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ABSTRACT The shore of a large and shallow reservoir or lake may incur damages caused by high or low static water level, as well as from dynamic water level rises induced by wind; thus, the random variables representing, respectively, static water level and wind-induced rise must be added. The case study of Lake Balaton, Hungary, illustrates a proposed methodology to estimate, on the one hand, the distribution function of monthly static water level and on the other hand, that of monthly maximum rise caused by wind (seiche plus waves). We consider one section of lake shore which is homogeneous from the viewpoints of types of structure, dominant winds and corresponding values of fetch, so that a well-defined damage function can be used later for that section. A convolution of the two distribution functions is performed to yield the distribution function of monthly maximum water level. On the basis of existing data, normal distributions are suggested for either static or dynamic water levels. Extensions and transferability of the methodology are discussed. 相似文献
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Kyanite‐ and phengite‐bearing eclogites have better potential to constrain the peak metamorphic P–T conditions from phase equilibria between garnet + omphacite + kyanite + phengite + quartz/coesite than common, mostly bimineralic (garnet + omphacite) eclogites, as exemplified by this study. Textural relationships, conventional geothermobarometry and thermodynamic modelling have been used to constrain the metamorphic evolution of the Tromsdalstind eclogite from the Tromsø Nappe, one of the biggest exposures of eclogite in the Scandinavian Caledonides. The phase relationships demonstrate that the rock progressively dehydrated, resulting in breakdown of amphibole and zoisite at increasing pressure. The peak‐pressure mineral assemblage was garnet + omphacite + kyanite + phengite + coesite, inferred from polycrystalline quartz included in radially fractured omphacite. This omphacite, with up to 37 mol.% of jadeite and 3% of the Ca‐Eskola component, contains oriented rods of silica composition. Garnet shows higher grossular (XGrs = 0.25–0.29), but lower pyrope‐content (XPrp = 0. 37–0.39) in the core than the rim, while phengite contains up to 3.5 Si pfu. The compositional isopleths for garnet core, phengite and omphacite constrain the P–T conditions to 3.2–3.5 GPa and 720–800 °C, in good agreement with the results obtained from conventional geothermobarometry (3.2–3.5 GPa & 730–780 °C). Peak‐pressure assemblage is variably overprinted by symplectites of diopside + plagioclase after omphacite, biotite and plagioclase after phengite, and sapphirine + spinel + corundum + plagioclase after kyanite. Exhumation from ultrahigh‐pressure (UHP) conditions to 1.3–1.5 GPa at 740–770 °C is constrained by the garnet rim (XCaGrt = 0.18–0.21) and symplectite clinopyroxene (XNaCpx = 0.13–0.21), and to 0.5–0.7 GPa at 700–800 °C by sapphirine (XMg = 0.86–0.87) and spinel (XMg = 0.60–0.62) compositional isopleths. UHP metamorphism in the Tromsø Nappe is more widespread than previously known. Available data suggest that UHP eclogites were uplifted to lower crustal levels rapidly, within a short time interval (452–449 Ma) prior to the Scandian collision between Laurentia and Baltica. The Tromsø Nappe as the highest tectonic unit of the North Norwegian Caledonides is considered to be of Laurentian origin and UHP metamorphism could have resulted from subduction along the Laurentian continental margin. An alternative is that the Tromsø Nappe belonged to a continental margin of Baltica, which had already been subducted before the terminal Scandian collision, and was emplaced as an out‐of‐sequence thrust during the Scandian lateral transport of nappes. 相似文献
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M. JANÁK N. FROITZHEIM N. GEORGIEV T. J. NAGEL S. SAROV 《Journal of Metamorphic Geology》2011,29(3):317-332
A new occurrence of kyanite eclogite in the Pirin Mountains of southwestern Bulgaria within the rocks belonging to the Obidim Unit of the Rhodope Metamorphic Complex is presented. This eclogite provides important information about the peak–pressure conditions despite strong thermal overprint at low pressure. Textural relationships, phase equilibrium modelling and conventional geothermobarometry were used to constrain the metamorphic evolution. Garnet porphyroblasts with inclusions of omphacite (up to 43 mol.% Jd), phengite (up to 3.5 Si p.f.u.), kyanite, polycrystalline quartz, pargasitic amphibole, zoisite and rutile in the Mg‐rich cores (XMg = 0.44–0.46) record a prograde increase in P–T conditions from ~2.5 GPa and 650 °C to ~3 GPa and 700–750 °C. Maximum pressure values fall within the stability field of coesite. During exhumation, the peak–pressure assemblage garnet + omphacite + phengite + kyanite was variably overprinted by a lower pressure one forming symplectitic textures, such as diopside + plagioclase after omphacite and biotite + plagioclase after phengite. The development of spinel (XMg = 0.4–0.45) + corundum + anorthite assemblage in the kyanite‐bearing domains at ~1.1 GPa and 800–850 °C suggests a thermal overprint in the high‐pressure granulite facies stability field. This thermal event was followed by cooling at ~0.8 GPa under amphibolite facies conditions; retrograde kelyphite texture involving plagioclase and amphibole was developed around garnet. Our results add to the already existing evidence for ultra high pressure (UHP) metamorphism in the Upper Allochthon of the Rhodope Metamorphic Complex as in the Kimi Unit and show that it is more widespread than previously known. Published age data and field structural relations suggest that the Obidim Unit represents Variscan continental crust involved into the Alpine nappe edifice of the Rhodopes and that eclogite facies metamorphism was Palaeozoic, in contrast to the Kimi Unit where age determinations suggest a Jurassic or Cretaceous age for UHP metamorphism. This implies that UHP metamorphism in the Upper Allochthon of the Rhodopes may have occurred twice, during Alpine and pre‐Alpine orogenic events, and that two independent HP/UHP provinces of different age overlap in this area. 相似文献
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Carolina Boix‐Fayos Joris de Vente María Martínez‐Mena Gonzalo G. Barberá Víctor Castillo 《水文研究》2008,22(25):4922-4935
Extensive land use changes have occurred in many areas of SE Spain as a result of reforestation and the abandonment of agricultural activities. Parallel to this the Spanish Administration spends large funds on hydrological control works to reduce erosion and sediment transport. However, it remains untested how these large land use changes affect the erosion processes at the catchment scale and if the hydrological control works efficiently reduce sediment export. A combination of field work, mapping and modelling was used to test the influence of land use scenarios with and without sediment control structures (check‐dams) on sediment yield at the catchment scale. The study catchment is located in SE Spain and suffered important land use changes, increasing the forest cover 3‐fold and decreasing the agricultural land 2·5‐fold from 1956 to 1997. In addition 58 check‐dams were constructed in the catchment in the 1970s accompanying reforestation works. The erosion model WATEM‐SEDEM was applied using six land use scenarios: land use in 1956, 1981 and 1997, each with and without check‐dams. Calibration of the model provided a model efficiency of 0·84 for absolute sediment yield. Model application showed that in a scenario without check dams, the land use changes between 1956 and 1997 caused a progressive decrease in sediment yield of 54%. In a scenario without land use changes but with check‐dams, about 77% of the sediment yield was retained behind the dams. Check‐dams can be efficient sediment control measures, but with a short‐lived effect. They have important side‐effects, such as inducing channel erosion downstream. While also having side‐effects, land use changes can have important long‐term effects on sediment yield. The application of either land use changes (i.e. reforestation) or check‐dams to control sediment yield depends on the objective of the management and the specific environmental conditions of each area. Copyright © 2008 John Wiley & Sons, Ltd. 相似文献
36.
Sérgio P. Ávila Patrícia Madeira C. Marques da Silva Mário Cachão Bernard Landau Rui Quartau A. M. de Frias Martins 《第四纪科学杂志》2008,23(8):777-785
The Pleistocene (Eemian) outcrops of Lagoinhas and Prainha, located at Santa Maria Island (Azores), were investigated and their fossil mollusc content reported. These studies revealed that the last glaciation affected two groups of molluscs: the ‘warm‐guest’ gastropods with West African or Caribbean affinities (e.g. Conus spp., Cantharus variegatus, Bulla amygdala, Trachypollia nodulosa) and shallow bivalve species mainly associated with sandy habitats (Ensis minor, Lucinella divaricata, and probably Laevicardium crassum). In this paper we focus on this group of bivalves, which has since locally disappeared from the Azores. We relate the local disappearance of these bivalves in the Azores with the lack of sand in the shelf. The specific characteristics of the Santa Maria shelf combined with the sea‐level drop during the Weichselian prevented deposition of the lowstand deposits and permitted erosion of the previous ones, leaving the shelf without a sediment cover. Copyright © 2008 John Wiley & Sons, Ltd. 相似文献
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Medium- and Long-term Recovery of Estuarine and Coastal Ecosystems: Patterns,Rates and Restoration Effectiveness 总被引:1,自引:0,他引:1
Ángel Borja Daniel M. Dauer Michael Elliott Charles A. Simenstad 《Estuaries and Coasts》2010,33(6):1249-1260
Many estuarine and coastal marine ecosystems have increasingly experienced degradation caused by multiple stressors. Anthropogenic
pressures alter natural ecosystems and the ecosystems are not considered to have recovered unless secondary succession has
returned the ecosystem to the pre-existing condition or state. However, depending upon the scales of time, space and intensity
of anthropogenic disturbance, return along the historic trajectory of the ecosystem may: (1) follow natural restoration though
secondary succession; (2) be re-directed through ecological restoration, or (3) be unattainable. In order to address the gaps
in knowledge about restoration and recovery of estuarine and coastal ecosystems, this special feature includes the present
overview and other contributions to provide a synthesis of our knowledge about recovery patterns, rates and restoration effectiveness.
From the 51 examples collated in this contribution, we refine the recovery from the list of stressors into six recovery mechanisms:
(1) recovery from sediment modification, which includes all aspects of dredging and disposal; (2) recovery by complete removal
of stressors limiting natural ecosystem processes, which includes tidal marsh and inundation restoration; (3) recovery by
speed of organic degradation, which includes oil discharge, fish farm wastes, sewage disposal, and paper mill waste; (4) recovery
from persistent pollutants, which includes chemical discharges, such as TBT; (5) recovery from excessive biological removal,
related to fisheries and (6) recovery from hydrological and morphological modification. Drawing upon experience both from
these many examples and from an example of one comprehensive study, we show that although in some cases recovery can take
<5 years, especially for the short-lived and high-turnover biological components, full recovery of coastal marine and estuarine
ecosystems from over a century of degradation can take a minimum of 15–25 years for attainment of the original biotic composition
and diversity may lag far beyond that period. 相似文献