937 resultados para Clones de Populus


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Desde hace más de 30 años el Instituto Forestal de la Facultad de Ciencias Agrarias de la Universidad Nacional de Cuyo, Mendoza, Argentina, ha realizado la introducción de clones de álamos de diversos orígenes, con el fin de evaluar sus comportamientos frente a agentes bióticos y abióticos, ampliar la base genética disponible y mejorar los rendimientos volumétricos promedio de las plantaciones comerciales de la región. Como parte de esta línea de investigación, en 1996 se instaló un ensayo en un establecimiento agrícola-forestal ubicado en el Departamento de San Carlos, provincia de Mendoza, a los 33°46' S; 69°02' O y 940 msnm. Se evaluaron 10 clones de álamos: cuatro P. x deltoides (Stoneville 124, EEA Delta 107/68, INTA 69/69, Fierolo) y seis Populus x canadensis (El Campeador, Neva, Luisa Avanzo, B. L. Constanzo, I-42, I-455), que se dispusieron en parcelas de 9 plantas cada una distribuidas al azar con 4 repeticiones. La distancia de plantación fue de 4 x 6 m. Se realizaron mediciones anuales de diámetro altura pecho (DAP) y altura total de los árboles, además de registrar periódicamente el estado sanitario, en particular en lo referido a la presencia de ataques de cancrosis producida por Septoria musiva Peck. Los clones que produjeron un mayor volumen de madera/ha fueron: Stoneville 124 con una producción de 322 m3/ha, EEA Delta 107/68 con 293 m3/ha, INTA 69/69 con 285 m3/ha y Fierolo con 239 m3/ha. El clon Luisa Avanzo y el clon I-42 presentaron una alta susceptibilidad a cancrosis, lo que motivó un altísimo porcentaje de fallas a partir del tercer año, fallas que se repitieron en menor medida en el resto de los clones P. x canadensis. Cabe concluir que los clones con mejor comportamiento bajo las condiciones del ensayo fueron: Stoneville 124, EEA Delta 107/68 e INTA 69/69.

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En los álamos, una de las enfermedades con mayor influencia en la cantidad y calidad de la madera producida es la cancrosis originada por Septoriamusiva Peck . El objetivo del trabajo fue determinar en clones híbridos de álamos (Populus spp.) la incidencia y la severidad de la enfermedad producida por Septoria, en dos micrositios de un mismo sitio regional, en Alberti, Buenos Aires, Argentina. Los clones utilizados fueron obtenidos de cruzamientos intraespecíficos de Populus deltoides e interespecíficos de P. deltoides x P. nigra (= P. x canadensis). Se determinó la susceptibilidad a la enfermedad para cada clon/micrositio mediante la estimación de la incidencia, del número de cancros en guías y ramas, y la severidad de daños (ID). Los híbridos inter e intraespecíficos de P. deltoides presentaron respuesta clonal diferencial en la susceptibilidad a la cancrosis en ambas situaciones geomórficas: los híbridos provenientes de cruzamientos intraespecíficos resultaron resistentes, y los provenientes de cruzamientos interespecíficos susceptibles a la enfermedad. Las diferencias significativas entre clones, determinadas para el número de lesiones totales por posición en ambas situaciones geomórficas, no determinaron ID diferentes. El número de cancros identificados en cada posición constituye una herramienta de estimación de la susceptibilidad clonal a la cancrosis más exacta, teniendo en cuenta que los mayores perjuicios ocurren cuando las lesiones se presentan en las guías.

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El presente trabajo estudia el empleo del olmo de Siberia (Ulmus Pumila L.) y el chopo (Populus spp.) en corta rotación y alta densidad para la producción de biomasa con fines energéticos. En el área mediterránea las disponibilidades hídricas son limitadas, por lo que la mayoría de los cultivos energéticos utilizados hasta el momento requieren el aporte de agua de riego; por ello resulta fundamental encontrar especies con bajos requerimientos hídricos, analizar la eficiencia en el uso del agua de diferentes materiales genéticos y optimizar la dosis de riego. Las parcelas experimentales se ubicaron en la provincia de Soria. En el ensayo llevado a cabo con olmo de Siberia se ha analizado el efecto en la producción de la disponibilidad de agua mediante el establecimiento de parcelas en secano y con dos dosis de riego (2000 m3 ha-1 año-1 y 4000 m3 ha-1 año-1 aproximadamente); además, al ser una especie poco estudiada hasta el momento, se ha estudiado también el efecto que tiene sobre el rendimiento la densidad de plantación (3.333 plantas ha-1 y 6.666 plantas ha-1), el tipo de suelo (2 calidades diferentes) y el turno de corta (3 y 4 años). En el caso del chopo, se han evaluado cuatro clones (AF-2, I-214, Monviso y Pegaso) establecidos con una densidad de 20.000 plantas por hectárea. Durante el primer ciclo de tres años se aportó el mismo volumen de riego a todas las parcelas, mientras que durante el segundo ciclo se establecieron 8 regímenes hídricos diferentes. Por otra parte, se ha investigado sobre el uso del potencial hídrico de las plantas para evaluar el estrés hídrico de las mismas y se ha estimado la producción de biomasa foliar y el Índice de Área Foliar (LAI) de ambas especies, relacionando los valores obtenidos con la dosis de riego y la producción de biomasa. Los resultados muestran que los suelos inundados reducen la tasa de supervivencia de los olmos durante el periodo de implantación, sin embargo la mortalidad durante los siguientes periodos vegetativos es baja y muestra buena capacidad de rebrote. La productividad (kg ha-1 año-1) obtenida fue mayor con un turno de corta de cuatro años que con turno de tres años. El área basal y la altura fueron variables eficaces para predecir la producción de biomasa del olmo de Siberia, obteniendo una variabilidad explicada de más del 80%. En cuanto a los parámetros que mayor influencia tuvieron sobre el crecimiento, el tipo de suelo resulto ser el más relevante, obteniéndose en un suelo agrícola considerado de buena calidad una producción en condiciones de secano de unos 8.000 kg ha-1 año-1. En condiciones de regadío el rendimiento del olmo de Siberia fue al menos el doble que en secano, pero la diferencia entre las dos dosis de riego estudiadas fue pequeña. La producción de biomasa fue mayor en la densidad de plantación más alta (6.666 plantas ha–1) en las parcelas de regadío, sin embargo no se encontraron diferencias significativas entre las dos densidades en secano. El clon de chopo que presentó un mayor rendimiento durante el primer ciclo fue AF-2, alcanzando los 14.000 kg ha-1 año-1, sin embargo la producción de este clon bajó sustancialmente durante el segundo ciclo debido a su mala capacidad de rebrote, pasando a ser I-214 el clon más productivo llegando también a los 14.000 kg ha-1 año-1. Un aporte adicional de agua proporcionó un incremento de la biomasa recogida, pero a partir de unos 6.500 m3 ha-1 año-1 de agua la producción se mantiene constante. El potencial hídrico foliar ha resultado ser una herramienta útil para conocer el estrés hídrico de las plantas. Los olmos de regadío apenas sufrieron estrés hídrico, mientras que los implantados en condiciones de secano padecieron un acusado estrés durante buena parte del periodo vegetativo, que se acentuó en la parte final del mismo. Los chopos regados con las dosis más altas no sufrieron estrés hídrico o fue muy pequeño, en las dosis intermedias sufrieron un estrés moderado ocasionalmente y únicamente en las dosis más bajas sufrieron puntualmente un estrés severo. El LAI aumenta con la edad de los brotes y oscila entre 2 y 4 m2 m−2 en los chopos y entre 2 y 7 m2 m−2 en los olmos. Se encontró una buena relación entre este índice y la producción de biomasa del olmo de Siberia. En general, puede decirse que el olmo de Siberia podría ser una buena alternativa para producir biomasa leñosa en condiciones de secano, mientras que el chopo podría emplearse en regadío siempre que se haga una buena elección del clon y de la dosis de riego. ABSTRACT This work explores the possibilities of biomass production, for energy purposes, of Siberian elm (Ulmus Pumila L.) and poplar (Populus spp.) in Spain. Irrigation is required for the viable cultivation of many energy crops in Mediterranean areas because of low water availability, for this reason species with low water requirements should be a good alternative for biomass production. Moreover, the optimal amount of irrigation water and the performance of the different genetic material in terms of production and water use efficiency should be studied in order to use water wisely. The experimental plots were established in the province of Soria in Spain. Given the small amount of information available about Siberian elm, besides studying the influence of water availability (rain-fed and two different irrigation doses) on biomass production, two different plantation densities (3,333 plants ha-1 and 6,666 plants ha-1), two different soil type and two cutting cycles (three years and four years) were assessed. In the case of poplar, four clones belonging to different hybrids (I-214, AF2, Pegaso, and Monviso) were included in a high density plantation (20,000 plants ha-1). During the first cycle, the water supplied in all plots was the same, while 8 different watering regimes were used during the second cycle. The suitability of the use of the leaf water potential to assess the water stress situations has also been investigated. Moreover, leaf biomass production and leaf area index (LAI) were estimated in both species in order to analyze the relationship between these parameters, irrigation dose and biomass production. The results shows that flooded soils have an adverse effect on elm survival in the implantation period, but the percentage of mortality is very low during the following vegetative periods and it shows a good ability of regrowth. The annual yield from a four-year cutting cycle was significantly greater than that from the three-year cutting cycle. Basal diameter and height are effective variables for predicting the production of total biomass; equations with R squared higher than 80% were obtained. The analysis of parameters having an influence on elm growth shows that soil type is the most important factor to obtain a good yield. In soils with enough nutrients and higher waterholding capacity, biomass productions of 8,000 kg ha-1 yr-1 were achieved even under rain-fed conditions. In irrigated plots, Siberian elm production was double than the production of biomass under rain-fed conditions; however, small differences were obtained between the 2 different irrigation doses under study. Biomass yield was greater for the highest planting density (6,666 plants ha–1) in irrigated plots, but significant differences were not found between the 2 densities in rain-fed plots. The clone AF-2 showed the highest production (14,000 kg ha-1 yr-1) during the first cycle, however during the second cycle its growth was lower because of a high mortality rate after regrowth and I-214 achieves the greatest production (14,000 kg ha-1 yr-1). An additional water supply provided a greater amount of biomass, but over about 6500 m3 ha-1 yr-1 of water the production is constant. Leaf water potential has been shown to be a useful tool for finding out plant water status. Irrigated elms hardly suffered water stress, while rain-fed elms suffered a pronounced water stress, which was more marked at the end of the vegetative period. Most of poplars did not show water stress; leaf water potentials only showed an important water stress in the plots irrigated with the lowest doses. LAI increases with shoot age and it ranges from 2 to 4 m2 m−2 in poplars and from 2 to 7 m2 m−2 in elms. A good relationship has been found between this index and Siberian elm production. In general, Siberian elm could be a good alternative to produce woody biomass in rainfed plots, while poplar could be used in irrigated plots if a suitable clone and irrigation dose are chosen.

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The technique of delineating Populus tremuloides (Michx.) clonal colonies based on morphology and phenology has been utilized in many studies and forestry applications since the 1950s. Recently, the availability and robustness of molecular markers has challenged the validity of such approaches for accurate clonal identification. However, genetically sampling an entire stand is largely impractical or impossible. For that reason, it is often necessary to delineate putative genet boundaries for a more selective approach when genetically analyzing a clonal population. Here I re-evaluated the usefulness of phenotypic delineation by: (1) genetically identifying clonal colonies using nuclear microsatellite markers, (2) assessing phenotypic inter- and intraclonal agreement, and (3) determining the accuracy of visible characters to correctly assign ramets to their respective genets. The long-term soil productivity study plot 28 was chosen for analysis and is located in the Ottawa National Forest, MI (46° 37'60.0" N, 89° 12'42.7" W). In total, 32 genets were identified from 181 stems using seven microsatellite markers. The average genet size was 5.5 ramets and six of the largest were selected for phenotypic analyses. Phenotypic analyses included budbreak timing, DBH, bark thickness, bark color or brightness, leaf senescence, leaf serrations, and leaf length ratio. All phenotypic characters, except for DBH, were useful for the analysis of inter- and intraclonal variation and phenotypic delineation. Generally, phenotypic expression was related to genotype with multiple response permutation procedure (MRPP) intraclonal distance values ranging from 0.148 and 0.427 and an observed MRPP delta value=0.221 when the expected delta=0.5. The phenotypic traits, though, overlapped significantly among some clones. When stems were assigned into phenotypic groups, six phenotypic groups were identified with each group containing a dominant genotype or clonal colony. All phenotypic groups contained stems from at least two clonal colonies and no clonal colony was entirely contained within one phenotypic group. These results demonstrate that phenotype varies with genotype and stand clonality can be determined using phenotypic characters, but phenotypic delineation is less precise. I therefore recommend that some genetic identification follow any phenotypic delineation. The amount of genetic identification required for clonal confirmation is likely to vary based on stand and environmental conditions. Further analysis, however, is needed to test these findings in other forest stands and populations.

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As organizations reach higher levels of business process management maturity, they often find themselves maintaining very large process model repositories, representing valuable knowledge about their operations. A common practice within these repositories is to create new process models, or extend existing ones, by copying and merging fragments from other models. We contend that if these duplicate fragments, a.k.a. ex- act clones, can be identified and factored out as shared subprocesses, the repository’s maintainability can be greatly improved. With this purpose in mind, we propose an indexing structure to support fast detection of clones in process model repositories. Moreover, we show how this index can be used to efficiently query a process model repository for fragments. This index, called RPSDAG, is based on a novel combination of a method for process model decomposition (namely the Refined Process Structure Tree), with established graph canonization and string matching techniques. We evaluated the RPSDAG with large process model repositories from industrial practice. The experiments show that a significant number of non-trivial clones can be efficiently found in such repositories, and that fragment queries can be handled efficiently.

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Approximate clone detection is the process of identifying similar process fragments in business process model collections. The tool presented in this paper can efficiently cluster approximate clones in large process model repositories. Once a repository is clustered, users can filter and browse the clusters using different filtering parameters. Our tool can also visualize clusters in the 2D space, allowing a better understanding of clusters and their member fragments. This demonstration will be useful for researchers and practitioners working on large process model repositories, where process standardization is a critical task for increasing the consistency and reducing the complexity of the repository.

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Subterranean clover stunt disease is an economically important aphid-borne virus disease affecting certain pasture and grain legumes in Australia. The virus associated with the disease, subterranean clover stunt virus (SCSV), was previously found to be representative of a new type of single-stranded DNA virus. Analysis of the virion DNA and restriction mapping of double-stranded cDNA synthesized from virion DNA suggested that SCSV has a segmented genome composed of 3 or 4 different species of circular ssDNA each of about 850-880 nucleotides. To further investigate the complexity of the SCSV genome, we have isolated the replicative form DNA from infected pea and from it prepared putative full-length clones representing the SCSV genome segments. Analysis of these clones by restriction mapping indicated that clones representing at least 4 distinct genomic segments were obtained. This method is thus suitable for generating an extensive genomic library of novel ssDNA viruses containing multiple genome segments such as SCSV and banana bunchy top virus. The N-terminal amino acid sequence and amino acid composition of the coat protein of SCSV were determined. Comparison of the amino acid sequence with partial DNA sequence data, and the distinctly different restriction maps obtained for the full-length clones suggested that only one of these clones contained the coat protein gene. The results confirmed that SCSV has a functionally divided genome composed of several distinct ssDNA circles each of about 1 kb.

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AIMS: To investigate the evolutionary origins of Australian healthcare-associated (HCA) methicillin-resistant Staphylococcus aureus (MRSA) strains from a panel of historical isolates typed using current genotyping techniques. METHODS: Nineteen MRSA isolates from 1965 to 1981 were examined and antibiotic susceptibility profiles determined. Genetic characterisation included real-time (RT) polymerase chain reaction (PCR) assays to identify single nucleotide polymorhpism (SNP) clonal complexes (SNP CC) and sequence type (SNP ST), multi locus sequence typing (MLST) and staphylococcal chromosomal cassette mec typing. RESULTS: All SNP CC30 isolates belonged to a novel sequence type, ST2249. All SNP CC239 isolates were confirmed as ST239-MRSA-III, except for a new single locus variant of ST239, ST2275. A further new type, ST2276, was identified. CONCLUSIONS: The earliest MRSA examined from 1965 was confirmed as ST250-MRSA-I, consistent with archaic European types. Identification of ST1-MRSA-IV in 1981 is the earliest appearance of this clinically important lineage which manifested in Australia and the United States in the 1990s. A previously unknown multi-resistant clone, ST2249-MRSA-III, was identified from 1973. Gentamicin resistance first appeared in this novel strain from 1976 and not ST239 as previously suspected. Thus, ST2249 was present in the earliest phase of the HCA MRSA epidemic in eastern Australia and was perhaps related to the emergence of the globally epidemic strain ST239.

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It is often said that Australia is a world leader in rates of copyright infringement for entertainment goods. In 2012, the hit television show, Game of Thrones, was the most downloaded television show over bitorrent, and estimates suggest that Australians accounted for a plurality of nearly 10% of the 3-4 million downloads each week. The season finale of 2013 was downloaded over a million times within 24 hours of its release, and again Australians were the largest block of illicit downloaders over BitTorrent, despite our relatively small population. This trend has led the former US Ambassador to Australia to implore Australians to stop 'stealing' digital content, and rightsholders to push for increasing sanctions on copyright infringers. The Australian Government is looking to respond by requiring Internet Service Providers to issue warnings and potentially punish consumers who are alleged by industry groups to have infringed copyright. This is the logical next step in deterring infringement, given that the operators of infringing networks (like The Pirate Bay, for example) are out of regulatory reach. This steady ratcheting up of the strength of copyright, however, comes at a significant cost to user privacy and autonomy, and while the decentralisation of enforcement reduces costs, it also reduces the due process safeguards provided by the judicial process. This article presents qualitative evidence that substantiates a common intuition: one of the major reasons that Australians seek out illicit downloads of content like Game of Thrones in such numbers is that it is more difficult to access legitimately in Australia. The geographically segmented way in which copyright is exploited at an international level has given rise to a ‘tyranny of digital distance’, where Australians have less access to copyright goods than consumers in other countries. Compared to consumers in the US and the EU, Australians pay more for digital goods, have less choice in distribution channels, are exposed to substantial delays in access, and are sometimes denied access completely. In this article we focus our analysis on premium film and television offerings, like Game of Thrones, and through semi-structured interviews, explore how choices in distribution impact on the willingness of Australian consumers to seek out infringing copies of copyright material. Game of Thrones provides an excellent case study through which to frame this analysis: it is both one of the least legally accessible television offerings and one of the most downloaded through filesharing networks of recent times. Our analysis shows that at the same time as rightsholder groups, particularly in the film and television industries, are lobbying for stronger laws to counter illicit distribution, the business practices of their member organisations are counter-productively increasing incentives for consumers to infringe. The lack of accessibility and high prices of copyright goods in Australia leads to substantial economic waste. The unmet consumer demand means that Australian consumers are harmed by lower access to information and entertainment goods than consumers in other jurisdictions. The higher rates of infringement that fulfils some of this unmet demand increases enforcement costs for copyright owners and imposes burdens either on our judicial system or on private entities – like ISPs – who may be tasked with enforcing the rights of third parties. Most worryingly, the lack of convenient and cheap legitimate digital distribution channels risks undermining public support for copyright law. Our research shows that consumers blame rightsholders for failing to meet market demand, and this encourages a social norm that infringing copyright, while illegal, is not morally wrongful. The implications are as simple as they are profound: Australia should not take steps to increase the strength of copyright law at this time. The interests of the public and those of rightsholders align better when there is effective competition in distribution channels and consumers can legitimately get access to content. While foreign rightsholders are seeking enhanced protection for their interests, increasing enforcement is likely to increase their ability to engage in lucrative geographical price-discrimination, particularly for premium content. This is only likely to increase the degree to which Australian consumers feel that their interests are not being met and, consequently, to further undermine the legitimacy of copyright law. If consumers are to respect copyright law, increasing sanctions for infringement without enhancing access and competition in legitimate distribution channels could be dangerously counter-productive. We suggest that rightsholders’ best strategy for addressing infringement in Australia at this time is to ensure that Australians can access copyright goods in a timely, affordable, convenient, and fair lawful manner.

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Empirical evidence shows that repositories of business process models used in industrial practice contain significant amounts of duplication. This duplication arises for example when the repository covers multiple variants of the same processes or due to copy-pasting. Previous work has addressed the problem of efficiently retrieving exact clones that can be refactored into shared subprocess models. This article studies the broader problem of approximate clone detection in process models. The article proposes techniques for detecting clusters of approximate clones based on two well-known clustering algorithms: DBSCAN and Hi- erarchical Agglomerative Clustering (HAC). The article also defines a measure of standardizability of an approximate clone cluster, meaning the potential benefit of replacing the approximate clones with a single standardized subprocess. Experiments show that both techniques, in conjunction with the proposed standardizability measure, accurately retrieve clusters of approximate clones that originate from copy-pasting followed by independent modifications to the copied fragments. Additional experiments show that both techniques produce clusters that match those produced by human subjects and that are perceived to be standardizable.

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This article considers the integral role played by patent law in respect of stem cell research. It highlights concerns about commercialization, access to essential medicines and bioethics. The article maintains that there is a fundamental ambiguity in the Patents Act 1990 (Cth) as to whether stem cell research is patentable subject matter. There is a need to revise the legislation in light of the establishment of the National Stem Cell Centre and the passing of the Research Involving Embryos Act 2002 (Cth). The article raises concerns about the strong patent protection secured by the Wisconsin Alumni Research Foundation and Geron Corporation in respect of stem cell research in the United States. It contends that a number of legal reforms could safeguard access to stem cell lines, and resulting drugs and therapies. Finally, this article explores how ethical concerns are addressed within the framework of the European Biotechnology Directive. It examines the decision of the European Patent Office in relation to the so-called Edinburgh patent, and the inquiry of the European Group on Ethics in Science and New Technologies into The Ethical Aspects of Patenting Involving Human Stem Cells.

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Two monoclonal antibodies (mAb) CB268 and CII-C1 to type II collagen (CII) react with precisely the same conformational epitope constituted by the residues ARGLT on the three chains of the CII triple helix. The antibodies share structural similarity, with most differences in the complementarity determining region 3 of the heavy chain (HCDR3). The fine reactivity of these mAbs was investigated by screening two nonameric phage-displayed random peptide libraries. For each mAb, there were phage clones (phagotopes) that reacted strongly by ELISA only with the selecting mAb, and inhibited binding to CII only for that mAb, not the alternate mAb. Nonetheless, a synthetic peptide RRLPFGSQM corresponding to an insert from a highly reactive CII-C1-selected phagotope, which was unreactive (and non-inhibitory) with CB268, inhibited the reactivity of CB268 with CII. Most phage-displayed peptides contained a motif in the first part of the molecule that consisted of two basic residues adjacent to at least one hydrophobic residue (e.g. RRL or LRR), but the second portion of the peptides differed for the two mAbs. We predict that conserved CDR sequences interact with the basic-basic-hydrophobic motif, whereas non-conserved amino acids in the binding sites (especially HCDR3) interact with unique peptide sequences and limit cross-reactivity. The observation that two mAbs can react identically with a single epitope on one antigen (CII), but show no cross-reactivity when tested against a second (phagotope) indicates that microorganisms could exhibit mimics capable of initiating autoimmunity without this being evident from conventional assays.

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The sheep (Ovis aries) is favored by many musculoskeletal tissue engineering groups as a large animal model because of its docile temperament and ease of husbandry. The size and weight of sheep are comparable to humans, which allows for the use of implants and fixation devices used in human clinical practice. The construction of a complimentary DNA (cDNA) library can capture the expression of genes in both a tissue- and time-specific manner. cDNA libraries have been a consistent source of gene discovery ever since the technology became commonplace more than three decades ago. Here, we describe the construction of a cDNA library using cells derived from sheep bones based on the pBluescript cDNA kit. Thirty clones were picked at random and sequenced. This led to the identification of a novel gene, C12orf29, which our initial experiments indicate is involved in skeletal biology. We also describe a polymerase chain reaction-based cDNA clone isolation method that allows the isolation of genes of interest from a cDNA library pool. The techniques outlined here can be applied in-house by smaller tissue engineering groups to generate tools for biomolecular research for large preclinical animal studies and highlights the power of standard cDNA library protocols to uncover novel genes.