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51.
A second derivative spectrometer custom fitted with a 1 m stainless steel White cell and maintained at 105°C is used to make real-time measurements of volatilized NH3 from urea-amended soil. Comparison of the technique to impinger data shows a 5–16% discrepancy between the two techniques; however, other experiments presented suggests that this is not real. Sulfur dioxide and nitrous oxide interferences are discussed, though they were not found to be present in this study. Instrument response time is shown to be fast if 67% of the total response is achieved in less than 5 min. Fast response is achieved for ammonia if wall-adsorption effects are minimal and if ammonia mass flow is maintained at 0.2 μg min-1.  相似文献   
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The objective of this study was to assess the removal efficiencies of secondary wastewater treatment processes for compounds causing endocrine disrupting activity. The study used bioassays and chemical measurements, such as gas chromatography with mass spectrometry and enzyme immunosorbent assays. A total of seven full-scale water reclamation facilities using different unit operations and two pilot-scale membrane bioreactors were examined. Findings of this study imply that estrogenic disrupting activity in primary effluent is mainly caused by two steroidal hormones (17beta-estradiol and estriol) and, to a lesser extent, by synthetic chemicals, such as bisphenol A, 4-nonylphenol, and 4-tert-octylphenol. During secondary treatment, steroidal hormones were removed to a higher degree than nonylphenol and bisphenol A. The total estrogenic activity was removed by an average of 96%. The remaining concentrations of targeted steroids in secondary effluents, except for estriol, still had the potential to elicit a positive response in the human breast cell cancer assay. For the majority of facilities, the remaining activity was likely attributed to residual concentrations of two steroidal hormones (17beta-estradiol and estriol).  相似文献   
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There are always conflicts between the need for conservation and economic growth in the developing countries. Planning plays a primary role in balancing these conflicts. This is particularly obvious in Chinese cities since China adopted its open door policy in 1978. Foreign investment has been a major driving force for rapid growth of the Chinese economy. Planners in China have been facing the dilemma of protecting the natural environment on the one hand while, on the other hand, supporting the overall national goal of attracting foreign investment to maintain continuous economic growth. The planning system in China, which has been largely based on a planned economy, soon found itself handicapped in safeguarding the environment from rapid industrialization and urbanization fostered by market forces. This paper takes Guangzhou as an example to study challenges to the planning system in Chinese cities in the past two decades of rapid economic growth and urbanization. By means of a case study on an industrial development within a protected orchard area in Guangzhou, this study illustrates the conflict between the need for rural conservation and the pressure for economic development in the Chinese cities. In particular, it analyzes the pressures on the present urban planning system in China in terms of the following categories: the emergence of private investors in urban development; the goal of pursuing a high economic growth rate; the implications of a transitional economy for urban planning; and the weakness of the present urban planning system. It concludes that the role of urban planning in China should change from simply providing guidelines on board land-use strategy, to a combination of a strategic plan with specific development control laws at the operational level. Finally, some recommendations are suggested as to how to improve the planning system in China.  相似文献   
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自然界中锰氧化物的形成主要是通过微生物作用,而锰的微生物氧化机制较为复杂,除了多铜氧化酶、过氧化物酶外,最近发现微生物生成的超氧化物可能也参与了锰的氧化.微生物生成的生物锰氧化物具有较高的吸附氧化活性,其微观结构和活性会随时间快速变化.比如,锰的生物氧化初级产物具有强的诱导Mn(Ⅱ)氧化的活性,而次级产物则几乎没有.锰的生物氧化过程复杂而又广泛进行着,尤其在含锰水体的处理单元中发挥着重要的净水作用,为了深刻理解生物锰氧化物,对锰氧化细菌和真菌、锰生物氧化机理、生物锰氧化物的吸附氧化特征及潜在的工程应用等当前研究热点问题进行了综述.  相似文献   
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When modeling atmospheric boundary layer flow over rough landscapes, surface fluxes of flow quantities (momentum, temperature, etc.) can be described with equilibrium logarithmic law expressions, all of which require specification of a roughness length that is, physically, the elevation at which the flow quantity equals its surface value. In high Reynolds number flows, such as the atmospheric boundary layer, inertial forces associated with turbulent eddy motions are responsible for surface momentum fluxes (form, or pressure drag). Surface scalar fluxes, on the other hand, occur exclusively via diffusion in the immediate vicinity of the topography—the interfacial region—before being advected by turbulent eddy motions into the bulk of the flow. Owing to this difference in surface transfer mechanism, the passive scalar roughness length, $z_{0S}$ , is known to be less than the momentum roughness length, $z_0$ . In this work, classical relations are used to specify $z_{0S}$ during large-eddy simulation of atmospheric boundary layer flow over aerodynamically rough, synthetic, fractal topographies which exhibit power-law height energy spectrum, $E_h (k) \sim k^{\beta _s}$ , where $\beta _s$ is a (predefined) spectral exponent. These topographies are convenient since they resemble natural landscapes and $\beta _s$ can be varied to change the topography’s aerodynamic roughness (the study considers a suite of topographies with $-2.4 \le \beta _s \le -1.2$ , where $-2.4$ and $-1.2$ are the “most smooth” and “most rough” cases, respectively, corresponding with roughness Reynolds number, $Re_0 \approx 10$ and $300$ ). It is often assumed that $z_{0S}/z_{0} \approx 10^{-1}$ for all $Re_0$ . But results from this work show that the roughness length ratio, $z_{0S}/z_{0}$ , depends strongly on $Re_0$ , ranging between $10^{-3}$ and $10^{-1}$ .  相似文献   
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There is an urgent need to identify key marine areas for conservation, particularly in the high seas. A range of techniques have been applied to tracking data from higher predators, particularly seabirds and pinnipeds, to determine the areas of greatest use. This study compared three commonly used methods—kernel, first-passage time and state-space modelling—and a new approach, minimum displacement rate, for the analysis of data from the wandering albatross Diomedea exulans of Bird Island, South Georgia, tracked during the chick-rearing period. Applied to a single track, these four models identified similar marine areas as important. The greatest similarity in areas identified occurred when model assumptions were shared (such as slow speed indicating spatial preference) even when methods modelled these assumptions differently (e.g. Bayesian inference versus cumulative density surface). A gridded overlap approach applied to all tracks revealed core areas not apparent from results of any single analysis. The gridded approach also revealed spatial overlap between methods based on different assumptions (e.g. minimum displacement rate and kernel analysis) and between individuals. Although areas identified as important by kernel and first-passage time analysis of a single track were biased towards resting locations during darkness, this does not negate the requirement for their protection. Using the gridded overlap approach, two distinct core regions were identified for the wandering albatross; one close to the breeding colony and another 800 km to the North–West in the high seas. This convenient and pragmatic approach could be applied to large data sets and across species for the identification of a network of candidate marine protected areas in coastal and pelagic waters.  相似文献   
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