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71.
Joseph Stephen; Linley P. Alex; Andrews Leanne; Harris George; Howle Barry; Woodward Clare; Shevlin Mark 《Canadian Metallurgical Quarterly》2005,17(1):70
The Changes in Outlook Questionnaire (CiOQ; S. Joseph, R. Williams, & W. Yule, 1993) is a 26-item self-report measure that was designed to assess positive and negative changes in the aftermath of adversity. This article had 3 aims: 1st, to investigate the factor structure of the CiOQ; 2nd, to test for internal consistency reliability and convergent and discriminant validity; and, 3rd, to investigate the association between positive and negative changes in outlook, posttraumatic stress, and psychological distress. Three studies are reported. Study 1 provides evidence that positive and negative changes are statistically separable and that the 2-factor model is a better fit than the 1-factor model. Studies 2 and 3 provide evidence for internal consistency reliability, convergent and discriminant validity of the CiOQ, and its associations with posttraumatic stress and psychological distress. In conclusion, the CiOQ has much promise for research on responses to stressful and traumatic events. (PsycINFO Database Record (c) 2010 APA, all rights reserved) 相似文献
72.
73.
Elisabetta Lambertini Robert L. Buchanan Clare Narrod 《Critical reviews in food science and nutrition》2016,56(3):364-418
Recent Salmonella outbreaks associated with dry pet food and treats raised the level of concern for these products as vehicle of pathogen exposure for both pets and their owners. The need to characterize the microbiological and risk profiles of this class of products is currently not supported by sufficient specific data. This systematic review summarizes existing data on the main variables needed to support an ingredients-to-consumer quantitative risk model to (1) describe the microbial ecology of bacterial pathogens in the dry pet food production chain, (2) estimate pet exposure to pathogens through dry food consumption, and (3) assess human exposure and illness incidence due to contact with pet food and pets in the household. Risk models populated with the data here summarized will provide a tool to quantitatively address the emerging public health concerns associated with pet food and the effectiveness of mitigation measures. Results of such models can provide a basis for improvements in production processes, risk communication to consumers, and regulatory action. 相似文献
74.
Carolyn L. Nersesian Peter B. Banks Clare McArthur 《Journal of chemical ecology》2012,38(12):1544-1551
Generalist herbivores forage on a variety of plant species, allowing them to gain nutrients while limiting ingestion of harmful toxins. As the capacity to mix diets appears important for maximizing intake, the spatial scale in heterogeneity of food resources should influence the foraging behavior of herbivores. Our aim was to identify how the feeding strategy of a generalist mammalian herbivore, the common brushtail possum, responds to foods within a spatially defined environment. We evaluated foraging responses against increasing spatial separation between pairs of artificial diets that differed in flavor and toxin profile, to determine how distance and diet affect intake and behavior. Foraging responses were influenced by the type of diet or the degree of spatial separation between foods but not by their interaction. Diet influenced intake, time spent feeding, and feeding rate, but had no effect on nightly foraging interval, number of feeding bouts, or bout length. The number of switches between paired food resources and foraging efficiency (intake per unit distance, which accounts for the energetic costs of travelling), were influenced only by distance. Titrating foraging against a range of distances demonstrated how quickly foraging efficiency can decline in response to the spatial separation of food resources, highlighting the importance of spatial heterogeneity of plants within the home range of an herbivore. 相似文献
75.
During electrical discharge machining (EDM), ablated workpiece material is rapidly solidified upon ejection into the dielectric and thought not to become reattached to the electrode surfaces. This work furthers the understanding of the little understood discharge gap phenomena by investigating the attachment of machined material back onto the tool electrode surface and explains the mechanism of this attachment. After the machining of high-aspect ratio slots, SEM and EDS techniques along with single discharge and cross-sectional analysis were used to explain that debris reattachment onto the tool electrode does not occur randomly but is dependent on its remelting in the dielectric by the secondary discharge process. The subsequently bonded material is present mainly in the centre of the discharge crater, with no attachment occurring outside of discharge affected regions. The surfaces of electrodes subject to intense secondary sparking are therefore liable to transient surface properties dependent on the composition of the deposited material. It is also observed that the deposited material on the tool electrode can offer a protective effect against wear from further secondary discharges and so potentially enhancing tool life. 相似文献
76.
77.
This paper discusses methodological dilemmas that were encountered, and strategies used to overcome them, in the Viewfinder project that was undertaken in 2004 in Sheffield, UK. The project investigated refugees’ perceptions and experiences of urban public open space in the UK. Through partnership with a 12-week, accredited photography training course and visits to public open spaces, the research combined visual, experiential, participatory and longitudinal approaches. This paper discusses the success of these in relation to three aims: (1) generating a research situation of open communication; (2) collaborating with non-academic partners; and (3) creating mutual benefit. The research identifies methodological techniques that have potential for engaging marginalised groups in landscape and planning research and in consultation practice. 相似文献
78.
Clare Robinson D.A. Barry Irina Kouznetsova 《The Science of the total environment》2009,407(16):4560-4573
Enhanced reductive dehalogenation is an attractive treatment technology for in situ remediation of chlorinated solvent DNAPL source areas. Reductive dehalogenation is an acid-forming process with hydrochloric acid and also organic acids from fermentation of the electron donors typically building up in the source zone during remediation. This can lead to groundwater acidification thereby inhibiting the activity of dehalogenating microorganisms. Where the soils' natural buffering capacity is likely to be exceeded, the addition of an external source of alkalinity is needed to ensure sustained dehalogenation. To assist in the design of bioremediation systems, an abiotic geochemical model was developed to provide insight into the processes influencing the groundwater acidity as dehalogenation proceeds, and to predict the amount of bicarbonate required to maintain the pH at a suitable level for dehalogenating bacteria (i.e., > 6.5). The model accounts for the amount of chlorinated solvent degraded, site water chemistry, electron donor, alternative terminal electron-accepting processes, gas release and soil mineralogy. While calcite and iron oxides were shown to be the key minerals influencing the soil's buffering capacity, for the extensive dehalogenation likely to occur in a DNAPL source zone, significant bicarbonate addition may be necessary even in soils that are naturally well buffered. Results indicated that the bicarbonate requirement strongly depends on the electron donor used and availability of competing electron acceptors (e.g., sulfate, iron (III)). Based on understanding gained from this model, a simplified model was developed for calculating a preliminary design estimate of the bicarbonate addition required to control the pH for user-specified operating conditions. 相似文献
79.
Helen Clare Lingard Keith Townsend Lisa Bradley Kerry Brown 《Construction Management & Economics》2013,31(10):1101-1112
Project‐based construction workers in the Australian construction industry work long and irregular hours and experience higher levels of work‐to‐family conflict and burnout than office‐based workers, giving rise to an interest in alternative work schedules as a means of supporting work–life balance. Alternative work schedules were implemented in four case study construction projects in Australia. Interventions differed between projects, with two implementing a compressed work week, and the others introducing reduced hours schedules (one of which was optional). Data were collected from each case study project, using various combinations of focus groups, surveys, interviews and daily diary collection methods. The results were mixed. The compressed work week appears to have been favourably received where it was introduced. However, waged workers still expressed concerns about the impact on their weekly ‘take‐home’ pay. Attempts to reduce work hours by changing from a six‐ to a five‐day schedule (without extending the length of the working day between Monday and Friday) were less favourably received. Waged workers, in particular, did not favour reduced hours schedules. The results confirm the existence of two distinct labour markets operating in the Australian construction industry and markedly different responses to alternative work schedules, based upon whether workers are waged or salaried. The results clearly show that attempts to improve work–life balance must take the structural characteristics of the industry's labour markets into consideration in the design of interventions. The impact of alternative work schedules is likely to be moderated by institutional working time regimes within the construction industry. 相似文献
80.
Helen Clare Lingard Tracy Cooke Nick Blismas 《Construction Management & Economics》2013,31(5):367-382
Drawing upon an empirical analysis of the design and construction of a food processing facility, a theoretical understanding of the impact of design decision-making on the occupational health and safety (OHS) of construction workers is developed. It is argued that current policy and legislative approaches to Construction Hazard Prevention through Design (CHPtD) are inherently limited because they do not adequately reflect the socio-material complexity of decision-making in construction design. Specifically, the simplistic attribution of responsibility to a single socio-technical actor, ‘the designer’, does not reflect the multiple and disparate influences that impact upon OHS outcomes. Nor do existing CHPtD policy frameworks, management processes and tools recognize the manner in which the interactions and associations between relevant project stakeholders and various non-human artefacts shape (and are also influenced by) the evolution of design decisions. Drawing on actor-network theory (ANT) and using embedded units within a case study approach, the interactions between human actors and non-human artefacts are explored in relation to the design of four components of the food processing facility. The way in which design decisions unfolded and shaped OHS experiences during the construction stage of the project is revealed. The research highlights limitations inherent in current approaches to the management of CHPtD and the need to develop a more robust theoretically based approach to integrating OHS considerations into construction design practice. 相似文献