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51.
Raymond Anthony 《Journal of Agricultural and Environmental Ethics》2012,25(2):123-144
Agricultural technologies are non-neutral and ethical challenges are posed by these technologies themselves. The technologies
we use or endorse are embedded with values and norms and reflect the shape of our moral character. They can literally make
us better or worse consumers and/or people. Looking back, when the world’s developed nations welcomed and steadily embraced
industrialization as the dominant paradigm for agriculture a half century or so ago, they inadvertently championed a philosophy
of technology that promotes an insular human-centricism, despite its laudable intent to ensure food security and advance human
flourishing. The dominant philosophy of technology has also seeded particular ethical consequences that plague the well-being
of human beings, the planet, and farmed animals. After revisiting some fundamental questions regarding the complex ways in
which technology as agent shapes our lives and choices and relegates food and farmed constituents into technological artifacts or commodities, I argue
that we should accord an environmental virtue ethic of care—understood as caretaking—a central place in developing a more
conscientious philosophy of technology that aims at sustainability, fairness, and humaneness in animal agriculture. While
technology shapes society, it also is socially shaped and an environmental virtue ethic of care (EVEC) as an alternative design
philosophy has the tools to help us take a much overdue inventory of ourselves and our relationships with the nonhuman world.
It can help us to expose the ways in which technology hinders critical reflection of its capacity to alter communities and
values, to come to terms with why we may be, in general, disengaged from critical ethical analysis of contemporary agriculture
and to consider the moral shape and trajectory and the sustainability of our food production systems going into the future.
I end by outlining particular virtues associated with the ethic of care discussed here and consider some likely implications
for consumers and industry technocrats as they relate to farming animals. 相似文献
52.
Mary L. Smiley C. Raymond Bingham Peter D. Jacobson Michelle L. Macy 《Traffic injury prevention》2018,19(3):326-331
Objectives: In this study, we sought to accomplish the following objectives: to (1) calculate the percentage of children considered appropriately restrained across 8 criteria of increasing restrictiveness; (2) examine agreement between age- and size-based appropriateness criteria; (3) assess for changes in the percentage of children considered appropriately restrained by the 8 criteria between 2011 (shortly after updates to U.S. guidelines) and 2015.Methods: Data from 2 cross-sectional surveys of 928 parents of children younger than 12 years old (n = 591 in 2011, n = 337 in 2015) were analyzed in 2017. Child age, weight, and height were measured at an emergency department visit and used to determine whether the parent-reported child passenger restraint was considered appropriate according to 8 criteria. Age-based criteria were derived from Michigan law and U.S. guidelines. Weight, height, and size-based criteria were derived from typical restraints available in the United States in 2007 and 2011. The percentage appropriate restraint use was calculated for each criterion. The kappa statistic was used to measure agreement between criteria. Change in appropriateness from 2011 to 2015 was assessed with chi-square statistics.Results: Percentage appropriate restraint use varied from a low of 19% for higher weight limits in 2011 to a high of 91% for Michigan law in 2015. Agreement between criteria was slight to moderate. The lowest kappa was for Michigan law and higher weight limits in 2011 (κ = 0.06) and highest for U.S. guidelines and lower weight limits in 2011 (κ = 0.60). Percentage appropriate restraint use was higher in 2015 than 2011 for the following criteria: U.S. guidelines (74 vs. 58%, P < .001), lower weight (57 vs. 47%, P = .005), higher weight (25 vs. 19%, P = .03), greater height (39 vs. 26%, P < .001), and greater size (42 vs. 30%, P = .001).Conclusions: The percentage of children considered to be using an appropriate restraint varied substantially across criteria. Aligning the definition of appropriate restraint use with current U.S. guidelines would increase consistency in reporting results from studies of child passenger safety in the United States. Potential explanations for the increased percentage of children considered appropriately restrained between 2011 and 2015 include adoption of the updated U.S. guidelines and the use of child passenger restraints with higher weight and height limits. 相似文献
53.
Jill A. Engel-Cox Raymond M. Hoff A.D.J. Haymet 《Journal of the Air & Waste Management Association (1995)》2013,63(11):1360-1371
Abstract In the last 5 yr, the capabilities of earth-observing satellites and the technological tools to share and use satellite data have advanced sufficiently to consider using satellite imagery in conjunction with ground-based data for urban-scale air quality monitoring. Satellite data can add synoptic and geospatial information to ground-based air quality data and modeling. An assessment of the integrated use of ground-based and satellite data for air quality monitoring, including several short case studies, was conducted. Findings identified current U.S. satellites with potential for air quality applications, with others available internationally and several more to be launched within the next 5 yr; several of these sensors are described in this paper as illustrations. However, use of these data for air quality applications has been hindered by historical lack of collaboration between air quality and satellite scientists, difficulty accessing and understanding new data, limited resources and agency priorities to develop new techniques, ill-defined needs, and poor understanding of the potential and limitations of the data. Specialization in organizations and funding sources has limited the resources for cross-disciplinary projects. To successfully use these new data sets requires increased collaboration between organizations, streamlined access to data, and resources for project implementation. 相似文献
54.
Emanuel Landau Raymond Smith David A. Lynn 《Journal of the Air & Waste Management Association (1995)》2013,63(9):684-687
Because of the common source, lead and CO values in the atmosphere tend to behave in a similar manner. Thus, diurnal variations in these two pollutants show a pattern related to motor vehicle traffic flow. Also, the exposure to both vary by orders of magnitude with the highest being on the road (in the car) thus setting up special dosage situations. Community sources seem to affect background level at least based on fall-off with distance. There may be a relatively wider exposure of the general population to lead and CO. While the lead levels may not be increasing in the downtown portion of the central city proper, typical central city levels of several years ago may be more diffuse and spread out, thus occurring over increasingly large portions of the community. Similarly, there may be a wider exposure of the population to CO as the levels become more nearly uniformly high over a larger area. In addition, there may be problems of a shorter term exposure to high levels of CO in commuter traffic. This may be of consequence to selected types of drivers or passengers. Finally, it should also be noted that during air pollution episodes, CO levels appear to rise with no data currently available on changes in concomitant ambient lead levels. 相似文献
55.
Raymond J. Deland Francis S. Binkowski 《Journal of the Air & Waste Management Association (1995)》2013,63(8):407-411
Measurements of wind speed at 500 ft on a television tower in the Minneapolis-St. Paul area are compared with geostrophic wind speeds and lapse rates. The roughness length for the builtr-up area surrounding the tower is estimated using geostrophic boundary-layer models. Similar data for Louisville are also considered. The results are relevant to-the application of existing boundary-layer models to the estimation of wind speed and turbulent mixing over a city. 相似文献
56.
Hyperspectral Characteristics of Canopy Components and Structure for Phenological Assessment of an Invasive Weed 总被引:1,自引:0,他引:1
Ge S Everitt J Carruthers R Gong P Anderson G 《Environmental monitoring and assessment》2006,120(1-3):109-126
Spectral reflectance values of four canopy components (stems, buds, opening flowers, and postflowers of yellow starthistle (Centaurea solstitialis)) were measured to describe their spectral characteristics. We then physically combined these canopy components to simulate the flowering stage indicated by accumulated flower ratios (AFR) 10%, 40%, 70%, and 90%, respectively. Spectral dissimilarity and spectral angles were calculated to quantitatively identify spectral differences among canopy components and characteristic patterns of these flowering stages. This study demonstrated the ability of hyperspectral data to characterize canopy components, and identify different flowering stages. Stems had a typical spectral profile of green vegetation, which produced a spectral dissimilarity with three reproduction organs (buds, opening flowers, and postflowers). Quantitative differences between simulated flower stages depended on spectral regions and phenological stages examined. Using full-range canopy spectra, the initial flowering stage could be separated from the early peak, peak, and late flowering stages by three spectral regions, i.e. the blue absorption (around 480 nm) and red absorption (around 650 nm) regions and NIR plateau from 730 nm to 950 nm. For airborne CASI data, only the red absorption region and NIR plateau could be used to identify the flowering stages in the field. This study also revealed that the peak flowering stage was more easily recognized than any of the other three stages. 相似文献
57.
This study presents a method for assessing conservation opportunity on private land based on landholders' socio-economic, behavioral, and farm characteristics. These characteristics include age, gender, education, level of off-farm income, farm size, proportion of remnant native vegetation on-farm, and ecological value of native vegetation on-farm. A sample of landholders who own greater than 2 ha of land in the South Australian Murray-Darling Basin region were sent a mail-based survey about their values and preferences for environmental management (N = 659, 52% response). Cross-tabulations and ANOVA statistical analysis techniques were used to compare the socio-economic attributes across three landholder classes: disengaged, moderately engaged, and highly engaged in native vegetation planting. Results indicate that highly engaged landholders were more likely to be female, formally educated, hobby farmers who managed small parcels of land and have high off-farm incomes, whereas disengaged landholders held significantly stronger farming connections (more farming experience, family have lived on the farm for more generations). Spatial analysis revealed area-specific differences in conservation opportunity and conservation priority. In some areas, properties of high ecological value were managed by highly engaged landholders, but nearby properties of high value were managed by moderately engaged or disengaged landholders. Environmental managers therefore cannot assume areas of high conservation priority will be areas of high conservation opportunity. At the regional scale, the potential for revegetation seems most promising within the moderately engaged landholder group considering the vast amount of land managed by this group in areas of high ecological value, particularly within the less represented Mallee and Coorong and Rangelands sub-regions. We suggest that incentive schemes which purchase conservation need to be targeted at disengaged landholders; mentoring schemes led by commercial farmers highly engaged in native vegetation planting should be directed at moderately engaged landholders, and; awards programs which acknowledge conservation successes should be targeted at highly engaged landholders. 相似文献
58.
59.
Chemical remediation of soil may involve the use of harsh chemicals that generate waste streams, which may adversely affect the soil's integrity and ability to support vegetation. This article reviews the potential use of benign reagents, such as biopolymers, to extract heavy metals. The biopolymers discussed are chitin and chitosan, modified starch, cellulose, and polymer-containing algae. 相似文献
60.
Economic Development and the Conservation of Large Carnivores 总被引:2,自引:0,他引:2
Conserving large carnivores in North America hinges on protecting vast wildlands, a strategy often assumed to carry significant economic costs in terms of jobs and income foregone. Using case studies, we tested whether there is enough evidence to support the assertion that the protection of wildlands is detrimental to economic development in the northern U.S. Rocky Mountains and the Rocky Mountains of southern British Columbia and Alberta. We analyzed employment and income trends in northwestern Montana (U.S.A.) for counties with a high degree of wildland protection versus counties with high levels of resource extraction and little wildland protection. Employment and personal income levels in "wilderness" counties grew faster than in "resource-extraction" counties. Wilderness counties also showed higher degrees of economic diversification and lower unemployment rates. No direct cause-and-effect relationship was established between wildlands protection and economic development, but to the assertion that protecting wildland habitat for large carnivores is detrimental to a region's economy, enough counterevidence is presented to suggest an alternative hypothesis: the protection of wilderness habitat that sustains wild carnivores such as grizzly bears ( Ursus arctos horribilis ) and wolves ( Canis lupus ) does not have a detrimental effect on local or regional economies. Evidence presented suggests that economic growth is stimulated by environmental amenities. Further, case studies in southern British Columbia and Alberta in Canada and the Greater Yellowstone region, in the U.S., where environmental protection has been explicitly recognized as an economic development strategy, suggest that environmental protection and economic development are complementary goals. In some areas, however, "amenity-based" economic growth is rapidly leading to urban sprawl and subsequent loss of wildlife habitat, and there is a need for growth management. 相似文献