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41.
Jamie N. Womble Gail M. Blundell Scott M. Gende Markus Horning Michael F. Sigler David J. Csepp 《Marine Biology》2014,161(6):1361-1374
Foraging theory predicts that animals will adjust their foraging behavior in order to maximize net energy intake and that trade-offs may exist that can influence their behavior. Although substantial advances have been made with respect to the foraging ecology of large marine predators, there is still a limited understanding of how predators respond to temporal and spatial variability in prey resources, primarily due to a lack of empirical studies that quantify foraging and diving behavior concurrently with characteristics of prey fields. Such information is important because changes in prey availability can influence the foraging success and ultimately fitness of marine predators. We assessed the diving behavior of juvenile female harbor seals (Phoca vitulina richardii) and prey fields near glacial ice and terrestrial haulout sites in Glacier Bay (58°40′N, ?136°05′W), Alaska. Harbor seals captured at glacial ice sites dived deeper, had longer dive durations, lower percent bottom time, and generally traveled further to forage. The increased diving effort for seals from the glacial ice site corresponded to lower prey densities and prey at deeper depths at the glacial ice site. In contrast, seals captured at terrestrial sites dived shallower, had shorter dive durations, higher percent bottom time, and traveled shorter distances to access foraging areas with much higher prey densities at shallower depths. The increased diving effort for seals from glacial ice sites suggests that the lower relative availability of prey may be offset by other factors, such as the stability of the glacial ice as a resting platform and as a refuge from predation. We provide evidence of differences in prey accessibility for seals associated with glacial ice and terrestrial habitats and suggest that seals may balance trade-offs between the costs and benefits of using these habitats. 相似文献
42.
Minimizing opportunity costs to aquatic connectivity restoration while controlling an invasive species 下载免费PDF全文
Austin W. Milt Matthew W. Diebel Patrick J. Doran Michael C. Ferris Matthew Herbert Mary L. Khoury Allison T. Moody Thomas M. Neeson Jared Ross Ted Treska Jesse R. O'Hanley Lisa Walter Steven R. Wangen Eugene Yacobson Peter B. McIntyre 《Conservation biology》2018,32(4):894-904
Controlling invasive species is critical for conservation but can have unintended consequences for native species and divert resources away from other efforts. This dilemma occurs on a grand scale in the North American Great Lakes, where dams and culverts block tributary access to habitat of desirable fish species and are a lynchpin of long‐standing efforts to limit ecological damage inflicted by the invasive, parasitic sea lamprey (Petromyzon marinus). Habitat restoration and sea‐lamprey control create conflicting goals for managing aging infrastructure. We used optimization to minimize opportunity costs of habitat gains for 37 desirable migratory fishes that arose from restricting sea lamprey access (0–25% increase) when selecting barriers for removal under a limited budget (US$1–105 million). Imposing limits on sea lamprey habitat reduced gains in tributary access for desirable species by 15–50% relative to an unconstrained scenario. Additional investment to offset the effect of limiting sea‐lamprey access resulted in high opportunity costs for 30 of 37 species (e.g., an additional US$20–80 million for lake sturgeon [Acipenser fulvescens]) and often required ≥5% increase in sea‐lamprey access to identify barrier‐removal solutions adhering to the budget and limiting access. Narrowly distributed species exhibited the highest opportunity costs but benefited more at less cost when small increases in sea‐lamprey access were allowed. Our results illustrate the value of optimization in limiting opportunity costs when balancing invasion control against restoration benefits for diverse desirable species. Such trade‐off analyses are essential to the restoration of connectivity within fragmented rivers without unleashing invaders. 相似文献
43.
The potential for airborne emissions to undergo long-range transport or to be removed from the atmosphere is influenced by their physical-chemical properties. When perfluorooctanate (PFO) enters the environment, its physical-chemical properties can vary significantly, depending on whether it exists as an acid, a salt, or a dissociated ion. A summary of the physical-chemical properties of the three most likely environmental states: ammonium perfluorooctanoate (APFO), perfluorooctanoic acid (PFOA) and the dissociated perfluorooctanoate anion (PFO(-)) is presented to illustrate the distinct environmental properties of each. The most volatile species, PFOA, is shown to have a pH-dependent air-water partitioning coefficient (K(aw)). The variability of K(aw) with pH influences the potential for vapor formation from aqueous environments, including rain events. Using the pH-dependent K(aw) and measured rain and air concentrations, it is shown that vapor-phase PFOA is not likely to be present above measurable levels of 0.2 ng m(-3) (12 parts per quadrillion v/v) during a rain event. Because rain concentrations determined in this work are comparable to measurements in other parts of North America, it is unlikely that rain events are a significant source of vapor-phase PFOA for the general North American region. It is shown that PFOA exists primarily in the particle phase in ambient air near direct sources of emissions and is efficiently scavenged by rain droplets, making wet deposition an important removal mechanism for emissions originating as either PFOA or APFO. Washout ratios of particle-associated PFO were determined to range between 1 x 10(5) and 5 x 10(5), in the same range as other semi-volatile compounds for which wet deposition is an important mechanism for atmospheric removal and deposition onto soils and water bodies. 相似文献
44.
Gail L. Patricelli Marc S. Dantzker Jack W. Bradbury 《Behavioral ecology and sociobiology》2007,61(7):1099-1110
Studies of animal acoustic communication have found that the frequency and temporal structure of acoustic signals can be shaped
by selection for efficient communication. The directionality of acoustic radiation may also be adapted for communication,
but we know relatively little about how directionality varies with signal function, sender morphology, and the environment
in which the sound is transmitted. We tested the hypothesis that the directionality of a vocalization is adapted to its function
in communication. This hypothesis predicts that vocalizations that are directed to multiple conspecifics (e.g., advertisements
and alarms) will be relatively omnidirectional because this will maximize the number of neighbors and mates that receive the
signal, and that vocalizations directed to particular individuals will be relatively directional because this will maximize
detection of the signal by the targeted receiver and minimize eavesdropping. To test these predictions, we measured the directionality
and amplitude of red-winged blackbird (Agelaius pheoniceus) vocalizations in the field by recording vocalizations simultaneously on eight calibrated microphones encircling the bird.
We found significant variation in directionality among vocalizations. Supporting our predictions, we found that the most omnidirectional
vocalizations were those used to alert conspecifics to danger, and the most directional vocalizations are those used during
courtship and solicitation of copulation, when the costs of eavesdropping are likely to be high. These results suggest that
the directionality of red-winged blackbird vocalizations is shaped by selection for effective communication. This study is
the first to provide statistical support for the hypothesis that directionality is related to the function of a signal in
communication. 相似文献
45.
The pelagic yellowtail kingfish Seriola lalandi has become a target species for aquaculture in Asia and Australasia. Australasian production is reliant on larviculture from
eggs of captive brood stock; however, knowledge regarding the nutritional requirements of larvae of this species is still
scarce, particularly in relation to lipids. As a first step in establishing these requirements, eggs and larvae from captive
S. lalandi brood stock were examined for differences in total protein, total lipid and lipid classes between individual spawning events,
over the spawning season, and during larval development from fertilisation to 15 days post hatch. Results indicate that total
protein egg−1 varied significantly between individual spawning events within a season, but neither total lipid nor total protein egg−1 varied significantly across the spawning season. Brood stock egg lipids were made up of approximately 60% phospholipid, 25%
wax and/or sterol esters (WE), 15% triacylglycerol (TAG), and small amounts of sterols and free fatty acids. During the early
larval period, both WE and TAG were utilised concurrently for energy. The larvae experienced very high mortality around 5–7 days
post hatch, which coincided with very low levels of all neutral lipid classes. Although many other factors may also influence
larval mortality, these results indicate that lipid provisioning may be an important factor in larval survival during the
critical period around first-feeding in this species. Examination of ratios of TAG:ST, often used as a condition index in
fish larvae, suggested that some of the larvae were suffering from starvation. However, as egg-derived WE appears to provide
a significant source of energy during the early larval period in S. lalandi, it is suggested that WE should be included in any index of larval nutritional state. 相似文献
46.
Axel Hochkirch Michael J. Samways Justin Gerlach Monika Böhm Paul Williams Pedro Cardoso Neil Cumberlidge P. J. Stephenson Mary B. Seddon Viola Clausnitzer Paulo A. V. Borges Gregory M. Mueller Paul Pearce-Kelly Domitilla C. Raimondo Anja Danielczak Klaas-Douwe B. Dijkstra 《Conservation biology》2021,35(2):502-509
Measuring progress toward international biodiversity targets requires robust information on the conservation status of species, which the International Union for Conservation of Nature (IUCN) Red List of Threatened Species provides. However, data and capacity are lacking for most hyperdiverse groups, such as invertebrates, plants, and fungi, particularly in megadiverse or high-endemism regions. Conservation policies and biodiversity strategies aimed at halting biodiversity loss by 2020 need to be adapted to tackle these information shortfalls after 2020. We devised an 8-point strategy to close existing data gaps by reviving explorative field research on the distribution, abundance, and ecology of species; linking taxonomic research more closely with conservation; improving global biodiversity databases by making the submission of spatially explicit data mandatory for scientific publications; developing a global spatial database on threats to biodiversity to facilitate IUCN Red List assessments; automating preassessments by integrating distribution data and spatial threat data; building capacity in taxonomy, ecology, and biodiversity monitoring in countries with high species richness or endemism; creating species monitoring programs for lesser-known taxa; and developing sufficient funding mechanisms to reduce reliance on voluntary efforts. Implementing these strategies in the post-2020 biodiversity framework will help to overcome the lack of capacity and data regarding the conservation status of biodiversity. This will require a collaborative effort among scientists, policy makers, and conservation practitioners. 相似文献
47.
Joana Garrido Nogueira Ronaldo Sousa Hassan Benaissa Geert De Knijf Sónia Ferreira Mohamed Ghamizi Duarte V. Gonçalves Richard Lansdown Catherine Numa Vincent Prié Nicoletta Riccardi Mary Seddon Maria Urbańska Alice Valentini Ilya Vikhrev Simone Varandas Amílcar Teixeira Manuel Lopes-Lima 《Conservation biology》2021,35(5):1367-1379
Theidentification of key biodiversity areas (KBA) was initiated by the International Union for Conservation of Nature in 2004 to overcome taxonomic biases in the selection of important areas for conservation, including freshwater ecosystems. Since then, several KBAs have been identified mainly based on the presence of trigger species (i.e., species that trigger either the vulnerability and or the irreplaceability criterion and thus identify a site as a KBA). However, to our knowledge, many of these KBAs have not been validated. Therefore, classical surveys of the taxa used to identify freshwater KBAs (fishes, molluscs, odonates, and aquatic plants) were conducted in Douro (Iberian Peninsula) and Sebou (Morocco) River basins in the Mediterranean Biodiversity Hotspot. Environmental DNA analyses were undertaken in the Moroccan KBAs. There was a mismatch between the supposed and actual presence of trigger species. None of the trigger species were found in 43% and 50% of all KBAs surveyed in the Douro and Sebou basins, respectively. Shortcomings of freshwater KBA identification relate to flawed or lack of distribution data for trigger species. This situation results from a misleading initial identification of KBAs based on poor (or even inaccurate) ecological information or due to increased human disturbance between initial KBA identification and the present. To improve identification of future freshwater KBAs, we suggest selecting trigger species with a more conservative approach; use of local expert knowledge and digital data (to assess habitat quality, species distribution, and potential threats); consideration of the subcatchment when delineating KBAs boundaries; thoughtful consideration of terrestrial special areas for conservation limits; and periodic field validation. 相似文献
48.
Efficacy of stable isotope ratios in assigning endangered migrants to breeding and wintering sites. 总被引:2,自引:0,他引:2
Jeffrey F Kelly Matthew J Johnson Suzanne Langridge Mary Whitfield 《Ecological applications》2008,18(3):568-576
A primary constraint on effective conservation of migratory animals is our inability to track individuals through their annual cycle. One such animal is the endangered southwestern subspecies of the Willow Flycatcher, which is difficult to distinguish from conspecifics. Identifying wintering regions used by the endangered subspecies would be an important step in formulating an effective conservation strategy. Our objective was to use stable isotope ratios as a means of identifying wintering sites of Southwestern Willow Flycatchers. We analyzed stable isotope ratios of carbon, nitrogen, and hydrogen from feathers of breeding and wintering Willow Flycatchers. Based on winter samples, we document a positive trend in hydrogen isotope ratios across latitude. We also found that Willow Flycatchers use C4 food webs south of 8 degrees N latitude, but we found no evidence of use of C4 food webs farther north. Nitrogen stable isotope ratios of feathers showed no discernable geographic variation. Discriminant function analyses, based on stable isotope ratios of wintering Willow Flycatchers, were only useful (>50% accurate) for assigning individuals to winter regions if the regions were large and the threshold probability for assignment was relatively high. When using these discriminant functions, most breeding samples of Southwestern Willow Flycatchers were assigned to two wintering regions: central Mexico and Ecuador. We think that assignment of Southwestern Willow Flycatchers to Ecuador is unrealistic. Given the large percentages of samples that could not be classified with certainty, we are not confident that these two regions are truly more likely to harbor wintering Southwestern Willow Flycatchers than other winter regions. We think our inconclusive results are due primarily to weak and nonlinear gradients in isotope ratios across the winter range of Willow Flycatchers. 相似文献
49.
Jordan T. Perkins Michael C. Petriello Bradley J. Newsome Bernhard Hennig 《Environmental science and pollution research international》2016,23(3):2160-2172
The pathology of cardiovascular disease is multi-faceted, with links to many modifiable and non-modifiable risk factors. Epidemiological evidence now implicates exposure to persistent organic pollutants, such as polychlorinated biphenyls (PCBs), with an increased risk of developing diabetes, hypertension, and obesity; all of which are clinically relevant to the onset and progression of cardiovascular disease. PCBs exert their cardiovascular toxicity either directly or indirectly via multiple mechanisms, which are highly dependent on the type and concentration of PCBs present. However, many PCBs may modulate cellular signaling pathways leading to common detrimental outcomes including induction of chronic oxidative stress, inflammation, and endocrine disruption. With the abundance of potential toxic pollutants increasing globally, it is critical to identify sensible means of decreasing associated disease risks. Emerging evidence now implicates a protective role of lifestyle modifications such as increased exercise and/or nutritional modulation via anti-inflammatory foods, which may help to decrease the vascular toxicity of PCBs. This review will outline the current state of knowledge linking coplanar and non-coplanar PCBs to cardiovascular disease and describe the possible molecular mechanism of this association. 相似文献
50.
K.R. Renjith V. Sudheesh Anu Shaji Ejin George Manju Mary Joseph C.S. Ratheesh Kumar 《毒物与环境化学》2016,98(1):36-52
The spatial and temporal variations of some trace metals in the surface sediments of Cochin Estuary were analyzed along with their geochemical associations to identify the possible sources, bioavailability and the health risks posed by them. The dominance of kaolinite and suggested that clay minerals distribution is influenced by sediment sorting. Total metal analysis revealed enrichment for Cd, Pb and Zn due to anthropogenic activities. The speciation analysis established that notwithstanding the large availability, carbonate as well as organic and sulfides bound fractions showed negligible associations with most of the metals. Hydrous Fe–Mn oxides appeared to play a major role in controlling the fate and transport of these metals in the sediments of Cochin Estuary. Lower contribution of the residual fractions for Cd (21%–26%), Pb (<60%) and Zn (24%–42%) indicated an obvious increase of other geochemical fractions. Risk assessment analysis revealed that regardless of total concentration, none of the analyzed metals were at safe levels in the estuary as appreciable percentages were found to be associated with mobile geochemical forms. The speciation study conspicuously established that the metals originating from non-geogenic sources are largely associated with the labile fractions and hence are more detrimental to the aquatic biota. 相似文献