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391.
The disposal of soil material after ex situ treatment of contaminated soil is an issue of growing concern. The handling and use of this material are surrounded by numerous regulatory, economic, technical and societal aspects that complicate or hinder re-cycling. As a consequence, the lack of means of recovery can in the long-term bias the whole remedial process. In addition, it can affect the competition between various treatment options such as ex situ, and in situ techniques and landfilling. At the same time the materials must not have any negative environmental impacts, and their usage must be compatible with existing risk assessment and management frameworks regarding contaminated land. Other concerns such as a possible distinction against “lightly” contaminated materials, waste status and public acceptance add to the complexity. This paper focuses on Swedish conditions, but does also provide an outlook concerning EU regulation. A summary of leaching and batch tests employed for re-use of soil and waste is presented as well as an overview of the eco-toxicological aspects of treated materials. The main conclusion is that re-cycling of treated soil is desirable from numerous aspects, but has to go along an adequate risk assessment.  相似文献   
392.
The issue of hydrocarbon emissions from Floating Roof Tanks (FRT) has received considerable recent attention from the industry and regulatory agencies. However, the amount of emissions from a given facility and their dependence on factors such as wind speeds, nature of the stored hydrocarbon and, geometry of the tank and the floating roof are in considerable doubt.

The first purpose of the present paper is to derive a new formula for the rate of hydrocarbon emissions from FRT based upon the well established engineering practices and compare the implications of this formula with the widely employed, but empirically derived, API formulation.

The second purpose of the paper is to outline the promise of reduction in emission losses by aerodynamic modifications to an FRT and to report the results of one such modification. It is shown by the results that considerable fluid dynamic changes, which are likely to reduce the emissions significantly, are brought about by a simple aerodynamic modification.  相似文献   
393.
Polychlorinated biphenyls (PCBs) and Polybrominated Diphenyls Ethers (PBDEs) are two highly lipophilic classes of persistent organic pollutants able to resist degradation and with the ability to bioaccumulate through the food chain. In Brazil, there are still few studies on PCBs and PBDEs in aquatic organisms. In this study, we determined the levels of PBDEs and PCBs in three different fish species from the Ilha Grande Bay, located in the southern state of Rio de Janeiro, Brazil. PBDEs levels were very low, with values below the limit of quantification. PCBs concentrations ranged from 2.29 to 27.60 ng g?1 ww in muscle and from 3.41 to 34.22 ng g?1 ww in liver of the three investigated fish species. Significant positive correlations were established between PCBs concentration and fish biometric variables in mullet (length and lipid content) and a statistically significant change between seasons in croaker was observed.  相似文献   
394.
Forensic arguments must be demonstrably objective. A protocol is proposed to supply a framework to achieve this when using data from compound specific isotope analysis (CSIA) in developing forensic arguments about volatile organic carbon (VOC) contamination in groundwater. The protocol uses a “line of evidence” approach to reiteratively refine a hypothesis by testing it against each of three criteria, modifying the hypothesis if it fails or accumulating supporting evidence if it passes. The criteria are intended to organize data interpretation and to maximize use of both site data and supporting literature. Specifically, the criteria are: 1) degradation: enrichment factors and dual isotope plot (DIP) slopes; 2) hydrogeology: groundwater flow and plume shape; and 3) site history: VOC use and previous remediation work. Each of these criteria is described in detail and examples are provided for these criteria to show how each criterion can be used to identify the more plausible explanation when alternate hypotheses are presented. The protocol built upon these criteria is intended to maximize the use of supporting data and to document that support, as well as to ensure that interpretations are self consistent. The protocol is intended to be flexible and provides the framework to use exceptions as a line of evidence supporting an explanation.  相似文献   
395.
Seabird populations contain large numbers of immatures––in some instances comprising >50% of the fully grown adults in the population. These birds are significant components of marine food webs and may contribute to compensatory recruitment and dispersal, but remain severely understudied. Here, we use GPS-PTTs, radio-tracking and analysis of stable carbon (δ13C) and nitrogen (δ15N) isotopes to investigate the movements and foraging ecology of immature seabirds. Our study focussed on immature northern gannets Morus bassanus aged 2–4 attending non-breeding aggregations alongside a large breeding colony. GPS-PTT tracking of five birds revealed that immatures have the ability to disperse widely during the breeding season, with some individuals potentially prospecting at other colonies. Overall, however, immatures were faithful to the colony of capture. During returns to the focal colony, immatures acted as central place foragers, conducted looping and commuting flights, and analysis of the variance in first-passage time revealed evidence of area-restricted search (ARS) behaviour. In addition, stable carbon (δ13C) and nitrogen (δ15N) isotope analyses indicate that immatures were isotopically segregated from breeders. Our findings provide insights into the foraging, prospecting and dispersal behaviour of immature seabirds, which may have important implications for understanding seabird ecology and conservation.  相似文献   
396.
Thermal environment is often regarded as a key determinant of distribution limits in marine invertebrates and hence may represent one of the most important barriers to invasion by non-indigenous species. For the first time in the subarctic northwestern Atlantic, we investigated variation in the timing and magnitude of settlement, recruitment, and colony cover of the recently (early 2000s) introduced bryozoan Membranipora membranacea on the kelp Saccharina longicruris and how this variation relates to changes in sea temperature (thermal histories) across eight sites spanning a 450-km latitudinal range between southwestern Newfoundland and southeastern Labrador, Canada. We show that (1) up to 61 % of the variation in settlement, recruitment, and colony cover was explained by sea temperature alone, with highest and lowest abundances at warmest and coldest sites, respectively; (2) between-site differences in rates of sea cooling explained 85 % of the variation in settler abundance; (3) varying the temporal window over which data were aggregated increased the explanatory power of sea temperature to as much as 98 % for settlement and recruitment, and 86 % for colony cover; (4) exposure to waves and surface area of colonies improved relationships between sea temperature and settlement and recruitment by up to 11 %; and (5) recruit abundance was a strong predictor of colony cover, explaining as much as 89 % of the variation. Consistently low abundances of settlers and recruits at the northern tip of Newfoundland and southern tip of Labrador suggest that M. membranacea is nearing its northern distribution limit in the northwestern Atlantic. Our findings extend knowledge of population dynamics of M. membranacea in the northwestern Atlantic, while highlighting the complexity of the interactions between physical and biological factors and processes that affect population dynamics in invertebrates with planktonic larvae in predominantly cold marine habitats.  相似文献   
397.
In this paper we explore the challenges involved in engaging the full range of stakeholders needed for effective marine resource management in the transboundary Grenadine Islands shared by the small island developing States (SIDS) of Saint Vincent and the Grenadines and Grenada. The study describes the ways stakeholders were engaged in the development of participatory geographic information systems (PGIS), both in terms of the research approach (process) and the final geodatabase (product); it illustrates how the approach provides a practical means to strengthen aspects of marine governance, particularly in a SIDS context. We found that PGIS can provide a foundation for ecosystem‐based transboundary marine governance. The advantages of this approach are two‐fold: it provides the fullest possible range of information as input for the management of marine resources and it engages the stakeholders. This engagement takes several forms: capacity to participate in research; ownership of information produced; increased stakeholder understanding; empowerment through access to information; capacity to interact with other stakeholders for information and problem‐solving; and competence to participate in actual governance processes. Lastly, we discuss considerations for other practitioners contemplating using PGIS, particularly those working in similar resource‐limited SIDS environments.  相似文献   
398.
This study examines the capacity to support the cumulative effects assessment and management for watersheds. The research is set in the Lower Fraser River Basin, a densely populated sub-watershed in British Columbia’s lower mainland. Eight requirements or requisites for the watershed cumulative effects assessment and management are applied to evaluate current capacity for implementation in the Lower Fraser, and to identify the areas in need of capacity development. Results show that advancing watershed cumulative effects assessment and management requires not only good science but also leadership in the coordination of monitoring programs, and in ensuring the appropriate incentives and penalties for engagement and nonengagement. The lack of leadership in this regard is the result of existing governance structures arranged around the political boundaries, which have produced over time multiple agencies and jurisdictional fragmentation. Notwithstanding this, we argue that the watershed is the most appropriate scale for assessing and managing the cumulative effects to complex ecosystems.  相似文献   
399.
Invasive mosquitoes are economic and sanitary concerns especially in Europe and America. Most work has emphasized the role of resistance [Berrada, S., Fournier, D., Cuany, A., Nguyen, T.X., 1994. Identification of resistance mechanisms in a selected laboratory strain of Cacopsylla pyri (Homoptera: Psyllidae): altered acetylcholinesterases and detoxifying oxidases. Pesticide Biochemistry and Physiology 48, 41-47; Hemingway, J., Hawkes, N.J., McCarroll, L., Ranson, H., 2004. The molecular basis of insecticide resistance in mosquitoes. Insect Biochemistry and Molecular Biology 34, 653-665] to insecticides. Compounds acting on larval sensitivity to insecticides are not well studied and their action remains poorly understood. Among several residual chemicals in ecosystems, particularly in wetlands, we identified a possible interaction of an herbicide on larval resistance to an insecticide. Our work contributes to the global control of mosquito populations by identifying possible pathways of resistance to insecticides of these vectors. Resistance or tolerance to insecticide treatments might contribute to successful invasion by mosquitoes. Here we report an ecotoxicological approach to test the hypothesis of an indirect effect of atrazine on mortality of an invasive vector. A brief contact (48h) between Aedes aegypti mosquito larvae and atrazine led to a modification of larval sensitivity to an insecticide: using atrazine as an inducer led to a decrease in the mortality of larvae treated with Bacillus thuringiensis var. israelensis (Bti).  相似文献   
400.
It is increasingly clear that a wide range of stakeholders should be included in the problem formulation phase of research aimed at solving environmental problems; indeed the inclusion of stakeholders at this stage has been formalized as an integral part of ecological risk assessment. In this paper, we advocate the additional inclusion of stakeholders in the refinement of research methods and protocols and in the execution of the research, rather than just at the final communication and reporting phase. We use a large study of potential radionuclide levels in marine biota around Amchitka Island as a case study. Amchitka Island, in the Aleutian Island Chain of Alaska, was the site of three underground nuclear tests (1965-1971). The overall objective of the biological component of the study was to collect a range of marine biota for radionuclide analysis that could provide data for assessing current food safety and provide a baseline for developing a plan to monitor human and ecosystem health in perpetuity. Stakeholders, including regulators (State of Alaska), resource trustees (US Fish and Wildlife Service, State of Alaska), representatives of the Aleut and Pribilof Island communities, the Department of Energy (DOE), and others, were essential for plan development. While these stakeholders were included in the initial problem formulation and approved science plan, we also included them in the refinement of protocols, selection of bioindicators, selection of a reference site, choice of methods of collection, and in the execution of the study itself. Meetings with stakeholders resulted in adding (or deleting) bioindicator species and tissues, prioritizing target species, refining sampling methods, and recruiting collection personnel. Some species were added because they were important subsistence foods for the Aleuts, and others were added because they were ecological equivalents to replace species deleted because of low population numbers. Two major refinements that changed the research thrust were (1) the inclusion of Aleut hunters and fishers on the biological expedition itself to ensure that subsistence foods and methods were represented, and (2) the addition of a fisheries biologist on a NOAA research trawler to allow sampling of commercial fishes. Although the original research design called for the collection of biota by Aleut subsistence fishermen, and by a commercial fishing boat, the research was modified with continued stakeholder input to actually include Aleuts and a fisheries biologist on the expeditions to ensure their representation. The inclusion of stakeholders during the development of protocols and the research itself improved the overall quality of the investigation, while making it more relevant to the interested and affected parties. Final responsibility for the design and execution of the research and radionuclide analysis rested with the researchers, but the process of stakeholder inclusion made the research more valuable as a source of credible information and for public policy decisions.  相似文献   
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