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51.
52.
Corinne Lacave Pierre-Yves Bard Marc Kham Martin G. Koller 《Bulletin of Earthquake Engineering》2008,6(2):197-211
In the framework of the Sismovalp European project, an equivalent linear 2D code was developed to compute the response of
a valley to SH waves, using the discrete wave-number method proposed by Aki and Larner (Aki K, Larner KL (1970) J Geophys
Res 75:5). To overcome the frequency upper bound limitation, the Aki and Larner’s method is combined with a one-dimensional
computation using a classical multi-layer method (Aki K, Richards PG (1980) Quantitative Seismology: Theory and Methods, vols.
1 & 2. W.H. Freeman & Co, San Francisco). The so-called “Aki–Larner extended method” is associated to an iterative algorithm,
as proposed by Seed and Idriss (Seed HB, Idriss IM (1969) Report No. EERC 70–10, Earthquake Research Center, University of
California, Berkeley, California) which accounts for the modulus and damping degradation using a linear visco-elastic model.
A comparison of the results in the linear and the equivalent linear cases, for a magnitude 6.0 earthquake, shows that the
account for the equivalent linear behaviour of the soil significantly reduces the amplification level, especially at frequencies
higher than the fundamental resonance frequency of the site. In the case of site effects or microzonation studies devoted
to produce design spectra for engineering structures, this can have a major impact on the associated results and costs, depending
on the frequency of interest for the considered structure. As a first application of the developed technique, 2D equivalent
linear Aki–Larner computations are used to perform the seismic microzonation study of the upper Rhone valley, in the Visp
area (Switzerland), a typical 2D alpine valley. These investigations made it possible to determine site specific spectra,
associated with different zones, to be used instead of the code spectra that do not take into account the local 2D amplification. 相似文献
53.
Morphology,structure and kinematics of a rainfall controlled slow‐moving Andean landslide,Peru 下载免费PDF全文
Swann Zerathe Pascal Lacroix Denis Jongmans Jersy Marino Edu Taipe Marc Wathelet Walter Pari Lionel Fidel Smoll Edmundo Norabuena Bertrand Guillier Lucile Tatard 《地球表面变化过程与地形》2016,41(11):1477-1493
The large slow‐moving landslide of Maca is located in the upper Colca valley (southern Peru), a region characterized by a well pronounced rainy period, and intense and recurrent sustained seismicity. The landslide, developed in deep lacustrine deposits, has recently accelerated, threatening the Maca village. This work aims at understanding the rupture mechanism and the causes of the recent landslide reactivation/acceleration. We present a multidisciplinary characterization of the Maca landslide that includes: (i) geological and morphological mapping in the field; (ii) remote sensing analysis using an historical aerial photograph of 1955 and the Pléiades satellite images (2013); (iii) global positioning system (GPS) including time‐series of surveys over 13 years, and continuous measurements over 14 months; (iv) a geophysical campaign with deep electrical resistivity tomography profiles acquired across the landslide mass. Our study shows that this 60 Mm3 landslide, which can be classified as a clay/silt compound landslide, moved by 15 m between 2001 and 2014 with a large inter‐annual velocity variation (up to a factor of 500) depending on the rainfall intensity. We suggest that these dramatic changes in velocity are the result of the combination of a threshold mechanism and the short intense rainy season in Peru. This study reveals three main driving factors acting at different timescales: (i) over several decades, the river course has significantly changed, causing the Maca landslide reactivation in the 1980s due to the erosion of its toe; (ii) at the year scale, a minimum amount of rainfall is required to trigger the motion and this amount controls the landslide velocity; (iii) transient changes in slide velocity may occur anytime due to earthquakes. This study particularly highlights the non‐linear behaviour of the motion with rainfall. Copyright © 2016 John Wiley & Sons, Ltd. 相似文献
54.
Leopoldo Franco Jimmy Geeraerts Riccardo Briganti Marc Willems Giorgio Bellotti Julien De Rouck 《Coastal Engineering》2009
The paper presents the comparison between the results of small-scale model tests and prototype measurements of wave overtopping at a rubble-mound breakwater. The specific structure investigated is the west breakwater of the yacht harbour of Rome at Ostia (Italy) and is characterized by a gentle seaward slope (1/4) and by a long, shallow foreshore. The laboratory tests firstly aimed at carefully reproducing two measured storms in which overtopping occurred and was measured. The tests have been carried out in two independent laboratories, in a wave flume and in a wave basin, hence using a two-dimensional (2-D) and a three-dimensional (3-D) setup. In the 2-D laboratory tests no overtopping occurred during the storm reproductions; in the 3-D case discharges five to ten times smaller than those observed in prototype have been measured. This indicates the existence of model and scale effects. These effects have been discussed on the basis of the results of several parametric tests, which have been carried out in both laboratories, in addition to the storm reproductions, varying wave and water level characteristics. Final comparison of all the performed tests with 86 prototype measurements still suggests the existence of scale and model effects that induce strong underestimation of overtopping discharge at small scale. The scale reproduction of wave breaking on the foreshore, together with the 3-D features of the prototype conditions and the absence of wind stress in the laboratory measurements, have been individuated as the main sources of scale and model effects. The paper also provides a comparison between the data and a largely used formula for wave overtopping discharges in the presence of structures similar to the one at hand. The suitable value of a roughness factor that appears in that formula is investigated and good agreement is found with other recent researches on rubble-mound breakwaters. 相似文献
55.
Pieter J.C. Honkoop Eilke M. Berghuis Sander Holthuijsen Marc S.S. Lavaleye Theunis Piersma 《Journal of Sea Research》2008,60(4):255-263
The Banc d'Arguin, a non-estuarine area of shallows and intertidal flats off the tropical Saharan coast of Mauritania, is characterised by extensive intertidal and subtidal seagrass beds. We examined the characteristics of intertidal seagrass (Zostera noltii) meadows and bare areas in terms of the presence and abundance of molluscs (gastropods and bivalves). To explain observed differences between molluscan assemblages in seagrass and bare patches, some aspects of the feeding habitat (top-5 mm of the sediment) and of food (organic materials) of molluscs were examined. The novelty of this study is that phytopigments were measured and identified to assess source and level of decay (freshness) of organic material in the sediment and to study their importance as an explanatory variable for the distribution of molluscs. Over an area of 36 km2 of intertidal flats, at 12 sites, paired comparisons were made between seagrass-covered and nearby bare patches. Within seagrass meadows, dry mass of living seagrass was large and amounted to 180 ±10 g AFDM m− 2 (range 75–240). Containing twice the amount of silt per unit dry sediment mass, seagrass sediments were muddier than bare areas; the relative amount of organic material was also larger. The total number of species of bivalves and gastropods amounted to 27, 14 of which were found only in seagrass areas, 4 only in bare and 9 in both types of habitat. Among the three numerically most abundant species, the bivalves Anadara senilis, Dosinia hepatica and Loripes lacteus, the first was numerically most abundant in bare and the other two in seagrass-covered areas. Bare intertidal areas had greater mean total biomass of molluscs (80.5 g AFDM m− 2) than seagrass meadows (30.0 g AFDM m− 2). In both habitats, the bulk of the biomass was made up by A. senilis. Excluding this species, bare mudflats contained on average only 3.1 g AFDM m− 2 and seagrass meadows 6.9 g AFDM m− 2. As compared to previous surveys in 1980–1986, the biomass of A. senilis had increased almost 10-fold and D. hepatica, previously found in very small numbers, had become the most numerous species. However, the total biomass excluding that of A. senilis was similar. Concentrations of phytopigments were similar to those observed at temperate mudflats, indicating that the Banc d'Arguin might not be as oligotrophic as previously thought. Per unit of dry sediment mass, smaller amounts of phytopigments were found in bare than in seagrass areas. Per unit of dry organic material, bare sediments contained most (fresh) phytopigments. This suggests that in seagrass-covered meadows the organic material is more degraded than in bare sediments. Overall, the composition of phytopigments, quite surprisingly, indicated a benthic-diatom-dominated trophic system. Multivariate statistics revealed that patterns of zoobenthic assemblages were correlated with patterns of a combination of four environmental parameters: grain size of the sediment, amount of fresh phytopigments and amounts of leaves and roots of seagrass. 相似文献
56.
River water temperature is a common target of water quality models at the watershed scale, owing to its principal role in shaping biogeochemical processes and in stream ecology. Usually, models include physically‐based, deterministic formulations to calculate water temperatures from detailed meteorological information, which usually comes from meteorological stations located far from the river reaches. However, alternative empirical approaches have been proposed, that usually depend on air temperature as master variable. This study explored the performance of a semidistributed water quality application modelling river water temperature in a Mediterranean watershed, using three different approaches. First, a deterministic approach was used accounting for the different heat exchange components usually considered in water temperature models. Second, an empirical approximation was applied using the equilibrium temperature concept, assuming a linear relationship with air temperature. And third, a hybrid approach was constructed, in which the temperature equilibrium concept and the deterministic approach were combined. Results showed that the hybrid approach gave the best results, followed by the empirical approximation. The deterministic formulation gave the worst results. The hybrid approach not only fitted daily river water temperatures, but also adequately modelled the daily temperature range (maximum–minimum daily temperature). Other river water features directly dependent on water temperature, such as river intrusion depth in lentic systems (i.e. the depth at which the river inflow plunges to equilibrate density differences with lake water), were also correctly modelled even at hourly time steps. However, results for the different heat fluxes between river and atmosphere were very unrealistic. Although direct evidence of discrepancies between meteorological drivers measured at the meteorological stations and the actual river microclimate was not found, the use of models including empirical or hybrid formulations depending mainly on air temperature is recommended if only meteorological data from locations far from the river reaches are available. Copyright © 2008 John Wiley & Sons, Ltd. 相似文献
57.
Silke Laakmann Marc Kochzius Holger Auel 《Deep Sea Research Part I: Oceanographic Research Papers》2009,56(5):741-756
The biodiversity of pelagic deep-sea ecosystems has received growing scientific interest in the last decade, especially in the framework of international marine biodiversity initiatives, such as Census of Marine Life (CoML). While a growing number of deep-sea zooplankton species has been identified and genetically characterized, little information is available on the mechanisms minimizing inter-specific competition and thus allowing closely related species to co-occur in the deep-sea pelagic realm. Focussing on the two dominant calanoid copepod families Euchaetidae and Aetideidae in Fram Strait, Arctic Ocean, the present study strives to characterize ecological niches of co-occurring species, with regard to vertical distribution, dietary composition as derived from lipid biomarkers, and trophic level on the basis of stable isotope signatures. Closely related species were usually restricted to different depth layers, resulting in a multi-layered vertical distribution pattern. Thus, vertical partitioning was an important mechanism to avoid inter-specific competition. Species occurring in the same depth strata usually belonged to different genera. They differed in fatty acid composition and trophic level, indicating different food preferences. Herbivorous Calanus represent major prey items for many omnivorous and carnivorous species throughout the water column. The seasonal and ontogenetic vertical migration of Calanus acts as a short-cut in food supply for pelagic deep-sea ecosystems in the Arctic. 相似文献
58.
Juana Mireya Mendoza-Vera Samba K Corinne Cuoc Marc Bouvy Marc Pagano 《Estuarine, Coastal and Shelf Science》2008,79(4):740-750
Pseudodiaptomus hessei is a key species in many water bodies in the Senegal River hydrosystem but it became rare or completely disappeared from two ecosystems (Lake Guiers and Dakar Bango Reservoir; Senegal, West Africa) after major hydrological changes caused by human action, mainly impoundments on the river in 1985, and the opening of a new estuary mouth in 2003. Kâ et al. [Kâ, S., Pagano, M., Ba, N., Bouvy, M., Leboulanger, C., Arfi, R., Thiaw, O.T., Ndour, E.H.M., Corbin, D., Defaye, D., Cuoc, C., Kouassi, E., 2006. Zooplankton distribution related to environmental factors and phytoplankton in a shallow tropical lake (Lake Guiers, Senegal, West Africa). International Review of Hydrobiology 91(5), 389–405] put forward several hypotheses to explain the reasons for this decline: salinity and chemical changes in the water, predation by a cyclopid predator Mesocyclops ogunnus and/or the inhibiting effects of cyanobacteria and/or diatoms (allelopathy). This study assessed these hypotheses by studying the distribution of P. hessei in 13 stations (including the Dakar Bango reservoir and Lake Guiers) in relation to physical, chemical and biological (phyto- and zooplanktons) factors at each station. We produced a distribution pattern for this species in the Senegal River hydrosystem. Rank correlations and principal component analysis showed that P. hessei was not correlated with conductivity but was positively correlated with pH and alkalinity, suggesting chemical effects. The clear association with two filamentous cyanobacteria (Cylindrospermopsis raciborskii and Anabaena sp.) did not appear to support the hypothesis of cyanobacteria inhibition but blooming conditions were never encountered during the study. Negative correlation with diatoms (especially with Fragilaria sp.) suggested that aldehyde producing diatoms had a negative effect. Negative correlations with cyclopids such as Mesocyclops supported the hypothesis of cyclopid predation to explain the decline of P. hessei. This study proposes several lines of research for future studies to test these hypotheses. 相似文献
59.
Yuxiang Ma Guohai Dong Marc Perlin Shuxue Liu Jun Zang Yiyan Sun 《Ocean Engineering》2009,36(8):595-604
This paper considers higher-harmonic forces due to wave focusing on a vertical circular cylinder. A series of experiments has been conducted in a wave flume. The first six-harmonic components of the measured wave forces are analyzed using the scale-averaged wavelet spectrum. It is noted that due to the transient nature of focused (freak) waves, Fourier analysis would not provide equivalent information to that gleaned from the analyses used herein. The results for the experiments with very steep wave crests show significant amplitudes at the fourth and fifth harmonics. These harmonics exhibit amplitudes that are the same order as the second harmonic, but much larger than those of the third harmonic. The wavelet-based bicoherence is used to detect the quadratic nonlinearity of the measured forces. And the bicoherence spectra reveal the primary mathematical reason for the existence of the striking amplitudes of the fourth and fifth harmonics: the interaction between the lower-harmonic components couple more strongly with the fourth and fifth harmonics, thus the fourth and fifth harmonics glean more energy than those of the third-harmonic components. However, the physical explanation for this remains elusive. 相似文献
60.