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1.
Páramos, a neotropical alpine grassland-peatland biome of the northern Andes and Central America, play an essential role in regional and global cycles of water, carbon, and nutrients. They act as water towers, delivering water and ecosystem services from the high mountains down to the Pacific, Caribbean, and Amazon regions. Páramos are also widely recognized as a biodiversity and climate change hot spots, yet they are threatened by anthropogenic activities and environmental changes. Despite their importance for water security and carbon storage, and their vulnerability to human activities, only three decades ago, páramos were severely understudied. Increasing awareness of the need for hydrological evidence to guide sustainable management of páramos prompted action for generating data and for filling long-standing knowledge gaps. This has led to a remarkably successful increase in scientific knowledge, induced by a strong interaction between the scientific, policy, and (local) management communities. A combination of well-established and innovative approaches has been applied to data collection, processing, and analysis. In this review, we provide a short overview of the historical development of research and state of knowledge of the hydrometeorology, flux dynamics, anthropogenic impacts, and the influence of extreme events in páramos. We then present emerging technologies for hydrology and water resources research and management applied to páramos. We discuss how converging science and policy efforts have leveraged traditional and new observational techniques to generate an evidence base that can support the sustainable management of páramos. We conclude that this co-evolution of science and policy was able to successfully cover different spatial and temporal scales. Lastly, we outline future research directions to showcase how sustainable long-term data collection can foster the responsible conservation of páramos water towers.  相似文献   
2.
Hydrogeochemical based mixing models have been successfully used to investigate the composition and source identification of streamflow. The applicability of these models is limited due to the high costs associated with data collection and the hydrogeochemical analysis of water samples. Fortunately, a variety of mixing models exist, requiting different amount of data as input, and in data scarce regions it is likely that preference will be given to models with the lowest requirement of input data. An unanswered question is if models with high or low input requirement are equally accurate. To this end, the performance of two mixing models with different input requirement, the mixing model analysis (MMA) and the end-member mixing analysis (EMMA), were verified on a tropical montane headwater catchment (21.7 km2) in the Ecuadorian Andes. Nineteen hydrogeochemical tracers were measured on water samples collected weekly during 3 years in streamflow and eight potential water sources or end-members (precipitation, lake water, soil water from different horizons and springs). Results based on 6 conservative tracers, revealed that EMMA (using all tracers) and MMA (using pair-combinations out of the 6 conservative ones), identified the same end-members: rainfall, soil water and spring water., as well as, similar contribution fractions to streamflow from rainfall 21.9% and 21.4%, soil water 52.7% and 52.3%, and spring water 26.1% and 28.7%, respectively. Our findings show that a hydrogeochemical mixing model requiring a few tracers can provide similar outcomes than models demanding more tracers as input data. This underlines the value of a preliminary detailed hydrogeochemical characterization as basis to derive the most cost-efficient monitoring strategy.  相似文献   
3.
The introduction of a non-native freshwater fish, blue catfish Ictalurus furcatus, in tributaries of Chesapeake Bay resulted in the establishment of fisheries and in the expansion of the population into brackish habitats. Blue catfish are an invasive species in the Chesapeake Bay region, and efforts are underway to limit their impacts on native communities. Key characteristics of the population (population size, survival rates) are unknown, but such knowledge is useful in understanding the impact of blue catfish in estuarine systems. We estimated population size and survival rates of blue catfish in tidal habitats of the James River subestuary. We tagged 34,252 blue catfish during July–August 2012 and 2013; information from live recaptures (n = 1177) and dead recoveries (n = 279) were used to estimate annual survival rates and population size using Barker’s Model in a Robust Design and allowing for heterogeneity in detection probabilities. The blue catfish population in the 12-km study area was estimated to be 1.6 million fish in 2013 (95% confidence interval [CI] adjusted for overdispersion: 926,307–2,914,208 fish). Annual apparent survival rate estimates were low: 0.16 (95% CI 0.10–0.24) in 2012–2013 and 0.44 (95% CI 0.31–0.58) in 2013–2014 and represent losses from the population through mortality, permanent emigration, or both. The tagged fish included individuals that were large enough to exhibit piscivory and represented size classes that are likely to colonize estuarine habitats. The large population size that we estimated was unexpected for a freshwater fish in tidal habitats and highlights the need to effectively manage such species.  相似文献   
4.
Approximately 13 km south of Gulf Shores, Alabama (United States), divers found in situ baldcypress (Taxodium distichum) stumps 18 m below the ocean surface. These trees could have only lived when sea level fell during the Pleistocene subaerially exposing the tectonically stable continental shelf. Here we investigate the geophysical properties along with microfossil and stratigraphical analyses of sediment cores to understand the factors that lead to this wood’s preservation. The stumps are exposed in an elongated depression (~100 m long, ~1 m deep) nested in a trough of the northwest–southeast trending Holocene sand ridges and troughs with 2–5 m vertical relief and ~0.5 km wavelength. Radiocarbon ages of the wood were infinite thus optically stimulated luminescence (OSL) dating was used to constrain the site’s age. Below the Holocene sands (~0.1–4 m thick), separated by a regional erosional unconformity, are Late Pleistocene mud-peat (72±8 ka OSL), mud-sand (63±5, 73±6 ka OSL), and palaeosol (56±5 ka OSL) facies that grade laterally from west to east, respectively. Foraminiferal analysis reveals the location of the terrestrial-marine transitional layer above the Pleistocene facies in an interbedded sand and mud facies (3940±30 (1σ) 14C a BP), which is part of a lower shoreface or marine-dominated estuarine environment. The occurrence of palaeosol and swamp facies of broadly similar ages and elevation suggests the glacial landscape possessed topographic relief that allowed wood, mud and peats to be preserved for ~50 ka of subaerial exposure before transitioning to the modern marine environment. We hypothesize that rapid sea-level rise occurring ~60 or ~40 ka ago provided opportunities for local flood-plain aggradation to bury the swamp thus preserving the stumps and that other sites may exist in the northern Gulf of Mexico shelf.  相似文献   
5.
Predicting the future response of ice sheets to climate warming and rising global sea level is important but difficult. This is especially so when fast-flowing glaciers or ice streams, buffered by ice shelves, are grounded on beds below sea level. What happens when these ice shelves are removed? And how do the ice stream and the surrounding ice sheet respond to the abruptly altered boundary conditions? To address these questions and others we present new geological, geomorphological, geophysical and geochronological data from the ice-stream-dominated NW sector of the last British–Irish Ice Sheet (BIIS). The study area covers around 45 000 km2 of NW Scotland and the surrounding continental shelf. Alongside seabed geomorphological mapping and Quaternary sediment analysis, we use a suite of over 100 new absolute ages (including cosmogenic-nuclide exposure ages, optically stimulated luminescence ages and radiocarbon dates) collected from onshore and offshore, to build a sector-wide ice-sheet reconstruction combining all available evidence with Bayesian chronosequence modelling. Using this information we present a detailed assessment of ice-sheet advance/retreat history, and the glaciological connections between different areas of the NW BIIS sector, at different times during the last glacial cycle. The results show a highly dynamic, partly marine, partly terrestrial, ice-sheet sector undergoing large size variations in response to sub-millennial-scale climatic (Dansgaard–Oeschger) cycles over the last 45 000 years. Superimposed on these trends we identify internally driven instabilities, operating at higher frequency, conditioned by local topographic factors, tidewater dynamics and glaciological feedbacks during deglaciation. Specifically, our new evidence indicates extensive marine-terminating ice-sheet glaciation of the NW BIIS sector during Greenland Stadials 12 to 9 – prior to the main ‘Late Weichselian’ ice-sheet glaciation. After a period of restricted glaciation, in Greenland Interstadials 8 to 6, we find good evidence for rapid renewed ice-sheet build-up in NW Scotland, with the Minch ice-stream terminus reaching the continental shelf edge in Greenland Stadial 5, perhaps only briefly. Deglaciation of the NW sector took place in numerous stages. Several grounding-zone wedges and moraines on the mid- and inner continental shelf attest to significant stabilizations of the ice-sheet grounding line, or ice margin, during overall retreat in Greenland Stadials 3 and 2, and to the development of ice shelves. NW Lewis was the first substantial present-day land area to deglaciate, in the first half of Greenland Stadial 3 at a time of globally reduced sea-level c. 26 kabp , followed by Cape Wrath at c. 24 kabp. The topographic confinement of the Minch straits probably promoted ice-shelf development in early Greenland Stadial 2, providing the ice stream with additional support and buffering it somewhat from external drivers. However, c. 20–19 kabp , as the grounding-line migrated into shoreward deepening water, coinciding with a marked change in marine geology and bed strength, the ice stream became unstable. We find that, once underway, grounding-line retreat proceeded in an uninterrupted fashion with the rapid loss of fronting ice shelves – first in the west, then the east troughs – before eventual glacier stabilization at fjord mouths in NW Scotland by ~17 kabp. Around the same time, ~19–17 kabp , ice-sheet lobes readvanced into the East Minch – possibly a glaciological response to the marine-instability-triggered loss of adjacent ice stream (and/or ice shelf) support in the Minch trough. An independent ice cap on Lewis also experienced margin oscillations during mid-Greenland Stadial 2, with an ice-accumulation centre in West Lewis existing into the latter part of Heinrich Stadial 1. Final ice-sheet deglaciation of NW mainland Scotland was punctuated by at least one other coherent readvance at c. 15.5 kabp , before significant ice-mass losses thereafter. At the glacial termination, c. 14.5 kabp , glaciers fed outwash sediment to now-abandoned coastal deltas in NW mainland Scotland around the time of global Meltwater Pulse 1A. Overall, this work on the BIIS NW sector reconstructs a highly dynamic ice-sheet oscillating in extent and volume for much of the last 45 000 years. Periods of expansive ice-sheet glaciation dominated by ice-streaming were interspersed with periods of much more restricted ice-cap or tidewater/fjordic glaciation. Finally, this work indicates that the role of ice streams in ice-sheet evolution is complex but mechanistically important throughout the lifetime of an ice sheet – with ice streams contributing to the regulation of ice-sheet health but also to the acceleration of ice-sheet demise via marine ice-sheet instabilities.  相似文献   
6.
Here we reconstruct the last advance to maximum limits and retreat of the Irish Sea Glacier (ISG), the only land-terminating ice lobe of the western British Irish Ice Sheet. A series of reverse bedrock slopes rendered proglacial lakes endemic, forming time-transgressive moraine- and bedrock-dammed basins that evolved with ice marginal retreat. Combining, for the first time on glacial sediments, optically stimulated luminescence (OSL) bleaching profiles for cobbles with single grain and small aliquot OSL measurements on sands, has produced a coherent chronology from these heterogeneously bleached samples. This chronology constrains what is globally an early build-up of ice during late Marine Isotope Stage 3 and Greenland Stadial (GS) 5, with ice margins reaching south Lancashire by 30 ± 1.2 ka, followed by a 120-km advance at 28.3 ± 1.4 ka reaching its 26.5 ± 1.1 ka maximum extent during GS-3. Early retreat during GS-3 reflects piracy of ice sources shared with the Irish-Sea Ice Stream (ISIS), starving the ISG. With ISG retreat, an opportunistic readvance of Welsh ice during GS-2 rode over the ISG moraines occupying the space vacated, with ice margins oscillating within a substantial glacial over-deepening. Our geomorphological chronosequence shows a glacial system forced by climate but mediated by piracy of ice sources shared with the ISIS, changing flow regimes and fronting environments.  相似文献   
7.
Current global warming projections suggest a possible increase in wildfire and drought, augmenting the need to understand how drought following wildfire affects the recovery of stream channels in relation to sediment dynamics. We investigated post‐wildfire geomorphic responses caused by storms during a prolonged drought following the 2013 Springs Fire in southern California (USA), using multi‐temporal terrestrial laser scanning and detailed field measurements. After the fire, a dry‐season dry‐ravel sediment pulse contributed sand and small gravel to hillslope‐channel margins in Big Sycamore Creek and its tributaries. A small storm in WY 2014 generated sufficient flow to mobilize a portion of the sediment derived from the dry‐ravel pulse and deposited the fine sediment in the channel, totaling ~0.60 m3/m of volume per unit length of channel. The sediment deposit buried step‐pool habitat structure and reduced roughness by over 90%. These changes altered sediment transport characteristics of the bed material present before and after the storm; the ratio of available to critical shear stress (τoc) increased by five times. Storms during WY 2015 contributed additional fine sediment from tributaries and lower hillslopes and hyperconcentrated flow transported and deposited additional sediment in the channel. Together these sources delivered sediment on the order of six times that in 2014, further increasing τo/τc. These storms during multi‐year drought following wildfire transformed channel dynamics. The increased sediment transport capacity persisted during the drought period characterized by the longer residence time of relatively fine‐grained post‐fire channel sedimentation. This contrasts with wetter years, when post‐fire sediment is transported from the fluvial system during the same season as the post‐fire sediment pulse. Results of this short‐term study highlight the complex and substantial effects of multi‐year drought on geomorphic responses following wildfire. These responses influence pool habitat that is critical to longer‐term post‐wildfire riparian ecosystem recovery. Copyright © 2017 John Wiley & Sons, Ltd.  相似文献   
8.
We present an Atlas of ShakeMaps and a catalog of human population exposures to moderate-to-strong ground shaking (EXPO-CAT) for recent historical earthquakes (1973–2007). The common purpose of the Atlas and exposure catalog is to calibrate earthquake loss models to be used in the US Geological Survey’s Prompt Assessment of Global Earthquakes for Response (PAGER). The full ShakeMap Atlas currently comprises over 5,600 earthquakes from January 1973 through December 2007, with almost 500 of these maps constrained—to varying degrees—by instrumental ground motions, macroseismic intensity data, community internet intensity observations, and published earthquake rupture models. The catalog of human exposures is derived using current PAGER methodologies. Exposure to discrete levels of shaking intensity is obtained by correlating Atlas ShakeMaps with a global population database. Combining this population exposure dataset with historical earthquake loss data, such as PAGER-CAT, provides a useful resource for calibrating loss methodologies against a systematically-derived set of ShakeMap hazard outputs. We illustrate two example uses for EXPO-CAT; (1) simple objective ranking of country vulnerability to earthquakes, and; (2) the influence of time-of-day on earthquake mortality. In general, we observe that countries in similar geographic regions with similar construction practices tend to cluster spatially in terms of relative vulnerability. We also find little quantitative evidence to suggest that time-of-day is a significant factor in earthquake mortality. Moreover, earthquake mortality appears to be more systematically linked to the population exposed to severe ground shaking (Modified Mercalli Intensity VIII+). Finally, equipped with the full Atlas of ShakeMaps, we merge each of these maps and find the maximum estimated peak ground acceleration at any grid point in the world for the past 35 years. We subsequently compare this “composite ShakeMap” with existing global hazard models, calculating the spatial area of the existing hazard maps exceeded by the combined ShakeMap ground motions. In general, these analyses suggest that existing global, and regional, hazard maps tend to overestimate hazard. Both the Atlas of ShakeMaps and EXPO-CAT have many potential uses for examining earthquake risk and epidemiology. All of the datasets discussed herein are available for download on the PAGER Web page (). T. I. Allen and M. G. Hearne—contracted through Synergetics Incorporated.  相似文献   
9.
A new method to calculate volcanic susceptibility, i.e. the spatial probability of vent opening, is presented. Determination of volcanic susceptibility should constitute the first step in the elaboration of volcanic hazard maps of active volcanic fields. Our method considers different criteria as possible indicators for the location of future vents, based on the assumption that these locations should correspond to the surface expressions of the most likely pathways for magma ascent. Thus, two groups of criteria have been considered depending on the time scale (short or long term) of our approach. The first one accounts for long-term hazard assessment and corresponds to structural criteria that provide direct information on the internal structure of the volcanic field, including its past and present stress field, location of structural lineations (fractures and dikes), and location of past eruptions. The second group of criteria concerns to the computation of susceptibility for short term analyses (from days to a few months) during unrest episodes, and includes those structural and dynamical aspects that can be inferred from volcano monitoring. Thus, a specific layer of information is obtained for each of the criteria used. The specific weight of each criterion on the overall analysis depends on its relative significance to indicate pathways for magma ascent, on the quality of data and on their degree of confidence. The combination of the different data layers allows to create a map of the spatial probability of future eruptions based on objective criteria, thus constituting the first step to obtain the corresponding volcanic hazards map. The method has been used to calculate long-term volcanic susceptibility on Tenerife (Canary Islands), and the results obtained are also presented.  相似文献   
10.
Popocatépetl Volcano is located in the central Mexican Volcanic Belt, within a densely populated region inhabited by over 20 million people. The eruptive history of this volcano indicates that it is capable of producing a wide range of eruptions, including Plinian events. After nearly 70 years of quiescence, Popocatépetl reawakened in December 21, 1994. The eruptive activity has continued up until the date of this submission and has been characterized by a succession of lava dome growth-and-destruction episodes, similar to events that have apparently been typical for Popocatépetl since the fourteenth century. In this regime, the episodes of effusive and moderately explosive activity alternate with long periods of almost total quiescence. In this paper we analyze five years of volcano-tectonic seismicity preceding the initial eruption of the current episode. The evolution of the V-T seismicity shows four distinct stages, which we interpret in terms of the internal processes which precede an eruption after a long period of quiescence. The thermal effects of a magma intrusion at depth, the fracturing related to the slow development of magma-related fluid pathways, the concentration of stress causing a protracted acceleration of this process, and a final relaxation or redistribution of the stress shortly before the initial eruption are reflected in the rates of V-T seismic energy release. A hindsight analysis of this activity shows that the acceleration of the seismicity in the third stage asymptotically forecast the time of the eruption. The total seismic energy release needed to produce an eruption after a long period of quiescence is related to the volume of rock that must be fractured so imposing a characteristic threshold limit for polygenetic volcanoes, limit that was reached by Popocatépetl before the eruption.  相似文献   
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