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981.
This study tested a dynamic field theory (DFT) of spatial working memory and an associated spatial precision hypothesis (SPH). Between 3 and 6 years of age, there is a qualitative shift in how children use reference axes to remember locations: 3-year-olds’ spatial recall responses are biased toward reference axes after short memory delays, whereas 6-year-olds’ responses are biased away from reference axes. According to the DFT and the SPH, quantitative improvements over development in the precision of excitatory and inhibitory working memory processes lead to this qualitative shift. Simulations of the DFT in Experiment 1 predict that improvements in precision should cause the spatial range of targets attracted toward a reference axis to narrow gradually over development, with repulsion emerging and gradually increasing until responses to most targets show biases away from the axis. Results from Experiment 2 with 3- to 5-year-olds support these predictions. Simulations of the DFT in Experiment 3 quantitatively fit the empirical results and offer insights into the neural processes underlying this developmental change. (PsycINFO Database Record (c) 2010 APA, all rights reserved)  相似文献   
982.
Seven independent groups estimated the location of North American cities using both spatial and numeric response modes and a variety of perceptual and memory supports. These supports included having location markers for each city color coded by nation and identified by name, giving participants the opportunity to see and update all their estimates throughout the task, and allowing them to respond directly on a map. No manipulation mitigated the influence of categories on the judgments, but some manipulations improved within-region ordinal accuracy. The data provide evidence that the city and regional levels are independent, spatial and numeric response modalities affect accuracy differently at the different levels, biases at the regional level have multiple sources, and accurate spatial cues improve estimates primarily by limiting the use of global landmarks to partition the response space. Results support J. Huttenlocher, L. V. Hedges, and S. Duncan's (1991) theory of spatial location estimates and extend it to the domain of real-world geography. (PsycINFO Database Record (c) 2010 APA, all rights reserved)  相似文献   
983.
984.
In two experiments we investigated the extent to which rats (Rattus norvegicus) use an egocentric trajectory and landmarks to locate a goal. In Experiment 1 we trained groups to locate the hidden platform in a water maze with either 1 of 3 or 3 of 3 predictive landmarks, and with either a random or fixed egocentric trajectory. A choice test revealed that regardless of the landmark configuration, rats relied on a directional, egocentric trajectory, when it was available, to locate the platform. In Experiment 2 we found that adding four predictive landmarks following training with a constant egocentric trajectory did not alter rats' initial attention to the trajectory. We conclude that the presence of nonpredictive landmarks in a predictive array did not affect the use of landmarks. With a blocking design, rats used initially an egocentric path, then landmarks. These results add to the notion that animals use available spatial cues sequentially. (PsycINFO Database Record (c) 2010 APA, all rights reserved)  相似文献   
985.
A sparse mask that persists beyond the duration of a target can reduce its visibility, a phenomenon called object substitution masking. Y. Jiang and M. M. Chun (2001a) found an asymmetric pattern of substitution masking such that a mask on the peripheral side of the target caused stronger substitution masking than on the central side. Assuming spatial attention was focused toward the target, the peripheral and central masks were located in the same and opposite direction of an attentional path with reference to the target in their study. We hypothesized that this asymmetric mask configuration relative to the attentional shift contributes to asymmetric substitution masking. To test this hypothesis, we conducted four experiments among which the presence or absence of the center–periphery relationship and the presence or absence of the asymmetric mask configuration were manipulated independently and orthogonally. The results suggest that asymmetric substitution masking occurs relative to the direction of spatial attention irrespective of the central–peripheral relation. We propose that the asymmetry in substitution masking might be explained by attentional momentum associated with orienting toward the target. (PsycINFO Database Record (c) 2010 APA, all rights reserved)  相似文献   
986.
Memories for spatial locations often show systematic errors toward the central value of the surrounding region. This bias has been explained using a Bayesian model in which fine-grained and categorical information are combined (Huttenlocher, Hedges, & Duncan, 1991). However, experiments testing this model have largely used locations contained in simple geometric shapes. Use of this paradigm raises 2 issues. First, do results generalize to the complex natural world? Second, what types of information might be used to segment complex spaces into constituent categories? Experiment 1 addressed the 1st question by showing a bias toward prototypical values in memory for spatial locations in complex natural scenes. Experiment 2 addressed the 2nd question by manipulating the availability of basic visual cues (using color negatives) or of semantic information about the scene (using inverted images). Error patterns suggest that both perceptual and conceptual information are involved in segmentation. The possible neurological foundations of location memory of this kind are discussed. (PsycINFO Database Record (c) 2010 APA, all rights reserved)  相似文献   
987.
A substantial amount of research has demonstrated the importance of reference frames in organizing memory of object locations in both small and large environments. However, to date, little research has examined how the object locations represented in one reference frame are specified relative to object locations represented in another. In a series of 4 experiments, we demonstrate that multiple microreference frames can be established in memory for sets of objects that are spatially and semantically distinct, and that the spatial relations between these microreference frames are specified in memory by means of a more global, macroreference frame. Additionally, these experiments demonstrate that an established macroreference frame can influence which of several microreference frames will be coded in memory, but that a previously established microreference frame had no appreciable influence on the subsequent formation of a macroreference frame. These results are interpreted as indicating that the same cognitive mechanisms underlie interobject coding across multiple environmental scales. The implications for reference frame theories and theories positing hierarchical memory organization are discussed. (PsycINFO Database Record (c) 2010 APA, all rights reserved)  相似文献   
988.
Caparos and Linnell (2009, 2010) used a variable-separation flanker paradigm to show that (a) when cognitive load is low, increasing perceptual load causes spatial attention to focus and (b) when perceptual load is high, decreasing cognitive load causes spatial attention to focus. Here, we tested whether the effects of perceptual and cognitive load on spatial focus remain when, respectively, cognitive load is high and perceptual load is low. We found that decreasing cognitive load only causes spatial attention to focus when perceptual load is high and the stimulus encourages this. Moreover, and contrary to the widely held assumption that perceptual load focuses attention automatically (Lavie, Hirst, de Fockert, & Viding, 2004), perceptual load exerts its focusing effect only with the engagement of cognitive resources when cognitive load is low. In sum, perceptual and cognitive mechanisms exert interacting effects and operate in concert to focus spatial attention. (PsycINFO Database Record (c) 2011 APA, all rights reserved)  相似文献   
989.
990.
《Material Religion》2013,9(3):284-304
ABSTRACT

“Megachurches” are congregations with a weekly attendance of at least 2000, by one definition and that have been established recently—many of them since the 1980s—in a variety of countries including the United States, Canada, the United Kingdom, South Korea, Singapore, Australia, New Zealand. They are often distinguished and distinguish themselves, from older (including other large) churches by a number of characteristics: a contemporary worship style prominently featuring electronic musical instruments and media, dynamic and charismatic speakers, services geared towards “seekers” rather than mature believers, international links and networks, informality in dress and atmosphere. Megachurches are also commonly congregations dominated by relatively young and well-educated members. Beyond these similarities, the term “megachurch” really covers a wide range of denominational, doctrinal, socioeconomic, linguistic-cultural, branding/image and organizational differences. Scholarly and public opinion has accordingly been strongly divided on the position, values and practices of megachurches. Referring closely to the internationally renowned Australian megachurch, Hillsong, this paper attempts to arrive at an analytical framework for megachurches based on a pragmatic and cognitive approach to megachurch semiotics and spatial practice, in the process defining the megachurch as one which seeks to materialize some of the intangibles of the Christian experience, while foregrounding practices of size and presence.  相似文献   
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