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11.
Theoretical results show that the amplitude of a borehole source is reduced when the well in which it is operated is cased and cemented. This reduction is a strong function of the formation velocity and is more weakly dependent on the direction of propagation of the wave travelling from source to receiver and on the diameter of the borehole itself. We have tested these predictions with data gathered in a cross-hole seismic experiment conducted in two stages in 1990 and 1991. The source and receivers were located in the MIT/Stech 1-21A and MIT/Burch 1-20B wells at the Earth Resources Laboratory (ERL) test site in Michigan (USA). Though the source well (MIT/Stech 1-21A) was uncased in 1990, a steel casing and cement were added prior to the collection of data in 1991. Several receiver positions were reoccupied to compare data collected with the source in open and cased holes. Using a velocity model for this area and borehole diameter measurements from a calliper log, a compensation factor can be computed that will adjust the data collected in 1991 to have amplitudes comparable to that collected in the first stage of the experiment. The accuracy of the results demonstrates the validity of the theory, which can be very useful in better understanding seismic waveforms recorded in cross-hole experiments.  相似文献   
12.
Extreme uplift associated with the formation of the 2.02 Ga Vredefort dome has exposed a substantial cross section through the crystalline early Archean basement complex rocks of the Kaapvaal craton. The rocks comprise polydeformed high-grade tonalite-trondhjemite-granodiorite (TTG) gneisses, migmatites and late-tectonic intrusive granitoids that straddle the upper amphibolite-to granulite-facies transition. Field, petrographic and geochemical data indicate that compositional heterogeneity occurs on a local scale and reflects the migmatitic character of the rocks rather than crustal-scale layering as has been previously proposed. No evidence has been found to support exposure of either a melt-depleted, refractory, lower crust or an upper crustal batholithic granite layer; however, the immense volume of granitic leucosome in the rocks suggests that the exposed section represents an intermediate level between these two zones. Granitic leucosomes in the upper amphibolite-facies migmatites appear to be intrusive into the predominantly trondhjemitic host rocks, rather than of in situ derivation. Leucosome compositions in the granulite-facies migmatites are more variable, ranging from granitic and charnockitic to enderbitic, probably reflecting at least some local derivation. Leucosomes and small granitoid bodies show local-scale geochemical variation that can be explained in terms of variable amounts of melt segregation and migration, and fractionation of minerals such as K-feldspar within the melts.  相似文献   
13.
This paper continues recent discussions on the (geo)politics of the production of academic knowledges, in relation to the recent rise of narratives of 'the creative economy'. Creativity and the 'creative industries' are increasingly common components of urban economic development discourse, especially following the release of a set of key books – most notably Charles Landry's The Creative City (2000), and Richard Florida's The Rise of the Creative Class (2002) – that have become popular among economic development planners and cultural policy makers. This paper focuses on the traffic of these books, and their authors, beyond the Anglo-American core. It also briefly discusses policy discourses interpreted from these texts. It is principally, though, a critique of the ways in which academic knowledges circulate, stemming from theorization of academics as creative producers, and of knowledge production as part of the creative economy. The article seeks to critique the means by which particular northern economic knowledges become normative, framed as universal and 'global', and are distributed and absorbed via intellectual 'scenes' and an academic 'celebrity' circuit.  相似文献   
14.
Studies were conducted in the central Mojave Desert to quantify how creosote bushes (Larrea tridentata) respond to physical damage during large-scale military training exercises. Creosote bush possesses a resilient growth form that recovers from repeated physical damage via resprouts arising from meristems in stem bark below severed or crushed canopy units. At high levels of disturbance by heavy vehicles, nearly all individuals showed measurable breakage, but without additional damage each plant can regain a full canopy within 5 years under arid field conditions. Resprouts exhibited more vigorous growth and doubled the biomass accumulation stimulated by high rainfall of 1998, an El Niño year, vs. a normal year. New shoots of resprouted individuals were markedly different in morphological traits than canopy old growth and had slightly higher predawn shoot water potentials. The natural ability of this evergreen species to recover from cutting and crushing bodes well for re-establishment of creosote bush desert scrub communities following episodes of severe damage by vehicles.  相似文献   
15.
Tritium concentrations were measured in a survey of 24 lakes, 15 wetlands, and 133 groundwaters in the oil sands region of northeastern Alberta and compared with both recent precipitation and precipitation sampled during the 1960s tritium peak caused by atmospheric thermonuclear weapons testing. Water samples from lakes included a group of 14 thaw lakes that had higher runoff attributed to melting of permafrost in peat plateaus within their watersheds. While tritium in all lakes was found to be intermediate between recent and 1960s concentrations, the thaw lakes were found to be significantly enriched in tritium compared with other lakes, as were unfrozen wetlands characterized by a thick sequence of low‐hydraulic conductivity peat. The results provide further evidence of different water sources to the thaw lakes and may indicate that melting of modern permafrost in part formed since the 1950s is occurring in these systems. Copyright © 2015 John Wiley & Sons, Ltd.  相似文献   
16.
Here we examine the arrangement of plant species across an oligotrophic bog/poor fen peatland complex in the North American boreal plain and the relationships of these species to their physical and chemical environment. A semi‐uniform spatial sampling approach was utilized to describe the species assemblages, pore‐water chemistry and physical condition of 100 plots throughout a single peatland complex. Regardless of sharing the same ground cover of Sphagnum mosses, the remaining species separated into four distinct assemblages, each with unique indicators. These species groups along with associated chemical and physical factors are organized into four ecosites: bog, margin (edge) and two poor fen ecosites. The plant assemblages of this peatland have a complex relationship with numerous gradients, both physical and chemical, including depth to water table, shade, pH, nutrient and base cation. Rather than being homogenous across the landscape, most environmental variables exhibit distinct spatial patterns and do so in relationship to the plant assemblages, forming spatially distinct ecosites across the complex. Base cation concentrations play a smaller role than previously thought in differentiating these ecosites, and in addition to shade and depth to water table, nitrogen in the form of dissolved organic nitrogen was highly related to the placement of these ecosites. Many significant chemical factors appear related to evaporative water loss within the peatland complex, and these chemical factors are used to differentiate the ecosites. However, the mediation of evaporative water loss is due largely to self‐generated responses of the plant assemblages related to shade through plant morphology and peat acrotelm development related to depth to water table. We conclude that plant species and associated environmental gradients act together to form spatially distinct ecosites. The distribution of these ecosites within this large, environmentally complex peatland is largely controlled by differing self‐generated responses along the hydrotopographical gradient of differential water loss.  相似文献   
17.
Theoretical analysis and laboratory column experiments were carried out to investigate the conditions required for petroleum products (oil) to flow into a well installed through a sandy porous medium contaminated with the oil. The results indicated that oil would flow into a well only after a layer of "free oil" is formed in the adjacent porous medium. Because significant quantities of oil could be stored in the porous medium under the influence of capillary suction prior to the formation of the zone of free oil, the presence of oil in a well would indicate an advanced stage of oil contamination of the subsurface. While monitoring wells could be used to delineate the extent of the free-oil plume and the plume of dissolved petroleum constituents, they are not useful for delineating the extent of capillary held oil.
The experimental results also indicated that the ratio of the oil-layer thickness in the well to that in the porous medium is not a constant as is sometimes assumed in practice. Further, estimates of the oil thickness in the medium based on the oil thickness in wells and on capillary properties measured in the laboratory were sensitive to the values of the parameters used in these estimates. The measured thickness of the oil layer in a monitoring well alone may not yield reliable estimates of the amount of oil in the subsurface, and assuming that the oil-thickness ratio is a constant can lead to inadequate site assessments and inappropriate remedial plans.  相似文献   
18.
Three types of seismic data recorded near Coalinga, California were analyzed to study the behavior of scattered waves: 1) aftershocks of the May 2, 1983 earthquake, recorded on verticalcomponent seismometers deployed by the USGS; 2) regional refraction profiles using large explosive sources recorded on essentially the same arrays above; 3) three common-midpoint (CMP) reflection surveys recorded with vibrator sources over the same area. Records from each data set were bandpassed filtered into 5 Hz wide passbands (over the range of 1–25 Hz), corrected for geometric spreading, and fit with an exponential model of amplitude decay. Decay rates were expressed in terms of inverse codaQ (Q c –1 ).Q c –1 values for earthquake and refraction data are generally comparable and show a slight decrease with increasing frequency. Decay rates for different source types recorded on proximate receivers show similar results, with one notable exception. One set of aftershocks shows an increase ofQ c –1 with frequency.Where the amplitude decay rates of surface and buried sources are similar, the coda decay results are consistent with other studies suggesting the importance of upper crustal scattering in the formation of coda. Differences in the variation ofQ c –1 with frequency can be correlated with differences in geologic structure near the source region, as revealed by CMP-stacked reflection data. A more detailed assessment of effects such as the depth dependence of scattered contributions to the coda and the role of intrinsic attenuation requires precise control of source-receiver field geometry and the study of synthetic seismic data calculated for velocity models developed from CMP reflection data.  相似文献   
19.
20.
One of the major puzzles presented by the geochemistry of the Palaeocene plateau lavas of Skye and Mull (N.W. Scotland) is that, although a very strong case can be made that the magmas are variably isotopically contaminated by Archaean Lewisian continental crust, little evidence has been gleaned to date from their major- and trace-element compositions to illuminate this hypothetical process. The combined results of published Sr-, Nd- and Pb-isotope studies of these lavas allow the basalts and hawaiites to be divided into three broad groups: essentially uncontaminated; contaminated with granulite-facies Archaean crust; contaminated with amphibolite-facies Archaean crust. Members of each group show distinctive chondrite-normalised incompatible-element patterns. The processes which gave rise to isotopic contamination of these lavas also affected the abundances and ratios of Ba, Rb, Th, K, Sr and light REE in the magmas, whilst having negligible effects on their abundances and ratios of Nb, Ta, P, Zr, Hf, Ti, Y and middle-heavy REE. Because such a wide range of elements were affected by the contamination process, it is postulated that the contaminant was a silicate melt of one or more distinctive crustal rock types, rather than an aqueous or similar fluid causing selective elemental movements from wall rocks into the magmas. As previous experimental and isotopic studies have shown that the Skye and Mull basic magmas were not constrained by cotectic equilibria at the time when they interacted with sial, the compositions of the contaminated lavas have been modelled in terms of simple magma-crust mixtures. Very close approximations to both the abundances and ratios of incompatible elements in the two groups of contaminated basalts may be obtained by adding 15% to 20% of Lewisian leucogneisses to uncontaminated Palaeocene basalt. Nevertheless, major-element constraints suggest that the maximum amount of granitic contaminant which has been added to these magmas lies between 5% and 10%. These estimates may be reconciled by postulating that the contaminants were large-fraction cotectic partial melts of Lewisian leucogneisses, leaving plagioclase residua. A corollary of this hypothesis is that it is necessary to postulate that the magma chambers where the sialic contamination occurred were, in fact, dykes or (more probably) sills. The very large surface-to-volume ratios of such magmas bodies would permit the systematic stripping, by partial melting, of the most-easily-fusible leucogneisses and pegmatites from the Lewisian crust, whilst failing to melt its major rock types. A present-day analogue to this situation may be the extensive sill-like magma bodies detected by geophysical methods within the continental crust beneath the Rio Grande Rift, southwestern U.S.A.  相似文献   
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