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51.
Achieving long-term climate mitigation goals in Japan faces several challenges, starting with the uncertain nuclear power policy after the 2011 earthquake, the uncertain availability and progress of energy technologies, as well as energy security concerns in light of a high dependency on fuel imports. The combined weight of these challenges needs to be clarified in terms of the energy system and macroeconomic impacts. We applied a general equilibrium energy economic model to assess these impacts on an 80% emission reduction target by 2050 considering several alternative scenarios for nuclear power deployment, technology availability, end use energy efficiency, and the price of fossil fuels. We found that achieving the mitigation target was feasible for all scenarios, with considerable reductions in total energy consumption (39%–50%), higher shares of low-carbon sources (43%–72% compared to 15%), and larger shares of electricity in the final energy supply (51%–58% compared to 42%). The economic impacts of limiting nuclear power by 2050 (3.5% GDP loss) were small compared to the lack of carbon capture and storage (CCS) (6.4% GDP loss). Mitigation scenarios led to an improvement in energy security indicators (trade dependency and diversity of primary energy sources) even in the absence of nuclear power. Moreover, preliminary analysis indicates that expanding the range of renewable energy resources can lower the macroeconomic impacts of the long term target considerably, and thus further in depth analysis is needed on this aspect.

Key policy insights

  • For Japan, an emissions reduction target of 80% by 2050 is feasible without nuclear power or CCS.

  • The macroeconomic impact of such a 2050 target was largest without CCS, and smallest without nuclear power.

  • Energy security indicators improved in mitigation scenarios compared to the baseline.

  相似文献   
52.
Cerro do Jarau is a conspicuous, circular morpho‐structural feature in Rio Grande do Sul State (Brazil), with a central elevated core in the otherwise flat “Pampas” terrain typical for the border regions between Brazil and Uruguay. The structure has a diameter of approximately 13.5 km. It is centered at 30o12′S and 56o32′W and was formed on basaltic flows of the Cretaceous Serra Geral Formation, which is part of the Paraná‐Etendeka Large Igneous Province (LIP), and in sandstones of the Botucatu and Guará formations. The structure was first spotted on aerial photographs in the 1960s. Ever since, its origin has been debated, sometimes in terms of an endogenous (igneous) origin, sometimes as the result of an exogenous (meteorite impact) event. In recent years, a number of studies have been conducted in order to investigate its nature and origin. Although the results have indicated a possible impact origin, no conclusive evidence could be produced. The interpretation of an impact origin was mostly based on the morphological characteristics of the structure; geophysical data; as well as the occurrence of different breccia types; extensive deformation/silicification of the rocks within the structure, in particular the sandstones; and also on the widespread occurrence of low‐pressure deformation features, including some planar fractures (PFs). A detailed optical microscopic analysis of samples collected during a number of field campaigns since 2007 resulted in the disclosure of a large number of quartz grains from sandstone and monomict arenite breccia from the central part of the structure with PFs and feather features (FFs), as well as a number of quartz grains exhibiting planar deformation features (PDFs). While most of these latter grains only carry a single set of PDFs, we have observed several with two sets, and one grain with three sets of PDFs. Consequently, we here propose Cerro do Jarau as the seventh confirmed impact structure in Brazil. Cerro do Jarau, together with Vargeão Dome (Santa Catalina state) and Vista Alegre (Paraná State), is one of very few impact structures on Earth formed in basaltic rocks.  相似文献   
53.
The aim of this study was to investigate biochemical changes in juvenile carp (Cyprinus carpio) exposed to zinc chloride (10, 30 and 100 microM) for a period of 48 h. Zinc exposure caused a concentration-dependent reduction in glutathione reductase (GR) activity in gills, liver and brain. Gill glutathione S-transferase (GST) was reduced when animals were exposed to the highest concentration of 100 microM zinc. The phosphorylation of p38(MAPK) increased in the brain of fish exposed to zinc 100 microM, while phosphorylation of the extracellular signal-regulated protein kinase 1/2 (ERK1/2) and c-Jun N-terminal protein kinase 1/2 (JNK1/2) remained unchanged. Expression of proteins HSP60 and HSP70 were not affected by zinc exposure. Considering the significant concentration-dependent inhibition of GR in all tissues analyzed, this enzyme could be a potential biomarker of exposure to zinc, which has to be confirmed.  相似文献   
54.
Stable isotopes, tritium, radium isotopes, radon, trace elements and nutrients data were collected during two sampling campaigns in the Ubatuba coastal area (south-eastern Brazil) with the aim of investigating submarine groundwater discharge (SGD) in the region. The isotopic composition (δD, δ18O, 3H) of submarine waters was characterised by significant variability and heavy isotope enrichment. The stable isotopes and tritium data showed good separation of groundwater and seawater groups. The contribution of groundwater in submarine waters varied from a few % to 17%. Spatial distribution of 222Rn activity concentration in surface seawater revealed changes between 50 and 200 Bq m−3 which were in opposite relationship with observed salinities. Time series measurements of 222Rn activity concentration in Flamengo Bay (from 1 to 5 kBq m−3), obtained by in situ underwater gamma-spectrometry showed a negative correlation between the 222Rn activity concentration and tide/salinity. This may be caused by sea level changes as tide effects induce variations of hydraulic gradients, which increase 222Rn concentration during lower sea level, and opposite, during high tides where the 222Rn activity concentration is smaller. The estimated SGD fluxes varied during 22–26 November between 8 and 40 cm d−1, with an average value of 21 cm d−1 (the unit is cm3/cm2 per day). The radium isotopes and nutrient data showed scattered distributions with offshore distance and salinity, which implies that in a complex coast with many small bays and islands, the area has been influenced by local currents and groundwater–seawater mixing. SGD in the Ubatuba area is fed by coastal contaminated groundwater and re-circulated seawater (with small admixtures of groundwater), which claims for potential environmental concern with implications on the management of freshwater resources in the region.  相似文献   
55.
Coastal waters contain elevated dissolved activities of short-lived radium isotopes, 223Ra and 224Ra, having half-lives of 11.4 and 3.66 days, respectively. The input of these isotopes near the coast must be balanced by decay and mixing into the open ocean, where excess activities are zero. Since the decay rate is known, in the ideal case the mixing rate may be determined from the offshore distribution of these isotopes. This study found that samples collected in June 2000 followed the expected exponential decrease with distance offshore. We assign a dispersion coefficient of 28–39 m2 s−1 for this study. During January 2002 and November 2003, there was not a consistent decrease of activity with distance offshore. This is likely due to the ruggedness of the coastline, where many bays and small islands interrupt simple mixing patterns. To estimate exchange rates during 2002 and 2003, we used a model based on the decrease in the 224Ra/223Ra activity ratio (AR) with time for samples isolated from fresh inputs of Ra. This model yielded residence times of 1–2 weeks for samples collected within 20 km of the coast. We used this residence time to calculate the flux of 228Ra (half-life = 5.7 years) to the study area necessary to maintain the enrichment relative to ocean water. This enrichment is a factor of ten greater than the flux of 228Ra expected from submarine groundwater discharge (SGD) occurring within 50 m of shore.  相似文献   
56.
57.
Patellid limpets are key species on rocky shores, structuring intertidal assemblages through their grazing. Their role as prey for fish is, however, often overlooked in studies of intertidal ecosystem functioning. The shanny Lipophrys pholis is a common predator of limpets on rocky shores in Northern Europe and, in this study, we examined the characteristics of its predation on limpets based on prey size. The limpet size range that adult L. pholis (10–12.5 cm) can eat was examined in the laboratory using Patella depressa in 0.2 cm classes, varying between 0.5 cm and 3.0 cm in maximum shell length. There was a limpet size refuge above 1.8 cm, while all smaller sizes were readily consumed by the shanny. The predator attacking behaviour was also examined and found to vary with prey size. Limpets up to 0.8 cm were crushed by the jaw‐constricting force and eaten whole, whereas larger prey were prised from the substratum and the body subsequently separated from the shell. To examine whether there was a L. pholis preference for P. depressa size, a two‐stage laboratory experiment was done using two size classes defined as small (0.7–0.8 cm maximum shell length) and large (1.5–1.6 cm maximum shell length). In the first stage, the predator was given each limpet size class separately. In the second stage, the fish was given a choice between the two classes. Lipophrys pholis was shown to have a preference for the large size class (1.5–1.6 cm). The average number of limpets consumed by the shanny was examined for the duration of one high‐tide typical of the central region of Portugal (≈ 4 h). On average, approximately five limpets (up to an eight limpet maximum) were consumed. The present study shows that L. pholis has a feeding preference based on limpet size, which suggests that the limpet population structure and intra‐ and inter‐specific interactions may be influenced by the shanny predation.  相似文献   
58.
Opencast mining alters surface and subsurface hydrology of a landscape both during and post‐mining. At mine closure, following opencast mining in mines with low overburden to coal ratios, a void is left in the final landform. This final void is the location of the active mine pit at closure. Voids are generally not infilled within the mines' lifetime, because of the prohibitive cost of earthwork operations, and they become post‐mining water bodies or pit lakes. Water quality is a significant issue for pit lakes. Groundwater within coal seams and associated rocks can be saline, depending on the nature of the strata and groundwater circulation patterns. This groundwater may be preferentially drawn to and collected in the final void. Surface runoff to the void will not only collect salts from rainfall and atmospheric fallout, but also from the ground surface and the weathering of fresh rock. As the void water level rises, its evaporative surface area increases, concentrating salts that are held in solution. This paper presents a study of the long term, water quality trends in a post‐mining final void in the Hunter Valley, New South Wales, Australia. This process is complex and occurs long term, and modelling offers the only method of evaluating water quality. Using available geochemical, climate and hydrogeological data as inputs into a mass‐balance model, water quality in the final void was found to increase rapidly in salinity through time (2452 to 8909 mg l−1 over 500 years) as evaporation concentrates the salt in the void and regional groundwater containing high loads of salt continues to flow into the void. Copyright © 2004 John Wiley & Sons, Ltd.  相似文献   
59.
The Azores Islands are located in the mid-Atlantic region near the triple junction where the Euro-Asiatic-African-American plates join together. Seismic activity in the area is very high, as can be observed either from historical events since the fifteenth century, from present day microseismicity, and from direct and indirect measurements of recent tectonic deformation. Volcanic activity is also present throughout the region. All available information, even data exhibiting low quality, was used to develop hazard models of São Miguel Island. Source zones were established based on both the global tectonic behaviour of the region and on the local active fault structures. Recurrence laws for São Miguel Island, for which historical information seemed quite incomplete, were obtained from the large events in the entire archipelago and from their remarkable pattern of time and space dependence, and complimented by information on long-term fault deformation (for the longer recurrence periods) and on high precision instrumental network (for the very short recurrence periods). Attenuation laws were derived from data on events felt and/or recorded in the Island. Hazard maps were obtained through a modified version of McGuire's algorithm for several geometries of source areas and results compared with the maximum observed intensity of historical events.  相似文献   
60.
In the summer of 1984, a three-dimensional, high-resolution microearthquake network was operated in the vicinity of two coal mines beneath Gentry Mountain in the eastern Wasatch Plateau, Utah. During a six-week period, approximately 3,000 seismic events were observed of which the majority were impulsive, higher frequency (>10 Hz), short duration (<2–3 sec) events probably associated with the caving of the roof from a longwall operation. In contrast, 234 of the largest located events appeared to occur predominantlybeneath the mines to a depth of 2 to 3 km consistent with previous studies. The magnitudes of these events ranged from less thanM c 0 to 1.6. In addition to the unusual depths of these latter events, an anomalous aspect displayed by the events was an apparent dilatational focal mechanism suggesting a non-double-couple, possibly implosional source. Implosional events have been observed in other studies of mine seismicity; however, the generally inadequate instrumental coverage of the focal sphere has cast some doubt on the validity of such mechanisms. Previously suggested source mechanisms for such implosional events have included tensional failure through strata collapse, and a shear-implosional displacement mechanism. Shear failure must be involved in the failure process of the Gentry Mountain implosional events as evidenced by well-defined shear waves in the observed seismograms. Simultaneous monitoring in the East Mountain coal mining area to the south by the University of Utah revealed typical shear failure events mixed with implosional events. The observed double-couple, reverse focal mechanisms at East Mountain were similar to mechanisms determined in previous studies and a composite focal mechanism determined in this study for a sequence outside the mining areas. This suggested that the shear events within the mining areas are being influenced by the regional tectonic stress field. Thus in addition to the seismic events associated with caving of the roof from the longwall operation, there appear to be at least two other types of mining-induced seismic events occurring in the eastern Wasatch Plateau, both submine in origin: (1) events characterized by apparent non-double-couple possibly implosional focal mechanisms and well-defined shear waves; and (2) shear events, which are indistinguishable from tectonic earthquakes and may be considered mining triggered earthquakes. The small mining-induced stress changes that occur beyond a few hundred meters from the mine workings suggest both types of seismic events are occurring on critically stressed, pre-existing zones of weakness. Topography, overburden, method of mining, and mine configuration also appear to be significant factors influencing the occurrence of the implosional submine events.  相似文献   
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