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31.
基于岭估计的有理多项式参数求解方法   总被引:5,自引:1,他引:4  
在使用最小二乘法解算卫星遥感影像的RPC参数时,如果控制点非均匀分布或模型过度参数化,其法方程系数矩阵很容易产生病态,获得的解将偏离真值,甚至得到错误的解.使用岭估计可改善法方程的状态,保证解稳定.采用岭估计方法,通过所获取的不同岭参数对SPOT和QuickBird影像进行实验,证实L曲线法是一种稳定的、有效的岭参数确定方法,可显著提高RPC参数的解算精度.  相似文献   
32.
应用探地雷达探测活动断层   总被引:1,自引:0,他引:1  
在浅覆盖区采用探地雷达探测地震活动断层。通过实验确定出最佳的采集参数和数据处理流程,在雷达剖面上,能够清晰地显示出断层上部的形态特征、上断点埋深和岩土分层。结合钻孔资料,利用雷达剖面上对第四系覆盖的分层结果和上断点所在的层位可以分析和评价断层的活动性。  相似文献   
33.
Seismic hazard analysis is based on data and models, which both are imprecise and uncertain. Especially the interpretation of historical information into earthquake parameters, e.g. earthquake size and location, yields ambiguous and imprecise data. Models based on probability distributions have been developed in order to quantify and represent these uncertainties. Nevertheless, the majority of the procedures applied in seismic hazard assessment do not take into account these uncertainties, nor do they show the variance of the results. Therefore, a procedure based on Bayesian statistics was developed to estimate return periods for different ground motion intensities (MSK scale).Bayesian techniques provide a mathematical model to estimate the distribution of random variables in presence of uncertainties. The developed method estimates the probability distribution of the number of occurrences in a Poisson process described by the parameter . The input data are the historical occurrences of intensities for a particular site, represented by a discrete probability distribution for each earthquake. The calculation of these historical occurrences requires a careful preparation of all input parameters, i.e. a modelling of their uncertainties. The obtained results show that the variance of the recurrence rate is smaller in regions with higher seismic activity than in less active regions. It can also be demonstrated that long return periods cannot be estimated with confidence, because the time period of observation is too short. This indicates that the long return periods obtained by seismic source methods only reflects the delineated seismic sources and the chosen earthquake size distribution law.  相似文献   
34.
鉴于目前地震学综合定量预报指标的缺乏和预报工作的急需,尝试使用“对比筛选法(简称CSM方法)”进行地震学定量预报指标的提取试验。较之以往作法的进展在于:1.同时使用“有震”和“无震”两类样本对比筛选;2.对不同地区的地震学参数进行了归一化处理。这样做的显著优点是:1.可以较有效地提取“有震异常”和“正常变化”指标;2.提取的异常和预报指标具有定量化和普适性特点。 试验研究使用大华北地震区资料,研究对象取中强地震。经内符和外推检验,证明该方法提取的异常和预报指标有效性和实用性较高。  相似文献   
35.
Wang  Yutian  Tan  Bingqi  Wang  Yifeng  Wu  Jiangtao 《Natural Resources Research》1994,3(4):284-294
We propose an information-structure-analysis (ISA) method to quantify the correlations between quantitative and qualitative variables as well as within each type of variable. This method is applied to the evaluation of mineral resources in the western Zheijiang Province of China. The district contains a number of silver-bearing Fe–Cu–Pb–Zn mineral deposits near igneous complexes and FeCuPbZn zones away from the complexes. Silver anomalies occur not only in the known Fe–Cu–Zn–Pb deposits, but also in the country rock, suggesting the possible existence of silver deposits far from the igneous complexes.The tonnage distribution of silver is modeled by Monte Carlo simulation. This simulation is conducted on the basis of the correlations between silver (Ag) and lead (Pb), since no known data on silver is available. The known tonnage distribution of lead in 11 control cells was used to approximate the tonnage distribution of silver in the Monte Carlo simulation. With ISA and Monte Carlo methods, the total amount of potential polymetallic resources in 49 cells in the western Zhejiang Provice is predicted. Significantly, a deposit with about 24 tonnes of silver has been found within our exploration target area.  相似文献   
36.
Multivariate statistical analyses have been extensively applied to geochemical measurements to analyze and aid interpretation of the data. Estimation of the covariance matrix of multivariate observations is the first task in multivariate analysis. However, geochemical data for the rare elements, especially Ag, Au, and platinum-group elements, usually contain observations the below detection limits. In particular, Instrumental Neutron Activation Analysis (INAA) for the rare elements produces multilevel and possibly extremely high detection limits depending on the sample weight. Traditionally, in applying multivariate analysis to such incomplete data, the observations below detection limits are first substituted, for example, each observation below the detection limit is replaced by a certain percentage of that limit, and then the standard statistical computer packages or techniques are used to obtain the analysis of the data. If a number of samples with observations below detection limits is small, or the detection limits are relatively near zero, the results may be reasonable and most geological interpretations or conclusions are probably valid. In this paper, a new method is proposed to estimate the covariance matrix from a dataset containing observations below multilevel detection limits by using the marginal maximum likelihood estimation (MMLE) method. For each pair of variables, sayY andZ whose observations containing below detection limits, the proposed method consists of three steps: (i) for each variable separately obtaining the marginal MLE for the means and the variances, , , , and forY andZ: (ii) defining new variables by and and lettingA=C+D andB=CD, and obtaining MLE for variances, and forA andB; (iii) estimating the correlation coefficient YZ by and the covariance YZ by . The procedure is illustrated by using a precious metal geochemical data set from the Fox River Sill, Manitoba, Canada.  相似文献   
37.
参数的期望估计及其在形变分析中的应用   总被引:1,自引:0,他引:1  
利用“参数的期望估计”能准确定位、定量粗差及参数的期望估计不受粗差影响折特殊性质,寻找地壳变形区域和不变形区域,以确定拟稳点,进而进行拟稳变换,分析地菜变,将是一种有效方法。  相似文献   
38.
Many stochastic process models for environmental data sets assume a process of relatively simple structure which is in some sense partially observed. That is, there is an underlying process (Xn, n 0) or (Xt, t 0) for which the parameters are of interest and physically meaningful, and an observable process (Yn, n 0) or (Yt, t 0) which depends on the X process but not otherwise on those parameters. Examples are wide ranging: the Y process may be the X process with missing observations; the Y process may be the X process observed with a noise component; the X process might constitute a random environment for the Y process, as with hidden Markov models; the Y process might be a lower dimensional function or reduction of the X process. In principle, maximum likelihood estimation for the X process parameters can be carried out by some form of the EM algorithm applied to the Y process data. In the paper we review some current methods for exact and approximate maximum likelihood estimation. We illustrate some of the issues by considering how to estimate the parameters of a stochastic Nash cascade model for runoff. In the case of k reservoirs, the outputs of these reservoirs form a k dimensional vector Markov process, of which only the kth coordinate process is observed, usually at a discrete sample of time points.  相似文献   
39.
本文对成都市总人口、建成区面积等11个因子、作了主成份回归L-S估计和M-估计,讨论了成都城市发展对“热岛”强度的主要影响因子。结果表明,城区房屋建筑面积及总人口数是影响城市气候(气温)的主要因子,其次为城市人口总户数、建成面积等。 文中,对回归方程进行了拟合计算,回归效果比较满意(尤其是稳健回归)。  相似文献   
40.
Two different goals in fitting straight lines to data are to estimate a true linear relation (physical law) and to predict values of the dependent variable with the smallest possible error. Regarding the first goal, a Monte Carlo study indicated that the structural-analysis (SA) method of fitting straight lines to data is superior to the ordinary least-squares (OLS) method for estimating true straight-line relations. Number of data points, slope and intercept of the true relation, and variances of the errors associated with the independent (X) and dependent (Y) variables influence the degree of agreement. For example, differences between the two line-fitting methods decrease as error in X becomes small relative to error in Y. Regarding the second goal—predicting the dependent variable—OLS is better than SA. Again, the difference diminishes as X takes on less error relative to Y. With respect to estimation of slope and intercept and prediction of Y, agreement between Monte Carlo results and large-sample theory was very good for sample sizes of 100, and fair to good for sample sizes of 20. The procedures and error measures are illustrated with two geologic examples.  相似文献   
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