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991.
Topographic models provide a useful tool for understanding gully occurrence in the landscape but require reliable estimates of gully head drainage areas. Modern high-resolution topography data (collected using structure from motion photogrammetry or light detection and ranging) is increasingly used for topographic studies of gullies, but little work has been done to assess the variability of gully head drainage area estimates using different methods. This study evaluated alternative approaches to using high-resolution digital elevation models (DEMs) so that gully topographic models can be more readily applied to any area with suitably high-resolution data. Specifically, we investigated the impact of single- or multiple-direction flow routing algorithms, DEM hydrologic-enforcement procedures and spatial resolution on gully head drainage area estimation. We tested these methods on a 40 km2 site centred on Weany Creek, a low-relief semi-arid landscape draining towards the Great Barrier Reef, Australia. Using a subroutine to separate gully heads into those with divergent or convergent flow patterns upslope, we found that divergent flow conditions occurred at half of 484 studied gullies. Drainage areas estimated by different flow routing algorithms were more variable in these divergent cases than for convergent cases. This variation caused a significant difference between topographic threshold parameters (slope b and intercept k) derived from single- or multiple-direction flow routing algorithms, respectively. Different methods of hydrologic enforcement (filling or breaching) also affected threshold analysis, resulting in estimates of the exponent b being ~188% higher if the DEM was filled than if breached. The testing of the methods to date indicates that a finer resolution (≤2 m) DEM and a multiple-direction flow routing algorithm achieve the most realistic drainage area estimates in low-relief landscapes. For Weany Creek we estimated threshold parameters k = 0.033 and b = 0.189, indicating that it is highly susceptible to gully erosion.  相似文献   
992.
The behavior of the platinum group elements (PGE) and Re in felsic magmas is poorly understood due to scarcity of data. We report the concentrations of Ni, Cu, Re, and PGE in the compositionally diverse Boggy Plain zoned pluton (BPZP), which shows a variation of rock type from gabbro through granodiorite and granite to aplite with a SiO2 range from 52 to 74 wt %. In addition, major silicate and oxide minerals were analyzed for Ni, Cu, and Re, and a systematic sulfide study was carried out to investigate the role of silicate, oxide, and sulfide minerals on chalcophile element geochemistry of the BPZP. Mass balance calculation shows that the whole rock Cu budget hosted by silicate and oxide minerals is <13 wt % and that Cu is dominantly located in sulfide phases, whereas most of the whole rock Ni budget (>70 wt %) is held in major silicate and oxide minerals. Rhenium is dominantly hosted by magnetite and ilmenite. Ovoid-shaped sulfide blebs occur at the boundary between pyroxene phenocrysts and neighboring interstitial phases or within interstitial minerals in the gabbro and the granodiorite. The blebs are composed of pyrrhotite, pyrite, chalcopyrite, and S-bearing Fe-oxide, which contain total trace metals (Co, Ni, Cu, Ag, Pb) up to ~16 wt %. The mineral assemblage, occurrence, shape, and composition of the sulfide blebs are a typical of magmatic sulfide. PGE concentrations in the BPZP vary by more than two orders of magnitude from gabbro (2.7–7.8 ppb Pd, 0.025–0.116 ppb Ir) to aplite (0.05 ppb Pd, 0.001 ppb Ir). Nickel, Cu, Re, and PGE concentrations are positively correlated with MgO in all the rock types although there is a clear discontinuity between the granodiorite and the granite in the trends for Ni, Rh, and Ir when plotted against MgO. Cu/Pd values gradually increase from 6,100 to 52,600 as the MgO content decreases. The sulfide petrology and chalcophile element geochemistry of the BPZP show that sulfide saturation occurred in the late gabbroic stage of magma differentiation. Segregation and distribution of these sulfide blebs controlled Cu and PGE variations within the BPZP rocks although the magma of each rock type may have experienced a different magma evolution history in terms of crustal assimilation and crystal fractionation. The sulfide melt locked in the cumulate rocks must have sequestered a significant portion of the chalcophile elements, which restricted the availability of these metals to magmatic-hydrothermal ore fluids. Therefore, we suggest that the roof rocks that overlay the BPZP were not prospective for magmatic-hydrothermal Cu, Au, or Cu–Au deposits.  相似文献   
993.
Contaminants were assessed in Sydney Harbour during baseline and three years of remediation of a former coking and steel facility. Concentrations of PAHs; PCBs; and lead measured in surface sediments indicate overall spatial distribution patterns of historical contaminants remains unchanged, although at much lower concentrations than previously reported due to natural sediment recovery. Recovery rates were in broad agreement with predicted concentrations; or in some cases lower, despite remediation at the Sydney Tar Ponds (STP) site. Contaminants showed little temporal variability, except for detection of significant increases in PAH concentrations during onset of remediation compared to baseline which represented a short term interruption in the overall long term natural recovery of sediments in Sydney Harbour. Recovery (via “capping”) was enhanced following recent harbour dredging activities where less contaminated outer harbour sediments were discharged into a confined disposal facility (CDF) required for a new container in the inner harbour.  相似文献   
994.
Historically, management of coastal dune systems has often involved artificial stabilization of active sand surfaces in order for coastal areas to be more easily controlled and modified for human benefit. In North America, the introduction of invasive grasses, namely European and American beach (marram) grasses (Ammophila spp.) has been one of the most successful strategies used for stabilizing active coastal dune sands. Recent research has demonstrated, however, that stabilization of coastal dunes often leads to reduced landform complexity and resilience, as well as declines in species diversity. More ‘dynamic’ restoration efforts have emerged over the past 20 years that encourage dune mobility and aeolian activity in order to provide a more resilient biogeomorphic system. In North America, there is generally little research relating restoration methods and outcomes to geomorphic responses despite the fundamental importance of sedimentary processes and dune morphodynamics in broader ecosystem function. This paper aims to better situate dynamic dune restoration within current geomorphic understanding. A brief review of key terms and concepts used in the emerging field of dynamic dune restoration is provided and expanded upon with respect to geomorphologic considerations. A case study of a recent dynamic restoration effort in Pacific Rim National Park Reserve, British Columbia, Canada is provide to demonstrate how these concepts are applied. Introduction of European marram at this site, coupled with a warming climate and increased precipitation in recent decades at this site, is thought to be associated with a rapid decline in aeolian activity, system stabilization and accelerated ecological succession. Preliminary results on the response of the dune system to mechanical removal of Ammophila are presented to provide the foundation for a research framework to guide the broader restoration project. Recommendations for improving treatment methodologies and monitoring protocols are provided to aid future restoration projects of this nature. Copyright © 2013 John Wiley & Sons, Ltd.  相似文献   
995.
Alaska is at the northern end of an apparent latitudinal trend of decreasing coastal marine introductions on the West Coast of North America. Historical propagule supply may have played a role in forming this trend, but few studies have evaluated propagule supply to northern latitudes. Here, we examined the role of small boat traffic as a mechanism of long-distance spread for nonindigenous species (NIS) into coastal Alaska. We used a combination of public records, marina surveys, and boater interviews to characterize vessel traffic patterns and boater behaviors. In-water SCUBA sampling of recently arrived transient boats provided data on extent, richness, composition, and biogeography of biofouling incursions to Alaska from outside of the state. We documented a striking seasonality and directionality of vessel traffic, and most vessels were on voyages of >900 km. Most transient vessels sampled had few organisms, although one third had >100 organisms on submerged surfaces. Several NIS were recorded, including two that are not known to be established in Alaska (Watersipora subtorquata and Amphibalanus improvisus). The seasonal northward pulse of vessels and their cumulative biofouling species represent an important incursion mechanism for species yet to establish at the northern edge of a marine bioinvasion front in the northeastern Pacific. The low numbers of NIS sampled in this study coincide with the low number of marine NIS known from Alaska, which suggests that an opportunity remains to promote awareness and management of the vector to limit NIS influx to the region. This may be particularly relevant for future scenarios of increased vessel traffic and ocean warming, which are likely to interact to increase establishment success of invaders from the south.  相似文献   
996.
土壤水分是气候、水文学研究中的重要变量,微波遥感是获取区域地表土壤水分的重要手段,而L波段更是微波土壤水分反演的最优波段。依托HiWATER黑河中游绿洲试验区的地面观测及机载PLMR微波辐射计亮温数据,利用微波辐射传输模型L-MEB,并将MODIS地表温度产品(MOD11A1)和叶面积指数产品(MYD15A2)作为模型及反演中的先验辅助信息,借助LM优化算法,通过PLMR双极化多角度的亮温观测,针对土壤水分、植被含水量(VWC)和地表粗糙度这3个主要参数,分别进行土壤水分单参数反演、土壤水分与VWC或粗糙度的双参数反演以及这3个参数的同时反演。通过对不同反演方法的比较可以得出结论,多源辅助数据及PLMR双极化、多角度信息的应用可以显著降低反演的不确定性,提高土壤水分反演精度。证明在合理的模型参数和反演策略下,SMOS的L-MEB模型和产品算法可以达到0.04 cm3/cm3的反演精度,另外无线传感器网络可以在遥感产品真实性检验中起到重要作用。  相似文献   
997.
This study formulates a comprehensive depositional model for hydromagnesite–magnesite playas. Mineralogical, isotopic and hydrogeochemical data are coupled with electron microscopy and field observations of the hydromagnesite–magnesite playas near Atlin, British Columbia, Canada. Four surface environments are recognized: wetlands, grasslands, localized mounds (metre‐scale) and amalgamated mounds composed primarily of hydromagnesite [Mg5(CO3)4(OH)2·4H2O], which are interpreted to represent stages in playa genesis. Water chemistry, precipitation kinetics and depositional environment are primary controls on sediment mineralogy. At depth (average ≈ 2 m), Ca–Mg‐carbonate sediments overlay early Holocene glaciolacustrine sediments indicating deposition within a lake post‐deglaciation. This mineralogical change corresponds to a shift from siliciclastic to chemical carbonate deposition as the supply of fresh surface water (for example, glacier meltwater) ceased and was replaced by alkaline groundwater. Weathering of ultramafic bedrock in the region produces Mg–HCO3 groundwater that concentrates by evaporation upon discharging into closed basins, occupied by the playas. An uppermost unit of Mg‐carbonate sediments (hydromagnesite mounds) overlies the Ca–Mg‐carbonate sediments. This second mineralogical shift corresponds to a change in the depositional environment from subaqueous to subaerial, occurring once sediments ‘emerged’ from the water surface. Capillary action and evaporation draw Mg–HCO3 water up towards the ground surface, precipitating Mg‐carbonate minerals. Evaporation at the water table causes precipitation of lansfordite [MgCO3·5H2O] which partially cements pre‐existing sediments forming a hardpan. As carbonate deposition continues, the weight of the overlying sediments causes compaction and minor lateral movement of the mounds leading to amalgamation of localized mounds. Radiocarbon dating of buried vegetation at the Ca–Mg‐carbonate boundary indicates that there has been ca 8000 years of continuous Mg‐carbonate deposition at a rate of 0·4 mm yr?1. The depositional model accounts for the many sedimentological, mineralogical and geochemical processes that occur in the four surface environments; elucidating past and present carbonate deposition.  相似文献   
998.
Ichnological studies are still in their infancy when it comes to the interpretation of deep‐marine deposits. The Eocene–Oligocene turbidite system of the Grès d'Annot Formation in south‐east France is well‐studied sedimentologically, but its trace‐fossil content is poorly known. Here, an integrated ichnological–sedimentological study is presented from the Annot sub‐basin for the first time, which demonstrates its value for interpreting proximal to distal and axial to marginal trends in confined turbidite systems. A comprehensive trace‐fossil data set was collected from seven outcrops situated in the southern part of the basin. These data are presented following a morphology‐based classification scheme to allow easy recognition and characterization of ichnotaxa. Ichnodiversity and the abundance of ichnotaxa are regarded as important parameters in such interpretations. Instead of simply counting ichnotaxa per outcrop or stratigraphic unit, an equation has been developed in which the ‘ichnoabundance’ (new term) of each counted ichnotaxon is calculated. An exponential growth factor is applied to the increase of the frequency of trace fossils, and is assumed in this equation to better reflect the population dynamics of benthic organisms. A comparison of the solution for pre‐turbidite and post‐turbidite trace‐fossil suites seems to be more suitable for revealing regional and stratigraphic trends compared with conventional approaches. Despite varying size and conditions of the studied outcrops, the results achieved from the Grès d'Annot Formation can help in the reconstruction of sedimentary processes acting in this confined turbidite basin.  相似文献   
999.
This paper describes the development of a Livelihood Vulnerability Index (LVI) that estimates the relative ability of California commercial sea urchin fishermen to cope with the change associated with proposed marine protected areas. A key goal in establishing marine protected areas is to maximize conservation benefits while minimizing the potential negative impacts to local fishing communities. However, current impact analyses largely assume a linear relationship between percent of fishing area or revenue lost with the magnitude of impact to fishermen. The LVI described in this paper aims to provide an additional dimension to impact analyses in which the adaptive capacity of individual fishermen is examined to estimate the differential abilities of fishermen to cope with the loss of fishing areas or revenue. This paper advances vulnerability assessments as it develops a novel framework for identifying and measuring drivers of vulnerability for understudied fishing populations whose livelihoods depend upon marine resources. This vulnerability assessment is intended to inform the design of marine protected areas by enabling researchers to incorporate the adaptive capacity of fishermen into socioeconomic impact analyses. The LVI was developed for the California commercial sea urchin fishery in the context of proposed marine protected area networks develop through the California Marine Life Protected Act planning process. As climate change advances there is an increasing need to identify vulnerable and resilient populations and ways to bolster adaptive capacity given the environmental and economic changes ahead.  相似文献   
1000.
We have reached a crucial turning point in debates around climate change. A well established scientific consensus regarding the physical causes, dynamics, and at least many likely implications of anthropogenic climate change has thus far failed to result in any substantial movement towards mitigation. For many, then, the most urgent questions regarding climate change are now socio-cultural ones, such as: how do people come to hold and act on certain beliefs regarding environmental conditions and processes; how do institutional forms and histories shape and constrain the views and options of various sorts of actors; and what are relationships among fossil fuels, climate change, and the historical geographies and future trajectories of capitalism? Far from being simpler than physical and life science questions, these social science questions introduce entirely new sorts of actors, dynamics, and methodological challenges into this already complex and dynamic domain. This special issue takes up these topics. In this essay, we chart some of the major contours of contemporary social science thinking regarding climate change and introduce the articles in the special issue. We begin by examining work, from political science and scholarship on the commons, that foregrounds questions of sovereignty, territoriality, and cooperation with respect to environmental governance. Then we examine work from neoclassical economics and radical political economy, which frame climate change in terms of externalities, or contradiction and crisis, respectively. Finally, we examine the rapidly proliferating work exploring how individuals think and feel about these issues, emphasizing concepts of risk, communication, and governmentality.  相似文献   
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