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551.
Reefs are one of the marine habitats listed in Annex I of the European Union's Habitats Directive, which aims to establish a coherent European ecological network of Special Areas of Conservation. EU Member States are required to prepare and propose a national list of sites for evaluation under the scheme, but currently the occurrence of reefs in the United Kingdom's nearshore and offshore areas is not well documented. Here we report on our search for rocky reefs in the central English Channel, which unexpectedly revealed an extensive reef system covering an area of 1100 km2. Prior to our work, it was generally perceived that the seabed in this area comprised mostly gravel, with a few isolated rock outcrops.Our approach to determining the location, extent and character of these reefs incorporated broad, medium and fine-scale analyses over a 3200 km2 area of seabed, using single- and multi-beam acoustic data, ground-truthed by underwater video and stills imagery. A benthic terrain model was developed in ArcGIS to map topographic features at the broad and medium scales. Biotope assignments were made at the fine scale through detailed analysis of video footage obtained from 30 sampling stations. The study area has a complex geological history and lies at the centre of a major bedload-parting zone. Together, these strongly influence the seabed character and the distribution of biotopes. An integrated assessment of the physical and biological features was used to map the study area to level 4 of the EUNIS habitat classification system.Similar physical conditions exist in other areas of the UK continental shelf, raising the prospect of predicting where other rocky reef systems might occur. In the absence of a co-ordinated national seabed survey programme, such predictions, coupled with interpretation of existing single-beam bathymetry data, can help prioritise areas where limited survey resources could be most effectively deployed.  相似文献   
552.
In this review paper, state-of-the-art observational and numerical modeling methods for small scale turbulence and mixing with applications to coastal oceans are presented in one context. Unresolved dynamics and remaining problems of field observations and numerical simulations are reviewed on the basis of the approach that modern process-oriented studies should be based on both observations and models. First of all, the basic dynamics of surface and bottom boundary layers as well as intermediate stratified regimes including the interaction of turbulence and internal waves are briefly discussed. Then, an overview is given on just established or recently emerging mechanical, acoustic and optical observational techniques. Microstructure shear probes although developed already in the 1970s have only recently become reliable commercial products. Specifically under surface waves turbulence measurements are difficult due to the necessary decomposition of waves and turbulence. The methods to apply Acoustic Doppler Current Profilers (ADCPs) for estimations of Reynolds stresses, turbulence kinetic energy and dissipation rates are under further development. Finally, applications of well-established turbulence resolving particle image velocimetry (PIV) to the dynamics of the bottom boundary layer are presented. As counterpart to the field methods the state-of-the-art in numerical modeling in coastal seas is presented. This includes the application of the Large Eddy Simulation (LES) method to shallow water Langmuir Circulation (LC) and to stratified flow over a topographic obstacle. Furthermore, statistical turbulence closure methods as well as empirical turbulence parameterizations and their applicability to coastal ocean turbulence and mixing are discussed. Specific problems related to the combined wave-current bottom boundary layer are discussed. Finally, two coastal modeling sensitivity studies are presented as applications, a two-dimensional study of upwelling and downwelling and a three-dimensional study for a marginal sea scenario (Baltic Sea). It is concluded that the discussed methods need further refinements specifically to account for the complex dynamics associated with the presence of surface and internal waves.  相似文献   
553.
More than half of the surface sediments covering the continental shelves are sandy, which may permit substantial sub-seafloor pore water advection. Knowledge of sediment permeability is required for quantifying advection and associated solute transport, but studies of marine sediments typically report grain size analyses rather than permeability. Here data from 23 studies were examined to determine the range in permeabilities reported for sublittoral marine sands and to assess the utility of permeability–grain size relationships in this setting. In the resulting database, the permeability of small (∼30 cm) undisturbed cores collected from the sea floor all fell between 2 × 10−12 and 4 × 10−10 m2, a range where advective transport induced by wave and current action should be pervasive. The range in grain size was very similar for near-shore (<10 m water depth) and continental shelf samples (>10 m water depth), but the permeability of the continental shelf samples was consistently lower for the same median grain size. Empirical permeability–grain size relationships generated a poor fit (r2 = 0.35) for the aggregate data, but separate relationships for near-shore and continental shelf samples were significantly better, r2 = 0.66 and 0.77, respectively. Permeability–grain size relationships thus may be useful for sublittoral sands, but a larger database needs to be accumulated before reliable fit parameters and variability can be predicted. Thus it is recommended that permeability be routinely determined when characterizing sedimentological properties of marine sand deposits. Concurrent determinations of sediment bulk density and porosity may further improve estimates of permeability.  相似文献   
554.
Observations of the western Arabian Sea over the last decade have revealed a rich filamentary eddy structure, with large horizontal SST gradients in the ocean, developing in response to the southwest monsoon winds. This summertime oceanic condition triggers an intense mesoscale coupled interaction, whose overall influence on the longer-term properties of this ocean remains uncertain. In this study, a high-resolution regional coupled model is employed to explore this feedback effect on the long-term dynamical and thermodynamical structure of the ocean.The observed relationship between the near-surface winds and mesoscale SSTs generate Ekman pumping velocities at the scale of the cold filaments, whose magnitude is the order of 1 m/day in both the model and observations. This additional Ekman-driven velocity, induced by the wind-eddy interaction, accounts for approximately 10–20% of oceanic vertical velocity of the cold filaments. This implies that Ekman pumping arising from the mesoscale coupled feedback makes a non-trivial contribution to the vertical structure of the upper ocean and the evolution of mesoscale eddies, with obvious implications for marine ecosystem and biogeochemical variability.Furthermore, SST features associated with cold filaments substantially reduce the latent heat loss. The long-term latent heat flux change due to eddies in the model is approximately 10–15 W/m2 over the cold filaments, which is consistent with previous estimates based on short-term in situ measurements. Given the shallow mixed layer, this additional surface heat flux warms the cold filament at the rate of 0.3–0.4 °C/month over a season with strong eddy activity, and 0.1–0.2 °C/month over the 12-year mean, rendering overall low-frequency modulation of SST feasible. This long-term mixed layer heating by the surface flux is approximately ±10% of the lateral heat flux by the eddies, yet it can be comparable to the vertical heat flux. Potential dynamic and thermodynamic impacts of this observed air–sea interaction on the monsoons and regional climate are yet to be quantified given the strong correlation between the Somalia upwelling SST and the Indian summer monsoons.  相似文献   
555.
We investigate the parameters of global solar p-mode oscillations, namely damping width \(\Gamma\), amplitude \(A\), mean squared velocity \(\langle v^{2}\rangle\), energy \(E\), and energy supply rate \(\mathrm{d}E/\mathrm{d}t\), derived from two solar cycles’ worth (1996?–?2018) of Global Oscillation Network Group (GONG) time series for harmonic degrees \(l=0\,\mbox{--}\,150\). We correct for the effect of fill factor, apparent solar radius, and spurious jumps in the mode amplitudes. We find that the amplitude of the activity-related changes of \(\Gamma\) and \(A\) depends on both frequency and harmonic degree of the modes, with the largest variations of \(\Gamma\) for modes with \(2400~\upmu\mbox{Hz}\le\nu\le3300~\upmu\mbox{Hz}\) and \(31\le l \le60\) with a minimum-to-maximum variation of \(26.6\pm0.3\%\) and of \(A\) for modes with \(2400~\upmu\mbox{Hz}\le\nu\le 3300~\upmu\mbox{Hz}\) and \(61\le l \le100\) with a minimum-to-maximum variation of \(27.4\pm0.4\%\). The level of correlation between the solar radio flux \(F_{10.7}\) and mode parameters also depends on mode frequency and harmonic degree. As a function of mode frequency, the mode amplitudes are found to follow an asymmetric Voigt profile with \(\nu_{\text{max}}=3073.59\pm0.18~\upmu\mbox{Hz}\). From the mode parameters, we calculate physical mode quantities and average them over specific mode frequency ranges. In this way, we find that the mean squared velocities \(\langle v^{2}\rangle\) and energies \(E\) of p modes are anticorrelated with the level of activity, varying by \(14.7\pm0.3\%\) and \(18.4\pm0.3\%\), respectively, and that the mode energy supply rates show no significant correlation with activity. With this study we expand previously published results on the temporal variation of solar p-mode parameters. Our results will be helpful to future studies of the excitation and damping of p modes, i.e., the interplay between convection, magnetic field, and resonant acoustic oscillations.  相似文献   
556.
Following the discovery of asphalt volcanism in the Campeche Knolls a research cruise was carried out in 2006 to unravel the nature of the asphalt deposits at Chapopote. The novel results support the concept that the asphalt deposits at the seafloor in 3000 m of water depth originate from the seepage of heavy petroleum with a density slightly greater than water. The released petroleum forms characteristic flow structures at the seafloor with surfaces that are ‘ropy’ or ‘rough’ similar to magmatic lava flows. The surface structures indicate that the viscosity of the heavy petroleum rapidly increases after extrusion due to loss of volatiles. Consequently, the heavy petroleum forms the observed asphalt deposit and solidifies. Detailed survey with a remotely operated vehicle revealed that the asphalts are subject to sequential alterations: e.g. volume reduction leading to the formation of visible cracks in the asphalt surface, followed by fragmentation of the entire deposit. While relatively fresh asphalt samples were gooey and sticky, older, fragmented pieces were found to be brittle without residual stickiness. Furthermore, there is evidence for petroleum seepage from below the asphalt deposits, leading to local up-doming and, sometimes, to whip-shaped extrusions. Extensive mapping by TV-guided tools of Chapopote Asphalt Volcano indicates that the main asphalt deposits occur at the south-western rim that borders a central, crater-like depression. The most recent asphalt deposit at Chapopote is the main asphalt field covering an area of ∼2000 m2. Asphalt volcanism is distinct from oil and gas seepage previously described in the Gulf of Mexico and elsewhere because it is characterized by episodic intrusions of semi-solid hydrocarbons that spread laterally over a substantial area and produce structures with significant vertical relief. As Chapopote occurs at the crest of a salt structure it is inferred that asphalt volcanism is a secondary result of salt tectonism.  相似文献   
557.
On 22 April 2009 the European Commission published its ‘Green Paper on the Reform of the Common Fisheries Policy’. The Green Paper points out a contradiction in policy, noting on one hand that public financial support to the Community's fisheries sector is substantial, but on the other hand such support is often incompatible with other Common Fisheries Policy (CFP) objectives, particularly the need to reduce overcapacities. Providing an analytical framework to better understand the effects of subsidies as well as an overview of existing funding schemes under the CFP, this article aims at answering some of the questions posed by the European Commission within its Green Paper. Answers are based on two ideas: the exploitation of marine capture resources ultimately depends on the level of available fish stocks and that a large share of subsidies fuels the race to fish by inducing investment incentives for the fisheries sector. Policies that have ignored this tend to encourage inefficient and unsustainable fishing as well as the misallocation of public funds. Although support schemes under the CFP have changed in recent years, some problematic support schemes persist. A future reform will have to continue the course taken towards sustainable and efficient approaches to supporting the fisheries industry.  相似文献   
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