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排序方式: 共有1305条查询结果,搜索用时 31 毫秒
1.
Two different models of the structure of the Icelandic crust have been presented. One is the thin-crust model with a 10–15 km thick crust beneath the axial rift zones, with an intermediate layer of partially molten basalt at the base of the crust and on the top of an up-domed asthenosphere. The thick-crust model assumes a 40 km thick and relatively cold crust beneath central Iceland. The most important and crucial parameter to distinguish between these different models is the temperature distribution with depth. Three methods are used to estimate the temperature distribution with depth. First, the surface temperature gradient measured in shallow wells drilled outside geothermal areas. Second, the thickness of the seismogenic zone which is associated with a 750 °C isothermal surface. Third, the depth to a layer with high electrical conductivity which is associated with partially molten basalt with temperature around 1100 °C at the base of the crust. Combination of these data shows that the temperature gradient can be assumed to be nearly linear from the surface down to the base of the crust. These results are strongly in favour of the thin-crust model. The scattered deep seismic reflectors interpreted as Moho in the thick-crust model could be caused by phase transitions or reflections from melt pockets in the mantle.  相似文献   
2.
Beard  James S. 《Journal of Petrology》2008,49(5):1027-1041
If a magma is a hybrid of two (or more) isotopically distinctend-members, at least one of which is partially crystalline,separation of melt and crystals after hybridization will leadto the development of isotopic heterogeneities in the magmaas long as some of the pre-existing crystalline material (antecrysts)retains any of its original isotopic composition. This holdstrue whether the hybridization event is magma mixing as traditionallyconstrued, bulk assimilation, or melt assimilation. Once a magma-scaleisotopic heterogeneity is formed by crystal–melt separation,it is essentially permanent, persisting regardless of subsequentcrystallization, mixing, or equilibration events. The magnitudeof the isotopic variability resulting from crystal–meltseparation can be as large as that resulting from differentialcontamination, multiple isotopically distinct sources, or insitu isotopic evolution. In one model, a redistribution of one-thirdof the antecryst cargo yielded a crystal-enriched sample with87Sr/86Sr of 0·7058, whereas the complementary crystal-poorsample has 87Sr/86Sr of 0·7068. In other models, crystal-richsamples are enriched in radiogenic Sr. Isotopic heterogeneitiescan be either continuous (controlled by the modal distributionof crystals and melt) or discontinuous (when there is completeseparation of crystals and liquid). The first case may be exemplifiedby some isotopically zoned large-volume rhyolites, formed bythe eruptive inversion of a modally zoned magma chamber. Inthe latter case, the isotopic composition of any (for example)interstitial liquid will be distinct from the isotopic compositionof the bulk crystal fraction. The separation of such an interstitialliquid may explain the presence of isotopically distinct late-stageaplites in plutons. Crystal–melt separation provides anadditional option for the interpretation of isotopically zonedor heterogeneous magmas. This option is particularly attractivefor systems whose chemical variation is otherwise explicableby fractionation-dominated processes. Non-isotopic chemicalheterogeneities can also develop in this fashion. KEY WORDS: isotopic heterogeneity; zoning; hybrid magma; crystal separation; Sr isotopes; aplite; rhyolite  相似文献   
3.
Dissakisites from Trimouns dolomite mine, France, have two kinds of single crystals: chemical-zoned and homogeneous types. Back-scattered electron microprobe (BSE) images of these dissakisites reveal both Ca–Al rich dark zones and Fe-ΣREE rich bright zones. Crystal structures of three dark and two bright zones in a chemical-zoned dissakisite and of a homogeneous zone in unzoned dissakisite were refined to individual R indices (about 3.0–5.0%) based on 1,400 observed [|F 0| > 4σF 0] reflections measured with MoKα X-radiation using the single crystal diffractometer. The differences in brightness between their BSE images arise from those in coupled substitutions of the elements occupying A2 and M3 sites. The main reason for these differences is that ten-coordinated A2 polyhedra and M3 octahedra are directly linked through their shared edge, which creates a great potential for making this coupled substitution. This zoning indicates that formation of the whole zoned crystal, where each zone could be grown steadily with its crystallographic axes mutually parallel to each other, may be identified as autoepitaxy.  相似文献   
4.
研究黔西北威宁—赫章—纳雍—织金—水城地区,铅锌(铜)矿带上分布的1∶20万区域重力异常特征,及其与地质、构造、岩体、化探等异常的对应规律及其关系,能对该区此类矿产的成矿规律、成矿部位和成矿特点的研究有所帮助,提出下一步找矿方向上的参考建议。  相似文献   
5.
滕道鹏 《矿产与地质》2008,22(5):396-399
双王金矿床是秦岭泥盆系地层中一种类型独特富钠角砾岩型金矿床,在分析研究矿床赋矿地层、角砾岩带、角砾岩体的矿化及分带特征的基础上,阐述了该矿床的分带特征与金矿化的关系。  相似文献   
6.
编制地质灾害易发区图是地质灾害防治工作的一项重要任务。在完成地质灾害调查与区划的基础上,浙江省全面推广1:1万乡镇地质灾害易发区图编制工作,为土地利用总体规划修编、地质灾害防治提供了操作性、针对性更强的依据。本文通过介绍浙江省嵊州市乡镇地质灾害易发分区的编制过程及方法,对地质灾害易发分区中存在的问题进行了探讨。  相似文献   
7.
地质灾害风险调查的方法与实践   总被引:20,自引:5,他引:15  
张茂省  唐亚明 《地质通报》2008,27(8):1205-1216
风险管理是一门新兴的管理学科,风险调查是风险源识别、分析、评价和风险处置的基础。在分析国内外地质灾害风险管理进展和差异的基础上,提出了中国地质灾害风险管理中术语统一的意见,论述了地质灾害风险调查的类型和精度,风险的分级,不同精度下风险调查的内容和方法,以及风险调查的技术要点。并以陕西省延安市市区和虎头峁场址风险调查为例,分别阐述了1∶10000、1∶1000比例尺精度下的风险调查和区划的过程、结果。  相似文献   
8.
对九岭区地质灾害发育的基本特征及其地质环境条件进行了概述,并对其形成条件进行了相关性分析;通过对地质灾害发育的基本规律、控制因素、触发因素与地质灾害关系的分析,采用环境地质学原理,建立区域地质灾害空间预测模型,圈定九岭区地质灾害的危险性分区,为实时地质灾害时间预警预报圈定有效的空间靶区。预测单元采用规则的栅格(500m×500m),共14415个单元;评价指标主要包括地形地貌、工程地质岩类、地质构造、破坏地质环境人类工程活动等四大类26个因子;利用GIS技术,提取出相关的数据信息;信息量预测方程:Ii=-1.164X1-0.999X2-0.681X3 …… 0.203X25-0.135X26(其中X1、X2、X3、…X26取1或0,即某单元中存在某种因素时取1、否则取0),据此计算出各单元格的信息量;根据地质灾害危险性分区临界指标,确定单元格的地质灾害危险性等级;合并同类项,并考虑类似的地质、自然环境具有类似的地质灾害问题的原则,进行归并与单元边界线的修改,得出九岭区地质灾害危险性分区。  相似文献   
9.
The Pacific plate and the Philippine Sea plate overlap and subduct underneath the Kanto region, central Japan, causing complex seismic activities in the upper mantle. In this research, we used a map selection tool with a graphic display to create a data set for earthquakes caused by the subducting motion of the Philippine Sea plate that are easily determined. As a result, we determined that there are at least four earthquake groups present in the upper mantle above the Pacific plate. Major seismic activity (Group 1) has been observed throughout the Kanto region and is considered to originate in the uppermost part of mantle in the subducted Philippine Sea plate, judging from the formation of the focal region and comparison with the 3D structure of seismic velocity. The focal mechanism of these earthquakes is characterized by the down-dip compression. A second earthquake layer characterized by down-dip extension (Group 2), below the earthquakes in this group, is also noted. The focal region for those earthquakes is considered to be located at the lower part of the slab mantle, and the Pacific plate located directly below is considered to influence the activity. Earthquakes located at the shallowest part (Group 3) form a few clusters distributed directly above the Group 1 focal region. Judging from the characteristics of later phases in these earthquakes and comparing against the 3D structure of seismic velocity, the focal regions for the earthquakes are considered to be located near the upper surface of the slab. Another earthquake group (Group 4) originates further below Group 2; it is difficult to consider these earthquakes within a single slab. The seismic activities representing the upper area of the Philippine Sea plate are Group 3. This paper proposes a slab geometry model that is substantially different from conventional models by strictly differentiating the groups.  相似文献   
10.
This study investigates the extent to which people's views on the causes and preventability of earthquake damage might be influenced by their degree of exposure to hazard as well as what information they have been given about the hazard. The results show that the provision of hazard zoning information influences judgements on preventability and causes of damage, but this effect depends on the degree of hazard faced by residents. In low hazard zones, information leads to the view that causes are manageable, whereas in high hazard zones information may induce a degree of fatalism. The use of public information in risk management needs to take into account the degree of risk faced by the recipients.  相似文献   
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