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131.
Fish and shellfish are exposed to a wide range of polycyclic aromatic hydrocarbons (PAH) following oil spills at sea, and can become contaminated as a result. Finfish have a more effective mixed-function oxidase enzyme system than shellfish, and are therefore able to metabolise and excrete PAH more effectively than the invertebrates. Thus, contamination by high-molecular weight PAH, including those with carcinogenic potential and so of concern with regard to human consumers, is therefore usually observed in shellfish, and particularly in bivalve molluscs. Oil spills are not the sole source of PAH, however, as parent compounds are also generated by a wide range of combustion processes. In this paper, consideration is given to monitoring data gathered following recent oil spills (both of crude oil and diesel fuel), alongside data from other studies. These include studies conducted around a former gasworks site and downstream of an aluminium smelter in the UK, and from mussel monitoring studies undertaken in the UK and the USA (including the Exxon Valdez oil spill and the National Status and Trends programme), and in other countries in Europe. For comparative purposes the PAH concentrations are summed and also expressed as benzo[a]pyrene equivalents, their relative concentrations being weighted in relation to the carcinogenic potential of individual PAH compounds using toxic equivalency factors (TEF). Our aim was to assess the utility of this approach in fishery resource monitoring and control following oil spills. Certainly this approach seems useful from the data assessed in this study. and the relative ranking of the various studies seems to reflect the relative degree of concern for human consumers due to the differing contamination sources. As a simple tool for control purposes it is equally applicable to PAH derived from oil spills, and from industrial and combustion sources.  相似文献   
132.
Genetic variability among Hoplostethus atlanticus collected from two spawning grounds east and west of New Zealand was examined using DNA fingerprints as revealed by hybridization with three clonal probes: 33.15, M13 and 3HVR. The 33.15 and 3HVR fingerprints revealed a complex pattern of restriction fragments, apparently refecting a multi-locus system of highly variable minisatellite alleles similar to the pattern of alleles reported in other vertebrates. The M13 fingerprints revealed a distinct pattern of restriction fragments of high molecular weight, reflecting a single-locus system that overlapped with the family of minisatellite alleles observed in 33.15 fingerprints. In a sample of 12 orange roughy collected on a single regional spawning site, the average percent similarity of 33.15 fingerprints was 21.15% (SD=17.75), the average percent similarity of 3HVR fingerprints was 14.32% (SD=14.45) and the inferred average allelic frequency of the M13 single-locus system was 0.071. A comparison of 33.15 and M13 fingerprints from two distant spawning sites ground New Zealand revealed no obvious regional differences. The variability of orange roughy fingerprints was so great, however, that regional comparisons could not be considered conclusive indicators of genetic identity. Our results provide a preliminary assessment of the power and pitfalls of using DNA-level markers for the population analysis of marine fish.  相似文献   
133.
ABSTRACT: A computerized technique was developed to identify storm runoff episodes and calculate storm discharges, storm loads, and storm average concentrations for each event in datasets with up to 10,000 records. This technique was applied to four watersheds within the Lake Erie drainage basin and identified between 160 and 250 runoff events in each. Storm event loads and storm event mean concentrations were calculated for each runoff event for suspended solids, total phosphorus, soluble reactive phosphorus, nitrate, and total Kjeldahl nitrogen. The basic characteristics of the resulting data are described, as are systematic differences as a function of watershed size, seasonal differences, and trends over time. Many of the results of this study reflect the importance of nonpoint processes and improvements in agricultural best management practices in these watersheds.  相似文献   
134.
135.
New highly fluorinated monodentate and bidentate phosphine oxide compounds of the type {CF(3)(CF(2))(n)CH(2)CH(2)}(3)PO (n = 5, 9) and [{CF(3)(CF(2))(5)CH(2)CH(2)}(2)P(O)CH(2)CH(2)P(O){CH(2)CH(2)(CF(2))(5)CF(3)}] have been prepared. Their ability to extract a number of metals and radionuclides from aqueous solutions into perfluorinated solvents has been established and the extractable species investigated. All extractants extract the metals As(V), Cd(II), Co(II), Cr(VI), Hg(II), Pb(II), and Sn(II) with >75% removal. In addition, the radioisotopes (90)Sr(II), (133)Ba(II), and U(VI) have been investigated, whilst (59)Fe(III) has been used to model the extraction of plutonium. (133)Ba(II) shows a high distribution ratio for monodentate phosphine oxides, whilst for UO(2)(2+) and (59)Fe(III) bidentate phosphine oxides are superior.  相似文献   
136.
First and second trimester screening protocols for Down syndrome rely on marker values being referred to smoothed median values to produce adjusted multiple of the median (MoM) values to standardise for factors such as assay, gestation, maternal weight, smoking status, and so on. Changes in assay components, such as reagent lot, and inappropriate use of published regression equations for smoothed medians have resulted in biases in reported MoM values that in many applications remain uncorrected. This paper investigates the impact of these biases on patient-specific risk estimates and screening performance, and concludes that a 10% bias for an individual marker can result in an increase of between 1 and 2% in the false positive rate of the programme. A simple formula is also derived that enables the impact of these biases to be determined without the need for simulation, thus making it easier to design effective statistical quality control procedures to monitor the output of screening software algorithms. Objective To determine the impact of bias in MoM values on detection rates, false positive rates and patient-specific risks for Down syndrome. Methods We show that bias in MoM values affects risk through a multiplicative factor, and present an approximation to estimate this factor. We then show how bias in MoM values changes the effective risk threshold in the screening test, and hence the test's performance characteristics are determined by reference to a different point on the ROC curve for that test. Our approximation is based on the assumption of equal variance covariance structure for the unaffected and T21 log MoM values. We demonstrate, using computer simulation and supportive theoretical results, that the approximation is reliable in situations encountered in practice. Applications of the approximation are also discussed in respect of establishing effective quality control rules for median MoMs. Results Substantial changes in patient risk estimates and overall screening performance can result from the sort of biases in marker MoM values encountered in routine practice. In particular, biases of 10% in individual median marker MoM values can produce a four-fold range of risks when using the triple test. A 10% bias in a single marker will change the false positive rates by up to 2%. The effects on the false positive rate are approximately additive and, in cases where all markers are biased towards Down syndrome, biases in all three markers for the triple test can more than double the false positive rate. Conclusions Biases in marker MoM values can occur in many ways, inappropriate median values, kit lot change, drift in assay performance and operator effects. We present methods which allow the impact of these changes to be assessed in relation to patient-specific risks and the overall screening performance. This, in turn, will enable appropriate quality control procedures to be established to control the magnitude of reported marker MoM biases, or equivalently, the magnitude of biases associated with the calculation of patient-specific risks. Copyright © 2007 John Wiley & Sons, Ltd.  相似文献   
137.
The concept of a substantive integrator is introduced as a method for integrated resource and environmental management as a means to assimilate different resource values at the operational or field level. A substantive integrator is a strategic management tool for integrating multiple uses into corporate management regimes that traditionally manage for single values. Wildlife habitat management is presented as a substantive integrator for managing vegetation on electric utility power line corridors. A case study from northern British Columbia provides an example of wildlife habitat management as a means to integrate other resource values such as aesthetics, access and subsistence along British Columbia Hydro and Power Authority's transmission rights-of-way.  相似文献   
138.
Researchers have been challenged to specify the processes that quality improvement (QI) practices could be expected to generate and to explain how they might contribute to organizational effectiveness. This research article meets that challenge through a study of 97 teams in the health care field. The authors developed a ‘Quality Improvement Practices Index’ and showed that QI practices could be differentiated from traditional team‐level variables, and that such practices affect both directly and indirectly (through team‐level variables) team effectiveness. Two models were tested using structural equation modelling. It was found that the perceptions of the impact of QI practices on team effectiveness varied depending on who was assessing the team's performance—members of the team or managers who were external to the team but responsible for the team's performance. The authors discuss the implications of these results both for researchers and practitioners. Copyright © 2002 John Wiley & Sons, Ltd.  相似文献   
139.
We used statistical models to provide the first empirical estimates of riparian buffer effects on the cropland nitrate load to streams throughout the Chesapeake Bay watershed. For each of 1,964 subbasins, we quantified the 1990 prevalence of cropland and riparian buffers. Cropland was considered buffered if the topographic flow path connecting it to a stream traversed a streamside forest or wetland. We applied a model that predicts stream nitrate concentration based on physiographic province and the watershed proportions of unbuffered and buffered cropland. We used another model to predict annual streamflow based on precipitation and temperature, and then multiplied the predicted flows and concentrations to estimate 1990 annual nitrate loads. Across the entire Chesapeake watershed, croplands released 92.3 Gg of nitrate nitrogen, but 19.8 Gg of that was removed by riparian buffers. At most, 29.4 Gg more might have been removed if buffer gaps were restored so that all cropland was buffered. The other 43.1 Gg of cropland load cannot be addressed with riparian buffers. The Coastal Plain physiographic province provided 52% of the existing buffer reduction of Bay‐wide nitrate loads and 36% of potential additional removal from buffer restoration in cropland buffer gaps. Existing and restorable nitrate removal in buffers were lower in the other three major provinces because of less cropland, lower buffer prevalence, and lower average buffer nitrate removal efficiency.  相似文献   
140.
Objectives: The objective of the study is to determine whether specific child restraint system (CRS) or vehicle conditions improve top tether attachment rates during volunteer installations.

Methods: A factorial randomized controlled trial was designed to evaluate 4 different experimental categories: (1) Color of tether adjuster casing (black or red), (2) labeling on tether adjuster casing (labeled with “Tether: Use for forward-facing” or unlabeled), (3) storage location of tether (bundled in a rubber band on the back of CRS or Velcroed over the forward-facing belt path), and (4) labeling in vehicle (labeled under head restraint and below anchor or unlabeled). Ninety-six volunteers were randomly assigned to one combination of conditions. One installation per volunteer was completed. The primary outcome measure was acceptable attachment of the top tether to the tether anchor. The secondary outcome measure was overall secureness of the installation. Pearson’s chi-square tests were used to identify significant predictors of acceptable outcomes and logistic regression was used to investigate interaction effects.

Results: A total of 66/96 subjects (68.8%) attached the top tether in an acceptable manner, with either zero errors (n?=?50) or minor errors (n?=?16). A total of 30/96 subjects (31.2%) had unacceptable tether outcomes, with either major errors (n?=?10) or nonuse the tether at all (n?=?20). None of the 4 experimental categories significantly affected tether outcomes. Subjects who opted to install the CRS with the lower anchors (LAs) had higher rates of acceptable tether attachment compared to subjects who installed using the seat belt or those who used both LA and seat belt together (χ2 = 6.792, P = .034). Tether outcomes were not correlated with previous CRS experience, use of instruction manual(s), age, or sex. Only 15.6% of subjects produced overall correct and tight installations. Of those who used the seat belt in some manner, 70.2% neglected to switch the retractor into locking mode.

Conclusions: Conditions in this study including tether color, tether labeling, storage location, and vehicle labeling did not significantly affect tether attachment rates. High rates of tether misuse and nonuse warrant further exploration to find effective solutions to this usability problem.  相似文献   
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