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281.
Nestor E. Bosch Jacquomo Monk Jordan Goetze Shaun Wilson Russell C. Babcock Neville Barrett Jock Clough Leanne M. Currey-Randall David V. Fairclough Rebecca Fisher Brooke A. Gibbons David Harasti Euan S. Harvey Michelle R. Heupel Jamie L. Hicks Thomas H. Holmes Charlie Huveneers Daniel Ierodiaconou Alan Jordan Nathan A. Knott Hamish A. Malcolm Dianne McLean Mark Meekan Stephen J. Newman Ben Radford Matthew J. Rees Benjamin J. Saunders Conrad W. Speed Michael J. Travers Corey B. Wakefield Thomas Wernberg Tim J. Langlois 《Conservation biology》2022,36(2):e13807
Marine fisheries in coastal ecosystems in many areas of the world have historically removed large-bodied individuals, potentially impairing ecosystem functioning and the long-term sustainability of fish populations. Reporting on size-based indicators that link to food-web structure can contribute to ecosystem-based management, but the application of these indicators over large (cross-ecosystem) geographical scales has been limited to either fisheries-dependent catch data or diver-based methods restricted to shallow waters (<20 m) that can misrepresent the abundance of large-bodied fished species. We obtained data on the body-size structure of 82 recreationally or commercially targeted marine demersal teleosts from 2904 deployments of baited remote underwater stereo-video (stereo-BRUV). Sampling was at up to 50 m depth and covered approximately 10,000 km of the continental shelf of Australia. Seascape relief, water depth, and human gravity (i.e., a proxy of human impacts) were the strongest predictors of the probability of occurrence of large fishes and the abundance of fishes above the minimum legal size of capture. No-take marine reserves had a positive effect on the abundance of fishes above legal size, although the effect varied across species groups. In contrast, sublegal fishes were best predicted by gradients in sea surface temperature (mean and variance). In areas of low human impact, large fishes were about three times more likely to be encountered and fishes of legal size were approximately five times more abundant. For conspicuous species groups with contrasting habitat, environmental, and biogeographic affinities, abundance of legal-size fishes typically declined as human impact increased. Our large-scale quantitative analyses highlight the combined importance of seascape complexity, regions with low human footprint, and no-take marine reserves in protecting large-bodied fishes across a broad range of species and ecosystem configurations. 相似文献
282.
The proposed conversion from gasoline powered automobiles to diesel powered vehicels has prompted the Environmental Protection Agency to evaluate the potential health effects associated with exposure to diesel emissions. At present, there is no direct epidemiological link between this exposure and human health. Therefore, a research program was constructed to compare the health effects associated with diesel emissions with those from other emission sources for which epidemiological information was available. The emission sources chosen were cigarette smoke, roofing tar, and coke oven. An additional comparative emission source which was a gasoline catalyst engine. Respirable particles from a variety of combustion sources have the potential of being carcinogenic and mutagenic. The objective of these studies was to determine the relative biological activity of the organic material adsorbed on these particles in both in vitro mutagenesis and in vitro and in vivo bioassays. The organic extracts from the following series of emission sources were quantitatively bioassayed in a matrix of tests for their carcinogenic and mutagenic activity: (1) a light-duty Oldsmobile diesel 350 engine; (2) a heavy-duty Caterpillar diesel engine; (3) a light-duty Nissan engine; (4) a Volkswagen Rabbit diesel engine; (5) cigarette smoke; (6) roofing tar; (7) coke oven; and (8) a gasoline catalyst Mustang. The test matrix consisted of the following bioassay: reverse mutation in Salmonella typhimurium; mitotic recombination in Saccharomyces cerevisiae; DNA damage in Syrian hamster embryo cells (SHE); sister chromatid exchange in CHO cells; gene mutation in L5178Y mouse lymphoma cells, Balb/c 3T3 mouse embryo fibroblasts and CHO cells; viral enhancement of SHE cells; oncogenic transformation in Balb/c 3T3 cells; and skin tumor initiation in SENCAR and C57 black mice. The results of this test matrix are discussed. 相似文献
283.
284.
A Method for Setting the Size of Plant Conservation Target Areas 总被引:3,自引:0,他引:3
Mark A. Burgman Hugh P. Possingham † A. Jasmyn J. Lynch ‡ David A. Keith § Michael A. McCarthy Stephen D. Hopper †† Wendy L. Drury ‡‡ Jason A. Passioura ‡ Robert J. Devries§§ 《Conservation biology》2001,15(3):603-616
Abstract: Realistic time frames in which management decisions are made often preclude the completion of the detailed analyses necessary for conservation planning. Under these circumstances, efficient alternatives may assist in approximating the results of more thorough studies that require extensive resources and time. We outline a set of concepts and formulas that may be used in lieu of detailed population viability analyses and habitat modeling exercises to estimate the protected areas required to provide desirable conservation outcomes for a suite of threatened plant species. We used expert judgment of parameters and assessment of a population size that results in a specified quasiextinction risk based on simple dynamic models. The area required to support a population of this size is adjusted to take into account deterministic and stochastic human influences, including small-scale disturbance, deterministic trends such as habitat loss, and changes in population density through processes such as predation and competition. We set targets for different disturbance regimes and geographic regions. We applied our methods to Banksia cuneata, Boronia keysii, and Parsonsia dorrigoensis, resulting in target areas for conservation of 1102, 733, and 1084 ha, respectively. These results provide guidance on target areas and priorities for conservation strategies. 相似文献
285.
286.
Numerical Investigation of Boundary-Layer Evolution and Nocturnal Low-Level Jets: Local versus Non-Local PBL Schemes 总被引:3,自引:0,他引:3
Kesu Zhang Huiting Mao Kevin Civerolo Stephen Berman Jia-Yeong Ku S. Trivikrama Rao Bruce Doddridge C. Russell Philbrick Richard Clark 《Environmental Fluid Mechanics》2001,1(2):171-208
Numerical simulations of the evolution of the planetary boundary layer (PBL) and nocturnal low-level jets (LLJ) have been carried out using MM5 (version 3.3) with four-dimensional data assimilation (FDDA) for a high pollution episode in the northeastern United States during July 15–20, 1999. In this paper, we assess the impact of different parameterizations on the PBL evolution with two schemes: the Blackadar PBL, a hybrid local (stable regime) and non-local (convective regime) mixing scheme; and the Gayno–Seaman PBL, a turbulent kinetic energy (TKE)-based eddy diffusion scheme. No FDDA was applied within the PBL to evaluate the ability of the two schemes to reproduce the PBL structure and its temporal variation. The restriction of the application of FDDA to the atmosphere above the PBL or the lowest 8 model levels, whichever is higher, has significantly improved the predicted strength and timing of the LLJ during the night. A systematic analysis of the PBL evolution has been performed for the primary meteorological fields (temperature, specific humidity, horizontal winds) and for the derived parameters such as the PBL height, virtual potential temperature, relative humidity, and cloud cover fraction. There are substantial differences between the PBL structures and evolutions simulated by these two different schemes. The model results were compared with independent observations (that were not used in FDDA) measured by aircraft, RASS and wind profiler, lidar, and tethered balloon platforms during the summer of 1999 as part of the NorthEast Oxidant and Particle Study (NE-OPS). The observations tend to support the non-local mixing mechanism better than the layer-to-layer eddy diffusion in the convective PBL. 相似文献
287.
288.
John E. Kemnitzer Richard A. Gross Stephen P. McCarthy John Liggat David J. Blundell Mike Cox 《Journal of Polymers and the Environment》1995,3(1):37-47
Predominantly syndiotactic poly(-hydroxybutyrate), syn-PHB, of variable syndioregularity (syndyad fractions 0.59, 0.62, 0.64, and 0.71) and molecular weight was prepared by the dibutyltin dimethoxide catalyzed ring opening of racemic-butyrolactone (BL). The crystallization behavior of the syn-PHB polymers was investigated by DSC and X-ray diffraction analyses. DSC of films after melting and annealing showed at least one, and often two distinct melting transitions occuring over a broad (often 40°C) temperature range. These results indicate that syn-PHB chain segments of variable syndioregularity form crystalline regions with very different thermodynamic stabilities. Maximum degrees of crystallinity for melt annealed 0.64- and 0.71-syn-PHB was observed at an annealing temperature (T
c
) of 30°C. AtT
c
values at 45°C and higher, crystallization of relatively lower syndioregular chain segments was apparently excluded to variable degrees dependent onT
c
and sample syndiotactic dyad content. After crystallization of syn-PHB samples at elevated temperatures, ambient temperature annealing resulted in an observed lower temperature melting transition at 50°C. This result showed little to no dependence on syn-PHB syndio-regularity andT
c
. Both solution precipitated 0.62-syn-PHB and 0.71-syn-PHB have WAXS patterns with poorly resolved crystalline reflections superimposed on amorphous haloes indicating low levels of crystallinity (17% and 25%, respectively) and poorly formed crystals. Isothermal crystallization monitored by DSC showed that the syn- and natural origin PHB showed fastest crystallization rates at temperatures between 50°C and 70°C and 60°C and 90°C, respectively. From the dependence of the higher melting transition onT
c
it was determined that the equilibrium melting temperatures for 0.62-syn-PHB (M
n
=83,700 g/mol) and a 0.64-syn-PHB (M
n
=11,900 g/mol) were 157 and 154°C, respectively. An Avrami analysis of syn-PHB yielded results similar to that found for natural origin PHB indicating that crystal growth occurs by a two-dimensional mechanism.Guest Editor: Dr. Graham Swift, Rohm & Haas. 相似文献
289.
Stephen A. Norton 《Water, Air, & Soil Pollution: Focus》2007,7(1-3):93-98
Pollution of the atmosphere with cadmium (Cd), mercury (Hg), and lead (Pb) is a consequence of human activities. Natural archives
are necessary to reconstruct the long-term history of metal deposition because accurate measurement of atmospheric deposition
is a recent accomplishment. Reconstructions require: (1) accurate determination of concentrations of elements and isotopes,
(2) accurate chronology of archives, and (3) archives that faithfully record atmosphere deposition. The most useful long-term
archives are accumulations of ice and snow, peat, and lake sediment. Quantification of Cd deposition is uncommon because of
its low concentration and substantial chemical mobility. Nonetheless, trends in peat and lake sediment are similar to those
of Hg and Pb since ca. 1800 a.d. Both Hg and Pb are relatively chemically immobile and thus the peat and lake archives are believed to record historic trends
of atmospheric deposition. Isotopic and concentration studies of Pb indicate a history of northern hemisphere atmospheric
pollution extending back prior to 0 a.d. Although measurements of Hg concentration are now routine, isotopic measurements are in their infancy. Some Hg pollution
sources have unique isotopic ratios, thereby contributing unique signals to the total Hg. Maximum accumulation rates of Hg
and Pb occur up to 10 years later than for Cd (1970s versus 1960s in eastern North America, perhaps slightly later in Europe).
By 2004, deposition of Cd, Hg, and Pb had declined from peak values in eastern North America more than 75, 75, and 90%, respectively. 相似文献
290.
Burnley SJ 《Waste management (New York, N.Y.)》2007,27(10):1274-1285
The move from landfill-based to resource-based waste management systems requires a greater knowledge of the composition of municipal solid waste. This paper draws together the findings of municipal solid waste (MSW) compositional surveys undertaken in the United Kingdom. The results from recent surveys show a good agreement over the composition of household-collected waste, but less agreement over civic amenity site waste composition. There is insufficient data to allow comparisons of the commercial waste element of municipal waste or of the other components, and further work is necessary to produce more reliable estimates of the composition of these streams. The use of questionnaire surveys and analysis of the results suggests that the size and age profile of a household influence the generation of household-collected waste. Some research suggests that the waste container provided by the local authority and the socio-economic classification of a household also influence household-collected waste generation, but other studies failed to find this link. Further research is required to investigate this by surveying all of the waste disposal routes available to specific households. 相似文献