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111.
Mary Ann Madej Elizabeth A. Eschenbach Carlos Diaz Rebecca Teasley Kristine Baker 《地球表面变化过程与地形》2006,31(13):1643-1656
Many forested steeplands in the western United States display a legacy of disturbances due to timber harvest, mining or wildfires, for example. Such disturbances have caused accelerated hillslope erosion, leading to increased sedimentation in fish‐bearing streams. Several restoration techniques have been implemented to address these problems in mountain catchments, many of which involve the removal of abandoned roads and re‐establishing drainage networks across road prisms. With limited restoration funds to be applied across large catchments, land managers are faced with deciding which areas and problems should be treated first, and by which technique, in order to design the most effective and cost‐effective sediment reduction strategy. Currently most restoration is conducted on a site‐specific scale according to uniform treatment policies. To create catchment‐scale policies for restoration, we developed two optimization models – dynamic programming and genetic algorithms – to determine the most cost‐effective treatment level for roads and stream crossings in a pilot study basin with approximately 700 road segments and crossings. These models considered the trade‐offs between the cost and effectiveness of different restoration strategies to minimize the predicted erosion from all forest roads within a catchment, while meeting a specified budget constraint. The optimal sediment reduction strategies developed by these models performed much better than two strategies of uniform erosion control which are commonly applied to road erosion problems by land managers, with sediment savings increased by an additional 48 to 80 per cent. These optimization models can be used to formulate the most cost‐effective restoration policy for sediment reduction on a catchment scale. Thus, cost savings can be applied to further restoration work within the catchment. Nevertheless, the models are based on erosion rates measured on past restoration sites, and need to be updated as additional monitoring studies evaluate long‐term basin response to erosion control treatments. Copyright © 2006 John Wiley & Sons, Ltd. 相似文献
112.
113.
Rebecca A. W. Elson Steinn Sigurdsson Melvyn Davies Jarrod Hurley & Gerard Gilmore 《Monthly notices of the Royal Astronomical Society》1998,300(3):857-862
We determine the binary star fraction as a function of radius in NGC 1818, a young rich cluster in the Large Magellanic Cloud, using Hubble Space Telescope images in bands F336W (∼ U ) and F555W (∼ V ). Our sample includes binaries with M primary ∼ 2–5.5 M⊙ and M secondary ≳ 0.7 Mprimary . The binary fraction increases towards the cluster centre, from ∼ 20 ± 5 per cent in the outer parts, to ∼ 35 ± 5 per cent inside the core. This increase is consistent with dynamical mass segregation and need not be primordial. We compare our results with expectations from N -body models, and discuss the implications for the formation and early evolution of such clusters. 相似文献
114.
S. N. Feldstein Rebecca A. Lange Torsten Vennemann James R. O'Neil 《Contributions to Mineralogy and Petrology》1996,126(1-2):51-66
Complete chemical analyses, including ferric and ferrous iron, H2O contents and δD values for 16 phlogopite and biotite and 2 hornblende separates are presented. Samples were obtained from
volcanic rocks from four localities: (1) phlogopite phenocrysts from minette lavas from the western Mexico continental arc,
(2) biotite and hornblende phenocrysts from andesite lavas from Mono Basin, California, (3) phlogopite and biotite from clinopyroxenite
nodules entrained in potassic lavas from the East African Rift, Uganda, and (4) phlogopite phenocrysts from a wyomingite lava
in the Leucite Hills, Wyoming. The Fe2O3 contents in the micas range from 0.8 to 10.5 wt%, corresponding to 0.09 to 1.15 Fe3+ per formula unit (pfu). Water contents vary from 1.6 to 3.0 wt%, corresponding to 1.58 to 3.04 OH pfu, significantly less
than would be expected for a site fully occupied by hydroxyl. Cation- and anion-based normalization procedures provide accurate
mineral formulae with respect to most cations and anions, but are unable to generate accurate estimates of Fe3+/FeT, and overestimate OH at the expense of O on the hydroxyl site. These inaccuracies are present despite acceptable adjusted
totals and stoichiometric calculated site occupancies. The phlogopite and biotite phenocrysts in arc-related lavas from western
Mexico and eastern California have the highest Fe3+/FeT ratios (56–87%), reflecting high magmatic oxygen fugacities (ΔNNO = +2 to +5), in contrast to those from Uganda (25–40%)
and the Leucite Hills (23%). There is no correlation between the OH content and the Fe3+/FeT ratio in the micas. Values of KMg/Fe2+D (± 2σ errors) were calculated for three phlogopite-olivine pairs (0.12 ± 0.12, 0.26 ± 0.14, 0.09 ± 0.12), two biotite-hornblende
pairs (0.73 ± 0.08 and 1.22 ± 0.10) and a single phlogopite-augite pair (1.15 ± 0.12). Values of KF/OHD for two biotite and
hornblende pairs could not be determined without significant error because of the extremely low F contents (< 0.2 wt%) of
the four phases. The δD values obtained in this study encompass a large range (−137 to −43‰). The phlogopite and biotite separates
from Uganda have δD values of −70 to −49‰, which overlap those believed to represent “primary” mantle. There is a larger range
in δD values (−137 to −43‰) for phlogopite phenocrysts from western Mexico minette lavas, although their range in δ18O values (5.2–6.2‰) is consistent with “normal” mantle. It is unlikely, therefore, that the variable δD values reflect heterogeneity
in the mantle source region of the minette magmas. Nor can the extremely low δD values reflect degassing of H2 or H2O since almost 100% loss of dissolved water in the magma is required, an unrealistic scenario given the stability of the hydrous
phenocrysts. The very low δD values of the Mascota minette phlogopites require that the hydrogen be introduced from an external
source (e.g., meteoric water). Whatever the process responsible for the observed hydrogen isotope composition, it had no effect
on the δ18O value, f
O
2, a
H
2O or bulk composition of the host magmas.
Received: 5 January 1995 / Accepted: 19 March 1996 相似文献
115.
116.
Kenneth S. Edgett Rebecca M. E. Williams Michael C. Malin Bruce A. Cantor Peter C. Thomas 《Geomorphology》2003,52(3-4):289-297
Lithology and physical properties of strata exposed at the Earth's surface have direct influence on the erosion and geomorphic expression of landforms. While this is well known on our planet, examples on Mars are just coming to light among the tens of thousands of airphoto-quality images (resolutions 1.5–12 m/pixel) acquired since 1997 by the Mars Global Surveyor (MGS) Mars Orbiter Camera (MOC). Specific examples occur among martian north polar layered materials, which MOC images reveal are divided into two distinct stratigraphic units: a lower, dark-toned layered unit and a younger, upper, lighter-toned layered unit. The lower unit is less resistant to wind erosion than the upper unit. The upper unit most likely consists of stratified dust and ice, while the lower unit contains abundant, poorly cemented sand. Sand is more easily mobilized by wind than dust; the lower resistance to erosion of the lower unit results from the presence of sand. Where wind erosion in polar troughs has penetrated to the lower unit, geomorphic change has proceeded more rapidly: sand has been liberated from the lower unit, and arcuate scarps have formed as the upper unit has been undermined. Wind erosion of the lower unit thus influences the geomorphology of the north polar region; this result likely explains the genesis of the large polar trough, Chasma Boreale, and the relations between dunes and arcuate scarps that have puzzled investigators for nearly three decades. The properties of the stratigraphic units suggest that the upper limit for the amount of water contained in the north polar layered materials may be 30–50% less than previously estimated. 相似文献
117.
The period 1996-2001 has witnessed a refocusing of population growth on Sydney and Melbourne as both cities have developed significant concentrations of so-called 'new economy' jobs and taken on, to greater or lesser extents, the characteristics of global cities. The consequence of these trends, for Sydney most particularly, is population growth. This paper establishes this demographic reality by describing recent demographic trends in Sydney and possible future scenarios for Sydney's population, given differing levels of fertility, internal migration and international migration. A related future trend is also traced--that the number of households in Sydney will grow more rapidly than the population due to changes in household structure. This raises the issue of how and where these households will be accommodated, given the relative land shortage in the Sydney Statistical Division and given that there is no doubt that planners in New South Wales will be attempting to maintain and enhance Sydney's status as a global city. In sum, the paper argues that Sydney planners should be preparing for growth of around one million people in the next 20 years and a further one million in the following 30 years. To maintain that potential future residents of Sydney can be redirected to other parts of New South Wales is a vain hope. 相似文献
118.
The spatial and temporal distributions of rain-on-snow (ROS) events across the Canadian Arctic Archipelago (CAA) remain poorly understood owing to their sporadic nature in time and space. This situation motivated the development of remote sensing detection algorithms. This paper uses a large meteorological dataset across the CAA to adapt an existing ROS-detection algorithm developed in a previous study by our group. Results highlight the spatial distribution and evolution of ROS occurrences reported since 1985 at 14 weather stations across the CAA. Results show that >600 ROS events were inventoried since 1985, for which >70% were classified as pure rain (liquid form) and 30% as mixed precipitation (solid/liquid). Of the pure rain events, 75% occurred during spring, 14% during fall, 8% during summer and <1% during winter. Such events can have significant impacts on ungulate grazing conditions through the creation of ice layers, causing serious problems for caribou calf survival, especially during the migration period. This paper introduces an adaptation for larger scale Arctic application of a detection algorithm (sensitivity analysis on the detection threshold) with an error of ~5%. The validation, however, remains limited due to a short study period and limited number of sites. 相似文献
119.
As part of a long-term study of Saturn's rings, we have used the Hubble Space Telescope's (HST) Wide Field and Planetary Camera (WFPC2) to obtain several hundred high resolution images from 1996 to 2004, spanning the full range of ring tilt and solar phase angles accessible from the Earth. Using these multiwavelength observations and HST archival data, we have measured the photometric properties of spokes in the B ring, visible in a substantial number of images. We determined the spoke particle size distribution by fitting the wavelength-dependent extinction efficiency of a prominent, isolated spoke, using a Mie scattering model. Following Doyle and Grün (1990, Icarus 85, 168-190), we assumed that the spoke particles were sub-micron size spheres of pure water ice, with a Hansen-Hovenier size distribution (Hansen and Hovenier, 1974, J. Atmos. Sci. 31, 1137-1160). The WFPC2 wavelength coverage is broader than that of the Voyager data, resulting in tighter constraints on the nature of spoke particles. The effective particle size was reff=0.57±0.05 μm, and the size distribution was quite narrow with a variance of b=0.09±0.03, very similar to the results of Doyle and Grün (1990, Icarus 85, 168-190), and consistent with predictions of plasma cloud models for spoke production from meteoritic impacts (Goertz and Morfill, 1983, Icarus 53, 219-229; Goertz, 1984, Adv. Space Res. 4, 137-141). In all, we identified 36 spokes or spoke complexes, predominantly on the morning (east) ansa. The photometric contrast of the spokes is strongly dependent on effective ring opening angle, Beff. Spokes were clearly visible on the north face of the rings in 1994, just prior to the most recent ring plane crossing (RPX) epoch, and on the south face shortly after RPX. However, spokes were both less abundant and fainter as the rings opened up, and no spokes were detected after 18 October 1998 (Beff=−15.43°), when a single faint spoke was seen on the morning ansa. The high resolution and photometric quality of the WFPC2 images enabled us to set a detection limit of ?1% in fractional brightness contrast for spokes for the post-1998 observations. We compare the observed trend of spoke contrast with Beff to radiative transfer calculations based on three models of the distribution of spoke material. In the first, the spoke “haze” is uniformly mixed with macroscopic B ring particles. No variation in spoke contrast is predicted for single-scattering, in this case, and only a modest decrease in contrast with Beff is predicted when multiple scattering is taken into account. In the second model, the spoke dust occupies an extended layer that is thicker than the B ring, which gives virtually identical results to a third case, when the haze layer lies exclusively above the ring. Multiple-scattering Monte Carlo calculations for these two extended haze models match the trend of spoke contrast exceptionally well. We compute the predicted spoke contrast for a wide variety of viewing geometries, including forward- and backscattering. Based on these results, spokes should be easily detectable during the Cassini mission when the rings are viewed at relatively small (|B|?10°) ring opening angles. 相似文献
120.