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661.
T. Glytsos J. Ondráček L. Džumbová I. Kopanakis M. Lazaridis 《Atmospheric environment (Oxford, England : 1994)》2010,44(12):1539-1549
Indoor sources have been identified as a major contributor to the increase of particle concentration in indoor environments. The work presented here is a study of the characteristics of particulate matter number size distribution and mass concentration under controlled indoor activities in a laboratory room. The objective is to characterize particulate matter concentrations indoors resulted under the influence of specific sources. Measurements were performed in an empty laboratory (period September–October 2006) using a GRIMM SMPS+C system (particle size range between 11.1 and 1083.3 nm), a DustTrak Aerosol Monitor (TSI) and a P-Trak Ultrafine Particle Counter (TSI). The studied indoor activities included candle burning, hot plate heating, water boiling, onion frying, vacuuming, hair drying, hair spraying, smoking and burning of incense stick. The AMANpsd computer algorithm was used to evaluate the modal structure of measured particle number size distribution data. Furthermore, the change of the particle number size distribution shape under the influence of different emission sources was studied versus time. Finally the particle emission rates were computed. High particle number concentrations were observed during smoking, onion frying, candle burning and incense stick burning. The highest particle mass concentrations were measured during smoking and hair spraying. The shift of the particle size distribution to larger diameters suggests the presence of strong coagulation effect during candle burning, incense stick burning, smoking and onion frying. The size distribution was mainly bimodal during onion frying and candle burning, whereas the size distribution remained unimodal during incense stick burning and smoking experiments. 相似文献
662.
S.R. Utembe M.C. Cooke A.T. Archibald M.E. Jenkin R.G. Derwent D.E. Shallcross 《Atmospheric environment (Oxford, England : 1994)》2010,44(13):1609-1622
A reduced chemical scheme (CRIv2-R5) which describes ozone formation from the tropospheric degradation of methane and 22 emitted non-methane hydrocarbons and oxygenated volatile organic compounds has been applied in a global-3D chemistry transport model (STOCHEM). The scheme, which contains 220 species in 609 reactions, has been used to simulate ozone and its precursors for the meteorological year of 1998 and the results have been compared with those from STOCHEM runs with its original chemistry. Compared with the original chemistry scheme, the degradation of a larger number of more reactive VOCs in the CRI scheme results in the formation (and their consequent transportation) of more NOx active reservoirs thus leading to formation of more ozone away from land-based sources. Conversely, the more reactive VOCs also lead to greater removal of OH in continental areas and greater formation of OH in marine environments. STOCHEM run with the CRI scheme simulates more ozone (by up to 10 ppb), which results in better agreement with observed vertical ozone profiles. The CRI scheme transforms the globally and annually integrated ozone budget for the considered year in STOCHEM from a net loss of ?55 Tg yr?1 to a net gain of +50 Tg yr?1. 相似文献
663.
M. Tainio J.T. Tuomisto J. Pekkanen N. Karvosenoja K. Kupiainen P. Porvari M. Sofiev A. Karppinen L. Kangas J. Kukkonen 《Atmospheric environment (Oxford, England : 1994)》2010,44(17):2125-2132
The emission-exposure and exposure-response (toxicity) relationships are different for different emission source categories of anthropogenic primary fine particulate matter (PM2.5). These variations have a potentially crucial importance in the integrated assessment, when determining cost-effective abatement strategies. We studied the importance of these variations by conducting a sensitivity analysis for an integrated assessment model. The model was developed to estimate the adverse health effects to the Finnish population attributable to primary PM2.5 emissions from the whole of Europe. The primary PM2.5 emissions in the whole of Europe and in more detail in Finland were evaluated using the inventory of the European Monitoring and Evaluation Programme (EMEP) and the Finnish Regional Emission Scenario model (FRES), respectively. The emission-exposure relationships for different primary PM2.5 emission source categories in Finland have been previously evaluated and these values incorporated as intake fractions into the integrated assessment model. The primary PM2.5 exposure-response functions and toxicity differences for the pollution originating from different source categories were estimated in an expert elicitation study performed by six European experts on air pollution health effects. The primary PM2.5 emissions from Finnish and other European sources were estimated for the population of Finland in 2000 to be responsible for 209 (mean, 95% confidence interval 6–739) and 357 (mean, 95% CI 8–1482) premature deaths, respectively. The inclusion of emission-exposure and toxicity variation into the model increased the predicted relative importance of traffic related primary PM2.5 emissions and correspondingly, decreased the predicted relative importance of other emission source categories. We conclude that the variations of emission-exposure relationship and toxicity between various source categories had significant impacts for the assessment on premature deaths caused by primary PM2.5. 相似文献
664.
A.M.M. Manders M. Schaap X. Querol M.F.M.A. Albert J. Vercauteren T.A.J. Kuhlbusch R. Hoogerbrugge 《Atmospheric environment (Oxford, England : 1994)》2010,44(20):2434-2442
The oceans are a major source for particles that play an important role in many atmospheric processes. In Europe sea salt may contribute significantly to particulate matter concentrations. We have compiled sodium concentration data as a tracer for sea salt for 89 sites in Europe to provide more insight in the distribution of sea salt across Europe. The annual average sea salt concentrations above land were estimated to range between 0.3 and almost 13 μg m?3. Maximum concentrations are found at the Irish coast. At coastal sites along the Atlantic and North Sea coast concentrations tend to be around 5 μg m?3. More inland locations up to about 300 km away from the coast tend to show concentrations between 2 and 5 μg m?3, whereas sites further away from the coast are characterized by lower concentrations. An analysis of the representativity of the data with respect to a long term average showed that the long average is associated with a standard deviation of around 15%. The compilation of observations provides an improved overview of sea salt concentrations in Europe as well as an improved basis for model validation. Verification of the results of the LOTOS-EUROS model learned that the model represents well the spatial variability of the observed sea salt concentrations very well. However, the absolute concentrations are significantly overestimated due to large uncertainties in the emission and dry deposition parameterizations. Using the high explained variability in the gradients across Europe, the bias-corrected modelled distribution serves as a best estimate of the sea salt distribution across Europe for 2005. 相似文献
665.
This research used a justice perspective to investigate the effects of outcome favorability, opportunity for voice, and interpersonal treatment in a service context. Results suggest that all three variables influenced customer reactions to bank loan decisions. Weak‐tie customers were more sensitive to outcome favorability than strong‐tie customers. Strong‐tie customers were more sensitive to opportunity for voice than weak‐tie customers. Implications for improving customer reactions to service transactions are discussed. Copyright © 2001 John Wiley & Sons, Ltd. 相似文献
666.
Problem: Pedestrian injury is a major hazard to the health of children in most developed countries, including Australia. In a previous study it was found that parental road risk perception is a significant factor associated with their modeling of safe behavior as pedestrians. This study aimed to investigate factors that affect parental road risk perception. Method: This cross-sectional population-based randomized telephone survey aimed to study factors associated with risk perception on pedestrian road safety among parents with young children aged 4–12 years. Results: Five factors were found to be significantly associated with parental risk perception. They included age of child, sex of parent, employment of parent, living environment, and previous injury experience. The results suggested that the age of the child contributed greatest to the variance explained by the regression model. However, other factors remained significant even after adjusting for each other. Discussion: Results were discussed in light of the design and development of childhood pedestrian road safety campaigns. Impact on industry: Parental risk perceptions determine their safe road modeling behavior. In this study, significant factors that affect parental road risk perception have been identified. The information obtained can be used in the design of road safety programs that aim at changing the road risk perception of parents. 相似文献
667.
K. S. Choi M. Yamaguma T. Kodama J. H. Joung M. Takeuchi 《Journal of Loss Prevention in the Process Industries》2001,14(6):512-447
A novel apparatus for testing the minimum ignition energies of flammable dusts is introduced. Unlike the conventional apparatus (the Hartmann tube), this new apparatus employs a vibrating mesh to produce a dust cloud. Using three kinds of powders, namely lycopodium, anthraquinone and polyacrylonitrile, which are designated as the samples for calibration by the International Electrotechnical Commission (IEC, 1994) standards, fundamental characteristics were experimentally investigated. Concerning the minimum ignition energies (MIEs), the new testing apparatus worked well for two samples, lycopodium and polyacrylonitrile. The MIE for anthraquinone, however, was by far larger than the expected value. We concluded that the aggregation of anthraquinone particles is the main cause of the difference and is attributable to both the tribo-charges acquired by the particles when passing through the mesh and the filamentary shape of the crystal. Other essential factors for characterizing the testing apparatus, such as the concentration of dust, the shape and spacing of the sparking electrode system, and the impedance of the sparking circuit are discussed. 相似文献
668.
The purpose of this review was to summarize the literature on occupational, acute, traumatic hand injury and suggest directions for future research. In 1996, the leading occupational injury treated in United States' hospital emergency departments was an acute hand injury (e.g. laceration, crush or fracture). These injuries affected 30% of an estimated 3.3 million injured workers (990,000). Cuts and lacerations of the fingers ranked third after back and leg strains in the number of lost workday cases in the USA in 1994. The incidence rate of hand injuries studied in seven manufacturing environments around the world ranged from 4 to 11 per 100 workers per year. Workers aged 24 years or less had the highest risk of hand injury. Men had higher rates of severe hand injury than women.Despite the high frequency and significant amount of lost work time associated with these injuries, they are poorly understood from an etiological perspective. There is only one case-control study of occupational hand injury in the literature. That study suggested an important role for both fixed (age) and transient risk factors (doing an unusual task) at the time of the injury. More analytic epidemiological research is needed to identify potentially modifiable risk or protective factors (e.g. glove use) for acute hand injuries. In this regard, the case-crossover design, a relatively new epidemiological approach using cases as their own controls, could prove an efficient method for determining transient, modifiable risk factors for acute, occupational hand injury. 相似文献
669.
Santoro R Jucker T Prisco I Carboni M Battisti C Acosta AT 《Environmental management》2012,49(3):534-542
Sandy coastlines are sensitive ecosystems where human activities can have considerable negative impacts. In particular, trampling
by beach visitors is a disturbance that affects dune vegetation both at the species and community level. In this study we
assess the effects of the limitation of human trampling on dune vegetation in a coastal protected area of Central Italy. We
compare plant species diversity in two recently fenced sectors with that of an unfenced area (and therefore subject to human
trampling) using rarefaction curves and a diversity/dominance approach during a two year study period. Our results indicate
that limiting human trampling seems to be a key factor in driving changes in the plant diversity of dune systems. In 2007
the regression lines of species abundance as a function of rank showed steep slopes and high Y-intercept values in all sectors, indicating a comparable level of stress and dominance across the entire study site. On the
contrary, in 2009 the regression lines of the two fenced sectors clearly diverge from that of the open sector, showing less
steep slopes. This change in the slopes of the tendency lines, evidenced by the diversity/dominance diagrams and related to
an increase in species diversity, suggests the recovery of plant communities in the two fences between 2007 and 2009. In general,
plant communities subject to trampling tended to be poorer in species and less structured, since only dominant and tolerant
plant species persisted. Furthermore, limiting trampling appears to have produced positive changes in the dune vegetation
assemblage after a period of only two years. These results are encouraging for the management of coastal dune systems. They
highlight how a simple and cost-effective management strategy, based on passive recovery conservation measures (i.e., fence
building), can be a quick (1–2 years) and effective method for improving and safeguarding the diversity of dune plant communities. 相似文献
670.
O'Donnell TK 《Environmental management》2012,49(1):267-284
Continued public support for U.S. taxpayer funded programs aimed at reducing agricultural pollutants depends on clear demonstrations
of water quality improvements. The objective of this research was to determine if implementation of agricultural best management
practices (BMPs) in the Goodwater Creek Experimental Watershed (GCEW) resulted in changes to atrazine and nitrate (NO3–N) loads during storm events. An additional objective was to estimate future monitoring periods necessary to detect a 5,
10, 20, and 25% reduction in atrazine and NO3–N event load. The GCEW is a 73 km2 watershed located in northcentral Missouri, USA. Linear regressions and Akaike Information Criteria were used to determine
if reductions in atrazine and NO3–N event loads occurred as BMPs were implemented. No effects due to any BMP type were indicated for the period of record.
Further investigation of event sampling from the long-term GCEW monitoring program indicated errors in atrazine load calculations
may be possible due to pre-existing minimum threshold levels used to trigger autosampling and sample compositing. Variation
of event loads was better explained by linear regressions for NO3–N than for atrazine. Decommissioning of upstream monitoring stations during the study period represented a missed opportunity
to further explain variation of event loads at the watershed outlet. Atrazine requires approximately twice the monitoring
period relative to NO3–N to detect future reductions in event load. Appropriate matching of pollutant transport mechanisms with autosampling protocols
remains a critical information need when setting up or adapting watershed monitoring networks aimed at detecting watershed-scale
BMP effects. 相似文献