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91.
Ingeborg L. A. Boxman 《Food and environmental virology》2010,2(3):156-166
Different sources were consulted to obtain information on the occurrence of viruses in bivalve molluscs on the European market.
Twenty-six peer-reviewed articles were identified reporting on the molecular detection of viral RNA in 4,260 samples in total.
The data obtained will be presented geographically on virus types detected, the origin and treatment of the shellfish, and
the detection technique applied. The data demonstrate that viral RNA can be detected in shellfish from polluted areas, in
depurated shellfish as well as those for human consumption. The European Rapid Alert System for Food and Feed (RASFF) database
was consulted as another source. Twenty-eight notifications were identified on the presence of hepatitis A virus or norovirus
in shellfish on the European market. The most recent report of the European laboratory network was referred to, to gain insight
into the laboratory capability at present for the analyses of shellfish on the presence of viruses. Approximately 67% of 27
participating laboratories obtained intended results for all samples, consisting of lenticules loaded with 103 copies norovirus (genogroup I (GGI) and/or genogroup II (GGII)) and/or 1 × 105–8 × 104 copies of hepatitis A virus. From 1993, there has been a continuous development of molecular detection techniques and tools
have been described to ensure quality assurance. End product testing will, however, not be achievable. As depuration has been
shown not to be effective for the complete elimination of viruses, shellfish should not be in contact with faecal contaminated
water in order to minimise the risk of shellfish-transmittable viral diseases. 相似文献
92.
Charlotte Anne Nakakaawa Paul O. Vedeld Jens B. Aune 《Mitigation and Adaptation Strategies for Global Change》2011,16(1):25-62
Using a map overlay procedure in a Geographical Information System environment, we quantify and map major land use and land
cover (LULC) change patterns in Uganda period 1990–2005 and determine whether the transitions were random or systematic. The
analysis reveals that the most dominant systematic land use change processes were deforestation (woodland to subsistence farmland—3.32%);
forest degradation (woodland to bushland (4.01%) and grassland (4.08%) and bush/grassland conversion to cropland (5.5%) all
resulting in a net reduction in forests (6.1%). Applying an inductive approach based on logistic regression and trend analyses
of observed changes we analyzed key drivers of LULC change. Significant predictors of forest land use change included protection
status, market access, poverty, slope, soil quality and presence/absence of a stream network. Market access, poverty and population
all decreased the log odds of retaining forests. In addition, poverty also increased the likelihood of degradation. An increase
in slope decreased the likelihood of deforestation. Using the stock change and gain/loss approaches we estimated the change
in forest carbon stocks and emissions from deforestation and forest degradation. Results indicate a negligible increase in
forest carbon stocks (3,260 t C yr-1) in the period 1990–2005 when compared to the emissions due to deforestation and forest
degradation (2.67 million t C yr-1). In light of the dominant forest land use change patterns, the drivers and change in carbon
stocks, we discuss options which could be pursued to implement a future national REDD plus strategy which considers livelihood,
biodiversity and climate change mitigation objectives. 相似文献
93.
Bird Species Assemblages as Indicators of Biological Integrity in Great Basin Rangeland 总被引:4,自引:0,他引:4
David F. Bradford Susan E. Franson Anne C. Neale Daniel T. Heggem Glen R. Miller Grant E. Canterbury 《Environmental monitoring and assessment》1998,49(1):1-22
The study evaluates the potential for bird species assemblages to serve as indicators of biological integrity of rangelands in the Great Basin in much the same way that fish and invertebrate assemblages have been used as indicators in aquatic environments. Our approach was to identify metrics of the bird community using relatively simple sampling methods that reflect the degree of rangeland degradation and are consistent over a variety of vegetation types and geographic areas. We conducted the study in three range types (i.e., potential natural plant community types) in each of two widely separated areas of the Great Basin: south-eastern Idaho (sagebrush steppe range types) and west-central Utah (salt-desert shrub range types). Sites were selected in each range type to represent three levels of grazing impact, and in Idaho included sites modified for crested wheatgrass production. Birds were sampled by point counts on 9 100-m radius plots at 250-m spacing on each of 20 sites in each area during the breeding season. In sagebrush-steppe, 964 individuals in 8 species of passerine birds were used in analyses. Five metrics were significantly related to impact class, both when analyzed within range type and when analyzed with all range types combined. Species richness, relative abundance of shrub obligate species, and relative abundance of Brewer's sparrow were generally lower for the higher impact classes, whereas the reverse was true for dominance by a single species and for relative abundance of horned larks. In contrast, total number of individuals did not differ significantly as a function of impact class. In salt-desert shrub, a total of 843 birds in 4 species were included in analyses, 98% of which were horned larks. None of the metrics identified above was significantly related to impact class. Two metrics for breeding birds in sagebrush steppe (species richness and dominance) showed little overlap between values for the extremes of impact class, and thus they have potential as indicators of biological integrity. However, the sensitivity of these metrics appears to be greatest at the high impact end of the spectrum, which suggests they may have limited utility in distinguishing between sites having light and moderate impact. 相似文献
94.
Anne Nederveen Pieterse Daan van Knippenberg Michaéla Schippers Daan Stam 《组织行为杂志》2010,31(4):609-623
Innovative behavior is increasingly important for organizations' survival. Transformational leadership, in contrast to transactional leadership, has been argued to be particularly effective in engendering follower innovative behavior. However, empirical evidence for this relationship is scarce and inconsistent. Addressing this issue, we propose that follower psychological empowerment moderates the relationship of transformational and transactional leadership with follower innovative behavior. In a field study with 230 employees of a government agency in the Netherlands combining multisource ratings, we show that transformational leadership is positively related to innovative behavior only when psychological empowerment is high, whereas transactional leadership has a negative relationship with innovative behavior only under these conditions. Copyright © 2009 John Wiley & Sons, Ltd. 相似文献
95.
Florent Brissaud Dominique Charpentier Mitra Fouladirad Anne Barros Christophe Bérenguer 《Journal of Loss Prevention in the Process Industries》2010,23(2):187-193
A new methodology for failure rate evaluation with influencing factors is proposed. A quantitative part allows integrating potential available data from feedback. Then, a qualitative analysis deals with influencing factors such as design, environment, and use to provide more coherent and argued results. The main idea is to use some criteria to fix the failure rate within a prior interval, according to the influencing factor states. To this end, the system is broken up into main component groups. When a component group is susceptible to an influencing factor, its baseline failure rate is multiplied by the relevant influencing coefficient. A seven-step methodology is presented to define the model, identify and rate the influencing factors, set indicator functions taking the uncertainties into account, and calculate the influencing coefficients. The proposed methodology is global enough to be usable for a large number of safety instrumented systems and influencing factors. For example, an application regarding safety pressure relief valves is given. The prospect is for more efficient risk management by acting both on systems and influencing factors. 相似文献
96.
Anne T. McCartt Author Vitae Laurie A. Hellinga Author VitaeAuthor Vitae 《Journal of Safety Research》2010,41(2):173-181
Objective
To examine trends in alcohol consumption and alcohol-related crashes among people younger than 21 in the United States and to review evidence on the effects of minimum legal drinking age (MLDA) laws.Methods
Trends in alcohol-related crashes and alcohol consumption among young people were examined, and studies on the effects of lowering and raising the drinking age were reviewed.Results
MLDA laws underwent many changes during the 20th century in the United States. Since July 1988, the MLDA has been 21 in all 50 states and the District of Columbia. Surveys tracking alcohol consumption among high school students and young adults found that drinking declined since the late 1970 s, and most of the decline occurred by the early 1990 s. These were the years when states were establishing, or reinstating, a MLDA-21. Among fatally injured drivers ages 16-20, the percentage with positive BACs declined from 61% in 1982 to 31% in 1995, a bigger decline than for older age groups; declines occurred among the ages directly affected by raising MLDAs (ages 18-20) and among young teenagers not directly affected (ages 16-17). Almost all studies designed specifically to gauge the effects of drinking age changes show MLDAs of 21 reduce drinking, problematic drinking, drinking and driving, and alcohol-related crashes among young people. Yet many underage people still drink, many drink and drive, and alcohol remains an important risk factor in serious crashes of young drivers, especially as they progress through the teenage years. Stepped-up enforcement of MLDA and drinking and driving laws can reduce underage drinking. Recent efforts to lower MLDAs to 18 and issue licenses to drink upon completion of alcohol education have gained local and national media attention. There is no evidence that alcohol education can even partially replace the effect of MLDA-21.Conclusions
The cause and effect relationship between MLDAs of 21 and reductions in highway crashes is clear. Initiatives to lower the drinking age to 18 ignore the demonstrated public health benefits of MLDAs of 21.Impact on Industry
Lowering the drinking age to 18 will increase highway crash deaths among young people. 相似文献97.
Growth kinetics and competition between Methanosarcina and Methanosaeta in mesophilic anaerobic digestion. 总被引:4,自引:0,他引:4
Methanosarcina species with a high maximum specific growth rate (mumax) and high half-saturation coefficient (KS) and Methanosaeta species with a low mumax and low KS are the only known aceticlastic methanogens. Because of Methanosaeta's low KS, the low acetate concentrations in conventional, mesophilic anaerobic digestion yield Methanosaeta dominance. However, Methanosarcina absorbs increases in acetate more efficiently and thus promotes more stable digestion. This paper tests the hypothesis that decreasing digester feeding frequencies can increase Methanosarcina predominance. Two acetate-fed reactors were established at a 17-day solids retention time. One reactor was fed hourly, and one was fed once daily. Microscopic and molecular methods were used to verify that the hourly fed reactor enriched for Methanosaeta, while the daily fed reactor enriched for Methanosarcina. Growth and substrate-use kinetics were measured for each reactor. A digester overload condition was simulated, and the Methanosarcina-enriched reactor was found to perform better than the Methanosaeta-enriched reactor. These findings indicate that Methanosarcina dominance can be achieved with infrequent feedings, leading to more stable digestion. 相似文献
98.
99.
100.
This work aimed at assessing the influence of different exposure systems to perform the commonly used OECD 201 freshwater algal growth inhibition test in the context of nanoparticles hazard assessment. Two distinct TiO2 nanoparticles were considered and three different exposure systems were investigated: Erlenmeyers flasks and 24-well microplates (both using an orbital shake system), and an alternative system using cylindrical vials and magnetic stirring. All three systems are in accordance with the OECD 201 test guideline recommendations. We concluded that the exposure systems applied to achieve the test can substantially affect the ecotoxicological results and the subsequent calculated ECx. The selected systems influenced both the interaction between algal cells and TiO2 nanoparticles as well as the growth inhibition recorded. Disparities in ecotoxicity relative to the TiO2 nanoparticles tested were also observed and are finally discussed. 相似文献