Living on the edge: characteristics of human–wildlife conflict in a traditional livestock community in Botswana

2017 ◽  
Vol 44 (7) ◽  
pp. 546 ◽  
Author(s):  
J. Weldon McNutt ◽  
Andrew B. Stein ◽  
Lesley Boggs McNutt ◽  
Neil R. Jordan

Context Conflicts between wildlife and humans have occurred for millennia, and are major drivers of wildlife decline. To promote coexistence, Botswana established buffer zones called wildlife-management areas (WMAs) adjacent to National Parks and Reserves where communities assume stewardship of wildlife and derive financial benefits from it. In contrast, communities outside WMAs are generally excluded from these benefits despite incurring ‘coexistence costs’, including crop damage and livestock depredation, although they may receive compensation for these losses. Aims To investigate the perceptions and actions of a livestock farming community outside (but surrounded by) WMAs in northern Botswana, especially in relation to predator management. Methods We conducted standard-format interviews with 62 heads of households (cattleposts), and evaluated responses using descriptive and multivariate statistics. Key results Almost half (46%) of respondents expressed negative perceptions of predators, with 67% reporting losses to predation. After disease, predation was the most commonly reported source of livestock losses. Increased age of the head of household was the strongest predictor of reported predation. Few households employed husbandry beyond kraaling at night, but some (21%) reported conducting lethal control of predators. Reported use of lethal control was independent of the household experience with predation and whether they derived financial benefits from wildlife. Instead, households with larger herds were more likely to report using lethal control, despite the most educated farmers tending to have larger herds. Lethal control was almost twice as likely in households previously denied government compensation for losses (42%) than in those granted compensation (23%). Perhaps as a result of perceived failures of the government compensation scheme, most households (91%) supported the development of an independent insurance program, with 67% expressing willingness to pay a premium. Conclusions Our results challenge the assumption that deriving financial benefit from wildlife increases tolerance. A measurable disconnect also exists between the willingness of a household to employ lethal control and their experience with predation, suggesting that lethal control was used pre-emptively rather than reactively. Implications Efforts must be made to connect the financial costs incurred during farming alongside wildlife with the financial benefits derived from wildlife. Where compensation schemes exist, timely payments may reduce retaliatory killing.

1996 ◽  
Vol 23 (3) ◽  
pp. 259-268 ◽  
Author(s):  
Peter Vandergeest

SummaryConflicts between local people and managers of protected areas (PAs) have often undermined conservation goals in Asia. Since the 1970s, conservation planners have tried to address these problems by incorporating rural development into PA planning. More recently, many conservationists have argued for increasing community involvement in PA management, and for allowing traditional resource uses inside PAs. Based on research in Thailand I make three arguments regarding obstacles to implementing the new approach.In Thailand, laws governing Wildlife Sanctuaries and National Parks enacted in the early 1960s were premised on the idea that human use and nature preservation were incompatible. Rapid expansion of these PAs in recent years has produced endemic conflict with rural people claiming resources inside PAs. To address this problem, the Thai Royal Forestry Department has cooperated with NGOs providing development assistance to rural people living in buffer zones outside of some PAs. I argue that this approach has met limited success because the main source of conflict is not poverty but claims on resources inside PAs.The second argument is that the Forestry Department has resisted changes to laws making local use inside PAs illegal because these laws are important for consolidating the Department's control over territory and in justifying increasing budgetary allocations. In addition, by redefining itself as an organization devoted to strict defence of forests, the Department has obtained the support of many urban environmentalists. The third argument is that the community forest approach taken by a recent draft Community Forest Bill is an important first step in that it implicitly recognizes community property. At the same time, this approach will also fail to address key problems because it is based on a notion of the traditional village, and does not allow for the commercial nature of rural forest use or the household-based nature of forest tenure.I suggest that the new expansion of PAs be halted, that land claimed by rural households be taken out of PAs, and that the government recognize community management rights in areas that remain classified as protected. More generally, the goals of conservation would be better achieved by replacing an approach based on the rapid expansion of PAs with one promoting conservation outside PAs.


Oryx ◽  
2016 ◽  
Vol 52 (1) ◽  
pp. 35-45 ◽  
Author(s):  
Per Wegge ◽  
Shailendra Kumar Yadav ◽  
Babu Ram Lamichhane

AbstractAs part of a landscape-scale programme for conserving tigers Panthera tigris the Khata corridor was established between Bardia National Park in Nepal and Katarniaghat Wildlife Sanctuary in India in early 2000. We examined its functionality by comparing the status of tigers and prey in the corridor and in the adjacent National Park, using camera trapping, transect sampling and diet analysis of scats. Tiger movement was inferred from the photographs, and tiger–human conflict was assessed by means of questionnaires and interviews. The corridor harboured transient individuals as well as resident, breeding tigers. Tigers with core areas in the corridor were also recorded in the two protected areas, and vice versa. Wild prey was 3–4 times more abundant in the area of the National Park bordering the corridor than in the corridor itself, and domestic livestock constituted 12–15% of the tigers’ food in the corridor. Livestock losses and human fatalities or injuries were relatively low compared to within the buffer zones of the National Parks. Despite such problems and restrictions on grazing and extraction of natural resources, local residents were generally positive towards tigers and the corridor. The successful establishment of the corridor and the positive attitudes of local people were attributable to community development programmes initiated to compensate for the imposed restrictions, financed by the government and national and international organizations. By linking Bardia National Park and Katarniaghat Wildlife Sanctuary via the Khata corridor, a protected tiger landscape of c. 3,000 km2 was established in west-central Nepal and northern India.


2018 ◽  
Vol 45 (1) ◽  
pp. 1 ◽  
Author(s):  
Bradley P. Smith ◽  
Robert G. Appleby

Existing methods of reducing livestock depredation are heavily biased towards lethal control. However, criticism regarding the efficacy of such practices is rising. In Australia, over 200 years of lethal control has done little to resolve the conflict between dingoes (Canis dingo) and livestock producers. That is, killing dingoes does not necessarily prevent livestock losses. Rather than continuing with lethal control programs, there is an opportunity to shift to more innovative, effective and ethical non-lethal measures of protecting livestock from attacks. Traditionally, buffer zones (areas surrounding livestock enterprises or national parks where attempts are made to eradicate all dingoes entering that zone) have been put in place as a means to limit conflict. Although seen as more strategic than indiscriminately baiting over large areas, targeting dingoes in buffer zones does not necessarily remove problem animals. In addition, dingoes from outside baited zones eventually fill any territorial voids created. In order to break this cycle, we propose amending the traditional approach, so that instead of killing dingoes in these sensitive zones, they are excluded from production areas or otherwise discouraged from interacting with livestock (what we term ‘living buffer zones’). This can, in principle, be achieved through adoption of a suite of non-lethal management approaches, including aversive conditioning, which to-date has not been widely examined. In turn, resident dingoes conditioned to avoid livestock and/or livestock areas will maintain territories that largely exclude non-resident dingoes. Occasional ingress by transient dingoes will be met by the same exclusion and aversive strategies and are likely to quickly move on if harassed by resident dingoes. Such a strategy takes advantage of our ever-increasing knowledge of dingo biology and behaviour and leverages well established principles of animal learning. By funnelling funds currently spent on killing dingoes into experimental investigations of non-lethal approaches, we conclude that significantly more livestock will actually be saved.


The area under sugarcane in Maharashtra state was found to be more stable and consistent rather than production and productivity. It may be due to the F & RP of sugarcane. In the year 1996, MPKV, Rahuri released a promising variety of sugarcane viz., Co-86032 which is very famous in farming community due to its hardiness, sugar recovery (percent) and resistance to the extreme rainfall as well as deficit rainfall. The total economic worthiness of university released sugarcane variety Co-86032(production technology) over other competing varieties of sugarcane in the Maharashtra was `51449.14per ha. The sugarcane growers in Maharashtra state earned net economic benefit of `11059.40 crores from improved sugarcane variety Co-86032. Therefore, it is suggested that the Government should allocate substantial funds to public research in sugarcane for productivity improvement.


2017 ◽  
Vol 38 (3) ◽  
pp. 1145 ◽  
Author(s):  
Rosana Sumiya Gurgel ◽  
Paulo Roberto Silva Farias ◽  
Sandro Nunes de Oliveira

The objective of this study is to expand the mapping of land use and land cover, as well as of the permanent preservation areas (PPAs), and identify land misuse areas in the PPAs in the Tailândia municipality in the state of Pará, which is part of the Amazon biome. Remote sensing techniques and geographic information systems (GIS) were used to achieve these goals. Mapping and classification for the year 2012 were made by visual interpretation of images obtained from the RapidEye satellite, which has a 5 m spatial resolution. In this work, we identified nine classes of land use and land cover. From the hydrography vectors it was possible to determinate the Permanent Preservation Areas of the bodies of water according to the environmental legislation. Analysis of misuse in the PPAs was made by crossing-checking the land use and land cover data with that of the PPAs. The results show that 53 % of the municipality (2,347.64 km²) is occupied by human activities. Livestock farming is the activity that has most increased the use of area (30 %), followed by altered vegetation (14.6 %) and palm oil (7.2 %). The PPAs have a high percentage of misuse (47.12 %), with livestock being the largest contributor, occupying 26.65 % of the PPAs, followed by altered vegetation (12.64 %) and palm oil (4.29 %). Therefore, the main objective in Tailândia is to reconcile economic activity with sustainable development. It is important to emphasize the partnerships between the government, research institutions, regulatory agencies, states departments and local communities, else it would be impossible to monitor or control an area as vast as the Amazon.


2019 ◽  
Vol 2 (1) ◽  
pp. 62-64
Author(s):  
Afroza Chowdhury ◽  
Abdullah Al Mamun ◽  
Niaz Md. Farhat Rahman

Good crop yield entirely depends on good management practice and quality management of crops allied with authentic weather forecasting can reduce risk, crop damage, cost of production and increase the yield as well. Bangladesh Rice Research Institute (BRRI) had aimed this study for quantifying the financial benefit of forecasting and validating micro climatological factors and their impacts on paddy production through experimentation and arranging for weather based agro meteorological advisory service delivery to the farmers applying the tools of ICT. A next-generation meso-scale numerical weather prediction system, WRF (Weather Research and Forecasting) model was used for generating atmospheric simulations based on real data (observations, analyses or idealized conditions). Field experiment was conducted in the areas of five different agro microclimatological conditions for Boro rice production, namely; Gazipur, Habiganj, Rajshahi, Barishal and Satkhira. Then the experimental fields were managed according to the weekly management advisory based on weather forecasts. Results obtained suggest that the application of weather predictability accrued a comparative rice yield benefit of 9-12% and a 3–5% reduction in the cost of cultivation. Countrywide application of agro-meteorological advisory service may pave the way for averting adverse climatic effects on agriculture.


Author(s):  
Bogdan-Constantin Neagu ◽  
Ovidiu Ivanov ◽  
Gheorghe Grigoras ◽  
Mihai Gavrilas

A growing number of households benefit from the government subsidies to install renewable generation facilities such as PV panels, used to gain independence from the grid and provide cheap energy. In the Romanian electricity market, these prosumers can sell their generation surplus only at regulated prices, back to the grid. A way to increase the number of prosumers is to allow them to make higher profit by selling this surplus back into the local network. This would also be an advantage for the consumers, who could pay less for electricity exempt from network tariffs and benefitting from lower prices resulting from the competition between prosumers. One way of enabling this type of trade is to use peer-to-peer contracts traded in local markets, run at microgrid (μG) level. This paper presents a new trading platform based on smart peer-to-peer (P2P) contracts for prosumers energy surplus trading in a real local microgrid. Several trading scenarios are proposed, which give the possibility to perform trading based on participants’ locations, instantaneous active power demand, maximum daily energy demand and the principle of first come first served implemented in an anonymous blockchain trading ledger. The developed scheme is tested on a low-voltage (LV) microgrid model to check its feasibility of deployment in a real network. A comparative analysis between the proposed scenarios, regarding traded quatities and financial benefits is performed.


The exposure of farmers to agricultural hazards and risks has been increased in their work-places with the recent developments in agricultural sectors in most of the developing countries. This higher expose may be due to the enhanced need in meeting the food as well as monetary demand of farming house-holds. The agricultural-productivity has also been reduced in developing countries because of the exposure of farmers to work-related stresses affecting their well-being. Thus, an attempt was made in this study for exploring the mental-health disorders among the farmers and the farming-community in the state of Odisha in India for undertaking possible intervention strategies by the government and competent authorities.


Author(s):  
Garry Robson ◽  
C. M. Olavarria

In the post-Snowden digital surveillance era, insufficient attention has been paid to the role of corporations and consumers in the onslaught on digital privacy by the largest surveillance state – the U.S. The distinction between corporations and the government is increasingly difficult to pinpoint, and there exists an exclusive arrangement of data sharing and financial benefits that tends towards the annihilation of individual privacy. Here the role of consumers in facilitating this alliance is examined, with consideration given to the “social” performances treated as free and exploitable data-creating labor. While consumers of the digital economy often assume that everything should be free, the widespread tendency to gratify desires online inevitably leads to hidden costs and consequences. The permanent data extracted from consumer behavior helps agencies sort and profile individuals for their own agendas. This trilateral relationship of ‘Big Collusion' seems to have gained an irreversibly anti-democratic momentum, producing new transgressions of privacy without proper consent.


3.8 The standard layout of a treaty A treaty, like English legislation, has a standard format. At the beginning of the treaty is a preamble setting out the main goals of the treaty and the aspirations of the parties. It is divided into clusters of items dealing with similar matters. Each cluster is called a title (which roughly equates with the division of an English statute into parts). Titles contain numbered items called Articles, each one setting out a basic rule or principle. Articles can be divided into paragraphs and subparagraphs. The numbering system is Arabic and it not as dense and complex as that used by English statutes. Figure 5.3: standard layout of a treaty 5.3.9 How do obligations entered into through treaties become part of English law? If the UK government wishes all, or part of a treaty, to become part of English law it must specifically incorporate the treaty, or part of it, into the English legal system via legislation. This legislation goes through the same procedures as any other piece of legislation. If the government expects the treaty to give rise to a range of other measures over time it will usually place sections in this legislation delegating the authority to make later legal changes to others (such as the minister of appropriate government departments). This saves time as there is no need for the full legislative process in Parliament. Whilst it is still the subject of parliamentary debate, it does have a fast track procedure. In relation to treaties becoming part of English law in this way, there is always the possibility that Parliament may refuse to enact the legislation, which would leave the government in an extremely difficult situation. However, the UK Parliament is usually controlled by the political party forming the government and the government would not risk the embarrassment of failure but would guage its position in Parliament prior to signature of a relevant treaty.

2012 ◽  
pp. 132-133

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