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Risk perceptions are important to the policy process because they inform individuals’ preferences for government management of hazards that affect personal safety, public health, or ecological conditions. Studies of risk in the policy process have often focused on explicating the determinants of risk perceptions for highly salient, high consequence hazards (e.g., nuclear energy). We argue that it is useful to also study more routinely experienced hazards; doing so shows the relevance of risk perceptions in individuals’ daily lives. Our investigation focuses on the impact perceived risk has on citizens’ preferences over hazard management policies (as distinct from identifying risk perception determinants per se). We use a recursive structural equation model to analyze public opinion data measuring attitudes in three distinct issue domains: air pollution, crime, and hazardous waste storage and disposal. We find that citizens utilize perceived risk rationally: greater perceived risk generally produces support for more proactive government to manage potential hazards. This perceived risk–policy response relationship generally holds even though the policy options respondents were asked to consider entailed nontrivial costs to the public. The exception seems to be when individuals know less about the substantive issue domain. 相似文献
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While state governments have enjoyed greater control over regulating local telephone service providers since 1984, movement toward efficiency-based policy reform (e.g., adoption of competitive markets) has proceeded slowly. We investigate this pattern by addressing how the degree of policy discretion held by state public utility commissions (PUCs) affects reform of local telephone exchange regulation. Using precise measures of both PUC discretion and state policy changes over time, we find that states with "stronger" PUCs (more policymaking authority) are significantly more likely to move toward efficiency-based policy regimes and away from traditional rate-of-return regimes. Greater PUC discretion systematically related to state adoption of efficiency-based reforms over time suggests that regulators are using updated information about policy impacts to inform their policymaking activities. Our findings contradict a common presumption that regulatory bureaucracies are simply motivated by a desire to increase their control over policymaking. Instead, state PUCs are a key source of telecommunications policy reform in the states. 相似文献
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Brian S. Robinson George L. Jacobson Martin G. Yates Arthur E. Spiess Ellen R. Cowie 《Journal of archaeological science》2009,36(10):2184-2191
A paucity of archaeological remains of Atlantic salmon in Northeast North America has been cited as evidence that the species may have been present in the region only during and after the Little Ice Age (ca. 1450–1850 AD), one of coldest periods of the Holocene. However, significant problems of preservation, recovery and identification remain. Here, improved methods of identification use vertebra structure to distinguish salmon from trout, and strontium/calcium ratios to differentiate sea-run from landlocked salmon. In addition to the Little Ice Age, Atlantic salmon is identified in tightly dated contexts at 7000–6500 and 3500–3000 calendar years BP, during climate periods that were comparatively warm and wet. 相似文献
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Temporally and spatially discontinuous pulses of heavy prehistoric exploitation of red abalone (Haliotis rufescens) have been documented along the southern and central California coast. This article examines the very late (post-950 cal BP) appearance of numerous red abalone processing sites on the Monterey Peninsula in central California. We test three prominent explanations offered for the sudden onset of red abalone processing sites: trophic cascades resulting from human predation on sea otters, logistical foraging by inland residents, and changes in sea surface temperature. A trophic cascade appears to have occurred but does not fully explain the nature or timing of the phenomenon in the region. 相似文献
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Brian Egan 《The Canadian geographer》2012,56(4):398-418
This article explores different understandings of reconciliation within the context of modern treaty making in British Columbia, focusing on the role of the BC treaty process in resolving the longstanding dispute between Aboriginal Peoples and the Crown over rights to land. Although the treaty process was created to reconcile competing interests in the land, Crown and Aboriginal negotiators often have contradictory understandings of how this reconciliation is to take place. Drawing on a case study of the Hul’qumi’num Peoples, a group of Coast Salish First Nations, I examine how different understandings and approaches to reconciliation impede progress at the treaty table. I conclude that progress towards treaty and reconciliation in this case will require coming to terms with the Hul’qumi’num territory's colonial history and geography, something that the current treaty process actively avoids, plus the crafting of a treaty agreement that allows for a more equal sharing of the burden that colonialism has created in this place. More particularly, meaningful reconciliation will require a fuller recognition of Aboriginal title and rights across the breadth of the territory and a commitment to meaningful compensation of Hul’qumi’num Peoples for the wrongful taking of their lands. 相似文献