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1.
Wildlife conservation and management (WCM) practices have been historically drawn from a wide variety of academic fields, yet practitioners have been slow to engage with emerging conversations about animals as complex beings, whose individuality and sociality influence their relationships with humans. We propose an explicit acknowledgement of wild, nonhuman animals as active participants in WCM. We examined 190 studies of WCM interventions and outcomes to highlight 3 common assumptions that underpin many present approaches to WCM: animal behaviors are rigid and homogeneous; wildlife exhibit idealized wild behavior and prefer pristine habitats; and human–wildlife relationships are of marginal or secondary importance relative to nonhuman interactions. We found that these management interventions insufficiently considered animal learning, decision-making, individuality, sociality, and relationships with humans and led to unanticipated detrimental outcomes. To address these shortcomings, we synthesized theoretical advances in animal behavioral sciences, animal geographies, and animal legal theory that may help conservation professionals reconceptualize animals and their relationships with humans. Based on advances in these fields, we constructed the concept of animal agency, which we define as the ability of animals to actively influence conservation and management outcomes through their adaptive, context-specific, and complex behaviors that are predicated on their sentience, individuality, lived experiences, cognition, sociality, and cultures in ways that shape and reshape shared human–wildlife cultures, spaces, and histories. Conservation practices, such as compassionate conservation, convivial conservation, and ecological justice, incorporate facets of animal agency. Animal agency can be incorporated in conservation problem-solving by assessing the ways in which agency contributes to species’ survival and by encouraging more adaptive and collaborative decision-making among human and nonhuman stakeholders.  相似文献   
2.
典型地区农用地污染调查及风险管控标准探讨   总被引:2,自引:0,他引:2  
针对《土壤污染风险管控标准——农用地土壤污染风险管控标准》(GB 15618—2018),提出以土壤中全量浓度筛选值和管控值作为衡量农用地土壤污染风险管控的标准,对湖南省部分稻田农用地土壤及点对点稻米样品中镉、铅、砷、汞的总量和有效态浓度及稻米中含量进行监测,根据重金属总量浓度分为低风险、中风险、高风险3组。结果显示:(1)土壤及稻米中镉含量基本为随着风险级别的升高而增加,铅、砷在土壤和稻米中含量无规律性结果,汞监测结果均为未检出。(2)低风险组稻米镉超标率为12. 0%,高风险组稻米镉达标率为33. 3%,表明利用总量浓度对农用地土壤潜在风险进行分组存在一定的局限性。(3)依据4种重金属在土壤中总量及稻米(早稻)中含量情况,对风险级别进行调整并综合判断:有58个样品为低风险组,占样品总数的68. 2%,超标率为零;有15个样品为中风险组,占样品总数的17. 7%,超标率为80. 0%;有12个样品为高风险组,占样品总数的14. 1%,超标率为100. 0%。调整后评价结果与上述标准的划分目标更接近,能够提高上述标准的准确性和实用性。  相似文献   
3.
重金属生物有效性是评估重金属元素迁移性、生物可利用性和生态影响的关键参数。薄膜扩散梯度技术(DGT)是一种原位被动采样技术,因其具有原位富集性、形态选择性,可提供被监测物质在监测时间段内的平均浓度等优点,可作为生物对重金属摄取的模拟替代物对环境介质中重金属的生物可利用度进行预测,已被广泛应用于环境介质中重金属生物有效性的测定。研究主要介绍了DGT技术的原理、组成和特点,评述了其近年来在水体、土壤、沉积物中重金属生物有效态应用方面的新进展,提出了DGT技术未来要提高抗生物污染能力及寻找可与DGT技术联用的相关技术的观点。  相似文献   
4.
为了研究加油站便利店火灾的发展规律,选择合理的疏散路线,使用 FDS软件对某加油站便利店进行火灾数值模拟。通过观察烟气扩散和动态升温过程,分析便利店的烟气扩散和升温规律,对比分析不同疏散路线上温度、烟气层高度和能见度的数据变化规律,分析选择不同疏散路线对人员安全疏散的影响。结果表明:在无火灾报警设备的情况下,卫生间等有隔断的设施会延迟设施内人员获得火灾信息的时间,不利于安全疏散;同等高度下靠墙区域受高温烟气影响较中央开阔区域更大;疏散时选择合理的疏散路线可以显著延长安全疏散时间。  相似文献   
5.
采用在活化硅酸制备过程中加入适量Ti Cl4的方法,试制了一种新型无机高分子助凝剂—聚硅酸钛。研究了不同[Si]/[Ti]条件下制备的聚硅酸钛在固定p H值的水中分散物的粒径和Zeta电位随着活化时间的变化趋势,并与活化硅酸作比较。结果表明,在Si/Ti=20,活化48 h的条件下能制备出较为稳定的聚硅酸钛。与活化硅酸相比,聚硅酸钛在水中的分散物具有较大的粒径和更高的Zeta电位。通过对比制备的活化硅酸和聚硅酸钛的红外图谱发现,聚硅酸钛中有TiO-Si键,证明钛离子参与了聚合反应,新生成的化学键提高了它的聚合度和稳定性。采用硫酸铝为混凝剂,聚硅酸钛为助凝剂进行混凝除浊实验。测定了絮凝体的Zeta电位和混凝沉淀后的上清液浊度,研究了硫酸铝投加量和混凝p H对聚硅酸钛助凝效果的影响。结果表明,投加适量的聚硅酸钛助凝剂,明显提高了混凝除浊效果且拓宽了有效混凝p H值的范围。  相似文献   
6.
利用稳健四分位间距法和迭代法2种稳健统计方法,通过对全国31个省、自治区、直辖市范围内共334家环境监测单位开展土壤中汞的实验室间比对,对比对测定结果和质控数据进行统计分析,系统性地研究了土壤中汞的质量控制指标。建议实际监测工作中土壤汞的实验室间相对标准偏差范围为7%~19%,相对误差控制指标为±8%,低浓度水平下可适当放宽至±10%,加标回收率控制范围为81%~109%,为日常监测开展土壤汞的质量控制工作提供了评价依据,具有广泛的应用价值和较好的指导作用。  相似文献   
7.
Subgrade biogeochemical reactors (SBGRs) are an in situ remediation technology shown to be effective in treating contaminant source areas and groundwater hot spots, while being sustainable and economical. This technology has been applied for over a decade to treat chlorinated volatile organic compound source areas where groundwater is shallow (e.g., less than approximately 30 feet below ground surface [ft bgs]). However, this article provides three case studies describing innovative SBGR configurations recently developed and tested that are outside of this norm, which enable use of this technology under more challenging site conditions or for treatment of alternative contaminant classes. The first SBGR case study addresses a site with groundwater deeper than 30 ft bgs and limited space for construction, where an SBGR column configuration reduced the maximum trichloroethene (TCE) groundwater concentration from 9,900 micrograms per liter (μg/L) to <1 μg/L (nondetect) within approximately 15 months. The second SBGR is a recirculating trench configuration that is supporting remediation of a 5.7‐acre TCE plume, which has significant surface footprint constraints due to the presence of endangered species habitat. The third SBGR was constructed with a new amendment mixture and reduced groundwater contaminant concentrations in a petroleum hydrocarbon source area by over 97% within approximately 1 year. Additionally, a summary is provided for new SBGR configurations that are planned for treatment of additional classes of contaminants (e.g., hexavalent chromium, 1,4‐dioxane, dissolved explosives constituents, etc.). A discussion is also provided describing research being conducted to further understand and optimize treatment mechanisms within SBGRs, including a recently developed sampling approach called the aquifer matrix probe.  相似文献   
8.
为提高巷道超前支架迈步前移过程的稳定性和安全性,建立一种基于液压油液体积平均释放原则的迈步稳定控制方法。用软件仿真及样机实测的方法,检验所提出控制方法的控制效果。结果表明,与传统的直线、对数曲线、指数曲线的阀芯位移控制方法相比,应用所建立的方法,设备迈步过程支撑力波动最小,稳定过程耗时最短,为2.2 s,顶板变形量最小,最大值约为4.74 mm。而采用对数曲线控制方式效果最差,稳定过程耗时3.8 s,顶板变形量最大值达到9.48 mm。  相似文献   
9.
简述了基层环境监测业务风险管理现状及存在的问题,对业务风险管理的认识程度不高,业务风险管理的系统性不强,缺少环境监测业务风险管理指导性文件。提出,应树立正确的环境监测业务风险理念,建立环境监测业务风险管理组织机构,健全与监测工作紧密结合的业务风险管理体系,优先监控风险高的环境监测工作,大力培养风险管理人才。  相似文献   
10.
The increasing use and subsequent accumulation of polystyrene containers has triggered a substantial environmental problem. This study investigated using varied percentages of solid waste polystyrene disposable food dishes in the production of lightweight concrete samples with 350 kilograms per cubic meter (kg/m3) of cement and a density of 1,300 kg/m3. The polystyrene disposable dishes were ground into beads of 0–3 millimeters (mm) and 3–6 mm in size. First, the characteristics of Type II Portland cement, polystyrene, and aggregates were examined. The following characteristics of concrete using ASTM International and British Standards Institution standards were tested: slump, compressive strength, ability to resist chloride ion penetration, and resistance of concrete to rapid freezing and thawing cycles. Scanning electron microscopy (SEM) and energy dispersive X‐ray spectroscopy analytical techniques were also used. The slump of samples varied between 40 and 70 mm and was not dependent on either the polystyrene percentage or the size of the polystyrene beads in the concrete samples (p‐value > .05). The compressive strength of the concrete samples after 90 days of curing, and using different percentages of polystyrene, varied between 96 and 113 kilograms per square centimeter (kg/cm2). The resistance of the samples to the freezing and thawing cycle and chloride ion penetration were affected unfavorably by the presence of the polystyrene. The SEM technique indicated that concrete samples containing 15% and 25% polystyrene had denser crystals and less void than concrete samples with 40% and 55% polystyrene.  相似文献   
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