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101.
This study examined the effects of watershed development on macrobenthic communities in tidal creeks of Charleston Harbor, South Carolina, U.S. Two types of creeks were evaluated: upland creeks which drained watersheds consisting of at least 15% terrestrial land cover, and salt marsh creeks which drained no upland habitat (i.e., only intertidal habitat). Samples of macrobenthic organisms were taken along the longitudinal axis of twenty-three primary (first order) tidal creeks. Water and sediment quality data were also collected including measurements of dissolved oxygen, salinity, temperature, sediment characteristics, and toxic chemicals in the creek sediments. Hypoxic conditions occurred more than 15% of the time in both reference and developed creeks and were a natural attribute of these systems. The most severe and frequent hypoxia occurred in impacted salt marsh creeks. Salinity fluctuations were the greatest in developed upland creeks and salinity range was identified as a potentially reliable indicator of the degree to which watershed development has altered hydrodynamic processes. The creeks draining urban and industrial watersheds were degraded environments characterized by watersheds with high (>50%) levels of impervious surface, broad fluctuations in salinity, severe hypoxia, and potentially toxic levels of chemicals in the sediment. These creeks had low macrobenthic diversity and abundance and were numerically dominated by the oligochaeteMonopylephorus rubroniveus in mud sediments, and the polychaeteLaeoreis culveri in sand sediments. Suburban watersheds had 15–35% impervious surface and creeks draining them were exposed to frequent hypoxia and broad salinity fluctuations. The levels of chemical contaminants in sediments of suburban and impacted salt marsh creeks were generally not different from the levels in reference creeks. Macrobenthic diversity and abundance were higher for suburban and impacted salt marsh creeks than for urban and industrial creeks. However, suburban and salt marsh impacted creeks were numerically dominated by a few pollution indicative species including the oligochaetesM. rubroniveus andTubificoides brownae and the polychaeteL. culveri. These creeks appear to be exhibiting early signs of degradation (e.g., a simplified food web). Two promising community-level macrobenthic metrics for assessing environmental quality were identified: the proportional abundance of pollution indicative taxa, and the proportional abundance of pollution sensitive taxa. These indicators were significantly (p<0.05) correlated with the salinity range, the level of chemical contaminants in sediments, and amount of impervious surface in the watershed.  相似文献   
102.
Iterative methods for the solution of non‐linear finite element equations are generally based on variants of the Newton–Raphson method. When they are stable, full Newton–Raphson schemes usually converge rapidly but may be expensive for some types of problems (for example, when the tangent stiffness matrix is unsymmetric). Initial stiffness schemes, on the other hand, are extremely robust but may require large numbers of iterations for cases where the plastic zone is extensive. In most geomechanics applications it is generally preferable to use a tangent stiffness scheme, but there are situations in which initial stiffness schemes are very useful. These situations include problems where a nonassociated flow rule is used or where the zone of plastic yielding is highly localized. This paper surveys the performance of several single‐parameter techniques for accelerating the convergence of the initial stiffness scheme. Some simple but effective modifications to these procedures are also proposed. In particular, a modified version of Thomas' acceleration scheme is developed which has a good rate of convergence. Previously published results on the performance of various acceleration algorithms for initial stiffness iteration are rare and have been restricted to relatively simple yield criteria and simple problems. In this study, detailed numerical results are presented for the expansion of a thick cylinder, the collapse of a rigid strip footing, and the failure of a vertical cut. These analyses use the Mohr–Coulomb and Tresca yield criteria which are popular in soil mechanics. Copyright © 2000 John Wiley & Sons, Ltd.  相似文献   
103.
  1. Xenoliths of ultrabasic, ultramafic, gabbroic or syenitic type occur in Teneriffe: dunites and clino-pyroxenites in the old alkalic basalt formations of Teno and Anaga peninsulas; gabbroic xenoliths in the Pedro Gil region; nepheline-syenite xenoliths in the Las Canadas and Vilaflor regions where intermediate and phonolitic lavas are abundant; ultramafic, clino-pyroxenite and syenitic xenoliths in the Anaga peninsula where there are many intrusions of nepheline-syenite and phonolitic syenite. Several xenoliths show signs of cataclasis, recrystallisation or reaction of their minerals with the host liquids.
  2. The ultrabasic, ultramafic and anorthoclase-rich xenoliths appear to be of cumulus origin, subtracted from basic to intermediate alkalic liquids. Major cumulus phases are: magnesium-rich olivine, sub-silicic, aluminous pyroxene, titanomagnetite, sub-silicic potassic kaersutite, and anorthoclase. It is suggested that the xenoliths formed at depths between 11 km and 30 km, largely under wet conditions that helped suppress formation of cumulus plagioclase.
  3. The subtraction of kaersutite from liquids of intermediate composition is thought to be a means of producing the gap in silica content between the Teneriffe trachybasalts and the more siliceous trachyphonolites and phonolites. It is also suggested that the subtraction of kaersutite and anorthoclase would considerably deplete residual liquids in alumina whilst enriching then in soda and this might be the means of producing peralkaline liquids.
  4. The presence of the xenoliths supports the geophysical data that indicated that Teneriffe has a sub-crustal structure of plutonic rocks. Correlation of the Teneriffe plutonic xenoliths with exposed plutonic basement rocks from other Canary Islands, which are believed to have similar sub-crustal structures, is considered necessary.
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104.
A new record from Potato Lake, central Arizona, details vegetation and climate changes since the mid-Wisconsin for the southern Colorado Plateau. Recovery of a longer record, discrimination of pine pollen to species groups, and identification of macrofossil remains extend Whiteside's (1965) original study. During the mid-Wisconsin (ca. 35,000-21,000 yr B.P.) a mixed forest of Engelmann spruce (Picea engelmannii) and other conifers grew at the site, suggesting a minimum elevational vegetation depression of ca. 460 m. Summer temperatures were as much as 5°C cooler than today. During the late Wisconsin (ca. 21,000-10,400 yr B.P.), even-cooler temperatures (7°C colder than today; ca. 800 m depression) allowed Engelmann spruce alone to predominate. Warming by ca. 10,400 yr B.P. led to the establishment of the modern ponderosa pine (Pinus ponderosa) forest. Thus, the mid-Wisconsin was not warm enough to support ponderosa pine forests in regions where the species predominates today. Climatic estimates presented here are consistent with other lines of evidence suggesting a cool and/or wet mid-Wisconsin, and a cold and/or wet late-Wisconsin climate for much of the Southwest. Potato Lake was almost completely dry during the mid-Holocene, but lake levels increased to near modern conditions by ca. 3000 yr B.P.  相似文献   
105.
One-dimensional turbulence (ODT) is a single-column simulation in which vertical motions are represented by an unsteady advective process, rather than their customary representation by a diffusive process. No space or time averaging of mesh-resolved motions is invoked. Molecular-transport scales can be resolved in ODT simulations of laboratory-scale flows, but this resolution of these scales is prohibitively expensive in ODT simulations of the atmospheric boundary layer (ABL), except possibly in small subregions of a non-uniform mesh.Here, two methods for ODT simulation of the ABL on uniform meshes are described and applied to the GABLS (GEWEX Atmospheric Boundary Layer Study; GEWEX is the Global Energy and Water Cycle Experiment) stable boundary-layer intercomparison case. One method involves resolution of the roughness scale using a fixed eddy viscosity to represent subgrid motions. The other method, which is implemented at lower spatial resolution, involves a variable eddy viscosity determined by the local mesh-resolved flow, as in multi-dimensional large-eddy simulation (LES). When run at typical LES resolution, it reproduces some of the key high-resolution results, but its fidelity is lower in some important respects. It is concluded that a more elaborate empirically based representation of the subgrid physics, closely analogous to closures currently employed in LES of the ABL, might improve its performance substantially, yielding a cost-effective ABL simulation tool. Prospects for further application of ODT to the ABL, including possible use of ODT as a near-surface subgrid closure framework for general circulation modeling, are assessed.  相似文献   
106.
In principle, many climate policymakers have accepted that large-scale carbon dioxide removal (CDR) is necessary to meet the Paris Agreement’s mitigation targets, but they have avoided proposing by whom CDR might be delivered. Given its role in international climate policy, the European Union (EU) might be expected to lead the way. But among EU climate policymakers so far there is little talk on CDR, let alone action. Here we assess how best to ‘target’ CDR to motivate EU policymakers exploring which CDR target strategy may work best to start dealing with CDR on a meaningful scale. A comprehensive CDR approach would focus on delivering the CDR volumes required from the EU by 2100, approximately at least 50 Gigatonnes (Gt) CO2, according to global model simulations aiming to keep warming below 2°C. A limited CDR approach would focus on an intermediate target to deliver the CDR needed to reach ‘net zero emissions’ (i.e. the gross negative emissions needed to offset residual positive emissions that are too expensive or even impossible to mitigate). We argue that a comprehensive CDR approach may be too intimidating for EU policymakers. A limited CDR approach that only addresses the necessary steps to reach the (intermediate) target of ‘net zero emissions’ is arguably more achievable, since it is a better match to the existing policy paradigm and would allow for a pragmatic phase-in of CDR while avoiding outright resistance by environmental NGOs and the broader public.

Key policy insights

  • Making CDR an integral part of EU climate policy has the potential to significantly reshape the policy landscape.

  • Burden sharing considerations would probably play a major role, with comprehensive CDR prolonging the disparity and tensions between progressives and laggards.

  • Introducing limited CDR in the context of ‘net zero’ pathways would retain a visible primary focus on decarbonization but acknowledge the need for a significant enhancement of removals via ‘natural’ and/or ‘engineered’ sinks.

  • A decarbonization approach that intends to lead to a low level of ‘residual emissions’ (to be tackled by a pragmatic phase-in of CDR) should be the priority of EU climate policy.

  相似文献   
107.
We report here on the observation and offline detection of the meteotsunami off the New Jersey coast on June 13, 2013, using coastal radar systems and tide gauges. This work extends the previous observations of tsunamis originating in Japan and Indonesia. The radars observed the meteotsunami 23 km offshore, 47 min before it arrived at the coast. Subsequent observations showed it moving onshore. The neighboring tide gauge height reading provides confirmation of the radar observations near the shore.  相似文献   
108.
109.
Volcano monitoring in NZ and links to SW Pacific via the Wellington VAAC   总被引:1,自引:0,他引:1  
Monitoring for natural hazards like earthquakes, volcanic eruptions and landslides in New Zealand is under taken by GNS Science through the GeoNet project, funded by the Earthquake Commission (EQC). The volcano monitoring function, which includes seismograph and GPS networks, visual observations, webcams, deformation, gas and chemical measurements, assesses the status of New Zealand’s 12 active volcanoes and disseminates warnings as necessary. Interaction with the Wellington VAAC addresses aviation concerns. Near-real-time data is obtained from the monitoring networks and processed via two data centres, with two Duty Officers who respond to pager alerts. Through the National Civil Defence Plan, the volcano monitoring function is delegated to GNS Science, which is responsible for setting the volcanic alert level at each volcano. The Alert level is then used by responding agencies, industries, utility providers and the public to set their response. The New Zealand alert level system is based on the current status of the volcano, and is not necessarily predictive. The aviation industry is one of these responding industries. As a consequence of the 1995 and 1996 eruptions of Ruapehu volcano, it became apparent that the aviation industry required more information than the standard VAAC data and an additional service known as VAAS (NZ Volcanic Ash Advisory System) was established by MetService NZ and GNS Science. This arrangement provides enhanced services to the airlines and ensures rapid dissemination and quantification of information like SIGMET and NOTAM. GNS Science has informal relationships with similar geological based organisations in SW Pacific countries, especially Vanuatu and the Solomon Islands, and is able to quantify information about eruptions in those countries. Similarly, MetService NZ has relationships and is able to obtain pilot reports and updates from the meteorological and air traffic control organisations.  相似文献   
110.
Discharge of Fe(II)-rich groundwaters into surface-waters results in the accumulation of Fe(III)-minerals in salinized sand-bed waterways of the Hunter Valley, Australia. The objective of this study was to characterise the mineralogy, micromorphology and pore-water geochemistry of these Fe(III) accumulations. Pore-waters had a circumneutral pH (6.2–7.2), were sub-oxic to oxic (Eh 59–453 mV), and had dissolved Fe(II) concentrations up to 81.6 mg L−1. X-ray diffraction (XRD) on natural and acid-ammonium-oxalate (AAO) extracted samples indicated a dominance of 2-line ferrihydrite in most samples, with lesser amounts of goethite, lepidocrocite, quartz, and alumino-silicate clays. The majority of Fe in the samples was bound in the AAO extractable fraction (FeOx) relative to the Na-dithionite extractable fraction (FeDi), with generally high FeOx:FeDi ratios (0.52–0.92). The presence of nano-crystalline 2-line ferrihydrite (Fe5HO3·4H2O) with lesser amounts of goethite (α-FeOOH) was confirmed by scanning electron microscopy (SEM) coupled with energy dispersive X-ray analysis (EDX), and transmission electron microscopy (TEM) coupled with selected area electron diffraction (SAED). In addition, it was found that lepidocrocite (γ-FeOOH), which occurred as nanoparticles as little as ∼5 lattice spacings thick perpendicular to the (0 2 0) lattice plane, was also present in the studied Fe(III) deposits. Overall, the results highlight the complex variability in the crystallinity and particle-size of Fe(III)-minerals which form via oxidation of Fe(II)-rich groundwaters in sand-bed streams. This variability may be attributed to: (1) divergent precipitation conditions influencing the Fe(II) oxidation rate and the associated supply and hydrolysis of the Fe(III) ion, (2) the effect of interfering compounds, and (3) the influence of bacteria, especially Leptothrix ochracea.  相似文献   
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