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51.
Linking vulnerability, adaptation, and resilience science to practice: Pathways, players, and partnerships 总被引:7,自引:1,他引:7
Coleen Vogel Susanne C. Moser Roger E. Kasperson Geoffrey D. Dabelko 《Global Environmental Change》2007,17(3-4):349-364
Vulnerability, adaptation and resilience are concepts that are finding increasing currency in several fields of research as well as in various policy and practitioner communities engaged in global environmental change science, climate change, sustainability science, disaster risk-reduction and famine interventions. As scientists and practitioners increasingly work together in this arena a number of questions are emerging: What is credible, salient and legitimate knowledge, how is this knowledge generated and how is it used in decision making? Drawing on important science in this field, and including a case study from southern Africa, we suggest an alternative mode of interaction to the usual one-way interaction between science and practice often used. In this alternative approach, different experts, risk-bearers, and local communities are involved and knowledge and practice is contested, co-produced and reflected upon. Despite some successes in the use and negotiation of such knowledge for ‘real’ world issues, a number of problems persist that require further investigation including the difficulties of developing consensus on the methodologies used by a range of stakeholders usually across a wide region (as the case study of southern Africa shows, particularly in determining and identifying vulnerable groups, sectors, and systems); slow delivery of products that could enhance resilience to change that reflects not only a lack of data, and need for scientific credibility, but also the time-consuming process of coming to a negotiated understanding in science–practice interactions and, finally, the need to clarify the role of ‘external’ agencies, stakeholders, and scientists at the outset of the dialogue process and subsequent interactions. Such factors, we argue, all hinder the use of vulnerability and resilience ‘knowledge’ that is being generated and will require much more detailed investigation by both producers and users of such knowledge. 相似文献
52.
Ben K. Greenfield Geoffrey S. Siemering Joy C. Andrews Michael Rajan Stephen P. Andrews David F. Spencer 《Estuaries and Coasts》2007,30(4):627-640
Management actions to control invasive aquatic species can have significant ecosystem-scale effects. We evaluated the water
chemistry and nutrient effects of mechanical shredding to control water hyacinth (Eichhornia crassipes) in an agricultural slough and a tidal wetland on the Sacramento-San Joaquin River Delta, California. Shredding was conducted
with two types of shredder boats in fall of 2003 and another boat in spring of 2004. Shredding measurably affected water quality,
but specific effects varied as a function of shredding site and season. Significant increases were observed for total Kjeldahl
nitrogen and total phosphorus for all experiments. Dissolved oxygen effects varied by site, decreasing after shredding at
the agricultural slough but increasing at the tidal wetland. The increase in dissolved oxygen likely resulted from tidal incursions
from the adjacent river. A year-long time series of dissolved oxygen data indicated a negative relationship between hyacinth
abundance and dissolved oxygen concentrations. Hyacinth contained similar tissue concentrations of mercury to underlying sediments,
suggesting that plant harvesting could aid mercury remediation efforts. Simple mass calculations indicated that Delta-wide
shredding operations could cause between 0.1% and 9.6% increases in the overall abundance of carbon, nitrogen, and phosphorus
in the Delta water column. Results suggest that local effects of management actions to control invasive aquatic plants will
vary widely as a function of site-specific hydrology, but that estuary-wide effects would be limited. 相似文献
53.
V -band polarimetric observations of HD 108 were obtained during 1994 August and September. This is the first time that the temporal polarimetric variability of this star has been investigated. Its percentage polarization and position angle vary randomly, and no evidence of its proposed binary nature is detected. The random variability is consistent with that seen for previously observed Wolf–Rayet stars and OB supergiants. Nightly variations do show some systematic behaviour consistent with the blob ejection model of Underhill & Fehey (1984). From the data it is estimated that the mass-loss rate resulting from blobs is ∼1-10−7 M⊙ yr−1 . The total mass-loss rate of the star is estimated to be ∼1-10−5 M⊙ yr−1 . The stellar rotation rate is estimated to be V rot ∼400 km s−1 with an inclination of i <20c. The data are also interpreted in terms of perturbations occurring in an equatorial disc plus bipolar jets viewed equatorially (Underhill 1994). It is found that the perturbation mass-loss rate is about ∼3-10−7 M⊙ yr−1 , giving a total mass-loss rate for the star of 13-10−5 M⊙ yr−1 . Both models are consistent with HD 108 being an OB supergiant or of the class Ofpe/WR9. 相似文献
54.
Geologists may want to classify compositional data and express the classification as a map. Regionalized classification is a tool that can be used for this purpose, but it incorporates discriminant analysis, which requires the computation and inversion of a covariance matrix. Covariance matrices of compositional data always will be singular (noninvertible) because of the unit-sum constraint. Fortunately, discriminant analyses can be calculated using a pseudo-inverse of the singular covariance matrix; this is done automatically by some statistical packages such as SAS. Granulometric data from the Darss Sill region of the Baltic Sea is used to explore how the pseudo-inversion procedure influences discriminant analysis results, comparing the algorithm used by SAS to the more conventional Moore–Penrose algorithm. Logratio transforms have been recommended to overcome problems associated with analysis of compositional data, including singularity. A regionalized classification of the Darss Sill data after logratio transformation is different only slightly from one based on raw granulometric data, suggesting that closure problems do not influence severely regionalized classification of compositional data. 相似文献
55.
The purpose of this study is to develop a technique to discriminate artificial explosions from local small earthquakes ( M ≤ 4.0) in the time–frequency domain. In order to obtain spectral features of artificial explosions and earthquakes, 3-D spectrograms (frequency, time and amplitude) have been used. They represent a useful tool for studying the frequency content of entire seismic waveforms observed at local and regional distances (Kim, Simpson & Richards 1994). P and S(L g ) waves from quarry blasts show that the frequency content associated with the dominant amplitude appears above 10 Hz and Rg phases are observed at close distances. P and S(L g ) waves from the Tongosan earthquake have strong amplitudes below 10 Hz. For the Munkyong earthquake, however, a broader frequency content up to 20 Hz is found.
For discrimination between small earthquakes and explosions, Pg/L g spectral ratios are used below 10 Hz, and through spectrogram analysis we can see different frequency contents of explosions and earthquakes. Unfortunately, because explosion data recorded at KSRS array are digitized at 20 sps, we cannot avoid analysing below 10 Hz because of the Nyquist frequency. In order to select time windows, the group velocity was computed using multiple-filter analysis (MFA), and free-surface effects have been removed from all three-component data in order to improve data quality. Using FFT, a log-average spectral amplitude is calculated over seven frequency bands: 0.5 to 3, 2 to 4, 3 to 5, 4 to 6, 5 to 7, 6 to 8 and 8 to 10 Hz. The best separation between explosions and earthquakes is observed from 6 to 8 Hz. In this frequency band we can separate explosions with log ( Pg/L g ) above −0.5, except EXP1 recorded at SIHY1-1, and earthquakes below −0.5, except the Munkyong earthquake record at station KMH. 相似文献
For discrimination between small earthquakes and explosions, Pg/L g spectral ratios are used below 10 Hz, and through spectrogram analysis we can see different frequency contents of explosions and earthquakes. Unfortunately, because explosion data recorded at KSRS array are digitized at 20 sps, we cannot avoid analysing below 10 Hz because of the Nyquist frequency. In order to select time windows, the group velocity was computed using multiple-filter analysis (MFA), and free-surface effects have been removed from all three-component data in order to improve data quality. Using FFT, a log-average spectral amplitude is calculated over seven frequency bands: 0.5 to 3, 2 to 4, 3 to 5, 4 to 6, 5 to 7, 6 to 8 and 8 to 10 Hz. The best separation between explosions and earthquakes is observed from 6 to 8 Hz. In this frequency band we can separate explosions with log ( Pg/L g ) above −0.5, except EXP1 recorded at SIHY1-1, and earthquakes below −0.5, except the Munkyong earthquake record at station KMH. 相似文献
56.
57.
58.
Two types of noise afflict strain and tilt measurement. They may be categorized as “active” noise, which is due to atmospheric pressure variations, temperature variations, water-table variations and so forth; and “passive” or signal-generated noise which is a consequence of the interaction of the strain field of interest with inhomogeneities of material properties local to the measurement site.The reason why both types of noise are normally reduced by the use of long base line instruments is explained and a simple, practical long base line tiltmeter is described. 相似文献
59.
Geoffrey Wall 《Climatic change》1998,40(2):371-389
Tourism and recreation are important economic activities which are major agents of change globally and, more specifically, in wetland areas. There is a regular round of activities associated with the seasons and anything which influences operating seasons is likely to have substantial consequences for tourism businesses Atmospheric conditions influence both whether or not people will participate as well as the quality of the experience. In marine coasts, wetland recreations may be threatened by rising sea levels but recreation in inland water bodies may be affected more by deficiencies rather than superabundance of water. Marinas and recreational boating are harmed by extremes of both high and low water, particularly the latter which is the most likely situation under global climate change. Two main groups can be considered with respect to the potential to adapt to climate change. These are the participants themselves and the businesses which cater to them. It is argued that the former are likely to be much more adaptable than the latter. 相似文献
60.