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151.
The onset of the confinement transition in the early universe is studied within the Friedmann model. Exploiting a bag model equation of state for the deconfined matter, which is generalized to include also metastable states, the possibility of a mini-inflationary epoch is demonstrated. A criterion of metastability is derived to estimate parameters of this mini-inflation.  相似文献   
152.
一种改进的基于非高斯性最大化的预测反褶积算法   总被引:2,自引:1,他引:2  
The predictive deconvolution algorithm (PD), which is based on second-order statistics, assumes that the primaries and the multiples are implicitly orthogonal. However, the seismic data usually do not satisfy this assumption in practice. Since the seismic data (primaries and multiples) have a non-Gaussian distribution, in this paper we present an improved predictive deconvolution algorithm (IPD) by maximizing the non-Gaussianity of the recovered primaries. Applications of the IPD method on synthetic and real seismic datasets show that the proposed method obtains promising results.  相似文献   
153.
Handling of uncertainty in the estimation of values from source areas to target areas poses a challenge in areal interpolation research. Stochastic model-based methods offer a basis for incorporating such uncertainty, but to date they have not been widely adopted by the GIS community. In this article, we propose one use of such methods based in the problem of interpolating count data from a source set of zones (parishes) to a more widely used target zone geography (postcode sectors). The model developed also uses ancillary statistical count data for a third set of areas nested within both source and target zones. The interpolation procedure was implemented within a Bayesian statistical framework using Markov chain Monte Carlo methods, enabling us to take account of all sources of uncertainty included in the model. Distributions of estimated values at the target zone level are presented using both summary statistics and as individual realisations selected to illustrate the degree of uncertainty in the interpolation results. We aim to describe the use of such stochastic approaches in an accessible way and to highlight the need for quantifying estimation uncertainty arising in areal interpolation, especially given the implications arising when interpolated values are used in subsequent analyses of relationships.  相似文献   
154.
Recently, the technology has been developed to make wave farms commercially viable. Since electricity is perishable, utilities will be interested in forecasting ocean wave energy. The horizons involved in short-term management of power grids range from as little as a few hours to as long as several days. In selecting a method, the forecaster has a choice between physics-based models and statistical techniques. A further idea is to combine both types of models. This paper analyzes the forecasting properties of a well-known physics-based model, the European Center for Medium-Range Weather Forecasts (ECMWF) Wave Model, and two statistical techniques, time-varying parameter regressions and neural networks. Thirteen data sets at locations in the Atlantic and Pacific Oceans and the Gulf of Mexico are tested. The quantities to be predicted are the significant wave height, the wave period, and the wave energy flux. In the initial tests, the ECMWF model and the statistical models are compared directly. The statistical models do better at short horizons, producing more accurate forecasts in the 1-5 h range. The ECMWF model is superior at longer horizons. The convergence point, at which the two methods achieve comparable degrees of accuracy, is in the area of 6 h. By implication, the physics-based model captures the underlying signals at lower frequencies, while the statistical models capture relationships over shorter intervals. Further tests are run in which the forecasts from the ECMWF model are used as inputs in regressions and neural networks. The combined models yield more accurate forecasts than either one individually.  相似文献   
155.
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157.
Interpolation of wave heights   总被引:1,自引:0,他引:1  
Remote sensing of waves often necessitates presentation of data in the form of wave height values grouped over large time intervals. This restricts their use to long-term applications only. This paper describes how such data can be made suitable for short-term usage in the field. Weekly mean significant wave heights were derived from their monthly mean observations with the help of different alternative techniques. These include model-free neural network schemes as well as model-based statistical and numerical methods. Superiority of neural networks was noted when the estimations were compared with corresponding observations. The network was trained using three different training algorithms, viz., error back propagation, conjugate gradient and cascade correlation. The technique of cascade correlation took minimum training time and showed better coefficient of correlation between observations and network output.  相似文献   
158.
A general set of 3-D dynamic field equations for a cable segment is derived based on the classical Euler-Kirchhoff theory of an elastica. The model includes flexural stiffness to remove the potential singularity when cable tension vanishes and can be reduced to the equations for a perfectly flexible cable. A hybrid model and a solution scheme by direct integration are then proposed to solve the oceanic cable/body system with a localized low-tension region. Numerical examples demonstrate the capability and validity of the formulation and the numerical algorithm.  相似文献   
159.
The paper suggests modelling the long-term distribution of significant wave height with the Gamma, Beta of the first and second kind models. The three models are interrelated, flexible and cover the three different tail types of Extreme Value Theory. They can be used simultaneously as a means of assessing the uncertainty effects that result from choosing equally plausible models with different tail types. This procedure is intended for those applications that require the long-term distribution of significant wave height as input rather than the prediction of extreme values. The models are fitted to some significant wave data as an illustration. Details about maximum likelihood estimation are given in A.  相似文献   
160.
本研究利用第五次国际间耦合模式比较计划(Coupled Model Intercomparison Project phase 5, CMIP5)中的24个模式的工业革命前控制试验(Pre-industrial Control, picontrol)模拟结果, 结合观测资料, 评估了24个CMIP5 模式对东太平洋热带辐合带偶极子(Eastern Pacific ITCZ dipole, EPID)降水模态的模拟能力, 并建立了其与模式对热带太平洋气候态模拟之间的联系。结果表明: 1) 绝大多数模式在北半球春季(2—4月)对EPID模态模拟能力较差, 主要原因在于CMIP5模式对热带辐合带(Intertropical Convergence Zone, ITCZ)的模拟偏差, 其中模拟效果较差的模式在2—4月的气候态降水分布在赤道以南, 且降水普遍偏强; 2) 对各模式的EPID模态选取的季节按照技巧评分最高进行调整后, 大部分模式能较好地模拟出EPID模态的空间分布特点, 技巧评分在0.6以上, 其中模拟效果好的模式(技巧评分大于0.7)中EPID模态出现的月份同时在中东太平洋气候态表现出“双ITCZ”特征, 且多模式集合结果的模拟误差小于绝大多数模式。  相似文献   
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