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101.
The polymer electrolyte distribution in PEMFC electrodes plays an important role for the catalyst utilization and various transport processes in the electrode. Moreover, its influence on the transport processes is not only limited to proton transport but it may also affect gas transport, electron conductivity and water management of the cell. However, experimental techniques to study the polymer electrolyte distribution are scarce. In this paper we present various approaches based on scanning electron microscopy (SEM) and transmission electron microscopy (TEM) to characterize the polymer electrolyte distribution. The methods presented include staining of the polymer electrolyte with heavy metal ions, energy dispersive X-ray (EDX) mapping and energy filtered imaging (EFI). Their use for the analysis of the polymer electrolyte distribution and electrode structure will be presented and current limitations of these techniques will be discussed.  相似文献   
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103.
Cof. canephora var. robusta. The coffee types were not significantly different in peptide content, but were significantly different in peptide composition. Peptides with weakly acid pI values were mainly found in the Cof. robusta samples. In comparison, peptides from Cof. arabica samples ranged evenly from the weakly acidic up to the weakly basic pH range. The apparent molecular masses of the peptides in the two groups of samples lie between 4 kDa and 10 kDa. The cysteine content of the peptides was relatively high. Model roastings permitted the assumption that peptides make a contribution to coffee flavour. Peptides are already available in freshly harvested coffee. Model tests have suggested that processing after the coffee harvest has an influence on peptide composition but not on the amounts of peptide. All coffee samples contained some extractable proteases. The electrophoretically obtained enzyme patterns of Cof. arabica and Cof. robusta were different. Received: 6 September 1999  相似文献   
104.
Effective width due to deflections of composite girders with shallow height. Due to the high slenderness of composite girders with shallow height their deflection behaviour is of great importance. In many cases the cross sectional dimensions are determined by the limitation of the deflections. In contrary to high composite beams the deflection behaviour of these girders is influenced especially by the bending state and cracking behaviour of the concrete slab. Among others the deflection or the stiffness of the composite girders depend on the effective width of the slab. This article reports on investigations of the deflection behaviour and the effective width of shallow composite girders taking into account the bending state and the cracking of the concrete slab. At first it is shown that for the calculation of stresses a different value of the effective width has to be taken into account than for the calculation of deflections. On basis of extensive experimental, analytical and numerical investigations the influences on the effective width are analysed. A wide‐ranging parametric study leads to the development of an approach of the effective width for the calculation of deflections and a proposal for a quasi‐elastic calculation of the deflections of shallow composite girders. At this it turns out that the effective width due to deflections is influenced above all by the bending state of the concrete slab, its cracking behaviour, its ratio width to length, the ratio of the individual stiffness components of the composite cross section and the load level. On basis of the proposed approach for the calculation of the effective width the deflections of shallow composite girders can be determined realistically. This leads to a more economic design of composite shallow girders than until now.  相似文献   
105.
Public debates about socioscientific issues are increasingly prevalent, but the public response to messages about, for example, climate change, does not always seem to match the seriousness of the problem identified by scientists. Is there anything unique about appeals based on scientific evidence—do people evaluate science and nonscience arguments differently? In an attempt to apply a systematic framework to people’s evaluation of science arguments, the authors draw on the Bayesian approach to informal argumentation. The Bayesian approach permits questions about how people evaluate science arguments to be posed and comparisons to be made between the evaluation of science and nonscience arguments. In an experiment involving three separate argument evaluation tasks, the authors investigated whether people’s evaluations of science and nonscience arguments differed in any meaningful way. Although some differences were observed in the relative strength of science and nonscience arguments, the evaluation of science arguments was determined by the same factors as nonscience arguments. Our results suggest that science communicators wishing to construct a successful appeal can make use of the Bayesian framework to distinguish strong and weak arguments. (PsycINFO Database Record (c) 2010 APA, all rights reserved)  相似文献   
106.
107.
Enhancement of the fatigue strength of welded high strength steels by application of post‐weld treatment methods. According to the present state of the art welded high strength steels have the same fatigue strength as welded standard steels. For an effective application of high strength steels in constructions subjected to fatigue are therefore additional efforts necessary in order to improve the fatigue strength, for example by the application of post‐weld treatment methods. However up to the present it is not possible to apply the positive effects of these methods in the fatigue design of steel structures. This paper shows first results of a research project, that examines the effectiveness of the post‐weld treatment method TIG‐dressing and the relatively new method “Ultrasonic Impact Treatment” (UIT) for the improvement of fatigue strength of welded high strength steels.  相似文献   
108.
The CYH2 gene from Saccharomyces cerevisiae containing one 510 bp intron is spliced inefficiently. We have shown previously that a non-conserved sequence within the intron is responsible for this low splicing efficiency. Using synthetic oligonucleotides comprising the identified region we show in this report that a very short region contains the specificity to act negatively on the splicing efficiency of the CYH2 gene. Furthermore, this sequence influences the splicing efficiency only when it is placed close to the 5' splice site of the gene. Investigations with chimeric CYH2/beta-actin genes show that this sequence acts independent from its natural surroundings. We propose that this sequence might interact with splicing factor(s).  相似文献   
109.
Alterations in mitochondrial function are an important control variable in the progression of metabolic dysfunction-associated fatty liver disease (MAFLD), while also noted by increased de novo lipogenesis (DNL) and hepatic insulin resistance. We hypothesized that the organization and function of a mitochondrial electron transport chain (ETC) in this pathologic condition is a consequence of shifted substrate availability. We addressed this question using a transgenic mouse model with increased hepatic insulin resistance and DNL due to constitutively active human SREBP-1c. The abundance of ETC complex subunits and components of key metabolic pathways are regulated in the liver of these animals. Further omics approaches combined with functional assays in isolated liver mitochondria and primary hepatocytes revealed that the SREBP-1c-forced fatty liver induced a substrate limitation for oxidative phosphorylation, inducing enhanced complex II activity. The observed increased expression of mitochondrial genes may have indicated a counteraction. In conclusion, a shift of available substrates directed toward activated DNL results in increased electron flows, mainly through complex II, to compensate for the increased energy demand of the cell. The reorganization of key compounds in energy metabolism observed in the SREBP-1c animal model might explain the initial increase in mitochondrial function observed in the early stages of human MAFLD.  相似文献   
110.
Glioblastoma (GBM) is an obligatory lethal brain tumor with a median survival, even with the best standard of care therapy, of less than 20 months. In light of this fact, the evaluation of new GBM treatment approaches such as oncolytic virotherapy (OVT) is urgently needed. Based on our preliminary preclinical data, the YB-1 dependent oncolytic adenovirus (OAV) XVir-N-31 represents a promising therapeutic agent to treat, in particular, therapy resistant GBM. Preclinical studies have shown that XVir-N-31 prolonged the survival of GBM bearing mice. Now using an immunohumanized mouse model, we examined the immunostimulatory effects of XVir-N-31 in comparison to the wildtype adenovirus (Ad-WT). Additionally, we combined OVT with the inhibition of immune checkpoint proteins by using XVir-N-31 in combination with nivolumab, or by using a derivate of XVir-N-31 that expresses a PD-L1 neutralizing antibody. Although in vitro cell killing was higher for Ad-WT, XVir-N-31 induced a much stronger immunogenic cell death that was further elevated by blocking PD-1 or PD-L1. In vivo, an intratumoral injection of XVir-N-31 increased tumor infiltrating lymphocytes (TILs) and NK cells significantly more than Ad-WT not only in the virus-injected tumors, but also in the untreated tumors growing in the contralateral hemisphere. This suggests that for an effective treatment of GBM, immune activating properties by OAVs seem to be of greater importance than their oncolytic capacity. Furthermore, the addition of immune checkpoint inhibition (ICI) to OVT further induced lymphocyte infiltration. Consequently, a significant reduction in contralateral non-virus-injected tumors was only visible if OVT was combined with ICI. This strongly indicates that for an effective eradication of GBM cells that cannot be directly targeted by an intratumoral OV injection, additional ICI therapy is required.  相似文献   
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