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排序方式: 共有441条查询结果,搜索用时 31 毫秒
81.
We report results from an investigation of the geologic processes controlling hydrothermal activity along the previously-unstudied southern Mid-Atlantic Ridge (3–7°S). Our study employed the NOC (UK) deep-tow sidescan sonar instrument, TOBI, in concert with the WHOI (USA) autonomous underwater vehicle, ABE, to collect information concerning hydrothermal plume distributions in the water column co-registered with geologic investigations of the underlying seafloor. Two areas of high-temperature hydrothermal venting were identified. The first was situated in a non-transform discontinuity (NTD) between two adjacent second-order ridge-segments near 4°02′S, distant from any neovolcanic activity. This geologic setting is very similar to that of the ultramafic-hosted and tectonically-controlled Rainbow vent-site on the northern Mid-Atlantic Ridge. The second site was located at 4°48′S at the axial-summit centre of a second-order ridge-segment. There, high-temperature venting is hosted in an  18 km2 area of young lava flows which in some cases are observed to have flowed over and engulfed pre-existing chemosynthetic vent-fauna. In both appearance and extent, these lava flows are directly reminiscent of those emplaced in Winter 2005−06 at the East Pacific Rise, 9°50′N and reference to global seismic catalogues reveals that a swarm of large (M 4.6−5.6) seismic events was centred on the 5°S segment over a  24 h period in late June 2002, perhaps indicating the precise timing of this volcanic eruptive episode. Temperature measurements at one of the vents found directly adjacent to the fresh lava flows at 5°S MAR (Turtle Pits) have subsequently revealed vent-fluids that are actively phase separating under conditions very close to the Critical Point for seawater, at  3000 m depth and 407 °C: the hottest vent-fluids yet reported from anywhere along the global ridge crest.  相似文献   
82.
The purpose of this study was to examine the historical change in sedimentation rates in lakes that have been impacted by river regulation and agricultural activities in the Ishikari River floodplain. We dated sediment cores using caesium‐137 (137Cs) dating and tephrochronology, and we estimated sediment sources from 137Cs concentrations in the topsoil of representative land covers. We found that, between 1739 and 1963, the distance between the lake and the main river channel and whether or not the lake was connected to the river affected the sedimentation rates. After 1963, agricultural drainage systems were established in the Ishikari River floodplain. The average sedimentation rate before and after the construction of drainage ditches varied between 1–66 and 87–301 mg cm–2 a–1, respectively. The increase in the sedimentation rate after 1963 was caused by the construction of a number of drainage networks, as well as extensive cultivation activity and/or fragmentation of the swamp buffers surrounding the lakes. The 137Cs activities at the surfaces of the lake as well as the catchment‐derived 137Cs contributions and 137Cs inventory in the lake profiles were used to examine the sediment influx from the various drainage areas after the establishment of the drainage system. Our results indicate that the majority of the lake sediments were derived from cultivated areas, and therefore the catchment‐derived 137Cs contribution in the lakes was strongly correlated with the sedimentation rate. The 137Cs inventory across all of the lake profiles was also significantly greater than the atmospheric fallout. We identified a negative correlation between the 137Cs lake profile inventory and the sedimentation rate. This is because the sediment originating from the drainage areas contained low 137Cs concentrations, which diluted the overall concentration of 137Cs in the lake sediment. Copyright © 2009 John Wiley & Sons, Ltd.  相似文献   
83.
Degassing through open paths such as bubble and/or fracture networks is considered to be the principal mode of degassing in silicic magmas. However, its detailed mechanisms remain unclear. To investigate the behavior of bubbles in a hypothetical open-system condition, we performed a series of vesiculation experiments on natural rhyolitic obsidian using a newly designed semipermeable cell, which artificially maintains a pressure difference between its inside and outside. The thick-wall cell maintains a constant volume within the sample chamber, while allowing water vapor to escape the cell during the experimental runs. The cells containing obsidian cores with ca. 0.66 wt.% initial water content were externally heated to 1000 °C for a period of 1–288 h. The run charges generally showed a zonal structure composed of two contrasting regions: a central region within which the bubbles were concentrated (bubble-rich core, BC) and a bubble-free melt region surrounding the BC (bubble-free margin, BFM). With increased heating duration, the thickness of the BFM increased via dissolution of the outermost bubbles in the BC. The water content was nearly uniform throughout the BC, whereas an outward-decreasing gradient was observed in the BFM. We found that diffusive dehydration occurred from the sample surface, and the bubbles were resorbed into the melt. Thus, the BFM–BC boundary moved inwards. These processes were modelled numerically, and the calculation results were in good agreement with the experimental data. If a “lifetime” of open paths is approximated as the relaxation time of a melt in a shallow volcanic environment, then the paths have to be pinched off quickly (1.2 h at maximum pressure difference between the open path and the melt) and thus the thickness of the bubble-free layer reaches at most ~ 0.1 mm. For the formation of bubble-free obsidian layers with a width of a few millimeters, which are often observed in natural obsidian flows, open paths should be maintained for at least a few hundred hours.  相似文献   
84.
McIntosh  K.  Akbar  F.  Calderon  C.  Stoffa  P.  Operto  S.  Christeson  G.  Nakamura  Y.  Shipley  T.  Flueh  E.  Stavenhagen  A.  Leandro  G. 《Marine Geophysical Researches》2000,21(5):451-474
In March and April 1995 a cooperative German, Costa Rican, and United States research team recorded onshore-offshore seismic data sets along the Pacific margin of Costa Rica using the R/V Ewing. Off the Nicoya Peninsula we used a linear array of ocean bottom seismometers and hydrophones (OBS/H) with onshore seismometers extending across much of the isthmus. In the central area we deployed an OBS/H areal array consisting of 30 instruments over a 9 km by 35-km area and had land stations on the Nicoya Peninsula adjacent to this marine array and also extending northeast on the main Costa Rican landmass. Our goal in these experiments was to determine the crustal velocity structure along different portions of this convergent margin and to use the dense instrument deployments to create migrated reflection images of the plate boundary zone and the subducting Cocos Plate. Our specific goal in the central area was to determine whether a subducted seamount is present at the location of the 1990, M 7 earthquake off the Nicoya Peninsula and can thus be linked to its nucleation. Subsequently we have processed the data to improve reflection signals, used the data to calculate crustal velocity models, and developed several wide-aperture migration techniques, based on a Kirchhoff algorithm, to produce reflection images. Along the northern transect we used the ocean bottom data to construct a detailed crustal velocity model, but reflections from the plate boundary and top and bottom of the subducting Cocos plate are difficult to identify and have so far produced poor images. In contrast, the land stations along this same transect recorded clear reflections from the top of the subducting plate or plate boundary, within the seismogenic zone, and we have constructed a clear image from this reflector beneath the Nicoya shelf. Data from the 3-D seismic experiment suffer from high-amplitude, coherent noise (arrivals other than reflections), and we have tried many techniques to enhance the signal to noise ratio of reflected arrivals. Due to the noise, an apparent lack of strong reflections from the plate boundary zone, and probable structural complexity, the resulting 3-D images only poorly resolve the top of the subducting Cocos Plate. The images are not able to provide compelling evidence of whether there is a subducting seamount at the 1990 earthquake hypocenter. Our results do show that OBS surveys are capable of creating images of the plate boundary zone and the subducting plate well into the seismogenic zone if coherent reflections are recorded at 1.8 km instrument spacing (2-D) and 5 km inline by 1 km crossline spacing for 3-D acquisition. However, due to typical high amplitude coherent noise, imaging results may be poorer than expected, especially in unfavorable geologic settings such as our 3-D survey area. More effective noise reduction in acquisition, possibly with the use of vertical hydrophone arrays, and in processing, with advanced multiple removal and possibly depth filtering, is required to achieve the desired detailed images of the seismogenic plate boundary zone.  相似文献   
85.
In this paper, with the in-situ observations from the Time History of Events and Macroscale Interactions during Substorms (THEMIS) probes we report a wavy dipolarization front (DF) event, where the DF has different magnetic structures and electron distributions at different \(y\) positions in the Geocentric Solar Magnetospheric (GSM) coordinates. At \(y \sim2.1R_{E}\) (\(R_{E}\) is the radius of Earth), the DF has a relatively simple structure, which is similar to that of a conventional DF. At \(y \sim3.0R_{E}\), the DF is revealed to have a multiple DF structure, where the plasma exhibits a vortex flow. Such a wavy DF could be the results of the interchange instability. The different structure of such a wavy DF at different sites has a great effect on electron acceleration. Fermi acceleration can occur at the site of the DF with a simple or multiple DF structure, while betatron acceleration as a local process has the contribution to energetic electrons only at the site of the DF with a simple structure.  相似文献   
86.
A steady quasi-geostrophic 2.5-layer model, forced by both Ekman pumping and a mass source/sink situated at the western boundary has been constructed to investigate the effect of diapycnal transport due to convection in the Okhotsk Sea and tidal mixing at the Kuril Straits on the intermediate layer in the North Pacific. The model illustrates a combined effect of the wind-driven and mass-driven circulations. First, net mass input induces a “barotropic” mode inter-gyre flow along the western boundary through the dynamical influence of Kelvin waves. This flow creates characteristic curves (geostrophic contours) that facilitate inter-gyre communication through the western boundary layer from the location of the mass source to the subtropical gyre. Due to the effect of wind-driven circulation, the offshore part turns eastward into the interior, encircles the outer rim of the region (which would otherwise be the pool region in the absence of mass input), and then encounters the western boundary. Eventually, the water fed into the lower layer flows mostly along this path and later flows away to the equatorial region. Conversely, in the upper layer, water is fed from the equator to the subtropics, and to the subpolar interior region through the western boundary current. The water then circulates along the outer rim and is absorbed into the mass sink. The model is controlled mainly by three nondimensional parameters: (1) the ratio of net mass input rate to the maximum Sverdrup transport (Q/T Sv max ), which affects the inter-gyre communication by altering the paths of geostrophic contours, (2) the ratio of a mass input rate into the lower layer to that in total (Q 2/Q), which controls the vertical structure of the inter-gyre flow, and (3) the measure of the wind forcing effect relative to the β effect, which determines the horizontal extent of the area influenced by the mass input. The other parameter regimes with respect to Q/T Sv max and Q 2/Q are also presented.  相似文献   
87.
To investigate whether or not regional–temporal patterns of seagrass habitat use by fishes existed at the Ryukyu Islands (southern Japan), visual surveys were conducted in seagrass beds and adjacent coral reefs in northern, central, and southern Ryukyu Islands, in November 2004, and May, August, and November 2005, the northern region having less extensive seagrass beds compared with the central and southern regions. During the study period, the seagrass beds were utilized primarily by 31 species, the densities of some of the latter differing significantly among regions. With the exception of Apogonidae and Holocentridae, all species were diurnal and could be divided into 6 groups based on seagrass habitat use patterns; (1) permanent residents A (10 species, e.g. Stethojulis strigiventer), juveniles and adults living in seagrass beds as well as other habitats; (2) permanent residents B (5 species, e.g. Calotomus spinidens), juveniles and adults living only or mainly in seagrass beds; (3) seasonal residents A (4 species, e.g. Cheilodipterus quinquelineatus), juveniles living in seagrass beds as well as other habitats; (4) seasonal residents B (6 species, e.g. Lethrinus atkinsoni), juveniles living only or mainly in seagrass beds; (5) transients (5 species, e.g. Parupeneus indicus), occurring in seagrass beds in the course of foraging over a variety of habitats; and (6) casual species (1 species, Acanthurus blochii), occurring only occasionally in seagrass beds. Regarding temporal differences, juvenile densities in each group were high in May and August compared with November in each region, whereas adult densities did not differ drastically in each month. For regional differences, juvenile and adult densities of permanent residents A and B were higher in the southern and central regions than in the northern region. Moreover, some seasonal residents showed possible ontogenetic habitat shift from seagrass beds to coral reefs in each region. These results indicated that seagrass habitat use patterns by fishes changed temporally and regionally and there may be habitat connectivity between seagrass beds and coral reefs via ontogenetic migration in the Ryukyu Islands.  相似文献   
88.
Two inverted echo sounders were maintained on coastal and offshore sides of the Kuroshio south of Japan from October 1993 to July 2004. Applying the gravest empirical mode method, we obtained a time series of geostrophic transport. Estimated transports generally agree well with geostrophic transports estimated from hydrography. Their agreement with the hydrographic transports is better than that of transports estimated from satellite altimetry data. The geostrophic transport is expressed as the surface transport per unit depth multiplied by the equivalent depth. The geostrophic transport varies mostly with the surface transport and fractionally with the equivalent depth. Seasonal variation of the geostrophic transport has a minimum in March and a maximum in September, with a range of about one fifth of the total transport.  相似文献   
89.
The fundamental approach for the confirmation of any terrestrial meteorite impact structure is the identification of diagnostic shock metamorphic features, together with the physical and chemical characterization of impactites and target lithologies. However, for many of the approximately 200 confirmed impact structures known on Earth to date, multiple scale‐independent tell‐tale impact signatures have not been recorded. Especially some of the pre‐Paleozoic impact structures reported so far have yielded limited shock diagnostic evidence. The rocks of the Dhala structure in India, a deeply eroded Paleoproterozoic impact structure, exhibit a range of diagnostic shock features, and there is even evidence for traces of the impactor. This study provides a detailed look at shocked samples from the Dhala structure, and the shock metamorphic evidence recorded within them. It also includes a first report of shatter cones that form in the shock pressure range from ~2 to 30 GPa, data on feather features (FFs), crystallographic indexing of planar deformation features, first‐ever electron backscatter diffraction data for ballen quartz, and further analysis of shocked zircon. The discovery of FFs in quartz from a sample of the MCB‐10 drill core (497.50 m depth) provides a comparatively lower estimate of shock pressure (~7–10 GPa), whereas melting of a basement granitoid infers at least 50–60 GPa shock pressure. Thus, the Dhala impactites register a strongly heterogeneous shock pressure distribution between <2 and >60 GPa. The present comprehensive review of impact effects should lay to rest the nonimpact genesis of the Dhala structure proposed by some earlier workers from India.  相似文献   
90.
Three masses of the Chelyabinsk meteorite have been studied with a wide range of analytical techniques to understand the mineralogical variation and thermal history of the Chelyabinsk parent body. The samples exhibit little to no postentry oxidation via Mössbauer and Raman spectroscopy indicating their fresh character, but despite the rapid collection and care of handling some low levels of terrestrial contamination did nonetheless result. Detailed studies show three distinct lithologies, indicative of a genomict breccia. A light‐colored lithology is LL5 material that has experienced thermal metamorphism and subsequent shock at levels near S4. The second lithology is a shock‐darkened LL5 material in which the darkening is caused by melt and metal‐troilite veins along grain boundaries. The third lithology is an impact melt breccia that formed at high temperatures (~1600 °C), and it experienced rapid cooling and degassing of S2 gas. Portions of light and dark lithologies from Chel‐101, and the impact melt breccias (Chel‐102 and Chel‐103) were prepared and analyzed for Rb‐Sr, Sm‐Nd, and Ar‐Ar dating. When combined with results from other studies and chronometers, at least eight impact events (e.g., ~4.53 Ga, ~4.45 Ga, ~3.73 Ga, ~2.81 Ga, ~1.46 Ga, ~852 Ma, ~312 Ma, and ~27 Ma) are clearly identified for Chelyabinsk, indicating a complex history of impacts and heating events. Finally, noble gases yield young cosmic ray exposure ages, near 1 Ma. These young ages, together with the absence of measurable cosmogenic derived Sm and Cr, indicate that Chelyabinsk may have been derived from a recent breakup event on an NEO of LL chondrite composition.  相似文献   
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