首页 | 本学科首页   官方微博 | 高级检索  
文章检索
  按 检索   检索词:      
出版年份:   被引次数:   他引次数: 提示:输入*表示无穷大
  收费全文   71篇
  免费   1篇
  国内免费   1篇
安全科学   6篇
废物处理   1篇
环保管理   24篇
综合类   5篇
基础理论   19篇
污染及防治   13篇
评价与监测   2篇
社会与环境   2篇
灾害及防治   1篇
  2019年   1篇
  2018年   1篇
  2017年   1篇
  2016年   1篇
  2014年   1篇
  2013年   9篇
  2012年   1篇
  2011年   2篇
  2010年   3篇
  2009年   2篇
  2008年   2篇
  2007年   5篇
  2006年   2篇
  2004年   2篇
  2003年   2篇
  2002年   2篇
  2001年   1篇
  2000年   1篇
  1999年   2篇
  1998年   1篇
  1997年   1篇
  1996年   2篇
  1995年   1篇
  1992年   1篇
  1991年   1篇
  1990年   1篇
  1988年   2篇
  1987年   2篇
  1984年   2篇
  1983年   3篇
  1982年   5篇
  1981年   2篇
  1980年   4篇
  1979年   2篇
  1976年   1篇
  1972年   1篇
排序方式: 共有73条查询结果,搜索用时 26 毫秒
51.
During 1980–1981, a study was conducted of worker training and education in occupational safety and health in Canada, Great Britain, Sweden, France, the Federal Republic of Germany, and the United States. This article is the fourth in a four-part series of the findings of this study. Part one discussed the genesis of the study and the study design, reported on the training requirements of the occupational safety and health legislation in each of the six countries, and considered the implications of this legislation for worker training and education. Part one also included information on how each country is organized to carry out worker training and education in occupational safety and health. Part two discussed the role perceived for worker training and education as an occupational injury and illness countermeasure and identified and described the major components of the occupational safety and health training infrastructure in each country in the study. Part three reported on strategies for worker training including course design, construction, delivery, evaluation, and costs. Part four provides synopses of worker training and education for selected subsets of the worker population, e.g., migrant workers, nonorganized workers, employees of small business establishments, and employees of the federal or central government. Worker training and education programs are discussed for the following industries: construction, marine cargo handling (longshoring), and petroleum refining and related industries.  相似文献   
52.
During 1980–1981, a study was conducted of worker training and education in occupational safety and health in Canada, Great Britain, Sweden, France, the Federal Republic of Germany, and the United States. This article is the third in a four-part series of the findings of this study. Part one discussed the genesis of the study and the study design, reported on the training requirements of the occupational safety and health legislation in each of the six countries, and considered the implications of this legislation for worker training and education. Part one also included information on how each country is organized to carry out worker training and education in occupational safety and health. Part two discussed the role perceived for worker training and education as an occupational injury and illness countermeasure and identified and described the major components of the occupational safety and health training infrastructure in each country in the study. Part three reports on strategies for worker training including course design, construction, delivery, evaluation, and costs. Part four will provide synopses of worker training and education for selected subsets of the worker population, e.g., migrant workers, nonorganized workers, employees of small business establishments, and employees of the federal or central government. Worker training and education programs will also be discussed for the following industries: construction, marine cargo handling (longshoring), and petroleum refining and related industries.  相似文献   
53.
Disturbance of flora from utility construction tends to generate new plant growth. This growth changes productivity, diversity, and stability. Although the enhancement of vegetation may balance out the biomass destroyed by the original disturbance, it often adversely affects the quality of the vegetation. Percentage composition of the dominant long-lived perennials combined with quantitative measures are used to assess longterm effects of utility corridor construction. Differential effects of enhancement of vegetation are found along road edges, enhancement under wires of powerlines, and over trenches dug for pipelines. Areas under powerline pylons seem to receive the greatest damage and also show the most variable recovery of vegetation. Significant recovery rates are noticeable where the time span between year of construction has allowed for considerable regrowth of the older corridor. Recovery rates depend on soil type, landform, and other physical features of the disturbed sites. Drastic disturbance in one area or transect site may impede vegetation recovery, whereas slight disturbance might enhance vegetation in another, tending to offset the effect of the drastic disturbance. Disturbed areas and control areas may appear to have similar vegetation covers, biomasses, and densities, but these similarities often vanish when one examines qualitative aspects, such as proportion of long-lived species and presence of characteristic dominants.  相似文献   
54.
In the mid-1930s, eastern Oklahoma, USA, suffered an unusually harsh mixture of droughts and extreme rainfall events that led to widespread crop failure over several years. These climatic conditions coincided with low commodity prices, agricultural restructuring and general economic collapse, creating tremendous hardship in rural and agriculturally dependent areas. Using a previously developed typology of agricultural adaptation, this paper reports empirical research conducted to identify the ways by which the rural population of Sequoyah County adapted to such conditions. Particular attention is given to categorizing the scale at which adaptation occurred, the actors involved and the constraints to implementation. The findings identify successes and opportunities missed by public policy makers, and suggest possible entry points for developing adaptation strategies for current and future, analogous situations that may arise as a result of climate change.  相似文献   
55.
The use of soluble PO43− as a heavy metal chemical stabilization agent was evaluated for a dust generated from melting or vitrification of municipal solid waste combustion residues. Vitrification dusts contain high concentrations of volatile elements such as Cl, Na, K, S, Pb, and Zn. These elements are present in the dusts largely as simple salts (e.g. PbCl2, ZnSO4) which are highly leachable. At an experimental dose of 0.4 moles of soluble PO43− per kg of residue, the pH-dependent leaching (pH 5,7,9) showed that the treatment was able to reduce equilibrium concentrations by factors of 3 to 100 for many metals; particularly Cd, Cu, Pb and Zn. Bulk and surface spectroscopies showed that the insoluble reaction products are tertiary metal phosphate [e.g. Zn3(PO4)2] and apatite [e.g. Pb5(PO4)3Cl] family minerals. Geochemical thermodynamic equilibrium modeling showed that apatite family and tertiary metal phosphate phases act as controlling solids for the equilibrium concentrations of Ca2+, Zn2+, Pb2+, Cu2+, and Cd2+ in the leachates during pH-dependent leaching. Both end members and ideal solid solutions were seen to be controlling solids. Soluble phosphate effectively converted soluble metal salts into insoluble metal phosphate phases despite the relatively low doses and dry mixing conditions that were used. Soluble phosphate is an effective stabilization agent for divalent heavy metals in melting dusts where leachable metals are present in high concentrations.  相似文献   
56.
美国环境保护部负责评估超过10 000种化学物质的内分泌活动,而合理的实现评估不能仅仅利用体内化验。因此,使用以特定的内分泌系统为目标测定的体外高通量(HTP)数据提出了化学物质体内化验优先原则。最近聚焦于潜在雌激素化学物质—特别是关于能够激活雌激素受体α(ERα)的化学物质的研究工作大致证实了该方法的可行性。然而,该方法存在一个主要的不确定性,那就是基于哺乳动物(主要是人类)的HTP ER化验的优先级是否能够准确地反映chemical-ERα在非哺乳类物种中潜在的相互作用。这里我们对以下几方面进行了全面分析,包括基于ERs结构属性、体外绑定和ERα反式激活数据的相关信息研究chemical-ERα交互作用的跨物种相似性,以及一系列化学物质对体内雌激素信号通路的影响。总的来说,这种综合分析表明,在哺乳动物系统中具有中度到高度雌激素效能的化学物质在非哺乳类脊椎动物中同样是优先级的化学物质。然而,由于缺乏对可能的ERαorthologues的生物作用的了解,优先级方法在多大程度上能够适用于无脊椎动物是不确定的。进一步比较分析鱼类和爬行动物的体外数据表明基于哺乳类的试验可能不会有效地获取在所有脊椎动物门类中ERα与低亲和力的化学物质的交互作用。
精选自Gerald T. Ankley, Carlie A. LaLone, L. Earl Gray, Daniel L. Villeneuve, Michael W. Hornung. Evaluation of the Scientific Underpinnings for Identifying Estrogenic Chemicals in Non-Mammalian Taxa using Mammalian Test Systems. Environmental Toxicology and Chemistry: Volume 35, Issue 11, pages 2806–2816, November 2016. DOI: 10.1002/etc.3456
详情请见http://onlinelibrary.wiley.com/doi/10.1002/etc.3456/full
  相似文献   
57.
Peacor SD  Schiesari L  Werner EE 《Ecology》2007,88(6):1536-1547
Understanding the factors responsible for generating size variation in cohorts of organisms is important for predicting their population and evolutionary dynamics. We group these factors into two broad classes: those due to scaling relationships between growth and size (size-dependent factors), and those due to individual trait differences other than size (size-independent factors; e.g., morphology, behavior, etc.). We develop a framework predicting that the nonlethal presence of predators can have a strong effect on size variation, the magnitude and sign of which depend on the relative influence of both factors. We present experimental results showing that size-independent factors can strongly contribute to size variation in anuran larvae, and that the presence of a larval dragonfly predator reduced expression of these size-independent factors. Further, a review of a number of experiments shows that the effect of this predator on relative size variation of a cohort ranged from negative at low growth rates to positive at high growth rates. At high growth rates, effects of size-dependent factors predominate, and predator presence causes an increase in the scaling of growth rate with size (larger individuals respond less strongly to predator presence than small individuals). Thus predator presence led to an increase in size variation. In contrast, at low growth rates, size-independent factors were relatively more important, and predator presence reduced expression of these size-independent factors. Consequently, predator presence led to a decrease in size variation. Our results therefore indicate a further mechanism whereby nonlethal predator effects can be manifest on prey species performance. These results have strong implications for both ecological and evolutionary processes. Theoretical studies indicate that changes in cohort size variation can have profound effects on population dynamics and stability, and therefore the mere presence of a predator could have important ecological consequences. Further, changes in cohort size variation can have important evolutionary implications through changes in trait heritability.  相似文献   
58.
McCoy ED  Mushinsky HR 《Ecology》2007,88(6):1401-1407
Minimum patch size for a viable population can be estimated in several ways. The density-area method estimates minimum patch size as the smallest area in which no new individuals are encountered as one extends the arbitrary boundaries of a study area outward. The density-area method eliminates the assumption of no variation in density with size of habitat area that accompanies other methods, but it is untested in situations in which habitat loss has confined populations to small areas. We used a variant of the density area method to study the minimum patch size for the gopher tortoise (Gopherus polyphemus) in Florida, USA, where this keystone species is being confined to ever smaller habitat fragments. The variant was based on the premise that individuals within populations are likely to occur at unusually high densities when confined to small areas, and it estimated minimum patch size as the smallest area beyond which density plateaus. The data for our study came from detailed surveys of 38 populations of the tortoise. For all 38 populations, the areas occupied were determined empirically, and for 19 of them, duplicate surveys were undertaken about a decade apart. We found that a consistent inverse density area relationship was present over smaller areas. The minimum patch size estimated from the density-area relationship was at least 100 ha, which is substantially larger than previous estimates. The relative abundance of juveniles was inversely related to population density for sites with relatively poor habitat quality, indicating that the estimated minimum patch size could represent an extinction threshold. We concluded that a negative density area relationship may be an inevitable consequence of excessive habitat loss. We also concluded that any detrimental effects of an inverse density area relationship may be exacerbated by the deterioration in habitat quality that often accompanies habitat loss. Finally, we concluded that the value of any estimate of minimum patch size as a conservation tool is compromised by excessive habitat loss.  相似文献   
59.
Results of a field demonstration of electrokinetic transport of acetate through an unsaturated heterogeneous soil are compared to numerical modeling predictions. The numerical model was based on the groundwater flow and transport codes MODFLOW and MT3D modified to account for electrically induced ion transport. The 6-month field demonstration was conducted in an unsaturated layered soil profile where the soil moisture content ranged from 4% to 28% (m3 m(-3)). Specially designed ceramic-cased electrodes maintained a steady-state moisture content and electric potential field between the electrodes during the field demonstration. Acetate, a byproduct of acetic acid neutralization of the cathode electrolysis reaction, was transported from the cathode to the anode by electromigration. Field demonstration results indicated preferential transport of acetate through soil layers exhibiting higher moisture content/electrical conductivity. These field transport results agree with theoretical predictions that electromigration velocity is proportional to a power function of the effective moisture content. A numerical model using a homogeneous moisture content/electrical conductivity domain did not adequately predict the acetate field results. Numerical model predictions using a three-layer electrical conductivity/moisture content profile agreed qualitatively with the observed acetate distribution. These results suggest that field heterogeneities must be incorporated into electrokinetic models to predict ion transport at the field-scale.  相似文献   
60.
Coconut trees growing on atolls of the Bikini Islands are on the margin of K deficiency because the concentration of exchangeable K in coral soil is very low, ranging from only 20 to 80 mg kg−1. When provided with additional K, coconut trees absorb large quantities of K and this uptake of K significantly alters the patterns of distribution of 137Cs within the plant. Following a single K fertilization event, mean total K in trunks of K-treated trees is 5.6 times greater than in trunks of control trees. In contrast, 137Cs concentration in trunks of K-treated and control trees is statistically the same while 137Cs is significantly lower in edible fruits of K-treated trees. Within one year after fertilization (one rainy season), K concentration in soil is back to naturally low concentrations. However, the tissue concentrations of K in treated trees stays very high internally in the trees for years while 137Cs concentration in treated trees remains very low in all tree compartments except for the trunk. Potassium fertilization did not change soil Cs availability.  相似文献   
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号