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991.
Based on the analysis of dynamic phenomena under the condition of high-located hard-thick (HLHT) stratum of one coal mine, along with the similar material simulation and theoretical analysis, the characteristics of bed separation development and cracks distribution under the HLHT stratum are studied. This paper proposes a discriminating method for overlying strata Three Zones considering the influence of HLHT stratum. The development laws of cracks and disaster-causing mechanism of hard-thick magmatic rock in different strata are respectively analyzed. The studies show that in line with the working face advancing direction, the height of bed separation under the magmatic rock increases in the trend of “Increase–Stability–Decrease”, and the width of bed separation increases linearly. The width of bed separation reaches the maximum before the first breaking of magmatic rock, the bed separation completely closes after the breaking. There are no obvious bed separations during the period migration of magmatic rock. Along the direction of the height of roof, the development of bed separation is characterized by bottom-up jump based on the key strata. The analyzed results of “Three zone” height obtained by the discriminate method of overlying strata Three Zones which is based on the key strata theory and the S–R instability theory are in line with the actual facts. When the hard-thick magmatic rock is in the fractured zone, large amounts of gas and water are easy to accumulate in the bed separation space and “O” ring space around the gob. The first breaking of magmatic rock may induce bed separation gas outburst and water inrush. When the hard-thick magmatic rock is in the sagging zone, the long-term stability of magmatic rock will not cause serious disasters. But with the adjacent working face mining, bed separation gas and water often become a safety hazard.  相似文献   
992.
In the soil slope supported by bolts, longitude waves instead of transverse waves, generated by earthquakes, first reach the slope surface. With the dynamic response of the P (pressure) wave along the anchorage structure, first, a theoretical study was conducted to investigate the propagation characteristics of the interference superposition, generated by the SV (shear-vertical) and the P waves. The SV wave was formed by the wave, originating from the bottom and reflected from the free surface of the slope, whereas the latter was the incident P wave, propagating in the slope. In addition, the structural measures, restraining the seismic wave, and the characteristics of the restraint effect at the free segment of the bolt were investigated. According to the wave-way difference between the incident P wave and the reflected SV wave, the minimum critical slope angle, influenced by the interference at the shallow slope, and the maximum influencing depth of the dynamic response, acting vertically to the slope surface, were obtained. The results indicate that the maximum influencing depth linearly correlated with the slope angle. Furthermore, based on the propagation characteristics of the P wave along the bolt, and the coupled relation between the wave length and the anchorage design parameters, the axial acceleration of the wave propagating along the bolt axis was obtained. Then, the theoretical length of the anti-seismic bolt, subjected to seismic waves, and the compensation force of the anchorage structure were obtained. Finally, a numerical study, based on FlAC3D, properly verified the theoretical conclusions.  相似文献   
993.
This paper presents the results of triaxial tests conducted for the investigation of the influence of geotextile on both the stress–strain and volumetric change behavior of reinforced sands. Tests were carried out on loose sand. The experimental program includes drained compression tests on samples reinforced with different values of both geotextile layers (1 ≤ Ng ≤ 3) and confining pressure (\(\upsigma_{\text{c}}^{\prime }\)) varying from 50 to 200 kPa. Tests show that the contribution of geotextile is negligible until an axial strain threshold that range between 2.5% for a confining pressure of 50 kPa to lower than 1% for 100 and 200 kPa confining pressure. At higher values of εa, geotextile induces a quasi-linear increase in the stress deviator (q) and volume contraction in the reinforced sand. Tests show a negligible influence of the number of geotextile layers (Ng) on the contribution of geotextile to both stress–strain and volumetric change, when normalized with Ng. Tests also show that the contribution of geotextile to the stress–strain mobilization augments with the increase in the confining pressure, while its contribution to the volume contraction decreases with the increase in the confining pressure. The reinforced soil becomes contracting in the case of 2 and 3 geotextile layers.  相似文献   
994.
Basalt is an extrusive igneous rock derived from Lava and spread over different localities in Jordan. It can be used in industrial applications, and as construction materials. Before using basalt, it is essential to determine its dry density, porosity, uniaxial compressive strength, and Brazilian tensile strength. The testing procedure and sample preparation used to determine the engineering properties are time-consuming and need expertise. Hence, the ultrasonic pulse velocity (UPV) test, a quick and non-destructive evaluation method, was used to determine the engineering properties. Empirical relationships for determination of dry density, porosity, uniaxial compressive strength, Brazilian tensile strength, and tangent modulus of elasticity were deduced. Good correlation coefficients (R2?=?0.832–0.929) were obtained between UPV and dry density, porosity, uniaxial compressive strength, Brazilian tensile strength and modulus of elasticity. These correlations were limited to intact basalt with UPV?≥?4000 m/s.  相似文献   
995.
In the last five decades, many informal communities in Accra, Ghana have suffered from annual flood hazards. Residents of these communities appear to have successfully resisted evictions by city authorities; survived flood hazards and poor environmental health conditions. These flood affected households continue to survive with increasing housing and population densities in the face of these annual floods. Are they becoming resilient? Have residents built adaptive capacities through learning experiences from previous flood occurrences and evictions attempts? What has produced and continued to shape their responses to flooding? What can be learned from this supposed grassroots resilience to inform flood management in urban Africa? Using case studies of three informal communities of Glefe, Agbogbloshie and Old Fadama, this paper explores the gradual and evolving adaptive capacities and social resilience to flood hazards among poor urban dwellers. The paper reveals the depth of understanding and embodied nature of flood experiences among affected slum dwellers and how these are gradually being transformed into adaptive capacities and shaping their responses. In the absence of efficient state flood interventions, there are emerging and enduring flood responses and adaptation practices shaped by residents’ social networks, political alliances and sense of place. These responses translates into continuous re-structuring of housing units, construction of communal drains, creation of local evacuation teams and safe havens. Urban policy contributions that can be learned from these emerging grassroots capacities for flood vulnerability management have been proposed.  相似文献   
996.
The research was conducted on the outskirts of Yogyakarta City that administratively include three districts of Sleman Regency, namely Depok, Gamping, and Mlati, and three districts of Bantul Regency, namely Kasihan, Sewon, and Banguntapan. It aimed to obtain a deeper understanding on the perceptions of stakeholders on the regional transformation phenomena occurring on the outskirts of Yogyakarta City. This is a qualitative case study research with a single case. The case study research method was selected because the observed phenomenon is contemporary and the analyzed issue is unique. It used a qualitative method with field observations and in-depth interviews to several informants as data acquisition techniques. The informants were stakeholders from state/government, private sector/entrepreneur, academics, and civil society, which were selected using purposive sampling method. The research data processing and analysis included: (1) data reduction, (2) data presentation, and (3) data conclusion. In order to examine the reliability and validity of the data, the research used source triangulation method. The results showed that all stakeholders perceived the regional transformation on the outskirts of Yogyakarta City to have positive and negative consequences on various dimensions. The positive ones were the economic opportunities, generated by the regional transformation process, for both the native people and the migrants. Aside from these positive consequences, the regional transformation on the outskirts of Yogyakarta City also caused negative impacts on the physical, economic, social, and cultural dimensions of the outskirts.  相似文献   
997.
Intensive irrigated agriculture substantially modifies the hydrological cycle and often has major environmental impacts. The article focuses upon a specific concern—the tendency for progressive long-term increases in the salinity of groundwater recharge derived from irrigated permeable soils and replenishment of unconfined aquifers in more arid regions. This process has received only scant attention in the water-resource literature and has not been considered by agricultural science. This work makes an original contribution by analysing, from scientific principles, how the salinisation of groundwater recharge arises and identifies the factors affecting its severity. If not proactively managed, the process eventually will impact irrigation waterwell salinity, the productivity of agriculture itself, and can even lead to land abandonment. The types of management measure required for mitigation are discussed through three detailed case histories of areas with high-value groundwater-irrigated agriculture (in Spain, Argentina and Pakistan), which provide a long-term perspective on the evolution of the problem over various decades.  相似文献   
998.
The three-dimensional high-resolution imaging of rock samples is the basis for pore-scale characterization of reservoirs. Micro X-ray computed tomography (µ-CT) is considered the most direct means of obtaining the three-dimensional inner structure of porous media without deconstruction. The micrometer resolution of µ-CT, however, limits its application in the detection of small structures such as nanochannels, which are critical for fluid transportation. An effective strategy for solving this problem is applying numerical reconstruction methods to improve the resolution of the µ-CT images. In this paper, a convolutional neural network reconstruction method is introduced to reconstruct high-resolution porous structures based on low-resolution µ-CT images and high-resolution scanning electron microscope (SEM) images. The proposed method involves four steps. First, a three-dimensional low-resolution tomographic image of a rock sample is obtained by µ-CT scanning. Next, one or more sections in the rock sample are selected for scanning by SEM to obtain high-resolution two-dimensional images. The high-resolution segmented SEM images and their corresponding low-resolution µ-CT slices are then applied to train a convolutional neural network (CNN) model. Finally, the trained CNN model is used to reconstruct the entire low-resolution three-dimensional µ-CT image. Because the SEM images are segmented and have a higher resolution than the µ-CT image, this algorithm integrates the super-resolution and segmentation processes. The input data are low-resolution µ-CT images, and the output data are high-resolution segmented porous structures. The experimental results show that the proposed method can achieve state-of-the-art performance.  相似文献   
999.
Rock burst prediction is a worldwide challenge that we have long tried to overcome. This study tentatively proposed a method to regionally predict rock burst hazards using microseismic energy attenuation. To verify the feasibility of the proposal, first, the mechanism of microseismic energy propagation and attenuation in rock medium was explored, and dominant attenuation characteristics of microseismic waves were analyzed. Second, a spatial attenuation model of microseismic energy was established, and the average energy attenuation coefficient for each wave path was defined. A 3D seismic energy attenuation inversion algorithm was put forward, and the corresponding computation matrix was developed. Third, a continuous microseismic field investigation was carried out in a deep coal mine. Seismic energy attenuation coefficient was confirmed using the calibrated focus position and energy determination. Based on data discretization processing, energy attenuation inversion and tomography, potential rock burst hazard regions were strictly zoned in mining areas. Finally, regional prediction results obtained from the microseismic energy attenuation were compared with the direct measurement results obtained from the classical drilling dust method to verify the reliability of proposed approach. It turns out that rock burst hazard regions predicted by the microseismic energy attenuation agreed well with the objective hazardous situations. Seismic energy attenuation coefficient is a significant evaluation factor that directly mirrors the inelastic performance of rock medium. Energy attenuation coefficient threshold used for determining the rock burst hazard regions was 3.0 km?1. Reliability of the seismic energy attenuation inversion and tomography was closely related to the spatial distribution of microseisms in a localized region. The optimum spatial density of microseisms was 0.2 m?3. Regional rock burst prediction using microseismic energy attenuation is an effective approach for revealing potential hazardous regions in deep mining conditions. This approach improves the pertinence of geological hazard prevention and provides a beforehand reference for targeted hazard management.  相似文献   
1000.
The transformation of Rome during the Late Antiquity and the Early Middle Ages has been investigated by archaeologists and historians. Social and political changes are the main aspects which led to a progressive modification of the urban framework; abandonment, spoliation and transformation of buildings are quite diffused as documented by the archaeological literature. The consequence of these practices is a higher vulnerability of the buildings which, from the seismological point of view, played a main role in increasing the effects of seismic shaking. A number of earthquakes have struck Rome during the period of investigation (fifth to ninth century A.D.), known from historical sources: 443, 484–508, 618, 801, 847; in some cases (443, 484–508, 801) damage has been documented. In contrast, the archaeological sources characterise collapse layers and evidence of destruction at different sites with changing and not always conclusive chronological constraints. Consequently, collapse and destruction have been alternatively attributed to the above-mentioned earthquakes. Through a geoarchaeological and stratigraphic analysis of potentially coseismic collapse units, we want (1) to describe the archaeoseismic evidence derived from recent excavations and from the available literature (e.g. Piazza Madonna di Loreto, Piazza Venezia, Palazzo Valentini Crypta Balbi, Colosseo, Basilica Hilariana, Basilica di Santa Petronilla, Santa Maria Antiqua,…); (2) to discuss the chronological problems and the uncertainty of attribution of the collapse units to known historical earthquakes; (3) to discuss the earthquake damage exaggeration due to erroneous attribution of seismic origin to the evidence of destruction derived from archaeological data. Finally, we will infer the role that earthquakes may have had on the development of the urban landscape in the fifth to ninth century A.D.  相似文献   
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