organization implements the change plan, they should have
and handling change resistance if there. In addition, the close monitoring and evaluating to the actions within change
implementation which about using the new effective and efficient plan. In addition there should be an education and training plan
idea to deliver it with high quality. Finally, the resource which because it will provide and make the employees in the
about managing the allocated resources of the change (Daft organization have the necessary and required skills and tools.
2004). Also in the side of resistance the organization or the change team
In the other hand, there are six forces that are acting for should take and care about any feedback about the change and
change and make the organization to change if it wants to be try having full help to any employee need the help (Pmis c 2005).
surviving. The first force is changing nature of the workforce The third and the final phase is after the change, the change
which is about adjusting human resource policies and practices to team or the organization should put in consideration couple of
attract and keep workforce diversely (increasing in professionals points for example measuring the benefits and compare what
and spend money in training). The second force is technology achieved to the expected to achieve from the start. The other
which is to make the product or the service faster and cheaper. point is "identify gaps and manage the resistance because almost
The third force to change is the economic shocks, like for fails in change happened" because there are gaps in "actions
example the new dot-com business has been created or the undertaken or unexpected resistance" so by knowing these gaps
economic down what exactly happened in few years ago. The will help in correction the actions to support the change (Pmis c
other force is the competition which about for example the 2005).
organization going globally and mergers or acquisition to other In the side of resistance to change, in general it could be
companies. The fifth force is the social trends where as author divided into two type of resistance. The first type is an individual
described "the people meeting and sharing information in the resistance which this resistance could be because a habit of the
internet chat rooms ". The final force is world politics which is human being. The other reason could be the Security which
about the threaten feeling of safety. In addition the Economic
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factors may cause the resistance of change where the individual various other E-Governance Program of the Sultanate" (ITA c
become afraid that change will lower his income. The other 2007).
reason is the fear of the unknown where after the change will be
there a new experience and new system (Robbins 2003).
The second type of resistance of change is the V. BACKGROUND SUMMERY OF QUESTIONNAIRE
organizational resistance which this resistance may happen
because of many reasons for example limited focus of change Table 6: Background Summery of Questionnair
where changing happening focus for one subsystem without
changing other subsystems. The other reason is threat to
Number of Questionnaire
expertise when there is a need for specialized groups which they
are from outside the organization (Robbins 2003). SEX
To overcoming the resistance to change the author Robbins Male 36
suggests many solutions. The first solution is the education and Female 11
communication which by helping who resistance to see the logic Age
of a change. The second solution is participation by let the 20-29 31
employees who expected to resistance or who will be involved to 30-39 12
the change to participate the changing, because it is difficult for 40-49 4
anybody to resist for thing that he participate on it. Also the Education Level
negotiation can be solution for the resistance by for example Secondary School or Below 12
exchange something value for a lessening of the resistance Diploma/Bachelor 33
(2003). Master or Above 2
The authors C.Pries & M.Stone set some aspects of failure Work experience in ITA
any information technology projects. The first is technological 1-2 years 12
reason aspect where the size and how the project is complex, new 2-3 years 10
project and it is first in it is kind, no coordination between 3-4 years 15
departments and new technology. The other aspects are human More than 4 years 10
behavior and change management problems. The organization if Do you know that ITA uses CRM?
focused too much in the cost rather than focusing in the Yes 40
customers that will result customers will be managed less. In No 7
addition to that CRM give the organization the support needed to Do you use CRM system?
view customers as an asset (2004). Yes 18
No 29
III. RESEARCH DESIGN
Mainly in research philosophy, the research method in this VI. ANALYSIS AND DISCUSSION
research is by building theories based on the data that was
gathered. Almost 65% of employees say that the top level
According to Charaborty (2009), there are three types of management was not involved when implementing CRM system
questions in the research which they are descriptive, relations and and also they are not seeing an evaluation of the progresses when
causal. So in this research, all these types are used. implementation which resulting no correction happened when
As the author Denscombe (2003) set four types of research needed. The authors J. Chena, H. Yenb, E. Lic and R. Ching
methods which they are Questionnaires, Interviews, Observation recommended that the top level management should evaluate the
and Documents. So in the first stage of my research, the research effectively of CRM system in all related departments (2009).
contents a qualitative research. In addition, the questionnaires Such as sales department, customer services department and
and interviews were made to the related middle managers and information technology department. And by taking the result of
some employees. Personal and formal interviews were conducted evaluation, they can know and recognize the practice and process
for a more objective research. The collected data were which are weak and recommend an improvement action and
summarized through relevant theme summarization. correction. The data collected also show that there was a missing
of the CRM readiness assessment which this help the top level
managers to see how the progress in CRM implementation and
IV. ORGANIZATION BACKGROUND AND DETAILS: give the view the position of the project. In addition to that, it
will help the managers to view and identify the level of CRM
Information Technology Authority (ITA) is established by development in the organization "pre-CRM planning, building a
the Royal Decree 52/2006, which is published on the 1st June data repository, moderately developed, well developed and
2006 and ITA is belong to the government sector. ITA is highly advanced" (A.Payne and P.Frow 2006).
responsible for "applying national IT under base projects and From the data collected from the interviews and survey
supervising all projects related to implementation of the Digital show that after implementing the CRM system there was a
Oman Strategy while providing professional leadership to change in the processes and the structure in the organization
which this present the first step in construction as described by
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the authors H.Chang & P. Ku, they said that both business customers are shared. In addition to that some resistance
process reengineering and the organizational learning can happened because afraid from the change. But all these could be
improve the relationship quality and the performance of the reduced by applying the good change management practice
organization (2009). The authors H.Chang & P. Ku defined which what exactly done in ITA. Another reason could because
business process reengineering it is about "changing the business afraid from additional work during the implementation or
processes and redesigning them" to the new innovation way because changing the routine work that employees are used with
process like the practices and the structure, which try make the it and starting carrying new tasks (2004).
process in customer based to be focused (2009). So that means In the other hand if we take the resistance based in time as
redesigning the existing business process to be familiar with the the authors I.Rahimi and U.Berman set stages and these stages
new information technology that will be implemented. could be found the employees resistance . The first stage is in the
The survey show that around 35% of employees dont system design, when the organization using the external experts
know the vision of the top level management and also this vision to collect data and information about the organization system
is not shared among the organization. This founding is conflict processes like what we have in ITA the employee's participation
with what the authors H.Chang & P. Ku described about the could be not helpful by not giving the complete data and
organization learning which aim make the organization capacity information in the system processes. The other stage in data
more effective when the organization want to adopted the a entry, that employees resistance make the entry is not fully
change or action. So this will make the employees and the supported by the employees and make them some data not
system continue going in the direction that the top level entering and saving them outside the system in their files and
management want and seek. Also when the employee knows the documents which this could be happened as described above
important of organizational learning that will make the CRM when the employees is an IT oriented where they dont know the
system implementation more easily and successfully (2009) full customers information and data. Which all these resistance
Normally, the employees are usually viewed as users and will affect how the CRM system is successful, because when the
carrying information not more than that. So to prevent the data and information about customers is missing and the data is
resistance in the later stages it is recommended to involve and not entering in some causes which that make the system lack of
include the employees in the planning stage (C.Pries & M.Stone customers data and what the organization's customers like and
2004), that what was found in ITA from the data collected, the hate (I.Rahimi and U.Berman 2009).
employees who his duties will be in CRM system they are The problems that could come or be faced during the
involved in earlier stages of implementation. implementation of CRM can be divided into three aspects as the
When implementing CRM system in ITA, it was outsource authors C.Pries & M.Stone described: financial, technological
project where there was a special team from outside the and cultural. The CRM make the organization focus their effort
organization come to implement the system. The authors to an existing customers rather than spend it to a new customers.
A.Payne and P.Frow set two types of teams in the CRM project Which this effect an organization in the financial side by
management when they said the project team could divide into increasing the customer retention and loyalty which result in
two forms. The first team which a group of specialist just work higher cash flow and reducing the operation costs (2004), but in
together temporary until they finished the project in particular ITA there was no big issues and problems faced in the financial
time. The second team which they are from the organization aspect. Where many organizations spent a lot of money and
"cross-functional team" and working in two sides in the project budget to gain and attract new customers but when the customers
and their daily work. So the situation in ITA reflects the first type come, the organization fail to satisfy them and didnt understand
of the team. The authors added, there is a framework called the new customers which result waste in their time and budget
benefits Dependency Network which result in more effective (C.Pries & M.Stone 2004). In the culture aspect, there was no
project management which it is aim to " backwards from the problem and issues faced in this side in ITA. But in the other
project's objectives " to the propose that all " business changes hand, there was a little problems faced in the technological
are taken and made " and " CRM technology solutions aspect in ITA. The reason of this, because there was a lack in
implemented " (A.Payne and P.Frow 2006). So that mean the training employees in the CRM and it is kind of new software
CRM project management become more important as the size used in the government sector. The training is very important and
and complexity of CRM increased. it is hard for the ITA to build and manage a good customer
In the resistance side when implementing CRM system in focused systems and process without a good staff and employees
ITA , the data collected from the interviews and the survey show who they definitely need to be trained and motive in this aspect.
that there was a little resistance from the employees but it almost For that reason the CRM change and project management depend
have not affect the successful of CRM system . For example the in this tear for their success. For example if the employee is
employees who were involved during the implementation were happy that will affect customer experience (A.Payne and P.Frow
an IT oriented and they haven't the other side of orientation like 2006).
the customers and marketing which this lead them ignoring the
customer orientation and just focus in IT even they know this
application related to customers. The authors C.Pries & M.Stone VII. SUMMARY
mentioned that the resistance during the implementation of CRM The change management effects the implementation of
system almost appear in the face line users of CRM system CRM system in many aspects for example: top level
because one major point which make their work more management evolution and correction, change process and
transparency where almost all information about clients and practices, resistance management, strategy and vision sharing.
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Abstract- The study was conducted to assess and ascertain the water but due to increased human population, industrialization,
physico-chemical properties of Mahanadi river water from five use of fertilizers in the agriculture and man made activity it is
different locations of (Binakhandi, 500 m upstream of highly polluted with different harmful contaminants which can
Binakhandi, 500 m downstream of Binakhandi, PC bridge and cause various water borne diseases.
Dhanupali) Sambalpur city of Odisha during the month of Physico-chemical parameter of river water affects the
March and August, 2014. The analysis was carried out by taking biological characteristics and indicates the status of water
certain important parameters like pH, dissolved oxygen (DO), quality. Different types of Physico-chemical parameters of water
biological oxygen demand (BOD), chemical oxygen demand are pH, DO, BOD, COD, Chloride, TDS, Nitrate, Sulphates, TH,
(COD), Chloride, total dissolved oxygen (TDS), Nitrate, EC and Fluoride. These parameters are solely responsible for
Sulphates, total hardness (TH), electrical conductivity (EC) and water quality. Quality of water generally refers to the component
Fluoride. Analyzed parameters like pH, DO, TH, Chloride, of water which is to be present at the optimum level for suitable
Sulphate, and TDS were found within permissible limit growth of plant and animals. Aquatic organisms need a healthy
prescribed by IS 10500 except Nitrate and Fluoride content environment to live and have adequate nutrients for their growth.
which exceeds at some sites. COD values were invariably higher The productivity depends on the physicochemical characteristics
than BOD indicating the presence of considerable amount of of the water body. The maximum productivity obtained when the
chemically oxidizable matter which were non-biodegradable. physical and chemical parameters are at optimum level (Kamal ,
High COD values clearly indicates the status of the river water 2007).
i.e polluted. EC also considerably recorded high particularly in Mahanadi is the largest river in Odisha. The assessment of
site 2 in summer season. These physicochemical parameters water quality analysis of river Mahanadi in Sambalpur town
indicates the deterioration of water quality which is the result of becoming utmost importance because of various reasons like
various anthropogenic disturbances like industrialization, rapid urbanization, agricultural and industrial waste, sewage
construction activities, utilization of agricultural and forest land water comprises of domestic, medical and other wastes due to
for other developmental purposes. Other sources which anthropogenic activities. Open defecation is another reason
contributes more or less in water quality depletion are disposal of behind the pollution of river water. According to municipal
untreated domestic and sewage effluents and different types of report, more than 50 percent of latrine drains of the town are
solid wastes directly to river. directly connects to the main drains which eventually fall on the
river. About 40 percent population of the city defecates in open
Index Terms- Anthropogenic, Non-biodegradable, Oxidizable, and about 30000 people take bath in the river bank (Jena, 2008).
Polluted.
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Figure : 5 (Dhanupali)
Climate of Study Area rainy season in the month of March and August of 2014 in the
The climate of the Mahanadi basin lying in Odisha is a early hours of day. The samples were filled in plastic bottles of 2
tropical monsoon type and having maximum precipitation in lit capacities and were kept in refrigerator. The water samples
July, August and first half of September. During winter season were analyzed for various physic-chemical parameters i.e pH,
the minimum temperature is generally varies from 4 C to 12 DO, BOD, TH, COD, Sulphate, Nitrate, Chloride, Fluoride, TDS
C. The average annual rain fall is 1572 mm, of which 70% is and EC.
precipitated during the southwest monsoon between mid June to pH of water sample were measured by using digital pH
mid October (Dixit et al., 2013). meter (Systronics 361). DO, BOD, Chloride and TH were
measured by APHA (1992) methods. COD and Nitrate were
Collection and Analysis of Water Samples expressed by EPA (1979) and APHA (2005) methods
For the analysis of water, samples were collected at random respectively. Sulphate, Fluoride and TDS were evaluated by UV
basis from each site in plastic bottles previously rinsed with visible spectrophotometer, digital fluoride meter (HI - 93729)
distilled water. Water samples were collected during summer and
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pH of water sample varied between 6 8 during summer level was very high i.e 320 mg/L as compared to other locations.
and monsoon (which is lie within the tolerance limit of drinking One of the reasons could be an inflow of urban waste as well as
water). In summer season pH recorded was 8 higher than in discharge of untreated municipal waste into the river containing
monsoon season. The high pH may due to higher algal growth heavy ionic concentrations (Alam et al., 2007). Two way
and reduced microbial activity reported by Chetana and ANOVA revealed that there was significant difference in
Somashekar (1997). The low pH in monsoon was 6 at site 1 may conductivity of different samples with respect to different sites (p
be due to high input of raw sewage into the river water and < 0.001), however the season wise variation is not significant
wastes effluents coming from the drains which directly join at In case of DO content of water samples, it was recorded
this station. There was a significant difference in pH values both maximum in rainy season than summer where it ranges varies
with respect to seasons as well as sites (p < 0.001) when two way 3.76 mg/L at site 1 to 5.53 mg/L at site 4. But the values of DO
ANOVA analyzed. in both the seasons were well within the limits of drinking water
EC of water samples of all sites was high in summer season standards of 6 mg/l (IS: 10500). Two way ANOVA results
in comparison to monsoon season. In at site 2 the conductivity significant difference in DO of water samples both with respect
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to seasons (p < 0.05) as well as with respect to sampling sites ( p TDS was maximum in summer than rainy. During summer
< 0.001). its value ranged from 102.66 mg/L at site 4 to 253.33 at site 1
BOD was more in monsoon than summer. During summer and in rainy season it varies from 90.66 mg/L at site 4 to 199.66
they show fluctuations between 2.53 mg/L at site 4 to 3.56 mg/L mg/L at site 1 and all the values are within the permissible limit
at site 1. The same situation was also found in rainy season with for water i.e. 500 mg/L (IS 10500). Two way ANOVA revealed
the highest value of 5.13 mg/L at site 1 and lowest at site 4 of that there was no significant difference in TDS of water samples
3.63 mg/L. The higher value of BOD during rainy was due to both with respect to seasons and different sampling sites.
input of organic wastes and enhanced bacterial activity. Two way Sulphate contents of all samples in rainy season were
ANOVA analysis showed significant difference in BOD of water recorded higher than in summer. During summer its value ranged
samples both with respect to seasons (P < 0.001) and sites (p < from 13 mg/L at site 4 to 24 mg/L at site 1.In rainy season it
0.05) varies between 11 mg/L at site 4 to 26 mg/L at site 1 and all
COD was recorded higher in summer than rainy. In summer values are under the permissible limit i.e 150 mg/L as guided by
COD were ranged from 56 mg/L at site 4 to 76.33 mg/L at site 1. IS 10500. Girija et al., (2007) also reported higher values of
During rainy season its value varies between 26.66 mg/L at site 4 sulphate during rainy season. The two way ANOVA revealed
to 44 mg/L at site 1. High COD at site 1 have been reported to be that there was no significant difference in sulphate content of
associated with high organic matter content and sewage disposal water samples both with respect to seasons and different
in rivers (Mishra and Ram, 2007). Khan et al., (2003) observed sampling sites.
similar trend in COD values in Huderia drain, Pakistan which Fluoride levels of water in monsoon season was higher than
was also polluted from industries and municipal waste. COD summer. During summer its value ranged from 0.14 mg/L at site
values were invariably higher than BOD indicating the presence 4 to 0.24 mg /L at site 1. In rainy season it varies from 0.18 mg/L
of considerable quantity of chemically oxidizable matter most of at site 4 to 0.27 mg/L at site 1.The permissible level of fluoride
which were non-biodegradable. High COD values clearly in portable water is 1.5 mg/L as recommended by IS: 10500.
indicate that the river water is polluted. Two way ANOVA Two way ANOVA revealed that there was significant difference
revealed that there was significant difference in the COD of in fluoride concentration with respect to seasons (p < 0.001)
water samples in both season wise (p < 0.05 ) and site wise (p < while the site wise difference was not significant.
0.001).
TH of water samples found to be higher in summer than
monsoon. TH of water samples value ranged between 30.66 IV. CONCLUSION
mg/L at site 4 to 48.33 at site 1 mg/l in summer season and in From the assessment of physico-chemical study it could be
rainy season varies between 20 mg/l at site 4 to 31.66 mg/L at clearly concluded that the status and quality of Mahanadi River
site 1. The permissible limit for total hardness is 300 mg/l (IS water in Sambalpur city be an eye opener which is very much
10500). Hence all the water samples in the present study area prone towards alarmic condition for Sambalpur city and its
were within the permissible limit. According to the results of two population. Threatened rising of organic and inorganic waste
way ANOVA, there was significant difference in TH of water levels which a consequence of human activity is definitely going
samples both with respect to seasons (p < 0.001) as well as with to hammer on water quality and its ecosystem directly or
respect to sampling sites( p < 0.05). indirectly. These anthropogenic consequences obviously hamper
Chloride content of water samples was recorded higher in the aesthetic properties of aquatic systems and impose potential
pre-monsoon than monsoon. Its value ranges between 28 mg/L at health hazards not only aquatic organisms but also other
site 4 to 45 mg/L at site 1 in summer season. During monsoon terrestrial life forms including human beings. So to sustain the
season its value ranges between 18.33 mg/L at site 4 to 31 mg/L river quality healthy, we should must concern about the waste
at site 1. In this investigation samples of river water were within and its disposal system. Particularly the diversion of local drains
the permissible limit. The results of this analysis agree with which carry effluents from various sources from the city area and
Abdel (2005). Two way ANOVA showed significant difference their treatment has to be made.
in chloride of water samples with respect season (p < 0.001).
However the site wise difference was not significant
Nitrate content recorded higher in monsoon than summer. REFERENCES
Nitrate was ranged from 28 mg/L at site 4 to 55 mg/L at site 1 in
[1] Abdel A.M. Water quality of Lake Bardawil Egypt. Journal of Egyptian
monsoon. While 26 mg/L at site 4 to 45 mg/L at site 1. The Academy Society for Environmental Development, 61:79-83.
prescribed limit for nitrate is 45 mg/L. Hence all the water [2] Alam M.B. and Sattar M.A. (2007). Assessment of arsenic contaminant ion
samples contains nitrate well within the permissible limit except in soils and waters in some areas of Bangladesh. Water Science
site - 1, 3 and 5 in rainy season. The comparatively high value on Technology, 42:185192.
site 1 could be attributed to anthropogenic sources like run off [3] APHA (1992). Standard Methods for Examination of Water and Waste
water, discharges of effluents from rotten waste containing Water, 18th edition. American Public Health Association, Washington, DC,
US.
nitrogen species and their subsequent oxidation by
[4] APHA (2005). Standard Methods for Examination of Water and Waste
microbiological activity under aerobic conditions. Two way Water, 21st edition. American Public Health Association, Washington, DC,
ANOVA revealed that there was significant difference in the US.
COD of water samples in both season wise and site wise (p < [5] Chetana S.A. and Somashekar R. K. (1997). Evaluation of water quality
0.001). index of the river Cauvery and its tributaries. Current Science (Current
Science Association and Indian Academy of Science, Bangalore), 72(9):
640646.
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[6] Dash M. and Panda T. (2010). Water quality and phytoplankton population - A case study: Mahanadi River (India). Journal of Hydrology, 331: 434-
in sewage fed river of Mahanadi, Orissa, India. Journal of Life Sciences, 445.
2(2) : 81-85. [18] Samira A.B.M., Hawaa S.E.,Faiza A.H. and Fatma F.A. (2009).
[7] Dixit P.R., Kar B., Chattopadhyay P. and Panda C.R. (2013). Seasonal Determination of available nitrate ,phosphate and sulphate in soil sample.
variation of the physicochemical properties of water samples in Mahanadi International Journal Of Pharmtech Research, 1(3):598 604.
estuary, East Coast of India , Journal of Environmental Protection, 4: 843- [19] Smitha, Ajay D. and Shivashankar P. (2013). Physico chemical analysis of
848. the freshwater at river Kapila, Nanjangudu industrial area, Mysore, India.
[8] EPA (1979). Methods for chemical analysis of water and wastes, 353.3. International Research Journal of Environmental Sciences, 2(8): 59-65.
Environmental Protection Agency, Washington, DC, US. [20] Venkateshraju K., Ravikumar P., Somasekha R.K. and Prakash K.L.(2010).
[9] Girija T.R., Mahanta C. and Chandramouli V.(2007). Water quality Physicochemical and bacteriological investigation on the river Cauveryo
assessment of an untreated effluent impacted urban stream: the Bharalu Kollegal stretch in Karnataka. Journal of Science Engineering and
Tributary of the Brahmaputra River, India. Environmental Monitoring and Technology, 6(1):50-59.
Assessment, 130: 221236.
[10] Indian standard specifications for drinking water, IS: 10500, 1993.
[11] Jena V., Gupta S. and Matic N. (2013). Assessment of Kharoon river water
quality at Raipur by physicochemical parameters analysis. Asian Journal of
AUTHORS
Experimental Biological Science, 4(1):79-83. First Author - M.Phil Scholar, School of Life Sciences,
[12] Kamal D., Khan A.N., Rahaman M.A. and Ahamed F. (2007). Study on the Sambalpur University.
physic-chemical properties of water of Mouri River, Khulna, Bangladesh.
Pakistan Journal of Biological Sciences, 10 (5): 710-717.
Second Author - Ph.D Scholar, School of Life Sciences,
[13] Khan F., Husain T. and Lumb A. (2003). Water quality evaluation and trend
Sambalpur University, Email : asitbehera10@gmail.com.
analysis in selected watersheds of the Atlantic region of Cannada. Journal Third Author - Dr. Aliva Patnaik, Lecturer, School of Life
of Environmental Monitoring Assessment,. 88:221-242. Sciences, Sambalpur University, Email :
[14] Mishra K.N. and Ram S. (2007). Comprehensive study of phytoplanktonic alivapatnaik@gmail.com.
community growing in polluted ponds of Janupur City (U.P). Journal of
Phytological Research, 20 (2): 317-320.
Corresponding Author : Dr. Aliva Patnaik, Lecturer, School of
[15] Mishra S.R. (1996). Assessment of Water Pollution, New Delhi. Ashish
Publishing House (APH) Corporation. Life Sciences, Sambalpur University, Email :
[16] Pagariya S. K.(2012). Analysis of water quality using physico-chemical alivapatnaik@gmail.com, Mobile : +91- 9861122789, +91-
parameters of Kolura pond in post- monsoon season. International Journal 9438355892
of Chemical and Physical Sciences, 1(2).
[17] Panda U. C., Rath S., Nayak P. and Bhatta D.(2006). Application of factor
and cluster analysis for characterization of river and estuarine water systems
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I. INTRODUCTION V. INSTRUMENT
The instrument used had 2sections.
S exuality is part of every persons life, no matter what the age.
As child grows and develops, they may giggle with friends
about "private parts," share "dirty" jokes, and scan through
Section 1 : Baseline Data.
Section 2 : Family Sex Communication Quotient. The
dictionaries looking up taboo words. Their curiosity is natural, instrument consists of 18 Likert-like items anchored from
and children of all ages have questions. When they were ready to strongly agree to strongly disagree.
ask, as a parent they should be ready to answer. The best place
for a child to learn about sexuality is at home from those who
care most about him. Anyone can teach the basic facts about VI. DATA COLLECTION PROCEDURE
reproduction in an hour or two (or they can be read in any of The data was collected from 15 january 2016 to 20th january
several reference books), but parents are in the best position to 2016 under the guidance of Dr. Clay Warren Chauncey M.
put this information in the proper context and give it the right Depew Professor of Communication and Professor of
perspective over a period of years. Organizational Sciences, The George Washington
University,washigton,USA also a formal permission was
obtained from sarpanch , to do a study at Salawas
II. OBJECTIVES Village,Rajasthan.Brief introduction about self and study has
The study explored the gender differences in family sex given and Informed consent had obtained from the adolescence
communication Quotient among adolescence and also estimated for assurance of participation & continuation in this study in their
an association of family sex communication Quotient with their residential areas. Confidentiality of their response was
selected demographic variables. maintained. Participants were selected from village at bus stops,
shops, and junction of roads by Convenience sampling technique.
Level of sex orientation was assessed by Family Sex
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Communication Quotient (FSCQ) scale.The adolescences were SA=Strongly Agree, A=Agree,N=Neutral(or Dont Know),
informed about statements represent personal feelings about D=Disagree, SD=Strongly Disagre also made assured to answer
family discussions of sex, and instructed to circle one of the five these questions regardless of whether they have ever talked about
response categories that best describes their opinion: sex with their parents. Instrument took 10 Minutes to complete.
VII. RESULTS
SECTION-A: DESCRIPTION OF LEVEL OF FAMILY SEX COMMUNICATION
2 Low 1 1.6 0 0
4 High 1 1.6 0 0
In Adolescence girls most of them are in medium 58(96.6%) level of family sex communication, only one girl got high and low
level of FSCQ.In Adolescence Boys most of them are in medium 60(100%) level of family sex communication, none of them got high
and low level of FSCQ.
2 Median 20 19
Table 2 shows that in Adolescence girls were got mean score of 19.8 with Standard Deviation of 4.24 where as boys got mean
score of 17.555 with Standard Deviation of 3.21 in comfort to discuss on sex with Family.
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2 Median 16 17.5
3 Mode 22 17
Table 3shows that in Adolescence girls were got mean score of 18.33 with Standard Deviation of 4.24 where as boys got mean
score of 16.93 with Standard Deviation of 3.09 in perception of information received on sex with Family.
2 Median 18.5 21
3 Mode 18 17
Table 5 shows that in Adolescence girls were got mean score of 18.7 with Standard Deviation of 2.66 where as boys got mean
score of 19.28with Standard Deviation of 2.99 in perception of value of family to discuss on sex.
TABLE: 5-1 Association of family sex communication with their Selected Demographic Variables among Girls.
n-60
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The computed x2 value indicated that there was no statistical significant association of sex communication with any of their
demographic variables at P < 0.5 in Girls.
TABLE:5 -2 Association of family sex communication with their Selected Demographic Variables among Boys
Illiterate 0 11 0
Primary & upper primary class 0 27 0 NS
At .05 level
High class 0 11 0
Secondary school 0 10 0
Graduates 0 1 0
5 Type of family
NS
Nuclear family 0 54 0
At .05 level
Joint family 0 6 0
The computed x2 value indicated that there was no statistical significant association of sex communication with any of their
demographic variables at P < 0.5 in Boys.
sex communication among Adolescences. Convenient sampling
technique was used to select the 60 girls & 60 boys. Data was
VIII. DISCUSSION collected through structured self reported family sex
This chapter discusses the findings of the study derived from communication Quotient questionnaire. The findings of the study
the statistical analysis and its pertinence to the objectives set for have been discussed with the reference to the objectives. The
the study and related literature of the study. The study was findings of the study based on the objectives were
conducted to In order to estimate gender differences in family
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21. Else If average collaborated opinion scores is greater than or sentence may be blind negation word or opinion word or
equal 3 And less than 4 Then negation word by using sentiment word value database. The
22. Give opinion result is Moderate presence of the blind negation word indicates negative sentiment.
If a negation word is found in sentence, the opinion score is
23. Else If average collaborated opinion scores is greater than or
increased or decreased by a certain amount. And then assign the
equal 4 And less than 5 Then polarity scores to each word. After that this system calculates the
24. Give opinion result is High average opinion scores for each comment for one teacher. If
25. Else If average collaborated opinion scores is greater than or there is next comment to input, the above steps are done
equal 5Then repeatedly. If there is no new comment to enter, this system
26. Give opinion result is Very High calculates the average polarity of all comments. Finally, this
27. End If system displays the collaborated opinion result about same
teacher.
28. Show the opinion result
End V. EXPECTED RESULT
Input comment
Split sentences
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emotional support.
result of collaborated opinion scores
REFERENCES
6 [1] A. Sagum, Jessiree Grace M. de Vera, Prince John S. Lansang, Danica
5 Sharon R. Narciso, Jahren K. Respeto, Application of Language Modelling
4 in Sentiment Analysis for Faculty Comment Evaluation, Proceedings of
3 the International Multi Conference of Engineers and Computer Scientists,
vol.1, March 2015.
2
[2] C. Kaushik and A. Mishra, A Scalable, Lexicon Based Technique for
1 opinion score Sentiment Analysis, International Journal in Foundations of Computer
0 Science & Technology (IJFCST), September 2014.
[3] D. Ankitkumar M, Prof. R. R. Badre, Prof. M. Kinikar, A Survey on
Sentiment Analysis and Opinion Mining, International Journal of
Innovative Research in Computer and Communication Engineering,
November 2014.
[4] D. Virmani, V.Malhotra, R. Tyagi, Sentiment Analysis Using
Collaborated Opinion Mining, Bhagwan Parshuram Institute of
Technology, New Delhi, India, January, 2014.
Figure 3. Collaborated opinion results [5] G. Angulakshmi, Dr. R. ManickaChezian, An Analysis on Opinion
Mining: Techniques and Tools, International Journal of Advanced
Research in Computer and Communication Engineering, vol3, July 2014.
VI. CONCLUSION AND FUTURE WORKS [6] G. Miller, R. Beckwith, C. Fellbaum, D. Gross, K.Miller, WordNet: an
on-line lexical database, Oxford Univ. Press, 1993.
Sentiment analysis is now a very useful task across a wide [7] L. Caiqiang and M. Junming, Research on Online Education Teacher
variety of domains. This system used sentiment analysis Evaluation Model based on Opinion Mining, National Conference on
Information Technology and Computer Science (CITCS), 2012.
algorithm to evaluate the performance of teacher from students
[8] Lun-Wei Ku, Yu-Ting Liang and Hsin-Hsi Chen, Opinion
comment. A database of English opinion words is constructed for Extraction, Summarization and Tracking in News and Blog Corpora,
student-teacher domain to identify the polarity of words and their American Association for Artificial Intelligence, 2006.
scores. Every opinion word in the database has been given a [9] M. Hu and B. Lu, Mining and summarizing customer remarks,
value. This system calculates the average polarity of all Proceedings of the ACM SIGKDD Conference on Knowledge Discovery
comments which represents their sentiment degrees. Finally this and Data Mining (KDD), 2004, pp. 168-177.
study shows the opinion result of teacher that is represented as [10] P. Bharathisindhu, S.S.Brunda, Identifying E-Learners Opinion Using
Automated Sentiment Analysis in E-Learning, International Journal of
very high, high, moderate, low and very low by using bar chart. Research in Engineering Technology, vol 3, January 2014.
Future research may need to consider the analysis of a large [11] R. McDonald , K. Hannan, T. Neylon, M. Wells, and J. Teynar, Structured
scale dataset using aspect based sentiment analysis and a models for fine-to-coarse sentiment analysis, Proceedings of the
database of Myanmar opinion words will be constructed for such Association for Computational Linguistics (ACL), June 2007, 432-439.
domain of sentiment analysis. [12] V. Soni, M.R.Patel, Unsupervised Opinion Mining From Text Reviews
Using SentiWordNet, International Journal of Computer Trends and
Technology (IJCTT ), vol 11, May 2014.
ACKNOWLEDGMENT
I wish to thank Dr. Moe Pwint, Dr. Than New Aung and Dr. AUTHOR
Nyein Nyein Myo, from University of Computer studies, First Author Khin Zezawar Aung, Master of Information
Mandalay, Myanmar, for helping my writing paper and for Science (M.I.Sc), University of Computer Studies, Mandalay,
providing the students comments resource to use in this Myanmar, zezawar12@gmail.com
research. A vote of thanks to my family for their moral and
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Abstract -The National Hospital of Sri Lanka is a major patients who need the service of the consultation room.
healthcare service provider in the country. The hospital has been Furthermore, the patients waiting in pharmacy are also
expanded with many healthcare facilities. The out-patient considered.
department (OPD) is the main division of the hospital which
provides their service to over two thousand patients daily. The consultation area consists of doctors tables, patients
Queuing is a major challenge for healthcare services all over the checking area, an attendants changing room and a store room.
world, particularly in the developing countries. This study The space available for pharmacy area is also small. Though
investigates the application of queuing theory to reduce the there are three counters, they generally open two counters. The
patients waiting time at the OPD of the National Hospital of Sri arrangements of the counters and the number of doctors at the
Lanka. In this study, consultation and pharmacy at the OPD were OPD have no specific reason to be organized in this manner. The
only considered. The secondary data were collected under the OPD is more crowded during 8 a.m.-12 noon and the rush is
patients arrivals and doctors roster. The primary data were more critical around the consultation room comparatively to the
collected through direct observations during seven weekdays. pharmacy. Hence the decision was taken to focus more on the
Data were analyzed and used to model channels for each section patients in the consultation than pharmacy.
of the OPD.
Index Term - OPD, patient, Queuing theory, service rate, waiting Patients arrive at OPD
time.
I. INTRODUCTION Registration
The main consultation room of the OPD is room number fifteen. Figure 1: The flow chart of OPD
There are three registration counters and seventeen doctors
tables and three pharmacy counters. A large number of patients
traffic can be seen daily in the waiting area with wooden benches
in front of the room 15. The OPD opens 24 hours on weekdays II. MATERIALS AND METHODS
and from 6 a.m. to 12 noon on holidays and weekends. A large
crowd can be seen from early in the morning to the noon. The Queuing theory is a mathematical approach that deals with one of
OPD staff is very busy during this period with handling long the most unpleasant experiences of life, is waiting. Queuing has
waiting queues. Therefore, this study mainly focused on the increasingly become a common management tool for decision
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making. This vital tool is unfortunately minimally used in most Patients Behavior
healthcare systems [1]. A queuing system can be described by
arrival pattern of patients, the service system, the queue Patients behavior can vary. Arriving patient may balk (not join
discipline, and patients behavior [2]. the queue) because of the length of the existing queue, or simply
because they do not want to wait at all, and eventually lost of
Arrival characteristics getting service.
The arrivals of patients for a service system have three major Sometimes they lost because they have no opportunity to wait.
characteristics: Size of the arrival population, Behavior of Several patients may be to collusion whereby only one person
arrivals, and Pattern of arrivals. waits in line while the rest are then free to attend to other things.
Some may even arrange to take turns of waiting and some may
Size of the arrival population: jockey from one line to another or may lose patience and leave
the line [4]. The above mentioned all behaviors of patients can
There are about two thousand patients arrive daily for normal
be seen at OPD in smaller percentages.
consultation of the OPD. Although there is a limited waiting
room, the population size is not limited. When the number of
Types of Queuing System
patients or arrivals on hand at any given moment is just a small
portion of all potential arrivals, the arrival population is
There are four major types of queuing system, namely, single-
considered unlimited, or infinite. The service of the OPD is
server single-phase system, single-server multi-phases
provided until the last patient who arrives to the hospital. Most
system, multi-servers single-phase system, and multi-servers
queuing models assume that an infinite arrival population.
multi-phases system.
Pattern of Arrivals at the System:
Multi-servers, single-phase queuing system characterized by a
In general, patients arrive at a service facility either according to situation whereby there is a more than one service facility
some known schedule (for example, one patient every ten providing identical service but drawn on a single waiting line.
minutes) or else they arrive randomly. According to this study This is the type of queuing system practiced at the OPD of
the arrivals are random (Arrivals are considered random when hospitals. Moreover, consultation and pharmacy are considered
they are independent of one another and their occurrence cannot as separate phases. A single waiting line and several servers can
be predicted exactly). The number of arrivals per unit time can be be seen in each section. Since the population is unlimited, the
estimated by a probability distribution known as the Poisson queue is infinite, and the queuing system is multi-channel, which
distribution [3]. is called M/M/C model. Some assumptions were made in this
study such as patients awaiting service form one single line and
then proceed to the first available server, arrivals follow a
Service Characteristics
Poisson distribution and service times are exponentially
distributed, service discipline is FCFS, and all servers are
Two basic properties are important on providing service to the performed at the same rate.
patients, namely, design of the service system and the
distribution of service times The following queuing parameters and formulas were used
for calculation. Average arrival rate , average service rate at
Service systems are usually classified in terms of their number of each channel , the number of channels c, server utilization
channels (number of servers) and number of phases (number of
service stops). They are single-channel queuing system, multi- = (one server), server utilization = (multi-server), the
channel queuing system, single-phase system, and multi-
probability of zero patients in the system 0 = (=
=0 ( )+
phase system. The current queuing situation at the OPD can be !
1
1
identified as a multi-channel queuing system because system is ( )( )) , the average number of patients waiting for
! 1
with one waiting line but with several servers. The distribution of
service time is assumed to be an exponential distribution. service = 0 ( ) (1)2 , the waiting time in the queue
!
1
= , the average service time = , the total waiting time
Queue Discipline
= + , and the average number of patients in the system
This refers to the rule by which patients in the line are to receive = .
the service. While in line, patients may be chosen for service by
allocation to the channels in an ordered first-come-first-served The current queuing system in the National Hospital is mostly
(FCFS) manner or at random. Patients may be chosen for the inefficient ( > 1). The following table shows inefficient
service on a last-come-first-served (LCFS) basis. But most situation in the hospital in selected time periods in only 4 days.
queuing systems use FCFS. The queue discipline of this study is
assumed as FCFS although there are some priorities in the
system.
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Thus the number of channels for the service is not sufficient were taken to calculate average arrivals for entire weekdays.
enough with the current arrival rates. Most of the hours in four Since the service of the OPD is only provided until 12 noon on
days show the inefficient situations with the current number of weekends and holidays, the calculations of those days were done
channels for the service. Therefore, the existing system has to be separately from weekdays. Since the majority of the population
modified to make it more efficient. For that purpose, the data of the country is Buddhists, religious holiday of them was
were collected as follows. considered separately from other holiday.
350.0
Average no. of patients
300.0
250.0
200.0 Monday
150.0
Tuesday
100.0
50.0 Wednesday
0.0 Thursday
Friday
Hours
Figure 2: Average arrivals of patients for the consultation on weekdays
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Table 2: Arrival rates (patients/ minute) for the consultation on Table 3: Arrival rates (patients/ minute) for the consultation on
weekdays weekends and holidays
Tuesday
No. of patients
300.0 150
Average no. of patients
Wednesday
250.0 Saturday
Thursday
100
200.0 Sunday
Friday
150.0
Religious 50 Saturday
100.0 Holiday
Holiday Sunday
50.0 0
8-9 9-10 10-11 11-12
0.0 a.m. a.m. a.m. p.m.
6-7 7-8 8-9 9-10 10-11 11-12
a.m. a.m. a.m. a.m. a.m. p.m. Hours
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According to the above figure 4 and table 4, arrivals are high III. RESULTS
during 9-12 p.m. Normally, there are three counters issuing
drugs to the patients. The counters are not sufficient to fulfill the Using M/M/C model the length of the queue, waiting time in the
service. Patients wait for the service in line without any benches queue, and all other parameters were calculated by changing the
or chairs. Therefore, the queuing system of the pharmacy also number of channels for each hour. The part of the result which
should be improved by reducing waiting time and lengthy was obtained in the analysis is given in table 5 for early hours on
queues. Monday. When the number of channels is increased the length of
the queue vanishes and waiting time decreases. According to the
First of all, the average service rate of consultation is calculated current number of channels for the consultation, the queuing
using data on 4 days which is shown in table 1. That is 0.5648 system is inefficient. The empty columns which are in front of
patients/ minute. The service rate for all channels was assumed the occupied columns in each row show the inefficient situations
to be same. Same analysis has done for the pharmacy. The and the other empty columns show non-cost effectiveness. The
average service rate of pharmacy counters was calculated as calculation has been stopped when the length of the queue is less
1.1021 patients/ minute. than or equal to one.
No. of channels
Hour Parameters
1 2 3 4 5 6 7 8 9 10 11 12
0.9886 0.8238 0.7061
P0 (%) 0.0452 0.4934 0.6383
INEFFICIENT
Lq (Patients) 83.9634 2.5615 0.7464 NOT COST EFFECTIVE
6-7a.m. Wq (min) 30.0761 0.9498 0.2674
Ws (min) 1.7705 1.7705 1.7705
W (min) 31.8466 2.7203 2.0379
L 88.9063 7.5943 5.6892
0.8369 0.6974
P0 (%) 0.9575 1.3469
INEFFICIENT NOT COST EFFECTIVE
Lq (Patients) 3.2181 0.7646
7-8a.m. Wq (min) 1.3617 0.3235
Ws (min) 1.7705 1.7705
W (min) 3.1323 2.0941
L 7.4025 4.9489
0.9151 0.8236 0.7487
P0 (%) 0.0129 0.0207 0.0240
Lq (Patients) INEFFICIENT 7.8506 2.1658 0.8431
8-9a.m. Wq (min) 1.6877 0.4656 0.1812
Ws (min) 1.7705 1.7705 1.7705
W (min) 3.4582 2.2361 1.9518
L 16.0866 10.4018 9.0791
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The above table 5 shows the calculations of parameters on early in the morning and so on. The arrivals of patients on
Monday from 6 a.m. to 9 a.m. hourly for the consultation. The Saturday are higher than other holidays. Therefore, the required
required number of channels for the service has been increased number of channels is high on Saturday when compared with
by 8 a.m. The inefficient situations arise when the server other holidays. The same analysis was done for the pharmacy
utilization is greater than one with the available number of and the following table 8 and 9 show the number counters
channels. The number of channels can be increased further. For required for pharmacy when the length of the queue is less than
that, this proposed system should be applied first and then a cost or equal to one.
analysis should be done. According to these results, the
following optimal result was obtained for consultation. The table Table 8: The number of counters required for the pharmacy on
6 and 7 show the number of channels/ doctors required for the weekdays
consultation when the length of the queue is less than or equal to
one for each hour of the day. Hour Mon Tue Wed Thu Fri Average
8-9 a.m. 3 3 3 3 4 3
Table 6: The number of channel/ doctors required for the 9-10 a.m. 5 5 3 5 3 4
consultation on weekdays 10-11a.m. 3 3 3 4 4 3
11-12p.m. 3 3 3 3 3 3
Table 7: The number of channels/ doctors required for the According to the results, the number of doctors required for
consultation on weekends and holidays consultation and pharmacy can be changed hourly and daily or
the average number of doctors can be assigned to work hourly
for all days. The results of the pharmacy show that 4 or 5
Religious counters are required to reduce the waiting time in some hours of
Hour Sat Sun Holiday
holiday some days.
6-7 a.m. 5 2 2 2
7-8 a.m. 4 2 1 2 According to the model outputs in each section, an arrangement
8-9 a.m. 8 4 3 4 can be proposed looking at the marginal changes for each part
9-10 a.m. 10 5 4 4 with respect to the average number in the queue and the average
10-11 a.m. 7 4 3 5 waiting time in the queue. One needs to be mindful of the cost
11-12 p.m. 5 3 2 3 involved in achieving these marginal changes. More doctors
assigning to the roster cannot be cost effective, thus the balance
between the number of doctors, costs, and optimal system
According to the arrivals of patients in each day the number of performance is important for sustainability.
channels was proposed in table 6 and 7. Since there are a large
number of patients in the morning, the required number of REFERENCE
channels on five weekdays is high. Therefore, the number of [1] Sam Afrane and Alex Appah. Queuing Theory and the Management of
channels was adjusted according to the arrivals. There may be Waiting-time in Hospitals: The case of Anglo Gold Ashanti Hospital in
various reasons for this arrival patterns such as transportation Ghana, International Journal of Academic Research in Business and
problems, severity of the illnesses, having thought of coming Social Sciences, Vol. 4, No. 2, 2014.
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[2] Dhar S.K. and Rahman T. Case study of Bank ATM queuing Model, IOSR
journal of Mathematics, pp.01-05, 2013.
[3] Donald Gross, John F. Shortle, James M. Thompson, Carl M. Harris E. H.
Miller, Fundamentals of Queuing Theory, 4th ed, New Jersy:John Wiley &
Sons, 2008.
[4] Thomas L. Saaty, Elements of Queuing Theory with Applications, 1st ed,
New York: McGraw-Hill, pp. 10-11, 1961.
[5] Ferdinandes, M.G.R.U.K., Pallage, H.K., Lanel, G.H.J. and Angulgamuwa,
A.N.K.. An improved strategy to reduce the passenger traffic at coastal
and suburban area division of Sri Lanka fort railway station ticketing
counters, International Journal of Information Research and Review, Vol.
2, Issue, 07, pp.909-913, July, 2015.
AUTHORS
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Department of Computer Science and Technology, Uva Wellassa University of Sri Lanka
Abstract- Elections are plays a vital role in modern democracy. It In Sri Lanka, hand-counted paper-based election method is the
is the form of transferring power of citizen in to their only method using for all type of elections. But compare to
representatives. Sri Lanka, being the oldest democracy in South paperless electronic voting machines, it is far more behind. But
Asia, is still using old traditional paper-based election system. still it is in the action. As everyone knows, Sri Lanka is a
But the modern technology is improved to provide faster, better, democratic country, people have their freedom to choose
cheaper vote counting, and have stimulated great interest in preferred candidates for the countrys administration. The
managing the election process through the use of electronic election is the only way of selecting those candidates. Therefore,
voting systems. In nowadays, many democracies have adopted it is vital to transfer current system in to new technological
electronic systems, and the number of deployed systems is rising. system and make things easy in election process in Sri Lanka.
Although the electronic voting process has gained popularity and This paper is talked much about how to do this change; the
users, it is a great challenge to provide a reliable system. The background of these electronic voting method to use in future
time is come for Sri Lanka to replace the current paper-based elections.
election system from paperless e-Voting systems. Electronic Initially this review paper is being gone to talk about election
voting system have many advantages over traditional hand- background of Sri Lanka. Then current election procedure and
counted paper ballots, therefore it will be a needful replacement the available voting methods are being gone to talk. After those
for the future of Sri Lankan democracy. detailed descriptions, there is some small descriptions of
paperless and e-Voting systems. Next sections are being talked
Index Terms- DRE , e-Voting, Elections, Paperless about security and usability of electronic voting systems. Then
the paper included a section, which describe the challenges of
designing an e-Voting systems. Finally there is a discussion and
I. INTRODUCTION conclusion which talk much about the Sri Lankan future with e-
Voting and the compressed summery of this paper.
E lectronic voting or someone calls e-Voting is a computerized
electronic voting machine which use paperless electronic
ballots (see figure 1). These machines also referred as Direct
Recording Machines (DREs). These e-Voting systems consist of
three types. Those are, 1) touchscreen, 2) wheel machines and 3)
punch-key machines. Touchscreen machines are letting voters
cast votes by touching an electronic ballot on an LCD screen.
Wheel machine are using a wheel and punch-key machines using
a keypad for making selections on an electronic ballot.
According to the election officials opinion, electronic voting
machines save printing cost, easy to produce ballots in multiple
languages and ballots also can update at last minute. The
usability of the machine is also high, because past literature says
that the machine allow most disabled voters to cast ballots
without assistance as well. Summarizing past election results, it
says that the machines produce faster and more accurate results
than other types of voting machines [1].
But the electronic voting machines also have some problems too.
One major problem is if the machine is badly programmed, then
it may give wrong results. Another one is, these machines are
proprietary and the trust and faithfulness of those manufactures
may also cause some problems. Some articles stated that without
a paper backup trail or some other means to verify votes, there is
no meaningful way to determine the integrity of the machines or Fig. 1. Cast a vote in an Electronic Voting System
an election [1]. Also the hardware problems may also cause some
problems for the machine functionality.
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II. REVIEWING LITERATURE valid votes received and the preparation of the statement of votes
Being the oldest democracy in South Asia, Sri Lanka is a received by each party and group in the electoral district, and 3)
democratic, socialist republic and a unitary state which is Recording the preferences received by each candidate in the
presidential system and a parliamentary system [2]. In 1931, with Tally Sheet and transferring them through a series of Summary
the introduction of universal franchise a new political enthusiasm Sheets into a District List for a party or a group, which gives the
was generated in Sri Lankan society. Therefore, in 1931, people total of preferences received by each candidate in the electoral
of Sri Lanka had their first opportunity to participate for an district [3].
election and elect their members to the State Council. The first By following above stages, final result is created and published
Parliamentary General Election was conducted in 1947, under to general public through media. Finally, the Commissioner of
Ceylon (Constitution) Order in Council of 1946 and it was held Elections presents the overall final result and stated the end of
on multiparty system. After 25 years, the first Republican that election. In Sri Lanka hand-counted paper ballots, which is
Constitution was introduced in 1972 with the President as the described above is the only voting method presently used. But in
Head of the State who was to be nominated by the Prime the world, there are few more than this. Next sub-section is going
Minister. Later in 1978 the Second Republican Constitution was to talk about various types of voting methods used in world
introduced, which promulgated the establishment of an Executive nowadays.
Presidency and a Parliamentary legislative [3]. B. Types of Voting Method
Every person who qualifies to be an elector is eligible to vote at
Voting methods are varying from country to country and within
any elections held in Sri Lanka. Mainly, there are five different
in a country as well. In literature also, there are several
elections. Those are, 1) Presidential Election, 2) Parliamentary
categorizations of voting methods. David C. Kimball [4] in his
General Election, 3) Provincial Councils Elections, 4) Local
analysis, he introduced nine types of voting methods. That
Authorities Elections, and 5) Referendum [3]. Electors can vote
categorization includes; 1) Punch Card-Votomatic, 2) Punch
for preferred member or members and number of votes are
Card Datavote, 3) Lever Machine, 4) Paper Ballot, 5) Older DRE
decided the qualified members of each election. Therefore the
(full face), 6) Newer DRE (touch-screen), 7) Optical Scan-
process of voting should be accurate, robust and non-vulnerable Central Count, 8) Optical Scan-Precinct Count and 9) Mixed. But
to elect most preferred and qualified members through the in the paper of Daniel P. Tokaji [5], The Paperless Chase:
elections.
Electronic Voting and Democratic Values, says that Davids
In Sri Lanka, current election is conducted by using paper based
nine types can put under five main voting methods. Those are, 1)
materials as main voting source and computerized publication
hand-counted paper ballots, 2) mechanical lever machines, 3)
channel to transfer results in to general public. It is a process of
punch card ballots, 4) optical scan or Marksense ballots, and 5)
lot of paper works and manual vote counting, which should need
direct record electronic or DRE machines. Daniel further
hard work of several responsible parties. Therefore, it is
telling that, Michael Alvare z, et al. [6], in their analysis,
seasonable to take an idea of the current election process, before
Counting Ballots and the 2000 Election: What Went Wrong? is
enter in to main topic.
also categorized main voting methods under these five types.
A. Existent Election System Therefore, in this paper is also followed Daniel and Michel and
The election is started after the official announcement of the stated the categorization under five main types.
Commissioner of Elections. Then candidates register with the According to the literature, these types of methods vary
election under their parties. Next, paper based ballot is prepared considerably in their operation and there susceptibility to error.
for that election and paper based ballot card also printed to each These are also differ from capacity to prevent inadvertent
individual elector as an identification mechanism. Those card are overvotes 2. Perhaps most important, there are significant
distributed through post mails for relevant electors to use as an differences in the capacity of different technologies to provide
election identity to present on that day. Before the Election Day, feedback to voters, by notifying them of mistakes and providing
all the ballots and ballot boxes are distributed to the regional an opportunity to correct such mistakes [5]. But these differences
areas under the guidance of Department of Elections. only exist within some of these categories. Therefore, now it is
On the Election Day, electors goes to polling-booth and time to go through these categories one by one in details to find
authenticate themselves with the use of ballot card and national out differences of those categories, which is ultimately entering
identity card1. Then if the authentication success, ballot card is us in to the main topic of this paper.
destroyed and gives a ballot to mark the electors vote. The 1) Hand-Counted Paper Ballots: Paper ballots 3constitute the
polling-booth provide a secret place to mark electors vote and he oldest voting system still in use [7]. But it is one of least
should put ballot in to the ballot box after he completed. End of commonly used type of voting equipment [5]. In paper ballots,
the day, ballot boxes are sealed and transferred in to counting candidates names are printed next to boxes, which voters mark.
centers placed in several specific areas. Paper ballots are hand counted, therefore those remain in use
Then the counting process is started. The process of counting of mostly in small counties with few contested offices [7]. Paper
votes can be classified into three stages. 1) Counting of the ballots used pencil as the input medium and if there is any
number of ballot papers in each box and transferring them to the
trough, 2) Sorting and counting the ballot papers according to the 2
Voting for more than the allowed number of candidates.
3
The term paper ballots is referring systems in which voters
1
Any other accepted certificate behalf of the national identity mark their choices on pieces of paper that are then counted by
card also considered here. hand.
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necessity of audit trail, again the original ballots are counted jurisdictions have abandoned to use these Mechanical Lever
manually. The main problem with hand-marked and hand- Machines nowadays.
counted paper ballots is the time required to count them. As 3) Punch Card Ballots: Punch card systems as shows in figure 3,
ballots become more complicated with multiple offices and employ one or more cards and a clipboard sized device for
propositions in a single election, humans find it more difficult to recording votes. Information about the ballot choices is provided
reliably and quickly count hand-marked paper ballots [8]. in a booklet attached to a mechanical holder and centered over
Therefore, manual counting can take as a disadvantage of this the punch card, which is inserted by the voter [7].
paper ballots method, because it influences to the efficiency of There are two types of punch card ballots available. Those are,
the process. votomatic and datavote. In the votomatic system, the punch card
2) Mechanical Lever Machines: On mechanical lever machines contains many rows of holes that correspond to particular
(see figure 2), each candidates name is assigned to a lever on a choices. The voter inserts the card into a slot in the punch card
rectangular array of levers on the face of the machines. The voter holder, which contains several pages indicating the actual issues.
pulls down selected levers to indicate choices. Levers are In the datavote system, the voter receives one or more punch
connected to a counting wheel, which at the close of the polls cards with the choices printed on the card itself. The votomatic
indicates the number of votes cast on the lever that drives it. system sacrifices voter verifiability for reduced cost. Although a
Further interlocks are arranged to prevent overvoting within voter can examine the punch card and attempt to determine if her
the machine as well [7]. vote is correctly recorded, it is difficult to do so. The holes on the
card do not have labels that identify candidates directly; to verify
the punch card, the voter must map the card holes back to the
ballot. With the datavote system, voters can more easily verify
their choices because the candidate names are printed on the
punch card
[8].
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machine that uses light or infra-red as a sensor to discern which Paperless voting contains many advantages over paper based
oval or rectangle the voter marked from a set of choices [7]. voting mechanism. Some advantages of paperless voting are, 1)
In optical scanning, instead of making a physical hole in the Cost savings, 2) Increased participation rates, 3) Better informed
paper as in a punch card type system, voters indicate their choice voters, 4) Reduced administration, 5) Create and deploy ballot
by filling in an oval or completing an arrow [8]. Then the quickly and with ease, 6) Integrity of the vote, 7) Instant runoffs,
scanning machine can scan the votes and human should trust the 8) Last minute changes to the ballot, 9) Elimination of human
scanning machine to correctly interpret the ballot. But here error in the vote counting and 10) No need for recounts [11].
human also can count the ballots by using manual counting Since DRE and Mechanical Lever Machine both are concerned
mechanism. as paperless voting mechanisms, in literature, DRE is concerned
5) Direct Record Electronic (DRE) Machines: DRE introduced in as a better mechanism over Mechanical Lever Machines. The
mid 1970s. These systems are similar to lever machines, and problem with Mechanical Lever Machines is that there is no any
different from other systems, in the absence of any physical physical record of voters intent exist, after the voter leaves the
ballot, and no possibility of overvotes if the equipment is booth. If the voting machine worked correctly, then the actual
programmed correctly. Voter choices directly enter electronic intent is counting and votes of the relevant parties are increased.
storage, using touch screens, push buttons, or keyboards [7]. Otherwise, there is no way to perform a manual recount. In
Many of the reasons for the increased adoption of DRE machines practice, Mechanical Voting Machines have been notoriously
include accessibility and prevention of voter mistakes. DRE inaccurate [8]. Since Mechanical Lever Machines had some
machines can use audio interfaces to let the visually impaired problems over past, it is not consider as better option to use in Sri
vote without assistance. We can program Lanka as well. Therefore, four out of five mentioned here are not
DRE machines to prevent overvotes and to warn voters about suitable for suggest for Sri Lankan election system. But DRE is a
undervotes. Furthermore, DRE machines save precincts the method which can consider for Sri Lanka. Therefore, next
costs associated with producing and securing paper ballots [8]. section, more about DRE is going to talk.
The more about this DREs are talked in future sections of this
D. E-Voting Systems
paper. Table I shows some brief summary of the methods talked
above, which was actually derived from Rebecca Mercuris A With a paper-based system, the electronic component is usually a
Better Ballot Box [10]. tabulation device. It means, votes are counted on an electronic
system. Actually, it is much faster than a manual count. Some
Table 1: Summary of Voting Methods ballot printing systems are more similar to the DRE systems.
Voters use a touchscreen or similar electronic device to make
Medium Input Counting Method Audit their choices. In here, there is a printer attached to the device and
Trail when the voter submits his vote, then the printer produces a
Paper Ballot Pencil Manual Original physical paper ballot. Next responsible officer collect all the
Ballots paper ballots produced to a centralized location after the polls are
Mechanical Switches Running tally by Subtotals closed. Then there is a separate electronic device, which can
Lever machine remain on optically scan these ballots and tabulates the results [12].
Machine machine
Punch Card Metal Cards sorted and Original
Machine punch tallied by computer Cards
Optical Scan Circle Optically scanned Original
Ballot darkened ballots
or arrow
drawn
by voter
DRE Push- Running tally by Tallies
button, machine collected
touchscre on
en, or disk
keypad
C. Paperless Voting
When we consider above methods, then three out of five are
considered as paper based voting mechanisms. The DRE and
Mechanical Lever Machine are considered as paperless. With
paperless technologies, trust becomes more centralized. Fig. 4. A Physical Structure of an e-Voting Poll
Therefore some problems like no physical record of votes is kept,
more opportunity exists for votes to be lost, altered, or inserted One of the advantages of a paper-based system is that the ballot
without detection are exited as well [8]. is physically represented by a piece of paper. That mean
tangibility is there. This tangibility reassures voters that their
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choices are being counted. But there is no mechanism to verify voters. This e-voting will be keep things easy for election
that a vote will be correctly counted. Many factors can contribute officials as well. They do not need to estimate how many ballots
to a misapplied vote. Holes in punch cards may not be properly to order for each possibility; any particular format could be
aligned or fully punched, resulting in a hanging chad, made called up as situations arise. Since votes are recorded on a
infamous in the 2000 election in Florida. On optical scan cards, memory device, tabulation takes less time. There are no paper
stray marks or incomplete markings may be misinterpreted when ballots to scan, so there is some less risk of mechanical error. In
tabulation process conducted. Another problem of optical scan an e-voting systems, tabulation is instantaneous with no need for
card is incomplete or unreadable cards. With the use of some recounts as well [12]. Therefore, technologically and timely, e-
printers that mark optical scan cards which run low on toner, voting is in far ahead than traditional paper based election system
resulting in cards with incomplete or unreadable marks. It may which still exists in Sri Lanka.
also be possible for a voter to vote for two or more candidates for Since e-voting is technically and timely solution, human error is
a single position, means overvoting; these selections are not still a factor in here as well. Therefore, it should always concern
counted by tabulation devices [12]. about software bugs. So as bugs, security and usability is also
As anyone know, physical ballots can be lost or destroyed before strong factors which can measure the success of any voting
tabulation. But it is very less compare to intangible paperless system. The reason for that is, an elections integrity depends on
records. But with the use of correct electronic recording the recorded votes accurately reflecting the voters intent. This
mechanisms, paperless will more effective and efficient. As could be compromised either by tampering with the recording of
talked above, DRE is a type of electronic recording systems, voter intent or by interfaces that increase the probability that the
which record votes solely on just such an intangible record [12], recorded votes will not accurately reflect the voters intent [8].
which have capabilities to contribute effectively and efficiently Therefore, next two subsections of this paper is going to talk
for an election system. about security and usability of e-voting systems, to find out
whether it is a valid mechanism for Sri Lankan elections.
E. Security in e-Voting
Security is a must thing to consider in an election system.
Because, some vulnerabilities may affect for the actual intent of
voters. Therefore, DRE machines also raise serious security
concerns. They make the election process less verifiable and
greatly expand the aspects of an election for which voters must
rely solely on trust. Not like mechanical-lever machine which has
no physical record of a voters intent exists, however, the
mechanism for recording a vote in DRE is hidden in the code for
the machine, which vendors keep secret [8].
In a DRE or an e-voting system, there are some areas, which may
Fig. 5. A Modern DRE Machine
become impacts at the end. Those are, 1) Malicious Payload, 2)
A DRE System is essentially a computer. When voter come in- Delivery Mechanism, 3) Communication and 4) Social
front of this DRE, then he can view the ballots on a screen and Engineering. Therefore next the paper is being gone to talk about
make choices using an input device such as a bank of buttons or these areas in details.
a touchscreen. In some cases, DRE asked some electronic card 1) Malicious Payload: According to the literature, there can be
for the authentication purposes. After the voter successfully hundreds of attack programs. When one malicious payload
follow the authentication process, then the machines will be reaches a host, there is practically no limit to the damage it can
activated. Then voter can cast their vote and votes will be do. In todays context, with existing hardware and software
recorded to a memory card, compact disc or other memory architectures, these kind of a malicious payload on a voting host
device. Then like paper-based ballots, election officials transport can actually change a voters vote without the voter or anyone
these memory devices to a centralized location for tabulation. else noticing, without concerning the encryption or voter
Some machines have the capability to broadcast results over a authentication in place. The main reason for this is, malicious
network, but due to concerns about data security, these results are code can do its damage before the encryption and authentication
normally keep in secure until they can be verified by tabulating is applied to the data. Then this module can erase itself, without
the results stored on the memory devices. Many DRE devices keeping any evidence of fraud to correct or even to detect. These
also have the capacity to print a paper record of ballots cast. types of codes were designed to be especially difficult to detect
Some, however, have no corresponding paper trail [12]. and it is also difficult to detect even while it is running [13].
A DRE system as shown in figure 5, actually an e-voting system, There are software packages which can view and control every
can have major advantages over paper-based systems, assuming aspect of that machine as though the person were sitting at the
it is secure and reliable. Because in e-voting systems, ballots are console. Back Orifice 2000 (BO2K 4) is only a one example for
that kind of a software package [13]. By installing these kinds of
displayed electronically, there are no limitations on a ballots
appearance. Since the ballots displayed through programs,
programmers can create ballots in any language. Also 4
BO2K is software packaged and distributed as a legitimate
programmers can design large print layouts for voters with poor network administration toolkit. See www.bo2k.de for more
eyesight or even record and incorporate audio files for blind details.
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software packages, administrators can handle these malicious and server-side certificates can be used for this. Even if we
payloads to protect voters intent without dissatisfying them. assume the process is flawless, despite its risks and pitfalls, it is
2) Delivery Mechanism: When someone run a malicious code, still unreasonable to assume that average Internet users who want
they should install it first in the election system. They can used to vote on their computers will understand the concept of a server
two methods. One is physical installation. Other one is, if the certificate, verify its authenticity, and check the active cipher
election is carried out through network, then they can deliver that suites to ensure strong encryption is being used. Most users
malicious code remotely. But few people keep their computers in would probably not distinguish between a page from an SSL
a carefully controlled, locked environment. Then it may become connection to the legitimate server and a non-SSL page from a
difficult to an attacker to install code in the machine. But the malicious server with the exact same look as the real page [13].
election responsible persons should use correct mechanisms to
F. Usability of e-Voting Systems
protect machines from physical installation of malicious codes.
Actually, malicious code can be delivered that triggers particular The unusual requirements of voting systems bring special
actions at a later date, enables future access (as in the case of concerns related to support of all citizens in their access and trust
BO2K), or disrupts normal operation at a particular time [13]. of voting machines. Interface also played an important role here
Therefore, responsible parties should take care of these election and it wont create any confusion in voters mind. In addition,
machines for a fair election. there are further concerns relating to the possible bias of
While the physical delivery of malicious code is a serious anonymity of voters, and validity of the recorded vote. Therefore,
problem, it is not nearly as effective as remote automated according to Benjamin B. Bederson et al., here also this paper
delivery. There are ways to install codes remotely. Typically, talked about the usability factor under four sub topics, namely, 1)
these cause temporary disruption in service and perform some Accessibility, 2) Age and Technical Experience, 3) Bias and 4)
annoying action. In most cases, the attacks spread wider and Accountability and Verifiability.
faster than even their creators imagined. One thing they all share 1) Accessibility: One of the largest issues related to DRE voting
is the ability to install some code on the computers being infected systems is accessibility. But National Organization on Disability
[13]. says that compare to lever, punch-card, optical scan, and hand-
3) Communication: When we talk about the network count systems, DRE balloting systems are the most accessible
communication, there are two end points. One is user host and technology. In real application development scenario,
other one is the election server. The one before the above accessibility is the easiest design factor to ignore by computer
paragraph, paper talked about how to protect the host. While in program designers. Many classes of voters can easily be
no way trivial, the technology exists to provide reasonable disenfranchised by a voting system that accommodates only
protection on servers as well. Concerning communication normal users [14]. Figure 6 shows a DRE machine build for
between the two endpoints, cryptography can be used to protect both disable and normal people5.
the communication between a users side and an election server.
The technology is mature and can be relied on to ensure the
integrity and confidentiality of network traffic. The remote
delivery happened when the remote election voting over the
Internet. Then the classic security properties of the
communications infrastructure which is available on the Internet
service is also there to protect voters vote [13].
4) Social Engineering: This is the term used to describe attacks
that involve fooling people into unwittingly compromising their
own security [5]. According to Aviel D. Rubins [13] discussion
with election officials, discovers that an issue they grapple with
is the inability of many people to follow simple directions. He
further stated an example by telling that, it is surprising to learn
that when instructed to circle a candidates name, many people
underline it. Therefore, if the user interface is not easy to handle,
then if the voter is unfamiliar with the computer, someone can
use him to vote against the voter intent. Therefore, the user
interfaces also should simplify the process, without creating a
confusion to the user.
Another problem here is, when the election is carried out over the
Internet, then fake interfaces for the elections can implement and Fig. 6. The Venezuelan Electronic Voting System
distribute. Then unfamiliar voter wont recognize this and he
may make his vote for that. Then ultimately he wont give his 2) Age and Technical Experience: When we come for an e-
vote in to valid election server. But the system to be secure, there Voting stage, age is also a matter to consider. According to
must be a way for voters to know that they are communicating general practice, the issue of computer disability can cause
with the legitimate election server. To carry out that, there are
infrastructures available which can verify that their browsers are 5
http://digitalvote.wordpress.com/2011/08/02/disabled-people-
communicating with a valid election server. The SSL protocol
vote-withcomfort-in-venezuela/
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problems in DRE elections. Literature shows that older adults become confuse there or they may vote for another one. With this
consistently perform more poorly than younger adults in standardized ballot display, another problem also arises. As
performing computer-based tasks. This is actually a matter of general practice, using the same place for many times on a touch
time required to perform the task and as well as the number of screen may create some hardware failures. In DRE, most of time
errors made. This is likely due in part to a perception on the part they used touch screens and therefore, some problems may arise
of older adults that they might inadvertently damage the for the most popular candidate due to some hardware
computer, or general complexity in using the technology. By the malfunctions. Avoid such cases, consistent hardware
side of user training also, literature identified that older adults maintenance is needed in this technology. Otherwise, problems
have less mastery of the training content than younger adults. can develop with localized sensitivity. This means that, if the
Therefore, they require more time to cover the training material equipment is not properly maintained and replaced, it could
than young adults [14] [15]. physically become more difficult to vote for a popular candidate
Literature stated that, any individuals with movement disorders than to vote for an unpopular one [14]. Therefore with electronic
are unable to make efficient use of graphical computer interfaces. voting, the election officers should consider about the quality of
Furthermore it may also be that a decrease in manual dexterity equipment used to avoid bias for certain users.
and in eye-hand coordination accounts for greater difficulty in 4) Accountability and Verifiability: With traditional method,
operating such systems. As a general thing, age was positively votes were cast on paper and counted by hand. Other than the e-
correlated with difficulty in performing tasks with a computer Voting systems like DRE, voters marked their vote by their
mouse. But now modern most popular DRE systems do not use a hands. Then the confidence goes high. But in DRE kind of
computer mouse and they used touch screen facilities behalf of it. machines, voter marks his vote in computer interface, but they
Then also the similar issues are present. Viewing a computer actually dont know what happen behind the screen. They may
screen is also a difficult task for older adults and correct get some doubt like whether they voted for the correct candidate.
conceptualization of the relationship between screen or button Therefore DRE systems raise the question: how can one know
manipulation and program activity may be a problem as well [14] that when a voter chooses a particular candidate on the screen, a
[16]. vote for that candidate is recorded? And it is also fair to raise this
3) Bias: Aside from accessibility, the issue of bias presents both a kind of problem, because most of the times systems are provided
logistical and a legal problem for elections. When designing a by private companies, and the government usually has no
ballot, the location of the ballot also may matter. Actual most of oversight into the production of the systems beyond choosing
candidates believe that their location on the ballot changes the whether or not to use them [14].
likelihood that a voter will select them. For example, candidates Think a scenario that one careless programmer sets up a situation
listed first on a ballot are generally favored. For this reason, like, Candidate A is appear on the display, but when one voted
before design the ballot, the responsible parties wants to order for him, the vote is tabulated under Candidate B. Then, the whole
the list. Most of the times, candidates are listed by party in a result of the election may get wrong due to this careless
specified configuration, by lottery, or alphabetically [14]. programmer. Then if the Candidate A questioned about his votes,
there is no any records to review the result. Therefore, literature
understood that there is a problem of verification in e-Voting
systems. But literature also too have a solution to this critical
problem as well. It is to provide the user with a printed record of
the votes electronically recorded, which actually a copy of the
displayed screen. Then by looking at that printed paper he may
get satisfied and before leaving the polling place, he would be
required to certify the contents of the paper record and place it
into a ballot box. Then if any problem occur, the printed records
could then be manually counted. This approach, however, has not
been implemented in any commercial systems according to
Benjamin B. Bederson et al., but this is the correct way to make
elections more accurately reflect the voters intent [14].
G. Challenges in Designing an e-Voting System
When one country is moving from traditional voting method in to
e-Voting, then they have to face few challenges as well. This
section is going to talk about those challenges and the action
Fig. 7. An example of an e-Voting Ballot should take to overcome from those as well. Here the challenges
are talked under seven subtopics. Those are, 1) Privacy, 2) Lack
This is not a unique problem for e-Voting systems. This problem of Evidence, 3) Fraud-Resistance, 4) Ease-of- Use, 5) Scalable,
still exist for paper-based voting systems as well. Therefore, all 6) Speed and 7) Low Cost.
most all the countries used any of above mentioned mechanism 1) Privacy: The system should design to count only the vote. It
to list the candidates. Computers, of course, can randomize the wont collect any of other information about the voter. It is not
presentation of names, but this creates difficulty again [14]. acceptable to record the used language of the voter as well. This
Because some of users who have pre-planned their voting may is made difficult by the abundance of sidebands available to
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transmit information. But some poorly design e-Voting systems consider to ensure the security of the system other than the
contain sidebands6. This sidebands can be used to determine how factors talked in section II.E. Ease-of-use affects the fairness of
a person voted without breaking the security assumptions of the the system. Scalability, speed, and cost affect the practicality of
system [17]. Therefore, the e-Voting system must design to the e-Voting system and providing those perfectly are identified
protect the privacy of the voter. challenges as well.
Actually in traditional ballots, the privacy is not concern as a
major factor. Because those ballots are creating in separate III. DISCUSSION
formats. As general thing, when some people want ballots In Sri Lanka, the paper-based election system is still exists. It has
written in their primary language or people with weak or no so many disadvantages. Main disadvantages are time and the
vision might need large print, recorded, or Braille ballots, then number of human resource needed to complete an election. As
they should need specific ballot. But then the voter may general thing, Sri Lankan elections take much time compare to
identified through the ballot design and it may harm for it other large population countrys elections. By understanding the
privacy. In e-Voting, it may not be a problem, because efficient and effectiveness of paperless, this paper is talking to
technology exists to overcome from such an issues. transfer Sri Lankan election system from paper-based in to
2) Lack of Evidence: The voting system should not collect any paperless system.
evidence of how the voter place his vote. This is also a matter of In here, there are five types of voting methods. Three out of these
privacy, but recording the steps followed by the voter may arise five are paper-based and other two are paperless. But as talked
some issues in later. In modern DRE systems provide no above, the problem with Mechanical Lever Machines is that there
evidence of votes apart from the internal storage and possibly a is no any physical record of voters intent exist, after the voter
paper record, neither of which can be retrieved by the voter [17]. leaves the booth. Therefore, paper suggested that, according to
Therefore, when designing an e-Voting system, it is advisable to the literature, e-Voting is the timely and technologically
check this thing as well. advanced option for Sri Lanka. One such a system is the DRE.
3) Fraud-Resistance: The system should be designed to give Lets look here, how and why e-Voting is suited for Sri Lanka
authorities to vote only for qualified users and that user also can nowadays.
vote one time. No other persons cannot vote behalf of him and When talking about e-Voting, it also can divide in to two. One is
the system must verify the identity of each potential voter and offline e-Voting system, which use memory drive to store voters
determine their status, but must not allow this information to intent and transfer memory drive in to a counting center. Then by
become associated with their vote [17]. There should be using that memory drive, election officers can tabulate the votes.
mechanisms to avoid duplicate votes and forged/modified votes Other one is remote e-Voting system, which is connected through
as well. Internet and runs on centralized election server. With the remote
4) Ease-of-Use: Elections must server for entire general public. e-Voting system, Internet and networking infrastructure is
This includes people with various levels of technological essential. But still Sri Lanka dont have those well-defined
familiarity, various languages, and various physical capabilities infrastructures to move to a remote e-Voting system. On the
like vision, hearing, etc... Any systemic bias in the error rates other side, security also high in offline compare to remote e-
between these groups could unfairly alter the election results Voting system. Because attacker must attack each machine
[17]. Therefore, system must design to represent all most all individually to attack a district. But with the remote e-Voting, he
variety of people of that country. can attack from the middle and do the damage for the election.
5) Scalable: Some large elections have millions of voters to vote. Then to protect the system against those attacks, it should come
Then the machines should have capabilities to handle all of these under careful scrutiny, and the system may be held to a higher
users to provide a successful elections. Scalability is also a standard. The cost of such a machine may goes high. Therefore,
challenge when designing an e-Voting system. by considering factors like lack of infrastructure and cost, then
6) Speed: In DRE, the ballots are counted through machines. But offline e-Voting system is more recommended for Sri Lanka.
in traditional method, it is by hands. Then comparing these two, The e-Voting systems are saving lot the e-Voting systems are
DRE is very much speed and have facilities to publish results saving lot of money used to print paper-based ballots and it make
very quickly. As all know, after finishing an election, all the the election process easier. Also the time for the tabulation
parties and general public are waiting for the election results. If it process gets decrease and then election officials can publish
get late, it may not create a good image on anybody. Therefore, results very quickly. Then Sri Lankan government can decrease
designers of these systems must care about the speed and the the amount of money they put in to elections every year. Security
time it takes to complete an election. Because any voting system and usability should consider here to provide better election
that requires lengthy counting time will not be acceptable. system. As talked in section II, updated security features, locked
7) Low Cost: Cost is a major factor concern by countries when environments, protections in physical environments and
selecting a voting system. When designing a system, designers verification of votes are highly needed to consider to provide
should think about the cost of it as well. Because if a system better security at the end.
cant be implement cheaply, then it isnt useful for anyone. When talking about the usability of e-Voting systems, we
As talked above subsections, privacy, lack of evidence, and fraud identified that old adult gets difficulty in accessing computer. By
resistance affect the security of the system. Those factors should the way, Sri Lanka is not having very much high computer
literacy too. Therefore, it is not good for Sri Lanka to convert all
6
A sideband is a channel of communication internal or external generations at once in to this new election system. It is advisable
to the system not explicitly designed to convey information. to transfer generation by generation and keep the traditional
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voting method for few generations as well. Then people who can recount votes at any time to keep the confidence of the voters.
use e-Voting system may use it and others may use the But the current e-Voting system called DRE doesnt support for
traditional way. Then the introduction of new system may not this functionality.
harm for the active votes in elections and society also E-Voting is timely technique that Sri Lanka can use to replace
transferring slowly in to new system. In Sri Lanka currently have the current election system. It carries many advantages over
a standard way of creating a ballot. Here Department of Election currently used traditional voting method. But there are things to
used alphabetical order to list candidates. This e-Voting system consider, when Sri Lanka moving to e-Voting system. Some of
also can use that mechanism to list the candidates. Then any bias main factors are, proper security standards, usability testing and
may not occur for few candidates. But to avoid hardware issues the manufacture of the system. Also according to Sri Lankan
as talked in section II, election officials have to maintain the computer literacy rate, both methods should carry some time for
systems properly. few elections until people get used to it.
In Sri Lanka, the verifiability of the votes is really important
factor. As general factor, there are occasions that the recounting V. FUTURE WORKS
have to proceed due to some challenges. With the traditional The e-Voting system with post-verification is still only a theory.
system also, candidates have doubt about the votes and they There isnt any practical machine that function in both ways.
asked to review as well. But if Sri Lanka used available DRE Therefore, researchers can do some work in this area and suggest
technology machines for the elections, then surely the same a better architecture for that kind of a system. Then the demand
questions talked in section II raise here as well. Therefore, if Sri of this e-Voting may go high as well. The reason is, without
Lanka using this e-Voting, then government should use the providing voter-verifiable paper audit trails, with todays
attached printing machine, which can produce physical evidence technology and testing procedures, e-Voting method pose an
of voters intent. Then separate ballot box can collect those; if unacceptable risk for the potential benefits they provide.
any reviewing case occurred, then those physical ballots should Therefore, post-verification process is essential in practical
use to maintain the voters trust with e-Voting system. scenario. Also researches in e-Voting security and usability is
also good areas, because more findings are creating more secure
IV. CONCLUSION and more useful election system.
Traditional paper-based election system is now outdated and only
few small countries used. There are new technologies available, REFERENCES
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is such a type of advanced paperless election system, which used 2005/07/68097?currentPage=all.
many countries all over the world. DRE is an e-Voting system [2] Sri lanka, Sept. 2012. Page Version ID: 514482114.
and it has many advantages over traditional paper-based election [3] Department of election. http://www.slelections.gov.lk/history.html.
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values, 2004.
the vote counting, etc
[6] R. Alvarez, D. Sinclair, and C. Wilson, Counting ballots and the 2000
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consider, because the election system means all most all the system, New York Times, p. 40, 2000.
citizen in a country may use it. Therefore, when designing a [10] R. Mercuri, A better ballot box?, Spectrum, IEEE, vol. 39, no. 10, pp.
4650, 2002.
ballot, disable people, old people, non-educated people and non-
[11] growth (Association management company) - grow with us glenview
technical people have to be considered. Other than the IL.http://www.tcag.com/connect/consider-
accessibility, there are few more to consider as well. One specific this/governance/electronicvoting. TCAG administers online elections
thing is, the system should not bias for any candidate. Therefore, serveral times every year. Were familiar and comfortable with numerous
service providers and will deploy the solution thats right for your
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candidates as well. In an e-Voting system, hardware maintenance [12] HowStuffWorksHow e-voting
is also important. Otherwise, voter may get uncomfortable if the works.http://people.howstuffworks.com/evoting.htm.
machine didnt function properly. [13] A. Rubin, Security considerations for remote electronic voting,
Another specific factor to consider in e-Voting system is the Communications of the ACM, vol. 45, no. 12, pp. 3944, 2002.
manufacture. The government or organization should hand over [14] B. Bederson, B. Lee, R. Sherman, P. Herrnson, and R. Niemi, Electronic
the project in to quality software building organization. Because voting system usability issues, in Proceedings of the SIGCHI conference
on Human factors in computing systems, pp. 145152, ACM, 2003.
as we talked in this paper, one careless programmer can do a big
[15] J. Kubeck, N. Delp, T. Haslett, and M. McDaniel, Does job-related
damage in to nations democracy. Verifiability is also a training performance decline with age?, Psychology and aging, vol. 11, no.
considerable factor, because it may increase the confidence of the 1, p. 92, 1996.
voter. Another important factor identified in this paper is
recounting of votes. Any election system should ready for
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[16] C. Riviere and N. Thakor, Effects of age and disability on tracking tasks AUTHORS
with a computer mouse: Accuracy and linearity, Journal of Rehabilitation
Research and Development, vol. 33, pp. 615, 1996. First Author Subhash N. Ariyadasa, B.Sc. (Hons) in ICT, Uva
[17] C. Dahlberg, Challenges in designing an electronic voting system, Wellassa University of Sri Lanka, ariyadasahmsn@gmail.com.
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Department, Institute Name, if anyAssistant Professor Software Engineering at Sanaa University, Branch Marib
Republic of Yemen-Sanaa,
Abstract-The paper deals with s the Analysis of existing software computers, such as PCs via serial telecommunication equipment
packages on the cluster systems, comparative characteristics of LANs (or more high-performance connections). Hence, for the
the existing cluster systems. There are problems of parallel purpose of this paper, a cluster is defined as a group of
computing, arising from the use of the cluster package MPI / interconnected servers and personal computers functioning as a
MPICH. Unlike other systems, this package lacks integration unit[1],[2],[3] .
with the queue management system, thus, it requires a
modification that takes into account the peculiarities of a
specially distributed environment. II. ANALYSIS OF E XISTING SOFTWARE PACKAGES ON
CLUSTER SYSTEMS
Index Terms- cluster, Computing, scheme The result of creating a cluster can be, for example, the
high availability of information services and parallelization to
perform any complex operations or business computer system
I. INTRODUCTION failover [1],[4],[5]. Figure 1 shows the general scheme of the
Cluster: It is poorly integrated architecture, both at the servers. The typical number of nodes (being two) is the minimum
level of equipment and in the operating system (OS). In amount that, resulting in increased availability, offers a lot of
particular, due to the lack of shared memory for each processing, software solutions for building such clusters. In particular, for
node that must be running its own copy of the OS. The main OpenVMS, GNU / Linux, FreeBSD and solaris, there is a project
critical issue when working with cluster complexes, the number of free software, Linux-HA .
of processors 64-128, is maintenance and management. Clusters load: Their operating principle is based on the
Solutions, for various companies which developed special distribution of requests through one or more input nodes which
software systems, are discussed below .In addition we must redirect them to other computing nodes for processing. The main
distinguish cluster systems classification. characteristic of the cluster is productivity which, however, is
High-availability clusters: abbreviated as HA (high frequently used as methods to enhance reliability. Such
availability) have been created to provide high availability of structures are called server farms. Software (SW) can be either
service. Excessive numbers of nodes in the cluster ensure the commercial (OpenVMS, MOSIX, Cluster, Platform LSF HPC,
provision of service in the event of failure of one or more
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Sun Grid Engine, Moab Cluster Suite, Maui Cluster Scheduler), Resources and is based on OpenPBS. The system has a number
or free (Linux Virtual Server) . of additional improvements as follows :
Computing clusters: These clusters are used for Improved scalability (work in environments up
computing purposes, particularly in research. Computing to 2500 nodes).
clusters meaningful indicators are high performance processor Increased fault tolerance (introduced additional
operations on floating-point numbers (flops) and low latency checks).
unifying network and less important - speed IO; the latter is Improved interface scheduler with a view to
more important for databases and web-services. Computing provide additional and more accurate
clusters can reduce the computation time, compared to a single information.
computer, smashing job running parallel branches that Improved system of records in the log files.
communicate via network connection. One of the typical Sun Grid Engine: It is a free version for managing the
configurations is a collection of computers collected from resources of one project or division. Based on the full service of
publicly available components installed on them, the Linux centralization of resources and users, Sun Grid Engine is
operating system and related network Ethernet, Myrinet, implemented by an open community of developers and is
InfiniBand, or other relatively inexpensive networks. Such a sponsored by Sun Microsystems.
system is usually called (cluster Beowulf). Specifically, there is Sun Grid Engine, Enterprise Edition (SGEEE): It is a
the HPC clusters (referred to by the English. Acronym HPC commercial version, designed for enterprise resource
(Cluster - High-performance computing cluster) . management and able to serve several independent projects and
Analysis of software and tools to install on a cluster user groups. PBS and SGE system are approximately equal in
There is a set of software that simplifies the process of their capabilities and assume full allotment under batch
creating and maintaining the cluster systems. These software processing machines. They support network clusters,
systems are categorized as follows [4] : uniprocessor machines, and multiprocessors SMP and MPP .
Funds to install the software (software) on a cluster; the Condor: it is open-source product; the main characteristic
regular administration of clusters; Cluster batch control system of this product is that the performance of tasks distributed among
(OSS); and Integrated software for clusters. Interest is integrated computers in the moments when they have spare CPU time.
software for clusters; but in order not to leave the other Therefore Condor has several important mechanisms to support
categories of systems aside, we give a brief description of such checkpoint and restart the migration job. Powerful language
categories.. Tools solve the following tasks: Creating Depository resource description can reliably describe the requirements for
(set of software for the cluster); updating its versions ; the types and amounts of resources from the task .
distribution software on the cluster nodes; automatic installation LoadLeveler: it is a commercial software product for
of software on the cluster nodes and their configuration. companies such as IBM, designed for batch processing of serial
System Imager: It is a free tool to automate the and parallel (multiprocessor) jobs on clusters of computing
installation of Linux on a cluster machine and works with the servers. The system provides a means to prepare launching and
software installed on the file level, rather than bit by bit. It can tracking tasks in batch mode in a heterogeneous network of
distribute itself between the machines and software data files computers .
while configuration changes and updates the OS. LSF (Load Sharing Facility): it is commercial cluster
LCFG: This is an open source system to automate the system of Platform Computing Corporation for batch control. It
installation and configuration of different versions of Unix. meets the basic requirements for the ACT: support queue,
LCFG works quickly and is suitable for clusters with diverse and collects information on the availability and employment of
frequently changes configurations of nodes. resources in the cluster, finds computers with suitable resources
for assignments, and supports modes of control points
Cluster Batch Control System (checkpointing), migration and other tasks .
Cluster batch control system (PPS) or as it is are called, MAUI: It is an outdoor product that features a large set of
the resource manager, Cluster Systems Management is a scheduling modes and the presence of pre-booking mechanism.
software used in multiprocessor systems that operate in batch This free software is capable of providing automatic start of
processing tasks. The most popular freeware types are PBS, SGE multiprocessor tasks and minimizing simple resources.
and Condor as well as commercial LoadLeveler, LSF and Maui. Implementation is based on a powerful scheduling algorithm
Using open source software, the user works with a single Backfill.
multiprocessor computer complex packet processing tasks. Tasks
are placed in common to all complex, single interface to run,
modify, remove and get information about the jobs. ACT III. PARALLEL COMPUTING PROBLEMS THAT ARISE FROM
automatically distributes tasks across the nodes based on their USING A CLUSTER PACKAGE MPI MPICH.
load, performs and delivers the results to the user.
PBS : Portable Batch System provides job management in MPICH implementation allocates the specified number of
batch mode in a computing environment that runs Unix. Today processes between the available computing nodes without
a OpenPBS - free version and PBSPro is offered and there is an restrictions on their available resources. Furthermore, MPICH
extended commercial version. ignores information structure assignment and task constituent
Torque (Terascale Open-source Resource and QUEue heterogeneity, which leads to a potential performance loss.
Manager): It is a new version of PBS, developed by Cluster Therefore, in computer clusters along with MPICH, it is
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Plant tissue culture and Biotechnology Lab, Department of Botany, Govt. Dungar College, Bikaner, (Rajasthan), India
Abstract- In present study cotyledonary nodal segments and Benzylaminopurine (BAP), at high concentration (1-5ppm),
nodal shoot segments were used for regeneration. Nodal segment stimulates the development of the axillary meristems and shoots
explant as well as cotyledonary nodal explant were incubated on tips of Atropa belladonna. (Lal et al., 1996) observed a rapid
basal MS medium and showed very poor percentage of shooting, proliferation rate in Picrorhiza kurroa using kinetin at 1.0-5.0
explants inoculated on MS medium supplemented with either mg/L. Direct plantlet regeneration from male inflorescences of
BAP (0.1-3.0 mg/L) or Kn (0.1-3.0 mg/L) alone produced medicinal Yam on medium supplemented with 13.94 mM kinetin
multiple shoots. Best response of multiple shoot induction was has also been reported (Borthakur and Singh, 2002). The highest
obtained on MS medium supplemented with both BAP (2.0 shoot multiplication of Nothapodytes foetida was achieved on
mg/L) and NAA (0.5 mg/L) and the least responsive combination medium containing Thidiazuron (TDZ) at a concentration of 2.2
for multiple shooting in nodal segment as well as cotyledonary mM by Rai (2002). Barna and Wakhlu (1988) have indicated that
nodal explant was 0.1 mg/L Kn. MS medium supplemented with the production of multiple shoots is higher in Plantage ovata on
cytokinins alone (BAP or Kn) produced shoots in both the a medium having 4-6 mM Kn along with 0.05 mM NAA.
explants but MS medium supplemented with cytokinins (BAP or
Kn) + auxins (NAA or IBA) both, produced more percent of
shoot regeneration as well as number of shoots / culture. II. MATERIAL AND METHOD
Increased rate of multiplication or shoot induction in cultures Cotyledonary nodal segments from in vitro germinated
supplemented with cytokinin (BAP or KN) and auxin (NAA or seedling and nodal shoot segments (2.0 3 cm long and 2-4 mm
IBA) may be due to enhanced rate of cell division by cytokinin thick) with 1 to 2 nodes plant of M. emerginata were used for
(BAP and Kn). regeneration. The nodal shoot segments were washed with water
and then washed with 1.0% solution of Twene -80. The nodal
Index Terms- Maytenus emerginata, Cotyledonary nodal segment explants were washed thoroughly and the detergent was
segments, Nodal segment explant, cytokinins, auxin completely washed out. To prevent from fungal contamination
nodal segment explants were treated with 6% Bavistin solution
and then treated with 70% ethanol which was then followed by
I. INTRODUCTION 0.1 % HgCl 2 for 2-3 minutes in a laminar air flow chamber.
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different auxins IAA, NAA (0.01-1mg/L) and cytokinins BAP, The best response of multiple shoot induction was obtained
Kn (0.25-2.5mg/L) in different concentrations for further on MS medium supplemented with both BAP (2.0 mg/L) and
multiplication of the shoots. Different media namely half, one- NAA (0.5 mg/L), where 20% to 21% culture produced multiple
fourth and full strength of MS basal salts were also tested and shoots. The least responsive combination for multiple shooting in
shoots were also subcultured on media without any PGR. The nodal segment as well as cotyledonary nodal explant was 0.1
additives namely ascorbic acid (50mg/L) and citric acid mg/L Kn and multiple shoots obtained were only 3 % and 4 %
(25mg/L) each were added in the shoot induction as well as in respectively, both explants were observed to produce least
the shoot multiplication media, as antioxidants. number of shoots on 0.1 mg/L Kn.
MS medium supplemented with BAP (0.1 - 3.0 mg/L)
alone showed variation in the induction of multiple shoots which
III. RESULTS AND DISCUSSION ranged between 5 % to12 % in nodal segment explant and 6 % to
The mature nodal shoot segments from field grown plant 14 % in cotyledonary nodal explant, while Kinetin alone (0.1-
and cotyledonary nodal segment from in vitro germinated 3.0 mg/L) it ranged from 3 % to 25 % and 4 % to 9 %
seedling were exploited for the regeneration of shoots in M. respectively.
emarginata. The nodal shoot segment explants collected during MS medium supplemented with cytokinins alone (BAP or
months of October-January required longer treatment of mercuric Kn) produced shoots in both the explants but MS medium
chloride for surface sterilization. On the other hand fresh sprout supplemented with cytokinins (BAP or Kn) + auxins (NAA or
produced during March-April or July-August found to be more IBA) both, produced more percent of shoot regeneration as well
responsive (85%), the bud breaking was observed after 10-12 as number of shoots / culture. NAA in combination with BAP
days of inoculation. and Kn showed better response than IBA with BAP and Kn.
Nodal segment explant as well as cotyledonary nodal Average shoots / culture ( 1.5 and 1.6 ) as well as average length
explant incubated on basal MS medium, showed very poor of shoots (1.7 and 1.8 cm) were maximum in MS medium
percentage of shooting (2 to 5 %). Explants inoculated on MS supplemented with BAP (2.0 mg/L) + NAA (0.5 mg/L) from in
medium supplemented with either BAP (0.1-3.0 mg/L) or Kn vitro nodal segment and in vitro cotyledonary nodal segment
(0.1-3.0 mg/L) alone produced multiple shoots but response was respectively. Increased rate of multiplication or shoot induction
upto 10 % - 15 %. in cultures supplemented with cytokinin (BAP or KN) and auxin
(NAA or IBA) may be due to enhanced rate of cell division by
cytokinin (BAP and Kn).
Table .1
IN VITRO SHOOT INDUCTION IN M. emarginata
% Shoot regeneration Average shoots per culture Average length of shoots (cm)
Growth
In vivo In vitro In vitro In vitro
regulators In vivo nodal In vivo nodal
nodal cotyledonary cotyledonary cotyledonary
(mg/L) segment segment
segment nodal segment nodal segment nodal segment
BAP
0.1 5 6 0.3 0.4 0.4 0.4
0.5 5 6 0.5 0.4 0.6 0.6
1.0 7 8 0.8 0.9 0.9 1.0
1.5 9 11 1.1 1.2 1.1 1.3
2.0 12 14 1.3 1.5 1.5 1.6
2.5 8 10 0.9 0.9 1.0 0.9
3.0 6 7 0.7 0.7 0.7 0.7
Kinetin
0.1 3 4 0.2 0.2 0.3 0.4
0.5 4 5 0.3 0.3 0.4 0.5
1.0 5 6 0.5 0.5 0.5 0.6
1.5 7 8 0.7 0.8 0.6 0.8
2.0 8 9 0.9 1.1 0.9 1.1
2.5 7 7 0.6 0.7 0.5 0.9
3.0 5 5 0.4 0.5 0.3 0.6
BAP+NAA
0.1+0.1 10 11 0.3 0.4 0.5 0.5
0.5+0.2 11 13 0.5 0.6 0.6 0.6
1.0+0.3 13 15 0.8 0.9 0.9 1.0
1.5+0.4 16 18 1.2 1.3 1.3 1.4
2.0+0.5 20 21 1.5 1.6 1.7 1.8
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[4] Murashige, T. (1978). Plant tissue culture: History, current status and
prospects. TCA Report 12:41-47.
IV. CONCLUSION
[5] Perez-Bermudez, P.; Seitz, H. U.; Gavidia, I. (2002). A protocol for rapid
Micropropagation has a number of advantages over micropropagation of endangered Isoplexis. In vitro Cell Dev. Biol-Plant 38:
traditional plant propagation techniques. Micropropagation 178-82.
produces disease free plants and has an extraordinarily high [6] Rai, V. R. (2002). Rapid clonal propagation of Nothapodytes foetida
(wight) sleumer-a threatened medicinal tree. In vitro Cell Dev Biol-Plant
fecundity, producing thousands of propagules in the same time. It 38: 347-51.
can be a conventional technique to produce hundreds of plants, [7] Short, K. C. and Roberts, A. V. (1991). Rosa spp. (Roses): In vitro culture.
genetically identical with the donor or parent plants. micropropagation and production of secondary products. In: Bajaj. Y.P.S.
Micropropagation produces rooted plantlets ready for growth (ed). Biotechnology in Agriculture and Forestry, Medicinal and Aromatic
rather than seeds or cuttings. It produces more robust plants, Plants. III, Vol 15. Berlin: Springer Verlag, 376-397.
leading to accelerated growth compared to similar plants
produced by conventional methods. In vitro propogation of
plants holds tremendous potential for the production of high AUTHORS
quality plant based medicines .Hence micropropagation of M. First Author; Dr. Shweta Mathur, Ph.D (Botany), Information
emerginata can be a achievement in the field of Biotechnology. Officer, Central Arid Zone Research Institute, Jodhpur
(Rajsthan) India, Email: shwetamathur31@gmail.com
Second Author: Dr. Asha Goswami, Ph.D (Botany), Retd.
REFERENCES Principle, Plant tissue culture and Biotechnology Lab,
[1] Barna, K. S. and Wakhlu, A. K. (1988). Axillary shoot induction and plant Department of Botany Govt. Dungar College, Bikaner,
regeneration in Plantago ovata Forsk. Plant Cell Tissue Organ Cult. (Rajasthan), India
15:169-173.
[2] Benjamin, B. D.; Roja, P.; Heble, M. R. and Chadha, M. S. (1987). Multiple
shoot cultures of Atropa belladonna : effect of physicochemical factors on Corresponding Author: - Dr. Shweta Mathur, Ph.D (Botany),
growth and alkaloid formation. J. Plant Nutr. 129: 129-35. Information Officer, Central Arid Zone Research Institute,
[3] Borthakur, M. and Singh, R. S. (2002). Direct plantlet regeneration from Jodhpur (Rajsthan) India, Email: shwetamathur31@gmail.com.
male inflorescence of medicinal yam (Dioscorea floribunda Mart. and Gal).
In-vitro Cell Dev Biol-Plant 38: 183-5.
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Abstract- In our Bangladesh Smoking problem is one of the most Environmental variables are often found to be the strongest
serious problems as like as the World. Smoking is nothing but predictors. Reid et al.(1995) reported that young people in
inhaling deadly poison. It kills the smoker not at a time-but little Western countries had easy access to cigarettes, the perception
by little. Cigarette smoking is an intractable public health that tobacco use is the norm, peers and siblings positive
problem that posses threat to the health of the entire population. attitudes, and were associated with adolescent smoking. In our
Smoking is considered as the single largest risk factor for a study, we have also found that most of the students mentioned
variety of malignancies, including lung cancer. So every year that they have started smoking due to peer pressure followed by
many people are dying before their expected life time for various reasons.
smoking. It is sad reality. Yet, why do people smoke and kill About half of Bangladeshi men and one fifth of women use
themselves. The prevalence of smoking is gradually increasing tobacco in either smoking or smokeless form. The decline of
among the students in Bangladesh. Considering this view tobacco smoking observed in developed countries, however, is
conducted this study at a selected Private University of not evident in many developing countries including Bangladesh.
Bangladesh. The objectives of the study was to assesses the Despite the high level of poverty in Bangladesh, smoking rates
status, roles and of the smokers to investigate economic activities are relatively high and smoking prevalence is the highest among
of the smoking population to find out the result status of the the poorest. Prevalence of smoking declines proportionally as
smoking respondents and to identify the bad effects for smoking income increases.
and others problem. There are several studies indicating smoking behavior
among teenagers throughout the world. The principal predictors
Index Terms- Smoking, Private University,Harmful,Student, of smoking among the adolescents are parental household
Bangladesh influence, peer pro-smoking influence and environmental
predisposition. The peer group includes sibling and friends. It is
also found that age, socio-cultural status, level of education and
I. INTRODUCTION racial differences all affect smoking initiation by teenagers. The
association between greater educational attainment and decreased
S moking is one of the major preventable causes of premature
death and disease in the world. A disproportionate share of
the global tobacco burden falls on developing countries, where
smoking is Observed in more developed countries. In several
countries where multiethnic society exists, it is observed that
an estimated 84% of the worlds 1.3 billion current smokers live. acculturation is strongly associated with smoking initiation. In
As many other third world countries, Bangladesh is experiencing some studies, the age of initiation of smoking is found less than
an increasing trend of smoking, while the prevalence of smoking 15 years and male sex is more likely to smoke at an earlier age.
in the developed countries is declining. Up till now, very little is This study investigates smoking behavior among university
known about the patterned prevalence of smoking in general and students (1st to 10th semester students) at Dhaka based with an
specifically among the young adults, who are the target of the aim to analyze the impact of socio-economic, demographic,
ever expanding tobacco market. In developed countries, most cultural and environmental factors for initiation and continuation
smokers start at a younger age; almost 80% initiate their smoking of smoking behavior among adolescents.
at teens. In developing countries, it happens by late adolescence,
but it is observed that the age of initiation is becoming lower. For
example, in Indonesia, 9% started smoking at the age of 10-14 II. MATERIALS AND METHODS
years, and 55% at the age of 15-19 years. In 2001, 10% of Data collection:
smokers had started when aged 10-14 years, and 59% when they A total of 100 students were interviewed using a
were 15-19 years old. It is also observed that prevalence of questionnaire individually. It is not possible to carry out
smoking among male aged 15-19 years increased from 4% information from all students of the institute, because of time
in1995 to 24% in 2001. constancy and cost.
Previous researcher(WHO) beliefs, attitudes and smoking This cross-sectional study was designed to determine the
behavior were similar to those of the subjects in other studies status and effects of smoking among university students. The
with similar populations; the finding was also supported by the study was carried out at a private university of Dhaka. The
finding by Ohida et al (2001). Many studies have examined university and students were selected purposively. The study was
predictors of smoking among adolescents. conducted for a period of four months starting from June 2015 to
September 2015.
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About 10% respondents fathers occupation (Figure-3) is 100-1200 and the last 2% respondents expenditure are 1200-
Business, 28% service, 48% is Agriculture and 14% respondents 1500.Now it mentioned that (Figure-4 )after study about 16%
fathers occupations others. Students are take money for respondents are take money less than or equal to 5000, 54% are
expenditure on mobile. It found that about 16% respondents take money 5000-6000 and 30% respondents are take money
expenditure are 0-300, 39% are 300-500, 38% expenditure are 7000 or its above.
500-700, 2% expenditure are 700-1000 , 3% respondents are
Figure 4: Bar diagram for take money respondents from the house
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At their leisure time activities are 14% respondents are that the association between smoker and take money is exists or
reading book, 23% respondents are watching TV, 16% are not, their living place, for those above case chi square test and
gossiping or talk over mobile phone and 47% respondents are likelihood ratio test applied .Then it observed null hypotheses is
spending their time in chatting on face book. The study also has rejected at the 10% level of significance .So it may be conclude
shown in figure-5, that the expenditure on smoking of the that smoking status was significantly associated with age,
respondents 76% are 0-500, 13% respondents smoking cost are educational attainment (graduation level), residence, fathers
500-800, 8% respondents are smoking cost 800-1200, 2% occupation of the household head. Parental and sibling smoking
smoking cost are 1200-1600 and 1% smoking cost are 1600- (p<0.05) indicating the proportion of smoking was found to be
2000. high among the students aged 17 years and above with male
It also found that about 12% respondent has no problem for predominance, rural residence, large family size , agriculture in
smoking but 19% respondents has some problems for smoking. occupation. But no statistically significant association was found
About 29% respondents gave their opinion that they affected of between religion and parental literacy (p>0.0). But in logistic
harmful dieses for smoking but 2% said that they are not affected analysis, only age, taking money from home, mobile expenditure
by smoking. respectively asymptotically significant with probability 0.000,
Half of the students reportedly mentioned that they started 0.038, and 0.032 which are less than 0.05 since odd ratio of
smoking due to peer pressure followed by avoiding tension, taking money is increased by 1 unit the smoker 80.6% less likely
feeling of maturity it is a symbol to do smoke. The smoking than non smoker. Where the mobile expenditure is increased by 1
status among the young population is the great threat for a unit then smoker 1.898 times greater than non smoker. Since odd
healthy country. So this should be addressed properly to create ratio of age is 0.586,then age is increased by 1 unit the smoker
awareness among them and as a proper measures should be taken 41.40% less likely than non -smoker.
to prevent smoking among the valuable youth population like It was higher limits among students aged 22 years and
students. above than below 18 years. It was also higher rate of smoking
among students of graduation level.
V. DISCUSSION
Association between smoking and selected socio-
demographic variables and influencing factors: It: is testified
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K P Rao
Abstract-
Six Sigma, despite of far flung success and wide spread applications, has some limitations like any contemporary new change
methodology, both in Theory and Practice as well as tools and methods available to achieve the Six Sigma performance. One such
weakness is that, Leadership. A failure to achieve success in change is directly correlated to ineffective leadership. A subject which
can help leaders overcome this weakness is regular participation in the Quality and Excellence Awards.
This paper takes a look at a few different Quality awards, compares it Six Sigma, attempts an integration and identifies areas where
Six Sigma leadership can learn from the awards criterion.
Index Terms- Brazilian Quality award, Deming award, EFQM, MBNQA, Quality and Excellence awards, Six Sigma, Swedish
Quality award,
1.0 Introduction
Change is a continuous process. The business environment is no exception in this regard. Thus, the complexion of business
environment is also regularly changing and subsequently the business structures and processes are also regularly changing. Several
top-notch corporate leaders representing most prominent business houses are following contemporary labeled programs like Total
Productive Maintenance (TPM), Total Quality Control (TQC), Total Quality Management (TQM), or Company Wide Quality Control
(CWQC), Business Process Reengineering (BPR) etc. to achieve manufacturing and service excellence. There have been many good
and not so good quality techniques; however one technique, which has stood out, is the Six Sigma approach. This approach has
enjoyed tremendous corporate attention, the kind that no other approach can quite claim for itself.
The history of Six Sigma can be traced to the American electronics giant, Motorola where a goal of improving all products - goods as
well as services was established. To set a clear measure on the improvement work, the program called Six Sigma was launched in
1987, Klefsjo, Wiklund and Edgeman (2001). As a result of winning the Baldrige Award in 1988, Motorola was compelled to share
its quality practices with others. The companys approach to continuous improvement was based on a comparison of process
performance and product specification, and aggressive efforts to drive down defects, Folaron (2003). Motorola changed the language
of quality in America by beginning to measure defects out of opportunities or parts per million (and even billion), instead of parts per
hundred, Raisch, Anderson, Krogman and Krueger (2001).
Six Sigma is a quality movement, a methodology, and a measurement. As a methodology, it is used to evaluate the capability of a
process to perform defect-free, where a defect is defined as anything that results in customer dissatisfaction. Six Sigma is customer
focused and has the potential to achieve exponential quality improvement through the reduction of variation in system processes,
Black and Revere (2006). Six-sigmas target is to achieve less than 3.4 defects or errors per million opportunities hence the name.
Higher the number of Sigma, the more consistent is the process output or smaller is the variation, Karuppusami and Gandhinathan
(2006). We can sum up Six Sigma as a defect reduction effort, a variation reduction mechanism, customer satisfactor, a profit
enhancing device, a loss control method, a management philosophy and a data driven metric.
Six Sigma, like any new Quality improvement methodology, has some limitations. Smith (2003) recalling that Business Process
Design was a popular form of organizational changes in the 1990s and was looked upon as a panacea for an increasing array of
organizational problems. Success correlated highest with variables that reflected employee needs, leadership, and project management,
while failure correlated with ineffective leadership and cultural conflict. While Grover and Walker (2003) wonder that one challenge
is how to provide leaders with the tools, techniques, and methods they need to successfully guide change efforts within the scope of
current business or manufacturing practices. Kuei and Madu (2003) view reliability management as an integral part of any Six Sigma
strategy since the focus in reliability management is on process reliability and dependability. Thus, by bringing product and process
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quality together, a customer-centric Six Sigma can be achieved. They suggested developing leadership Triad among others. A subject
which can help leaders overcome this weakness is regular participation in the Quality and Excellence Awards.
Over the past few decades, the quality gurus Crosby, Deming, Feigenbaum, Juran and others have developed and advocated certain
prescriptions in the area of quality management. Their insights into quality management provide a good understanding of quality
management principles, Karuppusami and Gandhinathan (2006). During the last decades, quality awards have been considered as an
effective way to pursuit quality excellence in many industries worldwide. Companies have reported that their implementation not only
improved quality but also has led to improvements in market share, customer satisfaction, profit, processes, supplier performance,
employee morale and competitiveness, Miguel et al (2004).
In 1951, Japan began honouring quality practices through the establishment of the Deming Prize. Inspired by the successful
development in Japan, several other countries established, at the end of the 1980s, programs to recognise quality practices taking place
in organisations Worldwide, there are several Quality Awards, such as the Deming Prize in Japan, the European Quality Award (EQA)
in Europe and the Malcolm Baldrige National Quality Award (MBNQA) in the USA. Presently, bodies responsible for industrial
development, quality control, etc. in India like CII, QCFI, TPM, etc. have already started various awards at national and international
level to propagate and inculcate quality culture in Indian organizations like the Indian Juran Award, Dr Shah Trust Award, etc. at
national level, Kulkarni (2005). This author adds Rajiv Gandhi National Quality Award (RGNQA), Ramkrishna Bajaj National
Quality Award (RBNQA), CII-EXIM award to that list. Following this trend, many other nations all over the world also have
established quality awards programmes to recognise such performance excellence, Miguel et al (2004). In many countries, however,
the development and use of national quality awards is still new or non-existent, Eriksson and Garvare (2005).
For 15 years, organizations worldwide have used the Malcolm Baldrige National Quality Award criteria to help build market
competitiveness, improve performance excellence and bolster shareholder value In fact, the seven categories of the Baldrige criteria
leadership; strategic planning; customer and market focus; information, analysis and knowledge management; HR management;
process management; and business resultshave become synonymous with performance excellence. The criteria are routinely used as
a framework to help firms assess their leadership competencies, their prowess in strategy development and deployment and their
strengths in the arenas of customer care, product and service quality, operational efficiency, human resource management and
financial accountability and management, Byrne and Norris (2003).
Excellence is defined as the outstanding practice in managing the organization and achieving results. Truly Excellent organizations
are those that strive to satisfy their stakeholders by what they achieve, how they achieve it, what they are likely to achieve and the
confidence they have that the results will be sustained in the future (EFQM, 2005). Each award is based on a perceived model of
TQM. They do not focus solely on the product, service perfection or traditional quality management methods, but consider a wide
range of management activities, behaviour and processes which influence the quality of the final offerings.
Klefsjo et al (2001), point it out that Six Sigma is of great value in attainment of business excellence and measurement of that progress
so that appropriately configured and deployed Six Sigma programs may be highly consistent with the results orientation underlying
various international quality awards, such as the European Quality Award, America's Malcolm Baldrige National Quality Award, the
Canada Excellence Awards, and the Australian Quality Award. ``Six Sigma is of great value in attainment of business excellence and
measurement of that progress so that appropriately configured and deployed Six Sigma programs may be highly consistent with the
results-orientation underlying various international quality awards.'' Klefsjo et al (2001). While it might be true, but the contention of
this author is to investigate how this award criterion can help the Six Sigma cause, and what Six Sigma can learn from these, to
strengthen it self.
The US Malcolm Baldrige Quality Award, established by legislation in 1987, in memory of the late Secretary of Commerce and is
managed by the US Department of Commerce, seeks to spotlight American businesses excelling in high quality products and services
and to increase managements quality awareness and recognize accomplishments in product quality improvement. Another objective
of the award is to provide ideas to US firms which are considering ways to improve product quality. Specifically, the Baldrige Award
winners should be found to be industry leaders in terms of product quality, market share growth and profit growth. Similar to the
Deming Application Prize in Japan, the Baldrige Quality Award has quickly become a highly regarded and sought-after prize among
US producers. While winning the Baldrige Award has not guaranteed financial success, the award winners are generally recognized as
profitable producers and exhibit strength in terms of market share, product quality and other performance benchmarks. Of particular
importance to practitioners is that the Baldrige Award winners provide examples that investments in quality programmes can result in
cost savings, market share improvement, and impressive improvements in manufacturing and service performance, Wisner and Eakins
(1994).
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The Malcolm Baldrige National Quality Award was created in 1987 under Public Law 100-107 and is being administered by the
National Institute of Standards and Technology (NIST). The primary instrument of the award is the criteria for performance
excellence. In addition to their use as the basis for making awards and for giving feedback to applicants, the criteria have three other
important roles in strengthening U.S. competitiveness
To help improve performance practices and capabilities
To facilitate communication and sharing of best practices information among U.S. organizations of all types
To serve as a working tool for understanding and managing performance, planning, training, and assessment (NIST 2008)
The Baldrige Award criteria are built upon a foundation of 11 core values and concepts, which are summarized as follows (NIST
2008):
1. Customer-driven quality. Quality is a strategic concept that is closely linked to customer satisfaction, customer retention,
market share gain, and growth.
2. Leadership. Senior leaders need to set directions through strategic planning, clear and visible values, high expectations, and a
customer focus. Through their personal involvement, they need to show commitment to the development and empowerment
of the entire work force. They also need to show commitment to being a model corporate citizen.
3. Continuous improvement and learning. Continuous improvement and learning must be embedded in the way the company
operates; that is, it must become a way of life in the company. A culture of continuous improvement and learning will enable
the company to be more responsive, adaptive and efficient, and thus, more competitive.
4. Valuing employees. As a companys success depends increasingly on the quality of its work force, the company must invest
in its development through education, training, and opportunities for continued growth and participation.
5. Fast response. Faster and more flexible response to customers is now a more critical requirement. Also, many companies
have found that reducing cycle-time often drives simultaneous improvements in organization, quality, and productivity,
because cycle time reduction usually involves simplification of work units and processes.
6. Design quality and prevention. Costs of preventing problems at the design stage are usually much lower than costs of
correcting problems that occur downstream. Costs include inspection, scrap, and rework.
7. Long-range view of the future. To maintain a competitive position, a company must have a strong future orientation that
requires long-term commitments to all stakeholderscustomers, employees, suppliers, stockholders, the public, and the
community.
8. Management by fact. Increasingly, modern businesses must make decisions based on accurate and timely information, which
is converted to key measurements. These measurements are derived from the companys strategy and must provide critical
indicators about key processes, outputs, and results.
9. Partnership development. Companies are finding that internal and external partnerships drive better cooperation and enhance
overall capabilities.
10. Company responsibility and citizenship. A company needs to fulfill its responsibilities to the public, including ethical
behavior, protection of public health, safety, and the environment.
11. Results focus. A company needs to focus on key results that address the balanced interests of all stakeholderscustomers,
employees, stock holders, suppliers and partners, the public, and the community.
A major boost to the growth of TQM is the promotion of quality award models in many countries and the success of quality programs
such as Six Sigma, quality function deployment, and quality circle. Of the widely accepted international quality initiatives are ISO
9000 certification standards, ISO 14000 certification standards, Six Sigma, and the Malcolm Baldrige National Quality Award
(MBNQA).
The Malcolm Baldrige National Quality Criteria for Performance Excellence (CPE) can be introduced to suggest a framework by
which an organization can assess current operations. The award has now grown to be recognized as the highest honor for business
excellence in the United States (MBNQA, 2008). Chrusciel (2006), The initial MBNQA framework has seven dimensions used to
assess a companys quality status. These 11 core values and concepts are integrated into seven categories comprising the Baldrige
Award criteria. Karathanos (1999), Tar (2005), Jitpaiboon and Rao (2007). The criteria are built on a set of interrelated core values
and concepts and stress organizational attributes such as visionary leadership, customer driven excellence, organizational agility and
management by fact. But, while the criteria enjoy a well-earned reputation for providing a values driven framework of the ideal state
toward which organizations should strive, they dont provide firms with a roadmap or vehicle to implement operational excellence.
They dont prescribe a specific methodology or tool set for organizational change to help enterprises transform how they operate and
radically improve their business performance. Byrne and Norris (2003), also voice the same view. Although the award is indeed a
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worthy trophy, the program itself serves a vital purpose in emphasizing the importance of quality in the workplace and improving
upon the enterprises quest for the competitive advantage.
2.2 The European TQM Model the EFQM Quality Award Model
The quality award model most widely used in Europe is that developed by the European Foundation for Quality Management
(EFQM). The EFQM was formed in 1988 by 14 leading European businesses, and it encourages European businesses to improve
competitiveness through the use of TQM philosophy. The EFQM has provided a holistic model (termed business excellence or the
excellence model ) to facilitate such a purpose. The model and the associated self-assessment process have given new direction to
the quality movement and have driven deep and lasting changes into participating organizations. The EFQM s TQM model effected
good performance in many European companies and the CEOs of the participating companies claimed that the excellence model
brought great success in their business.
In April 1999, the EFQM revised the model and there was a noticeable switch in language from quality to excellence . Indeed, the
word quality does not appear in either the sub-criteria or the areas to address in the revised model. The name of the European
Quality Award (EQA) was also changed to the EFQM excellence award, with the word quality stripped out. This change in focus
from TQM (or quality) to business excellence has led to considerable disquiet among traditional TQM practitioners. Whether quality
is dead in Europe has become a topic of debate in the last few years, Sun, Li , Ho , Gertsen, Hansen and Frick (2004).
The Deming Prize is Japans national quality award for industry. It was established in 1951 by the Japanese Union of Scientists and
engineers (JUSE) and it was named after W. Edwards Deming. He brought statistical quality control methodology to Japan after
W.W.II. The Deming Prize is the worlds oldest and most prestigious of such awards. Its principles are a national competition to seek
out and commend those organizations making the greatest strides each year in quality, or more specifically, TQC. The prize has three
award categories. They are Individual person, the Deming Application Prizes, and the Quality Control Award for factory. The Deming
Application prizes are awarded to private or public organizations and are subdivided into small enterprises, divisions of large
corporations, and overseas companies. There are 143 companies who won the prize. Among them, only once has the Deming Prize
been awarded to a non-Japanese company: Florida Power and Light in 1989 for the first time.
Since 1992 the Swedish Quality Award has been administrated by the Swedish Institute for Quality (SIQ), The SIQ has developed a
model, called the SIQ Model for Performance Excellence, This organisation supports the quality award applicants with the planning,
for example describing the formalities for the application and setting dates for handing in the application. The administrator also trains
external examiners and supports them in their evaluation of the applicants description (the phase of study), The administrator might
also support the applicants in their plan for improvement (the phase of act), Eriksson and Garvare (2005).
The SIQ Model for Performance Excellence, which is based on 13 core values and seven criteria. The core values of the SIQ Model
(SIQ, 2008), are:
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The criteria of the SIQ Model have been inspired by, and are similar to, the criteria of the Malcolm Baldrige National Quality Award
Model (NIST, 2008), This is, for example, illustrated by the fact that both criteria strongly emphasize organizational results. There are
also differences between the criteria. For example, the SIQ Model has a stronger emphasis on evaluation, improvement, and societal
impact. Since the year 2000 it has been possible to use the SIQ Model, the EFQM Model or the MBNQA Model in an application for
the Swedish Quality Award. The activities were categorized according to the 13 core values of the SIQ Model for Performance
Excellence. This data is presented in the comparative analysis.
The Brazilian Quality Award, which has completed ten years in existence. During this period, it has contributed to a wide range of
companies as winners or applicants. At present, the National Quality Award of Brazil is comparable to some of the major prizes
Miguel, Morini and Pires (2004). The Brazilian National Quality Award (PNQ) is similar to the Malcolm Baldrige National Quality
Award (MBNQA), but other awards have been considered in the annual update for the past years. The Brazilian Award is managed by
the National Quality Award Foundation, a non-profit organization established in 1991 through an initiative of 39 leading national and
transnational organizations. Five categories of companies can be awarded: large organizations, medium-size enterprises, small-sized
companies, non-profit organizations and governmental institutions.
The National Quality Award of Brazil The primary purpose of the award is to support, encourage and recognize the development of
effective total quality management by companies operating in Brazil. Its criteria and assessment stages are designed to help identify
organizational strengths and areas for improvement. The award was officially launched in 1992 and, since then, a series of updates has
been made periodically, Miguel et al (2004). The award criterion is built on a set of core values and concepts which are consistent
with those of highly successful organizations. These core values and concepts include: leadership commitment, long-term view of the
future, customer driven management, social responsibility, people valorization, management by processes and information, results
orientation, proactive actions and rapid response, and learning. More details of these core values can be found in FPNQ (2002). The
evaluation framework of the Brazilian Quality Award comprises seven evaluation criteria, sub-divided into 26 items.
The number of values varies between different sources. For example the European Quality Award is based on eight values and the
Malcolm Baldrige National Quality Award is said to be based on 11 values. There are similarities between most national quality
awards, regarding, for example, criteria and award processes. They are presented in Table No. 1
Table No. 1: Similarities of core values among the different award models.
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Control Learning from Learning
others.
Alliances and Faster response. Proactive actions
resources, and rapid response
Analysis Management by
facts.
Interaction.
Prevention.
Quality and Key results Results Results orientation
operational results
From the above it can be summarized to about 14 core values that form the critical criterion for an award achievement. Hereinafter in
this paper all the discussions are referred as the Award. It would be interesting to how they correspond to the Six Sigma philosophy.
They are presented in Table 2.
Table 2: Core values that are critical for an Award, and how they correspond to Six Sigma
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4.0 Integration
With so many similarities, between the award criterion and Six Sigma we can see congruence of both the philosophies we can achieve
an integration. The Integration model with an inbuilt some commonalities is presented in Fig. No.1.
Awar SIX
5.0 What can Six Sigma learn from these award criterions?
We examine what Six Sigma can learn from each core value of award criterion. We shall see one by one. The views of Karathanos
(1999), Byrne and Norris (2003), Miguel et al (2004), Eriksson and Garvare (2005), McCarthy and Greatbanks (2006), are also
taken.
5.1 Leadership
The Quality/excellence award framework is concerned with examining and judging how an organizations senior leaders establish and
implement key organizational values, reinforce the importance of customer focus, set forth short and long-term direction, and establish
and communicate performance expectations to employees.
As part of this, the process seeks to identify how senior leaders empower employees, foster innovation, promote
organizational nimbleness and promote organizational and employee learning.
The assessments help organizations understand where their leadership skill gaps may liewhat needs to be done to improve
leadership effectiveness and create a more customer centric culture. They can determine how, where and why top leadership
must be involved in driving overall organizational performance and specific performance initiatives, practices and results.
The awards framework clearly recognizes the need for visionary leadership. An organizations senior leaders should set
direction and create a customer focus, clear and visible values and high expectations
Through their behavior and actions, senior leaders should serve as role models in planning, communications, coaching,
development of future leaders, review of organizational performance and employee recognition.
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Leadership must communicate new work expectations to employees (for example, by encouraging a fact based, measurable
approach to identifying problems and improving how work gets done). Leaders must generate quick win opportunities from
process improvement activities to give their projects momentum.
And they must work to sustain success with process improvement activities and projects over the long term by driving
changes in the organizations culture (such as by creating new reward and recognition systems) to support new ways of
working.
These proven leadership practices can be readily applied to driving the achievement of quality or process improvement goals,
identified as part of the award assessments. In fact, doing so will give those quality and process improvement initiatives
increased vigor and likelihood of success.
Heres where the power of Six Sigma leadership principles can be brought directly into play as the machinery to help launch,
manage and sustain quality or process improvement initiatives over time. This occurs readily because the Six Sigma
methodology provides a clear and unmistakable path to drive robust enterprisewide quality and process improvement.
But to ensure full success, they must also make a strong business case to their organizations about why change (Six Sigma
process improvement, for example) is so critical to driving business results and ensuring customer loyalty.
As leaders ask themselves some critical and embarrassing questions related to customers like Do we consistently fulfill
customers requirements, or are there gaps in our performance? How do we precisely measure our customers view of value?
Where does our business performance stand in relation to our competitors? Do we exceed customer expectations, or do we
have significant problems with customer satisfaction, loyalty and retention? Do existing improvement initiatives and
activities bring continuous, sustainable improvement to business processes (reductions in defects and cost or improvements in
productivity and profitability)? Or, has the organizations business performance plateaued? They not only become
increasingly customer centric but also start to develop a finely tuned set of performance measures to drive organizational
performance and successfully manage and monitor that performance going forward.
6.0 Conclusions
We have identified that one of the weaknesses of Six Sigma is leadership. From the above now we see that participation in awards can
strengthen the leadership in planning organizing leading, controlling and the training of Six Sigma, a state of the art change
methodology.
References
1 Black K and Revere L (2006), Six Sigma arises from the ashes of TQM with a twist, International Journal of
Health Care Quality Assurance, 19 (3), 259-266.
2 Byrne G and Norris B (2003), Drive Baldrige Level Performance- Baldrige Provides The Framework, Six
Sigma, The Methodology. Six Sigma Forum Magazine, May 2003, 13-21
3 Eriksson H and Garvare R (2005), Organisational performance improvement through quality award process
participation, International Journal of Quality & Reliability Management, 22 ( 9), 894-912.
4 Folaron J (2003), The Evolution of Six Sigma, Six Sigma Forum Magazine, 2 (4), 38- 44.
5 Grover RA, Walker HF. (2003) Changing from Production to Quality: Application of the Situational
Leadership and Transtheoretical Change Models, Quality Management Journal, 10 (3), 8-24.
6 http://www.efqm.org/the-efqm-excellence-model
7 http://www.fnq.org.br/english
8 http://www.nist.gov/baldrige/
9 http://www.siq.se/Home.htm
10 https://www.juse.or.jp/deming_en/award/
11 Jitpaiboon T and Rao S S (2007), A meta-analysis of quality measures in manufacturing system,
International Journal of Quality & Reliability Management, 24 (1), 78-102.
12 Karathanos D, (1999), Using the Baldrige Award Criteria to Teach an MBA-Level TQM Course, QMJ, 6, (
1), 20-28.
13 Karuppusami G and Gandhinathan R (2006), Pareto analysis of critical success factors of total quality
management-A literature review and analysis, The TQM Magazine, 18(4), 372-385.
14 Klefsjo B, Wiklund H and Edgeman R L. (2001), Six Sigma seen as a methodology for Total Quality
Management, Measuring Business Excellence, 5(1), 31 -35.
15 Kuei CH, Madu CN. (2003) Customer-centric Six Sigma quality and reliability management, International
Journal of Quality & Reliability Management, 20 (8), 954 - 964.
16 McCarthy G and Greatbanks R (2006), Impact of EFQM Excellence Model on leadership in German and
UK organizations, International Journal of Quality & Reliability Management, 23 (9), 1068-1091.
17 Miguel P.A.C, Morini C. and Pires S.R.I. (2004), An application case of the Brazilian National Quality
Award, The TQM Magazine, 16 (3), 186-193.
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18 Raisch T, Anderson J, Krogman K and Krueger B (2001), Six Sigma, Current Quality Mini-Paper, Iowa
State University, Ames, IA
19 Smith, M. (2003) Business Process Design: Correlates of Success and Failure, Quality Management Journal,
Vol. 10, No. 2, pp. 38-49
20 Sun H, Li S, Ho K, Gertsen F, Hansen P and Frick J (2004), The trajectory of implementing ISO 9000
standards versus total quality management in Western Europe, International Journal of Quality & Reliability
Management, 21(2), 131-153.
21 Tar J J (2005), Components of successful total quality management, The TQM Magazine, 17 (2), 182-194
22 Wisner J D and Eakins S G. (1994), A Performance Assessment of the US Baldrige Quality Award Winners,
International Journal of Quality & Reliability Management, 11 (2), 8-25.
Author . K.P. Rao is a Mechanical Engineer with a Diploma in Business Management, Post Graduate Diplomas in Energy
Conservation and Management, and Operations Research. He was a distance Doctoral Research student in Six Sigma from Birla
Institute of Technology and Science (BITS), Pilani, India. He worked actively in Six Sigma projects for his former employer Ultratech
cement Ltd, Rawan, India. He was a senior member of ASQ. He can be reached at kandprabrao2@yahoo.co.in.
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7. Trust
The last layer of the stack addresses is trust in order to
provide an assurance of quality of the information on the web
and a degree of confidence in the resource which is providing
these information.Semantic web is not limited to publish data on
the web; it is about making links to connect the related data.
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way for library users to have their say on a topic and to have an libraries to be aware of this trend and make changes to their web
online presence in their local community. Social media also presence to meet this transformation in library user practice.
provides an online community that extends beyond the physical 4) Knowledge management
space of the library. Libraries need to examine new ways to Application of semantic web will allow much more
interact with their users through the use of programs that allow advanced knowledge management system. Knowledge will be
for user-generated content. This is an opportunity for libraries to organized in conceptual spaces according to its meaning.
develop more of an online presence and become more Automated tools will support maintenance by checking for
integrated with the semantic web. inconsistencies and extracting new knowledge. Query answering
2) Federated Search and Beyond over several documents will be supported. Defining who will
Beyond library, searching is now a part of everyday life as view parts of information (even parts of documents) will be
people spend increasing amounts of time online and use mobile possible with semantic web knowledge management.
devices to connect with people and information. Search will be 5) Library Portals
everywhere, but invisible, contextualised, and personalised. The use of semantic web technologies in developing Library
Federated Search can help users portal facilitates users search, access, and retrieve learning
resources. The portal should aim to provide access to a coalition
of learning repositories with learning resources available in
different formats. The large collections of learning resources are
semantically annotated adopting various technologies that
facilitate users access to the content in one or more learning
repositories.
6) Downloadable
An iPod and Smart phone devices are in multi-use. These
are becoming e-readers, GPS units, cameras, and information
storage units as well as communication devices. Worldwide
consumer behaviour suggests that downloadable books are
becoming as popular, or more so, than print versions, although
Figure No:2 Federated Search of Three Search Engines any prediction that downloadable will completely replace the
print copies does not seem likely. They are existing and will exist
search over a wider range of resources instantly, and helps users side by side. We can expect the demand for the instant supply of
take greater advantage of online resources offered by libraries; content and information to impact on our collections and loans.
many users dont go beyond the catalogue. Many online Libraries must consider many things while introducing
databases need different logins, look vastly different and search downloadable material to their collections, not the list of which is
displays result in different ways. It would be easier for users to the current shortage of online content and digital rights
have all the search results displayed in one place and in one way, management challenges. Publishers, authors and book sellers are
much as a Google search does. This would mean faster search sorting their way through the questions of ISBNs for eBooks,
results for users, and a better range of resources used, as often the Meta data, territorial rights, orphan works and rights standards.
online resources libraries subscribe to are top peer-reviewed Libraries also need to strategize, how they manage things like
journals. publishers introducing Non-library-friendly policies.
Libraries need to move towards federated search to come 7) Print on Demand
in line with what people are doing on the web now. This more Print on Demand (POD) model is diversifying to include
democratic approach to information searching means that library projects for out-of-print, rare, precious and inaccessible product.
resources are more accessible to a wider range of people. As 8) QR Codes
more users log into library websites using mobiles and/or mobile QR codes, or quick response codes, might just be that little
devices, it also makes more sense to have a quick and easy thing. Although they have been around for years, with the
search facility. Libraries can help be a part of this process by re- increased ownership of Smartphone they seem set to become
examining the way our users search our collections and how they commonly used for all sorts of reasons. QR codes are 2
use these search results, then, most importantly, use this dimensional barcode when scanned by a mobile device; gets
information to lobby for changes in library management systems. linked to the resource the creator intended, it could be website,
3) Mobile library catalogues email address, phone number, coordinates on a map. There is
The use of mobile phones and mobile applications has need of a mobile device, with a camera, an Internet connection
increased dramatically over the past 10 years. This is an era of and QR code reader (an app) to make use of QR codes. And thus
information access that libraries need to support and engage in are used a lot in advertising, real estate signs etc.
more fully. Users can also text themselves the details of an item, Potentially, QR codes can be used to give direction to where
rather than printing or writing down the details. All libraries items are on the shelf and if necessary, used on the shelves
should cater to users who access their library through their themselves if the physical item is out our customers could scan
phones or other mobile devices. Developing an app is not the code and reserve the item via the catalogue, or download the
necessary in most cases; rather, making the website/catalogue item immediately in the form of an eBook. Currently, the main
clear and easy to move around should suffice. It is important for use of QR codes in libraries around the world could be /is for
following activities:
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Promotion and advertisement of library services able to improve data management, support accessibility of
Act as a bridge between the physical and the digital mobile internet, simulate creativity and innovation, encourage
information. factor of globalization phenomena, enhance customers
Make access to information and resource easier. satisfaction and help to organize collaboration in social web.It
Providing information at the point of need. provides a common framework that allows data to be shared and
Video guide on how to use the print management reused across application, enterprise, and community boundaries.
system. And this will surely give rise to unique power to informational
A map of the library layout. seekers to interpret documents and infer meaning without human
Library audio tours. intervention, possible by application of Semantic Web in all
type of information centers.
Catalogue records, with links to specific location
information.
REFERENCES
QR codes within the collection, to link to online resources
particularly to the mobile version of them. [1] Aghaei, S.H, Mohammad Ali and Farsani, H.K. (2012), Evolution of the
World Wide Web: From Web 1.0 to Web 4.0, International Journal of Web
Marketing appeal makes the library look tech savvy & Semantic Technology Vol.3, No.1.
9) Cloud Computing [2] Alotaibi, S. (2010) Semantic Web Technologies for Digital Libraries: From
Cloud computing relies on a large number of computing Libraries to Social Semantic Digital Libraries (SSDL), Over Semantic
devices working together. It is location and device independent; Digital Libraries (SDL). In: The 4th Saudi International Conference, Friday
30 and Saturday 31 July 2010, The University of Manchester, UK.
users don't have to download their work onto respective PC or
[3] Cardoso, J. and Sheth, A. (2005), Bringing Semantics to Web Services: The
device; it can be stored and worked on remotely. The term cloud OWL-S Approach, SWSWPC 2004. LNCS 3387, pp. 26 42,
computing has at its core as a single element: computing [4] Greenberg, J. (2012), Advancing the Semantic Web via Library Functions,
services are delivered over the internet on demand, from a Knitting the Semantic Web/Cataloguing & Classification Quarterly, Vol.43,
remote location, rather than residing on ones own desktop, No. (3-4).
laptop, mobile device, or even on an organisations servers. For [5] Majumdar, P. (2007), Semantic Web: Future of WWW, Punjab University,
an organisation, this would mean that, usage-based feeor even Chandigarh, 08-10 February5th International CALIBERS.
possibly for freeit would contract with a provider to deliver [6] Wilson, A. (2000). Libraries FAQ, 2.1(9/10):
http://www.faqs.org/faqs/books/library-faq/part9/.
applications, computing power, and storage via the web.
[7] www.jisc.ac.uk/uploaded_documents/jisctsw_05_02bpdf.pdf
The advantages of Cloud computing for libraries is the possible
[8] www.csd.uoc.gr/~hy566/SWbook.pdf
reduction in the cost of computing and the ease of connectivity
[9] ir.inflibnet.ac.in ... CALIBER 2007:Chandigarh
between library services encouraging greater collaboration as
[10] www.semantic-web-journal.net/sites/default/files/swj321.pdf
well as unlimited storage capacity.
[11] www.ibiblio.org/hhalpin/irw2006/bparsia.pdf
10) Semantic Digital Library
[12] www.cs.man.ac.uk/~horrocks/Publications/.../Horr08a.pdf
Semantic Digital Libraries are distinct from traditional
[13] www.larryblakeley.com/.../semantic_web/berners-lee_hendler...
digital libraries. These make easier to find information in the vast
[14] www.w3.org/2010/Talks/0507NewDelhi-KB-IH/
ocean of available data. This is facilitated by ontology-based
[15] www.libraries.vic.gov.au/..._/exploring_library_3.pdf
search and facet search. Access is not confined to only one
[16] www.blyberg.net/downloads/SemanticLib-MLC07.pdf
digital library; to the contrary, it provides a mechanism of
[17] www.few.vu.nl/~ronny/work/NLDB02.pdf
interoperability between different systems. Some of the Semantic
[18] http://connectinglibrarian.com/category/semantic-web/
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Abstract- Evaporation is one of important parameter to determine In the last two decades, the estimation methods have been
crop water requirement especially in arid and semi-arid regions, successfully used in modeling pan evaporation. Terzi and Erol
therefore the accurate calculation of this factor is employed for Keskin (2005) used Gene Expression Programming (GEP) for
research's such as water balance, irrigation system design, and modeling evaporation as a function of air temperature, solar
water resource management is very important for these radiation, and relative humidity [3]. Shirsath, and Singh (2010)
applications, In order to calculate the daily evaporation values, presented application of artificial neural networks (ANN),
direct measurement or neural network models can be employed statistical regression and climate based model for estimating of
for the regions which there is no direct measurements tools. In daily pan evaporation [4]. Kumar et al (2012) developed artificial
this paper the daily evaporation has been estimated by using neural networks (ANN) and adaptive neurofuzzy inference
daily temperature, relative humidity, wind velocity, sunshine system (ANFIS) models were developed to forecast monthly
hours, and evaporation data in Abu-garib Automatic weather potential evaporation in Pantagar, U.S. Nagar (India) based on
station employing Neural Network training using daily data used four explanatory climatic factors (relative humidity, solar
four years and network testing takes one year. In this approach , radiation, temperature, and wind speed) [5]. The main aim of this
a MLP layer network with a hidden layer and sigmoid function paper attempted to evaluate the employing of network model for
has been employed. The results show the powerful capability daily evaporation estimation using different meteorological input
and high accuracy of artificial neural networks in calculating of of Abu-grab region in Baghdad City.
daily evaporation. Best model for estimation of evaporation is
neural network have MSE (0.1515), AE (0.2892) and R (0.9909).
II. METHODOLOGY
Index Terms- Artificial, Neural, Evaporation, Baghdad. The daily values of the global solar radiation on horizontal
surface G, sunshine duration S, maximum and minimum air
temperature, relative maximum and minimum, Atmospheric
I. INTRODUCTION pressure for a period of four years (2012-2015) were obtained
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temperature, relative maximum and minimum, Atmospheric for the implementation of the MLP network. For the training of
pressure for a period of four years (2012-2015) the output was network, the Forecaster XL was performed under excel 2007
the daily evaporation values. In this work, inputs and outputs environment. The structure of the neural network is shown in
data are firstly normalized in the (0.1) range and then returned to figure (1).
original values after simulation by Forecaster XL which is used
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that ANN model provides the best results among the six models.
That is, ANN model 2 is superior to the other ANN models, most Model Number R AE MSE
of the points fall along the diagonal line. The estimated values 1 0.9874 0.2859 0.1484
have good agreement with the measured values. It can also be 2 0.9909 0.2320 0.1352
seen from the comparison of ANN model (1-6) that the 3 0.9912 0.1991 0.0954
dispersion degree of ANN model 2 is smaller than the other 4 0.9906 0.1991 0.0991
ANN models, which indicate that the ANN model 2 provided the 5 0.9885 0.2636 0.1351
best estimations among all the proposed models. The 6 0.9793 0.3455 0.2322
determination coefficient of ANN model 2 (R value) obtained for
the data set is 0.9909. In this respect, the closer to unity is the Table2. Statistical indicator for daily evaporation of ANN for
coefficient of determination, the better estimation accuracy. To testing stage.
test the generalization of the ANN model, Tables 1-2 show that
ANN has the minimum predictions errors in Abu-garb Station. Model Number R AE MSE
Low values of prediction errors for Abu-garib Station confirm 1 0.9874 0.3732 0.4166
the ability of the neural network models to estimate daily
2 0.9909 0.2892 0.1515
evaporation values precisely. These results demonstrate the
3 0.9904 0.3085 0.3842
generalization capability of the neural network model and its
4 0.9906 0.2977 0.3410
ability to produce accurate estimates for Abu-garib Station which
located in Baghdad city. 5 0.9885 0.3684 0.3586
6 0.9793 0.5306 0.7204
Table1. Statistical indicator for daily evaporation of ANN for
training stage.
Figure(3):Comparison between the measured and estimated daily evaporation using ANN for
testing procedure
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AUTHORS
First Author Zahraa N. Mohsen is research assistant in
Department of Atmospheric Science/ College of science / Al-
Mustansiriyah University
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Abstract- Intra-Africa trade is one of the most upcoming exports in Africa was 11 per cent compared with 50 per cent in
approaches of economic growth within the continent of Africa developing Asia, 21 per cent in Latin America and the Caribbean
through regional economic integrations established. East Africa and 70 per cent in Europe. Furthermore, available evidence
Community is one of the newly upcoming strong regional indicates that the continents actual level of trade is also below
integration with the aim of creating harmonious trade potential, given its level of development and factor endowments
environment among its member countries and propels economic (UNCTAD, 2013).
growth among them. This study was done to compare the trading Poor performance of intra-African trade can be explained by
costs and benefit between Tanzanian small and medium agro- a number of factors, and these include the type of production
enterprises (SMAEs) trading to EAC countries and those trading (which mainly consisted of raw materials and agricultural
locally within Tanzania. The study collected a sample of 105 products); poor road infrastructure, institutional and financial
SMAEs trading to EAC countries and 105 SMAEs trading weakness and poor trade regulations and policies among member
locally. Costs and Benefit Analysis tool and descriptive statistics states of African Union. In general Africa has the lowest levels of
were used and three regions of Tanzania namely Arusha, Kagera formalized intra-regional trade in the world, estimated at only 10
and Mwanza were involved with three types of agricultural crops %. Addressing this by building on current regional integration
Beans, Maize and Rice. Results indicate that trading to EAC agendas to facilitate cross-border trade, develop regional
member countries is more benefit than trading locally. Moreover infrastructure is important to build a sustainable agri-food sector
there are number of obstacles such as unstable agricultural export that is responsive to regional demand (European Union, 2013).
policy, infrastructural problems such as roads, police stops and The East Africa Community (EAC), is an intergovernmental
other non-tariff-barriers that hinder the smoothness of the trade. regional body comprising of five countries with a combined
However the study recommended that more assistance is required population of more than 130 million and average annual growth
by EAC Secretariat, East African Business Council and ministry rate of 2.6% according to the facts and figures of the East Africa
of agriculture in Tanzania to support these growing SME so as to Community Secretariat (EAC, 2012).The main agenda of EAC is
tap more benefits and acknowledge their contributions such as attainment of economic, social and political integration, this
enabling proper infrastructures such as roads from the remote to market provides the opportunity for the countries of Eastern
the market areas as well as flow of information and access to African region to exchange their locally produced goods and
finance so as SMAEs can obtain enough capital to expand their services so as to scale up regional development and alleviate
business. poverty.
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Cost and Benefit Analysis empirical observations available that could reveal reactions of
Cost-Benefit Analysis (CBA) is an economic appraisal tool consumers and producers to the new policy set (Tongeren, 2009).
for the comparison of costs and benefits associated with The study analyzed the Costs and Benefit analysis by
alternative approaches. CBA provides a useful basis for decision- comparing the Net Present Values (NPV) of Small and Medium
making and assists in the systematic appraisal and management Agro-Enterprises trading to EAC partner states and the Net
of capital and current projects (CEEU, 2014). Present Values (NPV) of Small and Medium Agro-Enterprises
Cost and Benefit Analysis approach normally seeks to trading locally within the country so as to establish the difference
quantify costs and benefits from changing the current policy. The between the two groups.
current policy may be a situation of no regulation or no The choice of years to be included were based on the
interference with the market (do-nothing). The typical problem correlation between the experiences (measured in terms of years)
facing such an assessment is that some of the relevant cost and of Small and Medium Agro-Enterprises (SMAEs) exporting to
benefit items cannot be estimated with great precision simply EAC countries and the current capital. The correlation as Table 4
because the policy change is hypothetical and there are no below shows was significant at 0.001 and the sign for the
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correlation was positive meaning that experience has a positive partner states.
relationship with the current capital of SMAEs exporting to EAC
Experience in
Current Capital Agribusiness trade
Current Capital Pearson Correlation 1 .313**
Sig. (2-tailed) .001
N 104 102
Experience in Agribusiness Pearson Correlation .313** 1
trade Sig. (2-tailed) .001
N 102 103
**. Correlation is significant at the 0.01 level (2-tailed).
Thus, the average experience of SMAEs was 9.9 years (10 for example spending time with families as majority of SMAEs
years) and the average current capital stood at 30 006 000/= owners are married. Table 5 shows marital status of SMAEs
Millions Tshs the SMAEs exporting to EAC country, and 25 owners;
845 238/=Millions Tshs for the SMAEs trading locally within the
country. The same procedure was followed to determine the
correlation between experience and current capital for those III. RESULTS
SMAEs traded locally within the country. The Net Present Value Small and medium agro-enterprises current capital
formula used was as follow. The current capital of SMAEs vary significantly across
T
Bt C t
(1 + r )
different categories of Small and Medium Agro-Enterprises
NPV = t (SMAEs). The results in Table 13 show that, 13 (12.4%) of the
0 SMAEs engaged in EAC cross border trade, had the current
B0 C0 B C B C
NPV = + 1 11 + .......... T 10T
capital of up to 5 Million Tshs, these represent Micro
Enterprises. About 90 (85.7%), of the SMAEs engaged in EAC
(1 + r ) 0
(1 + r ) (1 + r ) cross border trade had the current capital of above 5 Million Tshs
Where: to 200 Million Tshs; these represent Small Enterprises and 1
NPV= Net Present Value (1.0%) of the SMAEs had the current capital of ranging from
B = Benefits at time t above 200 Tshs. Millions to 800 Million Tshs; these represent
C = Costs at time t Medium Enterprises, with the average Current capital of 30 000
t = Time 000/= Tshs and with a minimum 400 000/=Tshs and a maximum
r = Discount rate of 320 000 000/= Tshs. as for those who trade locally within the
country were 2 (1.9%) had the current capital of up to 5 Million
The choice of the discount rate was taken from the monthly Tshs; these represent Micro Enterprises, and 103 (98.1%) had
economic review of March 2014 from the Bank of Tanzania the current capital ranging from above 5 Million Tshs to 200
(BOT) which was 16.00% and this was used to discount the net Million; these represent Small Enterprises and had an overall
returns of maize, beans and rice which are both exported by capital of 24 197 000/= Tshs, with a minimum of 700 000/=Tshs
Small and Medium Agro-Enterprises (SMAEs) to East Africa and a maximum of 75 000 000/= Tshs. This means that most of
Community (EAC) countries and traded locally within the the Tanzanias enterprises who engage in agricultural trade
country. The net returns were calculated on the basis of trading locally within the country and in EAC cross border trade are
activities observed per week whereby SMAEs were found to small enterprises. This trend is a result of having low income
export agricultural goods on average of once per week and travel generation capacity among the traders. Majority depend fully on
to EAC countries to sell the commodities. It normally takes an the agribusiness trade as their major occupation. These also have
average of three days to sell all agricultural goods exported. The family responsibilities as majority are also married and sustain
returns for each agricultural goods were calculated on the basis their family with the same returns or profit they obtain, and this
of net returns per week (per one trip), then the values were leads to gradual growth of their capital as most of them depend
aggregated on average of 30 weeks in a year. Other weeks in a on personal saving.
year were omitted because of seasonal variation of each
agricultural goods traded, the supply and demand shifting as well
as other activities carried out by SMAEs owners; this includes
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Table 3: Borders used by Small and Medium Agro-Enterprises in Cross border trade to East Africa Community partner
states
Results of Costs and Benefit Analysis gives them greater profit and eventually greater Net Present
Costs and Benefit analysis method was used to analyze the value.
effect of the existing East Africa Community (EAC) Non-tariff Rice is the second highest traded agricultural product after
Barriers (NTBs) on Small and Medium Agro-Enterprises maize. Although there is low level of exports of agricultural
(SMAEs) cross border trade in Tanzania. The results of Costs products to Uganda by Tanzanias SMAEs, given the presence of
and Benefit analysis are as shown on Table 18 and Table 19. few SMAEs exporting rice to Uganda, they (SMAEs) basically
The results show that for the SMAEs exporting agricultural enjoy higher returns obtained, especially because they (SMAEs)
goods to EAC partner states, maize was found to have the buy from several places at lower prices in Mwanza and
greatest NPV of 1 493 742 170.68/=Tshs followed by rice 1 120 Shinyanga and sell the product at higher price in Uganda. On the
132 841.95/= Tshs and then beans at 690 569 747.07/= Tshs. other hand, the NPV for SMAEs who export rice to Uganda is 1
This is because maize is the main staple food in the region and 120 132 841.95/=Tshs higher than the NPV for SMAEs who
maize is a major source of food in the region therefore most of trade locally as the results in Table 18 and Table 19 show. It
the farmers grow the crop since it requires short period of time to means that exporting rice to Uganda is more profitable than
mature compared to other food crops, also its constant demand in selling the product locally and this might be due to the fact that
the EAC market encourage many farmers to grow the crop for in Mwanza there is a surplus of rice as the product is brought
cash and for food. Moreover NPV for maize for SMAEs from various neighbouring regions which make the price to go
exporting to EAC partner states is higher than the NPV of the down.
crop for SMAEswho trade locally within the country and Beans is another agricultural product exported to the EAC
particularly in the Arusha Region as results in Table 18 and countries; despite its NPV being the lowest among the three,
Table 19 show. beans still offers higher NPV especially for those who export the
However, according to Guthiga et al. (2012), there is the product to the EAC countries as Table 18 and Table 19 show.
presence of maize surplus areas in Uganda and Tanzania and The reasons for this is that beans is not the main food like maize,
deficit areas in Kenya. This study observed that maize attracts which means there is an alternative for beans such as different
maize intra-trade activities in the region as it offers good price in types of peas including pigeon peas (Cajanus cajan), cowpeas
the market and it is convenience in the production process by (Vigna unguiculata) and a variety of vegetables which consumers
Tanzania SMAEs exporting to Kenya. Therefore most of the in East Africa may use as a substitute of beans.
SMAEs trade large quantities of maize as opposed to the Generally for SMAEs trading locally within the country,
quantities of beans and rice exported to Kenya which in turn beans has higher NPV followed by maize and rice and the
reasons could be due to the fact that at least every farmer in
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Table 4: Estimated Average Costs and Benefits per week (Trip) exported to EAC partner states (n=105)
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Table 5: Estimated Average Costs and Benefits per week (Trip) traded locally within the country (n=105)
COSTS
Quantity purchased 390.8809524 118.0769231 53
47849.40476 108940.5128 92000
Buying price ( Tshs / bags, 1bag=100Kg)
18787145.83 13028051.28 5200000
Total Costs of Buying
Labour costs to pack and unload 390445.2381 118076.9231 186400
Transport costs/hiring a truck 1197261.905** 356564.1026** 125700
16333.33333 10820.51282 8000
Information costs
Accommodation and Meals 16333.33333 11461.53846 10000
Travelling Costs 16714.28571 11307.69231 10000
Municipal Council 121000
Total Costs 20424233.93 13536282.05 5661100
BENEFITS/RETURNS
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Obstacles for Agribusiness cross border trade in East Africa majority are small enterprises based on their level of capital, on
Community the other side from the results the NPV of Maize exported to
The study revealed that in different season based on EAC countries is highest among the three crops, this suggests
Tanzania government food supply evaluation, the government that there is possibility of more income if there will be proper
may restrict export and affect the whole trade. However poor marketing information on demand and Price of Maize.
infrastructures such as roads from the farmers to the market pose
a big problem for the smoothness of trade. According to the
reported cases to TCCIA (2014) database on Non-Tariff Barriers ACKNOWLEDGEMENTS
Monitoring Mechanism transport, clearing and forwarding The authors would like to acknowledge the African
accounts for 24.24% of the reported NTBs. These information Agribusiness Academy (AAA) and African Economic Research
from TCCIA concur with the findings from this study focused on Consortium (AERC) for the Research Grants. They also grateful
Arusha and Mwanza border points using Mutukula Border in to Agricultural Economics and Agribusiness Department at
Kagera Region whereby Small and Medium Agro-Enterprises Sokoine University of Agriculture staff in Morogoro Tanzania
(SMAEs) owners hire trucks to transport their agricultural goods for their support. `
to the EAC market particularly Kenya and Uganda and where the
roads are good. The major problem in transporting the goods by
road is the presence of police roadblocks. At police roadblocks, REFERENCES
police officers stop commercial vehicles at various intercountry
[1] African Union Commission (2007). African Integration Review. African
road blocks and at border crossings even where there is no Union, Addis Ababa, Ethiopia. 5pp.
sufficient proof that the goods being transported are of suspicious [2] Central Expenditure Evaluation Unit (2014). Guide to economic appraisal:
nature. Carrying out a cost benefit analysis. The Public Spending Code.
Engel et al.,(2013) concluded that governments in sub- [http://publicspendingcode. per.gov.ie/wp-content/uploads/2012/08/D03-
Saharan Africa intervene heavily, particularly in times of rising Guide-to-economic-appraisal-CBA-16-July.p df] site visited on 14/06/2014.
food prices. This was particularly pronounced during the recent [3] East Africa Community (2012). Status of Elimination of Non-Tariff
Barriers in the East Africa Community. East Africa Community Secretariat,
food crisis through non-tariff measures. Trade and agricultural Arusha, Tanzania. 50pp.
policy are also becoming regionalised but there is significant [4] Engel, J., Jouanjean, M., and Awal, A.(2013). The history, impact and
difference in terms of the speed of integration and harmonization political economy of barriers to food trade in sub-Saharan Africa: an
across the continent, as well as the extent to which non-state analytical review. Barriers to food trade in sub-Saharan Africa. ODI
actors are incorporated into these processes. Better infrastructure Report.54pp.
and trade related services can facilitate the spatial integration of [5] European Union (2013). How investment in the African Agri-food sector
can help support: Seminar co-organised with DG Development and
product and factor markets in both the agricultural and non- Cooperation Europe Aid development Agribusiness and Development:
agricultural sectors. April 10, 2013. Charlemagne, Brussels. 16pp
[6] Guthiga, P., Wambugu, S., Ogada, M., Massawe, S., Karugia, J.,
Katjiuongua, H. and Oehmke, J. F. (2012). East Africa Maize Trade
Impacts. A Synthesis of Findings Policy Brief. United States Agency for
IV. CONCLUSION AND RECOMMENDATIONS International Development, East Africa. 4pp.
The analysis shows that there is potential profit from trade [7] Integrated Business Survey (2010). Tanzania Mainland Distributive Trade
of agricultural commodities to EAC countries by Tanzania Analytical. National Bureau of Statistics. Ministry of Finance, Dar es
Salaam, Tanzania. 189pp.
SMAEs which is yet to be taped. in all the comparative analyses
[8] Tanzania Chamber of Commerce Industry and Agriculture (2013). Best
done in this study using Cost and Benefit Analysis to compare Small Business Project The NTBS SMS and Online Reporting and
the Net Present value of the three agricultural commodities Monitoring Mechanism. Application for Best Small Business Project World
namely maize, beans and rice traded to EAC countries and Chambers Competition, Dar es Salaam, Tanzania. 10pp.
similar commodities traded locally within the country, have [9] Tongeren, F., Beghin, J. and Marette, S. (2009). A Cost-Benefit
shown that in all three agricultural commodities, the Net Present Framework for the Assessment of Non-Tariff Measures in Agro-Food
Trade. Working Papers No. 21. Food Agriculture and Fisheries, Paris. 71pp.
Values for EAC Cross Border Trade were bigger than the Net
Present Values of the commodities traded locally within the
country. There are number of obstacles such as unstable
agricultural export policy, infrastructural problems such as roads, AUTHORS
police stops and other non-tariff-barriers that hinder the First Author Eliaza Mkuna, Graduate Student, Department of
smoothness of the trade. However in supporting Agribusiness Agricultural Economics and Agribusiness, Sokoine University of
cross border trade there should be an effort with the government Agriculture, P.O Box 3007, Morogoro, Tanzania
and other stakeholders such as EAC Secretariat, East African Second Author Andrew E. Temu, Professor, Department of
Business Council and ministry of Agriculture in Tanzania to Agricultural Economics and Agribusiness, Sokoine University of
lubricate the flow of information on access to finance so as Agriculture, P.O Box 3007, Morogoro, Tanzania
SMAEs can obtain enough capital as the results show that
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Abstract- This study was done to assess farmers perceptions on the changes in resource uses to accommodate the increasing
climate change impacts in different rice production systems in population, this lead to destruction in the water catchment,
Morogoro Tanzania. In specific the study analyzed farmers environment at large and speed the rate of climate change effect
socio-economic characteristics in different rice production (Moyo et al., 2012; Martin et al., 2000). The impacts of climate
systems in Morogoro Tanzania and also examined farmers change in Africa are large and wide ranging, affecting many
perceptions on climate change impacts in different rice parts of peoples everyday lives. Many climate change impacts
production systems in Morogoro Tanzania. Both secondary and studies predict negative impacts of climate change more specific
primary data using a structured questionnaires and focus group on agricultural production and food security in large parts of sub-
discussion were collected from Morogoro rural and Mvomero Saharan Africa (SSA) (FAO,2008 as cited by ISS,2010).Among
Districts in Morogoro Region, Tanzania. The study employed important issue in agricultural adaptation to climate change is the
cross sectional research design by which data were collected at way in which farmers apprise their expectations or perceptions of
one point in time. However the sample size involved was 150 the climate in response to unusual weather patterns
respondents. The analyses were done using descriptive statistics (Gbetibouo,2009). However perception refers to the process
to analyze farmers socio-economic characteristics and Likert concerned with the acquisition and interpretation of information
scale was used to assess respondents perceptions on the climate from ones environment (Maddox, 1995).Maddison (2006)
change impacts in different rice production systems. The results described that adaptation to climate change requires that farmers
indicate that socio-economic factors such as age, education level, first notice that the climate has changed, and then identify useful
household size and main activities of the household affect the adaptations and implement them. Most researchers argue that
climate change adaptation and coping strategies perception of environmental perceptions are among the key elements which
rice farmers. Moreover small number of respondents believed influence adoption of adaption strategies. Nevertheless
that the climate change is threat to future food security, and also perceptions may be categorized based on context and location
majority of farmers perceived that climate change might lead to specific due to heterogeneity of factors that influence them such
crop failure, unpredicted seasons, drought and floods. The study as culture, education, gender, age, resources, endowments, and
suggested that there is a need for upscalling of awarewness, institutional factors (Rashid et al., 2014).
education and capacity building on good agricultural practices Slegers (2008) as cited by Moyo et al., (2012) also indicated
which will assist farmers to cope with climatic changes. that experience is an important factor that shapes individuals
perceptions, in terms of seasonality, by which with bad
Index Terms- Farmers perception, climate change, rice experiences of the seasons which the climate was not supportive
production system for agriculture production such as drought seasons conveying
memories and being responsible for how farmers may tend to
describe different season types. Even though there are several
I. INTRODUCTION studies on climate changes in agriculture, and crop sub sector in
particular (Mbillinyi et al., 2010; Herath et al., 2011;
A mong the modern global challenge is Climate change,
climate change has been recognized as a foremost human
and environmental crisis of the 21st century. Particularly in
Nhemachena et al., 2010; Rowhan et al., 2011) still little is
known regarding the farmers perceptions on economic impacts
Africa and other developing regions of the world, climate change of climate change under different emission scenarios, costs and
is a hazard to economic growth, long-term prosperity, as well as benefits of adaptations in different smallholder rice production
the survival of already vulnerable populations. Consequences of systems in Tanzania. These include the rain-fed upland rice, the
this include persistence of economic, social and environmental lowland water harvesting-based and the irrigated systems.
vulnerabilities particularly for the economic and livelihood This study aimed; i) To analyze farmers socio-economic
sectors (IPCC, 2007; ISS, 2010). The consistency of variability characteristics in different rice production systems in Morogoro,
of rainfall is a substantial constraint to the sustainability of rain- Tanzania. ii) To assess farmers perceptions on climate change
fed farming systems in least developing nation particularly sub- impacts in different rice production systems in Morogoro,
Saharan Africa (SSA) (Moyo et al., 2012; Unganai, 2000). Due Tanzania. The study aim to contribute in sharing the
to the fact that, most of SSA countries are heavily depending on understanding and knowledge farmers perception toward climate
rain-fed agriculture system a number of factors now tend to change on rice farms, this will help policy makers and various
affect the sector such as rapid population growth which influence projects aimed at generating adaptive strategies on climatic
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changes specifically on how to approach these societies having was useful as it allowed freedom of expression and maximum
prior knowledge on their perception. participation in respect to knowledge, experience, opinions and
feelings.
II. METHODOLOGY
This study was conducted in Morogoro rural and Mvomero III. RESULTS AND DISCUSSION
Districts in Morogoro Region, Tanzania, using a cross sectional Demographic and Social-Economic Characteristics of the
approach by collecting data at one episode of time. A cross Respondents
sectional household survey was carried out using a standard The socio-economic profile of the respondents examined
structured questionnaire and both qualitative and quantitative were age, marital status, household size, education of the
methods of data collection and analysis. Moreover, Primary data respondent, main activities of the respondents, perception on
using focus group discussion with key informants were held. The climate as follows:
questionnaire assessed farmers perception of changes in rainfall, Age of the respondents
temperature and extreme weather events in the last 20-30 years The distribution of the respondents according to age was
and effects of climate change on crop production , rural urban presented in (Table 1). The age of the respondent indicated that
migration in the last 20-30 years , adaptation options used to experience had an influence on agricultural production and
mitigate the impact of climate change and demographic and adaptation options. A large proportion of respondents were 32-51
Social- economic characteristics of the respondents. years old, followed by over 51 years old and few respondents
Purposive sampling technique was used to obtain the study were in the age below 32 years old. This implied that rainfed area
districts and villages. The main criteria for selection were the had large group (58%) of active people aged between 32-51
different agro-ecological zones and smallholder rice farmers. years followed by irrigated (56%) and rainwater harvesting area
These agro- ecological zones were Rainfed , Rain water (44%). Therefore, results of this study revealed that, many of the
Harvesting and Irrigation. Morogoro rural and Mvomero households heads were in the age group of active people and
Districts were purposively selected for the study. A total of three could take actions on adaptation measures on the climate change.
villages were purposively selected, that is, one village from Education level
Morogoro rural District which is Kiroka and two villages from The distribution of respondents by education level indicated
Mvomero District which Mgongola and Mkindo area practicing that most of the respondents in irrigated area had primary
Rainfed , Rain water Harvesting and Irrigation system education (78%) and beyond secondary education (4%)
respectively. compared to non-irrigated areas (Mgongola and Kiroka). Rainfed
In each village, sampling frame was used to select a random area had high level of illiteracy (28%) compared to other
sample of 50 smallholder farmers from the village household villages. In addition, rainfed and rainwater harvesting areas had
register. For the sampled household, the head or his equal number of respondents with secondary education (6%)
representative was interviewed. Therefore, the study covered 150 compared with respondents from irrigated (4%) Based on these
respondents in total. findings, one could infer that farmers with high level of
The study adopted descriptive analysis method in analyzing education marginally had more knowledge and information on
farmers socio-economic characteristics in different rice good agricultural practices, coping and adaptation strategies and,
production systems in Morogoro Tanzania. In assessment of those farmers with tertiary education were able to synthesize
farmers perception on climate change impacts, Likert scale was information much better than those who had less formal
used to assess and present findings of respondents perceptions education or illiterate. This indicated that farmers education and
on the climate change impacts in different rice production skills were important factors in production activities; adaptation
systems. For each perception measuring statement respondents of strategies (options) against adverse effects of climate change.
were asked to state whether they agree, strongly agree, disagree, Household size
strong disagree or were neutral (Undecided). In analysing the Irrigated area had higher percentage of the household size,
responses, agree and strong agree responses were combined into 5-7 members, (48%) compared to rainfed area (42%) and
one category to indicate strongly agree while disagree and strong rainwater harvesting area (38%) locations (Table 1). Results
disagree were combined to indicate strongly disagree and neutral from this study indicated that large household size might have
were treated as dont know (undecided). For qualitative data positive impact in the improvement of the productivity especially
collection, focus group discussions and key informant interviews if members fully participate in farming activities. These findings
were used. indicated that households with large farm size were more likely
However focus group discussions were done in the three to engage in agricultural production, take advantage of high
villages. The group participants and key informants were chosen production in agriculture and are more likely to adapt to climate
with the intent of balancing social aspects such as gender, age change.
and geographical dispersion in the target areas. During the Main activities of the head of the household
discussion, a checklist with guiding questions was used. The Majority of the respondents in rainwater harvesting areas
information gathered included farmers perception on climate (72%) were engaged in crop production and, other activities
change impacts, adaptation strategies used in the community by (28%) such as causal labour and livestock keeping. Most of the
farmers, challenges faced when adapting, costs and benefits of respondents in rainfed areas (44%) engaged in crop and livestock
adaptation, production practices used by rice producers and production compared to irrigated (16%) and rainwater harvesting
climatic trends for the past few years. Focus group discussion (12%). The majority of the people in irrigated area (18%) earned
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their living from crop production and business followed by activities and engagement of work for wages were taken as
rainwater harvesting (16%) and rainfed category (10%). This coping strategies to supplement income and against climate
suggested that, crop production was the major activity in the change impact in the study area.
study area followed by livestock keeping while off farming
Age
< 32 9 18 12 24 12 24
32 51 29 58 22 44 28 56
Above 51 12 24 16 32 10 20
Total 50 100 50 100 50 100
Education level
No formal education 14 28 11 22 7 14
Primary 33 66 36 72 39 78
Secondary 3 6 3 6 2 4
Beyond Secondary 0 0 0 0 2 4
Total 50 100 50 100 50 100
Household Size
<2 6 12 12 24 7 14
34 18 36 17 34 14 28
57 21 42 17 34 24 48
8 10 3 6 4 8 4 8
11 and above 2 4 0 0 1 2
Total 50 100 50 100 50 100
Household Activities
Crop production 21 42 36 72 33 66
Crop and Livestock 22 44 6 12 8 16
Crop and Business 5 10 8 16 9 18
Others (Livestock and 2 4 14 28 0 0
causal labor)
Total 50 100 50 100 50 100
Source: Field Survey (2013).
wood availability. While (10%) of the respondents in rainfed
The Perception of Farmers about Climate Change Impact system perceived that there were no threats from climate change
Threat from climate change in any of the livelihood sectors. This was due to lack of
The perceptions regarding threats from climate change knowledge and awareness on the impacts caused by the climate
impacts differed among farmers (fig. 3). The study found that in those sectors.
climate change was perceived to have more impact on agriculture
than on other sectors, as agriculture depended much on rainfall
compared to other sectors. A few respondents (about 2%)
perceived climate change impacts in the health sector and fuel
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90
Threat from climate change
80
Percentage of Respondents
70
60
50 Kiroka (Rainfed)
40 Mgongola (RWH)
30 Mkindo (Irrigated)
20
10
0
Health Agriculture Health and Fuel wood
production agriculture availability
Livelihood Sectors
The majority of the respondents (98%) across the rice which was below the average national rice production in
production systems perceived climate change to have impacted comparison with other systems. For example, RWH and irrigated
negatively on rice production (Fig. 4). Climate change impacts systems had production level of 1.24 and 4.51 tons per hectare,
all the production systems with differing magnitude of impacts respectively, under a changing climate. Therefore, farmers were
on yields that cannot be explicitly conceived in mere perception aware of the adverse effects of climate change on rice
of farmers. Under a changing climate, with no adaptation, rainfed production.
areas and RWH experienced low yields of 0.72 tons per hectare,
Rainfall-related production risks June; the dry season started from July to August; and Vuli from
Results from the FGDs conducted in Rainfed, RWH and September or mid-October. In Kiroka where rainfed rice
irrigated areas indicated that there were changes in rainfall production is practiced, for the past 30 years Masika regularly
patterns for the past thirty years. For example in the past 30 years started from February to June; the dry season from June to July;
(1980s) Masika rain season regularly started from March to while Vuli started from August to September. Due to heavy
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rainfall in year 1999, irrigated areas experienced floods which maize, sorghum, cassava and rice. Therefore, the changing
had big impacts on their livelihoods (Daninga, 2011). pattern of rainfall regime resulted into a number of production
Furthermore, respondents reported that in recent years the risks that farmers had to bear over time.
Vuli and Masika rains were not predictable in Irrigated and RWH
areas. Masika usually lasted from February to July while Vuli, Flooding
with relatively low amount of rainfall, lasted from September to Results in Table 5 show that about and over three quarters
December. These seasons patterns led to change in the crop (74% and 88%) of the respondent farmers in RWH and irrigated
pattern and for example, the main crops grown currently were areas concurred with the argument that due to the change in
rice and maize. In Kiroka where rainfed rice production is rainfall pattern, the incidences of floods had increased in their
practiced, currently Masika lasted from February to April; the areas. The incidences of floods were relatively less perceived by
dry season from May to September; while Vuli lasted from farmers in a rain-fed farming system.
October to December and the main crops grown were banana,
The lowland irrigated and RWH crop land landscapes are Crop failure
prone to flooding with high intensive rains. For example, in year The results in Table 6 indicate that majority of respondents
1999, floods occurred in Mgongola and led to the destruction of (88%-100%) across the rice production systems perceived that
houses and farms. In rain-fed uplands, the hilly land scapes rainfall related risk due to climate change and variability caused
facilitated drainage of excessive rain currents down the slopes, crop failures.
hence reduced the threat of flooding.
These observations corresponded with the findings from the diseases. Results in Fig. 5 show that most of the respondent
study reported by IFPRI (2007) that, farmers perceived that farmers (> 90%) agreed that drought had adversely impact their
drought, heavy rainfall and floods were the major causes of crop rice production. According to Daninga (2011) the high frequency
failure. This implied that rainfall fluctuation also affected crop of drought was a result of numerous economic activities. This
production much in the study area. culminated into the destruction of the environment and adversely
affected rainfall formation cycle hence minimizing chances of
Drought risk having rainfall in the area. For example, it was observed that due
Drought aggravated by climate change and variability has to increased population pressure forests had been encroached by
led to impacts in crop production. These impacts include reduced farmers in search of agricultural land and firewood collection.
and failed crop yields, increased crop pest infestation and
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DECLARATION OF INTEREST [9] Moyo, M. , Mvumi ,B.M., Kunzekweguta, M., Mazvimavi, K., Craufurd, P.
and P. Dorward (2012). Farmer perceptions on climate change and
The author of this paper declare no any conflict of interest variability in semi-arid Zimbabwe in relation to climatology evidence.
with any part. African Crop Science Journal, Vol. 20, pp. 317 335
[10] Nhemachena, C., Hassan, R. and Kulukulasuriya, P. (2010). Measuring the
economic impact of climate change on African Agricultural production
systems. Journal of Climate Change Economics 1(1): 33 55.
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[1] FAO (Food and Agriculture Organisation of the United Nations), Climate Abed,Z. (2014)."Climate Change Perception and Adaptation Options for
change and food security: a framework document, Rome: FAO, 2008, 8. Agriculture in Southern Khulna of Bangladesh." Applied Ecology and
[2] Gbetibouo, G. (2009). Understanding farmers perception and adaptation to Environmental Sciences 2.1 (2014): 25-31
climate change and variability. [12] Rowhani, P., Linderman, M., Ramankutty, N. and Lobell, D. (2011).
[http://www.ifpri.org/sites/default/files/public ations/I fpr idp 00849.pdf] Climate variability and crop production in Tanzania. Journal of Agricultural
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AUTHORS
[6] Maddison, D. 2006. The perception of and adaptation to climate change in
Africa. CEEPA Discussion Paper No. 10. Centre for Environmental First Author Victoria Jovin Mugula, Assistant Lecturer
Economics and Policy in Africa, University of Pretoria, South Africa. (Economics), Jordan University College, P.O Box 1878,
[7] Maddox GL. 1995. The Encyclopedia of Agony (2nd edn.). New York: Morogoro, Tanzania; mugulavictoria@gmail.com
Springer Publishing Company, Inc.
Second Author Eliaza Mkuna, Assistant Lecturer
[8] Mbilinyi, B. P., Tumbo, S. D. and Rwehumbiza, K. D. (2010). Economics
of climate change for agriculture sector in Tanzania.
(Economics), Mzumbe University, P.O Box 5, Morogoro,
[http//:www.suanet.ac.tz/ccaa] site visited on 11/1/2015 Tanzania; eliazamkuna@hotmail.com or
ejmkuna@mzumbe.ac.tz
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 341
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Department of Adult Education, Nnamdi Azikiwe University, Awka, Anambra State, Nigeria
Abstract- The main focus of this study was culture and beliefs: who question their audacity and authority to alter nature and
Social implication on education of women in Nsukka Local culture (Simona, 2010). This, therefore, leaves one with the
Government Area, Enugu State, Nigeria. To guide this study, question as to whether all these do not amount to a newer forum
three research questions were formulated. The study adopted a of slavery or whether they are just aimed at sustaining culture.
descriptive survey design. The population of the study comprised Culture in this sense, is the aggregate of the social, ethical,
of all the business women at Ogige Main Market, Nsukka LGA intellectual, artistic, governmental and industrial attainment of a
with first School Leaving Certificates. The sample consisted of community, and by which it can be distinguished from any other
250 business women selected through multi-state sampling community. It includes the ideas, traditions and material objects
technique in which simple random sampling and proportional characteristics of such a community (Anyanwu, 2002). In other
sampling techniques were used. Questionnaire was the words, culture is the totality of peoples way of life.
instrument for data collection which was dully validated by two Moreover, in some parts of the South-East Nigeria, women
experts in Adult Education and one expert in Measurement and up to this day are often exposed to harmful and obnoxious
Evaluation. Data collected were analyzed using mean. The cultural practices after the death of their spouse, ranging from
reliability of the instrument was 0.85. Among the major findings ritual confinement, restriction of movement, deprivation of
of the study were that women play significant roles in national family property to expulsion from the family home. This is in
development such as production of food, health care delivery, agreement with Nmadu (2000) that the Nigerian society (both
peace making, etc. the socio-cultural factors militating against historical and contemporary) has been dotted with peculiar
women education include among others denial of right to own cultural practices that are potently harmful to womens
property, subjection of girls to early marriages, preference of emancipation, such as early/force marriage, wife-inheritance and
boys education to girls. The strategies include early childhood widowhood practices.
development, compulsory education, campaign against early Womens overall development has been characterized by a
marriage, among others. Some of the recommendations include traditional gender bias in economic empowerment which has by
that parents should be sensitized on the need for education of and large locked them into types of work that accord low
girls/women, the education of girls should be caught young, just economic status. The situation affected their value in the society
to mention but a few. and also prevented their movement towards better remunerated
jobs. This situation also deprived women opportunities to
Index Terms- Culture, Education, Women education maximally contribute their quota to national development. This
phenomenon and other harmful cultural practices in Nigeria such
as the preference of male child to female child did not help
I. INTRODUCTION matters with regards to women education. This contributed in
causing retrogression in women education as many parents
W omen are generally considered to be at the lowest rung of
poverty ladder in Nigeria. Women are more than fifty
percent of the worlds population. They perform two-third of the
preferred withdrawing their daughters as to give room for their
sons education (Adedokun, 2011).
worlds work, yet receive one-tenth of the worlds income and Fadeiye and Olonegan (2001), viewed woman education as
own one-hundredth of the worlds property. They represent a a process of enabling women to develop the capacity to actualize
staggering seventy percent of the worlds one billion poorest their potentials. It involves all efforts that is geared towards
people. This is a stack development reality for our world harnessing the hidden or untapped potentials in women. Women
(Elegbede, 2012). should thus be looked at as individuals that posses some hidden
In Africa, most women have been politically, socially and potentials to contribute to national development. They should,
economically oppressed, discriminated and repressed for so long therefore, be encouraged to develop to their fullest potential
that in these societies, they still encounter many impediments and through education. Wikipedia (2015) defined education as a
they try to ascend to different positions apart from the ones process of teaching and learning skills and knowledge. It also
originally reserved for or expected from them (African means helping people to learn how to do things and encouraging
Development Forum, 2008). Attempts by women rights them to think about what they learn. It is, therefore, important for
advocates to challenge the status quo have often met with stiff educators to teach ways to find and use information. This is in
resistance from the men and even some women of such societies, line with Anugwom (2009) that education is the main tool for
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imparting skills and attitudes relevant to the contribution of the used to selected sample from each community using 50%. A self
individual to the development of the society. It is a key every structured questionnaire titled social implication of culture and
individual should possess in order to make significant beliefs on education of women (SIOCAOEOW) was used. The
contribution to national development. instrument was subjected for validity by two experts in Adult
Unfortunately, one of the major areas where women are education and one expert in Measurement and Evaluation all
socially discriminated and suppressed with great consequences from University of Nigeria, Nsukka, Nigeria. Comments and
on their individual futures and that of the society as a whole is recommendations were effected in the final construction of the
education. Despite the massive global sensitization on gender instrument by the researcher. The reliability of the instrument
equity in the provision of educational services, some women in was ascertained using Cronbach Alpha and 0.85 was obtained
Nsukka Local Government Area are still being discriminated in and was adjudged highly enough. The data collected was
education. Evidence abounds that in some communities in the analyzed with Mean. Decision rule was based on 4-points
area, preferences are still given to education of boys much more numeral values assigned: Strongly Agree (SA) = 4 points, Agree
than girls. The girls are sent to early marriages while their boys (A) = 3 points, Disagree (D) = 2 points and Strongly Disagree
are in school thereby creating more illiteracy in the society which (SD) = 1 point. The criterion mean is 2.5. This implies that any
is a gap that needs to be bridged. For instance, girls who have mean that is up to 2.5 and above was agreed on while means
succeeded in finding themselves in schools are also exposed to below 2.5 were not agreed on. The means were also ranked.
teachers and other school activities that reinforce negative gender
stereotypes, discriminatory practices and even sexual harassment.
Some women at Nsukka are still being oppressed with IV. RESULTS/FINDINGS
humiliating and dangerous widowhood rites, relegated to low The findings of the study were presented according to the
income jobs, denial of the right to own land or property, as well research questions in tables 1, 2 and 3. Out of the 250 copies of
as denial of the right of widows to inheritance all because of the questionnaire distributed and returned, 7 were badly filled
cultural belief. Many still believe the saying that a mans culture and discarded while the remaining 243 copies were presented
is his identity to perpetuate acts of injustice on women in the and analyzed in tables using mean.
name of identifying with their culture. This has even become so
serious that some of the women have accepted their fate and see Research Question 1
such oppressive culture into which they were born as immutable What are the roles of women in national Development?
and sacred. Many of the women are engaged in one business or
the other at Ogige Market, Nsukka, just to earn a living. Table 1: Roles of women in national development
Therefore, the exclusion of these women from education
due to culture and beliefs that women are intelligently weak,
S/N Roles Mean Rank
potential and future housewives and not major key players in
1. Production of food for all 3.84 1st
society has created a negative mindset about female education
which is suppose to be a reverse. It is against this background 2. Representation of women 2.66 9th
that makes this topic well founded and timely by the researcher. in politics
3. Peace making in societies 3.72 2nd
4. Coordinating of resources 2.87 7th
II. RESEARCH QUESTIONS 5. Management of homes 3.65 3rd
6. Nursing mothers/carers 3.55 4th
The following research questions were formulated to guide 7. Agents of socialization 3.36 5th
the study. 8. Educating of masses 2.84 8th
1. What are the roles of women in national development? 9. Health care delivery 3.21 6th
2. What are the socio-cultural factors and beliefs that
militate against women education empowerment in Table 1 revealed that all the items were agreed by the
Nsukka Local Government Area? respondents. This is because the mean scores in all the items are
3. What are the strategies for enhancing women education above the criterion mean of 2.5 which implies that all the items
in Nsukka Local Government Area? are the roles women play in national development.
Research Question 2
III. MATERIALS AND METHODS What are the social-cultural factors and beliefs that militate
The study adopted a survey research design. The population against women education empowerment in Nsukka LGA?
of the study comprised of all the business women with First
School Leaving Certificates (FSLC) at Ogige main Market who Table 2: Socio-cultural factors and beliefs that militate
are indigens of Nsukka LGA. The sample of the study consisted against women education empowerment in Nsukka LGA.
of 250 business women selected through multi-stage sampling
technique. In the first place, out of the 18 communities that make S/N Factors Mean Rank
up Nsukka LGA, 9 communities were randomly selected. 1. Women are oppressed and 2.74 6th
Secondly, to make sure that the 9 communities are equally humiliated
represented in the sample, proportionate sampling technique was
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2. Women are relegated to low 3.30 5th criterion mean of 2.5. This implies that all the items are useful
income jobs strategies for enhancing women education in Nsukka LGA.
3. Denial of the rights to own 3.72 2nd
land/property
V. DISCUSSION
4. Preference of education of boys 3.74 1st
to girls The data in table 1 revealed that all the items were accepted
th by the respondents as the roles of women in national
5. Women regarded as inferior sex 3.42 4 development. This implies that the women play significant roles
6. Sexual harassment 2.61 7th in both Federal, State and Local government levels in
engendering enormous development in Nigeria. This agrees with
7. Ritual confinement of widows/ 2.52 9th Awe (1990) who sees the importance of women from their roles
widowhood rites as peace and stability at home that depends largely on the
managerial abilities of women. She further stressed that the
8. Subjection of girls to early 3.53 3rd women, especially the mothers plan, organize, direct and
marriages coordinate all resources at home to the benefit of all members of
9. Exclusion of women from 2.60 8th the family. Effective management of the home promotes national
public leadership of family. development. But wherever this is lacking, the reverse is usually
the case (Lasiele, 1999). In agricultural sector, women have
Table 2 equally revealed that all the items were agreed by made significant contribution to food production and processing.
the respondents because all the means scores are above the Olawoye (1985) describes Nigerian women as a crucial factor of
criterion mean of 2.5. This implies that all the items are the production. To him, they assumed this status because they are
socio-cultural factors and beliefs that militate against women largely responsible for the bulk production of crops, agro-based
education in Nsukka LGA. food processing, presentation of crops and distribution of yields
from farm centres to urban areas. This corroborates with the
Research Question 3 report by NAERLS (2000) that women in Anambra State of
What are the strategies for enhancing women education in Nigeria contribute more than the men in terms of labour input in
Nsukka LGA? farming and are solely responsible for household management
duties.
Table 3: Strategies for enhancing women education in In the political and decision making spheres, women in
Nsukka LGA. Nigeria have also played important and vital role. For example,
in Nigeria, some women have held positions at both Federal,
S/N Strategies Mean Rank State and Local government levels. They include Mrs. Okonjo
1. Early childhood development by 3.32 1st Iweala (Minister of Finance), Hon. Saudatu Sani (chairman,
parents. house committee on women affair and youth development), Hon.
Abike Dabiri (Chairman, house committee on media and
2. Intervention to reduce the 2.58 8th publicity), among others. These women helped in empowering
opportunity cost of schooling for Nigeria women and contributing to national development.
girls. The data in table 2 revealed that all the items were accepted
3. Mobilizing women to go to 3.01 3rd by the respondents as the socio-cultural factors and beliefs that
school militate against women education empowerment in Nsukka
Local Government Area. The sub-ordination and marginalization
4. Adopting basic education to 3.23 2nd of women affect the educational empowerment. This is in
catch girls young as they grow support with Eya (2005) that instances of socio-cultural
into adulthood. subjugation of women abound in contemporary Africa Societies.
5. Creating a conducive learning 2.90 6th There is till a high preference of boys to girls and men to women.
environment Consequently, some women have lost their human identity and
dignity right from birth. This issue of high preference of male to
6. Compulsory education 2.85 5th female children has brought a lot of conflicts and violence in
matrimonial homes as the women involved are often maltreated
7. Sensitization of parents on the 2.77 4th
and held responsible for changing the baby boys in their wombs
need for girls education.
to girls in a situation where majority of the children happen to be
8. Non-formal education for out-of- 2.54 9th girls.
school girls/women. More so, there is still a lot of sexual degradation and
exploitation. Most societies, especially in Africa believed that
9. Campaign against early 2.66 7th sexuality and women mean the same thing. Female sexuality is
marriages. viewed as property of men and the women have no control and
right over their own sexuality. It is, therefore, not surprising to
Table 3 showed that all the items were agreed by the see a man battering his partner for refusing him his right to sex
respondents because all the mean scores are greater than the (even when the women are not in a sexual mood. With this kind
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of mindset, it is not difficult to comprehend why and how some VII. RECOMMENDATIONS
women easily become victims of prostitution. In the same vein, Based on the findings, the following recommendations were
UNESCO (2008) agrees with the view that the female-to-male made:
ratio in school enrollment across Africa remained below 0.80 in 1. Parents should be sensitized on the need for
more than half the countries, as there had instead been a reversal girls/women education. This is to enable them
in the convergence process of the gender gap between boys and understand that girls education is as good as boys
girls in enrollments with a decline from 82% in 1999 to 79% in education and to avoid discrimination against female
2004. This backward trend in the education of girls across Africa, children.
is a product of religious and cultural beliefs that see female 2. The society should abolish the cultural beliefs and
education not only as a waste but also a crime. This, therefore, traditional practices that militate against women. This
creates a huge challenges for most African countries, as the will accord the women equal opportunity with their
agenda of the UN through the Millennium Development Goals male counterpart in developmental issues.
(MGDs) in closing gender gaps in education and other related 3. The government should make education compulsory for
domains within the projected time frame remains elusive. all categories of learners. This will help to catch the
The data in table 3 also revealed that all the items were girls young as they grow into adulthood.
accepted by the respondents as the prospective strategies for 4. Campaign should be mounted on the negative effects of
enhancing women education in the area. It is assumed that when early marriage. This will help to reduce the rate and
the strategies are rightly employed, the tyranny and operation interest of parents in giving their female children out for
against women education will be reversed. Women should be marriage
helped to enroll in educational programmes so as to achieve
social integration. This agrees with Sussmuth (2004) that it is not
the transmission of knowledge that is the problem but the REFERENCES
integration of women against a background of differences in
[1] T. Elegbede, Gender inequality: The Nigerian case, 2012. [online].
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to women participation in literacy programmes, women should dependentnig.com/2012/11/gender.
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(ii) intervention to reduce the opportunity cost of schooling for Alafal Nigeria Company. 2002.
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Nigeria Journal Rural Sociology, 1985. Pp.18-23.
relegated to low income jobs, denied the right to own land or
[13] NAERLS, Assessment of contribution of women to family farming in
property as well as denial of the right of daughters and widows to North-East Nigeria. Report of a research sponsored by the National
inheritance. Girls are sent to early marriages and preference is Agricultural Research Programme, Abuja, Nigeria. National Agricultural
given to male education to their female counterpart, all in the Extension and Research Liaison Service, Ahmadu Bello University, Zaria,
Nigeria. 2000.
name by discrimination and cultural beliefs.
[14] R. Eya, Gender and culture: What needs to change in the society and in the
Women education has been seen as a sinquanon for Church. In Uchem, R. (ed), Gender equality from a Christian perspective,
empowering women to be able to organize themselves to Enugu: Ifendu Publications. 2005. Pp.15-21.
increase their own self reliance and be independent in their way [15] UNESCO (2008). UNESCO Institute for Statistics, 2008. [online].
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[17] The World Bank, Five steps to improving girls education, skills and job AUTHORS
prospects, 2015. [online]. Retrieved on 16th June, 2015 from
http://blogs.worldbank .org/education/five-steps-improve-girls-education. First Author Ewelum Johnson Nnadi (Ph.D), Department of
Adult Education, Nnamdi Azikiwe University Awka, Anambra
State, Nigeria., Email Address: ewelumjohnson@gmail.com &
ewelumjohn@yahoo.com, Phone No: 08064113123.
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 346
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Abstract- One of the methods in the success of the role of sector to encourage the government to be willing to involve other
government that are currently considered relevant in the context actors in addressing public problems. This condition causes the
of governance is the recognition of the role of CSR provided by role of non-governmental organizations / private or non-state to
the private sector in helping the government tackle the various get involved in the affairs of government increased.
problems the public sector. With the legislation on corporate The involvement of non-state actors in this case the private
social responsibility (CSR ) under Article 74, No. 40/2007 on sector and the public is needed, especially in support of the
limited liability company (PT), the Government indicated realization of good governance (Governance). Actor / private
kepeduli anya on issues in the field of CSR in Indonesi a. With organizations now have a very important role to help the public
the law comes the question, the extent to which the ideal role sector so that the state / government will be helped by the
undertaken by the government in the implementation of CSR is participation of the private sector in delivering public services.
to encourage the implementation of CSR Sinarmas in Kodam VII Governance as a selection of models and methods in running
/ WRB in the perspective of governance with less involves actor government power basically rely more heavily on the
others such as Private sector and civil society. By looking at involvement of various elements, both from the community ,
public sector roles in strengthening corporate social among fellow government organizations, non-governmental
responsibility Fox, Ward, Howard (2002), this study will organizations, as well as from private organizations (Leftwich
describe how the roles performed by ernment in the 1993; Rhodes 1997).
implementation of CSR Sinar Mas in Kodam VII / WRB. The In line with the statement then Oyugi (2000) states that
findings of the research show that the government's role was governance means the Government in carrying out its functions
limited to the role of mandating through legislation on how no longer look at the activity and power is in itself, but must
companies in the natural resources sector are required me carry already involve actors and other organizations. Therefore, when a
out CSR activities. The role of government in not maximized as a unit of government performance is measured by the extent of the
facilitating role, Partnering and endorsing. No system of interactions and relationships between the various actors who
supervision in the implementation of CSR RTLH by the exist outside the bureaucracy. One method in the success of the
government involving civil society and the private deposited in Government's role is currently considered relevant in the context
the implementation, therefore, the government should increase of of governance is the recognition of the role of CSR provided by
its role in raising the issue of CSR undertaken by the private the private sector in helping the government tackle the various
sector. problems the public sector. The complexity and rapid change
such as not being able pursued by the government that requires
Index Terms- a social responsibility and corporate responsibility the government to engage other actors in development and
(CSR), the Government role in CSR, Governance. address the problems of the public sector.
To be able to run well and are able to control and supervise
the necessary involvement of other actors outside the State (Non
I. INTRODUCTION State). This is in line with k Concept Governace ADB (2000),
which should prioritize the principles of Transparency,
I n the perspective of the science of public administration, state
authority is seen as an organization that has a role to handle a
variety of public issues. Currently the country is deemed
Accountability, Responsibility and fairnesss, that the
implementation can involve many actors to supervise each other
powerless to overcome the problem became public that like the concept of governance dikemukaan by Rodes (1996),
tangungjawabnya effort, especially issues related to global Stoker (1998 ) involving government actors, private and public.
problems. The impact of globalization and the weakness of The involvement of other actors outside the government in the
human resources (HR) which is owned by the Government is a context of corporate social responsibility (CSR) kuhususnya
challenge, especially in formulating a policy which is expected to private sector and society in governance perspective mela l ui
overcome the problems of the public. Awareness of the weak increasing the role of government in CSR at the core of which is
institutional capacity of government in dealing with the public in gin achieved by this research. By looking at public sector roles
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in strengthening corporate social responsibility Fox, Ward, CSR as can be seen in Table 1. Roles In Strengthening Public
Howard (2002), that the role of government should as Sector CSR.
mandating, facilitating, partnering and endorsing to improve
In line with the (Fox, Ward, Howard, 2002) then O'Rouke Sinarmas and Kodam VII / Wirabuana particular army unit in the
(2004) provide a more detailed explanation about the role of city of Makassar as beneficiaries of CSR programs RTLH.
government above categories. First, the role of mandating when Collection techniques compaction technique yes wawacara and
the government is giving out legally mandated through observation while the key informants were: Regional
legislation or government regulations. So the government can Commander VII / WRB, Head of corporate communication
conduct surveillance in terms of CSR reporting both the Sinarmas President Office, Chief of Engineers Military
evaluation reports and cross-checking the contents of the report. Command VII / WRB Makassar, Pabandya Jaslog Skodam VII /
The second is when the government facilitating provide a WRB, 9 POP of units in carefully composed of Yonkav 10 /
reference or guidelines in the implementation and reporting of assault, Yonzipur 8 / SMG, Yon Raider 700, Zidam VII / WRB,
CSR and CSR information dissemination. The third is partnering Denintel Kodam VII / WRB, Hubdam VII / WRB, Yon Arhanud
in which the government is involved in the promotion of multi- Maleo, Pomdam VII / WRB, Yon Armed 6-67 / Pull, receiver
stakeholder cooperation initiatives or cooperation with the Rehabilitation RTLH CSR program consisting of 27 (twenty
respective companies. In other words, the government can be a seven) community (Soldier / GOVERNMENT EMPLOYEES,
facilitator of dialogue between stakeholders. The fourth is Army and wife) beneficiaries of CSR programs of rehabilitation
endorsing the role of CSR in terms of reporting program through RTLH represented by three people from each POP collected for
positive efforts within a framework of transparency as an interviews each receiver unit RTLH CSR program.
example is the CSR award
With the law on corporate social responsibility (CSR) under
Article 74, No. 40/2007 on limited liability company (PT), the III. RESULTS AND DISCUSSION
Government demonstrated its concern to the issues in the field of The role of public sector in improving CSR (Fox, Ward and
CSR in Indonesia. With the law comes the question, to what Howard, 2002) says that the role of public sector consists of
extent the ideal role undertaken by the government in the Mandataing, Facilitating, Partnering and endorsing that should
implementation of CSR is to encourage the implementation of be run by the Government in the implementation of CSR
CSR Sinarmas in Kodam VII / WRB in governance perspective programs RTLH Sinarmas in Kodam VII /WRB.
by involving other actors such as the private sector and civil The results showed that Roles Mandating (Mandate) can
society. The Role of Government in improving CSR is the which be done with the mandate of the law (law), regulation
is not optimal, especially in the CSR program for Rehabilitation (regulation), penalties (penalties), and public sector institutions
Home unlivable (RTLH) Sinarmas in Kodam VII / WRB, the related to control various aspects of business investment or
formulation problem in this study is "How the Role of operations. According to Fox, Ward and Howard (2002), that the
Government in promoting CSR RTLH Sinarmas In Kodam VII / Government can: a) Ordered and control through Law
WRB Makassar ". Roomates objective of this study is to describe (Command and Control legislation). This is done Through Law
and analyze how the role of government (public sector) on the No. 40 of 2007 on limited liability company (PT.), The role of
issue of corporate social responsibility. This research will clarify government comand and control legislation to improve CSR for
the role Carried out by the government in the implementation of the creation of social responsibility and the environment has been
CSR Sinarmas in Kodam VII / WRB Makassar. carried out properly, so that the principles of tangung jawan
company can be implemented with the Law on PT. Especially
article 66 and 74. b) The process of policies and supervisors
II. RESEARCH METHODS (Regulator and Inspectorate),in the implementation of CSR as a
In order for the formulation of the problem of missed and regulator has been done with Preparing the Law on Regulation of
the purpose of this research is achieved, this study used a the Minister of CSR and other relevant CSR, whereas for
qualitative approach. The unit of analysis of this study is monitoring the implementation of CSR has not been done by the
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Government, this can be seen from the absence of direct incentives (Creating Incentives). Role Creating Incentive
government control will be implemented CSR programs (Provide incentives) should be done by the Government to
Sinarmas in Kodam VII / WRB, here only handed over to improve CSR. The fact that the role of the field has not been
Sinarmas and Executor in any particular military command under implemented a optimally, it can be seen of the Efforts of the
the supervision Zidam VII / WRB. Inspectorat supposed role of private and the recipient benefits of CSR funds who should
the regulator and can be implemented in accordance with the attempt to deliver his report to get the facility in the form of tax
opinion of Fox, Ward and Howar (2002), that the government incentives for companies giving CSR, Supposedly the Ministry
has a role in promoting CSR with making regulation and of Finance through the Directorate General of Tax which pick up
supervision in its implementation. c) Provide legal and fiscal the ball, how incentives can be deducted through CSR so that
sanctions and rewards (Legal and fiscal penalties and rewards). other companies will be motivated and concerned about the CSR
For legal and fiscal penalties and rewards (Legal and fiscal that is run for the benefit of society in the region so that social
penalties, reward) has not been done. This can be seen even and environmental responsibility can be perceived by the public
though Sinarmas already doing social obligations through the company. This is in line with what is said by Fox, Ward and
CSR program RTLH no reduction piscal penaltties the form of Howard (2000).
tax incentives and awards as the company's corporate Although the government has implemented a Role gives
governance that have been recorded in the bur sa effects facilitating with facilities in the form of tax reductions, this is
Indonesia and Singapore. It should be the role of mandating the done with finance minister and derivatives regulations related
Government as comand and control legislation ( command and taxes and donations namely Article 6 of Law No. 36 of 2008 on
Control Act), and inspectorat Regulator (Regulator and the fourth decline over the law number 7 of 1983 concerning
supervision), Legal and fiscal penalties and rewards (legal and income tax. Regulation No. 93 of 2010 on the national disaster
fiscal sanctions and rewards) can run the Government as said relief donations, donations of research and development,
Fox, Ward and Howard (2002). education facilities donations, donations coaching sports, social
Correspondingly O'Rourke (2004) provide a more detailed infrastructure development fee can be deducted from the gross
explanation of the role category when the government legally income Regulations finance minister No. 76 / PMK.03 / 2011
mandating give mandates through laws or government roomates Regulate the procedures for recording and reporting of
regulations. So the government can conduct surveillance in terms national disaster prevention, donations and the development of
of CSR reporting both the evaluation reports and cross-checking research, education facilities donations, donations coaching
the contents of the report that this will make the implementation sports and social infrastructure development costs can be
of CSR into transparency, accuntabel, responsible and fairnes in deducted from gross income. SE Circular Letter No. SE-43 / PJ /
implementation based on the principle of governance. This will 2013 on social infrastructure development costs that can be
be in line with the concept of Governace ADB ( 2000) which deducted from gross income related to the improvement of a
should prioritize the principles of Transparency, Accountability, country house in the ranks of the army which is unfit for human
Responsibility and fairnesss, that the implementation can involve habitation, especially through CSR funds. In fact the reduction of
many actors to supervise each other like the concept of the taxes emotion s submitted by the beneficiary benefits of CSR
governance dikemukaan by Rodes (1996), Stoker (1998) to the government in this case the finance ministry RI does not
involving government actors, private and public so that everyone necessarily after the obligation fulfilled tax incentives directly
can watch each other and play their respective roles. reduced when the tax has been waged Online and E-Tax, this is
The results showed that for the role fasilitating This can be what Become makes the private sector less trusting government
done by the Government as described by Fox, Ward and Howard (public sector) to fulfill the obligation of CSR so that they do
(2000) can be done by : a) Facilitate legislation provide perform CSR on the interests and policies of his own company.
invitation (Enabling legislation),this role has been taken by the c) Building Capacity (Capacity Building). The role to build
government to prepare the Act and Regulation others particularly capacity (Capacity Building) in promoting CSR has not been
with respect to CSR through; Law No. 40 of the Limited done by the government, it This can be seen from the lack of
Liability Company in 2007, Minister of State Owned Enterprises government capacity building in CSR. This will be a positive
(SOEs) No. Per 05 / MBU / 2007 on Partnership Program SOE impact for the community, this will depend on the orientation
with Small and Medium Enterprises (SMEs) and the Community and the capacity of institutions and other organizations,
Development Program (BL). Implementation of CSR organized especially the role of government.
by Law, Candy SOE prepared by the government to regulate The government must do its part to build capacity in the
CSR. This is in line with the opinion of Fox, Ward and Howard implementation of CSR as presented Fox, Ward and Howard
(2000) that the government has a role fasilitating to do with (2002) that the role of government facilitation one of which is the
providing law (Enabling legislation), in line with the O'Rouke increased capacity. This role can be done by the government
(2004) provide a more detailed description of the category as a related to capacity building CSR includes the development of a
facilitating role of government when the government provide a healthy market policy, the participation of resources, political
reference or guidelines in the implementation and reporting of support for CSR actors, create incentives and improved
CSR and CSR information dissemination. Sinarmas have organizational capabilities. The role of government to be Able to
followed all the regulations that have been made by the build the organization's institutional capacity to Regulate CSR is
Government as the reference by the Rays to implement CSR. In not yet clear, this is only made in the Act but for its
the implementation of CSR rules is unclear because of the implementation has not been done, because during this time the
absence of PP as technical implementation. b) Provide Government's policy to increase CSR can not create incentives
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directly for companies that already implement CSR due to lack (stimulates Market) obtained from the information in this
of institutional capacity of the government itself. d) Provide study, that Sinarmas implement CSR is not just a tool of public
budgetary support / funding (Funding Support). Role Funding relations and marketing, but as a series of production
support to improve CSR by the government is done by providing management, resource to marketing the value of strategic value
financial assistance to the socialization importance of CSR Sinarmas, so Sinarmas hope the Government can facilitate it all
programs. This socialization can be done by the Government to with ease and no complicated licensing with formal rules and
involve; institutions associated with CSR issues such as the informal, Sinarmas hope there is an ease for example in the
Finance Ministry to give explanations on tax incentives, the local provision of tax incentives in other ways through the
government to be able socialization of the rules of the Regulation implementation of CSR thus facilitating role of government in
to insvestor and the company that will run the business in a given particular Stimulating Market (Stimulates the Market) can help
region, so it is necessary budgetary support for socialization and attract investment in a region with all the ease of licensing at the
facilitate the implementation of facilities and infrastructure. This level of bureaucracy.
socialization can be done with a seminar or an explanation CSR Fox, Ward and Howar (2000) says that the role of
issues followed by representatives of companies that control or facilitating this can be done by setting the policy framework as a
CSR program. The absence of budgetary support for the whole clearly and position for guiding and directing CSR in
socialization of CSR by government (Public Sector) in the business investment, development, coaching is not binding and
regulation of the provision of tax incentives for companies that labeling or code for its application in the market, facilitating laws
have implemented social responsibility (CSR). In the absence of and regulations, provide incentives for CSR in business
this, the socialization of the private sector do it themselves with investment in accordance with the mandate of the transparent and
their own way. e) Increase awareness (Raising awarenes). Role accountable in various issues, tax incentives, investment in
Government should be Able to provide awareness of the research and awareness raising. In this case the government
awareness of the importance of CSR in the construction, the agency can foster the conditions, facilitate, or provide incentives
which the Government should be Able to play a role in to companies willing to implement CSR agents and or Involved
disseminating to the private sector / private sector to consciously in social and environmental improvement programs.
carry out CSR and have the awareness in the which the company Government's role here is as a catalytic or donor support
operates, Fox, Ward and Howard (2002). With not only see the (supporting role), for example by providing funds for research,
economic benefits alone but able to see the environment and dissemination of information, training or awareness campaigns
social life of the surrounding community. This role can not be for the implementation of CSR in accordance governance to
performed well evident from the findings that private parties do good governance (good governance) and corporate governance
CSR not because of the appeal of the government but run a CSR good (goood Corporate Governance). It is intended that no
as a part of the company's management system that everything relevant stakeholders harmed by the CSR program. In line with
depends on the policy of the company itself. This information is the (Fox, Ward, Howard, 2002) then O'Rouke (2004) says that
Obtained from Sinarmas explaining that in carrying out CSR not the government's role should be facilitated by providing a
because of the encouragement of the appeal of government, reference or guidelines in the implementation and reporting of
sometimes Sinarmas that provide socialization with others, CSR and dissemination of information about CSR as part of its
awareness (awareness) Sinarmas do with academics through a function.
seminar on the importance of awareness of CSR, this activity From the above explanation it can be said that the role
Sinarmas do with Gajah Mada University (UGM), for example fasilitating Government (Public sector) in promoting CSR has
about how to increase the role of the private sector to implement not been implemented optimally this can be seen from the role as
CSR related later by reduction of tax incentives. Awareness that enabling legislation as a provider of the Law of CSR that has not
arises from the company's own without being forced but been followed by the Government Regulation (PP) as the
Sinarmas try to follow the existing regulations that have been technical implementation. Creating incentive to give tax
established by the Government, although in implementing the incentives are still convoluted procedures so that the efforts of
government is not doing its role as Raising awarenes (raise the private sector and beneficiaries of CSR funds who should
awareness) in promoting CSR. f) Stimulate Market attempt to give his report, should the finance ministry through
(Stimulating Market). The role of government should be able to the director general of taxes that pick up the ball, how incentives
provide stimulation to the market on the implementation of CSR can be deducted through CSR so that other companies will be
undertaken by the private sector through public sector roles in motivated and care about CSR is run for the interest people in the
strengthening CSR, Fox, Ward and Howard (2002). Stimulating region so that social responsibility and corporate environment
the market to do the show, the role of government related to CSR can be perceived by the public. Capacity building in establishing
policies for the development of a healthy market. The institutions and Organizations include policy development in
government should be able to understand the construction healthy markets, the participation of resources, political support
thinking company, because it would be contradictory when on for the perpetrators of CSR, creating incentives and increase the
the one hand trying to attract investors to invest their capital, ability of organizations still can not be implemented. Founding
while on the other hand due to too many rules, the cost of formal support in facilities and infrastructure, as well as the methods for
or informal, even make investors reluctant to invest, because the the dissemination of CSR budget has not been implemented.
CSR company hopes will benefit from investment in the future, Raising Awareness in raising awareness of CSR to the private
the company's investment in the long term and is a strategic fit its sector is still lacking. Stimulating the market in the
core business. Lack of Government's role in stimulating Market
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implementation of CSR is still complicated by the formal and Role Partnering (Mitra), Information involve stakeholders
informal rules that make slow private sector to invest. (stakeholder Engagement) to solve the problems of the public by
The results showed that for Role Partnering (Partner) involving other stakeholders both private sector, the public (Civil
according to Fox, Ward and Howard (2002) can be done by: a) Society) through the CSR program has not been seen by the
Combining resources (Combaining resouces) public with government. This role has not been fully implemented by the
business people (busines sector). The government has not been government sometimes private partnership with the private sector
fully able to carry out this role, it can be seen from the lack of other and directly distribute funds CSR in the community as
government capture the existing opportunities for cooperation determined by the company, for Sinarmas Cooperation is
CSR fund utilization. Information obtained from the research absolute and must be implemented because it recognizes the role
results that this has not been done considering the role of private of government, does not have to be ordered or due to lack of
sector in carrying out the company's CSR policy directly regulation, this is in line with the information Obtained in the
Correspond respectively without coordination with the study that the terms of the partnership Government, in
Government, the private sector assume that CSR is done in the cooperation with the government does not have to be ordered or
interests of the company, the company only runs the regulations regulated but must start from ourselves. Here the necessary
that have been set by the government. In the implementation of synergy instead of because of the law, Sinarmas realize that
CSR instead Sinarmas not involve the Government but Sinarmas Sinarmas can not work alone without the help of other parties
has policies relating to the company's interests in implementing both government, other private individual and the community for
CSR, Sinarmas try to respect the regulations made by the collaborative cross-party and multi-stakeholder, involving all
Government, Sinarmas have priorities to implement CSR at the stakeholders.
discretion of the Company. Sinarmas CSR results reported to the Other information obtained from research that cooperation
Ministry of Finance, but in the implementation of the in CSR is very necessary, because if a lack of cooperation and
Government excluded it is Sinarmas technical field. Sinarmas supported his government as a partner, the CSR will not be
conducting its own corporate policies, from the information it is successful, not optimal role of government as a partner can make
clear that the Government has been no attempt to combine CSR difficult to implement, especially if the absence of the
resources. network (networking) between the Government, private and the
The role as a partner supposed to be done by combining public would not likely be downgraded CSR CSR funds.
resources (Combaining resouces) public with business people Proximity and leadership factors in lobbying CSR funds are also
(busines sector). When we see the results of CSR Sinarmas in very influential, did not rule out changing the leader, CSR next
Kodam VII / WRB views of the role of the public sector to will not go there again, especially if the previous program was
strengthtening CSR Fox, Ward and Howard (2002), the not as expected by the private sector donor, although the donor
Government has not been fully able to carry out this role, it can CSR conscious of social responsibility and environment but they
be seen from the lack of government capture opportunities there must choose and see where the priorities of the consideration the
is joint use of funds to carry out CSR. In this case the company profitable. The government should be able to involve
government (public sector) act as participants, to share skills by other actors / stakeholders (stakeholder enggagement) to utilize
combining resources, as well as materials needed in CSR the skills and resources that are complementary to address
activities to establish strategic partners, encouraging the private public issues in the CSR agenda, Fox, Ward and Howard (2002).
sector, communities and governments can work together in c) Men Dialogue / discussions (Dialogue). Lack of government's
partnership by way of combining resources (Combining role as partnering should be resolved by the frequency of the
Resources) owned by each of the actors in CSR will facilitate the Government to engage in dialogue and communication, and
implementation. Government role in CSR activities is very builds good harmony between the stakeholders involved in CSR.
important. Strategic partnerships can be built by the government From the information the research revealed the positive efforts of
and engaging the private sector to participate in development by Pangkotama to help either central or local government to
utilizing its CSR funds by involving other public companies are promote the importance of cooperation and partnership including
located in the region. In a strategic partnership can be used as a inter-agency collaboration Government. Other information that
means of combining resources (Combaining Resoarches) share the role of government to dialogue on the issue of CSR is less
skills and input from the public sector, private sector and the visible than beneficiaries of CSR which seeks to communicate
public so that CSR can be run properly. B) involve other and discussions with the private sector to obtain financial
actors/stakeholders (Stakeholder enggagement) in order to assistance CSR. Without establishing dialogue and
utilize the skills and resources that are complementary to address communication as well as the harmonization of the corporate
public issues in the CSR agenda either as participants, convenor. (private sector), it is unlikely the company gives grants CSR, this
The role of the partnership is an important role in the CSR is a role to be played by the government to facilitate the to build
agenda. The strategic partnership becomes a means of sharing a space for the possibility of cooperation among stakeholders
skills and input from the public, private and civil society in and partnership. Trush from the private sector to be captured
addressing social and environmental problems are complex. properly in order to assist the development process through the
Sharing skills and input from the public sector, private and utilization of funds CSR so that all stakeholders can play a role
public, which is part of the involvement of various stakeholders in the development of this nation. In this case, the government
(Stakeholder engagement) in addressing social and can play the role as a participant, organizer conference
environmental problems are complex. Information from the (convenor), or facilitator can be done by dialogue and discussion
research results show the Government has not been able to run and facilitate the dialogue between stakeholders (stakeholders),
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although not necessarily in control of Fox, Ward and Howard transparency as an example is the award of CSR, O'Rouke
(2000). In the absence of cooperation and partnership as well as (2004). It is clear from information obtained from the research
the communication and dialogue (Discussion) impossible role of that by running a CSR program, then Sinarmas benefit indirectly
government will be realized to improve CSR and it proven role. from the people who are in the territory of operational Sinarmas,
of government is lacking in the implementation of CSR Sinarmas so Sinarmas to this day can be operating properly due to public
in RTLH rehabilitation program in the Military Command VII / support (Political support) in the form of Public lisence or
WRB. approval of the local community, if there are problems in the
From the above explanation can be said that the government field of society to help Sinarmas as well, so that every body
has not been fully able to carry out the role of Partnering, it can happy and Sinarmas get a win-win solution to overcome the
be seen from the lack of government capture the existing problem, it is also the Government should do to give awards and
opportunities for cooperation CSR utilization of funds as publication as political support (Political Support) in companies
revealed several key informants. The role of government in CSR that have run CSR well, Sinarmas feel it is still not carried out by
activities is very important. Strategic partnerships can be built by the Government for the award is the association of banking and
the government and engaging the private sector to participate in international institutions is not a government with the role. b)
development by utilizing CSR funds by involving other public Publicity and praise (Publicity and praise). The government has
companies are located in the region. In establishing strategic not made the event CSR Award and awards other like a good
partnerships can be used as a means of combining resources company in implementing CSR in the form of publicity and
(Combaining Resoarches) share skills and input from the sector praise (Publicity and praise). The role of government in
Public, private sectors and communities that are part of the providing publicity and praise (Publicity and Praise) for
involvement of various stakeholders (Stakeholder engagement) companies implementing CSR in the region is less played, and is
in addressing social problems and a complex environment should still considered only as a ceremony, even though awards and
be carried out in accordance with the role of a partner to recognition public for the companies that run their CSR well is
combine resources (Combaining resouces) public with business required by Sinarmas. Information from the result showed that
people (busines sector) and involve actors other / Stakeholders the government's role as a driver / endorsing the implementation
(stakeholder enggagement) in order to utilize the skills and of CSR should be enhanced, in addition to encouraging the
resources that are complementary to address public issues on the Government should control, during the Government's role may
agenda CSR either as participants, convenor and dialogue / already exist but have not been optimal, that the government is
discussion (Dialogue), Fox, Ward and Howard (2002). In the aware of this CSR can be used to help Accelerate the
absence of cooperation and partnership as well as the development that has not supported by the government, the
communication and dialogue (Discus) impossible role of private sector can be involved. Therefore, the government needs
government will be realized to improve CSR and this proven role to provide political support and appreciation for the good
of government is lacking. This is similar to what was said by company in CSR, this has not been done by the Government.
O'Rouke (2004), that the role of partnering should the Government's role in Publicity and Praise (Doing publicity and
government be involved in the promotion of cooperation reward) has not been implemented, awards received Sinarmas
initiatives multi-stakeholder or cooperation with the respective obtained from the association of banks, both from the public
companies. In other words, the government can be a facilitator of banks or private banks in Indonesia banking anugrah and
dialogue between stakeholders. international awards, it is found from the information hasi
Furthermore, for the role of endorsing the Government research that The Government has not given specific awards for
according to the fox, ward and Howard (2002) can be done by companies that have been running CSR well, awards earned by
providing: a) political support and endorsement or legitimacy the banking Sinarmas of Indonesia in the form of awards in the
(Political support) towards CSR. Role of ratification can take field of environment, CSR and corvorate Governance a Prix
various forms, can through policy documents, public sector D'excellent Winer International Gold Award For Sustainable
management practices, respect for the company that runs the Development of 2013, Ranked 2 nd Corporate Social
CSR. The Government has not been able to give political support Responsibility grace banking Indonesia of 2013, Ranked 3 rd
(Political Support) for the company that has run its CSR GCG Anugrah banking Indonesia, it is proved that the reward is
program well. The government should encourage the private not the government but the combination of the banking
sector to get its legality (Political Support) for companies that association. Should conform to what the role O'Rouke (2004),
have run their CSR is awaited by the private sector, but this is that the role of endorsing in terms of reporting CSR program
demanded by the company because it is part of the reward for his through positive efforts within a framework of transparency must
efforts has been doing CSR well to run social responsibility and be given as an example is the CSR award. The government has a
environment. Supposedly the role of government in line with role to encourage companies that get publicity and praise (
what was said Fox, Ward and Howard (2002) that in carrying out Publicity and praise) this can be done in the form of a tax
CSR government has a role to encourage companies that receive deduction (incentive) or in the form of award, or tercatat in the
political support in the form of policy documents, the practice of stock market as a healthy company that goood corporate
public sector management in the form of a tax deduction governance and obey the CSR or awarded in the form of
(incentive) or in the form of award, or recorded in the stock publicity to the public through a special event.
market as a healthy company that goood corporate governance
and CSR observant. The role of endorsing in terms of reporting
CSR program through positive efforts within a framework of
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Abstract- Research on the collaboration between the two Because it has the potential of natural resources and land large
institutions namely South Sulawesi Provincial Government with enough and fertile and have the results of marine wealth that is
Regional Military Command (Kodam) VII / Wirabuana in order extraordinary. Similarly, historically in the last few Decades,
to increase of rice overstock 2 million tons extremely relevant to South Sulawesi Province, Also known as the granary of the
study collaboration related to the implementation of management national food and Became one of the 10 Reviews largest
undertaken by both parties. In order to Achieve the objectives of province the which is Able to supply the results of his farm to
the study, the research approach used is qualitative. The results different areas of the archipelago, mainly paddy /rice (CBS,
Showed that the implementation of management collaboration 2015). Obviously the title should always be maintained as it has a
that took place between the Provincial Government of South moral burden to be maintained his role, so that the eyes of the
Sulawesi with Regional Military Command (Kodam VII) / central government and the people of South Sulawesi province
Wirabuana to reach 2 million tons of rice overstock sustainable still has the credibility and excesses in the field of food,
in the province of South Sulawesi has been underway since 2010 especially rice. In carrying out that role sometimes experienced
to 2015. Therefore, management collaboration that took place not many problems, especially climate change, technological
pure based on instructions from the central government, but a advances and the lack of human resources and a shortage alsintan
continuation of the policy of the Government of South Sulawesi (agricultural machinery), reservoirs, irrigation, distribution of
province that already exists. If the look and Analyzed both in fertilizers and seeds are sometimes late, so in implementation to
terms of the definition, characteristics and the process is Realize overstock 2 million tonnes of rice in order to sustain food
conducted in collaboration management Generally that the security program in the province of South Sulawesi collaboration
substance has met the elements of collaborative management. need to be is implemented.
According to the data of the official Central Statistics
Index Terms- Collaboration Management Agency (BPS) and the coordination with the Head of the
Department of Agriculture and Horticulture South Sulawesi
(2015), results for commodity agricultural production of rice in
I. INTRODUCTION 2014 had a surplus of 2:24 million tonnes. But the 2 million ton
rice surplus is not necessarily sustainable if not properly
T he importance of the government today must be Able to
perform management collaboration in carrying out Reviews
their duties and functions as the current condition of an
managed in an effort to increase of rice productivity. Because the
reality on the ground has shown an average yield of rice in the
increasingly complex and dynamic on the one hand, and on the new society Reached 5.1 tons / ha were assessed from all districts
other hand the capabilities of the government (especially local / Cities in the province of South Sulawesi. Data Department of
government) to use its capabilities relat ive still not Able to be Agriculture and Horticulture (standardized TPH) South Sulawesi
relied. This condition would force the government to raise Province for 24 district / city in South Sulawesi from 2010 till
cooperation (collaboration) with actors and Organizations / 2014 shows the results of an average paddy production in 2010
institutions in order to address public issues and to Accelerate the amounted to 49.44 Ku / ha, in 2011 amounted to 50, 74 Ku / ha,
resolution of public problems. Therefore, the demands of society in 2012 amounted to 50.98 Ku / ha, in 2013 amounted to 51.22
and the central government to the Government of South Sulawesi Ku / ha, and in 2014 amounted to 52.18 Ku / Ha, So that when
province should be Able to carry out innovations in governance averaged productivity growth of rice produced only 50 912 Ku /
is a logical consequence, let alone the position of South Sulawesi Ha.
province Compared to other provinces is very strategic Because Less than optimal production of rice per hectare because of
it is located in the middle of the islands of the archipelago that do the persistence of the problem of availability and delay in the
not be surprised if South Sulawesi Became a haven all economic distribution of fertilizers and seeds, still lack of extension agents
activity and trade in the western region and eastern Indonesia (PPL) and Babinsa (Rural Development Agency). when
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Compared with the ratio of existing rice per village. According to considering the area was formerly a province of South Sulawesi
the Extension Coordinating Board (Bakorluh) South Sulawesi province that has been Categorized as the 10 Reviews largest
Province, until the period of February 2015 Babinsa (Rural province supplies rice to other provinces in Indonesia Because it
Development Agency). power is still available around 2226 was predicated as the national granary. Statement of
people and 2037 people PPL. Though the number of villages / Understanding between the Governor of South Sulawesi
villages in South Sulawesi 3038 pieces, roomates means less province with the Regional Military Commander VII/Wirabuana
energy PPL 1001 people. further strengthened and operationalized into the "Integrity Pact"
The problems associated with Efforts to improve overstock on January 6, 2015 between the Head of Department of
rice 2 million tons, Among others, the quality of human Agriculture South Sulawesi with the Regional Military
resources, especially farmers is still low, the which farmers in the Commander VII/Wirabuana, where the signing of Integrity Pact
province of South Sulawesi to date an average still apply was witnessed by Minister of Agriculture and Chief of Army
cropping pattern is good and right (sow seeds directly) or do not Staff at Army Headquarters.
use cropping patterns are clear and the use of agricultural In order for a statement of mutual understanding and
equipment was traditionally are not in line with the development integrity pact has been done on governance at the provincial level
of agricultural technology more advanced and modern, use of can Be the bases for all parties to Be more committed in the
seeds is not qualified, do not understand the agro-climate and the collaboration that is strengthened by the manufacture of Integrity
lack of attention to environme friendly ntally technologies and Pact has been signed by each head of the Department of
are less Able to cope with disruption of plant pests (OPT) and Agriculture Regency/City Commander District military
lack of discipline, the issue of irrigation that is not all wetland (Commander) which was witnessed by the Head of Department
that is fed with irrigation (15% of the irrigation area of South of Agriculture South Sulawesi with the Regional Military
Sulawesi province in a damaged condition, the Department of Commander VII /Wirabuana.
Agriculture South Sulawesi) that need additional irrigation When analyzing the results of cooperation (collaboration)
channels in order to increase of the production of rice, the target conducted between the Government of South Sulawesi province
of adding 2015 to the tertiary irrigation network as much as 310 along with the District /Regional Military Command (Kodam
221 ha (special program optimization), The issue of agricultural VII) / Wirabuana (Korem, Kodim, the Koramil and Babinsa)
machinery (tractors, rice transpalanter, power weeder, combined during the period 2013 to 2014 amounted to 5.1 tons / ha, and 5.2
harvester and sprayer) are still very limited Also owned by tonnes / ha as Mentioned previously, the results are Compared
farmer groups. Added to this are the problems of fertilizers and with a pilot land Denfarm cooperation between the Regional
seeds are Also a constraint due to frequent delays in distribution, Military Command (Kodam VII) / Wirabuana with the Provincial
it Occurs in the respective area does not have a warehouse, Government of South Sulawesi, where each Kodim given the
fertilizer and seed. Another problem that sales of rice production responsibility of 100 hectares per Regency / City, in 2013 an
is purchased from the community is still are relatively low and average of 8.3 tons / ha and 2014, an average of 8:15 tons / ha
sometimes exposed to middlemen / debt bondage. has Reached 62%. Achievement of Reviews These results can be
Therefore, there should be a system of alliances program improved optimally if the farmers can change the cropping
activities in the field of resilience rice between the Government pattern is done as well as an increase of in human resources and
of South Sulawesi province with Regional Military Command supported finance par- ticularly for the implementation of
(Kodam VII /Wirabuana, through surveillance, escort and contingency (procurement Alsintan, fertilizer, seeds, irrigation,
accompaniment by Force Command Territorial Board of reservoirs, land and support the natural situation and can control
Regional Military Command (Kodam VII) / Wirabuana Korem Pest well), the ceiling set in 2014 in South Sulawesi is quite large
(Military Command), Kodim (District Military Command), The items, namely Rp. 277 911 739 000, -, while the budget that can
Koramil (Sub-District Military Command), and Babinsa (Rural be Realized by Rp. 271 350 665 720, - (97.64%). Similarly,
Development Agency). In South Sulawesi in 2014 for example, when Viewed in terms of physical realization of the program of
the signing of the Statement of Understanding (memorandum of rehabilitation/improvement of Tertiary Irrigation Network (JIT),
understanding / MoU) between the Government of South the targets set in 2014 amounted to 44810.00 hectares, the which
Sulawesi with Regional Military Command (Kodam VII) / can be Realized at 44810.00 ha (100%). Optimization of land
Wirabuana the which is a continuation of the previous MoU with targeted in 2014 covering an area of 22480.00 hectares, the
the number 464 / VII / Provincial / 2014 and MoU No. B / 1572 which can be Realized area of 22470.00 hectares (99.95%). In
/ VII / 2014. In the example of the continuation of the MOU 2014, rice area in the province of South Sulawesi area of 643 738
states that the two sides agreed to succeed in Achieving the ha. Of the land, planting area of 984 412 hectares have been
targets of 2 million tonnes of rice overstock sustained in 2014 in Realized with the achievement of a production of 5,426,353 tons
South Sulawesi. Support in Achieving the Overstock Rice 2 of dry grain harvest (productivity of 5:22 tonnes /ha).
million tonnes of rice sustained an MoU between the Observing the actual condition Mentioned above, certainly
Government of South Sulawesi province with the Regional raises many questions, how the first so Came the idea to prayer
Military Command (Kodam VII) / Wirabuana the which is a collaboration in the achievement of overstock 2 million tonnes of
follow up of the MoU from the central government, but the MoU rice a sustainable, is there a common vision in a collaboration
the Government of South Sulawesi province with the Regional between the parties to collaborate, policies such as what is
Military Command (Kodam VII) / Wirabuana only in the context Issued/generated from Reviews These collaborations to support
of the province of South Sulawesi, This MoU position in the eyes the effectiveness of the implementation of the collaboration that
of the Government of South Sulawesi is very strategic has been agreed upon, is there any arrangement of personnel in
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the organization in implementing the collaboration by the two to involve; the respective agencies under the authority of
parties from, whether in this collaboration Also Involves Private structurally for cooperation and collaboration. As it is known that
Organizations and academia, how the mechanism of the Government of South Sulawesi province in 2014 along with
responsibility of each party are collaborating, how the Regional Military Command (Kodam VII) /Wirabuana already
coordination mechanism between the parties collaboration, and established a policy that South Sulawesi province can Realize
how to synchronize the programs in the implementation of the overstock 2 million tons of rice. Therefore, the South Sulawesi
collaboration and how to maintain commitment and consistency Provincial Government can be Categorized US governance
between the parties Involved in the implementation of the governance. Why? Because governance is Unprotected substrate
collaboration. used for internal awareness of an organization / government by
relying on internal resources. Since there may be an organization
/ government today to Be Able to work alone (Ego sectoral) in
II. RESEARCH METHODS order to Achieve the Vision and mission.
In order for the formulation of the problem of missed and Where to Achieve a more optimal work certainly needed
the purpose of this research is Achieved, this study used a the support of cooperation and collaboration by utilizing the
qualitative approach. The unit of analysis of this research is the resources available in other Organizations or government
organization in both government conduct collaborative agencies. Therefore, at the same time when the organization /
management that is in the ranks of South Sulawesi Provincial government has invited owners of other resources needed by the
Government and Military Command VII /Wirabuana. To organization / other Governments, has been carrying out the
represent the study area, the area that Became the study sample substance of governance means that the importance of the use of
was a pilot area to implement the program overstock 2 million networking / Network and collaboration between actors. This is
tonnes of rice in 2014 is District Bone (representing the areas in line with the view of O'Leary and Gazley (2009) states
with the highest yields of 10.7 tonnes /ha), Takalar (representing roomates that the organization / government conduct
regions with medium yield is 8.6 tons / ha), and Toraja regency collaborative management is one of the characteristics of the
(representing regions with the Lowest yield is 5 tons / ha). Data organization / government apply the concept of governance.
collection techniques using interview techniques, while the key Processes that occur in implementing The MoU to Realize
informants/key informants were: Governor of South Sulawesi, overstock 2 million tons of rice is one part of the obligation of
Regent, head of the Department of Agriculture Crops and the Government of South Sulawesi province to facilitate citizens
Horticulture of South Sulawesi province and district, sub-district, to be Able to Reviews their living standards improve through
the Agricultural Extension (PPL ), Regional Military collaboration with Regional Military Command (Kodam
Commander VII /Wirabuana represented by Assistant Territories, VII)/Wirabuana prefers to solve problems that can not be
the District Commanders, Commander Koramil (District Military resolved. This process is in line with the definition of
Command) , and Babinsa (Rural Development Agency ) in the collaborative management proposed by O'Leary and Gazley
research area. (2009) is an organization within the context of governance
should be oriented organization dedicated to facilitating and
capable of operating in the network between Organizations to
III. RESULTS AND DISCUSSION solve problems that can not be finished on their own, or capable
finish Easily than done by the organization.
Implementation of Public Sector Management Important aspect is Analyzed in the context of the
Collaboration Between Government of South Sulawesi collaboration between the Provincial Government of South
province with Regional Military Command (Kodam VII) / Sulawesi with Regional Military Command (Kodam VII) /
Wirabuana In Overstock Achieve Sustainable Rice Two Wirabuana that there is mutual interest (Reciprocal) Regional
Million Tons in South Sulawesi. Military Command (Kodam VII) / Wirabuana with the Provincial
In the context of collaboration between the Government of Government of South Sulawesi. The findings in the field indicate
South Sulawesi province with the Regional Military Command that there are interests of both parties to be Achieved in the
(Kodam VII) / Wirabuana occurred not only because of the course of 2 million tonnes of rice overstock sustainable are as
initiation of roomates comes from the central government but follows :
Occurs because of the initiation of cooperation between the 1. The interests of the Provincial Government of South
Governor of South Sulawesi with Regional Military Commander Sulawesi, namely:
VII / Wirabuana roomates Began in 2010 through 2014, where in a. Maintain and event improve the position of South
2015 in order to attempt to Achieve national food self- Sulawesi as barns in the area of homeland Indonesia and
sufficiency, then the President of the Republic of Indonesia Ir. can even reach the targets of 2 million tonnes of rice
Joko Widodo had instructed by the Minister of Agriculture to do overstock sustainable.
the MoU with the Army. This shows that the central government b. Improving the welfare of the living standards of farmers
through the Ministry of Agriculture has Realized that to succeed in the province of South Sulawesi.
the rice self-sufficiency can not be Achieved by relying on the c. The establishment of cooperation and good collaboration
institutions of the Ministry of Agriculture alone. Therefore, it is with Regional Military Command (Kodam VII) / Wirabuana in
important to invite the army to cooperate. order to build harmony.
Given the Army has a territorial area of land in Indonesia, it d. The realization of food security, especially of rice in the
is irrelevant if the Ministry of Agriculture and the Army Agreed province of South Sulawesi.
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e. To increase of the acceleration of economic development government namely : 1) the integration and Among the
and the development of the province of South Sulawesi. coordination relevant agencies with universities and R & D to
2. The objectives of the Regional Military Command (Kodam support Increased production towards rice self-sufficiency; 2)
VII) / Wirabuana: improvement of irrigation networks; 3) construction of ponds; 4)
a. The realization of Oneness with folk TNI. Denfarm rice farming by military cooperation with farmer
b. The establishment of social communication between groups; 5) assistance, escort, surveillance, improved agricultural
Regional Military Command (Kodam VII) / Wirabuana with the technology; and 6) the diversification of food consumption to
South Sulawesi provincial government and its staff. reduce the consumption of rice.
c. The realization of food security in the region in order to When referring to the MoU that was signed seen that in the
Sustain the military activity united Food program. management of public sector collaboration involving not-for-
d. Supports the Army Chief of Staff policy and policy of profit Organizations, and private sectors, the which should Be
Mr. President of the Republic of Indonesia in order to Achieve more optimal if it Involves the organization. But in the
national food self-sufficiency. collaboration that took place today is not directly been Involved
nonprofit Organizations and private but are not structured in the
Based on the interest as if it is different, but in fact that is MoU.
the purpose of the program is the establishment of 2 million
tonnes of rice overstock sustainable. As both interests collaborate
in Achieving self-sufficiency in rice is in line with what is IV. CONCLUSION
proposed by Hanf, Hijern and Porter, 1978 namely Based on the results of research and discussion that has
"Collaboration Occurs when a power-sharing government in the been done, it can be concluded that the implementation of
form of reciprocal links (reciprocal), and involve; various collaborative management of the public sector of the which takes
resource providers. It is also in order to address how overlapping place between the Governments of South Sulawesi province with
and dynamic distribution of employees, the union of the the Regional Military Command (Kodam VII) /Wirabuana in
responsibility for the implementation, exchange of information Realizing overstock rice 2 million tons sustained in the territory
massive transfer actors, and the information needs as input for all of the province of South Sulawesi, the which has lasted since
actors "and Hull in Hjern, (1987 ), and O'Toole, (1985) 2010 until 2015. What happened is not purely based as
"management of collaborative arrangement should not be instructions from the central government, but a continuation of
confused with the management hierarchy". the South Sulawesi provincial government policy that already
It can be concluded that the description of the exists. If the look and Analyzed both in terms of the definition,
implementation of collaborative management of the public sector characteristics and the process in general management of the
that takes place between the Government of South Sulawesi public sector collaboration conducted substantially meet the
province with the Regional Military Command (Kodam VII) elements of collaborative management. Except for some aspects
/Wirabuana in the achievement of overstock rice 2 million tonnes of the characteristics as a form of management that is still not
of sustainable undertaken since 2010 to 2015 both in terms of the optimal collaboration and implemented a Ultimately Affect
definition, characteristics and processes in general has met the output or pre-set targets. Among them are the aspects in question
elements of collaborative management of the public sector. were :
Unless some aspects are still not optimal in its implementation so 1. The absence of a joint organizational structure that offer
that the implications on output or predetermined targets ie 2 section specifically with the management of public
million tonnes of rice overstock sustainable. Among the aspects sector collaboration in Realizing the 2 million tonnes of
Mentioned Among others the absence of Organizations that deal rice overstock sustainable. Though the MoU between
specifically with the management of public sector collaboration. the Government of South Sulawesi province with the
As for the management of public sector collaboration using only Regional Military Command (Kodam VII)/Wirabuana
existing organization in each well agencies South Sulawesi has been conducted every year, but its shape is still task
Provincial Government and Military Command VII /Wirabuana. force (assignment), the which should be made
Similarly, the absence of a shared vision that is designed within permanent or structured.
the framework of collaborative management. Vision used a 2. The absence of a shared vision and mission designed
vision of agriculture South Sulawesi provincial government that specifically within the framework of the management of
already exists. Policies are issued as part of a deal to manage public sector collaboration.
collaboration nothing in particular, but uses policies that already 3. There is no specific policy for the optimization of 2
existed before the policy of South Sulawesi governor and million tonnes of rice overstock sustained issued as part
military commander of VII /Wirabuana to Make MoU of an agreement to conduct collaborative management
achievement of overstock rice 2 million tonnes of sustainable does not exist.
even though in 2015, the President of the Republic Indonesia has 4. No direct involvement of other Organizations as part of
issued a policy realization of national food self-sufficiency the collaborative management of the public sector such
Reached within three years with the involvement of the Army as non-profit Organizations, and private as well as
through the Ministry of Agriculture in collaboration with the Academics.
Army (Ministry of Agriculture with the Chief of Army Staff) ,
The policy Became a technical reference Mentioned above is
derived from policies that have been issued by the provincial
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REFERENCES
[1] Agranoff, Robert and McGuire, Michael. 2003. Collaborative Public
Management: New Strategies for Local Government. Washington DC: AUTHORS
Georgetown University Press
[2] Hanf, Kenneth., Hjern, Benny., And Porter, David O. 1978. Local Networks
First Author: Bachtiar : Graduate Student PhD, Study Program :
of Manpower Training in the Federal Republic of Germany and Sweden. In Science Of Public Administration. Hasanuddin University,
Interorganizational Policy Making: Limits to Coordination and Central Makassar, Indonesia. Email : bachtiar.unhas2014@gmail.com
Control, ed. Kenneth Hanf and Fritz W. Scharpf. London: Sage. Second Author: Sangkala : Faculty of Social and Political
[3] Hull, Christopher J., with Benny Hjern. 1987. Helping Small Firms Grow: Sciences, University of Hasanuddin, Makassar
An Implementation Approach. London: Croom Helm.
Third Author: Haselman : Faculty of Social and Political
[4] O'Leary, R., B.Gazley, B. Michael McGuire, and LBBingham. 2009. Public
Managers in Collaboration. In The Collaborative Public Manager: New Sciences, University of Hasanuddin, Makassar
Ideas for the Twenty-firts Century. ed. R. O'Leary and Bingham LB, 1-12. Fourth Author: Muhammad Yunus : Faculty of Social and
Washington DC: Georgetown University Press. Political Sciences, University of Hasanuddin, Makassar.
[5] O'Toole, Laurence J. Jr ,. 1985. Diffusion of Responsibility: An Analysis
Interorganizational. In the Policy Implementation in the Federal and Unitary
Systems, ed. Kenneth Hanf adn AJ Toonen. Dordrecht: Martinus Nijhoff.
[6] O'Leary, Rosemary, and Bingham, Lisa Blomgren. 2009. The Collaborative
Public Manager: New Ideas for the Twenty-first Century. Washington, DC:
Georgetown University Press.
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Abstract- In diabetes, insulin remains the most effective of controlling blood glucose levels. Since 1946, neutral protamine Hagedorn
(NPH) has been used as the predominant basal insulin .Absorption may be variable for re-suspension need and time action profile
(peak activity 4-6 h after sub cutaneous administration) confers an increased propensity for between meal and nocturnal hypo
glycaemia. In 1980s, recombinant DNA technology modified the insulin molecule resulting in the soluble long acting insulin
analogues, glargine and detemir . Detemir and glargine are indicated for administration once daily. Long subcutaneous multi hexamers
are formed by the latest prolonged acting insulin and delay absorption is Degludec .Glargine V300 and LY2605541 are new
developmental agents. LY2605541 is combined with polyethylene glycol and increase hydrodynamic size with absorption from
subcutaneous tissue. From glargine a new formulation glargine U300 is produced which has time action profile. Including a critical
appraisal of the degludec trials this article reviews recent advances in basal insulin analogues.
Index Terms- Basal insulin, basal insulin analogues, long -acting insulin, type1disbetes, type2 diabetes.
I. INTRODUCTION
D uring this time diabetes is the main challenge to sustain sound health. At present ~370 million people are affected and at may be
500 million which is about 10% of the total population by 2030 [1].Production, purification, formulation and mode of delivery of
insulin were the major advances over 90 years ago. Recombinant DNA (rDNA) technology helps in the improvement of insulin
analogues with characteristics. This article reviews current and future basal insulin analogues that have reached advanced stage of
clinical development for the treatment of adults with type 1and type 2diabetes. Their use in special populations such as children,
adolescents and pregnancy is not discussed.
The original search provided about 120 papers for this purpose but among them 25were considered eligible for inclusion in this
study .The main portion in this study are taken from D.R. Owens et al.
I
1920 1930 1940 1950 1960 1970 1980 1990 2000
2010 (1936, PZI) (1988, Novosol basal)
(1950S, Lente family) (2010, LY2605541)
Figure1: timeline for the development of novel human insulin analogues.NPH,neutral protamine Hagedorn; PZI, protamine
zinc insulin; rDNA, recombinant DNA
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Insulin glargine: - Insulin glargine retain the two di-arginyl molecules at the terminus of the insulin B-chain with glargine,
which alter its isoelectric point an improve stability, respectively [22]. Glargine is soluble in acidic acid pH and isoelectric point is
6.4-6.8 [17, 23].Flatter time action profile with reduced variability especially at the lower dosage range [23, 25]. In type -1 & type -2
diabetes , glargine is effective in lowering glycated haemoglobin (HbA1c) levels [26,27].With less risk of symptomatic & nocturnal
hypoglycaemia[28,29]
Insulin detemir: Insulin detemir is a first generation acylated insulin which is slowly dissociates from the subcutaneous tissue
[35].Detemir is formulated at a fourfold higher concentration per unit relative to other insulin preparations(24 versus 6nmol/unit)
[36,37].The time- action profile for detemir appears shorter than that for glargine in subjects with type 1 diabetes(dose dependent)
[38-41].
In 5 trials (Table 1) was certified to confirm the non-inferiority of degludec to glargine,in type 2 diabetes.
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Table1: summary of finding from phase III trials with insulin degludec/aspart combination
Insulin Degludec 3583 3:1 629 12 Non-inferior Equal Equal Equal 25%
type 1 diabetes
IDeg OD + IAsp vs. IGlar OD + IAsp[68] 3585 2:1 456 6 Non-inferior Equal Equal 34%
IDeg OD + IAsp vs. IDet OD + IAsp[69]
IDeg FLexc + IAsp vs. IGlar OD + IAsp vs. 3770 1:1:1 493 6 Non-inferior Equal Equal Equal 40%d
IDegOD + IAsp[70]
Type 2 diabetes
IDegAsp OD VS. IGlar OD (79) 3896 2:1 296 6 Superior Equal
IDegAsp OD vs. IGlar OD (69) 3590 1:1 530 6 Non-inferior
IDegAsp BID vs. BIAsp30BID (82) 3592 1:1 447 6 Non-inferior
IDegAsp OD vs. IGlar OD+OAD[69] 3593 1:1 465 6 Non-inferior
IDegAsp BID vs. BIAsp 30 BID (83) 3597 2:1 424 6 Non-inferior Equal
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Hypoglycaemia: As confirmed hypoglycaemia episodes, hypoglycaemia was defined, comprising severe events requiring
assistance from person to actively administer carbohydrate and glucagon along with hypoglycaemia episodes with plasma glucose of
<3.1 mmol/L (56 mg/dL (Table 2) [57, 59].
Table -2 .Definition of hypoglycaemia in the phase-II degludec trials [60] and America Diabetes Association 2005 and 2013
consensus [57, 58]
Type 1 Diabetes:
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Series 1=Degludec, Series 2=Comparator overall, Series 3=Degludec nocturnal, Series 4=Comparator nocturnal
Type 2 Diabetes:
16
per patient-year of exposure
14
Number of events
12
10
8
6
Series 1
4
2 Series 2
0 Series 3
Series 4
Study ID number
Overall and nocturnal hypoglycaemia event rates (number of events per patient-year of exposure)in individual degludec or
degludec/aspart phase III trials. For definitions, see table 2
LY2605541:Hydrodynamic size of the insulin complex is increased by a long acting insulin like LY2605541 that consists of
insulin lispro-modified with a 20-KDa polyethylene glycol (PEG) moiety at lysine B28 [19]. It is unaffected by renal impairment [61,
62].LY2605541 may have a hepatoselective action on glucose metabolism,that was suggested by animal studies [63].
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Glargine U300: Glargine U300 has an pharmacokinetic and pharmacodynamic profile that compare with glargine [20].The
pharmacokinetic /dynamic profile of U300 was dose dependent and glucose control was evident up to 36 h after injection (end of
study) for type 1 diabetes patients [20]
III. CONCLUSION
Long acting insulin analogues, glargine and detemir are helped to introduce rDNA and represent the most important advances in
basal insulin supplementation since the 1940s. The risk of hypoglycaemia and nocturnal hroglycaemia are reduced by both
analogues and glucose variability also decrease day to day .In Japan and Europe degludec is approved and marketed .It is under
consideration in many other countries and the US FDA raised concerns that degludec may pose a higher cardiovascular risk compared
with active comparators. We need to study more for increasing knowledge and finding different new ways for controlling, treating and
caring our self.
Competing interests
The authors declare that they have no competing interests.
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types 1 diabetes.Diabetes obes Metab 2012; 14(9): 859-864.
[48] Heies T, Nosek L, Bottcher SG et al.Ultra-long-acting insulin degludec has a flat and stable glucose-lowering effect in type 2 diabets.Diabetes obes Metab 2012;
14(10):944-950.
[49] Nishimura E, Sorensen AR, Hansen BF, et al.Insulin Degludec: a new ultra-long,basal insulin designed to maintain full metabolic effect while minimizing
mitogenic potential (Abstract 974).Diabetologia 2010; 53 (Suppl 1): S388-S389.
[50] Heise T,Hovelmann U,Nosek L,et al. Insulin degludec: Two fold longer half-life and a more consistent pharmacokinetic profile than insulin glargine (Abstract
1046).Diabetologia 2011; 54;S425.
[51] Jonassen I,Hong-JesenT,Havelund S,et al.Ultra-long acting insulin degludec can be combined with rapid-acting insulin aspart in a soluble co-
formulation.(Abstract 380).J pept Sci2010;16(suppl 1):32.
[52] Heise T ,Nosek L, Hovelmann U, et al. Insulin degludec 200u/Ml is ultra-long-acting and has a flat and stable glucose-lowering effect(Abstract 349-OR)Diabetes
2012;61(Suppl 1):A91.
[53] HellerS,Buse J,Fisher M, et al. Insulin degludec, an Ultra-long acting basal insulin, vs. insulinglargin in basal-bolus treatment with mealtime insulin aspart in type
1 diabetes (BEGIN basal-bolus type 1):a phase 3,randomized,open-lebel,treat to target no-inferiority trial.Lancet 2012;379(9828):1489-1497.
[54] MathieuC, Hollander P, Mirandapalma B, et al. Efficacy and safety of insulin degludec in a flexible dosing regimen vs insulin glargine in patirnts with type 1
diabetes(BEGIN: flex T1): Metab 2013;95(3);1154-1162.
[55] Zinman B,Devries JH,,Bode B,et al. Efficacy and safety of insulin degludec three times a week vs insulin glargine once a day in insulinave patirnts with type 2
diabetes.Lancet diabetes Endocrinol 2013;1(2):123-131.
[56] Philis-Tsimikas A,Del prato S,Satman I, et AL.Effect of insulin degludec vs.sitagliptin in patient with type 2 diabetes.Diabetes Obes Metab 2013;15(8):760-766.
[57] American Dibetes Association Workgroup on Hypoglycemia. Defining and reporting hypoglycemia in diabetes. Diabetes care 2005; 28(5):1245-1249.
[58] Seaquist ER,Anderson J,Childs B, et al.a report of a workgroup of the American Dibetes Association and the Endocrine society. Diabetes care 2013; 36(5):1384-
1395.
[59] Birkeland KI,Home PD,Wendisch U,et al. Insulin degludec in type 1 diabetes: a randomized control trial of a new generation ultra-long-acting insulin compared
with insulin glargin.Diabetes Care 2011;34(3):661-665.
[60] Ratner RE,Gough SC,Mathieu C,et al. Hypoglycaemia risk with insulin degludec compared with insulin glargine in type 2 and type 1 diabetes: Diabetes Obes
Metab 2013;15(2):175-184.
[61] Owens RA,Lockwood JF,Dunber JD,et al.In vitro characterization of novel basal insun LY2605541(Abstract 1643-p). Diabetes 2012; 61(suppl):A425.
[62] Linnebjerg H,Choi SL,Lam ECQ,et al.Pharmacokinetics of a novel,long-acting basal insulin LY2605541 in subject with varying degrees of renal
function(Abstract 1148-p). Diabetes 2012;61(suppl):A296.
[63] Moore MC,Smith MS,Sinha VP,et al.Novel PEGyatedbasal insulinLY2605541 has a preferential hepatic effect on glucose metabolism. ). Diabetes 2013 Oct 2.
AUTHORS
First Author Md. Ashrafudoulla, Department of pharmacy, Manarat International University
Second Author Feroz Alam, Department of pharmacy, Manarat International University
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Third Author Syeda Sahanaz Naznin, Department of pharmacy, Manarat International University
Correspondence Author Md. Ashrafudoulla, Department of Pharmacy , Manarat International University, Dhaka-1216,
Bangladesh., Email: ashrafmiu584@gmail.com, Cell: +8801917954759
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3. To evaluate the association between the changes before recording their lung functions. Then the subject was asked
occurring in lung functions in comfortable sleeping to maintain their most uncomfortable sleeping position freely
positions and in uncomfortable sleeping positions. selected by them for 5 minutes and same parameters were
measured.
The data were recorded and analyzed by paired t test using
III. METHODOLOGY SPSS statistical software (13th version). Results were expressed
The study was carried out as a descriptive cross sectional as mean Standard Deviation and the difference of mean values
study at The Faculty of Medicine, University of Peradeniya was considered significant when they obtained P value was
including 30 consenting male medical students in 20 25 years <0.05.
age group. The exclusion criteria were any long standing or acute Ethics committee approval was obtained for the research.
respiratory diseases, smoking or anatomical defects of the chest.
The study was carried out using a researcher administrated pre
tested data sheet which includes age, height, weight and their
normal sleeping position. Sleeping positions which were
identified as the most comfortable sleeping positions were
depicted using pictures in the data sheet with head and arm
positions. The Spontaneous Tidal Volume (STV) and Forced
Vital Capacity (FVC) were measured in the subjects using the
electronic spirometer in the supine posture and after adapting
their normal most comfortable sleeping position with head and
arm position. Each subject was kept in that position for 5 minutes
IV. RESULTS
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1 2 3 4 5
The different sleeping positions observed in the subjects elbows, right lateral and left lateral with arms straight and flexed
were supine with arms straight and flexed with internal rotation with internal rotation at elbows and right lateral and left lateral
at elbows, prone with head turned laterally and arms flexed at recumbent (Table 2)
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Table 3: TV, VC and FVC in Supine, Comfortable & Uncomfortable Sleeping Positions.
The mean STV detected was 0.5979 L in supine position The FVC was increased from 4.7004 L to 4.8861L when the
whereas in most comfortable sleeping position with arm position subjects position was changed from supine to normal
it was increased to 0.7976(Table 3). There was a significant comfortable sleeping position with arm position (Table 3). A
difference between the two positions with respect to STV. (P = 0 significant difference was evident between supine position and
.036) after adapting the most comfortable sleeping position in the same
subject. (p = 0.034)
Lower Upper
The observed Vital capacities were significantly different in both positions. P-0.003(p<0.05) (Table 4)
Lower Upper
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Lower Upper
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[3] Pinto MVG, Kariyawasam A, Nandadeva TDP, Marasinghe IUK, Third Author Bhagya Thenuwara, Department of
Amarasinghe U, Jayakody NS, Weerasinghe WN. Changes in the lung
functions of an individual during his normal sleeping body arm position
Anaesthesiology, University of Peradeniya, Sri Lanka,
compared to supine position. Journal of Sri Lanka College of thenuwarabhagya@gmail.com
Anaesthesiologists. 2010. Fourth Author Prabuddha VB Jayasinghe, Department of
[4] Talwar A, Sood, S, Sethi J. Effect of body posture on dynamic lung Anaesthesiology, University of Peradeniya, Sri Lanka,
functions in young non-obese Indian subjects. Indian Journal of Medical Prabu.bear@gmail.com
Sciences. 2002; 56 (12): 607-12.
Fifth Author Sasika K Weerabahu, Department of
[5] Bhat RY, Leipl JA, Singh NR, Rafferty GF, Hannam S, Greenough A.
Effect of Posture on Oxygenation, Lung Volume, and Respiratory Anaesthesiology, University of Peradeniya, Sri Lanka,
Mechanics in Premature Infants Studied Before Discharge. Pediatrics in sasikaviraj@gmail.com
Review.2003;112910:29-32 Sixth Author Senani U Dunukearachchi, Department of
Anaesthesiology, University of Peradeniya, Sri Lanka,
senaniupamalika@yahoo.com
AUTHORS Seventh Author Dhanoja LR Wijesinghe, Department of
Anaesthesiology, University of Peradeniya, Sri Lanka,
First Author Author name, qualifications, associated institute
dhanojawijesinghe@gmail.com
First Author MVG Pinto, Department of Anaesthesiology,
Eighth Author AHMAH Abayasinghe, Department of
Faculty of Medicine, University of Peradeniya, Sri Lanka.
vasantipinto@yahoo.com Anaesthesiology, University of Peradeniya, Sri Lanka,
Second Author Anula Kariyawasam, Department of anjaabey@gmail.com
Physiology, Faculty of Medicine, University of Peradeniya, Sri
Lanka., tashiya2004@yahoo.com
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Abstract- This paper focuses on a very crucial and important democratic and the socialist programme as set out in "Naya
issue that took place in 1975 between Indria Ghandi and Sheikh Kashmir", could not be implemented in feudal Pakistan. It also
Abdullah the ruler of Kashmir. It was this agreement or accord did not mean that he had lost faith in secularism and democracy.
which made the Kashmir a part of India .After working about Had it been so he would never have said:" Never expect from
five years on the said project I have reached to conclusion that Sheikh Abdullah that he would weaken India and its secular
this development was land mark in the history of India .I have basis...
started with the background which was set by then prime
minister of India Indria Ghandi and its acceptance by then tallest 2 Indian express (new Delhi),6 November 1968
leader of Kashmir and its repercussions which he faced there Again to quote Times3, it is well known that Sheikh still
after all has been discussed in this paper. clings to the principles of secularism and parliamentary
democracy and personally opposes Kashmir's accession to
theocratic Pakistan"4. One cannot but notice his faith in the
I. INTRODUCTION AND ACCORD secular character of India, which he thought should not be
endangered while finding the solution of Kashmir problem.
I t has been the policy of the Government of India to secure the
active co-operation and involvement of all such forces in the
country that has faith in the basic principles of the Indian
He was referring to Pakistan as a party to the dispute and
was making the demand for plebiscite, perhaps, in a bid to exert
political System. It was in accordance with this policy and after pressures on the Government of India to come on an agreement
discreet feelers to the Sheikh following Begs statement that the with him. ... "The offer of the plebiscite was made to Kashmiris
Government decided to have a dialogue with Sheikh Mohammad and not to Pakistan therefore Government of India should
Abdullah who did not change his commitment to the basic come to a settlement with people of Kashmir"5
national ideals in spite of the hardships he had to undergo. He In his address to the business community of Kashmir in
reaffirmed: The accession of the state of Jammu and Kashmir to Delhi, Sheikh Abdullah by declaring that Kashmir came to
India is not a matter in issue. It has been my firm belief that the Indian of its own free will, "...cleared the way for a meaningful
future of Jammu and Kashmir lies with India because of the dialogue between him and the Union Government6 The era of
common ideals that we share1. dialogue started in 1972, when the chief lieutenant of the Sheikh,
Mirza Mohammad Afzal Beg, declared :"We are prepared to
1 As quoted in Siser Gupta, a study in India-Pakistan Relations consider in all sincerity the re-establishment of relations on the
[New Delhi, 1966], p 263 basis of the literal and lexical interpretations of Article 370 and
In the initial stages of the dialogue, Sheikh Abdullah its implications"7.
demanded the restoration of the constitutional status as prevailing
in 1953 for the state of Jammu and Kashmir. In other words he 3 Shah no 16 p.14
pleaded for the repeal of a number of post-1953 enactments and 4 times (London), 14 October 1968
Presidential orders in relation to the operation of the emergency 5 Indian express (New Delhi), 6 November 1968
laws, imposition of the President's rule and the extension of the 6 Times of India (New dDelhi) ,6 January 1968.
jurisdiction of the Supreme Court, the Election Commission and 7 Mirza Mohammad Afzal beg ,Khuta-i-Sadarat Barai-Salanah
the Comptroller and Auditor General to the State of Jammu and ijlas Jammu and Kashmir mahaz-i- raishumari
Kashmir .The principle of the residuary sovereignty was sought ,munqudah 5-7 July 1974(Srinagar July 1974) p
to be upheld by changing the designation of the Governor and the What Beg wanted was that the Government of India must
Chief Minister to their pre-1964 nomenclatures of Sadar-i- recognize the autonomy of the state as it existed in 1953.
Riyasat and Prime Minister respectively. Taking note of the Although it could not be possible to go back to the position of
consequences of these demands Hindu writes as a starting point 1953, yet it could not be denied that the efforts put in by the
for these negotiations Sheikh Abdullah and the two countries, Government of India and the leaders of the plebiscite Front made
India and Pakistan, came closer to each other. It was, however, ' Kashmir Accord', possible.
difficult to see how Pakistan was concerned with it, when he had The overall Kashmir Accord was by no means an easy
himself declared Pakistan as an aggressor. Instead of making achievement. The negotiations for the agreement conducted at
Pakistan a party to the dispute, he should have asked her to two different levels - one dealing with the legal and
withdraw from Kashmir. constitutional matters and the other with political change-over-
It must, however, be noted that the demand for plebiscite,"... were hard and time- consuming. In the course of the negotiations,
did necessarily imply that he ( Sheikh Abdullah) wants to join there were occasions when the parties adopted rigid attitude
Pakistan",2 particularly when he was convinced that the regarding certain issues, as a result of which negotiations nearly
broken down. But such occasions proved to be momentary,
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because the parties being basically determined to resolve the inherent in it surfaced on the political scene immediately after
problem had to accommodate each other's point of view. Thus Sheikh Abdullah formed the Government. Those weaknesses are:
the spirit of accommodation together with the firmness and No sincere and serious efforts were, ...made to broaden the
resolution of the parties made the conclusion of the Accord base of what was essentially the product of report between two
possible. individuals, Mrs. Gandhi and the Sheikh...13 Such efforts might
The Accord brought the real leadership of the state back into perhaps have helped in removing the suspicions between the Na-
the mainstream of national life, set at rest all uncertainties about tional Conference and the Congress, with the consequent
the political future of the state, put an end to the conditions of continuation of coalition beyond March 1977. However while
instability that had been prevailing in the state and created drawing such a conclusion, we must keep in mind the chaotic
conditions conduce for the economic development of the state. conditions within the Congress Party that preceded and followed
Amrit Bazar Patrika comments on the effects of the Accord on its debacle in the Parliamentary Elections of 1977;
the internal situation of the state as: Since the Kashmir Accord ____________________________________________________
came into forces, the state has been free from all internal tensions ___
and conflict.8 It presents today a picture of peace and stability 11 Siser Gupta: A Study of India Pakistan relations (Bombay
and is praised for rapid economic and social progress 1966) p.51
12 Sadiq . No 3 p 12
8 As quoted in the preface to new Kashmir :constitution and 13 Syed Mir Qasim : a leaf from the history of Kashmir
outline economic plan for the state of Jammu and Kashmir A) The political accord provided that the Plebiscite Front,
:including ladakh and the frontier regions and the poonch and having rendered itself useless, would be dissolved and the
chainani llagas (new Delhi) p .6 Congress in return would surrender power in favor of Sheikh
Since Sheikh Mohammad Abdullah had failed to secure the Abdullah. What the accord failed to provide was a long-term
right of self-determination for the people of Kashmir, which he political arrangement between the National Conference and the
had been advocating for more than two decades, the events of Congress, which could have defined their relation and role in the
1971 provided him with an opportunity to give up the demand new circumstances.
and make efforts to undo the erosion of the state's autonomy The absence of such an arrangement was a serious weakness
during his absence from active political life. He however, failed in the political accord because of which the relations between the
to impress upon the central leadership the fact that, Kashmir's two were a sort of, love-hate relations, which would sometimes
positions is unique since it initially limited its accession to promise, to introduce cohesion in the state's political life14, and
certain finite heads 9 and that his demand to restore the sometimes, threaten to upset the very basis of the accord. 15
constitutional position of 1953 could not be equated with the Mirza Afzal Beg, the Vice- President of the National
demand for autonomy by other states whose position was Conference described the 1977 Assembly elections,... as
different from the state of Jammu and Kashmir. Though he essentially a plebiscite over the issue of Kashmir's internal
adopted a stiff attitude for some time, but ultimately "... relented sovereignty16 the statement of Mr. Beg equating the elections
and accepted what was for all intents and purpose, the status-quo with plebiscite is pregnant with contradictions. His party, the
,however he was able to get two things: a)That Article 370 of the erstwhile Plebiscite Front, time and again rejected the claim of
Constitution would be treated a permanent Feature of the the Government of India that the participation of the people in
Constitution;10 the elections was tantamount to upholding the state's accession
with the Indian Union. How then, could the 1977 elections be
b) That the state legislature could review certain laws treated as a plebiscite?
extended to the State after 1953.1n this case he has been ____________________________________________________
promised ' sympathetic consideration', which of course cannot be ___
said, is an assurance that the request for the revision of laws 14 AICC Economic renew (New Delhi) vol 2 No 13-14
would receive the Presidential assent. This makes one feel that (January) 1969 p 25
the going may not be easy for him, especially due to the change 15 Dhr op cit p 233
in the central leadership. 16 Sadiq op .cit p 12
9 P.N.K Bamzai A History of Kashmir from earliest times to the Assuming that the election was a plebiscite, one may safely
present day (New Delhi 1962) p 15-16 conclude that, "... India won it without any dissenting vote. For
10 Ibid. p 21 none of the contesting parties or candidates questioned the fact of
accession of the state to India17.
Though the statement of Mr. Beg that....only a fraction of
the central laws will require a revisionI1, is an attempt to assure 17 Gupta op cit p 93
the Central Government that the Kashmir leadership is out to
demand too much, yet much will depend upon the attitude of the
new Central leaders particularly those who had earlier opposed
the process of reconciliation.
The political accord which brought about an unorthodox
pattern of Government in the state of Jammu and Kashmir, .had
been under strain from the start" 12, because certain weaknesses
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AUTHORS First Author Roof Ahmad Mir, PhD research scholar, email-
roofji@gmail.com
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Abstract- This paper sought to discuss the concept of loyalty of (compared to other alternatives) and by repeat buying behaviour.
customers to organizations and brands. Loyalty is defined as the By their analysis, low relative attitude with low repeat purchase
extent of the faithfulness of consumers to a particular brand, indicates an absence of loyalty, while low relative attitude with
expressed through their repeat purchases, irrespective of the high repeat purchase indicates spurious loyalty. Satisfaction
marketing pressure generated by the competing brands. The with a service provider is seen as an antecedent of relative
authors adopted an interpretive literature approach in discussing attitude because without satisfaction consumers will not hold a
the three cardinal denominators for measuring loyalty: repetition, favorable attitude towards the service provider, compared to
advocacy, and patronage. The study revealed that loyalty is other alternatives available.
important for several reasons. First, it reduces the cost of Brand loyalty occurs when a customer chooses to repeatedly
production because the sales volume is higher. Second, purchase a product produced by the same company instead of a
companies with brand-loyal customers don't have to spend as substitute product produced by a competitor. For example, some
much money on marketing the product, which will permit the people will always buy Coke at the grocery store, while other
company to either retain more earnings or to invest resources people will always purchase Pepsi. Brand loyalty is often based
elsewhere. Third, companies may use premium pricing that will upon perception. A consumer will consistently purchase the same
increase profit margins. Finally, loyal customers tend to product because she perceives it as being the superior product
recommend products that they like. It is also important to among the choices available. You should note that brand loyalty
observe that the study brought to the fore the fact that patronage, usually relates to a product, not a company. For example, while
advocacy, and repetition are key to examining loyalty. you may be loyal to your Honda Accord, but when it comes to
motorcycles, you might believe that a Harley leaves a Honda
Index Terms- Loyalty, Profitability, Denominators, Patronage, motorcycle in the dust.
Advocacy Brand loyalty is important for several reasons. First, it
reduces the cost of production because the sales volume is
higher. Second, companies with brand-loyal customers don't
I. INTRODUCTION have to spend as much money on marketing the product, which
will permit the company to either retain more earnings or to
T he outcome of the process of relationship development
should be loyal (and Profitable) customer. But, as with the
concept of relationship marketing itself, there is much debate and
invest resources elsewhere. Third, companies may use premium
pricing that will increase profit margins. Finally, loyal customers
confusion about just what is meant by customer loyalty. The tend to recommend products that they like.
Oxford English Dictionary defines loyalty as the state of being Businesses have to exert significant effort to facilitate brand
faithful; true to allegiance. However, too frequently, mere loyalty. You need to convince potential customers that your
repetitious behaviour by customers has been confused with product has a significant advantage over other products to justify
loyalty as defined above. Repetitious purchasing behaviour may consistent purchases of your product. Businesses also will
be a result of a market structure in which buyers find themselves attempt to leverage brand loyalty developed for a product to
with few alternatives, or where available alternatives can only be other products offered by the company. The hope is to create
obtained at a high cost in terms of breaking current ties with a brand loyalty for as many products as possible.
supplier. In many markets, some segments are likely to purchase
repetitively out of inertia or lack of awareness of the alternatives
available. The loyalty of customers who are influenced by such II. THEORETICAL FRAMEWORK
inertia is likely to be very different to that of a customer who Since customer loyalty has become paramount for
strongly advocates a product and feels emotionally attached to it. organisations, a major concern is to find out the determinants or
Becoming an advocate of a company is the peak of a ladder of drivers of customer loyalty. The marketing and service literature
loyalty. abound with studies which pointed out customer satisfaction as
Dick and Basu (1994) developed the notion of relative one of the prime determinants of customer loyalty (Parasuraman
attitude as a theoretical grounding to the loyalty construct. et al., 1988; Anderson and Sullivan 1993; Andreassen and
Relative attitude refers to a favorable attitude that is high Lindestad, 1998a; Cronin, 2000; McDougall and Levesque,
compared to potential alternatives. They suggest that loyalty is 2000; Chiou et al. 2002; Lin and Wang, 2006; Chi and Qu, 2008;
evidenced both by a more favorable attitude towards a brand Heskett and Sasser, 2010). Customer satisfaction is considered a
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strong predictor of behavioural variables such as customer Gilly, 1991; Heide and Weiss, 1995). Switching costs involve
loyalty, word of mouth, repurchase intentions, etc. (Eggert and investment of time, money, and psychological effort. Due to
Ulaga, 2002). Many researchers as well as service profit chain these factors customers are likely to refrain from shifting to
literature have reported that there is a positive correlation another supplier of the same product/service (Guiltinan, 1989;
between customer satisfaction, customer retention and customer Dick and Basu, 1994). Lam et al. (2004) have found that
loyalty which ultimately leads to profitability (Heskett et al., switching cost is positively correlated to customer loyalty and it
1994; Parasuraman et al., 1988; Anderson and Sullivan, 1993; also affects customers tendency to recommend other customers.
Hallowell, 1996; Mittal and Kamakura, 2001). Other scholars have turned their attention to the investigation of
Service quality has also been associated with customer organizational performance aspects and their impact on customer
loyalty. While some researchers have reported that customer loyalty. Bielen and Demoulin (2007) have reported that waiting
satisfaction exerts a stronger influence on purchase intentions time has a significant influence on customer loyalty, especially in
than service quality (Cronin and Taylor, 1992), others provided service industries. Customer satisfaction with waiting time was
strong empirical evidence supporting the notion that service used as a construct to represent customer post-experience and
quality increases customer intentions to remain with a company. judgmental evaluation related to cognitive and affective aspects
For instance, Buzzell and Gale (1987) have found that service of waiting. By measuring the extent to which perceived waiting
quality results in repeated sales and increased market share, time period matches customers expectations for a specific
which leads to customer loyalty. A research by Zeithaml et al. transaction, they have also found that long waiting time
(1996) concluded that when organisations enhance the quality of negatively affects customers perception of service delivery,
their services, customers favorable behavioural intentions are which reflects negatively on loyalty. Moreover,
increased while unfavorable intentions are decreased reliability/dependability in the words of Slack (2004) has also
simultaneously. Corporate and brand image have also emerged as emerged as an operations element of prime importance in service
determinants of customer loyalty (Gronroos, 1988, Andreassen quality studies (Zeithaml et al., 1990; Parasuraman, 1991;
and Lindestad, 1998b). According to Anderson et al. (1994), Heskett et al., 1994; Berry, 1995; Stank et al. 1999). Patterson
higher levels of customer satisfaction increases loyalty by and Marks (1992) and, more recently, Lai and Yang (2009) also
building a positive corporate image. Andreassens study (1999) identify a positive relationship between perceived dependability
has also confirmed that there is a positive relation between and user satisfaction. Just a few studies have hitherto investigated
corporate image and customer satisfaction, which leads to the impact of operations performance elements on customer
loyalty. Further studies have also concluded that corporate image loyalty.
plays a significant role in developing customer loyalty amongst More specifically, the studies of Bielen and Demoulin
existing customers (Andreassen and Lindestad, 1998a, 1998b). (2007), which looked at waiting time (speed) effects on customer
Perceived value expressed as the ratio of perceived benefits to loyalty, and studies which looked at the impact of dependability
perceived costs is also considered as a determinant of customer on loyalty, were the ones that more distinctively focused upon
loyalty (Zeithaml, 1988; Costabile, 2000; Lam et al. 2004). operations performance aspects in their investigation. Besides
Customers develop loyalty towards a particular firm when there speed and dependability, quality was an important operations
is a feeling that they are receiving greater value as compared to performance element that has been widely investigated in
competitor firms (Bitner and Hubbert, 1994; Sirdeshmukh, et al. previous research concerned with drivers of customer loyalty.
2002). A study by Lam et al. (2004) showed that customer value Our study builds upon previous knowledge on the impact of
positively correlates with customer satisfaction and customer speed, dependability, quality on customer loyalty by
loyalty. Other studies showed that trust directly and positively investigating the joint effect of these three elements on customer
influences customer satisfaction and customer loyalty (Costabile, loyalty. Furthermore, we have also investigated the inter-
2000; Chiou, 2004). For Gommans et al. (2001) trust is a crucial relationships among these three elements, i.e. how they affect
factor that leads to customer loyalty. This issue was further each other.
explored by Lin and Wang (2006) who argued that trusting
beliefs lead to positive attitudes (customer satisfaction), which, in 2.1 Loyalty Programmes and Profitability
turn, influence intention to engage in repeated purchases Customer loyalty is about more than loyalty programmes,
(customer loyalty). They have also posited customer satisfaction which have become popular with companies in many services
as a mediating variable between trust and customer loyalty. sectors in recent years. Many loyalty schemes can be seen as
It has been also found that the development of good classical sales promotion activity in that they offer a short-term
relationships with customers also plays a key role in generating incentive to disloyal brand switchers. It has been noted that much
customer loyalty. For Buttle (1996), marketing concerns have sales promotion activity is very short-term in effect and can
progressively shifted from developing, selling, and delivering actually undermine the long-term task of developing a strong
products/services to developing and maintaining a mutually brand (OBrien and Jones, 1995) as cited in Palmer (2008). There
satisfying long-term relationship with customers. Enduring is evidence to suggest that sales promotion activity, by
relationships with customers provide a unique and sustained encouraging brand switching, can bring about a short-term
competitive advantage that is hardly duplicated by competitors. increase in sales for a company. In the case of manufactured-
Such a strategic orientation is reputed to improve customers goods companies, this may simply bring forward consumers
satisfaction and loyalty as well as raising financial performance purchases resulting in a subsequent fall as stockpiles are used up.
(Andreassen, 1994). Switching cost has also emerged as one of In the case of services, the problem of carrying forward
the factors that affect loyalty (Zeithaml, 1981; Gronhaug and stockpiles does not exist, but disloyal brand switchers who were
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attracted by one companys offer may be just as easily attracted diverse product and geographical coverage may be able to build
away by a competitors incentive. on their initial curiosity contact, opportunities for relationship
An important aim of loyalty programmes is to extend a development by smaller companies in such circumstances are
customers life with a company that their lifetime profitability is limited. In many consumer markets, buyers have become more
increased. Unfortunately, it can be very difficult to measure the confident and their needs ongoing trusting relationships has been
effectiveness of a loyalty programme. The conceptual difficulties reduced by legislation, which has had the effect of reducing the
in measuring performance of loyalty programmes stem from the risk associated with buying goods and services from previous
difficulty of comparing the performance of a marketing plan that unknown sources. In the UK, for example, statutory provision for
includes a loyalty programme with a plan that does not include investors competition funds has lessened the need for investors
one. Some companies have experimented with cross-sectional to rely on an intermediary whom they have come to trust.
data by comparing past performance at outlets that are similar, Legislation has reduced the chances of a poor relationship being
except for the existence of a loyalty programme. There are few developed and provided means for compensating investors who
published long-term studies of the effectiveness of loyalty suffer loss as a result of failure by an intermediary, thereby
programmes. encouraging greater transactional orientation.
In any given industry sector, there are usually significant Palmer (2008) argues that formalized buying processes
benefits of being the first company to offer a loyalty programme. adopted by large companies and government bodies may prevent
However, while pioneers in a sector may introduce incentive the development of ongoing relationships based on social bonds.
Schemes and gain additional profitable business from Tightly identified supplier-buyer relationships, and a requirement
competitors, incentives can rapidly become a sector norm that for contracts to be re-submitted for tender after a specified
buyers expect (Gilbert and Karabeyekian, 1995). Loyalty period, reduce the scope for ongoing socially based relationships
programmes may fail to give a long-term strategic advantage to a to be developed within a system of routine competitive tendering.
company because they are easy for competitors to copy. There is It has been argued that such an approach to obtaining value for
evidence that once one innovator in a sector introduces a loyalty money has stressed cost reducing at the expense of more
scheme, competitors soon follow. qualitative measures of efficiency and effectiveness.
A further reason why it is very difficult to evaluate the Much of the literature on relationship marketing has focused
effectiveness of a loyalty programme is because one of the main on suppliers needs develop relationships (e.g. Day and Wensley,
benefits to a company is the data that programmes can give them. 1983; Webster, 1992), overlooking the perspective of buyers
To many companies, a loyalty programme represents a cost- needs or lack of need to develop ongoing relationship.
effective way of gathering longitudinal data about customers Commitment by a customer to one supplier relationship can
behaviour, particularly as they can also link this to customers imply forgoing alternative opportunities when they present
demographic information. An example according to Palmer themselves. Buyers may deliberately seek to minimized risk of
(2008) is the retailer Tesco, who used data-mining techniques to dependency by developing a portfolio of suppliers.
identify a link between the sale of beer and the sale of nappies. Recent developments in IT have emphasized the benefits to
This insight could not have been provided very easily by an producers of being able to gain an asymmetrical position of
analysis till receipts alone, but came about by analyzing data power in private buyer-seller relationships. In Further
over time, for different stores and different categories of development, IT is strengthening the willingness and ability to
customers. private summers to engage in multiple sourcing of purchases at
Against these benefits to companies is an increasing the expense of ongoing relationships. For example the internet is
realization by some customers of the privacy implications of increasingly allowing consumers to search quickly and easily for
allowing so much data to be collected about them. While it is the cheapest quotation when their car insurance comes during
probably true that the majority of customers are quite happy to renewal, reducing the chances of renewal through inertia.
simply collect rewards, concerned about the privacy issues, or Individuals differ in their level of optimum stimulation
simply unaware of the amount of data that is collected about level, implying that some individuals have a greater propensity
them, there are nevertheless many customers who do not use than others to seek out variety or to take risks compared with
loyalty programmes because of the need to give information those who seek out the security and predictability of an ongoing
about themselves (Palmer, 2008). relationship. There is evidence of a demographic effect on
loyalty. In one study of customers of dentists, hairdressers and
2.2 Challenges to Customer Loyalty travel agents, it was found that older age groups displayed
In developing customer loyalty, service providers face a significantly more loyal behaviour than their younger
number of challenges (Palmer 2008): Loyalty may be an counterparts. Additionally, it was found that older clients had
unrealistic pursuit where customers have no underlying need to different motives (social benefits, special treatment and
make further purchases of a category of product that a company confidence) for staying loyal compared to the younger clients
is able to supply. In the extreme case, a small scale company may (Patterson, 2007).
appeal to the curiosity of buyers for whom a second-time For firms, the most rewarding relationships with customers
purchase will have little of its original value curiosity. This result from investment create affective loyalty, rather than short-
phenomenon is present in many tourism-related businesses in term financially based incentives. The excessive use of financial
destinations of symbolic rather than aesthetic quality (for incentives to create loyalty may put a firm at a cost disadvantage
example, many people make a religious pilgrimage once in their in a market where cost leadership is important, while securing
lifetime with little incentive to return again). While firms with a little underlying loyalty. While pioneers in a sector may
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introduce incentive schemes and additional profitable business with your company, a loyalty profile of your customers can be
from competitors, incentives for loyalty can rapidly become a created. Loyalty segments categorize customers as loyal, neutral
sector norm that customers expect. In the case of airlines and vulnerable. The basis for loyalty segmentation should be
frequent-flyer programmes, a cycle of development has been sufficiently flexible in that it recognizes and accounts for the
described that began in the 1980s, when the first companies to uniqueness and special challenges of any one business or
launch achieved revenue benefits. By the end of the 1980s, the organization as well as the environment in which it competes.
use of frequent-flyer programmes had become more widespread And yet must also be based on sound, well-tested research
and their revenue benefits marginal. By the 1990s, most major principles and validated modeling
airlines had developed programmes, yielding little advantage (http://www.loyaltyresearch.com/insights/thought-
from this tool (Gilbert and Karabeyekian, 1995). Frequent-flyer perspectives/customer-loyalty-what-is-it-how-can-you-measure-
programmes had become part of many business travellers and-manage-it/2/-retrieved November 11, 2015). Business
expectations, resulting in heavy losses of revenue for airlines. success means having desirable customers who are strongly tied
Meanwhile, many low-frills airlines, such as Ryanair, who to your organization. Monitoring the number/percent of your
offer no loyalty programme have achieved rapid growth and customers in the loyal segment and doing what it takes to
higher levels of profitability than their full-service competitors increase loyal customers while decreasing those who are
who offer a frequent flyer loyalty programme. vulnerable should provide the focus of any organization.
According to Palmer (2008), programmes to develop loyalty
may motivate those customers who quality for loyalty rewards,
but may demotivate others who do not quality. It is reported that III. METHODOLOGY
a number of grocery retailers have considered adding fast An interpretive literature approach was adopted for this
checkouts with shorter queues for their high-profit customers, study. The authors reviewed widely adequate literature on the
similar to the dedicated check-in areas used by airlines for their subject, breaking into parts and examining the components of the
business class passengers. However, the negative effects on topic for easy comprehension of the issues discussed. Thoughts
grocery shoppers who did not qualify for the fast checkout may and personal interpretations of the issues addressed in the paper
have had a demotivational effect greater than the motivational were the bases upon which the authors drew their conclusions on
effect on those who did. the topic.
2.3 Measuring Customer Loyalty
According to IV. CONCLUSION
http://www.loyaltyresearch.com/insights/thought-
perspectives/customer-loyalty-what-is-it-how-can-you-measure- Customer loyalty is a tricky sentiment to track. It is difficult
and-manage-it/2/ (retrieved November 11, 2015), it is to measure customer loyalty because proof of loyalty, the state of
challenging to measure the level of loyalty within the being loyal, is most often shown after an action occurred that
relationship which is why companies so often succumb to simply indicates a persons loyalty. However, past action often indicates
defining loyalty as the number of purchases made or a continuing but doesnt guarantee future loyalty
pattern of buy behavior. And asking the customer directly about (http://www.mtabsurveyanalysis.com/3-ways-to-measure-
whether or not they are loyal does not provide a valid measure. customer-loyalty/: retrieved November 11, 2015). So how do
Customers will often say they are loyal simultaneously to you measure something that hasnt happened yet? You can look
multiple providers. Measuring customer loyalty means for patterns when analyzing responses to survey questions
measuring those attitudes as well as behaviors that we know designed to measure specific indicators that, when taken in
make up this concept of loyalty. For example, some of the context by the analyst, have varying degrees of certainty as to
important attitudes and behaviors expected of a loyal customer future action. Bob Hayes, author of Measuring Customer
include: Satisfaction and Loyalty, breaks it down into 3 measurements:
likelihood to recommend your products and services to retention, advocacy and purchasing.
others Retention is a reflection of a customers willingness to
remain with a particular companys service or products and is
likelihood to continue purchasing your products and
useful to measure customer loyalty. Questions designed to
services, at minimum, at the same level
determine loyalty are often based on the How likely are you
likelihood of purchasing other products and services you model to predicate future behavior. Among wireless or other
offer service provider companies, Retention is most often asked by the
believing your products and services are superior to question, How likely are you to switch? This question is an
others offered in the marketplace indication of the relationship the customer has with the company
not actively seeking alternative providers to replace you and may be an indicator of overall satisfaction. Although, the
providing your company with opportunities to correct smart analyst should be aware that the question alone, without
problems and not using these as a basis for corroborating evidence, may be an indication of a deeper
compromising the relationship dissatisfaction with the competition rather than satisfaction with
their current company. This least of all evils attitude is often
Based on customers responses to questions such as these as found in service industries such as cable/internet providers,
well as others that evaluate specific aspects of their relationship wireless companies and banking. To be helpful, retention
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 379
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questions should be supported by an investigation of the second Theory and Practice, Chap. 3, Eds. Roland T. Rust and Richard L. Oliver.
Thousand Oaks, CA: Sage, pp. 72-94
measure, advocacy.
[8] Buttle, F., (1996), Relationship Marketing: Theory and Practice. London:
Advocacy is related to retention because the assumption is that a Paul Chapman Publishing Ltd, London.
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itself is a strong indication of customer satisfaction, the strongest examination and extension. Journal of Marketing, 56: 55-68.
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orientation. Journal of Marketing, 47 (Fall 1983): 79-89.
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[16] Dick A. and Basu K. (1994). Customer loyalty: towards an integrated
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used by decision makers. That is the job of the analyst to rely on
[23] Heide J. B. and Weiss A.M. (1995). Vendor consideration and switching
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into perspective. [24] Heskett J. L. and Sasser W. E. (2010). The service profit chain, handbook of
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AUTHORS
industry. Journal of Operations Management, 17: 429447. First Author Israel Kofi Nyarko, Department of Marketing,
[37] Webster F. E Jr. (1992). The changing role of marketing in the corporation. Ho Polytechnic, Ghana
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Second Author Matthew Opoku Agyeman-Duah, Department
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consequences of service quality. Journal of Marketing, 60: 31-46.
of Marketing, Ho Polytechnic, Ghana
Third Author Vincent Asimah, Department of Hospitality and
Tourism Management, Ho Polytechnic, Ghana
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Abstract- Geopolymer is a new development in the world of signicant amount of natural resources. Therefore to reduce the
concrete in which cement is totally replaced by pozzoloanic pollution, it is necessary to reduce or replace the cement from
materials like y ash and activated by highly alkaline solutions to concrete by other cementitious materials like y ash, blast
act as a binder in the concrete mix. For the selection of suitable furnace slag, rice husk ash, etc.
ingredients of geopolymer concrete to achieve desire strength at Fly ash is a by-product of pulverized coal blown into a re
required workability, an experimental investigation has been furnace of an electricity generating thermal power plant.
carried out for the gradation of geopolymer concrete and a mix According to the survey, the total y ash production in the world
design procedure is proposed on the basis of quantity and is about 780 million tons per year but utilization is only about
neness of y ash, quantity of water, grading of ne aggregate, 1720 %. In India more than 220 million tons of Fly ash is
ne to total aggregate ratio. Sodium silicate solution with Na2O produced annually. Out of this, only 3550 % y ash is utilized
= 16.37 %, SiO2 = 34.35 % and H2O = 49.28 % and sodium either in the production of Portland pozzoloana cement,
hydroxide solution having 13M , 10M 15M concentration were workability improving admixture in concrete or in stabilization
obtained throughout the experiment. Water-to-geopolymer binder of soil. Most of the y ash is disposed off as a waste material that
ratio of 0.40, alkaline solution-to-y ash ratio of 0.35 and sodium covers several hectares of valuable land.
silicate-to-sodium hydroxide ratio of 2.0 by mass were xed on Therefore for complete replacement of cement by y ash and
the basis of workability and cube compressive strength. to achieve the higher strength within a short period of curing,
Workability of geopolymer concrete was measured by ow table Davodavits suggested the activation process of pozzolanic
apparatus and cubes of 150 mm .side were cast and tested for material that are rich in silica and alumina like y ash with
compressive strength after specied period of oven heating. The alkaline elements at certain elevated temperature. Fly ash when
temperature of oven heating was maintained at 60 C for 24 h comes in contact with highly alkaline solutions forms inorganic
duration and tested 7 days after heating. It is observed that the aluminasilicate polymer product yielding polymeric SiOAl
results of workability and compressive strength are well match O bonds known as Geopolymer .
with the required degree of workability and compressive To produce concrete of desired strength, various mix
strength. So, proposed method is used to design normal and proportioning methods are used on the basis of type of work,
standard geopolymer concrete. types, availability and properties of material, eld conditions and
workability and durability requirements. Rangan [16] have
Index Terms- Geopolymer concrete Mix design Fly ash proposed the mix design procedure for production of y ash
alkaline solutionCompressive strength. based geopolymer concrete whereas Anuradha [1] have
presented modied guidelines for mix design of geopolymer
I. INTRODUCTION concrete using Indian standard code.
As geopolymer concrete is a new material in which cement
U se of concrete is globally accepted due to ease in operation,
mechanical properties and low cost of production as
compared to other construction materials. An important
is totally replaced by y ash and activated by alkaline solutions.
Chemical composition, neness and density of y ashes are
ingredient in the conventional concrete is the Portland cement. different from cement. Similarly, in cement concrete, water
Production of Portland cement is increasing due to the increasing Plays main role during hydration process while water cement out
demand of construction industries. Therefore the rate of during polymerization process a sin case of geopolymer concrete
production of carbon dioxide released to the atmosphere during .Therefore it is necessary to develop a new mix design procedure
the production of Portland cement is also increasing. Generally for geopolymer concrete to achieve desired strength at required
for each ton of Portland cement production, releases a ton of workability. So, in the present investigation, geopolymer
carbon dioxide in the atmosphere . The greenhouse gas emission concrete mix design procedure is proposed on the basis of
from the production of Portland cement is about 1.35 billion tons quantity and neness of y ash to achieve desired strength
annually, which is about 7 % of the total greenhouse gas quantity of water to achieve required degree of workability
emissions. .Moreover, cement production also consumes grading of ne aggregate and neness-to-total aggregate ratio by
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maintaining solution-to-y ash ratio by mass of 0.35 , water-to- sodium hydroxide ratio by mass was maintained at 2 which
geopolymer binder ratio of 0.40 , sodium silicate-to-sodium set cubes within 24 h after casting and gives fairly good
hydroxide ratio by mass of 2.0 and tested after oven heating at a results of compressive strength
temperature 60 C for duration of 24 h and tested after test period
of 7 days 14 days 28 days . 3. WATER
From the chemical reaction, it was observe that the water
II. EXPERIMENTAL WORK. comes out from the mix during the polymerization process.
The role of water in the geopolymer mix is to make
II- A MATERIALS workable concrete in plastic state and do not contribute
In the proposed mix proportioning method, low calcium towards the strength in hardened state. Similarly the demand
processed y ash of thermal power plant was used as source of water increases with increase in neness of source
material. The laboratory grade sodium hydroxide in ake form material for same degree of workability. So, the minimum
(97.8 % purity) and sodium silicate (50.72 % solids) solutions are quantity of water required to achieve desired workability is
used as alkaline activators. Locally available river sand is used as selected on the basis of degree of workability, neness of y
ne aggregate and locally available 20 and 12.5 mm sizes ash and grading of ne aggregate
crushed basalt stones are used as coarse aggregates.
4. AGGREGATE
Aggregates are inert mineral material used as ller in
II-B PARAMETERS CONSIDERED FOR MIX PROPORTIONING OF
concrete which occupies 7085 % volume. So, in the
GEOPOLYMER CONCRETE
preparation of geopolymer concrete, ne and coarse
For the development of y ash based geopolymer concrete aggregates are mixed in such a way that it gives least voids
mix design method, detailed investigations have been carried out in the concrete mass. This was done by grading of ne
and following parameters were selected on the basis of aggregate and selecting suitable ne-to-total aggregate ratio.
workability and compressive strength. Workability of geopolymer concrete is also affected by
grading of ne aggregate similar to cement concrete. So, on
1. FLY ASH the basis of grading of ne aggregate, ne-to-total aggregate
Quantity and neness of y ash plays an important role in ratio is selected in the proposed mix proportionating
the activation process of geopolymer. It was already pointed method
out that the strength of geopolymer concrete increases with
increase in quantity and neness of y ash,. Similarly higher 5. DEGREE OF HEATING
neness shows higher workability and strength with early For the development of geopolymer concrete, temperature
duration of heating. So, the main emphasis is given on and duration of heating plays an important role in the
quantity and neness of y ash in the development of mix activation process. In the present investigation, cubes were
proportioning procedure of geopolymer concrete. So, in the de molded after 24 h of casting and then place in an oven
proposed mix design procedure, quantity of y ash is for heating at 60 C for a period of 24 h. After specied
selected on the basis of neness of y ash and target degree of heating, oven is switched off and cubes are
strength. allowed to cool down to room temperature in an oven itself.
Then compression test is carried out on geopolymer
2. ALKALINE ACTIVATORS concrete cubes after a test period of 7 days. Test period is
In the present investigation, sodium based alkaline the period considered in between testing cubes for
activators are used. Single activator either sodium compressive strength and placing it in normal room
hydroxide or sodium silicate alone is not much effective as temperature after heating. is observed that the compressive
clearly seen. So, the combination of sodium hydroxide and strength of geopolymer concrete increases with increase in
sodium silicate solutions are used for the activation of y duration and test period. From the design point of view, 24
ash based geopolymer concrete. It is observed that the h of oven curing at 60 C and tested after a period of 7 days
compressive strength of geopolymer concrete increases with was xed as per past research
increase in concentration of sodium hydroxide solution and
or sodium silicate solution with increased viscosity of fresh 6. WATER TO GEOPOLYMER BINDER RATIO
mix. Due to increase in concentration of sodium hydroxide Water-to-geopolymer binder ratio The ratio of total water
solution in terms of molarity (M) makes the concrete more (i.e. water present in solution and extra water if required) to
brittle with increased compressive strength. Secondly, the material involve in polymerization process (i.e. y ash and
cost of sodium hydroxide solid is high and preparation is sodium silicate and sodium hydroxide solutions) plays an
very caustic. Similarly to achieve desired degree of important role in the activation. process. Rangan suggested
workability, extra water is required which ultimately reduce the water-to-geopolymer solid ratio in which only solid
the concentration of sodium hydroxide solution. So, the content in solution and y ash is considered. But the
concentration of sodium hydroxide was maintained at 13 M calculation is tedious and water present in solution indicates
while concentration of sodium silicate solution contains the concentration of solution itself. So, in the present
Na2O of 16.37 %, SiO2 of 34.35 % and H2O of 49.72 % is investigation, water-to-geopolymer binder ratio is
used as alkaline solutions. Similarly, sodium silicate-to- considered. From the investigation, it is observed that the
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 383
ISSN 2250-3153
compressive strength reduces with increase in water-to- for Mix Design Fck fck 1:65S 1 The standard
geopolymer binder ratio similar to water-to-cement ratio in deviation, S for each grade of geopolymer concrete shall be
cement concrete. At water-to-geopolymer binder ratio of calculated, separately on the basis of minimum 30 test samples.
0.35, the mix was very stiff and at 0.40, the mix was With reference to IS 456-2000, the value of S is assumed as per
segregated. Similarly water come out during polymerization Table 1 in the rst instant as mentioned in clause 9. 2. 4.
process and does not contribute anything to the strength. So,
water-to-geopolymer binder ratio is maintained at 0.40 2. SELECTION OF QUANTITY OF FLY- ASH (F)
which gives better results of workability and compressive Quantity of y ash selected based on target mean
strength. strength and neness of y ash at solution-to-y ash
ratio of 0.35
7. SOLUTION TO FLY ASH RATIO
As solution (i.e. sodium silicate + sodium hydroxide) to y 3. CALCULATION OF THE QUANTITY OF ALKALINE
ash ratio increases, strength is also increases. But the rate of ACTIVATORS
gain of strength is not much signicant beyond solution to Based on the quantity of y ash (F) determined in
y ash ratio of 0.35. Similarly the mix was more and more the previous step, the amount of total solution is
viscous with higher ratios and unit cost is also increases. So, obtained using solution-to-y ash ratio of 0.35 by mass.
in the present mix design method, solution-to-y ash ratio After that, quantity of sodium silicate and sodium
was maintained at 0.35 hydroxide is decided using sodium silicate-to-sodium
hydroxide ratio of 1 by mass.
II-C PREPARATION OF GEOPOLYMER CONCRETE MIXES
Preparation of geopolymer concrete is similar to that of cement 4. CALCULATION OF THE SOLID CONTENT IN ALKALINE
concrete. Two types of coarse aggregates, sand and y ash were SOLUTION
mixed in dry state. Then add prepared mixture solution of Calculation of Total Solid Content in Alkaline
sodium hydroxide and sodium silicate along with extra water Solution Calculate solid content in sodium silicate and
based on water-to-geopolymer binder ratio and mix thoroughly sodium hydroxide solution on the basis of percentage
for 34 min so as to give homogeneous mix. It was found that the solid present in each solution.
fresh y ash based geopolymer concrete was viscous, cohesive
and dark in color. After making the homogeneous mix, 5. SELECTION OF QUANTITY OF WATER
workability of fresh geopolymer concrete was measured by ow Selection of Quantity of Water Workability of
table apparatus as per IS 5512-1983 and IS 1727-1967. Concrete geopolymer concrete is depending on total quantity of
cubes of side 150 mm are casted in three layers. Each layer is water including water present in both alkaline solutions
well compacted by tamping rod of diameter 16 mm. All cubes and the degree of workability. Select the total quantity
were place on table vibrator and vibrated for 2 min for proper of water required to achieve desired workability based
compaction of concrete. After compaction of concrete, the top on neness of y ash
surface was leveled by using trowel.
After 24 h of casting, all cubes were de molded and then placed 6. CORRECTION IN WATER CONTENT
in an oven for thermal curing (heating). To avoid the sudden In concrete, volume occupied by ne and coarse
variation in temperature, the concrete cubes were allowed to cool aggregate is about 7085% of total volume. Similarly,
down up to room temperature in an oven. Three cubes were cast ner particles have large surface area as compared to
and tested for compressive strength for each curing period. coarser one and hence required more water to produce
workablemix.IS10262 suggested some correction in
III METHOD PROPOSED FOR MIX PROPORTIONING water content for the mix proportioning of cement
(FOR M20 GRADE OF CONCRETE) concrete on the basis of grading of ne aggregate. in
geopolymer concrete role of water is to make workable
III- A DATA REQUIRED FOR MIX DESIGN. concrete. So, it is recommended to apply same
1. Characteristic compressive strength of Geopolymer Concrete correction to geo- polymer concrete in the proposed mix
(fck) design on the basis of grading zones of ne aggregate.
2. Fineness of y ash in terms of specic surface in m2/kg on the basis of grading zones of ne aggregate.
3. Workability in terms of ow
4. Oven curing (heating) 60 C for 24 h and tested after 7 days 7. CALCULATION OF ADDITIONAL QUANTITY OF WATER
5. Fineness modulus of ne aggregate In geopolymer concrete, alkaline solutions are used
6. Water absorption and water content in ne and coarse which contains certain quantity of water on the basis of
aggregate their concentration. But to meet workability
Following design steps are used to select the suitable mix requirements, additional water may be added in the mix
proportion of y ash based geopolymer concrete. externally which is calculated as:
Additional quantity of water; if required
III- B DESIGN STEPS = Total quantity of water - Water present in alkaline
solutions.
1. TARGET MEAN STRENGTH (FCK)
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8. CALCULATION OF FINE AND COARSE AGGREGATE density obtained by proposed method is 2,601.48 kg/m3 which is
CONTENT 3.33 % higher than that considered in design method
Aggregate Contents is obtained using following Then cubes were placed in an oven for thermal curing at 60
relations: C for 24 h. To avoid sudden variation in temperature, the
Total quantity of aggregate = Wet Density of concrete cubes were allowed to cool down up to room
Geopolymer concrete {Quantity of Geopolymer temperature in an oven itself. Three cubes were cast and tested
Binder + Additional water; if any} for compressive strength after 7 days of test period. Here, test
period is the period considered after removing the cubes from
Sand content = {Fine-to-total aggregate content in oven till the time of testing for compressive strength. It is
%] x {Total quantity of aggregate} observed that the compressive strength of M20 grade geo-
polymer concrete is 27.22 MPa tested after 7 days of test period
Coarse aggregate content ={Total quantity of which is 2.69 % less than the target strength (28.25 MPa)
aggregate} { Sand content } considered in proposed mix design method which is within the
limit of +/15 % as per IS 456-2000. These method provides,
9. ACTUAL QUANTITY OF MATERIAL REQUIRED ON THE comparatively, economical mix than other method.
BASIS OF FIELD CONDITION.
The above mix proportion has been arrived on the CONCLUSION
assumption that aggregates are saturated and surface This paper proposed the guidelines for the design of y ash
dry. For any deviation from this condition i.e. when based geopolymer concrete of ordinary and standard grade on the
aggregates are moist or air dry or bone dry, correction basis of quantity and neness of y ash, quantity of water and
has to be applied on quantity of mixing water as well to grading of ne aggregate by maintaining water- to-geopolymer
the aggregates. binder ratio of 0.40, solution-to-y ash ratio of 0.35, and sodium
silicate-to-sodium hydroxide ratio of 2 with concentration of
sodium hydroxide as 13 M. Heat curing was done at 60 C for
duration of 24 h and tested after 7 days after oven heating.
Experimental results of M20, M25, M30, M35 and M40 grades
of geopolymer concrete mixes using proposed method of mix
design shows promising results of workability and compressive
strength. So, these guidelines help in design of y ash based
geopolymer concrete of Ordinary and Standard Grades as
mentioned in IS 456: 2000.
REFERENCES
1. Anuradha R, Sreevidya V, Venkatasubramani R,
Rangan BV (2012) Modied guidelines for geopolymer
concrete mix design using Indian standard. Asian J Civ
Relation between fineness of fly ash and density of geopolymer
Eng (Build House) 13 (3):353364
concrete 2. Davidovits J (1995) Global warming impact on the
cement and aggregate industries. World Res Rev
I. RESULT AND DISCUSSION 6(2):263278
3. Davidovits J (1991) Geopolymers: inorganic polymeric
It was found that the fresh y ash-based geopolymer concrete
new materials. J Therm Anal 37:16331656
was viscous, cohesive and dark in color and glassy appearance.
4. Davidovits J (1994) Geopolymers: man-made
After making the homogeneous mix, workability of fresh
geosynthesis and the resulting development of very
geopolymer concrete was measured by ow table apparatus as
early high strength cement. J Mater Edu 16(2, 3):91
per IS 5512-1983 and IS 1727-1967. Freshly mixed geopolymer
139
concrete is viscous in nature and water comes out during
5. Davidovits J (1988) Geopolymer chemistry and
polymerization process, methods like slump cone test is not
properties. In: Proceedings of 1st European conference
suitable to measure workability as concrete subside for long time
while in compaction factor test, concrete cannot ow freely. So, on soft mineralogy. Geopolymere, vol 88, France, pp
2548
ow table test is recommended for workability measurement of
6. .Hardjito D, Wallah SE, Sumjouw DMJ, Rangan BV
geopolymer concrete
(2004) On the development of y ash based geopolymer
After measuring workability, concrete cubes of side 150 mm
concrete. ACI Mater J 101:467472
were cast in three layers and each is properly compacted similar
7. IS 456-2000 Plain and reinforces concrete-code of
to cement concrete. Then after 24 h of casting, all cubes were
practice (forth revision). Bureau of Indian Standards,
demoulded and weight was taken for the calculation of mass
New Delhi
density. Average weight of three cubes was considered for
8. IS 10262-1970 recommended guidelines for concrete
calculation of mass density. It is observed that the average mass
mix design on for coarse and ne aggregates from
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natural sources for concrete. Bureau of Indian y ash based geopolymer concrete. Int J Adv Techno
Standards, New Delhi Civil Eng. 2(1):7983
9. IS 383-1970 Specication for coarse and ne 15. Patankar SV, Jamkar SS, Ghugal YM (2012) Effect of
aggregates from natural sources for concrete. Bureau of sodium hydroxide on ow and strength of y ash based
Indian Standards, New Delhi geopolymer mortar. J Structural Engg. 39(1):712
10. Jamkar SS, Ghugal YM, Patankar SV (2013) Effect of 16. Rangan BV (2008) Mix design and production of y
neness of y ash on ow and compressive strength of ash based geopolymer concrete. Indian Concrete J 82:7
geopolymer concrete. Indian Concr J 87(4):5761 15
11. Patankar SV, Jamkar SS, Ghugal YM (2014) Selection
of suitable quantity of water, degree and duration of AUTHORS
heat curing for geopolymer concrete production. In: First Author Abhishek C. Ayachit.
Proceedings of 3rd international conference on recent Department of Civil Engineering, K.K.Wagh Polytechnic, Nasik,
trends in engineering and technology, ICRTET2014. Maharashtra, India.
Supported by Elsevier Email- abhisweetfriends@gmail.com
12. Patankar SV, Jamkar SS, Ghugal YM (2014) Effect of Second Author Pranav B. Nikam.
grading of ne aggregate on Flow and compressive Department of Civil Engineering, K.K.Wagh Polytechnic,
strength of geopolymer concrete. In: UKEIRI concrete Nasik, Maharashtra, India.
congress-innovations in concrete, pp 11631172 Email- pranavnikam15@gmail.com
13. Patankar SV, Jamkar SS, Ghugal YM (2012) Effect of Third Author . Siddharth N. Pise.
solution-to-y ash ratio on ow and compressive Department of Civil Engineering, K.K.Wagh Polytechnic,
strength of geopolymer concrete. In: Proceedings of 8th Nasik, Maharashtra, India.
biennial conference on structural engineering Email- siddharthpise41@gmail.com
convention (SEC2012) at S.V.N.I.T., Surat, pp. 161 Fourth Author . Akash D. Shah.
166 Department of Civil Engineering, K.K.Wagh Polytechnic,
14. Patankar SV, Jamkar SS, Ghugal YM (2013) Effect of Nasik, Maharashtra, India.
water-to-geopolymer binder ratio on the production of Email- shah.shahakash@gmail.com
Fourth Author Vinayak H. Pawar
Department of Civil Engineering, K.K.Wagh Polytechnic,
Nasik, Maharashtra, India.
Email- vinayakpawar51@gmail.com
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 386
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Jomo Kenyatta University of Agriculture and Technology Mombasa Campus, P.O Box 81310-80100 Mombasa
Abstract- This paper is based on the need to discuss factors professional, finance management is able to bring the right
affecting finance management as one of the major problems people, with the right skills, to the right place, at the right time to
faced by devolved units. The scope of the research will be assist helping organisations to become leaders in finance. An
County Government of Kwale. The paper explores measures that efficient finance management function helps identify and deliver
can be undertaken to impact the effectiveness of finance specific improvements in order to unlock value and resources
management. Records have shown that a large number of the thus freeing up time for improved decision support activities. It is
devolved units are yet to develop and implement effective founded on a robust platform of integrated operational and
finance management, yet these attracts benefits to both the transactional finance activities.
devolved units and the members of public. Hence the Kenya is emerging from a state of poor governance
development of this research paper to highlight on the best demonstrated by widespread corruption, ethnic conflicts,
practices. It must be appreciated that the issue of finance insecurity, political uncertainty; and poverty among others. Poor
management is very sensitive to the members of the public governance has resulted in, among other negative outcomes, the
because it affects the living standards of the community alienation of large portions of the society from the mainstream
members. This is because resources that are well utilized and economy; the squandering of public resources leading to low
distributed would be of much benefit to the public. This paper is levels of development and massive property, ethnic animosity
therefore prepared to analyze the importance of finance due to perceptions of historical injustices and cut-throat political
management so that organizations and individuals can competition and intolerance.
understand the importance of effective finance management. The struggle for constitutional reforms has its roots in the
desire to correct the deficiencies in the governance framework of
Index Terms- Devolution, financial management, record the country. A central objective of the struggle has been the
keeping, financial reporting, fundraising restoration of power to local communities to manage their affairs
particularly in matters of local development.
Devolution in Kenya is the pillar of the constitution and
I. INTRODUCTION seeks to bring government closer to the people, with county
governments at the centre of dispersing political power and
F inancial Management means planning, organizing, directing
and controlling the financial activities such as procurement
and utilization of funds of the enterprise. It means applying
economic resources to Kenyans at the grassroots. The
promulgation of the constitution of Kenya 2010 marked a major
general management principles to financial resources of the milestone in the way the country is governed. It stipulated the
enterprise. The financial management is generally concerned dispersal of political power and economic resources from the
with procurement, allocation and control of financial resources of centre in Nairobi to the grassroots in a process known as
a concern. Finance management basically entails; ensuring devolution. The constitution was reviewed so as to consider
regular and adequate supply of funds to the concern, ensure peoples participation through the devolution of power, respect
adequate returns to the shareholders which will depend upon the for ethnic and regional diversity and communal rights including
earning capacity, market price of the share, expectations of the the right of communities to organise and participate in cultural
shareholders, ensure optimum funds utilization. Once the funds activities and the expression of their identities. It was to review
are procured, they should be utilized in maximum possible way the place of local government, the degree of the devolution of
at least cost. To ensure safety on investment, that is, funds should power to local authorities, and options for federal and unitary
be invested in safe ventures so that adequate rate of return can be systems. The feeling of being marginalised and neglected,
achieved and to plan a sound capital structure-There should be deprived of resources and victimised for political or ethnic
sound and fair composition of capital so that a balance is affiliations intensified the push for devolution.
maintained between debt and equity capital. The ability of the new counties to create wealth and enhance
The finance function needs to be aligned to the business welfare outcomes of their citizens will depend on how well they
strategy, and provide financial analysis and insight to support are able to leverage the endowments, natural and otherwise,
corporate decision making, while also meeting legal and within the national, regional and global operating contexts.
regulatory requirements given. With a global network of Attracting the jobs that improve welfare for citizens will not be
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achieved through lone ranger efforts. Experience elsewhere how they may affect financial activities. For example, new
suggests that to prosper, a nation, and therefore our counties must Occupational Safety and Health Administration rules concerning
leverage four key assets; innovation, human capital, workplace safety could increase personnel charges in corporate
infrastructure and quality places. Given the level of inequalities income statements. Aside from compliance managers, internal
between and within Kenyan counties as well as close kinship auditors help companies find ways to handle the binomial
linkages between some of them, it is feasible to consider question of generating profits while complying with the law. All
competitiveness and complimentary within clear cooperative and organizations, including charities, borrow to rein in the
collaborative frameworks. Such an arrangement responds to the occasional cash shortfall resulting from delays in customer
application of the cluster concept to regional and national payments or donor remittances. Finding the right mix of debt and
competitiveness. equity is part of a company's formula for success.
The study is based on the scientific management theory,
Statement of the problem which basically consists of the works of Fredrick Taylor, and the
Devolved government is a new system of government that organization theory comprising of the works of Henri Fayols on
has been adopted in other parts of the world as well as in Kenya. administration (Mullins, 1994). Fredrick Taylor started the era of
Devolved government is a new concept in Kenya. It involves modern management in the late nineteenth and early twentieth
shifting the central administration from the National government centuries; Taylor consistently sought to overthrow management
to the county government. Thus there have been challenges in by rule of thumb and replace it with actual timed observations
terms of the technological knowhow needed in allocation of leading to the one best practice. According to Taylor, systematic
resources in the decentralized government and mismanagement training of workers in the one best practice rather than allowing
of funds as a result of either budget deficit or budget surplus. them personal discretion in their tasks. He further believed that
the workload would be evenly distributed between the workers
Specific Objectives and management with management performing the science and
1. To find out how financial skills and capacity affect instruction and the workers performing the labor aspect each
finance management in devolved units. group doing the work for which it was best suited. Taylors
2. To investigate how record keeping affect financial strongest positive legacy was the concept of breaking a complex
management in devolved units. task down into a number of subtasks, and optimizing the
3. To find out the extent at which government regulations performance of the subtasks, hence, his stopwatch measured time
affect financial management in devolved units. trials. As a result, he proposed four underlying principles of
management.
RELATED LITERATURE Firstly, there is need to develop a science of work to replace
Theoretical Framework old rule of thumb methods, pay and other rewards linked to
Functions such as record keeping, financial reporting and achievement of optimum goals, measures of work performance
fundraising help a firm ease its route to financial success. Factors and output. Failure to achieve these would in contrast result in
affecting financial management include government regulations, loss of earnings. Second is that workers should be scientifically
the state of the economy, securities exchanges and borrowing selected and developed; Training each to be first class at some
costs. specific task. Thirdly, the science of work to be brought together
Company principals establish a working rapport with with scientifically selected and trained people to achieve the best
regulators to create a compliant, effective business environment. results. Finally, work and responsibility to be divided equally
Senior executives understand that adverse legislation can cripple Between workers and management cooperating together in
productivity, a prelude to financial losses later on down the road. close interdependence.
Consequently, top leadership sets up corporate compliance
departments to monitor regulatory developments and indicate
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Set financial
objectives
Compare actual
with planned
In order to perform finance functions efficiently, the both public and private sectors. One important issue of concern is
financial managers of the county government or rather devolved usually the management of available financial resources.
units have to: Generally speaking, a number of various approaches for efficient
1. Set the financial objectives of the local government. finance management are available. However, the approach to be
This entails developing objectives, mission and vision, adapted must take into account the peculiar nature of the project,
which would assist in achieving the plans set. Thus, the county its environment, purpose and the public it is meant to serve
government/devolved units have to develop financial objectives (Nwankwo, 2004). This is because if a wrong or unpopular
in terms of the investments that would be made and the budget approach is adapted for a particular project, it can mar the project
for the devolved unit. completely.
2. Prepare plans of action and select policies for achieving The different approaches that can be adapted for efficient
the objective. financial management at the local
Once the objectives have been developed, then the Government level includes the following:
management, need to prepare plans of action and select policies
that would assist in achieving the objectives. Failure to plan is 1. The Use of Budget
planning to fail. The policies could be set in certain time frames The use of budget has been a long standing practice in the
as this would assist the management check whether they are on local government system. Budgetary control is concerned with
the right track. ensuring that the financial management plan that has been agreed
3. Develop financial plans and incorporate these into the with the board of management is achieved. Control is affected
overall plans of the county government/devolved unit. through monitoring expenditure before and after commitment to
Financial plans should be developed and incorporated into prevent under expenditure or over expenditure. An effective use
overall plans of the devolved unit. This would ensure that the of the budget is good for achieving efficient financial
financial plans that were broken down are at par with the overall management. A budget is a plan of activity expressed in financial
plans of the devolved unit. terms; such plans are often short term, typically covering a
4. Check the achievement of the objectives and evaluate period of one year. When approved, the budget becomes an
deviations from the plan. authority to raise the amount of revenue and incur the amount of
5. Establish causes for deviations. expenditure stated therein.
6. Take corrective action and/or redesign policy or revise Adamolekun summarized the purpose of a budget thus:
the objectives to start a new cycle as illustrated in the A short term financial plan, A political document couched
figure above. in figures, A management tool used for both planning and
control, A device for ensuring continuous monitoring procedures,
Techniques and Tools for Achieving Efficient Management of and reviewing and evaluating, performances with reference to
county previously established standards, an agent to enable management
Government Finance to anticipate change and adapt to it, and an overall method for
Traditionally, considerable importance is attached to what improving operation.
can be the money factor in the functioning of organizations in
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It is imperative to note that the budgetary process takes four 4. Zero-Based Budgeting (ZBB)
distinct activities. These are as follows: budget preparation, The Zero-base budgeting (ZBB) approach involves
budget authorization, budget execution and budget monitoring preparing a comprehensive budget a new, that is, from a zero
and evaluation. In many governmental arrangements, the base. The novelty of ZBB is that each year an organization
agencies or bodies responsible for each of these activities are should begin its budgetary process with a clean sheet of paper. It
distinct, with varying degrees of autonomy and interdependence. starts from zero or from the scratch. The construction of a new
At the local government level, the council chairman is ultimately budget for each service from basic principles is referred to as
responsible for budget preparation with inputs from the zero-based budgeting. This approach has the effect of focusing
supervisory councilors and local bodies or agencies. It is then attention on such issues as waste, unnecessary performance,
approved by the local legislature. In addition, the State leasing versus purchasing of equipment, and so on.
Governors office gives the prepared budget final approval after In Zero based budgeting individual cost centre managers are
thorough scrutiny. asked to estimate the cost of providing various levels of services,
However, getting final approval is oftentimes worrisome as which are then passed up through the organizational hierarchy.
it is characterized by too much scrutiny and delayed sanctions by At each level in the hierarchy, managers are asked to decide upon
state government functionaries. On approval, the budget is the order of the decision packages as a way of ensuring that
returned to the local government council through the department spending is linked to priorities. One of the major strengths of
of local government. The approved budget then gives authority to ZBB is that there is a specific link between budget and activity.
the council to raise revenue and incur expenditure in the financial The budget process involves specifying objectives and
year. considering cost-effective methods of achieving these objectives.
In this way, ZBB eliminates waste, extravagancy,
2. Rational Approach mismanagement of finances of a local government. The major
The rational approach is a popular decision-making model. drawback of ZBB as a finance management tool is that it is time
It is usually applied where effective and efficient allocation of demanding since, it takes lot of time to construct a budget from
resources is needed. The rational approach is generally known as zero each year.
The Modern Financial Resources Allocation and Control Model
within the financial management circle. Using rational approach 5. Planning-Programming and Budgeting System
for proper financial management entails the following: (PPBS)
Determination of available resources, determination of The three main features of PPBS are planning,
objectives for which the resources will be allocated, programming and budgeting; the emphasis here is upon a
determination of the alternative courses of action for the programmatic approach to both planning and budgeting. PPBS is
achievement of objectives, evaluation of the alternative courses an approach to budgeting which is intended to provide a system
of action for the achievement of objectives, establishment of that relates expenditure at each stage of the budget to the
decision criteria, allocation of resources, establishment of control purposes of that expenditure. The application of PPBS as a
measure and feedback mechanism necessary or required finance management tool allows for weighing the alternatives,
performance evaluation and adjustment of future plans and analyzing of cost and benefits of any project or program before
objectives for purposes of future allocation. the commitment of financial resources to the project. A further
advantage is that program budgeting looks beyond the immediate
3. Incremental Approach future and is concerned with the long-term effects of activities.
Many organizations adopt an incremental budgeting method PPBS have a number of drawbacks. Technically speaking, PPBS
to produce budget estimates. Incremental approach to financial requires information on costs and benefits that is not readily
management involves introduction of gradual changes or available, and it is also a time-consuming budgetary method.
adjustment in the allocation and control of financial resources of
an organization in order to achieve the desired objectives. Once a 6. Audit Alarm
system of financial management and control are adopted, only Audit alarm is a precautionary method of alerting the
minor or gradual changes or adjustments are required in order to appropriate authority or the public about illegal financial
put the system into perfect working condition. Incremental transactions or misappropriations that may lead to loss of funds
approach takes as its starting point the current years budget and or revenue meant for a project. Audit alarm can be raised by a
arrives at next years budget by a series of adjustments to this. member of the executive or the general public. This is usually
The adjustment process is sometimes referred to as rolling done at any time irregularity is noticed in the management of
forward an existing budget. funds meant for public use. Whenever audit alarm is raised it
Efficient Financial Management for Local Governments usually attracts full-scale audit-exercise to ascertain the
method has some advantages. It is a relatively straight forward magnitude of the fraud or irregularity. This method serves as a
process; only marginal changes to the existing budget need to be precautionary warning to those entrusted with the responsibility
understood and agreed, thereby minimizing the amount of time of the finances.
that need be spent on budget preparation. Hence, it is a relatively
inexpensive method of estimating a budget. Additionally, it is 7. Auditing Approach
easy to operate and allows some degree of flexibility and The regular audit method complements the good efforts of
discretion in the use and management of funds. audit alarm. Audit is more or less a practice which may be called
a technique for ensuring a more effective internal check on
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financial management There should be regular and independent changing circumstances while continuing to provide core
examination of the books of accounts by appointed qualified economic functions, even during severe but plausible shocks. In
auditors to ensure that the statement of account as recorded a resilient system, individual institutions in distress should be
represents a true and fair-view of all the transactions as during resolvable with minimal costs to depositors, policy holders,
the period under investigation. Regular auditing of account taxpayers and the real economy.
would ensure sanity, prudence and probity in the use and The starting point of any capacity development planning
management of finances. process is assessing existing capacity. Individual, organizational
(network/sector) levels are framed in terms of performance and
results, and at the institutional level in terms of conditions, but
II. CHARACTERISTICS OF A WELL FUNCTIONING there may be overlap between these categories.
FINANCIAL SYSTEM
An efficient financial system is fundamental to supporting Steps in the process
Kwales growth and productivity. An efficient system allocates 1. Identify key actors and stakeholders and how to engage
Kwales scarce financial and other resources for the greatest them in the assessment and analysis.
possible benefit to our economy, promoting a higher and more 2. Frame the assessment in terms of:
sustainable rate of productivity, and economic growth. The The definition of capacity and any capacity development
Inquiry is concerned with three distinct, but interrelated, forms of framework that is being applied in the particular context being
efficiency: assessed, the purpose of the assessment, the mandate of the entity
to be assessed and change readiness and stakeholder agreement
Operational efficiency where financial products and
about the need for the assessment
services are delivered in a way that minimizes costs and
3. Decide what to assess and how to analyze data. For instance,
maximizes value. This largely depends on how
one can think about the:
effectively firms deploy labor, capital and technology,
and the regulations with which firms comply. Strong Levels of capacity: whatever the starting point going on
competition, both from new entrants and incumbents, to zoom in and zoom out will lead to a holistic
encourages firms to innovate and increase operational understanding of all the factors enabling or inhibiting
efficiency to survive and prosper. This can be seen in performance and capacity change.
the ongoing industry focus on deploying new Types of capacity: remember to assess both hard and
technologies in the Kwale and Kenya financial system soft capacities, including power distribution, incentives
to improve the quality and reduce the cost of products and sanctions, leadership, and values and beliefs
and services. Good policy-making can also assist Themes for application: the capacity development
operational efficiency by providing a stable regulatory framework will help to priorities the areas for the
environment and well-designed regulation that takes assessment
into account its likely effect on industry. plus understanding gender and other cross cutting issues
Allocative efficiency where the financial system can be essential to gaining a comprehensive assessment
allocates financial resources to the most productive and 4. Choose the overall approach and specific tools
valuable use. Central to achieving allocative efficiency An incremental approach starting with identification of
is the ability of prices to adjust freely to give existing capacity as the foundation for identifying
participants information about the value and risk of realistic steps forward, or
various financial products and services. Prices help A gap analysis starting with definition of how things
allocate financial resources to productive uses. Prices should be then looking at how they are and defining the
also help allocate risks to those most willing and able to difference between the two as what is missing, that is,
bear them, such as through insurance or derivative the gap.
contracts. Allocative efficiency can be hampered by
ineffective disclosure, government guarantees (explicit Assessing existing capacity should be the starting point of
or implicit) and tax policies that distort price signals. any capacity development planning process. To be relevant and
Dynamic efficiency where the financial system useful all capacity development initiatives need to be grounded
delivers price signals that induce the optimal balance very clearly in the practical realities of delivery against mandate
between consumption and saving (deferred so a great deal will be framed.
consumption). At times, policy intervention may be
required to overcome behavioral biases that impede an Who should do the assessment
economys ability to allocate resources with dynamic Many people and agencies have different interests and roles
efficiency. in capacity assessments. In multi-stakeholder settings it is
necessary to be selective about who should be involved at which
Resilience stage. It might be best for the starting point to be with a core
Resilience refers to the financial systems capacity to adjust group, which expands and involves others over time. For
to both the normal business cycle and a severe economic shock. example, local leadership is one of the important prerequisites for
A resilient system does not preclude failure, nor necessarily a successful process so that might be the best place to start.
imply price stability. Rather, a resilient system can adjust to The gap analysis tends to be based on externally defined
criteria for full and effective functioning of the organization or
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sector according to its mandate - the ideal situation. This forward. The third is that gap analyses tend to focus on hard
approach can be helpful for some types of needs, but it has three capacities, with little attention given to essential soft capacities.
weaknesses that need to be taken into account when deciding Another problematic aspect of gap analysis is that it tends to
whether or not to use it. The first is that gap analyses tend not to depend on outside experts and their assessment on how things
recognize or value existing capacity sufficiently well to make it should be done, leaving out the people concerned in the
the starting point of new initiatives. The second is that the assessment process.
statement of the ideal situation is often far too ambitious to be
helpful in setting realistic goals and objectives for moving
CONCEPTUAL FRAMEWORK
Government Regulation
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to determine those factors that influence a customers attitude to Government regulations attributes to efficient finance
compliance. management.
Government play are major role in devolved units. This is
Attitudes to Compliance because the resources and funds are still distributed from the
The BISEP model addresses the different attitudes to central government to the devolved unit. Thus there is need for
compliance. It indicates how different people have different the devolved units to work in harmony with the government in
attitudes depending on the situation. There are a number of order to improve the living standards of its citizens especially in
reasons why a person may or may not have complied, and the marginalized areas.
BISEP helps us to understand why.
It cannot be assumed that, because a customer has not Using budgets
complied, he or she automatically sits at the top of the A budget is a form of a financial plan containing revenues
pyramid. and expenses of a given organization over a certain period of
Customers cannot be categorized as having the same time. The devolved units use of budgets will ensure that
attitude all the Time. resources are allocated and utilized as per the plan that was set in
the beginning of the financial year. Failing to plan is planning to
Application of the Compliance Model fail, thus, the county government should plan for their financial
As discussed, background analysis was undertaken to management. The plans could be divided into short term and
ascertain the specific features unique to the industry and to try long term plans. The budgeting will act as a gage against that
and understand the environment the industry operates under. This which is accomplished and achieved and the initial budget. So
analysis identified a number of key factors prevalent within this that the county does not exceed its budget and vice versa.
industry which provided Inland Revenue a specific strategy to
manage noncompliance within it. Training personnel
As a result of prevailing attitudes identified to compliance, Training is the most efficient way of improving employees
the following strategies have been applied using the compliance competence and skills in any organization. It can also be used as
model. Make it easy Inland Revenue provided informative a way of motivating the employees, thus the county government
articles in local Fruit Growers Federation newsletters in May should consider training employees so that they will improve
2001 and May 2002. These outlined tax obligations when their financial management skills. Systems such as IFMIS
employing contractors. (Integrated Financial Management Information System) can be
very efficient if the employees are conversant with such.
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Jomo Kenyatta University of Agriculture and Technology Mombasa Campus P.O Box 81310-80100 Mombasa
Abstract- Political risk is the risk that an investment's returns comparison to other more developed countries (Diamonte, et al.,
could suffer as a result of political changes or instability in a 1996; Haftel, 2006b; Mosley, 2003; Neumayer & Spess, 2005).
country. This paper seeks to explore the political risks that affect Political risk is the risk that an investment's returns could
the mining industry in Kenya. Kenya has a wide variety of suffer as a result of political changes or instability in a country.
minerals which are known and mapped, but most of its potential Instability affecting investment returns could stem from a change
lies in the yet undiscovered mineral deposits. In Kenya mining in government, legislative bodies, other foreign policy makers or
industry, local government plays not only a role of administrator military control. For investors, political risk can simply be
and supervisor, but also a role of special interests subject in some defined as the risk of losing money due to changes that occur in a
cases. This situation results in uncertainty of policies and brings countrys government or regulatory environment. Acts of war,
risks to mining investors. In order to cope with political risks, terrorism and military coups are all extreme examples of political
mining investors may adjust the mining production to accelerate risk. Expropriation of assets by the government or merely the
and recover the investment. By applying the Risk Assessment threat can also have a devastating effect on share prices.
Management method, this paper analyzes the effects of political Also political risk comes in many other forms. Other
risks in mining industry in Kenya. Based on core types of examples include: a new president or prime minister, a change in
political risks such as poor legislation, taxation, war and the countrys ruling party or an important piece of new
terrorisms, industrial strikes, corruption, expropriation and legislation. All of these changes can have a big impact on a
resource nationalism, it put forward the utility function of local countrys economic environment and investor perceptions about
government and the production function of mining enterprise. a countrys prospects. Political risks are notoriously hard to
Hence, it establishes the challenges and the cost of managing quantify because there are limited sample sizes or case studies
political risks in mining industry in Kenya. This paper illustrates when discussing an individual nation. The outcome of a political
that the Government of Kenya has to regulate the mining laws risk could drag down investment returns or even go so far as
and put in place proper risk management policies so as to tap to remove the ability to withdraw capital from an investment. In
more investors. This paper will be helpful in solving problems of general, there are two types of political risk; macro
poor investment environment in mining industry, safety risk and micro risk. Macro risk refers to adverse actions that will
production, and utilization of mineral resources and will benefit affect all foreign firms, such as expropriation or insurrection,
potential and current investors, local and foreign financial whereas micro risk refers to adverse actions that will only affect
institutions, ministry of finance and students undertaking MBA a certain industrial sector or business such as corruption and
finance Option. prejudicial actions against companies from foreign countries.
All in all, regardless of the type of political risk that
Index Terms- Political Risk, Mining, Corruption, Expropriation a multinational corporation faces, companies usually will end up
losing a lot of money if they are unprepared for these adverse
situations. According to (Prasad et al., 2003) the economic
I. INTRODUCTION development of emerging markets and developing countries
depends to a large extent on the possibility to make profitable
T his paper seeks to explore the political risks that do affect the
mining industry in Kenya. Mining in Kenya is partly funded
by foreign multinationals (Haftel, 2006). Foreign investors, thus,
investments and accumulate capital.
Having access to foreign capital and investments allows a
encounter a trade-off between investing in a low-cost and low- country to exploit opportunities that otherwise could not be used.
credibility country and a high-cost and high-credibility Recent experiences with opening capital accounts in emerging
country in making investment choices (Janeba, 2002 ;). and developing economies, however, have proved to be a mixed
According to the survey of the Multilateral Investment blessing, as it is becoming increasingly clear that not all types of
Guarantee Agency (MIGA), foreign investors from both capital imports are equally desirable. Short-term credits and
industrialized and developing nations chose political risks as one portfolio investments run the risk of sudden reversal if the
of the biggest challenges they face in developing and emerging economic environment or just the perception of investors change,
markets (MIGA, 2010).Political risk is one of the most important giving rise to financial and economic crises. It is therefore
challenges to MNCs, especially when they expand their business frequently advised that those countries should primarily try to
into developing nations, since many developing nations with attract foreign direct investment and be very careful about
lower factor costs tend to be the markets with higher risks in accepting other sources of finance.
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Likewise, Gastanaga et al. (1998) examined the link According to Munyiri (2009), the mineral industry is
between various political variables and foreign investment perceived to be small, accounting for an insignificant portion of
inflows. They found that lower corruption and nationalization the GDP in our country, but this is due to lack of proper
risk levels, and better contract enforcement are associated with infrastructure and policies to encourage production. The main
higher financial direct investments inflows. For multinational minerals which have received economic attention by the
companies, political risk refers to the risk that a host country will Government are soda ash (from Lake Magadi), limestone for the
make political decisions that will prove to have adverse effects cement industry, and fluorspar. Kenya has a wide variety of
on the multinational's profits and/or goals. Adverse political minerals which are known and mapped, but most of its potential
actions can range from very detrimental, such as widespread lies in the yet undiscovered mineral deposits. Witness to this is
destruction due to revolution to those of a more financial nature, the recent discovery of the coal deposits in the Mui and Mutito
such as the creation of laws that prevent the movement of capital. Basins in the Mwingi District located in the eastern parts of the
More recently, several studies have analyzed the country; and the Kwale Hill heavy mineral sands project that is
relationship between fundamental democratic rights Using being developed along the country's southeastern coast and of
different econometric techniques and periods, Harms and recent is the extraction of the Oil in Turkana County. Gold is
Ursprung (2002), Jensen (2003), and Busse (2004) found that currently produced primarily by artisanal workers in the western
multinational corporations are more likely to be attracted by parts of the country, in the Lake Victoria Goldfields. Kenya has
countries in which democracy is respected. Li and Resnick also in recent times become one of the most important sources of
(2003), on the other hand, argue that competing causal linkages colored gemstone. Among others, iron ore is mined from small
are at work. They found that democratic rights lead above all, to localized deposits for use in the domestic manufacture of cement.
improved property rights protection which in turn boosts foreign However, most of Kenyas mineral resources remain unexploited
investment. and the mining industry development has been slower than
A number of these political risk components are also linked would have been expected.
to the quality of political institutions. Above all, the quality of The Mining Act has been criticized for lacking in contem-
the bureaucracy is closely associated with the institutional porary practices such as fair sharing of revenue and efficient
strength of a particular country. Likewise, ensuring law and order waste management. In 2012 the Ministry of Environment and
and reducing corruption levels are important determinants (and Mineral Resources published a draft Geology Minerals and
effects) of high-quality institutions. They constitute relevant sub- Mining Bill, which now awaits cabinet approval. The Bill aims to
components of an overall assessment of good governance revitalize the mining sector by ensuring transparent and efficient
(Kaufmann et al., 1999). management benefit sharing and disputes resolution. Key
features include; increased and variable rates for royalties
Political Risk (variable on the type of mineral and value addition),
According to (Jaffrey 1984), unlike economic or financial reclassification of certain mining rights, establishing a dedicated
variables, political risk is not only difficult to quantify, it may Mining Disputes Resolution Tribunal and the sharing of
well also be a rather subjective exercise which relies heavily on benefits by local communities.
the scholarly experience of researchers. Risk scores or the On 12 October 2012 the Mining (Local Equity
quantified indicators are ultimately based on qualitative Participation) Regulations, was promulgated, aimed at increasing
judgments. Risk implies that the political and economic Kenyan participation in mining companies. The regulation states
management of society is threatened by either weaknesses in or It shall be a condition of every mining license that the mineral
challenges to the state or the prevalence African Journal of right in respect of which the license is issued shall have a
Public Affairs of uncivil, contending interests within society component of local equity participation amounting to at least
encroaching on the jurisdiction of the state (Bremmer 2005). thirty five per cent (35%) of the mineral right. The Regulation
While the concern is a political risk, it is an accepted has been interpreted to mean that at least 35% of shareholders in
maxim that political phenomena and economic trends are too mining companies must be Kenyan nationals.
integrated to be assessed independently from each other The requirement of local investor participation is not
(Kennedy 1988). In the context of this, it is assumed that social unusual in the natural resource extractive sector. Such laws are
stability precedes the prospects for growth, employment creation fast becoming common place in mining economies, with similar
and a competitive economy. Economies are successful when they laws being adopted in Botswana, Zimbabwe, Tanzania, Guinea
fulfill the aspirations and needs of their societies to the extent and Indonesia. However, for such laws to reach their intended
that the natural stress between societal expectations and aim there must be adequate finance and financial infrastructure
institutional capacities are reduced to manageable levels ( available to local investors. This is a challenge Kenya will need
Mangcu 2008). to address, given the potential for large scale mining operations
Political stability or the lack thereof, under verifiable in the near future.
conditions however, may not necessarily undermine direct
foreign investment, or the extractive capacities of the state, or the Waitiki Case of Land in Relation with Political Risk
legitimate redistributive regime of the government or the Especially Lands Grabbing
prospects for growth in both the formal and the informal The 16 year old controversy over the 930 acre Waitiki farm
economy. in Likoni could soon end as owner Evanson Kamau Waitiki has
said he is willing to be compensated for the farm.
Mining in Kenya
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Over 120,000 squatters live on the land which stretches outdated and full of loop holes that have provided lee
from close to the Likoni ferry landing for several kilometers to ways for fragmented mining activities that are usually
the left of the main Likoni -Kwale road. To the south, the farm dangerous to the inexperienced miners.
covers large swathes of Timbwani and Shika Adabu wards. Lack of cohesive policies relating to land reclamation
Waitiki said he was willing to give up the land if he got on land that has been exhausted of minerals.
compensation from the government. The Waitiki farm was Poor trade and foreign investment attrition policies into
originally invaded by 75,000 people during the 1997 Kaya the country in the mineral industry.
Bombo clashes. Since then Waitiki has been fighting to evict the Poor eviction, compensation or resettlement and general
squatters so that he can develop the land. land policies concerning land rich in minerals.
Last November, the Mombasa High Court finally issued an
order directing the police to evict the squatters. Police The above contemporary issues are some of the very many
Commissioner Mathew Iteere and provincial police boss Aggrey problem areas that the government is trying to address through its
Adoli served the orders but were reluctant to enforce the eviction various policies such as the National Mineral Resources and
citing lack of personnel. The squatters have built homes, Mining Policy (2007) (Government of Kenya, 2012 and Munyiri,
churches, mosques, and businesses there. Several police stations 2009)
have also been put up there. The eviction could have affected at
least half the developed properties in the expansive Likoni area. The Relationship between Political Risk and Mining Industry
Politicians, including the current Mombasa Governor Hassan The widespread phenomenon of political (and policy) risks
Joho, have historically made political mileage out of the dispute. in several countries across time and its negative effects on their
"I only get to hear about these plans from the media. No economic performance has arisen the interest of several
politician or government official has ever come to me to economists. As such, the profession produced an ample literature
negotiate on the land. I believe in dialogue. Even enemies, before documenting the negative effects of political risks on a wide
starting a fight, engage in dialogue. They can come and talk to range of macroeconomic variables including, among others, GDP
me but I think these people are trying to hoodwink the public that growth, private investment, and inflation. Alesina et al. (1996)
they are genuine," he said."These people are not squatters. They use data on 113 countries from 1950 to 1982 to show that GDP
are investors. You can tell from the type of structures that they growth is significantly lower in countries and time periods with a
have put up. They should all come together and form a union and high propensity of government collapse.
buy off my property," he said. In a more recent paper, Jong-a-Pin (2009) also finds that
The 67 year old businessman said the dispute could higher degrees of political risks lead to lower economic growth.
continue to plague his children and grandchildren."I have many As regards to private investment, Alesina and Perotti (1996)
sons and daughters just like many African men. If I was to die show that socio-political instability generates an uncertain
today, they would come out fighting fiercely to have a piece of politico-economic environment, raising risks and reducing
their inheritance. This is their right too," said Waitiki. He went investment.
ahead and blamed a cartel inside his farm of unscrupulously According to Aisen and Veiga (2006).indicated that
benefiting from his properties including illegal collection of Political risks also leads to higher inflation, Quite interestingly,
house rent."When they chased me away, they took over some of the mechanisms at work to explain inflation in their paper
my properties including several hundred dairy cattle and a resemble those affecting economic growth; namely that political
thousand chicken. Some are even collecting rent from the houses instability shortens the horizons of governments, disrupting long
I had built," he said. he also said he e was forced to flee his farm term economic policies conducive to a better economic
during the 1997 ethnic clashes. "They would have killed me. I performance.
was only fortunate that I did not sleep at my farm that night.
They had come for my head and would have taken over all of my Purpose of the Study
property," he said of the attackers. This paper seeks to establish the effects of political risks on
In conclusion this shows how the Politics can manipulate the Mining industry in Kenya bearing in mind that such risks do
the lands owners, affecting their livelihoods and not able to influence investment in this sector both locally and
utilized their land for their own investments. Hence, jeopardize internationally. The target group includes both potential and
them and deny them a chance in order to develop their land. current investors; local and foreign, financial institutions,
Ministry of Finance and students undertaking MBA finance
Key Issues Relating To the Mining Industry in Kenya option.
According to Rop (2010), the Government of Kenya
recognizes that mining can act as an engine for economic
development however, like other African countries with similar II. METHODOLOGY
natural endowments, there are policy challenges. Some of this The study adopted a desk research study whose source of
challenges that have accelerated the undermining and under data was secondary. This was derived from books, various
utilization of these natural resources include; websites, Public Service periodicals, journals and newspapers.
Lack of adequate and up to date regulations addressing
the bright of key stakeholders such as communities in
mineral rich areas. Additionally, the present laws are
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III. RELATED LITERATURE investigates both the consequences of political violence and the
mechanisms that transform this violence into economic damage.
Types of Political Risk
1. Poor Legislation According to Eckstein and Tsiddon (2004a). They used the
The Mining Act Cap 306 of 1940 is outdated and does not Blanc hard-Yaari Model of finitely lived individuals in an
apply to standard mining regulation procedures. The industry infinitely lived economy and incorporate terror into the model by
wants to see a new law that aims to remedy the problems by lowering life expectancy, which individuals translate into a
stating the timeframes and procedures to be followed when reduction in the value of the future relative to the present.
access to land is unreasonably denied. The current Mining Act, The increasing spread of extremism in Africa is the result
which dates back to the 1940s, has been termed as a major block of the socio-political ferment born out of poor socio-economic
in the development of the mining industry. conditions, which has characterized African countries ever since
Therefore, the disjoint of this policy stems from the aspect independence. African countries are confronted by corruption,
of current technologies, complexities in the global mining worsening these conditions and their governments inability to
industry. The mining legislation does not offer a conducive deal with extremism. These conditions made African regimes
investment environment to potential and existing investors. unable to offer solutions to everyday socio-economic conditions,
Although Kenya has proven its mineral potential, the country is again contributing to instability.
losing greatly on investments to our neighbors in Tanzania and According to (Gitu, 2003) Following these acts of
Uganda due to lack of proper policies to guide the industry. terrorism, and due to imminent terror alerts from intelligence,
Despite the fact that minerals are vested in the Government, it is Western governments, led by the United States, Britain and a
a fact that, today, exploration and mining companies must obtain number of European countries, issued travel advisories to all
licenses or consents not only from the Commissioner of Mines their citizens against traveling to Kenya in 2003. The country
and Geology but also from local authorities, through the County was losing an estimated amount of over 1 billion Kenya shillings
Councils, and from land right holders. ($128million) per week. In addition to the revenue loss, at stake
As the two later are not coordinated in any way with the were over 500,000 direct jobs and another 2.5 million indirect
office of the Commissioner of Mines and Geology, and are not jobs.
regulated by the Mining Act, what results is that the process of
obtaining exploration or mining rights is considerably Industrial Strikes
complicated and there is no certainty for investors that the rules The industrial action has been directed to be outlawed in
under which they operate are going to remain the same. It is a 1990. The industrial action allows the employees not involved in
fact, for example, that County Councils have been changing their a dispute to strike in sympathy with other workers (Barrow and
taxation rates in totally chaotic and unpredictable manner. For Chapman, 2005). The industrial action occurs as a collective
instance, investor confidence in Kenya's mining industry is being agreement in force. If the dispute between the employer and
eroded by an upsurge of unlicensed people invading concession employee is not settled, the agreement for a good production is
areas targeting especially gold and gemstones. not being followed and instead driven away. As a bad result of
having an industrial action, heavy fines and employer rights to
2. Taxation sue are the waiting prize for the distractions and damages
Tax policy can also influence the marginal productivity of resulting from unprotected industrial action (Pha, 1996).
capital by distorting investment from heavily taxed sectors into Strike is a concerted and sustained refusal by working- men
more lightly taxed sectors with lower overall productivity to perform some or all of the services for which they were hired
(Harberger, 1962, 1966). Heavy taxation on labor supply can (Webster's Dictionary, 1995). Strike indicates a breakdown of
distort the efficient use of human capital by discouraging cordial relation between employees and employers. Employees
workers from employment in sectors with high social normally participate in industrial strikes due to reasons such as:
productivity but a heavy tax burden. In other words, highly taxed Government failure (known also as institutional failure),
countries may experience lower values of market portfolio, Obnoxious Policies, Changes in offer of Appointment, Non-
which will tend to retard economic growth, holding constant implementation of Agreements, Differential in compensations
investment rates in both human and physical capital (Engen and package and conditions of service, Challenge to Union
Skinner, 1992). Legitimacy, Unnecessary Delay in Payments of Salaries and
The composition of the tax system is probably as important other Emoluments.
for economic growth as is the absolute level of taxation.
Countries that are able to mobilize tax resources through broad Corruptions
based tax structures with efficient administration and The effect of corruption has many dimensions related to
enforcement will be likely to enjoy faster growth rates than political, economic, social and environmental effects. In political
countries with lower overall tax collections assessed sphere, corruption impedes democracy and the rule of law. In a
inefficiently. democratic system, public institutions and offices may lose their
legitimacy when they misuse their power for private interest.
3. War and Terrorism Corruption may also result in negative consequences such as
There is no doubt among economists that wars, terrorism, encoring cynicism and reducing interest of political participation
and political instability have a significant negative effect on the , political instability , reducing political competition, reducing
economies in which they take place. Recent economic literature the transparency of political decision making, distorting political
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development and sustaining political activity based on patronage, Nationalism can be found in countries from Russia to
clienteles and money, Venezuela and Guinea and many in between. Increasingly,
resource nationalism encompasses not only producer countries
In our society, the impact of corruption is often manifested but also a variety of approaches adopted by consuming countries
through political intolerance, problems of accountability and seeking to increase their access to natural resources in other
transparency to the public, low level of democratic culture, countries. Additionally, worries about the strategies behind
principles of consultation and participation dialogue among investments by sovereign wealth funds that are built on natural
others. The economic effects of corruption can be categorized as resource revenues are giving rise to defensive reactions from
minor and major. However, both in one way or the other have some investment target countries. These may mark the
serious impact on the individual community and country. First emergence of a third kind of .resource nationalism.
and foremost, corruption leads to the depletion of national The governments of natural resource rich countries insist
wealth. on governing natural resources, or doing deals, in a way that
It is often responsible for increased costs of goods and places national interests or national political interests. The
services, the funneling of scarce public resources to uneconomic implication is that nationalization is of economic and political
high profile projects at the expense of the much needed projects necessity and temporary in nature. Cognizance must be taken that
such as schools, hospitals and roads, or the supply of potable in the event of a government, for whatever reason, electing to
water, diversion and misallocation of resources, conversion of nationalize a project or sector, its stewardship of the asset is vital
public wealth to private and personal property, inflation, to protect the health and integrity of the asset to ensure its
imbalanced economic development, weakling work ethics and residual value to the state reprivatised. This residual value resides
professionalism, hindrance of the development of fair in market not only in the resale value of the asset by government to private
structures and unhealthy competition there by deterring interests but its ongoing economic value to the state.
competition. Large scale corruption hurts the economy and It is therefore contingent on governments not to view mines
impoverishes entire population. as cash cows to be milked unmercifully, and that reinvestment of
the returns from mines is a vital responsibility of ownership.
Expropriation Unfortunately, in many instances, it is not only the over-
In the late 1990s and early 2000s,the financial crises in East exploitation of the mining assets on the part of the state, but in
Asia, Latin America, and Central Europe caused a huge drop in regimes with weak leadership, mines are all too often prey to
firm value. During these massive shocks, interestingly, some corrupt politicians. This obviously compromises the economic
countries lost their firm values more than other countries due to sustainability of their operations. In this respect, generic features
the weak governance regulation systems (Lemmon and Lins of nationalization in weak political economies include the fact
(2003)). As most research suggests, this is due to the
expropriation (Johnson, Boone, Breach and Friedman (1999),
Claessens, Djankov and Lang (2000), and Baekel IV. CHALLENGES OF MANAGING POLITICAL RISKS
al.(2004)).Under the weak regulations systems, the controlling IN MINING IN KENYA
shareholders can expropriate the wealth in their firms, and incur
damage to firm value. The expropriation can be more severe
1. Poor Mining Legislation
during the crisis period (Mitton (2002)).
The mining legislation does not offer a conducive
The expropriation violates the purpose of firms, which is
investment environment to potential and existing investors.
the maximization of the shareholders wealth. With concentrated
Although Kenya has proven its mineral potential, the country is
ownership, controlling shareholders can extract wealth from the
losing greatly on investments to our neighbors in Tanzania and
firms for their benefit, but can decrease the other shareholders
Uganda due to lack of proper policies to guide the industry.
wealth. Therefore, the expropriation negatively affects the firm
Despite the fact that minerals are vested in the Government, it is
value in market. There are several ways of expropriation. The
a fact that, today, exploration and mining companies must obtain
controlling shareholders can extract cash by selling assets, goods,
licenses or consents not only from the Commissioner of Mines
or services, and obtain loans on preferential conditions.
and Geology but also from local authorities, through the County
Furthermore, for conglomerates, the controlling founders or
Councils, and from land right holders. As the two later are not
owners can transfer assets and profits from the listed company to
coordinated in any way with the office of the Commissioner of
other unlisted companies under their control (Johnson, La Porta,
Mines and Geology, and are not regulated by the Mining Act,
Lopez-de-Silanes, and Shleifer (2000)). In emerging markets, the
what results is that the process of obtaining exploration or mining
expropriation is more important. Unlike developed financial
rights is considerably complicated, and there is no certainty for
markets, emerging countries financial markets do not have
investors that the rules under which they operate are going to
enough legal mechanisms for protections of minority
remain the same. It is a fact, for example, that County Councils
shareholders against controlling largest shareholder.
have been changing their taxation rates in totally chaotic and
unpredictable manner.
Resource Nationalism
According to proposed Mining and Minerals Bill 2009 is in
Resource nationalism is characterized by the tendency for
the pipeline to be presented to parliament for enactment;
states to take (or seek to take) direct and increasing control of
however most of the issues raised by the stakeholders have not
economic activity in natural resource sectors. Practitioners of
been captured. The mineral industry does not have a Seasonal
resource
Paper to guide its administration. In 2007, the National Mineral
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Resources and Mining Policy was approved by the Cabinet but is the major product used to construct various types of
has not yet been presented to Parliament for enactment. infrastructure. The ripple effect will also cause increase in cost of
Furthermore no consideration has been given to issues regarding housing, which will in turn affect all sectors of the economy.
the mining industry that fall outside of the frame of the Mining 4. Absence of a modern Mining Cadastre System
Act. According to Kenya minerals organization, argue that
Kenya lacks up to date land information on mining, which should
2. Access to land for reconnaissance and prospecting consist of datasets for decision making in mining related issues.
Sections 22 and 39 to 89 of the Mining and Minerals Bill These include geo-referencing, detailed mineral resources maps,
2009 talk about issuance of reconnaissance and prospecting mineral rights and ore deposit valuation data. The department of
licenses. Section 22(1) insinuates that one needs consent from a mines and geology is responsible for keeping all mining cadastre
land owner to receive a reconnaissance and a prospecting license, maps. These maps are mainly used to demarcate areas that are
even in cases where the reconnaissance may be conducted using covered by existing licenses. Currently, the maps are updated
airborne surveys. Putting in mind that a large scale manually without clear verification on the ground.
reconnaissance license can occupy an area of up to 1,000 km2 Due to lack of precision of the manually updated cadastral
and that the license has a maximum validity period of five years maps, there has arisen a problem of overriding license
without further renewal, also considering that an area of 1,000 applications. This is a situation where two or more licensees are
km2 may have thousands of settled people who own or claim to granted rights over the same area. Conflicts always arise as to
own the land in question and that the proposed law recommends who is the real owner of the rights over that area.
that consent should be sought from all of these land owners; The cadastral maps are not digitalized. It therefore makes it
lastly putting in mind that in many cases, reconnaissance and difficult to update them accurately.
exploration do not cause any serious land degradation or damage. The Mines and Geological Department does not have the
This means that it is practically impossible to attain capacity to upgrade their cadastral systems due to lack of fiscal
consents from thousands of landowners to perform prospecting and technical resources.
or exploration activities over large vast of land due to its time
and money consuming nature. There is also no surety that the 5. Absence of Incentives (Taxes)
amount of investment channeled towards these activities will be Currently, the mineral industry has not been able to attract
fruitful. The recommendations stated above will ensure that time substantial foreign investments due to lack of favorable
and money is well managed especially since no company is ever incentives specific to it. This industry is in its early stages of
prepared to spend huge sums of cash on compensating development and requires a lot of input in regard to capital,
landowners or paying for consent to conduct reconnaissance or research and infrastructure. Incentives attract international
prospecting when they are not even sure that the ore bodies they investments, which create more jobs, develop infrastructure and
are interested in are economically viable for exploitation. make mineral discoveries.
In general, investments into mining activities are risky due
3. Royalties to long gestation periods, unknown geology and fluctuating
In Kenya, businesses pay multiple taxes with a cumulative commodity prices. However, operational mines offer numerous
tax rate of 50.9 per cent of total profits. Although this is an benefits such as employment, infrastructure development and
improvement from the previous 74.2 per cent, this still remains enhanced tax revenues. Thus it is in the best interest of the
high and acts as a deterrent to formalization by businesses in the government to create a tax regime that captures a fair share of the
informal sector. This situation is about to be worsened by the profits generated by mining activity, while not punishing
proposed royalty increments. Mining companies will have to marginally profitable mining operations.
incur extra costs due to the increased royalties.
For every metric tonne sold of raw soda or common salt,
eighteen shillings per tonne is payable as royalty; for every V. COST OF POLITICAL RISKS
metric tonne of products derived from the raw soda or containing Political Risks Discourages Foreign Direct Investment (FDI)
raw soda or its derivatives, twenty five shillings per tonne is According to (Becker, et al., 2006; Bengoa & Sanchez-
payable to government as royalty. According to the Royalty on Robles, 2003; Fung, Garcia-Herrero, & Siu, 2009; Hill &
Fluorspar Regulations, 2003, the rate of royalty payable in Munday, 1995; Kolstad & Villanger, 2008; MacDermott, 2007;
respect for every tonne of fluorspar sold is the sum of seventeen Sethi, Guisinger, Phelan, & Berg, 2003; Slaughter, 2003;
shillings. Magadi Soda Company attracts a royalty of Kshs 150 UNCTAD, 2009). There are multiple factors that attract or deter
Million per annum, while Kenya Fluorspar Company Ltd pays foreign investment. Simply put, market opportunities and
approximately Kshs 710 Million annually on royalties only. location advantages of the host economy help host economies
Gypsum, limestone and pozzolana attract a royalty of attract more FDI: Such advantages include a large domestic
twenty shillings per tonne each payable to respective local market, sustainable growth; sufficient economic and
county councils. Bamburi Cement Company Ltd attracts an infrastructure development and/or high natural resources
annual royalty of Kshs 35 Million on all locally mined minerals endowment, Bad investment and policy environments in host
and a total taxation of Kshs 1.633 Billion in 2008. If the economies deter FDI.
proposed royalty system is enforced, this country will see an Political instability and violence both domestic and
abnormal rise in prices of cement and other building materials. international discourage Multinational Corporation from
This will halt infrastructure development especially since cement
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investing in the host economy that is subject to such risk (Bsse and religious tension (Desbordes, 2010; MIGA, 2010) deter
& Hefeker, 2005; Bsse & Hefeker, 2007; Bussmann, 2010; foreign investment.
Bthe & Milner, 2008; Daniele & Marani, 2010; Diamonte, The recent study on Italy shows that organized crime is
Liew, & Stevens, 1996; Enders, Sachsida, & Sandler, 2006; strongly and negatively correlated with FDI inflows since
Haftel, 2006b; Jensen, 2004, 2008; Ramamurti & Doh, 2004). organized crime tends to limit corporations business activities
A host economy with high political risk tends to discourage and profitability through corruption and violence (Daniele &
FDI flows into its market, since political volatility hurts the Marani, 2010). Desbordes (2010) finds that MNCs weigh both
profitability of foreign investment. Three major types of political the global, overall political risk of host countries measured by the
risk discourage foreign investment since they damage its ICRG, and diplomatic, dyadic political tension between a host
profitability and survival: first, nationalization or expropriation country and the US when they make foreign investment. They
of foreign assets, which tends to be rare, and breach of contract, increase the required return rate of investment as the overall
which occurs more often, threaten foreign investment; second, political risk of a host country, measured by the ICRG, increases
policy instability and arbitrary regulation in FDI-related policies and diplomatic tension between the host country and the US
create uncertain investment environments and hurt the worsens (Desbordes, 2010). Thus, host countries hoping to
profitability of foreign investments; and third, war and political attract more FDI should avoid conflict and violence at home and
violence, including terrorist activities, can damage foreign assets abroad.
immediately and discourage the productivity of a host economy
in the long run (Jensen, 2008, p. 1043; MIGA, 2010). Lost of foreign investors confidence
According to Alomar & El-Sakka, (2011, p. 116), argue
Nationalization of foreign assets that Terrorist attacks have grave impacts on economy by
One of the most extreme cases of political risk is depressing growth, investment, and trade flows. Immediately,
nationalization and expropriation of foreign assets. Although they cause a loss of human and non-human capital,
nationalization of foreign assets has become rare even in uncertainties, and retrenchment of certain industries like
developing nations since the 1990s, such a possibility still exists travel and recreation industries. In the long run, they increase
(Haftel, 2006a; Jensen, 2003a; Slaughter, 2003). For example, "uncertainties of any permanent threat of terrorism" and cause
Chvez nationalized the last privately owned oil reserve in "added anxiety, stress, and mental disorder. Terrorist attacks can
Venezuela in 2007, heightening tension with other foreign further damage attacked countries by discouraging foreign
investors, such as BP PLC, ConocoPhillips, Exxon Mobil Corp., investment flows into the countries (Alomar & El-Sakka, 2011;
Chevron Corp., France's Total SA and Norway's Statoil ASA Bsse & Hefeker, 2007; Bussmann, 2010; Enders & Sandler,
(Pearson, 2007). 1996; Gaibulloev & Sandler, 2009; Lee, 2011; Skaperdas,
Ramarmurti and Doh (2004), argue that, the real threat, 2011).6 However, some find little to no lasting effects of terrorist
however, is administrative expropriation,).Which has become attacks on FDI flows (Enders, et al., 2006; Gaibulloev & Sandler,
more frequent (p.164). The host government can squeeze and 2011).
hurt the profit of foreign investment by denying and delaying the Examining the impact of terrorism on Foreign Investors in
development of investment and, thus, forcing foreign investors to Asia for 1970-2004, Gaibulloev and Sandler (2009) show that
renegotiate and change the terms of investment (Ramamurti & poorer and developing countries were less able to absorb the
Doh, 2004). negative impact of terrorism than rich countries (see also
Skaperdas, 2011).7 Literature argues that it is because rich and
Reduction in Economic Growth more developed countries have dominant location advantages
War and political violence on both the domestic and and, thus, they are better able to diversity foreign investment and
international level deter foreign investment (Bsse & Hefeker, appeal to other foreign investors. In addition, Lee (2011) shows
2005; Bsse & Hefeker, 2007; Bussmann, 2010; Daniele & that the negative impact of terrorism is mitigated by a strong
Marani, 2010; Desbordes, 2010; Haftel, 2006b; Jensen, 2008; military and, thus, terrorism can deter Foreign Investments in a
Singh & Jun, 1995; Tarzi, 2005). Political violence, e.g., civil host country only when strong military is absent.
wars, insurrections, organized crimes and international conflicts,
leads to political instability, the disruption of the orderly
economic process in the host country, and thus smaller profit, VI. MANAGEMENT OF POLITICAL RISKS PRIOR TO
and such events may put host governments under political and INVESTMENT
economic pressure, which may result in nationalization and The political risk management strategies depend upon the
expropriation of foreign assets in order to alleviate short-term type of risk, the degree of risk the investment carries and the
difficulties (Haftel, 2006b, p. 6). stage of the investment. For example, the strategy adopted prior
First, international conflict deters FDI (Bsse & Hefeker, to the investment will be different from that adopted during the
2005; Bsse & Hefeker, 2007; Bussmann, 2010; Desbordes, life of the project. (Sharan, V. (2008) International Financial
2010). Bussmann (2010) shows that the onset of fatal conflicts Management) Investment will prove viable if political risk is
not only tends to reduce FDI stock with a delay of three years but managed from the very beginning, even before the investment is
FDI inflows, in turn, also decrease the war risk of host countries. made in a foreign land.
Second, domestic instability and violence can also deter FDI.
Ethnic tension (Bsse & Hefeker, 2005; Bsse & Hefeker, 2007) The Political Risk Assessment
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PricewaterhouseCoopers and Eurasia Group have joined thereby helps the company better manage its international
together to offer a Political Risk Assessment (PRA) diagnostic exposures. The Political Risk Assessments has three phases as
and monitoring methodology, which helps executives monitor the diagram below indicates
their international exposures. The PRA is a systematic approach
to understanding and anticipating how current and future political
events could materially affect a companys organization, and
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organizations risk appetite, or tolerance. Based on this input, a renegotiation, as it is not unusual for a new government
decision is made on whether to accept, avoid, or manage the risk. in a politically unstable part of the world to reexamine
the revenue-generating projects in the country,
Recommendation and Management of the political risks particularly when a new government is starved for cash
Advisors work with the company to develop a plan for after a long conflict.
mitigating identified risks, pursuing potential opportunities, or 6. The dollar revenues from a mining project can be an
seeking alternative strategies. Strategy shifts may include alluring target for a government that is experiencing
improving risk-management processes or decisions to enter or prolonged current account deficits and downward
exit markets or to shift sourcing strategies. PwC and Eurasia pressure on its currency. While the proceeds from a
Group complement this phase with ongoing monitoring of mining project are usually collected in dollar-
political risks and once risks have been identified and measured, denominated off-shore accounts, there have been
an effective system for active political risk management can be instances where a host government has abrogated the
put in place. The first element in managing political risks is to right to sell production and maintain project-related
map potential risk management methods against the priority accounts off-shore.
risks. Companies actually have a range of tools and processes at 7. Kenya has not had a well defined land policy over the
their disposal to help manage and mitigate political risk. For years. This, together with the existence of many land
firms unable to identify which measures are reducing their laws, some of which are incompatible with the various
exposures and where there are gaps, managers should choose or land uses in the country, has caused complexity in land
evaluate the most suitable management. management and administration. To address this
problem, the Government has come up with a National
Land Policy 2007 whose vision is to guide the country
VII. CONCLUSIONS towards efficient, sustainable and equitable use of land
The purpose of this paper has been to review the effects of for prosperity and posterity. This policy will ensure that
political risks in mining industry in Kenya. all land is put into sustainable and productive use. The
policy has so far received Cabinets approval and is
1. The mining industry can gain significant benefits from currently waiting for enactment by the legislature.
managing political risk and ignore this risk at their peril. 8. As the global demand for minerals continues to grow
Effective management of political risk enables and industrialized country mineral reserves dwindle,
companies to tap new revenue streams through access to many mining companies will be forced to seek revenues
markets and joint ventures that, without careful in countries that present difficult political and security
management, might seem too risky. operating environments. While prudent management
2. Clear management of political risk facilitates the mining practices can help mitigate some risks, the nature of
system strategies in developing countries which have a extractive projects and the difficult countries in which
high level of potential growth. What is clear is that many of them operate result in heightened exposure to
taking political risk seriously involves companies political risk for the mining industry. Fortunately, there
adopting proactive steps to assess and mitigate their is a large and stable political risk insurance market
risks. It is therefore important to manage political risk in where companies can protect their assets against risks
relation to the stage of the investment, that is, prior, related to expropriation, political violence and currency
during and in case of nationalization. inconvertibility
3. The proper management of the political risks has ability 9. It is evident that Kenya is well endowed in mineral
to spot crises and respond more quickly and effectively resources, which can be economically
is also likely to mitigate losses, providing improved
confidence in managements ability to deliver high Extracted to benefit the country and investors. However,
performance as well as sustain their competitive there has to be good policies to govern the exploitation of the ore
advantages despite being in risky countries hence deposits. If the regulatory procedures are attractive enough,
improve the mining industry. investors will flow into the country and offer employment to the
4. Mining projects in challenging locations often face risks citizenry, widenthe tax base, contribute to development of roads,
stemming from political violence, including regional schools, processing plants, hospitals etc that are required in rural
conflicts, civil wars and localized violence specifically areas
directed toward the project. The impact of political
violence on a mining project can range from damage
and destruction of assets to the inability to continue VIII. RECOMMENDATIONS
operations and possibly the forced abandonment of the This paper was able to conclusively show the effects of
project in its entirety. In recent years, a number of political risk in mining industry in respect to Kenya. Of notable
mining projects have experienced violence-related concern was the impact of the host countries government in
issues in many countries, including Turkana and Kwale reference to political risk.
County.
5. It is also important to consider that episodes of political 1. Expropriation coverage offers protection in the event of
violence can lead to expropriation or forced contract confiscation, expropriation, nationalization and other
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acts by a host government that deprive the company of guarantees lease to the producer. The government is
its fundamental rights to its venture, mined material, interested in earning form the venture so it does not
equipment or other assets. Creeping expropriation a cancel the agreement. This can be related to the oil
series of acts that ultimately have an expropriator effect exploration and discovery in Turkana by Tullow Oil
can be included as well. Selective discrimination, forced Company. However, this is not a permanent solution.
divestiture, and losses arising from breach of contract When the technology becomes standardized, the host
by the host government or the non-honoring of a government often cancels the agreement. Again, if a
government payment obligation under an off-take new government is formed, there is a very possibility
agreement or other commercial arrangement can also be for the cancellation of the agreement concluded by the
covered. previous regime. Patents and copyright are most
implemented to safe guard this.
2. Political violence coverage offers protection against the
damage or destruction of assets resulting from events 7. Structure Operating Environment in Political risks can
such as war, revolution, insurrection, civil unrest, be reduced through creating a linkage of dependency
terrorism and sabotage. Coverage for business between the operation firm in a high-risk country and
interruption is also available, as well as the forced the operation of other units of the same firm in other
abandonment of a project due to political violence. countries. If the unit in a high-risk country is dependent
on sister units in the countries for the supply of
3. Currency inconvertibility and non-transferability technology or raw material or for marketing of its
coverage protects against the inability to convert local products, or in other words, so long dependency is
proceeds to hard currency and repatriate the currency. maintained, the former is normally not nationalized
An element of this coverage that is particularly relevant because the high-risk unit will not be in a position to
to the mining industry is the protection that it provides operate without the imported technology or raw
against government decrees that force the company to material. In Kenya, East Africa Portland Cement has not
bring project-related revenues back onshore to local only focused in mining and cement production but has
accounts. also embarked in recreation such as the Bamburi Nature
Trail and Haller Park in Mombasa.
4. To also ensure a reduction in political risk, the
government has adopted a new constitution which it
should ensure it is fully operational in the limited time 8. The Political support by the host-home country such as
possible. Apart from the new constitution, it has the Kenyan Government in support of mining industry
power to ensure that political risk is minimized by especially the foreign companies whom investing in
educating the citizen on the important of peace. This can Kenya. However such a relationship may change and
be done through mass media. It should also ensure the political alliance may be disturbed when a new
activities that facilitate increase in political risk like government is formed. So the maintenance of political
corruption are dealt with. Proper guideline and rules support is the key to managing political risk. An
should be put in place. It should not turn a blind eye on example could be the relationship between the UK and
problem relating to political risk. Kenyan governments as helped British Multinational
Corporation to thrive in Kenya. Barclays Bank Kenya is
5. Management of Multinational Corporation companies a good example of this due to the two government
can also help manage political risk by proper analysis of relationship. UK lends funds to Kenya for political
the macro and micro environment before venturing into purposes and in return open Multinational Corporation
an investment. Various techniques are available to companies in Kenya can reasonable cost.
access political risk. They include; checklist approach,
Delphi approach, Quantitative analysis, Inspection visits 9. In order to fully develop the mining industry, Kenya
or even a combination of these. The analysis would be needs to encourage exploration and Development of
based on subjectivity and objectivity of the management new mining projects, as well as the expansion of current
but should be based on facts rather than hearsay. With ones. Future investment and capital programs should be
this analysis it would be possible to determine the level made more attractive while maintaining the few
of political risk in various sectors of the industries hence operational mines that currently exist to ensure that the
manage it appropriate. human capital and mining culture that is so important to
the creation of a mining industry, remains. The country
6. Concession guarantees are negotiated contracts between has not offered sufficient incentives to attract
a company and a government that gives the company meaningful investment into the mining sector.
the right to operate a specific business within the
government's jurisdiction, subject to certain conditions. 10. The mineral industry potential is currently locked by the
In case of concession agreements that are found mainly regulation procedures and requires immediate attention.
in mineral explorations, the government of the host The proposed Mining and Minerals Bill should be
country retains ownership of the property and amended
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AUTHORS
First Author Nassim Salim Hadi, Jomo Kenyatta University of
Agriculture and Technology Mombasa Campus P.O Box 81310-
80100 Mombasa Email: nassim298@yahoo.com
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Abstract- Unani medicine is now becoming a strong part of Other studies toward natural remedies confirmed the fact that
medicinal system and it is now popularly practiced by a large plant and food medicine are good source of natural and safe
segment of the population. This medicinal system originated in healing therapies (10,11).
Greece and was brought to the subcontinent by Muslim scholars. The mucilaginous seeds are traditionally used as curative
However, the unani medicine currently practiced in India is agents against various diseases. The poultices of moistened seeds
vastly different from its Greek roots. Lallemantia royleana are found to be useful in abscesses, boils and inflammations. The
(Benth.) is an important folk medicine which is used in number seeds are also known to cure fever, common cold, act as soothing
of ailments. This study was conducted to assess the anti-oxidant agents for stomach warmness and intestinal troubles. The roots of
activity and phyto-chemical analysis of methanolic extracts of L. the plant are known to cure coughing. The seeds are used as an
royleana seeds. The antioxidant activity was determined by using added palatable ingredient in cooling drinks during summers
different anti-oxidant methods via 1,1-diphenyl-2-picryl hydrazyl mixed with brown sugar. The plant seeds are also used as
(DPPH) radical scavenging assay and hydrogen peroxide sedative and considered to be cephalic astringent, cardiac tonic
scavenging assay. The present study shows that L. royleana and carminative (2).
seeds possess significant anti-oxidative property therefore, it can In Chinese medicine, L. royleana is one of the major
be a good remedy for the diseases caused by oxidative stress. The ingredients of an ointment used in the treatment of skin tumours.
seeds extract contains Alkaloids, Anthraquinones, Flavonoids, In Ivory Coast, Burkina Faso, Gabon and Tanganyika, different
Glycosides, Pholobtannins, Tannins and Terpenoids. The parts of the plant are used for the treatment of intercostals pain,
antioxidant activity found in DPPH method is more effective rheumatic pain and fever. The leaf and root decoctions are used
than hydrogen peroxide scavenging method. The results of GC- to treat pneumonia. The plant is also used in preparation of
MS analysis showed that at least 21 compounds are present in herbal brain tonics in India (12).
methanolic extract of L. royleana. The compounds which were It has been also reported that the plant extract along with the
identified through mass spectrometry (MS) are attached with gas extract of Valeriana wallichii, exhibits anti-microbial activity
chromatogram (GC). Thus the in-vitro studies clearly indicate (Chitralekha et. al., 1964). The physico-mechanic properties and
that the methanolic extract of L. royleana seeds show significant chemical composition of L. royleana seed showed that the seeds
antioxidant activity and also a better source of natural contain average amounts of dry matter (92.75%), ash (3.63%),
antioxidant, which might be helpful in preventing the process of crude protein (25.60%), crude fat (18.27%), crude fiber (1.29%),
various oxidative stresses. NDF (30.67%) and ADF (47.80%) (13).
The seeds are a good source of fibre, protein and oil. The
Index Terms- Anti-oxidant activity, BHT, DPPH, H 2 O 2 , GC- factor in its physiological fiber behaviour is usually because of
MS, lallementia royleana, phyto-chemical. its high viscosity and gel like character in water. The property in
turn is related to the functions associated with its high molecular
weight polysaccharides (14). The compounds such as Linoleic
I. INTRODUCTION acid, oleic acid, palmitic acid, stearic acid and beta-sitosterol are
present in the seeds. The gums of the seeds are composed of L-
L allementia royleana is commonly known as Ladys mantle
in english and Tukhm-e-balanga in hindi (1) and in urdu
language it is referred to as Balangu shirazi (2). It is an annual
arabinose, D-galactose, L-rhamnose, pentosans, proteins, uronic
anhydride. It also contains all the amino acids which are present
herb belonging to the family Labiatae (3). It is cultivated in plant (15).
throughout Western Asia, India, Pakistan, and northern of Iraq, Humans have an inbuilt anti-oxidant system, which reacts
for its highly medicinal and mucilaginous seeds which are used with reactive species and neutralizes them. Thus the natural anti-
widely as a remedial agent in various diseases. (4). The part oxidant system includes enzymes like catalase, superoxide
taken for the study are seeds of the plant. Seeds are more dismutase and glutathione, which protect the body from free
common part of folk medicine and are ethno-botanically well- radical species and prevent oxidative stress (16). The synthetic
established worldwide for the treatment of abscesses, anti-oxidant like butylated hydroxyl toluene and butylated
inflammation and respiratory problems, and also used in drinks hydroxyl anisole are carcinogenic in nature. So, there arises a
due to sedative effects (5,6,7). The studies had showed the need for natural anti-oxidant (17). With this background, the aim
presence of carbohydrates, fibre, oil, protein and tannins (2,8,9). of the present study was to determine the possible phyto-
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chemical and anti-oxidant activity of methanolic extract of L. About 0.2 g of the extract was shaken with 5ml of distilled
royleana seeds. water and then heated to boil. Frothing (appearance of creamy
layer of small bubbles) showed the presence of saponins.
II. MATERIALS AND METHODS vii. Test for the presence of Steroids (Salkowski test)
A. Plant Material The 1 ml of plant extract was taken and to it few drops of
Seeds were purchased from Unani practitioners. The seeds concentrated sulphuric was added. The presence of red
were then taxonomically identified from the Herbarium colouration indicates the presence of steroids.
Department at NBRI, Lucknow, India. viii. Test for the presence of Tannins (Ferric chloride
B. Preparation of the Plant Extract test)
Plant extracts were prepared by the method of Alade and The presence of tannins was tested in 0.5 g of the crude
Irobi (1993) with minor modifications (18). Briefly, 30 g of plant powder and was stirred with 10 ml of distilled water. The
powdered seeds were soaked in 100 ml of methanol for 72 h in extract was filtered and ferric chloride reagent was added to the
dark. The mixture was stirred every 24 h using a sterile glass rod. filtrate, a blue-black precipitate was taken as an evidence for the
At the end of extraction the extract was passed through Whatman presence of tannin.
filter paper No. 1 (Whatman, UK). The alcoholic filtrate obtained ix. Test for the presence of Terpenoids (Salkowski test)
was concentrated in vacuo at 40C and stored at 4C until further The presence of terpenoids was tested in 0.2 g of the extract
use. of the plant sample and mixed with 2 ml of chloroform and
C. Preliminary Phyto-chemical Screening concentrated sulphuric acid (3 ml H2 SO 4 ) was added carefully to
The preliminary phyto-chemical investigation was carried form a layer. A reddish brown colouration of the interface was
out for methanolic extracts of seeds of L. royleana for the formed to indicate positive results for the presence of terpenoids.
detection of various phyto-constituents by using standard D. Anti-oxidant Activities
procedures to identify the constituents (19, 20,21,22,23). The Anti-oxidant activity of methanolic seed extract of L.
results are shown in Table No. 1. royleana was determined in vitro by super oxide scavenging
i. Test for the presence of Alkaloids (Wagners test) activity by DPPH free radical scavenging activity and H 2 O 2
Wagners reagent was prepared by dissolving 2 g of iodine radical scavenging activity.
and 6 g of KI in 100 ml of water. The plant extract was prepared i. Determination of Hydrogen Peroxide (H 2 O 2 )
by taking 500 mg of plant material in 500 ml of methanol for 20 Scavenging Activity-
minutes, on a water bath. The extract was then filtered off and Chemicals and reagents which were required to perform
allowed to cool. The 2 ml plant extract was taken and treated H 2 O 2 test hydrogen peroxide and di-sodium hypo phosphate
with few drops of Wagners reagent. A reddish brown coloured were purchased from Merck Co. (Germany).
precipitate indicates the presence of alkaloids. a. Protocol for Estimation of H 2 O 2 Scavenging
ii. Test for the presence of Anthraquinone Activity-
(Borntragers test) The protocol used for hydrogen peroxide assay was the
About 0.5 g of the extracts was boiled with 10% HCl for procedure done by Ruch et. al., (1989) (24) method with minor
few minutes in a water bath. It was filtered and allowed to cool. modification. A solution of hydrogen peroxide (20 mmol/ L) was
Equal volume of chloroform was added to the filtrate. Few drops prepared in phosphate buffer (pH 7.4). The test samples and
of 10 percent ammonia were added to the mixture and heated. standard (BHT) were prepared at different concentrations
Formation of rose-pink colour indicates the presence of ranging from 1.95 to 1000 g/ml and was added to the hydrogen
anthraquinones. peroxide solution (20 mmol/ L, 2 ml). Absorbance of hydrogen
iii. Test for the presence of Flavonoids peroxide at 230 nm was determined after 10 min against a blank
The crude powder of dried plant was heated with 10 ml of solution containing phosphate buffer without hydrogen peroxide.
ethyl acetate over a steam bath for 3 min. The mixture was The percentage scavenging of hydrogen peroxide of samples was
filtered and 4 ml of the filtrate was shaken with 1 ml of dilute calculated using the following formula:
ammonia solution and observed a yellow colouration of solution % scavenged [H2 O 2 ] = [(A 0 -A I)/A I] 100
was observed. Where A 0 was the absorbance of the control,
iv. Test for the presence of Phlobatannins And A I was the absorbance of the sample.
An aqueous extract of each plant sample was boiled with ii. DPPH free radical scavenging activity-
1% aqueous hydrochloric acid (HCl) to observe the deposition of Chemicals which were required for DPPH test were DPPH
red precipitate. and methanol purchased from Merck Co. (Germany).
v. Test for the presence of Glycosides (Fehlings test) a. Protocol for estimation of DPPH scavenging activity-
The crude plant powder of 0.5 g was dissolved in 5 ml of 1. DPPH radical scavenging activities of all the fractions
methanol. The 2 ml of this solution was taken and to it 10 ml of were determined by the method of Blois (1958) (25)
50% HCl was added. The mixture was heated in a boiling water with minor modifications. The crude plant extracts were
bath for 30 min. To the mixture 5 ml of Fehlings solution was prepared at different concentrations (1000 g/ml to 1.95
added and the mixture was boiled for another 5 min to observe a g/ml) in methanol, initially 10 l of plant extracts was
brick red precipitate as an indication for the presence of mixed with 200 l of 100 mM DPPH (dissolved in
glycosides. methanol). The reaction mixtures were incubated for 30
vi. Test for the presence of Saponins (Frothing test) min at 37 C under dark condition. Butylated hydroxy
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toluene (BHT) was used as control, while methanol was Octadecatrienoic acid, (Z, Z, Z)-74.54% (retention time: 15.442
used as blank. The DPPH radical scavenging activity min), n-Hexadecanoic acid 13.77% (retention time: 14.206 min)
was determined by measuring the absorbance at 490 nm and 1, 2, 3-propanetriol (retention time: 4.943 min) 1.27%. The
spectrophotometrically (26). The percentage inhibitions active principles along with their retention time, area, area
were calculated by the formula given percent and compound name in the methanolic extract of L.
Scavenging activity (%) = [(A 0 -A I)/A 0 ] 100 royleana are given in Table 3. The chromatogram of GC-MS is
Where A 0 was the absorbance of the control, given in Figure 1.
2. And A I was the absorbance of the sample.
E. Characterization of Crude Extract by Gas
chromatogram and mass spectrometer (GC-MS) IV. CONCLUSION
The methanolic crude extracts were characterized by GC- The present study showed significant phyto-chemical
MS technique. The analysis was done at Advanced compounds and anti-oxidant potential of Lallementia royleana
Instrumentation Research Facility, Jawaharlal Nehru University, methanolic seeds extract. Based on study, it can be concluded
New Delhi on payment basis. The instrument used for analysis that the plant extract can be used for the treatment of several
was GCMS-QP2010 Plus. Analytical conditions for Gas diseases caused by oxidative stress. Some texts are available on
chromatogram and mass spectrometer are given below. the genus Lallementia. The studies made on the plant opened
GCMS-QP2010 Plus (Shimadzu) new way to research about the special effects of Lallementia. The
Column Rts- 5 MF (30 m x 0.25 mm internal diameter x 0.25 efficacy and activity of plants extract needs to be further studied
m film thickness and evaluated to understand the mechanism of action for the
Mode Electron ionization (EI) plant.
Source temperature 230 C
Scan time 0-60 min
Transfer line temperature 280 C V. ACKNOWLEDGMENT
Injection mode Split mode 10:0
Injection temperature 250 C I extend my heartiest happiness and warm regards to the
Injection volume 1 l Vice Chancellor, head of the Department of Biotechnology and
Carrier gas Helium; Flow rate: 1.5 ml/min Head of the department of Chemistry, Integral University,
Oven temperature 80 C- 310 C Lucknow, for providing all the facilities and support to finish my
i. Identification of Components work.
Interpretation of mass spectrum GC-MS was conducted
using the database of National Institute Standard and Technique
(NIST05) and WILEY8 spectral database having more patterns. REFERENCES
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[4] Al-Zubaidy AM .Systematic study of the genera (Ajuga L., Marrubium L.,
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and 576.5 0.00 g/ml by Hydrogen peroxide method and the Pharm. Sci. 2011; 20 (1): 8-13.
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DPPH method and IC 50 value of 26.16 0.351g/ml by Verlag Heidelberg; 2007.
[8] Razavi, S.M.A. & Karazhiyan, H.. Flow Properties and Thixotropy of
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Selected Hydrocolloids, Experimental and Modeling Studies. Food
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The result of the anti-oxidant activity is given in Table 2. The [9] Razavi, S.M.A. & Moghaddam, T.M. Influence of Different Substitution
results of GC-MS analysis showed that at least 21 compounds are Levels of Lallemantia royleana Seed Gum on Textural Characteristics of
present in methanolic extract of L. royleana. The compounds Selected Hydrocolloids. Electron. J. Environ. Agric. Food Chem. 2011; 10,
2826-2837.
which were identified through mass spectrometry are attached
[10] Dogruoz, N., Zeybek, Z., & Karagoz, A. Antibacterial Activity of Some
with GC. The mass spectra of these compounds were matched Plant Extracts. IUFS J. Biol. 2008; 67 (1): 17-21.
with those found in the NIST05 and WILEY 8 spectral database. [11] Karsha, P.V. & Lakshmi, O.B. Antibacterial Activity of Black Pepper
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Bacteria. Ind. J. Nat. Prod. Resour. 2010; 1 (2): 213-215.
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[12] Preedy, V., Whatson, R.R. & patel, V.B. Nuts and Seeds in Health and [24] Ruch, R.J., Cheng, S.J., & Klaunig, J.E. Prevention of Cytotoxicity and
Disease Prevention, (1st Edn). Academic Press. USA; 2011. Inhibition of Intracellular Communication by Anti-oxidant Catechins
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Physico-Mechanic and Chemical Properties of Balangu Seed. Int. J. Food [25] Blois, M.S. Anti-oxidant Determinations by the Use of a Stable Free
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[14] Williams, P.A. & Phillips, G.O. Gums and Stabilizers for the Food Industry [26] Ara, N. & Nur, H. (2009). In vitro Anti-oxidant Activity of Methanolic
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[15] Khare, C.P. Indian Medicinal Plants. An Illustrated Dictionary Springer- 4 (1): 107-110
Verlag Heidelberg; 2008.
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Anthocyanin Characterization of Pilot Plant Water Extracts of Delonix regia
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AUTHORS
[17] Aly M.E., Shahira M.E., Maha M.S. and Amany A.S., Hepatoprotective First Author Jasmine Fatima, Ph.D. Scholar, Integral
and cytotoxic activities of Delonix regia flower extracts, Pharmacog. J. University, Lucknow. U.P. e-mail: yasma0112@yahoo.com
2011; 3 (19): 49-56.
Second Author Dr. Shazia Mansoor, Ph.D., Integral
[18] Alade, P.I. & O.N. Irobi, (1993). Antimicrobial Activities of Crude Leaf
Extracts of Acalypha wilkesiana. J. Ethnopharmacol. 39, 171-174.
University, Lucknow. U.P. email:
[19] Tiwari, P., Kumar, B., Kaur M, Kaur G & Kaur, H. Phyto-chemical
shaziamansoor2002@gmail.com
Screening and Extraction: A Review. Internationale Pharmaceutica Third Author Dr. Saadia M. Ali, Ph.D., Integral University,
Sciencia. 2011; 1 (1): 98-106. Lucknow. U.P. email: saaya27@gmail.com
[20] Mir, M.A., Sawhney, S.S. & Jassal, M.M.S. Qualitative and Quantitative Fourth Author Prof. Masihur Rehman, Ph.D., Integral
Analysis of Phyto-chemicals of Taraxacum officinale. Wudpecker JPPS. University, Lucknow.
2013; 2 (1): 001-5.
[21] Trease, G.E. & Evan, W.C. Pharmacognosy, Ed 12, English Language
Book Society, Balliere Tindall, 1983; 309-315 and 706-708. Correspondence Author Dr. Huma Mustafa, Joint Director,
[22] Kokate, C.K., Purohit, A.P. & Ghokhale, S.B. Pharmacognosy, Nirali Council of Science and Technology, Lucknow, U.P., India, e-
Prakashan, Pune, India;1997. mail: humamustafa1@yahoo.co.in 09415543193.
[23] Hegde, K & Joshi, A.B. Preliminary Phyto-chemical Screening and
Antipyretic Activity of Carissa spinarum Root Extract. Der. Pharmacia.
Letter. 2010; 2 (3): 255-260.
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Table No. 3: The table shows peak results of L. royleana methanolic seed extract
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Department of Accounting and Finance, College of Business and Economics, Jimma University, Jimma Ethiopia
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and mobilizing the poor is attaining greater attention both at the (3) Are the twin goals of poverty outreach and financial
national and international levels. By virtue of these, besides self-sufficiency attuned? Or is there a trade-off between
strengthening the effort of both parties, the recent phenomenon is them?
the establishment of formal micro-financing institutions which (4) How well the institutions are functioning towards
operate in the country. poverty alleviation in the country?
Formal micro-financing in Ethiopia started in 1994/95, and
following the enactment of Proclamation No. 40/1996, currently, Furthermore, the study also proposes to test the following
there are about 35 licensed microfinance institutions operating three hypotheses:
throughout Ethiopia. According to the AEMFI Annual Report Ho1: There is no trade-off between scaling-up outreach and
(2013), the Microfinance sector is serving over 2.5 million active profitability of Microfinance Institutions in Ethiopia.
clients with an outstanding loan portfolio of Br. 7.157 billion Ho2: There is no significant difference in the clients mean
(USD 408.7 million). annual income, mean annual expenditure on food, education and
Previous studies about MFIs examined the growth of health before and after joining the Microfinance Credit
microfinance by developing proxy measures of outreach and Program.
repayment of loans. Such an approach is based on the assumption Ho3: Participation in the microfinance program over a
that if outreach in terms of number of borrower was increasing period of years increases enterprise assets.
and repayment of loans were made by the clients then the sector The current study is important because it provides relevant
was performing successfully (Khandkar, 1998). Limitations of information to decision makers (investors, donors, creditors,
such an approach are that it assesses breadth of outreach as the clients, or governments) about how well the MFIs are
only dimension of performance and ignore other aspects of performing. In addition, it enlightens the management of the
outreach that indicate the depth, scope, worth and financial institutions about the strengths and weaknesses of the current
health of the sector (Schreiner, 2002 cited in Mubarek, operating systems, and detects the impediments in the current
2006).Though some studies were made on the financial functioning of the microfinance sector.
soundness of MFIs in Ethiopia, their conclusions were largely This study has been confined to the investigation of
based on a financial performance indicator that did not take into institutional and financial sustainability, outreach, and poverty
account adjustments for subsidies, inflation, loan loss provision impact of selected microfinance institutions in Ethiopia. The
and write-offs (See Wolday, 2000; Hailesillassie, 2005). study has been undertaken based on a three year (2011 2013)
Although many studies have been made on the impact of audited financial reports, operating and portfolio reports obtained
microfinance program on poverty, the majority of them suffer from sample MFIs and Annual Reports of the AEMFI, NBE and
from some procedural limitations like inappropriate sample Micro Banking Bulletin (MBB).
selection, insufficient sample size, selection and placement bias The remainder of the paper has the following structure.
and lack of appropriate comparison group (See MkNelly et al., Section II reviews relevant literature involving outreach,
1996; Khandker, 1998; Morduch, 1998; Banegas et al., 2002; financial performance and institutional capacity, and impact on
Gertler et al., 2003; Dercon, 1999; Meehan, 2001; Borchgrevink poverty. Section III explains the methodology employed and its
et al., 2005). limitations. Section IV presents the results& discussions. Finally,
In general, the available literature on the outreach and Section V provides the conclusions.
performance of Ethiopian MFIs does not give a precise and
uniform picture. This is partly because they rarely apply
appropriate performance indicators. Moreover, the issue of the II. LITERATURE REVIEW
relationship between outreach to the poor and financial 1.1 Microfinance Outreach
sustainability were not specifically addressed in these studies. Outreach is a hybrid measure that assesses the extent to
Therefore, the current state of knowledge about the sustainability which a Rural Financial Institution (RFI) has succeeded in
and performance of the institutions and their impact on clients reaching its target clients and the degree to which the RFI has
poverty clearly warrants further investigations, and it was against met the clients demand for financial services (Yaron et al.,
this background that the present study was undertaken. 1997, p. 91). There are several methods of measuring outreach
In this study the investigator explores the performance of that have been proposed. Yaron (1992a) suggests measuring
Ethiopian MFIs with respect to client outreach, institutional and outreach by loan portfolio value, average loan size, amount of
financial sustainability and their role in poverty alleviation. savings in an institution, variety of financial services offered,
Accordingly, propositions have been addressed through the number of branches, percentage of target population served,
following basic research questions: growth rate, and number of women served are possible.
(1) Do the microfinance institutions have the necessary Building on these measures of outreach, Christen, Rhyne,
institutional capacity that enable them reach large Vogel, and Mckean (1995) categorize measures of outreach in
number of active poor clients? their study of effects of sustainability on outreach by defining
(2) Are the microfinance institutions in Ethiopia outreach along three dimensions: quality of service, scale of
operationally and financially self-sufficient? What outreach, and depth of outreach to the poor. Quality of service is
factors influence the financial soundness of MFIs in measured qualitatively by the number of services offered, the
Ethiopia? quality of the available savings options, and the type of lending.
In addition, the authors measure quality through evidence of
client acceptance such as low delinquency and willingness to pay
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high interest rates. Scale of outreach is measured by number of that empirical evidence neither show that the poor cannot afford
borrowers and branches, and percentage of the target population higher interest rates nor that there is a negative correlation
serviced. Depth of outreach can be measured through the type of between the financial sustainability of the institution and the
clients reached and level of poverty. Average loan size, they poverty level of the clients.
argue, while only a proxy for client poverty provides a good Though most notable MFIs are hugely dependent on
quantitative measure because, by and large, poorer borrowers can external funds during the initial years of their operations, in
get service of smaller debts, and hence tend to take out smaller recent years, however, this dependency has shown a decreasing
loans. pattern. This has been buoyed by Johnson and Rogaly (1997) that
Most efficient microfinance institutions are successful in most of the renowned programs have been operating in subsidies
reaching large number of poor clients. Grameen Bank (GB), for especially at the beginning of their operation but their reliance on
instance, covers 56 out of 64 districts making it the largest credit subsidies decreases significantly. But, as Yaron states, financial
program in Bangladesh with annual growth rate of 34 per cent soundness in microfinance is possible through many factors viz.,
(Sarah, 1997). It gives service to more than 7 million people, of high repayment rate combined with increased loan size and, the
which 98 per cent are women. However, it is indicated that the encouragement of voluntary savings (saving mobilization), and
poorest of these women have been excluded from getting the the decrease in administrative costs (Yaron, 1994; p. 59).
services through the process of group formation. This is because
group members select each other on the basis of the potential of 2.3Financial Sustainability versus Outreach
each member for making timely repayment and savings (Rogaly, Regarding the trade-offs between financial sustainability
1996). If a woman is very poor and has no asset that indicates her and depth of outreach, Craig Churchill (2000) analyses the
potential to pay the loan, she is likely to be excluded (Johnson, characteristics of financially sound MFIs. Accordingly, he finds
1997). that there is no strong relationship between loan balances
The greater emphasis on financial sustainability and the (average loan size) and self-sufficiency, and that some of the
trend toward commercialization of microfinance has raised most profitable MFIs serve the poorest clients. In his study
concerns about the effects of this shift on outreach, or more Churchill analyzed 114 MFIs to find evidence whether there is a
specifically on the number (breadth) and socioeconomic level trade-off between financial self-sufficiency (FSS) and depth of
(depth) of the clients that are served by MFIs. There are some outreach (average outstanding loan/GNP per capita) and
discussions in the literature on the outreach of microfinance average outstanding loan balance or not. The data suggest that it
programs. This literature provides mixed evidence, especially is possible to provide very small loans and be financially self-
regarding depth of outreach. Some studies indicate that it is the sufficient. While it might be assumed that a decline in average
better offpoor rather than the starklypoor who stand to benefit loan size will negatively affect self-sufficiency, this is not
most. Evidence for this is given in e.g. Hulme and Mosley (1996) necessarily the case. Because out of the 13 programs that fall
and Copestake et al. (2005). Other studies, e.g. Khandker (2005) within this category, 6 increased their FSS ratio from 1998 to
and EDA Rural Systems (2004), find that the extremely poor 1999. Even though further investigations are required on the
benefit more from microfinance than the moderately poor. issue, yet it supports the idea that there is not necessarily a trade-
off between depth of outreach and profitability.
1.2 Financial Sustainability Inversely, studies by Gibbon & Meehan (2000) that
Providing microfinance is a costly business due to high included 12 MFIs in Asia, Africa, and Latin America argued that
transaction and information costs. At present, a large number of MFIs working with the poorest would experience a trade-off with
microfinance programs in Ethiopia and elsewhere in the world institutional financial sustainability (IFS). Specifically, they
heavily depend on donor aids to meet the high transaction and concluded that, at a given point in time [MFIs] can either go for
administrative costs, i.e. they are not financially sound. In the growth and put their resources into underpinning the success of
1990s, the importance of financial sustainability of microfinance established and rapidly growing institutions, or go for poverty
institutions gave rise to an important discussion between the impact and put their resources into poverty-focused operations
financial systems approach and the poverty lending approach with a higher risk of failure and a lower expected return (Hulme
(Robinson, 2001). If both approaches agree on the ultimate goal, and Mosley, 1996, p. 206). However, the report did not reveal the
which is to serve as many poor people as possible in a variables that were used and the sample size was also inadequate
sustainable way, the means by which these goals should be to make a generalization.
reached differ fundamentally. A study by Cull et al. (2007) investigated the financial
The financial systems approach focuses on the importance performance and outreach methodically for the first time in a
of financially sound microcredit program. Conversely, the large comparative study based on a new extensive data set of 124
poverty lending approach emphasizes on reducing poverty microfinance institutions in 49 countries. They used three types
through subsidized credits often offered together with of MFIs, i.e. group lending systems, village banking, and
complementary services like skill training and teaching of individual-based lending. The authors unambiguously examine
literacy and numeracy, health, nutrition, family planning whether there is empirical evidence for a trade-off between the
programs and the like (Zigiju, 2008, p. 17). The promoters of this depth of outreach and profitability. They scrutinize this issue by
approach affirm that the aim of microfinance is improving the examining whether more profitability is associated with a lower
living standards and empowerment of poor women. Because of depth of outreach to the poor, and whether there is a deliberate
this, subsidies for institutional innovation and expansion are move away from serving poor clients to wealthier clients in order
reasonable. The activists of the financial systems; however, assert to attain higher financial sustainability (mission drift).
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Accordingly, the results discovered that individual-based households in an area with a BRI branch, health shocks have no
MFIs seem to perform better in terms of profitability, but the effect on consumption. However, this study does not
proportion of poor borrowers and female borrowers in the loan differentiate within the group of the poor.
portfolio was lower than for group-based institutions. The About 86 - 95 percent of women clients reported that
findings also indicated that individual-based microfinance microcredit loans had a favorable impact on their enterprise
institutions, especially if they grow larger, focus increasingly on operations (Sanders & Deugd, 2002). With the credit they
wealthier clients (mission drift), whereas this is less so for the obtained from microfinance, many women reported that they
group-based microfinance institutions. Moreover, the study were able to diversify their products and their inventories,
strongly emphasizes the significance of institutional design in increase the supply and quality of the products they offered, and
considering trade-offs in microfinance. expand sales figures.
Nevertheless, except Cull et al. (2007), most of the evidence Borchgrevink et al. (2005) studied marginalized groups,
on the depth of outreach of microfinance institutions empirical credit and empowerment for the case of Dedebit Credit and
evidence discussed above suffers from being anecdotal and the Savings Institution (DECSI) of Tigray region, Ethiopia. The
majority of them are case study driven. Most of the previous study found that female household heads were extremely
studies do not scientifically expound differences in depth of marginalized groups; and also, young households, rural landless
outreach of microfinance institutions, nor do they objectively households and urban house-renting households were the other
search whether there is a trade-off between depth of outreach marginalized groups.
versus the strife for financial sustainability. Through the two-phase assessment, the study found that the
DECSIs program has had a positive impact on the livelihood of
2.4Microfinance and Its Impact on Poverty and as well enhanced the social and political position of many
Generally microfinance institutions are judged by the clients. Concerning the challenges for economic development,
positive impact that they have to bring in terms of improving the the study identified poor rainfall, small farm size, and shortage of
income as well as living condition of its target beneficiaries and labor during peak agricultural seasons as the main challenges.
ultimately in terms of their role towards reducing poverty. It is Whereas, low return and lack of demand were the major
generally believed that microfinance programs will raise incomes constraints in the non-farm business. However, the study
and broaden financial markets by mainly providing credit, among indicated that credit was not the main constraining factor for
other services to small scale entrepreneurs (Aghion & Morduch, expanding economic activity, except that in urban areas.
2000, p. 402). The significant process by which financial services
are conceived as reducing poverty is by the provision of income
generating loans. According to Muhammad Yunus, the founder III. METHODOLOGY
of Grameen Bank of Bangladesh, a successful circle can be set 3.1 Research Approach
up: low income, low credit, low investment, more income, more To meet the objectives of this research, a mixed methods
credit, more investment, and more income (IDSS 1994 cited in approach has been executed. The purpose of using such a mixed
Hulme, 1997, p. 101). The logic is that by providing small loans methods approach was to gather data that could not be obtained
MFIs help the poor to better cope with risk, to take advantage of by adopting a single method and for triangulation so that the
income generating opportunities and to reduce vulnerability findings with a single approach could be validated with others
(Paxton & Cuevas, 2001). whatever possible. To accomplish the task, the investigator
Studies also indicate that the advancement of financial conducted personal in-depth interview with General Managers,
sector expansion, particularly microfinance, makes a significant Deputy General Managers, Operations Managers and Loan
influence to the realizations of the UN Millennium Development Officers of sample MFIs; and with officials in NBE and AEMFI.
Goals iin helping to reduce poverty. Children of poorer families Moreover, to capture information about microfinance program
tend to attend school when their parents have access to savings impact, interview schedule has been designed and an interview
and loans which contributes to an improved economic situation was held with current clients and incoming clients in selected
of their households. Similarly favorable effects can be seen urban and rural areas.
through the offer of health and nutritional advice in combination The questions in the interview schedule were adapted from
with access to savings and loans by many MFIs. Such services the Manual entitled Learning from Clients: Assessment Tools
have reduced mother and child mortality rates among MFI for Microfinance Practitioners; developed by the SEEP
clients. While this impact may be less remarkable than many had Network ii, AIMS (Assessing the Impact of Microenterprise
hoped for, on the whole, millions of the poor would be worse off Services), and a group from USAID.
without microfinance. This schedule consists of three major sections namely, the
More optimistic deductions in terms of the ability of Impact survey; Individuals Use of Loans, Profits and Savings
microfinance to reduce vulnerability are found in Indonesia by over Time; and Client Empowerment Interviews. The impact
Gertler et al. (2003), who revealed that access to finance enables survey was categorized as quantitative tools because the
families smooth consumption in the face of declines in the enumerators collected standardized information by asking
health of adult family members. By establishing an empirical exactly the same questions to clients and non-client comparison
relationship between health condition and consumption the autho groups and organized their answers into quantifiable response
rs test for a relation between access to a financial institution and categories. Moreover, to evaluate the institutional and financial
consumption shortfalls associated with ill-health. Using sustainability as well as outreach performance, audited financial
geographic distance as a measure of access, they find that for reports and portfolio and operations reports of the respective
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sample MFIs for three consecutive years (2011 2013) were or direct payment of staff members salaries by a third party were
used. While measuring the financial and outreach performance of adjusted to the expense account and the net income was adjusted
sample MFIs, a standard performance assessment tools accordingly.
developed by the Consultative Group to Assist the Poorest Based on the nature of the data collected through interview
(CGAP) iii has been used. schedule, semi-structured interview, and document analysis, the
3.2 Sample Design following procedures and statistical tools were employed. First,
To meet the objectives sought four (4) MFIs were selected data were checked for consistency and completeness and then
randomly. The total population considered for the study was 31 labeled and entered into a computer, and then it has been
microfinance institutions currently operating in the country processed and analyzed quantitatively and qualitatively using
(Source: Association of Ethiopian Microfinance Institutions, SPSS Version 19.0 for Windows Software.
October2013) and out of these MFIs those established before or The output from SPSS Software were analyzed using
as of 2010 were considered fit for the study purpose to assess the descriptive statistics such as mean, standard deviations,
performance, sustainability and impact of MFIs in the country. frequency tables for the responses obtained from the current and
Today, one can find at least a microfinance institution incoming clients through the interview schedule. In addition, the
engaged in the provision of financial intermediation services in investigator analyzed the data using various statistical tools such
every region of the country. However, mainly due to time and as: Chi-square test, ANNOVA, and Paired t-test. Pearson
cost considerations MFIs in Amhara, Benshangul Gumz, Correlation Analysis was also used to determine the relationship
Gambella, Tigrai and Somali regions were deliberately excluded between outreach to the poor (measured by NAB and ALS) and
from the list. Therefore, only MFIs found in Oromia, Southern profitability (measured by AROA and AROE).
Nations &Nationalities Peoples Regional State (SNNPRS), Finally, under qualitative analysis assessment of the
Harrari, Dire-Dawa and Addis Ababa were considered in the institutions operation was made based on the officials responses
study. It is, thus, from the MFIs that are currently operating in and the secondary data collected from different sources.
these regions that the four (4) sample MFIs selected based on 3.4 Limitations
multi-stage sampling technique. In the first stage, three regions As with any other survey, this study has some potential
(Addis Ababa, Oromia and SNNPRS) were selected based on limitations. One of the limitations of the impact survey is that the
random sampling technique. Then the four (4) MFIs were results of the study pertain only to those who have stayed in the
selected randomly from these three regions based on probability microfinance program and did not include dropouts. However,
proportion to size; size being number of MFIs in the regions. the researcher believes that covering dropouts would make
Accordingly, two (2) MFIs from Addis Ababa, one (1) from sampling too difficult and would be too time consuming. Also,
Oromia, and another one (1) MFI from SNNPRS were selected while conducting this study some pieces of information was
randomly. difficult to obtain; especially data related to African MFIs. Other
After selecting sample MFIs from the aforesaid regions, two than these, sample imperfections, methodological flaws,
service centers (one from urban and another from rural areas) measurement errors can also be cited as limitations.
from each MFI were selected randomly. Then clients belonging
to these service centers were stratified based on their attachment
with the Microfinance credit program as one-year clients and IV. FINDINGS
two-year and above (established) clients. Finally, after having 1.3 Institutional Capacity of MFIs
randomly selected the sample MFIs, the officials in each of these In Ethiopia, MFIs were established as share companies in
institutions, NBE and AEMFI have been chosen. line with Proclamation 40/1996 and the Commercial Code of
The cross-sectional sample design employed in the impact Ethiopia issued in 1960. In terms of governance, in all sample
assessment survey was random sampling technique. In this study MFIs, the highest governing body was the General Assembly of
three categories of clients were proposed: (1) established clients shareholders. Ordinarily, the General Assembly elects the board
(i. e., two years and above in the program), (2) short-term clients of directors and the chairperson of the board would be elected
(those having only one-year experience in the credit program); from the representatives of the highest shareholding organization
and (3) incoming clients (those recruited to be the next in all sample MFIs. Despite having limited experience in
microfinance clients who serve as a comparison group and are a managing microfinance, all board members in sample MFIs were
proxy for non-clients). Accordingly, a total of 1200 respondents qualified people, and about 59percent and 35 percent of them
consisting of 800 current clients (established and short-term) and were having first and second degrees, respectively.
400 non-client comparison groups have been selected based on The ownership structure of sample MFIs had been a blend
systematic random sampling technique. of regional governments, NGOs, associations, private
organizations and individual shareholders. All sample MFIs have
3.3 Data Analysis Techniques more or less similar organizational structures which were both
After data have been collected, the financial reports of extensive and decentralized. With this form of structure, the
sample MFIs were adjusted to ensure comparability against the institutions were able to deliver financial services in locations
effect of subsidy, inflation and difference in loan loss close to their clients. The structure implemented by the sample
provisioning. Subsidies were adjusted to the cost of fund. MFIs has the advantage of reducing transaction costs for both the
Additional costs were added for any liabilities bearing interest firm and their clients. The majority of MFIs mainly offered two
rates, which were substantially lower than the market price. In- types of financial products namely, savings and loans. The loan
kind subsidies such as donated vehicles or computers, free rent, products were mainly MSE installment loans and agricultural
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term loans; and the solidarity group lending being the borrowers (NAB) with a28.0percent growth rate registered
methodology used by all MFIs. However, each of the MFIs calls between 20112013. During the same period the industrys
for different group and center size. overall active borrowers have increased by 13.7percent.
Almost all sample MFIs provide short-term training in Compared to the national average growth rate, all sample MFIs
different areas and their employees were participated in various except WISDOM posted a remarkable performance. Growth in
experience sharing visits within the country to well experienced the number of active borrowers for WISDOM has shown a
MFIs and abroad, particularly in Kenya, Ghana, India and declining trend.
Bangladesh. Often, the AEMFI also offered technical assistance Regarding growth in portfolios (GLP), all sample MFIs
to its member MFIs in the area of capacity building and has the have reported increment over the study periods with different
objective of promoting and supporting networking activities rates of growth leading the overall industrys average portfolio to
among MFIs like initiate and support policy dialogue, providing surge during the study periods on average by a remarkable 44.36
up-to-date information on the status of MFIs in the country. percent. WISDOM leads the pack with an impressive average
However, despite the effort by Association, most employees at growth rate of 88.97 percent between 20112013 fiscal years.
branch and sub-branch offices of the sample MFIs did not have METEMAMEN in its part has reported growth in GLP of 16.84
the basic qualification and knowledge regarding microfinance percent. Likewise, OMO and AVFS reported average growth in
operations, particularly in the areas of record keeping, interest GLP of 40.74percent and 18.0percent between the periods 2011
calculation, and loan delinquency and financial management. 2013, respectively. Industry-wise, GLP has shown increment
Furthermore, very little consideration was given for staff over the study periods by a significant rate of 44.36 percent.
development and capacity building works almost in all sample In three of the four sample MFIs women participation in the
MFIs. Finally, as it was confirmed by participant MFIs and microfinance program has been encouraging. However, womens
officials in AEMFI and NBE, there was encouraging involvement in OMO microfinance was very insignificant (which
environment for the growth of viable MFIs in the country. constituted 31.0 percent of all borrowers). Industry-wise women
represented 51.0 percent of the microfinance clients during 2012.
1.4 Outreach Performance of MFIs This figure was below the average for African countries, which
The number of active borrowers in the sample institutions as was 65 percent during the same period (AEMFI, 2013).
well as at the industry level has been swelling. OMO lead the
sample MFIs with regard to growth in number of active
Source: Computed from Operating Manuals & Audited Financial Reports of Sample MFIs (2010 2013).
Despite the increasing trend it showed, voluntary saving as a are poverty oriented which was on the assumption that small loan
percentage of GLP for sample MFIs and at the industry level was does not appeal the wealthy clients. However, the average loan
very low. Industry-wise, it accounts only 37.0 percent of GLP size reported by all sample MFIs and the industry average has
and 26.5% of total assets in 2012 (AEMFI, 2013).Voluntary shown increasing trend.
savings enable microfinance clients to build for the future and 1.5 Financial Performance of MFIs
better prepare for unexpected contingencies. Voluntary savings From efficiency and productivity perspective, OMO has
are by far the most common source of funding for reported operating expense ratios of 2percent, 4.2 percent and
microenterprise startup and expansion. Similarly, voluntary 5.12 percent in 2011, 2012 and 2013 fiscal periods respectively
savings provide a relatively stable source of funds that could (most efficient). Inversely, AVFS, METEMAMEN, and
enable an MFI to achieve financial self-sufficiency (AEMFI, WISDOM have posted the highest operating expense ratio (less
2012). The average loan size for an individual borrower reported efficient) as measured by operating expense over average loan
by sample MFIs range from Birr 864 to Birr 3,995. The average portfolio. AVFS registered operating expense ratio of 12 percent,
loan size for the Ethiopian Microfinance sector was also Birr 20.3 percent and 26.78 percent during 2011, 2012 and 2013
2,670 (around 127USD) in 2012, suggesting MFIs in Ethiopia budget years respectively. Whereas, METEMAMEN reported the
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next higher operating expense ratio of 17 percent, 18.21 percent average, which posted PAR > 30 days ratio of 6.63 percent
and 18.93 percent in 2011, 2012, and 2013, respectively. during the same period, Ethiopian MFIs performed a little lower.
WISDOM on its part has posted operating expense ratio of 18 In general, the higher PAR > 30 days ratio posted by OMO and
percent, 14.4 percent and 16.75 percent in 2011, 2012, and 2013 METEMAMEN and the growth trend of the ratio in all sample
fiscal periods respectively. The average for Ethiopian MFIs may imperil their level of financial soundness.
microfinance sector reported operating expense ratio of 12.9 It is revealed that equity capital remains the major funding
percent during 2012. For AVFS and METEMAMEN, operating source almost for 3 of the 4 sample MFIs as evidenced by the
expense ratio shows increasing trend, hence, requires the higher capital asset ratio. In this regard, METEMAMEN has
attention of management. Because as operating expense ratio reported capital asset ratio of 80 percent and 78.65 percent in
increases ROA and FSS will decline. However, compared to the 2012 and 2013 budget years respectively. Similarly, AVFS had
African average, which was 24.27 percent in 2012, Ethiopian registered a capital asset ratio of 56.55 percent and 56.1 percent
Microfinance institutions were more efficient. during 2012 and 2013, respectively. On the other hand,
In terms of productivity of loan officers OMO microfinance WISDOM has posted capital asset ratio of 44 percent, 47 percent,
is leading the pack by reporting the highest ratio of 488, 743 and and 48 percent, respectively during the study periods. Inversely,
1380 borrowers per loan officers during 2011, 2012 and 2013 OMO held the lowest capital asset ratios of 10 percent, 27
fiscal periods respectively. METEMAMEN on its part registered percent and 24 percent, respectively during 2011, 2012 and 2013
the second productive use of its loan officers by reporting 544, fiscal periods. With regard to this, the CGAP stated that MFIs
587 and 591 borrowers per loan officer ratio in 2011, 2012 and should be subject to even higher capital to asset ratio than
2013 fiscal years respectively. Whereas AVFS has registered conventional banks as a means to safeguard their portfolios and
borrowers per loan officer ratio of 323, 478 and 511 in 2011, advises institutions to maintain ratios approaching 20 percent
2012 and 2013 fiscal periods respectively. The industry average with the potential to lowering it to 12 15 percent, based on
for Ethiopian Microfinance, in this regard was 547 during 2012. performance over time (CGAP, n/d cited in AEMFI, 2013). The
Hence, in terms of productive use of loan officers, Ethiopian limited access to commercial source of funds, and largely due to
microfinance institutions in general, and sample institutions in the heavy reliance on donors funds, the sector has exhibited an
particular, were doing well specially compared to their African average capital to asset ratio of 43 percent (AEMFI, 2013).
counterparts, which registered a ratio of only 255 borrowers per Except OMO, which registered an OSS of 103 percent, 116
loan officer in the same year (AEMFI, 2013). percent and 119 percent in 2011, 2012 and 2013 respectively, the
Another important factor that has impact on the financial rest of the MFIs included in this study didnt achieve operational
soundness of MFIs is the status of portfolio quality. And the most self-sufficiency (OSS). For example, WISDOM, with an OSS
widely used measure of portfolio quality in the microfinance ratio of only 71 percent, 86 percent and 87 percent during 2011,
sector is portfolio at risk (PAR), which measures the portion of 2012 and 2013 respectively has not passed the break-even point.
the loan portfolio at risk. Any PAR > 30 days exceeding 10 Though it has shown tremendous improvement, METEMAMEN
percent is not considered good. In line with this, WISDOM and registered an OSS ratio of only 62 percent, 85 percent and 89
AVFS reported lower rates. Thus, using this parameter the study percent in 2011, 2012 and 2013 respectively. Similarly, AVFS
found that the low PAR > 30 days rate disclosed by WISDOM reported an OSS ratio of 78 percent, 59 percent and 63 percent
(2.11%) could contribute positively to achieve financial self- during 2011, 2012 and 2013respectively. The average OSS
sufficiency. Nevertheless, the 15.16 percent and 12.83 percent registered by Ethiopian MFIs was 119 percent in 2012, which
PAR > 30 days ratios posted by OMO and METEMAMEN was a bit higher than the average attained by African MFIs which
respectively were above the standard and will endanger the exhibit OSS ratio of 108 percent during the same year. This
future revenues of the institutions since unlike commercial bank shows that Ethiopian microfinance sector performed a little better
loans, loans of MFIs are not supported by collateral. than their African counterparts.
Microfinance institutions in Ethiopia reported average PAR > 30
days ratio of 7.59 percent during 2012. Compared to the African
Table 4.2Some of the Financial Performance Measures of Sample MFIs
Performanc AVFS METEMAMEN OMO WISDOM Eth.
e Av.
Indicators 2011 2012 2013 2011 2012 2013 2011 2012 2013 2011 2012 2013
AROA -2.0% -1.8% -1.6% -2% 0.5% 1% 0.1% 1.4% 2.2% -1% - -1.9% 2.7%
2.6
%
AROE -3% -3.2% -3.0% -2% 0.7% 2.6% 1% 5.9% 5.2% -3% - -4.5% 6.3%
5.3
%
OSS 81% 82% 87% 62% 85% 89% 103% 116% 119% 71% 86% 87% 119%
FSS 78% 59% 63% 43% 45% 51% 95% 78% 95% 66% 67% 71% 86.3
%
PAR>30 4% 7.4% 6.5% 12% 12.8 10.9 7% 15.1 10.7 9% 2.1 4.4% 7.59
% % % % % %
Source: Computed from Audited Financial Reports of Sample Institutions (2010 2013).
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On the other hand, the analysis for Financial Self- percent, 0.5 percent and 1.0 percent AROA; and -2 percent, 0.7
sufficiency, taking into account adjustments for subsidies and percent and2.61 percent AROE during 2011, 2012 and 2013
inflation, revealed that the entire sample MFIs did not achieve respectively. Inversely, OMO posted an AROA of 0.1 percent,
financial self-sufficiency yet. From among sample MFIs, 1.4 percent and 2.2 percent; and AROE of 1.0 percent, 5.9
METEMAMEN registered the lowest FSS ratio of 43 percent, 45 percent and 5.2 percent during 2011, 2012 and 2013 respectively.
percent and 51 percent during 2011, 2012 and 2013 respectively. The average AROA posted by Ethiopian microfinance sector
Average FSS attained by Ethiopian MFIs was 94.6percent, 83.0 were 0.2 percent, 1.4 percent and 2.7 percent during 2011, 2012
percent and 86.3 percent during 2011, 2012 and 2013 and 2013 respectively. Whereas, the average AROE posted by
respectively. It means that on average, Ethiopian MFIs could Ethiopian microfinance sector during the same period were 3.4
cover only 86.3 percent of their obligations in 2013. Compared to percent, 5.1 percent and 6.3 percent respectively. Compared to
the FSS achieved by African microfinance sector, which was 96 the average AROA registered by African microfinance sector,
percent in 2012, the performance of Ethiopian MFIs was very which posted AROA of -1.53 percent and AROE of -1.13 percent
low. Not only is the low level of FSS ratio posted by the in 2012, Ethiopian MFIs achieved better performance.
Ethiopian microfinance sector, but also the decreasing trend it Finally, Pearson Correlation test result indicated that there is
has displayed over time cause for concern. Similarly, the no trade-off between breadth of outreach (as measured by NAB)
profitability ratios for two of the sample firms measured by and profitability (AROA) (See Correlation results on table 4.1
AROA and AROE shows negative results. Accordingly, AVFS below). Nevertheless, when we look at the correlation between
has posted an AROA of -2percent, -1.8 percent and -1.65 percent depth of outreach (as measured by ALS) and profit performance
in 2011, 2012 and 2013 fiscal periods respectively. During the (AROA), it was found that there is positive correlation between
same periods, it has reported AROE of -3 percent,-3.2 percent them; which implies that microfinance institutions with small
and -3.0 percent respectively. Similarly, WISDOM displayed loan size(which is taken as a proxy for clients poverty level)
AROA of -1 percent, -2.6 percent and -1.9 percent during 2011, tend to have low profit figure (or otherwise incur a loss) and vice
2012 and 2013 respectively. METEMAMEN has registered -2 versa.
Table 4.3 Correlation Result among Number of Active Borrowers (NAB), Profit Performance (PP) and
Average Loan Size (ALS)
Average loan Number of Profit
size Active Performance
borrowers
Average loan size Pearson Correlation 1 .961** .607
Sig. (2-tailed) .000 .063
N 10 10 10
Number of Active borrowers Pearson Correlation .961** 1 .747*
Sig. (2-tailed) .000 .013
N 10 10 10
Profit Performance Pearson Correlation .607 .747* 1
Sig. (2-tailed) .063 .013
N 10 10 10
**. Correlation is significant at the 0.01 level (2-tailed).
*. Correlation is significant at the 0.05 level (2-tailed).
1.6 Role of Microfinance in Alleviating Clients Poverty 61.5 percent of the respondents of two-year and above, one-year,
4.4.1 Survey Samples Demographic Characteristics and incoming clients respectively. Similarly, the majority of the
Regarding the demographic profile of respondents, the respondents were married; and their mean age was 39.55 years
numbers across the three survey sample groups (established with no significant difference among the three sample groups. On
clients, one year clients, and incoming clients) seemed to be average, the respondents included in this survey had completed 8
similar. Statistical tests were performed to determine whether the years of school and only 11.67 per cent of them never attended
responses were significantly different or not. Hence, for those school at all. Hence, no significant differences among the three
questions reporting percentages, a Chi-square statistical test was client groups were observed in any of the individual level
used to determine whether significant differences were evident demographic indicators.
between the sample groups. For questions reporting numerical or Likewise, the respondents household information was
counting variables (such as age or income amount) the Means summarized with Mean numbers. Once again, statistical tests
test was used to perform Analysis of Variance (ANOVA) determined that no significant differences were found among the
statistical test. three client groups in any of the household-levels information.
Accordingly, clients across the three survey groups were Since no significant differences were observed in the key
quite similar. Women represent 63.25 percent, 58.75 percent, and
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demographic characteristics, the three sample groups have been improvement. Chi square test result revealed that established
assumed to be comparable. clients were more likely to have spent their savings for
improvement of housing (p<0.05). On the other hand, 21 (5.82
Table 4.4 Clients Individual & Household Level percent) of established, 37 (11.64 percent) of one-year, and 34
Demographic Information (12.1 percent) of incoming clients confirmed that they used the
savings to cover school fees for their children & themselves.
Key Demographic Two- One-year Incoming Whereas, 18 (5.0 percent) of established, 28 (8.8 percent) of one-
Information year & Clients Clients year, and 15 (5.33percent) of incoming clients indicated that they
Above (N=400) (N=400) used the savings to settle debts (repay loan). 9 (2.49 percent) of
(N=400) established, 13 (4.1 percent) of one-year, and 35 (12.46 percent)
Percent of Women 63.25
58.75 61.5 of incoming clients didnt use their savings.
Clients With respect to enterprise profit, 78.5 percent of established,
Percent Married 59.5 63.5 64.0 69.3 percent of one-year and 42.0 percent of incoming clients
Percent Never 13.25 11.0 9.75 posted enterprise profit in the last twelve months. Chi-square test
Attended School comparing the percentage of current (both one-year, and
Mean Age of Clients 41.5 38.25 38.9 established) clients and incoming clients were performed and
(in years) found to be significant at 5 percent (p<0.05).
Mean years in School 7.3 8.4 8.65
Mean number of 4.42 4.11 3.91 4.4.3 Impact on Enterprise Assets
members in the It is clear that an increase in assets may be considered as
household proxy indicator for previous business profits that were invested
Mean number of 1.89 2.21 1.91 in these items. As can be seen in table 4.2below, the results
household members revealed that two-year and above(established)clients were
with regular income significantly more likely to have acquired small tools and
Source: SPSS Output from Survey Data, 2014 accessories than were both one-year &incoming clients in the last
twelve months (p<0.05).Chi-square statistical tests was
4.4.2 Impact on Savings and Enterprise Profits undertaken and confirmed that established clients were
In terms of savings, the three client groups were compared. significantly more likely to have acquired major tools, such as
Consequently, 361 (90.25 percent) of established clients, 318 machineries, equipment and furniture; and made minor
(79.5 percent) of one-year clients, and 287 (71.75 percent) of investments in their production and/or market sites than were
incoming clients reported that they have savings with the both one-year and incoming clients in the last twelve months.
respective MFls. Statistical Chi-square test was done and shown However, when the responses of one-year clients were pooled
that established clients were significantly more likely to have with the two-year and above clients, no significant difference
savings than were both one-year & incoming clients (p<0.05). was found in minor investments in marketing and/or production
About how they used the savings, the majority of clients in the sites, and major tools like machineries, equipment and furniture
three sampling groups confirmed that they used their savings in between current and incoming clients. Therefore, the hypothesis
the MFls primarily for business purposes (such as for that participation in the Microfinance program over a period of
undertaking new enterprises, for expansion of existing business, years increases enterprise assets is accepted (see table below).
for acquisition of inputs, etc.). Also, 69(19.1 percent) of
established, 31(9.75 percent) of one-year, and 26(9.25 percent) of
incoming clients indicated that they used the savings for house
During the last 12 months, did Percent Percent Percent P Value Percent Percent
you purchase or invest in any of Two-Year One-Year Incoming Urban Rural
the following assets for your and Above Client Clients Clients Clients
enterprise? Client (N = (N = 400) (N = 400) (N=600) (N=600)
400)
Purchased small tools or 65.5 52.25 47.0 0.014* 45.5 39.83
accessories (such as cooking
utensils, hoes, plows, baskets,
buckets, barrels, etc.).
Purchased major tools, such as 31.3 24.5 18.5 0.031* 13.5 11.0
machineries, equipment
Made a minor investment in their 51.5 42.25 39.0 0.027* 33.5 35.67
marketing or production site (by
purchasing a chair, table, shed,
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etc.).
*Significant difference between established clients versus both one-year &incoming clients (p<0.05).
Source: SPSS Output from Survey Data, 2014
The income & expenditure values before joining the
4.4.4Impact on Economic Security program have been converted to current prices using CPI based
To study the impact of Microfinance on income and on the CSAs report taking Year 2000 as the base year (2000 =
expenditure, before and after the program, a paired t-test for 100).
difference of mean has been used to test the significance. The test As shown in table 4.3 below, a paired t-test result revealed that
statistic is given by: Microfinance clients had significantly higher mean annual
income, mean annual expenditure on food, health and education
after joining the microfinance program than were before joining
the program as evidenced by a paired t-test statistics (p<0.05).
Thus, the hypothesis that there is no significant difference in the
clients mean annual income, mean annual expenditure on food,
Where; d = sum of the differences
education and health before and after joining the Microfinance
(d ) = the sum of the squared
2
credit program was rejected.
difference
(d) = the sum of the differences squared
2
Table 4.3Mean Difference in Clients Annual Income, Annual Expenditure on Food, Education, and Health Before and After Joining
the Microfinance Program
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members ability to analyze critically managements plan as well result in lower profit or loss and vice versa; and it follows that in
as their capacity to provide proper guidance. order to be profitable MFIs should increase the loan size.
The MFIs included in this study used more or less similar Increasing the loan size will attract the better-off clients and,
organizational structure, which are both extensive and therefore, ultimately results in a mission drift. However, MFIs in
decentralized. With this form of structure the firms were able to Ethiopia should not have to concentrate on large loan size at the
deliver financial services in locations close to their clients. This expense of their social mission. Instead, institutions are advised
form of structure has the merit of reducing transaction costs for to adapt other strategies like charging relatively high interest rate,
both the firms as well as the clients; and enables the firms to making productive use of loan officers, keeping operating costs
establish permanent relationship and mutual trust with their to minimum level, encouraging voluntary savings and
respective clients. However, the majority of sample MFIs have diversification of income sources.
entirely used manual information processing in their operations. Regarding impact on poverty, in addition to boosting
The system did not produce the portfolio quality, which is an household income and enterprise profit, microfinance loans help
important aspect for the analysis of the portfolio. Therefore, current urban and rural clients in financing household welfare
manual information system coupled with poor accounting and (like food, health and education, clothing, and the likes). Loans
record keeping knowledge of branch and sub-branch staffs makes also help poor families smooth out income fluctuations and
difficult to process and provide accurate and timely information maintain consumption levels even during the hungry seasons.
to decision makers. Moreover, as a result of participation in the microfinance
With outreach dimension, all MFIs included in this study program clients have made numerous changes and acquired
were doing well in terms of growth in number of active clients enterprise assets. Therefore, one can conclude that with the help
served and growth in GLP throughout the study periods. The of the financial services they obtained from the MFIs, a
growth in GLP and NAB served was ascribed to the ability of significant number of clients have been able to increase their
MFIs to obtain funds for on-lending purpose. Despite the income and buffered themselves from the difficulties of
remarkable achievement in terms of growth in number of active vulnerability.
borrowers, the total number of clients served by the sector in
Ethiopia is still very small. As per the report of AEMFI (2008),
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international workshop on Dimensions of Microfinance Institutions in Sub- AUTHORS
Saharan Africa: Relevance of International Experience, Mekelle University,
Mekelle. First Author Arega Seyoum (PhD), College of Business and
Economics, Jimma University
i
Millennium Development Goals: (1) Reduce the proportion of people living in extreme poverty by half between 1990 and 2015 (defined as people
living on less than $1/day). (2) Enroll all children in primary school by 2015. (3) Make progress towards gender equality and empowering women
by eliminating gender disparities in primary and secondary education by 2005. (4) Reduce infant and child mortality rates by two-thirds
between 1990 and 2015. (5) Reduce maternal mortality ratios by three-quarters between 1990 and 2015. (6) Provide access for all who
need reproductive health services by 2015. (7) Implement national strategies for sustainable development by 2005 so as to reverse the loss
of environmental resources by 2015.
ii
SEEP Network The Small Enterprise Education and Promotion Network is an association of more than fifty U.S. and Canadian NGOs that work
with hundreds of local organizations throughout the world on microenterprise development. SEEP engages in research, documentation, and
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training activities aimed at improving member practice. Other partners in the AIMS Project were Management Systems International, Harvard
University, and the University of Missouri.
iii
The Consultative Group to Assist the Poor (CGAP) is a consortium of 33 public and private development agencies working together to expand
access to financial services for the poor in developing countries. CGAP was created in 1995 by these aid agencies and industry leaders to help
create permanent financial services for the poor on a large scale (often referred to as microfinance).
(http://en.wikipedia.org/wiki/Consultative_Group_to_Assist_the_Poor).
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Jimma University, College of Education and Behavioral Sciences, Department of Teacher Education and Curriculum Studies, Ethiopia
Abstract- The main purpose of the study was to assess the sexual reproductive health right, people must be treated according to
and reproductive health needs of young people in Jimma College their needs. The sexual and reproductive health services enhance
of Teachers Education. The study employed qualitative case public health and improve quality of life. They can reduce the
study method. Young people, teachers, health and counseling risk of disability, disease or death from sexually transmitted
professionals in the college were the main sources of data. infections (STIs), harmful traditional practices and HIV/AIDS.
Stratified and purposive samplings were used. Focus group As a result, sexual and reproductive health among young people
discussion and in depth interview were the main tools of data have become increasingly important and aroused international
collection. The data were analyzed thematically using verbatim concerns (WHO, 2010).
quotes. The study indicated that many participants had lack of In recent years, numerous surveys have shown that young
awareness about health needs during different developmental people in developing countries, especially in Sub-Saharan Africa
stages. Besides, they had inadequate information about sexuality have low levels of sexual knowledge affecting their attitudes
and relationships behaviors before they taste it practically in their towards sex and sexual behaviors. Ethiopia is a country in Sub-
life. There had been also a lack of openness in communication Saharan Africa that comprises many young people whose
among sexual partners about the knowledge of and attitudes to reproductive health needs is poorly understood and ill served
contraceptives and sexually transmitted infection. Further, the (Sridevi, 2011). In addition, the available researches in the areas
sexual and reproductive health services in the college were have shown that an increase in premarital sex, unwanted
inadequate. Thus, pregnancy among unmarried females, pregnancy and unsafe abortion among college students (Hong,
increasing incidence of abortion and sexually transmitted disease 2011).
s were common among young people in the college. In Likewise in Oromia, many young people from different
conclusion, many young people in the college had been zones of the region join Jimma College of Teachers Education.
vulnerable because of the lack of knowledge, skills and The sexual and reproductive health needs of these young people
attitudinal challenges to avoid SRH risky behaviors, mainly have not been yet assessed. Therefore, the assessment of the
females. The prevalence of sexual activity at an early age, sexual and reproductive health needs of these young people is
coupled with multi sexual partners and attitudinal challenges very vital for many reasons. It provides information on young
towards the use of contraceptives and condom had exposed many people sexual and reproductive health knowledge, attitudes and
females to the risks of sexually transmitted infections and behaviors and the services available to them. Besides, such needs
HIV/AIDS, unwanted pregnancy, unsafe and repeated abortion. assessment provides a baseline from which to start interventions,
Attempts made to minimize the risks of sexual and reproductive and helps to determine where to focus advocacy efforts of people
health in the college hardly exist. Therefore, urgent measures are in the target area. This study was thus; designed to assess the
required to save the lives of most precious but vulnerable young sexual and reproductive health needs of young people in Jimma
people life in the college. Among the major implications of the College of Teacher Education. To this end, the study would
study; inclusion of SRH education in to school curriculum, answer the following basic research questions.
awareness rising through sexual and reproductive health clubs, 1. How far young people in the college have adequate
peer-education, drama, competitions, etc., along with young awareness about health needs during different
people focused workshops, discussions, meetings, and seminars developmental stages?
with all concerned stake-holders, strengthening the partnership 2. What experiences do young people in the college have
among educational institutions, governmental and non- about sexuality and relationships
governmental youth-serving organizations and further detailed behaviors?
researches in the area of SRH needs of young people were 3. What knowledge of and attitudes to sexually transmitted
suggested as helpful. infections do young people in the college have?
4. Who are the major social influences on sexual and
Index Terms- HIV/AIDS, reproductive health, sexuality, reproductive health behavior of young people in the
sexually transmitted disease/infection, unwanted pregnancy, college?
unsafe abortion, young people 5. What views do young people have about the sexual and
reproductive health services in the college?
I. INTRODUCTION
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II. OBJECTIVE OF THE STUDY It would assist to create supportive environment for
The general objective the study was to assess the SRH needs dealing with SRH needs of young people.
of young people in Jimma College of Teacher Education so as It would help to design better ways and means of
the results would help to address the SRH challenges of young addressing the SRH problems of young people.
people. The specific objectives of the study include the
following. Research Methods and Materials
To assess the awareness of young people about health In order to obtain a clear picture of sexual and reproductive
needs during various developmental stages. health needs of young people in Jimma College of Teachers
To examine the experience of sexuality and Education qualitative case study method was used.
relationships behaviors of young people in the college.
To describe the knowledge of and attitudes to sexually Data Sources
transmitted infections that young people have in the The main data sources for the study consisted of young
college. people, teachers, and counseling and health service providers of
To identify the major social influences on sexual and the college. Accordingly, the data were collected from forty-eight
reproductive health behavior of young people in the young people, counseling and health service professionals of the
college. college.
To indicate the views that young people have about the
sexual and reproductive health services in the college. Sampling Techniques
To suggest ways or means by which the challenges of In order to obtain sample respondents stratified and
young people SRH needs would be addressed in a purposive samplings were used. Multistage stratified sampling
comfortable and effective manner. was used to select samples from the college trainees. The strata
include trainees sex, age, field of specialization (stream) and
year of attendance. Accordingly, based on their age three strata
III. SIGNIFICANCES OF THE STUDY were formed. These were from age group 14-17, 18-20 and 21-
24. Besides, trainees were categorized in to their streams such as
The findings of the study would be significant in the languages, social and natural sciences. Further, trainees year of
following ways. attendance was taken into consideration (first, second and third
It would assist to provide correct information about year students). Purposive sampling was also used to select
existing SRH knowledge, attitudes and behaviors of teachers, one guidance and one health services professionals.
young people. Teachers were selected from the view points of courses they
It would help to identify key issues that urgently need to offer in the college. Accordingly, two female teachers from
be addressed in SRH of young people. natural science and four from education streams were involved in
It would assist to design effective strategies to increase the discussions. Guidance and health services professionals were
access and use of SRH services. selected from the position they hold in the area so that they could
It would help to indicate better ways of disseminating provide valid and pertinent data to the study.
SRH information to young people.
Table: Characteristics of sample students
female mixed groups). Then six groups, two for each stratum
IV. DATA COLLECTION INSTRUMENTS were formed. F were conducted in six different groups each
Interview and focus group discussions were the main tools consisted of eight members. Besides, FGD was made among
of data collection. The instruments were originally prepared in teachers.
English and translated into regional languages known as Afan
Oromo. This had been done in order to obtain adequate Data Analysis Techniques
information from all participants that would help to achieve the In this study, qualitative data analysis technique was used.
objectives of the study. An in-depth interview was conducted The data collected through focus group discussions and in-depth
using interview guides. The interviews were conducted with one interviews were coded and divided into categories, analyzed
counseling and one health professionals. Focus group discussions thematically using verbatim quotes. Based on analyzed data,
were conducted among students and teachers using FGDs guides summary of major findings and implications for future actions
separately. In order to conduct the discussions among students were made.
three main strata were formed (male, female and male and
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V. RESULTS AND DISCUSSION The rest male participants accepted as true experience
1. Young People Awareness about Health Needs during except three boys. Then, these three boys were asked to justify
Different Developmental Stages their reason(s). They gave similar answer. One from male and
In order to assess the participants awareness about SRH one from mixed sex groups FGDs said According to our
needs during different developmental stages they were made to religion it is forbidden to perform both masturbation and wet
discuss on the most important health changes that take place dream in pre-marital stage.
during different developmental stages mainly during puberty. In
so doing, the participants were asked about wet dream, When girls had heard about boys masturbation and wet
masturbation, and menarche so as to share their experience. dreams in mixed sex groups FGDs they were surprised and
First and foremost, participants were made to comment on laughed. In this regard, one female participant said I feel
the importance of health in human life. Accordingly, many pleasure for hearing that boys experience wet dream and
participants raised their hands to explain the importance of health masturbation. This is because some boys consider menstruation
in every group. One of the participants from male groups FGDs as what females do experience being inferior to boys.
said Health is the basic necessity of human life and very Regarding the changes that take place in females, girls had
essential to human existence. Other participant boy from mixed mentioned enlarged breasts, growth of pubic hair and hip
sex group said Health is primary and the rest what we aspire in enlargement. They didnt mention menarche. When asked,
our life are all secondary. information they had about menarche prior to their first
Another participant from female group FGDs said Health experiences, many participant girls responded that they had no.
is the most precious wealth of human beings. A person who has Very few girls had heard about menstruation earlier. To these
health is rich, happy and successful in his or her life. girls, senior girl friends were the main informers. Only three girls
In this connection, participants were also asked about the had information about menstruation from their mothers. When
need of sexual and reproductive health. asked, what they felt during the onset of menarche, one of the
All the participants in every group accepted sexual and participants from female group FGDs said:
reproductive health as one of the necessities of human life. These When I experienced menarche for the first time I thought
indicated that participants seem to be well aware of the that one of my internal
importance of health, including SRHs. On the basis of the above organs was damaged. I told to my mother as something
argument participants were made to discuss on young people was wrong to me. She told me the truth. What to do and
awareness about health needs during different developmental what not to do. Thus, I felt negative to being female. For
stages as follows. When asked about changes do they observe on the first two years, I never feel well during my monthly
both male and female in puberty, boys have mentioned the cycle (menstruation).
development of growth of hair on face, chest and armpit. They
didnt mention any changes related to sex organs such as the Another participant girl from female group FGDs again said:
growth and erection of penis, wet dreams and masturbation. I cried when I experienced the first menstruation. My
Then, they were asked about wet dream and masturbation. elder sister had heard it and asked me what happened. I
In male groups FGDs participants reacted immediately. had shown her and she asked me not to cry. She
Then, one of the participants from male group FGDs expressed explained it to me for this was not a problem. Rather, it
his experiences of masturbation as follows. is natural and a part of females regular health.
When I feel sex, I used to masturbate. I use a soap to Further, another participant from mixed sex group FGDs
rub on my penis several times until the sperm said When I experienced the first menstruation, I used to wash
released. Then, I would feel sexual satisfaction. After several times within a day going toilet room. I had the perception
a moment, I comment myself for I did wrong. I had that menstruation occurs after marriage and it belongs to women
such practice from the age of fourteen. only.
Moreover, another participant from mixed sex group FGDs
In female and mixed sex groups FGDs the room gets little said To speak the truth most girls have been disturbed with
silence. However, one participant boy from mixed sex group their monthly period (menstruation). I usually experience such
FGDs shared us his experience of wet dreams. He said: feeling.
Those who had prior information were asked to explain
In my neighbor there was one beautiful girl with very what they felt during menarche. One of the participants from
long hair. We were age mate and had been studying female group FGDs expressed her idea as I felt nothing. I
together. I loved her. But I had no words to tell her accepted as an indicator of the maturity of my reproductive
about. She didnt say any word about love. When I met organ.
her during the day I experience night emission. Finally, Interestingly, many participants from male group knew
up on completion of grade 10 I came here this year. about menstruation. One of the participants said In every month
Whenever she comes to my mind, I still feel sexual female faces this physical affair. If the egg of a female fails to
intercourse in dream and experience wet dream. I mix with a sperm, then it dies and comes out as menstruation.
personally feel shame to share this problem to my In sum, many participants had insignificant prior knowledge
friend with whom I am living. about what would happen at different stages of developments,
mainly during puberty. As a result, they lack readiness and self
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confidence to welcome it. Prior knowledge about what would from their seniors. To me, peer pressure plays greater
happen to them at different stages of developments could role in relationships for both boys and girls are
enhance their readiness and self confidence to welcome any attracted to do what their peers are doing.
developmental changes. Accordingly, many trainees had been married. There
were also who departed.
2. Young People Experiences of Sexuality and Relationships
Behaviors Teachers were also made to discuss on main health
Another vital issue addressed in the young people SRH problems of young people in the college. Thus one of the
needs assessment was knowledge of, attitudes to and their participant teachers said:
experience of sexuality and relationship behaviors. In this Young people in the college lack clear awareness
respect, questions related to things to look for and difficulties in about SRHs and had misconceptions surrounding the
relationships, friendships, factors in making decision about sex, use of contraceptives and condoms to prevent
facts of sexuality and infections were raised during focus group pregnancy and STIs including HIV/AIDS. Thus, many
discussions. females were absent from classes. When they were
Primarily, participants were asked to comment on the asked the reason, they tell you health problem and
necessity of relationships in human life. Accordingly, all bring sick leaf evidence from private health clinics
participants viewed relationship is an essential part of life. Then, with unmentioned health matter. This had also
they were asked things they look for in relationships. The contributed to their low academic achievement.
participants reacted to this question in different ways. For
instance one of the girls from female FGDs group said: Another teacher also said:
To me the situation in which I live in is basic in When trainees had dormitories in the college, health
relationships. For example, in this college I seek for problems associated to SRH were minimum. In recent
relationship with my classmate either boy or girl years, trainees live outside the campus. This had
from academic view point. I prefer a person with created ideal condition for males and females to rent
whom I study and could help me in group work, houses together or pass most of their time together.
doing assignment and even during exam. If I get a This had contributed to many females pregnancy and
girl of this kind is so good. If the chance is with a abortion.
boy, I must get ready for every question he may raise
a positive response including sex. Moreover, the participants expressed their view as multi-
sexual partners had been more common than abstinent in both
Another girl from mixed sex group FGDs said: sexes. Many of the participants argued that abstinences were
unimaginable in the college life. Many females had a minimum
To me, economy factor is basic in relationship. Many of one from the nearby University and another one from the
girls including me are highly attracted by what we college boyfriends. Sharing of experiences about sexual past had
call it fashion. Hence, I look for economic support not been common among participants.
that I get from this boy. Nothing can be obtained from In general, participants had viewed relationship as an
poor but handsome boy. It means loading additional essential part of life. There were different factors they look for
burden. Making sure of my merit, I will look for relationships. Some of them look for economy, others academic
relationship followed by sex. Sex is a promise to a challenges, and still some others peer pressure. Multi- sexual
true relationship. partners had been more common than abstinent in both sexes.
This increased the risks of SRHs challenges.
Here, poverty and the need for money could be a factor in
relationship. Immediately, another girl raised her hand and said 3. Knowledge of and attitudes to Sexually Transmitted
Here the problem is not income rather ignorance. Many girls Infections
are not well aware of boys make them ready for abuse. At this stage participants were asked about their knowledge
of and attitudes to sexually transmitted infections. Accordingly,
Further, one participant from male FGDs said: participants were asked to name those sexually transmitted
Young people do not live in isolation. Much of what infections that they know. Besides, they were required to explain
we do is determined by what others do. In the college the symptoms, problems and how common these sexually
we are meeting new friends, whom we do not know transmitted infections are. Further, participants were asked how
one anothers personal history. On the basis of shared they know if someone has infection, whether they bother the risk
experience in the college we form relationships to of catching an infection or not, what they feel if they have an
work with others. Individuals are soon attracted by infection like gonorrhea ( not HIV) and how they can protect
other individuals mainly with opposite sex. Then, themselves from STIs, HIV/AIDS, and pregnancy.
friendships begin quickly. For our residence is outside Many of the participants have heard of diseases that can be
campus, we prefer to rent accommodation together to transmitted through sexual intercourse, mainly HIV. The main
share the cost of living. This had been the formula of symptom of HIV case they mentioned was getting thin and
our seniors. The new comers would do what they see tuberculoses. When asked to mention some of the symptom of
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STIs female group FGDs were unable to mention. Only, one primary school manly from grade (5_8) with the same sex about
participant boy from mixed group FGDs had mentioned little sexuality issues- how pregnancy occurs, contraception, and sex.
known symptoms of STIs as a genital itching, blood in urine, Only one participant from female group FGDs reported that
smelling discharges and burning pain during urination. having ever talked with her mother about sex. The rest
When asked about the prevalence of STIs and treatment participants had never talked with parents about sex or how
they had the room kept silence in many cases. One of the pregnancy occurs and about contraceptives. When asked the
participants from male group FGDs said: reason, one of the participants from female group FGDs said
STIs were common challenges of many young people We feel shame, fear and guilt to talk to our parents. The parents
in the college. However, even if I sought treatment I often feel uncomfortable discussing sexual topics with us. This is
had ashamed of telling the problem to my friends. because they consider it as taboos.
Thus, many patients of STIs keep the secret alone. Thus, many of the participants had acquired information
That is why the silence now. about sex predominantly from their peers, class mates, films and
sexual partners. Information about SRH among female and male
The response obtained from the interviewed college nurse
or free discussion and communication in personal relationships
would go along the above ideas. He said Of the total young
had been rare.
people that visited us for treatment about 55% of the come up
One of the participant female from mixed sex group FGDs
with gonorrhea. But, according to the rules and regulation of the
expressed her view as follows. Girls are generally felt free
college, our clinic could not provide treatment in this regard.
discussing the details of SRH with girls only. Boys, might have
discussed also some of their personal concerns about SRH with
One of the participant female from mixed sex group FGDs
males only but not with girls.
said:
In this regard, one of the participants from female group FGDs
To tell you frankly, many girls lack specific
said:
information about STIs. How to make
In most cases information about sex and family
use of existing sexual and reproductive health
planning had been shared among girls in the schools
services. Most of us never worried
at different levels (I mean at primary, secondary and
about STDs rather about pregnancy. Thus, two of my
college).
peers had asked me what my brother mentioned
Particularly, when there were lesson topics on
before as genital itching, blood in urine, smelling
reproduction, it had been a hot
discharges and burning pain during urination. I am
issue of discussion among peers. It is not just like
not sure that these were the symptoms of STDs.
silence kept here now. Thus, to me lesson contents and
peer groups in the educational institutions were the
As a whole, most participants had many sexual partners but
main
lack real information on the symptoms, problems and treatment
sources of information.
STIs. This had exposed trainees to the risks of STIs. Besides,
most females had the fear of being pregnant than STIs. Hence,
STIs were the most health challenges of young people.
Further, another participant female from mixed sex group FGDs
said:
4. Social influences on Sexual Behavior
At this point participants were asked about social influences
Boys have many sources of information. They can go
on young people sexual behavior. Accordingly, they were asked
out and mix with many people. They can even get
how they use their free time, how they learned about sex, the
information about girls. Unlike them, we have only
sources of information, discussions about sex or relationships
friends as a source; sometimes what we get from them
and the kind of sexual act they perform.
is distorted or incomplete. It is not often that we can
When asked how they use their free time, females had
talk with mothers and elders about these issues.
mentioned Beautification (making themselves more attractive),
preparing coffee ceremony in group, plying with friends,
Another participant girl immediately raised her hand to
sleeping, preparing food, fetching water, watching TV or films,
elaborate or justify what the former girl called it distorted or
in the church/mosques.).
incomplete information and she said My boyfriend told me that
Boys have also shared many of the girls view. But one of
withdrawal of ejaculation during sex was one of the safe methods
the participant boys from mixed sex group FGDs said: It is in
of preventing pregnancy. We tried. But, I found that it never
this free time that we meet to know one another, discuss about
works. I knew what had happened to me.
friendship and practice different forms of sexual activities. I can
Further, participants were asked if they faced pressure from
say this is an ideal time for enjoying the taste of young people
others to act in particular way. Many said never. However, one of
life.
the participant female from mixed sex group FGDs said:
When participants were asked how they learned about sex
When I was in secondary school, girls look down on
mainly SRHR and family planning, many participants had
boys who do not have multiple sex partners.
learned in the primary school by talking to their peers.
Besides, many boys are likely to be motivated by peer
Participants with this view had been ever discussing in the
pressure to have sex, while girls are fear of losing
their boyfriends. In many
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 430
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cases, it is immoral to suggest using a condom. Many We wont have any hesitation to ask them and they are
boys assume that it is the responsibility of girls to easily accessible.
use contraception. Hence, only girls worry about
pregnancy. Again, another participant from female group FGDs said:
Again another participant female from mixed group FGDs I think mothers and elder sisters are the most reliable
said In this college married females carryout more frequent source of information. They wont deceive us or give
sexual activity and less able to refuse. Thus, they invite and us false information. We can easily get the required
encourage others to do so. answers to our concern from them. I believe mothers
Above all, the changes in the traditional systems of social and elder sisters can be of great support in this area
control contribute to an increase in young people practices of as they have passed through this stage of life
sex. This can be supported by view of one of the participants themselves.
from female group FGDs.
As many girls move away from home for To the opposite of the above idea, another participant from
educational reason, they escape from the female group FGDs expressed her ideas, by stating as Parents
controlling eye of their parents and the local do not talk to their children about these issues because of
community. This often leads to violating local traditional belief and it is shame to discuss about SRH with them
taboos and provide wide opportunity to engage in even for youngsters.
sex as required. As a result, many girls had many
boyfriends as compensation. Teachers were also made to suggest about sexuality
education for young people. Thus, one of the participants said:
As to the type of sexual act they performed participants had Early SRH educations are important for teenagers
mentioned some of the sexual behavior in which they have ever because young people become sexually active while
engaged. These include kissing, touching breast, sexual they reach around grade five or six. Providing
intercourse, masturbation, wet dream, etc. In this regard, one of information and services to young people that help
the participant boys from mixed sex group FGDs suggested the them understand their sexuality and protect them from
following. However; females remained without reaction either as the risks of SRHs. Hence, SRH education needs to be
false or wrong to his ideas. He said: given from primary schools.
In recent years, it is being fullness to engage in
other forms of sex rather than Another participant teacher also said The exceedingly high
sexual intercourse. It could be rare to get a female level of abortion among the college young people threatens the
who didnt engage in sexual intercourse. Hence, academic life of many females. Thus, SRH related course need to
female themselves expect intercourse with whom be designed and offered as a common course for all trainees.
they preferred to form friendship either for
temporary or for marriage. In general, many participants had learned about sex in the
Further, participants were asked to explain the presence of primary school by talking to their peers manly from grade (5_8)
factors that forced them to have sex by anyone. Most participants with the same sex. Participants had rarely talked with their
reported that they hadnt been worried of the risk of being forced parents about sex or how pregnancy occurs, STIs and
to have sex by anyone. But one participant from female group contraceptives. An exchange of information about SRH between
FGDs said There are situations that enforce girls to have sex. female and male or free discussion and communication in
These include fear of failure in examination, the need to be personal relationships had been rare. Most participants reported
supported in doing assignments and peer pressure to do what that they hadnt been worried of the risk of being forced to have
others do, etc. sex by anyone. The lack of entertainment and the changes in the
Finally, participants were asked about how they would have traditional systems of social control had also contribution to
liked to learn about SRH as young people. Then, the majority females engagement in sex affairs.
had preferred to learn SRH in formal learning institutions
(schools, colleges and universities) integrated into school 5. Views about SRH Services
curriculum. This preference toward formal learning At this point participants were made to express their views
environments was due to the fact that this is the traditional way about SRH services. Accordingly, issues related to infections, the
of learning. Thus, they suggested that SRH need to be taught as main sources and reasons for help, the availability, affordability
one of school subjects at different levels. and accessibility of contraceptives were raised.
Besides, some girls preferred girls themselves, mothers and When participants were asked what contraceptive methods
elder sisters as a source of sexual and reproductive health they had used, their knowledge and awareness levels were not
information. Accordingly, one of the participant females from similar. When asked how often they had used condom, one male
mixed sex group FGDs said: participant from mixed sex group FGDs said I know that
condom can prevent STIs but it is unimaginable to get the real
Girls would like to have girls as their informants. If sexual satisfaction using condom.
some of the girls can be trained on SRH, then it will In similar manner another participant from male group
be easier for us to get correct information from them. FGDs said Using condom is the same as having sex with
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yourself or plastic. Thus, if my friend love or trust me we could transmitted diseases was very scarce both in the
do it without condom. The use of contraceptive is up to her. secondary schools and in this college. Particularly, in
In addition, another boy from mixed sex group FGDs said this college I had the expectation of adequate
To be honest males have more sexual partners than females do guidance and counseling services including SRHs. I
in this college. But, males rarely use condoms. This is because am third year now. But I couldnt find any guidance
females say condom has a tendency to be released in their and counseling services provided to the young people
organ. in the college.
Further, female participants had viewed the use of condom
as follows. One participant from female group FGDs said Once Regarding guidance and counseling services to the young
we tried condom with my boyfriend and then after we both hate people in the college, the assigned person was interviewed. Then
it. It has bad smile. he said:
Another female participant from mixed sex group FGDs I am assigned to provide this service last year and
said For I trust my boyfriend very much, we do sex without a many teachers from psychology department were
condom. I took always oral pills to prevent pregnancy. I never assigned to offer such services before me. But, I am
faced any problem till today. In addition, another female sure that students had no the relevant services in this
participant from mixed sex group FGDs said To tell you the regard. This is because the college itself hadnt given
truth, boys use condom at least once. Then after they refuse. I due attention to this service. There is no even office
had seen many of them. where to provide such services.
As to the availability of information on SRH the participants
argued that it was inadequate with the exception of a lot of The college nurse was also interviewed regarding the SRH
information provided on HIV/AIDS and the use of male challenges of young people, STIs unplanned pregnancy, unsafe
condoms by Anti HIV/AIDS Club. One of the participants from abortion and HIV/AIDS in the college. Then, he said:
male group FGDs said Information provided on family planning In this college, unplanned pregnancy, unsafe abortion
methods such as the use of female condoms, inject able and and STIs were the most common problems of students.
Norplant and STDs both in the high schools and in this college Particularly, female newcomers were more subjected
was inadequate. to the problems. I think many of the students would
only worry about pregnancy rather than STIs. Hence,
When asked about the availability, affordability and they come up with question of STIs for help. But, the
accessibility of SRH services in the college one participant from college health clinic never renders service in this
female group FGDs said: affair. Besides, if you go to this nearby hospital you
In this college there is a shortage of SRH services. would find very high records of abortion among
The college health clinic lack young people of this college. Further, private clinics
service provision to the students. There is a critical could have engaged in abortion than the hospital.
shortage of staff at health clinic. The college has only Private clinics were preferred for confidentiality of
two health professionals who lack patience and information. In general, repeated abortions were
tolerance to attend students problems, particularly common.
females.
Teachers have also emphasized the lack of SRH services in
This fact was supported by another participant from male the college. Accordingly one of the participants said:
group FGDs idea as follows.
Young people in the college have no professional
When students go to the health clinic in the college for counselor. There is also the lack of health services to
help mainly for sexually provide adequate services and disseminate current
related health problem, they are often scolded and information on SRHs. As a result, many of the trainees
refused information. In addition, many students refuse were subjected to different forms of SRHs problems
to go to clinic for fear of lack of guarantee in mainly unwanted pregnancy, and abortions.
confidentiality of information. Some others didnt go
to clinic because they fear that clinic personnel will In sum, the majority of participants had heard of the oral
report them to the college. As a result, students rarely contraceptive pill, male condoms, monthly calendars and inject
seek any form of sexual and reproductive health able. The oral contraceptive pill and monthly calendars had been
related advice from them. Advice or services from the found to be the most ever used contraceptive method. Besides,
clinic mainly about pregnancy or sexually transmitted many girls were still ignorant about prevention of pregnancy and
infections were regarded as immoral. STIs .They thought that oral pills could also prevent STIs. Thus,
they had strong emphasis on the use of oral pills to prevent both
Further, another participant female from mixed sex group unwanted pregnancies and STIs etc. They had negative attitudes
FGDs expressed her ideas as follows. towards the use of condom. Further, information on SRH was
scarce with the exception of a lot of information provided on
Information about appropriate methods of HIV/AIDS. STIs were not so much addressed. The sexual and
contraception and for the prevention of sexually
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reproductive health services in the college were perceived as friendship and consequently invite females to hand over
inadequate by the participants. their sexual rights.
Many participants didnt mark boundary between
Major Findings, Conclusions and Implications of the Study relationship and friendship. Thus, sexual intercourse had
Major Findings been considered as promise to handle boys on the part
Based on the data analysis and discussion made so far, the of females.
following were the major findings of the study. Many of the participants did not want to be abstinent.
Being abstinent was considered as being inferior and
1. Many participants had lack of awareness about health sexless. Thus, having multiple sexual partners was more
needs during different developmental stages. advocated as famous than abstinence in both sexes.
Particularly, many females had negative attitudes Consequently, many females were victims of STIs,
towards the normal developmental changes they unwanted pregnancy and repeated abortions.
experience. These had been observed during FGDs from
the participants as follows. 3. There had been a lack of openness in communication
among sexual partners about the knowledge of and
Participants were well aware of the importance of health attitudes to contraceptives and STI. This was observed
in human existence, including SRHs. But, they lack during FGDs as follows:
knowledge and skills to take care of their SRHs. Most females were not well aware of the symptoms,
Many participants had insignificant prior knowledge problems and prevention methods of sexually
about what would happen at different stages of transmitted infections/ STDs/.
developments, mainly at puberty. As a result, they lack The participants had better awareness about HIV/ AIDS
readiness and self confidence to welcome any than STDs.
developmental changes. There were a lack of confidence and openness to
Some participants knew what had happened to them but communicate about STIs among the sexual partners.
they didnt know why it had happened. Besides, they Many participants lack knowledge of and skills to avoid
feel what they experienced as wrong deeds. E.g. STIs risky behavior. As a result, many of them had
Masturbation, wet dreams and menarche. been vulnerable to the sexual transmitted diseases like
Females had limited experience about what would gonorrhea.
happen to males during different developmental stages Many participants particularly females had emphasized
and males had better knowledge about what happened to on the prevention of unwanted pregnancy than STIs.
females. Some others had thought oral pills would prevent both
There had been a lack of openness in communication pregnancy and STIs.
about what, why and how different developmental Many participants had negative attitudes towards the
changes occur between parents and young people. use of condom. They believed that the use of condoms
Due to the lack of information to what happens during could reduce sexual satisfaction, it had bad smile and
different developmental stages many participant females might be released in the female organ. Thus, they had
had negative attitudes to changes that they experience as engaged in sexual intercourse most often without
a result of developmental stages and to being female. condom, which had increased their vulnerability to
E.g. Menarche. STIs, unwanted pregnancy and consequently repeated
Religious belief seems to have certain impact on some abortions.
sexual behavior not to be practiced before certain
maturity levels reached. 4. Peers, class mates and sexual partners had been the
2. Many participants had inadequate information about major social influences on sexual and reproductive
sexuality and relationships behaviors before they taste it health behavior of the participants either with
practically in their life. These were observed during inadequate or misinformation. This had been revealed
FGDs from the participants in such a way that: during FGDs as follows.
Many of the participants had little communication with Limited entertainment in the local area had
their parents about sexually related information before provided better opportunities for the participants
they experience sexual behavior. to engage in different forms of sexual activities
In order to form relationships, participants had rarely with their peers.
assessed their friends background in both sexes. Many participants had acquired information about
Some of the push factors that had contributed to sexual and reproductive health behavior in the
participants relationships were fear of academic primary school (grade 5_8) from their peers, class
challenges, risks of living alone (out of campus mates, and predominantly from sexual partners
residence), economic or cost of living such as who had either lack of information or
accommodation as well as peer pressures. In most cases, misinformed.
relationships with opposite sex had been followed by Parents and guardians rarely talk to the young
people about sexuality. Many parents often feel
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uncomfortable discussing sexual topics with their 1. Education is decisive to increase the knowledge of and
young people for they feel shame or consider it as change attitude of young people about reproductive
taboo. Hence, meaningful discussions between health, improve communication among family
parents and young people about relationships, members, enhancing sexual decision-
sexual information, facts, and risks of sexual making/negotiation skills. Hence, incorporation of SRH
activity had been rare. education in to school curriculum at all levels of
Many of the participants had begun sex at the age educational structure would have benefits.
of 13 or 14 while they were in the second cycle of 2. Continuous awareness rising on SRHs is vital not only
primary school (grade 5_8) at an early age, yet to the young people but also to parents and families,
they lack fundamentally important knowledge and service providers, schools, religious institutions, peer
skills about SRHs. Particularly female participants groups, etc.
had engaged in sexual acts with inadequate 3. In order to lead a healthy, responsible and fulfilling life
information. and protect themselves from SRH problems young
The majority of participants supported school- people need to take their own responsibilities. Thus, the
based sexual and reproductive health education. use of SRH clubs, peer-education, drama, competitions,
They had preferred to learn about SRH in formal etc. in educational organizations would make
learning institutions (schools, colleges and information more meaningful and attractive. Along
universities) integrated into school curriculum as these young people suggested workshops, discussions,
one subject. meetings, and seminars with all concerned stake-holders
5. The sexual and reproductive health services in the seem essential.
college were perceived as inadequate by the 4. To improve young people SRH knowledge and
participants. This was because participants had attitudes; newsletters, pamphlets, reference materials,
indicated during FGDs that: etc need to be prepared and made widely available to
Young people in the college were scolded, refused young people in educational institutions, public
information and had fear of confidentiality of personal libraries, notice boards, etc.
information particularly about STDs and pregnancy to 5. Strengthening the partnership among educational
be benefited from the college health clinic. institutions, governmental and non-governmental youth-
In the college counseling services had been hardly serving organizations to provide the widest base to
offered mainly due to the absence of trained/ extend the SHR services to young people would have
professional counselors responsible to provide the merits.
service required. 6. Finally, further detailed researches need to be conducted
The lack of SRH services in the college reflected in by interested professionals, educators, researchers,
prevalence of pregnancy among unmarried females, governmental and non-governmental organizations to
increasing incidence of abortion and STDs among obtain complete picture of young people needs in the
young people in the college. area of SRHs.
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Department of Teacher Education and Curriculum Studies, serving as Dean of Jimma College of Teachers Education since
Ethiopia, Cell phone: +251917824022, temesgeny2@gmail.com. 2007. Graduated from Addis Ababa University in M.SC Degree
in Mathematics engaged in various research undertakings and
Second Author - Zinab AbbaOli AbbaDiga is a lecturer in participated in developing various teaching modules in the field
Jimma College of Teachers Education, Ethiopia. Recently of Mathematics. Cell phone: +251-917006174.
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Abstract- Supervisor support (SVS) has greater influence on employees affective commitment. The purpose of the present study is to
address the impacts of SVS on affective commitment of the employees of Malaysian private Telecommunication companies.
Variables such as SVS and job satisfaction were proposed to enhance employees affective commitment of their organizations. SVS,
Job satisfaction and affective commitment were proposed as the independent, intervening and outcome variables respectively. The
data of this study have been collected from a group of employees in the telecommunication Malaysian industry through questionnaire
survey. The data were analyzed using SPSS. The findings revealed that SVS has significant relationship with job satisfaction and
affective commitment. Likewise; this study suggested that SVS can improve the employees affective commitment by presenting a
significant relationship between SVS and affective commitment through mediation of job satisfaction.
I. INTRODUCTION
T he notion of commitment has been defined as a force that binds an individual to a course of action of relevance to one or more
targets (Meyer and Herscovitch, 2001). There are three-component model of organizational commitment such as affective,
normative and continuous commitment as proposed by Meyer and Allen (1991). This study however, exclusively focuses on affective
commitment because it is the most widely studied, the most generalizable across targets, and the most predictive of employee
behaviour (Morin et al., 2011, p. 718). Affective commitment to a given target can be broadly defined as an attachment to,
identification with and involvement in that particular target (Meyer and Allen, 1997; Meyer and Herscovitch, 2001).
It is now well recognized that commitment is a multifaceted construct, which can be directed towards different constituencies
located within and outside the organisation (Reichers, 1985; Becker et al., 1996). For instance, research has demonstrated that besides
the global organisation (Meyer et al., 2002), employees can also develop affective commitment to the top management (Becker,
1992), supervisor (Becker et al., 1996; Clugston et al., 2000), work group (Vandenberghe et al., 2004; Snape et al., 2006) and
customers (Siders et al., 2001). Among the various foci of commitment, the supervisor support is particularly important because
supervisors are formally responsible for monitoring the performance of employees, are involved in decisions regarding pay and
promotions that affect their employees and are increasingly made accountable for reducing turnover in their teams (Panaccio and
Vandenberghe, 2011). Thus, affective commitment to the supervisor, which depicts a high quality relationship between employees and
their supervisors (Cheng et al., 2003), is likely to have a significant bearing on employees work related attitudes and behaviours. For
example, research has shown that supervisory commitment is positively associated with job satisfaction (Chen, 2001), task
performance (Siders et al., 2001; Becker and Kernan, 2003; Cheng et al., 2003) and organisational citizenship behaviours (Wasti and
Can, 2008) and is negatively related to turnover (Vandenberghe and Bentein, 2009). However, despite the growing importance of
supervisory commitment, relatively few studies have empirically investigated the consequences of this construct.
The present study seeks to address this gap by exploring the link between supervisor support and affective commitment
through job satisfaction.
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A. Supervisor Support
According to organizational support theory (Eisenberger et al., 1986), supervisor support (SVS) facilitates changes in employees
levels of affective commitment (Sadiya, 2015). Supervisor support is defined as employees views concerning the degree to which
their supervisors value their contributions and care about their well-being (Eisenberger et al., 1986; Kottke & Sharafinski, 1988). As
agents of the organization, supervisors are responsible for directing and evaluating employees job performance. Thus, employees
often view their supervisors feedback as indicative of the organizations orientation toward them (Eisenberger et al., 1986; Levinson,
1965). Moreover, because employees are aware that their supervisors evaluations of their job performance are often communicated to
executives, who are seen as the representatives of the organization, the association between affective commitment and supervisor
support is further strengthened (Eisenberger et al., 2002).
Supervisor support leads for employees to high commitment through job satisfaction and motivation. Shriesheim, and Stodgigill
(1975) came up with their tenet in the book of Personnel Psychology and they opined that Supervisor consideration refers to a leader
behaviors concerned with promoting the comfort and wellbeing of subordinates. It is hypothesized that employees who believe their
superiors are considerate leaders will perform high commitment than those who do not perceive that their managers as such (Johnston,
M.W., Parasuraman, A., Futrell, C.M. and Black, B.C, 1990). De Cotiis and Summers (1977), Morris and Sherman (1981) and
Zaccaro and Dobbins (1989) all found empirical evidence supporting the view of supervisory consideration. Supervisor consideration
again refers to the degree to which supervisors are supportive, friendly and considerate, consult subordinates and recognize their
contribution.
B. Job Satisfaction
Job satisfaction refers to an employees overall affect laden attitude toward their job (Witt, 1991). It is an internal state based on
assessing the job and job-related experiences with some degree of favor or disfavor (Locke, 1976). SVS should contribute to overall
job satisfaction by meeting socioemotional needs, increasing performance-reward expectancies and signalling the availability of aid
when needed. High level of job satisfaction reveals real enthusiasm, good feeling and truly value the job, which leads then to high
affective commitment. Findings suggest that employees with high level of job satisfaction physically and mentally are in a proper
state. Job satisfaction is resulted from employees perception that provided them with valuable content and context. The first step to
get a valuable, satisfactory and also successful job is to find job environment matching the individuals main interest. Job satisfaction
is divided into two categories; internal and external satisfaction. External satisfaction is related to the factors such as payment,
promotion, admiration and interaction with colleagues while employees satisfaction with values, social status, position and
professional responsibility indicate internal satisfaction. Individuals assessment of their job and expression of satisfaction or
dissatisfaction can be regarded as the general outcome of their job constituents (Robbins 1995).
C. Affective Commitment
The current employee work environment is one in which at least two specific organizational commitment issues come to the
forefront. One of those issues is that employees, including Telecom companies, work in a multiple-commitment world. The job itself,
the company, and the profession compete for employees loyalty. Employees may develop commitment to a boss or to professional
company membership (Morrow & McElroy, 1993; Randall & Cote, 1991; Tyree, 1996). Employees may also experience different
degrees of commitment to various companies aspects such as organizational philosophy (Meyer & Allen, 1997). The second issue is
that organizational commitment itself is viewed as a multidimensional construct and this researchers focus is to explain the
dimensions of organizational commitment.
John Meyer and Natalie Allen developed their Three Component Model of Commitment and published it in the 1991 "Human
Resource Management Review." The model explains that commitment to an organization is a psychological state, and that it has three
distinct components that affect how employees feel about the organization that they work for. The three components are; affective
commitment (Affection for your job), continuance commitment (Fear of loss) and normative commitment (Sense of obligation to
stay). However, due to brevity, only affective commitment is used at the present study rather than the other two components of
organizational commitment.
Affection for employees job occurs when they feel a strong emotional attachment to their organization, and to the work that they
do (Meyer, Allen, &Smith, 1993). They will most likely identify with the organization's goals and values, and they genuinely want to
be there. If employees are enjoying their work, they are likely to feel good, and be satisfied with their job. In turn, this increased job
satisfaction is likely to add to their feeling of affective commitment.
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Job Satisfaction
H2
H1
E. Hypothesis
The hypothetical model of the study is elaborated in the theoretical framework diagram which is shown in Figure 1 and these are
proposed hypotheses of the study:
H1: Supervisor support has a significant relationship with job satisfaction.
H2: Job satisfaction has a significant relationship with affective commitment.
H3: Supervisor support has a significant relationship with affective commitment.
III. METHODOLOGY
Data were collected through a questionnaire survey in Malaysian private telecommunications. Among the 274 employees who
received the questionnaire, 109 responded to the items capturing our variables of interest as part of a larger survey. The response rate
was 37 percent and is one of the average response rate for studies that utilized data collected from individuals. Average age was 40
years and 46.8 percent were male.
A. Measures
The questionnaire for supervisor support concerns about three main things in supervision of the employees such as respecting the
views and ideas of the employees, collaborative approach in supervision and safe feedbacks. This study uses the scale developed by
Palomo (2010) and the two items are My supervisor is respectful of my views and ideas, My supervisor has a collaborative
approach in supervision and My supervisor gives feedback in a way that feels safe. Job satisfaction is divided into two categories;
internal and external satisfaction. The job satisfaction scale aims to assess whether an individual is satisfied with his or her job. This
scale, developed by Wright and Cropanzano (1991), it is a two-item scale and it is targeting overall job satisfaction including internal
and external satisfaction. Sample items include All in all, I am satisfied with the work of my job (Internal JS; Position) and All in
all, I am satisfied with my pay (total wages and tips) (External JS; Payment). Affective commitment to the organization is measured
using an organizational scale developed by Meyer and Allen (1991). Two items are selected from the scale in order to assess the
affective commitment dimension, including I would be happy to work at my company until I retire and I feel like part of a family at
my company.
IV. FINDINGS
The descriptive and inferential statistical methods were used to conduct the analysis. For hypotheses testing, the Pearson correlation
coefficients were used. The first part of the analysis focused on the descriptive analysis of the respondents. At the end of gathering
data, the reliability of the scales was analyzed. An analysis was performed in the study to ascertain the reliability of the measures by
using Cronbach alpha reliability coefficient; 0.60 being the acceptable reliability coefficient level in terms of research standards as
shown in Table I.
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As it can be seen in Table I, the measures of the study are reliable because all the variables have an acceptable reliability
coefficient which ranged from .823 to .956.
A. Descriptive analysis of the respondents:
Descriptive analysis of the respondents: The descriptive analysis focused on the variables such as gender, age, marital status and
job status. Male responders represented 46.8% while female responders were 53.2%. Most of the respondents (33%) were aged
between 25 and 29 years old, 18.3% of the respondents were between 21 and 24 years. Same percentages goes to those between 35
and 39 years old. 23.9% of the respondents were between 30 and 34 years old, 4.6% of the respondents were above 40 and 49 years
old and 1.8% of the respondents were above 50 years old. Majority of the respondents were having job permanent and were married in
a percentage of 86% and 83% respectively. While employees; who have contract jobs represented 16% and single staff were 17% of
the total respondents.
The results of Table III demonstrated that there is significant positive relationship between supervisor support and job satisfaction
at (r=.480; p=0.01) and the correlation is significant if the p=.01. The correlation shows that there is significant relationship between
supervisor support and job satisfaction. Hence the alternative hypothesis is supported. Similarly, the results have shown that there is a
significant high correlation between supervisor support and affective commitment (r=.345; p=.01), so the proposed alternative
hypothesis is accepted. In addition, Table III shows that there is significant correlations between job satisfaction and affective
commitment (r=.624; p=.01), so the alternative hypothesis is accepted.
V. DISCUSSION
The aim of this study is to analyse the relationship between SVS and job satisfaction also affective commitment. The study also
analysed the relationship between job satisfaction and affective commitment. Therefore, three hypotheses were proposed in order to
achieve the aim of the study. The first hypothesis proposed that there was a positive relationship between SVS and JS. Hence, this
meant that an employee who is given good level of supervisor support in their jobs, the support will translate that high level of good
perception towards their organization into getting involved in activities that are outside their job requirements. This means that due to
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that high level of perception, they will reciprocate from the supervisor support to good job satisfaction (Isaks, 2002). Likewise, the
proposed second hypothesis predicted that there was a positive relationship between job satisfaction and affective commitment. The
outcome results has supported the prediction of the hypothesis and there was a significant relationship between job satisfaction and
affective commitment. This shows that when the employees get high level of good job satisfaction, their perceptions towards their
company increase and this also increases their affective commitment. Likewise, the third hypothesis examined the relationship
between SVS and affective commitment. It followed that the employees having good support from their supervisors, view their
employers as being generally caring about their well-being, that type of attitude will influence their affective commitment in a positive
way. Therefore, there was a positive strong relationship between these two variables in that the independent variable SVS had a
positive influence on the dependent variable of affective commitment.
.
VI. CONCLUSION
The aim of the study was to analyse the relationship between supervisor support, job satisfaction and affective commitment. The
adopted measures of this study have shown remarkable level of reliability as shown in Table I. Three hypotheses were developed; all
of them were supported. Based on the findings of the study, the affective commitment and job satisfaction have a significant
relationship with supervisor support. But the proposed hypothesis of organizational rewards and POS was rejected, which means there
was no a significant relationship between organizational rewards and POS. Finally, job satisfaction ad affective commitment have
shown strong association between them.
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Journal of Organizational Behavior, 22, 159180.
[11] Daly, C. L. (1998). Explaining the extra-role behavior of part-time and full-time workers: A matter of support? Unpublished doctoral dissertation, Michigan State
University.
AUTHORS
First Author Sadiya Ahmed Mohamed, Technology Management, Universiti Tun Hussein Onn Malaysia, sakiya209@hotmail.com
Second Author Dr. Maimunah Ali Technology Management, Universiti Tun Hussein Onn Malaysia.
Correspondence Author Sadiya Ahmed Mohamed, Technology Management, Universiti Tun Hussein Onn Malaysia,
sakiya209@hotmail.com.
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International Journal of Scientific and Research Publications, Volume 6, Issue 2, February 2016 440
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Abstract- The latest financial crisis had strong impact on global Responding to the global financial crisis, in which then had
economy. In European market exists specific situation brought upon the sovereign debt crisis in Eurozone; EU has been
conditioned with special institutional agreements that deteriorate taking concrete steps through fiscal consolidation and a much
consequences of financial crisis, and created a doubt about future stronger integration within the EMU. Hence most of the policies
of European Union. The crisis has deepened the problem of produced and introduced by EC and ECB are initially compose
indebtedness within the European Monetary Union, increased from the EMU. This means that the policies itself has the
unemployment. In these circumstances European Central Bank common initial purpose to not only curbing and preventing the
(ECB) banking had to implement measures to mitigate financial crisis to get worse, but also to maintain economic stability in the
shocks in European countries, and made itself work between its unique system of EMU for longer term. The policies in this term
monetary policy and liquidity policy. It is clear that there must be are referred to kind of rules, agreements, or programs. 2
changes implemented to ECB liquidity operations. In this work Since the start of the global financial crisis, a number of
we will show joint activities of International Monetary Fund emerging European countries have requested financial support
(IMF) and European Central Bank in Euro zone crisis made to from the IMF to help them overcome their fiscal and external
repair the damage that crisis made and to save the most affected imbalances. Four members of the euro areaGreece, Portugal,
countries from bankruptcy and social unrests. Governments that Ireland, and Cyprusalso accessed IMF resources. Access to
are most affected by the crisis have coordinated their responses IMF resources for Europe is being provided through Stand-By
with a committee formed by the European Commission, the Arrangements (SBA), the Flexible Credit Line (FCL), the
European Central Bank and the International Monetary Fund Precautionary and Liquidity Line (PLL), and the Extended Fund
named "the Troika", formed for enhance cooperation between Facility (EFF). Irelands and Portugals EFFs concluded in
them for overcoming impact of crisis. December 2013 and June 2014, respectively, and they then
entered into Post-Program Monitoring (PPM).3
Index Terms- The Troika, Great Financial Crises, European Most of the first wave of IMF-supported programs in 2008-
Union, IMF, European Central Bank, depth crises, monetary 09 was for countries in emerging Europe. The IMF provided
policy, liquidity. front-loaded, flexible, and high levels of financing for many
emerging European countries. In most EU countriesincluding
in Hungary, Latvia, and Romaniathis financing was provided
I. INTRODUCTION in conjunction with the EU, while Poland has a Flexible Credit
Line arrangement with the Fund. The IMF also provided
T he world economy is still under the burden of Great
Financial Crisis. Crisis began on July 2007 with the liquidity
crisis due to the loss of confidence in the mortgage credit
financing to Iceland when its banking system collapsed in late
20084
markets in the United States. The financial crisis brought about
changes in the operation of central banks, it became necessary to
think over of central banking in terms of both functions and II. THE TROIKA
instruments. The crisis has even raised the question of how In purpose to fight the great financial crisis International
central bank independence, can be reconciled with the new Monetary Fund (IMF) was included in the rescue actions of the
position of heightened influence.1 European Union (EU). The IMF provided in the financial
The European debt crisis culminated 2009, and its assistance and economic adjustment programs for Greece,
characteristics was high government with structural deficits and Ireland and Portugal by contributing around one third to the
accelerating debt levels. Vulnerable banking sector suffered large emergency funds.5 Together with the EC and the ECB, IMF
capital losses, most states in Europe had to bail out several of formed the IMF/ECB/EC-Troika responsible for negotiating and
their most affected banks with some supporting recapitalization monitoring the economic adjustment programs for Greece,
loans, because of the strong linkage between their survival and Ireland and Portugal. EU could not solve the problem by itself
the financial stability of the economy.
1 2
Liikanen Erkki: The economic crisis and the evolving role of http://www.imf.org/external/np/exr/facts/europe.htm
3
central banks, Speech by Mr. Erkki Liikanen, Governor of the http://www.imf.org/external/np/exr/facts/europe.htm
4
Bank of Finland and Chairman of the High level Expert Group Ibid
5
on the structure of the EU banking sector, to the Paasikivi Jost T. and Seitz F., The Role of the IMF in the European Debt
Society, Helsinki, 25 November 2013. Crisis, Weidener Diskussionspapier, nr.32,2012
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that is why it was necessary to create competent institutional governments on the policies that are needed to put their
body to deal with it. economies back on the path of sustainable economic growth. 9
International Monetary Fund (IMF) was involved in the While the IMF coordinates closely with the other members of the
rescue actions of the European Union (EU) to fight the sovereign Troika, Fund decisions on financing and policy advice are
debt crisis that emerged end of 2009 in several European ultimately taken independently of the Troika process by the
Monetary Union (EMU) countries. The IMF participated in the IMFs 24-member Executive Board.
financial assistance and economic adjustment programs for
Greece, Ireland and Portugal by contributing around one third to
the emergency funds. In a Troika, the IMF elaborated the
economic adjustment programs for these economies and closely
monitored their progress through quarterly reviews based on
economic missions. The Troika can be seen as a new institutional
body hat was formed on an ad hoc basis as the EU was not able
to manage its problems alone and as politicians of the donor
countries did not trust the European institutions and tried to
reduce the moral hazard problem that was connected with the
bail-outs.
Cooperation through the Troika is aimed at ensuring
maximum coherence and efficiency in staff-level program
discussions with governments on the policies that are needed to
put their economies back on the path of sustainable economic
growth. 6
Decision to lend to above mentioned countries without having
agreed on a convincing path back to a manageable level of debt
was a exception from agreed principles for the IMF. It turns out
it was very expensive decision for Europe and, now as a
precedent for the future, it will be costly for crises to come in
other parts of the world.7
Efficient financial planning assures protection for business
investment. Measures for overcoming the financial crisis in EU
must be joint activities in financial planning of IMF and ECB. Its
main objective repair the damage that crisis made and that it will
safe the most affected countries from bankruptcy and social
unrests.
Troika determine six main policies in effort on helping
troubled countries in Eurozone crisis.
European Financial Stabilization Mechanism
(EFSM) and European Financial Stability Facility
(EFSF)/European Stability Mechanism (ESM)
Stability and Growth Pact (SGP) and the Six
Pack
Macroeconomic Imbalance Procedure (MIP)
European Semester
New Supervisory Authorities
Article IV Consultation8
6
http://www.imf.org/external/np/exr/facts/europe.htm
7
Schadler, S., Unsustainable Debt and the Political Economy of
Lending: Constraining the IMFs role in Sovereign Debt Crises,
CIGI Papers, No 19, 2013
8
European Commission Directorate-General for Economic and
Financial Affairs, The two-pack on economic governance:
Establishing an EU framework for dealing with threats to
financial stability in euro area member states, 2013, available at
9
http://ec.europa.eu http://www.imf.org/external/np/exr/facts/pdf/europe.pdf
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10
http://www.imf.org/external/np/exr/facts/pdf/europe.pdf
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Cooperation through the Troika is aimed at ensuring In Greece, a first program was initiated in May 2010, and
maximum coherence and efficiency in staff-level program superseded in March 2012 by a
discussions with governments on the policies that are needed to second program that was planned to runs till the end of 2014. In
put their economies back on the path of sustainable economic Ireland, the program was started in December 2010 and ended in
growth and job creation. 11 December 2013. Ireland was the first country to exit a Troika
While the IMF coordinates closely with the other members program. The exit was clean or full in the sense that Ireland
of the Troika, Fund decisions on financing and policy advice are did not request any further financial assistance from its official
ultimately taken independently of the Troika process by the creditors in the form of a precautionary credit line.
IMFs 24-member Executive Board. In Portugal, the program started in May 2011 and is due to
The European Bank Coordination Initiative The Vienna end in May 2014. With less than four months before the end of
Initiative was launched at the height of the financial crisis in the program, the big question at this stage is whether Portugal
2008/09 to help avoid a rush-to-the-exit of Western European will be able to emulate Ireland and make a clean exit from its
cross-border banking groups whose subsidiaries dominate the program, or if it will need a precautionary credit line or even a
banking systems of CESEE. Banks entered into explicit exposure second program.
maintenance agreements in the case of five program countries. In Cyprus, the program only started in May 2013 and runs
This Initiative brings together key International Financial until May 2016. It is too early, therefore, at this stage to assess
Institutions (EBRD, WB, and IMF), the European Commission the implementation of this program, let alone to evaluate the
and relevant EU institutions, the main cross-border banking prospect of Cyprus exiting the program when it ends. What can
groups, and home and host country authorities. 12 be done now, however, is an assessment of the circumstances
that led to the program and the quality of its design.
The documents show that the IMFs baseline estimate the
III. TROIKAS FINANCIAL PLAN FOR OVERCOMING CRISIS most likely outcome is that Greeces debt would still be 118%
As a response to the global financial crisis which affected of GDP in 2030, even if it signs up to the package of tax and
Eurozone, European Union taken steps through fiscal spending reforms demanded. That is well above the 110% the
consolidation and a much stronger integration within the EMU, IMF regards as sustainable given Greeces debt profile, a level
with purpose preventing the crisis to make unreperable damage, set in 2012. The countrys debt level is currently 175% and likely
and to keep economic stability in the unique system of EMU for to go higher because of its recent slide back into recession.
longer term.13 The documents admit that under the baseline scenario
The cooperation with the other Troika-members has been significant concessions are necessary to improve Greeces
essential as the IMF alone would not have been able to raise the chances of ridding itself permanently of its debt financing
emergency funds due to the sheer size of the rescue packages. By woes.15
contributing around 33% to the rescue funds the IMF got a Even under the best case scenario, which includes growth of
maximum 100% influence in the program design and 4% a year for the next five years, Greeces debt levels will drop
surveillance procedure as the programs are IMF-style and the to only 124%, by 2022. The best case also anticipates 15bn
disbursement of each tranche of the funds ultimately depends on (10bn) in proceeds from privatizations, five times the estimate
the decisions of the IMF executive board indeed a good in the most likely scenario.
leverage.14 In the Annual Growth Survey 2011, the Commission
The plan for rescuing Eurozone from greater damage highlighted three main areas of actions.16
included financial assistance for Greece, Ireland, Portugal and First is action in fundamental prerequisite for growth
Cyprus. Program considered very large funding because of which requires on implementing a rigorous fiscal
macroeconomic imbalances and the because of loss of price consolidation, correcting macroeconomic imbalances,
competition. Programs were very optimistic about adjustment and ensuring stability of the financial sector.
and recovery in Greece and Portugal. In all four countries, Second is mobilizing labor markets and thus creating
unemployment increased much more significantly than expected. job opportunities by making work more attractive,
The GDP deterioration happened because, large fiscal reforming pension systems, getting the unemployed
multipliers, poor external environment, including an open back to work, and balancing security and flexibility.
discussion about euro area break-up, an underestimation of the Third action is frontloading growth which is done by
initial challenge and the weakness of administrative systems and tapping the potential of the Single Market, attracting
of political ownership. private capital to finance growth, and creating cost-
effective access to energy. The following 2012 Annual
11 15
Ibid Nardelli A., IMF: austerity measures would still leave Greece
12 with unsustainable debt, 2015, available at,
http://www.imf.org/external/np/exr/facts/pdf/europe.pdf
13 http://www.theguardian.com/business/2015/jun/30/greek-debt-
Ibid
14 troika-analysis-says-significant-concessions-still-needed
Jost T. and Seitz F., The Role of the IMF in the European Debt
Crisis, Weidener Diskussionspapier, nr.32,2012
16
ec.europa.eu/europe2020
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Growth Survey was presented on 23 November 2011 by was discontinued and replaced by a second program after a
the Commission, embodied with focus on five haircut on privately-held government debt, but there is
priorities.17 The survey calls for the EU and member widespread doubt that the country will be able to regain market
states to focus on pursuing differentiated, growth- access without some form of write-down of its publicly-held
friendly fiscal consolidation, restoring normal lending to debt. Greek prime minister, Alexis Tsipras, rejected the plans and
the economy, promoting growth and competitiveness, called a referendum on whether to accept the creditors demands.
tackling unemployment and the social consequences of Result of referendum were dismission of creditors plans and
the crisis, and modernizing public administration. procedures. After a turbulent month in Greece the agreement
In terms of pensions, which have been the stickiest point in the about debt repayment with creditors. For Cyprus is too early to
negotiations, the plan demands reforms to: judge if and how it will be able to regain market access at the end
Create strong disincentives to early retirement, of the program, in May 2016.
including changes to early retirement penalties. If we consider success of programs if countries have
Adopt legislation so that withdrawals from the social adhered to their conditionality, all four countries have adopted
insurance fund will incur an annual penalty, for those the fiscal consolidation measures prescribed by the Troika. They
affected by the extension of the retirement age period, had no alternative because official lenders were loath to offer
equivalent to 10% on top of the current penalty of 6%. more financing or to accept debt relief. It is a matter of complex
Ensure that all supplementary pension funds are only judgment as to whether earlier and bigger debt restructuring for
financed by own contributions. Greece, the bail-in of senior unsecured bondholders of Irish
Gradually phase out the solidarity grant (EKAS) for all banks and further debt relief in Greece, Ireland, Portugal and
pensioners by end-December 2019. This shall start Cyprus would have been (and perhaps still are) desirable. The
immediately for the top 20% of beneficiaries with the judgment depends on considerations of moral hazard, signaling
details of the phase-out to be agreed with the effects to other indebted countries and financial stability
institutions.18 considerations. The four programmed countries have also
Freeze monthly guaranteed contributory pension limits implemented the measures that aimed to restore the health of
in nominal terms until 2021. their financial sectors, but the process is not over yet, including
Provide to people retiring after 30 June 2015 the basic, in Ireland. 20
guaranteed contributory, and means-tested pensions Greece and Portugal, accumulated further problems
only at statutory normal retirement age, currently 67 thereafter as the euro and access to cheap credit allowed them to
years. retain antiquated models rather than forcing them to make the
required structural changes that a modern economy, in particular
Increase the relatively low health contributions for
one belonging to a monetary union, needs.
pensioners from 4% to 6% on average and extend it to
supplementary pensions.19 In Greece, Ireland and Portugal (we leave Cyprus aside
since it is too early to look at outcomes), the fall in domestic
demand was bigger than anticipated and, as result,
unemployment increased by much more than anticipated. Imports
IV. SUCCESS OF IMPLEMENTED MEASURES
also fell by more than expected in Greece and Portugal, though
If we consider the conditions for regaining market access they actually increased in Ireland. At the same time, the current
we can make conclusion that the Irish program can surely be account deficit improved more than originally forecast. By
labeled as fully successful since the country was able to make a contrast, export performance was better than anticipated.
full exit from the program at the scheduled time, in December Altogether, therefore, the trade balance and the current account
2013, and issue debt at favorable rates. The Portuguese program improved more and faster than expected. 21
forecasts the shortfall will drop below the EUs 3 percent limit in In these countries unemployment rates and debt levels are
2015, when he aims for a 2.5 percent gap. Portugal will follow still very high. Growth prospects are still unsatisfactory and far
Ireland in leaving its rescue program without seeking a too weak to address the unemployment challenge. Greece is in
precautionary credit line, the third nation to exit its bailout as the the worst situation with unemployment at more than 25 percent
euro region rebounds from a four-year crisis. The Greek program and public debt at 175 percent of GDP, but the other three
cannot be judged as successful at this stage. The first program countries, with unemployment at about 15 percent and public
debt at about 120 percent of GDP, are also not faring well. High
debt levels and generally weak growth determinants in program
17
Ibid countries, a fragile global economy, disinflationary tendencies in
18
Nardelli A., IMF: austerity measures would still leave Greece the EU and the remaining banking problems, suggest that caution
with unsustainable debt, 2015, available at, should be exercised when considering future exits.
http://www.theguardian.com/business/2015/jun/30/greek-debt- In the case of Greece, it is hard to see how the country could exit
troika-analysis-says-significant-concessions-still-needed from its program at the end of this year without some form of
19
European Parliament's Economic and Monetary Affairs
20
Committee the Troika and financial assistance in the euro area: European Parliament's Economic and Monetary Affairs
successes and failures, European Union, 2014 Committee the Troika and financial assistance in the euro area:
successes and failures, European Union, 2014
21
Ibid
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REFERENCES
[1] European Commission Directorate-General for Economic and Financial
Affairs, The two-pack on economic governance: Establishing an EU
framework for dealing with threats to financial stability in euro area
member states, 2013, available at http://ec.europa.eu
[2] European Parliament's Economic and Monetary Affairs Committee the
Troika and financial assistance in the euro area: successes and failures,
European Union, 2014
[3] http://www.imf.org/external/np/exr/facts/pdf/europe.pdf
[4] Jost T. and Seitz F., The Role of the IMF in the European Debt Crisis,
Weidener Diskussionspapier, nr.32,2012
[5] Jost T. and Seitz F., The Role of the IMF in the European Debt Crisis,
Weidener Diskussionspapier, nr.32,2012
[6] Liikanen Erkki: The economic crisis and the evolving role of central banks,
Speech by Mr. Erkki Liikanen, Governor of the Bank of Finland and
Chairman of the High level Expert Group on the structure of the EU
banking sector, to the Paasikivi Society, Helsinki, 25 November 2013.
[7] Nardelli A., IMF: austerity measures would still leave Greece with
unsustainable debt, 2015, available at,
http://www.theguardian.com/business/2015/jun/30/greek-debt-troika-
analysis-says-significant-concessions-still-needed
[8] Schadler, S., Unsustainable Debt and the Political Economy of Lending:
Constraining the IMFs role in Sovereign Debt Crises, CIGI Papers, No
19, 2013
[9] http://www.imf.org/external/np/exr/facts/pdf/europe.pdf
22
Ibid
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Abstract- Pectin can be used as food and pharmatecitical such as sugar beets, banana peel, mango peel, papaya peel and
additives. This study investigated the effect of temperature, time sunflower heads. Extracted pectin can be categorized into two
and pH on the yield and physicochemical characteristics of major categories depending on the percentage of galacturonic
pectin extracted from banana and mango peels. Pectin was acid residues that are esterified with methanol. A degree of
extracted using acid extraction method. The experimental design methoxylation (DM) greater than 50% is considered high
was performed using Central Composite Design of Response methoxyl pectin and a DM below 50% is considered low
Surface Methodology for parametric optimization. The optimum methoxyl pectin [3].
temperature, time and pH for the extraction of pectin for both Pectin has also been investigated for its usefulness in the
peels were determined to be 82oC, 105min and 2 respectively. pharmaceutical industry. Among other uses it has been
The yields of pectin under these optimum conditions were found considered in the class of dietary fibers known to have a positive
to be 11.31% and 18.5% for banana and mango peel effect on digestive processes and to help lower cholesterol [3].
respectively. Temperature, extraction time and pH showed a Pectin extracted from various materials can be different in
significant (p < 0.05) effect on the pectin yield. The equivalent molecular structure (i.e., molecular weight, degree of
weight, methoxyl content, anhydrouronic acid content, degree of esterification and acetyl content) and therefore, possesses
esterification, moisture content and ash content of the banana different functional properties. A valuable by product that can be
and mango peel pectin obtained under the optimum conditions obtained from fruit peel wastes is pectin. Pectin designates those
were found to be 925.01g/mol, 6.09%, 53.6%, 64.5%, 8.94%, water soluble pectinic acid of varying methyl ester content and
0.47% and 895 g/mol, 8.89%, 70.65%, 72.17%, 8.82%, 0.915% degree of neutralization which is capable of forming gels with
respectively. In general, the finding of the study shows that sugar and acids under suitable conditions [4].
pectin, being used as food and pharmaceutical additives, can be
obtained from banana and mango peel. The suitability of pectins for different purposes is determined
by their character namely, anhydrouronic acid content, methoxyl
Keywords: Banana, Central Composite Design (CCD), content and degree of esterification. The fruit peel wastes
characterization, mango, pectin, peel resulting from the fruit juice processing industry are normally
discarded, which are highly perishable and seasonal; it is a
problem to the processing industries and pollution monitoring
1. INTRODUCTION agencies. Thus, these waste materials may create environmental
The term pectin was first described and isolated by French problems, particularly water pollution, since the presence of
scientist named Henry Braconnot in 1825. Pectin is primarily biomaterials in fruit waste peel such as peel oil, pectin, as well
made up of D-galacturonic acid joined by - (1- 4) glycosidic as sugar can stimulate aerobic bacteria to decompose the
linkages [1]. As a part of the plant structure, pectin is a complex biodegradable organic matters into products such as carbon
mixture of block of homogalacturonic acid called smooth dioxide, nitrates, sulfates and phosphates in water. Suitable
regions mixed with blocks of homogalacturonic acid containing methods have to be adopted to utilize them for the conversion of
many neutral sugars including rhamnose, galactose, arabinose the problem into an asset. The main objective of this thesis was
and glucose called hairy regions [2]. Neutral sugars are also (a) to extract and characterize the pectin from banana and mango
present as side chains in different amounts depending on the fruit peel waste and to explore its potential use, (b) to investigate
pectin source and on the extraction method used. A percent of various factors that affect the yield of pectin such as pH,
the galacturonic acid residues are generally esterified with temperature, extraction time and to determine the optimal
methanol. The pectins of a plant can be water-soluble or process conditions for pectin extraction, (c) to characterize the
protopectins [1]. The methods of extraction will vary based on physicochemical properties of pectin isolated from banana and
the actual makeup for each particular plant type. For example, mango peel, (d) to compare the characteristics of two different
protopectins are brought into solution by hot dilute acids. The pectin and to see which one is more suitable for industrial
general makeup of the pectin content varies with ripening of the applications.
plant and it is fairly easily brought into solution depending on 2. MATERIALS AND METHODS
the plant type [1]. Commercial pectin extraction is mainly from 2.1 Materials
citrus peel and apple pomace, but several other sources exist
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All chemicals used for extraction process were of analytical (1M H2SO4) was added for maintaining different pH medium as
grade. Fresh banana and mango peels were collected from some reagents. The mixture was then heated for each different pH
selected hotels, juice processing houses and restaurants in Addis medium (1.66 to 3.34) of extraction while stirred at different
Ababa, Ethiopia. temperature (52.5 to 89.5oC) and time (44.66 to 120 min)
2.2 Methods separately in shaking water bath. The hot acid extract was
2.2.1 Raw Material Preparation filtered through nylon/muslin cloth. The filtrate was coagulated
The fresh fruit peels were segregated according to their type, cut by adding an equal volume of 96% ethanol and left for 3hourse
into pieces for easy drying and washed with water three times. to allow the pectin to float on the surface. The gelatinous pectin
Sample drying was carried out in oven at 60C for 48 hours to flocculants were then skimmed off. The coagulated pectin was
obtain easily crushable material. The dried peel was milled in separated by filtration and washed with 70% ethanol to further
sieve size of 80 meshes and packed in airtight, moisture-proof remove any remaining impurity. The washed pectin was then
bag at room temperature and ready to the extraction process. dried at 35oC in hot air oven overnight to remove the moisture.
2.2.2 Experimental Design The ground powder was kept in airtight container.
Central Composite Design of Response Surface Methodology The pectin yield was calculated using the following equation.
was used to investigate the effects of three independent process ( )
variables namely, temperature (A), extraction time (B) and pH
(C) on the response, pectin yields (Y). The variable ranges were
selected based on the literature (Table 1) [5]. The star arm (), where, Ypec (%) is the extracted pectin yield in percent (%), P is
known as the arm length of the axial experiments from the the amount of extracted pectin in g and Bi is the initial amount
center point, was 1.68179. The experiment at the center point of of powder fruit peel (5g).
the design was repeated to get a good estimate of experimental 2.4 Physicochemical Characterization of Pectin
error. All the experiments were carried out at random in order to The dried pectin samples obtained from the two fruit peels were
minimize the effect of unexplained variability in the observed subjected to quantitative test in order determine the following
responses due to systematic errors. characteristics.
Significance of the result was set from analysis of variance Equivalent weight is used for calculating the Anhydrouronic
(ANOVA). The 20 experiments were carried out and data was Acid content and the degree of esterification. It is determined by
statistically analyzed by the Design-Expert program to find the titration with sodium hydroxide (NaOH) to pH 7.5 using phenol
suitable model for the pectin yield as a function of the above red. Pectin sample (0.5 g) is weighed in a 250 mL conical flask
three variables. and moistened with 5mL ethanol. Then 1.0g sodium chloride is
Table 1 Experimental and coded levels of three variables added to the mixture followed by 100mL distilled water and
employed for pectin extraction three drops of phenol red indicator. Finally six drop of phenol
Unit Levels red is added and titrated against 0.1N NaOH until the color of
Variables Factor the solution is changed to a pink at the end point. The color
- -1 0 +1 +
coding change was persisting for 30 seconds [8]. Equivalent weight is
o
Extraction A C 52.50 60 71 82 89.5 calculated using the following equation:
Temperature
Extraction 44.66 60 82.5 105 120.0
Time B min (
pH - 1.66 2 2.5 3 3.34
C
The polynomial equation generated by the software is as Methoxyl content is an important factor in controlling
follows: the setting time of pectins, the sensitivity to polyvalent cations
Y = b0 + b1X1 + b2X2 + b3X3 + b12X1X2 + b13X2X3 + b11X11 + and their usefulness in the preparation of low solid gels and
b22X22 + b33X33 fibers. Methoxyl content is determined using the neutralized
(1) solution obtained during the equivalent weight determination,
where, Y is the dependent variable, bo is the intercept, b1 to b33 containing 0.5 g of pectic substance, 25 mL of 0.25N NaOH is
are the regression coefficients and X1 to X33 are the independent added to the neutralized solution used in the equivalent weight
variables. The experimental design setup is summarized in Table determination. The mixture is stirred thoroughly and allowed to
2. stand for 30 min at ambient temperature. Then 25 mL of
2.3 Extraction of Pectin 0.25NHCl (or an amount equivalent to base added) was added
In this research, method developed by Emaga et al., [6] was used and titrated against 0.1N NaOH to the same end point as before
for pectin extraction. Fruit waste peel dried and powder was [8]. The percentage content is calculated using the equation
weighed in conical flask and distilled water was added (solid- below:
liquid ratio of 1:29 (w/v). The pectin extraction from mango peel ( )
was carried out following procedure adopted by Kertesz [7].
Ground powder mango peels were mixed thoroughly with ( )
distilled water in the ratio of 1:40 (w/v) at different pH. The
( )
mixture was dissolved by stirring the peel powder in water. Acid where 31 is the molecular weight of methoxyl (CH3O)
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Total anhydrouronic acid content (TAUA) is essential to phases that will lead to slower rate of extraction.
determine the purity and degree of esterification, and to evaluate
the physical properties. By using the values of the equivalent
weight and the methoxyl content, the Anhydrouronic acid
content is calculated by the expression given below [8]. Total
AUA of pectin is obtained by the following formula (Mohamed
& Hasan, 1995).
( )
( )
where molecular unit of AUA (1 unit) = 176g, z = ml (titre) of
NaOH from equivalent weight determination, y = ml (titre) of
NaOH from methoxyl content determination, W = weight of
sample
Degree of Esterification (DE): The degree of esterification of
extracted pectin was calculated from methoxyl and
anhydrouronic acid content using the following expression [8].
( )
( )
( ) Figure 1 Effect of extraction temperature on the pectin yield
Moisture Content and Ash Content: the moisture and ash 3.2.2 Effect of Extraction Time on the Pectin Yield
content were determined by adopting AOAC [9] method. The pectin yield increased significantly with the increasing in
Viscosity: Viscosity of pectin solution is measured by SV-10 the extraction time Figure 2 shows that the yield of pectin
Model Vibro Viscometer, with viscosity range 0.3-10 Nsm-2. increases up to 105 minute. A relatively long period of
The pectin solutions were prepared from banana and mango extraction would cause a thermal degradation effect on the
peels pectin with the maximum yield. extracted pectin, thus causing a decrease in the amount
perceptible by alcohol. Besides, the color of the pectin extract
3. RESULTS AND DISCUSSION became dark brown for longer periods of extraction which in
3.1 PECTIN YIELD turn required a higher number of alcoholic washing of the
The percentage yields of pectin extracted using 1M H2SO4, from precipitate. Also as the extraction proceeds, the concentration of
banana and mango peel powder range from 5.82 to 11.33% and the pectin in the solution will increase and the rate of extraction
12.10 to 18.57% respectively. will progressively decrease; first, because the concentration
3.2 Effect of Extraction Process Variables gradient will be reduced and, secondly, because of the solution
3.2.1 Effects of Temperature on Pectin Extraction becomes more viscous. Generally the result shows that the yield
As shown in Figure 1 the pectin yield is influenced by increases with increase in extraction time as the protopectin
temperature. The yield increases with the increasing temperature naturally present in cells takes time to solubilize and go into the
for the mango peel until 82oC. Because increasing the extraction solution.
temperature would increase the solubility of the extracted pectin,
giving a higher rate of extraction. However, further increase in
temperature from 82 to 89.5oC shows a decreasing tendency of
pectin yield, since too high temperature would lead to break
down of pectin molecules as pectin is composed of -(1-4)
linked units of galacturonic acid or methyl ester resulting in
pectin of lower molecular size which is not perceptible with
alcohol. However, high temperature encourages energy loss
through vaporization and increases the cost of extraction process
from the industrial point of view. At lower temperature, the
lower viscosity of pectin might cause poor diffusion between the
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peel pectin yield respectively, are comparable with the predicted this study may be considered to be of satisfactorily good quality.
values. Compared to the data obtained from literature, the The inorganic impurities in pectin were indicated by the ash
optimum extraction conditions of mango peel pectin lie in the content. Lower ash content indicates good quality of pectin. The
accepted limits of mango peel extraction conditions. Therefore, ash content of extracted pectin was close to the reported values.
this study shows that mango peel waste is a potential source for Figure 7 Shows temperature and pH has significant effect on the
the extraction of pectin. viscosity of the pectin solution. The viscosity of pectin solution
3.4 Physicochemical Characterization of Pectin was observed to increase with a decreased of temperature and
Characterizations of extracted pectin were carried out for various increased of pH. The viscosity of banana peel pectin was
parameters to evaluate its suitability in food systems. The result relatively low, compared to the viscosity of mango peel pectin.
shows that the anhydrouronic acid and methoxyl contents were
found to be dependent on the pH while equivalent weight
depends on extraction time. The extraction time and pH had
significance effect on the degree of esterification and moisture
content of mango peel pectin. However, all physicochemical
characterizations of banana peel pectin were independent of the
extraction variables. The physicochemical characterizations of
pectin depend mainly on the raw material source and conditions
selected for isolation and purification of pectin. Table 3
summarizes the chemical quality characteristics of mango and
banana peel pectin.
The maximum value of equivalent weight of banana peel pectin
is slightly higher than mango peel pectin. Methoxyl content is an
important factor in controlling the setting time of pectin and the
ability of the pectin to form gels [10]. The range of reported
values of methoxyl contents (8.4 to 9.7) of good quality of
mango peels pectin [11].
Table 3 Result for the physicochemical characterization of the
extracted pectin under optimum conditions (82oC, 105min and
2pH).
Characteristics Banana peel Mango peel
pectin pectin
Equivalent weight (g/ml) 925.01 895.00
Methoxyl (%) 6.09 8.89
Total anhydrouronic acid ( %) 53.60 70.65 Figure7 Effects of temperature and pH on the viscosity of
banana and mango peel pectin
Degree of esterification (%) 64.50 72.17
Moisture content (wwb%) 8.94 8.82
4. CONCLUSIONS
Ash content (%) 0.47 0.915 The effects of the three process variables namely, temperature,
extraction time and pH on the pectin yield were found to be
The anhydrouronic Acid (AUA) indicates the purity of the significant. An optimum extraction temperature of 82oC, 105
extracted pectin and its value should not be less than < 65% min extraction time and 2 pH results an optimum value of
[12]. In this study the highest AUA content of mango peel pectin 11.31% and 18.50% (w/w) banana and mango peel pectin
was with acceptable limits of pectin purity. There is a significant respectively. The statistical analysis indicates that temperature,
difference between banana and mango peel pectin in terms of extraction time and pH had a significant effect on the
degree of esterification. Based on DE pectin can be classified as characteristics of mango peel pectin while insignificant effects
low methoxyl pectin with 50% DE and high methoxyl pectin on the banana peel pectin. The degree of esterification, viscosity,
with > 50% DE. Therefore, in this study indicates that banana methoxyl content and anhydrouronic acid content of mango peel
and mango peel pectin are categorized as high methoxyl pectin. pectin are higher than that of banana peel pectin. However, the
The maximum value of moisture content of banana peel pectin ash content, moisture content and equivalent weight of mango
was slightly higher than mango peel pectin. Low moisture peel pectin are slightly lower than banana peel pectin. Generally
content is necessary for pectin for safe storage as well as to the chemical quality of pectin obtained from mango peel is
inhibit the growth of microorganisms that can affect the quality comparatively better than banana peel. In addition, the
due to the production of pectinase enzymes. The moisture percentage of pectin yield obtained from mango peel is
content of the pectin is almost similar to the values of moisture relatively higher compared to banana peel with similar
content reported in literature. There is a significant difference extraction condition. The yield of mango peel pectin is
between banana and mango peel pectin in terms of ash content. comparable to those of apple pomace and citrus, thus, signifying
The upper limit of ash content for good-quality pectin is the potential use of mango peel as an alternative source for the
considered to be 10% from the view point of gel-formation [13]. commercial pectin production. Hence, according to experimental
Therefore, with respect to this parameter, the pectin isolated in studies mango peel pectin is more suitable for industrial
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