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61.
Genotypic structure and temporal dynamics of the dwarf seagrass, Zostera noltii, were studied in an intertidal meadow that has persisted since prior to 1936 near the Wadden Sea island of Sylt. Samples were collected from two 10 × 10 m plots separated by 250 m from May 2002 to June 2005 and from four 1 × 1 m plots from June 2003 to September 2004. All the samples were genotyped with nine microsatellite loci. No genotypes were shared between the plots separated by 250 m. Genetic diversity was higher in the Wadden Sea than in the other regions of its geographic range. The average clone size (genets) (SD) in the two plots was 1.38 (0.26) and 1.46 (0.4) m2, respectively, with a range up to 9 m2 and <20% persisted for >4 years. A high genetic and genotypic diversity was maintained by annual recruitment of seedlings despite a dramatic decrease in ramet density that coincided with the severe heat stress event of 2003. Fine-scale (1 m2) analysis suggested that extensive loss of seagrass cover precluded space competition among the genets, while a persistent seed bank prevented local extinction. Long-term persistence of Z. noltii meadows in the intertidal Wadden Sea was achieved by high genet turnover and frequent seedling recruitment from a seed bank, in contrast to the low diversity observed in large and long-living clones of Z. noltii and other seagrasses in subtidal habitats.  相似文献   
62.
Continuous ammonia (NH3) measurements with a temporal resolution of 5 min were implemented at selected SEARCH sites in the southeastern U. S. during 2007. The SEARCH continuous NH3 instrument uses a citric acid denuder difference technique employing a dual-channel nitric oxide-ozone chemiluminescence analyzer. Data from two SEARCH sites are presented, Jefferson Street, Atlanta (JST) (urban), and Yorkville, Georgia (YRK) (rural), for the period July–December, 2007. Highest NHx (total ammonia = gaseous NH3 + PM2.5 NH4+) values were observed in August and September at both JST and YRK. Highest NH3 values occurred in August and September at JST, but in August through October at YRK. Lowest NH3 and NHx values occurred in December at both sites. YRK is significantly impacted by nearby poultry sources, routinely experiencing hourly average NH3 mixing ratios above 20 ppbv. Wind sector analysis clearly implicates the nearby poultry operations as the source of the high NH3 values. Weekday versus weekend differences in composite hourly mean diurnal profiles of NH3 at JST indicate that mobile sources have a measurable but relatively small impact on NH3 observed at that site, and little or no impact on NH3 observed at YRK. A distinctive composite mean hourly diurnal variation was observed at both JST and YRK, exhibiting maxima in the morning and evening with a broad minimum during midday. Analysis of observed NH3 diurnal variations from the literature suggests a hypothesized mechanism for the observed behavior based on interaction of local emissions and dry deposition with the formation and collapse of the dynamically mixed atmospheric boundary layer during the day and shallow nocturnal layer at night. Simple mixed layer concentration box model simulations confirm the plausibility of the suggested mechanism.  相似文献   
63.
The concentration of total arsenic and five different arsenic species [As(III), As(V), monomethylarsonic acid (MMA), dimethylarsenic acid (DMA), and arsenobetaine (AsB)], were measured in the muscle, liver and gastrointestinal tract (GIT) of five different fish species [lake whitefish (Coregonus clupeaformis), walleye (Stizostedion vitreum), northern pike (Esox lucius), white sucker (Catostomus commersoni) and longnose sucker (Catostomus catostomus)] from Back Bay, Great Slave Lake, near the city of Yellowknife, NT, Canada. The total concentration (dry weight) of arsenic in muscle ranged from 0.57 to 1.15 mg/kg, in the liver from 0.42 to 2.52 mg/kg and in the GIT from 1.48 to 8.92 mg/kg. Among fish species, C. commersoni had significantly higher total arsenic concentrations in the GIT than S. vitreum, E. lucius and C. clupeaformis, and higher total arsenic concentrations in the liver than C. clupeaformis. The mean concentration of As(III) and As(V) in the muscle of all fish ranged from < or =0.01 to 0.05 mg/kg and < or =0.01 to 0.02 mg/kg, respectively, and together comprised < or =7.5% of the total arsenic measured in muscle. The concentrations of MMA were below detection in the muscle of all five fish species. However, AsB and DMA were measured in all fish species and nearly all fish tissues. The concentrations of AsB ranged from 0.01 to 0.13 mg/kg and the concentrations of DMA ranged from <0.02 to 0.45 mg/kg. The majority (>50%) of organic arsenic in almost all of the tissues from fish caught in Back Bay was not directly identified. Evidence from the literature suggests that most of these other organic arsenic species were likely trimethylated arsenic compounds, however, further analytical work would need to be performed to verify this hypothesis.  相似文献   
64.
This paper describes a comparison of two methods of sediment pore-water sampling and two methods of surface water sampling that were used in a broader investigation of cause(s) of adverse effects on benthic invertebrate communities at two Saskatchewan uranium operations (Key Lake and Rabbit Lake). Variables measured and compared included pH, ammonia, DOC, and trace metals. The two types of sediment pore-water samples that were compared are centrifuged and 0.45-microm filtered sediment core samples vs. 0.2-microm dialysis (peeper) samples. The two types of surface water samples that were compared are 53-microm filtered Van Dorn horizontal beta samples vs. 0.2-microm dialysis (peeper) samples. Results showed that 62% of the sediment core pore water values were higher than the corresponding peeper pore-water measurements, and that 63% of the Van Dorn surface water measurements were lower than corresponding peeper surface water measurements. Furthermore, only 24% and 14% of surface water and pore-water measurements, respectively, fell within +/-10% range of one another; 73% and 50%, respectively, fell within +/-50%. Although somewhat confounded by differences in filtering method, the observed differences are believed to primarily be related to small, vertical differences in the environment sampled. Despite observed differences in concentrations of toxicologically relevant variables generated by the different sampling methods, the weight of evidence (WOE) conclusions drawn from each set of exposure data on the possible cause(s) of in situ toxicity to Hyalella azteca from a related study were the same at each uranium operation. However, this concurrence was largely due to other dominant lines of evidence. The WOE conclusions at Key Lake were dominated by the toxicity response of H. azteca in relation to exposure chemistry, where as the WOE conclusions at Rabbit Lake were informed by exposure chemistry, the toxicological response of H. azteca, and whole-body contaminant concentrations in the test organisms. Had these multiple lines of evidence not been available, differences in exposure chemistry generated by the different sampling methods could have substantially influenced the identification of potential causes of in situ toxicity.  相似文献   
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The Commission's recentinterpretation of the Precautionary Principleis used as starting point for an analysis ofthe moral foundation of this principle. ThePrecautionary Principle is shown to have theethical status of an amendment to a liberalprinciple to the effect that a state only mayrestrict a person's actions in order to preventunacceptable harm to others. The amendmentallows for restrictions being justified even incases where there is no conclusive scientificevidence for the risk of harmful effects.However, the liberal tradition has seriousproblems in determining when a risk of harm isunacceptable. Nevertheless, reasonable liberalarguments in favor of precaution can be basedon considerations of irreversible harm andgeneral fear of harm. But it is unclear whenthere considerations can be overridden.Within the liberal framework, the Commissionadvocates a so-called proportional version ofthe Precautionary Principle. This should beclearly distinguished from a welfare-basedapproach to precaution based on risk-aversiveweighing up of expected costs and benefits.However, in the last resort, the Commissiondoes seem to make a covert appeal to suchconsiderations.  相似文献   
68.
Field screening methods for the analysis of explosives (for which commercial test kits are generally available) are reviewed. These techniques include immunoassays, photometric methods, bio and chemical sensors as well as thin layer chromatography. Basic aspects of these techniques are discussed, their validation is presented and their application to water and soil samples from hazardous ammunition waste is described. An evaluation of field studies with commercial test kits demonstrates that these techniques can be applied successfully for both the exploration of suspected contaminated sites and their sanitation. These methods are used on-site. In general, they allow short analysis times and a high sample throughput, thus leading to a significant reduction of the number of samples to be analysed in the laboratory and the costs.  相似文献   
69.
When it comes to conflict over risk management priorities in food production, a number of observers, including myself, have called for some sort of public deliberation as a means of resolving the moral disagreements underlying such conflicts. This paper asks how, precisely, such deliberation might be facilitated. It is shown that representative democracy and the liberal regulation that most Western democracies adhere to place important constraints on public deliberation. The challenge is to find forums for public deliberation that can operate within these constraints while still making a constructive contribution.  相似文献   
70.
Is it legitimate for a business to concentrate on profits under respect for the law and ethical custom? On the one hand, there seems to be good reasons for claiming that a corporation has a duty to act for the benefit of all its stakeholders. On the other hand, this seems to dissolve the notion of a private business; but then again, a private business would appear to be exempted from ethical responsibility. This is what Kenneth Goodpaster has called the stakeholder paradox: either we have ethics without business or we have business without ethics. Through a different route, I reach the same solution to this paradox as Goodpaster, namely that a corporation is the instrument of the shareholders only, but that shareholders still have an obligation to act ethically responsibly. To this, I add discussion of Friedman’s claim that this responsibility consists in increasing profits. I show that most of his arguments fail. Only pragmatic considerations allow to a certain extent that some of the ethical responsibility is left over to democratic regulation.  相似文献   
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