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351.
Empirically derived relationships associating sediment metal concentrations with degraded ecological conditions provide important information to assess estuarine condition. Resources limit the number, magnitude, and frequency of monitoring activities to acquire these data. Models that use available information and simple statistical relationships to predict sediment metal concentrations could provide an important tool for environmental assessment. We developed 45 predictive models for the total concentrations of copper, lead, mercury, and cadmium in estuarine sediments along the Southern New England and Mid-Atlantic regions of the United States. Using information theoretic model-averaging approaches, we found total developed land and percent silt/clay of estuarine sediment were the most important variables for predicting the presence of all four metals. Estuary area, river flow, tidal range, and total agricultural land varied in their importance. The model-averaged predictions explained 78.4, 70.5, 56.4, and 50.3% of the variation for copper, lead, mercury, and cadmium, respectively. Overall prediction accuracies of selected sediment benchmark values (i.e., effects ranges) were 83.9, 84.8, 78.6, and 92.0% for copper, lead, mercury, and cadmium, respectively. Our results further support the generally accepted conclusion that sediment metal concentrations are best described by the physical characteristics of the estuarine sediment and the total amount of urban land in the contributing watershed. We demonstrated that broad-scale predictive models built from existing monitoring data with information theoretic model-averaging approaches provide valuable predictions of estuarine sediment metal concentrations and show promise for future environmental modeling efforts in other regions.  相似文献   
352.
Behavioral interactions with native species may influence the invasiveness of introduced species. The salamanders Plethodon glutinosus and P. jordani in the eastern United States share many life history traits and demonstrate complex interspecific interactions that range geographically from competitive exclusion to sympatry. P. jordani was introduced to Mountain Lake Biological Station, Virginia, USA, between the years 1935 and 1945. We tested whether competition for space may influence the invasion of P. jordani into native P. glutinosus habitat by utilizing data from natural distributions, a field experiment, and controlled laboratory experiments. No environmental variables differed where P. glutinosus and P. jordani were collected in the field at the site of P. jordani introduction. In the field experiment, P. glutinosus was more fully exposed during foraging bouts in cages shared with heterospecifics as opposed to ones shared with conspecific salamanders. Condition (mass relative to body length) of salamanders at the end of the 3 months did not differ between conspecific and heterospecific treatments. In the laboratory, P. glutinosus most often attained the single burrow in the arena, but residency status had no effect. Species cohabited the burrow 50% of the time. Pair-wise encounters in the laboratory indicated that both species spend less than 20% of the time in aggressive behaviors as juveniles. Adults showed no behavior interpreted by us as aggression during pair-wise encounters. Received: 19 December 1999 / Accepted: 18 March 2000  相似文献   
353.
Vapor intrusion (VI) assessment is complicated by spatial and temporal variability, largely due to compounded interactions among the many individual factors that influence the vapor migration pathway from subsurface sources to indoor air. Past research on highly variable indoor air datasets demonstrates that conventional sampling schemes can result in false negative determinations of potential risk corresponding to reasonable maximum exposures (RME). While high‐frequency chemical analysis of individual chlorinated volatile organic compounds (CVOCs) in indoor air is conceptually appealing, it remains largely impractical when numerous buildings are involved and particularly for long‐term monitoring. As more is learned about the challenges with indoor air sampling for VI assessment, it has become clear that alternative approaches are needed to help guide discrete sampling efforts and reduce sampling requirements while maintaining acceptable confidence in exposure characterization. Indicators, tracers, and surrogates (ITS), which include a collection of quantifiable metrics and tools, have been suggested as a potential solution for making VI pathway assessment and long‐term monitoring more informative, efficient, and cost‐effective. This review, compilation, and evaluation of ITS demonstrates how even low numbers of indoor air CVOC samples can provide high levels of confidence for representing the RME levels (e.g., 95th percentile) often sought by regulatory agencies for less than chronic effects. A two‐part compilation of available evidence for select low‐cost ITS is presented, with Part 1 focused on introducing the concepts of ITS, meteorologically based ITS, and the evidence from data‐rich studies to support lower cost CVOC VI assessments. Part 1 includes the results of quantitative analyses on two robust residential building VI datasets, where numerous supplemental metrics were collected concurrently with indoor air concentration data. These are supplemented with additional less‐intensive studies in different circumstances. These analyses show that certain ITS metrics and tools, including differential temperature, differential pressure, and radon (in Part 2), can provide benefits to VI assessment and long‐term monitoring. This includes indicators that narrow the assessment period needed to capture RME conditions, tracers that enhance understanding of the conceptual site model, and aid in the identification of preferential pathways and surrogates that support or substitute for CVOC sampling results. The results of this review provide insight into the scientifically supportable uses of ITS.  相似文献   
354.
With the increasing population in the urban cities of the world,the demand for food from distant areas has been on the rise but at the expense of scarce natural resources like oil,water and forest,etc.However,producing food locally in urban centers provides a sustainable mechanism of reducing the carbon,food or ecological footprints of these cities in particular and environmental degradation in general.It creates a circular metabolic system in which the natural inputs are efficiently harnessed rather than the linear metabolic system in which resources flow in and wastes flow out.This article analyzes some urban agricultural local initiatives in urban centers of the worlds that promote a circular metabolic systems and proposes the procedure that can be adopted to promote urban agriculture.  相似文献   
355.
This paper provides an overview of the state of municipal solid waste management (MSWM) by local authorities in Kenya as a case study of a low-income developing country. Approaches of possible solutions that can be undertaken to improve municipal solid waste (MSW) services are discussed. Poor economic growth (1.1% in 1993) has resulted in an increase in the poverty level which presently stands at 56%. Migration from the rural areas to the urban areas has resulted in unplanned settlements in suburban areas accommodating about 60% of the urban population on only 5% urban land area. Political interference also hampers smooth running of local authorities. Vulnerability of pollution of surface and groundwater is high because local authorities rarely considered environmental impact in siting MSW disposal sites. Illegal dumping of MSW on the river banks or on the roadside poses environmental and economic threats on nearby properties. Poor servicing of MSW collection vehicles, poor state of infrastructure and the lack of adequate funding militate against optimization of MSW disposal service. The rural economy needs to be improved if rural-urban migration is to be managed. Involvement of stakeholders is important to achieve any meaningful and sustainable MSWM. The role of the informal sector through community-based organizations (CBOs), Non-Governmental Organizations (NGOs) and the private sector in offering solutions towards improvement of MSWM also is explored.  相似文献   
356.
Compound-specific chlorine-isotope analysis (CSIA-Cl) of 1,1,1-trichloro-2,2-bis(p-chlorophenyl)ethane (p,p'-DDT) and 1,1-dichloro-2,2-bis(p-chlorophenyl)ethene (p,p'-DDE) in blubber from Baltic Grey seal (Halichoerus grypus) was performed in order to investigate if a kinetic isotope effect (KIE) could be observed concomitant to environmental degradation of DDT. The delta(37)Cl of p,p'-DDT and p,p'-DDE were -0.69 +/- 0.21 per thousand and -2.98 +/- 0.57 per thousand (1s igma, n = 3), respectively. Both samples were enriched relative to the hypothesized initial isotope composition (-4.34 per thousand), thus indicating a composite KIE associated with the degradation mechanisms pertaining to DDT. An isotope fractionation factor for degradation of dichloromethane, from the literature, was adapted and modified for use in the calculation of DDT degradation. A subsequent simplified Rayleigh distillation model of the DDT chlorine-isotope composition yielded an estimated fraction (f) of 7 +/- 2% of released DDT presently remaining as undegraded compound in the environment. The consistency between the result of the Rayleigh model (f approximately 7%) and the use of the DDT/(DDT + DDE) ratio as a measure of DDT degradation ( approximately 10% undegraded DDT) suggests that the KIE of DDT degradation may be significant, and that the novel approach of CSIA-Cl may be a valuable tool for degradation/persistence studies of lipophilic organochlorines in the environment.  相似文献   
357.
Biosolids and woody debris were applied with target C:N ratios of 8:1 to 50:1 to phytotoxic, acidic, high metal mine tailings to test the effect of amendment C:N ratio on native plant restoration. Total soil C decreased over time indicating an active microbial community. The 8:1 treatment initially had no growth, the highest plant cover for the final sampling (86.8+/-13.8%) and the lowest number of species (3.33+/-0.4). The greatest number of species was in the 30:1 treatment (5.44+/-0.45). Plant cover increased over time for all treatments from 44.7% in 2001 to 71% in 2005. This response was consistent across all except for the 30:1 treatment, which showed a slight decrease in the final year (65+/-11%). Volunteer species and evidence of animal grazing were observed in all amended plots. Results indicate that a C:N ratio>/=20:1 increased species diversity.  相似文献   
358.
359.
Entanglement in fixed fishing gear affects whales worldwide. In the United States, deaths of North Atlantic right (Eubalaena glacialis) and humpback whales (Megaptera novaeangliae) have exceeded management limits for decades. We examined live and dead whales entangled in fishing gear along the U.S. East Coast and the Canadian Maritimes from 1994 to 2010. We recorded whale species, age, and injury severity and determined rope polymer type, breaking strength, and diameter of the fishing gear. For the 132 retrieved ropes from 70 cases, tested breaking strength range was 0.80–39.63 kN (kiloNewtons) and the mean was 11.64 kN (SD 8.29), which is 26% lower than strength at manufacture (range 2.89–53.38 kN, mean = 15.70 kN [9.89]). Median rope diameter was 9.5 mm. Right and humpback whales were found in ropes with significantly stronger breaking strengths at time of manufacture than minke whales (Balaenoptera acuturostrata) (19.30, 17.13, and 10.47 mean kN, respectively). Adult right whales were found in stronger ropes (mean 34.09 kN) than juvenile right whales (mean 15.33 kN) and than all humpback whale age classes (mean 17.37 kN). For right whales, severity of injuries increased since the mid 1980s, possibly due to changes in rope manufacturing in the mid 1990s that resulted in production of stronger ropes at the same diameter. Our results suggest that broad adoption of ropes with breaking strengths of ≤7.56 kN (≤1700 lbsf) could reduce the number of life‐threatening entanglements for large whales by at least 72%, and yet could provide sufficient strength to withstand the routine forces involved in many fishing operations. A reduction of this magnitude would achieve nearly all the mitigation legally required for U.S. stocks of North Atlantic right and humpback whales. Ropes with reduced breaking strength should be developed and tested to determine the feasibility of their use in a variety of fisheries.  相似文献   
360.
The objective of the present study is to examine the growth and energetic performance of juvenile turbot after exposure to contaminated sediment and during the subsequent recovery period with or without food limitation. We designed a two-step experiment by first exposing juvenile turbot to harbour sediment for 26 days and then transferring them to clean sea water with different frequencies of feeding for 35 days. Without food limitation, fish previously exposed to contaminated sediment compensated for weight, length and lipid reserve losses; we did not record any differences in size, Fulton’s K condition index and triacylglycerol/sterol (TAG/ST) ratio after the 35-day depuration period compared to the reference fish. This result could be related to the compensatory growth mechanism observed in a wide range of fish species following a period of growth depression. With food limitation during the 35-day depuration period, recovery growth was not sufficient to restore length and weight values similar to the reference fish. Moreover, turbot previously exposed to contaminated sediment and subsequently fed twice or once a week exhibited extremely low TAG/ST ratios, but the reference fish submitted to the same restrictive feeding conditions did not. This study indicates that juvenile fish affected by chemical pollution can improve their biological performance if pollution events are followed by a period of abundant food. However, if pollution events occur during periods of food scarcity, e.g. in winter, storage of energy reserves will be compromised.  相似文献   
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