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991.
Tight sandstone has a certain anisotropy. Using ultrasonic measurements of samples in three different directions and related matched experiments, this study systematically analyzes the pore structure and anisotropy of tight sandstone samples obtained from oil fields and compares results with those of shale. Results firstly show that the anisotropy of tight sandstone is mainly related to the compositional layering and thin interbedding which occur in different sedimentary environments. Tight sandstone has typical transverse isotropic medium characteristics, Young’s modulus increases in different directions with increasing confining pressure, Poisson’s ratio change is not obvious, anisotropic coefficients decrease with increasing effective pressure, and a certain linear relationship exists between ε, γ, and δ. This article finally summarizes anisotropy in different areas, thereby providing a foundation for the use of suitable appraisal models in different regions. This research can be used as an experimental reference for logging evaluation, seismic data interpretation, and fracturing develop of tight sandstones.  相似文献   
992.
993.
U–Pb Sensitive High‐Resolution Ion MicroProbe (SHRIMP) dating of zircon in combination with (U–Th)/He dating of zircon and apatite is applied to constrain the emplacement and exhumation history of the youngest granitic rocks in the Western Carpathians collected in the Central Slovakian Neovolcanic Field. Two samples of diorite from the locality Banky, and granodiorite from Banská Hodru?a yield the U–Pb zircon concordia ages of 15.21 ±0.19 Ma and 12.92 ±0.27 Ma, respectively, recording the time of zircon crystallization and the intrusions’ emplacement. Zircon (U–Th)/He ages of 14.70 ±0.94 (Banky) and 12.65 ±0.61 Ma (Banská Hodru?a), and apatite (U–Th)/He ages of 14.45 ±0.70 Ma (diorite) and 12.26 ±0.77 Ma (granodiorite) are less than 1 Myr younger than the corresponding zircon U–Pb ages. For both diorite and granodiorite rocks their chronological data thus document a simple cooling process from magmatic crystallization/solidification temperatures to near‐surface temperatures in the Middle Miocene, without subsequent reheating. Geospeedometry data suggest for rapid cooling at an average rate of 678 ±158 °C/Myr, and the exhumation rate of 5 mm/year corresponding to active tectonic‐forced exhumation. The quick cooling is interpreted to record the exhumation of the studied granitic rocks complex that closely followed its emplacement, and was likely accompanied by a drop in the paleo‐geothermal gradient due to cessation of volcanic activity in the area.  相似文献   
994.
Continental intraplate regions are characterized by uniform stresses over thousands of kilometers. Local stresses, with wavelengths of tens to hundreds of kilometers can accumulate at inhomogeneities lying within these regional fields. A variety of geological structures, herein called local stress concentrators (LSCs), act as elastic inhomogeneities. The temporal buildup of stress depends on the particular structure and its geometrical relationship with the regional stress field. The interaction of the local and the regional stress fields can result in the rotation of the latter over wavelengths of tens to hundreds of kilometers. This rotation can be detected by direct measurement or from seismicity data. Intraplate earthquakes (IPEs) result when the local stresses become comparable with their regional counterparts, i.e., hundreds of megapascals. Globally, most of the seismic energy release associated with IPEs occurs within old rifts which contain LSCs most favorable for stress buildup by stress inversion. Of the various LSCs, stepover en echelon faults are associated the largest IPEs. In low tectonic strain rate regions, IPEs are associated with larger stress drops. With the availability of a variety of LSCs, there is generally an absence of repeat earthquakes. Instead, successive earthquakes occur on different structures, leading to the observation of “roaming” earthquakes. These observations suggest a need for a reevaluation of seismic hazard estimation techniques. This study addresses some of these facets of the nature of IPEs with global examples, including a unique, detailed seismicity and geodetic data set collected in a dozen years following the 2001 M 7.7 Bhuj earthquake in western India.  相似文献   
995.
In this research, three vertical velocities were included in a one-dimensional (1D) ocean model for a case study of the SouthEast Asian Time-Series Study station in the South China Sea. The vertical velocities consisted three processes, i.e., Ekman pumping (WEK), Eddy pumping (WEP), and the background upwelling (WBK). The quantification of WEK followed the classical Ekman pumping theory. The WEP, whose underlying mechanism was consistent with the baroclinic modes (dominated by the first mode), was quantified by Argo observation and altimetry data. The WBK, related with the background circulation, was estimated from the long-term heat budget balance. The skill assessment indicated that the case with all three processes performed best. The study confirmed the capability of the 1D model with three types of vertical velocities, which can reproduce the general structure and variation of temperature in vertical direction.  相似文献   
996.
Seismic data processing typically deals with seismic wave reflections and neglects wave diffraction that affect the resolution. As a general rule, wave diffractions are treated as noise in seismic data processing. However, wave diffractions generally originate from geological structures, such as fractures, karst caves, and faults. The wave diffraction energy is much weaker than that of the reflections. Therefore, even if wave diffractions can be traced back to their origin, their energy is masked by that of the reflections. Separating and imaging diffractions and reflections can improve the imaging accuracy of diffractive targets. Based on the geometrical differences between reflections and diffractions on the plane-wave record; that is, reflections are quasi-linear and diffractions are quasi-hyperbolic, we use plane-wave prediction filtering to separate the wave diffractions. First, we estimate the local slope of the seismic event using planewave destruction filtering and, then, we predict and extract the wave reflections based on the local slope. Thus, we obtain the diffracted wavefield by directly subtracting the reflected wavefield from the entire wavefield. Finally, we image the diffracted wavefield and obtain high-resolution diffractive target results. 2D SEG salt model data suggest that the plane-wave prediction filtering eliminates the phase reversal in the plane-wave destruction filtering and maintains the original wavefield phase, improving the accuracy of imaging heterogeneous objects.  相似文献   
997.
Fabry-Perot Interferometer(FPI) has been used widely for wind measurements of the middle and upper atmosphere.To date, most of FPIs have been based on full-closed circular fringe, which needs 15–25 min to obtain a group of wind velocity(zonal and meridional). However, it is hard to improve the temporal resolution because full-closed circular fringe in several directions cannot be easily imaged onto the same Charge-Coupled Device(CCD) with enough airglow intensity. In this paper, a data processing method is proposed for non-full circular fringe of FPI, which can support CCD with enough area of observations in several directions simultaneously. The method is focused on the center determination of non-full fringe. It includes radial cross-section, peak coordinate determination, and center calculation. Based on the calculated center, the fringe is annular summed. Then its radius is determined subsequently using Gaussian fitting. Finally, the wind is retrieved from the fringe radius. For validation, fringes from two ground-based FPIs were used, which are deployed in Kelan(38.71°N, 111.58°E) and Xinglong(40.40°N, 117.59°E) in China. The results retrieved from non-full fringes of FPIs were compared with that from full-closed circular fringe. The averaged wind deviation between them demonstrates reasonable difference with 5.38 ms~-(1) for 892.0 nm airglow emission, 5.81 ms~-(1) for 630.0 nm emission, and 3.03 ms~-(1) for 557.7 nm emission. Besides, wind results of Xinglong FPI are compared roughly with measurements of meteor radar which is deployed in Ming Tombs of Beijing(40.3°N,116.2°E). Good agreement demonstrates that this method is robust enough for FPI wind retrieval of mesosphere and thermosphere.  相似文献   
998.
The Cairo earthquake (12 October 1992; m b  = 5.8) is still and after 25 years one of the most painful events and is dug into the Egyptians memory. This is not due to the strength of the earthquake but due to the accompanied losses and damages (561 dead; 10,000 injured and 3000 families lost their homes). Nowadays, the most frequent and important question that should rise is “what if this earthquake is repeated today.” In this study, we simulate the same size earthquake (12 October 1992) ground motion shaking and the consequent social-economic impacts in terms of losses and damages. Seismic hazard, earthquake catalogs, soil types, demographics, and building inventories were integrated into HAZUS-MH to produce a sound earthquake risk assessment for Cairo including economic and social losses. Generally, the earthquake risk assessment clearly indicates that “the losses and damages may be increased twice or three times” in Cairo compared to the 1992 earthquake. The earthquake risk profile reveals that five districts (Al-Sahel, El Basateen, Dar El-Salam, Gharb, and Madinat Nasr sharq) lie in high seismic risks, and three districts (Manshiyat Naser, El-Waily, and Wassat (center)) are in low seismic risk level. Moreover, the building damage estimations reflect that Gharb is the highest vulnerable district. The analysis shows that the Cairo urban area faces high risk. Deteriorating buildings and infrastructure make the city particularly vulnerable to earthquake risks. For instance, more than 90 % of the estimated buildings damages are concentrated within the most densely populated (El Basateen, Dar El-Salam, Gharb, and Madinat Nasr Gharb) districts. Moreover, about 75 % of casualties are in the same districts. Actually, an earthquake risk assessment for Cairo represents a crucial application of the HAZUS earthquake loss estimation model for risk management. Finally, for mitigation, risk reduction, and to improve the seismic performance of structures and assure life safety and collapse prevention in future earthquakes, a five-step road map has been purposed.  相似文献   
999.
This study addresses paleoclimate influences in a southern Amazonia ecotone based on multiproxy records from lakes of the Carajás region during the last 45k cal a bp. Wet and cool environmental conditions marked the initial deposition in shallow depressions with detrital sediments and high weathering rates until 40k cal a bp. Concomitantly, forest and C3 canga plants, along with cool-adapted taxa, developed; however, short drier episodes enabled expansion of C4 plants and diagenetic formation of siderite. A massive event of siderite formation occurred approximately 30k cal a bp under strong drier conditions. Afterwards, wet and cool environmental conditions returned and persisted until the Last Glacial Maximum (LGM). The LGM was marked by lake-level lowstands and subaerial exposure. The transition from the LGM to the Holocene is marked by the onset of oscillations in temperature and humidity, with an expansion of forest and canga plants. Cool taxa were present for the last time in the Carajás region ~ 9.5–9k cal a bp. After 10k cal a bp , shallow lakes became upland swamps due to natural infilling processes, but the current vegetation types and structures of the plateaus were acquired only after 3k cal a bp under wetter climatic conditions.  相似文献   
1000.
The occidental shore of the southern tip of South America is one of the largest estuarine ecosystems around the world. Although demersal finfish fisheries are currently in full exploitation in the area, the fjords south of 47°S have been poorly investigated. Two bio-oceanographic cruises carried out in austral spring 1996 and 2008 between 47°S and 50°09′S were utilized to investigate the spatial distribution of fish eggs and larvae. Small differences in the environmental conditions were identified in the top 200 m of the water column between years (5.3–10.5 °C and 0.7–33.9 units of salinity in October 1996; 6.3–11.5 °C and 1.2–34.2 units of salinity in November 2008). The low salinity surface layer generated a highly stable water column within the fjords (Brunt–Väisälä frequency, N>0.1 rad/s; wave period <60 s), whereas a well-mixed water column occurred in the gulfs and open channels. For both years, the ichthyoplankton analysis showed that early life stages of lightfish Maurolicus parvipinnis were dominant (>75% total eggs and >70% total larvae) and they were collected throughout the area, irrespective of the water column stratification. However, other components of the ichthyoplankton such as Falkland sprat Sprattus fuegensis, rockfish Sebastes oculatus, and hoki Macruronus magellanicus were more abundant and found in a wider range of larval sizes in less stable waters (N<0.1 rad/s). Oceanic taxa such as myctophids (Lampanyctodes hectoris) and gonostomatids (Cyclothone sp.) were collected exclusively in open waters. The October 1996 observation of Engraulis ringens eggs in plankton samples corresponded to the southernmost record of early stages of this fish in the Pacific Ocean. We found a significant negative relationship between the number of larval species and N, and a significant positive relationship between the number of larval species and wave period. Therefore, only some marine fish species are capable to utilize fjords systems as spawning and nursery grounds in areas having high amounts of freshwater discharges and very high vertical stratification during austral spring season.  相似文献   
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