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271.
Structural vibration control using active or passive control strategy is a viable technology for enhancing structural functionality and safety against natural hazards such as strong earthquakes and high wind gusts. Both the active and passive control systems have their limitations. The passive control system has limited capability to control the structural response whereas the active control system depends on external power. The power requirement for active control of civil engineering structures is usually quite high. Thus, a hybrid control system is a viable solution to alleviate some of the limitations. In this paper a multi‐objective optimal design of a hybrid control system for seismically excited building structures has been proposed. A tuned mass damper (TMD) and an active mass driver (AMD) have been used as the passive and active control components of the hybrid control system, respectively. A fuzzy logic controller (FLC) has been used to drive the AMD as the FLC has inherent robustness and ability to handle the non‐linearities and uncertainties. The genetic algorithm has been used for the optimization of the control system. Peak acceleration and displacement responses non‐dimensionalized with respect to the uncontrolled peak acceleration and displacement responses, respectively, have been used as the two objectives of the multi‐objective optimization problem. The proposed design approach for an optimum hybrid mass damper (HMD) system, driven by FLC has been demonstrated with the help of a numerical example. It is shown that the optimum values of the design parameters of the hybrid control system can be determined without specifying the modes to be controlled. The proposed FLC driven HMD has been found to be very effective for vibration control of seismically excited buildings in comparison with the available results for the same example structure but with a different optimal absorber. Copyright © 2002 John Wiley & Sons, Ltd.  相似文献   
272.
It is often infeasible to carry out coupled analyses of multiply‐supported secondary systems for earthquake excitations. ‘Approximate’ decoupled analyses are then resorted to, unless the response errors due to those are significantly high. This study proposes a decoupling criterion to identify such cases where these errors are likely to be larger than an acceptable level. The proposed criterion is based on the errors in the primary system response due to decoupling and has been obtained by assuming (i) the input excitation to be an ideal white noise process, (ii) cross‐modal correlation to be negligible, and (iii) the combined system to be classically damped. It uses the modal properties of the undamped combined system, and therefore, a perturbation approach has been formulated to determine the combined system properties in case of light to moderately heavy secondary systems. A numerical study has been carried out to illustrate the accuracy achieved with the proposed perturbation formulation. The proposed decoupling criterion has been validated with the help of two example primary‐secondary systems and four example excitation processes. Copyright © 2002 John Wiley & Sons, Ltd.  相似文献   
273.
A pseudodynamic testing procedure has been applied by which the seismic response of a base‐isolated building is obtained by using as specimen the isolators, while the superstructure is numerically simulated. The procedure also takes advantage of the continuous pseudodynamic testing capabilities of the ELSA laboratory, which increase the accuracy of the results and reduce the strain‐rate effect of the rubber bearings. A simple proportional correction of the measured forces compensates the remaining strain‐rate effect due to the unrealistic speed of the test. The correction factor is obtained by means of a characterizing test on the specific rubber isolators. The developed method has been successfully applied to the prediction of the seismic response of a base‐isolated four‐storey building submitted to several specified accelerograms. The results for those earthquakes as well as the effects of some changes of the parameters of the system are discussed. Copyright © 2002 John Wiley & Sons, Ltd.  相似文献   
274.
Semi‐active stiffness damper (SASD) is one of many semi‐active control systems with the capability to mitigate the dynamic response using only a small amount of external power. The system consists of a hydraulic damper connected to the bracing frame in a selected story unit. In this paper, study of a SASD in two building models of five‐stories under four benchmark earthquake records is reported. The purpose of this study is to evaluate the effectiveness of the control system against structure type and varying earthquake inputs. Various control laws are chosen to work with SASD, such as: resetting control, switching control, linear quadratic regulator (LQR) and modified LQR, and the results are compared with no control and passive control cases. Numerical results show that the use of a SASD is effective in reducing seismic responses. Control effectiveness is dependent on the type of structure and earthquake excitation. Passive control is less effective than other control cases as expected. Resetting control, switching control and LQR generally perform similarly in response reduction. While modified LQR is more efficient and robust compared with other control algorithms. Copyright © 2002 John Wiley & Sons, Ltd.  相似文献   
275.
Most current methods of design for concrete structures under earthquake loads rely on highly idealized ‘equivalent’ static representations of the seismic loads and linear‐elastic methods of structural analysis. With the continuing development of non‐linear methods of dynamic analysis for the overload behaviour and collapse of complete concrete structures, a more direct and more accurate design procedure becomes possible which considers conditions at system collapse. This paper describes an evaluation procedure that uses non‐linear dynamic collapse–load analysis together with global safety coefficients. A back‐calibration procedure for evaluating the global safety coefficients is also described. The aim of this paper is to open up discussion of alternative methods of design with improved accuracy which are necessary to move towards a direct collapse–load method of design. Copyright © 2002 John Wiley & Sons, Ltd.  相似文献   
276.
The effects of damping in various laminated rubber bearings (LRB) on the seismic response of a ?‐scale isolated test structure are investigated by shaking table tests and seismic response analyses. A series of shaking table tests of the structure were performed for a fixed base design and for a base isolation design. Two different types of LRB were used: natural rubber bearings (NRB) and lead rubber bearings (LLRB). Three different designs for the LLRB were tested; each design had a different diameter of lead plug, and thus, different damping values. Artificial time histories of peak ground acceleration 0.4g were used in both the tests and the analyses. In both shaking table tests and analyses, as expected, the acceleration responses of the seismically isolated test structure were considerably reduced. However, the shear displacement at the isolators was increased. To reduce the shear displacement in the isolators, the diameter of the lead plug in the LLRB had to be enlarged to increase isolator damping by more than 24%. This caused the isolator stiffness to increase, and resulted in amplifying the floor acceleration response spectra of the isolated test structure in the higher frequency ranges with a monotonic reduction of isolator shear displacement. Copyright © 2002 John Wiley & Sons, Ltd.  相似文献   
277.
In order to examine the applicability of ground‐shaking mapping techniques to a near‐field earthquake, a peak ground velocity map of the 1995 Hyogo‐ken Nanbu, Japan earthquake computed from seismic zoning methods that consider the effects of geological conditions is compared with the actual observed intensity map. When computing the ground‐shaking map, the site amplification at each site is calculated in terms of the average shear‐wave velocity of the ground estimated from the corresponding geomorphological conditions. This map shows a relatively good agreement with the observed intensity map. However, the computations provide smaller values for certain disastrous areas of the earthquake, where the effects on ground motion of a deep, irregular underground structure have been reported. The effect of such structures on site response is examined implementing 2D FEM analyses, thereby being also incorporated into the method. Results considering the effect of the irregular underground structure show better agreement with the observed intensity map. Copyright © 2002 John Wiley & Sons, Ltd.  相似文献   
278.
依据“质量守衡”原理和沉积物物源难以穷尽的认识 ,提出了沉积物物源定量识别的非线性规划数学模型。利用该模型实现了东海陆架北部表层沉积物物源的定量计算 ,阐明了长江、黄河入海物质的大致分布特征。长江沉积物主要分布于 32°N以南、台湾暖流以西的海域 ,黄河沉积物主要分布于 32°N以北、台湾暖流以东的海域。长江、黄河两类沉积物的这种分布格局与本海域的流系分布相吻合。  相似文献   
279.
用快中子活化法测定了安徽凤阳和张八岭地区朱顶、毛山和上成3个金矿床第一阶段晚期和第二阶段的含金石英脉,石英的阶段加热40Ar/39Ar坪年龄值域为(116.1±0.6~118.3±0.5)Ma,分别与其最小视年龄和等时线年龄接近.坪年龄、最小视年龄和等时线年龄3种年龄值域为(113.4±0.4~118.3±0.5)Ma,可以作为石英的形成年龄域. 根据含金石英脉和围岩的空间关系,该年龄值域作为石英脉金矿的形成年龄是合理可靠的.金矿床形成于早白垩世阿普特期,与此时郯庐断裂带略带右行走滑正断层活动一致.  相似文献   
280.
为了查明湘中盆地中-低温梯(金)矿床的成矿物质来源,文章应用高分辨率ICP-MS、ICP-AES等方法对岩石与矿石进行了系统测定,并结合作者以往分析数据和实验地球化学结果,对该区盆地及周边基底地层与矿床中的微量元素分布特征及其水/岩反应效应进行了综合分析和系统研究。结果表明:Sb、Au等成矿元素在元古界基底碎屑岩中具有高的背景含量,在近似成矿条件下的水/岩反应实验中,成矿元素的淋出率达20%~90%,元古界基底碎屑岩中的金(锑、钨)矿床的周围蚀变围岩中出现明显的金负异常区。而盆地内泥盆系统地层中的高锑含量仅局限于锑矿床(化)及其蚀变围岩中;湘中锑(金)矿床中的矿石与基底碎屑岩具有相似的稀土元素球粒陨石标准化配分曲线特征,以上微量元素地球化学特征充分证明该区锑(金)矿床锑、金等成矿物质主要来源于元古界底碎屑岩。  相似文献   
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