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911.
A field study was conducted on a Lowell silty loam soil of 2.7% organic matter at the Kentucky State University Research Farm, Franklin County, Kentucky. Eighteen universal soil loss equation (USLE) standard plots (22 x 3.7 m each) were established on a 10% slope. Three soil management practices were used: (i) class-A biosolids (sewage sludge), (ii) yard waste compost, each mixed with native soil at a rate of 50 ton acre(-1) on a dry-weight basis, and (iii) a no-mulch (NM) treatment (rototilled bare soil), used for comparison purposes. Devrinol 50-DF "napropamide" [N,N-diethyl-2-(1-naphthyloxy) propionamide] was applied as a preemergent herbicide, incorporated into the soil surface, and the plots were planted with 60-day-old sweet bell pepper seedlings. Napropamide residues one hour following spraying averaged 0.8, 0.4, and 0.3 microg g(-1) dry soil in sewage sludge, yard waste compost, and no-mulch treatments, respectively. Surface runoff water, runoff sediment, and napropamide residues in runoff were significantly reduced by the compost and biosolid treatments. Yard waste compost treatments increased water infiltration and napropamide residues in the vadose zone compared to sewage sludge and NM treatments. Total pepper yields from yard waste compost amended soils (9187 lbs acre(-1)) was significantly higher (P < 0.05) than yield from either the soil amended with class-A biosolids (6984 lbs acre(-1)) or the no-mulch soil (7162 lbs acre(-1)). 相似文献
912.
Adaptive Management in Habitat Conservation Plans 总被引:6,自引:0,他引:6
George F. Wilhere 《Conservation biology》2002,16(1):20-29
913.
Subdivisions versus Agriculture 总被引:1,自引:0,他引:1
George Wuerthner 《Conservation biology》1994,8(3):905-908
914.
915.
J.?Andrew?RobertsEmail author Phillip?W.?Taylor George?W.?Uetz 《Behavioral ecology and sociobiology》2003,54(4):416-422
For potentially cannibalistic animals such as spiders, the ability to recognize and avoid kin and/or preferentially cannibalize non-relatives would permit exploiting conspecifics as prey while minimizing loss of inclusive fitness. We investigated the effects of relatedness and availability of alternative food on cannibalism tendency in pairs of juvenile Hogna helluo (Walckenaer), a North American wolf spider (Araneae: Lycosidae). For second-instar spiderlings (dispersing stage), cannibalism was more likely among pairs of non-sibs than pairs of sibs and, interestingly, was also more likely when other prey were available. We found no evidence of increased cannibalism in pairings involving broods of greatest average size disparity, indicating that size differences are unlikely to explain differences in cannibalism tendency. Additionally, the relative number of deaths from cannibalism or other causes did not increase with increasing risk of starvation. For third-instar spiderlings, which had lived independently of their mother and sibs following dispersal, cannibalism rates were very high in all treatments and there were no significant effects of relatedness or food availability. Our results suggest that spiders with predominantly solitary lifestyles may bias cannibalism toward non-kin during the juvenile associative period, and that this effect is lost in the subsequent instar. Results are discussed in the context of several potential mechanisms that might result in differential cannibalism.Communicated by M. Elgar 相似文献
916.
917.
Bruce Hicks Robert McMillen Robert S. Turner George R. Holdren Jr Timothy C. Strickland 《Environmental management》1993,17(3):343-353
Methods are discussed for describing patterns of current wet and dry deposition under various scenarios. It is proposed that
total deposition data across an area of interest are the most relevant in the context of critical loads of acidic deposition,
and that the total (i.e., wet plus dry) deposition will vary greatly with the location, the season, and the characteristics
of individual subregions. Wet and dry deposition are proposed to differ in such fundamental ways that they must be considered
separately. Both wet and dry deposition rates are controlled by the presence of the chemical species in question in the air
(at altitudes of typically several kilometers in the case of wet deposition, and in air near the surface for dry). The great
differences in the processes involved lead to the conclusion that it is better to measure wet and dry deposition separately
and combine these quantifications to produce “total deposition” estimates than to attempt to derive total deposition directly.
A number of options for making estimates of total deposition to be used in critical loads assessment scenarios are discussed
for wet deposition (buckets and source receptor models) and for dry deposition (throughfall, micrometeorology, surrogate surfaces
and collection vessels, inference from concentrations, dry-wet ratios, and source-receptor models).
The research described in this article has been funded by the US Environmental Protection Agency. This document has been prepared
at the EPA Environmental Research Laboratory in Corvallis, Oregon, through contract #68-C8-0006 with ManTech Environmental
Technology, Inc., and Interagency Agreement #1824-B014-A7 with the U.S. Department of Energy and at Oak Ridge National Laboratory
managed by Martin Marietta Energy Systems, Inc., under Contract DE-AC05-84OR21400 with the US Department of Energy. Environmental
Sciences Division Publication No. 3905. It has been subjected to the Agency’s peer and administrative review and approved
for publication. Mention of trade names or commercial products does not constitute endorsement or recommendation for use. 相似文献
918.
A national critical loads framework for atmospheric deposition effects assessment: I. Method summary
Timothy C. Strickland George R. Holdren Jr. Paul L. Ringold David Bernard Katie Smythe William Fallon 《Environmental management》1993,17(3):329-334
The United States Environmental Protection Agency (EPA), with the assistance of the US Department of Energy (DOE) and the
National Oceanographic and Atmospheric Administration (NOAA) is examining the utility of a critical loads approach for evaluating
atmospheric pollutant effects on sensitive ecosystems. A critical load has been defined as, “a quantitative estimate of an
exposure to one or more pollutants below which significant harmful effects on specified sensitive elements of the environment
do not occur according to present knowledge.” Working in cooperation with the United Nations Economic Community for Europe’s
(UN-ECE) Long Range Transboundary Air Pollution (LRTAP) Convention, the EPA has developed a flexible, six-step approach for
setting critical loads for a range of ecosystem types. The framework is based on regional population characteristics of the
ecosystem(s) of concern. The six steps of the approach are: (1) selection of ecosystem components, indicators, and characterization
of the resource; (2) definition of functional subregions; (3) characterization of deposition within each of the subregions;
(4) definition of an assessment end point; (5) selection and application of models; and (6) mapping projected ecosystem responses.
The approach allows for variable ecosystem characteristics and data availability. Specific recognition of data and model uncertainties
is an integral part of the process, and the use of multiple models to obtain ranges of critical loads estimates for each ecosystem
component in a region is encouraged. Through this intercomparison process uncertainties in critical loads projections can
be estimated.
The research described in this article has been funded by the US Environmental Protection Agency. This document has been prepared
at the EPA Environmental Research Laboratory in Corvallis, Oregon, through contract #68-C8-0006 with Man Tech Environmental
Technology, Inc. It has been subjected to the agency’s peer and administrative review and approved for publication. Mention
of trade names or commercial products does not constitute endorse ment or recommendation for use. 相似文献
919.
There is a general lack of understanding of wetland processes and a general paucity of scientific research to predict the
effects of development on wetland boundary. This paper presents the results of a survey of wetland managers as to how they
delineate wetland boundaries, define compatible land uses, and restrict land uses adjacent to wetland boundaries. A major
finding from the survey is that 75% of land-use planners and wetland managers failed to identify any compatible land use or
restricted land use for development proposals that may affect provincially significant wetlands. The government agencies overwhelmingly
lack adequate methodologies and/or criteria to delineate and protect wetland boundaries. The paper closes with a plea to consider
dynamic hydrological factors in land-use planning. 相似文献
920.
A recursive causal model is presented in which individual and work factors are hypothesized to be predictive of workers' labelling an incentive compensation program as potentially injurious to their well-being. The individual factors include the dispositional variable, negative affectivity, and financial needs and resources. The work factors consist of prior incentive compensation, experienced job insecurity, and experienced control. The model was tested using questionnaire responses of 165 managers and professionals. While it was found that the overall model did not fit the data that well, negative affectivity was found to be positively associated and experienced control negatively associated with the incentive compensation program being labelled negatively. The somewhat surprising finding that financial needs and resources were not found to be significantly associated with labelling is discussed. The importance of disposition and experienced control for the labelling of potentially threatening or harmful job conditions as well as some hypothesized antecedents of control also are discussed. 相似文献