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221.
The Turkey Lakes Watershed (TLW) study is a federal, interdepartmental study established in 1979 to investigate the effects of acid rain on terrestrial and aquatic ecosystems. The 10.5 km2 watershed, located in the Eastern Temperate Mixed Forest on the Canadian Shield, has been the site of multidisciplinary studies on biogeochemical and ecological processes conducted across plot to catchment scales. The whole-ecosystem investigative approach was adopted from the outset and has allowed research to evolve from its original (and continuing) acidification focus to include investigations on the effects of climate change, forest harvesting and other forest ecosystem perturbations. The extensive scientific and support infrastructure allows for collection of a comprehensive data record essential for understanding long-term environmental trends. Data include atmospheric deposition, meteorology, stream hydrology and chemistry, soil, pore and ground water properties, understory and overstory vegetation, lake and outflow physical and chemical properties, and aquatic macroinvertebrate and fish community composition and abundance. These data have contributed to over 400 published research papers and graduate theses. The watershed has also figured prominently in many continent-wide comparisons advancing fundamental watershed theory. The knowledge gained at TLW has influenced pollutant emission and natural resource management policies provincially, nationally and internationally.  相似文献   
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223.
Large freshwater fluxes into the Bay of Bengal by rainfall and river discharges result in strong salinity fronts in the bay. In this study, a high-resolution coupled atmosphere-ocean-wave model with comprehensive physics is used to model the weather, ocean circulation, and wave field in the Bay of Bengal. Our objective is to explore the submesoscale activity that occurs in a realistic coupled model that resolves mesoscales and allows part of the submesoscale field. Horizontal resolution in the atmosphere varies from 2 to 6 km and is 13 km for surface waves, while the ocean model is submesoscale permitting with resolutions as high as 1.5 km and a vertical resolution of 0.5 m in the upper 10 m. In this paper, three different cases of oceanic submesoscale features are discussed. In the first case, heavy rainfall and intense downdrafts produced by atmospheric convection are found to force submesoscale currents, temperature, and salinity anomalies in the oceanic mixed layer and impact the mesoscale flow. In a second case, strong solitary-like waves are generated by semidiurnal tides in the Andaman Sea and interact with mesoscale flows and fronts and affect submesoscale features generated along fronts. A third source of submesoscale variability is found further north in the Bay of Bengal where river outflows help maintain strong salinity gradients throughout the year. For that case, a comparison with satellite observations of sea surface height anomalies, sea surface temperature, and chlorophyll shows that the model captures the observed mesoscale eddy features of the flow field, but in addition, submesoscale upwelling and downwelling patterns associated with ageostrophic secondary circulations along density fronts are also captured by the model.  相似文献   
224.
Coral reefs of the Turks and Caicos Islands (TCIs) (Caribbean Sea) constitute some of the few pristine coral reef systems in the world and play a crucial role in the islands’ economy because they support rich fisheries catches and tourism development. Ambitious development plans involving increase in fishing and tourism pressures are about to bring changes in coastal zone resources of the TCIs associated with increased sediments and nutrients and reduced predation by herbivorous fish on coral reefs. Understanding change is critical when attempting to protect the resources that these coral reefs support and to adopt proper management strategies. Yet, an environmental assessment program to detect imminent human‐induced changes on the surrounding reefs of the TCIs is lacking. Thus, (i) we obtained baseline data on benthic composition and coral community structure at seven reef sites of representative reefs of the TCIs within the Admiral Cockburn Land and Sea National Park (ACLSNP) of South Caicos Island and (ii) performed a priori statistical power analysis to calculate replication requirements for safely and confidently detecting small (δ = 0.1), medium (δ = 0.3), and large (δ = 0.5) effect sizes for a number of relevant to anticipated changes, univariate, benthic indices and for power β = 0.95. The platforms of the margin reefs studied (9–12 m depth) appeared rather variable regarding benthic composition but quite homogeneous regarding hard coral community structure. Mean percent cover of algal functional groups was 0.1 ± 0.3 (mean ± sd) percent for coralline algae and Halimeda, 0.1 ± 0.6 (mean ± sd) percent for macroalgae, 21.7 ± 33 (mean ± sd) percent for turf algae and 4.8 ± 4.0 (mean ± sd) percent for hard coral cover. The dominant benthic component, however, was carbonate substrate (mean ± sd = 30.4 ± 34.3), thus indicating an accreting reef framework. Mean hard coral density, colony size and recruit density were 5.5 ± 1.8 (mean ± sd) corals per 20‐m line transect, 13.0 ± 2.3 (mean ± sd) cm maximum colony diameter, and 1.3 ± 1.4 (mean ± sd) recruits per square foot, respectively. Due to high natural variance, hard coral colony size and density were practically the most sensitive indices in detecting even small size changes on benthos. Also, the geometric mean of log‐transformed colony size‐frequency distributions of the most abundant hard coral taxa, i.e. Montastrea annularis, Agaricia spp., Siderastrea spp. and Porites asteroides were practically sensitive for the same purpose. We hope that the study will optimize the spatial component of a necessary environmental impact assessment program on coral reefs of the TCIs once the natural spatial variability of the system has been assessed and sensitive, benthic, univariate indices have been identified for representative reference coral reef sites of the TCIs.  相似文献   
225.
The Paris Agreement establishes provisions for using international carbon market mechanisms to achieve climate mitigation contributions. Environmental integrity is a key principle for using such mechanisms under the Agreement. This paper systematically identifies and categorizes issues and options to achieve environmental integrity, including how it could be defined, what influences it, and what approaches could mitigate environmental integrity risks. Here, environmental integrity is assumed to be ensured if the engagement in international transfers of carbon market units leads to the same or lower aggregated global emissions. Four factors are identified that influence environmental integrity: the accounting for international transfers; the quality of units generated, i.e. whether the mechanism ensures that the issuance or transfer of units leads to emission reductions in the transferring country; the ambition and scope of the mitigation target of the transferring country; and incentives or disincentives for future mitigation action, such as possible disincentives for transferring countries to define future mitigation targets less ambitiously or more narrowly in order to sell more units. It is recommended that policy-makers combine several approaches to address the significant risks to environmental integrity.

Key policy insights

  • Robust accounting is a key prerequisite for ensuring environmental integrity. The diversity of nationally determined contributions is an important challenge, in particular for avoiding double counting and for ensuring that the accounting for international transfers is representative for the mitigation efforts by Parties over time.

  • Unit quality can, in theory, be ensured through appropriate design of carbon market mechanisms; in practice, existing mechanisms face considerable challenges in ensuring unit quality. Unit quality could be promoted through guidance under Paris Agreement Article 6, and reporting and review under Article 13.

  • The ambition and scope of mitigation targets is key for the incentive for transferring countries to ensure unit quality because countries with ambitious and economy-wide targets would have to compensate for any transfer of units that lack quality. Encouraging countries to adopt ambitious and economy-wide NDC targets would therefore facilitate achieving environmental integrity.

  • Restricting transfers in instances of high environmental integrity risk – through eligibility criteria or limits – could complement these approaches.

  相似文献   
226.
Ureolysis-driven calcite precipitation has potential to seal porosity and fracture networks in rocks thus preventing groundwater flow and contaminant transport. In this study urea hydrolysis and calcite precipitation rates for the model bacterium Sporosarcina pasteurii were compared with those of indigenous groundwater communities under conditions required to precipitate large volumes of calcite (up to 50 g L−1). We conducted microcosm experiments in oxic artificial and anoxic natural groundwaters (collected from the Permo-Triassic sandstone aquifer at Birmingham, UK) that were inoculated with aerobically grown S. pasteurii. The rate constants for urea hydrolysis, kurea, ranged between 0.06 and 3.29 d−1 and were only affected by inoculum density. Higher Ca2+ concentration (50-500 mM Ca2+) as well as differences in fO2 did not inhibit the ureolytic activity of S. pasteurii and did not significantly impact kurea. These results demonstrate that S. pasteurii has potential to improve calcite precipitation in both oxic and anoxic groundwaters, especially if indigenous communities lack ureolytic activity. Urea hydrolysis by indigenous groundwater communities was investigated in anoxic, natural groundwaters amended with urea and CaCl2. A notable increase in ureolysis rates was measured only when these communities were stimulated with dilute nutrients (with best results from blackstrap molasses). Furthermore, there was a considerable lag time (12-20 days) before ureolysis and calcite precipitation began. Calculated ureolysis rate constants, kurea, ranged between 0.03 and 0.05 d−1 and were similar to kurea values produced by S. pasteurii at low inoculum densities. Overall, this comparative study revealed that the growth of ureolytic microorganisms present within groundwaters can easily be stimulated to enhance rates of urea hydrolysis in the subsurface, and thus can be used to induce calcite precipitation in these environments. The time required for urea hydrolysis to begin is almost instantaneous if an inoculum of S. pasteurii is included, while it may take several weeks for ureolytic groundwater communities to grow and become ureolytically active.  相似文献   
227.
228.
The type section silts of the late Pleistocene Wilson Creek Formation at Mono Lake contain outsized clasts, dominantly well-rounded pebbles and cobbles of Sierran lithologies. Lithic grains > 425 μm show a similar pattern of variability as the > 10 mm clasts visible in the type section, with decreasing absolute abundance in southern and eastern outcrops. The largest concentrations of ice-rafted debris (IRD) occur at 67–57 ka and 46–32 ka, with strong millennial-scale variability, while little IRD is found during the last glacial maximum and deglaciation.Stratigraphic evidence for high lake level during high IRD intervals, and a lack of geomorphic evidence for coincidence of lake and glaciers, strongly suggests that rafting was by shore ice rather than icebergs. Correspondence of carbonate flux and IRD implies that both were mainly controlled by freshwater input, rather than disparate non-climatic controls. Conversely, the lack of IRD during the last glacial maximum and deglacial highstands may relate to secondary controls such as perennial ice cover or sediment supply. High IRD at Mono Lake corresponds to low glacial flour flux in Owens Lake, both correlative to high warm-season insolation. High-resolution, extra-basinal correlation of the millennial peaks awaits greatly improved age models for both records.  相似文献   
229.
Developing economy greenhouse gas emissions are growing rapidly relative to developed economy emissions (Boden et al. 2010) and developing economies as a group have greater emissions than developed economies. These developments are expected to continue (U.S. Energy Information Administration 2010), which has led some to question the effectiveness of emissions mitigation in developed economies without a commitment to extensive mitigation action from developing economies. One often heard argument against proposed U.S. legislation to limit carbon emissions to mitigate climate change is that, without participation from large developing economies like China and India, stabilizing temperature at 2 degrees Celsius above preindustrial (United Nations 2009), or even reducing global emissions levels, would be impossible (Driessen 2009; RPC Energy Facts 2009) or prohibitively expensive (Clarke et al. 2009). Here we show that significantly delayed action by rapidly developing countries is not a reason to forgo mitigation efforts in developed economies. This letter examines the effect of a scenario with no explicit international climate policy and two policy scenarios, full global action and a developing economy delay, on the probability of exceeding various global average temperature changes by 2100. This letter demonstrates that even when developing economies delay any mitigation efforts until 2050 the effect of action by developed economies will appreciably reduce the probability of more extreme levels of temperature change. This paper concludes that early carbon mitigation efforts by developed economies will considerably affect the distribution over future climate change, whether or not developing countries begin mitigation efforts in the near term.  相似文献   
230.
Tsunamis are among the most destructive and lethal of coastal hazards. These are time-specific events, and despite directly affecting a narrow strip of coastline, a single occurrence can have devastating effects and cause massive loss of life, especially in urbanized coastal areas. In this work, in order to consider the time dependence of population exposure to tsunami threat, the variation of spatio-temporal population distribution in the daily cycle is mapped and analyzed in the Lisbon Metropolitan Area. High-resolution daytime and nighttime population distribution maps are developed using ‘intelligent dasymetric mapping,’ that is, applying areal interpolation to combine best-available census data and statistics with land use and land cover data. Workplace information and mobility statistics are considered for mapping daytime distribution. In combination with a tsunami hazard map, information on infrastructure, land use and terrain slope, the modeled population distribution is used to assess people’s evacuation speed, applying a geospatial evacuation modeling approach to the city of Lisbon. The detailed dynamic population exposure assessment allows producing both daytime and nighttime evacuation time maps, which provide valuable input for evacuation planning and management. Results show that a significant amount of population is at risk, and its numbers increase dramatically from nighttime to daytime, especially in the zones of high tsunami flooding susceptibility. Also, full evacuation can be problematic in the daytime period, even if initiated immediately after a major tsunami-triggering earthquake. The presented approach greatly improves tsunami risk assessment and can benefit all phases of the disaster management process.  相似文献   
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