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1.

Chile has a rich, but poorly known history of placer gold mining. At present, this sector is almost nonexistent and there are some restrictions for its revival: disperse and partial information on existing resources and limited technical expertise to assess the potential of placer gold mine sites. This paper presents the background, methodology and results of the prioritization process of known prospects of this kind in Chile. This research was part of a publicly funded project aimed to incentivize the development of this industry. The ranking was carried out using the analytic hierarchy process, which allowed to include different quantitative and qualitative variables related to the economic potential, technical aspects, contextual viability and socioeconomic factors in the analysis. The results show that, despite the increasing relevance of environmental and community issues in mining development, the business potential and the economic/technical aspects are the main factors in the early selection of a site to advance in exploration and development activities. Both variables represented around 40% and 37% of weights in the final selection, respectively. In contrast, contextual viability and local socioeconomic impacts only accounted for the remaining 23%. This study also shows that the inclusion of experts with different backgrounds in the process enriches the analysis and does not significantly distort the final outcome of the prioritization. Finally, the relevance of using MCDM tools when assessing the attractiveness of mine sites for their development is highlighted, particularly when public funds for subsequent exploration activities are committed.

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In principle, many climate policymakers have accepted that large-scale carbon dioxide removal (CDR) is necessary to meet the Paris Agreement’s mitigation targets, but they have avoided proposing by whom CDR might be delivered. Given its role in international climate policy, the European Union (EU) might be expected to lead the way. But among EU climate policymakers so far there is little talk on CDR, let alone action. Here we assess how best to ‘target’ CDR to motivate EU policymakers exploring which CDR target strategy may work best to start dealing with CDR on a meaningful scale. A comprehensive CDR approach would focus on delivering the CDR volumes required from the EU by 2100, approximately at least 50 Gigatonnes (Gt) CO2, according to global model simulations aiming to keep warming below 2°C. A limited CDR approach would focus on an intermediate target to deliver the CDR needed to reach ‘net zero emissions’ (i.e. the gross negative emissions needed to offset residual positive emissions that are too expensive or even impossible to mitigate). We argue that a comprehensive CDR approach may be too intimidating for EU policymakers. A limited CDR approach that only addresses the necessary steps to reach the (intermediate) target of ‘net zero emissions’ is arguably more achievable, since it is a better match to the existing policy paradigm and would allow for a pragmatic phase-in of CDR while avoiding outright resistance by environmental NGOs and the broader public.

Key policy insights

  • Making CDR an integral part of EU climate policy has the potential to significantly reshape the policy landscape.

  • Burden sharing considerations would probably play a major role, with comprehensive CDR prolonging the disparity and tensions between progressives and laggards.

  • Introducing limited CDR in the context of ‘net zero’ pathways would retain a visible primary focus on decarbonization but acknowledge the need for a significant enhancement of removals via ‘natural’ and/or ‘engineered’ sinks.

  • A decarbonization approach that intends to lead to a low level of ‘residual emissions’ (to be tackled by a pragmatic phase-in of CDR) should be the priority of EU climate policy.

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4.
We compared median runoff (R) and precipitation (P) relationships over 25 years from 20 mesoscale (50 to 5,000 km2) catchments on the Boreal Plains, Alberta, Canada, to understand controls on water sink and source dynamics in water‐limited, low‐relief northern environments. Long‐term catchment R and runoff efficiency (RP?1) were low and varied spatially by over an order of magnitude (3 to 119 mm/year, 1 to 27%). Intercatchment differences were not associated with small variations in climate. The partitioning of P into evapotranspiration (ET) and R instead reflected the interplay between underlying glacial deposit texture, overlying soil‐vegetation land cover, and regional slope. Correlation and principal component analyses results show that peatland‐swamp wetlands were the major source areas of water. The lowest estimates of median annual catchment ET (321 to 395 mm) and greatest R (60 to 119 mm, 13 to 27% of P) were observed in low‐relief, peatland‐swamp dominated catchments, within both fine‐textured clay‐plain and coarse‐textured glacial deposits. In contrast, open‐water wetlands and deciduous‐mixedwood forest land covers acted as water sinks, and less catchment R was observed with increases in proportional coverage of these land covers. In catchments dominated by hummocky moraines, long‐term runoff was restricted to 10 mm/year, or 2% of P. This reflects the poor surface‐drainage networks and slightly greater regional slope of the fine‐textured glacial deposit, coupled with the large soil‐water and depression storage and higher actual ET of associated shallow open‐water marsh wetland and deciduous‐forest land covers. This intercatchment study enhances current conceptual frameworks for predicting water yield in the Boreal Plains based on the sink and source functions of glacial landforms and soil‐vegetation land covers. It offers the capability within this hydro‐geoclimatic region to design reclaimed catchments with desired hydrological functionality and associated tolerances to climate or land‐use changes and inform land management decisions based on effective catchment‐scale conceptual understanding.  相似文献   
5.
The last decade has seen major technical and scientific improvements in the study of water transfer time through catchments. Nevertheless, it has been argued that most of these developments used conservative tracers that may disregard the oldest component of water transfer, which often has transit times greater than 5 years. Indeed, although the analytical reproducibility of tracers limits the detection of the older flow components associated with the most dampened seasonal fluctuations, this is very rarely taken into account in modelling applications. Tritium is the only environmental tracer at hand to investigate transfer times in the 5‐ to 50‐year range in surface waters, as dissolved gases are not suitable due to the degassing process. Water dating with tritium has often been difficult because of the complex history of its atmospheric concentration, but its current stabilization together with recent analytical improvements open promising perspectives. In this context, the innovative contribution of this study lies in the development of a generalized likelihood uncertainty estimation‐based approach for analysing the uncertainties associated with the modelling of transit time due to both parameter identification and tracer analytical precision issues. A coupled resampling procedure allows assessment of the statistical significance of the transfer time differences found in diverse waters. This approach was developed for tritium and the exponential‐piston model but can be implemented for virtually any tracer and model. Stream baseflow, spring and shallow aquifer waters from the Vallcebre research catchments, analysed for tritium in different years with different analytical precisions, were investigated by using this approach and taking into account other sources of uncertainty. The results showed three groups of waters of different mean transit times, with all the stream baseflow and spring waters older than the 5‐year threshold needing tritium. Low sensitivity of the results to the model structure was also demonstrated. Dual solutions were found for the waters sampled in 2013, but these results may be disambiguated when additional analyses will be made in a few years. Copyright © 2016 John Wiley & Sons, Ltd.  相似文献   
6.
Abstract

In a sensitivity study, the influence of an observed stratospheric zonal ozone anomaly on the atmospheric circulation was investigated using the Fifth Generation European Centre Hamburg Model (ECHAM5) which is a general circulation model. The model was run from 1960 to 1999 (40 years) with a mean seasonal cycle of zonally symmetric ozone. In order to isolate the induced dynamical influence of the observed zonally asymmetric part of the three-dimensional stratospheric ozone, a second run was performed for the boreal extratropics using prescribed monthly means from the 40-year reanalysis dataset from the European Centre for Medium-range Weather Forecasts (ERA-40). The main findings are the interdecadal westward shift of the polar vortex at about 65°N and a significant increase in the number of stratospheric sudden warmings during the 1980–99 period. Under the action of zonally asymmetric ozone a decrease in the Arctic Oscillation was identified between the mid-1980s and the mid-1990s. The lag correlation between the mean Arctic Oscillation at the surface and the daily stratospheric northern annular mode increased in mid-winter. Furthermore, we examined the influence of the stratospheric zonal ozone anomaly on Rossby wave breaking in the upper troposphere and found a significant westward shift of poleward Rossby wave breaking events over western Europe in the winter. By this we show that the stratospheric zonal ozone anomaly has a strong influence on the tropospheric circulation as a result of enhanced dynamical coupling processes.  相似文献   
7.
We applied DNA‐based faecal analysis to determine the diet of female Australian sea lions (n = 12) from two breeding colonies in South Australia. DNA dietary components of fish and cephalopods were amplified using the polymerase chain reaction and mitochondrial DNA primers targeting the short (~100 base pair) section of the 16S gene region. Prey diversity was determined by sequencing ~50 amplicons generated from clone libraries developed for each individual. Faecal DNA was also combined and cloned from multiple individuals at each colony and fish diversity determined. Diets varied between individuals and sites. Overall, DNA analysis identified a broad diversity of prey comprising 23 fish and five cephalopod taxa, including many species not previously described as prey of the Australian sea lion. Labridae (wrasse), Monacanthidae (leatherjackets) and Mullidae (goat fish) were important fish prey taxa. Commonly identified cephalopods were Octopodidae (octopus), Loliginidae (calamary squid) and Sepiidae (cuttlefish). Comparisons of fish prey diversity determined by pooling faecal DNA from several samples provided a reasonable but incomplete resemblance (55–71%) to the total fish diversity identified across individual diets at each site. Interpretation of diet based on the recovery of prey hard‐parts identified one cephalopod beak (Octopus sp.) and one fish otolith (Parapriacanthus elongatus). The present study highlights the value of DNA‐based analyses and their capabilities to enhance information of trophic interactions.  相似文献   
8.
Given their small size, isolation and unpredictability, temporary rockpools present high environmental stress and impoverished communities of species that have adapted to such stressful conditions. Special adaptations of the invertebrates living in these habitats include tolerance to desiccation and fast ontogenetic development in order to maintain stable populations and face high risk of extinction. Dozens of small rockpools (mostly with Ø < 1 m) can be found in east Spain on limestone substrate, where the only known Iberian populations of Heterocypris bosniacaPetkovski et al. (2000), an ostracod species with geographic parthenogenesis, have been recently found. In this survey, two of these rockpools have been monitored during the main hydroperiod between the fall of 2005 and summer 2006 to test the ability of H. bosniaca parthenogenetic populations to face unpredictable hydroperiod dynamics. Pools were visited weekly, and limnological data and ostracod samples were obtained from either water or substrate in dry periods. Ostracod individuals were counted and assigned to growth instars to monitor population changes. In the laboratory, experimental cultures allowed the estimation of survival dependence on the substrate desiccation rate. Throughout the hydrological cycle studied, several hatching periods were observed, usually preceded by desiccation, followed by substrate hydration and water dilution by rain. The demographic changes observed indicate that H. bosniaca populations are able to persist in intermittently inundated environments and produce several generations per annual hydrological cycle. In addition, adult individuals were able to survive in the wet mud of dry pools for longer than five weeks. The experimental data suggest a lower average survival time when exposed to desiccation processes, and that the velocity of substrate water loss is a determining factor for the survival rate of ostracods resisting dry events in temporary ponds. As shown by ostracods’ life histories in temporary aquatic environments undergoing unpredictable desiccation events, a combined strategy of adult tolerance to short periods of water scarcity and rapid hatching from resting egg banks can be advantageous for the monopolization of small-sized ephemeral habitats.  相似文献   
9.
Diatoms (Bacillariophyceae; single-celled algae) and ostracods (Ostracoda; shelled microcrustacea) are known for their sensitivity to salinity. In palaeolimnology, the potential has yet to be tested for quantifying past salinity, lake level, and by inference, climate change, by application of multiple-indicator transfer functions. We used weighted averaging techniques to derive diatom (n = 91; r 2  = 0.92) and ostracod (n = 53; r 2  = 0.83) conductivity transfer functions from modern diatom, ostracod and water chemistry data collected in lakes of central, western and northern Turkey. Diatoms were better represented across the full gradient than ostracods, at intermediate levels of conductivity in particular, but both transfer functions were statistically robust. Because transfer functions are not infallible, we further tested the strength and simplicity of salinity response and the potential for identifying characteristic associations of diatom and ostracod taxa in different parts of the salinity gradient, to improve palaeoclimate reconstruction. We identified a subset of 51 samples that contained both diatoms and ostracods, collected at the same time from the same habitat. We used Two-Way Indicator Species Analysis of a combined diatom-ostracod data set, transformed to achieve numerical equivalence, to explore distributions in more detail. A clear ecological threshold was apparent at ~3 g l−1 salinity, rather than at 5 g l−1, the boundary used by some workers, equating to the oligosaline-mesosaline boundary. Other salinity boundaries were poorly defined, indicating lack of a simple, well-defined salinity response. We did, however, define characteristic associations of taxa, to facilitate the distinction to be drawn between a hydrologically open, fresh lake and an oligosaline lake, in palaeoenvironmental reconstruction. Over the rest of the salinity gradient, we highlighted the potential for the multi-proxy approach to strengthen ostracod-based reconstruction in particular, to overcome the problem of broad apparent tolerance ranges in common halophilic taxa such as Limnocythere inopinata, which often dominate in low-diversity fossil assemblages. The combination of multi-proxy quantitative reconstruction, complemented by qualitative understanding of ecological responses generated by the analysis, remains a powerful tool in Quaternary palaeoclimate research.  相似文献   
10.
Our goal was to evaluate effects of broad-scale changes in vegetation from grasslands to shrublands over the past 150 years on near-surface atmosphere over the Jornada Experimental Range in the northern Chihuahuan Desert, using a regional climate model. Simulations were conducted using 1858 and 1998 vegetation maps, and data collected in the field. Overall, the vegetation shift led to small changes in sensible heat (SH) and an increase in latent heat (LH). The impacts of shrub encroachment depended on shrubland type: conversion from grass to mesquite cools the near-surface atmosphere and from grass to creosotebush warms it. Higher albedo of mesquite relative to grasses reduced available energy, which was dissipated mainly as LH due to the deeper root system in mesquite. In creosotebush-dominated areas, a decrease in albedo, an increase in roughness length and displacement height contributed to the SH increase and warmer temperatures. Sensitivity simulations showed that an increase in soil moisture content enhanced shrub LH and a reduction in mesquite cover enhanced the temperature differences. The observed shift in vegetation led to complex interactions between land and surface fluxes, demonstrating that vegetation itself is a weather and climate variable as it significantly influences temperature and humidity.  相似文献   
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