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11.
Methylmercury (MeHg) concentration and production rates were studied in bottom sediments along the mainstem of Chesapeake Bay and on the adjoining continental shelf and slope. Our objectives were to 1) observe spatial and temporal changes in total mercury (HgT) and MeHg concentrations in the mid-Atlantic coastal region, 2) investigate biogeochemical factors that affect MeHg production, and 3) examine the potential of these sediments as sources of MeHg to coastal and open waters. Estuarine, shelf and slope sediments contained on average 0.5 to 1.5% Hg as MeHg (% MeHg), which increased significantly with salinity across our study site, with weak seasonal trends. Methylation rate constants (kmeth), estimated using enriched stable mercury isotope spikes to intact cores, showed a similar, but weaker, salinity trend, but strong seasonality, and was highly correlated with % MeHg. Together, these patterns suggest that some fraction of MeHg is preserved thru seasons, as found by others [Orihel, D.M., Paterson, M.J., Blanchfield, P.J., Bodaly, R.A., Gilmour, C.C., Hintelmann, H., 2008. Temporal changes in the distribution, methylation, and bioaccumulation of newly deposited mercury in an aquatic ecosystem. Environmental Pollution 154, 77] Similar to other ecosystems, methylation was most favored in sediment depth horizons where sulfate was available, but sulfide concentrations were low (between 0.1 and 10 μM). MeHg production was maximal at the sediment surface in the organic sediments of the upper and mid Bay where oxygen penetration was small, but was found at increasingly deeper depths, and across a wider vertical range, as salinity increased, where oxygen penetration was deeper. Vertical trends in MeHg production mirrored the deeper, vertically expanded redox boundary layers in these offshore sediments. The organic content of the sediments had a strong impact on the sediment:water partitioning of Hg, and therefore, on methylation rates. However, the HgT distribution coefficient (KD) normalized to organic matter varied by more than an order of magnitude across the study area, suggesting an important role of organic matter quality in Hg sequestration. We hypothesize that the lower sulfur content organic matter of shelf and slope sediments has a lower binding capacity for Hg resulting in higher MeHg production, relative to sediments in the estuary. Substantially higher MeHg concentrations in pore water relative to the water column indicate all sites are sources of MeHg to the water column throughout the seasons studied. Calculated diffusional fluxes for MeHg averaged  1 pmol m− 2 day− 1. It is likely that the total MeHg flux in sediments of the lower Bay and continental margin are significantly higher than their estimated diffusive fluxes due to enhanced MeHg mobilization by biological and/or physical processes. Our flux estimates across the full salinity gradient of Chesapeake Bay and its adjacent slope and shelf strongly suggest that the flux from coastal sediments is of the same order as other sources and contributes substantially to the coastal MeHg budget.  相似文献   
12.
Shark interactions in pelagic longline fisheries   总被引:1,自引:0,他引:1  
Substantial ecological, economic and social problems result from shark interactions in pelagic longline fisheries. Improved understanding of industry attitudes and practices towards shark interactions assists with managing these problems. Information on fisher knowledge and new strategies for shark avoidance may benefit sharks and fishers. A study of 12 pelagic longline fisheries from eight countries shows that incentives to avoid sharks vary along a continuum, based on whether sharks represent an economic disadvantage or advantage. Shark avoidance practices are limited, including avoiding certain areas, moving when shark interaction rates are high, using fish instead of squid for bait and deeper setting. Some conventionally employed fishing gear and methods used to target non-shark species contribute to shark avoidance. Shark repellents hold promise; more research and development is needed. Development of specifically designed equipment to discard sharks could improve shark post release survival prospects, reduce gear loss and improve crew safety. With expanding exploitation of sharks for fins and meat, improved data collection, monitoring and precautionary shark management measures are needed to ensure that shark fishing mortality levels are sustainable.  相似文献   
13.
The identification and protection of essential habitats for early life stages of fishes are necessary to sustain fish stocks. Essential fish habitat for early life stages may be defined as areas where fish densities, growth, survival, or production rates are relatively high. To identify critical habitats for young-of-year (YOY) alewives (Alosa pseud oharengus) in Lake Michigan, we integrated bioenergetics models with GIS (Geographic Information Systems) to generate spatially explicit estimates of potential population production (an index of habitat quality). These estimates were based upon YOY alewife bioenergetic growth rate potential and their salmonine predators’ consumptive demand. We compared estimates of potential population production to YOY alewife yield (an index of habitat importance). Our analysis suggested that during 1994–1995, YOY alewife habitat quality and yield varied widely throughout Lake Michigan. Spatial patterns of alewife yield were not significantly correlated to habitat quality. Various mechanisms (e.g., predator migrations, lake circulation patterns, alternative strategies) may preclude YOY alewives from concentrating in areas of high habitat quality in Lake Michigan.  相似文献   
14.
The urban heat island (UHI) is a well-documented effect of urbanization on local climate, identified by higher temperatures compared to surrounding areas, especially at night and during the warm season. The details of a UHI are city-specific, and microclimates may even exist within a given city. Thus, investigating the spatiotemporal variability of a city’s UHI is an ongoing and critical research need. We deploy ten weather stations across Knoxville, Tennessee, to analyze the city’s UHI and its differential impacts across urban neighborhoods: two each in four neighborhoods, one in more dense tree cover and one in less dense tree cover, and one each in downtown Knoxville and Ijams Nature Center that serve as control locations. Three months of temperature data (beginning 2 July 2014) are analyzed using paired-sample t tests and a three-way analysis of variance. Major findings include the following: (1) Within a given neighborhood, tree cover helps negate daytime heat (resulting in up to 1.19 °C lower maximum temperature), but does not have as large of an influence on minimum temperature; (2) largest temperature differences between neighborhoods occur during the day (0.38–1.16 °C difference), but larger differences between neighborhoods and the downtown control occur at night (1.04–1.88 °C difference); (3) presiding weather (i.e., air mass type) has a significant, consistent impact on the temperature in a given city, and lacks the differential impacts found at a larger-scale in previous studies; (4) distance from city center does not impact temperature as much as land use factors. This is a preliminary step towards informing local planning with a scientific understanding of how mitigation strategies may help minimize the UHI and reduce the effects of extreme weather on public health and well-being.  相似文献   
15.
Developments in performance‐based seismic design and assessment approaches have emphasized the importance of considering residual deformations. Recent investigations have also led to a proposed direct displacement‐based design (DDBD) approach which includes an explicit consideration of the expected residual deformations as an integral part of the design process. Having estimated the expected residual deformations in a structure, engineers are faced with the problem of reducing them to meet the targeted performance levels under pre‐defined seismic hazard levels. Previous studies have identified the post‐yield stiffness as a primary factor influencing the magnitude of residual deformations in single degree of freedom and multiple degree of freedom structures. In this paper, a series of simple approaches to increase the post‐yield stiffness of traditional framed and braced systems for the purpose of reducing residual deformations are investigated. These methods do not utilize recentring post‐tensioned technology. This contribution addresses the feasibility of altering the lateral post‐yield stiffness of structural systems by: (i) using different reinforcement materials with beneficial features in their stress–strain behaviour; (ii) re‐designing the section geometry and properties of primary seismic‐resisting elements; and (iii) introducing a secondary elastic frame to act in parallel with the primary system. The efficiency of each of these techniques is investigated through monotonic and cyclic moment‐curvature and non‐linear time‐history analyses. Of these approaches the design and introduction of an elastic secondary system was found to be most effective and consistent in reducing residual deformations. A simplified design approach for achieving the desired increase of a system's post‐yield stiffness is also presented. Copyright © 2007 John Wiley & Sons, Ltd.  相似文献   
16.
A new method for the simultaneous recovery of U, Th and Pb from ca. 0.5 g calcium carbonate samples for the purpose of U‐(Th)‐Pb geochronometry is presented. The protocol employs ion‐exchange chromatography. Standard anion exchange resin (AG 1‐X8 100–200 mesh) was used as the static phase, and 90% acetic acid was used as the mobile phase to elute the unwanted matrix components; dilute nitric acid was used to elute the U, Th and Pb. Blanks of 1.8 pg Th, 6.4 pg Pb and 8.4 pg U were obtained. The protocol was evaluated by determining the isotopic composition of U‐Th‐Pb separates obtained from an in‐house reference material (prepared from a natural speleothem) by MC‐ICP‐MS. An independently dated speleothem was also reanalysed. Based on these tests, the extraction protocol had an acceptable blank and produced a Pb separate sufficiently free of matrix‐induced instrumental biases to be appropriate for U‐Th‐Pb chronology.  相似文献   
17.
An exact analytical method is described to solve the diffraction problem of a group of truncated vertical cylinders. In order to account for the interaction between the cylinders, Kagemoto and Yue's exact algebraic method is utilised (Kagemoto, H., Yue, D.K.P., 1986. Interactions among multiple three-dimensional bodies in water waves: an exact algebraic method. J Fluid Mech, 46, 129–139). The isolated cylinder diffraction potential is obtained using Garret's solution and evanescent mode solutions are derived in a similar manner (Garret, C.J.R., 1971. Wave forces on a circular dock. J Fluid Mech, 46, 129–139).Free surface elevations are calculated for an array of four cylinders and compared with experiments. Comparisons show good agreement.  相似文献   
18.
A wave model for the Great Barrier Reef   总被引:1,自引:0,他引:1  
A new wind wave generation model, WAMGBR, is presented that has been adapted from WAM especially for use in the complex geometry of the Great Barrier Reef. A technique (reef parameterization) has been presented that incorporates sub-grid scale dissipation caused by coral reefs. Three other improvements to WAM have been proposed. An explicit/implicit finite difference scheme has been implemented that allows for more efficient modelling (longer time steps) while maintaining diffusive characteristics that are at least as good as those of WAM. An offset in discrete angles creates more uniform diffusive characteristics. And, a transformed spherical coordinate system allows for more efficient grid sizes and smaller grid dependent refraction. Comparisons between modelling techniques and between model and measured data show that WAMGBR produces very good results in the difficult challenge of modelling both non-cyclonic and tropical cyclone waves in the geographically complex environment of the Great Barrier Reef.  相似文献   
19.
20.
A new and inexpensive pop-up ocean-bottom hydrophone recorder has been developed for use in seismic refraction experiments. It is capable of operating in water depths of up to 4000 m and in very rugged topography, and uses an acoustic command system built by the U.K. Institute of Oceanographic Sciences for recovery. The instrument is mounted in an inexpensive cylindrical pressure case based on commercially available extruded aluminium alloy tubing, and uses glass spheres and syntactic foam for buoyancy. Hydrophone and clock signals are frequency modulated and recorded on tape cassettes, with a recording duration of three hours allowing up to 18 programmed shot windows. The prototype has made seven free descents on the Mid-Atlantic ridge and in the Gulf of Oman, and successfully recorded shots under operational conditions for the first time in September 1979. The total component cost of the prototype was £2740 (1979 prices).(Department of Earth Sciences, University of Cambridge Contribution No. ES135).  相似文献   
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