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21.
The application of the saddlepoint approximation to reliability analysis of dynamic systems is investigated. The failure event in reliability problems is formulated as the exceedance of a single performance variable over a prescribed threshold level. The saddlepoint approximation technique provides a choice to estimate the cumulative distribution function (CDF) of the performance variable. The failure probability is obtained as the value of the complement CDF at a specif ied threshold. The method requires computing the saddlepoint from a simple algebraic equation that depends on the cumulant generating function (CGF) of the performance variable. A method for calculating the saddlepoint using random samples of the performance variable is presented. The applicable region of the saddlepoint approximation is discussed in detail. A 10-story shear building model with white noise excitation illustrates the accuracy and effi ciency of the proposed methodology.  相似文献   
22.
The Ocean Drilling Program (ODP) initiated drilling at Site 1256D in the Guatemala Basin, about 1,000 km off the East Pacific Rise to penetrate plutonic rocks, anticipated to be relatively shallow in this region, formed at an ultra-fast spreading rate. IODP Expedition E312 successfully drilled into gabbros at ~1,150 m in basement. Multi-channel seismic traces show weak laterally coherent sub-basement reflections at borehole depths. Synthetic reflectivity seismograms were computed using a Ricker wavelet and impedance profiles from borehole sonic logs. These seismograms show significant sub-basement amplitude peaks. A zero-offset vertical seismic profile, shot on E312, was processed to investigate the authenticity of these reflections and their relationship to borehole geology. A dual scheme of the median filtering and F–K dip filtering was used. Tests with synthetic seismograms indicate the approach is effective at reasonable SNR levels. Downgoing energy is clearly identified but negligible upgoing energy is visible over random noise. These results indicate that lava flows and igneous contacts in upper ocean crust have significant topography on lateral scales less than the Fresnel Zone (~300 m) due to igneous and tectonic processes.  相似文献   
23.
In this paper, an abandoned waste coal pile, which is resulted from Alborz-Sharghi coal washing plant, NE of Iran was mineralogically and geochemically characterized to evaluate pyrite oxidation, acid mine drainage (AMD) generation, and trace element mobility. After digging ten trenches and vertical sampling, a quantitative method including the atomic absorption test, and the quality-based methods including optical study were carried out for determination of pyrite fractions in the waste pile. The geochemical results revealed that the fraction of remaining pyrite increased with depth, indicating that pyrite oxidation is limited to the shallower depths of the pile which were confirmed by variations of sulfate, pH, EC, and carbonate with depth of the pile. To evaluate the trend of trace elements and mineralogical constituents of the waste particles, the samples were analyzed by using XRD, ICP-MS, and ICP-OES methods. The results showed the secondary and neutralizing minerals comprising gypsum have been formed below the oxidation zone. Besides, positive values of net neutralization potential indicated that AMD generation has not taken in the waste pile. In addition, variations of trace elements with depth reveal that Pb and Zn exhibited increasing trends from pile surface toward the bottom sampling trenches while another of them such as Cu and Ni had decreasing trends with increasing depth of the waste pile.  相似文献   
24.
25.
The mass-front velocities of granular flows results from the joint action of particle size gradations and the underlying surfaces.However,because of the complexity of friction during flow movement,details such as the slope-toe impedance effects and momentum-transfer mechanisms have not been completely explained by theoretical analyses,numerical simulations,or field investigations.To study the mass-front velocity of dry granular flows influenced by the angle of the slope to the runout plane and particle size gradations we conducted model experiments that recorded the motion of rapid and long-runout rockslides or avalanches.Flume tests were conducted using slope angles of 25°,35°,45°,and 55° and three particle size gradations.The resulting mass-front motions consisted of three stages:acceleration,velocity maintenance,and deceleration.The existing methods of velocity prediction could not explain the slowing effect of the slope toe or the momentum-transfer steady velocity stage.When the slope angle increased from 25° to 55°,the mass-front velocities dropped significantly to between 44.4% and59.6% of the peak velocities and energy lossesincreased from 69.1% to 83.7% of the initial,respectively.The velocity maintenance stages occurred after the slope-toe and mass-front velocity fluctuations.During this stage,travel distances increased as the angles increased,but the average velocity was greatest at 45°.At a slope angle of 45°,as the median particle size increased,energy loss around the slope toe decreased,the efficiency of momentum transfer increased,and the distance of the velocity maintenance stage increased.We presented an improved average velocity formula for granular flow and a geometrical model of the energy along the flow line.  相似文献   
26.
There is a need to bridge theory and practice for incorporating parameter uncertainty in geostatistical simulation modeling workflows. Simulation workflows are a standard practice in natural resource and recovery modeling, but the incorporation of multivariate parameter uncertainty into those workflows is challenging. However, the objectives can be met without considerable extra effort and programming. The sampling distributions of statistics comprise the core theoretical notion with the addition of the spatial degrees of freedom to account for the redundancy in the spatially correlated data. Prior parameter uncertainty is estimated from multivariate spatial resampling. Simulation-based transfer of prior parameter uncertainty results in posterior distributions which are updated by data conditioning and the model domain extents and configuration. The results are theoretically tractable and practical to achieve, providing realistic assessments of uncertainty by accounting for large-scale parameter uncertainty, which is often the most important component impacting a project. A simulation-based multivariate workflow demonstrates joint modeling of intrinsic shale properties and uncertainty in estimated ultimate recovery in a shale gas project. The multivariate workflow accounts for joint prior parameter uncertainty given the current well locations and results in posterior estimates on global distributions of all modeled properties. This is achieved by transferring the joint prior parameter uncertainty through conditional simulations.  相似文献   
27.
A simple analytical model is developed for the meanupcrossing rate of plume concentration fluctuations assuming that thisprocess can be well approximated by a lognormal process. The resultingexpression requires only the specification of the in-plume fluctuationintensity and in-plume Taylor micro-time scale and, hence, does notexplicitly involve the joint probability density function of theconcentration and its derivative. The analytical model provides agood fit to some field measurements of the mean upcrossing rate ina dispersing plume.  相似文献   
28.
This study analyzed the uncertainty of inversion and the resolution limit in the presence of noise by means of statistical experiments. The exhaustive method is adopted to obtain the global optimal solution in each experiment. We found that even with small level of noise, solutions fluctuate in a large range for the thin bed. The distribution of solutions in the presence of noise is closely related to the spread of the cost function in the absence of noise. As a result, the area of a certain neighborhood around the true solution on the spread of the cost function in the absence of noise is used to evaluate the uncertainty of inversion and the resolution limit in the presence of noise. In the case that the SNR (signal-to-noise ratio) is 5 in this study, solutions focus around the true solution with a very small uncertainty only when the bed thickness is greater than the reciprocal of the double predominant frequency of the convoluting wavelet.  相似文献   
29.
Three finite element codes, namely TELEMAC, ADCIRC and QUODDY, are used to compute the spatial distributions of the M2, M4 and M6 components of the tide in the sea region off the west coast of Britain. This region is chosen because there is an accurate topographic dataset in the area and detailed open boundary M2 tidal forcing for driving the model. In addition, accurate solutions (based upon comparisons with extensive observations) using uniform grid finite difference models forced with these open boundary data exist for comparison purposes. By using boundary forcing, bottom topography and bottom drag coefficients identical to those used in an earlier finite difference model, there is no danger of comparing finite element solutions for “untuned unoptimised solutions” with those from a “tuned optimised solution”. In addition, by placing the open boundary in all finite element calculations at the same location as that used in a previous finite difference model and using the same M2 tidal boundary forcing and water depths, a like with like comparison of solutions derived with the various finite element models was possible. In addition, this open boundary was well removed from the shallow water region, namely the eastern Irish Sea where the higher harmonics were generated. Since these are not included in the open boundary, forcing their generation was determined by physical processes within the models. Consequently, an inter-comparison of these higher harmonics generated by the various finite element codes gives some indication of the degree of variability in the solution particularly in coastal regions from one finite element model to another. Initial calculations using high-resolution near-shore topography in the eastern Irish Sea and including “wetting and drying” showed that M2 tidal amplitudes and phases in the region computed with TELEMAC were in good agreement with observations. The ADCIRC code gave amplitudes about 30 cm lower and phases about 8° higher. For the M4 tide, in the eastern Irish Sea amplitudes computed with TELEMAC were about 4 cm higher than ADCIRC on average, with phase differences of order 5°. For the M6 component, amplitudes and phases showed significant small-scale variability in the eastern Irish Sea, and no clear bias between the models could be found. Although setting a minimum water depth of 5 m in the near-shore region, hence removing wetting and drying, reduced the small-scale variability in the models, the differences in M2 and M4 tide between models remained. For M6, a significant reduction in variability occurred in the eastern Irish Sea when a minimum 5-m water depth was specified. In this case, TELEMAC gave amplitudes that were 1 cm higher and phases 30° lower than ADCIRC on average. For QUODDY in the eastern Irish Sea, average M2 tidal amplitudes were about 10 cm higher and phase 8° higher than those computed with TELEMAC. For M4, amplitudes were approximately 2 cm higher with phases of order 15° higher in the northern part of the region and 15° lower in the southern part. For M6 in the north of the region, amplitudes were 2 cm higher and about 2 cm lower in the south. Very rapid M6 tidal-phase changes occurred in the near-shore regions. The lessons learned from this model inter-comparison study are summarised in the final section of the paper. In addition, the problems of performing a detailed model–model inter-comparison are discussed, as are the enormous difficulties of conducting a true model skill assessment that would require detailed measurements of tidal boundary forcing, near-shore topography and precise knowledge of bed types and bed forms. Such data are at present not available.  相似文献   
30.
We initially estimated the cropland area at county level using local historical documents for the Songnen Plain (SNP) in the 1910s and 1930s. We then allocated this cropland area to grid cells with a size of 1 km × 1 km, using a range of cultivation possibilities from high to low; this was based on topography and minimum distances to rivers, settlements, and traffic lines. Cropland areas for the 1950s were obtained from the Land Use Map of Northeast China, and map vectorization was performed with ArcGIS technology. Cropland areas for the 1970s, 1980s, 1990s, 2000s, and 2010s were retrieved from Landsat images. We found that the cropland areas were 4.92 × 104 km2 and 7.60 × 104 km2, accounting for 22.8% and 35.2% of the total area of the SNP in the 1910s and 1930s, respectively, which increased to 13.14 × 104 km2, accounting for 60.9% in the 2010s. The cropland increased at a rate of 1.18 × 104 km2 per decade from the 1910s to 1970s while it was merely 0.285 × 104 km2 per decade from the 1970s to 2010s. From the 1910s to 1930s, new cultivation mainly occurred in the central SNP while, from the 1930s to 1970s, it was mainly over the western and northern parts. This spatially explicit reconstruction could be offered as primary data for studying the effects of changes in human-induced land cover based on climate change over the last century.  相似文献   
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