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111.
Many environmental sampling problems involve some specified regulatory or contractual limit (RL). Often the interest is in estimating the percentile of the underlying contaminant concentration distribution corresponding to RL. The focus of this paper is on obtaining a point estimate and a lower confidence limit for that percentile when all observations are nondetectable, with the ith observation known to be less than some detection limit DLI, where DLi RL. Since composite samples are being considered, it is not unreasonable to assume an underlying normal distribution.  相似文献   
112.
Long-term environmental monitoring places a set of demands on a sampling strategy not present in a survey designed for a single time period. The inevitability that a sample will become out of date must be a dominant consideration in planning a long-term monitoring programme. The sampling strategy must be able to accommodate periodic frame update and sample restructuring in order to address changes in the composition of the universe and changes in the perception of issues leading to new questions and concerns. The sampling strategy must be capable of adapting to such changes while maintaining its identification as a probability sample and its capacity to detect trends that span the update occasions. These issues are examined with respect to sub-population estimation, post-stratification via conditioning, and sample enlargement and reduction. Design features that involve complex sample structure create potentially serious difficulties, whereas an equal probability design permits greater adaptability and flexibility. Structure should be employed sparingly and in awareness of its undesirable effects.  相似文献   
113.
Resampling from stochastic simulations   总被引:1,自引:0,他引:1  
To model the uncertainty of an estimate of a global property, the estimation process is repeated on multiple simulated fields, with the same sampling strategy and estimation algorithm. As opposed to conventional bootstrap, this resampling scheme allows for spatially correlated data and the common situation of preferential and biased sampling. The practice of this technique is developed on a large data set where the reference sampling distributions are available. Comparison of the resampled distributions to that reference shows the probability intervals obtained by resampling to be reasonably accurate and conservative, provided the original and actual sample has been corrected for the major biases induced by preferential sampling.Andre G. Journel is a Professor of Petroleum Engineering at Stanford University with a joint appointment in the Department of Geological and Environmental Sciences. He is, also, Director of the Stanford Center for Reservoir Forecasting. Professor Journel has pioneered applications of geostatistical techniques in the mining/petroleum industry and extended his expertise to environmental applications and repository site characterization. Most notably, he developed the concept of non-parametric geostatistics and stochastic imaging with application to modeling uncertainty in reservoir/site characterization. Although the research described in this article has been supported by the United States Environmental Protection Agency under Cooperative Agreement CR819407, it has not been subjected to Agency review and therefore does not necessarily reflect the views of the Agency and no official endorsement should be inferred.  相似文献   
114.
Freshwater mussels appear to be promising candidates for adaptive cluster sampling because they are benthic macroinvertebrates that cluster spatially and are frequently found at low densities. We applied adaptive cluster sampling to estimate density of freshwater mussels at 24 sites along the Cacapon River, WV, where a preliminary timed search indicated that mussels were present at low density. Adaptive cluster sampling increased yield of individual mussels and detection of uncommon species; however, it did not improve precision of density estimates. Because finding uncommon species, collecting individuals of those species, and estimating their densities are important conservation activities, additional research is warranted on application of adaptive cluster sampling to freshwater mussels. However, at this time we do not recommend routine application of adaptive cluster sampling to freshwater mussel populations. The ultimate, and currently unanswered, question is how to tell when adaptive cluster sampling should be used, i.e., when is a population sufficiently rare and clustered for adaptive cluster sampling to be efficient and practical? A cost-effective procedure needs to be developed to identify biological populations for which adaptive cluster sampling is appropriate.  相似文献   
115.
水质在线监测中的若干问题   总被引:6,自引:0,他引:6  
以环境水质自动监测子站的采样和配水系统为切入点,针对不同环节上极易出现的问题,分别提出具体的解决方案。  相似文献   
116.
Ordered parameter problems arise in a wide variety of real world situations and are dealt with extensively in the literature. Traditional frequentist methods for dealing with these problems are rather complicated theoretically, especially when sample sizes are small. Bayesian methods are not widely used because high dimensional numerical integration is often required. However, Markov chain Monte Carlo methods provide alternatives to such numerical integration and also deal with ordered parameter problems in a straightforward manner. Little is known about the situation where functions of parameters are ordered. Such problems may seem to be of little practical concern initially, but one can readily see their importance in situations where ordering is placed on the means and variances of several normal or Gamma populations. For the Gamma distribution we will present real examples where we will analyze monthly precipitation data from San Francisco, California and Oakland Mills, Iowa. For the San Francisco data we will simultaneously order both monthly precipitation means and variances. For the Iowa data we will place ordering on seasonal average while still estimating monthly means. Our results show that we would obtain sharper, more accurate inference when order restrictions are employed.  相似文献   
117.
Practical considerations often motivate employing variable probability sampling designs when estimating characteristics of forest populations. Three distribution function estimators, the Horvitz-Thompson estimator, a difference estimator, and a ratio estimator, are compared following variable probability sampling in which the inclusion probabilities are proportional to an auxiliary variable, X. Relative performance of the estimators is affected by several factors, including the distribution of the inclusion probabilities, the correlation () between X and the response Y, and the position along the distribution function being estimated. Both the ratio and difference estimators are superior to the Horvitz-Thompson estimator. The difference estimator gains better precision than the ratio estimator toward the upper portion of the distribution function, but the ratio estimator is superior toward the lower end of the distribution function. The point along the distribution function at which the difference estimator becomes more precise than the ratio estimator depends on the sampling design, as well as the coefficient of variation of X and . A simple confidence interval procedure provides close to nominal coverage for intervals constructed from both the difference and ratio estimators, with the exception that coverage may be poor for the lower tail of the distribution function when using the ratio estimator.  相似文献   
118.
119.
试论煤矿井下快速断电安全技术   总被引:7,自引:4,他引:3  
论述了煤矿井下漏电保护和短路保护装置的现状和实施快速断电安全技术的必要性;介绍了煤矿快速断电安全技术的发展水平;对快速断电安全技术中的几个问题进行了探讨;提出了可行的缩短故障取样时间技术方案  相似文献   
120.
L and width 2w, then by a selection of viewing window is meant a choice of w, with the intent being to search for optimal viewing windows, with the goal in mind of improving variances of estimators of population density, reducing sampling effort, while maintaining the property of unbiasedness. The notions of increasing window sensitivity (IWS) and decreasing window sensitivity (DWS) are introduced, and a method of deriving confidence intervals is discussed.  相似文献   
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