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31.
The proposed work is incorporated into the research theme concerning the maintenance and inspection of sensitive facilities in production systems. It is essential to promote the methodological deployment of inspection techniques to ensure the good functioning of services provided by complex production systems as well as their different components. We use a risk-based inspection methodology offering an organized analysis with knowledge sharing for collaborative possibilities in a multidisciplinary context and it consists of the following steps: data acquisition and information collection, failure analysis (probability and consequences), risk assessment, inspection plan, mitigation and revaluation. The application of this methodology can improve the maintenance management strategies of industrial companies. The inspection department is able to forecast its potential failure, root causes and impacts on the safe operation of the considered production system, based on a reliable inventory of existing situations and review options for continuous improvement in maintenance management. In particular, we addressed the application of a Risk-Based Inspection (RBI) methodology in the French petroleum company with operations on the west coast of central and southern Africa. The incorporation of expert knowledge into risk assessment is helping to find the best preventive plan for pipeline inspection in the case study.  相似文献   
32.
The character and importance of uncertainty in dam safety risk analysis drives how risk assessments are used in practice. The current interpretation of uncertainty is that, in addition to the aleatory risk which arises from presumed uncertainty in the world, it comprises the epistemic aspects of irresolution in a model or forecast, specifically model and parameter uncertainty. This is true in part but it is not all there is to uncertainty in risk analysis. The physics of hazards and of failure may be poorly understood, which goes beyond uncertainty in its conventional sense. There may be alternative scenarios of future conditions, for example non-stationarity in the environment, which cannot easily be forecast. There may also be deep uncertainties of the type associated with climate change. These are situations in which analysts do not know or do not agree on the system characterisation relating actions to consequences or on the probability distributions for key parameters. All of these facets are part of the uncertainty in risk analysis with which we must deal.  相似文献   
33.
The Swedish Geotechnical Society has adopted a general methodology for risk management in geotechnical engineering projects to reduce the costs related to negative outcomes of geotechnical risks. This technical note highlights the main features of the methodology and strives to inspire the international geotechnical community to apply sensible risk management methods. In the authors’ opinion, a successful geotechnical risk management needs to be structured, be tailored to the project, and permeate the engineers’ everyday work. Then, sufficient quality can be achieved in the project with larger probability.  相似文献   
34.
Machine learning algorithms are an important measure with which to perform landslide susceptibility assessments,but most studies use GIS-based classification methods to conduct susceptibility zonation.This study presents a machine learning approach based on the C5.0 decision tree(DT)model and the K-means cluster algorithm to produce a regional landslide susceptibility map.Yanchang County,a typical landslide-prone area located in northwestern China,was taken as the area of interest to introduce the proposed application procedure.A landslide inventory containing 82 landslides was prepared and subse-quently randomly partitioned into two subsets:training data(70%landslide pixels)and validation data(30%landslide pixels).Fourteen landslide influencing factors were considered in the input dataset and were used to calculate the landslide occurrence probability based on the C5.0 decision tree model.Susceptibility zonation was implemented according to the cut-off values calculated by the K-means clus-ter algorithm.The validation results of the model performance analysis showed that the AUC(area under the receiver operating characteristic(ROC)curve)of the proposed model was the highest,reaching 0.88,compared with traditional models(support vector machine(SVM)=0.85,Bayesian network(BN)=0.81,frequency ratio(FR)=0.75,weight of evidence(WOE)=0.76).The landslide frequency ratio and fre-quency density of the high susceptibility zones were 6.76/km2 and 0.88/km2,respectively,which were much higher than those of the low susceptibility zones.The top 20%interval of landslide occurrence probability contained 89%of the historical landslides but only accounted for 10.3%of the total area.Our results indicate that the distribution of high susceptibility zones was more focused without contain-ing more"stable"pixels.Therefore,the obtained susceptibility map is suitable for application to landslide risk management practices.  相似文献   
35.
Achieving long-term climate mitigation goals in Japan faces several challenges, starting with the uncertain nuclear power policy after the 2011 earthquake, the uncertain availability and progress of energy technologies, as well as energy security concerns in light of a high dependency on fuel imports. The combined weight of these challenges needs to be clarified in terms of the energy system and macroeconomic impacts. We applied a general equilibrium energy economic model to assess these impacts on an 80% emission reduction target by 2050 considering several alternative scenarios for nuclear power deployment, technology availability, end use energy efficiency, and the price of fossil fuels. We found that achieving the mitigation target was feasible for all scenarios, with considerable reductions in total energy consumption (39%–50%), higher shares of low-carbon sources (43%–72% compared to 15%), and larger shares of electricity in the final energy supply (51%–58% compared to 42%). The economic impacts of limiting nuclear power by 2050 (3.5% GDP loss) were small compared to the lack of carbon capture and storage (CCS) (6.4% GDP loss). Mitigation scenarios led to an improvement in energy security indicators (trade dependency and diversity of primary energy sources) even in the absence of nuclear power. Moreover, preliminary analysis indicates that expanding the range of renewable energy resources can lower the macroeconomic impacts of the long term target considerably, and thus further in depth analysis is needed on this aspect.

Key policy insights

  • For Japan, an emissions reduction target of 80% by 2050 is feasible without nuclear power or CCS.

  • The macroeconomic impact of such a 2050 target was largest without CCS, and smallest without nuclear power.

  • Energy security indicators improved in mitigation scenarios compared to the baseline.

  相似文献   
36.
冰冻圈变化的适应研究是冰冻圈科学领域的新兴研究方向,是当今自然科学与社会科学交叉融合跨学科集成研究的典型代表。起步于2007年的中国冰冻圈变化适应研究,经历了早期的探索,研究重点由评价脆弱性发展为量化冰冻圈变化的影响,形成以影响/风险—脆弱性—适应全链条的完善的研究体系,研究方法突破传统的指标体系赋权法的不足,初步实现了定量化,有机结合影响/风险、脆弱性、适应三方面的研究结果,使冰冻圈变化的适应措施由偏重宏观性、普适性开始转向更有针对性。未来中国冰冻圈变化的适应研究应拓展、完善和深化现有的理论体系,构建冰冻圈与社会经济耦合模型,科学量化冰冻圈全要素变化的影响,建立不同利益相关者与科学家共同参与的研究新模式,科学有效应对与适应冰冻圈变化及其影响。  相似文献   
37.
Flood risk will increase in many areas around the world due to climate change and increase in economic exposure. This implies that adequate flood insurance schemes are needed to adapt to increasing flood risk and to minimise welfare losses for households in flood-prone areas. Flood insurance markets may need reform to offer sufficient and affordable financial protection and incentives for risk reduction. Here, we present the results of a study that aims to evaluate the ability of flood insurance arrangements in Europe to cope with trends in flood risk, using criteria that encompass common elements of the policy debate on flood insurance reform. We show that the average risk-based flood insurance premium could double between 2015 and 2055 in the absence of more risk reduction by households exposed to flooding. We show that part of the expected future increase in flood risk could be limited by flood insurance mechanisms that better incentivise risk reduction by policyholders, which lowers vulnerability. The affordability of flood insurance can be improved by introducing the key features of public-private partnerships (PPPs), which include public reinsurance, limited premium cross-subsidisation between low- and high-risk households, and incentives for policyholder-level risk reduction. These findings were evaluated in a comprehensive sensitivity analysis and support ongoing reforms in Europe and abroad that move towards risk-based premiums and link insurance with risk reduction, strengthen purchase requirements, and engage in multi-stakeholder partnerships.  相似文献   
38.
文章选取通辽市各气象站点气象数据、基础地理信息数据、历史灾情数据、第二次土地调查数据及相关社会经济等统计数据,基于自然灾害风险原理,利用数理统计、层次分析法及空间叠加分析等方法,提出了通辽市暴雨洪涝灾害风险评价指标体系,得到通辽市暴雨洪涝灾害风险评估空间分布图。结果表明:高风险区主要分布在通辽市北部山区、中东部地区及偏南部地区,包括扎鲁特旗鲁北镇、科尔沁区、科左中旗东南部及库伦旗东南部;而科左后旗大部地区易形成由短时强降水引发的洪涝,为次高风险区;低风险区及次低风险区主要分布在通辽市中部、西南部地区,包括开鲁县、奈曼旗北部、科左中旗西部。  相似文献   
39.
This paper considers how farmers perceive and respond to climate change policy risks, and suggests that understanding these risk responses is as important as understanding responses to biophysical climate change impacts. Based on a survey of 162 farmers in California, we test three hypotheses regarding climate policy risk: (1) that perceived climate change risks will have a direct impact on farmer's responses to climate policy risks, (2) that previous climate change experiences will influence farmer's climate change perceptions and climate policy risk responses, and (3) that past experiences with environmental policies will more strongly affect a farmer's climate change beliefs, risks, and climate policy risk responses. Using a structural equation model we find support for all three hypotheses and furthermore show that farmers’ negative past policy experiences do not make them less likely to respond to climate policy risks through participation in a government incentive program. We discuss how future research and climate policies can be structured to garner greater agricultural participation. This work highlights that understanding climate policy risk responses and other social, economic and policy perspectives is a vital component of understanding climate change beliefs, risks and behaviors and should be more thoroughly considered in future work.  相似文献   
40.
Seismic risk of circum-pacific earthquakes I. Strain energy release   总被引:1,自引:0,他引:1  
Commonly used earthquake “whole process” frequency - magnitude and strain energy - magnitude laws are merged to obtain an analytic expression for an upper bound magnitude to regional earthquake occurrenceM 3, which is expressed primarily in terms of the annual maximum magnitudeM 1 and the magnitude equivalent of the annual average total strain energy releaseM 2. Values ofM 3 are also estimated graphically from cumulative strain energy release diagrams. Both methods are illustrated by application to the high seismicity of the circum-Pacific belt, using Duda’s (1965) data and regionalisation. Values ofM 3 obtained analytically, with their uncertainties, are in agreement with those obtained graphically. Empirical relations are then obtained betweenM 1,M 2, andM 3, which could be of general assistance in regional seismic risk considerations if they are found to be of a universal nature. For instance.M 3 andM 2 differ by one magnitude unit in subregions of the circum-Pacific.  相似文献   
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